Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
United States Gasoline Fund LP
UGA
5
美国12月期石油基金有限合伙
USL
| (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 | (Q1)2024/03/31 | |
|---|---|---|---|---|---|---|---|---|---|---|
| 经营活动现金流量(间接法) | ||||||||||
| 持续经营活动现金净额 | -101.75%-2,387.57万 | -336.53%-973.97万 | -46.93%-470.45万 | -42.86%-536.49万 | -53.69%-406.66万 | 36.96%-1,183.43万 | 34.11%-223.12万 | 13.83%-320.18万 | 37.91%-375.53万 | 52.95%-264.61万 |
| 持续经营净收入 | -65.60%-2,298.11万 | -103.82%-962.43万 | -2,482.39%-516.98万 | 32.85%-476.22万 | -83.75%-342.48万 | 41.23%-1,387.75万 | -12.74%-472.19万 | 96.32%-20.02万 | -2.64%-709.15万 | 73.63%-186.38万 |
| 持续经营损益 | 245.53%266.49万 | -19.06%79.33万 | 151.72%184.82万 | -93.09%18.12万 | 91.52%-15.78万 | -850.36%-183.12万 | 923.10%98.01万 | -595,535.00%-357.38万 | 47,532.90%262.36万 | -2,270.31%-186.11万 |
| 折旧和摊销 | -39.95%34.65万 | -27.14%10.53万 | -37.97%8.82万 | -47.84%7.53万 | -46.78%7.77万 | 5.57%57.71万 | -8.22%14.46万 | -3.19%14.22万 | -17.84%14.44万 | 119.48%14.59万 |
| 其他非现金项目 | -100.06%-869 | -119.51%-4.67万 | -95.02%1.82万 | -92.10%2.79万 | -100.06%-306 | 56.93%144.37万 | -73.88%23.93万 | 27,556.06%36.51万 | 27,136.13%35.35万 | 38,005.80%48.58万 |
| 营运资金变化 | -5,323.35%-557.38万 | -861.16%-156.34万 | -475.73%-188.84万 | -1,232.61%-114.99万 | -1,015.94%-97.21万 | -112.75%-10.28万 | 134.75%20.54万 | -148.15%-32.8万 | -212.33%-8.63万 | -83.39%10.61万 |
| -应收款项(增)减 | -50.98%-40.22万 | 12.19%10.58万 | -248.99%-3.61万 | 27.47%-28.13万 | -6,834.43%-19.07万 | -121.78%-26.64万 | -80.34%9.43万 | 117.42%2.42万 | -181.18%-38.78万 | -99.30%2,832 |
| -存货(增)减 | -358.54%-258.08万 | -140.69%-120.4万 | -685.79%-38.52万 | -420.07%-60.59万 | -3,155.80%-38.57万 | 35.47%-56.28万 | -511.70%-50.02万 | 131.91%6.58万 | 49.20%-11.65万 | 97.88%-1.18万 |
| -预付费用(增)减 | -752.84%-403.26万 | -1,246.77%-284.35万 | -80.24%-58.91万 | -133.91%-14.52万 | -269.52%-45.48万 | -36.02%61.77万 | -48.67%24.8万 | 31.47%-32.69万 | -20.69%42.83万 | -36.03%26.83万 |
| -应付款项及应计费用(减)增 | 689.88%136.74万 | 18,435.57%205.08万 | -1,260.57%-85.42万 | 283.05%8.57万 | 176.69%8.52万 | 50.09%-23.18万 | 99.34%-1.12万 | -104.35%-6.28万 | 92.21%-4.68万 | -128.28%-11.1万 |
| -其他营运资本变化 | -78.15%7.44万 | -12.57%32.74万 | 16.12%-2.38万 | -656.60%-20.32万 | 38.08%-2.61万 | 839.46%34.06万 | 1,360.99%37.45万 | -148.49%-2.83万 | 132.92%3.65万 | -118.49%-4.21万 |
| 非持续经营活动现金净额 | ||||||||||
| 经营活动现金净额 | -101.75%-2,387.57万 | -336.53%-973.97万 | -46.93%-470.45万 | -42.86%-536.49万 | -53.69%-406.66万 | 36.96%-1,183.43万 | 34.11%-223.12万 | 13.83%-320.18万 | 37.91%-375.53万 | 52.95%-264.61万 |
| 投资活动现金流量 | ||||||||||
| 持续投资活动现金净额 | -3,560.42%-85.34万 | -583.23%-49.63万 | -2,702.76%-33.8万 | 68.07%-1.27万 | -108.52%-6,476 | 93.86%-2.33万 | 9.21%-7.26万 | 104.97%1.3万 | 8.18%-3.97万 | 1,508.52%7.61万 |
| 固定资产交易的净现金流 | -1,357.41%-92.3万 | -426.65%-49.63万 | -6,988.56%-37.34万 | 52.28%-2.09万 | -146.79%-3.24万 | 85.72%-6.33万 | -17.78%-9.42万 | 101.97%5,421 | 27.19%-4.38万 | 341.96%6.93万 |
| 无形资产交易净现金流 | ---- | ---- | ---- | ---- | ---- | --0 | ---- | ---- | ---- | ---- |
| 其他投资活动的净现金流 | 74.03%6.96万 | --0 | 368.81%3.55万 | 100.34%8,234 | 284.40%2.6万 | -37.31%4万 | 431,800.00%2.16万 | -44.08%7,564 | -75.74%4,110 | -79.77%6,751 |
| 非持续投资活动现金净额 | ||||||||||
| 投资活动现金净额 | -3,560.42%-85.34万 | -583.23%-49.63万 | -2,702.76%-33.8万 | 68.07%-1.27万 | -108.52%-6,476 | 93.86%-2.33万 | 9.21%-7.26万 | 104.97%1.3万 | 8.18%-3.97万 | 1,508.52%7.61万 |
| 融资活动现金流量 | ||||||||||
| 持续融资活动现金净额 | 625.78%1.09亿 | 602.01%3,195.98万 | 2,608.52%5,131.88万 | 443.14%2,581.71万 | -100.97%-3.71万 | 4.01%1,502.63万 | 11.34%455.26万 | 760.85%189.47万 | 988.98%475.33万 | -65.78%382.57万 |
| 债务发行/偿还的净现金流 | 65.19%-15.41万 | 59.89%-4万 | 56.36%-3.9万 | 58.19%-3.8万 | 77.20%-3.71万 | -31.44%-44.28万 | -0.91%-9.97万 | 56.79%-8.94万 | -10,947.08%-9.1万 | -406.70%-16.28万 |
| 普通股发行/偿还的净现金流 | 228.45%5,830.56万 | -99.47%2.8万 | 1,160.24%3,427.93万 | 391.55%2,399.83万 | --0 | 1.59%1,775.19万 | 8.28%527.22万 | --272.01万 | --488.22万 | -61.31%487.75万 |
| 职工行使股票期权收到的现金 | 14,906.98%5,603.83万 | 18,770,203.51%3,209.72万 | 1,133,231.02%1,976.53万 | 1,025.59%417.58万 | --0 | --37.34万 | --171 | --1,744 | --37.1万 | --513 |
| 其他融资活动的净现金流额 | -93.18%-513.11万 | 79.77%-12.55万 | -264.21%-268.67万 | ---- | ---- | 1.27%-265.62万 | 8.96%-62.01万 | -823.83%-73.77万 | 23.65%-40.89万 | 36.18%-88.95万 |
| 非持续融资活动现金净额 | ||||||||||
| 融资活动现金净额 | 625.78%1.09亿 | 602.01%3,195.98万 | 2,608.52%5,131.88万 | 443.14%2,581.71万 | -100.97%-3.71万 | 4.01%1,502.63万 | 11.34%455.26万 | 760.85%189.47万 | 988.98%475.33万 | -65.78%382.57万 |
| 现金净流量 | ||||||||||
| 期初现金流 | 102.11%625.24万 | 1,648.09%6,988.13万 | 326.63%2,257.11万 | -51.01%212.61万 | 102.11%625.24万 | -60.81%309.36万 | 62.70%399.76万 | -21.28%529.05万 | -67.54%433.97万 | -60.81%309.36万 |
| 当期现金流变化 | 2,561.29%8,432.95万 | 866.00%2,172.38万 | 3,676.07%4,627.64万 | 2,032.96%2,043.95万 | -427.33%-411.02万 | 167.33%316.87万 | 261.11%224.88万 | 69.65%-129.41万 | 114.46%95.83万 | -77.42%125.57万 |
| 利率变动影响 | -4,174.83%-42.51万 | -24,275.61%-144.84万 | 95,104.14%103.39万 | 172.60%5,415 | -67.96%-1.61万 | 89.52%-9,944 | -56.48%5,991 | 341.87%1,086 | 65.75%-7,459 | 88.93%-9,562 |
| 期末现金流 | 1,341.95%9,015.68万 | 1,341.95%9,015.68万 | 1,648.09%6,988.13万 | 326.63%2,257.11万 | -51.01%212.61万 | 102.11%625.24万 | 102.11%625.24万 | 62.70%399.76万 | -21.28%529.05万 | -67.54%433.97万 |
| 自由现金流 | -106.63%-2,479.88万 | -340.18%-1,023.6万 | -57.36%-507.79万 | -41.76%-538.58万 | -54.67%-409.91万 | 37.70%-1,200.15万 | 32.91%-232.54万 | 19.16%-322.69万 | 37.80%-379.91万 | 53.49%-265.01万 |
| 货币单位 | 加拿大元 | 加拿大元 | 加拿大元 | 加拿大元 | 加拿大元 | 加拿大元 | 加拿大元 | 加拿大元 | 加拿大元 | 加拿大元 |
| 审计意见 | 无保留意见 | -- | -- | -- | -- | 带解释段的无保留意见 | -- | -- | -- | -- |