美股市场个股详情

FKWL Franklin Wireless

添加自选
  • 4.297
  • +0.097+2.30%
收盘价 11/29 13:00 (美东)
5063.12万总市值-15344市盈率TTM

Franklin Wireless关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2024/09/30
(FY)2024/06/30
(Q4)2024/06/30
(Q3)2024/03/31
(Q2)2023/12/31
(Q1)2023/09/30
(FY)2023/06/30
(Q4)2023/06/30
(Q3)2023/03/31
(Q2)2022/12/31
经营活动现金流量(间接法)
持续经营活动现金净额
151.13%267.09万
58.91%-77.34万
22.22%619.92万
-640.99%-77.9万
84.06%-97.02万
-416.07%-522.33万
74.59%-188.21万
4,671.38%507.21万
-87.36%14.4万
-194.40%-608.61万
持续经营净收入
292.36%64.87万
-41.50%-416.67万
-13.58%-186.95万
-719.13%-131.03万
-675.33%-64.97万
76.36%-33.72万
19.82%-294.47万
-146.96%-164.59万
126.91%21.16万
92.75%-8.38万
持续经营损益
---75.99万
344.58%58.28万
----
----
----
----
-520.64%-23.83万
---4.8万
---2.53万
----
折旧和摊销
-65.10%11.6万
-125.78%-30.62万
0.88%33.31万
-507.07%-130.27万
23.20%33.12万
23.72%33.22万
22.25%118.75万
20.41%33.02万
21.12%32万
19.00%26.88万
递延税费
192.57%4.71万
-7.96%-95.88万
-16.69%-38.44万
46.26%-30.81万
-281.16%-21.53万
51.18%-5.09万
7.48%-88.81万
-255.80%-32.94万
-140.03%-57.33万
124.11%11.89万
营运资金变化
148.51%253.17万
1,195.31%376.34万
12.78%743.4万
5,897.29%207.21万
91.82%-52.36万
-7,629.09%-521.91万
106.79%29.05万
10,403.86%659.14万
-97.96%3.46万
-763.44%-640.47万
-应收款项(增)减
35.17%-63.41万
201.25%772.22万
625.78%911.21万
271.09%319.12万
49.56%-360.3万
-351.72%-97.81万
-732.47%-762.72万
-337.80%-173.31万
199.01%85.99万
-2,168.86%-714.26万
-存货(增)减
-176.22%-112.75万
401.99%229.02万
-114.54%-31.54万
-98.38%2.39万
147.19%110.24万
272.94%147.93万
114.16%45.62万
-37.18%216.97万
125.81%147.82万
-95.43%-233.62万
-预付费用(增)减
119.65%1.12万
-119.68%-2.38万
737.79%11.6万
-79.95%4.16万
9.87%-12.42万
-252.65%-5.72万
192.93%12.09万
-95.07%1.38万
181.74%20.73万
-711.34%-13.78万
-应付款项及应计费用(减)增
172.88%413.04万
-197.38%-750.31万
-121.15%-131.43万
-15.11%-268.53万
-35.03%216.37万
-1,245.60%-566.73万
474.08%770.51万
246.83%621.28万
-127.28%-233.27万
3,265.34%333.02万
-其他流动资产变化
--0
104.15%3,549
113.01%1.12万
52.64%4,367
-21.13%-1.45万
-75.84%2,394
-692.54%-8.56万
4.50%-8.64万
-97.13%2,861
-26,041.30%-1.19万
-其他流动负债变化
276.93%14万
533.44%133.86万
20.54%-6.23万
2,110.56%156万
-4.07%-7.99万
-4.07%-7.92万
2.73%-30.88万
-4.07%-7.84万
-4.07%-7.76万
-4.07%-7.68万
-其他营运资本变化
-85.70%1.16万
-314.76%-6.43万
-222.08%-11.34万
38.49%-6.37万
207.63%3.18万
15.48%8.1万
-87.07%2.99万
171.52%9.29万
-256.67%-10.35万
-111.16%-2.96万
非持续经营活动现金净额
经营活动现金净额
151.13%267.09万
58.91%-77.34万
22.22%619.92万
-640.99%-77.9万
84.06%-97.02万
-416.07%-522.33万
74.59%-188.21万
4,671.38%507.21万
-87.36%14.4万
-194.40%-608.61万
投资活动现金流量
持续投资活动现金净额
-238.99%-33.48万
105.98%72.39万
89.48%-109.19万
894.59%268.53万
60.43%-77.07万
-117.83%-9.88万
-3.72%-1,210.92万
-4.88%-1,037.75万
74.03%-33.79万
-347.03%-194.76万
资本性支出
37.78%-1.4万
92.44%-12.34万
94.38%-1,651
90.46%-5.3万
91.65%-4.62万
95.44%-2.25万
-147.72%-163.14万
83.96%-2.94万
-2,460.40%-55.5万
-32.43%-55.37万
固定资产交易的净现金流
-787.68%-2.15万
-16.81%-5.5万
-6.02%-2,008
-13,773.80%-3.71万
28.05%-1.35万
90.90%-2,427
-11.93%-4.71万
24.69%-1,894
101.60%271
-13.36%-1.88万
无形资产交易净现金流
---7,372
80.04%-7,792
89.78%-2,707
102.72%131
-478.27%-5,216
--0
-64.24%-3.9万
-1,993.92%-2.65万
79.40%-4,814
-89.89%-902
投资产品交易的净现金流
-295.32%-29.19万
108.76%91万
89.48%-108.56万
1,152.23%277.52万
48.64%-70.57万
-106.83%-7.38万
5.10%-1,039.17万
-6.28%-1,031.97万
117.88%22.16万
-291,663.06%-137.42万
非持续投资活动现金净额
投资活动现金净额
-238.99%-33.48万
105.98%72.39万
89.48%-109.19万
894.59%268.53万
60.43%-77.07万
-117.83%-9.88万
-3.72%-1,210.92万
-4.88%-1,037.75万
74.03%-33.79万
-347.03%-194.76万
融资活动现金流量
持续融资活动现金净额
0
112.04%9.11万
8,994.47%9万
395.79%3,091
-102.27%-1,023
-1,023
-43.08%4.29万
-101.88%-1,012
-1,045
4.5万
债务发行/偿还的净现金流
--0
4,526.69%9.11万
2.30%9万
----
----
---1,023
---2,057
--8.8万
----
----
职工行使股票期权收到的现金
----
--0
--0
--0
----
----
-40.35%4.5万
-265.27%-8.9万
--0
----
非持续融资活动现金净额
融资活动现金净额
--0
112.04%9.11万
8,994.47%9万
395.79%3,091
-102.27%-1,023
---1,023
-43.08%4.29万
-101.88%-1,012
---1,045
--4.5万
现金净流量
期初现金流
0.21%1,226.66万
-53.42%1,224.13万
-60.13%700.45万
-70.72%524.19万
-73.16%684.47万
-53.42%1,224.13万
-42.62%2,627.74万
-51.80%1,756.98万
-51.22%1,790.45万
-35.07%2,550.49万
当期现金流变化
143.89%233.61万
100.30%4.16万
197.94%519.72万
1,079.19%190.94万
78.19%-174.2万
-1,061.59%-532.31万
26.61%-1,394.84万
46.68%-530.64万
-20.46%-19.5万
-219.17%-798.87万
利率变动影响
120.95%1.54万
81.45%-1.63万
393.83%6.48万
-5.02%-14.68万
-64.17%13.91万
76.62%-7.35万
82.84%-8.78万
90.19%-2.21万
-62.55%-13.98万
631.27%38.83万
期末现金流
113.57%1,461.81万
0.21%1,226.66万
0.21%1,226.66万
-60.13%700.45万
-70.72%524.19万
-73.16%684.47万
-53.42%1,224.13万
-53.42%1,224.13万
-51.80%1,756.98万
-51.22%1,790.45万
自由现金流
150.07%262.8万
73.34%-95.95万
23.50%619.28万
-109.08%-86.89万
84.46%-103.52万
-241.03%-524.82万
55.73%-359.96万
1,798.35%501.43万
-138.57%-41.56万
-166.12%-665.95万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
审计意见
--
无保留意见
--
--
--
--
无保留意见
--
--
--
(Q1)2024/09/30(FY)2024/06/30(Q4)2024/06/30(Q3)2024/03/31(Q2)2023/12/31(Q1)2023/09/30(FY)2023/06/30(Q4)2023/06/30(Q3)2023/03/31(Q2)2022/12/31
经营活动现金流量(间接法)
持续经营活动现金净额 151.13%267.09万58.91%-77.34万22.22%619.92万-640.99%-77.9万84.06%-97.02万-416.07%-522.33万74.59%-188.21万4,671.38%507.21万-87.36%14.4万-194.40%-608.61万
持续经营净收入 292.36%64.87万-41.50%-416.67万-13.58%-186.95万-719.13%-131.03万-675.33%-64.97万76.36%-33.72万19.82%-294.47万-146.96%-164.59万126.91%21.16万92.75%-8.38万
持续经营损益 ---75.99万344.58%58.28万-----------------520.64%-23.83万---4.8万---2.53万----
折旧和摊销 -65.10%11.6万-125.78%-30.62万0.88%33.31万-507.07%-130.27万23.20%33.12万23.72%33.22万22.25%118.75万20.41%33.02万21.12%32万19.00%26.88万
递延税费 192.57%4.71万-7.96%-95.88万-16.69%-38.44万46.26%-30.81万-281.16%-21.53万51.18%-5.09万7.48%-88.81万-255.80%-32.94万-140.03%-57.33万124.11%11.89万
营运资金变化 148.51%253.17万1,195.31%376.34万12.78%743.4万5,897.29%207.21万91.82%-52.36万-7,629.09%-521.91万106.79%29.05万10,403.86%659.14万-97.96%3.46万-763.44%-640.47万
-应收款项(增)减 35.17%-63.41万201.25%772.22万625.78%911.21万271.09%319.12万49.56%-360.3万-351.72%-97.81万-732.47%-762.72万-337.80%-173.31万199.01%85.99万-2,168.86%-714.26万
-存货(增)减 -176.22%-112.75万401.99%229.02万-114.54%-31.54万-98.38%2.39万147.19%110.24万272.94%147.93万114.16%45.62万-37.18%216.97万125.81%147.82万-95.43%-233.62万
-预付费用(增)减 119.65%1.12万-119.68%-2.38万737.79%11.6万-79.95%4.16万9.87%-12.42万-252.65%-5.72万192.93%12.09万-95.07%1.38万181.74%20.73万-711.34%-13.78万
-应付款项及应计费用(减)增 172.88%413.04万-197.38%-750.31万-121.15%-131.43万-15.11%-268.53万-35.03%216.37万-1,245.60%-566.73万474.08%770.51万246.83%621.28万-127.28%-233.27万3,265.34%333.02万
-其他流动资产变化 --0104.15%3,549113.01%1.12万52.64%4,367-21.13%-1.45万-75.84%2,394-692.54%-8.56万4.50%-8.64万-97.13%2,861-26,041.30%-1.19万
-其他流动负债变化 276.93%14万533.44%133.86万20.54%-6.23万2,110.56%156万-4.07%-7.99万-4.07%-7.92万2.73%-30.88万-4.07%-7.84万-4.07%-7.76万-4.07%-7.68万
-其他营运资本变化 -85.70%1.16万-314.76%-6.43万-222.08%-11.34万38.49%-6.37万207.63%3.18万15.48%8.1万-87.07%2.99万171.52%9.29万-256.67%-10.35万-111.16%-2.96万
非持续经营活动现金净额
经营活动现金净额 151.13%267.09万58.91%-77.34万22.22%619.92万-640.99%-77.9万84.06%-97.02万-416.07%-522.33万74.59%-188.21万4,671.38%507.21万-87.36%14.4万-194.40%-608.61万
投资活动现金流量
持续投资活动现金净额 -238.99%-33.48万105.98%72.39万89.48%-109.19万894.59%268.53万60.43%-77.07万-117.83%-9.88万-3.72%-1,210.92万-4.88%-1,037.75万74.03%-33.79万-347.03%-194.76万
资本性支出 37.78%-1.4万92.44%-12.34万94.38%-1,65190.46%-5.3万91.65%-4.62万95.44%-2.25万-147.72%-163.14万83.96%-2.94万-2,460.40%-55.5万-32.43%-55.37万
固定资产交易的净现金流 -787.68%-2.15万-16.81%-5.5万-6.02%-2,008-13,773.80%-3.71万28.05%-1.35万90.90%-2,427-11.93%-4.71万24.69%-1,894101.60%271-13.36%-1.88万
无形资产交易净现金流 ---7,37280.04%-7,79289.78%-2,707102.72%131-478.27%-5,216--0-64.24%-3.9万-1,993.92%-2.65万79.40%-4,814-89.89%-902
投资产品交易的净现金流 -295.32%-29.19万108.76%91万89.48%-108.56万1,152.23%277.52万48.64%-70.57万-106.83%-7.38万5.10%-1,039.17万-6.28%-1,031.97万117.88%22.16万-291,663.06%-137.42万
非持续投资活动现金净额
投资活动现金净额 -238.99%-33.48万105.98%72.39万89.48%-109.19万894.59%268.53万60.43%-77.07万-117.83%-9.88万-3.72%-1,210.92万-4.88%-1,037.75万74.03%-33.79万-347.03%-194.76万
融资活动现金流量
持续融资活动现金净额 0112.04%9.11万8,994.47%9万395.79%3,091-102.27%-1,023-1,023-43.08%4.29万-101.88%-1,012-1,0454.5万
债务发行/偿还的净现金流 --04,526.69%9.11万2.30%9万-----------1,023---2,057--8.8万--------
职工行使股票期权收到的现金 ------0--0--0---------40.35%4.5万-265.27%-8.9万--0----
非持续融资活动现金净额
融资活动现金净额 --0112.04%9.11万8,994.47%9万395.79%3,091-102.27%-1,023---1,023-43.08%4.29万-101.88%-1,012---1,045--4.5万
现金净流量
期初现金流 0.21%1,226.66万-53.42%1,224.13万-60.13%700.45万-70.72%524.19万-73.16%684.47万-53.42%1,224.13万-42.62%2,627.74万-51.80%1,756.98万-51.22%1,790.45万-35.07%2,550.49万
当期现金流变化 143.89%233.61万100.30%4.16万197.94%519.72万1,079.19%190.94万78.19%-174.2万-1,061.59%-532.31万26.61%-1,394.84万46.68%-530.64万-20.46%-19.5万-219.17%-798.87万
利率变动影响 120.95%1.54万81.45%-1.63万393.83%6.48万-5.02%-14.68万-64.17%13.91万76.62%-7.35万82.84%-8.78万90.19%-2.21万-62.55%-13.98万631.27%38.83万
期末现金流 113.57%1,461.81万0.21%1,226.66万0.21%1,226.66万-60.13%700.45万-70.72%524.19万-73.16%684.47万-53.42%1,224.13万-53.42%1,224.13万-51.80%1,756.98万-51.22%1,790.45万
自由现金流 150.07%262.8万73.34%-95.95万23.50%619.28万-109.08%-86.89万84.46%-103.52万-241.03%-524.82万55.73%-359.96万1,798.35%501.43万-138.57%-41.56万-166.12%-665.95万
货币单位 美元美元美元美元美元美元美元美元美元美元
审计意见 --无保留意见--------无保留意见------

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