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尚高生命科学 (SISI)

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延时15分钟行情收盘价 05/01 12:52 (美东)
22.00万总市值0.00市盈率TTM

尚高生命科学 (SISI) 现金流量表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2025/03/31
(Q2)2024/12/31
(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
经营活动现金流量(间接法)
持续经营活动现金净额
-50.86%11.33万
49.93%-60.46万
-55.48%-208.52万
16.67%-376.78万
29.15%-144.98万
136.39%23.05万
-1,995.59%-120.75万
24.83%-134.11万
80.75%-452.13万
87.77%-204.61万
持续经营净收入
-1,548.54%-73.65万
54.71%-228.97万
27.18%-255.81万
-210.03%-3,320.8万
-543.12%-2,459.41万
98.48%-4.47万
-235.84%-505.61万
-43.84%-351.31万
60.43%-1,071.12万
62.39%-382.42万
持续经营损益
--767
---11.49万
---769
28.84%2.71万
----
----
----
----
-84.13%2.1万
100.35%110
折旧和摊销
-21.09%-160.67万
1.16%135.64万
30.26%138.36万
652.47%499.01万
1,417.16%391.4万
-427.69%-132.68万
937,495.10%134.08万
747,925.35%106.22万
656,493.07%66.32万
115.44%25.8万
递延税费
-50.79%39.63万
58.86%-29.07万
-16.73%-29.34万
-296.62%-77.17万
-283.36%-61.9万
2,533.68%80.53万
---70.66万
---25.14万
---19.46万
---16.15万
其他非现金项目
-6.02%42.57万
-101.19%-3.45万
-64.55%33.34万
178.58%468.37万
-21.24%38.35万
439.71%45.3万
13,070.96%290.67万
-27.97%94.04万
-92.03%168.12万
-97.53%48.7万
营运资金变化
337.19%334.06万
68.39%-22.73万
-451.62%-146.74万
145.95%22.2万
33.55%-24.05万
2,075.09%76.41万
-2,164.27%-71.89万
318.46%41.73万
-226.79%-48.3万
-113.97%-36.19万
-应收款项(增)减
108.03%41.7万
-136.73%-44.74万
-99.12%3.52万
5,535.78%1,051.9万
32,435.71%1,050.68万
-3,465.56%-519.49万
--121.81万
--398.91万
--18.66万
-94.24%3.23万
-存货(增)减
233.51%19.32万
244.87%65.35万
-2,873.89%-73.96万
9.04%51.7万
61.93%49.7万
-186.55%-14.47万
--18.95万
---2.49万
--47.41万
-76.98%30.69万
-预付费用(增)减
138.98%1,177.69万
5.85%-536.46万
-969.93%-641.12万
-10,025.72%-671.93万
-11,705.06%-668.63万
48,783.62%492.8万
---569.8万
--73.7万
--6.77万
102.55%5.76万
-应付款项及应计费用(减)增
-67.40%140.42万
13.34%106.04万
88.59%-53.94万
774.04%262.9万
869.08%211.55万
25,561.12%430.75万
2,527.52%93.55万
-15,818.58%-472.96万
-87.92%30.08万
-26.71%21.83万
-其他流动资产变化
-334.52%-29.31万
117.96%3.21万
-153.97%-11.93万
109.53%10.57万
114.31%13.06万
-365.04%-6.75万
-22,882.63%-17.86万
200.00%22.11万
47.40%-110.95万
-140.46%-91.31万
-其他流动负债变化
102.57%54
73.69%-6,256
-965.27%-6,005
59.00%-3.77万
-162.30%-1.25万
98.12%-2,099
---2.38万
--694
---9.19万
-94.96%2万
-其他营运资本变化
-428.08%-1,015.76万
35.47%384.52万
2,719.63%631.29万
-2,084.77%-679.17万
-15,301.16%-1,295.01万
--309.61万
--283.83万
--22.39万
---31.09万
---8.41万
非持续经营活动现金净额
6.54%-54.36万
0
0
81.32%-16.24万
218.41%58.15万
-34.39%-58.17万
-100.03%-244
78.25%-16.2万
48.85%-86.93万
-49.11万
经营活动现金净额
-22.55%-43.03万
49.94%-60.46万
-38.73%-208.52万
27.09%-393.03万
65.78%-86.82万
67.07%-35.11万
-474.86%-120.77万
28.73%-150.31万
5.64%-539.06万
-343.28%-253.72万
投资活动现金流量
持续投资活动现金净额
96.10%-6.07万
135.47%36.15万
75.71%-313.31万
-4,148.13%-2,097.99万
-1,538,607.26%-550.86万
-11.35%-155.5万
88.68%-101.92万
-218.16%-1,289.72万
103.41%51.83万
-100.00%-358
固定资产交易的净现金流
2,076.79%1.52万
100.11%33
-270.07%-1.52万
-1,254.66%-25.53万
-61,680.17%-22.12万
95.85%-767
---2.93万
---4,106
-938.35%-1.88万
-100.12%-358
业务交易的净现金流
--0
---103
79.59%-263万
-24.42%-1,291.21万
150.19%100.37万
-265.55%-102.97万
--0
---1,288.61万
-1,283.74%-1,037.8万
-115.93%-200万
投资产品交易的净现金流
----
-122.02%-627
--0
---277
---6,110
--3,263
--2,847
---277
--0
--0
其他投资活动的净现金流
85.35%-7.65万
136.49%36.22万
-7,124.65%-48.8万
-171.57%-781.23万
-414.54%-629.08万
73.91%-52.19万
---99.28万
-100.06%-6,754
175.62%1,091.51万
-55.25%200万
非持续投资活动现金净额
投资活动现金净额
-812.87%-21.28万
135.47%36.15万
75.71%-313.31万
-2,130.04%-2,097.99万
-35,499.27%-704.02万
98.33%-2.33万
88.25%-101.92万
-216.37%-1,289.72万
102.87%103.35万
100.57%1.99万
融资活动现金流量
持续融资活动现金净额
-165.77%-35.61万
-70.55%73.97万
725.76%506.65万
139.40%1,071万
265.89%704.33万
-59.08%54.14万
1,144.81%251.17万
-40.08%61.36万
-83.24%447.37万
30.99%192.5万
债务发行/偿还的净现金流
90.51%-3.68万
-60.39%32.9万
-436.61%-120.1万
281.52%52.22万
-35,996.25%-27.78万
-34.25%-38.72万
--83.04万
--35.68万
-101.69%-28.77万
--774
普通股发行/偿还的净现金流
-89.23%2.98万
-80.16%33.33万
1,790.40%642.76万
84.28%892.67万
220.40%662.97万
-81.84%27.69万
572.01%168万
-66.00%34万
-49.96%484.4万
-5.94%206.92万
其他融资活动的净现金流额
-153.57%-34.91万
6,013.02%7.75万
-92.37%-16.01万
1,626.60%126.11万
576.83%69.14万
652.37%65.17万
102.63%1,267
-446.80%-8.32万
-557.40%-8.26万
80.15%-14.5万
非持续融资活动现金净额
170.42%54.57万
0
0
3,744.84%29.36万
472.70%77.53万
-4,395.01%-77.49万
101.48%632
384.16%29.25万
-99.55%7,636
13.54万
融资活动现金净额
181.20%18.96万
-70.56%73.97万
459.15%506.65万
145.54%1,100.35万
279.48%781.86万
-117.41%-23.35万
1,480.66%251.24万
-1.62%90.61万
-84.23%448.14万
-35.26%206.04万
现金净流量
期初现金流
-37.09%74.69万
-70.43%25.87万
-97.21%39.5万
-6.58%1,416.68万
-96.33%56.55万
-92.78%118.72万
-96.39%87.5万
-6.58%1,416.68万
-47.75%1,516.52万
-0.53%1,539.52万
当期现金流变化
25.40%-45.36万
73.99%49.66万
98.87%-15.19万
-11,292.64%-1,390.66万
80.34%-8.98万
45.59%-60.8万
103.48%28.54万
-236.37%-1,349.42万
100.93%12.42万
-162.63%-45.7万
利率变动影响
55.03%-6,179
-131.64%-8,462
-92.31%1.56万
112.02%13.49万
89.55%-8.06万
-119.63%-1.37万
-93.33%2.67万
124.63%20.25万
-106.90%-112.27万
25.95%-77.15万
期末现金流
-49.22%28.71万
-37.09%74.69万
-70.43%25.87万
-97.21%39.5万
-97.21%39.5万
-96.33%56.55万
-92.78%118.72万
-96.39%87.5万
-6.58%1,416.68万
-6.58%1,416.68万
自由现金流
-17.73%-41.43万
51.12%-60.46万
-39.41%-210.13万
22.45%-419.51万
56.69%-109.89万
67.56%-35.19万
-483.94%-123.7万
28.54%-150.72万
5.34%-540.94万
-287.80%-253.76万
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
审计意见
--
--
--
带解释段的无保留意见
--
--
--
--
带解释段的无保留意见
--
(Q3)2025/03/31(Q2)2024/12/31(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
经营活动现金流量(间接法)
持续经营活动现金净额 -50.86%11.33万49.93%-60.46万-55.48%-208.52万16.67%-376.78万29.15%-144.98万136.39%23.05万-1,995.59%-120.75万24.83%-134.11万80.75%-452.13万87.77%-204.61万
持续经营净收入 -1,548.54%-73.65万54.71%-228.97万27.18%-255.81万-210.03%-3,320.8万-543.12%-2,459.41万98.48%-4.47万-235.84%-505.61万-43.84%-351.31万60.43%-1,071.12万62.39%-382.42万
持续经营损益 --767---11.49万---76928.84%2.71万-----------------84.13%2.1万100.35%110
折旧和摊销 -21.09%-160.67万1.16%135.64万30.26%138.36万652.47%499.01万1,417.16%391.4万-427.69%-132.68万937,495.10%134.08万747,925.35%106.22万656,493.07%66.32万115.44%25.8万
递延税费 -50.79%39.63万58.86%-29.07万-16.73%-29.34万-296.62%-77.17万-283.36%-61.9万2,533.68%80.53万---70.66万---25.14万---19.46万---16.15万
其他非现金项目 -6.02%42.57万-101.19%-3.45万-64.55%33.34万178.58%468.37万-21.24%38.35万439.71%45.3万13,070.96%290.67万-27.97%94.04万-92.03%168.12万-97.53%48.7万
营运资金变化 337.19%334.06万68.39%-22.73万-451.62%-146.74万145.95%22.2万33.55%-24.05万2,075.09%76.41万-2,164.27%-71.89万318.46%41.73万-226.79%-48.3万-113.97%-36.19万
-应收款项(增)减 108.03%41.7万-136.73%-44.74万-99.12%3.52万5,535.78%1,051.9万32,435.71%1,050.68万-3,465.56%-519.49万--121.81万--398.91万--18.66万-94.24%3.23万
-存货(增)减 233.51%19.32万244.87%65.35万-2,873.89%-73.96万9.04%51.7万61.93%49.7万-186.55%-14.47万--18.95万---2.49万--47.41万-76.98%30.69万
-预付费用(增)减 138.98%1,177.69万5.85%-536.46万-969.93%-641.12万-10,025.72%-671.93万-11,705.06%-668.63万48,783.62%492.8万---569.8万--73.7万--6.77万102.55%5.76万
-应付款项及应计费用(减)增 -67.40%140.42万13.34%106.04万88.59%-53.94万774.04%262.9万869.08%211.55万25,561.12%430.75万2,527.52%93.55万-15,818.58%-472.96万-87.92%30.08万-26.71%21.83万
-其他流动资产变化 -334.52%-29.31万117.96%3.21万-153.97%-11.93万109.53%10.57万114.31%13.06万-365.04%-6.75万-22,882.63%-17.86万200.00%22.11万47.40%-110.95万-140.46%-91.31万
-其他流动负债变化 102.57%5473.69%-6,256-965.27%-6,00559.00%-3.77万-162.30%-1.25万98.12%-2,099---2.38万--694---9.19万-94.96%2万
-其他营运资本变化 -428.08%-1,015.76万35.47%384.52万2,719.63%631.29万-2,084.77%-679.17万-15,301.16%-1,295.01万--309.61万--283.83万--22.39万---31.09万---8.41万
非持续经营活动现金净额 6.54%-54.36万0081.32%-16.24万218.41%58.15万-34.39%-58.17万-100.03%-24478.25%-16.2万48.85%-86.93万-49.11万
经营活动现金净额 -22.55%-43.03万49.94%-60.46万-38.73%-208.52万27.09%-393.03万65.78%-86.82万67.07%-35.11万-474.86%-120.77万28.73%-150.31万5.64%-539.06万-343.28%-253.72万
投资活动现金流量
持续投资活动现金净额 96.10%-6.07万135.47%36.15万75.71%-313.31万-4,148.13%-2,097.99万-1,538,607.26%-550.86万-11.35%-155.5万88.68%-101.92万-218.16%-1,289.72万103.41%51.83万-100.00%-358
固定资产交易的净现金流 2,076.79%1.52万100.11%33-270.07%-1.52万-1,254.66%-25.53万-61,680.17%-22.12万95.85%-767---2.93万---4,106-938.35%-1.88万-100.12%-358
业务交易的净现金流 --0---10379.59%-263万-24.42%-1,291.21万150.19%100.37万-265.55%-102.97万--0---1,288.61万-1,283.74%-1,037.8万-115.93%-200万
投资产品交易的净现金流 -----122.02%-627--0---277---6,110--3,263--2,847---277--0--0
其他投资活动的净现金流 85.35%-7.65万136.49%36.22万-7,124.65%-48.8万-171.57%-781.23万-414.54%-629.08万73.91%-52.19万---99.28万-100.06%-6,754175.62%1,091.51万-55.25%200万
非持续投资活动现金净额
投资活动现金净额 -812.87%-21.28万135.47%36.15万75.71%-313.31万-2,130.04%-2,097.99万-35,499.27%-704.02万98.33%-2.33万88.25%-101.92万-216.37%-1,289.72万102.87%103.35万100.57%1.99万
融资活动现金流量
持续融资活动现金净额 -165.77%-35.61万-70.55%73.97万725.76%506.65万139.40%1,071万265.89%704.33万-59.08%54.14万1,144.81%251.17万-40.08%61.36万-83.24%447.37万30.99%192.5万
债务发行/偿还的净现金流 90.51%-3.68万-60.39%32.9万-436.61%-120.1万281.52%52.22万-35,996.25%-27.78万-34.25%-38.72万--83.04万--35.68万-101.69%-28.77万--774
普通股发行/偿还的净现金流 -89.23%2.98万-80.16%33.33万1,790.40%642.76万84.28%892.67万220.40%662.97万-81.84%27.69万572.01%168万-66.00%34万-49.96%484.4万-5.94%206.92万
其他融资活动的净现金流额 -153.57%-34.91万6,013.02%7.75万-92.37%-16.01万1,626.60%126.11万576.83%69.14万652.37%65.17万102.63%1,267-446.80%-8.32万-557.40%-8.26万80.15%-14.5万
非持续融资活动现金净额 170.42%54.57万003,744.84%29.36万472.70%77.53万-4,395.01%-77.49万101.48%632384.16%29.25万-99.55%7,63613.54万
融资活动现金净额 181.20%18.96万-70.56%73.97万459.15%506.65万145.54%1,100.35万279.48%781.86万-117.41%-23.35万1,480.66%251.24万-1.62%90.61万-84.23%448.14万-35.26%206.04万
现金净流量
期初现金流 -37.09%74.69万-70.43%25.87万-97.21%39.5万-6.58%1,416.68万-96.33%56.55万-92.78%118.72万-96.39%87.5万-6.58%1,416.68万-47.75%1,516.52万-0.53%1,539.52万
当期现金流变化 25.40%-45.36万73.99%49.66万98.87%-15.19万-11,292.64%-1,390.66万80.34%-8.98万45.59%-60.8万103.48%28.54万-236.37%-1,349.42万100.93%12.42万-162.63%-45.7万
利率变动影响 55.03%-6,179-131.64%-8,462-92.31%1.56万112.02%13.49万89.55%-8.06万-119.63%-1.37万-93.33%2.67万124.63%20.25万-106.90%-112.27万25.95%-77.15万
期末现金流 -49.22%28.71万-37.09%74.69万-70.43%25.87万-97.21%39.5万-97.21%39.5万-96.33%56.55万-92.78%118.72万-96.39%87.5万-6.58%1,416.68万-6.58%1,416.68万
自由现金流 -17.73%-41.43万51.12%-60.46万-39.41%-210.13万22.45%-419.51万56.69%-109.89万67.56%-35.19万-483.94%-123.7万28.54%-150.72万5.34%-540.94万-287.80%-253.76万
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会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ------带解释段的无保留意见--------带解释段的无保留意见--
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