美股市场个股详情

Cerence (CRNC)

添加自选
  • 9.860
  • -0.500-4.83%
收盘价 05/05 16:00 (美东)
  • 10.000
  • +0.140+1.42%
盘后 20:01 (美东)
4.44亿总市值493.00市盈率TTM

Cerence (CRNC) 现金流量表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2025/12/31
(FY)2025/09/30
(Q4)2025/09/30
(Q3)2025/06/30
(Q2)2025/03/31
(Q1)2024/12/31
(FY)2024/09/30
(Q4)2024/09/30
(Q3)2024/06/30
(Q2)2024/03/31
经营活动现金流量(间接法)
持续经营活动现金净额
309.49%3,789.4万
255.74%6,117.3万
108.54%1,275.2万
84.41%2,370.1万
1,381.42%1,546.6万
428.74%925.4万
129.34%1,719.6万
-45.68%611.5万
256.79%1,285.2万
-84.07%104.4万
持续经营净收入
78.43%-523.9万
96.82%-1,871.4万
34.56%-1,336.1万
99.13%-272.1万
107.79%2,165.6万
-201.81%-2,428.8万
-945.40%-5.88亿
-76.73%-2,041.6万
-1,805.46%-3.14亿
-965.49%-2.78亿
持续经营损益
-155.33%-92.4万
-98.62%-288.8万
107.50%14.7万
-497.01%-305.3万
-194.40%-165.2万
183.00%167万
29.42%-145.4万
-195.75%-196.1万
-67.32%76.9万
564.19%175万
折旧和摊销
-10.67%218.4万
-0.76%1,054.9万
-21.08%203.7万
2.03%271.9万
24.09%334.8万
-8.97%244.5万
-33.72%1,063万
-10.60%258.1万
-14.53%266.5万
-46.31%269.8万
递延税费
342.64%2,180.9万
105.17%24.1万
411.29%554.4万
97.65%-103.2万
-186.36%-919.8万
-83.74%492.7万
-161.31%-465.8万
-129.38%-178.1万
-2,338.30%-4,382.6万
4,228.29%1,065.1万
其他非现金项目
-14.28%156.7万
31.51%788万
110.98%326.6万
25.99%129.9万
-4.86%148.7万
-1.19%182.8万
1,364.14%599.2万
-25.58%154.8万
136.10%103.1万
735.37%156.3万
营运资金变化
-10.49%1,315.2万
187.77%3,653.4万
-64.27%780.3万
306.54%2,014.4万
-1,014.42%-610.7万
121.65%1,469.4万
-2,290.92%-4,162.6万
2,740.18%2,184.1万
250.65%495.5万
-104.38%-54.8万
-应收款项(增)减
-31.98%598.6万
-111.89%-139.8万
-90.01%155.1万
237.78%508万
-236.04%-1,682.9万
78.39%880万
169.32%1,176万
358.14%1,552.2万
-194.90%-368.7万
-375.92%-500.8万
-预付费用(增)减
-77.63%608.6万
357.80%3,213.7万
117.10%500.5万
-82.81%188.2万
-141.65%-195.1万
2,224.87%2,720.1万
-144.22%-1,246.6万
-453.03%-2,926.6万
58.91%1,094.6万
-51.97%468.4万
-应付款项及应计费用(减)增
92.23%-227.4万
-239.61%-2,138.7万
-123.14%-573.7万
171.83%539万
202.16%823.3万
-580.36%-2,927.3万
185.48%1,531.9万
2,651.17%2,478.8万
-18.57%-750.4万
-349.58%-805.9万
-其他营运资本变化
-57.90%335.4万
148.33%2,718.2万
-35.32%698.4万
49.85%779.2万
-43.33%444万
109.95%796.6万
-206.73%-5,623.9万
548.19%1,079.7万
167.24%520万
443.94%783.5万
非持续经营活动现金净额
经营活动现金净额
309.49%3,789.4万
255.74%6,117.3万
108.54%1,275.2万
84.41%2,370.1万
1,381.42%1,546.6万
428.74%925.4万
129.34%1,719.6万
-45.68%611.5万
256.79%1,285.2万
-84.07%104.4万
投资活动现金流量
持续投资活动现金净额
-335.70%-178.9万
-341.01%-1,055.4万
-2,968.52%-154.9万
-298.01%-807.9万
-78.50%-168.5万
-36.16%75.9万
-24.76%437.9万
-99.35%5.4万
187.33%408万
-233.15%-94.4万
资本性支出
-65.37%-224.9万
-187.35%-1,435.6万
-107.68%-300.3万
-888.37%-765万
-26.99%-234.3万
-46.08%-136万
2.50%-499.6万
5.30%-144.6万
49.08%-77.4万
-32.35%-184.5万
投资产品交易的净现金流
-64.46%88.6万
-50.40%551.2万
5.98%201.9万
--0
-31.97%100万
2.09%249.3万
-9.65%1,111.2万
-81.18%190.5万
297.57%529.5万
-39.66%147万
其他投资活动的净现金流
-13.90%-42.6万
1.55%-171万
-39.51%-56.5万
2.72%-42.9万
39.89%-34.2万
-16.15%-37.4万
-28.19%-173.7万
-22.36%-40.5万
6.57%-44.1万
-70.87%-56.9万
非持续投资活动现金净额
投资活动现金净额
-335.70%-178.9万
-341.01%-1,055.4万
-2,968.52%-154.9万
-298.01%-807.9万
-78.50%-168.5万
-36.16%75.9万
-24.76%437.9万
-99.35%5.4万
187.33%408万
-233.15%-94.4万
融资活动现金流量
持续融资活动现金净额
-2.10%-2,765.4万
-38,767.11%-8,700.1万
148.50%41.5万
-13,078.77%-6,022.7万
-116.28%-10.5万
-20,733.85%-2,708.4万
104.22%22.5万
103.88%16.7万
-110.35%-45.7万
126.96%64.5万
债务发行/偿还的净现金流
-1.97%-2,761.2万
-22,221.43%-8,750万
10.11%-8万
-59,530.69%-6,022.7万
-42.50%-11.4万
-22,095.90%-2,707.9万
-103.53%-39.2万
98.14%-8.9万
-100.48%-10.1万
97.56%-8万
普通股发行/偿还的净现金流
449.78%749.9万
-73.59%287.9万
155.68%67.5万
-83.52%2.9万
-80.96%81.1万
-78.00%136.4万
93.80%1,090.1万
-71.86%26.4万
-39.93%17.6万
59.49%426万
职工行使股票期权收到的现金
-450.84%-754.1万
75.87%-238万
-2,150.00%-18万
74.34%-2.9万
77.31%-80.2万
77.95%-136.9万
-101.57%-986.5万
86.67%-8,000
72.03%-11.3万
-97.82%-353.5万
其他融资活动的净现金流额
----
----
----
----
----
----
97.56%-41.9万
--0
----
----
非持续融资活动现金净额
融资活动现金净额
-2.10%-2,765.4万
-38,767.11%-8,700.1万
148.50%41.5万
-13,078.77%-6,022.7万
-116.28%-10.5万
-20,733.85%-2,708.4万
104.22%22.5万
103.88%16.7万
-110.35%-45.7万
126.96%64.5万
现金净流量
期初现金流
-30.84%8,401.7万
20.10%1.21亿
-36.23%7,367.2万
18.34%1.17亿
5.44%1.04亿
20.10%1.21亿
6.65%1.01亿
34.17%1.16亿
3.98%9,917.6万
8.91%9,873.6万
当期现金流变化
149.51%845.1万
-266.89%-3,638.2万
83.36%1,161.8万
-370.74%-4,460.5万
1,735.70%1,367.6万
-872.15%-1,707.1万
173.05%2,180万
-58.36%633.6万
294.92%1,647.5万
-84.71%74.5万
利率变动影响
-8.68%-33.8万
26.07%-108.6万
-241.29%-127.3万
804.65%90.9万
-34.75%-41.1万
53.02%-31.1万
12.40%-146.9万
-130.25%-37.3万
84.36%-12.9万
-100.66%-30.5万
期末现金流
-11.50%9,213万
-30.84%8,401.7万
-30.84%8,401.7万
-36.23%7,367.2万
18.34%1.17亿
5.44%1.04亿
20.10%1.21亿
20.10%1.21亿
34.17%1.16亿
3.98%9,917.6万
自由现金流
351.55%3,564.5万
283.75%4,681.7万
108.80%974.9万
32.89%1,605.1万
1,738.33%1,312.3万
310.73%789.4万
413.90%1,220万
-52.02%466.9万
224.30%1,207.8万
-115.52%-80.1万
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)2025/12/31(FY)2025/09/30(Q4)2025/09/30(Q3)2025/06/30(Q2)2025/03/31(Q1)2024/12/31(FY)2024/09/30(Q4)2024/09/30(Q3)2024/06/30(Q2)2024/03/31
经营活动现金流量(间接法)
持续经营活动现金净额 309.49%3,789.4万255.74%6,117.3万108.54%1,275.2万84.41%2,370.1万1,381.42%1,546.6万428.74%925.4万129.34%1,719.6万-45.68%611.5万256.79%1,285.2万-84.07%104.4万
持续经营净收入 78.43%-523.9万96.82%-1,871.4万34.56%-1,336.1万99.13%-272.1万107.79%2,165.6万-201.81%-2,428.8万-945.40%-5.88亿-76.73%-2,041.6万-1,805.46%-3.14亿-965.49%-2.78亿
持续经营损益 -155.33%-92.4万-98.62%-288.8万107.50%14.7万-497.01%-305.3万-194.40%-165.2万183.00%167万29.42%-145.4万-195.75%-196.1万-67.32%76.9万564.19%175万
折旧和摊销 -10.67%218.4万-0.76%1,054.9万-21.08%203.7万2.03%271.9万24.09%334.8万-8.97%244.5万-33.72%1,063万-10.60%258.1万-14.53%266.5万-46.31%269.8万
递延税费 342.64%2,180.9万105.17%24.1万411.29%554.4万97.65%-103.2万-186.36%-919.8万-83.74%492.7万-161.31%-465.8万-129.38%-178.1万-2,338.30%-4,382.6万4,228.29%1,065.1万
其他非现金项目 -14.28%156.7万31.51%788万110.98%326.6万25.99%129.9万-4.86%148.7万-1.19%182.8万1,364.14%599.2万-25.58%154.8万136.10%103.1万735.37%156.3万
营运资金变化 -10.49%1,315.2万187.77%3,653.4万-64.27%780.3万306.54%2,014.4万-1,014.42%-610.7万121.65%1,469.4万-2,290.92%-4,162.6万2,740.18%2,184.1万250.65%495.5万-104.38%-54.8万
-应收款项(增)减 -31.98%598.6万-111.89%-139.8万-90.01%155.1万237.78%508万-236.04%-1,682.9万78.39%880万169.32%1,176万358.14%1,552.2万-194.90%-368.7万-375.92%-500.8万
-预付费用(增)减 -77.63%608.6万357.80%3,213.7万117.10%500.5万-82.81%188.2万-141.65%-195.1万2,224.87%2,720.1万-144.22%-1,246.6万-453.03%-2,926.6万58.91%1,094.6万-51.97%468.4万
-应付款项及应计费用(减)增 92.23%-227.4万-239.61%-2,138.7万-123.14%-573.7万171.83%539万202.16%823.3万-580.36%-2,927.3万185.48%1,531.9万2,651.17%2,478.8万-18.57%-750.4万-349.58%-805.9万
-其他营运资本变化 -57.90%335.4万148.33%2,718.2万-35.32%698.4万49.85%779.2万-43.33%444万109.95%796.6万-206.73%-5,623.9万548.19%1,079.7万167.24%520万443.94%783.5万
非持续经营活动现金净额
经营活动现金净额 309.49%3,789.4万255.74%6,117.3万108.54%1,275.2万84.41%2,370.1万1,381.42%1,546.6万428.74%925.4万129.34%1,719.6万-45.68%611.5万256.79%1,285.2万-84.07%104.4万
投资活动现金流量
持续投资活动现金净额 -335.70%-178.9万-341.01%-1,055.4万-2,968.52%-154.9万-298.01%-807.9万-78.50%-168.5万-36.16%75.9万-24.76%437.9万-99.35%5.4万187.33%408万-233.15%-94.4万
资本性支出 -65.37%-224.9万-187.35%-1,435.6万-107.68%-300.3万-888.37%-765万-26.99%-234.3万-46.08%-136万2.50%-499.6万5.30%-144.6万49.08%-77.4万-32.35%-184.5万
投资产品交易的净现金流 -64.46%88.6万-50.40%551.2万5.98%201.9万--0-31.97%100万2.09%249.3万-9.65%1,111.2万-81.18%190.5万297.57%529.5万-39.66%147万
其他投资活动的净现金流 -13.90%-42.6万1.55%-171万-39.51%-56.5万2.72%-42.9万39.89%-34.2万-16.15%-37.4万-28.19%-173.7万-22.36%-40.5万6.57%-44.1万-70.87%-56.9万
非持续投资活动现金净额
投资活动现金净额 -335.70%-178.9万-341.01%-1,055.4万-2,968.52%-154.9万-298.01%-807.9万-78.50%-168.5万-36.16%75.9万-24.76%437.9万-99.35%5.4万187.33%408万-233.15%-94.4万
融资活动现金流量
持续融资活动现金净额 -2.10%-2,765.4万-38,767.11%-8,700.1万148.50%41.5万-13,078.77%-6,022.7万-116.28%-10.5万-20,733.85%-2,708.4万104.22%22.5万103.88%16.7万-110.35%-45.7万126.96%64.5万
债务发行/偿还的净现金流 -1.97%-2,761.2万-22,221.43%-8,750万10.11%-8万-59,530.69%-6,022.7万-42.50%-11.4万-22,095.90%-2,707.9万-103.53%-39.2万98.14%-8.9万-100.48%-10.1万97.56%-8万
普通股发行/偿还的净现金流 449.78%749.9万-73.59%287.9万155.68%67.5万-83.52%2.9万-80.96%81.1万-78.00%136.4万93.80%1,090.1万-71.86%26.4万-39.93%17.6万59.49%426万
职工行使股票期权收到的现金 -450.84%-754.1万75.87%-238万-2,150.00%-18万74.34%-2.9万77.31%-80.2万77.95%-136.9万-101.57%-986.5万86.67%-8,00072.03%-11.3万-97.82%-353.5万
其他融资活动的净现金流额 ------------------------97.56%-41.9万--0--------
非持续融资活动现金净额
融资活动现金净额 -2.10%-2,765.4万-38,767.11%-8,700.1万148.50%41.5万-13,078.77%-6,022.7万-116.28%-10.5万-20,733.85%-2,708.4万104.22%22.5万103.88%16.7万-110.35%-45.7万126.96%64.5万
现金净流量
期初现金流 -30.84%8,401.7万20.10%1.21亿-36.23%7,367.2万18.34%1.17亿5.44%1.04亿20.10%1.21亿6.65%1.01亿34.17%1.16亿3.98%9,917.6万8.91%9,873.6万
当期现金流变化 149.51%845.1万-266.89%-3,638.2万83.36%1,161.8万-370.74%-4,460.5万1,735.70%1,367.6万-872.15%-1,707.1万173.05%2,180万-58.36%633.6万294.92%1,647.5万-84.71%74.5万
利率变动影响 -8.68%-33.8万26.07%-108.6万-241.29%-127.3万804.65%90.9万-34.75%-41.1万53.02%-31.1万12.40%-146.9万-130.25%-37.3万84.36%-12.9万-100.66%-30.5万
期末现金流 -11.50%9,213万-30.84%8,401.7万-30.84%8,401.7万-36.23%7,367.2万18.34%1.17亿5.44%1.04亿20.10%1.21亿20.10%1.21亿34.17%1.16亿3.98%9,917.6万
自由现金流 351.55%3,564.5万283.75%4,681.7万108.80%974.9万32.89%1,605.1万1,738.33%1,312.3万310.73%789.4万413.90%1,220万-52.02%466.9万224.30%1,207.8万-115.52%-80.1万
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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