美股市場個股詳情

查爾斯河實驗室 (CRL)

添加自選
  • 176.940
  • -3.620-2.00%
收盤價 04/16 16:00 (美東)
  • 176.590
  • -0.350-0.20%
盤後 17:14 (美東)
87.31億總市值-60.80市盈率TTM

查爾斯河實驗室 (CRL) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2025/12/27
(Q4)2025/12/27
(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)2024/03/29
經營活動現金流量(間接法)
持續經營活動現金淨額
0.42%7.38億
-7.43%1.48億
-15.08%2.14億
5.72%2.05億
32.19%1.72億
7.41%7.35億
-27.87%1.59億
22.56%2.52億
30.66%1.94億
18.75%1.3億
持續經營淨收入
-662.11%-1.42億
-29.26%-2.76億
-20.97%5,555.6萬
-44.10%5,269.3萬
-65.26%2,587.8萬
-94.74%2,529.1萬
-213.12%-2.14億
-20.14%7,029.5萬
-5.21%9,426.1萬
-28.35%7,448.2萬
持續經營損益
58.71%2,153.5萬
-141.68%-904.4萬
948.01%2,105.6萬
694.12%252.5萬
234.04%699.8萬
114.01%1,356.9萬
120.26%2,169.8萬
-155.15%-248.3萬
-117.30%-42.5萬
-259.08%-522.1萬
折舊和攤銷
11.49%4.03億
-23.34%7,827.7萬
-3.44%8,516.4萬
38.83%1.2億
41.01%1.2億
15.16%3.62億
26.82%1.02億
11.83%8,819.8萬
10.83%8,608.2萬
10.75%8,535.7萬
遞延稅費
-11.66%-7,529.2萬
-45.20%-6,017萬
300.60%2,590.8萬
-81.94%-2,198.9萬
-1,829.18%-1,904.1萬
-32.46%-6,742.8萬
-82.94%-4,144萬
-10.42%-1,291.5萬
-143.13%-1,208.6萬
91.48%-98.7萬
其他非現金項目
-92.47%250.4萬
-103.29%-80.2萬
-67.55%104萬
-123.84%-146.5萬
929.11%373.1萬
2,981.65%3,325.1萬
514.98%2,435.1萬
-13.80%320.5萬
245.03%614.5萬
-131.08%-45萬
營運資金變化
146.43%1,408.1萬
115.97%677.2萬
-107.20%-514.5萬
198.54%1,116.7萬
102.68%128.7萬
70.38%-3,032.9萬
-210.44%-4,239.6萬
2,997.53%7,149.1萬
77.84%-1,133.2萬
47.69%-4,809.2萬
-應收款項(增)減
65.36%3,573.7萬
734.27%2,763.1萬
54.38%2,659.6萬
-40.81%1,086.3萬
-69.86%-2,935.3萬
164.64%2,161.2萬
-87.09%331.2萬
259.05%1,722.8萬
227.29%1,835.3萬
48.92%-1,728.1萬
-存貨(增)減
-390.27%-4,877.7萬
-215.99%-349.7萬
-875.61%-3,132.7萬
91.06%792.9萬
-490.75%-2,188.2萬
126.97%1,680.4萬
116.59%301.5萬
135.26%403.9萬
117.23%415萬
165.21%560萬
-應付款項及應計費用(減)增
296.24%8,217.7萬
-23.30%-4,044萬
120.84%6,738.6萬
245.67%1,471.7萬
237.40%4,051.4萬
-424.75%-4,187.5萬
-231.74%-3,279.9萬
-11.66%3,051.3萬
-133.51%-1,010.3萬
53.03%-2,948.6萬
-其他營運資本變化
-104.90%-5,505.6萬
244.93%2,307.8萬
-443.97%-6,780萬
5.86%-2,234.2萬
273.40%1,200.8萬
-2,112.73%-2,687萬
-139.03%-1,592.4萬
298.20%1,971.1萬
44.53%-2,373.2萬
-152.24%-692.5萬
非持續經營活動現金淨額
經營活動現金淨額
0.42%7.38億
-7.43%1.48億
-15.08%2.14億
5.72%2.05億
32.19%1.72億
7.41%7.35億
-27.87%1.59億
22.56%2.52億
30.66%1.94億
18.75%1.3億
投資活動現金流量
持續投資活動現金淨額
14.59%-2.09億
-21.95%-9,280.7萬
-58.02%-3,369.6萬
39.65%-3,733.9萬
46.99%-4,547.9萬
56.48%-2.45億
68.07%-7,610.4萬
73.20%-2,132.4萬
19.24%-6,186.6萬
49.12%-8,579.2萬
資本性支出
5.93%-2.19億
-17.63%-8,895萬
8.11%-3,558萬
10.61%-3,529.8萬
25.04%-5,932.4萬
26.86%-2.33億
3.46%-7,561.6萬
41.28%-3,872.1萬
41.40%-3,948.6萬
25.95%-7,914.4萬
業務交易的淨現金流
418.32%1,744.1萬
--0
--0
--0
--1,744.1萬
97.19%-547.9萬
--0
--0
---547.9萬
--0
投資產品交易的淨現金流
1.92%-1,097.4萬
24.62%-406.7萬
-105.31%-92.3萬
86.42%-228.4萬
41.87%-370萬
76.47%-1,118.9萬
64.46%-539.5萬
237.72%1,738.5萬
-84.18%-1,681.4萬
40.05%-636.5萬
其他投資活動的淨現金流
-26.05%336.4萬
-95.72%21萬
23,291.67%280.7萬
379.31%24.3萬
136.75%10.4萬
298.30%454.9萬
2,062.80%490.7萬
101.22%1.2萬
10.31%-8.7萬
70.52%-28.3萬
非持續投資活動現金淨額
投資活動現金淨額
14.59%-2.09億
-21.95%-9,280.7萬
-58.02%-3,369.6萬
39.65%-3,733.9萬
46.99%-4,547.9萬
56.48%-2.45億
68.07%-7,610.4萬
73.20%-2,132.4萬
19.24%-6,186.6萬
49.12%-8,579.2萬
融資活動現金流量
持續融資活動現金淨額
2.58%-5.37億
31.65%-5,186.4萬
26.46%-1.53億
20.62%-2.27億
-674.10%-1.05億
-544.20%-5.51億
-161.41%-7,587.9萬
-27.43%-2.08億
-300.00%-2.86億
-27.32%1,834.6萬
債務發行/償還的淨現金流
70.45%-1.22億
28.95%-5,114.4萬
-55.53%-1.46億
24.85%-1.91億
3,077.94%2.67億
-447.23%-4.12億
-158.74%-7,198.1萬
42.16%-9,406.3萬
-261.44%-2.55億
-76.12%840萬
普通股發行/償還的淨現金流
-202.64%-3.61億
22.58%-9.6萬
99.91%-9.3萬
17.52%-735.2萬
-3,676.41%-3.53億
-393.38%-1.19億
10.79%-12.4萬
-265,126.32%-1.01億
-79.50%-891.4萬
50.82%-935.1萬
職工行使股票期權收到的現金
-97.01%71.4萬
-7.42%71.1萬
-99.74%2,000
-99.88%1,000
--0
-6.72%2,387.8萬
-87.07%76.8萬
-80.22%77.9萬
-78.97%82.6萬
82.37%2,150.5萬
其他融資活動的淨現金流額
-26.57%-5,498.4萬
70.61%-133.5萬
53.74%-622.9萬
-21.76%-2,828萬
-766.85%-1,914萬
-273.21%-4,344.2萬
5.06%-454.2萬
-224.87%-1,346.6萬
---2,322.6萬
18.55%-220.8萬
非持續融資活動現金淨額
融資活動現金淨額
2.58%-5.37億
31.65%-5,186.4萬
26.46%-1.53億
20.62%-2.27億
-674.10%-1.05億
-544.20%-5.51億
-161.41%-7,587.9萬
-27.43%-2.08億
-300.00%-2.86億
-27.32%1,834.6萬
現金淨流量
期初現金流
-27.74%2.06億
-1.14%2.09億
2.06%1.85億
-31.55%2.32億
-27.74%2.06億
17.94%2.84億
27.79%2.12億
-13.30%1.81億
62.06%3.39億
17.94%2.84億
當期現金流變化
86.33%-840.1萬
-61.39%284.9萬
19.98%2,751.4萬
61.31%-5,965.7萬
-66.54%2,089.3萬
-274.43%-6,143.6萬
-93.05%737.9萬
162.02%2,293.2萬
-314,771.43%-1.54億
283.69%6,244.2萬
利率變動影響
207.75%1,882.8萬
129.21%392.8萬
-139.38%-303.4萬
479.08%1,266.9萬
162.78%526.5萬
-317.23%-1,747.4萬
-205.70%-1,344.9萬
224.50%770.4萬
-1,950.31%-334.2萬
-601.92%-838.7萬
期末現金流
5.07%2.16億
5.07%2.16億
-1.14%2.09億
2.06%1.85億
-31.55%2.32億
-27.74%2.06億
-27.74%2.06億
27.79%2.12億
-13.30%1.81億
62.06%3.39億
自由現金流
3.37%5.18億
-30.06%5,857萬
-16.34%1.78億
9.90%1.69億
121.45%1.12億
37.29%5.02億
-41.28%8,374.6萬
52.74%2.13億
90.80%1.54億
1,923.29%5,074.4萬
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
(FY)2025/12/27(Q4)2025/12/27(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)2024/03/29
經營活動現金流量(間接法)
持續經營活動現金淨額 0.42%7.38億-7.43%1.48億-15.08%2.14億5.72%2.05億32.19%1.72億7.41%7.35億-27.87%1.59億22.56%2.52億30.66%1.94億18.75%1.3億
持續經營淨收入 -662.11%-1.42億-29.26%-2.76億-20.97%5,555.6萬-44.10%5,269.3萬-65.26%2,587.8萬-94.74%2,529.1萬-213.12%-2.14億-20.14%7,029.5萬-5.21%9,426.1萬-28.35%7,448.2萬
持續經營損益 58.71%2,153.5萬-141.68%-904.4萬948.01%2,105.6萬694.12%252.5萬234.04%699.8萬114.01%1,356.9萬120.26%2,169.8萬-155.15%-248.3萬-117.30%-42.5萬-259.08%-522.1萬
折舊和攤銷 11.49%4.03億-23.34%7,827.7萬-3.44%8,516.4萬38.83%1.2億41.01%1.2億15.16%3.62億26.82%1.02億11.83%8,819.8萬10.83%8,608.2萬10.75%8,535.7萬
遞延稅費 -11.66%-7,529.2萬-45.20%-6,017萬300.60%2,590.8萬-81.94%-2,198.9萬-1,829.18%-1,904.1萬-32.46%-6,742.8萬-82.94%-4,144萬-10.42%-1,291.5萬-143.13%-1,208.6萬91.48%-98.7萬
其他非現金項目 -92.47%250.4萬-103.29%-80.2萬-67.55%104萬-123.84%-146.5萬929.11%373.1萬2,981.65%3,325.1萬514.98%2,435.1萬-13.80%320.5萬245.03%614.5萬-131.08%-45萬
營運資金變化 146.43%1,408.1萬115.97%677.2萬-107.20%-514.5萬198.54%1,116.7萬102.68%128.7萬70.38%-3,032.9萬-210.44%-4,239.6萬2,997.53%7,149.1萬77.84%-1,133.2萬47.69%-4,809.2萬
-應收款項(增)減 65.36%3,573.7萬734.27%2,763.1萬54.38%2,659.6萬-40.81%1,086.3萬-69.86%-2,935.3萬164.64%2,161.2萬-87.09%331.2萬259.05%1,722.8萬227.29%1,835.3萬48.92%-1,728.1萬
-存貨(增)減 -390.27%-4,877.7萬-215.99%-349.7萬-875.61%-3,132.7萬91.06%792.9萬-490.75%-2,188.2萬126.97%1,680.4萬116.59%301.5萬135.26%403.9萬117.23%415萬165.21%560萬
-應付款項及應計費用(減)增 296.24%8,217.7萬-23.30%-4,044萬120.84%6,738.6萬245.67%1,471.7萬237.40%4,051.4萬-424.75%-4,187.5萬-231.74%-3,279.9萬-11.66%3,051.3萬-133.51%-1,010.3萬53.03%-2,948.6萬
-其他營運資本變化 -104.90%-5,505.6萬244.93%2,307.8萬-443.97%-6,780萬5.86%-2,234.2萬273.40%1,200.8萬-2,112.73%-2,687萬-139.03%-1,592.4萬298.20%1,971.1萬44.53%-2,373.2萬-152.24%-692.5萬
非持續經營活動現金淨額
經營活動現金淨額 0.42%7.38億-7.43%1.48億-15.08%2.14億5.72%2.05億32.19%1.72億7.41%7.35億-27.87%1.59億22.56%2.52億30.66%1.94億18.75%1.3億
投資活動現金流量
持續投資活動現金淨額 14.59%-2.09億-21.95%-9,280.7萬-58.02%-3,369.6萬39.65%-3,733.9萬46.99%-4,547.9萬56.48%-2.45億68.07%-7,610.4萬73.20%-2,132.4萬19.24%-6,186.6萬49.12%-8,579.2萬
資本性支出 5.93%-2.19億-17.63%-8,895萬8.11%-3,558萬10.61%-3,529.8萬25.04%-5,932.4萬26.86%-2.33億3.46%-7,561.6萬41.28%-3,872.1萬41.40%-3,948.6萬25.95%-7,914.4萬
業務交易的淨現金流 418.32%1,744.1萬--0--0--0--1,744.1萬97.19%-547.9萬--0--0---547.9萬--0
投資產品交易的淨現金流 1.92%-1,097.4萬24.62%-406.7萬-105.31%-92.3萬86.42%-228.4萬41.87%-370萬76.47%-1,118.9萬64.46%-539.5萬237.72%1,738.5萬-84.18%-1,681.4萬40.05%-636.5萬
其他投資活動的淨現金流 -26.05%336.4萬-95.72%21萬23,291.67%280.7萬379.31%24.3萬136.75%10.4萬298.30%454.9萬2,062.80%490.7萬101.22%1.2萬10.31%-8.7萬70.52%-28.3萬
非持續投資活動現金淨額
投資活動現金淨額 14.59%-2.09億-21.95%-9,280.7萬-58.02%-3,369.6萬39.65%-3,733.9萬46.99%-4,547.9萬56.48%-2.45億68.07%-7,610.4萬73.20%-2,132.4萬19.24%-6,186.6萬49.12%-8,579.2萬
融資活動現金流量
持續融資活動現金淨額 2.58%-5.37億31.65%-5,186.4萬26.46%-1.53億20.62%-2.27億-674.10%-1.05億-544.20%-5.51億-161.41%-7,587.9萬-27.43%-2.08億-300.00%-2.86億-27.32%1,834.6萬
債務發行/償還的淨現金流 70.45%-1.22億28.95%-5,114.4萬-55.53%-1.46億24.85%-1.91億3,077.94%2.67億-447.23%-4.12億-158.74%-7,198.1萬42.16%-9,406.3萬-261.44%-2.55億-76.12%840萬
普通股發行/償還的淨現金流 -202.64%-3.61億22.58%-9.6萬99.91%-9.3萬17.52%-735.2萬-3,676.41%-3.53億-393.38%-1.19億10.79%-12.4萬-265,126.32%-1.01億-79.50%-891.4萬50.82%-935.1萬
職工行使股票期權收到的現金 -97.01%71.4萬-7.42%71.1萬-99.74%2,000-99.88%1,000--0-6.72%2,387.8萬-87.07%76.8萬-80.22%77.9萬-78.97%82.6萬82.37%2,150.5萬
其他融資活動的淨現金流額 -26.57%-5,498.4萬70.61%-133.5萬53.74%-622.9萬-21.76%-2,828萬-766.85%-1,914萬-273.21%-4,344.2萬5.06%-454.2萬-224.87%-1,346.6萬---2,322.6萬18.55%-220.8萬
非持續融資活動現金淨額
融資活動現金淨額 2.58%-5.37億31.65%-5,186.4萬26.46%-1.53億20.62%-2.27億-674.10%-1.05億-544.20%-5.51億-161.41%-7,587.9萬-27.43%-2.08億-300.00%-2.86億-27.32%1,834.6萬
現金淨流量
期初現金流 -27.74%2.06億-1.14%2.09億2.06%1.85億-31.55%2.32億-27.74%2.06億17.94%2.84億27.79%2.12億-13.30%1.81億62.06%3.39億17.94%2.84億
當期現金流變化 86.33%-840.1萬-61.39%284.9萬19.98%2,751.4萬61.31%-5,965.7萬-66.54%2,089.3萬-274.43%-6,143.6萬-93.05%737.9萬162.02%2,293.2萬-314,771.43%-1.54億283.69%6,244.2萬
利率變動影響 207.75%1,882.8萬129.21%392.8萬-139.38%-303.4萬479.08%1,266.9萬162.78%526.5萬-317.23%-1,747.4萬-205.70%-1,344.9萬224.50%770.4萬-1,950.31%-334.2萬-601.92%-838.7萬
期末現金流 5.07%2.16億5.07%2.16億-1.14%2.09億2.06%1.85億-31.55%2.32億-27.74%2.06億-27.74%2.06億27.79%2.12億-13.30%1.81億62.06%3.39億
自由現金流 3.37%5.18億-30.06%5,857萬-16.34%1.78億9.90%1.69億121.45%1.12億37.29%5.02億-41.28%8,374.6萬52.74%2.13億90.80%1.54億1,923.29%5,074.4萬
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