美股市场个股详情

Idaho Strategic Resources (IDR)

添加自选
  • 37.350
  • +0.910+2.50%
收盘价 05/21 15:59 (美东)
  • 38.090
  • +0.740+1.98%
盘后 17:09 (美东)
5.90亿总市值26.30市盈率TTM

Idaho Strategic Resources (IDR) 现金流量表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2026/03/31
(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
经营活动现金流量(间接法)
持续经营活动现金净额
263.89%878.62万
76.20%1,910.17万
240.65%1,074.58万
-2.97%240.33万
34.55%353.81万
-6.41%241.45万
415.25%1,084.09万
314.55%315.45万
1,140.20%247.7万
167.62%262.96万
持续经营净收入
300.11%636.92万
90.00%1,663.12万
223.02%933.9万
88.38%296.03万
28.34%274万
-26.16%159.19万
715.44%875.34万
777.54%289.11万
289.00%157.15万
621.69%213.49万
持续经营损益
27.34%30.38万
43,560.92%34.03万
3,209.83%3.38万
83.71%-1,189
1,398.61%6.91万
7,865.01%23.86万
93.52%-783
91.84%-1,088
-11,132.31%-7,301
203.13%4,611
折旧和摊销
29.87%71.38万
19.69%233.81万
26.17%64.37万
24.21%60.31万
18.82%54.17万
9.53%54.96万
33.18%195.34万
18.04%51.02万
33.59%48.55万
32.91%45.59万
递延税费
--79.46万
--9.17万
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----
--0
--0
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其他非现金项目
502.54%5.9万
174.65%5.72万
935.72%6.85万
377.11%2.39万
-1,065.08%-4.49万
113.99%9,790
30.65%2.08万
62.06%6,609
24.59%5,006
17.54%4,651
营运资金变化
186.56%40.72万
-1,640.04%-175.2万
267.14%42.17万
-441.34%-144.02万
-992.33%-26.3万
-451.42%-47.05万
125.86%11.38万
-3,051.50%-25.23万
173.81%42.19万
-91.44%2.95万
-应收款项(增)减
100.67%1,712
-333.58%-234.41万
795.20%75.55万
-4,628.28%-203.87万
-190.52%-80.72万
-27.42%-25.37万
-319.02%-54.06万
-223.09%-10.87万
115.66%4.5万
-155.12%-27.79万
-存货(增)减
1.12%-26.86万
-180.46%-6.52万
-265.61%-11.86万
233.94%27.44万
67.42%5.06万
-440.25%-27.17万
91.00%-2.32万
140.86%7.16万
-343.49%-20.49万
127.56%3.02万
-应付款项及应计费用(减)增
5,272.68%74.72万
31.59%107.81万
3.51%-23.35万
-2.24%77.54万
99.98%52.23万
100.16%1.39万
10,604.90%81.93万
-20,427.99%-24.2万
3,125.07%79.32万
340.19%26.12万
-其他流动资产变化
-278.03%-7.3万
-197.10%-42.08万
-31.85%1.83万
-113.55%-45.14万
-280.14%-2.87万
51.86%4.1万
-216.06%-14.16万
-72.27%2.68万
0.22%-21.14万
-72.80%1.59万
非持续经营活动现金净额
经营活动现金净额
263.89%878.62万
76.20%1,910.17万
240.65%1,074.58万
-2.97%240.33万
34.55%353.81万
-6.41%241.45万
415.25%1,084.09万
314.55%315.45万
1,140.20%247.7万
167.62%262.96万
投资活动现金流量
持续投资活动现金净额
122.02%44万
-196.00%-6,145.81万
-151.48%-2,866.53万
-1,829.46%-2,248.04万
-15.57%-831.44万
-98.85%-199.8万
-887.66%-2,076.29万
-999.47%-1,139.85万
-495.16%-116.51万
-1,486.01%-719.45万
固定资产交易的净现金流
-281.80%-696.06万
-124.60%-1,299.03万
-164.78%-675.65万
-102.13%-271.23万
-92.97%-169.84万
-80.50%-182.31万
-166.92%-578.38万
-146.14%-255.18万
-394.28%-134.18万
-94.02%-88.01万
业务交易的净现金流
--386.98万
----
----
----
----
--0
----
----
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投资产品交易的净现金流
508.65%1,083.4万
-153,620.52%-797.69万
201.02%1,848.1万
-11,728.14%-1,974.81万
-34.56%-848.99万
34,157.12%178万
146.81%5,196
--613.95万
--16.98万
---630.93万
其他投资活动的净现金流
-273.58%-730.32万
-170.22%-4,049.09万
-169.51%-4,038.98万
-391.45%-2.01万
--187.39万
---195.49万
-19,891.71%-1,498.43万
---1,498.62万
--6,900
----
非持续投资活动现金净额
投资活动现金净额
122.02%44万
-196.00%-6,145.81万
-151.48%-2,866.53万
-1,829.46%-2,248.04万
-15.57%-831.44万
-98.85%-199.8万
-887.66%-2,076.29万
-999.47%-1,139.85万
-495.16%-116.51万
-1,486.01%-719.45万
融资活动现金流量
持续融资活动现金净额
871.49%167.6万
484.99%5,113.93万
2,406.96%2,402.56万
306.70%2,141.63万
445.53%591.47万
-115.16%-21.72万
1,250.74%874.19万
62.17%95.84万
2,108.91%526.59万
446.67%108.42万
债务发行/偿还的净现金流
-40.48%-30.79万
51.61%-115.29万
77.13%-27.16万
20.87%-31.62万
34.30%-34.59万
18.53%-21.92万
-116.21%-238.24万
-356.67%-118.73万
-51.50%-39.96万
-59.96%-52.65万
普通股发行/偿还的净现金流
--177.88万
470.44%5,202.71万
1,333.62%2,420.39万
309.32%2,157.65万
375.62%624.67万
--0
430.84%912.05万
101.08%168.83万
--527.13万
--131.34万
职工行使股票期权收到的现金
--20.13万
-88.04%23.63万
-81.77%8.05万
-60.39%15.58万
--0
--0
--197.51万
--44.17万
--39.34万
--28.67万
其他融资活动的净现金流额
96.99%3,796
-0.09%2.87万
-18.52%1.28万
-80.00%171
30.33%1.39万
20.59%1,927
-7.11%2.88万
38.40%1.57万
-47.77%855
-35.11%1.06万
非持续融资活动现金净额
融资活动现金净额
871.49%167.6万
484.99%5,113.93万
2,406.96%2,402.56万
306.70%2,141.63万
445.53%591.47万
-115.16%-21.72万
1,250.74%874.19万
62.17%95.84万
2,108.91%526.59万
446.67%108.42万
现金净流量
期初现金流
793.46%988.98万
-51.60%110.69万
-54.92%378.37万
34.70%244.45万
-75.34%130.61万
-51.60%110.69万
39.62%228.7万
325.62%839.26万
-18.62%181.48万
162.96%529.55万
当期现金流变化
5,372.33%1,090.21万
844.25%878.29万
183.81%610.61万
-79.64%133.92万
132.70%113.84万
-93.38%19.92万
-281.84%-118.01万
-2,411.78%-728.57万
2,647.82%657.78万
-1,709.83%-348.07万
期末现金流
1,491.88%2,079.19万
793.46%988.98万
793.46%988.98万
-54.92%378.37万
34.70%244.45万
-75.34%130.61万
-51.60%110.69万
-51.60%110.69万
325.62%839.26万
-18.62%181.48万
自由现金流
231.32%182.56万
19.69%604.52万
566.35%401.35万
-127.36%-30.89万
2.30%178.96万
-64.90%55.1万
7,180.20%505.07万
318.40%60.23万
1,673.59%112.91万
230.73%174.95万
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)2026/03/31(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
经营活动现金流量(间接法)
持续经营活动现金净额 263.89%878.62万76.20%1,910.17万240.65%1,074.58万-2.97%240.33万34.55%353.81万-6.41%241.45万415.25%1,084.09万314.55%315.45万1,140.20%247.7万167.62%262.96万
持续经营净收入 300.11%636.92万90.00%1,663.12万223.02%933.9万88.38%296.03万28.34%274万-26.16%159.19万715.44%875.34万777.54%289.11万289.00%157.15万621.69%213.49万
持续经营损益 27.34%30.38万43,560.92%34.03万3,209.83%3.38万83.71%-1,1891,398.61%6.91万7,865.01%23.86万93.52%-78391.84%-1,088-11,132.31%-7,301203.13%4,611
折旧和摊销 29.87%71.38万19.69%233.81万26.17%64.37万24.21%60.31万18.82%54.17万9.53%54.96万33.18%195.34万18.04%51.02万33.59%48.55万32.91%45.59万
递延税费 --79.46万--9.17万--------------0--0------------
其他非现金项目 502.54%5.9万174.65%5.72万935.72%6.85万377.11%2.39万-1,065.08%-4.49万113.99%9,79030.65%2.08万62.06%6,60924.59%5,00617.54%4,651
营运资金变化 186.56%40.72万-1,640.04%-175.2万267.14%42.17万-441.34%-144.02万-992.33%-26.3万-451.42%-47.05万125.86%11.38万-3,051.50%-25.23万173.81%42.19万-91.44%2.95万
-应收款项(增)减 100.67%1,712-333.58%-234.41万795.20%75.55万-4,628.28%-203.87万-190.52%-80.72万-27.42%-25.37万-319.02%-54.06万-223.09%-10.87万115.66%4.5万-155.12%-27.79万
-存货(增)减 1.12%-26.86万-180.46%-6.52万-265.61%-11.86万233.94%27.44万67.42%5.06万-440.25%-27.17万91.00%-2.32万140.86%7.16万-343.49%-20.49万127.56%3.02万
-应付款项及应计费用(减)增 5,272.68%74.72万31.59%107.81万3.51%-23.35万-2.24%77.54万99.98%52.23万100.16%1.39万10,604.90%81.93万-20,427.99%-24.2万3,125.07%79.32万340.19%26.12万
-其他流动资产变化 -278.03%-7.3万-197.10%-42.08万-31.85%1.83万-113.55%-45.14万-280.14%-2.87万51.86%4.1万-216.06%-14.16万-72.27%2.68万0.22%-21.14万-72.80%1.59万
非持续经营活动现金净额
经营活动现金净额 263.89%878.62万76.20%1,910.17万240.65%1,074.58万-2.97%240.33万34.55%353.81万-6.41%241.45万415.25%1,084.09万314.55%315.45万1,140.20%247.7万167.62%262.96万
投资活动现金流量
持续投资活动现金净额 122.02%44万-196.00%-6,145.81万-151.48%-2,866.53万-1,829.46%-2,248.04万-15.57%-831.44万-98.85%-199.8万-887.66%-2,076.29万-999.47%-1,139.85万-495.16%-116.51万-1,486.01%-719.45万
固定资产交易的净现金流 -281.80%-696.06万-124.60%-1,299.03万-164.78%-675.65万-102.13%-271.23万-92.97%-169.84万-80.50%-182.31万-166.92%-578.38万-146.14%-255.18万-394.28%-134.18万-94.02%-88.01万
业务交易的净现金流 --386.98万------------------0----------------
投资产品交易的净现金流 508.65%1,083.4万-153,620.52%-797.69万201.02%1,848.1万-11,728.14%-1,974.81万-34.56%-848.99万34,157.12%178万146.81%5,196--613.95万--16.98万---630.93万
其他投资活动的净现金流 -273.58%-730.32万-170.22%-4,049.09万-169.51%-4,038.98万-391.45%-2.01万--187.39万---195.49万-19,891.71%-1,498.43万---1,498.62万--6,900----
非持续投资活动现金净额
投资活动现金净额 122.02%44万-196.00%-6,145.81万-151.48%-2,866.53万-1,829.46%-2,248.04万-15.57%-831.44万-98.85%-199.8万-887.66%-2,076.29万-999.47%-1,139.85万-495.16%-116.51万-1,486.01%-719.45万
融资活动现金流量
持续融资活动现金净额 871.49%167.6万484.99%5,113.93万2,406.96%2,402.56万306.70%2,141.63万445.53%591.47万-115.16%-21.72万1,250.74%874.19万62.17%95.84万2,108.91%526.59万446.67%108.42万
债务发行/偿还的净现金流 -40.48%-30.79万51.61%-115.29万77.13%-27.16万20.87%-31.62万34.30%-34.59万18.53%-21.92万-116.21%-238.24万-356.67%-118.73万-51.50%-39.96万-59.96%-52.65万
普通股发行/偿还的净现金流 --177.88万470.44%5,202.71万1,333.62%2,420.39万309.32%2,157.65万375.62%624.67万--0430.84%912.05万101.08%168.83万--527.13万--131.34万
职工行使股票期权收到的现金 --20.13万-88.04%23.63万-81.77%8.05万-60.39%15.58万--0--0--197.51万--44.17万--39.34万--28.67万
其他融资活动的净现金流额 96.99%3,796-0.09%2.87万-18.52%1.28万-80.00%17130.33%1.39万20.59%1,927-7.11%2.88万38.40%1.57万-47.77%855-35.11%1.06万
非持续融资活动现金净额
融资活动现金净额 871.49%167.6万484.99%5,113.93万2,406.96%2,402.56万306.70%2,141.63万445.53%591.47万-115.16%-21.72万1,250.74%874.19万62.17%95.84万2,108.91%526.59万446.67%108.42万
现金净流量
期初现金流 793.46%988.98万-51.60%110.69万-54.92%378.37万34.70%244.45万-75.34%130.61万-51.60%110.69万39.62%228.7万325.62%839.26万-18.62%181.48万162.96%529.55万
当期现金流变化 5,372.33%1,090.21万844.25%878.29万183.81%610.61万-79.64%133.92万132.70%113.84万-93.38%19.92万-281.84%-118.01万-2,411.78%-728.57万2,647.82%657.78万-1,709.83%-348.07万
期末现金流 1,491.88%2,079.19万793.46%988.98万793.46%988.98万-54.92%378.37万34.70%244.45万-75.34%130.61万-51.60%110.69万-51.60%110.69万325.62%839.26万-18.62%181.48万
自由现金流 231.32%182.56万19.69%604.52万566.35%401.35万-127.36%-30.89万2.30%178.96万-64.90%55.1万7,180.20%505.07万318.40%60.23万1,673.59%112.91万230.73%174.95万
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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