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Academy Sports and Outdoors Inc
ASO
53.480
USD
+0.150
+0.28%
終値 03/27, 16:00(ET)
15分遅れの株価
53.510
USD
+53.510
時間外取引 (ET)
4.71B
時価総額
9.46
直近12ヶ月PER
Academy Sports and Outdoors Inc
53.480
+0.150
+0.28%
概要
金融
分析
企業名
財務諸表
損益計算書
貸借対照表
キャッシュフロー計算書
概要
金融
分析
企業名
財務諸表
損益計算書
貸借対照表
キャッシュフロー計算書
Academy Sports and Outdoors Incの財務健全性および安定性を評価するために、こちらで{stock name}の年次および四半期キャッシュフロー計算書をご確認いただけます。
四半期
四半期+年間
四半期
年間
YOY
空白行を非表示にする
FY2026Q4
FY2026Q3
FY2026Q2
FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2020Q4
FY2020Q3
営業活動によるキャッシュフロー(間接法)
継続事業の営業CF
6.82%
149.73M
-49.41%
49.02M
-13.98%
78.58M
-21.14%
157.47M
-40.29%
140.17M
68.57%
96.89M
-52.28%
91.35M
283.00%
199.68M
-3.34%
234.74M
13.22%
57.48M
18.67%
191.43M
-46.31%
52.13M
53.50%
242.84M
-53.59%
50.76M
-13.48%
161.31M
-55.71%
97.10M
2.48%
158.20M
30.85%
109.39M
--
186.45M
--
219.23M
-8.60%
154.38M
1008.17%
83.60M
--
168.91M
--
-9.21M
継続事業の当期純利益
0.04%
133.69M
8.82%
71.56M
-12.03%
125.43M
-39.73%
46.08M
-20.54%
133.63M
-34.22%
65.76M
-9.22%
142.59M
-18.63%
76.47M
6.67%
168.17M
-24.11%
99.98M
-16.80%
157.07M
-37.27%
93.97M
11.20%
157.65M
-18.33%
131.74M
-0.90%
188.80M
-15.74%
149.81M
54.90%
141.77M
170.71%
161.31M
--
190.51M
--
177.80M
415.97%
91.52M
108.69%
59.59M
--
17.74M
--
28.55M
営業損益
-0.55%
30.79M
5.34%
30.90M
7.27%
31.02M
4.50%
30.15M
-1.84%
30.96M
7.17%
29.34M
12.26%
28.92M
9.87%
28.85M
13.01%
31.54M
1.38%
27.37M
-1.96%
25.76M
2.67%
26.26M
1.47%
27.91M
2.04%
27.00M
1.01%
26.27M
1.11%
25.58M
6.77%
27.51M
3.49%
26.46M
--
26.01M
--
25.30M
-9.80%
25.76M
-13.61%
25.57M
--
28.56M
--
29.60M
繰延税金
377.63%
27.92M
214.41%
2.23M
9826.00%
14.59M
47.68%
-903.00K
159.84%
5.85M
-153.34%
-1.95M
-103.96%
-150.00K
10.24%
-1.73M
-160.30%
-9.77M
-52.24%
3.66M
-64.99%
3.79M
-126.88%
-1.92M
-46.88%
16.20M
223.95%
7.66M
-49.81%
10.82M
-71.46%
7.15M
145.17%
30.50M
120.13%
2.36M
--
21.56M
--
25.06M
2190.98%
12.44M
-14392.59%
-11.74M
--
543.00K
--
-81.00K
その他非資金項目
18.73%
16.82M
-19.22%
8.20M
484.96%
10.46M
84.66%
13.31M
13.39%
14.17M
152.94%
10.15M
1483.19%
1.79M
153.96%
7.21M
16564.00%
12.50M
364.89%
4.01M
-84.67%
113.00K
108.29%
2.84M
101.36%
75.00K
-32.74%
863.00K
-56.18%
737.00K
-46.13%
1.36M
-393.75%
-5.50M
-59.35%
1.28M
--
1.68M
--
2.53M
-24.67%
1.87M
29.98%
3.16M
--
2.48M
--
2.43M
運転資本の増減
-5.83%
-46.16M
-433.82%
-67.82M
-23.15%
-110.54M
-25.93%
61.28M
-234.00%
-43.62M
84.84%
-12.71M
-2504.59%
-89.75M
202.91%
82.74M
-2.39%
32.55M
31.51%
-83.79M
95.18%
-3.45M
10.97%
-80.39M
185.04%
33.35M
-44.01%
-122.33M
13.76%
-71.48M
-420.96%
-90.30M
-380.79%
-39.21M
-420.10%
-84.94M
--
-82.89M
--
-17.33M
-88.12%
13.96M
77.03%
-16.33M
--
117.58M
--
-71.11M
-売上債権の増減
-1364.37%
-17.25M
131.48%
1.67M
-360.25%
-2.31M
-101.94%
-110.00K
181.92%
1.36M
-72.41%
-5.31M
121.08%
888.00K
-6.90%
5.67M
-229.70%
-1.67M
-108.60%
-3.08M
-127.12%
-4.21M
-13.63%
6.09M
93.13%
-505.00K
6.34%
-1.48M
-4624.39%
-1.85M
8.93%
7.05M
-44.06%
-7.35M
41.55%
-1.58M
--
41.00K
--
6.47M
-32.45%
-5.10M
-230.46%
-2.70M
--
-3.85M
--
2.07M
-棚卸資産の増減
-8.67%
197.41M
28.30%
-113.54M
-181.38%
-27.59M
-54.44%
-251.19M
-27.49%
216.14M
13.55%
-158.36M
-112.66%
-9.80M
-58.01%
-162.65M
40.63%
298.06M
4.04%
-183.19M
300.54%
77.42M
32.31%
-102.94M
37.48%
211.95M
9.50%
-190.91M
156.49%
19.33M
-67.54%
-152.08M
66.15%
154.17M
-14.70%
-210.96M
--
-34.22M
--
-90.77M
-60.04%
92.79M
-43.51%
-183.92M
--
232.22M
--
-128.16M
-前払費用の増減
92.31%
-1.90M
-65.83%
13.50M
48.71%
-20.55M
137.05%
35.86M
-373.98%
-24.68M
282.28%
39.51M
20.94%
-40.07M
15.27%
15.13M
174.55%
9.01M
-300.97%
-21.68M
-637.87%
-50.68M
520.94%
13.13M
-250.50%
-12.09M
298.25%
10.79M
20.88%
-6.87M
-51.73%
-3.12M
407.19%
8.03M
-1252.54%
-5.44M
--
-8.68M
--
-2.06M
-286.45%
-2.61M
113.57%
472.00K
--
1.40M
--
-3.48M
-その他流動資産の増減
-48.56%
-1.80M
16.65%
-3.13M
25.04%
-3.05M
-34.61%
-4.57M
80.68%
-1.22M
32.22%
-3.76M
-9.73%
-4.07M
-5.51%
-3.39M
-23.31%
-6.29M
-73.40%
-5.55M
36.17%
-3.71M
-14078.26%
-3.21M
-1024.09%
-5.10M
-500.38%
-3.20M
-830.03%
-5.81M
-96.24%
23.00K
120.14%
552.00K
150.47%
799.00K
--
796.00K
--
612.00K
-7731.43%
-2.74M
-41.14%
319.00K
--
-35.00K
--
542.00K
-その他流動負債の増減
246.62%
217.00K
275.63%
740.00K
1655.88%
597.00K
777.00%
8.36M
43.73%
-148.00K
243.80%
197.00K
-92.24%
34.00K
-2.92%
-1.23M
-396.23%
-263.00K
45.42%
-137.00K
-15.44%
438.00K
-1404.35%
-1.20M
73.37%
-53.00K
71.54%
-251.00K
53.71%
518.00K
107.42%
92.00K
97.30%
-199.00K
-108.63%
-882.00K
--
337.00K
--
-1.24M
-10300.00%
-7.38M
5448.69%
10.22M
--
-71.00K
--
-191.00K
非経常的な投資活動によるキャッシュ
営業活動によるキャッシュフロー
6.82%
149.73M
-49.41%
49.02M
-13.98%
78.58M
-21.14%
157.47M
-40.29%
140.17M
68.57%
96.89M
-52.28%
91.35M
283.00%
199.68M
-3.34%
234.74M
13.22%
57.48M
18.67%
191.43M
-46.31%
52.13M
53.50%
242.84M
-53.59%
50.76M
-13.48%
161.31M
-55.71%
97.10M
2.48%
158.20M
30.85%
109.39M
--
186.45M
--
219.23M
-8.60%
154.38M
1008.17%
83.60M
--
168.91M
--
-9.21M
投資活動によるキャッシュフロー
継続事業の投資CF
-87.91%
6.01M
-7.30%
58.13M
37.52%
56.91M
57.59%
50.99M
-11.21%
49.67M
48.08%
62.71M
-38.51%
41.38M
-20.20%
32.35M
92.96%
55.95M
33.68%
42.34M
118.35%
67.30M
134.21%
40.55M
67.54%
29.00M
26.99%
31.68M
81.74%
30.82M
3.00%
17.31M
-10.58%
17.31M
209.29%
24.94M
--
16.96M
--
16.81M
36.26%
19.35M
-61.25%
8.06M
--
14.20M
--
20.81M
設備投資
-33.21%
42.69M
0.21%
62.84M
37.52%
56.91M
57.59%
50.99M
14.19%
63.91M
48.08%
62.71M
-40.39%
41.38M
-20.20%
32.35M
93.04%
55.97M
33.68%
42.34M
125.24%
69.42M
134.21%
40.55M
67.54%
29.00M
26.99%
31.68M
81.74%
30.82M
3.00%
17.31M
-10.58%
17.31M
209.29%
24.94M
--
16.96M
--
16.81M
36.26%
19.35M
-61.25%
8.06M
--
14.20M
--
20.81M
固定資産売却による純キャッシュフロー
-88.22%
5.83M
-7.32%
57.87M
37.74%
56.75M
57.72%
50.83M
-11.29%
49.48M
47.95%
62.44M
-38.67%
41.20M
-20.36%
32.23M
93.35%
55.78M
34.39%
42.20M
118.29%
67.17M
134.17%
40.46M
67.39%
28.85M
26.63%
31.40M
81.44%
30.77M
2.81%
17.28M
-10.95%
17.23M
207.50%
24.80M
--
16.96M
--
16.81M
36.26%
19.35M
-61.25%
8.06M
--
14.20M
--
20.81M
無形資産取引による純キャッシュフロー
-7.29%
178.00K
-2.64%
258.00K
-11.29%
165.00K
23.44%
158.00K
15.66%
192.00K
87.94%
265.00K
43.08%
186.00K
54.22%
128.00K
14.48%
166.00K
-48.35%
141.00K
150.00%
130.00K
159.38%
83.00K
104.23%
145.00K
89.58%
273.00K
--
52.00K
--
32.00K
--
71.00K
--
144.00K
--
--
--
--
--
--
--
--
--
--
--
--
その他投資活動による純キャッシュフロー
--
--
--
4.71M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
0.00
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
0.00
--
8.13M
--
0.00
--
0.00
非継続事業の投資CF
投資活動による純キャッシュフロー
87.91%
-6.01M
7.30%
-58.13M
-37.52%
-56.91M
-57.59%
-50.99M
11.21%
-49.67M
-48.08%
-62.71M
38.51%
-41.38M
20.20%
-32.35M
-92.96%
-55.95M
-33.68%
-42.34M
-118.35%
-67.30M
-134.21%
-40.55M
-67.54%
-29.00M
-26.99%
-31.68M
-81.74%
-30.82M
-3.00%
-17.31M
10.58%
-17.31M
-41673.33%
-24.94M
--
-16.96M
--
-16.81M
-36.26%
-19.35M
100.29%
60.00K
--
-14.20M
--
-20.81M
財務活動によるキャッシュフロー
継続事業の財務CF
-5.46%
-102.89M
96.40%
-2.26M
94.29%
-5.91M
19.54%
-110.31M
7.70%
-97.56M
-21.52%
-62.76M
4.42%
-103.54M
-157.72%
-137.10M
45.76%
-105.70M
48.76%
-51.64M
46.64%
-108.33M
43.04%
-53.20M
-246.76%
-194.86M
57.47%
-100.78M
2.84%
-203.03M
-804.07%
-93.39M
91.04%
-56.20M
-141.91%
-236.97M
--
-208.95M
--
13.26M
-1183.50%
-627.15M
-556.38%
-97.96M
--
-48.86M
--
21.46M
負債の発行・返済による純キャッシュフロー
0.00%
-750.00K
0.00%
-750.00K
0.00%
-750.00K
0.00%
-750.00K
99.26%
-750.00K
0.00%
-750.00K
0.00%
-750.00K
0.00%
-750.00K
0.00%
-100.75M
0.00%
-750.00K
0.00%
-750.00K
0.00%
-750.00K
-13333.33%
-100.75M
0.00%
-750.00K
99.25%
-750.00K
25.00%
-750.00K
99.88%
-750.00K
83.56%
-750.00K
--
-99.75M
--
-1.00M
-1200.44%
-635.42M
-120.89%
-4.56M
--
-48.86M
--
21.84M
普通株式の発行・取得による純キャッシュフロー
-9.95%
-97.54M
100.00%
0.00
102.92%
2.78M
19.11%
-99.03M
-69755.91%
-88.72M
-22.50%
-53.44M
8.17%
-95.08M
-144.78%
-122.42M
99.87%
-127.00K
56.73%
-43.63M
47.52%
-103.55M
43.49%
-50.02M
-55.87%
-97.79M
58.99%
-100.82M
-99.20%
-197.31M
--
-88.50M
-384.05%
-62.74M
-232.97%
-245.84M
--
-99.06M
--
--
--
22.09M
--
184.88M
--
--
--
--
配当金支払額
13.23%
8.63M
11.94%
8.66M
9.19%
8.65M
6.53%
8.72M
14.17%
7.62M
15.20%
7.74M
14.86%
7.92M
18.08%
8.18M
14.06%
6.67M
12.45%
6.72M
9.97%
6.90M
6.01%
6.93M
--
5.85M
--
5.97M
--
6.27M
--
6.54M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
従業員によるストックオプション行使による収入
54.28%
793.00K
310.26%
960.00K
43.77%
1.13M
-45.64%
1.52M
-83.90%
514.00K
-87.04%
234.00K
-82.72%
786.00K
-60.66%
2.79M
-67.06%
3.19M
-73.75%
1.81M
227.50%
4.55M
115.24%
7.09M
32.83%
9.69M
-28.48%
6.88M
-90.37%
1.39M
-80.91%
3.29M
33059.09%
7.29M
--
9.61M
--
14.42M
--
17.26M
--
22.00K
--
--
--
--
--
--
その他財務活動による純キャッシュフロー
427.73%
3.24M
684.61%
6.19M
26.70%
-420.00K
60.98%
-3.33M
26.05%
-988.00K
54.97%
-1.06M
66.09%
-573.00K
-228.92%
-8.53M
-745.57%
-1.34M
-2161.54%
-2.35M
-2039.24%
-1.69M
-189.72%
-2.59M
--
-158.00K
--
-104.00K
99.68%
-79.00K
70.10%
-895.00K
100.00%
0.00
100.00%
0.00
--
-24.57M
--
-2.99M
--
-13.84M
-278380.00%
-278.28M
--
0.00
--
100.00K
非経常的な財務活動による純キャッシュフロー
財務活動による純キャッシュフロー
-5.46%
-102.89M
96.40%
-2.26M
94.29%
-5.91M
19.54%
-110.31M
7.70%
-97.56M
-21.52%
-62.76M
4.42%
-103.54M
-157.72%
-137.10M
45.76%
-105.70M
48.76%
-51.64M
46.64%
-108.33M
43.04%
-53.20M
-246.76%
-194.86M
57.47%
-100.78M
2.84%
-203.03M
-804.07%
-93.39M
91.04%
-56.20M
-141.91%
-236.97M
--
-208.95M
--
13.26M
-1183.50%
-627.15M
-556.38%
-97.96M
--
-48.86M
--
21.46M
純キャッシュフロー
現金および現金同等物の期首残高
-2.20%
289.49M
-7.30%
300.86M
-24.60%
285.10M
-16.96%
288.93M
7.70%
296.00M
4.25%
324.57M
27.95%
378.14M
3.20%
347.92M
-13.62%
274.83M
-22.14%
311.34M
-37.44%
295.54M
-30.63%
337.14M
-20.72%
318.17M
-27.80%
399.86M
-20.38%
472.39M
28.71%
486.00M
-53.86%
401.30M
-37.35%
553.83M
--
593.29M
--
377.60M
1897.62%
869.73M
1597.12%
884.03M
--
43.54M
--
52.09M
当期キャッシュフロー増減
677.80%
40.83M
60.20%
-11.37M
129.41%
15.76M
-112.66%
-3.83M
-109.67%
-7.07M
21.74%
-28.57M
-439.09%
-53.58M
172.64%
30.23M
285.15%
73.09M
55.31%
-36.51M
121.78%
15.80M
-205.88%
-41.61M
-77.59%
18.98M
46.44%
-81.69M
-83.81%
-72.54M
-106.31%
-13.60M
117.21%
84.70M
-966.33%
-152.53M
--
-39.46M
--
215.68M
-564.94%
-492.12M
-67.26%
-14.30M
--
105.85M
--
-8.55M
現金および現金同等物の期末残高
14.33%
330.32M
-2.20%
289.49M
-7.30%
300.86M
-24.60%
285.10M
-16.96%
288.93M
7.70%
296.00M
4.25%
324.57M
27.95%
378.14M
3.20%
347.92M
-13.62%
274.83M
-22.14%
311.34M
-37.44%
295.54M
-30.63%
337.14M
-20.72%
318.17M
-27.80%
399.86M
-20.38%
472.39M
28.71%
486.00M
-53.86%
401.30M
--
553.83M
--
593.29M
152.77%
377.60M
1897.62%
869.73M
--
149.38M
--
43.54M
フリーキャッシュフロー
40.37%
107.04M
-140.42%
-13.82M
-56.64%
21.66M
-36.36%
106.48M
-57.34%
76.25M
125.91%
34.18M
-59.05%
49.96M
1343.92%
167.32M
-16.40%
178.76M
-20.72%
15.13M
-6.50%
122.01M
-85.48%
11.59M
51.77%
213.84M
-77.40%
19.09M
-23.01%
130.49M
-60.58%
79.78M
4.35%
140.90M
11.80%
84.44M
--
169.49M
--
202.42M
-12.72%
135.03M
351.63%
75.53M
--
154.71M
--
-30.02M
通貨単位
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
監査意見
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よくある質問
キャッシュフロー計算書とは何ですか?
このレポートは、事業における現金の流入と流出を追跡し、営業、投資、財務活動を網羅します。企業が成長を支え、義務を果たすために現金をどれだけ効果的に管理しているかを明らかにします。
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