美股市场个股详情

BOC Boston Omaha

添加自选
  • 15.960
  • +0.160+1.01%
收盘价 11/08 16:00 (美东)
  • 15.960
  • 0.0000.00%
盘后 20:01 (美东)
5.02亿总市值-48363市盈率TTM

Boston Omaha关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
经营活动现金流量(间接法)
持续经营活动现金净额
50.40%450.53万
76.53%241.53万
410.91%1,605.91万
-13.43%381.74万
54.33%787.8万
200.24%299.55万
108.73%136.82万
-166.49%-516.52万
284.09%440.99万
283.82%510.48万
持续经营净收入
-413.32%-201.72万
5.60%-324.71万
-159.42%-616.77万
-113.96%-91.65万
-88.84%-245.52万
105.72%64.38万
-121.01%-343.99万
-81.29%1,037.91万
147.29%656.64万
95.48%-130.01万
持续经营损益
15.68%-259.57万
25.11%258.03万
126.96%797.32万
138.16%703.64万
1,979.48%195.26万
-121.11%-307.83万
107.99%206.25万
-732.03%-2,957.37万
-121.69%-1,843.78万
-99.72%9.39万
折旧和摊销
9.33%690.29万
12.94%676.2万
22.41%2,527.05万
16.17%664.06万
13.75%632.89万
23.26%631.36万
41.16%598.74万
40.52%2,064.4万
53.53%571.65万
43.54%556.4万
递延税费
-100.57%-5,913
43.61%-93.93万
-9.12%-307.79万
60.12%-177.96万
-14.77%-66.6万
123.18%103.33万
-124.93%-166.57万
-115.94%-282.06万
-220.70%-446.22万
92.72%-58.03万
其他非现金项目
----
----
-141.62%-613.28万
----
----
----
----
115.82%1,473.57万
----
----
营运资金变化
200.11%218.41万
-73.49%-282.96万
87.95%-233.04万
-4,114.88%-112.07万
129.20%260.29万
31.32%-218.16万
90.58%-163.1万
-235.05%-1,933.57万
-99.82%2.79万
853.55%113.56万
-应收款项(增)减
-14.05%-117.26万
65.22%-20.8万
-313.75%-655.23万
-1,260.02%-481.29万
-242.87%-11.32万
23.66%-102.81万
18.20%-59.8万
-927.18%-158.36万
1,011.71%41.49万
-92.93%7.92万
-预付费用(增)减
92.45%-19.27万
163.99%48.85万
67.41%-88.02万
-13,610.59%-107.09万
799.94%350.7万
-50.35%-255.27万
-54.43%-76.35万
-635.05%-270.11万
-158.21%-7,811
-423.98%-50.1万
-应付款项及应计费用(减)增
23.61%294.79万
-5,749.92%-210.11万
162.19%763.55万
434.52%456.83万
-59.52%71.84万
473.11%238.47万
99.77%-3.59万
-170.72%-1,227.86万
-94.71%85.47万
474.01%177.46万
-其他流动资产变化
85.35%-736
---2.45万
-107.42%-2,966
-97.42%2,057
--0
---5,023
--0
14.68%4万
-22.22%7.99万
41.04%-3.19万
-其他流动负债变化
6.76%-151.35万
0.97%-147.94万
-7.12%-529.15万
7.76%-99.68万
-1.51%-117.74万
-12.38%-162.32万
-19.05%-149.4万
-22.56%-494万
-23.97%-108.07万
-31.15%-116万
-其他营运资本变化
229.23%211.58万
-60.74%49.49万
29.77%276.1万
610.67%118.97万
-134.04%-33.18万
-28.31%64.26万
157.59%126.04万
88.74%212.76万
-194.76%-23.3万
278.66%97.47万
非持续经营活动现金净额
经营活动现金净额
50.40%450.53万
76.53%241.53万
410.91%1,605.91万
-13.43%381.74万
54.33%787.8万
200.24%299.55万
108.73%136.82万
-166.49%-516.52万
284.09%440.99万
283.82%510.48万
投资活动现金流量
持续投资活动现金净额
657.48%727.11万
160.47%2,288.46万
-173.13%-6,425.27万
8.70%-1,529.37万
-58.66%-981万
97.24%-130.43万
-123.95%-3,784.47万
292.38%8,786.29万
70.21%-1,675.07万
-110.76%-618.28万
资本性支出
31.63%-882.26万
-5.43%-844.61万
-29.48%-5,186.63万
11.16%-876.18万
-34.06%-2,218.89万
-68.68%-1,290.41万
-33.66%-801.15万
-90.70%-4,005.73万
-3.37%-986.21万
-247.63%-1,655.12万
业务交易的净现金流
99.74%-1.45万
99.21%-2.49万
-155.25%-1,797.53万
59.45%-460.82万
89.84%-460.66万
-225.07%-560.33万
-103.73%-315.72万
133.62%3,253.21万
65.89%-1,136.39万
17.59%-4,532.29万
投资产品交易的净现金流
-14.37%1,610.82万
218.65%3,135.56万
-93.88%583.72万
-178.92%-353.17万
-69.50%1,698.55万
142.73%1,881.12万
-133.35%-2,642.78万
83.10%9,538.81万
133.45%447.52万
-52.50%5,569.13万
其他投资活动的净现金流
----
----
---24.83万
--160.81万
--0
---160.81万
---24.83万
----
----
----
非持续投资活动现金净额
投资活动现金净额
657.48%727.11万
160.47%2,288.46万
-173.13%-6,425.27万
8.70%-1,529.37万
-58.66%-981万
97.24%-130.43万
-123.95%-3,784.47万
292.38%8,786.29万
70.21%-1,675.07万
-110.76%-618.28万
融资活动现金流量
持续融资活动现金净额
-467.85%-3,443.98万
-115.32%-464.66万
130.02%3,294.03万
-118.69%-117.56万
-5,221.40%-558.04万
68.40%936.26万
124.93%3,033.37万
-269.74%-1.1亿
-49.55%628.96万
159.90%10.9万
债务发行/偿还的净现金流
2,664.75%979.89万
47.43%-20.21万
22.60%-116.15万
47.00%-20.01万
47.37%-19.5万
-4.19%-38.21万
0.44%-38.44万
-121.62%-150.07万
-104.82%-37.75万
-25.42%-37.05万
普通股发行/偿还的净现金流
-277.91%-1,676.14万
--0
18,171.02%3,752.67万
--0
--0
--942.12万
--2,810.55万
-99.67%20.54万
-95.14%20.54万
--0
其他融资活动的净现金流额
-8,595.53%-2,747.73万
-270.12%-444.45万
96.84%-342.49万
-115.10%-97.56万
-1,223.22%-538.54万
-94.54%32.34万
102.15%261.26万
-2,006.30%-1.08亿
1,449.21%646.16万
322.45%47.95万
非持续融资活动现金净额
融资活动现金净额
-467.85%-3,443.98万
-115.32%-464.66万
130.02%3,294.03万
-118.69%-117.56万
-5,221.40%-558.04万
68.40%936.26万
124.93%3,033.37万
-269.74%-1.1亿
-49.55%628.96万
159.90%10.9万
现金净流量
期初现金流
23.79%6,006.65万
-27.90%3,941.32万
-33.08%5,466.65万
-14.25%5,206.51万
-3.42%5,957.75万
-52.58%4,852.36万
-33.08%5,466.65万
48.66%8,169.44万
-51.16%6,071.78万
-6.10%6,168.69万
当期现金流变化
-305.03%-2,266.35万
436.22%2,065.33万
43.56%-1,525.33万
-109.08%-1,265.19万
-675.19%-751.24万
127.20%1,105.38万
-129.78%-614.29万
-201.07%-2,702.79万
85.80%-605.13万
-101.65%-96.91万
期末现金流
-37.22%3,740.31万
23.79%6,006.65万
-27.90%3,941.32万
-27.90%3,941.32万
-14.25%5,206.51万
-3.42%5,957.75万
-52.58%4,852.36万
-33.08%5,466.65万
-33.08%5,466.65万
-51.16%6,071.78万
自由现金流
56.43%-431.73万
9.22%-603.08万
20.82%-3,580.72万
9.31%-494.44万
-25.03%-1,431.09万
-48.94%-990.86万
69.35%-664.33万
-241.63%-4,522.25万
35.04%-545.22万
-233.59%-1,144.64万
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
--
--
--
--
--
--
--
(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30
经营活动现金流量(间接法)
持续经营活动现金净额 50.40%450.53万76.53%241.53万410.91%1,605.91万-13.43%381.74万54.33%787.8万200.24%299.55万108.73%136.82万-166.49%-516.52万284.09%440.99万283.82%510.48万
持续经营净收入 -413.32%-201.72万5.60%-324.71万-159.42%-616.77万-113.96%-91.65万-88.84%-245.52万105.72%64.38万-121.01%-343.99万-81.29%1,037.91万147.29%656.64万95.48%-130.01万
持续经营损益 15.68%-259.57万25.11%258.03万126.96%797.32万138.16%703.64万1,979.48%195.26万-121.11%-307.83万107.99%206.25万-732.03%-2,957.37万-121.69%-1,843.78万-99.72%9.39万
折旧和摊销 9.33%690.29万12.94%676.2万22.41%2,527.05万16.17%664.06万13.75%632.89万23.26%631.36万41.16%598.74万40.52%2,064.4万53.53%571.65万43.54%556.4万
递延税费 -100.57%-5,91343.61%-93.93万-9.12%-307.79万60.12%-177.96万-14.77%-66.6万123.18%103.33万-124.93%-166.57万-115.94%-282.06万-220.70%-446.22万92.72%-58.03万
其他非现金项目 ---------141.62%-613.28万----------------115.82%1,473.57万--------
营运资金变化 200.11%218.41万-73.49%-282.96万87.95%-233.04万-4,114.88%-112.07万129.20%260.29万31.32%-218.16万90.58%-163.1万-235.05%-1,933.57万-99.82%2.79万853.55%113.56万
-应收款项(增)减 -14.05%-117.26万65.22%-20.8万-313.75%-655.23万-1,260.02%-481.29万-242.87%-11.32万23.66%-102.81万18.20%-59.8万-927.18%-158.36万1,011.71%41.49万-92.93%7.92万
-预付费用(增)减 92.45%-19.27万163.99%48.85万67.41%-88.02万-13,610.59%-107.09万799.94%350.7万-50.35%-255.27万-54.43%-76.35万-635.05%-270.11万-158.21%-7,811-423.98%-50.1万
-应付款项及应计费用(减)增 23.61%294.79万-5,749.92%-210.11万162.19%763.55万434.52%456.83万-59.52%71.84万473.11%238.47万99.77%-3.59万-170.72%-1,227.86万-94.71%85.47万474.01%177.46万
-其他流动资产变化 85.35%-736---2.45万-107.42%-2,966-97.42%2,057--0---5,023--014.68%4万-22.22%7.99万41.04%-3.19万
-其他流动负债变化 6.76%-151.35万0.97%-147.94万-7.12%-529.15万7.76%-99.68万-1.51%-117.74万-12.38%-162.32万-19.05%-149.4万-22.56%-494万-23.97%-108.07万-31.15%-116万
-其他营运资本变化 229.23%211.58万-60.74%49.49万29.77%276.1万610.67%118.97万-134.04%-33.18万-28.31%64.26万157.59%126.04万88.74%212.76万-194.76%-23.3万278.66%97.47万
非持续经营活动现金净额
经营活动现金净额 50.40%450.53万76.53%241.53万410.91%1,605.91万-13.43%381.74万54.33%787.8万200.24%299.55万108.73%136.82万-166.49%-516.52万284.09%440.99万283.82%510.48万
投资活动现金流量
持续投资活动现金净额 657.48%727.11万160.47%2,288.46万-173.13%-6,425.27万8.70%-1,529.37万-58.66%-981万97.24%-130.43万-123.95%-3,784.47万292.38%8,786.29万70.21%-1,675.07万-110.76%-618.28万
资本性支出 31.63%-882.26万-5.43%-844.61万-29.48%-5,186.63万11.16%-876.18万-34.06%-2,218.89万-68.68%-1,290.41万-33.66%-801.15万-90.70%-4,005.73万-3.37%-986.21万-247.63%-1,655.12万
业务交易的净现金流 99.74%-1.45万99.21%-2.49万-155.25%-1,797.53万59.45%-460.82万89.84%-460.66万-225.07%-560.33万-103.73%-315.72万133.62%3,253.21万65.89%-1,136.39万17.59%-4,532.29万
投资产品交易的净现金流 -14.37%1,610.82万218.65%3,135.56万-93.88%583.72万-178.92%-353.17万-69.50%1,698.55万142.73%1,881.12万-133.35%-2,642.78万83.10%9,538.81万133.45%447.52万-52.50%5,569.13万
其他投资活动的净现金流 -----------24.83万--160.81万--0---160.81万---24.83万------------
非持续投资活动现金净额
投资活动现金净额 657.48%727.11万160.47%2,288.46万-173.13%-6,425.27万8.70%-1,529.37万-58.66%-981万97.24%-130.43万-123.95%-3,784.47万292.38%8,786.29万70.21%-1,675.07万-110.76%-618.28万
融资活动现金流量
持续融资活动现金净额 -467.85%-3,443.98万-115.32%-464.66万130.02%3,294.03万-118.69%-117.56万-5,221.40%-558.04万68.40%936.26万124.93%3,033.37万-269.74%-1.1亿-49.55%628.96万159.90%10.9万
债务发行/偿还的净现金流 2,664.75%979.89万47.43%-20.21万22.60%-116.15万47.00%-20.01万47.37%-19.5万-4.19%-38.21万0.44%-38.44万-121.62%-150.07万-104.82%-37.75万-25.42%-37.05万
普通股发行/偿还的净现金流 -277.91%-1,676.14万--018,171.02%3,752.67万--0--0--942.12万--2,810.55万-99.67%20.54万-95.14%20.54万--0
其他融资活动的净现金流额 -8,595.53%-2,747.73万-270.12%-444.45万96.84%-342.49万-115.10%-97.56万-1,223.22%-538.54万-94.54%32.34万102.15%261.26万-2,006.30%-1.08亿1,449.21%646.16万322.45%47.95万
非持续融资活动现金净额
融资活动现金净额 -467.85%-3,443.98万-115.32%-464.66万130.02%3,294.03万-118.69%-117.56万-5,221.40%-558.04万68.40%936.26万124.93%3,033.37万-269.74%-1.1亿-49.55%628.96万159.90%10.9万
现金净流量
期初现金流 23.79%6,006.65万-27.90%3,941.32万-33.08%5,466.65万-14.25%5,206.51万-3.42%5,957.75万-52.58%4,852.36万-33.08%5,466.65万48.66%8,169.44万-51.16%6,071.78万-6.10%6,168.69万
当期现金流变化 -305.03%-2,266.35万436.22%2,065.33万43.56%-1,525.33万-109.08%-1,265.19万-675.19%-751.24万127.20%1,105.38万-129.78%-614.29万-201.07%-2,702.79万85.80%-605.13万-101.65%-96.91万
期末现金流 -37.22%3,740.31万23.79%6,006.65万-27.90%3,941.32万-27.90%3,941.32万-14.25%5,206.51万-3.42%5,957.75万-52.58%4,852.36万-33.08%5,466.65万-33.08%5,466.65万-51.16%6,071.78万
自由现金流 56.43%-431.73万9.22%-603.08万20.82%-3,580.72万9.31%-494.44万-25.03%-1,431.09万-48.94%-990.86万69.35%-664.33万-241.63%-4,522.25万35.04%-545.22万-233.59%-1,144.64万
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审计意见 ----无保留意见--------------

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