美股市場個股詳情

維蒙特工業 (VMI)

添加自選
  • 506.750
  • -8.830-1.71%
收盤價 05/15 16:00 (美東)
  • 506.750
  • 0.0000.00%
盤後 20:01 (美東)
98.38億總市值28.18市盈率TTM

維蒙特工業 (VMI) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2026/03/28
(FY)2025/12/27
(Q4)2025/12/27
(Q3)2025/09/27
(Q2)2025/06/28
(Q1)2025/03/29
(FY)2024/12/28
(Q4)2024/12/28
(Q3)2024/09/28
(Q2)2024/06/29
經營活動現金流量(間接法)
持續經營活動現金淨額
58.87%1.03億
-20.29%4.56億
-42.49%1.11億
-50.03%1.13億
28.13%1.68億
179.14%6,513萬
86.68%5.73億
66.87%1.93億
176.83%2.25億
48.07%1.31億
持續經營淨收入
24.65%1.08億
0.87%3.54億
115.75%1.69億
22.37%1.01億
-103.25%-329.1萬
-2.00%8,666.3萬
141.96%3.51億
130.12%7,843.5萬
264.19%8,261萬
13.91%1.01億
持續經營損益
128.05%18.4萬
62.25%-256.2萬
-107.91%-92.8萬
-12.49%-133.3萬
142.62%35.5萬
96.03%-65.6萬
61.65%-678.7萬
801.91%1,173.6萬
-458.96%-118.5萬
44.02%-83.3萬
折舊和攤銷
5.06%2,260.7萬
-7.22%8,850.9萬
-7.14%2,308萬
-9.86%2,164.8萬
-3.16%2,226.3萬
-8.57%2,151.8萬
-3.36%9,539.5萬
-0.86%2,485.4萬
-3.34%2,401.5萬
-5.13%2,299萬
遞延稅費
50.08%1,566.7萬
22.14%-1,919.6萬
-178.20%-2,419.2萬
146.02%755.2萬
-31.34%-1,299.5萬
0.92%1,043.9萬
-32.21%-2,465.5萬
-42.86%-869.6萬
-15.61%-1,640.9萬
-68.95%-989.4萬
其他非現金項目
----
--282.4萬
----
----
----
----
----
----
----
----
營運資金變化
19.16%-4,854.1萬
-164.28%-8,242.4萬
-180.73%-6,367.9萬
-117.49%-2,247.4萬
508.94%6,377.4萬
33.03%-6,004.5萬
259.17%1.28億
45.80%7,888.1萬
549.38%1.29億
136.74%1,047.3萬
-應收款項(增)減
-217.11%-4,664.3萬
106.44%266.2萬
-148.92%-1,516.7萬
149.30%1,682.3萬
128.82%1,571.5萬
40.05%-1,470.9萬
13.08%-4,131.8萬
117.84%3,100.5萬
115.45%674.8萬
-681.10%-5,453.6萬
-存貨(增)減
-222.71%-1,983.2萬
-13.59%3,944.2萬
1,577.53%2,687.4萬
-133.70%-985.5萬
-80.29%626.1萬
195.23%1,616.2萬
-48.39%4,564.3萬
-95.82%160.2萬
-33.13%2,924.1萬
1,298.94%3,177.2萬
-預付費用(增)減
-400.22%-1,842.3萬
3,464.44%2,185萬
-0.03%756.6萬
54.65%437.5萬
319.62%1,359.2萬
-2.45%-368.3萬
102.34%61.3萬
246.24%756.8萬
-43.59%282.9萬
-629.83%-618.9萬
-應付款項及應計費用(減)增
116.81%1,195萬
-226.94%-6,579.5萬
-228.85%-4,923萬
-0.36%1,776.3萬
-31.12%3,677.9萬
-23.46%-7,110.7萬
100.84%5,183.3萬
147.45%3,820.8萬
-0.54%1,782.8萬
114.71%5,339.2萬
-其他流動負債變化
-175.18%-31.8萬
-101.02%-7.9萬
-258.00%-480.8萬
-100.12%-7,000
3,054.11%431.3萬
157.87%42.3萬
154.71%777.9萬
-69.25%304.3萬
132.96%561.3萬
98.85%-14.6萬
-其他營運資本變化
92.13%2,472.5萬
-226.42%-8,050.4萬
-1,036.11%-2,891.4萬
-177.82%-5,157.3萬
6.76%-1,288.6萬
-6.56%1,286.9萬
159.58%6,368.2萬
86.31%-254.5萬
291.74%6,627.4萬
70.30%-1,382萬
非持續經營活動現金淨額
經營活動現金淨額
58.87%1.03億
-20.29%4.56億
-42.49%1.11億
-50.03%1.13億
28.13%1.68億
179.14%6,513萬
86.68%5.73億
66.87%1.93億
176.83%2.25億
48.07%1.31億
投資活動現金流量
持續投資活動現金淨額
-43.42%-4,330.1萬
-80.96%-1.43億
-61.60%-3,842.8萬
-115.07%-3,999.2萬
-91.03%-3,412.8萬
-61.98%-3,019.1萬
31.58%-7,887.8萬
8.60%-2,377.9萬
66.33%-1,859.5萬
-45.75%-1,786.5萬
固定資產交易的淨現金流
-14.01%-3,456.8萬
-82.55%-1.45億
-59.28%-4,080.5萬
-104.46%-4,192.4萬
-74.62%-3,198.7萬
-101.99%-3,031.9萬
17.90%-7,945.1萬
-0.31%-2,561.8萬
20.65%-2,050.5萬
20.47%-1,831.8萬
業務交易的淨現金流
---1,119.5萬
--0
----
----
----
--0
114.56%383萬
557.59%383萬
--0
----
其他投資活動的淨現金流
1,823.44%246.2萬
170.49%229.6萬
219.39%237.7萬
1.15%193.2萬
-572.63%-214.1萬
103.53%12.8萬
-141.77%-325.7萬
-653.06%-199.1萬
-22.33%191萬
-89.72%45.3萬
非持續投資活動現金淨額
投資活動現金淨額
-43.42%-4,330.1萬
-80.96%-1.43億
-61.60%-3,842.8萬
-115.07%-3,999.2萬
-91.03%-3,412.8萬
-61.98%-3,019.1萬
31.58%-7,887.8萬
8.60%-2,377.9萬
66.33%-1,859.5萬
-45.75%-1,786.5萬
融資活動現金流量
持續融資活動現金淨額
-413.30%-8,722.5萬
42.81%-2.99億
42.70%-1.13億
68.60%-5,494.6萬
1.56%-1.14億
51.22%-1,699.3萬
-196.23%-5.23億
-202.99%-1.97億
-909.41%-1.75億
-43.00%-1.16億
債務發行/償還的淨現金流
-212.96%-555.5萬
116.49%6,257萬
138.74%6,475.3萬
99.86%-17.3萬
99.74%-23.5萬
-36.43%-177.5萬
-263.63%-3.8億
-229.64%-1.67億
-550.37%-1.21億
-108.62%-9,031.4萬
普通股發行/償還的淨現金流
---5,755萬
-182.71%-1.98億
-381.67%-7,225萬
35.63%-2,583.2萬
-569.35%-1億
--0
79.71%-7,006.9萬
91.60%-1,500萬
-27.20%-4,012.8萬
37.75%-1,494.1萬
現金股利支付
-10.48%-1,327.9萬
-8.53%-5,248.1萬
-11.44%-1,339.6萬
-10.91%-1,341.8萬
-12.67%-1,364.8萬
0.88%-1,201.9萬
2.34%-4,835.8萬
4.08%-1,202.1萬
4.04%-1,209.8萬
4.12%-1,211.3萬
職工行使股票期權收到的現金
-28.23%223萬
-4.19%635.4萬
--0
1,287.61%324.7萬
--0
58.60%310.7萬
13.54%663.2萬
318.86%206.5萬
59.18%23.4萬
1,197.27%237.4萬
其他融資活動的淨現金流額
-107.28%-1,307.1萬
-275.58%-1.17億
-1,903.05%-9,180萬
-748.17%-1,877萬
67.53%-34萬
73.01%-630.6萬
-60.72%-3,120.9萬
-43.71%-458.3萬
-1,365.56%-221.3萬
25.32%-104.7萬
非持續融資活動現金淨額
融資活動現金淨額
-413.30%-8,722.5萬
42.81%-2.99億
42.70%-1.13億
68.60%-5,494.6萬
1.56%-1.14億
51.22%-1,699.3萬
-196.23%-5.23億
-202.99%-1.97億
-909.41%-1.75億
-43.00%-1.16億
現金淨流量
期初現金流
13.89%1.87億
-19.07%1.64億
12.78%2.26億
27.82%2.09億
8.99%1.84億
-19.07%1.64億
9.51%2.03億
16.17%2億
-2.26%1.63億
-2.17%1.69億
當期現金流變化
-250.75%-2,705.3萬
151.75%1,488.3萬
-47.44%-3,988萬
-44.28%1,756.6萬
722.00%1,925.1萬
159.54%1,794.6萬
-290.60%-2,876萬
-208.29%-2,704.8萬
259.66%3,152.4萬
38.77%-309.5萬
利率變動影響
-95.23%10.2萬
179.69%794.2萬
110.02%91.3萬
-99.86%8,000
265.08%488.3萬
157.71%213.8萬
-491.44%-996.6萬
-265.80%-911.4萬
287.09%581.1萬
-200.00%-295.8萬
期末現金流
-13.13%1.6億
13.89%1.87億
13.89%1.87億
12.78%2.26億
27.82%2.09億
8.99%1.84億
-19.07%1.64億
-19.07%1.64億
16.17%2億
-2.26%1.63億
自由現金流
97.94%6,890.5萬
-36.85%3.11億
-58.02%7,043.6萬
-65.51%7,058萬
20.56%1.36億
318.30%3,481.1萬
134.87%4.93億
85.68%1.68億
268.80%2.05億
72.23%1.12億
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 58.87%1.03億-20.29%4.56億-42.49%1.11億-50.03%1.13億28.13%1.68億179.14%6,513萬86.68%5.73億66.87%1.93億176.83%2.25億48.07%1.31億
持續經營淨收入 24.65%1.08億0.87%3.54億115.75%1.69億22.37%1.01億-103.25%-329.1萬-2.00%8,666.3萬141.96%3.51億130.12%7,843.5萬264.19%8,261萬13.91%1.01億
持續經營損益 128.05%18.4萬62.25%-256.2萬-107.91%-92.8萬-12.49%-133.3萬142.62%35.5萬96.03%-65.6萬61.65%-678.7萬801.91%1,173.6萬-458.96%-118.5萬44.02%-83.3萬
折舊和攤銷 5.06%2,260.7萬-7.22%8,850.9萬-7.14%2,308萬-9.86%2,164.8萬-3.16%2,226.3萬-8.57%2,151.8萬-3.36%9,539.5萬-0.86%2,485.4萬-3.34%2,401.5萬-5.13%2,299萬
遞延稅費 50.08%1,566.7萬22.14%-1,919.6萬-178.20%-2,419.2萬146.02%755.2萬-31.34%-1,299.5萬0.92%1,043.9萬-32.21%-2,465.5萬-42.86%-869.6萬-15.61%-1,640.9萬-68.95%-989.4萬
其他非現金項目 ------282.4萬--------------------------------
營運資金變化 19.16%-4,854.1萬-164.28%-8,242.4萬-180.73%-6,367.9萬-117.49%-2,247.4萬508.94%6,377.4萬33.03%-6,004.5萬259.17%1.28億45.80%7,888.1萬549.38%1.29億136.74%1,047.3萬
-應收款項(增)減 -217.11%-4,664.3萬106.44%266.2萬-148.92%-1,516.7萬149.30%1,682.3萬128.82%1,571.5萬40.05%-1,470.9萬13.08%-4,131.8萬117.84%3,100.5萬115.45%674.8萬-681.10%-5,453.6萬
-存貨(增)減 -222.71%-1,983.2萬-13.59%3,944.2萬1,577.53%2,687.4萬-133.70%-985.5萬-80.29%626.1萬195.23%1,616.2萬-48.39%4,564.3萬-95.82%160.2萬-33.13%2,924.1萬1,298.94%3,177.2萬
-預付費用(增)減 -400.22%-1,842.3萬3,464.44%2,185萬-0.03%756.6萬54.65%437.5萬319.62%1,359.2萬-2.45%-368.3萬102.34%61.3萬246.24%756.8萬-43.59%282.9萬-629.83%-618.9萬
-應付款項及應計費用(減)增 116.81%1,195萬-226.94%-6,579.5萬-228.85%-4,923萬-0.36%1,776.3萬-31.12%3,677.9萬-23.46%-7,110.7萬100.84%5,183.3萬147.45%3,820.8萬-0.54%1,782.8萬114.71%5,339.2萬
-其他流動負債變化 -175.18%-31.8萬-101.02%-7.9萬-258.00%-480.8萬-100.12%-7,0003,054.11%431.3萬157.87%42.3萬154.71%777.9萬-69.25%304.3萬132.96%561.3萬98.85%-14.6萬
-其他營運資本變化 92.13%2,472.5萬-226.42%-8,050.4萬-1,036.11%-2,891.4萬-177.82%-5,157.3萬6.76%-1,288.6萬-6.56%1,286.9萬159.58%6,368.2萬86.31%-254.5萬291.74%6,627.4萬70.30%-1,382萬
非持續經營活動現金淨額
經營活動現金淨額 58.87%1.03億-20.29%4.56億-42.49%1.11億-50.03%1.13億28.13%1.68億179.14%6,513萬86.68%5.73億66.87%1.93億176.83%2.25億48.07%1.31億
投資活動現金流量
持續投資活動現金淨額 -43.42%-4,330.1萬-80.96%-1.43億-61.60%-3,842.8萬-115.07%-3,999.2萬-91.03%-3,412.8萬-61.98%-3,019.1萬31.58%-7,887.8萬8.60%-2,377.9萬66.33%-1,859.5萬-45.75%-1,786.5萬
固定資產交易的淨現金流 -14.01%-3,456.8萬-82.55%-1.45億-59.28%-4,080.5萬-104.46%-4,192.4萬-74.62%-3,198.7萬-101.99%-3,031.9萬17.90%-7,945.1萬-0.31%-2,561.8萬20.65%-2,050.5萬20.47%-1,831.8萬
業務交易的淨現金流 ---1,119.5萬--0--------------0114.56%383萬557.59%383萬--0----
其他投資活動的淨現金流 1,823.44%246.2萬170.49%229.6萬219.39%237.7萬1.15%193.2萬-572.63%-214.1萬103.53%12.8萬-141.77%-325.7萬-653.06%-199.1萬-22.33%191萬-89.72%45.3萬
非持續投資活動現金淨額
投資活動現金淨額 -43.42%-4,330.1萬-80.96%-1.43億-61.60%-3,842.8萬-115.07%-3,999.2萬-91.03%-3,412.8萬-61.98%-3,019.1萬31.58%-7,887.8萬8.60%-2,377.9萬66.33%-1,859.5萬-45.75%-1,786.5萬
融資活動現金流量
持續融資活動現金淨額 -413.30%-8,722.5萬42.81%-2.99億42.70%-1.13億68.60%-5,494.6萬1.56%-1.14億51.22%-1,699.3萬-196.23%-5.23億-202.99%-1.97億-909.41%-1.75億-43.00%-1.16億
債務發行/償還的淨現金流 -212.96%-555.5萬116.49%6,257萬138.74%6,475.3萬99.86%-17.3萬99.74%-23.5萬-36.43%-177.5萬-263.63%-3.8億-229.64%-1.67億-550.37%-1.21億-108.62%-9,031.4萬
普通股發行/償還的淨現金流 ---5,755萬-182.71%-1.98億-381.67%-7,225萬35.63%-2,583.2萬-569.35%-1億--079.71%-7,006.9萬91.60%-1,500萬-27.20%-4,012.8萬37.75%-1,494.1萬
現金股利支付 -10.48%-1,327.9萬-8.53%-5,248.1萬-11.44%-1,339.6萬-10.91%-1,341.8萬-12.67%-1,364.8萬0.88%-1,201.9萬2.34%-4,835.8萬4.08%-1,202.1萬4.04%-1,209.8萬4.12%-1,211.3萬
職工行使股票期權收到的現金 -28.23%223萬-4.19%635.4萬--01,287.61%324.7萬--058.60%310.7萬13.54%663.2萬318.86%206.5萬59.18%23.4萬1,197.27%237.4萬
其他融資活動的淨現金流額 -107.28%-1,307.1萬-275.58%-1.17億-1,903.05%-9,180萬-748.17%-1,877萬67.53%-34萬73.01%-630.6萬-60.72%-3,120.9萬-43.71%-458.3萬-1,365.56%-221.3萬25.32%-104.7萬
非持續融資活動現金淨額
融資活動現金淨額 -413.30%-8,722.5萬42.81%-2.99億42.70%-1.13億68.60%-5,494.6萬1.56%-1.14億51.22%-1,699.3萬-196.23%-5.23億-202.99%-1.97億-909.41%-1.75億-43.00%-1.16億
現金淨流量
期初現金流 13.89%1.87億-19.07%1.64億12.78%2.26億27.82%2.09億8.99%1.84億-19.07%1.64億9.51%2.03億16.17%2億-2.26%1.63億-2.17%1.69億
當期現金流變化 -250.75%-2,705.3萬151.75%1,488.3萬-47.44%-3,988萬-44.28%1,756.6萬722.00%1,925.1萬159.54%1,794.6萬-290.60%-2,876萬-208.29%-2,704.8萬259.66%3,152.4萬38.77%-309.5萬
利率變動影響 -95.23%10.2萬179.69%794.2萬110.02%91.3萬-99.86%8,000265.08%488.3萬157.71%213.8萬-491.44%-996.6萬-265.80%-911.4萬287.09%581.1萬-200.00%-295.8萬
期末現金流 -13.13%1.6億13.89%1.87億13.89%1.87億12.78%2.26億27.82%2.09億8.99%1.84億-19.07%1.64億-19.07%1.64億16.17%2億-2.26%1.63億
自由現金流 97.94%6,890.5萬-36.85%3.11億-58.02%7,043.6萬-65.51%7,058萬20.56%1.36億318.30%3,481.1萬134.87%4.93億85.68%1.68億268.80%2.05億72.23%1.12億
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