美股市場個股詳情

搜諾思公司 (SONO)

添加自選
  • 14.830
  • +0.140+0.95%
收盤價 05/15 15:59 (美東)
  • 14.800
  • -0.030-0.20%
盤後 18:29 (美東)
17.67億總市值87.24市盈率TTM

搜諾思公司 (SONO) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2026/03/28
(Q1)2025/12/27
(FY)2025/09/27
(Q4)2025/09/27
(Q3)2025/06/28
(Q2)2025/03/29
(Q1)2024/12/28
(FY)2024/09/28
(Q4)2024/09/28
(Q3)2024/06/29
經營活動現金流量(間接法)
持續經營活動現金淨額
-9.57%-6,537.4萬
4.57%1.63億
-27.93%1.37億
107.74%292.1萬
-41.02%3,744.1萬
46.36%-5,966.6萬
-43.29%1.56億
89.14%1.9億
-270.01%-3,773.4萬
614.34%6,348.3萬
持續經營淨收入
58.82%-2,888.6萬
86.71%9,379.8萬
-60.29%-6,114.4萬
28.69%-3,785.8萬
-191.10%-337.9萬
-0.62%-7,014.4萬
-37.94%5,023.7萬
-271.29%-3,814.6萬
-69.95%-5,309.3萬
115.74%370.9萬
持續經營損益
229.35%284.7萬
-176.33%-162.5萬
132.33%235.2萬
139.33%178萬
-6.80%64.4萬
-155.76%-220.1萬
128.82%212.9萬
0.80%-727.6萬
-184.39%-452.6萬
-51.61%69.1萬
折舊和攤銷
-21.94%1,184萬
-20.38%1,402.2萬
18.98%6,232.1萬
-20.67%1,366.4萬
31.96%1,587.9萬
34.90%1,516.7萬
48.27%1,761.1萬
6.96%5,237.8萬
23.78%1,722.4萬
-1.44%1,203.3萬
遞延稅費
-97.25%2.4萬
-60.98%4.8萬
100.04%8,000
95.27%-93.4萬
-106.47%-5.5萬
6,142.86%87.4萬
373.33%12.3萬
-3,145.63%-1,892.2萬
-817.33%-1,974.1萬
302.84%85萬
其他非現金項目
-42.16%322.5萬
140.78%202.5萬
165.69%1,568.9萬
160.09%693.4萬
197.83%233.8萬
482.05%557.6萬
-43.78%84.1萬
-46.65%590.5萬
59.35%266.6萬
-42.95%78.5萬
營運資金變化
-151.81%-6,947.9萬
-32.25%3,969.5萬
-72.82%2,793.6萬
156.41%365.9萬
-125.11%-672.4萬
65.86%-2,759.2萬
-64.12%5,859.3萬
363.97%1.03億
-155.66%-648.6萬
546.22%2,677.3萬
-應收款項(增)減
-62.11%1,746萬
-18.72%-4,912萬
-194.92%-2,187.3萬
-68.90%2,713.7萬
12.56%-5,371.2萬
389.03%4,607.6萬
-238.71%-4,137.4萬
-28.26%2,304.4萬
89.48%8,726.2萬
-99.01%-6,142.5萬
-存貨(增)減
-1,179.44%-3,569.7萬
-49.01%4,553.4萬
-51.26%5,172.9萬
34.73%-5,449.4萬
-51.28%1,360.8萬
155.51%330.7萬
-46.73%8,930.8萬
21.97%1.06億
-54.47%-8,349.1萬
21.32%2,793萬
-應付款項及應計費用(減)增
22.71%-6,154.5萬
392.25%3,177萬
-21.72%-920.7萬
4,198.74%3,578.2萬
-57.56%2,818.9萬
-11.11%-7,963.2萬
547.88%645.4萬
95.40%-756.4萬
-104.63%-87.3萬
2,121.30%6,642萬
-其他流動資產變化
-93.14%53.3萬
166.23%426.3萬
136.43%1,048.3萬
91.60%-113.3萬
8,968.97%1,028.8萬
438.93%776.5萬
50.02%-643.7萬
-374.83%-2,877.5萬
-1,331.96%-1,349萬
-102.98%-11.6萬
-其他流動負債變化
-54.28%-515萬
-43.31%517.5萬
-104.76%-45.9萬
-135.16%-192.9萬
26.31%-432.1萬
60.85%-333.8萬
-50.79%912.9萬
1,575.00%964.8萬
2,728.35%548.7萬
-793.96%-586.4萬
-其他營運資本變化
942.94%1,492萬
37.01%207.3萬
-1,000.33%-273.7萬
-23.39%-170.4萬
-351.16%-77.6萬
1.83%-177萬
-58.66%151.3萬
106.64%30.4萬
-185.92%-138.1萬
-143.99%-17.2萬
非持續經營活動現金淨額
經營活動現金淨額
-9.57%-6,537.4萬
4.57%1.63億
-27.93%1.37億
107.74%292.1萬
-41.02%3,744.1萬
46.36%-5,966.6萬
-43.29%1.56億
89.14%1.9億
-270.01%-3,773.4萬
614.34%6,348.3萬
投資活動現金流量
持續投資活動現金淨額
64.88%-274.9萬
56.46%-406.4萬
71.95%-2,952萬
68.68%-535.3萬
73.68%-700.5萬
85.89%-782.8萬
-53.60%-933.4萬
-109.29%-1.05億
-67.52%-1,708.9萬
-59.51%-2,661萬
固定資產交易的淨現金流
14.04%-477.6萬
54.54%-595.8萬
48.09%-2,867.6萬
66.66%-525.8萬
79.51%-475.6萬
45.45%-555.6萬
-115.67%-1,310.6萬
-9.87%-5,524.7萬
-54.59%-1,577萬
-39.16%-2,321.4萬
業務交易的淨現金流
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--0
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投資產品交易的淨現金流
189.22%202.7萬
-49.79%189.4萬
98.31%-84.4萬
92.80%-9.5萬
33.78%-224.9萬
94.98%-227.2萬
--377.2萬
---4,999.5萬
---131.9萬
---339.6萬
非持續投資活動現金淨額
投資活動現金淨額
64.88%-274.9萬
56.46%-406.4萬
71.95%-2,952萬
68.68%-535.3萬
73.68%-700.5萬
85.89%-782.8萬
-53.60%-933.4萬
-109.29%-1.05億
-67.52%-1,708.9萬
-59.51%-2,661萬
融資活動現金流量
持續融資活動現金淨額
-7.12%-4,327.1萬
30.70%-2,342.1萬
25.47%-1.02億
-473.07%-2,363.9萬
91.89%-450.9萬
25.05%-4,039.6萬
-42.66%-3,379.8萬
-26.44%-1.37億
93.09%-412.5萬
-204.37%-5,559.7萬
普通股發行/償還的淨現金流
-11.17%-4,517.7萬
0.93%-3,587.3萬
30.78%-1.07億
-423.82%-2,548.9萬
92.49%-450.8萬
34.73%-4,063.9萬
-32.98%-3,620.9萬
-18.80%-1.54億
92.02%-486.6萬
-189.54%-6,000.4萬
職工行使股票期權收到的現金
684.36%190.6萬
448.82%1,323.2萬
-73.59%450.3萬
149.66%185萬
-100.02%-1,000
-97.10%24.3萬
-31.85%241.1萬
-20.11%1,705.3萬
-43.17%74.1萬
79.29%440.7萬
其他融資活動的淨現金流額
--0
---78萬
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----
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非持續融資活動現金淨額
融資活動現金淨額
-7.12%-4,327.1萬
30.70%-2,342.1萬
25.47%-1.02億
-473.07%-2,363.9萬
91.89%-450.9萬
25.05%-4,039.6萬
-42.66%-3,379.8萬
-26.44%-1.37億
93.09%-412.5萬
-204.37%-5,559.7萬
現金淨流量
期初現金流
11.63%3.13億
2.91%1.75億
-22.93%1.7億
-11.38%2.01億
-29.60%1.73億
-40.10%2.8億
-22.93%1.7億
-19.87%2.2億
-15.35%2.27億
-16.59%2.46億
當期現金流變化
-3.25%-1.11億
20.15%1.36億
109.51%500.7萬
55.77%-2,607.1萬
238.47%2,592.7萬
51.09%-1.08億
-53.98%1.13億
9.97%-5,264.5萬
-23.68%-5,894.8萬
28.15%-1,872.4萬
利率變動影響
-187.28%-95.4萬
171.47%201.4萬
-103.31%-7.1萬
-134.10%-53.4萬
1,864.52%218.8萬
241.21%109.3萬
-290.66%-281.8萬
-44.23%214.6萬
499.49%156.6萬
76.43%-12.4萬
期末現金流
15.59%2億
11.63%3.13億
2.91%1.75億
2.91%1.75億
-11.38%2.01億
-29.60%1.73億
-40.10%2.8億
-22.93%1.7億
-22.93%1.7億
-15.35%2.27億
自由現金流
-7.56%-7,015萬
9.98%1.57億
-19.65%1.08億
95.63%-233.7萬
-18.83%3,268.5萬
46.29%-6,522.2萬
-46.88%1.43億
168.67%1.35億
-546.09%-5,350.4萬
616.60%4,026.9萬
貨幣單位
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經營活動現金流量(間接法)
持續經營活動現金淨額 -9.57%-6,537.4萬4.57%1.63億-27.93%1.37億107.74%292.1萬-41.02%3,744.1萬46.36%-5,966.6萬-43.29%1.56億89.14%1.9億-270.01%-3,773.4萬614.34%6,348.3萬
持續經營淨收入 58.82%-2,888.6萬86.71%9,379.8萬-60.29%-6,114.4萬28.69%-3,785.8萬-191.10%-337.9萬-0.62%-7,014.4萬-37.94%5,023.7萬-271.29%-3,814.6萬-69.95%-5,309.3萬115.74%370.9萬
持續經營損益 229.35%284.7萬-176.33%-162.5萬132.33%235.2萬139.33%178萬-6.80%64.4萬-155.76%-220.1萬128.82%212.9萬0.80%-727.6萬-184.39%-452.6萬-51.61%69.1萬
折舊和攤銷 -21.94%1,184萬-20.38%1,402.2萬18.98%6,232.1萬-20.67%1,366.4萬31.96%1,587.9萬34.90%1,516.7萬48.27%1,761.1萬6.96%5,237.8萬23.78%1,722.4萬-1.44%1,203.3萬
遞延稅費 -97.25%2.4萬-60.98%4.8萬100.04%8,00095.27%-93.4萬-106.47%-5.5萬6,142.86%87.4萬373.33%12.3萬-3,145.63%-1,892.2萬-817.33%-1,974.1萬302.84%85萬
其他非現金項目 -42.16%322.5萬140.78%202.5萬165.69%1,568.9萬160.09%693.4萬197.83%233.8萬482.05%557.6萬-43.78%84.1萬-46.65%590.5萬59.35%266.6萬-42.95%78.5萬
營運資金變化 -151.81%-6,947.9萬-32.25%3,969.5萬-72.82%2,793.6萬156.41%365.9萬-125.11%-672.4萬65.86%-2,759.2萬-64.12%5,859.3萬363.97%1.03億-155.66%-648.6萬546.22%2,677.3萬
-應收款項(增)減 -62.11%1,746萬-18.72%-4,912萬-194.92%-2,187.3萬-68.90%2,713.7萬12.56%-5,371.2萬389.03%4,607.6萬-238.71%-4,137.4萬-28.26%2,304.4萬89.48%8,726.2萬-99.01%-6,142.5萬
-存貨(增)減 -1,179.44%-3,569.7萬-49.01%4,553.4萬-51.26%5,172.9萬34.73%-5,449.4萬-51.28%1,360.8萬155.51%330.7萬-46.73%8,930.8萬21.97%1.06億-54.47%-8,349.1萬21.32%2,793萬
-應付款項及應計費用(減)增 22.71%-6,154.5萬392.25%3,177萬-21.72%-920.7萬4,198.74%3,578.2萬-57.56%2,818.9萬-11.11%-7,963.2萬547.88%645.4萬95.40%-756.4萬-104.63%-87.3萬2,121.30%6,642萬
-其他流動資產變化 -93.14%53.3萬166.23%426.3萬136.43%1,048.3萬91.60%-113.3萬8,968.97%1,028.8萬438.93%776.5萬50.02%-643.7萬-374.83%-2,877.5萬-1,331.96%-1,349萬-102.98%-11.6萬
-其他流動負債變化 -54.28%-515萬-43.31%517.5萬-104.76%-45.9萬-135.16%-192.9萬26.31%-432.1萬60.85%-333.8萬-50.79%912.9萬1,575.00%964.8萬2,728.35%548.7萬-793.96%-586.4萬
-其他營運資本變化 942.94%1,492萬37.01%207.3萬-1,000.33%-273.7萬-23.39%-170.4萬-351.16%-77.6萬1.83%-177萬-58.66%151.3萬106.64%30.4萬-185.92%-138.1萬-143.99%-17.2萬
非持續經營活動現金淨額
經營活動現金淨額 -9.57%-6,537.4萬4.57%1.63億-27.93%1.37億107.74%292.1萬-41.02%3,744.1萬46.36%-5,966.6萬-43.29%1.56億89.14%1.9億-270.01%-3,773.4萬614.34%6,348.3萬
投資活動現金流量
持續投資活動現金淨額 64.88%-274.9萬56.46%-406.4萬71.95%-2,952萬68.68%-535.3萬73.68%-700.5萬85.89%-782.8萬-53.60%-933.4萬-109.29%-1.05億-67.52%-1,708.9萬-59.51%-2,661萬
固定資產交易的淨現金流 14.04%-477.6萬54.54%-595.8萬48.09%-2,867.6萬66.66%-525.8萬79.51%-475.6萬45.45%-555.6萬-115.67%-1,310.6萬-9.87%-5,524.7萬-54.59%-1,577萬-39.16%-2,321.4萬
業務交易的淨現金流 ------------------------------0--------
投資產品交易的淨現金流 189.22%202.7萬-49.79%189.4萬98.31%-84.4萬92.80%-9.5萬33.78%-224.9萬94.98%-227.2萬--377.2萬---4,999.5萬---131.9萬---339.6萬
非持續投資活動現金淨額
投資活動現金淨額 64.88%-274.9萬56.46%-406.4萬71.95%-2,952萬68.68%-535.3萬73.68%-700.5萬85.89%-782.8萬-53.60%-933.4萬-109.29%-1.05億-67.52%-1,708.9萬-59.51%-2,661萬
融資活動現金流量
持續融資活動現金淨額 -7.12%-4,327.1萬30.70%-2,342.1萬25.47%-1.02億-473.07%-2,363.9萬91.89%-450.9萬25.05%-4,039.6萬-42.66%-3,379.8萬-26.44%-1.37億93.09%-412.5萬-204.37%-5,559.7萬
普通股發行/償還的淨現金流 -11.17%-4,517.7萬0.93%-3,587.3萬30.78%-1.07億-423.82%-2,548.9萬92.49%-450.8萬34.73%-4,063.9萬-32.98%-3,620.9萬-18.80%-1.54億92.02%-486.6萬-189.54%-6,000.4萬
職工行使股票期權收到的現金 684.36%190.6萬448.82%1,323.2萬-73.59%450.3萬149.66%185萬-100.02%-1,000-97.10%24.3萬-31.85%241.1萬-20.11%1,705.3萬-43.17%74.1萬79.29%440.7萬
其他融資活動的淨現金流額 --0---78萬--------------------------------
非持續融資活動現金淨額
融資活動現金淨額 -7.12%-4,327.1萬30.70%-2,342.1萬25.47%-1.02億-473.07%-2,363.9萬91.89%-450.9萬25.05%-4,039.6萬-42.66%-3,379.8萬-26.44%-1.37億93.09%-412.5萬-204.37%-5,559.7萬
現金淨流量
期初現金流 11.63%3.13億2.91%1.75億-22.93%1.7億-11.38%2.01億-29.60%1.73億-40.10%2.8億-22.93%1.7億-19.87%2.2億-15.35%2.27億-16.59%2.46億
當期現金流變化 -3.25%-1.11億20.15%1.36億109.51%500.7萬55.77%-2,607.1萬238.47%2,592.7萬51.09%-1.08億-53.98%1.13億9.97%-5,264.5萬-23.68%-5,894.8萬28.15%-1,872.4萬
利率變動影響 -187.28%-95.4萬171.47%201.4萬-103.31%-7.1萬-134.10%-53.4萬1,864.52%218.8萬241.21%109.3萬-290.66%-281.8萬-44.23%214.6萬499.49%156.6萬76.43%-12.4萬
期末現金流 15.59%2億11.63%3.13億2.91%1.75億2.91%1.75億-11.38%2.01億-29.60%1.73億-40.10%2.8億-22.93%1.7億-22.93%1.7億-15.35%2.27億
自由現金流 -7.56%-7,015萬9.98%1.57億-19.65%1.08億95.63%-233.7萬-18.83%3,268.5萬46.29%-6,522.2萬-46.88%1.43億168.67%1.35億-546.09%-5,350.4萬616.60%4,026.9萬
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