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AIRTW AIR T, INC. AIR T FUNDING WARRANTS TO PURCHASE ALPHA INCOME TRUST PREFERRED

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收盘价 05/17 09:30 (美东)
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AIR T, INC. AIR T FUNDING WARRANTS TO PURCHASE ALPHA INCOME TRUST PREFERRED关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2021/06/30
(FY)2021/03/31
(Q4)2021/03/31
(Q3)2020/12/31
(Q2)2020/09/30
(Q1)2020/06/30
(FY)2020/03/31
(Q4)2020/03/31
(Q3)2019/12/31
(Q2)2019/09/30
经营活动现金流量(间接法)
持续经营活动现金净额
-164.50%-882.1万
93.05%-182.3万
131.54%483.8万
90.05%-103.5万
57.04%-229.1万
-168.88%-333.5万
-217.33%-2,623.1万
-177.63%-1,533.9万
18.78%-1,040.1万
-877.33%-533.3万
持续经营净收入
134.21%32.7万
-364.96%-839.4万
-913.93%-584.4万
203.09%176.4万
-57.87%-335.8万
-123.93%-95.6万
-24.70%316.8万
-79.56%71.8万
131.17%58.2万
-194.96%-212.7万
持续经营损益
----
72.09%-147.3万
-1.12%-144.7万
----
----
----
-457.82%-527.7万
---143.1万
----
----
折旧和摊销
-37.60%38万
-45.61%310.7万
-56.81%46.3万
-10.69%88.6万
-32.45%114.9万
-68.72%60.9万
-21.38%571.2万
-47.48%107.2万
-53.80%99.2万
7.55%170.1万
其他非现金项目
-233.33%-49.2万
130.00%101.9万
-19.55%32.5万
-141.70%-104.7万
163.90%137.2万
108.86%36.9万
-24.57%-339.7万
406.06%40.4万
1,808.16%251.1万
11.73%-214.7万
营运资金变化
-169.17%-903.6万
91.35%-248.7万
130.65%493.6万
77.74%-261.2万
53.91%-145.4万
-249.20%-335.7万
-328.89%-2,874.2万
-205.36%-1,610.2万
21.45%-1,173.5万
-666.85%-315.5万
-应收款项(增)减
-284.71%-474.7万
370.92%607.4万
421.41%1,285.8万
-442.58%-898.6万
87.12%-36.8万
157.44%257万
53.16%-224.2万
274.03%246.6万
752.49%262.3万
-268.82%-285.7万
-存货(增)减
-395.63%-328.6万
99.56%-12.9万
71.28%-624.7万
158.59%806万
-136.65%-127.9万
-127.61%-66.3万
-409.58%-2,961.4万
-322.90%-2,174.8万
-33.38%-1,375.7万
391.66%349万
-应付款项及应计费用(减)增
10.41%-194.4万
-178.26%-286.2万
38.72%110.7万
-41.29%-150.9万
88.12%-29万
-134.08%-217万
-42.13%365.7万
-86.17%79.8万
77.78%-106.8万
-171.85%-244.1万
-其他营运资本变化
130.41%94.1万
-925.78%-557万
-216.79%-278.2万
-137.90%-17.7万
135.86%48.3万
-51.30%-309.4万
-137.24%-54.3万
102.90%238.2万
-20.03%46.7万
-131.80%-134.7万
非持续经营活动现金净额
-99.65%4,000
0
0
181.48%115.7万
-76.00%-4.4万
112.40%10.7万
54.8万
经营活动现金净额
-164.50%-882.1万
92.75%-181.9万
131.45%483.8万
89.95%-103.5万
52.20%-228.7万
-161.90%-333.5万
-219.76%-2,507.4万
-177.95%-1,538.3万
24.69%-1,029.4万
-3,205.81%-478.5万
投资活动现金流量
持续投资活动现金净额
-164.42%-144.9万
121.75%251.6万
-82.35%282.4万
103.40%30.7万
99.55%-6.7万
85.32%-54.8万
49.38%-1,156.8万
7,374.55%1,600.4万
-285.21%-904.2万
28.85%-1,479.8万
资本性支出
78.95%-13.6万
84.48%-600.5万
-211.58%-246.6万
92.31%-174.6万
92.17%-114.7万
81.79%-64.6万
-90.42%-3,869.2万
912.50%221万
-16,724.44%-2,271.3万
24.73%-1,464.1万
固定资产交易的净现金流
----
-73.33%818.3万
-54.25%628.3万
----
----
----
631.89%3,068.8万
227.50%1,373.2万
----
----
业务交易的净现金流
---108.5万
83.82%-53.6万
-53,500.00%-53.6万
--0
--0
--0
38.39%-331.2万
---1,000
-40.55%-281.1万
--0
投资产品交易的净现金流
--0
563.31%179.3万
-91.76%7,000
957.89%244.5万
-78.04%-83.5万
-37.59%17.6万
65.57%-38.7万
60.38%8.5万
-134.05%-28.5万
61.86%-46.9万
其他投资活动的净现金流
-192.31%-22.8万
-780.74%-91.9万
-2,009.09%-46.4万
-1,112.70%-229.2万
513.78%191.5万
-329.41%-7.8万
159.47%13.5万
99.48%-2.2万
-103.06%-18.9万
246.48%31.2万
非持续投资活动现金净额
投资活动现金净额
-164.42%-144.9万
-70.76%251.6万
-82.35%282.4万
103.29%30.7万
-101.17%-6.7万
85.50%-54.8万
137.41%860.5万
6,302.71%1,600.3万
-293.19%-933.1万
127.39%571.3万
融资活动现金流量
持续融资活动现金净额
15.46%581.9万
-99.63%7.1万
-482.21%-4,031.2万
165.38%3,672.1万
-113.35%-137.8万
151.00%504万
101.55%1,924万
33.27%-692.4万
107.64%1,383.7万
-49.83%1,031.9万
债务发行/偿还的净现金流
-70.77%147.8万
-93.13%104.9万
-406.98%-4,141.5万
145.24%3,777.2万
-104.70%-36.5万
1,719.06%505.7万
59.62%1,527.7万
10.57%-816.9万
108.53%1,540.2万
-58.13%776.6万
职工行使股票期权收到的现金
----
----
----
----
----
----
----
----
----
--338.9万
其他融资活动的净现金流额
25,635.29%434.1万
-124.68%-97.8万
-11.41%110.3万
-127.36%-105.1万
-21.17%-101.3万
94.10%-1.7万
15,952.00%396.3万
200.32%124.5万
632.13%384.2万
-141.37%-83.6万
非持续融资活动现金净额
融资活动现金净额
15.46%581.9万
-99.63%7.1万
-482.21%-4,031.2万
165.38%3,672.1万
-113.35%-137.8万
151.00%504万
101.55%1,924万
33.27%-692.4万
107.64%1,383.7万
-49.83%1,031.9万
现金净流量
期初现金流
2.29%1,592.7万
24.17%1,557.1万
125.99%4,882.5万
-53.26%1,286.9万
2.39%1,665.6万
23.11%1,557.1万
152.52%1,254万
506.03%2,160.5万
389.01%2,753.6万
182.15%1,626.7万
当期现金流变化
-484.70%-445.1万
-72.28%76.8万
-417.93%-3,265万
721.86%3,599.3万
-133.18%-373.2万
-68.00%115.7万
-62.94%277.1万
-169.27%-630.4万
-166.11%-578.8万
8,286.54%1,124.7万
利率变动影响
31.94%-4.9万
-258.46%-41.2万
-191.85%-24.8万
-2.78%-3.7万
-339.13%-5.5万
-2,500.00%-7.2万
170.83%26万
1,600.00%27万
-133.03%-3.6万
685.52%2.3万
期末现金流
-31.39%1,142.7万
2.29%1,592.7万
2.29%1,592.7万
125.99%4,882.5万
-53.26%1,286.9万
2.39%1,665.6万
24.17%1,557.1万
24.17%1,557.1万
506.03%2,160.5万
389.01%2,753.6万
自由现金流
-124.99%-895.7万
87.73%-782.4万
118.01%237.2万
91.57%-278.1万
82.32%-343.4万
-316.36%-398.1万
-10,434.85%-6,376.6万
-167.69%-1,317.3万
-139.11%-3,300.7万
-0.66%-1,942.6万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
审计意见
--
无保留意见
--
--
--
--
无保留意见
--
--
--
(Q1)2021/06/30(FY)2021/03/31(Q4)2021/03/31(Q3)2020/12/31(Q2)2020/09/30(Q1)2020/06/30(FY)2020/03/31(Q4)2020/03/31(Q3)2019/12/31(Q2)2019/09/30
经营活动现金流量(间接法)
持续经营活动现金净额 -164.50%-882.1万93.05%-182.3万131.54%483.8万90.05%-103.5万57.04%-229.1万-168.88%-333.5万-217.33%-2,623.1万-177.63%-1,533.9万18.78%-1,040.1万-877.33%-533.3万
持续经营净收入 134.21%32.7万-364.96%-839.4万-913.93%-584.4万203.09%176.4万-57.87%-335.8万-123.93%-95.6万-24.70%316.8万-79.56%71.8万131.17%58.2万-194.96%-212.7万
持续经营损益 ----72.09%-147.3万-1.12%-144.7万-------------457.82%-527.7万---143.1万--------
折旧和摊销 -37.60%38万-45.61%310.7万-56.81%46.3万-10.69%88.6万-32.45%114.9万-68.72%60.9万-21.38%571.2万-47.48%107.2万-53.80%99.2万7.55%170.1万
其他非现金项目 -233.33%-49.2万130.00%101.9万-19.55%32.5万-141.70%-104.7万163.90%137.2万108.86%36.9万-24.57%-339.7万406.06%40.4万1,808.16%251.1万11.73%-214.7万
营运资金变化 -169.17%-903.6万91.35%-248.7万130.65%493.6万77.74%-261.2万53.91%-145.4万-249.20%-335.7万-328.89%-2,874.2万-205.36%-1,610.2万21.45%-1,173.5万-666.85%-315.5万
-应收款项(增)减 -284.71%-474.7万370.92%607.4万421.41%1,285.8万-442.58%-898.6万87.12%-36.8万157.44%257万53.16%-224.2万274.03%246.6万752.49%262.3万-268.82%-285.7万
-存货(增)减 -395.63%-328.6万99.56%-12.9万71.28%-624.7万158.59%806万-136.65%-127.9万-127.61%-66.3万-409.58%-2,961.4万-322.90%-2,174.8万-33.38%-1,375.7万391.66%349万
-应付款项及应计费用(减)增 10.41%-194.4万-178.26%-286.2万38.72%110.7万-41.29%-150.9万88.12%-29万-134.08%-217万-42.13%365.7万-86.17%79.8万77.78%-106.8万-171.85%-244.1万
-其他营运资本变化 130.41%94.1万-925.78%-557万-216.79%-278.2万-137.90%-17.7万135.86%48.3万-51.30%-309.4万-137.24%-54.3万102.90%238.2万-20.03%46.7万-131.80%-134.7万
非持续经营活动现金净额 -99.65%4,00000181.48%115.7万-76.00%-4.4万112.40%10.7万54.8万
经营活动现金净额 -164.50%-882.1万92.75%-181.9万131.45%483.8万89.95%-103.5万52.20%-228.7万-161.90%-333.5万-219.76%-2,507.4万-177.95%-1,538.3万24.69%-1,029.4万-3,205.81%-478.5万
投资活动现金流量
持续投资活动现金净额 -164.42%-144.9万121.75%251.6万-82.35%282.4万103.40%30.7万99.55%-6.7万85.32%-54.8万49.38%-1,156.8万7,374.55%1,600.4万-285.21%-904.2万28.85%-1,479.8万
资本性支出 78.95%-13.6万84.48%-600.5万-211.58%-246.6万92.31%-174.6万92.17%-114.7万81.79%-64.6万-90.42%-3,869.2万912.50%221万-16,724.44%-2,271.3万24.73%-1,464.1万
固定资产交易的净现金流 -----73.33%818.3万-54.25%628.3万------------631.89%3,068.8万227.50%1,373.2万--------
业务交易的净现金流 ---108.5万83.82%-53.6万-53,500.00%-53.6万--0--0--038.39%-331.2万---1,000-40.55%-281.1万--0
投资产品交易的净现金流 --0563.31%179.3万-91.76%7,000957.89%244.5万-78.04%-83.5万-37.59%17.6万65.57%-38.7万60.38%8.5万-134.05%-28.5万61.86%-46.9万
其他投资活动的净现金流 -192.31%-22.8万-780.74%-91.9万-2,009.09%-46.4万-1,112.70%-229.2万513.78%191.5万-329.41%-7.8万159.47%13.5万99.48%-2.2万-103.06%-18.9万246.48%31.2万
非持续投资活动现金净额
投资活动现金净额 -164.42%-144.9万-70.76%251.6万-82.35%282.4万103.29%30.7万-101.17%-6.7万85.50%-54.8万137.41%860.5万6,302.71%1,600.3万-293.19%-933.1万127.39%571.3万
融资活动现金流量
持续融资活动现金净额 15.46%581.9万-99.63%7.1万-482.21%-4,031.2万165.38%3,672.1万-113.35%-137.8万151.00%504万101.55%1,924万33.27%-692.4万107.64%1,383.7万-49.83%1,031.9万
债务发行/偿还的净现金流 -70.77%147.8万-93.13%104.9万-406.98%-4,141.5万145.24%3,777.2万-104.70%-36.5万1,719.06%505.7万59.62%1,527.7万10.57%-816.9万108.53%1,540.2万-58.13%776.6万
职工行使股票期权收到的现金 --------------------------------------338.9万
其他融资活动的净现金流额 25,635.29%434.1万-124.68%-97.8万-11.41%110.3万-127.36%-105.1万-21.17%-101.3万94.10%-1.7万15,952.00%396.3万200.32%124.5万632.13%384.2万-141.37%-83.6万
非持续融资活动现金净额
融资活动现金净额 15.46%581.9万-99.63%7.1万-482.21%-4,031.2万165.38%3,672.1万-113.35%-137.8万151.00%504万101.55%1,924万33.27%-692.4万107.64%1,383.7万-49.83%1,031.9万
现金净流量
期初现金流 2.29%1,592.7万24.17%1,557.1万125.99%4,882.5万-53.26%1,286.9万2.39%1,665.6万23.11%1,557.1万152.52%1,254万506.03%2,160.5万389.01%2,753.6万182.15%1,626.7万
当期现金流变化 -484.70%-445.1万-72.28%76.8万-417.93%-3,265万721.86%3,599.3万-133.18%-373.2万-68.00%115.7万-62.94%277.1万-169.27%-630.4万-166.11%-578.8万8,286.54%1,124.7万
利率变动影响 31.94%-4.9万-258.46%-41.2万-191.85%-24.8万-2.78%-3.7万-339.13%-5.5万-2,500.00%-7.2万170.83%26万1,600.00%27万-133.03%-3.6万685.52%2.3万
期末现金流 -31.39%1,142.7万2.29%1,592.7万2.29%1,592.7万125.99%4,882.5万-53.26%1,286.9万2.39%1,665.6万24.17%1,557.1万24.17%1,557.1万506.03%2,160.5万389.01%2,753.6万
自由现金流 -124.99%-895.7万87.73%-782.4万118.01%237.2万91.57%-278.1万82.32%-343.4万-316.36%-398.1万-10,434.85%-6,376.6万-167.69%-1,317.3万-139.11%-3,300.7万-0.66%-1,942.6万
货币单位 美元美元美元美元美元美元美元美元美元美元
审计意见 --无保留意见--------无保留意见------

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