美股市场个股详情

IMKTA 安格莱斯市场

添加自选
  • 73.425
  • -1.875-2.49%
交易中 11/26 13:20 (美东)
13.95亿总市值8.74市盈率TTM

安格莱斯市场关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2024/06/29
(Q2)2024/03/30
(Q1)2023/12/30
(FY)2023/09/30
(Q4)2023/09/30
(Q3)2023/06/24
(Q2)2023/03/25
(Q1)2022/12/24
(FY)2022/09/24
(Q4)2022/09/24
经营活动现金流量(间接法)
持续经营活动现金净额
25.09%1.03亿
89.59%7,043.25万
-72.86%1,554.15万
-21.53%2.66亿
14.81%8,943.38万
-22.20%8,256.4万
-38.60%3,715.06万
-39.71%5,726.3万
10.84%3.39亿
-15.67%7,789.63万
持续经营净收入
-34.27%3,172.16万
-21.32%3,189.86万
-37.45%4,339.36万
-22.71%2.11亿
-24.98%5,264.11万
-28.78%4,825.95万
-40.94%4,053.98万
4.81%6,937.15万
9.22%2.73亿
-2.20%7,016.57万
持续经营损益
-453.44%-64.3万
-1,187.00%-768.62万
16.31%-65.29万
-103.94%-276.98万
-944.21%-127.63万
-335.79%-11.62万
52.80%-59.72万
-1,492.31%-78.01万
84.69%-135.81万
98.06%-12.22万
折旧和摊销
2.30%2,950.92万
1.33%2,924.81万
-1.14%2,877.45万
-1.55%1.16亿
-0.39%2,916.25万
-1.41%2,884.7万
-3.68%2,886.38万
-0.65%2,910.59万
0.60%1.18亿
11.77%2,927.8万
递延税费
260.09%170.5万
3.03%-137.8万
2.96%-137.9万
-54.51%-665.8万
5.59%-275.1万
-476.33%-106.5万
-146.70%-142.1万
-28.95%-142.1万
-55.45%-430.9万
-85.84%-291.4万
其他非现金项目
-38.24%122.53万
49.23%183.35万
-58.36%115.15万
2.76%787.66万
-32.91%189.88万
17.51%198.4万
-23.57%122.87万
79.69%276.52万
2.95%766.49万
33.64%283.01万
营运资金变化
754.30%3,976.39万
152.49%1,651.64万
-33.43%-5,574.63万
-10.87%-5,882.86万
145.73%975.87万
-34.94%465.46万
16.92%-3,146.34万
-4,075.02%-4,177.85万
5.82%-5,305.99万
-10,945.60%-2,134.12万
-应收款项(增)减
347.15%983.44万
-69.39%733.97万
61.22%-917.7万
-401.69%-1,041.31万
-405.38%-674.66万
-193.40%-397.92万
377.34%2,397.74万
-197.61%-2,366.48万
84.88%-207.56万
145.03%220.92万
-存货(增)减
42.72%-441.63万
332.65%2,191.69万
-4.43%-718.69万
47.18%-3,591.42万
69.77%-1,190.13万
62.71%-771.06万
-11.83%-942.04万
-1,515.81%-688.19万
-193.97%-6,799.21万
-316.58%-3,937.53万
-应付款项及应计费用(减)增
65.53%3,438.42万
96.69%-97.39万
-698.56%-3,867.23万
-77.41%510.91万
33.33%1,860.51万
-15.30%2,077.18万
-21.47%-2,942.5万
-157.91%-484.28万
416.19%2,261.6万
-34.19%1,395.37万
-其他流动资产变化
157.38%149.22万
34.24%-1,011.85万
126.77%100.63万
-496.70%-1,074.37万
122.90%1,100.26万
-141.72%-260.07万
-76.95%-1,538.6万
-1,712.27%-375.96万
168.58%270.82万
208.59%493.61万
-其他流动负债变化
16.21%-153.06万
-36.23%-164.77万
34.73%-171.63万
17.43%-686.67万
60.81%-120.11万
-16.44%-182.68万
22.09%-120.95万
-23.43%-262.94万
0.81%-831.64万
-45.84%-306.5万
非持续经营活动现金净额
经营活动现金净额
25.09%1.03亿
89.59%7,043.25万
-72.86%1,554.15万
-21.53%2.66亿
14.81%8,943.38万
-22.20%8,256.4万
-38.60%3,715.06万
-39.71%5,726.3万
10.84%3.39亿
-15.67%7,789.63万
投资活动现金流量
持续投资活动现金净额
3.82%-4,387.61万
-2.74%-3,225.62万
-7.21%-6,238.8万
-51.88%-1.7亿
-150.00%-3,488.99万
-16.45%-4,562.03万
-173.74%-3,139.51万
55.62%-5,819.04万
12.50%-1.12亿
-74.01%6,977.87万
资本性支出
2.34%-4,467.33万
-9.81%-3,515.52万
-6.51%-6,320.05万
-45.13%-1.74亿
21.42%-3,649.43万
-17.08%-4,574.48万
-150.84%-3,201.57万
-178.14%-5,933.66万
14.93%-1.2亿
-42.26%-4,644.01万
固定资产交易的净现金流
540.51%79.72万
367.15%289.9万
-29.11%81.26万
33.48%349.57万
59.09%160.44万
23.09%12.45万
-52.04%62.06万
432.44%114.63万
-85.13%261.89万
-90.92%100.85万
投资产品交易的净现金流
----
--0
--0
--0
----
----
--0
--0
200.00%500万
-60.27%1.15亿
非持续投资活动现金净额
投资活动现金净额
3.82%-4,387.61万
-2.74%-3,225.62万
-7.21%-6,238.8万
-51.88%-1.7亿
-150.00%-3,488.99万
-16.45%-4,562.03万
-173.74%-3,139.51万
55.62%-5,819.04万
12.50%-1.12亿
-74.01%6,977.87万
融资活动现金流量
持续融资活动现金净额
-2.50%-666.48万
-1.45%-1,119.24万
37.71%-665.95万
-14.21%-3,497.42万
-3.44%-674.88万
0.32%-650.25万
0.19%-1,103.25万
-63.91%-1,069.05万
73.35%-3,062.32万
97.93%-652.41万
债务发行/偿还的净现金流
-4.66%-359.76万
-1.98%-812.52万
52.88%-359.28万
-23.66%-2,271.29万
-6.44%-368.22万
0.62%-343.75万
0.28%-796.75万
-120.45%-762.57万
-10.01%-1,836.75万
98.89%-345.94万
普通股发行/偿还的净现金流
----
----
----
--0
----
----
----
----
--0
----
现金股利支付
-0.07%-306.72万
-0.07%-306.72万
-0.06%-306.66万
-0.05%-1,226.13万
-0.06%-306.66万
-0.03%-306.5万
-0.04%-306.5万
-0.05%-306.48万
2.97%-1,225.57万
-0.05%-306.47万
非持续融资活动现金净额
融资活动现金净额
-2.50%-666.48万
-1.45%-1,119.24万
37.71%-665.95万
-14.21%-3,497.42万
-3.44%-674.88万
0.32%-650.25万
0.19%-1,103.25万
-63.91%-1,069.05万
73.35%-3,062.32万
97.93%-652.41万
现金净流量
期初现金流
20.66%3.02亿
7.61%2.75亿
22.96%3.29亿
280.01%2.67亿
122.73%2.81亿
281.42%2.5亿
824.54%2.56亿
280.01%2.67亿
918.45%7,031.34万
415.12%1.26亿
当期现金流变化
73.26%5,274.11万
611.35%2,698.39万
-360.55%-5,350.59万
-68.84%6,134.14万
-66.14%4,779.51万
-49.62%3,044.12万
-113.89%-527.7万
72.77%-1,161.79万
210.50%1.97亿
207.90%1.41亿
期末现金流
26.36%3.55亿
20.66%3.02亿
7.61%2.75亿
22.96%3.29亿
22.96%3.29亿
122.73%2.81亿
281.42%2.5亿
824.54%2.56亿
280.01%2.67亿
280.01%2.67亿
自由现金流
59.18%5,860.87万
587.01%3,527.73万
-2,198.33%-4,765.91万
-57.79%9,281.99万
68.30%5,293.95万
-45.09%3,681.92万
-89.24%513.49万
-102.82%-207.36万
32.70%2.2亿
-47.34%3,145.63万
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
--
--
--
--
--
--
(Q3)2024/06/29(Q2)2024/03/30(Q1)2023/12/30(FY)2023/09/30(Q4)2023/09/30(Q3)2023/06/24(Q2)2023/03/25(Q1)2022/12/24(FY)2022/09/24(Q4)2022/09/24
经营活动现金流量(间接法)
持续经营活动现金净额 25.09%1.03亿89.59%7,043.25万-72.86%1,554.15万-21.53%2.66亿14.81%8,943.38万-22.20%8,256.4万-38.60%3,715.06万-39.71%5,726.3万10.84%3.39亿-15.67%7,789.63万
持续经营净收入 -34.27%3,172.16万-21.32%3,189.86万-37.45%4,339.36万-22.71%2.11亿-24.98%5,264.11万-28.78%4,825.95万-40.94%4,053.98万4.81%6,937.15万9.22%2.73亿-2.20%7,016.57万
持续经营损益 -453.44%-64.3万-1,187.00%-768.62万16.31%-65.29万-103.94%-276.98万-944.21%-127.63万-335.79%-11.62万52.80%-59.72万-1,492.31%-78.01万84.69%-135.81万98.06%-12.22万
折旧和摊销 2.30%2,950.92万1.33%2,924.81万-1.14%2,877.45万-1.55%1.16亿-0.39%2,916.25万-1.41%2,884.7万-3.68%2,886.38万-0.65%2,910.59万0.60%1.18亿11.77%2,927.8万
递延税费 260.09%170.5万3.03%-137.8万2.96%-137.9万-54.51%-665.8万5.59%-275.1万-476.33%-106.5万-146.70%-142.1万-28.95%-142.1万-55.45%-430.9万-85.84%-291.4万
其他非现金项目 -38.24%122.53万49.23%183.35万-58.36%115.15万2.76%787.66万-32.91%189.88万17.51%198.4万-23.57%122.87万79.69%276.52万2.95%766.49万33.64%283.01万
营运资金变化 754.30%3,976.39万152.49%1,651.64万-33.43%-5,574.63万-10.87%-5,882.86万145.73%975.87万-34.94%465.46万16.92%-3,146.34万-4,075.02%-4,177.85万5.82%-5,305.99万-10,945.60%-2,134.12万
-应收款项(增)减 347.15%983.44万-69.39%733.97万61.22%-917.7万-401.69%-1,041.31万-405.38%-674.66万-193.40%-397.92万377.34%2,397.74万-197.61%-2,366.48万84.88%-207.56万145.03%220.92万
-存货(增)减 42.72%-441.63万332.65%2,191.69万-4.43%-718.69万47.18%-3,591.42万69.77%-1,190.13万62.71%-771.06万-11.83%-942.04万-1,515.81%-688.19万-193.97%-6,799.21万-316.58%-3,937.53万
-应付款项及应计费用(减)增 65.53%3,438.42万96.69%-97.39万-698.56%-3,867.23万-77.41%510.91万33.33%1,860.51万-15.30%2,077.18万-21.47%-2,942.5万-157.91%-484.28万416.19%2,261.6万-34.19%1,395.37万
-其他流动资产变化 157.38%149.22万34.24%-1,011.85万126.77%100.63万-496.70%-1,074.37万122.90%1,100.26万-141.72%-260.07万-76.95%-1,538.6万-1,712.27%-375.96万168.58%270.82万208.59%493.61万
-其他流动负债变化 16.21%-153.06万-36.23%-164.77万34.73%-171.63万17.43%-686.67万60.81%-120.11万-16.44%-182.68万22.09%-120.95万-23.43%-262.94万0.81%-831.64万-45.84%-306.5万
非持续经营活动现金净额
经营活动现金净额 25.09%1.03亿89.59%7,043.25万-72.86%1,554.15万-21.53%2.66亿14.81%8,943.38万-22.20%8,256.4万-38.60%3,715.06万-39.71%5,726.3万10.84%3.39亿-15.67%7,789.63万
投资活动现金流量
持续投资活动现金净额 3.82%-4,387.61万-2.74%-3,225.62万-7.21%-6,238.8万-51.88%-1.7亿-150.00%-3,488.99万-16.45%-4,562.03万-173.74%-3,139.51万55.62%-5,819.04万12.50%-1.12亿-74.01%6,977.87万
资本性支出 2.34%-4,467.33万-9.81%-3,515.52万-6.51%-6,320.05万-45.13%-1.74亿21.42%-3,649.43万-17.08%-4,574.48万-150.84%-3,201.57万-178.14%-5,933.66万14.93%-1.2亿-42.26%-4,644.01万
固定资产交易的净现金流 540.51%79.72万367.15%289.9万-29.11%81.26万33.48%349.57万59.09%160.44万23.09%12.45万-52.04%62.06万432.44%114.63万-85.13%261.89万-90.92%100.85万
投资产品交易的净现金流 ------0--0--0----------0--0200.00%500万-60.27%1.15亿
非持续投资活动现金净额
投资活动现金净额 3.82%-4,387.61万-2.74%-3,225.62万-7.21%-6,238.8万-51.88%-1.7亿-150.00%-3,488.99万-16.45%-4,562.03万-173.74%-3,139.51万55.62%-5,819.04万12.50%-1.12亿-74.01%6,977.87万
融资活动现金流量
持续融资活动现金净额 -2.50%-666.48万-1.45%-1,119.24万37.71%-665.95万-14.21%-3,497.42万-3.44%-674.88万0.32%-650.25万0.19%-1,103.25万-63.91%-1,069.05万73.35%-3,062.32万97.93%-652.41万
债务发行/偿还的净现金流 -4.66%-359.76万-1.98%-812.52万52.88%-359.28万-23.66%-2,271.29万-6.44%-368.22万0.62%-343.75万0.28%-796.75万-120.45%-762.57万-10.01%-1,836.75万98.89%-345.94万
普通股发行/偿还的净现金流 --------------0------------------0----
现金股利支付 -0.07%-306.72万-0.07%-306.72万-0.06%-306.66万-0.05%-1,226.13万-0.06%-306.66万-0.03%-306.5万-0.04%-306.5万-0.05%-306.48万2.97%-1,225.57万-0.05%-306.47万
非持续融资活动现金净额
融资活动现金净额 -2.50%-666.48万-1.45%-1,119.24万37.71%-665.95万-14.21%-3,497.42万-3.44%-674.88万0.32%-650.25万0.19%-1,103.25万-63.91%-1,069.05万73.35%-3,062.32万97.93%-652.41万
现金净流量
期初现金流 20.66%3.02亿7.61%2.75亿22.96%3.29亿280.01%2.67亿122.73%2.81亿281.42%2.5亿824.54%2.56亿280.01%2.67亿918.45%7,031.34万415.12%1.26亿
当期现金流变化 73.26%5,274.11万611.35%2,698.39万-360.55%-5,350.59万-68.84%6,134.14万-66.14%4,779.51万-49.62%3,044.12万-113.89%-527.7万72.77%-1,161.79万210.50%1.97亿207.90%1.41亿
期末现金流 26.36%3.55亿20.66%3.02亿7.61%2.75亿22.96%3.29亿22.96%3.29亿122.73%2.81亿281.42%2.5亿824.54%2.56亿280.01%2.67亿280.01%2.67亿
自由现金流 59.18%5,860.87万587.01%3,527.73万-2,198.33%-4,765.91万-57.79%9,281.99万68.30%5,293.95万-45.09%3,681.92万-89.24%513.49万-102.82%-207.36万32.70%2.2亿-47.34%3,145.63万
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------------

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