美股市场个股详情

Advanced Drainage (WMS)

添加自选
  • 135.150
  • -1.680-1.23%
收盘价 05/21 15:59 (美东)
  • 135.150
  • 0.0000.00%
盘前 04:00 (美东)
103.52亿总市值24.84市盈率TTM

Advanced Drainage (WMS) 现金流量表

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2026/03/31
(Q4)2026/03/31
(Q3)2025/12/31
(Q2)2025/09/30
(Q1)2025/06/30
(FY)2025/03/31
(Q4)2025/03/31
(Q3)2024/12/31
(Q2)2024/09/30
(Q1)2024/06/30
经营活动现金流量(间接法)
持续经营活动现金净额
40.91%8.19亿
-2.42%4,022.8万
41.78%2.69亿
40.72%2.35亿
49.91%2.75亿
-19.00%5.81亿
133.37%4,122.7万
-21.32%1.9亿
-22.33%1.67亿
-24.82%1.83亿
持续经营净收入
-5.02%4.3亿
-54.11%3,523.5万
14.28%9,403.7万
19.31%1.57亿
-11.23%1.44亿
-11.83%4.53亿
-19.58%7,678.8万
-23.01%8,228.9万
-4.27%1.31亿
-6.66%1.62亿
持续经营损益
9,797.85%901.9万
736.97%2,116.7万
51.29%-94.3万
-2,601.92%-1,696.3万
522.14%575.8万
99.37%-9.3万
1,661.11%252.9万
-165.96%-193.6万
125.77%67.8万
90.92%-136.4万
折旧和摊销
17.99%2.16亿
20.58%5,981.8万
7.86%5,152.2万
22.06%5,469.3万
22.22%5,022.8万
18.32%1.83亿
15.67%4,961万
25.52%4,776.6万
22.02%4,480.7万
10.36%4,109.8万
递延税费
8,465.25%3,538.5万
1,207.29%1,033.1万
253.53%982.8万
1,528.77%1,897.4万
-297.88%-374.8万
81.45%-42.3万
64.32%-93.3万
1,610.87%278万
-2,359.26%-132.8万
-264.40%-94.2万
其他非现金项目
776.75%1,530.8万
494.23%1,225.3万
-73.78%125.5万
125.82%48万
140.70%132万
-80.03%174.6万
38.58%206.2万
-12.58%478.6万
-342.69%-185.9万
-420.45%-324.3万
营运资金变化
198.78%8,117.1万
-12.24%-1.05亿
125.50%1.05亿
192.99%1,260.5万
421.74%6,892.4万
-414.12%-8,217.4万
26.70%-9,365.2万
-42.53%4,645.5万
-140.18%-1,355.5万
-154.44%-2,142.2万
-应收款项(增)减
-261.81%-228.8万
-25.51%-1.02亿
37.27%1.63亿
-279.62%-2,052.3万
10.35%-4,212.6万
109.69%141.4万
0.21%-8,164.5万
7.10%1.19亿
212.86%1,142.6万
-40.67%-4,699.1万
-存货(增)减
294.36%3,060.9万
-105.56%-3,200.6万
-128.09%-690.1万
10,632.73%2,951.5万
259.84%4,000.1万
-2,751.35%-1,574.9万
73.68%-1,557万
226.24%2,457.1万
-99.43%27.5万
-181.09%-2,502.5万
-预付费用(增)减
72.13%-111万
-41.65%-201万
97.05%441.4万
325.51%243.1万
-59.55%-594.5万
-1,348.36%-398.3万
-647.88%-141.9万
32.23%224万
-173.28%-107.8万
-0.73%-372.6万
-应付款项及应计费用(减)增
184.50%5,396万
529.73%3,137.3万
43.84%-5,558.9万
104.89%118.2万
41.74%7,699.4万
-257.94%-6,385.6万
-61.55%498.2万
-714.38%-9,898万
-305.33%-2,417.8万
19.14%5,432万
非持续经营活动现金净额
-30.7万
经营活动现金净额
40.85%8.19亿
-3.17%3,992.1万
41.78%2.69亿
40.72%2.35亿
49.91%2.75亿
-19.00%5.81亿
133.37%4,122.7万
-21.32%1.9亿
-22.33%1.67亿
-24.82%1.83亿
投资活动现金流量
持续投资活动现金净额
-170.58%-12.12亿
-2,179.49%-10.25亿
72.12%-8,122.9万
34.82%-3,540.9万
-22.23%-6,993.4万
-187.71%-4.48亿
-13.05%-4,497.7万
-442.76%-2.91亿
-34.95%-5,432.5万
-160.74%-5,721.7万
资本性支出
-17.29%-2.5亿
-13.96%-5,302.9万
-58.07%-8,571.9万
-7.26%-5,842万
8.87%-5,259.8万
-15.85%-2.13亿
1.88%-4,653.4万
-0.87%-5,422.8万
-34.33%-5,446.7万
-37.16%-5,771.5万
业务交易的净现金流
-317.62%-9.91亿
---9.73亿
--0
--101.8万
---1,957.6万
---2.37亿
--0
---2.37亿
--0
--0
其他投资活动的净现金流
1,114.82%2,901万
-81.57%28.7万
2,250.79%449万
15,388.03%2,199.3万
349.80%224万
-91.52%238.8万
-79.63%155.7万
135.80%19.1万
-51.20%14.2万
-97.53%49.8万
非持续投资活动现金净额
投资活动现金净额
-170.58%-12.12亿
-2,179.49%-10.25亿
72.12%-8,122.9万
34.82%-3,540.9万
-22.23%-6,993.4万
-187.71%-4.48亿
-13.05%-4,497.7万
-442.76%-2.91亿
-34.95%-5,432.5万
-160.74%-5,721.7万
融资活动现金流量
持续融资活动现金净额
199.11%1.56亿
1,059.31%2.09亿
115.03%320.3万
39.33%-2,472.1万
57.87%-3,113.2万
44.53%-1.58亿
54.53%-2,178.3万
77.10%-2,130.4万
41.69%-4,074.5万
-0.52%-7,389.5万
债务发行/偿还的净现金流
957.08%3.2亿
3,293.86%3.32亿
217.53%1,064.6万
-23.85%-1,153.8万
-28.04%-1,101.8万
-39.06%-3,738.4万
-56.51%-1,040.5万
-32.72%-905.8万
-40.41%-931.6万
-27.01%-860.5万
普通股发行/偿还的净现金流
-31.52%-9,195.8万
---9,195.8万
--0
--0
--0
66.27%-6,992.2万
--0
--0
61.56%-2,067.7万
-3.07%-4,924.5万
现金股利支付
-12.84%-5,612.4万
-12.99%-1,402.5万
-12.95%-1,401.4万
-12.94%-1,410.5万
-12.49%-1,398万
-13.05%-4,973.7万
-14.05%-1,241.3万
-13.96%-1,240.7万
-12.11%-1,248.9万
-12.13%-1,242.8万
职工行使股票期权收到的现金
-31.30%685万
71.65%179.2万
1,434.76%357.6万
-45.63%93.3万
-92.13%54.9万
54.49%997.1万
-58.21%104.4万
-82.52%23.3万
-2.28%171.6万
704.84%697.8万
其他融资活动的净现金流额
-114.57%-2,286.2万
-212,822.22%-1,916.3万
4,259.72%299.5万
-152.38%-1.1万
36.92%-668.3万
15.51%-1,065.5万
99.76%-9,000
-50.00%-7.2万
130.43%2.1万
-21.20%-1,059.5万
非持续融资活动现金净额
融资活动现金净额
199.11%1.56亿
1,059.31%2.09亿
115.03%320.3万
39.33%-2,472.1万
57.87%-3,113.2万
44.53%-1.58亿
54.53%-2,178.3万
77.10%-2,130.4万
41.69%-4,074.5万
-0.52%-7,389.5万
现金净流量
期初现金流
-5.36%4.69亿
104.32%10.11亿
32.33%8.19亿
17.70%6.44亿
-5.36%4.69亿
128.37%4.96亿
-12.64%4.95亿
31.56%6.19亿
49.51%5.47亿
128.37%4.96亿
当期现金流变化
-881.03%-2.36亿
-2,940.61%-7.76亿
255.86%1.91亿
143.26%1.75亿
232.44%1.74亿
-108.67%-2,410.2万
63.54%-2,553.3万
-229.62%-1.23亿
-31.44%7,183万
-64.77%5,231.4万
利率变动影响
146.26%114.5万
-1,229.41%-57.6万
150.87%70.4万
76.86%-8.1万
238.64%109.8万
-409.76%-247.5万
110.81%5.1万
-209.15%-138.4万
24.24%-35万
-270.32%-79.2万
期末现金流
-50.14%2.34亿
-50.14%2.34亿
104.32%10.11亿
32.33%8.19亿
17.70%6.44亿
-5.36%4.69亿
-5.36%4.69亿
-12.64%4.95亿
31.56%6.19亿
49.51%5.47亿
自由现金流
54.47%5.69亿
-146.99%-1,310.8万
35.27%1.84亿
56.93%1.76亿
76.90%2.22亿
-31.00%3.69亿
82.17%-530.7万
-27.67%1.36亿
-35.51%1.12亿
-37.73%1.26亿
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
--
--
--
--
(FY)2026/03/31(Q4)2026/03/31(Q3)2025/12/31(Q2)2025/09/30(Q1)2025/06/30(FY)2025/03/31(Q4)2025/03/31(Q3)2024/12/31(Q2)2024/09/30(Q1)2024/06/30
经营活动现金流量(间接法)
持续经营活动现金净额 40.91%8.19亿-2.42%4,022.8万41.78%2.69亿40.72%2.35亿49.91%2.75亿-19.00%5.81亿133.37%4,122.7万-21.32%1.9亿-22.33%1.67亿-24.82%1.83亿
持续经营净收入 -5.02%4.3亿-54.11%3,523.5万14.28%9,403.7万19.31%1.57亿-11.23%1.44亿-11.83%4.53亿-19.58%7,678.8万-23.01%8,228.9万-4.27%1.31亿-6.66%1.62亿
持续经营损益 9,797.85%901.9万736.97%2,116.7万51.29%-94.3万-2,601.92%-1,696.3万522.14%575.8万99.37%-9.3万1,661.11%252.9万-165.96%-193.6万125.77%67.8万90.92%-136.4万
折旧和摊销 17.99%2.16亿20.58%5,981.8万7.86%5,152.2万22.06%5,469.3万22.22%5,022.8万18.32%1.83亿15.67%4,961万25.52%4,776.6万22.02%4,480.7万10.36%4,109.8万
递延税费 8,465.25%3,538.5万1,207.29%1,033.1万253.53%982.8万1,528.77%1,897.4万-297.88%-374.8万81.45%-42.3万64.32%-93.3万1,610.87%278万-2,359.26%-132.8万-264.40%-94.2万
其他非现金项目 776.75%1,530.8万494.23%1,225.3万-73.78%125.5万125.82%48万140.70%132万-80.03%174.6万38.58%206.2万-12.58%478.6万-342.69%-185.9万-420.45%-324.3万
营运资金变化 198.78%8,117.1万-12.24%-1.05亿125.50%1.05亿192.99%1,260.5万421.74%6,892.4万-414.12%-8,217.4万26.70%-9,365.2万-42.53%4,645.5万-140.18%-1,355.5万-154.44%-2,142.2万
-应收款项(增)减 -261.81%-228.8万-25.51%-1.02亿37.27%1.63亿-279.62%-2,052.3万10.35%-4,212.6万109.69%141.4万0.21%-8,164.5万7.10%1.19亿212.86%1,142.6万-40.67%-4,699.1万
-存货(增)减 294.36%3,060.9万-105.56%-3,200.6万-128.09%-690.1万10,632.73%2,951.5万259.84%4,000.1万-2,751.35%-1,574.9万73.68%-1,557万226.24%2,457.1万-99.43%27.5万-181.09%-2,502.5万
-预付费用(增)减 72.13%-111万-41.65%-201万97.05%441.4万325.51%243.1万-59.55%-594.5万-1,348.36%-398.3万-647.88%-141.9万32.23%224万-173.28%-107.8万-0.73%-372.6万
-应付款项及应计费用(减)增 184.50%5,396万529.73%3,137.3万43.84%-5,558.9万104.89%118.2万41.74%7,699.4万-257.94%-6,385.6万-61.55%498.2万-714.38%-9,898万-305.33%-2,417.8万19.14%5,432万
非持续经营活动现金净额 -30.7万
经营活动现金净额 40.85%8.19亿-3.17%3,992.1万41.78%2.69亿40.72%2.35亿49.91%2.75亿-19.00%5.81亿133.37%4,122.7万-21.32%1.9亿-22.33%1.67亿-24.82%1.83亿
投资活动现金流量
持续投资活动现金净额 -170.58%-12.12亿-2,179.49%-10.25亿72.12%-8,122.9万34.82%-3,540.9万-22.23%-6,993.4万-187.71%-4.48亿-13.05%-4,497.7万-442.76%-2.91亿-34.95%-5,432.5万-160.74%-5,721.7万
资本性支出 -17.29%-2.5亿-13.96%-5,302.9万-58.07%-8,571.9万-7.26%-5,842万8.87%-5,259.8万-15.85%-2.13亿1.88%-4,653.4万-0.87%-5,422.8万-34.33%-5,446.7万-37.16%-5,771.5万
业务交易的净现金流 -317.62%-9.91亿---9.73亿--0--101.8万---1,957.6万---2.37亿--0---2.37亿--0--0
其他投资活动的净现金流 1,114.82%2,901万-81.57%28.7万2,250.79%449万15,388.03%2,199.3万349.80%224万-91.52%238.8万-79.63%155.7万135.80%19.1万-51.20%14.2万-97.53%49.8万
非持续投资活动现金净额
投资活动现金净额 -170.58%-12.12亿-2,179.49%-10.25亿72.12%-8,122.9万34.82%-3,540.9万-22.23%-6,993.4万-187.71%-4.48亿-13.05%-4,497.7万-442.76%-2.91亿-34.95%-5,432.5万-160.74%-5,721.7万
融资活动现金流量
持续融资活动现金净额 199.11%1.56亿1,059.31%2.09亿115.03%320.3万39.33%-2,472.1万57.87%-3,113.2万44.53%-1.58亿54.53%-2,178.3万77.10%-2,130.4万41.69%-4,074.5万-0.52%-7,389.5万
债务发行/偿还的净现金流 957.08%3.2亿3,293.86%3.32亿217.53%1,064.6万-23.85%-1,153.8万-28.04%-1,101.8万-39.06%-3,738.4万-56.51%-1,040.5万-32.72%-905.8万-40.41%-931.6万-27.01%-860.5万
普通股发行/偿还的净现金流 -31.52%-9,195.8万---9,195.8万--0--0--066.27%-6,992.2万--0--061.56%-2,067.7万-3.07%-4,924.5万
现金股利支付 -12.84%-5,612.4万-12.99%-1,402.5万-12.95%-1,401.4万-12.94%-1,410.5万-12.49%-1,398万-13.05%-4,973.7万-14.05%-1,241.3万-13.96%-1,240.7万-12.11%-1,248.9万-12.13%-1,242.8万
职工行使股票期权收到的现金 -31.30%685万71.65%179.2万1,434.76%357.6万-45.63%93.3万-92.13%54.9万54.49%997.1万-58.21%104.4万-82.52%23.3万-2.28%171.6万704.84%697.8万
其他融资活动的净现金流额 -114.57%-2,286.2万-212,822.22%-1,916.3万4,259.72%299.5万-152.38%-1.1万36.92%-668.3万15.51%-1,065.5万99.76%-9,000-50.00%-7.2万130.43%2.1万-21.20%-1,059.5万
非持续融资活动现金净额
融资活动现金净额 199.11%1.56亿1,059.31%2.09亿115.03%320.3万39.33%-2,472.1万57.87%-3,113.2万44.53%-1.58亿54.53%-2,178.3万77.10%-2,130.4万41.69%-4,074.5万-0.52%-7,389.5万
现金净流量
期初现金流 -5.36%4.69亿104.32%10.11亿32.33%8.19亿17.70%6.44亿-5.36%4.69亿128.37%4.96亿-12.64%4.95亿31.56%6.19亿49.51%5.47亿128.37%4.96亿
当期现金流变化 -881.03%-2.36亿-2,940.61%-7.76亿255.86%1.91亿143.26%1.75亿232.44%1.74亿-108.67%-2,410.2万63.54%-2,553.3万-229.62%-1.23亿-31.44%7,183万-64.77%5,231.4万
利率变动影响 146.26%114.5万-1,229.41%-57.6万150.87%70.4万76.86%-8.1万238.64%109.8万-409.76%-247.5万110.81%5.1万-209.15%-138.4万24.24%-35万-270.32%-79.2万
期末现金流 -50.14%2.34亿-50.14%2.34亿104.32%10.11亿32.33%8.19亿17.70%6.44亿-5.36%4.69亿-5.36%4.69亿-12.64%4.95亿31.56%6.19亿49.51%5.47亿
自由现金流 54.47%5.69亿-146.99%-1,310.8万35.27%1.84亿56.93%1.76亿76.90%2.22亿-31.00%3.69亿82.17%-530.7万-27.67%1.36亿-35.51%1.12亿-37.73%1.26亿
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--------
热门市场机会
热门中概股
查看更多
中东战火燃至股市!投资者该如何应对?
美东时间5月21日,据伊朗劳工新闻通讯社(ILNA)援引阿拉伯卫星电视台报道,美伊两国在巴基斯坦的斡旋下达成协议草案,预计将在未来几小时内宣布。不过随后阿拉伯卫星电视台予以否认。另据路透援引伊朗高级消息人士称,双方目前尚未达成任何最终协议,但彼此之间的立场差距已有所收窄。伊朗的 展开