美股市場個股詳情

Cimpress (CMPR)

添加自選
  • 80.490
  • +2.200+2.81%
收盤價 04/14 16:00 (美東)
  • 80.224
  • -0.266-0.33%
盤後 20:01 (美東)
19.55億總市值82.13市盈率TTM

Cimpress (CMPR) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2025/12/31
(Q1)2025/09/30
(FY)2025/06/30
(Q4)2025/06/30
(Q3)2025/03/31
(Q2)2024/12/31
(Q1)2024/09/30
(FY)2024/06/30
(Q4)2024/06/30
(Q3)2024/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額
-6.72%1.65億
471.60%2,505.9萬
-15.01%2.98億
-14.09%1.07億
15.05%969.5萬
0.90%1.77億
-89.62%438.4萬
169.19%3.51億
102.37%1.25億
-33.11%842.7萬
持續經營淨收入
-19.68%4,949萬
152.65%652萬
-92.77%1,285.2萬
-124.00%-2,835.9萬
-54.80%-802萬
2.26%6,161.5萬
-371.04%-1,238.4萬
195.74%1.78億
331.64%1.18億
89.60%-518.1萬
持續經營損益
86.29%-402.2萬
-199.60%-767.6萬
392.43%1,275.3萬
1,176.99%1,958.9萬
813.14%1,480.2萬
-1,559.79%-2,934.5萬
234.08%770.7萬
-127.88%-436.1萬
115.50%153.4萬
-64.95%162.1萬
折舊和攤銷
4.00%3,661.8萬
3.02%3,661.8萬
-7.01%1.41億
1.16%3,607.4萬
-7.48%3,430萬
-9.92%3,521.1萬
-11.01%3,554.6萬
-6.57%1.52億
-12.73%3,566.1萬
-6.74%3,707.2萬
遞延稅費
89.10%79.8萬
-6.07%277.2萬
144.44%4,197.1萬
137.89%3,619.3萬
-24.49%240.5萬
142.33%42.2萬
363.95%295.1萬
-182.19%-9,444.2萬
-8,809.70%-9,551.2萬
437.75%318.5萬
其他非現金項目
-18.36%166.7萬
57.53%209.2萬
571.52%1,084.5萬
231.90%355.8萬
198.32%391.7萬
344.88%204.2萬
208.06%132.8萬
-87.80%161.5萬
154.55%107.2萬
-60.12%131.3萬
營運資金變化
-31.37%6,327.9萬
35.21%-3,006萬
-62.77%1,963.9萬
-48.55%2,422.8萬
-5.03%-5,039.3萬
53.01%9,220.1萬
-601.39%-4,639.7萬
239.03%5,275.4萬
579.91%4,708.9萬
-790.36%-4,798萬
-應收款項(增)減
20.01%1,592.5萬
-62.68%-1,264.8萬
2,147.83%361.9萬
-82.79%113.4萬
66.37%-301萬
180.55%1,327萬
-251.97%-777.5萬
103.79%16.1萬
1,003.85%659萬
-1,532.00%-895萬
-存貨(增)減
-32.03%254.7萬
-3.16%-1,063.5萬
-159.87%-705.2萬
-94.82%24.7萬
-143.43%-73.7萬
-34.38%374.7萬
-2,470.82%-1,030.9萬
3.75%1,177.8萬
-65.78%477.2萬
-92.83%169.7萬
-預付費用(增)減
-93.12%-1,958.6萬
5.42%-324.4萬
-49.66%783.3萬
-5.92%997.3萬
180.26%1,143.2萬
-204.29%-1,014.2萬
-181.40%-343萬
780.09%1,556萬
54.99%1,060萬
-49.67%407.9萬
-應付款項及應計費用(減)增
-24.53%6,439.3萬
85.80%-353.3萬
-39.66%1,523.9萬
-48.76%1,287.4萬
-29.62%-5,807.8萬
60.53%8,532.6萬
-202.75%-2,488.3萬
153.94%2,525.5萬
180.55%2,512.7萬
-76.17%-4,480.6萬
非持續經營活動現金淨額
經營活動現金淨額
-6.72%1.65億
471.60%2,505.9萬
-15.01%2.98億
-14.09%1.07億
15.05%969.5萬
0.90%1.77億
-89.62%438.4萬
169.19%3.51億
102.37%1.25億
-33.11%842.7萬
投資活動現金流量
持續投資活動現金淨額
-35.08%-5,073.3萬
-67.90%-4,281.8萬
-157.73%-1.41億
-269.43%-3,659.2萬
-187.16%-4,110.4萬
-91.93%-3,755.9萬
-135.56%-2,550.2萬
47.35%-5,461.4萬
-314.12%-990.5萬
-703.25%-1,431.4萬
資本性支出
3.92%-1,602.4萬
-18.63%-1,728.6萬
-9.92%-6,409.3萬
-10.54%-1,650.2萬
-8.70%-1,634.3萬
-19.57%-1,667.7萬
-1.21%-1,457.1萬
-0.90%-5,830.7萬
-9.72%-1,492.8萬
-0.67%-1,503.5萬
固定資產交易的淨現金流
4.69%-2,518萬
-55.01%-2,635.3萬
-62.08%-8,902.4萬
-98.18%-2,081.3萬
-136.79%-2,479.2萬
-131.94%-2,641.8萬
24.66%-1,700.1萬
-2.15%-5,492.7萬
35.52%-1,050.2萬
4.78%-1,047萬
業務交易的淨現金流
----
----
81.83%-65.8萬
--0
---65.8萬
----
----
21.76%-362.1萬
---362.1萬
----
投資產品交易的淨現金流
--0
--0
-74.30%993.8萬
--0
--0
0.41%543.8萬
-78.05%450萬
378.66%3,867.6萬
-93.75%200萬
-61.27%1,076萬
其他投資活動的淨現金流
789.80%87.2萬
-47.71%82.1萬
-86.93%308萬
-95.78%72.3萬
59.86%68.9萬
-72.16%9.8萬
-72.14%157萬
437.77%2,356.5萬
580.94%1,714.6萬
-13.63%43.1萬
非持續投資活動現金淨額
投資活動現金淨額
-35.08%-5,073.3萬
-67.90%-4,281.8萬
-157.73%-1.41億
-269.43%-3,659.2萬
-187.16%-4,110.4萬
-91.93%-3,755.9萬
-135.56%-2,550.2萬
47.35%-5,461.4萬
-314.12%-990.5萬
-703.25%-1,431.4萬
融資活動現金流量
持續融資活動現金淨額
2.89%-5,696.5萬
58.62%-1,465.6萬
38.93%-1.36億
56.17%-2,850.8萬
87.91%-1,333.7萬
-385.19%-5,866萬
-1.00%-3,541.6萬
-25.66%-2.23億
-26.70%-6,504.6萬
-745.54%-1.1億
債務發行/償還的淨現金流
-6.11%-602.3萬
-60.11%-573.5萬
56.44%-2,115.1萬
-0.90%-574萬
3.30%-615.3萬
44.96%-567.6萬
86.33%-358.2萬
26.79%-4,855.8萬
88.76%-568.9萬
-31.20%-636.3萬
普通股發行/償還的淨現金流
41.24%-2,468萬
76.94%-221.8萬
50.67%-7,640萬
62.06%-2,084.1萬
96.06%-394.1萬
-700,066.67%-4,199.8萬
-11,831.71%-962萬
-47,463.91%-1.55億
-16,896.94%-5,492.6萬
---1億
其他融資活動的淨現金流額
-139.05%-2,626.2萬
69.83%-670.3萬
-100.74%-3,837萬
56.51%-192.7萬
17.82%-324.3萬
-515.81%-1,098.6萬
-148.12%-2,221.4萬
82.80%-1,911.4萬
-327.29%-443.1萬
51.88%-394.6萬
非持續融資活動現金淨額
融資活動現金淨額
2.89%-5,696.5萬
58.62%-1,465.6萬
38.93%-1.36億
56.17%-2,850.8萬
87.91%-1,333.7萬
-385.19%-5,866萬
-1.00%-3,541.6萬
-25.66%-2.23億
-26.70%-6,504.6萬
-745.54%-1.1億
現金淨流量
期初現金流
31.09%2.01億
14.82%2.34億
56.37%2.04億
18.57%1.83億
-18.15%2.24億
22.17%1.53億
56.37%2.04億
-52.96%1.3億
34.22%1.54億
146.41%2.74億
當期現金流變化
-29.06%5,696.3萬
42.66%-3,241.5萬
-70.92%2,139.2萬
-15.50%4,237.2萬
61.50%-4,474.6萬
-43.96%8,030萬
-1,454.41%-5,653.4萬
148.86%7,355.6萬
232.06%5,014.4萬
-5,103.13%-1.16億
利率變動影響
106.46%57萬
-118.60%-106.2萬
9,477.66%881.5萬
1,318.25%861.3萬
191.24%331.4萬
-254.18%-882.2萬
486.59%571萬
-102.47%-9.4萬
-418.47%-70.7萬
-300.11%-363.2萬
期末現金流
14.98%2.58億
31.09%2.01億
14.82%2.34億
14.82%2.34億
18.57%1.83億
-18.15%2.24億
22.17%1.53億
56.37%2.04億
56.37%2.04億
34.22%1.54億
自由現金流
-7.47%1.23億
31.66%-1,858萬
-38.96%1.45億
-29.61%7,015.7萬
-84.10%-3,144萬
-10.82%1.33億
-613.76%-2,718.8萬
1,167.96%2.37億
212.20%9,966.5萬
-28.10%-1,707.8萬
貨幣單位
美元
美元
美元
美元
美元
美元
美元
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美元
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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
--
--
(Q2)2025/12/31(Q1)2025/09/30(FY)2025/06/30(Q4)2025/06/30(Q3)2025/03/31(Q2)2024/12/31(Q1)2024/09/30(FY)2024/06/30(Q4)2024/06/30(Q3)2024/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額 -6.72%1.65億471.60%2,505.9萬-15.01%2.98億-14.09%1.07億15.05%969.5萬0.90%1.77億-89.62%438.4萬169.19%3.51億102.37%1.25億-33.11%842.7萬
持續經營淨收入 -19.68%4,949萬152.65%652萬-92.77%1,285.2萬-124.00%-2,835.9萬-54.80%-802萬2.26%6,161.5萬-371.04%-1,238.4萬195.74%1.78億331.64%1.18億89.60%-518.1萬
持續經營損益 86.29%-402.2萬-199.60%-767.6萬392.43%1,275.3萬1,176.99%1,958.9萬813.14%1,480.2萬-1,559.79%-2,934.5萬234.08%770.7萬-127.88%-436.1萬115.50%153.4萬-64.95%162.1萬
折舊和攤銷 4.00%3,661.8萬3.02%3,661.8萬-7.01%1.41億1.16%3,607.4萬-7.48%3,430萬-9.92%3,521.1萬-11.01%3,554.6萬-6.57%1.52億-12.73%3,566.1萬-6.74%3,707.2萬
遞延稅費 89.10%79.8萬-6.07%277.2萬144.44%4,197.1萬137.89%3,619.3萬-24.49%240.5萬142.33%42.2萬363.95%295.1萬-182.19%-9,444.2萬-8,809.70%-9,551.2萬437.75%318.5萬
其他非現金項目 -18.36%166.7萬57.53%209.2萬571.52%1,084.5萬231.90%355.8萬198.32%391.7萬344.88%204.2萬208.06%132.8萬-87.80%161.5萬154.55%107.2萬-60.12%131.3萬
營運資金變化 -31.37%6,327.9萬35.21%-3,006萬-62.77%1,963.9萬-48.55%2,422.8萬-5.03%-5,039.3萬53.01%9,220.1萬-601.39%-4,639.7萬239.03%5,275.4萬579.91%4,708.9萬-790.36%-4,798萬
-應收款項(增)減 20.01%1,592.5萬-62.68%-1,264.8萬2,147.83%361.9萬-82.79%113.4萬66.37%-301萬180.55%1,327萬-251.97%-777.5萬103.79%16.1萬1,003.85%659萬-1,532.00%-895萬
-存貨(增)減 -32.03%254.7萬-3.16%-1,063.5萬-159.87%-705.2萬-94.82%24.7萬-143.43%-73.7萬-34.38%374.7萬-2,470.82%-1,030.9萬3.75%1,177.8萬-65.78%477.2萬-92.83%169.7萬
-預付費用(增)減 -93.12%-1,958.6萬5.42%-324.4萬-49.66%783.3萬-5.92%997.3萬180.26%1,143.2萬-204.29%-1,014.2萬-181.40%-343萬780.09%1,556萬54.99%1,060萬-49.67%407.9萬
-應付款項及應計費用(減)增 -24.53%6,439.3萬85.80%-353.3萬-39.66%1,523.9萬-48.76%1,287.4萬-29.62%-5,807.8萬60.53%8,532.6萬-202.75%-2,488.3萬153.94%2,525.5萬180.55%2,512.7萬-76.17%-4,480.6萬
非持續經營活動現金淨額
經營活動現金淨額 -6.72%1.65億471.60%2,505.9萬-15.01%2.98億-14.09%1.07億15.05%969.5萬0.90%1.77億-89.62%438.4萬169.19%3.51億102.37%1.25億-33.11%842.7萬
投資活動現金流量
持續投資活動現金淨額 -35.08%-5,073.3萬-67.90%-4,281.8萬-157.73%-1.41億-269.43%-3,659.2萬-187.16%-4,110.4萬-91.93%-3,755.9萬-135.56%-2,550.2萬47.35%-5,461.4萬-314.12%-990.5萬-703.25%-1,431.4萬
資本性支出 3.92%-1,602.4萬-18.63%-1,728.6萬-9.92%-6,409.3萬-10.54%-1,650.2萬-8.70%-1,634.3萬-19.57%-1,667.7萬-1.21%-1,457.1萬-0.90%-5,830.7萬-9.72%-1,492.8萬-0.67%-1,503.5萬
固定資產交易的淨現金流 4.69%-2,518萬-55.01%-2,635.3萬-62.08%-8,902.4萬-98.18%-2,081.3萬-136.79%-2,479.2萬-131.94%-2,641.8萬24.66%-1,700.1萬-2.15%-5,492.7萬35.52%-1,050.2萬4.78%-1,047萬
業務交易的淨現金流 --------81.83%-65.8萬--0---65.8萬--------21.76%-362.1萬---362.1萬----
投資產品交易的淨現金流 --0--0-74.30%993.8萬--0--00.41%543.8萬-78.05%450萬378.66%3,867.6萬-93.75%200萬-61.27%1,076萬
其他投資活動的淨現金流 789.80%87.2萬-47.71%82.1萬-86.93%308萬-95.78%72.3萬59.86%68.9萬-72.16%9.8萬-72.14%157萬437.77%2,356.5萬580.94%1,714.6萬-13.63%43.1萬
非持續投資活動現金淨額
投資活動現金淨額 -35.08%-5,073.3萬-67.90%-4,281.8萬-157.73%-1.41億-269.43%-3,659.2萬-187.16%-4,110.4萬-91.93%-3,755.9萬-135.56%-2,550.2萬47.35%-5,461.4萬-314.12%-990.5萬-703.25%-1,431.4萬
融資活動現金流量
持續融資活動現金淨額 2.89%-5,696.5萬58.62%-1,465.6萬38.93%-1.36億56.17%-2,850.8萬87.91%-1,333.7萬-385.19%-5,866萬-1.00%-3,541.6萬-25.66%-2.23億-26.70%-6,504.6萬-745.54%-1.1億
債務發行/償還的淨現金流 -6.11%-602.3萬-60.11%-573.5萬56.44%-2,115.1萬-0.90%-574萬3.30%-615.3萬44.96%-567.6萬86.33%-358.2萬26.79%-4,855.8萬88.76%-568.9萬-31.20%-636.3萬
普通股發行/償還的淨現金流 41.24%-2,468萬76.94%-221.8萬50.67%-7,640萬62.06%-2,084.1萬96.06%-394.1萬-700,066.67%-4,199.8萬-11,831.71%-962萬-47,463.91%-1.55億-16,896.94%-5,492.6萬---1億
其他融資活動的淨現金流額 -139.05%-2,626.2萬69.83%-670.3萬-100.74%-3,837萬56.51%-192.7萬17.82%-324.3萬-515.81%-1,098.6萬-148.12%-2,221.4萬82.80%-1,911.4萬-327.29%-443.1萬51.88%-394.6萬
非持續融資活動現金淨額
融資活動現金淨額 2.89%-5,696.5萬58.62%-1,465.6萬38.93%-1.36億56.17%-2,850.8萬87.91%-1,333.7萬-385.19%-5,866萬-1.00%-3,541.6萬-25.66%-2.23億-26.70%-6,504.6萬-745.54%-1.1億
現金淨流量
期初現金流 31.09%2.01億14.82%2.34億56.37%2.04億18.57%1.83億-18.15%2.24億22.17%1.53億56.37%2.04億-52.96%1.3億34.22%1.54億146.41%2.74億
當期現金流變化 -29.06%5,696.3萬42.66%-3,241.5萬-70.92%2,139.2萬-15.50%4,237.2萬61.50%-4,474.6萬-43.96%8,030萬-1,454.41%-5,653.4萬148.86%7,355.6萬232.06%5,014.4萬-5,103.13%-1.16億
利率變動影響 106.46%57萬-118.60%-106.2萬9,477.66%881.5萬1,318.25%861.3萬191.24%331.4萬-254.18%-882.2萬486.59%571萬-102.47%-9.4萬-418.47%-70.7萬-300.11%-363.2萬
期末現金流 14.98%2.58億31.09%2.01億14.82%2.34億14.82%2.34億18.57%1.83億-18.15%2.24億22.17%1.53億56.37%2.04億56.37%2.04億34.22%1.54億
自由現金流 -7.47%1.23億31.66%-1,858萬-38.96%1.45億-29.61%7,015.7萬-84.10%-3,144萬-10.82%1.33億-613.76%-2,718.8萬1,167.96%2.37億212.20%9,966.5萬-28.10%-1,707.8萬
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