美股市场个股详情

Taylor Devices (TAYD)

添加自选
  • 53.160
  • -2.340-4.22%
收盘价 05/01 16:00 (美东)
  • 53.160
  • 0.0000.00%
盘后 20:01 (美东)
1.71亿总市值16.82市盈率TTM

Taylor Devices (TAYD) 现金流量表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2026/02/28
(Q2)2025/11/30
(Q1)2025/08/31
(FY)2025/05/31
(Q4)2025/05/31
(Q3)2025/02/28
(Q2)2024/11/30
(Q1)2024/08/31
(FY)2024/05/31
(Q4)2024/05/31
经营活动现金流量(间接法)
持续经营活动现金净额
-90.06%89.69万
5,472.09%574.59万
113.47%48.36万
-43.48%747.19万
-70.41%193.54万
1,417.25%902.29万
-97.62%10.31万
-218.15%-358.95万
71.52%1,321.89万
2.75%654.13万
持续经营净收入
24.77%249.81万
90.18%200.86万
-17.87%219.01万
4.60%941.31万
49.16%368.81万
-25.76%200.22万
-46.69%105.62万
44.31%266.67万
43.12%899.88万
19.65%247.26万
折旧和摊销
-14.43%47.81万
-0.08%45.84万
18.84%45.84万
1.97%173.11万
-7.50%32.78万
29.25%55.88万
0.72%45.88万
-15.31%38.57万
15.29%169.76万
-24.37%35.44万
递延税费
--23万
--55.2万
--50万
-31.84%-58.54万
---58.54万
--0
--0
--0
10.12%-44.4万
----
营运资金变化
-135.53%-230.94万
189.91%192.69万
59.88%-266.49万
-415.90%-484.44万
-185.34%-255.94万
271.64%649.99万
-235.09%-214.3万
-1,003.93%-664.19万
587.33%153.35万
-18.89%299.93万
-应收款项(增)减
-322.86%-293.93万
1,162.78%162.25万
212.24%173.26万
-1,871.92%-192.63万
-944.22%-154.89万
136.37%131.89万
-105.09%-15.27万
-274.44%-154.37万
105.73%10.87万
-105.63%-14.83万
-存货(增)减
30,696.70%76.56万
213.72%68.32万
-42.35%-49.21万
94.90%-12.93万
156.61%81.46万
-98.09%2,486
-96.47%-60.07万
62.36%-34.57万
-813.80%-253.32万
-108.13%-143.89万
-预付费用(增)减
----
----
----
-766.88%-49.37万
----
----
----
----
-258.72%-5.7万
----
-应付款项及应计费用(减)增
-104.51%-25.97万
160.45%98.63万
-62.20%-201.65万
-339.41%-103.78万
-417.74%-391.97万
623.80%575.66万
-337.71%-163.14万
45.52%-124.32万
-54.60%43.35万
17.59%123.36万
-其他流动资产变化
432.63%34.16万
74.69%-12.19万
58.36%-37.16万
-39.26%-3.81万
722.43%143.88万
-153.88%-10.27万
-3,370.21%-48.17万
-488.79%-89.24万
---2.73万
---23.12万
-其他营运资本变化
54.23%-21.76万
-271.81%-124.31万
42.02%-151.73万
-133.78%-121.92万
-68.43%114.95万
54.54%-47.53万
140.04%72.35万
-192.78%-261.69万
314.94%360.88万
556.66%364.1万
非持续经营活动现金净额
经营活动现金净额
-90.06%89.69万
5,472.09%574.59万
113.47%48.36万
-43.48%747.19万
-70.41%193.54万
1,417.25%902.29万
-97.62%10.31万
-218.15%-358.95万
71.52%1,321.89万
2.75%654.13万
投资活动现金流量
持续投资活动现金净额
89.97%-91.03万
-407,497.33%-594.39万
-84.13%46.18万
-82.91%-927.48万
55.32%-310.88万
-193.88%-907.79万
100.04%1,459
178.10%291.05万
81.07%-507.06万
-11.94%-695.86万
资本性支出
----
----
----
--0
--0
----
----
----
---30万
--0
固定资产交易的净现金流
-174.89%-51.52万
-80.50%-130.61万
25.09%-18.5万
-126.39%-260.21万
-266.48%-144.41万
10.98%-18.74万
-517.68%-72.36万
42.25%-24.7万
65.79%-114.94万
59.67%-39.4万
投资产品交易的净现金流
95.57%-39.4万
-738.27%-463.65万
-79.49%64.79万
-84.38%-666.81万
74.65%-166.37万
-187.31%-888.94万
118.45%72.64万
195.77%315.86万
84.56%-361.65万
-25.30%-656.34万
其他投资活动的净现金流
2.52%-1,044
1.78%-1,323
1.89%-1,092
1.79%-4,620
2.42%-1,089
2.19%-1,071
1.32%-1,347
1.33%-1,113
1.20%-4,704
1.85%-1,116
非持续投资活动现金净额
投资活动现金净额
89.97%-91.03万
-407,497.33%-594.39万
-84.13%46.18万
-82.91%-927.48万
55.32%-310.88万
-193.88%-907.79万
100.04%1,459
178.10%291.05万
81.07%-507.06万
-11.94%-695.86万
融资活动现金流量
持续融资活动现金净额
41,614.90%58.78万
-98.77%1,071
53.44%1.69万
101.82%16.2万
-67.57%6.24万
100.02%1,409
3,878.98%8.73万
282.00%1.1万
-6,787.52%-889.21万
363.66%19.23万
普通股发行/偿还的净现金流
41,614.90%58.78万
-98.77%1,071
53.44%1.69万
101.82%16.2万
-67.57%6.24万
100.02%1,409
3,878.98%8.73万
282.00%1.1万
-6,787.52%-889.21万
363.66%19.23万
非持续融资活动现金净额
融资活动现金净额
41,614.90%58.78万
-98.77%1,071
53.44%1.69万
101.82%16.2万
-67.57%6.24万
100.02%1,409
3,878.98%8.73万
282.00%1.1万
-6,787.52%-889.21万
363.66%19.23万
现金净流量
期初现金流
-16.95%195.6万
-0.48%215.3万
-57.95%119.07万
-20.80%283.15万
-24.69%230.17万
-25.49%235.53万
-25.12%216.35万
-20.80%283.15万
-84.12%357.52万
-9.68%305.65万
当期现金流变化
1,171.05%57.44万
-202.68%-19.7万
244.07%96.24万
-120.61%-164.08万
-393.85%-111.1万
48.74%-5.36万
-29.37%19.18万
2.59%-66.8万
96.07%-74.37万
-217.56%-22.5万
期末现金流
9.94%253.04万
-16.95%195.6万
-0.48%215.3万
-57.95%119.07万
-57.95%119.07万
-24.69%230.17万
-25.49%235.53万
-25.12%216.35万
-20.80%283.15万
-20.80%283.15万
自由现金流
-95.68%38.17万
815.52%443.97万
107.78%29.86万
-58.62%486.98万
-92.01%49.13万
839.05%883.55万
-114.75%-62.05万
-246.96%-383.65万
170.73%1,176.95万
14.07%614.72万
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
--
(Q3)2026/02/28(Q2)2025/11/30(Q1)2025/08/31(FY)2025/05/31(Q4)2025/05/31(Q3)2025/02/28(Q2)2024/11/30(Q1)2024/08/31(FY)2024/05/31(Q4)2024/05/31
经营活动现金流量(间接法)
持续经营活动现金净额 -90.06%89.69万5,472.09%574.59万113.47%48.36万-43.48%747.19万-70.41%193.54万1,417.25%902.29万-97.62%10.31万-218.15%-358.95万71.52%1,321.89万2.75%654.13万
持续经营净收入 24.77%249.81万90.18%200.86万-17.87%219.01万4.60%941.31万49.16%368.81万-25.76%200.22万-46.69%105.62万44.31%266.67万43.12%899.88万19.65%247.26万
折旧和摊销 -14.43%47.81万-0.08%45.84万18.84%45.84万1.97%173.11万-7.50%32.78万29.25%55.88万0.72%45.88万-15.31%38.57万15.29%169.76万-24.37%35.44万
递延税费 --23万--55.2万--50万-31.84%-58.54万---58.54万--0--0--010.12%-44.4万----
营运资金变化 -135.53%-230.94万189.91%192.69万59.88%-266.49万-415.90%-484.44万-185.34%-255.94万271.64%649.99万-235.09%-214.3万-1,003.93%-664.19万587.33%153.35万-18.89%299.93万
-应收款项(增)减 -322.86%-293.93万1,162.78%162.25万212.24%173.26万-1,871.92%-192.63万-944.22%-154.89万136.37%131.89万-105.09%-15.27万-274.44%-154.37万105.73%10.87万-105.63%-14.83万
-存货(增)减 30,696.70%76.56万213.72%68.32万-42.35%-49.21万94.90%-12.93万156.61%81.46万-98.09%2,486-96.47%-60.07万62.36%-34.57万-813.80%-253.32万-108.13%-143.89万
-预付费用(增)减 -------------766.88%-49.37万-----------------258.72%-5.7万----
-应付款项及应计费用(减)增 -104.51%-25.97万160.45%98.63万-62.20%-201.65万-339.41%-103.78万-417.74%-391.97万623.80%575.66万-337.71%-163.14万45.52%-124.32万-54.60%43.35万17.59%123.36万
-其他流动资产变化 432.63%34.16万74.69%-12.19万58.36%-37.16万-39.26%-3.81万722.43%143.88万-153.88%-10.27万-3,370.21%-48.17万-488.79%-89.24万---2.73万---23.12万
-其他营运资本变化 54.23%-21.76万-271.81%-124.31万42.02%-151.73万-133.78%-121.92万-68.43%114.95万54.54%-47.53万140.04%72.35万-192.78%-261.69万314.94%360.88万556.66%364.1万
非持续经营活动现金净额
经营活动现金净额 -90.06%89.69万5,472.09%574.59万113.47%48.36万-43.48%747.19万-70.41%193.54万1,417.25%902.29万-97.62%10.31万-218.15%-358.95万71.52%1,321.89万2.75%654.13万
投资活动现金流量
持续投资活动现金净额 89.97%-91.03万-407,497.33%-594.39万-84.13%46.18万-82.91%-927.48万55.32%-310.88万-193.88%-907.79万100.04%1,459178.10%291.05万81.07%-507.06万-11.94%-695.86万
资本性支出 --------------0--0---------------30万--0
固定资产交易的净现金流 -174.89%-51.52万-80.50%-130.61万25.09%-18.5万-126.39%-260.21万-266.48%-144.41万10.98%-18.74万-517.68%-72.36万42.25%-24.7万65.79%-114.94万59.67%-39.4万
投资产品交易的净现金流 95.57%-39.4万-738.27%-463.65万-79.49%64.79万-84.38%-666.81万74.65%-166.37万-187.31%-888.94万118.45%72.64万195.77%315.86万84.56%-361.65万-25.30%-656.34万
其他投资活动的净现金流 2.52%-1,0441.78%-1,3231.89%-1,0921.79%-4,6202.42%-1,0892.19%-1,0711.32%-1,3471.33%-1,1131.20%-4,7041.85%-1,116
非持续投资活动现金净额
投资活动现金净额 89.97%-91.03万-407,497.33%-594.39万-84.13%46.18万-82.91%-927.48万55.32%-310.88万-193.88%-907.79万100.04%1,459178.10%291.05万81.07%-507.06万-11.94%-695.86万
融资活动现金流量
持续融资活动现金净额 41,614.90%58.78万-98.77%1,07153.44%1.69万101.82%16.2万-67.57%6.24万100.02%1,4093,878.98%8.73万282.00%1.1万-6,787.52%-889.21万363.66%19.23万
普通股发行/偿还的净现金流 41,614.90%58.78万-98.77%1,07153.44%1.69万101.82%16.2万-67.57%6.24万100.02%1,4093,878.98%8.73万282.00%1.1万-6,787.52%-889.21万363.66%19.23万
非持续融资活动现金净额
融资活动现金净额 41,614.90%58.78万-98.77%1,07153.44%1.69万101.82%16.2万-67.57%6.24万100.02%1,4093,878.98%8.73万282.00%1.1万-6,787.52%-889.21万363.66%19.23万
现金净流量
期初现金流 -16.95%195.6万-0.48%215.3万-57.95%119.07万-20.80%283.15万-24.69%230.17万-25.49%235.53万-25.12%216.35万-20.80%283.15万-84.12%357.52万-9.68%305.65万
当期现金流变化 1,171.05%57.44万-202.68%-19.7万244.07%96.24万-120.61%-164.08万-393.85%-111.1万48.74%-5.36万-29.37%19.18万2.59%-66.8万96.07%-74.37万-217.56%-22.5万
期末现金流 9.94%253.04万-16.95%195.6万-0.48%215.3万-57.95%119.07万-57.95%119.07万-24.69%230.17万-25.49%235.53万-25.12%216.35万-20.80%283.15万-20.80%283.15万
自由现金流 -95.68%38.17万815.52%443.97万107.78%29.86万-58.62%486.98万-92.01%49.13万839.05%883.55万-114.75%-62.05万-246.96%-383.65万170.73%1,176.95万14.07%614.72万
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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