美股市场个股详情

Driven Brands (DRVN)

添加自选
  • 14.240
  • +1.240+9.54%
收盘价 05/18 15:59 (美东)
  • 14.268
  • +0.028+0.19%
盘后 20:01 (美东)
23.42亿总市值-11.39市盈率TTM

Driven Brands (DRVN) 现金流量表

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q1)2024/03/30
(FY)2023/12/31
(Q4)2023/12/31
经营活动现金流量(间接法)
持续经营活动现金净额
-21.79%7,921.8万
71.27%8,039.6万
24.63%7,513.1万
2.67%2.41亿
42.38%3,293.9万
3.93%1.01亿
-39.66%4,694.1万
63.85%6,028.3万
19.27%2.35亿
-21.64%2,313.4万
持续经营净收入
507.19%6,086.2万
57.71%4,756.4万
29.22%550.6万
60.74%-2.92亿
-2,272.57%-3.12亿
98.13%-1,494.7万
-20.11%3,015.9万
-85.68%426.1万
-1,825.53%-7.45亿
-147.99%-1,314.9万
持续经营损益
-98.42%31.7万
-756.29%-5,334.3万
36.74%1,262.9万
22,080.49%5,407.2万
2,787.42%1,666.2万
20.61%2,004.6万
151.69%812.8万
1,865.97%923.6万
98.65%-24.6万
98.15%-62万
折旧和摊销
-7.88%4,088.2万
-7.70%4,218.1万
-16.46%3,723.6万
6.30%1.88亿
14.38%5,372.7万
-4.83%4,437.9万
0.62%4,570.2万
16.69%4,457.4万
20.43%1.77亿
18.83%4,697.2万
递延税费
-555.10%-3,884.3万
-129.64%-232.5万
261.74%454万
47.07%-6,659.4万
-1,047.35%-8,016.5万
105.58%853.5万
-44.62%784.3万
-160.37%-280.7万
-711.68%-1.26亿
-85.60%846.2万
其他非现金项目
-714.81%-1,463.4万
6,477.99%2,347.1万
-130.86%-389.6万
-139.50%-1,288.9万
-905.38%-2,334.8万
-111.41%-179.6万
-104.55%-36.8万
114.20%1,262.3万
287.08%3,262.7万
120.71%289.9万
营运资金变化
-79.25%317.4万
89.56%-587.2万
86.70%-299.5万
30.25%-7,308.1万
77.72%-961.3万
187.94%1,529.8万
-145.04%-5,625.2万
48.82%-2,251.4万
35.08%-1.05亿
33.18%-4,314.7万
-应收款项(增)减
493.18%2,784.4万
76.44%-878.8万
-149.23%-3,333.4万
-374.68%-3,739.5万
-48.77%858.7万
-82.96%469.4万
-392.97%-3,730.1万
69.20%-1,337.5万
119.13%1,361.4万
124.36%1,676.2万
-存货(增)减
118.89%188.4万
-120.60%-253.7万
429.35%331万
122.32%261.8万
60.13%128.1万
-600.84%-997.3万
318.54%1,231.5万
81.64%-100.5万
48.35%-1,173.1万
116.62%80万
-预付费用(增)减
2,633.73%856.4万
-110.14%-124.3万
-18.95%-507.9万
150.41%346.7万
-40.87%-418.1万
-108.48%-33.8万
105.19%1,225.6万
69.21%-427万
77.39%-687.7万
90.51%-296.8万
-应付款项及应计费用(减)增
-146.91%-1,260.5万
246.42%1,239.9万
90.48%3,896.9万
203.35%4,698.5万
119.84%812.2万
237.18%2,687.3万
11.58%-846.8万
-16.96%2,045.8万
-43.26%-4,546.4万
-201.25%-4,093.5万
-其他流动资产变化
-18.22%-1,810.6万
117.22%248万
92.24%-258.4万
-114.73%-8,549.1万
-111.96%-2,247.6万
-307.99%-1,531.6万
20.33%-1,439.9万
-351.10%-3,330万
-70.31%-3,981.4万
45.93%-1,060.4万
-其他营运资本变化
-147.09%-440.7万
60.38%-818.3万
-147.64%-427.7万
77.49%-326.5万
84.75%-94.6万
744.93%935.8万
-146.63%-2,065.5万
489.88%897.8万
-180.45%-1,450.6万
-131.80%-620.2万
非持续经营活动现金净额
经营活动现金净额
-21.79%7,921.8万
71.27%8,039.6万
24.63%7,513.1万
2.67%2.41亿
42.38%3,293.9万
3.93%1.01亿
-39.66%4,694.1万
63.85%6,028.3万
19.27%2.35亿
-21.64%2,313.4万
投资活动现金流量
持续投资活动现金净额
8.01%9,229.3万
79,255.91%2.02亿
-28.39%-4,401.2万
113.07%5,901.9万
108.42%759.3万
160.99%8,545.2万
100.64%25.4万
81.13%-3,428万
46.28%-4.51亿
-31.66%-9,020万
资本性支出
37.27%-3,976.2万
-7.46%-7,139.5万
37.16%-5,622.7万
51.63%-2.89亿
39.22%-6,919.7万
61.01%-6,338.7万
55.98%-6,643.7万
47.10%-8,948.3万
-36.74%-5.96亿
28.84%-1.14亿
固定资产交易的净现金流
103.21%1,246.9万
94.46%1,411.4万
91.12%869.6万
-73.61%5,137.1万
49.04%3,342.7万
-78.55%613.6万
-94.28%725.8万
-72.87%455万
-41.68%1.95亿
-87.79%2,242.8万
业务交易的净现金流
-95.38%658.6万
335.52%2.59亿
-93.05%351.9万
697.24%2.96亿
3,463.11%4,336.3万
2,419.24%1.43亿
487.34%5,943.3万
272.84%5,065.3万
93.28%-4,958.7万
101.32%121.7万
非持续投资活动现金净额
投资活动现金净额
8.01%9,229.3万
79,255.91%2.02亿
-28.39%-4,401.2万
113.07%5,901.9万
108.42%759.3万
160.99%8,545.2万
100.64%25.4万
81.13%-3,428万
46.28%-4.51亿
-31.66%-9,020万
融资活动现金流量
持续融资活动现金净额
-38.79%-1.73亿
-298.17%-2.74亿
-43.79%-4,776.7万
-277.41%-3.03亿
-433.39%-7,617.6万
-336.33%-1.25亿
-415.14%-6,884.3万
-130.62%-3,322万
-50.29%1.71亿
-62.41%2,284.9万
债务发行/偿还的净现金流
-48.20%-1.72亿
-420.12%-2.74亿
-414.83%-4,377.1万
-217.55%-2.53亿
-430.73%-7,558.1万
-218.33%-1.16亿
-305.59%-5,270.2万
-107.94%-850.2万
-36.38%2.15亿
-58.99%2,285.3万
普通股发行/偿还的净现金流
----
----
----
--0
--0
100.00%2,000
----
----
---4,995.6万
--0
职工行使股票期权收到的现金
----
----
----
--0
--0
--0
--0
--0
1,699.12%611.7万
--0
其他融资活动的净现金流额
84.95%-132.5万
--0
83.83%-399.6万
-15,316.26%-5,025.7万
-14,775.00%-59.5万
-3,312.79%-880.5万
-50,334.38%-1,613.9万
-77,143.75%-2,471.8万
-106.14%-32.6万
-100.07%-4,000
非持续融资活动现金净额
融资活动现金净额
-38.79%-1.73亿
-298.17%-2.74亿
-43.79%-4,776.7万
-277.41%-3.03亿
-433.39%-7,617.6万
-336.33%-1.25亿
-415.14%-6,884.3万
-130.62%-3,322万
-50.29%1.71亿
-62.41%2,284.9万
现金净流量
期初现金流
11.16%2.06亿
-7.39%1.94亿
-3.00%2.09亿
-17.28%2.16亿
-4.14%2.49亿
-26.34%1.85亿
-7.55%2.1亿
-17.28%2.16亿
-53.66%2.61亿
11.25%2.6亿
当期现金流变化
-102.29%-142.4万
136.24%784.5万
-130.68%-1,664.8万
94.79%-237.1万
19.39%-3,564.4万
517.37%6,213.8万
-186.53%-2,164.8万
80.18%-721.7万
84.81%-4,554.1万
-302.83%-4,421.7万
利率变动影响
-144.78%-75.5万
242.47%391.5万
36.72%154.9万
-947.73%-410.3万
-3,607.56%-417.4万
197.91%168.6万
-800.98%-274.8万
-52.63%113.3万
121.20%48.4万
-97.81%11.9万
期末现金流
-18.20%2.04亿
11.16%2.06亿
-7.39%1.94亿
-3.00%2.09亿
-3.00%2.09亿
-4.14%2.49亿
-26.34%1.85亿
-7.55%2.1亿
-17.28%2.16亿
-17.28%2.16亿
自由现金流
4.11%3,945.6万
146.17%900.1万
164.74%1,890.4万
86.98%-4,705.7万
60.03%-3,625.8万
158.20%3,789.7万
73.34%-1,949.6万
77.94%-2,920万
-51.16%-3.61亿
30.47%-9,071.1万
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
(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(Q1)2024/03/30(FY)2023/12/31(Q4)2023/12/31
经营活动现金流量(间接法)
持续经营活动现金净额 -21.79%7,921.8万71.27%8,039.6万24.63%7,513.1万2.67%2.41亿42.38%3,293.9万3.93%1.01亿-39.66%4,694.1万63.85%6,028.3万19.27%2.35亿-21.64%2,313.4万
持续经营净收入 507.19%6,086.2万57.71%4,756.4万29.22%550.6万60.74%-2.92亿-2,272.57%-3.12亿98.13%-1,494.7万-20.11%3,015.9万-85.68%426.1万-1,825.53%-7.45亿-147.99%-1,314.9万
持续经营损益 -98.42%31.7万-756.29%-5,334.3万36.74%1,262.9万22,080.49%5,407.2万2,787.42%1,666.2万20.61%2,004.6万151.69%812.8万1,865.97%923.6万98.65%-24.6万98.15%-62万
折旧和摊销 -7.88%4,088.2万-7.70%4,218.1万-16.46%3,723.6万6.30%1.88亿14.38%5,372.7万-4.83%4,437.9万0.62%4,570.2万16.69%4,457.4万20.43%1.77亿18.83%4,697.2万
递延税费 -555.10%-3,884.3万-129.64%-232.5万261.74%454万47.07%-6,659.4万-1,047.35%-8,016.5万105.58%853.5万-44.62%784.3万-160.37%-280.7万-711.68%-1.26亿-85.60%846.2万
其他非现金项目 -714.81%-1,463.4万6,477.99%2,347.1万-130.86%-389.6万-139.50%-1,288.9万-905.38%-2,334.8万-111.41%-179.6万-104.55%-36.8万114.20%1,262.3万287.08%3,262.7万120.71%289.9万
营运资金变化 -79.25%317.4万89.56%-587.2万86.70%-299.5万30.25%-7,308.1万77.72%-961.3万187.94%1,529.8万-145.04%-5,625.2万48.82%-2,251.4万35.08%-1.05亿33.18%-4,314.7万
-应收款项(增)减 493.18%2,784.4万76.44%-878.8万-149.23%-3,333.4万-374.68%-3,739.5万-48.77%858.7万-82.96%469.4万-392.97%-3,730.1万69.20%-1,337.5万119.13%1,361.4万124.36%1,676.2万
-存货(增)减 118.89%188.4万-120.60%-253.7万429.35%331万122.32%261.8万60.13%128.1万-600.84%-997.3万318.54%1,231.5万81.64%-100.5万48.35%-1,173.1万116.62%80万
-预付费用(增)减 2,633.73%856.4万-110.14%-124.3万-18.95%-507.9万150.41%346.7万-40.87%-418.1万-108.48%-33.8万105.19%1,225.6万69.21%-427万77.39%-687.7万90.51%-296.8万
-应付款项及应计费用(减)增 -146.91%-1,260.5万246.42%1,239.9万90.48%3,896.9万203.35%4,698.5万119.84%812.2万237.18%2,687.3万11.58%-846.8万-16.96%2,045.8万-43.26%-4,546.4万-201.25%-4,093.5万
-其他流动资产变化 -18.22%-1,810.6万117.22%248万92.24%-258.4万-114.73%-8,549.1万-111.96%-2,247.6万-307.99%-1,531.6万20.33%-1,439.9万-351.10%-3,330万-70.31%-3,981.4万45.93%-1,060.4万
-其他营运资本变化 -147.09%-440.7万60.38%-818.3万-147.64%-427.7万77.49%-326.5万84.75%-94.6万744.93%935.8万-146.63%-2,065.5万489.88%897.8万-180.45%-1,450.6万-131.80%-620.2万
非持续经营活动现金净额
经营活动现金净额 -21.79%7,921.8万71.27%8,039.6万24.63%7,513.1万2.67%2.41亿42.38%3,293.9万3.93%1.01亿-39.66%4,694.1万63.85%6,028.3万19.27%2.35亿-21.64%2,313.4万
投资活动现金流量
持续投资活动现金净额 8.01%9,229.3万79,255.91%2.02亿-28.39%-4,401.2万113.07%5,901.9万108.42%759.3万160.99%8,545.2万100.64%25.4万81.13%-3,428万46.28%-4.51亿-31.66%-9,020万
资本性支出 37.27%-3,976.2万-7.46%-7,139.5万37.16%-5,622.7万51.63%-2.89亿39.22%-6,919.7万61.01%-6,338.7万55.98%-6,643.7万47.10%-8,948.3万-36.74%-5.96亿28.84%-1.14亿
固定资产交易的净现金流 103.21%1,246.9万94.46%1,411.4万91.12%869.6万-73.61%5,137.1万49.04%3,342.7万-78.55%613.6万-94.28%725.8万-72.87%455万-41.68%1.95亿-87.79%2,242.8万
业务交易的净现金流 -95.38%658.6万335.52%2.59亿-93.05%351.9万697.24%2.96亿3,463.11%4,336.3万2,419.24%1.43亿487.34%5,943.3万272.84%5,065.3万93.28%-4,958.7万101.32%121.7万
非持续投资活动现金净额
投资活动现金净额 8.01%9,229.3万79,255.91%2.02亿-28.39%-4,401.2万113.07%5,901.9万108.42%759.3万160.99%8,545.2万100.64%25.4万81.13%-3,428万46.28%-4.51亿-31.66%-9,020万
融资活动现金流量
持续融资活动现金净额 -38.79%-1.73亿-298.17%-2.74亿-43.79%-4,776.7万-277.41%-3.03亿-433.39%-7,617.6万-336.33%-1.25亿-415.14%-6,884.3万-130.62%-3,322万-50.29%1.71亿-62.41%2,284.9万
债务发行/偿还的净现金流 -48.20%-1.72亿-420.12%-2.74亿-414.83%-4,377.1万-217.55%-2.53亿-430.73%-7,558.1万-218.33%-1.16亿-305.59%-5,270.2万-107.94%-850.2万-36.38%2.15亿-58.99%2,285.3万
普通股发行/偿还的净现金流 --------------0--0100.00%2,000-----------4,995.6万--0
职工行使股票期权收到的现金 --------------0--0--0--0--01,699.12%611.7万--0
其他融资活动的净现金流额 84.95%-132.5万--083.83%-399.6万-15,316.26%-5,025.7万-14,775.00%-59.5万-3,312.79%-880.5万-50,334.38%-1,613.9万-77,143.75%-2,471.8万-106.14%-32.6万-100.07%-4,000
非持续融资活动现金净额
融资活动现金净额 -38.79%-1.73亿-298.17%-2.74亿-43.79%-4,776.7万-277.41%-3.03亿-433.39%-7,617.6万-336.33%-1.25亿-415.14%-6,884.3万-130.62%-3,322万-50.29%1.71亿-62.41%2,284.9万
现金净流量
期初现金流 11.16%2.06亿-7.39%1.94亿-3.00%2.09亿-17.28%2.16亿-4.14%2.49亿-26.34%1.85亿-7.55%2.1亿-17.28%2.16亿-53.66%2.61亿11.25%2.6亿
当期现金流变化 -102.29%-142.4万136.24%784.5万-130.68%-1,664.8万94.79%-237.1万19.39%-3,564.4万517.37%6,213.8万-186.53%-2,164.8万80.18%-721.7万84.81%-4,554.1万-302.83%-4,421.7万
利率变动影响 -144.78%-75.5万242.47%391.5万36.72%154.9万-947.73%-410.3万-3,607.56%-417.4万197.91%168.6万-800.98%-274.8万-52.63%113.3万121.20%48.4万-97.81%11.9万
期末现金流 -18.20%2.04亿11.16%2.06亿-7.39%1.94亿-3.00%2.09亿-3.00%2.09亿-4.14%2.49亿-26.34%1.85亿-7.55%2.1亿-17.28%2.16亿-17.28%2.16亿
自由现金流 4.11%3,945.6万146.17%900.1万164.74%1,890.4万86.98%-4,705.7万60.03%-3,625.8万158.20%3,789.7万73.34%-1,949.6万77.94%-2,920万-51.16%-3.61亿30.47%-9,071.1万
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中东战火燃至股市!投资者该如何应对?
美东时间5月18日,特朗普临时叫停原定对伊朗的“重大”军事打击,理由是海湾盟友要求给谈判留出空间,"严肃谈判"正在进行。伊朗通过巴基斯坦递交修订版停战方案,但白宫高级官员认为该方案“不够”,缺少暂停铀浓缩、处理高丰度铀库存等关键承诺。市场短线降温, 展开