美股市場個股詳情

NEO PERFORMANCE MATERIALS INC (NOPMF)

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  • 17.340
  • +0.390+2.30%
延時15分鐘行情收盤價 04/17 15:59 (美東)
7.21億總市值-72.25市盈率TTM

NEO PERFORMANCE MATERIALS INC (NOPMF) 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
-205.81%-5,396.2萬
-237.67%-2,857.7萬
-150.91%-253.7萬
-137.13%-517.2萬
-256.01%-1,767.6萬
-16.37%5,100.1萬
745.20%2,075.8萬
-68.39%498.3萬
-41.55%1,393萬
-40.15%1,133萬
持續經營淨收入
23.41%-996.9萬
-29.83%-1,562.8萬
150.09%135.8萬
544.17%568.8萬
-263.37%-138.7萬
-55.12%-1,301.6萬
-966.16%-1,203.7萬
-187.20%-271.1萬
168.39%88.3萬
107.93%84.9萬
持續經營損益
-183.48%-477.9萬
-67.45%112.9萬
40.34%-99.4萬
-1,405.34%-708.8萬
-35.68%217.4萬
69.33%572.5萬
265.06%346.8萬
-226.79%-166.6萬
-87.43%54.3萬
2,338.41%338萬
折舊和攤銷
-4.69%1,500.6萬
-12.62%376.5萬
-2.64%379.5萬
-3.51%374.4萬
1.20%370.2萬
-6.35%1,574.5萬
1.89%430.9萬
-12.76%389.8萬
-7.22%388萬
-7.02%365.8萬
遞延稅費
-19.74%1,440.2萬
-48.83%387.4萬
52.89%457.3萬
-47.44%159.9萬
0.35%435.6萬
53.60%1,794.5萬
19,512.82%757.1萬
-27.47%299.1萬
-49.20%304.2萬
169.63%434.1萬
其他非現金項目
-62.11%931.9萬
-22.23%969.3萬
-80.41%207萬
1,805.29%360.1萬
-540.28%-604.5萬
753.37%2,459.4萬
557.39%1,246.4萬
448.43%1,056.8萬
-95.60%18.9萬
-68.36%137.3萬
營運資金變化
-550.52%-8,248.6萬
-547.95%-4,167.7萬
-193.98%-1,368.5萬
-240.38%-1,259.1萬
-409.81%-1,453.3萬
-53.29%1,830.9萬
414.89%930.4萬
-161.73%-465.5萬
48.17%896.9萬
-80.28%469.1萬
-應收款項(增)減
-886.22%-3,652萬
-148.85%-275萬
15.66%-749.7萬
-399.16%-1,629.2萬
-506.06%-998.1萬
-73.26%464.5萬
34.24%563萬
-155.11%-888.9萬
129.03%544.6萬
-84.45%245.8萬
-存貨(增)減
-326.19%-6,528.2萬
-824.87%-4,465.2萬
-51.39%-1,405.7萬
-138.97%-238.4萬
-116.19%-418.9萬
42.40%2,886.2萬
8,900.00%616萬
52.09%-928.5萬
-55.06%611.7萬
-0.91%2,587萬
-應付款項及應計費用(減)增
214.03%1,971.3萬
401.92%865.6萬
10.08%1,014.3萬
177.16%660.3萬
62.27%-568.9萬
-885.01%-1,728.7萬
-177.54%-286.7萬
10.41%921.4萬
-394.97%-855.7萬
-25.98%-1,507.7萬
-其他流動資產變化
-103.00%-6.4萬
-525.85%-276.8萬
-147.02%-234.7萬
-99.28%3.8萬
157.09%501.3萬
-28.32%213.1萬
153.54%65萬
71.45%499.1萬
-31.91%527.1萬
-35.82%-878.1萬
-其他流動負債變化
-692.86%-33.3萬
39.41%-16.3萬
110.64%7.3萬
-180.35%-55.6萬
41.63%31.3萬
-112.39%-4.2萬
-284.29%-26.9萬
-47.21%-68.6萬
24.24%69.2萬
-30.50%22.1萬
非持續經營活動現金淨額
經營活動現金淨額
-205.81%-5,396.2萬
-237.67%-2,857.7萬
-150.91%-253.7萬
-137.13%-517.2萬
-256.01%-1,767.6萬
-16.37%5,100.1萬
745.20%2,075.8萬
-68.39%498.3萬
-41.55%1,393萬
-40.15%1,133萬
投資活動現金流量
持續投資活動現金淨額
88.66%-674萬
66.09%-355.9萬
69.45%-785.8萬
11.03%-933.8萬
210.34%1,401.5萬
-0.51%-5,941.7萬
55.51%-1,049.4萬
-232.92%-2,572.5萬
56.79%-1,049.6萬
-261.67%-1,270.2萬
固定資產交易的淨現金流
50.68%-3,166.4萬
70.73%-351.8萬
69.33%-782.9萬
16.75%-888.9萬
28.48%-1,142.8萬
-53.80%-6,420.2萬
50.65%-1,201.9萬
-229.30%-2,552.7萬
-74.20%-1,067.7萬
-355.37%-1,597.9萬
無形資產交易淨現金流
----
----
----
----
----
----
----
---3萬
-18.18%-1.3萬
-400.00%-1.5萬
業務交易的淨現金流
36,630.43%2,520.6萬
--24.1萬
88.40%-2.9萬
-348.07%-44.9萬
--2,544.3萬
99.58%-6.9萬
--0
18.57%-25萬
--18.1萬
--0
其他投資活動的淨現金流
-105.81%-28.2萬
----
----
----
----
475.12%485.4萬
103.33%152.5萬
--5.2萬
--0
--327.7萬
非持續投資活動現金淨額
投資活動現金淨額
88.66%-674萬
66.09%-355.9萬
69.45%-785.8萬
11.03%-933.8萬
210.34%1,401.5萬
-0.51%-5,941.7萬
55.51%-1,049.4萬
-232.92%-2,572.5萬
56.79%-1,049.6萬
-261.67%-1,270.2萬
融資活動現金流量
持續融資活動現金淨額
-54.42%622.4萬
-45.25%890.5萬
46.96%-844.7萬
490.62%1,631.6萬
-160.32%-1,055萬
122.24%1,365.4萬
323.96%1,626.6萬
22.66%-1,592.6萬
72.81%-417.7萬
196.17%1,749.1萬
債務發行/償還的淨現金流
-33.71%2,878.3萬
-56.59%1,083萬
13.86%-430.7萬
63,700.00%2,226萬
--0
255.26%4,341.7萬
3,669.38%2,495萬
73.71%-500萬
-100.54%-3.5萬
258.92%2,350.2萬
普通股發行/償還的淨現金流
-40.58%-316.3萬
---10.6萬
---71.5萬
---234.2萬
--0
88.69%-225萬
--0
--0
--0
---225萬
現金股利支付
2.25%-1,205.3萬
3.36%-295.9萬
1.41%-301.4萬
-1.02%-315.9萬
5.29%-292.1萬
7.96%-1,233萬
8.19%-306.2萬
8.45%-305.7萬
6.46%-312.7萬
8.73%-308.4萬
其他融資活動的淨現金流額
51.64%-734.3萬
120.28%114萬
94.78%-41.1萬
56.35%-44.3萬
-1,026.88%-762.9萬
-9,823.53%-1,518.3萬
-28,010.00%-562.2萬
-145.63%-786.9萬
94.15%-101.5萬
-3,285.00%-67.7萬
非持續融資活動現金淨額
融資活動現金淨額
-54.42%622.4萬
-45.25%890.5萬
46.96%-844.7萬
490.62%1,631.6萬
-160.32%-1,055萬
122.24%1,365.4萬
323.96%1,626.6萬
22.66%-1,592.6萬
72.81%-417.7萬
196.17%1,749.1萬
現金淨流量
期初現金流
4.22%9,056.6萬
-5.33%6,148.1萬
-20.04%8,034.3萬
-23.96%7,732.9萬
4.22%9,056.6萬
-41.08%8,689.5萬
-42.74%6,494.4萬
-20.83%1億
-30.23%1.02億
-41.08%8,689.5萬
當期現金流變化
-1,140.05%-5,447.8萬
-187.57%-2,323.1萬
48.61%-1,884.2萬
343.07%180.6萬
-188.16%-1,421.1萬
108.80%523.8萬
193.43%2,653萬
-192.08%-3,666.8萬
95.30%-74.3萬
681.91%1,611.9萬
利率變動影響
244.99%227.2萬
104.82%11萬
-100.80%-2萬
360.91%120.8萬
173.51%97.4萬
-48.39%-156.7萬
-222.02%-228.3萬
365.82%250.4萬
84.60%-46.3萬
-229.77%-132.5萬
期末現金流
-55.13%3,836萬
-55.13%3,836萬
-5.33%6,148.1萬
-20.04%8,034.3萬
-23.96%7,732.9萬
-1.62%8,548.9萬
-1.62%8,548.9萬
-42.74%6,494.4萬
-20.83%1億
-30.23%1.02億
自由現金流
-548.63%-8,562.6萬
-467.26%-3,209.5萬
49.54%-1,036.6萬
-532.25%-1,406.1萬
-526.03%-2,910.4萬
-168.62%-1,320.1萬
139.94%873.9萬
-356.42%-2,054.4萬
-81.61%325.3萬
-130.15%-464.9萬
貨幣單位
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審計意見
無保留意見
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無保留意見
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(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 -205.81%-5,396.2萬-237.67%-2,857.7萬-150.91%-253.7萬-137.13%-517.2萬-256.01%-1,767.6萬-16.37%5,100.1萬745.20%2,075.8萬-68.39%498.3萬-41.55%1,393萬-40.15%1,133萬
持續經營淨收入 23.41%-996.9萬-29.83%-1,562.8萬150.09%135.8萬544.17%568.8萬-263.37%-138.7萬-55.12%-1,301.6萬-966.16%-1,203.7萬-187.20%-271.1萬168.39%88.3萬107.93%84.9萬
持續經營損益 -183.48%-477.9萬-67.45%112.9萬40.34%-99.4萬-1,405.34%-708.8萬-35.68%217.4萬69.33%572.5萬265.06%346.8萬-226.79%-166.6萬-87.43%54.3萬2,338.41%338萬
折舊和攤銷 -4.69%1,500.6萬-12.62%376.5萬-2.64%379.5萬-3.51%374.4萬1.20%370.2萬-6.35%1,574.5萬1.89%430.9萬-12.76%389.8萬-7.22%388萬-7.02%365.8萬
遞延稅費 -19.74%1,440.2萬-48.83%387.4萬52.89%457.3萬-47.44%159.9萬0.35%435.6萬53.60%1,794.5萬19,512.82%757.1萬-27.47%299.1萬-49.20%304.2萬169.63%434.1萬
其他非現金項目 -62.11%931.9萬-22.23%969.3萬-80.41%207萬1,805.29%360.1萬-540.28%-604.5萬753.37%2,459.4萬557.39%1,246.4萬448.43%1,056.8萬-95.60%18.9萬-68.36%137.3萬
營運資金變化 -550.52%-8,248.6萬-547.95%-4,167.7萬-193.98%-1,368.5萬-240.38%-1,259.1萬-409.81%-1,453.3萬-53.29%1,830.9萬414.89%930.4萬-161.73%-465.5萬48.17%896.9萬-80.28%469.1萬
-應收款項(增)減 -886.22%-3,652萬-148.85%-275萬15.66%-749.7萬-399.16%-1,629.2萬-506.06%-998.1萬-73.26%464.5萬34.24%563萬-155.11%-888.9萬129.03%544.6萬-84.45%245.8萬
-存貨(增)減 -326.19%-6,528.2萬-824.87%-4,465.2萬-51.39%-1,405.7萬-138.97%-238.4萬-116.19%-418.9萬42.40%2,886.2萬8,900.00%616萬52.09%-928.5萬-55.06%611.7萬-0.91%2,587萬
-應付款項及應計費用(減)增 214.03%1,971.3萬401.92%865.6萬10.08%1,014.3萬177.16%660.3萬62.27%-568.9萬-885.01%-1,728.7萬-177.54%-286.7萬10.41%921.4萬-394.97%-855.7萬-25.98%-1,507.7萬
-其他流動資產變化 -103.00%-6.4萬-525.85%-276.8萬-147.02%-234.7萬-99.28%3.8萬157.09%501.3萬-28.32%213.1萬153.54%65萬71.45%499.1萬-31.91%527.1萬-35.82%-878.1萬
-其他流動負債變化 -692.86%-33.3萬39.41%-16.3萬110.64%7.3萬-180.35%-55.6萬41.63%31.3萬-112.39%-4.2萬-284.29%-26.9萬-47.21%-68.6萬24.24%69.2萬-30.50%22.1萬
非持續經營活動現金淨額
經營活動現金淨額 -205.81%-5,396.2萬-237.67%-2,857.7萬-150.91%-253.7萬-137.13%-517.2萬-256.01%-1,767.6萬-16.37%5,100.1萬745.20%2,075.8萬-68.39%498.3萬-41.55%1,393萬-40.15%1,133萬
投資活動現金流量
持續投資活動現金淨額 88.66%-674萬66.09%-355.9萬69.45%-785.8萬11.03%-933.8萬210.34%1,401.5萬-0.51%-5,941.7萬55.51%-1,049.4萬-232.92%-2,572.5萬56.79%-1,049.6萬-261.67%-1,270.2萬
固定資產交易的淨現金流 50.68%-3,166.4萬70.73%-351.8萬69.33%-782.9萬16.75%-888.9萬28.48%-1,142.8萬-53.80%-6,420.2萬50.65%-1,201.9萬-229.30%-2,552.7萬-74.20%-1,067.7萬-355.37%-1,597.9萬
無形資產交易淨現金流 -------------------------------3萬-18.18%-1.3萬-400.00%-1.5萬
業務交易的淨現金流 36,630.43%2,520.6萬--24.1萬88.40%-2.9萬-348.07%-44.9萬--2,544.3萬99.58%-6.9萬--018.57%-25萬--18.1萬--0
其他投資活動的淨現金流 -105.81%-28.2萬----------------475.12%485.4萬103.33%152.5萬--5.2萬--0--327.7萬
非持續投資活動現金淨額
投資活動現金淨額 88.66%-674萬66.09%-355.9萬69.45%-785.8萬11.03%-933.8萬210.34%1,401.5萬-0.51%-5,941.7萬55.51%-1,049.4萬-232.92%-2,572.5萬56.79%-1,049.6萬-261.67%-1,270.2萬
融資活動現金流量
持續融資活動現金淨額 -54.42%622.4萬-45.25%890.5萬46.96%-844.7萬490.62%1,631.6萬-160.32%-1,055萬122.24%1,365.4萬323.96%1,626.6萬22.66%-1,592.6萬72.81%-417.7萬196.17%1,749.1萬
債務發行/償還的淨現金流 -33.71%2,878.3萬-56.59%1,083萬13.86%-430.7萬63,700.00%2,226萬--0255.26%4,341.7萬3,669.38%2,495萬73.71%-500萬-100.54%-3.5萬258.92%2,350.2萬
普通股發行/償還的淨現金流 -40.58%-316.3萬---10.6萬---71.5萬---234.2萬--088.69%-225萬--0--0--0---225萬
現金股利支付 2.25%-1,205.3萬3.36%-295.9萬1.41%-301.4萬-1.02%-315.9萬5.29%-292.1萬7.96%-1,233萬8.19%-306.2萬8.45%-305.7萬6.46%-312.7萬8.73%-308.4萬
其他融資活動的淨現金流額 51.64%-734.3萬120.28%114萬94.78%-41.1萬56.35%-44.3萬-1,026.88%-762.9萬-9,823.53%-1,518.3萬-28,010.00%-562.2萬-145.63%-786.9萬94.15%-101.5萬-3,285.00%-67.7萬
非持續融資活動現金淨額
融資活動現金淨額 -54.42%622.4萬-45.25%890.5萬46.96%-844.7萬490.62%1,631.6萬-160.32%-1,055萬122.24%1,365.4萬323.96%1,626.6萬22.66%-1,592.6萬72.81%-417.7萬196.17%1,749.1萬
現金淨流量
期初現金流 4.22%9,056.6萬-5.33%6,148.1萬-20.04%8,034.3萬-23.96%7,732.9萬4.22%9,056.6萬-41.08%8,689.5萬-42.74%6,494.4萬-20.83%1億-30.23%1.02億-41.08%8,689.5萬
當期現金流變化 -1,140.05%-5,447.8萬-187.57%-2,323.1萬48.61%-1,884.2萬343.07%180.6萬-188.16%-1,421.1萬108.80%523.8萬193.43%2,653萬-192.08%-3,666.8萬95.30%-74.3萬681.91%1,611.9萬
利率變動影響 244.99%227.2萬104.82%11萬-100.80%-2萬360.91%120.8萬173.51%97.4萬-48.39%-156.7萬-222.02%-228.3萬365.82%250.4萬84.60%-46.3萬-229.77%-132.5萬
期末現金流 -55.13%3,836萬-55.13%3,836萬-5.33%6,148.1萬-20.04%8,034.3萬-23.96%7,732.9萬-1.62%8,548.9萬-1.62%8,548.9萬-42.74%6,494.4萬-20.83%1億-30.23%1.02億
自由現金流 -548.63%-8,562.6萬-467.26%-3,209.5萬49.54%-1,036.6萬-532.25%-1,406.1萬-526.03%-2,910.4萬-168.62%-1,320.1萬139.94%873.9萬-356.42%-2,054.4萬-81.61%325.3萬-130.15%-464.9萬
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