美股市场个股详情

New England Realty Associates (NEN)

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  • 59.000
  • +0.849+1.46%
收盘价 05/15 14:21 (美东)
  • 59.000
  • 0.0000.00%
盘后 16:04 (美东)
2.04亿总市值-122.92市盈率TTM

New England Realty Associates (NEN) 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
-57.88%230.7万
-13.40%2,765.6万
-39.00%730.05万
-72.32%234.71万
133.64%1,253.07万
-10.55%547.76万
32.06%3,193.45万
9.29%1,196.86万
25.95%847.88万
10.96%536.34万
持续经营净收入
-202.95%-390.77万
-61.49%603.13万
-133.03%-139.25万
-113.35%-52.18万
1.89%414.99万
9.59%379.57万
85.26%1,566.16万
83.35%421.59万
79.72%390.94万
83.05%407.27万
持续经营损益
46.96%-19.23万
-14.96%-147.4万
-28.58%-47.95万
-0.10%-14.68万
-50.98%-48.51万
17.83%-36.26万
-46.32%-128.21万
1.91%-37.29万
1.40%-14.66万
-168.48%-32.13万
折旧和摊销
103.98%796.52万
36.98%2,326.31万
76.50%750.86万
74.58%737.47万
4.61%447.47万
-7.63%390.5万
1.25%1,698.33万
-6.27%425.41万
-4.57%422.42万
7.98%427.75万
其他非现金项目
-26.06%17.19万
-6.68%67.08万
-94.17%21.52万
118.38%18.16万
104.27%4.15万
122.92%23.24万
1,473.40%71.88万
35.13%369.38万
-0.48%-98.78万
-1.75%-97.33万
营运资金变化
17.33%-173.01万
-739.37%-123.51万
490.02%104.86万
-406.87%-454.05万
357.04%434.96万
-1,763.94%-209.29万
86.47%-14.72万
-77.46%17.77万
17.27%147.96万
-512.16%-169.22万
-应收款项(增)减
-276.98%-22.29万
22.36%-20.73万
85.98%-3.73万
-228.41%-9.5万
-23.65%-20.09万
43.47%12.59万
10.39%-26.7万
-989.64%-26.63万
146.36%7.4万
-603.28%-16.24万
-预付费用(增)减
533.67%62.38万
-857.32%-216.38万
-349.14%-81.69万
-459.15%-285.77万
187.41%141.23万
-63.00%9.84万
-370.14%-22.6万
8.34%32.79万
-54.26%79.57万
-15.14%-161.57万
-应付款项及应计费用(减)增
40.57%-142.07万
-196.40%-49.29万
1,024.43%153.94万
-143.72%-56.93万
388.86%92.76万
-688.65%-239.05万
132.95%51.13万
-193.20%-16.65万
5,148.21%130.21万
-167.97%-32.11万
-其他营运资本变化
-1,068.96%-71.04万
1,084.51%162.89万
28.58%36.35万
-47.15%-101.85万
443.10%221.06万
144.97%7.33万
-124.39%-16.55万
-14.72%28.27万
-136.73%-69.21万
-34.57%40.7万
非持续经营活动现金净额
经营活动现金净额
-57.88%230.7万
-13.40%2,765.6万
-39.00%730.05万
-72.32%234.71万
133.64%1,253.07万
-10.55%547.76万
32.06%3,193.45万
9.29%1,196.86万
25.95%847.88万
10.96%536.34万
投资活动现金流量
持续投资活动现金净额
-105.07%-107.39万
-227.69%-5,431.59万
-33.82%-937.46万
0.78%-402.13万
-246.01%-6,211.63万
70.46%2,119.64万
57.44%-1,657.56万
-27.53%-700.54万
90.54%-405.31万
-162.57%-1,795.19万
投资产品交易的净现金流
--0
9,259.54%8,496.78万
--0
1,057.62%231.95万
501.52%5,719.99万
55.01%2,544.85万
-80.99%90.78万
69.72%-102.12万
98.21%-24.22万
-146.93%-1,424.58万
非持续投资活动现金净额
投资活动现金净额
-105.07%-107.39万
-227.69%-5,431.59万
-33.82%-937.46万
0.78%-402.13万
-246.01%-6,211.63万
70.46%2,119.64万
57.44%-1,657.56万
-27.53%-700.54万
90.54%-405.31万
-162.57%-1,795.19万
融资活动现金流量
持续融资活动现金净额
82.55%-234.23万
323.58%3,571.29万
735.88%1,536.89万
42.22%-162.91万
1,387.31%3,539.93万
-68.09%-1,342.62万
3.60%-1,597.34万
28.25%-241.7万
18.54%-281.93万
-10.93%-274.99万
债务发行/偿还的净现金流
0.38%-81.34万
2,037.97%5,492.52万
2,650.62%1,877.04万
84.48%-10.95万
5,412.68%3,708.08万
-17.49%-81.65万
-5.53%-283.42万
-7.00%-73.59万
-4.29%-70.53万
1.66%-69.8万
普通股发行/偿还的净现金流
-1,382.34%-13.42万
50.80%-82.12万
-664.38%-42.27万
84.95%-10.73万
56.44%-28.22万
96.43%-9,053
57.48%-166.91万
95.64%-5.53万
47.91%-71.27万
-87.83%-64.77万
现金股利支付
88.93%-139.48万
-49.35%-1,679.35万
1.35%-138.12万
-0.79%-141.24万
0.35%-139.92万
-79.01%-1,260.07万
-12.96%-1,124.46万
0.67%-140.02万
1.08%-140.13万
1.42%-140.42万
其他融资活动的净现金流额
----
-608.22%-159.75万
----
----
----
----
-7,419.00%-22.56万
----
----
----
非持续融资活动现金净额
融资活动现金净额
82.55%-234.23万
323.58%3,571.29万
735.88%1,536.89万
42.22%-162.91万
1,387.31%3,539.93万
-68.09%-1,342.62万
3.60%-1,597.34万
28.25%-241.7万
18.54%-281.93万
-10.93%-274.99万
现金净流量
期初现金流
51.39%2,666.9万
-3.37%1,761.59万
-11.25%1,337.42万
23.87%1,667.75万
7.16%3,086.37万
-3.37%1,761.59万
-63.22%1,823.05万
-6.64%1,506.97万
-75.83%1,346.33万
16.82%2,880.17万
当期现金流变化
-108.37%-110.92万
1,573.18%905.3万
422.13%1,329.48万
-305.63%-330.33万
7.51%-1,418.62万
25.32%1,324.78万
98.04%-61.45万
21.88%254.62万
104.06%160.64万
-149.41%-1,533.85万
期末现金流
-17.19%2,555.98万
51.39%2,666.9万
51.39%2,666.9万
-11.25%1,337.42万
23.87%1,667.75万
7.16%3,086.37万
-3.37%1,761.59万
-3.37%1,761.59万
-6.64%1,506.97万
-75.83%1,346.33万
自由现金流
-57.88%230.7万
-13.40%2,765.6万
-39.00%730.05万
-72.32%234.71万
133.64%1,253.07万
-10.55%547.76万
32.06%3,193.45万
9.29%1,196.86万
25.95%847.88万
10.96%536.34万
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 -57.88%230.7万-13.40%2,765.6万-39.00%730.05万-72.32%234.71万133.64%1,253.07万-10.55%547.76万32.06%3,193.45万9.29%1,196.86万25.95%847.88万10.96%536.34万
持续经营净收入 -202.95%-390.77万-61.49%603.13万-133.03%-139.25万-113.35%-52.18万1.89%414.99万9.59%379.57万85.26%1,566.16万83.35%421.59万79.72%390.94万83.05%407.27万
持续经营损益 46.96%-19.23万-14.96%-147.4万-28.58%-47.95万-0.10%-14.68万-50.98%-48.51万17.83%-36.26万-46.32%-128.21万1.91%-37.29万1.40%-14.66万-168.48%-32.13万
折旧和摊销 103.98%796.52万36.98%2,326.31万76.50%750.86万74.58%737.47万4.61%447.47万-7.63%390.5万1.25%1,698.33万-6.27%425.41万-4.57%422.42万7.98%427.75万
其他非现金项目 -26.06%17.19万-6.68%67.08万-94.17%21.52万118.38%18.16万104.27%4.15万122.92%23.24万1,473.40%71.88万35.13%369.38万-0.48%-98.78万-1.75%-97.33万
营运资金变化 17.33%-173.01万-739.37%-123.51万490.02%104.86万-406.87%-454.05万357.04%434.96万-1,763.94%-209.29万86.47%-14.72万-77.46%17.77万17.27%147.96万-512.16%-169.22万
-应收款项(增)减 -276.98%-22.29万22.36%-20.73万85.98%-3.73万-228.41%-9.5万-23.65%-20.09万43.47%12.59万10.39%-26.7万-989.64%-26.63万146.36%7.4万-603.28%-16.24万
-预付费用(增)减 533.67%62.38万-857.32%-216.38万-349.14%-81.69万-459.15%-285.77万187.41%141.23万-63.00%9.84万-370.14%-22.6万8.34%32.79万-54.26%79.57万-15.14%-161.57万
-应付款项及应计费用(减)增 40.57%-142.07万-196.40%-49.29万1,024.43%153.94万-143.72%-56.93万388.86%92.76万-688.65%-239.05万132.95%51.13万-193.20%-16.65万5,148.21%130.21万-167.97%-32.11万
-其他营运资本变化 -1,068.96%-71.04万1,084.51%162.89万28.58%36.35万-47.15%-101.85万443.10%221.06万144.97%7.33万-124.39%-16.55万-14.72%28.27万-136.73%-69.21万-34.57%40.7万
非持续经营活动现金净额
经营活动现金净额 -57.88%230.7万-13.40%2,765.6万-39.00%730.05万-72.32%234.71万133.64%1,253.07万-10.55%547.76万32.06%3,193.45万9.29%1,196.86万25.95%847.88万10.96%536.34万
投资活动现金流量
持续投资活动现金净额 -105.07%-107.39万-227.69%-5,431.59万-33.82%-937.46万0.78%-402.13万-246.01%-6,211.63万70.46%2,119.64万57.44%-1,657.56万-27.53%-700.54万90.54%-405.31万-162.57%-1,795.19万
投资产品交易的净现金流 --09,259.54%8,496.78万--01,057.62%231.95万501.52%5,719.99万55.01%2,544.85万-80.99%90.78万69.72%-102.12万98.21%-24.22万-146.93%-1,424.58万
非持续投资活动现金净额
投资活动现金净额 -105.07%-107.39万-227.69%-5,431.59万-33.82%-937.46万0.78%-402.13万-246.01%-6,211.63万70.46%2,119.64万57.44%-1,657.56万-27.53%-700.54万90.54%-405.31万-162.57%-1,795.19万
融资活动现金流量
持续融资活动现金净额 82.55%-234.23万323.58%3,571.29万735.88%1,536.89万42.22%-162.91万1,387.31%3,539.93万-68.09%-1,342.62万3.60%-1,597.34万28.25%-241.7万18.54%-281.93万-10.93%-274.99万
债务发行/偿还的净现金流 0.38%-81.34万2,037.97%5,492.52万2,650.62%1,877.04万84.48%-10.95万5,412.68%3,708.08万-17.49%-81.65万-5.53%-283.42万-7.00%-73.59万-4.29%-70.53万1.66%-69.8万
普通股发行/偿还的净现金流 -1,382.34%-13.42万50.80%-82.12万-664.38%-42.27万84.95%-10.73万56.44%-28.22万96.43%-9,05357.48%-166.91万95.64%-5.53万47.91%-71.27万-87.83%-64.77万
现金股利支付 88.93%-139.48万-49.35%-1,679.35万1.35%-138.12万-0.79%-141.24万0.35%-139.92万-79.01%-1,260.07万-12.96%-1,124.46万0.67%-140.02万1.08%-140.13万1.42%-140.42万
其他融资活动的净现金流额 -----608.22%-159.75万-----------------7,419.00%-22.56万------------
非持续融资活动现金净额
融资活动现金净额 82.55%-234.23万323.58%3,571.29万735.88%1,536.89万42.22%-162.91万1,387.31%3,539.93万-68.09%-1,342.62万3.60%-1,597.34万28.25%-241.7万18.54%-281.93万-10.93%-274.99万
现金净流量
期初现金流 51.39%2,666.9万-3.37%1,761.59万-11.25%1,337.42万23.87%1,667.75万7.16%3,086.37万-3.37%1,761.59万-63.22%1,823.05万-6.64%1,506.97万-75.83%1,346.33万16.82%2,880.17万
当期现金流变化 -108.37%-110.92万1,573.18%905.3万422.13%1,329.48万-305.63%-330.33万7.51%-1,418.62万25.32%1,324.78万98.04%-61.45万21.88%254.62万104.06%160.64万-149.41%-1,533.85万
期末现金流 -17.19%2,555.98万51.39%2,666.9万51.39%2,666.9万-11.25%1,337.42万23.87%1,667.75万7.16%3,086.37万-3.37%1,761.59万-3.37%1,761.59万-6.64%1,506.97万-75.83%1,346.33万
自由现金流 -57.88%230.7万-13.40%2,765.6万-39.00%730.05万-72.32%234.71万133.64%1,253.07万-10.55%547.76万32.06%3,193.45万9.29%1,196.86万25.95%847.88万10.96%536.34万
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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