美股市場個股詳情

雷克蘭醫療工業 (LAKE)

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  • 10.670
  • +0.100+0.95%
收盤價 05/19 16:00 (美東)
  • 10.670
  • 0.0000.00%
盤前 08:37 (美東)
1.05億總市值-4.06市盈率TTM

雷克蘭醫療工業 (LAKE) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2026/01/31
(Q4)2026/01/31
(Q3)2025/10/31
(Q2)2025/07/31
(Q1)2025/04/30
(FY)2025/01/31
(Q4)2025/01/31
(Q3)2024/10/31
(Q2)2024/07/31
(Q1)2024/04/30
經營活動現金流量(間接法)
持續經營活動現金淨額
0.82%-1,575萬
154.33%184萬
6.05%-793萬
-10.88%-481.9萬
-1,752.22%-484.1萬
-245.54%-1,588.1萬
-206.54%-338.7萬
-320.45%-844.1萬
-1,957.26%-434.6萬
-92.02%29.3萬
持續經營淨收入
-40.03%-2,531.1萬
66.32%-620.9萬
-18,652.33%-1,595.5萬
155.67%76.6萬
-336.72%-391.3萬
-433.18%-1,807.5萬
-1,787.21%-1,843.8萬
-96.71%8.6萬
-155.82%-137.6萬
25.23%165.3萬
持續經營損益
-74.61%11.3萬
31,692.86%442.3萬
-2,112.62%-430.7萬
----
----
114.19%44.5萬
99.60%-1.4萬
174.36%21.4萬
12.50%14.4萬
-31.29%10.1萬
折舊和攤銷
52.68%506.3萬
374.75%144.8萬
-0.82%120.9萬
10.74%126.8萬
75.89%113.8萬
57.08%331.6萬
-39.24%30.5萬
150.31%121.9萬
94.40%114.5萬
21.39%64.7萬
遞延稅費
161.43%251萬
106.29%23萬
16,625.00%1,255.9萬
-2,335.65%-1,052.2萬
215.58%24.3萬
-399.51%-408.6萬
-478.76%-365.5萬
94.90%-7.6萬
-269.23%-43.2萬
143.75%7.7萬
其他非現金項目
-1,004.00%-293.8萬
-1,111.55%-411.7萬
-48.33%32.5萬
--40.7萬
162.87%44.7萬
112.81%32.5萬
169.54%40.7萬
141.63%62.9萬
--0
-44.22%-71.1萬
營運資金變化
72.87%-475.9萬
578.64%309.2萬
72.25%-304.3萬
59.52%-172.3萬
-84.51%-308.5萬
-307.71%-1,754.1萬
-112.07%-64.6萬
-427.76%-1,096.7萬
-94.87%-425.6萬
-186.54%-167.2萬
-應收款項(增)減
-1.13%-267.4萬
-225.98%-99.9萬
123.36%91.4萬
-412.74%-274.9萬
139.60%16萬
-213.64%-264.4萬
425.17%79.3萬
-397.71%-391.2萬
175.58%87.9萬
-142.30%-40.4萬
-存貨(增)減
112.43%177萬
458.85%593.9萬
123.96%199.4萬
43.42%-265.8萬
-909.47%-350.5萬
-284.05%-1,424.2萬
-136.56%-165.5萬
-414.51%-832.2萬
-1,313.95%-469.8萬
143.26%43.3萬
-預付費用(增)減
-30.33%17萬
----
-28.75%-122.7萬
277.32%73.2萬
-100.37%-2,000
130.93%24.4萬
488.24%46.2萬
-782.41%-95.3萬
273.08%19.4萬
188.11%54.1萬
-應付款項及應計費用(減)增
-162.08%-153.9萬
-189.67%-165.4萬
-1,308.82%-287.7萬
-14.34%240.1萬
6,466.67%59.1萬
77.20%247.9萬
-155.82%-57.1萬
119.24%23.8萬
297.12%280.3萬
-99.70%9,000
-其他流動資產變化
-56.06%-230.5萬
-145.57%-24.7萬
-167.31%-251.2萬
117.56%61.4萬
92.90%-16萬
-9,746.67%-147.7萬
280.67%54.2萬
89.63%373.2萬
-8,864.10%-349.6萬
-37.17%-225.5萬
-其他流動負債變化
90.48%-18.1萬
-11,800.00%-11.7萬
108.54%16.8萬
-201.61%-6.3萬
-4,325.00%-16.9萬
-299.06%-190.1萬
-98.55%1,000
-328.04%-196.8萬
6,100.00%6.2萬
-81.82%4,000
非持續經營活動現金淨額
經營活動現金淨額
0.82%-1,575萬
154.33%184萬
6.05%-793萬
-10.88%-481.9萬
-1,752.22%-484.1萬
-245.54%-1,588.1萬
-206.54%-338.7萬
-320.45%-844.1萬
-1,957.26%-434.6萬
-92.02%29.3萬
投資活動現金流量
持續投資活動現金淨額
97.52%-118.4萬
100.51%11.3萬
187.13%83.3萬
93.93%-92.1萬
86.92%-120.9萬
-833.19%-4,774.2萬
-964.02%-2,235.5萬
26.63%-95.6萬
-1,385.81%-1,518.5萬
-1,240.00%-924.6萬
固定資產交易的淨現金流
423.44%498.1萬
305.45%11.3萬
1,188.34%699.8萬
-144.95%-92.1萬
-159.44%-120.9萬
-161.85%-154萬
-101.38%-5.5萬
-55.69%-64.3萬
6.47%-37.6萬
32.46%-46.6萬
業務交易的淨現金流
86.33%-616.5萬
--0
---616.5萬
--0
--0
-726.93%-4,508.4萬
-305.98%-2,213.4萬
--0
---1,480.9萬
---814.1萬
投資產品交易的淨現金流
--0
--0
--0
--0
--0
48.10%-111.8萬
74.22%-16.6萬
64.83%-31.3萬
--0
---63.9萬
非持續投資活動現金淨額
投資活動現金淨額
97.52%-118.4萬
100.51%11.3萬
187.13%83.3萬
93.93%-92.1萬
86.92%-120.9萬
-833.19%-4,774.2萬
-964.02%-2,235.5萬
26.63%-95.6萬
-1,385.81%-1,518.5萬
-1,240.00%-924.6萬
融資活動現金流量
持續融資活動現金淨額
-77.90%1,250.5萬
-120.79%-589萬
519.62%745.4萬
-84.26%243.4萬
-26.58%850.7萬
1,739.28%5,658.8萬
1,863.35%2,833.7萬
618.53%120.3萬
3,446.75%1,546.2萬
1,106.60%1,158.6萬
債務發行/償還的淨現金流
-7.90%1,408.6萬
60.70%-552.9萬
398.72%782萬
-81.86%287.7萬
-25.28%891.8萬
953.99%1,529.5萬
-914.94%-1,406.7萬
--156.8萬
13,889.57%1,585.8萬
4,215.86%1,193.6萬
普通股發行/償還的淨現金流
-101.02%-42.9萬
-100.16%-6.7萬
44.76%-7.9萬
10.29%-15.7萬
2.33%-12.6萬
5,701.59%4,218萬
--4,262.7萬
-1,200.00%-14.3萬
-37.80%-17.5萬
79.02%-12.9萬
現金股利支付
-29.88%-115.2萬
-31.84%-29.4萬
-29.28%-28.7萬
-29.41%-28.6萬
-28.96%-28.5萬
2.31%-88.7萬
-0.90%-22.3萬
-0.45%-22.2萬
-0.45%-22.1萬
10.16%-22.1萬
非持續融資活動現金淨額
融資活動現金淨額
-77.90%1,250.5萬
-120.79%-589萬
519.62%745.4萬
-84.26%243.4萬
-26.58%850.7萬
1,739.28%5,658.8萬
1,863.35%2,833.7萬
618.53%120.3萬
3,446.75%1,546.2萬
1,106.60%1,158.6萬
現金淨流量
期初現金流
-30.71%1,747.6萬
8.55%1,719.4萬
-28.66%1,774.9萬
-34.36%1,861.8萬
-30.71%1,747.6萬
2.37%2,522.2萬
-40.06%1,583.9萬
2.36%2,488萬
9.01%2,836.5萬
2.37%2,522.2萬
當期現金流變化
37.04%-442.9萬
-251.71%-393.7萬
104.36%35.7萬
18.75%-330.6萬
-6.68%245.7萬
-400.13%-703.5萬
590.55%259.5萬
-457.19%-819.4萬
-225.52%-406.9萬
43.96%263.3萬
利率變動影響
25.18%-53.2萬
22.55%-74.2萬
-7.67%-91.2萬
317.29%243.7萬
-357.84%-131.5萬
59.63%-71.1萬
-42.14%-95.8萬
-384.00%-84.7萬
225.59%58.4萬
214.09%51萬
期末現金流
-28.39%1,251.5萬
-28.39%1,251.5萬
8.55%1,719.4萬
-28.66%1,774.9萬
-34.36%1,861.8萬
-30.71%1,747.6萬
-30.71%1,747.6萬
-40.06%1,583.9萬
2.36%2,488萬
9.01%2,836.5萬
自由現金流
5.74%-1,642.1萬
156.74%195.3萬
27.52%-658.4萬
-21.56%-574萬
-3,397.11%-605萬
-297.00%-1,742.1萬
-231.63%-344.2萬
-365.93%-908.4萬
-2,710.71%-472.2萬
-105.81%-17.3萬
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
審計意見
無保留意見
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--
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--
無保留意見
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(FY)2026/01/31(Q4)2026/01/31(Q3)2025/10/31(Q2)2025/07/31(Q1)2025/04/30(FY)2025/01/31(Q4)2025/01/31(Q3)2024/10/31(Q2)2024/07/31(Q1)2024/04/30
經營活動現金流量(間接法)
持續經營活動現金淨額 0.82%-1,575萬154.33%184萬6.05%-793萬-10.88%-481.9萬-1,752.22%-484.1萬-245.54%-1,588.1萬-206.54%-338.7萬-320.45%-844.1萬-1,957.26%-434.6萬-92.02%29.3萬
持續經營淨收入 -40.03%-2,531.1萬66.32%-620.9萬-18,652.33%-1,595.5萬155.67%76.6萬-336.72%-391.3萬-433.18%-1,807.5萬-1,787.21%-1,843.8萬-96.71%8.6萬-155.82%-137.6萬25.23%165.3萬
持續經營損益 -74.61%11.3萬31,692.86%442.3萬-2,112.62%-430.7萬--------114.19%44.5萬99.60%-1.4萬174.36%21.4萬12.50%14.4萬-31.29%10.1萬
折舊和攤銷 52.68%506.3萬374.75%144.8萬-0.82%120.9萬10.74%126.8萬75.89%113.8萬57.08%331.6萬-39.24%30.5萬150.31%121.9萬94.40%114.5萬21.39%64.7萬
遞延稅費 161.43%251萬106.29%23萬16,625.00%1,255.9萬-2,335.65%-1,052.2萬215.58%24.3萬-399.51%-408.6萬-478.76%-365.5萬94.90%-7.6萬-269.23%-43.2萬143.75%7.7萬
其他非現金項目 -1,004.00%-293.8萬-1,111.55%-411.7萬-48.33%32.5萬--40.7萬162.87%44.7萬112.81%32.5萬169.54%40.7萬141.63%62.9萬--0-44.22%-71.1萬
營運資金變化 72.87%-475.9萬578.64%309.2萬72.25%-304.3萬59.52%-172.3萬-84.51%-308.5萬-307.71%-1,754.1萬-112.07%-64.6萬-427.76%-1,096.7萬-94.87%-425.6萬-186.54%-167.2萬
-應收款項(增)減 -1.13%-267.4萬-225.98%-99.9萬123.36%91.4萬-412.74%-274.9萬139.60%16萬-213.64%-264.4萬425.17%79.3萬-397.71%-391.2萬175.58%87.9萬-142.30%-40.4萬
-存貨(增)減 112.43%177萬458.85%593.9萬123.96%199.4萬43.42%-265.8萬-909.47%-350.5萬-284.05%-1,424.2萬-136.56%-165.5萬-414.51%-832.2萬-1,313.95%-469.8萬143.26%43.3萬
-預付費用(增)減 -30.33%17萬-----28.75%-122.7萬277.32%73.2萬-100.37%-2,000130.93%24.4萬488.24%46.2萬-782.41%-95.3萬273.08%19.4萬188.11%54.1萬
-應付款項及應計費用(減)增 -162.08%-153.9萬-189.67%-165.4萬-1,308.82%-287.7萬-14.34%240.1萬6,466.67%59.1萬77.20%247.9萬-155.82%-57.1萬119.24%23.8萬297.12%280.3萬-99.70%9,000
-其他流動資產變化 -56.06%-230.5萬-145.57%-24.7萬-167.31%-251.2萬117.56%61.4萬92.90%-16萬-9,746.67%-147.7萬280.67%54.2萬89.63%373.2萬-8,864.10%-349.6萬-37.17%-225.5萬
-其他流動負債變化 90.48%-18.1萬-11,800.00%-11.7萬108.54%16.8萬-201.61%-6.3萬-4,325.00%-16.9萬-299.06%-190.1萬-98.55%1,000-328.04%-196.8萬6,100.00%6.2萬-81.82%4,000
非持續經營活動現金淨額
經營活動現金淨額 0.82%-1,575萬154.33%184萬6.05%-793萬-10.88%-481.9萬-1,752.22%-484.1萬-245.54%-1,588.1萬-206.54%-338.7萬-320.45%-844.1萬-1,957.26%-434.6萬-92.02%29.3萬
投資活動現金流量
持續投資活動現金淨額 97.52%-118.4萬100.51%11.3萬187.13%83.3萬93.93%-92.1萬86.92%-120.9萬-833.19%-4,774.2萬-964.02%-2,235.5萬26.63%-95.6萬-1,385.81%-1,518.5萬-1,240.00%-924.6萬
固定資產交易的淨現金流 423.44%498.1萬305.45%11.3萬1,188.34%699.8萬-144.95%-92.1萬-159.44%-120.9萬-161.85%-154萬-101.38%-5.5萬-55.69%-64.3萬6.47%-37.6萬32.46%-46.6萬
業務交易的淨現金流 86.33%-616.5萬--0---616.5萬--0--0-726.93%-4,508.4萬-305.98%-2,213.4萬--0---1,480.9萬---814.1萬
投資產品交易的淨現金流 --0--0--0--0--048.10%-111.8萬74.22%-16.6萬64.83%-31.3萬--0---63.9萬
非持續投資活動現金淨額
投資活動現金淨額 97.52%-118.4萬100.51%11.3萬187.13%83.3萬93.93%-92.1萬86.92%-120.9萬-833.19%-4,774.2萬-964.02%-2,235.5萬26.63%-95.6萬-1,385.81%-1,518.5萬-1,240.00%-924.6萬
融資活動現金流量
持續融資活動現金淨額 -77.90%1,250.5萬-120.79%-589萬519.62%745.4萬-84.26%243.4萬-26.58%850.7萬1,739.28%5,658.8萬1,863.35%2,833.7萬618.53%120.3萬3,446.75%1,546.2萬1,106.60%1,158.6萬
債務發行/償還的淨現金流 -7.90%1,408.6萬60.70%-552.9萬398.72%782萬-81.86%287.7萬-25.28%891.8萬953.99%1,529.5萬-914.94%-1,406.7萬--156.8萬13,889.57%1,585.8萬4,215.86%1,193.6萬
普通股發行/償還的淨現金流 -101.02%-42.9萬-100.16%-6.7萬44.76%-7.9萬10.29%-15.7萬2.33%-12.6萬5,701.59%4,218萬--4,262.7萬-1,200.00%-14.3萬-37.80%-17.5萬79.02%-12.9萬
現金股利支付 -29.88%-115.2萬-31.84%-29.4萬-29.28%-28.7萬-29.41%-28.6萬-28.96%-28.5萬2.31%-88.7萬-0.90%-22.3萬-0.45%-22.2萬-0.45%-22.1萬10.16%-22.1萬
非持續融資活動現金淨額
融資活動現金淨額 -77.90%1,250.5萬-120.79%-589萬519.62%745.4萬-84.26%243.4萬-26.58%850.7萬1,739.28%5,658.8萬1,863.35%2,833.7萬618.53%120.3萬3,446.75%1,546.2萬1,106.60%1,158.6萬
現金淨流量
期初現金流 -30.71%1,747.6萬8.55%1,719.4萬-28.66%1,774.9萬-34.36%1,861.8萬-30.71%1,747.6萬2.37%2,522.2萬-40.06%1,583.9萬2.36%2,488萬9.01%2,836.5萬2.37%2,522.2萬
當期現金流變化 37.04%-442.9萬-251.71%-393.7萬104.36%35.7萬18.75%-330.6萬-6.68%245.7萬-400.13%-703.5萬590.55%259.5萬-457.19%-819.4萬-225.52%-406.9萬43.96%263.3萬
利率變動影響 25.18%-53.2萬22.55%-74.2萬-7.67%-91.2萬317.29%243.7萬-357.84%-131.5萬59.63%-71.1萬-42.14%-95.8萬-384.00%-84.7萬225.59%58.4萬214.09%51萬
期末現金流 -28.39%1,251.5萬-28.39%1,251.5萬8.55%1,719.4萬-28.66%1,774.9萬-34.36%1,861.8萬-30.71%1,747.6萬-30.71%1,747.6萬-40.06%1,583.9萬2.36%2,488萬9.01%2,836.5萬
自由現金流 5.74%-1,642.1萬156.74%195.3萬27.52%-658.4萬-21.56%-574萬-3,397.11%-605萬-297.00%-1,742.1萬-231.63%-344.2萬-365.93%-908.4萬-2,710.71%-472.2萬-105.81%-17.3萬
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