美股市場個股詳情

RPM RPM International

添加自選
  • 109.220
  • +0.890+0.82%
收盤價 05/03 16:00 (美東)
  • 109.230
  • +0.010+0.01%
盤後 17:25 (美東)
140.63億總市值25.17市盈率TTM

RPM International關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2024/02/29
(Q2)2023/11/30
(Q1)2023/08/31
(FY)2023/05/31
(Q4)2023/05/31
(Q3)2023/02/28
(Q2)2022/11/30
(Q1)2022/08/31
(FY)2022/05/31
(Q4)2022/05/31
經營活動現金流量(間接法)
持續經營活動現金淨額
140.47%1.73億
144.13%4.09億
1,424.98%3.59億
222.89%5.77億
1,278.83%3.14億
2,217.89%7,209.3萬
101.04%1.67億
-69.05%2,355.5萬
-76.67%1.79億
-80.06%2,278萬
持續經營淨收入
125.70%6,147.8萬
10.85%1.46億
18.92%2.01億
-2.59%4.8億
-23.90%1.52億
-18.08%2,723.9萬
5.14%1.32億
25.58%1.69億
-2.19%4.92億
27.46%1.99億
持續經營損益
55.54%-1,131.7萬
115.42%58.5萬
-148.26%-318.8萬
22.55%-2,654.6萬
-114.85%-390.6萬
-419.51%-2,545.2萬
89.73%-379.4萬
290.05%660.6萬
11.60%-3,427.7萬
80.07%-181.8萬
折舊和攤銷
10.52%4,247.9萬
6.01%4,063.8萬
13.34%4,353.9萬
1.22%1.55億
2.54%3,976.3萬
0.30%3,843.6萬
0.80%3,833.4萬
1.24%3,841.6萬
4.23%1.53億
2.76%3,877.9萬
遞延稅費
-38.88%776.4萬
-245.59%-786.9萬
219.59%229.5萬
124.88%623.6萬
72.18%-227萬
217.85%1,270.2萬
14.97%-227.7萬
44.41%-191.9萬
-224.17%-2,506.7萬
-90.41%-815.9萬
其他非現金項目
-450.63%-276.3萬
-408.37%-109.3萬
4,494.59%510萬
150.82%168.3萬
132.33%99.9萬
785.22%78.8萬
-115.26%-21.5萬
110.54%11.1萬
111.51%67.1萬
112.51%43萬
營運資金變化
392.20%7,341.3萬
5,599.78%2.22億
151.03%1.01億
76.72%-1.04億
156.70%1.23億
70.21%-2,512.4萬
92.36%-404.5萬
-109.71%-1.98億
-551.46%-4.48億
-197.60%-2.17億
-應收款項(增)減
21.91%1.58億
152.13%1.85億
33,074.44%8,771.2萬
49.50%-9,458.5萬
16.90%-2.97億
44.23%1.3億
514.57%7,319.7萬
-100.27%-26.6萬
-111.36%-1.87億
-32.69%-3.58億
-存貨(增)減
-62.30%1,787.5萬
136.23%1,496.2萬
115.04%2,228.1萬
121.96%6,680.5萬
780.86%2.09億
131.91%4,741.8萬
27.27%-4,129.9萬
-117.43%-1.48億
-342.13%-3.04億
-176.38%-3,067.8萬
-預付費用(增)減
-67.34%908.9萬
173.45%3,553.7萬
60.36%-1,427.7萬
110.46%136.4萬
74.58%-344.3萬
77.60%2,783.2萬
2,590.68%1,299.6萬
-130.20%-3,602.1萬
-13.82%-1,304萬
55.72%-1,354.6萬
-應付款項及應計費用(減)增
51.43%-1.12億
74.29%-1,258.3萬
139.31%531.7萬
-238.49%-7,795萬
15.77%2.15億
-455.75%-2.3億
-332.70%-4,893.9萬
87.57%-1,352.5萬
-78.83%5,628.6萬
-22.64%1.85億
非持續經營活動現金淨額
經營活動現金淨額
140.47%1.73億
144.13%4.09億
1,424.98%3.59億
222.89%5.77億
1,278.83%3.14億
2,217.89%7,209.3萬
101.04%1.67億
-69.05%2,355.5萬
-76.67%1.79億
-80.06%2,278萬
投資活動現金流量
持續投資活動現金淨額
-270.70%-4,223萬
25.82%-5,012.2萬
36.21%-6,151.7萬
3.79%-2.5億
-96.17%-7,430.5萬
78.61%-1,139.2萬
13.24%-6,757.2萬
-6.54%-9,643.5萬
20.48%-2.6億
65.08%-3,787.7萬
資本性支出
26.36%-4,879.3萬
33.33%-3,709.9萬
9.71%-5,220.1萬
-14.40%-2.54億
-6.73%-7,471萬
-29.96%-6,626.2萬
-12.35%-5,564.5萬
-11.43%-5,781.8萬
-41.48%-2.22億
-29.70%-7,000.2萬
業務交易的淨現金流
---14.5萬
-1.87%-1,137.8萬
88.93%-402.6萬
62.70%-4,754.2萬
--0
--0
85.76%-1,116.9萬
-1.59%-3,637.3萬
22.86%-1.27億
78.38%-1,100萬
投資產品交易的淨現金流
41.00%-20萬
-60.72%-146.9萬
-192.25%-679.2萬
-191.42%-594.3萬
-121.18%-236.6萬
75.31%-33.9萬
-315.45%-91.4萬
24.47%-232.4萬
169.37%650.1萬
251.78%1,117.1萬
其他投資活動的淨現金流
-87.49%690.8萬
-212.82%-17.6萬
1,777.50%150.2萬
-30.54%5,821.6萬
-91.33%277.1萬
4,101.60%5,520.9萬
-99.69%15.6萬
-68.00%8萬
1,450.64%8,381.2萬
754.16%3,195.4萬
非持續投資活動現金淨額
投資活動現金淨額
-270.70%-4,223萬
25.82%-5,012.2萬
36.21%-6,151.7萬
3.79%-2.5億
-96.17%-7,430.5萬
78.61%-1,139.2萬
13.24%-6,757.2萬
-6.54%-9,643.5萬
20.48%-2.6億
65.08%-3,787.7萬
融資活動現金流量
持續融資活動現金淨額
-44.11%-1.4億
-412.50%-3.36億
-444.03%-2.74億
-624.75%-3.01億
-838.62%-2.18億
-281.02%-9,749.4萬
-249.11%-6,555.2萬
1,209.57%7,974.5萬
112.49%5,739萬
248.00%2,949.5萬
債務發行/償還的淨現金流
-120.21%-6,660.1萬
-2,824.32%-2.57億
-209.98%-1.92億
-104.09%-1,374.3萬
-238.95%-1.49億
-124.23%-3,024.4萬
-120.19%-879.7萬
190.94%1.75億
278.49%3.36億
75.68%1.08億
普通股發行/償還的淨現金流
-6.35%-1,374.8萬
-666.43%-1,835.6萬
26.98%-2,733.3萬
-4.68%-6,704.7萬
44.25%-1,429.5萬
50.10%-1,292.7萬
-141.28%-239.5萬
-104.51%-3,743萬
12.00%-6,404.9萬
17.47%-2,564.3萬
現金股利支付
-9.36%-5,927.6萬
-9.30%-5,926萬
-5.14%-5,406.5萬
-4.66%-2.14億
-4.35%-5,407.1萬
-4.53%-5,420.1萬
-4.62%-5,422萬
-5.15%-5,142萬
-4.97%-2.04億
-5.19%-5,181.9萬
其他融資活動的淨現金流額
-615.57%-87.3萬
-673.57%-108.3萬
88.50%-71.2萬
36.89%-645.4萬
--0
-101.80%-12.2萬
99.14%-14萬
-10,220.00%-619.2萬
-166.37%-1,022.6萬
24.79%-62.8萬
非持續融資活動現金淨額
融資活動現金淨額
-44.11%-1.4億
-412.50%-3.36億
-444.03%-2.74億
-624.75%-3.01億
-838.62%-2.18億
-281.02%-9,749.4萬
-249.11%-6,555.2萬
1,209.57%7,974.5萬
112.49%5,739萬
248.00%2,949.5萬
現金淨流量
期初現金流
13.20%2.63億
21.77%2.41億
7.00%2.16億
-18.25%2.02億
0.35%1.94億
20.36%2.32億
-7.33%1.98億
-18.25%2.02億
5.69%2.47億
-22.48%1.93億
當期現金流變化
74.55%-936.4萬
-34.29%2,249.8萬
240.13%2,335萬
212.03%2,624.5萬
52.36%2,193.7萬
-1,207.03%-3,679.3萬
355.26%3,423.6萬
131.79%686.5萬
-18.01%-2,342.6萬
201.83%1,439.8萬
利率變動影響
-207.70%-447.7萬
-209.74%-33.8萬
113.22%144.9萬
43.86%-1,213萬
99.66%-2萬
-146.12%-145.5萬
104.43%30.8萬
7.84%-1,096.3萬
-165.20%-2,160.6萬
-150.88%-591.7萬
期末現金流
28.39%2.49億
13.20%2.63億
21.77%2.41億
7.00%2.16億
7.00%2.16億
0.35%1.94億
20.36%2.32億
-7.33%1.98億
-18.25%2.02億
-18.25%2.02億
自由現金流
2,036.36%1.25億
232.52%3.71億
996.04%3.07億
838.85%3.23億
606.94%2.39億
110.72%583.1萬
231.30%1.12億
-241.47%-3,426.3萬
-107.17%-4,367.2萬
-178.34%-4,722.2萬
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
審計意見
--
--
--
無保留意見
--
--
--
--
無保留意見
--
(Q3)2024/02/29(Q2)2023/11/30(Q1)2023/08/31(FY)2023/05/31(Q4)2023/05/31(Q3)2023/02/28(Q2)2022/11/30(Q1)2022/08/31(FY)2022/05/31(Q4)2022/05/31
經營活動現金流量(間接法)
持續經營活動現金淨額 140.47%1.73億144.13%4.09億1,424.98%3.59億222.89%5.77億1,278.83%3.14億2,217.89%7,209.3萬101.04%1.67億-69.05%2,355.5萬-76.67%1.79億-80.06%2,278萬
持續經營淨收入 125.70%6,147.8萬10.85%1.46億18.92%2.01億-2.59%4.8億-23.90%1.52億-18.08%2,723.9萬5.14%1.32億25.58%1.69億-2.19%4.92億27.46%1.99億
持續經營損益 55.54%-1,131.7萬115.42%58.5萬-148.26%-318.8萬22.55%-2,654.6萬-114.85%-390.6萬-419.51%-2,545.2萬89.73%-379.4萬290.05%660.6萬11.60%-3,427.7萬80.07%-181.8萬
折舊和攤銷 10.52%4,247.9萬6.01%4,063.8萬13.34%4,353.9萬1.22%1.55億2.54%3,976.3萬0.30%3,843.6萬0.80%3,833.4萬1.24%3,841.6萬4.23%1.53億2.76%3,877.9萬
遞延稅費 -38.88%776.4萬-245.59%-786.9萬219.59%229.5萬124.88%623.6萬72.18%-227萬217.85%1,270.2萬14.97%-227.7萬44.41%-191.9萬-224.17%-2,506.7萬-90.41%-815.9萬
其他非現金項目 -450.63%-276.3萬-408.37%-109.3萬4,494.59%510萬150.82%168.3萬132.33%99.9萬785.22%78.8萬-115.26%-21.5萬110.54%11.1萬111.51%67.1萬112.51%43萬
營運資金變化 392.20%7,341.3萬5,599.78%2.22億151.03%1.01億76.72%-1.04億156.70%1.23億70.21%-2,512.4萬92.36%-404.5萬-109.71%-1.98億-551.46%-4.48億-197.60%-2.17億
-應收款項(增)減 21.91%1.58億152.13%1.85億33,074.44%8,771.2萬49.50%-9,458.5萬16.90%-2.97億44.23%1.3億514.57%7,319.7萬-100.27%-26.6萬-111.36%-1.87億-32.69%-3.58億
-存貨(增)減 -62.30%1,787.5萬136.23%1,496.2萬115.04%2,228.1萬121.96%6,680.5萬780.86%2.09億131.91%4,741.8萬27.27%-4,129.9萬-117.43%-1.48億-342.13%-3.04億-176.38%-3,067.8萬
-預付費用(增)減 -67.34%908.9萬173.45%3,553.7萬60.36%-1,427.7萬110.46%136.4萬74.58%-344.3萬77.60%2,783.2萬2,590.68%1,299.6萬-130.20%-3,602.1萬-13.82%-1,304萬55.72%-1,354.6萬
-應付款項及應計費用(減)增 51.43%-1.12億74.29%-1,258.3萬139.31%531.7萬-238.49%-7,795萬15.77%2.15億-455.75%-2.3億-332.70%-4,893.9萬87.57%-1,352.5萬-78.83%5,628.6萬-22.64%1.85億
非持續經營活動現金淨額
經營活動現金淨額 140.47%1.73億144.13%4.09億1,424.98%3.59億222.89%5.77億1,278.83%3.14億2,217.89%7,209.3萬101.04%1.67億-69.05%2,355.5萬-76.67%1.79億-80.06%2,278萬
投資活動現金流量
持續投資活動現金淨額 -270.70%-4,223萬25.82%-5,012.2萬36.21%-6,151.7萬3.79%-2.5億-96.17%-7,430.5萬78.61%-1,139.2萬13.24%-6,757.2萬-6.54%-9,643.5萬20.48%-2.6億65.08%-3,787.7萬
資本性支出 26.36%-4,879.3萬33.33%-3,709.9萬9.71%-5,220.1萬-14.40%-2.54億-6.73%-7,471萬-29.96%-6,626.2萬-12.35%-5,564.5萬-11.43%-5,781.8萬-41.48%-2.22億-29.70%-7,000.2萬
業務交易的淨現金流 ---14.5萬-1.87%-1,137.8萬88.93%-402.6萬62.70%-4,754.2萬--0--085.76%-1,116.9萬-1.59%-3,637.3萬22.86%-1.27億78.38%-1,100萬
投資產品交易的淨現金流 41.00%-20萬-60.72%-146.9萬-192.25%-679.2萬-191.42%-594.3萬-121.18%-236.6萬75.31%-33.9萬-315.45%-91.4萬24.47%-232.4萬169.37%650.1萬251.78%1,117.1萬
其他投資活動的淨現金流 -87.49%690.8萬-212.82%-17.6萬1,777.50%150.2萬-30.54%5,821.6萬-91.33%277.1萬4,101.60%5,520.9萬-99.69%15.6萬-68.00%8萬1,450.64%8,381.2萬754.16%3,195.4萬
非持續投資活動現金淨額
投資活動現金淨額 -270.70%-4,223萬25.82%-5,012.2萬36.21%-6,151.7萬3.79%-2.5億-96.17%-7,430.5萬78.61%-1,139.2萬13.24%-6,757.2萬-6.54%-9,643.5萬20.48%-2.6億65.08%-3,787.7萬
融資活動現金流量
持續融資活動現金淨額 -44.11%-1.4億-412.50%-3.36億-444.03%-2.74億-624.75%-3.01億-838.62%-2.18億-281.02%-9,749.4萬-249.11%-6,555.2萬1,209.57%7,974.5萬112.49%5,739萬248.00%2,949.5萬
債務發行/償還的淨現金流 -120.21%-6,660.1萬-2,824.32%-2.57億-209.98%-1.92億-104.09%-1,374.3萬-238.95%-1.49億-124.23%-3,024.4萬-120.19%-879.7萬190.94%1.75億278.49%3.36億75.68%1.08億
普通股發行/償還的淨現金流 -6.35%-1,374.8萬-666.43%-1,835.6萬26.98%-2,733.3萬-4.68%-6,704.7萬44.25%-1,429.5萬50.10%-1,292.7萬-141.28%-239.5萬-104.51%-3,743萬12.00%-6,404.9萬17.47%-2,564.3萬
現金股利支付 -9.36%-5,927.6萬-9.30%-5,926萬-5.14%-5,406.5萬-4.66%-2.14億-4.35%-5,407.1萬-4.53%-5,420.1萬-4.62%-5,422萬-5.15%-5,142萬-4.97%-2.04億-5.19%-5,181.9萬
其他融資活動的淨現金流額 -615.57%-87.3萬-673.57%-108.3萬88.50%-71.2萬36.89%-645.4萬--0-101.80%-12.2萬99.14%-14萬-10,220.00%-619.2萬-166.37%-1,022.6萬24.79%-62.8萬
非持續融資活動現金淨額
融資活動現金淨額 -44.11%-1.4億-412.50%-3.36億-444.03%-2.74億-624.75%-3.01億-838.62%-2.18億-281.02%-9,749.4萬-249.11%-6,555.2萬1,209.57%7,974.5萬112.49%5,739萬248.00%2,949.5萬
現金淨流量
期初現金流 13.20%2.63億21.77%2.41億7.00%2.16億-18.25%2.02億0.35%1.94億20.36%2.32億-7.33%1.98億-18.25%2.02億5.69%2.47億-22.48%1.93億
當期現金流變化 74.55%-936.4萬-34.29%2,249.8萬240.13%2,335萬212.03%2,624.5萬52.36%2,193.7萬-1,207.03%-3,679.3萬355.26%3,423.6萬131.79%686.5萬-18.01%-2,342.6萬201.83%1,439.8萬
利率變動影響 -207.70%-447.7萬-209.74%-33.8萬113.22%144.9萬43.86%-1,213萬99.66%-2萬-146.12%-145.5萬104.43%30.8萬7.84%-1,096.3萬-165.20%-2,160.6萬-150.88%-591.7萬
期末現金流 28.39%2.49億13.20%2.63億21.77%2.41億7.00%2.16億7.00%2.16億0.35%1.94億20.36%2.32億-7.33%1.98億-18.25%2.02億-18.25%2.02億
自由現金流 2,036.36%1.25億232.52%3.71億996.04%3.07億838.85%3.23億606.94%2.39億110.72%583.1萬231.30%1.12億-241.47%-3,426.3萬-107.17%-4,367.2萬-178.34%-4,722.2萬
貨幣單位 美元美元美元美元美元美元美元美元美元美元
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 ------無保留意見--------無保留意見--

分析

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