美股市场个股详情

DAKT Daktronics

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  • 12.405
  • -0.035-0.28%
交易中 09/20 11:26 (美东)
5.79亿总市值59.07市盈率TTM

Daktronics关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2024/07/27
(FY)2024/04/27
(Q4)2024/04/27
(Q3)2024/01/27
(Q2)2023/10/28
(Q1)2023/07/29
(FY)2023/04/29
(Q4)2023/04/29
(Q3)2023/01/28
(Q2)2022/10/29
经营活动现金流量(间接法)
持续经营活动现金净额
1.20%1,948.1万
320.93%6,324.1万
-61.44%945.2万
-23.88%947.8万
2,757.58%2,506.1万
184.37%1,925万
155.57%1,502.4万
1,660.22%2,451.1万
173.54%1,245.1万
111.67%87.7万
持续经营净收入
-125.77%-494.6万
408.98%3,462.1万
-88.23%251.8万
189.31%1,074.2万
116.67%216.5万
460.42%1,919.6万
1,048.99%680.2万
2,015.76%2,139.9万
185.36%371.3万
-646.93%-1,298.4万
持续经营损益
29.96%91.1万
44.19%380.8万
118.01%138万
20.45%86.6万
13.29%86.1万
32.51%70.1万
18.59%264.1万
-36.57%63.3万
111.47%71.9万
205.22%76万
折旧和摊销
4.80%489.3万
13.52%1,929.1万
10.58%492.1万
12.92%487.6万
14.88%482.5万
16.00%466.9万
10.39%1,699.3万
15.58%445万
14.99%431.8万
12.39%420万
递延税费
8.33%1.3万
-149.63%-906.9万
45.43%-909.2万
133.33%3,000
-99.94%8,000
0.00%1.2万
-133.63%-363.3万
-876.61%-1,666.1万
-104.69%-9,000
144,822.22%1,302.5万
其他非现金项目
103.43%2,159万
--1,990.3万
--498万
---634万
--1,065万
--1,061.3万
----
----
----
----
营运资金变化
77.69%-376.5万
28.84%-1,413.5万
-107.80%-72.9万
-38.33%-203.2万
210.15%550.1万
25.80%-1,687.5万
56.23%-1,986.4万
313.29%934.2万
91.53%-146.9万
64.81%-499.4万
-应收款项(增)减
31.06%-1,271.2万
-26.11%-1,649.9万
-1,402.13%-2,395.9万
188.61%1,117.8万
691.03%1,472.1万
-7.07%-1,843.9万
70.09%-1,308.3万
72.02%-159.5万
189.51%387.3万
110.18%186.1万
-存货(增)减
-28.65%315.3万
172.09%1,085.9万
-87.05%197.9万
-57.71%182.4万
123.09%263.7万
119.02%441.9万
75.37%-1,506.4万
163.56%1,528.2万
125.97%431.3万
-11.40%-1,142.2万
-预付费用(增)减
79.33%-3.7万
-79.38%108.6万
22.77%-70.2万
-4.65%235.8万
-208.31%-39.1万
-105.36%-17.9万
168.75%526.7万
58.61%-90.9万
222.73%247.3万
134.06%36.1万
-应付款项及应计费用(减)增
70.34%-110.5万
247.46%583.5万
6,467.66%2,193.6万
52.38%-949.6万
-132.52%-287.9万
-154.82%-372.6万
-110.15%-395.7万
-97.71%33.4万
-383.42%-1,994.1万
-30.08%885.3万
-其他流动资产变化
-104.35%-1,000
181.99%21.4万
-95.94%1.3万
-121.07%-5.5万
301.72%23.3万
102.56%2.3万
26.89%-26.1万
197.56%32万
845.71%26.1万
168.24%5.8万
-其他流动负债变化
-119.23%-36.7万
87.60%706.5万
104.40%334.8万
70.80%66.1万
380.33%114.8万
27.03%190.8万
224.10%376.6万
-1.33%163.8万
349.68%38.7万
171.59%23.9万
-其他营运资本变化
929.06%730.4万
-754.41%-2,269.5万
41.62%-334.4万
-218.66%-850.2万
-101.62%-996.8万
-112.63%-88.1万
-87.34%346.8万
-149.31%-572.8万
-27.76%716.5万
-281.17%-494.4万
非持续经营活动现金净额
经营活动现金净额
1.20%1,948.1万
320.93%6,324.1万
-61.44%945.2万
-23.88%947.8万
2,757.58%2,506.1万
184.37%1,925万
155.57%1,502.4万
1,660.22%2,451.1万
173.54%1,245.1万
111.67%87.7万
投资活动现金流量
持续投资活动现金净额
-4.61%-596.9万
16.08%-2,130.6万
4.28%-425.1万
13.43%-498.2万
-32.10%-636.7万
44.99%-570.6万
19.11%-2,538.8万
61.24%-444.1万
42.74%-575.5万
39.93%-482万
固定资产交易的净现金流
-11.42%-503.6万
31.58%-1,680.6万
2.41%-328.5万
19.38%-434.7万
15.61%-465.4万
56.07%-452万
-26.02%-2,456.3万
67.34%-336.6万
0.86%-539.2万
-111.06%-551.5万
业务交易的净现金流
21.33%-93.3万
-17.03%-505万
10.14%-96.6万
-231.01%-118.5万
4.89%-171.3万
-9.71%-118.6万
45.02%-431.5万
6.76%-107.5万
36.75%-35.8万
66.72%-180.1万
投资产品交易的净现金流
--0
-84.24%55万
--0
11,100.00%55万
--0
--0
186.28%349万
--0
99.88%-5,000
--249.6万
非持续投资活动现金净额
投资活动现金净额
-4.61%-596.9万
16.08%-2,130.6万
4.28%-425.1万
13.43%-498.2万
-32.10%-636.7万
44.99%-570.6万
19.11%-2,538.8万
61.24%-444.1万
42.74%-575.5万
39.93%-482万
融资活动现金流量
持续融资活动现金净额
-87.39%206.2万
-13.92%1,512.2万
90.44%-56.7万
91.73%-23万
-120.33%-43.7万
-32.21%1,635.6万
591.28%1,756.8万
-3,105.41%-593万
7.18%-278万
1,196.94%215万
债务发行/偿还的净现金流
-104.90%-108.6万
14.19%2,132.8万
92.94%-35万
100.25%7,000
-120.83%-47.7万
-8.21%2,214.8万
9,439.00%1,867.8万
---496万
---278万
--229万
普通股发行/偿还的净现金流
----
--0
----
----
----
----
--0
----
----
----
职工行使股票期权收到的现金
6,743.48%314.8万
6,100.00%130.2万
638.10%15.5万
--14.2万
--95.9万
--4.6万
162.50%2.1万
--2.1万
--0
--0
其他融资活动的净现金流额
----
-563.84%-750.8万
62.46%-37.2万
---37.9万
---91.9万
---583.8万
-465.50%-113.1万
-99,000.00%-99.1万
--0
----
非持续融资活动现金净额
融资活动现金净额
-87.39%206.2万
-13.92%1,512.2万
90.44%-56.7万
91.73%-23万
-120.33%-43.7万
-32.21%1,635.6万
591.28%1,756.8万
-3,105.41%-593万
7.18%-278万
1,196.94%215万
现金净流量
期初现金流
230.81%8,167.8万
37.11%2,469万
619.41%7,719.3万
921.78%7,298.6万
501.95%5,435万
37.11%2,469万
-77.60%1,800.8万
-66.17%1,073万
-88.40%714.3万
-88.30%902.9万
当期现金流变化
-47.91%1,557.4万
692.02%5,705.7万
-67.23%463.4万
8.94%426.6万
1,118.24%1,825.7万
430.06%2,990万
111.62%720.4万
207.01%1,414万
113.06%391.6万
88.61%-179.3万
利率变动影响
73.33%-6.4万
86.78%-6.9万
17.22%-14.9万
82.07%-5.9万
507.53%37.9万
-400.00%-24万
-30.83%-52.2万
63.78%-18万
-465.56%-32.9万
-166.43%-9.3万
期末现金流
78.82%9,718.8万
230.81%8,167.8万
230.81%8,167.8万
619.41%7,719.3万
921.78%7,298.6万
501.95%5,435万
37.11%2,469万
37.11%2,469万
-66.17%1,073万
-88.40%714.3万
自由现金流
-2.06%1,440万
546.49%4,626.1万
-70.86%610万
-26.21%507.6万
533.20%2,038.2万
143.93%1,470.3万
78.15%-1,036.1万
275.59%2,093.5万
130.65%687.9万
56.19%-470.5万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(Q1)2024/07/27(FY)2024/04/27(Q4)2024/04/27(Q3)2024/01/27(Q2)2023/10/28(Q1)2023/07/29(FY)2023/04/29(Q4)2023/04/29(Q3)2023/01/28(Q2)2022/10/29
经营活动现金流量(间接法)
持续经营活动现金净额 1.20%1,948.1万320.93%6,324.1万-61.44%945.2万-23.88%947.8万2,757.58%2,506.1万184.37%1,925万155.57%1,502.4万1,660.22%2,451.1万173.54%1,245.1万111.67%87.7万
持续经营净收入 -125.77%-494.6万408.98%3,462.1万-88.23%251.8万189.31%1,074.2万116.67%216.5万460.42%1,919.6万1,048.99%680.2万2,015.76%2,139.9万185.36%371.3万-646.93%-1,298.4万
持续经营损益 29.96%91.1万44.19%380.8万118.01%138万20.45%86.6万13.29%86.1万32.51%70.1万18.59%264.1万-36.57%63.3万111.47%71.9万205.22%76万
折旧和摊销 4.80%489.3万13.52%1,929.1万10.58%492.1万12.92%487.6万14.88%482.5万16.00%466.9万10.39%1,699.3万15.58%445万14.99%431.8万12.39%420万
递延税费 8.33%1.3万-149.63%-906.9万45.43%-909.2万133.33%3,000-99.94%8,0000.00%1.2万-133.63%-363.3万-876.61%-1,666.1万-104.69%-9,000144,822.22%1,302.5万
其他非现金项目 103.43%2,159万--1,990.3万--498万---634万--1,065万--1,061.3万----------------
营运资金变化 77.69%-376.5万28.84%-1,413.5万-107.80%-72.9万-38.33%-203.2万210.15%550.1万25.80%-1,687.5万56.23%-1,986.4万313.29%934.2万91.53%-146.9万64.81%-499.4万
-应收款项(增)减 31.06%-1,271.2万-26.11%-1,649.9万-1,402.13%-2,395.9万188.61%1,117.8万691.03%1,472.1万-7.07%-1,843.9万70.09%-1,308.3万72.02%-159.5万189.51%387.3万110.18%186.1万
-存货(增)减 -28.65%315.3万172.09%1,085.9万-87.05%197.9万-57.71%182.4万123.09%263.7万119.02%441.9万75.37%-1,506.4万163.56%1,528.2万125.97%431.3万-11.40%-1,142.2万
-预付费用(增)减 79.33%-3.7万-79.38%108.6万22.77%-70.2万-4.65%235.8万-208.31%-39.1万-105.36%-17.9万168.75%526.7万58.61%-90.9万222.73%247.3万134.06%36.1万
-应付款项及应计费用(减)增 70.34%-110.5万247.46%583.5万6,467.66%2,193.6万52.38%-949.6万-132.52%-287.9万-154.82%-372.6万-110.15%-395.7万-97.71%33.4万-383.42%-1,994.1万-30.08%885.3万
-其他流动资产变化 -104.35%-1,000181.99%21.4万-95.94%1.3万-121.07%-5.5万301.72%23.3万102.56%2.3万26.89%-26.1万197.56%32万845.71%26.1万168.24%5.8万
-其他流动负债变化 -119.23%-36.7万87.60%706.5万104.40%334.8万70.80%66.1万380.33%114.8万27.03%190.8万224.10%376.6万-1.33%163.8万349.68%38.7万171.59%23.9万
-其他营运资本变化 929.06%730.4万-754.41%-2,269.5万41.62%-334.4万-218.66%-850.2万-101.62%-996.8万-112.63%-88.1万-87.34%346.8万-149.31%-572.8万-27.76%716.5万-281.17%-494.4万
非持续经营活动现金净额
经营活动现金净额 1.20%1,948.1万320.93%6,324.1万-61.44%945.2万-23.88%947.8万2,757.58%2,506.1万184.37%1,925万155.57%1,502.4万1,660.22%2,451.1万173.54%1,245.1万111.67%87.7万
投资活动现金流量
持续投资活动现金净额 -4.61%-596.9万16.08%-2,130.6万4.28%-425.1万13.43%-498.2万-32.10%-636.7万44.99%-570.6万19.11%-2,538.8万61.24%-444.1万42.74%-575.5万39.93%-482万
固定资产交易的净现金流 -11.42%-503.6万31.58%-1,680.6万2.41%-328.5万19.38%-434.7万15.61%-465.4万56.07%-452万-26.02%-2,456.3万67.34%-336.6万0.86%-539.2万-111.06%-551.5万
业务交易的净现金流 21.33%-93.3万-17.03%-505万10.14%-96.6万-231.01%-118.5万4.89%-171.3万-9.71%-118.6万45.02%-431.5万6.76%-107.5万36.75%-35.8万66.72%-180.1万
投资产品交易的净现金流 --0-84.24%55万--011,100.00%55万--0--0186.28%349万--099.88%-5,000--249.6万
非持续投资活动现金净额
投资活动现金净额 -4.61%-596.9万16.08%-2,130.6万4.28%-425.1万13.43%-498.2万-32.10%-636.7万44.99%-570.6万19.11%-2,538.8万61.24%-444.1万42.74%-575.5万39.93%-482万
融资活动现金流量
持续融资活动现金净额 -87.39%206.2万-13.92%1,512.2万90.44%-56.7万91.73%-23万-120.33%-43.7万-32.21%1,635.6万591.28%1,756.8万-3,105.41%-593万7.18%-278万1,196.94%215万
债务发行/偿还的净现金流 -104.90%-108.6万14.19%2,132.8万92.94%-35万100.25%7,000-120.83%-47.7万-8.21%2,214.8万9,439.00%1,867.8万---496万---278万--229万
普通股发行/偿还的净现金流 ------0------------------0------------
职工行使股票期权收到的现金 6,743.48%314.8万6,100.00%130.2万638.10%15.5万--14.2万--95.9万--4.6万162.50%2.1万--2.1万--0--0
其他融资活动的净现金流额 -----563.84%-750.8万62.46%-37.2万---37.9万---91.9万---583.8万-465.50%-113.1万-99,000.00%-99.1万--0----
非持续融资活动现金净额
融资活动现金净额 -87.39%206.2万-13.92%1,512.2万90.44%-56.7万91.73%-23万-120.33%-43.7万-32.21%1,635.6万591.28%1,756.8万-3,105.41%-593万7.18%-278万1,196.94%215万
现金净流量
期初现金流 230.81%8,167.8万37.11%2,469万619.41%7,719.3万921.78%7,298.6万501.95%5,435万37.11%2,469万-77.60%1,800.8万-66.17%1,073万-88.40%714.3万-88.30%902.9万
当期现金流变化 -47.91%1,557.4万692.02%5,705.7万-67.23%463.4万8.94%426.6万1,118.24%1,825.7万430.06%2,990万111.62%720.4万207.01%1,414万113.06%391.6万88.61%-179.3万
利率变动影响 73.33%-6.4万86.78%-6.9万17.22%-14.9万82.07%-5.9万507.53%37.9万-400.00%-24万-30.83%-52.2万63.78%-18万-465.56%-32.9万-166.43%-9.3万
期末现金流 78.82%9,718.8万230.81%8,167.8万230.81%8,167.8万619.41%7,719.3万921.78%7,298.6万501.95%5,435万37.11%2,469万37.11%2,469万-66.17%1,073万-88.40%714.3万
自由现金流 -2.06%1,440万546.49%4,626.1万-70.86%610万-26.21%507.6万533.20%2,038.2万143.93%1,470.3万78.15%-1,036.1万275.59%2,093.5万130.65%687.9万56.19%-470.5万
货币单位 美元美元美元美元美元美元美元美元美元美元
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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