美股市場個股詳情

Advanced Drainage (WMS)

添加自選
  • 151.970
  • -1.050-0.69%
收盤價 04/24 16:00 (美東)
  • 151.970
  • 0.0000.00%
盤後 17:17 (美東)
118.38億總市值25.29市盈率TTM

Advanced Drainage (WMS) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2025/12/31
(Q2)2025/09/30
(Q1)2025/06/30
(FY)2025/03/31
(Q4)2025/03/31
(Q3)2024/12/31
(Q2)2024/09/30
(Q1)2024/06/30
(FY)2024/03/31
(Q4)2024/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額
41.78%2.69億
40.72%2.35億
49.91%2.75億
-19.00%5.81億
133.37%4,122.7萬
-21.32%1.9億
-22.33%1.67億
-24.82%1.83億
1.43%7.18億
-62.71%1,766.6萬
持續經營淨收入
14.28%9,403.7萬
19.31%1.57億
-11.23%1.44億
-11.83%4.53億
-19.58%7,678.8萬
-23.01%8,228.9萬
-4.27%1.31億
-6.66%1.62億
0.38%5.13億
10.62%9,547.9萬
持續經營損益
51.29%-94.3萬
-2,601.92%-1,696.3萬
522.14%575.8萬
99.37%-9.3萬
1,661.11%252.9萬
-165.96%-193.6萬
125.77%67.8萬
90.92%-136.4萬
-565.65%-1,487.3萬
-103.42%-16.2萬
折舊和攤銷
7.86%5,152.2萬
22.06%5,469.3萬
22.22%5,022.8萬
18.32%1.83億
15.67%4,961萬
25.52%4,776.6萬
22.02%4,480.7萬
10.36%4,109.8萬
6.72%1.55億
13.45%4,288.9萬
遞延稅費
253.53%982.8萬
1,528.77%1,897.4萬
-297.88%-374.8萬
81.45%-42.3萬
64.32%-93.3萬
1,610.87%278萬
-2,359.26%-132.8萬
-264.40%-94.2萬
76.86%-228萬
54.04%-261.5萬
其他非現金項目
-73.78%125.5萬
125.82%48萬
140.70%132萬
-80.03%174.6萬
38.58%206.2萬
-12.58%478.6萬
-342.69%-185.9萬
-420.45%-324.3萬
198.12%874.1萬
309.87%148.8萬
營運資金變化
125.50%1.05億
192.99%1,260.5萬
421.74%6,892.4萬
-414.12%-8,217.4萬
26.70%-9,365.2萬
-42.53%4,645.5萬
-140.18%-1,355.5萬
-154.44%-2,142.2萬
-21.63%2,616萬
-66.30%-1.28億
-應收款項(增)減
37.27%1.63億
-279.62%-2,052.3萬
10.35%-4,212.6萬
109.69%141.4萬
0.21%-8,164.5萬
7.10%1.19億
212.86%1,142.6萬
-40.67%-4,699.1萬
-138.92%-1,459萬
-30.97%-8,182萬
-存貨(增)減
-128.09%-690.1萬
10,632.73%2,951.5萬
259.84%4,000.1萬
-2,751.35%-1,574.9萬
73.68%-1,557萬
226.24%2,457.1萬
-99.43%27.5萬
-181.09%-2,502.5萬
-98.03%59.4萬
-1,173.04%-5,915.8萬
-預付費用(增)減
97.05%441.4萬
325.51%243.1萬
-59.55%-594.5萬
-1,348.36%-398.3萬
-647.88%-141.9萬
32.23%224萬
-173.28%-107.8萬
-0.73%-372.6萬
94.81%-27.5萬
133.90%25.9萬
-應付款項及應計費用(減)增
43.84%-5,558.9萬
104.89%118.2萬
41.74%7,699.4萬
-257.94%-6,385.6萬
-61.55%498.2萬
-714.38%-9,898萬
-305.33%-2,417.8萬
19.14%5,432萬
239.24%4,043.1萬
244.82%1,295.6萬
非持續經營活動現金淨額
經營活動現金淨額
41.78%2.69億
40.72%2.35億
49.91%2.75億
-19.00%5.81億
133.37%4,122.7萬
-21.32%1.9億
-22.33%1.67億
-24.82%1.83億
1.43%7.18億
-62.71%1,766.6萬
投資活動現金流量
持續投資活動現金淨額
72.12%-8,122.9萬
34.82%-3,540.9萬
-22.23%-6,993.4萬
-187.71%-4.48億
-13.05%-4,497.7萬
-442.76%-2.91億
-34.95%-5,432.5萬
-160.74%-5,721.7萬
27.42%-1.56億
-0.33%-3,978.5萬
資本性支出
-58.07%-8,571.9萬
-7.26%-5,842萬
8.87%-5,259.8萬
-15.85%-2.13億
1.88%-4,653.4萬
-0.87%-5,422.8萬
-34.33%-5,446.7萬
-37.16%-5,771.5萬
-10.12%-1.84億
-18.40%-4,742.7萬
業務交易的淨現金流
--0
--101.8萬
---1,957.6萬
---2.37億
--0
---2.37億
--0
--0
--0
--0
其他投資活動的淨現金流
2,250.79%449萬
15,388.03%2,199.3萬
349.80%224萬
-91.52%238.8萬
-79.63%155.7萬
135.80%19.1萬
-51.20%14.2萬
-97.53%49.8萬
6,211.21%2,814.8萬
1,810.50%764.2萬
非持續投資活動現金淨額
投資活動現金淨額
72.12%-8,122.9萬
34.82%-3,540.9萬
-22.23%-6,993.4萬
-187.71%-4.48億
-13.05%-4,497.7萬
-442.76%-2.91億
-34.95%-5,432.5萬
-160.74%-5,721.7萬
27.42%-1.56億
-0.33%-3,978.5萬
融資活動現金流量
持續融資活動現金淨額
115.03%320.3萬
39.33%-2,472.1萬
57.87%-3,113.2萬
44.53%-1.58億
54.53%-2,178.3萬
77.10%-2,130.4萬
41.69%-4,074.5萬
-0.52%-7,389.5萬
4.03%-2.84億
77.99%-4,790.7萬
債務發行/償還的淨現金流
217.53%1,064.6萬
-23.85%-1,153.8萬
-28.04%-1,101.8萬
-39.06%-3,738.4萬
-56.51%-1,040.5萬
-32.72%-905.8萬
-40.41%-931.6萬
-27.01%-860.5萬
-107.50%-2,688.3萬
2.25%-664.8萬
普通股發行/償還的淨現金流
--0
--0
--0
66.27%-6,992.2萬
--0
--0
61.56%-2,067.7萬
-3.07%-4,924.5萬
63.95%-2.07億
85.44%-2,912.1萬
現金股利支付
-12.95%-1,401.4萬
-12.94%-1,410.5萬
-12.49%-1,398萬
-13.05%-4,973.7萬
-14.05%-1,241.3萬
-13.96%-1,240.7萬
-12.11%-1,248.9萬
-12.13%-1,242.8萬
-11.06%-4,399.5萬
-14.56%-1,088.4萬
職工行使股票期權收到的現金
1,434.76%357.6萬
-45.63%93.3萬
-92.13%54.9萬
54.49%997.1萬
-58.21%104.4萬
-82.52%23.3萬
-2.28%171.6萬
704.84%697.8萬
13.23%645.4萬
350.09%249.8萬
其他融資活動的淨現金流額
4,259.72%299.5萬
-152.38%-1.1萬
36.92%-668.3萬
15.51%-1,065.5萬
99.76%-9,000
-50.00%-7.2萬
130.43%2.1萬
-21.20%-1,059.5萬
72.48%-1,261.1萬
-93.30%-375.2萬
非持續融資活動現金淨額
融資活動現金淨額
115.03%320.3萬
39.33%-2,472.1萬
57.87%-3,113.2萬
44.53%-1.58億
54.53%-2,178.3萬
77.10%-2,130.4萬
41.69%-4,074.5萬
-0.52%-7,389.5萬
4.03%-2.84億
77.99%-4,790.7萬
現金淨流量
期初現金流
32.33%8.19億
17.70%6.44億
-5.36%4.69億
128.37%4.96億
-12.64%4.95億
31.56%6.19億
49.51%5.47億
128.37%4.96億
978.90%2.17億
32.73%5.66億
當期現金流變化
255.86%1.91億
143.26%1.75億
232.44%1.74億
-108.67%-2,410.2萬
63.54%-2,553.3萬
-229.62%-1.23億
-31.44%7,183萬
-64.77%5,231.4萬
41.04%2.78億
66.65%-7,002.6萬
利率變動影響
150.87%70.4萬
76.86%-8.1萬
238.64%109.8萬
-409.76%-247.5萬
110.81%5.1萬
-209.15%-138.4萬
24.24%-35萬
-270.32%-79.2萬
1,636.54%79.9萬
-215.40%-47.2萬
期末現金流
104.32%10.11億
32.33%8.19億
17.70%6.44億
-5.36%4.69億
-5.36%4.69億
-12.64%4.95億
31.56%6.19億
49.51%5.47億
128.37%4.96億
128.37%4.96億
自由現金流
35.27%1.84億
56.93%1.76億
76.90%2.22億
-31.00%3.69億
82.17%-530.7萬
-27.67%1.36億
-35.51%1.12億
-37.73%1.26億
-1.25%5.34億
-506.74%-2,976.1萬
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
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會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
審計意見
--
--
--
無保留意見
--
--
--
--
無保留意見
--
(Q3)2025/12/31(Q2)2025/09/30(Q1)2025/06/30(FY)2025/03/31(Q4)2025/03/31(Q3)2024/12/31(Q2)2024/09/30(Q1)2024/06/30(FY)2024/03/31(Q4)2024/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額 41.78%2.69億40.72%2.35億49.91%2.75億-19.00%5.81億133.37%4,122.7萬-21.32%1.9億-22.33%1.67億-24.82%1.83億1.43%7.18億-62.71%1,766.6萬
持續經營淨收入 14.28%9,403.7萬19.31%1.57億-11.23%1.44億-11.83%4.53億-19.58%7,678.8萬-23.01%8,228.9萬-4.27%1.31億-6.66%1.62億0.38%5.13億10.62%9,547.9萬
持續經營損益 51.29%-94.3萬-2,601.92%-1,696.3萬522.14%575.8萬99.37%-9.3萬1,661.11%252.9萬-165.96%-193.6萬125.77%67.8萬90.92%-136.4萬-565.65%-1,487.3萬-103.42%-16.2萬
折舊和攤銷 7.86%5,152.2萬22.06%5,469.3萬22.22%5,022.8萬18.32%1.83億15.67%4,961萬25.52%4,776.6萬22.02%4,480.7萬10.36%4,109.8萬6.72%1.55億13.45%4,288.9萬
遞延稅費 253.53%982.8萬1,528.77%1,897.4萬-297.88%-374.8萬81.45%-42.3萬64.32%-93.3萬1,610.87%278萬-2,359.26%-132.8萬-264.40%-94.2萬76.86%-228萬54.04%-261.5萬
其他非現金項目 -73.78%125.5萬125.82%48萬140.70%132萬-80.03%174.6萬38.58%206.2萬-12.58%478.6萬-342.69%-185.9萬-420.45%-324.3萬198.12%874.1萬309.87%148.8萬
營運資金變化 125.50%1.05億192.99%1,260.5萬421.74%6,892.4萬-414.12%-8,217.4萬26.70%-9,365.2萬-42.53%4,645.5萬-140.18%-1,355.5萬-154.44%-2,142.2萬-21.63%2,616萬-66.30%-1.28億
-應收款項(增)減 37.27%1.63億-279.62%-2,052.3萬10.35%-4,212.6萬109.69%141.4萬0.21%-8,164.5萬7.10%1.19億212.86%1,142.6萬-40.67%-4,699.1萬-138.92%-1,459萬-30.97%-8,182萬
-存貨(增)減 -128.09%-690.1萬10,632.73%2,951.5萬259.84%4,000.1萬-2,751.35%-1,574.9萬73.68%-1,557萬226.24%2,457.1萬-99.43%27.5萬-181.09%-2,502.5萬-98.03%59.4萬-1,173.04%-5,915.8萬
-預付費用(增)減 97.05%441.4萬325.51%243.1萬-59.55%-594.5萬-1,348.36%-398.3萬-647.88%-141.9萬32.23%224萬-173.28%-107.8萬-0.73%-372.6萬94.81%-27.5萬133.90%25.9萬
-應付款項及應計費用(減)增 43.84%-5,558.9萬104.89%118.2萬41.74%7,699.4萬-257.94%-6,385.6萬-61.55%498.2萬-714.38%-9,898萬-305.33%-2,417.8萬19.14%5,432萬239.24%4,043.1萬244.82%1,295.6萬
非持續經營活動現金淨額
經營活動現金淨額 41.78%2.69億40.72%2.35億49.91%2.75億-19.00%5.81億133.37%4,122.7萬-21.32%1.9億-22.33%1.67億-24.82%1.83億1.43%7.18億-62.71%1,766.6萬
投資活動現金流量
持續投資活動現金淨額 72.12%-8,122.9萬34.82%-3,540.9萬-22.23%-6,993.4萬-187.71%-4.48億-13.05%-4,497.7萬-442.76%-2.91億-34.95%-5,432.5萬-160.74%-5,721.7萬27.42%-1.56億-0.33%-3,978.5萬
資本性支出 -58.07%-8,571.9萬-7.26%-5,842萬8.87%-5,259.8萬-15.85%-2.13億1.88%-4,653.4萬-0.87%-5,422.8萬-34.33%-5,446.7萬-37.16%-5,771.5萬-10.12%-1.84億-18.40%-4,742.7萬
業務交易的淨現金流 --0--101.8萬---1,957.6萬---2.37億--0---2.37億--0--0--0--0
其他投資活動的淨現金流 2,250.79%449萬15,388.03%2,199.3萬349.80%224萬-91.52%238.8萬-79.63%155.7萬135.80%19.1萬-51.20%14.2萬-97.53%49.8萬6,211.21%2,814.8萬1,810.50%764.2萬
非持續投資活動現金淨額
投資活動現金淨額 72.12%-8,122.9萬34.82%-3,540.9萬-22.23%-6,993.4萬-187.71%-4.48億-13.05%-4,497.7萬-442.76%-2.91億-34.95%-5,432.5萬-160.74%-5,721.7萬27.42%-1.56億-0.33%-3,978.5萬
融資活動現金流量
持續融資活動現金淨額 115.03%320.3萬39.33%-2,472.1萬57.87%-3,113.2萬44.53%-1.58億54.53%-2,178.3萬77.10%-2,130.4萬41.69%-4,074.5萬-0.52%-7,389.5萬4.03%-2.84億77.99%-4,790.7萬
債務發行/償還的淨現金流 217.53%1,064.6萬-23.85%-1,153.8萬-28.04%-1,101.8萬-39.06%-3,738.4萬-56.51%-1,040.5萬-32.72%-905.8萬-40.41%-931.6萬-27.01%-860.5萬-107.50%-2,688.3萬2.25%-664.8萬
普通股發行/償還的淨現金流 --0--0--066.27%-6,992.2萬--0--061.56%-2,067.7萬-3.07%-4,924.5萬63.95%-2.07億85.44%-2,912.1萬
現金股利支付 -12.95%-1,401.4萬-12.94%-1,410.5萬-12.49%-1,398萬-13.05%-4,973.7萬-14.05%-1,241.3萬-13.96%-1,240.7萬-12.11%-1,248.9萬-12.13%-1,242.8萬-11.06%-4,399.5萬-14.56%-1,088.4萬
職工行使股票期權收到的現金 1,434.76%357.6萬-45.63%93.3萬-92.13%54.9萬54.49%997.1萬-58.21%104.4萬-82.52%23.3萬-2.28%171.6萬704.84%697.8萬13.23%645.4萬350.09%249.8萬
其他融資活動的淨現金流額 4,259.72%299.5萬-152.38%-1.1萬36.92%-668.3萬15.51%-1,065.5萬99.76%-9,000-50.00%-7.2萬130.43%2.1萬-21.20%-1,059.5萬72.48%-1,261.1萬-93.30%-375.2萬
非持續融資活動現金淨額
融資活動現金淨額 115.03%320.3萬39.33%-2,472.1萬57.87%-3,113.2萬44.53%-1.58億54.53%-2,178.3萬77.10%-2,130.4萬41.69%-4,074.5萬-0.52%-7,389.5萬4.03%-2.84億77.99%-4,790.7萬
現金淨流量
期初現金流 32.33%8.19億17.70%6.44億-5.36%4.69億128.37%4.96億-12.64%4.95億31.56%6.19億49.51%5.47億128.37%4.96億978.90%2.17億32.73%5.66億
當期現金流變化 255.86%1.91億143.26%1.75億232.44%1.74億-108.67%-2,410.2萬63.54%-2,553.3萬-229.62%-1.23億-31.44%7,183萬-64.77%5,231.4萬41.04%2.78億66.65%-7,002.6萬
利率變動影響 150.87%70.4萬76.86%-8.1萬238.64%109.8萬-409.76%-247.5萬110.81%5.1萬-209.15%-138.4萬24.24%-35萬-270.32%-79.2萬1,636.54%79.9萬-215.40%-47.2萬
期末現金流 104.32%10.11億32.33%8.19億17.70%6.44億-5.36%4.69億-5.36%4.69億-12.64%4.95億31.56%6.19億49.51%5.47億128.37%4.96億128.37%4.96億
自由現金流 35.27%1.84億56.93%1.76億76.90%2.22億-31.00%3.69億82.17%-530.7萬-27.67%1.36億-35.51%1.12億-37.73%1.26億-1.25%5.34億-506.74%-2,976.1萬
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