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市场行情
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nasdaq-base
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Couchbase Inc
BASE
24.510
USD
0.000
收盘 11/21, 16:00(美东)
报价延迟15分钟
USD
0.000
盘后交易 (美东)
1.35B
总市值
亏损
市盈率 TTM
Couchbase Inc
24.510
0.000
概览
公司
财务
分析
财报
利润表
资产负债表
现金流量表
概览
公司
财务
分析
财报
利润表
资产负债表
现金流量表
您可以访问Couchbase Inc的年度和季度现金流量表,以评估其财务稳健性和稳定性。
单季报
单季报+年报
单季报
年报
YOY
隐藏空白行
FY2026Q2
FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q1
经营活动现金流量(间接法)
持续经营活动现金净额
28.47%
-3.47M
-535.09%
-6.78M
167.57%
4.36M
-32.58%
-16.89M
-834.49%
-4.85M
121.71%
1.56M
36.78%
-6.45M
13.43%
-12.74M
93.22%
-519.00K
16.57%
-7.18M
-284.73%
-10.20M
25.46%
-14.72M
41.24%
-7.66M
-169.90%
-8.61M
--
-2.65M
--
-19.75M
--
-13.03M
0.00%
-3.19M
--
-3.19M
持续经营净收入
-19.56%
-23.79M
15.79%
-17.68M
27.06%
-15.61M
-11.67%
-18.15M
3.66%
-19.89M
4.02%
-21.00M
-28.82%
-21.40M
2.53%
-16.25M
-34.37%
-20.65M
-10.29%
-21.88M
-25.52%
-16.61M
-4.73%
-16.68M
13.26%
-15.37M
-35.86%
-19.83M
--
-13.24M
--
-15.92M
--
-17.72M
0.00%
-14.60M
--
-14.60M
持续经营损益
198.07%
1.08M
112.75%
851.00K
-86.30%
760.00K
89.72%
757.00K
-51.28%
363.00K
-55.06%
400.00K
539.68%
5.55M
-52.39%
399.00K
2.48%
745.00K
20.43%
890.00K
22.11%
867.00K
18.36%
838.00K
-38.49%
727.00K
4.38%
739.00K
--
710.00K
--
708.00K
--
1.18M
0.00%
708.00K
--
708.00K
其他非现金项目
21.22%
5.29M
13.66%
4.91M
24.09%
5.95M
-4.51%
4.72M
-7.00%
4.37M
-3.61%
4.32M
24.86%
4.79M
-1.67%
4.95M
-11.68%
4.70M
-23.11%
4.48M
-14.37%
3.84M
40.91%
5.03M
35.18%
5.32M
99.83%
5.83M
--
4.48M
--
3.57M
--
3.93M
0.00%
2.92M
--
2.92M
营运资金变化
97.28%
-159.00K
-357.22%
-8.25M
75.51%
-1.96M
-43.59%
-19.51M
-327.05%
-5.84M
6871.74%
3.21M
-55.58%
-8.01M
-27.42%
-13.59M
150.87%
2.57M
105.82%
46.00K
-385.11%
-5.15M
6.90%
-10.66M
-49.07%
-5.06M
-113.28%
-791.00K
--
1.81M
--
-11.45M
--
-3.39M
0.00%
5.96M
--
5.96M
-应收款项(增)减
-63.93%
1.13M
-39.88%
6.11M
-44.54%
-20.95M
84.65%
2.91M
-68.10%
3.13M
547.01%
10.16M
14.43%
-14.50M
-74.04%
1.58M
320.37%
9.81M
-119.30%
-2.27M
-18.56%
-16.94M
365.75%
6.08M
-272.24%
-4.45M
-36.51%
11.78M
--
-14.29M
--
-2.29M
--
-1.20M
0.00%
18.56M
--
18.56M
-预付费用(增)减
425.24%
2.16M
10648.39%
3.33M
-50.18%
-4.67M
-163.46%
-606.00K
127.05%
412.00K
-97.79%
31.00K
-266.00%
-3.11M
-49.87%
955.00K
0.20%
-1.52M
350.32%
1.41M
-155.26%
-850.00K
5391.67%
1.91M
72.20%
-1.53M
116.44%
312.00K
--
-333.00K
--
-36.00K
--
-5.49M
0.00%
-1.90M
--
-1.90M
-其他流动资产变化
-39.16%
-7.21M
-8.89%
-3.34M
-22.36%
-13.38M
-13.08%
-5.37M
-19.83%
-5.18M
36.36%
-3.07M
-105.54%
-10.94M
-4.01%
-4.75M
-10.59%
-4.32M
-27.01%
-4.82M
39.99%
-5.32M
-0.13%
-4.56M
29.83%
-3.91M
-39.74%
-3.80M
--
-8.87M
--
-4.56M
--
-5.57M
0.00%
-2.72M
--
-2.72M
-其他流动负债变化
31.09%
-6.38M
-119.72%
-1.52M
206.35%
28.12M
-84.80%
-14.11M
-706.49%
-9.26M
20.01%
7.71M
-36.15%
9.18M
15.07%
-7.64M
232.81%
1.53M
763.53%
6.42M
-30.79%
14.38M
-165.69%
-8.99M
-135.17%
-1.15M
80.88%
-968.00K
--
20.77M
--
-3.38M
--
3.27M
0.00%
-5.06M
--
-5.06M
非持续经营活动现金净额
经营活动现金净额
28.47%
-3.47M
-535.09%
-6.78M
167.57%
4.36M
-32.58%
-16.89M
-834.49%
-4.85M
121.71%
1.56M
36.78%
-6.45M
13.43%
-12.74M
93.22%
-519.00K
16.57%
-7.18M
-284.73%
-10.20M
25.46%
-14.72M
41.24%
-7.66M
-169.90%
-8.61M
--
-2.65M
--
-19.75M
--
-13.03M
0.00%
-3.19M
--
-3.19M
投资活动现金流量
持续投资活动现金净额
260.73%
3.85M
86.93%
1.86M
-70.82%
375.00K
-45.31%
583.00K
-0.37%
1.07M
-22.75%
995.00K
-17.26%
1.28M
-34.08%
1.07M
-36.14%
1.07M
61.20%
1.29M
30960.00%
1.55M
186.70%
1.62M
205.41%
1.68M
247.39%
799.00K
--
5.00K
--
564.00K
--
-1.59M
0.00%
230.00K
--
230.00K
资本性支出
260.73%
3.85M
86.93%
1.86M
-70.82%
375.00K
-45.31%
583.00K
-0.37%
1.07M
-22.75%
995.00K
-17.26%
1.28M
-34.08%
1.07M
-36.14%
1.07M
61.20%
1.29M
30960.00%
1.55M
186.70%
1.62M
--
1.68M
247.39%
799.00K
--
5.00K
--
564.00K
--
--
0.00%
230.00K
--
230.00K
固定资产交易的净现金流
260.73%
3.85M
86.93%
1.86M
-70.82%
375.00K
-45.31%
583.00K
-0.37%
1.07M
-22.75%
995.00K
-17.26%
1.28M
-34.08%
1.07M
-36.14%
1.07M
61.20%
1.29M
30960.00%
1.55M
186.70%
1.62M
205.41%
1.68M
247.39%
799.00K
--
5.00K
--
564.00K
--
-1.59M
0.00%
230.00K
--
230.00K
投资产品交易的净现金流
0.31%
15.70M
-30.87%
3.24M
-432.71%
-7.36M
-194.25%
-14.81M
369.95%
15.65M
-59.58%
4.69M
-111.74%
-1.38M
119.09%
15.71M
-178.72%
-5.80M
126.35%
11.60M
126.52%
11.77M
113.80%
7.17M
42.93%
7.36M
-1371.07%
-44.03M
--
-44.40M
--
-51.96M
--
5.15M
0.00%
3.46M
--
3.46M
其他投资活动的净现金流
--
0.00
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
非持续投资活动现金净额
投资活动现金净额
-18.75%
11.85M
-62.60%
1.38M
-190.10%
-7.74M
-205.09%
-15.39M
312.32%
14.58M
-64.17%
3.69M
-126.09%
-2.67M
163.67%
14.65M
-220.77%
-6.87M
123.01%
10.31M
123.02%
10.22M
110.58%
5.55M
-15.66%
5.69M
-1486.18%
-44.83M
--
-44.41M
--
-52.53M
--
6.74M
0.00%
3.23M
--
3.23M
融资活动现金流量
持续融资活动现金净额
806.77%
7.63M
-48.06%
2.64M
-67.26%
1.17M
-26.48%
2.83M
-69.19%
842.00K
84.12%
5.09M
201.09%
3.58M
137.29%
3.86M
262.95%
2.73M
-54.98%
2.76M
-23.88%
1.19M
106.37%
1.63M
-99.64%
753.00K
76637.50%
6.14M
--
1.56M
--
-25.50M
--
209.86M
0.00%
8.00K
--
8.00K
债务发行/偿还的净现金流
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
0.00
100.00%
0.00
--
--
--
--
--
0.00
--
-25.00M
--
-6.40M
--
--
--
0.00
普通股发行/偿还的净现金流
--
0.00
-20.67%
1.42M
--
0.00
49.18%
1.72M
--
0.00
111.92%
1.79M
--
0.00
20.23%
1.15M
--
0.00
-75.97%
847.00K
--
0.00
10755.56%
959.00K
-100.00%
0.00
--
3.52M
--
0.00
--
-9.00K
--
214.85M
--
0.00
--
--
优先股发行/偿还的净现金流
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
0.00
--
0.00
--
0.00
--
--
--
0.00
职工行使股票期权收到的现金
806.77%
7.63M
-62.99%
1.22M
-67.26%
1.17M
-58.75%
1.11M
-69.19%
842.00K
71.83%
3.29M
201.09%
3.58M
305.86%
2.70M
262.95%
2.73M
-26.66%
1.92M
-23.88%
1.19M
-59.51%
666.00K
-82.08%
753.00K
80.65%
2.61M
--
1.56M
--
1.65M
--
4.20M
0.00%
1.45M
--
1.45M
其他融资活动的净现金流额
--
0.00
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
0.00
100.00%
0.00
100.00%
0.00
100.00%
0.00
--
0.00
--
-2.13M
--
-2.79M
0.00%
-1.44M
--
-1.44M
非持续融资活动现金净额
融资活动现金净额
806.77%
7.63M
-48.06%
2.64M
-67.26%
1.17M
-26.48%
2.83M
-69.19%
842.00K
84.12%
5.09M
201.09%
3.58M
137.29%
3.86M
262.95%
2.73M
-54.98%
2.76M
-23.88%
1.19M
106.37%
1.63M
-99.64%
753.00K
76637.50%
6.14M
--
1.56M
--
-25.50M
--
209.86M
0.00%
8.00K
--
8.00K
现金净流量
期初现金流
-46.04%
28.05M
-27.11%
30.54M
-30.39%
33.03M
49.14%
62.61M
11.10%
51.98M
2.21%
41.89M
20.66%
47.45M
-10.45%
41.98M
-2.97%
46.78M
-57.41%
40.99M
-72.30%
39.32M
-80.45%
46.88M
33.70%
48.22M
154.31%
96.23M
--
141.98M
--
239.79M
--
36.06M
0.00%
37.84M
--
37.84M
当期现金流变化
51.09%
16.06M
-124.70%
-2.49M
55.09%
-2.50M
-640.69%
-29.58M
321.36%
10.63M
73.99%
10.08M
-433.69%
-5.56M
172.38%
5.47M
-260.04%
-4.80M
112.07%
5.79M
103.64%
1.67M
92.27%
-7.56M
-100.65%
-1.33M
-102261.70%
-48.02M
--
-45.75M
--
-97.81M
--
203.73M
0.00%
47.00K
--
47.00K
利率变动影响
-13.79%
50.00K
202.29%
268.00K
-1415.79%
-288.00K
57.24%
-124.00K
138.93%
58.00K
-154.37%
-262.00K
-104.15%
-19.00K
-1605.88%
-290.00K
-25.21%
-149.00K
85.67%
-103.00K
278.21%
458.00K
48.48%
-17.00K
-178.81%
-119.00K
-11883.33%
-719.00K
--
-257.00K
--
-33.00K
--
151.00K
0.00%
-6.00K
--
-6.00K
期末现金流
-29.54%
44.11M
-46.04%
28.05M
-27.11%
30.54M
-30.39%
33.03M
49.14%
62.61M
11.10%
51.98M
2.21%
41.89M
20.66%
47.45M
-10.45%
41.98M
-2.97%
46.78M
-57.41%
40.99M
-72.30%
39.32M
-80.45%
46.88M
27.26%
48.22M
--
96.23M
--
141.98M
--
239.79M
0.00%
37.89M
--
37.89M
自由现金流
-23.68%
-7.32M
-1632.45%
-8.64M
151.49%
3.98M
-26.57%
-17.48M
-272.14%
-5.92M
106.66%
564.00K
34.20%
-7.74M
15.47%
-13.81M
82.96%
-1.59M
9.96%
-8.47M
-342.45%
-11.76M
19.57%
-16.34M
28.36%
-9.33M
-175.11%
-9.41M
--
-2.66M
--
-20.31M
--
-13.03M
0.00%
-3.42M
--
-3.42M
货币单位
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
审计意见
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
常见问题
什么是现金流量表?
现金流量表展示了资金在公司内外的流动情况,包括其运营、投资和融资活动。该报表强调流动性,显示企业在生成现金以支持增长和履行义务方面的有效性。
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