美股市場個股詳情

Upbound Group (UPBD)

添加自選
  • 19.290
  • -0.170-0.87%
收盤價 01/23 16:00 (美東)
  • 19.290
  • 0.0000.00%
盤後 17:14 (美東)
11.17億總市值13.21市盈率TTM

Upbound Group (UPBD) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
經營活動現金流量(間接法)
持續經營活動現金淨額
11.52%1.18億
-48.05%781.4萬
203.24%1.38億
-47.72%1.05億
-215.21%-6,194.5萬
36.19%1.06億
-58.84%1,504萬
-56.91%4,542.1萬
-57.25%2億
-134.86%-1,965.2萬
持續經營淨收入
-57.16%1,322.1萬
-54.39%1,548.5萬
-10.45%2,479.3萬
2,484.21%1.23億
375.30%3,098.2萬
607.31%3,086萬
174.42%3,394.9萬
-41.50%2,768.7萬
-141.91%-517.9萬
-525.16%-1,125.4萬
持續經營損益
112.81%36.2萬
786.67%30.9萬
-96.05%2.3萬
-479.93%-215.8萬
-15.48%13.1萬
-6,112.77%-282.6萬
-232.35%-4.5萬
75.30%58.2萬
-90.66%56.8萬
53.47%15.5萬
折舊和攤銷
7.28%3.83億
6.54%3.77億
5.61%3.69億
9.81%14.21億
6.80%3.61億
10.35%3.57億
12.85%3.54億
9.45%3.5億
-5.06%12.94億
4.69%3.38億
遞延稅費
1,405.34%9,557.4萬
-842.41%-1,472.2萬
23.63%-1,316萬
-51.29%-2,714.7萬
-225.47%-1,824.8萬
-86.30%634.9萬
-96.05%198.3萬
86.65%-1,723.1萬
56.46%-1,794.4萬
172.06%1,454.4萬
其他非現金項目
79.01%206.4萬
-81.79%113.8萬
-28.96%112.6萬
59.07%1,013.9萬
-28.18%115.2萬
-28.21%115.3萬
293.02%624.9萬
0.70%158.5萬
-0.55%637.4萬
-0.43%160.4萬
營運資金變化
-35.39%-4.05億
-2.98%-4.05億
18.51%-2.73億
-16.62%-14.76億
-16.42%-4.49億
6.21%-2.99億
-28.97%-3.93億
-30.71%-3.34億
-19.15%-12.66億
-31.49%-3.86億
-應收款項(增)減
244.25%1,515.2萬
-152.50%-2,692.7萬
142.33%124.5萬
-149.04%-6,228.3萬
-162.04%-3,817.4萬
10.05%-1,050.4萬
-256.06%-1,066.4萬
-169.49%-294.1萬
-146.52%-2,500.9萬
-180.48%-1,456.8萬
-預付費用(增)減
-340.74%-9,874.8萬
-218.76%-2,981.4萬
-36.65%479.8萬
5.78%-394.6萬
273.95%2,023.8萬
-54.18%-2,240.5萬
-353.13%-935.3萬
512.29%757.4萬
-124.07%-418.8萬
-78.53%541.2萬
-應付款項及應計費用(減)增
69.44%3,784.2萬
148.41%2,309.6萬
77.19%-1,602.9萬
-340.28%-8,454.8萬
-84.33%1,111萬
29.67%2,233.4萬
-95.09%-4,771.4萬
-146.96%-7,027.8萬
277.59%3,518.8萬
137.98%7,087.9萬
-其他流動資產變化
-28.50%-3.7億
-12.42%-3.71億
2.73%-2.62億
-4.47%-13.29億
1.30%-4.42億
7.06%-2.88億
-17.25%-3.3億
-15.49%-2.69億
-21.41%-12.72億
-30.39%-4.48億
-其他營運資本變化
2,368.46%1,093.4萬
-107.49%-33.8萬
-436.00%-84萬
662.42%371.3萬
-654.90%-56.6萬
-6,985.71%-48.2萬
1,450.17%451.1萬
187.36%25萬
124.95%48.7萬
7.37%10.2萬
非持續經營活動現金淨額
經營活動現金淨額
11.52%1.18億
-48.05%781.4萬
203.24%1.38億
-47.72%1.05億
-215.21%-6,194.5萬
36.19%1.06億
-58.84%1,504萬
-56.91%4,542.1萬
-57.25%2億
-134.86%-1,965.2萬
投資活動現金流量
持續投資活動現金淨額
-5,581.48%-6,993.9萬
-35.56%-1,949.9萬
-2,335.52%-2.85億
18.55%-4,150.5萬
4.04%-1,417萬
91.66%-123.1萬
-21.30%-1,438.4萬
-22.47%-1,172萬
18.25%-5,095.7萬
-21.49%-1,476.6萬
固定資產交易的淨現金流
-14.24%-2,050.4萬
-26.48%-1,824.7萬
10.50%-1,057.6萬
-5.38%-5,627.5萬
29.95%-1,208.3萬
-21.62%-1,794.8萬
-21.61%-1,442.7萬
-23.98%-1,181.7萬
13.01%-5,340.2萬
-43.92%-1,725萬
業務交易的淨現金流
---189.2萬
---127.3萬
---2.75億
-3,523.08%-141.3萬
---141.3萬
--0
--0
--0
96.08%-3.9萬
--0
其他投資活動的淨現金流
-384.40%-4,754.3萬
-51.16%2.1萬
-88.66%1.1萬
551.49%1,618.3萬
---67.4萬
--1,671.7萬
--4.3萬
--9.7萬
4,676.92%248.4萬
----
非持續投資活動現金淨額
投資活動現金淨額
-5,581.48%-6,993.9萬
-35.56%-1,949.9萬
-2,335.52%-2.85億
18.55%-4,150.5萬
4.04%-1,417萬
91.66%-123.1萬
-21.30%-1,438.4萬
-22.47%-1,172萬
18.25%-5,095.7萬
-21.49%-1,476.6萬
融資活動現金流量
持續融資活動現金淨額
52.12%-4,862.8萬
787.31%1,039.9萬
553.71%1.94億
53.73%-9,351.7萬
141.98%5,235萬
-132.26%-1.02億
98.63%-151.3萬
38.33%-4,280.2萬
45.48%-2.02億
132.69%2,163.4萬
債務發行/償還的淨現金流
77.88%-1,795.8萬
37.79%3,281.3萬
1,255.99%2.22億
94.53%-375萬
10.95%7,281.3萬
-737,972.73%-8,118.8萬
125.83%2,381.3萬
54.36%-1,918.8萬
67.14%-6,860.4萬
3,100.69%6,562.5萬
普通股發行/償還的淨現金流
----
----
----
--0
--0
----
----
----
33.38%-5,000萬
42.66%-2,595.1萬
現金股利支付
-9.58%-2,220.9萬
-9.04%-2,209萬
0.46%-2,139.3萬
0.91%-8,229.9萬
-8.51%-2,028.1萬
-1.19%-2,026.8萬
-7.64%-2,025.9萬
15.77%-2,149.1萬
-4.88%-8,305.6萬
0.47%-1,869萬
職工行使股票期權收到的現金
6.57%29.2萬
-21.54%15.3萬
-98.95%9,000
-24.60%179.9萬
-45.28%47.5萬
-40.82%27.4萬
-47.44%19.5萬
25.00%85.5萬
33.59%238.6萬
1,215.15%86.8萬
其他融資活動的淨現金流額
-2,265.68%-875.3萬
90.94%-47.7萬
-109.20%-623萬
-225.16%-926.7萬
-201.38%-65.7萬
-281.44%-37萬
---526.2萬
-17.48%-297.8萬
70.03%-285萬
-581.25%-21.8萬
非持續融資活動現金淨額
融資活動現金淨額
52.12%-4,862.8萬
787.31%1,039.9萬
553.71%1.94億
53.73%-9,351.7萬
141.98%5,235萬
-132.26%-1.02億
98.63%-151.3萬
38.33%-4,280.2萬
45.48%-2.02億
132.69%2,163.4萬
現金淨流量
期初現金流
29.48%1.07億
26.57%1.07億
-35.05%6,086萬
-34.99%9,370.5萬
-19.55%8,505.4萬
-4.94%8,251.5萬
-50.62%8,479.3萬
-34.99%9,370.5萬
33.05%1.44億
-36.17%1.06億
當期現金流變化
-103.80%-13萬
-50.06%-128.6萬
610.83%4,649.1萬
42.60%-3,030.1萬
-85.90%-2,376.5萬
-82.45%342.2萬
99.00%-85.7萬
-134.42%-910.1萬
-249.06%-5,279.1萬
41.79%-1,278.4萬
利率變動影響
135.11%31萬
156.44%80.2萬
-113.76%-2.6萬
-208.03%-254.4萬
-156.23%-42.9萬
-54.91%-88.3萬
-236.11%-142.1萬
-83.09%18.9萬
502.30%235.5萬
59.96%76.3萬
期末現金流
25.83%1.07億
29.48%1.07億
26.57%1.07億
-35.05%6,086萬
-35.05%6,086萬
-19.55%8,505.4萬
-4.94%8,251.5萬
-50.62%8,479.3萬
-34.99%9,370.5萬
-34.99%9,370.5萬
自由現金流
10.96%9,793.3萬
-1,801.96%-1,043.3萬
278.41%1.27億
-67.02%4,844.6萬
-100.69%-7,402.8萬
39.63%8,825.7萬
-97.52%61.3萬
-64.95%3,360.4萬
-63.92%1.47億
-183.03%-3,688.7萬
貨幣單位
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會計準則
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審計意見
--
--
--
無保留意見
--
--
--
--
無保留意見
--
(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31
經營活動現金流量(間接法)
持續經營活動現金淨額 11.52%1.18億-48.05%781.4萬203.24%1.38億-47.72%1.05億-215.21%-6,194.5萬36.19%1.06億-58.84%1,504萬-56.91%4,542.1萬-57.25%2億-134.86%-1,965.2萬
持續經營淨收入 -57.16%1,322.1萬-54.39%1,548.5萬-10.45%2,479.3萬2,484.21%1.23億375.30%3,098.2萬607.31%3,086萬174.42%3,394.9萬-41.50%2,768.7萬-141.91%-517.9萬-525.16%-1,125.4萬
持續經營損益 112.81%36.2萬786.67%30.9萬-96.05%2.3萬-479.93%-215.8萬-15.48%13.1萬-6,112.77%-282.6萬-232.35%-4.5萬75.30%58.2萬-90.66%56.8萬53.47%15.5萬
折舊和攤銷 7.28%3.83億6.54%3.77億5.61%3.69億9.81%14.21億6.80%3.61億10.35%3.57億12.85%3.54億9.45%3.5億-5.06%12.94億4.69%3.38億
遞延稅費 1,405.34%9,557.4萬-842.41%-1,472.2萬23.63%-1,316萬-51.29%-2,714.7萬-225.47%-1,824.8萬-86.30%634.9萬-96.05%198.3萬86.65%-1,723.1萬56.46%-1,794.4萬172.06%1,454.4萬
其他非現金項目 79.01%206.4萬-81.79%113.8萬-28.96%112.6萬59.07%1,013.9萬-28.18%115.2萬-28.21%115.3萬293.02%624.9萬0.70%158.5萬-0.55%637.4萬-0.43%160.4萬
營運資金變化 -35.39%-4.05億-2.98%-4.05億18.51%-2.73億-16.62%-14.76億-16.42%-4.49億6.21%-2.99億-28.97%-3.93億-30.71%-3.34億-19.15%-12.66億-31.49%-3.86億
-應收款項(增)減 244.25%1,515.2萬-152.50%-2,692.7萬142.33%124.5萬-149.04%-6,228.3萬-162.04%-3,817.4萬10.05%-1,050.4萬-256.06%-1,066.4萬-169.49%-294.1萬-146.52%-2,500.9萬-180.48%-1,456.8萬
-預付費用(增)減 -340.74%-9,874.8萬-218.76%-2,981.4萬-36.65%479.8萬5.78%-394.6萬273.95%2,023.8萬-54.18%-2,240.5萬-353.13%-935.3萬512.29%757.4萬-124.07%-418.8萬-78.53%541.2萬
-應付款項及應計費用(減)增 69.44%3,784.2萬148.41%2,309.6萬77.19%-1,602.9萬-340.28%-8,454.8萬-84.33%1,111萬29.67%2,233.4萬-95.09%-4,771.4萬-146.96%-7,027.8萬277.59%3,518.8萬137.98%7,087.9萬
-其他流動資產變化 -28.50%-3.7億-12.42%-3.71億2.73%-2.62億-4.47%-13.29億1.30%-4.42億7.06%-2.88億-17.25%-3.3億-15.49%-2.69億-21.41%-12.72億-30.39%-4.48億
-其他營運資本變化 2,368.46%1,093.4萬-107.49%-33.8萬-436.00%-84萬662.42%371.3萬-654.90%-56.6萬-6,985.71%-48.2萬1,450.17%451.1萬187.36%25萬124.95%48.7萬7.37%10.2萬
非持續經營活動現金淨額
經營活動現金淨額 11.52%1.18億-48.05%781.4萬203.24%1.38億-47.72%1.05億-215.21%-6,194.5萬36.19%1.06億-58.84%1,504萬-56.91%4,542.1萬-57.25%2億-134.86%-1,965.2萬
投資活動現金流量
持續投資活動現金淨額 -5,581.48%-6,993.9萬-35.56%-1,949.9萬-2,335.52%-2.85億18.55%-4,150.5萬4.04%-1,417萬91.66%-123.1萬-21.30%-1,438.4萬-22.47%-1,172萬18.25%-5,095.7萬-21.49%-1,476.6萬
固定資產交易的淨現金流 -14.24%-2,050.4萬-26.48%-1,824.7萬10.50%-1,057.6萬-5.38%-5,627.5萬29.95%-1,208.3萬-21.62%-1,794.8萬-21.61%-1,442.7萬-23.98%-1,181.7萬13.01%-5,340.2萬-43.92%-1,725萬
業務交易的淨現金流 ---189.2萬---127.3萬---2.75億-3,523.08%-141.3萬---141.3萬--0--0--096.08%-3.9萬--0
其他投資活動的淨現金流 -384.40%-4,754.3萬-51.16%2.1萬-88.66%1.1萬551.49%1,618.3萬---67.4萬--1,671.7萬--4.3萬--9.7萬4,676.92%248.4萬----
非持續投資活動現金淨額
投資活動現金淨額 -5,581.48%-6,993.9萬-35.56%-1,949.9萬-2,335.52%-2.85億18.55%-4,150.5萬4.04%-1,417萬91.66%-123.1萬-21.30%-1,438.4萬-22.47%-1,172萬18.25%-5,095.7萬-21.49%-1,476.6萬
融資活動現金流量
持續融資活動現金淨額 52.12%-4,862.8萬787.31%1,039.9萬553.71%1.94億53.73%-9,351.7萬141.98%5,235萬-132.26%-1.02億98.63%-151.3萬38.33%-4,280.2萬45.48%-2.02億132.69%2,163.4萬
債務發行/償還的淨現金流 77.88%-1,795.8萬37.79%3,281.3萬1,255.99%2.22億94.53%-375萬10.95%7,281.3萬-737,972.73%-8,118.8萬125.83%2,381.3萬54.36%-1,918.8萬67.14%-6,860.4萬3,100.69%6,562.5萬
普通股發行/償還的淨現金流 --------------0--0------------33.38%-5,000萬42.66%-2,595.1萬
現金股利支付 -9.58%-2,220.9萬-9.04%-2,209萬0.46%-2,139.3萬0.91%-8,229.9萬-8.51%-2,028.1萬-1.19%-2,026.8萬-7.64%-2,025.9萬15.77%-2,149.1萬-4.88%-8,305.6萬0.47%-1,869萬
職工行使股票期權收到的現金 6.57%29.2萬-21.54%15.3萬-98.95%9,000-24.60%179.9萬-45.28%47.5萬-40.82%27.4萬-47.44%19.5萬25.00%85.5萬33.59%238.6萬1,215.15%86.8萬
其他融資活動的淨現金流額 -2,265.68%-875.3萬90.94%-47.7萬-109.20%-623萬-225.16%-926.7萬-201.38%-65.7萬-281.44%-37萬---526.2萬-17.48%-297.8萬70.03%-285萬-581.25%-21.8萬
非持續融資活動現金淨額
融資活動現金淨額 52.12%-4,862.8萬787.31%1,039.9萬553.71%1.94億53.73%-9,351.7萬141.98%5,235萬-132.26%-1.02億98.63%-151.3萬38.33%-4,280.2萬45.48%-2.02億132.69%2,163.4萬
現金淨流量
期初現金流 29.48%1.07億26.57%1.07億-35.05%6,086萬-34.99%9,370.5萬-19.55%8,505.4萬-4.94%8,251.5萬-50.62%8,479.3萬-34.99%9,370.5萬33.05%1.44億-36.17%1.06億
當期現金流變化 -103.80%-13萬-50.06%-128.6萬610.83%4,649.1萬42.60%-3,030.1萬-85.90%-2,376.5萬-82.45%342.2萬99.00%-85.7萬-134.42%-910.1萬-249.06%-5,279.1萬41.79%-1,278.4萬
利率變動影響 135.11%31萬156.44%80.2萬-113.76%-2.6萬-208.03%-254.4萬-156.23%-42.9萬-54.91%-88.3萬-236.11%-142.1萬-83.09%18.9萬502.30%235.5萬59.96%76.3萬
期末現金流 25.83%1.07億29.48%1.07億26.57%1.07億-35.05%6,086萬-35.05%6,086萬-19.55%8,505.4萬-4.94%8,251.5萬-50.62%8,479.3萬-34.99%9,370.5萬-34.99%9,370.5萬
自由現金流 10.96%9,793.3萬-1,801.96%-1,043.3萬278.41%1.27億-67.02%4,844.6萬-100.69%-7,402.8萬39.63%8,825.7萬-97.52%61.3萬-64.95%3,360.4萬-63.92%1.47億-183.03%-3,688.7萬
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