美股市场个股详情

Chemed (CHE)

添加自选
  • 421.110
  • +38.140+9.96%
收盘价 04/24 16:00 (美东)
  • 424.000
  • +2.890+0.69%
盘后 20:01 (美东)
61.54亿总市值22.99市盈率TTM

Chemed (CHE) 现金流量表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2026/03/31
(FY)2025/12/31
(Q4)2025/12/31
(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
经营活动现金流量(间接法)
持续经营活动现金净额
169.42%8,821.9万
-7.00%3.88亿
-19.03%1.34亿
-7.88%8,338.9万
78.81%1.39亿
-61.27%3,274.4万
26.40%4.17亿
51.91%1.65亿
212.92%9,051.8万
-41.42%7,751.7万
持续经营净收入
-7.60%6,630.2万
-12.17%2.65亿
-15.02%7,675.1万
-15.23%6,423.7万
-25.95%5,249.3万
10.37%7,175.7万
10.82%3.02亿
0.30%9,031.9万
1.09%7,577.6万
32.80%7,088.7万
持续经营损益
-42.73%138.6万
-70.07%600.9万
-39.26%182.9万
-107.00%-21.6万
-59.47%197.6万
-73.42%242万
87.43%2,007.6万
14.49%301.1万
-1.91%308.4万
67.35%487.5万
折旧和摊销
5.34%1,687.3万
2.84%6,484.1万
3.15%1,633万
3.42%1,623.4万
3.48%1,626万
1.32%1,601.7万
3.59%6,304.9万
1.88%1,583.1万
2.07%1,569.7万
3.73%1,571.3万
递延税费
66.58%-473.7万
-43.64%-594.4万
644.90%1,031.5万
-1,823.43%-301.6万
-68.99%93.1万
-161.42%-1,417.4万
48.45%-413.8万
-1,023.41%-189.3万
102.78%17.5万
137.69%300.2万
其他非现金项目
-52.97%11.1万
160.33%220.5万
-176.20%-52.5万
300.00%237.6万
102.18%11.8万
-51.44%23.6万
-205.45%-365.5万
-18.65%68.9万
28.29%59.4万
-379.73%-542.4万
营运资金变化
98.17%-96.5万
185.90%2,325.2万
-57.97%2,053.6万
78.86%-229.3万
382.33%5,761.2万
-455.41%-5,260.3万
120.69%813.3万
680.44%4,885.6万
83.11%-1,084.6万
-141.41%-2,040.6万
-应收款项(增)减
51.21%-3,289.9万
-208.60%-1,159.6万
31.15%3,280.7万
-159.67%-3,093.7万
794.71%5,395.8万
-1,361.44%-6,742.4万
125.74%1,067.8万
283.32%2,501.4万
75.15%-1,191.4万
-122.57%-776.7万
-存货(增)减
-16.87%33.5万
-83.03%65万
-59.26%69.5万
8.85%91万
-10,346.15%-135.8万
-69.05%40.3万
321.19%383.1万
236.49%170.6万
201.09%83.6万
98.73%-1.3万
-预付费用(增)减
98.01%-8.8万
-119.92%-84.4万
43.42%775.9万
44.00%-137.1万
-341.96%-280.2万
-332.06%-443万
4,770.11%423.7万
879.54%541万
-160.98%-244.8万
-231.26%-63.4万
-应付款项及应计费用(减)增
109.89%223.5万
44.02%-519.4万
-247.62%-1,529.6万
15,980.99%2,255.1万
-56.86%1,014.3万
47.48%-2,259.2万
0.74%-927.9万
60.23%1,036.2万
99.42%-14.2万
-28.03%2,351.3万
-其他流动资产变化
-218.75%-360.3万
243.94%3,683.5万
-16.10%-521.3万
-11.19%-637.8万
1,553.94%4,539.2万
124.78%303.4万
-157.14%-2,559.1万
-237.59%-449万
-19.20%-573.6万
-90.71%-312.2万
-其他流动负债变化
605.47%670.9万
-54.18%1,042.4万
-7.54%406.9万
84.64%483.4万
-76.23%57万
-92.87%95.1万
77.70%2,274.9万
219.84%440.1万
-35.86%261.8万
18.07%239.8万
-其他营运资本变化
-29.66%2,634.6万
-565.72%-702.3万
-166.40%-428.5万
36.33%809.8万
-38.84%-4,829.1万
56.74%3,745.5万
-85.39%150.8万
687.70%645.3万
-43.98%594万
-96.87%-3,478.1万
非持续经营活动现金净额
经营活动现金净额
169.42%8,821.9万
-7.00%3.88亿
-19.03%1.34亿
-7.88%8,338.9万
78.81%1.39亿
-61.27%3,274.4万
26.40%4.17亿
51.91%1.65亿
212.92%9,051.8万
-41.42%7,751.7万
投资活动现金流量
持续投资活动现金净额
-176.36%-3,778.9万
58.77%-5,934万
-27.40%-1,595.1万
23.13%-1,423.4万
83.44%-1,548.1万
29.46%-1,367.4万
-137.31%-1.44亿
-7.28%-1,252万
-19.94%-1,851.7万
-465.88%-9,348.9万
资本性支出
-28.89%-1,711.6万
-26.78%-6,279.5万
-28.11%-1,634.8万
-28.16%-1,735.9万
-42.90%-1,580.8万
-9.18%-1,328万
12.88%-4,953.1万
-8.34%-1,276.1万
-16.22%-1,354.5万
32.55%-1,106.2万
固定资产交易的净现金流
19.64%13.4万
37.80%456.8万
220.39%81.7万
2,171.53%327.1万
-87.00%36.8万
30.23%11.2万
417.97%331.5万
90.30%25.5万
-1.37%14.4万
1,222.43%283万
业务交易的净现金流
-9,060.00%-2,061万
99.77%-22.5万
--0
--0
--0
96.92%-22.5万
-2,338.66%-9,740万
--0
-38.25%-510万
-27,768.85%-8,500万
其他投资活动的净现金流
29.89%-19.7万
-201.02%-88.8万
-2,900.00%-42万
-812.50%-14.6万
84.05%-4.1万
-3,412.50%-28.1万
32.03%-29.5万
44.00%-1.4万
93.33%-1.6万
-756.67%-25.7万
非持续投资活动现金净额
投资活动现金净额
-176.36%-3,778.9万
58.77%-5,934万
-27.40%-1,595.1万
23.13%-1,423.4万
83.44%-1,548.1万
29.46%-1,367.4万
-137.31%-1.44亿
-7.28%-1,252万
-19.94%-1,851.7万
-465.88%-9,348.9万
融资活动现金流量
持续融资活动现金净额
-359.21%-1.08亿
-20.48%-4.33亿
18.67%-1.73亿
-235.34%-1.89亿
36.75%-4,710.3万
-49.24%-2,353.8万
-349.98%-3.59亿
-3,392.10%-2.12亿
-21,365.02%-5,645.3万
-434.79%-7,447.5万
债务发行/偿还的净现金流
20,721.92%9,120万
169.66%1,097万
--1,036万
----
----
120.71%43.8万
80.74%-1,574.9万
--0
-197.32%-1,574.9万
109.95%211.5万
普通股发行/偿还的净现金流
-472.03%-1.9亿
-19.40%-4.32亿
16.62%-1.75亿
-212.65%-1.81亿
22.99%-4,294.6万
13.62%-3,322.2万
-433.83%-3.61亿
-424.29%-2.09亿
-303.10%-5,782.1万
-315.40%-5,576.8万
现金股利支付
-11.58%-817.3万
-16.99%-3,169.5万
-13.35%-849.9万
-15.59%-865.4万
-19.15%-721.7万
-21.07%-732.5万
-15.28%-2,709.2万
-23.81%-749.8万
-24.08%-748.7万
-5.76%-605.7万
职工行使股票期权收到的现金
-94.21%131.2万
-51.96%2,715.2万
--0
--0
231.80%448.6万
-39.14%2,266.6万
-44.70%5,651.7万
-84.95%661.1万
145.81%1,131.2万
-95.17%135.2万
其他融资活动的净现金流额
60.80%-238.9万
32.98%-769.4万
94.53%-12.4万
-103.66%-48.7万
93.87%-98.8万
4.60%-609.5万
-26.62%-1,148.1万
36.73%-226.7万
2,086.85%1,329.2万
-961.03%-1,611.7万
非持续融资活动现金净额
融资活动现金净额
-359.21%-1.08亿
-20.48%-4.33亿
18.67%-1.73亿
-235.34%-1.89亿
36.75%-4,710.3万
-49.24%-2,353.8万
-349.98%-3.59亿
-3,392.10%-2.12亿
-21,365.02%-5,645.3万
-434.79%-7,447.5万
现金净流量
期初现金流
-58.22%7,451.5万
-32.43%1.78亿
-45.59%1.3亿
12.11%2.5亿
-44.51%1.74亿
-32.43%1.78亿
256.09%2.64亿
37.71%2.38亿
39.38%2.23亿
439.76%3.13亿
当期现金流变化
-1,190.49%-5,765.9万
-21.29%-1.04亿
8.09%-5,523.7万
-872.78%-1.2亿
184.05%7,602.2万
-109.05%-446.8万
-145.10%-8,560.8万
-166.18%-6,010.1万
17.56%1,554.8万
-188.79%-9,044.7万
期末现金流
-90.31%1,685.6万
-58.22%7,451.5万
-58.22%7,451.5万
-45.59%1.3亿
12.11%2.5亿
-44.51%1.74亿
-32.43%1.78亿
-32.43%1.78亿
37.71%2.38亿
39.38%2.23亿
自由现金流
265.31%7,110.3万
-11.55%3.25亿
-22.98%1.17亿
-14.22%6,603万
84.78%1.23亿
-73.11%1,946.4万
34.57%3.68亿
57.21%1.52亿
345.65%7,697.3万
-42.67%6,645.5万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
审计意见
--
无保留意见
--
--
--
--
无保留意见
--
--
--
(Q1)2026/03/31(FY)2025/12/31(Q4)2025/12/31(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
经营活动现金流量(间接法)
持续经营活动现金净额 169.42%8,821.9万-7.00%3.88亿-19.03%1.34亿-7.88%8,338.9万78.81%1.39亿-61.27%3,274.4万26.40%4.17亿51.91%1.65亿212.92%9,051.8万-41.42%7,751.7万
持续经营净收入 -7.60%6,630.2万-12.17%2.65亿-15.02%7,675.1万-15.23%6,423.7万-25.95%5,249.3万10.37%7,175.7万10.82%3.02亿0.30%9,031.9万1.09%7,577.6万32.80%7,088.7万
持续经营损益 -42.73%138.6万-70.07%600.9万-39.26%182.9万-107.00%-21.6万-59.47%197.6万-73.42%242万87.43%2,007.6万14.49%301.1万-1.91%308.4万67.35%487.5万
折旧和摊销 5.34%1,687.3万2.84%6,484.1万3.15%1,633万3.42%1,623.4万3.48%1,626万1.32%1,601.7万3.59%6,304.9万1.88%1,583.1万2.07%1,569.7万3.73%1,571.3万
递延税费 66.58%-473.7万-43.64%-594.4万644.90%1,031.5万-1,823.43%-301.6万-68.99%93.1万-161.42%-1,417.4万48.45%-413.8万-1,023.41%-189.3万102.78%17.5万137.69%300.2万
其他非现金项目 -52.97%11.1万160.33%220.5万-176.20%-52.5万300.00%237.6万102.18%11.8万-51.44%23.6万-205.45%-365.5万-18.65%68.9万28.29%59.4万-379.73%-542.4万
营运资金变化 98.17%-96.5万185.90%2,325.2万-57.97%2,053.6万78.86%-229.3万382.33%5,761.2万-455.41%-5,260.3万120.69%813.3万680.44%4,885.6万83.11%-1,084.6万-141.41%-2,040.6万
-应收款项(增)减 51.21%-3,289.9万-208.60%-1,159.6万31.15%3,280.7万-159.67%-3,093.7万794.71%5,395.8万-1,361.44%-6,742.4万125.74%1,067.8万283.32%2,501.4万75.15%-1,191.4万-122.57%-776.7万
-存货(增)减 -16.87%33.5万-83.03%65万-59.26%69.5万8.85%91万-10,346.15%-135.8万-69.05%40.3万321.19%383.1万236.49%170.6万201.09%83.6万98.73%-1.3万
-预付费用(增)减 98.01%-8.8万-119.92%-84.4万43.42%775.9万44.00%-137.1万-341.96%-280.2万-332.06%-443万4,770.11%423.7万879.54%541万-160.98%-244.8万-231.26%-63.4万
-应付款项及应计费用(减)增 109.89%223.5万44.02%-519.4万-247.62%-1,529.6万15,980.99%2,255.1万-56.86%1,014.3万47.48%-2,259.2万0.74%-927.9万60.23%1,036.2万99.42%-14.2万-28.03%2,351.3万
-其他流动资产变化 -218.75%-360.3万243.94%3,683.5万-16.10%-521.3万-11.19%-637.8万1,553.94%4,539.2万124.78%303.4万-157.14%-2,559.1万-237.59%-449万-19.20%-573.6万-90.71%-312.2万
-其他流动负债变化 605.47%670.9万-54.18%1,042.4万-7.54%406.9万84.64%483.4万-76.23%57万-92.87%95.1万77.70%2,274.9万219.84%440.1万-35.86%261.8万18.07%239.8万
-其他营运资本变化 -29.66%2,634.6万-565.72%-702.3万-166.40%-428.5万36.33%809.8万-38.84%-4,829.1万56.74%3,745.5万-85.39%150.8万687.70%645.3万-43.98%594万-96.87%-3,478.1万
非持续经营活动现金净额
经营活动现金净额 169.42%8,821.9万-7.00%3.88亿-19.03%1.34亿-7.88%8,338.9万78.81%1.39亿-61.27%3,274.4万26.40%4.17亿51.91%1.65亿212.92%9,051.8万-41.42%7,751.7万
投资活动现金流量
持续投资活动现金净额 -176.36%-3,778.9万58.77%-5,934万-27.40%-1,595.1万23.13%-1,423.4万83.44%-1,548.1万29.46%-1,367.4万-137.31%-1.44亿-7.28%-1,252万-19.94%-1,851.7万-465.88%-9,348.9万
资本性支出 -28.89%-1,711.6万-26.78%-6,279.5万-28.11%-1,634.8万-28.16%-1,735.9万-42.90%-1,580.8万-9.18%-1,328万12.88%-4,953.1万-8.34%-1,276.1万-16.22%-1,354.5万32.55%-1,106.2万
固定资产交易的净现金流 19.64%13.4万37.80%456.8万220.39%81.7万2,171.53%327.1万-87.00%36.8万30.23%11.2万417.97%331.5万90.30%25.5万-1.37%14.4万1,222.43%283万
业务交易的净现金流 -9,060.00%-2,061万99.77%-22.5万--0--0--096.92%-22.5万-2,338.66%-9,740万--0-38.25%-510万-27,768.85%-8,500万
其他投资活动的净现金流 29.89%-19.7万-201.02%-88.8万-2,900.00%-42万-812.50%-14.6万84.05%-4.1万-3,412.50%-28.1万32.03%-29.5万44.00%-1.4万93.33%-1.6万-756.67%-25.7万
非持续投资活动现金净额
投资活动现金净额 -176.36%-3,778.9万58.77%-5,934万-27.40%-1,595.1万23.13%-1,423.4万83.44%-1,548.1万29.46%-1,367.4万-137.31%-1.44亿-7.28%-1,252万-19.94%-1,851.7万-465.88%-9,348.9万
融资活动现金流量
持续融资活动现金净额 -359.21%-1.08亿-20.48%-4.33亿18.67%-1.73亿-235.34%-1.89亿36.75%-4,710.3万-49.24%-2,353.8万-349.98%-3.59亿-3,392.10%-2.12亿-21,365.02%-5,645.3万-434.79%-7,447.5万
债务发行/偿还的净现金流 20,721.92%9,120万169.66%1,097万--1,036万--------120.71%43.8万80.74%-1,574.9万--0-197.32%-1,574.9万109.95%211.5万
普通股发行/偿还的净现金流 -472.03%-1.9亿-19.40%-4.32亿16.62%-1.75亿-212.65%-1.81亿22.99%-4,294.6万13.62%-3,322.2万-433.83%-3.61亿-424.29%-2.09亿-303.10%-5,782.1万-315.40%-5,576.8万
现金股利支付 -11.58%-817.3万-16.99%-3,169.5万-13.35%-849.9万-15.59%-865.4万-19.15%-721.7万-21.07%-732.5万-15.28%-2,709.2万-23.81%-749.8万-24.08%-748.7万-5.76%-605.7万
职工行使股票期权收到的现金 -94.21%131.2万-51.96%2,715.2万--0--0231.80%448.6万-39.14%2,266.6万-44.70%5,651.7万-84.95%661.1万145.81%1,131.2万-95.17%135.2万
其他融资活动的净现金流额 60.80%-238.9万32.98%-769.4万94.53%-12.4万-103.66%-48.7万93.87%-98.8万4.60%-609.5万-26.62%-1,148.1万36.73%-226.7万2,086.85%1,329.2万-961.03%-1,611.7万
非持续融资活动现金净额
融资活动现金净额 -359.21%-1.08亿-20.48%-4.33亿18.67%-1.73亿-235.34%-1.89亿36.75%-4,710.3万-49.24%-2,353.8万-349.98%-3.59亿-3,392.10%-2.12亿-21,365.02%-5,645.3万-434.79%-7,447.5万
现金净流量
期初现金流 -58.22%7,451.5万-32.43%1.78亿-45.59%1.3亿12.11%2.5亿-44.51%1.74亿-32.43%1.78亿256.09%2.64亿37.71%2.38亿39.38%2.23亿439.76%3.13亿
当期现金流变化 -1,190.49%-5,765.9万-21.29%-1.04亿8.09%-5,523.7万-872.78%-1.2亿184.05%7,602.2万-109.05%-446.8万-145.10%-8,560.8万-166.18%-6,010.1万17.56%1,554.8万-188.79%-9,044.7万
期末现金流 -90.31%1,685.6万-58.22%7,451.5万-58.22%7,451.5万-45.59%1.3亿12.11%2.5亿-44.51%1.74亿-32.43%1.78亿-32.43%1.78亿37.71%2.38亿39.38%2.23亿
自由现金流 265.31%7,110.3万-11.55%3.25亿-22.98%1.17亿-14.22%6,603万84.78%1.23亿-73.11%1,946.4万34.57%3.68亿57.21%1.52亿345.65%7,697.3万-42.67%6,645.5万
货币单位 美元美元美元美元美元美元美元美元美元美元
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 --无保留意见--------无保留意见------
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