美股市场个股详情

PETROTAL CORP (PTALF)

添加自选
  • 0.4199
  • +0.0099+2.41%
延时15分钟行情收盘价 05/12 15:50 (美东)
  • 0.4163
  • -0.0036-0.86%
盘后 17:13 (美东)
3.86亿总市值10.50市盈率TTM

PETROTAL CORP (PTALF) 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
-84.20%787.3万
-28.81%1.64亿
-61.28%1,852.2万
-53.53%4,471.9万
-24.42%5,119.4万
162.79%4,983.2万
-3.63%2.31亿
-11.03%4,783.9万
9.97%9,622.5万
19.30%6,773.3万
持续经营净收入
-50.42%1,529.7万
-60.35%4,418.7万
-136.61%-777.7万
-49.89%359.8万
-50.54%1,751.4万
-35.21%3,085.2万
0.86%1.11亿
-1.34%2,124.2万
-71.69%718万
-24.07%3,540.9万
持续经营损益
-1,122.43%-1,463.1万
76.97%1,182.7万
406.83%836.1万
-88.25%208.1万
-101.38%-4.6万
112.30%143.1万
-34.63%668.3万
-123.37%-272.5万
214.71%1,770.7万
-50.26%333.9万
折旧和摊销
-15.23%1,876.5万
33.29%8,296.5万
5.96%1,960.7万
46.41%1,916.8万
44.06%2,205.3万
44.33%2,213.7万
56.38%6,224.2万
51.28%1,850.4万
82.98%1,309.2万
24.90%1,530.8万
递延税费
178.44%323.5万
-165.10%-1,856.8万
-198.24%-635.9万
-113.72%-225.9万
-138.93%-582.6万
-150.68%-412.4万
10.69%2,852.1万
304.84%647.3万
-105.44%-105.7万
444.06%1,496.7万
其他非现金项目
37.28%240.1万
63.42%795.7万
5.94%255万
774.48%335.8万
-78.13%30万
147.73%174.9万
-57.54%486.9万
-15.81%240.7万
155.98%38.4万
-42.06%137.2万
营运资金变化
62.22%-100.9万
344.43%6,940.6万
326.56%539.6万
-63.44%2,132.7万
1,280.17%4,535.4万
93.35%-267.1万
-59.54%1,561.7万
-83.38%126.5万
20.18%5,833.3万
68.24%-384.3万
-应收款项(增)减
-322.17%-497万
327.87%3,081.3万
105.70%84万
-67.83%1,240万
577.46%1,533.6万
106.55%223.7万
-150.70%-1,352.2万
6.54%-1,473万
-14.76%3,854.7万
72.58%-321.2万
-存货(增)减
-153.98%-124万
451.99%106.3万
-102.19%-21.6万
97.56%-20.1万
-147.81%-81.7万
163.17%229.7万
-160.76%-30.2万
311.54%987.7万
-242.41%-825.2万
207.48%170.9万
-预付费用(增)减
112.34%87.1万
73.33%-241.2万
808.82%216.9万
-192.66%-346万
246.09%594万
15.99%-706.1万
-1,112.20%-904.3万
66.23%-30.6万
985.47%373.4万
-449.31%-406.6万
-应付款项及应计费用(减)增
3,106.94%433万
38.50%3,994.2万
-59.48%260.3万
-35.16%1,258.8万
921.89%2,489.5万
-102.39%-14.4万
205.34%2,883.9万
-70.64%642.4万
702.56%1,941.4万
-1,446.22%-302.9万
-其他营运资本变化
----
----
----
----
----
----
252.78%964.5万
--0
65.20%489万
----
非持续经营活动现金净额
经营活动现金净额
-84.20%787.3万
-28.81%1.64亿
-61.28%1,852.2万
-53.53%4,471.9万
-24.42%5,119.4万
162.79%4,983.2万
-3.63%2.31亿
-11.03%4,783.9万
11.73%9,622.5万
16.47%6,773.3万
投资活动现金流量
持续投资活动现金净额
63.70%-1,242.1万
30.29%-1.16亿
76.54%-1,438万
39.88%-2,578万
-3.56%-4,156.9万
-55.51%-3,421.7万
-57.27%-1.66亿
-83.49%-6,128.7万
-129.94%-4,288.4万
-38.43%-4,014.1万
固定资产交易的净现金流
60.45%-942万
54.03%-7,563.8万
70.77%-1,528.6万
54.74%-1,947万
56.10%-1,706.4万
21.53%-2,381.8万
-51.70%-1.65亿
-62.61%-5,228.9万
-152.90%-4,301.9万
-47.41%-3,886.7万
其他投资活动的净现金流
71.14%-300.1万
-2,154.36%-4,030.8万
110.07%90.6万
-4,774.07%-631万
-1,823.47%-2,450.5万
-224.55%-1,039.9万
-166.22%-178.8万
-623.89%-899.8万
108.23%13.5万
51.56%-127.4万
非持续投资活动现金净额
投资活动现金净额
63.70%-1,242.1万
30.29%-1.16亿
76.54%-1,438万
39.88%-2,578万
-3.56%-4,156.9万
-55.51%-3,421.7万
-57.27%-1.66亿
-83.49%-6,128.7万
-129.94%-4,288.4万
-38.43%-4,014.1万
融资活动现金流量
持续融资活动现金净额
62.31%-624.8万
61.24%-2,372.5万
-27.67%-650.6万
-21.24%-1,955.3万
212.00%1,891.2万
28.26%-1,657.8万
57.00%-6,121.6万
76.73%-509.6万
65.83%-1,612.7万
-104.93%-1,688.6万
债务发行/偿还的净现金流
-155.07%-535.9万
465.94%2,366.2万
-156.62%-529.8万
-148.24%-459.5万
2,244.08%3,565.6万
-26.41%-210.1万
104.95%418.1万
1,250.92%935.7万
91.12%-185.1万
-32.62%-166.3万
普通股发行/偿还的净现金流
--0
48.01%-254.3万
63.66%-25.4万
-35.94%-64.3万
-47.77%-109.5万
81.50%-55.1万
21.54%-489.1万
75.05%-69.9万
84.77%-47.3万
-126.61%-74.1万
现金股利支付
--0
31.62%-4,134.8万
--0
3.74%-1,328.7万
1.72%-1,423.3万
25.12%-1,382.8万
-8.83%-6,047.2万
24.95%-1,372万
39.61%-1,380.3万
-0.35%-1,448.2万
职工行使股票期权收到的现金
----
----
----
----
----
----
--0
--0
--0
--0
其他融资活动的净现金流额
----
---92.3万
--0
----
----
----
----
----
----
----
非持续融资活动现金净额
融资活动现金净额
62.31%-624.8万
61.24%-2,372.5万
-27.67%-650.6万
-21.24%-1,955.3万
212.00%1,891.2万
28.26%-1,657.8万
57.00%-6,121.6万
76.73%-509.6万
65.83%-1,612.7万
-104.93%-1,688.6万
现金净流量
期初现金流
9.36%1.12亿
13.49%1.03亿
-10.32%1.09亿
18.07%9,931.3万
64.25%1.03亿
13.49%1.03亿
-13.20%9,056.8万
28.92%1.21亿
11.77%8,411.6万
10.83%6,249.8万
当期现金流变化
-1,021.08%-1,079.6万
661.72%2,459.6万
87.25%-236.4万
-101.65%-61.4万
166.55%2,853.7万
96.32%-96.3万
137.24%322.9万
-1,114.41%-1,854.4万
83.56%3,721.4万
-48.82%1,070.6万
期末现金流
1.74%1.04亿
9.36%1.12亿
9.36%1.12亿
-10.32%1.09亿
18.07%9,931.3万
64.25%1.03亿
13.49%1.03亿
13.49%1.03亿
28.92%1.21亿
11.77%8,411.6万
自由现金流
-105.95%-154.7万
33.81%8,862.9万
172.72%323.6万
-52.54%2,524.9万
18.24%3,413万
328.41%2,601.4万
-49.44%6,623.3万
-120.59%-445万
-23.02%5,320.6万
-9.19%2,886.6万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
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 -84.20%787.3万-28.81%1.64亿-61.28%1,852.2万-53.53%4,471.9万-24.42%5,119.4万162.79%4,983.2万-3.63%2.31亿-11.03%4,783.9万9.97%9,622.5万19.30%6,773.3万
持续经营净收入 -50.42%1,529.7万-60.35%4,418.7万-136.61%-777.7万-49.89%359.8万-50.54%1,751.4万-35.21%3,085.2万0.86%1.11亿-1.34%2,124.2万-71.69%718万-24.07%3,540.9万
持续经营损益 -1,122.43%-1,463.1万76.97%1,182.7万406.83%836.1万-88.25%208.1万-101.38%-4.6万112.30%143.1万-34.63%668.3万-123.37%-272.5万214.71%1,770.7万-50.26%333.9万
折旧和摊销 -15.23%1,876.5万33.29%8,296.5万5.96%1,960.7万46.41%1,916.8万44.06%2,205.3万44.33%2,213.7万56.38%6,224.2万51.28%1,850.4万82.98%1,309.2万24.90%1,530.8万
递延税费 178.44%323.5万-165.10%-1,856.8万-198.24%-635.9万-113.72%-225.9万-138.93%-582.6万-150.68%-412.4万10.69%2,852.1万304.84%647.3万-105.44%-105.7万444.06%1,496.7万
其他非现金项目 37.28%240.1万63.42%795.7万5.94%255万774.48%335.8万-78.13%30万147.73%174.9万-57.54%486.9万-15.81%240.7万155.98%38.4万-42.06%137.2万
营运资金变化 62.22%-100.9万344.43%6,940.6万326.56%539.6万-63.44%2,132.7万1,280.17%4,535.4万93.35%-267.1万-59.54%1,561.7万-83.38%126.5万20.18%5,833.3万68.24%-384.3万
-应收款项(增)减 -322.17%-497万327.87%3,081.3万105.70%84万-67.83%1,240万577.46%1,533.6万106.55%223.7万-150.70%-1,352.2万6.54%-1,473万-14.76%3,854.7万72.58%-321.2万
-存货(增)减 -153.98%-124万451.99%106.3万-102.19%-21.6万97.56%-20.1万-147.81%-81.7万163.17%229.7万-160.76%-30.2万311.54%987.7万-242.41%-825.2万207.48%170.9万
-预付费用(增)减 112.34%87.1万73.33%-241.2万808.82%216.9万-192.66%-346万246.09%594万15.99%-706.1万-1,112.20%-904.3万66.23%-30.6万985.47%373.4万-449.31%-406.6万
-应付款项及应计费用(减)增 3,106.94%433万38.50%3,994.2万-59.48%260.3万-35.16%1,258.8万921.89%2,489.5万-102.39%-14.4万205.34%2,883.9万-70.64%642.4万702.56%1,941.4万-1,446.22%-302.9万
-其他营运资本变化 ------------------------252.78%964.5万--065.20%489万----
非持续经营活动现金净额
经营活动现金净额 -84.20%787.3万-28.81%1.64亿-61.28%1,852.2万-53.53%4,471.9万-24.42%5,119.4万162.79%4,983.2万-3.63%2.31亿-11.03%4,783.9万11.73%9,622.5万16.47%6,773.3万
投资活动现金流量
持续投资活动现金净额 63.70%-1,242.1万30.29%-1.16亿76.54%-1,438万39.88%-2,578万-3.56%-4,156.9万-55.51%-3,421.7万-57.27%-1.66亿-83.49%-6,128.7万-129.94%-4,288.4万-38.43%-4,014.1万
固定资产交易的净现金流 60.45%-942万54.03%-7,563.8万70.77%-1,528.6万54.74%-1,947万56.10%-1,706.4万21.53%-2,381.8万-51.70%-1.65亿-62.61%-5,228.9万-152.90%-4,301.9万-47.41%-3,886.7万
其他投资活动的净现金流 71.14%-300.1万-2,154.36%-4,030.8万110.07%90.6万-4,774.07%-631万-1,823.47%-2,450.5万-224.55%-1,039.9万-166.22%-178.8万-623.89%-899.8万108.23%13.5万51.56%-127.4万
非持续投资活动现金净额
投资活动现金净额 63.70%-1,242.1万30.29%-1.16亿76.54%-1,438万39.88%-2,578万-3.56%-4,156.9万-55.51%-3,421.7万-57.27%-1.66亿-83.49%-6,128.7万-129.94%-4,288.4万-38.43%-4,014.1万
融资活动现金流量
持续融资活动现金净额 62.31%-624.8万61.24%-2,372.5万-27.67%-650.6万-21.24%-1,955.3万212.00%1,891.2万28.26%-1,657.8万57.00%-6,121.6万76.73%-509.6万65.83%-1,612.7万-104.93%-1,688.6万
债务发行/偿还的净现金流 -155.07%-535.9万465.94%2,366.2万-156.62%-529.8万-148.24%-459.5万2,244.08%3,565.6万-26.41%-210.1万104.95%418.1万1,250.92%935.7万91.12%-185.1万-32.62%-166.3万
普通股发行/偿还的净现金流 --048.01%-254.3万63.66%-25.4万-35.94%-64.3万-47.77%-109.5万81.50%-55.1万21.54%-489.1万75.05%-69.9万84.77%-47.3万-126.61%-74.1万
现金股利支付 --031.62%-4,134.8万--03.74%-1,328.7万1.72%-1,423.3万25.12%-1,382.8万-8.83%-6,047.2万24.95%-1,372万39.61%-1,380.3万-0.35%-1,448.2万
职工行使股票期权收到的现金 --------------------------0--0--0--0
其他融资活动的净现金流额 -------92.3万--0----------------------------
非持续融资活动现金净额
融资活动现金净额 62.31%-624.8万61.24%-2,372.5万-27.67%-650.6万-21.24%-1,955.3万212.00%1,891.2万28.26%-1,657.8万57.00%-6,121.6万76.73%-509.6万65.83%-1,612.7万-104.93%-1,688.6万
现金净流量
期初现金流 9.36%1.12亿13.49%1.03亿-10.32%1.09亿18.07%9,931.3万64.25%1.03亿13.49%1.03亿-13.20%9,056.8万28.92%1.21亿11.77%8,411.6万10.83%6,249.8万
当期现金流变化 -1,021.08%-1,079.6万661.72%2,459.6万87.25%-236.4万-101.65%-61.4万166.55%2,853.7万96.32%-96.3万137.24%322.9万-1,114.41%-1,854.4万83.56%3,721.4万-48.82%1,070.6万
期末现金流 1.74%1.04亿9.36%1.12亿9.36%1.12亿-10.32%1.09亿18.07%9,931.3万64.25%1.03亿13.49%1.03亿13.49%1.03亿28.92%1.21亿11.77%8,411.6万
自由现金流 -105.95%-154.7万33.81%8,862.9万172.72%323.6万-52.54%2,524.9万18.24%3,413万328.41%2,601.4万-49.44%6,623.3万-120.59%-445万-23.02%5,320.6万-9.19%2,886.6万
货币单位 美元美元美元美元美元美元美元美元美元美元
审计意见 --无保留意见--------无保留意见------
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