萊納建築
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KBH
(Q1)2025/03/31 | (FY)2024/12/31 | (Q4)2024/12/31 | (Q3)2024/09/30 | (Q2)2024/06/30 | (Q1)2024/03/31 | (FY)2023/12/31 | (Q4)2023/12/31 | (Q3)2023/09/30 | (Q2)2023/06/30 | |
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經營活動現金流量(間接法) | ||||||||||
持續經營活動現金淨額 | -91.76%583.7萬 | -38.17%2.74億 | -53.32%1.23億 | 2.39%5.16億 | -102.31%-4.35億 | 165.32%7,084.7萬 | -62.75%4.43億 | 667.51%2.63億 | 2.72%5.04億 | -160.27%-2.15億 |
持續經營淨收入 | 50.84%4,453.2萬 | 4.43%1.23億 | 22.36%3,788.4萬 | -16.30%3,290.5萬 | 14.85%2,289.9萬 | 6.32%2,952.2萬 | -1.10%1.18億 | 16.49%3,096.2萬 | 18.21%3,931.1萬 | -43.56%1,993.8萬 |
持續經營損益 | -107.90%-8,798.6萬 | -9.92%-1.99億 | -11.75%-4,367萬 | -3.73%-5,136.3萬 | -13.56%-6,182.7萬 | -10.87%-4,232.2萬 | 40.76%-1.81億 | 0.90%-3,908萬 | 14.62%-4,951.6萬 | 44.19%-5,444.2萬 |
折舊和攤銷 | -8.36%460.6萬 | 1.62%1,994.8萬 | 11.18%485.1萬 | 14.42%576萬 | -1.80%431.1萬 | -13.98%502.6萬 | -39.83%1,963萬 | -64.87%436.3萬 | -16.60%503.4萬 | -32.06%439萬 |
遞延稅費 | 28.27%240萬 | -378.91%-1,953.5萬 | -558.81%-796.5萬 | 15.58%67.5萬 | -901.59%-1,411.6萬 | -35.99%187.1萬 | -14.42%700.4萬 | -70.71%173.6萬 | 278.59%58.4萬 | 2,329.11%176.1萬 |
其他非現金項目 | -68.68%5,366.5萬 | 11.79%2.41億 | -78.58%3,257.3萬 | 20.85%3.89億 | -52.31%-3.52億 | 726.20%1.71億 | -82.45%2.15億 | 26.84%1.52億 | -39.22%3.22億 | -197.74%-2.31億 |
營運資金變動 | 77.40%-2,072.9萬 | -56.17%1.08億 | -6.10%1.05億 | -24.94%1.4億 | -252.68%-4,524萬 | -12.17%-9,173.8萬 | 147.79%2.46億 | 163.76%1.12億 | 1,041.83%1.86億 | -82.66%2,963.1萬 |
-應收款項(增)減 | -62.65%4,178.4萬 | 122.73%1.02億 | -153.37%-2.55億 | 425.17%8,416.3萬 | 82.11%1.61億 | 124.72%1.12億 | -147.91%-4.49億 | -153.38%-1.01億 | 111.07%1,602.6萬 | -85.40%8,821.1萬 |
-應付款項及遞延費用(減)增 | 606.50%1.12億 | -115.60%-6,450.9萬 | 316.35%2.21億 | -471.24%-1.27億 | -118.86%-1.75億 | -96.10%1,586.1萬 | 156.33%4.14億 | 120.16%5,318.9萬 | -78.56%3,410.2萬 | 83.98%-8,006.1萬 |
-貸款(增)減 | -131.46%-443.4萬 | -31.46%1,364.5萬 | -90.76%249.9萬 | 179.94%237.5萬 | -122.66%-532.2萬 | 150.96%1,409.3萬 | 145.90%1,990.8萬 | 240.92%2,705.3萬 | 92.91%-297.1萬 | -84.89%2,348.3萬 |
-其他流動資產變化 | 16.94%631.6萬 | 68.67%4,219.5萬 | 37.63%8,094.3萬 | -588.83%-3,098.7萬 | 80.92%-1,316.2萬 | -81.28%540.1萬 | 450.66%2,501.6萬 | 31.02%5,881.2萬 | 112.53%633.9萬 | -231.88%-6,899.3萬 |
-其他流動負債變化 | 18.12%-7,962.7萬 | -270.02%-1,088.6萬 | -55.36%462.2萬 | 102.69%3,023.8萬 | -27.18%5,150.5萬 | 1.71%-9,725.1萬 | -105.44%-294.2萬 | 183.79%1,035.3萬 | -86.05%1,491.8萬 | 460.23%7,073.2萬 |
-其他營運資本變化 | 31.67%-9,682.6萬 | -89.42%2,528.8萬 | -20.31%5,013.3萬 | 53.33%1.81億 | -1,602.33%-6,368.4萬 | -328.11%-1.42億 | 323.33%2.39億 | 155.59%6,291萬 | 342.32%1.18億 | 96.92%-374.1萬 |
非持續經營活動現金流 | ||||||||||
經營活動現金淨額 | -91.76%583.7萬 | -38.17%2.74億 | -53.32%1.23億 | 2.39%5.16億 | -102.31%-4.35億 | 165.32%7,084.7萬 | -62.75%4.43億 | 667.51%2.63億 | 2.72%5.04億 | -160.27%-2.15億 |
投資活動現金流量 | ||||||||||
持續投資活動現金淨額 | -272.98%-2,686.2萬 | 123.71%3.54億 | -59.26%4,738.5萬 | 18.14%2.77億 | 127.68%1,396.8萬 | 110.92%1,552.9萬 | 118.05%1.58億 | 164.08%1.16億 | 281.00%2.35億 | 82.21%-5,045.4萬 |
投資產品交易淨現金流 | -122.17%-1,049.6萬 | -8.81%2.13億 | -124.35%-121.3萬 | 41.94%9,496.7萬 | -34.94%7,166.3萬 | -7.68%4,734.5萬 | 165.45%2.33億 | 108.67%498.1萬 | 226.86%6,690.7萬 | 202.97%1.1億 |
貸款淨收益 | -102.64%-6,377.5萬 | 297.45%1.41億 | -56.35%4,928.6萬 | 22.79%1.84億 | 62.87%-6,073.9萬 | 81.55%-3,147.2萬 | 86.14%-7,141.9萬 | 190.86%1.13億 | 302.03%1.5億 | 6.21%-1.64億 |
固定資產交易的淨現金流 | 14,831.06%4,743.4萬 | 112.18%51.5萬 | 58.25%-65.5萬 | -46.95%-154.3萬 | 258.07%303.5萬 | -203.54%-32.2萬 | 19.53%-422.8萬 | -674.73%-156.9萬 | 62.11%-105萬 | 13.47%-192萬 |
其他投資活動的淨現金流 | -13.64%-2.5萬 | -111.33%-7.5萬 | -22.22%-3.3萬 | -100.15%-2.9萬 | -99.82%9,000 | 99.91%-2.2萬 | 412.26%66.2萬 | 27.03%-2.7萬 | 61,661.29%1,908.4萬 | 491,600.00%491.5萬 |
非持續投資現金淨額 | ||||||||||
投資活動現金流淨額 | -272.98%-2,686.2萬 | 123.71%3.54億 | -59.26%4,738.5萬 | 18.14%2.77億 | 127.68%1,396.8萬 | 110.92%1,552.9萬 | 118.05%1.58億 | 164.08%1.16億 | 281.00%2.35億 | 82.21%-5,045.4萬 |
融資活動現金流量 | ||||||||||
持續融資活動現金淨額 | -151.63%-5.58億 | 47.58%-1.74億 | 751.19%1.79億 | 146.08%3.73億 | -601.76%-5.05億 | -154.89%-2.22億 | 80.55%-3.33億 | -132.62%-2,756.3萬 | -114.35%-8.09億 | 108.50%1.01億 |
存款的增減 | -21.77%-2.3億 | 84.06%-3,219.3萬 | 1,000.45%2.74億 | 1,193.88%3.69億 | -790.51%-4.86億 | 9.09%-1.89億 | 84.21%-2.02億 | -270.30%-3,042.4萬 | 93.06%-3,376.4萬 | 109.93%7,042萬 |
債務發行/償還的淨現金流 | -3,991.47%-2.79億 | 7.89%-6,533萬 | -592.97%-8,046.2萬 | 102.30%1,752.7萬 | -89.92%441.6萬 | -101.08%-681.1萬 | -206.41%-7,092.9萬 | 192.60%1,632.2萬 | -736.43%-7.63億 | 333.85%4,381.9萬 |
普通股發行/償還的淨現金流 | -234.79%-3,328.1萬 | -289.49%-1,986.4萬 | --0 | --0 | ---992.3萬 | -120.76%-994.1萬 | 98.85%-510萬 | ---59.7萬 | --0 | --0 |
現金股利支付 | -5.17%-1,164.9萬 | -6.38%-4,425.7萬 | -5.91%-1,104.3萬 | -6.02%-1,104.3萬 | -6.58%-1,109.5萬 | -7.00%-1,107.6萬 | 3.16%-4,160.4萬 | -9.69%-1,042.7萬 | -7.49%-1,041.6萬 | 12.65%-1,041萬 |
其他融資活動的淨現金流額 | 17.71%-381.1萬 | 2.34%-1,266.4萬 | -21.50%-296.1萬 | -25.85%-282.9萬 | 29.11%-224.3萬 | 9.52%-463.1萬 | -8.51%-1,296.7萬 | 5.58%-243.7萬 | -67.14%-224.8萬 | -56.79%-316.4萬 |
非持續融資活動現金淨額 | ||||||||||
融資活動現金流淨額 | -151.63%-5.58億 | 47.58%-1.74億 | 751.19%1.79億 | 146.08%3.73億 | -601.76%-5.05億 | -154.89%-2.22億 | 80.55%-3.33億 | -132.62%-2,756.3萬 | -114.35%-8.09億 | 108.50%1.01億 |
現金淨流量 | ||||||||||
期初現金流 | 23.68%23.71億 | 16.31%19.17億 | 29.14%20.21億 | -47.74%8.55億 | -1.09%17.81億 | 16.31%19.17億 | -45.89%16.48億 | -17.10%15.65億 | -14.11%16.36億 | -40.28%18.01億 |
當期現金流變化 | -327.80%-5.79億 | 68.81%4.54億 | -0.62%3.5億 | 1,737.93%11.66億 | -461.64%-9.26億 | -188.37%-1.35億 | 119.24%2.69億 | 246.79%3.52億 | -315.15%-7,118.2萬 | 85.15%-1.65億 |
期末現金流 | 0.58%17.92億 | 23.68%23.71億 | 23.68%23.71億 | 29.14%20.21億 | -47.74%8.55億 | -1.09%17.81億 | 16.31%19.17億 | 16.31%19.17億 | -17.10%15.65億 | -14.11%16.36億 |
自由現金流 | -92.63%504萬 | -38.60%2.67億 | -53.25%1.22億 | 2.54%5.14億 | -100.93%-4.37億 | 162.41%6,840.4萬 | -63.16%4.35億 | 633.97%2.61億 | 2.80%5.01億 | -161.51%-2.18億 |
貨幣單位 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 |
會計準則 | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
審計意見 | -- | 無保留意見 | -- | -- | -- | -- | 無保留意見 | -- | -- | -- |