美股市场个股详情

GNRC Generac

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  • 131.690
  • +0.290+0.22%
交易中 03/11 09:52 (美东)
78.51亿总市值24.43市盈率TTM

Generac关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(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
经营活动现金流量(间接法)
持续经营活动现金净额
42.10%7.41亿
7.10%3.39亿
51.48%2.12亿
-6.59%7,766.4万
702.93%1.12亿
791.50%5.22亿
214.22%3.17亿
350.04%1.4亿
248.84%8,314.7万
-82.99%-1,855.9万
持续经营净收入
45.99%3.17亿
21.55%1.18亿
87.65%1.14亿
29.74%5,905.3万
86.98%2,647.8万
-46.90%2.17亿
31.02%9,681万
0.31%6,063.4万
-71.13%4,551.5万
-87.89%1,416.1万
持续经营损益
1,854.04%499.9万
-32.02%17.2万
81,016.67%485.5万
104.27%2.4万
-273.33%-5.2万
-109.04%-28.5万
783.78%25.3万
-118.75%-6,000
-115.08%-56.2万
105.25%3万
折旧和摊销
3.10%1.72亿
3.25%4,383.4万
0.47%4,315.2万
3.96%4,288万
4.88%4,190.2万
6.70%1.67亿
7.70%4,245.3万
9.67%4,295.1万
5.50%4,124.7万
3.87%3,995.1万
递延税费
-85.26%-6,568.4万
-151.72%-4,213.8万
-18.47%-540.6万
-270.20%-1,273.5万
49.54%-540.5万
68.45%-3,545.5万
42.48%-1,674万
78.92%-456.3万
72.41%-344万
78.21%-1,071.2万
其他非现金项目
-8.00%902.2万
-45.96%352.6万
198.40%186.8万
-33.14%124.5万
200.13%238.3万
-54.54%980.7万
-46.84%652.5万
-93.77%62.6万
-63.19%186.2万
113.67%79.4万
营运资金变化
68.99%2.17亿
-6.52%1.7亿
48.52%4,676.3万
-112.70%-2,662.6万
137.61%2,712.4万
128.64%1.28亿
11,216.90%1.82亿
120.86%3,148.7万
92.93%-1,251.8万
39.29%-7,211.9万
-应收款项(增)减
-353.24%-8,281.6万
-26.39%3,732.1万
14.54%-4,567万
-78.19%-8,813.1万
-59.72%1,366.4万
-379.09%-1,827.2万
85.34%5,070.3万
-143.63%-5,344万
35.60%-4,946万
151.01%3,392.5万
-存货(增)减
-53.19%1.23亿
-69.17%4,956.2万
-48.09%6,114.5万
283.11%3,035.4万
23.98%-1,810.9万
182.27%2.63亿
368.13%1.61亿
160.29%1.18亿
172.15%792.3万
83.82%-2,382万
-应付款项及应计费用(减)增
225.67%1.76亿
453.71%7,792.6万
196.32%4,791.5万
120.27%1,795.2万
142.39%3,248.9万
0.06%-1.4亿
76.11%-2,203.1万
27.19%-4,974.6万
109.40%815万
-171.75%-7,664.8万
-其他流动资产变化
-97.75%54.6万
161.88%489.4万
-208.76%-1,722.9万
-37.01%1,380.1万
83.50%-92万
409.15%2,426.6万
-167.03%-790.9万
282.72%1,584.2万
3,656.66%2,190.9万
-347.49%-557.6万
非持续经营活动现金净额
经营活动现金净额
42.10%7.41亿
7.10%3.39亿
51.48%2.12亿
-6.59%7,766.4万
702.93%1.12亿
791.50%5.22亿
214.22%3.17亿
350.04%1.4亿
248.84%8,314.7万
-82.99%-1,855.9万
投资活动现金流量
持续投资活动现金净额
-17.21%-2.09亿
15.94%-6,692.6万
-194.58%-6,776.2万
-38.74%-4,738.7万
35.48%-2,663.7万
-32.65%-1.78亿
-61.99%-7,961.8万
-4.74%-2,300.3万
4.44%-3,415.6万
-50.82%-4,128.6万
资本性支出
-5.95%-1.37亿
-3.88%-5,333.4万
-20.19%-2,862.7万
6.59%-2,795.2万
-11.86%-2,682万
-49.74%-1.29亿
-140.42%-5,134.2万
-29.94%-2,381.8万
-63.49%-2,992.3万
14.98%-2,397.7万
固定资产交易的净现金流
-92.71%21.1万
-93.04%6.7万
-55.30%5.9万
-98.02%3.4万
-39.29%5.1万
39.43%289.6万
3,339.29%96.3万
-20.48%13.2万
8,936.84%171.7万
-95.49%8.4万
业务交易的净现金流
-60.92%-3,636.9万
---1,295.6万
-1,956.07%-397.2万
-168.78%-1,781.2万
89.94%-162.9万
43.49%-2,260.1万
--0
104.55%21.4万
62.62%-662.7万
-312.96%-1,618.8万
投资产品交易的净现金流
-22.26%-3,582.1万
97.60%-70.3万
-7,610.02%-3,522.2万
-344.76%-165.7万
246.14%176.1万
-189.33%-2,929.8万
-106.21%-2,923.9万
-48.00%46.9万
150.74%67.7万
-141.83%-120.5万
非持续投资活动现金净额
投资活动现金净额
-17.21%-2.09亿
15.94%-6,692.6万
-194.58%-6,776.2万
-38.74%-4,738.7万
35.48%-2,663.7万
-32.65%-1.78亿
-61.99%-7,961.8万
-4.74%-2,300.3万
4.44%-3,415.6万
-50.82%-4,128.6万
融资活动现金流量
持续融资活动现金净额
-61.95%-4.49亿
-1.35%-2.02亿
-2.04%-1.5亿
-1,133.45%-6,017.8万
-157.06%-3,633.1万
-532.74%-2.77亿
-32.32%-2亿
2.93%-1.47亿
-97.85%582.3万
-33.40%6,367.3万
债务发行/偿还的净现金流
-419.03%-2.78亿
-324.80%-2.05亿
6.54%-4,376.9万
-203.17%-1,398.1万
-109.53%-1,607.8万
-81.20%8,728.1万
-167.46%-4,817万
-281.64%-4,683.1万
-95.24%1,355.1万
40.24%1.69亿
普通股发行/偿还的净现金流
39.27%-1.53亿
--0
-1.86%-1.02亿
----
----
27.27%-2.52亿
31.85%-1.51亿
---1亿
----
----
职工行使股票期权收到的现金
252.63%2,755.8万
2,147.34%1,519.2万
90.61%174.6万
725.40%1,030.1万
-93.59%31.9万
-43.31%781.5万
325.16%67.6万
-71.76%91.6万
160.00%124.8万
-49.76%497.5万
其他融资活动的净现金流额
62.56%-4,519.6万
-1,448.13%-1,283.4万
-569.05%-590.1万
34.39%-588.9万
81.30%-2,057.2万
-77.34%-1.21亿
-83.81%-82.9万
95.25%-88.2万
37.80%-897.6万
-217.83%-1.1亿
非持续融资活动现金净额
融资活动现金净额
-61.95%-4.49亿
-1.35%-2.02亿
-2.04%-1.5亿
-1,133.45%-6,017.8万
-157.06%-3,633.1万
-532.74%-2.77亿
-32.32%-2亿
2.93%-1.47亿
-97.85%582.3万
-33.40%6,367.3万
现金净流量
期初现金流
51.44%2.01亿
32.60%2.14亿
13.25%2.18亿
81.53%2.49亿
51.44%2.01亿
-9.92%1.33亿
-29.74%1.62亿
-58.73%1.93亿
-33.33%1.37亿
-9.92%1.33亿
当期现金流变化
26.00%8,375.4万
86.07%7,026万
81.51%-553.5万
-154.55%-2,990.1万
1,178.21%4,893万
669.43%6,647万
138.10%3,775.9万
86.96%-2,993.1万
-78.82%5,481.4万
-93.41%382.8万
利率变动影响
-292.73%-347.1万
-284.80%-316万
206.33%139.5万
-293.04%-113.7万
-169.90%-56.9万
161.20%180.1万
-11.03%171万
83.02%-131.2万
-73.94%58.9万
35.67%81.4万
期末现金流
39.94%2.81亿
39.94%2.81亿
32.60%2.14亿
13.25%2.18亿
81.53%2.49亿
51.44%2.01亿
51.44%2.01亿
-29.74%1.62亿
-58.73%1.93亿
-33.33%1.37亿
自由现金流
53.99%6.05亿
7.72%2.86亿
57.89%1.84亿
-6.60%4,971.2万
300.01%8,507.8万
1,518.80%3.93亿
234.04%2.66亿
256.39%1.16亿
862.11%5,322.4万
-10.94%-4,253.6万
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
无保留意见
--
--
--
--
无保留意见
--
--
--
--
(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(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
经营活动现金流量(间接法)
持续经营活动现金净额 42.10%7.41亿7.10%3.39亿51.48%2.12亿-6.59%7,766.4万702.93%1.12亿791.50%5.22亿214.22%3.17亿350.04%1.4亿248.84%8,314.7万-82.99%-1,855.9万
持续经营净收入 45.99%3.17亿21.55%1.18亿87.65%1.14亿29.74%5,905.3万86.98%2,647.8万-46.90%2.17亿31.02%9,681万0.31%6,063.4万-71.13%4,551.5万-87.89%1,416.1万
持续经营损益 1,854.04%499.9万-32.02%17.2万81,016.67%485.5万104.27%2.4万-273.33%-5.2万-109.04%-28.5万783.78%25.3万-118.75%-6,000-115.08%-56.2万105.25%3万
折旧和摊销 3.10%1.72亿3.25%4,383.4万0.47%4,315.2万3.96%4,288万4.88%4,190.2万6.70%1.67亿7.70%4,245.3万9.67%4,295.1万5.50%4,124.7万3.87%3,995.1万
递延税费 -85.26%-6,568.4万-151.72%-4,213.8万-18.47%-540.6万-270.20%-1,273.5万49.54%-540.5万68.45%-3,545.5万42.48%-1,674万78.92%-456.3万72.41%-344万78.21%-1,071.2万
其他非现金项目 -8.00%902.2万-45.96%352.6万198.40%186.8万-33.14%124.5万200.13%238.3万-54.54%980.7万-46.84%652.5万-93.77%62.6万-63.19%186.2万113.67%79.4万
营运资金变化 68.99%2.17亿-6.52%1.7亿48.52%4,676.3万-112.70%-2,662.6万137.61%2,712.4万128.64%1.28亿11,216.90%1.82亿120.86%3,148.7万92.93%-1,251.8万39.29%-7,211.9万
-应收款项(增)减 -353.24%-8,281.6万-26.39%3,732.1万14.54%-4,567万-78.19%-8,813.1万-59.72%1,366.4万-379.09%-1,827.2万85.34%5,070.3万-143.63%-5,344万35.60%-4,946万151.01%3,392.5万
-存货(增)减 -53.19%1.23亿-69.17%4,956.2万-48.09%6,114.5万283.11%3,035.4万23.98%-1,810.9万182.27%2.63亿368.13%1.61亿160.29%1.18亿172.15%792.3万83.82%-2,382万
-应付款项及应计费用(减)增 225.67%1.76亿453.71%7,792.6万196.32%4,791.5万120.27%1,795.2万142.39%3,248.9万0.06%-1.4亿76.11%-2,203.1万27.19%-4,974.6万109.40%815万-171.75%-7,664.8万
-其他流动资产变化 -97.75%54.6万161.88%489.4万-208.76%-1,722.9万-37.01%1,380.1万83.50%-92万409.15%2,426.6万-167.03%-790.9万282.72%1,584.2万3,656.66%2,190.9万-347.49%-557.6万
非持续经营活动现金净额
经营活动现金净额 42.10%7.41亿7.10%3.39亿51.48%2.12亿-6.59%7,766.4万702.93%1.12亿791.50%5.22亿214.22%3.17亿350.04%1.4亿248.84%8,314.7万-82.99%-1,855.9万
投资活动现金流量
持续投资活动现金净额 -17.21%-2.09亿15.94%-6,692.6万-194.58%-6,776.2万-38.74%-4,738.7万35.48%-2,663.7万-32.65%-1.78亿-61.99%-7,961.8万-4.74%-2,300.3万4.44%-3,415.6万-50.82%-4,128.6万
资本性支出 -5.95%-1.37亿-3.88%-5,333.4万-20.19%-2,862.7万6.59%-2,795.2万-11.86%-2,682万-49.74%-1.29亿-140.42%-5,134.2万-29.94%-2,381.8万-63.49%-2,992.3万14.98%-2,397.7万
固定资产交易的净现金流 -92.71%21.1万-93.04%6.7万-55.30%5.9万-98.02%3.4万-39.29%5.1万39.43%289.6万3,339.29%96.3万-20.48%13.2万8,936.84%171.7万-95.49%8.4万
业务交易的净现金流 -60.92%-3,636.9万---1,295.6万-1,956.07%-397.2万-168.78%-1,781.2万89.94%-162.9万43.49%-2,260.1万--0104.55%21.4万62.62%-662.7万-312.96%-1,618.8万
投资产品交易的净现金流 -22.26%-3,582.1万97.60%-70.3万-7,610.02%-3,522.2万-344.76%-165.7万246.14%176.1万-189.33%-2,929.8万-106.21%-2,923.9万-48.00%46.9万150.74%67.7万-141.83%-120.5万
非持续投资活动现金净额
投资活动现金净额 -17.21%-2.09亿15.94%-6,692.6万-194.58%-6,776.2万-38.74%-4,738.7万35.48%-2,663.7万-32.65%-1.78亿-61.99%-7,961.8万-4.74%-2,300.3万4.44%-3,415.6万-50.82%-4,128.6万
融资活动现金流量
持续融资活动现金净额 -61.95%-4.49亿-1.35%-2.02亿-2.04%-1.5亿-1,133.45%-6,017.8万-157.06%-3,633.1万-532.74%-2.77亿-32.32%-2亿2.93%-1.47亿-97.85%582.3万-33.40%6,367.3万
债务发行/偿还的净现金流 -419.03%-2.78亿-324.80%-2.05亿6.54%-4,376.9万-203.17%-1,398.1万-109.53%-1,607.8万-81.20%8,728.1万-167.46%-4,817万-281.64%-4,683.1万-95.24%1,355.1万40.24%1.69亿
普通股发行/偿还的净现金流 39.27%-1.53亿--0-1.86%-1.02亿--------27.27%-2.52亿31.85%-1.51亿---1亿--------
职工行使股票期权收到的现金 252.63%2,755.8万2,147.34%1,519.2万90.61%174.6万725.40%1,030.1万-93.59%31.9万-43.31%781.5万325.16%67.6万-71.76%91.6万160.00%124.8万-49.76%497.5万
其他融资活动的净现金流额 62.56%-4,519.6万-1,448.13%-1,283.4万-569.05%-590.1万34.39%-588.9万81.30%-2,057.2万-77.34%-1.21亿-83.81%-82.9万95.25%-88.2万37.80%-897.6万-217.83%-1.1亿
非持续融资活动现金净额
融资活动现金净额 -61.95%-4.49亿-1.35%-2.02亿-2.04%-1.5亿-1,133.45%-6,017.8万-157.06%-3,633.1万-532.74%-2.77亿-32.32%-2亿2.93%-1.47亿-97.85%582.3万-33.40%6,367.3万
现金净流量
期初现金流 51.44%2.01亿32.60%2.14亿13.25%2.18亿81.53%2.49亿51.44%2.01亿-9.92%1.33亿-29.74%1.62亿-58.73%1.93亿-33.33%1.37亿-9.92%1.33亿
当期现金流变化 26.00%8,375.4万86.07%7,026万81.51%-553.5万-154.55%-2,990.1万1,178.21%4,893万669.43%6,647万138.10%3,775.9万86.96%-2,993.1万-78.82%5,481.4万-93.41%382.8万
利率变动影响 -292.73%-347.1万-284.80%-316万206.33%139.5万-293.04%-113.7万-169.90%-56.9万161.20%180.1万-11.03%171万83.02%-131.2万-73.94%58.9万35.67%81.4万
期末现金流 39.94%2.81亿39.94%2.81亿32.60%2.14亿13.25%2.18亿81.53%2.49亿51.44%2.01亿51.44%2.01亿-29.74%1.62亿-58.73%1.93亿-33.33%1.37亿
自由现金流 53.99%6.05亿7.72%2.86亿57.89%1.84亿-6.60%4,971.2万300.01%8,507.8万1,518.80%3.93亿234.04%2.66亿256.39%1.16亿862.11%5,322.4万-10.94%-4,253.6万
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-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 无保留意见--------无保留意见--------