美股市場個股詳情

Lightwave Logic (LWLG)

添加自選
  • 13.650
  • -1.280-8.57%
收盤價 05/15 16:00 (美東)
  • 13.520
  • -0.130-0.95%
盤後 20:01 (美東)
20.56億總市值-85.31市盈率TTM

Lightwave Logic (LWLG) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2025/12/31
(Q4)2025/12/31
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額
11.58%-1,374.92萬
-5.63%-331.28萬
11.54%-317.62萬
6.95%-377.01萬
26.87%-349.01萬
-27.09%-1,555.05萬
-35.06%-313.63萬
-23.39%-359.04萬
-24.46%-405.16萬
-27.30%-477.22萬
持續經營淨收入
9.86%-2,031.38萬
12.48%-484.41萬
-9.53%-580.61萬
17.49%-496.66萬
17.30%-469.7萬
-7.12%-2,253.5萬
-12.04%-553.45萬
-2.64%-530.09萬
-10.30%-601.97萬
-3.72%-567.99萬
持續經營損益
-88.22%2.52萬
--1.95萬
-83.63%3.44萬
---2.05萬
-362.16%-8,300
199.04%21.34萬
--0
--21.03萬
--0
--3,166
折舊和攤銷
12.45%210.87萬
6.11%52.14萬
12.16%54.33萬
15.68%53.9萬
16.49%50.5萬
43.81%187.52萬
33.53%49.14萬
55.18%48.44萬
54.20%46.6萬
34.77%43.35萬
其他非現金項目
399.60%300.18萬
560.41%114.96萬
591.01%81.05萬
377.44%80.36萬
68.71%23.82萬
-35.83%60.08萬
33.60%17.41萬
30.76%11.73萬
-40.12%16.83萬
-67.56%14.12萬
營運資金變化
-329.13%-62.22萬
-75.20%18.88萬
153.92%12.52萬
-74.79%-65.92萬
6.62%-27.7萬
-145.62%-14.5萬
-20.81%76.1萬
-247.33%-23.23萬
-1,635.36%-37.71萬
64.06%-29.67萬
-應收款項(增)減
-855.88%-14.52萬
-726.62%-15.5萬
-33.34%-2.5萬
-83.58%7,997
201.63%2.68萬
50.00%-1.52萬
38.27%-1.88萬
---1.87萬
--4.87萬
---2.64萬
-預付費用(增)減
-123.85%-19.94萬
-173.85%-11.84萬
-21.45%15.62萬
-134.43%-15.05萬
-116.01%-8.66萬
242.27%83.59萬
123.77%16.03萬
-20.42%19.88萬
9.44%-6.42萬
688.91%54.09萬
-應付款項及應計費用(減)增
87.90%-9.27萬
-23.66%51萬
111.34%4.1萬
-51.27%-47.06萬
77.31%-17.3萬
-170.44%-76.66萬
-61.12%66.8萬
-612.76%-36.11萬
-419.26%-31.11萬
-12.67%-76.24萬
-其他流動負債變化
-16.77%-16.83萬
-16.68%-4.36萬
-16.68%-4.27萬
-16.68%-4.19萬
-17.07%-4.01萬
4.36%-14.41萬
-17.93%-3.74萬
-17.94%-3.66萬
13.65%-3.59萬
26.20%-3.42萬
-其他營運資本變化
69.68%-1.67萬
62.56%-4,167
71.48%-4,167
71.49%-4,166
71.48%-4,167
-2,788.28%-5.5萬
45.88%-1.11萬
-39.88%-1.46萬
-136.94%-1.46萬
-39.89%-1.46萬
非持續經營活動現金淨額
經營活動現金淨額
11.58%-1,374.92萬
-5.63%-331.28萬
11.54%-317.62萬
6.95%-377.01萬
26.87%-349.01萬
-27.09%-1,555.05萬
-35.06%-313.63萬
-23.39%-359.04萬
-24.46%-405.16萬
-27.30%-477.22萬
投資活動現金流量
持續投資活動現金淨額
32.64%-181.72萬
-40.92%-59.08萬
64.16%-22.42萬
87.54%-10.28萬
-8.56%-89.94萬
8.77%-269.79萬
73.31%-41.93萬
28.36%-62.54萬
-2.75%-82.47萬
-386.08%-82.85萬
固定資產交易的淨現金流
41.26%-133.18萬
-14.04%-37.86萬
83.04%-5.93萬
95.02%-4.04萬
-10.08%-85.35萬
31.12%-226.74萬
77.54%-33.2萬
58.14%-34.96萬
-10.72%-81.04萬
-215.13%-77.54萬
無形資產交易淨現金流
-12.76%-48.54萬
-143.20%-21.22萬
40.22%-16.49萬
-335.28%-6.25萬
13.60%-4.59萬
-39.92%-43.05萬
5.78%-8.73萬
-629.29%-27.58萬
79.73%-1.43萬
50.13%-5.31萬
非持續投資活動現金淨額
投資活動現金淨額
32.64%-181.72萬
-40.92%-59.08萬
64.16%-22.42萬
87.54%-10.28萬
-8.56%-89.94萬
8.77%-269.79萬
73.31%-41.93萬
28.36%-62.54萬
-2.75%-82.47萬
-386.08%-82.85萬
融資活動現金流量
持續融資活動現金淨額
292.95%5,691.58萬
774.88%3,797.89萬
753.37%1,623.55萬
-63.54%93.45萬
-68.88%176.69萬
-35.69%1,448.43萬
-2.42%434.1萬
-5.99%190.25萬
-75.65%256.31萬
2.76%567.77萬
普通股發行/償還的淨現金流
301.11%5,674.5萬
951.12%5,225.15萬
53.44%181.13萬
-57.07%107.88萬
-70.76%160.34萬
-34.23%1,414.69萬
-8.71%497.1萬
151.17%118.04萬
-75.11%251.27萬
-0.30%548.28萬
職工行使股票期權收到的現金
5.40%35.56萬
23.56%10.49萬
548.32%4.67萬
-19.64%4.05萬
-16.09%16.35萬
-66.73%33.74萬
-77.77%8.49萬
-95.89%7,200
-88.31%5.04萬
656.70%19.49萬
其他融資活動的淨現金流額
---18.48萬
---1,437.75萬
6,586.67%1,437.75萬
----
----
----
----
-70.74%21.5萬
--16.94萬
--33.05萬
非持續融資活動現金淨額
融資活動現金淨額
292.95%5,691.58萬
774.88%3,797.89萬
753.37%1,623.55萬
-63.54%93.45萬
-68.88%176.69萬
-35.69%1,448.43萬
-2.42%434.1萬
-5.99%190.25萬
-75.65%256.31萬
2.76%567.77萬
現金淨流量
期初現金流
-11.98%2,766.8萬
29.98%3,494.21萬
-24.28%2,210.69萬
-20.51%2,504.53萬
-11.98%2,766.8萬
30.41%3,143.21萬
-12.94%2,688.25萬
-10.54%2,919.58萬
20.41%3,150.91萬
30.41%3,143.21萬
當期現金流變化
1,198.51%4,134.94萬
4,238.05%3,407.53萬
654.83%1,283.51萬
-27.02%-293.84萬
-3,507.30%-262.26萬
-151.35%-376.41萬
41.42%78.55萬
-31.50%-231.33萬
-135.77%-231.32萬
-96.27%7.7萬
期末現金流
149.45%6,901.74萬
149.45%6,901.74萬
29.98%3,494.21萬
-24.28%2,210.69萬
-20.51%2,504.53萬
-11.98%2,766.8萬
-11.98%2,766.8萬
-12.94%2,688.25萬
-10.54%2,919.58萬
20.41%3,150.91萬
自由現金流
14.70%-1,556.64萬
-9.79%-390.36萬
19.34%-340.04萬
20.58%-387.29萬
21.62%-438.96萬
-15.23%-1,824.84萬
8.67%-355.55萬
-11.45%-421.59萬
-20.15%-487.63萬
-36.56%-560.07萬
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
審計意見
無保留意見
--
--
--
--
無保留意見
--
--
--
--
(FY)2025/12/31(Q4)2025/12/31(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額 11.58%-1,374.92萬-5.63%-331.28萬11.54%-317.62萬6.95%-377.01萬26.87%-349.01萬-27.09%-1,555.05萬-35.06%-313.63萬-23.39%-359.04萬-24.46%-405.16萬-27.30%-477.22萬
持續經營淨收入 9.86%-2,031.38萬12.48%-484.41萬-9.53%-580.61萬17.49%-496.66萬17.30%-469.7萬-7.12%-2,253.5萬-12.04%-553.45萬-2.64%-530.09萬-10.30%-601.97萬-3.72%-567.99萬
持續經營損益 -88.22%2.52萬--1.95萬-83.63%3.44萬---2.05萬-362.16%-8,300199.04%21.34萬--0--21.03萬--0--3,166
折舊和攤銷 12.45%210.87萬6.11%52.14萬12.16%54.33萬15.68%53.9萬16.49%50.5萬43.81%187.52萬33.53%49.14萬55.18%48.44萬54.20%46.6萬34.77%43.35萬
其他非現金項目 399.60%300.18萬560.41%114.96萬591.01%81.05萬377.44%80.36萬68.71%23.82萬-35.83%60.08萬33.60%17.41萬30.76%11.73萬-40.12%16.83萬-67.56%14.12萬
營運資金變化 -329.13%-62.22萬-75.20%18.88萬153.92%12.52萬-74.79%-65.92萬6.62%-27.7萬-145.62%-14.5萬-20.81%76.1萬-247.33%-23.23萬-1,635.36%-37.71萬64.06%-29.67萬
-應收款項(增)減 -855.88%-14.52萬-726.62%-15.5萬-33.34%-2.5萬-83.58%7,997201.63%2.68萬50.00%-1.52萬38.27%-1.88萬---1.87萬--4.87萬---2.64萬
-預付費用(增)減 -123.85%-19.94萬-173.85%-11.84萬-21.45%15.62萬-134.43%-15.05萬-116.01%-8.66萬242.27%83.59萬123.77%16.03萬-20.42%19.88萬9.44%-6.42萬688.91%54.09萬
-應付款項及應計費用(減)增 87.90%-9.27萬-23.66%51萬111.34%4.1萬-51.27%-47.06萬77.31%-17.3萬-170.44%-76.66萬-61.12%66.8萬-612.76%-36.11萬-419.26%-31.11萬-12.67%-76.24萬
-其他流動負債變化 -16.77%-16.83萬-16.68%-4.36萬-16.68%-4.27萬-16.68%-4.19萬-17.07%-4.01萬4.36%-14.41萬-17.93%-3.74萬-17.94%-3.66萬13.65%-3.59萬26.20%-3.42萬
-其他營運資本變化 69.68%-1.67萬62.56%-4,16771.48%-4,16771.49%-4,16671.48%-4,167-2,788.28%-5.5萬45.88%-1.11萬-39.88%-1.46萬-136.94%-1.46萬-39.89%-1.46萬
非持續經營活動現金淨額
經營活動現金淨額 11.58%-1,374.92萬-5.63%-331.28萬11.54%-317.62萬6.95%-377.01萬26.87%-349.01萬-27.09%-1,555.05萬-35.06%-313.63萬-23.39%-359.04萬-24.46%-405.16萬-27.30%-477.22萬
投資活動現金流量
持續投資活動現金淨額 32.64%-181.72萬-40.92%-59.08萬64.16%-22.42萬87.54%-10.28萬-8.56%-89.94萬8.77%-269.79萬73.31%-41.93萬28.36%-62.54萬-2.75%-82.47萬-386.08%-82.85萬
固定資產交易的淨現金流 41.26%-133.18萬-14.04%-37.86萬83.04%-5.93萬95.02%-4.04萬-10.08%-85.35萬31.12%-226.74萬77.54%-33.2萬58.14%-34.96萬-10.72%-81.04萬-215.13%-77.54萬
無形資產交易淨現金流 -12.76%-48.54萬-143.20%-21.22萬40.22%-16.49萬-335.28%-6.25萬13.60%-4.59萬-39.92%-43.05萬5.78%-8.73萬-629.29%-27.58萬79.73%-1.43萬50.13%-5.31萬
非持續投資活動現金淨額
投資活動現金淨額 32.64%-181.72萬-40.92%-59.08萬64.16%-22.42萬87.54%-10.28萬-8.56%-89.94萬8.77%-269.79萬73.31%-41.93萬28.36%-62.54萬-2.75%-82.47萬-386.08%-82.85萬
融資活動現金流量
持續融資活動現金淨額 292.95%5,691.58萬774.88%3,797.89萬753.37%1,623.55萬-63.54%93.45萬-68.88%176.69萬-35.69%1,448.43萬-2.42%434.1萬-5.99%190.25萬-75.65%256.31萬2.76%567.77萬
普通股發行/償還的淨現金流 301.11%5,674.5萬951.12%5,225.15萬53.44%181.13萬-57.07%107.88萬-70.76%160.34萬-34.23%1,414.69萬-8.71%497.1萬151.17%118.04萬-75.11%251.27萬-0.30%548.28萬
職工行使股票期權收到的現金 5.40%35.56萬23.56%10.49萬548.32%4.67萬-19.64%4.05萬-16.09%16.35萬-66.73%33.74萬-77.77%8.49萬-95.89%7,200-88.31%5.04萬656.70%19.49萬
其他融資活動的淨現金流額 ---18.48萬---1,437.75萬6,586.67%1,437.75萬-----------------70.74%21.5萬--16.94萬--33.05萬
非持續融資活動現金淨額
融資活動現金淨額 292.95%5,691.58萬774.88%3,797.89萬753.37%1,623.55萬-63.54%93.45萬-68.88%176.69萬-35.69%1,448.43萬-2.42%434.1萬-5.99%190.25萬-75.65%256.31萬2.76%567.77萬
現金淨流量
期初現金流 -11.98%2,766.8萬29.98%3,494.21萬-24.28%2,210.69萬-20.51%2,504.53萬-11.98%2,766.8萬30.41%3,143.21萬-12.94%2,688.25萬-10.54%2,919.58萬20.41%3,150.91萬30.41%3,143.21萬
當期現金流變化 1,198.51%4,134.94萬4,238.05%3,407.53萬654.83%1,283.51萬-27.02%-293.84萬-3,507.30%-262.26萬-151.35%-376.41萬41.42%78.55萬-31.50%-231.33萬-135.77%-231.32萬-96.27%7.7萬
期末現金流 149.45%6,901.74萬149.45%6,901.74萬29.98%3,494.21萬-24.28%2,210.69萬-20.51%2,504.53萬-11.98%2,766.8萬-11.98%2,766.8萬-12.94%2,688.25萬-10.54%2,919.58萬20.41%3,150.91萬
自由現金流 14.70%-1,556.64萬-9.79%-390.36萬19.34%-340.04萬20.58%-387.29萬21.62%-438.96萬-15.23%-1,824.84萬8.67%-355.55萬-11.45%-421.59萬-20.15%-487.63萬-36.56%-560.07萬
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