美股市場個股詳情

Construction Partners (ROAD)

添加自選
  • 106.720
  • -2.160-1.98%
收盤價 04/07 16:00 (美東)
  • 110.763
  • +4.043+3.79%
盤前 05:52 (美東)
60.31億總市值48.29市盈率TTM

Construction Partners (ROAD) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2025/12/31
(FY)2025/09/30
(Q4)2025/09/30
(Q3)2025/06/30
(Q2)2025/03/31
(Q1)2024/12/31
(FY)2024/09/30
(Q4)2024/09/30
(Q3)2024/06/30
(Q2)2024/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額
103.05%8,256.7萬
39.33%2.91億
16.78%1.12億
139.73%8,302.1萬
206.15%5,563.4萬
-32.65%4,066.3萬
33.04%2.09億
53.15%9,589.8萬
-29.10%3,463.1萬
8.09%1,817.2萬
持續經營淨收入
663.91%1,720.5萬
47.65%1.02億
93.02%5,657萬
42.51%4,404.7萬
475.00%421.5萬
-131.00%-305.1萬
40.68%6,893.5萬
-5.19%2,930.8萬
42.58%3,090.8萬
79.49%-112.4萬
持續經營損益
-95.66%-202.9萬
-154.89%-1,081.5萬
-62.25%-247.1萬
-258.33%-393.8萬
-225.82%-336.9萬
-76.66%-103.7萬
64.83%-424.3萬
53.41%-152.3萬
53.65%-109.9萬
44.88%-103.4萬
折舊和攤銷
44.40%4,503萬
59.57%1.48億
59.24%4,052.9萬
67.16%3,929.4萬
63.15%3,726.3萬
47.64%3,118.4萬
17.47%9,292萬
19.32%2,545.2萬
20.33%2,350.7萬
15.02%2,284萬
遞延稅費
44.08%-78.9萬
21.07%2,746.1萬
21.36%2,776.1萬
953.57%118萬
-170.41%-6.9萬
-249.26%-141.1萬
103.14%2,268.1萬
102.25%2,287.5萬
41.77%11.2萬
25.64%9.8萬
其他非現金項目
122.93%59.3萬
5,127.42%324.1萬
2,827.78%52.7萬
725.83%99.1萬
2,376.56%145.7萬
2,316.67%26.6萬
72.22%6.2萬
125.00%1.8萬
361.54%12萬
-206.67%-6.4萬
營運資金變化
3,339.17%746.3萬
-216.62%-1,611.8萬
-237.89%-2,129.1萬
71.13%-662.1萬
295.23%1,157.7萬
-99.20%21.7萬
-26.11%1,382.1萬
3,501.10%1,544.1萬
-438.20%-2,293.7萬
-508.68%-593萬
-應收款項(增)減
104.86%1.16億
-5,989.32%-6,673.9萬
-447.35%-5,032.1萬
0.94%-5,074.7萬
12.46%-2,246.4萬
-7.36%5,679.3萬
95.31%-109.6萬
134.02%1,448.7萬
-227.58%-5,122.7萬
-163.48%-2,566萬
-存貨(增)減
68.05%-333.4萬
66.72%-515.1萬
-118.32%-27.1萬
50.25%-49.3萬
199.33%604.7萬
-5.61%-1,043.4萬
-111.48%-1,548萬
-68.39%147.9萬
46.35%-99.1萬
8.93%-608.8萬
-預付費用(增)減
-9,783.92%-1,413.4萬
157.47%748萬
117.41%205.8萬
105.18%17.4萬
396.41%539.1萬
-113.25%-14.3萬
-456.58%-1,301.5萬
-2,811.24%-1,182.1萬
-152.00%-335.9萬
137.05%108.6萬
-應付款項及應計費用(減)增
-73.27%-9,364.2萬
212.49%5,706.4萬
83.16%2,244.8萬
102.03%6,165.5萬
166.32%2,700.5萬
-55.96%-5,404.4萬
-6.64%1,826.1萬
-57.36%1,225.6萬
209.16%3,051.7萬
-28.53%1,014萬
-其他流動資產變化
421.22%213.7萬
-394.06%-257.9萬
37.40%54萬
-595.45%-229.5萬
-365.66%-123.4萬
228.13%41萬
-304.65%-52.2萬
155.19%39.3萬
-328.57%-33萬
-293.43%-26.5萬
-其他流動負債變化
-612.90%-683.7萬
-174.88%-60.2萬
-55.49%36.5萬
93.57%-14萬
-316.22%-216萬
14.72%133.3萬
-63.99%80.4萬
145.05%82萬
-271.55%-217.7萬
-27.61%99.9萬
-其他營運資本變化
9.90%692.6萬
-122.48%-559.1萬
279.02%389萬
-419.11%-1,477.5萬
-107.27%-100.8萬
-26.33%630.2萬
3.20%2,486.9萬
-121.86%-217.3萬
-31.35%463萬
171.67%1,385.8萬
非持續經營活動現金淨額
經營活動現金淨額
103.05%8,256.7萬
39.33%2.91億
16.78%1.12億
139.73%8,302.1萬
206.15%5,563.4萬
-32.65%4,066.3萬
33.04%2.09億
53.15%9,589.8萬
-29.10%3,463.1萬
8.09%1,817.2萬
投資活動現金流量
持續投資活動現金淨額
64.24%-2.43億
-316.21%-12.8億
-127.73%-2.47億
-130.32%-1.4億
-535.67%-2.14億
-548.79%-6.79億
-114.54%-3.08億
-338.61%-1.08億
-183.79%-6,074萬
-26.85%-3,369.7萬
固定資產交易的淨現金流
-19.75%-2,992.4萬
-62.66%-1.2億
-130.50%-2,652.6萬
-165.95%-3,140.1萬
-41.98%-3,724.6萬
-2.74%-2,498.9萬
-71.30%-7,387.1萬
16.04%-1,150.8萬
17.48%-1,180.7萬
-22.14%-2,623.3萬
業務交易的淨現金流
67.12%-2.15億
-398.39%-11.55億
-127.31%-2.19億
-125.73%-1.07億
-2,585.58%-1.75億
-704.17%-6.54億
-152.52%-2.32億
-967.29%-9,655.8萬
-867.11%-4,736.9萬
-921.86%-649.9萬
投資產品交易的淨現金流
53.62%371.3萬
----
----
368.26%441.1萬
68.29%152.3萬
138.60%241.7萬
----
----
75.42%94.2萬
30.03%90.5萬
其他投資活動的淨現金流
31.80%-154萬
-151.52%-487.2萬
199.71%731萬
-138.63%-598萬
---394.4萬
---225.8萬
77.10%-193.7萬
521.97%243.9萬
8.34%-250.6萬
----
非持續投資活動現金淨額
投資活動現金淨額
64.24%-2.43億
-316.21%-12.8億
-127.73%-2.47億
-130.32%-1.4億
-535.67%-2.14億
-548.79%-6.79億
-114.54%-3.08億
-338.61%-1.08億
-183.79%-6,074萬
-26.85%-3,369.7萬
融資活動現金流量
持續融資活動現金淨額
-84.82%1.05億
749.43%10.71億
476.65%1.78億
104.00%6,959.7萬
3,542.27%1.29億
970.26%6.95億
47,868.94%1.26億
170.47%3,083萬
1,191.71%3,411.6萬
-20.00%-375萬
債務發行/償還的淨現金流
-81.56%1.3億
696.64%10.95億
407.98%1.81億
78.42%7,027.1萬
3,756.88%1.37億
966.92%7.07億
110,037.60%1.37億
181.23%3,553.7萬
1,360.32%3,938.5萬
-20.00%-375萬
普通股發行/償還的淨現金流
-85.61%-2,242.4萬
-108.12%-2,354.2萬
41.81%-273.9萬
87.21%-67.4萬
---804.8萬
-804.27%-1,208.1萬
-8,038.13%-1,131.2萬
---470.7萬
---526.9萬
--0
職工行使股票期權收到的現金
---249萬
----
----
----
----
--0
----
----
----
----
非持續融資活動現金淨額
融資活動現金淨額
-84.82%1.05億
749.43%10.71億
476.65%1.78億
104.00%6,959.7萬
3,542.27%1.29億
970.26%6.95億
47,868.94%1.26億
170.47%3,083萬
1,191.71%3,411.6萬
-20.00%-375萬
現金淨流量
期初現金流
107.36%1.59億
56.24%7,668.4萬
99.01%1.16億
105.38%1.04億
90.89%1.33億
56.24%7,668.4萬
38.02%4,908萬
6.36%5,844.3萬
64.66%5,043.6萬
60.22%6,971.1萬
當期現金流變化
-197.24%-5,482.5萬
198.26%8,233.1萬
134.14%4,271萬
58.87%1,272.1萬
-52.96%-2,948.4萬
173.30%5,638.4萬
104.16%2,760.4萬
410.80%1,824.1萬
-67.07%800.7萬
-49.67%-1,927.5萬
期末現金流
-21.70%1.04億
107.36%1.59億
107.36%1.59億
99.01%1.16億
105.38%1.04億
90.89%1.33億
56.24%7,668.4萬
56.24%7,668.4萬
6.36%5,844.3萬
64.66%5,043.6萬
自由現金流
240.52%4,709.7萬
26.60%1.53億
0.72%7,894萬
134.87%4,636.1萬
234.81%1,424萬
-58.83%1,383.1萬
104.14%1.21億
78.74%7,837.8萬
-34.64%1,973.9萬
11.41%-1,056.3萬
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
--
--
--
--
無保留意見
--
--
--
(Q1)2025/12/31(FY)2025/09/30(Q4)2025/09/30(Q3)2025/06/30(Q2)2025/03/31(Q1)2024/12/31(FY)2024/09/30(Q4)2024/09/30(Q3)2024/06/30(Q2)2024/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額 103.05%8,256.7萬39.33%2.91億16.78%1.12億139.73%8,302.1萬206.15%5,563.4萬-32.65%4,066.3萬33.04%2.09億53.15%9,589.8萬-29.10%3,463.1萬8.09%1,817.2萬
持續經營淨收入 663.91%1,720.5萬47.65%1.02億93.02%5,657萬42.51%4,404.7萬475.00%421.5萬-131.00%-305.1萬40.68%6,893.5萬-5.19%2,930.8萬42.58%3,090.8萬79.49%-112.4萬
持續經營損益 -95.66%-202.9萬-154.89%-1,081.5萬-62.25%-247.1萬-258.33%-393.8萬-225.82%-336.9萬-76.66%-103.7萬64.83%-424.3萬53.41%-152.3萬53.65%-109.9萬44.88%-103.4萬
折舊和攤銷 44.40%4,503萬59.57%1.48億59.24%4,052.9萬67.16%3,929.4萬63.15%3,726.3萬47.64%3,118.4萬17.47%9,292萬19.32%2,545.2萬20.33%2,350.7萬15.02%2,284萬
遞延稅費 44.08%-78.9萬21.07%2,746.1萬21.36%2,776.1萬953.57%118萬-170.41%-6.9萬-249.26%-141.1萬103.14%2,268.1萬102.25%2,287.5萬41.77%11.2萬25.64%9.8萬
其他非現金項目 122.93%59.3萬5,127.42%324.1萬2,827.78%52.7萬725.83%99.1萬2,376.56%145.7萬2,316.67%26.6萬72.22%6.2萬125.00%1.8萬361.54%12萬-206.67%-6.4萬
營運資金變化 3,339.17%746.3萬-216.62%-1,611.8萬-237.89%-2,129.1萬71.13%-662.1萬295.23%1,157.7萬-99.20%21.7萬-26.11%1,382.1萬3,501.10%1,544.1萬-438.20%-2,293.7萬-508.68%-593萬
-應收款項(增)減 104.86%1.16億-5,989.32%-6,673.9萬-447.35%-5,032.1萬0.94%-5,074.7萬12.46%-2,246.4萬-7.36%5,679.3萬95.31%-109.6萬134.02%1,448.7萬-227.58%-5,122.7萬-163.48%-2,566萬
-存貨(增)減 68.05%-333.4萬66.72%-515.1萬-118.32%-27.1萬50.25%-49.3萬199.33%604.7萬-5.61%-1,043.4萬-111.48%-1,548萬-68.39%147.9萬46.35%-99.1萬8.93%-608.8萬
-預付費用(增)減 -9,783.92%-1,413.4萬157.47%748萬117.41%205.8萬105.18%17.4萬396.41%539.1萬-113.25%-14.3萬-456.58%-1,301.5萬-2,811.24%-1,182.1萬-152.00%-335.9萬137.05%108.6萬
-應付款項及應計費用(減)增 -73.27%-9,364.2萬212.49%5,706.4萬83.16%2,244.8萬102.03%6,165.5萬166.32%2,700.5萬-55.96%-5,404.4萬-6.64%1,826.1萬-57.36%1,225.6萬209.16%3,051.7萬-28.53%1,014萬
-其他流動資產變化 421.22%213.7萬-394.06%-257.9萬37.40%54萬-595.45%-229.5萬-365.66%-123.4萬228.13%41萬-304.65%-52.2萬155.19%39.3萬-328.57%-33萬-293.43%-26.5萬
-其他流動負債變化 -612.90%-683.7萬-174.88%-60.2萬-55.49%36.5萬93.57%-14萬-316.22%-216萬14.72%133.3萬-63.99%80.4萬145.05%82萬-271.55%-217.7萬-27.61%99.9萬
-其他營運資本變化 9.90%692.6萬-122.48%-559.1萬279.02%389萬-419.11%-1,477.5萬-107.27%-100.8萬-26.33%630.2萬3.20%2,486.9萬-121.86%-217.3萬-31.35%463萬171.67%1,385.8萬
非持續經營活動現金淨額
經營活動現金淨額 103.05%8,256.7萬39.33%2.91億16.78%1.12億139.73%8,302.1萬206.15%5,563.4萬-32.65%4,066.3萬33.04%2.09億53.15%9,589.8萬-29.10%3,463.1萬8.09%1,817.2萬
投資活動現金流量
持續投資活動現金淨額 64.24%-2.43億-316.21%-12.8億-127.73%-2.47億-130.32%-1.4億-535.67%-2.14億-548.79%-6.79億-114.54%-3.08億-338.61%-1.08億-183.79%-6,074萬-26.85%-3,369.7萬
固定資產交易的淨現金流 -19.75%-2,992.4萬-62.66%-1.2億-130.50%-2,652.6萬-165.95%-3,140.1萬-41.98%-3,724.6萬-2.74%-2,498.9萬-71.30%-7,387.1萬16.04%-1,150.8萬17.48%-1,180.7萬-22.14%-2,623.3萬
業務交易的淨現金流 67.12%-2.15億-398.39%-11.55億-127.31%-2.19億-125.73%-1.07億-2,585.58%-1.75億-704.17%-6.54億-152.52%-2.32億-967.29%-9,655.8萬-867.11%-4,736.9萬-921.86%-649.9萬
投資產品交易的淨現金流 53.62%371.3萬--------368.26%441.1萬68.29%152.3萬138.60%241.7萬--------75.42%94.2萬30.03%90.5萬
其他投資活動的淨現金流 31.80%-154萬-151.52%-487.2萬199.71%731萬-138.63%-598萬---394.4萬---225.8萬77.10%-193.7萬521.97%243.9萬8.34%-250.6萬----
非持續投資活動現金淨額
投資活動現金淨額 64.24%-2.43億-316.21%-12.8億-127.73%-2.47億-130.32%-1.4億-535.67%-2.14億-548.79%-6.79億-114.54%-3.08億-338.61%-1.08億-183.79%-6,074萬-26.85%-3,369.7萬
融資活動現金流量
持續融資活動現金淨額 -84.82%1.05億749.43%10.71億476.65%1.78億104.00%6,959.7萬3,542.27%1.29億970.26%6.95億47,868.94%1.26億170.47%3,083萬1,191.71%3,411.6萬-20.00%-375萬
債務發行/償還的淨現金流 -81.56%1.3億696.64%10.95億407.98%1.81億78.42%7,027.1萬3,756.88%1.37億966.92%7.07億110,037.60%1.37億181.23%3,553.7萬1,360.32%3,938.5萬-20.00%-375萬
普通股發行/償還的淨現金流 -85.61%-2,242.4萬-108.12%-2,354.2萬41.81%-273.9萬87.21%-67.4萬---804.8萬-804.27%-1,208.1萬-8,038.13%-1,131.2萬---470.7萬---526.9萬--0
職工行使股票期權收到的現金 ---249萬------------------0----------------
非持續融資活動現金淨額
融資活動現金淨額 -84.82%1.05億749.43%10.71億476.65%1.78億104.00%6,959.7萬3,542.27%1.29億970.26%6.95億47,868.94%1.26億170.47%3,083萬1,191.71%3,411.6萬-20.00%-375萬
現金淨流量
期初現金流 107.36%1.59億56.24%7,668.4萬99.01%1.16億105.38%1.04億90.89%1.33億56.24%7,668.4萬38.02%4,908萬6.36%5,844.3萬64.66%5,043.6萬60.22%6,971.1萬
當期現金流變化 -197.24%-5,482.5萬198.26%8,233.1萬134.14%4,271萬58.87%1,272.1萬-52.96%-2,948.4萬173.30%5,638.4萬104.16%2,760.4萬410.80%1,824.1萬-67.07%800.7萬-49.67%-1,927.5萬
期末現金流 -21.70%1.04億107.36%1.59億107.36%1.59億99.01%1.16億105.38%1.04億90.89%1.33億56.24%7,668.4萬56.24%7,668.4萬6.36%5,844.3萬64.66%5,043.6萬
自由現金流 240.52%4,709.7萬26.60%1.53億0.72%7,894萬134.87%4,636.1萬234.81%1,424萬-58.83%1,383.1萬104.14%1.21億78.74%7,837.8萬-34.64%1,973.9萬11.41%-1,056.3萬
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