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Calix Inc

CALX

56.060USD

-0.630-1.11%
終値 08/01, 16:00ET15分遅れの株価
3.66B時価総額
損失額直近12ヶ月PER
四半期
四半期+年間
四半期
年間
YOY
空白行を非表示にする
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
FY2016Q4
FY2016Q3
FY2016Q2
FY2016Q1
FY2015Q4
FY2015Q3
FY2015Q2
FY2015Q1
FY2014Q4
FY2014Q3
FY2014Q2
FY2014Q1
FY2013Q4
FY2013Q3
FY2013Q2
FY2013Q1
FY2012Q4
FY2012Q3
FY2012Q2
FY2012Q1
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
17.16%17.21M
2.94%15.36M
1.57%16.00M
27.96%22.35M
81.10%14.69M
144.46%14.92M
134.60%15.75M
149.52%17.46M
10.14%8.11M
-51.62%6.11M
-37.94%6.71M
-70.16%7.00M
-25.59%7.37M
-58.59%12.62M
-36.37%10.82M
773.38%23.46M
692.47%9.90M
4815.00%30.47M
133.37%17.00M
193.33%2.69M
434.85%1.25M
137.35%620.00K
-7.76%7.29M
-191.51%-2.88M
93.59%-373.00K
95.14%-1.66M
209.83%7.90M
55.69%3.15M
75.17%-5.82M
-278.23%-34.15M
-5517.97%-7.19M
1597.48%2.02M
-545.13%-23.45M
561.77%19.16M
-102.34%-128.00K
-97.72%119.00K
144.29%5.27M
-117.63%-4.15M
-63.61%5.48M
10.96%5.23M
-127.65%-11.90M
486.71%23.53M
10.66%15.06M
-77.38%4.71M
-319.58%-5.23M
40.20%4.01M
102.79%13.61M
353.59%20.82M
-82.39%2.38M
--2.86M
--6.71M
--4.59M
--13.52M
継続事業の当期純利益
-4747.57%-4.79M
-171.62%-17.92M
-123.41%-3.97M
-184.90%-7.96M
-98.93%103.00K
-155.33%-6.60M
26.11%16.95M
24.62%9.37M
18.22%9.60M
-40.01%11.93M
-92.42%13.44M
-63.24%7.52M
-60.62%8.12M
-17.51%19.88M
763.88%177.42M
585.71%20.46M
396.88%20.61M
4749.50%24.10M
707.81%20.54M
16.51%-4.21M
28.90%-6.94M
108.91%497.00K
-517.68%-3.38M
-80.63%-5.04M
16.78%-9.77M
56.65%-5.58M
104.53%809.00K
85.29%-2.79M
64.78%-11.74M
-12.04%-12.87M
-2907.08%-17.85M
-225.92%-18.99M
-210.61%-33.33M
-20.29%-11.48M
-31.02%636.00K
-0.81%-5.83M
10.07%-10.73M
-219.48%-9.55M
123.96%922.00K
-46.27%-5.78M
-18.98%-11.93M
53.70%-2.99M
-807.35%-3.85M
23.33%-3.95M
-61.65%-10.03M
1.84%-6.45M
107.62%544.00K
27.33%-5.15M
17.52%-6.20M
---6.57M
---7.14M
---7.09M
---7.52M
営業損益
-12.25%4.27M
6.63%4.75M
12.92%4.82M
22.16%5.12M
30.73%4.87M
27.95%4.45M
34.74%4.27M
12.45%4.19M
-5.58%3.72M
-5.00%3.48M
-12.40%3.17M
1.86%3.73M
-3.29%3.94M
7.46%3.66M
9.35%3.61M
5.72%3.66M
15.04%4.08M
17.12%3.41M
19.62%3.31M
46.51%3.46M
55.37%3.54M
38.85%2.91M
28.51%2.76M
1.90%2.36M
-13.04%2.28M
-17.71%2.10M
-20.46%2.15M
-5.96%2.32M
-19.93%2.62M
-10.70%2.55M
-8.81%2.70M
-17.53%2.47M
-38.41%3.28M
-60.95%2.85M
-59.20%2.96M
-58.11%2.99M
-25.29%5.32M
2.38%7.30M
5.41%7.26M
3.58%7.14M
3.02%7.12M
1.09%7.13M
-2.19%6.89M
-3.61%6.89M
-7.78%6.91M
2.96%7.05M
2.67%7.04M
4.99%7.15M
29.50%7.49M
--6.85M
--6.86M
--6.81M
--5.79M
繰延税金
40.40%-1.46M
109.10%451.00K
-250.62%-5.14M
-281.21%-2.84M
-259.47%-2.45M
-50.44%-4.95M
-18.64%3.41M
106.74%1.56M
-345.85%-681.00K
48.79%-3.29M
--4.19M
--757.00K
--277.00K
---6.43M
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その他非資金項目
18.63%-1.14M
-22.96%-1.33M
-1.64%-1.24M
-10.18%-1.31M
-98.59%-1.41M
-76.18%-1.08M
-129.27%-1.22M
---1.19M
---708.00K
---613.00K
99.67%-533.00K
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---162.00M
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--0.00
----
--0.00
--0.00
-100.00%0.00
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100.00%0.00
-97.78%1.00K
-103.85%-4.00K
-98.32%2.00K
-104.39%-5.00K
-72.56%45.00K
-48.51%104.00K
-53.15%119.00K
-60.28%114.00K
-39.71%164.00K
4.66%202.00K
135.19%254.00K
--287.00K
116.47%272.00K
--193.00K
--108.00K
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-60.45%-1.65M
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---1.03M
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運転資本の増減
117.86%586.00K
-29.56%7.34M
121.78%5.16M
196.86%13.87M
83.63%-3.28M
155.70%10.43M
3.65%-23.68M
4.62%-14.32M
-29.78%-20.04M
-75.46%-18.72M
-65.12%-24.58M
-118.18%-15.02M
22.66%-15.44M
-683.84%-10.67M
-42.90%-14.89M
-93.64%-6.88M
-1299.10%-19.96M
75.27%-1.36M
-492.65%-10.42M
-26.57%-3.55M
-57.01%1.67M
30.03%-5.50M
11.66%2.65M
-361.94%-2.81M
-44.62%3.87M
70.89%-7.87M
-51.50%2.38M
-93.20%1.07M
134.66%6.99M
-213.38%-27.01M
157.57%4.90M
12040.91%15.76M
-62.01%2.98M
550.42%23.83M
-54.48%-8.51M
81.74%-132.00K
171.01%7.84M
-134.78%-5.29M
-169.13%-5.51M
73.63%-723.00K
-83.73%-11.05M
15111.00%15.21M
663.95%7.97M
-120.26%-2.74M
-44.10%-6.01M
111.59%100.00K
-58.33%1.04M
2913.59%13.53M
-138.15%-4.17M
---863.00K
--2.50M
--449.00K
--10.94M
-売上債権の増減
-85.19%3.81M
113.12%5.95M
-119.65%-3.21M
482.37%18.24M
1512.48%25.72M
-774.77%-45.37M
213.33%16.32M
-361.57%-4.77M
158.36%1.59M
0.19%6.72M
-22.39%-14.40M
131.69%1.82M
45.22%-2.73M
2429.86%6.71M
-11.62%-11.77M
-167.36%-5.76M
75.81%-4.99M
-114.24%-288.00K
-190.44%-10.54M
271.48%8.54M
-274.47%-20.63M
213.64%2.02M
524.88%11.65M
63.86%-4.98M
-52.97%11.82M
101.78%645.00K
-79.65%1.86M
-227.72%-13.79M
295.59%25.14M
-711.00%-36.16M
212.58%9.16M
303.16%10.80M
-483.53%-12.85M
473.55%5.92M
-31.24%-8.14M
-78.08%-5.31M
140.59%3.35M
-91.43%1.03M
-236.39%-6.20M
6.60%-2.98M
-1244.63%-8.26M
10.42%12.04M
-45.24%4.55M
-139.98%-3.19M
94.52%-614.00K
338.95%10.90M
1281.37%8.30M
202.19%7.99M
-1239.47%-11.20M
---4.56M
---703.00K
---7.82M
---836.00K
-棚卸資産の増減
-85.68%1.89M
-112.42%-2.12M
283.10%12.88M
101.89%6.30M
279.56%13.20M
311.93%17.05M
107.85%3.36M
-53.39%3.12M
54.43%-7.35M
41.35%-8.04M
-2271.03%-42.79M
235.88%6.69M
19.08%-16.14M
-28.76%-13.71M
139.75%1.97M
19.53%-4.92M
-307.44%-19.94M
-271.72%-10.65M
-397.79%-4.96M
-427.97%-6.12M
228.68%9.61M
131.20%6.20M
90.31%-996.00K
-73.62%1.87M
19.34%2.92M
-514.94%-19.88M
-416.18%-10.28M
1.54%7.07M
222.98%2.45M
210.03%4.79M
469.35%3.25M
1803.28%6.97M
-130.47%-1.99M
-11.72%-4.36M
118.67%571.00K
601.37%366.00K
6.95%6.54M
-34.09%-3.90M
-249.73%-3.06M
91.18%-73.00K
1.73%6.12M
71.06%-2.91M
203.50%2.04M
-145.25%-828.00K
48.42%6.01M
-221.82%-10.04M
-157.28%-1.97M
-51.30%1.83M
-47.07%4.05M
---3.12M
--3.45M
--3.76M
--7.65M
-前払費用の増減
932.35%2.81M
128.61%3.51M
105.53%1.24M
132.29%6.15M
103.84%272.00K
-122.76%-12.26M
-133.77%-22.41M
-15.18%-19.04M
-5.12%-7.08M
68.18%-5.50M
-183.11%-9.59M
-226.10%-16.53M
-410.07%-6.74M
-488.97%-17.30M
-233.57%-3.39M
-1315.59%-5.07M
-274.27%-1.32M
-578.29%-2.94M
291.03%2.54M
-88.52%417.00K
139.17%758.00K
-110.51%-433.00K
-352.28%-1.33M
149.62%3.63M
23.24%-1.94M
30.27%4.12M
420.73%526.00K
79.19%1.46M
-160.43%-2.52M
-34.95%3.16M
97.80%-164.00K
-58.78%812.00K
-68.06%-968.00K
476.24%4.86M
-339.15%-7.45M
316.72%1.97M
-129.18%-576.00K
76.90%-1.29M
344.39%3.12M
-1523.21%-909.00K
94.29%1.97M
-658.74%-5.59M
-182.63%-1.27M
97.31%-56.00K
1272.97%1.02M
325.45%1.00M
332.21%1.54M
-325.97%-2.08M
-88.12%74.00K
---444.00K
--357.00K
---489.00K
--623.00K
-その他流動資産の増減
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202.09%20.46M
318.00%17.23M
113.31%360.00K
-802.59%-5.69M
-944.01%-20.05M
-361.26%-7.91M
-665.69%-2.70M
-77.58%810.00K
-130.70%-1.92M
-137.08%-1.71M
-74.66%478.00K
11.75%3.61M
-2.69%6.25M
264.02%4.62M
171.14%1.89M
160.54%3.23M
235.50%6.43M
127.22%1.27M
14.95%-2.65M
-913.28%-5.34M
---4.74M
---4.67M
---3.12M
---527.00K
-その他流動負債の増減
72.27%2.68M
-1205.39%-4.51M
44.23%-4.38M
-654.79%-10.63M
-78.97%1.55M
-61.98%408.00K
-39.49%-7.86M
-136.84%-1.41M
526.63%7.39M
-80.98%1.07M
-342.12%-5.64M
781.34%3.83M
-60.54%1.18M
-28.19%5.64M
-535.15%-1.27M
115.76%434.00K
176.41%2.99M
1104.35%7.85M
132.34%293.00K
-261.62%-2.75M
210.64%1.08M
50.38%-782.00K
24.25%-906.00K
203.74%1.70M
-262.29%-977.00K
89.79%-1.58M
91.01%-1.20M
122.63%561.00K
-96.48%602.00K
-229.50%-15.43M
-436.52%-13.31M
-202.91%-2.48M
845.66%17.10M
1617.00%11.92M
74.34%3.95M
6610.81%2.41M
38.19%-2.29M
110.10%694.00K
142.80%2.27M
98.59%-37.00K
36.76%-3.71M
33.17%-6.87M
31.82%-5.30M
-148.48%-2.63M
-153.87%-5.87M
-198.77%-10.28M
-204.06%-7.77M
28.52%5.42M
145.57%10.89M
--10.41M
--7.47M
--4.22M
--4.43M
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
17.16%17.21M
2.94%15.36M
1.57%16.00M
27.96%22.35M
81.10%14.69M
144.46%14.92M
134.60%15.75M
149.52%17.46M
10.14%8.11M
-51.62%6.11M
-37.94%6.71M
-70.16%7.00M
-25.59%7.37M
-58.59%12.62M
-36.37%10.82M
773.38%23.46M
692.47%9.90M
4815.00%30.47M
133.37%17.00M
193.33%2.69M
434.85%1.25M
137.35%620.00K
-7.76%7.29M
-191.51%-2.88M
93.59%-373.00K
95.14%-1.66M
209.83%7.90M
55.69%3.15M
75.17%-5.82M
-278.23%-34.15M
-5517.97%-7.19M
1597.48%2.02M
-545.13%-23.45M
561.77%19.16M
-102.34%-128.00K
-97.72%119.00K
144.29%5.27M
-117.63%-4.15M
-63.61%5.48M
10.96%5.23M
-127.65%-11.90M
486.71%23.53M
10.66%15.06M
-77.38%4.71M
-319.58%-5.23M
40.20%4.01M
102.79%13.61M
353.59%20.82M
-82.39%2.38M
--2.86M
--6.71M
--4.59M
--13.52M
投資活動によるキャッシュフロー
継続事業の投資CF
16.20%4.31M
29.63%5.15M
-14.09%3.24M
8.44%5.95M
-19.68%3.71M
-17.37%3.97M
11.26%3.78M
108.31%5.49M
42.93%4.62M
50.60%4.81M
1.53%3.39M
59.31%2.63M
42.08%3.23M
44.96%3.19M
194.02%3.34M
-39.88%1.65M
31.52%2.27M
127.24%2.20M
-60.05%1.14M
-38.85%2.75M
-65.69%1.73M
-80.08%969.00K
9.21%2.85M
316.57%4.50M
159.46%5.04M
292.34%4.87M
25.83%2.61M
-58.60%1.08M
-502.42%-8.47M
-72.29%1.24M
-9.41%2.07M
60.55%2.61M
44.94%2.11M
235.21%4.47M
-1.68%2.29M
-13.38%1.63M
-16.59%1.45M
-46.17%1.33M
-54.88%2.33M
-22.48%1.88M
-8.70%1.74M
64.02%2.48M
133.17%5.15M
24.81%2.42M
43.89%1.91M
-34.26%1.51M
39.61%2.21M
-40.96%1.94M
-55.98%1.33M
--2.30M
--1.58M
--3.28M
--3.01M
設備投資
16.20%4.31M
29.63%5.15M
-14.09%3.24M
8.44%5.95M
-19.68%3.71M
-17.37%3.97M
11.26%3.78M
108.31%5.49M
42.93%4.62M
50.60%4.81M
1.53%3.39M
59.31%2.63M
42.08%3.23M
44.96%3.19M
194.02%3.34M
-39.88%1.65M
31.52%2.27M
127.24%2.20M
-60.05%1.14M
-38.85%2.75M
-65.69%1.73M
-80.08%969.00K
9.21%2.85M
316.57%4.50M
168.75%5.04M
292.34%4.87M
25.83%2.61M
-58.60%1.08M
-10.97%1.88M
-72.29%1.24M
-9.41%2.07M
60.55%2.61M
44.94%2.11M
235.21%4.47M
-1.68%2.29M
-13.38%1.63M
-16.59%1.45M
-46.17%1.33M
-54.88%2.33M
-22.48%1.88M
-8.70%1.74M
64.02%2.48M
133.17%5.15M
24.81%2.42M
43.89%1.91M
-34.26%1.51M
39.61%2.21M
-40.96%1.94M
-55.98%1.33M
--2.30M
--1.58M
--3.28M
--3.01M
固定資産売却による純キャッシュフロー
16.20%4.31M
29.63%5.15M
-14.09%3.24M
8.44%5.95M
-19.68%3.71M
-17.37%3.97M
11.26%3.78M
108.31%5.49M
42.93%4.62M
50.60%4.81M
1.53%3.39M
59.31%2.63M
42.08%3.23M
44.96%3.19M
194.02%3.34M
-39.88%1.65M
31.52%2.27M
127.24%2.20M
-60.05%1.14M
-38.85%2.75M
-65.69%1.73M
-80.08%969.00K
9.21%2.85M
316.57%4.50M
159.46%5.04M
292.34%4.87M
25.83%2.61M
-58.60%1.08M
-502.42%-8.47M
-72.29%1.24M
-9.41%2.07M
60.55%2.61M
44.94%2.11M
235.21%4.47M
-1.68%2.29M
-13.38%1.63M
-16.59%1.45M
-46.17%1.33M
-54.88%2.33M
-22.48%1.88M
-8.70%1.74M
64.02%2.48M
133.17%5.15M
24.81%2.42M
43.89%1.91M
-34.26%1.51M
39.61%2.21M
-40.96%1.94M
-55.98%1.33M
--2.30M
--1.58M
--3.28M
--3.01M
事業取引による純キャッシュフロー
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
----
--0.00
--0.00
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
100.00%0.00
----
----
----
---12.00M
----
----
----
投資商品による純キャッシュフロー
118.86%15.30M
30.19%-28.45M
-174.82%-45.66M
-143.36%-24.35M
421.64%6.99M
-1878.50%-40.76M
339.74%61.03M
-103.39%-10.01M
107.92%1.34M
91.66%-2.06M
223.57%13.88M
90.73%-4.92M
-51.13%-16.91M
-89.97%-24.69M
71.91%-11.23M
---53.09M
---11.19M
---13.00M
---39.99M
----
----
--0.00
----
----
----
-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
276.71%6.60M
-25.59%6.33M
164.54%12.30M
-63.90%2.53M
-76.41%1.75M
335.01%8.50M
-42.70%4.65M
226.40%7.02M
150.39%7.43M
190.09%1.95M
117.42%8.12M
---5.55M
---14.74M
---2.17M
---46.57M
----
--0.00
----
----
----
--0.00
----
----
----
その他投資活動による純キャッシュフロー
----
---3.00K
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
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----
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----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
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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
234.90%10.99M
24.87%-33.60M
-185.42%-48.91M
-95.56%-30.30M
200.09%3.28M
-551.36%-44.73M
446.08%57.26M
-105.11%-15.49M
83.73%-3.28M
75.37%-6.87M
171.94%10.48M
86.20%-7.55M
-49.61%-20.15M
-83.45%-27.88M
64.56%-14.57M
-1889.79%-54.74M
-678.83%-13.47M
-1468.42%-15.20M
-1344.94%-41.12M
38.85%-2.75M
65.69%-1.73M
80.08%-969.00K
-9.21%-2.85M
-316.57%-4.50M
-159.46%-5.04M
-190.76%-4.87M
-161.26%-2.61M
-111.14%-1.08M
1880.14%8.47M
296.84%5.36M
-31.54%4.25M
220.40%9.69M
-92.31%428.00K
-144.69%-2.72M
1774.93%6.21M
-51.51%3.02M
176.30%5.57M
135.38%6.09M
94.93%-371.00K
112.73%6.24M
-282.39%-7.30M
-1039.02%-17.22M
-231.31%-7.32M
-2426.66%-48.99M
-43.89%-1.91M
89.43%-1.51M
-39.61%-2.21M
40.96%-1.94M
55.98%-1.33M
---14.30M
---1.58M
---3.28M
---3.01M
財務活動によるキャッシュフロー
継続事業の財務CF
-511.66%-29.13M
98.13%-798.00K
138.53%10.60M
166.71%4.02M
-30.78%7.08M
-1034.56%-42.62M
-516.25%-27.51M
-175.24%-6.03M
73.67%10.22M
-28.10%4.56M
22.01%6.61M
100.93%8.01M
-31.87%5.89M
932.90%6.34M
-85.37%5.42M
-9.94%3.99M
10698.75%8.64M
-93.44%614.00K
2662.42%37.03M
385.55%4.43M
120.51%80.00K
147.84%9.36M
-786.50%-1.45M
-139.98%-1.55M
-13100.00%-390.00K
-10.48%3.77M
-100.55%-163.00K
557.19%3.88M
100.28%3.00K
73.25%4.22M
12475.42%29.70M
-152.70%-848.00K
91.72%-1.08M
116.89%2.43M
97.11%-240.00K
207.99%1.61M
-22593.10%-13.05M
-550.72%-14.41M
-889.86%-8.29M
-189.38%-1.49M
112.83%58.00K
194.48%3.20M
50.94%-838.00K
-30.48%1.67M
-1176.19%-452.00K
7.21%1.09M
-111.65%-1.71M
7.29%2.40M
-41.67%42.00K
--1.01M
---807.00K
--2.23M
--72.00K
負債の発行・返済による純キャッシュフロー
----
100.00%0.00
100.00%0.00
100.00%0.00
100.00%0.00
-194.56%-4.12M
-856.47%-3.47M
-510.51%-3.02M
-678.10%-1.07M
-169.88%-1.40M
28.96%-363.00K
-133.49%-495.00K
---137.00K
84.84%-518.00K
98.09%-511.00K
95.58%-212.00K
----
-168.80%-3.42M
-1768.50%-26.81M
14.59%-4.79M
-56.05%-1.02M
--4.96M
-1147.83%-1.44M
---5.61M
---653.00K
--0.00
-100.39%-115.00K
--0.00
--0.00
--0.00
--29.81M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
普通株式の発行・取得による純キャッシュフロー
-511.66%-29.13M
97.93%-798.00K
144.10%10.60M
-57.54%4.02M
698.14%7.08M
-746.16%-38.50M
-444.77%-24.03M
-34.83%9.47M
---1.18M
--5.96M
--6.97M
--14.53M
----
----
----
----
----
--0.00
--60.06M
----
----
----
----
----
----
--0.00
----
----
----
--0.00
--0.00
--0.00
100.00%0.00
100.00%0.00
100.00%0.00
100.00%0.00
---12.81M
---16.05M
---7.75M
---3.38M
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----
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----
----
----
----
----
----
----
----
----
----
従業員によるストックオプション行使による収入
----
----
----
----
----
----
----
-107.06%-12.47M
107.06%12.47M
----
----
-243.47%-6.02M
-30.28%6.02M
451.89%6.86M
177.87%5.93M
-6.90%4.20M
686.08%8.64M
971.55%1.24M
--2.13M
12425.00%4.51M
278.97%1.10M
-61.97%116.00K
-100.00%0.00
-16.28%36.00K
3525.00%290.00K
824.24%305.00K
--28.00K
168.75%43.00K
-38.46%8.00K
1000.00%33.00K
--0.00
--16.00K
-7.14%13.00K
-76.92%3.00K
-100.00%0.00
-100.00%0.00
-97.52%14.00K
-98.95%13.00K
-87.93%35.00K
-77.97%26.00K
2585.71%564.00K
1530.26%1.24M
-24.28%290.00K
-52.03%118.00K
-50.00%21.00K
111.11%76.00K
1915.79%383.00K
267.16%246.00K
-41.67%42.00K
--36.00K
--19.00K
--67.00K
--72.00K
その他財務活動による純キャッシュフロー
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-34.81%2.79M
16540.00%1.64M
16.98%4.71M
100.00%0.00
23.20%4.28M
86.84%-10.00K
5.06%4.03M
-440.00%-27.00K
-17.07%3.47M
32.74%-76.00K
543.75%3.83M
99.54%-5.00K
72.11%4.18M
52.92%-113.00K
-153.70%-864.00K
-335.46%-1.09M
49.51%2.43M
58.83%-240.00K
-13.54%1.61M
50.40%-251.00K
-17.00%1.63M
48.32%-583.00K
20.14%1.86M
-6.98%-506.00K
93.96%1.96M
46.05%-1.13M
-28.02%1.55M
---473.00K
3.38%1.01M
-153.15%-2.09M
-0.74%2.15M
----
--977.00K
---826.00K
--2.17M
----
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
-511.66%-29.13M
98.13%-798.00K
138.53%10.60M
166.71%4.02M
-30.78%7.08M
-1034.56%-42.62M
-516.25%-27.51M
-175.24%-6.03M
73.67%10.22M
-28.10%4.56M
22.01%6.61M
100.93%8.01M
-31.87%5.89M
932.90%6.34M
-85.37%5.42M
-9.94%3.99M
10698.75%8.64M
-93.44%614.00K
2662.42%37.03M
385.55%4.43M
120.51%80.00K
147.84%9.36M
-786.50%-1.45M
-139.98%-1.55M
-13100.00%-390.00K
-10.48%3.77M
-100.55%-163.00K
557.19%3.88M
100.28%3.00K
73.25%4.22M
12475.42%29.70M
-152.70%-848.00K
91.72%-1.08M
116.89%2.43M
97.11%-240.00K
207.99%1.61M
-22593.10%-13.05M
-550.72%-14.41M
-889.86%-8.29M
-189.38%-1.49M
112.83%58.00K
194.48%3.20M
50.94%-838.00K
-30.48%1.67M
-1176.19%-452.00K
7.21%1.09M
-111.65%-1.71M
7.29%2.40M
-41.67%42.00K
--1.01M
---807.00K
--2.23M
--72.00K
純キャッシュフロー
現金および現金同等物の期首残高
-31.93%43.16M
-54.04%62.36M
-6.32%84.49M
-6.12%88.42M
-19.81%63.41M
80.49%135.68M
75.07%90.19M
112.28%94.19M
54.04%79.07M
24.84%75.17M
-12.07%51.52M
-48.32%44.37M
-36.47%51.33M
-6.58%60.22M
14.48%58.59M
83.38%85.85M
70.27%80.81M
68.79%64.45M
43.89%51.18M
4.75%46.82M
-5.60%47.46M
-28.00%38.19M
-26.17%35.57M
4.85%44.70M
26.40%50.27M
-17.37%53.03M
29.18%48.17M
61.97%42.63M
-21.02%39.77M
102.07%64.18M
43.19%37.29M
23.18%26.32M
113.15%50.36M
-12.24%31.76M
-34.35%26.05M
-27.86%21.36M
-51.61%23.63M
-8.13%36.19M
21.91%39.67M
-60.60%29.62M
-40.99%48.83M
-50.21%39.40M
-53.09%32.54M
56.41%75.17M
76.08%82.75M
37.79%79.12M
30.69%69.38M
-3.03%48.06M
20.69%46.99M
--57.42M
--53.09M
--49.56M
--38.94M
当期キャッシュフロー増減
-103.45%-862.00K
73.43%-19.20M
-148.64%-22.13M
1.68%-3.93M
65.48%25.01M
-1952.50%-72.27M
92.29%45.49M
-155.95%-4.00M
317.02%15.11M
143.92%3.90M
1355.75%23.66M
126.21%7.15M
-237.98%-6.96M
-154.31%-8.88M
-87.76%1.63M
-724.89%-27.26M
888.59%5.05M
76.39%16.35M
407.42%13.27M
147.81%4.36M
88.53%-640.00K
436.03%9.27M
-46.15%2.62M
-264.50%-9.13M
-295.55%-5.58M
88.70%-2.76M
-81.93%4.86M
-49.46%5.55M
111.87%2.85M
-231.27%-24.41M
370.19%26.89M
134.53%10.98M
-963.29%-24.04M
247.96%18.59M
264.43%5.72M
-53.45%4.68M
88.23%-2.26M
-233.28%-12.57M
-150.73%-3.48M
123.59%10.05M
-153.51%-19.21M
160.28%9.43M
-29.65%6.86M
-299.93%-42.63M
-812.22%-7.58M
134.75%3.62M
124.69%9.74M
505.17%21.32M
-89.98%1.06M
---10.43M
--4.34M
--3.52M
--10.62M
為替変動の影響
271.79%67.00K
-203.87%-161.00K
1523.08%185.00K
-98.25%1.00K
-168.42%-39.00K
50.49%155.00K
91.39%-13.00K
118.57%57.00K
182.61%57.00K
164.10%103.00K
-344.12%-151.00K
-1123.33%-307.00K
-187.50%-69.00K
-91.59%39.00K
-109.21%-34.00K
1400.00%30.00K
90.00%-24.00K
75.76%464.00K
197.62%369.00K
101.01%2.00K
-207.62%-240.00K
3033.33%264.00K
-39.48%-378.00K
49.87%-198.00K
12.63%223.00K
-105.59%-9.00K
-315.08%-271.00K
-452.68%-395.00K
204.62%198.00K
158.55%161.00K
199.21%126.00K
253.42%112.00K
227.45%65.00K
-180.61%-275.00K
56.36%-127.00K
-192.41%-73.00K
32.89%-51.00K
-24.05%-98.00K
-592.86%-291.00K
818.18%79.00K
-1050.00%-76.00K
-307.89%-79.00K
-175.00%-42.00K
-126.83%-11.00K
125.00%8.00K
3900.00%38.00K
229.41%56.00K
327.78%41.00K
-168.09%-32.00K
---1.00K
--17.00K
---18.00K
--47.00K
現金および現金同等物の期末残高
-52.16%42.30M
-31.93%43.16M
-54.04%62.36M
-6.32%84.49M
-6.12%88.42M
-19.81%63.41M
80.49%135.68M
75.07%90.19M
112.28%94.19M
54.04%79.07M
24.84%75.17M
-12.07%51.52M
-48.32%44.37M
-36.47%51.33M
-6.58%60.22M
14.48%58.59M
83.38%85.85M
70.27%80.81M
68.79%64.45M
43.89%51.18M
4.75%46.82M
-5.60%47.46M
-28.00%38.19M
-26.17%35.57M
4.85%44.70M
26.40%50.27M
-17.37%53.03M
29.18%48.17M
61.97%42.63M
-21.02%39.77M
102.07%64.18M
43.19%37.29M
23.18%26.32M
113.15%50.36M
-12.24%31.76M
-34.35%26.05M
-27.86%21.36M
-51.61%23.63M
-8.13%36.19M
21.91%39.67M
-60.60%29.62M
-40.99%48.83M
-50.21%39.40M
-53.09%32.54M
56.41%75.17M
76.08%82.75M
37.79%79.12M
30.69%69.38M
-3.03%48.06M
--46.99M
--57.42M
--53.09M
--49.56M
フリーキャッシュフロー
17.48%12.90M
-6.74%10.21M
6.51%12.76M
36.91%16.39M
214.31%10.98M
743.76%10.95M
260.69%11.97M
174.40%11.97M
-15.48%3.49M
-86.23%1.30M
-55.59%3.32M
-79.99%4.36M
-45.78%4.13M
-66.66%9.43M
-52.88%7.47M
33646.15%21.80M
1688.33%7.62M
8200.57%28.27M
257.38%15.86M
99.12%-65.00K
91.13%-480.00K
94.65%-349.00K
-16.12%4.44M
-457.24%-7.38M
29.70%-5.41M
81.56%-6.53M
157.14%5.29M
450.59%2.06M
69.88%-7.70M
-340.99%-35.39M
-283.68%-9.26M
60.89%-589.00K
-769.81%-25.56M
367.76%14.68M
-176.54%-2.41M
-144.96%-1.51M
127.98%3.82M
-126.05%-5.48M
-68.16%3.15M
46.29%3.35M
-91.18%-13.64M
742.46%21.05M
-13.09%9.90M
-87.87%2.29M
-776.85%-7.13M
345.45%2.50M
122.29%11.40M
1345.71%18.88M
-89.97%1.05M
--561.00K
--5.13M
--1.31M
--10.51M
通貨単位
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監査意見
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tradingkey.logo
当社が提供する日中データはRefinitivより配信されており、同社の利用規約が適用されます。終値データ(過去・現在)についてもRefinitivより提供されています。全ての相場情報は現地取引所時間で表示されます。米国株式のリアルタイム最終取引価格はNasdaqを通じて報告された取引のみを反映しています。日中データは最低15分遅れ、または各取引所の要件に準じて遅延配信されます。
* 当コンテンツ(分析資料・取引戦略等)は第三者プロバイダーであるTrading Centralより提供されており、記載の見解は分析官の独立した評価及び判断に基づくものです。投資家個々の投資目的や財務状況は考慮されておりません。
リスク告知:当社ウェブサイト及びモバイルアプリは特定の投資商品に関する一般的な情報のみを提供しており、Finsightsは金融アドバイスや投資商品の推奨を行うものではありません。本情報の提供をもってFinsightsが投資助言を行っていると解釈されることはありません。
投資商品には元本割れを含む重大なリスクが伴い、全ての投資家に適するものではありません。なお、過去の運用実績は将来の成果を保証するものではありません。
Finsightsは、第三者広告主または提携先が当社ウェブサイト・モバイルアプリ上に広告を掲載することを許可する場合があり、これら広告主から広告への反応に基づく報酬を受けることがあります。
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