美股市場個股詳情

海科航空-A (HEI.A)

添加自選
  • 203.850
  • -3.820-1.84%
收盤價 04/24 16:00 (美東)
  • 203.960
  • +0.110+0.05%
盤後 20:01 (美東)
284.41億總市值40.37市盈率TTM

海科航空-A (HEI.A) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2026/01/31
(FY)2025/10/31
(Q4)2025/10/31
(Q3)2025/07/31
(Q2)2025/04/30
(Q1)2025/01/31
(FY)2024/10/31
(Q4)2024/10/31
(Q3)2024/07/31
(Q2)2024/04/30
經營活動現金流量(間接法)
持續經營活動現金淨額
-12.04%1.79億
38.95%9.34億
43.62%2.95億
8.07%2.31億
45.03%2.05億
81.85%2.03億
49.84%6.72億
38.58%2.06億
46.62%2.14億
81.53%1.41億
持續經營淨收入
12.77%2.05億
33.35%7.46億
34.40%2.03億
29.00%1.91億
26.41%1.71億
44.69%1.82億
25.81%5.59億
32.86%1.51億
31.10%1.48億
17.24%1.35億
持續經營損益
7.82%590.1萬
16.03%2,044.1萬
58.76%625.5萬
16.64%568.6萬
-3.51%302.7萬
-3.39%547.3萬
15.32%1,761.7萬
-14.88%394萬
18.50%487.5萬
15.37%313.7萬
折舊和攤銷
10.35%5,100.8萬
11.83%1.96億
14.60%5,120.7萬
12.32%4,976.7萬
14.12%4,887.7萬
6.25%4,622.5萬
34.83%1.75億
2.19%4,468.5萬
50.05%4,431萬
44.10%4,283.1萬
遞延稅費
206.07%748萬
-120.73%-4,856.5萬
-191.90%-1,977.6萬
-193.61%-1,084.9萬
-40.07%-1,088.8萬
-87.60%-705.2萬
17.07%-2,200.2萬
-90.47%-677.5萬
72.38%-369.5萬
26.50%-777.3萬
其他非現金項目
-55.78%831.4萬
-42.34%2,158.8萬
-41.49%856.7萬
-216.07%-2,348.4萬
-52.48%1,770.5萬
367.39%1,880萬
243.65%3,743.7萬
620.73%1,464.3萬
-149.16%-743萬
343.42%3,725.5萬
營運資金變化
-136.14%-1.1億
70.99%-3,520.9萬
480.88%3,025.3萬
-32.76%1,173.6萬
58.60%-3,054.9萬
18.29%-4,664.9萬
-16.88%-1.21億
35.10%-794.3萬
51.42%1,745.3萬
-56.62%-7,379.3萬
-應收款項(增)減
-110.69%-150.9萬
-320.50%-8,208.6萬
-94.89%-2,571.8萬
75.09%-368.8萬
-90.73%-6,679.3萬
-67.56%1,411.3萬
74.73%-1,952.1萬
75.45%-1,319.6萬
-311.18%-1,480.6萬
-117.63%-3,501.9萬
-存貨(增)減
52.77%-1,710.1萬
66.26%-4,485萬
149.78%1,530.7萬
54.88%-1,402.3萬
53.30%-992.7萬
27.36%-3,620.7萬
-6.53%-1.33億
19.29%-3,075.1萬
-171.92%-3,108萬
8.41%-2,125.7萬
-預付費用(增)減
-821.05%-879.6萬
166.97%1,542.3萬
106.69%54.9萬
285.35%1,033.9萬
-16.07%549萬
93.95%-95.5萬
-511.31%-2,302.9萬
-291.02%-820.8萬
-1,179.36%-557.8萬
151.77%654.1萬
-應付款項及應計費用(減)增
-153.59%-9,286.8萬
62.41%5,277.1萬
-5.98%3,962.4萬
-81.07%1,262.1萬
239.53%3,714.8萬
26.33%-3,662.2萬
-58.90%3,249.2萬
-42.70%4,214.4萬
338.44%6,668.6萬
-90.69%-2,662.4萬
-其他營運資本變化
-22.32%1,011.5萬
8.86%2,353.3萬
-76.26%49.1萬
190.77%648.7萬
37.69%353.3萬
-11.73%1,302.2萬
59.99%2,161.8萬
16.31%206.8萬
90.52%223.1萬
-27.72%256.6萬
非持續經營活動現金淨額
經營活動現金淨額
-12.04%1.79億
38.95%9.34億
43.62%2.95億
8.07%2.31億
45.03%2.05億
81.85%2.03億
49.84%6.72億
38.58%2.06億
46.62%2.14億
81.53%1.41億
投資活動現金流量
持續投資活動現金淨額
-55.20%-4.47億
-149.55%-7.32億
81.22%-3,399.7萬
-1,232.40%-3.58億
-265.90%-5,176.4萬
-304.83%-2.88億
88.20%-2.93億
90.52%-1.81億
-86.57%-2,686.4萬
58.16%-1,414.7萬
資本性支出
22.15%-1,349.6萬
-25.10%-7,288.6萬
-66.90%-2,684.8萬
19.63%-1,273.9萬
-23.29%-1,596.4萬
-29.59%-1,733.5萬
-17.86%-5,826.1萬
-5.43%-1,608.6萬
-29.33%-1,585萬
-16.91%-1,294.8萬
業務交易的淨現金流
-73.26%-4.41億
-187.21%-6.3億
100.06%10萬
-3,719.63%-3.44億
---3,139.8萬
-451.34%-2.55億
90.94%-2.19億
91.34%-1.64億
-264.23%-900萬
--0
投資產品交易的淨現金流
4.11%-1,400萬
-65.53%-3,295.8萬
-231.44%-1,126.9萬
-89.95%-398.9萬
-82.35%-310萬
-14.87%-1,460萬
-5.39%-1,991萬
30.50%-340萬
---210萬
22.73%-170萬
其他投資活動的淨現金流
1,790.52%2,192.6萬
-6.64%398.1萬
59.46%402萬
2,876.74%256萬
-359.88%-130.2萬
-212.20%-129.7萬
-24.49%426.4萬
-49.15%252.1萬
-73.70%8.6萬
1,352.50%50.1萬
非持續投資活動現金淨額
投資活動現金淨額
-55.20%-4.47億
-149.55%-7.32億
81.22%-3,399.7萬
-1,232.40%-3.58億
-265.90%-5,176.4萬
-304.83%-2.88億
88.20%-2.93億
90.52%-1.81億
-86.57%-2,686.4萬
58.16%-1,414.7萬
融資活動現金流量
持續融資活動現金淨額
241.27%3.1億
61.30%-1.51億
-368.16%-3.06億
177.30%1.46億
31.25%-8,144.9萬
642.24%9,071.2萬
-118.86%-3.89億
-105.27%-6,534.6萬
-143.38%-1.89億
-96.10%-1.18億
債務發行/償還的淨現金流
172.00%3.4億
77.90%-5,500萬
-816.67%-2.75億
230.77%1.7億
31.82%-7,500萬
493.09%1.25億
-111.51%-2.49億
-102.40%-3,000萬
-127.99%-1.3億
-153.88%-1.1億
現金股利支付
-9.51%-1,672.4萬
-9.97%-3,196.8萬
--0
-9.57%-1,669.6萬
--0
-10.42%-1,527.2萬
-6.21%-2,906.9萬
--0
-11.21%-1,523.8萬
--0
職工行使股票期權收到的現金
-208.85%-163.5萬
58.23%-917.4萬
19.72%-1,887.5萬
2,249.19%533萬
1,865.07%286.9萬
-9.13%150.2萬
-169.99%-2,196.1萬
-2,013.10%-2,351.2萬
-118.05%-24.8萬
-88.06%14.6萬
其他融資活動的淨現金流額
41.20%-1,206.5萬
39.03%-5,453.5萬
-1.83%-1,205.1萬
70.83%-1,264.8萬
-8.20%-931.8萬
19.94%-2,051.8萬
-43.55%-8,943.9萬
-30.45%-1,183.4萬
-159.18%-4,336.6萬
52.95%-861.2萬
非持續融資活動現金淨額
融資活動現金淨額
241.27%3.1億
61.30%-1.51億
-368.16%-3.06億
177.30%1.46億
31.25%-8,144.9萬
642.24%9,071.2萬
-118.86%-3.89億
-105.27%-6,534.6萬
-143.38%-1.89億
-96.10%-1.18億
現金淨流量
期初現金流
34.35%2.18億
-5.23%1.62億
29.05%2.62億
18.69%2.42億
-15.72%1.65億
-5.23%1.62億
22.61%1.71億
-70.77%2.03億
60.55%2.04億
37.66%1.96億
當期現金流變化
616.50%4,120.6萬
607.66%5,189.8萬
-9.38%-4,459.7萬
1,193.81%1,926.2萬
738.30%7,148.2萬
-75.82%575.1萬
-134.87%-1,022.3萬
92.17%-4,077.3萬
-100.31%-176.1萬
151.77%852.7萬
利率變動影響
183.12%198.4萬
195.77%378萬
865.63%49萬
-41.30%31.7萬
877.94%536萬
-260.09%-238.7萬
-42.61%127.8萬
97.20%-6.4萬
104.55%54萬
-168.08%-68.9萬
期末現金流
57.72%2.61億
34.35%2.18億
34.35%2.18億
29.05%2.62億
18.69%2.42億
-15.72%1.65億
-5.23%1.62億
-5.23%1.62億
-70.77%2.03億
60.55%2.04億
自由現金流
-11.09%1.65億
40.27%8.61億
41.65%2.68億
10.28%2.18億
47.23%1.89億
88.96%1.86億
53.80%6.14億
42.38%1.9億
48.21%1.98億
92.26%1.28億
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
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
--
--
--
(Q1)2026/01/31(FY)2025/10/31(Q4)2025/10/31(Q3)2025/07/31(Q2)2025/04/30(Q1)2025/01/31(FY)2024/10/31(Q4)2024/10/31(Q3)2024/07/31(Q2)2024/04/30
經營活動現金流量(間接法)
持續經營活動現金淨額 -12.04%1.79億38.95%9.34億43.62%2.95億8.07%2.31億45.03%2.05億81.85%2.03億49.84%6.72億38.58%2.06億46.62%2.14億81.53%1.41億
持續經營淨收入 12.77%2.05億33.35%7.46億34.40%2.03億29.00%1.91億26.41%1.71億44.69%1.82億25.81%5.59億32.86%1.51億31.10%1.48億17.24%1.35億
持續經營損益 7.82%590.1萬16.03%2,044.1萬58.76%625.5萬16.64%568.6萬-3.51%302.7萬-3.39%547.3萬15.32%1,761.7萬-14.88%394萬18.50%487.5萬15.37%313.7萬
折舊和攤銷 10.35%5,100.8萬11.83%1.96億14.60%5,120.7萬12.32%4,976.7萬14.12%4,887.7萬6.25%4,622.5萬34.83%1.75億2.19%4,468.5萬50.05%4,431萬44.10%4,283.1萬
遞延稅費 206.07%748萬-120.73%-4,856.5萬-191.90%-1,977.6萬-193.61%-1,084.9萬-40.07%-1,088.8萬-87.60%-705.2萬17.07%-2,200.2萬-90.47%-677.5萬72.38%-369.5萬26.50%-777.3萬
其他非現金項目 -55.78%831.4萬-42.34%2,158.8萬-41.49%856.7萬-216.07%-2,348.4萬-52.48%1,770.5萬367.39%1,880萬243.65%3,743.7萬620.73%1,464.3萬-149.16%-743萬343.42%3,725.5萬
營運資金變化 -136.14%-1.1億70.99%-3,520.9萬480.88%3,025.3萬-32.76%1,173.6萬58.60%-3,054.9萬18.29%-4,664.9萬-16.88%-1.21億35.10%-794.3萬51.42%1,745.3萬-56.62%-7,379.3萬
-應收款項(增)減 -110.69%-150.9萬-320.50%-8,208.6萬-94.89%-2,571.8萬75.09%-368.8萬-90.73%-6,679.3萬-67.56%1,411.3萬74.73%-1,952.1萬75.45%-1,319.6萬-311.18%-1,480.6萬-117.63%-3,501.9萬
-存貨(增)減 52.77%-1,710.1萬66.26%-4,485萬149.78%1,530.7萬54.88%-1,402.3萬53.30%-992.7萬27.36%-3,620.7萬-6.53%-1.33億19.29%-3,075.1萬-171.92%-3,108萬8.41%-2,125.7萬
-預付費用(增)減 -821.05%-879.6萬166.97%1,542.3萬106.69%54.9萬285.35%1,033.9萬-16.07%549萬93.95%-95.5萬-511.31%-2,302.9萬-291.02%-820.8萬-1,179.36%-557.8萬151.77%654.1萬
-應付款項及應計費用(減)增 -153.59%-9,286.8萬62.41%5,277.1萬-5.98%3,962.4萬-81.07%1,262.1萬239.53%3,714.8萬26.33%-3,662.2萬-58.90%3,249.2萬-42.70%4,214.4萬338.44%6,668.6萬-90.69%-2,662.4萬
-其他營運資本變化 -22.32%1,011.5萬8.86%2,353.3萬-76.26%49.1萬190.77%648.7萬37.69%353.3萬-11.73%1,302.2萬59.99%2,161.8萬16.31%206.8萬90.52%223.1萬-27.72%256.6萬
非持續經營活動現金淨額
經營活動現金淨額 -12.04%1.79億38.95%9.34億43.62%2.95億8.07%2.31億45.03%2.05億81.85%2.03億49.84%6.72億38.58%2.06億46.62%2.14億81.53%1.41億
投資活動現金流量
持續投資活動現金淨額 -55.20%-4.47億-149.55%-7.32億81.22%-3,399.7萬-1,232.40%-3.58億-265.90%-5,176.4萬-304.83%-2.88億88.20%-2.93億90.52%-1.81億-86.57%-2,686.4萬58.16%-1,414.7萬
資本性支出 22.15%-1,349.6萬-25.10%-7,288.6萬-66.90%-2,684.8萬19.63%-1,273.9萬-23.29%-1,596.4萬-29.59%-1,733.5萬-17.86%-5,826.1萬-5.43%-1,608.6萬-29.33%-1,585萬-16.91%-1,294.8萬
業務交易的淨現金流 -73.26%-4.41億-187.21%-6.3億100.06%10萬-3,719.63%-3.44億---3,139.8萬-451.34%-2.55億90.94%-2.19億91.34%-1.64億-264.23%-900萬--0
投資產品交易的淨現金流 4.11%-1,400萬-65.53%-3,295.8萬-231.44%-1,126.9萬-89.95%-398.9萬-82.35%-310萬-14.87%-1,460萬-5.39%-1,991萬30.50%-340萬---210萬22.73%-170萬
其他投資活動的淨現金流 1,790.52%2,192.6萬-6.64%398.1萬59.46%402萬2,876.74%256萬-359.88%-130.2萬-212.20%-129.7萬-24.49%426.4萬-49.15%252.1萬-73.70%8.6萬1,352.50%50.1萬
非持續投資活動現金淨額
投資活動現金淨額 -55.20%-4.47億-149.55%-7.32億81.22%-3,399.7萬-1,232.40%-3.58億-265.90%-5,176.4萬-304.83%-2.88億88.20%-2.93億90.52%-1.81億-86.57%-2,686.4萬58.16%-1,414.7萬
融資活動現金流量
持續融資活動現金淨額 241.27%3.1億61.30%-1.51億-368.16%-3.06億177.30%1.46億31.25%-8,144.9萬642.24%9,071.2萬-118.86%-3.89億-105.27%-6,534.6萬-143.38%-1.89億-96.10%-1.18億
債務發行/償還的淨現金流 172.00%3.4億77.90%-5,500萬-816.67%-2.75億230.77%1.7億31.82%-7,500萬493.09%1.25億-111.51%-2.49億-102.40%-3,000萬-127.99%-1.3億-153.88%-1.1億
現金股利支付 -9.51%-1,672.4萬-9.97%-3,196.8萬--0-9.57%-1,669.6萬--0-10.42%-1,527.2萬-6.21%-2,906.9萬--0-11.21%-1,523.8萬--0
職工行使股票期權收到的現金 -208.85%-163.5萬58.23%-917.4萬19.72%-1,887.5萬2,249.19%533萬1,865.07%286.9萬-9.13%150.2萬-169.99%-2,196.1萬-2,013.10%-2,351.2萬-118.05%-24.8萬-88.06%14.6萬
其他融資活動的淨現金流額 41.20%-1,206.5萬39.03%-5,453.5萬-1.83%-1,205.1萬70.83%-1,264.8萬-8.20%-931.8萬19.94%-2,051.8萬-43.55%-8,943.9萬-30.45%-1,183.4萬-159.18%-4,336.6萬52.95%-861.2萬
非持續融資活動現金淨額
融資活動現金淨額 241.27%3.1億61.30%-1.51億-368.16%-3.06億177.30%1.46億31.25%-8,144.9萬642.24%9,071.2萬-118.86%-3.89億-105.27%-6,534.6萬-143.38%-1.89億-96.10%-1.18億
現金淨流量
期初現金流 34.35%2.18億-5.23%1.62億29.05%2.62億18.69%2.42億-15.72%1.65億-5.23%1.62億22.61%1.71億-70.77%2.03億60.55%2.04億37.66%1.96億
當期現金流變化 616.50%4,120.6萬607.66%5,189.8萬-9.38%-4,459.7萬1,193.81%1,926.2萬738.30%7,148.2萬-75.82%575.1萬-134.87%-1,022.3萬92.17%-4,077.3萬-100.31%-176.1萬151.77%852.7萬
利率變動影響 183.12%198.4萬195.77%378萬865.63%49萬-41.30%31.7萬877.94%536萬-260.09%-238.7萬-42.61%127.8萬97.20%-6.4萬104.55%54萬-168.08%-68.9萬
期末現金流 57.72%2.61億34.35%2.18億34.35%2.18億29.05%2.62億18.69%2.42億-15.72%1.65億-5.23%1.62億-5.23%1.62億-70.77%2.03億60.55%2.04億
自由現金流 -11.09%1.65億40.27%8.61億41.65%2.68億10.28%2.18億47.23%1.89億88.96%1.86億53.80%6.14億42.38%1.9億48.21%1.98億92.26%1.28億
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