加拿大市场个股详情

CFW Calfrac Well Services Ltd

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  • 3.940
  • +0.070+1.81%
延时15分钟行情已收盘 11/19 16:00 (美东)
3.38亿总市值1.82市盈率TTM

Calfrac Well Services Ltd关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
经营活动现金流量(间接法)
持续经营活动现金净额
-76.39%2,391万
-17.38%1,503万
-90.77%377.3万
161.91%2.82亿
76.19%1.21亿
636.30%1.01亿
98.00%1,819.2万
159.59%4,089.4万
801.13%1.08亿
1,795.32%6,883.8万
持续经营净收入
-106.27%-542.7万
-56.65%2,308.9万
-105.62%-215.3万
1,532.89%1.91亿
-35.25%1,250.2万
72.81%8,657.2万
247.16%5,326.1万
278.00%3,833.7万
114.10%1,167.7万
168.19%1,930.9万
持续经营损益
423.07%1,085.2万
225.74%98.2万
-335.90%-361.8万
209.91%1,209.6万
414.97%1,706.6万
66.54%-335.9万
91.77%-78.1万
-115.93%-83万
-1,081.71%-1,100.5万
169.87%331.4万
折旧摊销及损耗
27.20%3,483.7万
-2.18%2,803.3万
-7.18%2,799.5万
-4.57%1.17亿
-5.76%3,043.5万
-6.83%2,738.7万
-5.69%2,865.7万
0.03%3,016.2万
-4.45%1.22亿
2.07%3,229.4万
资产减值支出
131.22%788.9万
241.48%1,067.8万
48.47%334.2万
-123.08%-1,382.5万
-66.62%606.8万
-2,174.62%-2,527.1万
-92.70%312.7万
--225.1万
8,395.89%5,989.6万
2,478.30%1,817.7万
以股票支付的报酬
-13.48%127.1万
165.75%211.8万
301.65%218.5万
84.33%511.7万
404.81%230.7万
301.37%146.9万
-13.28%79.7万
-47.39%54.4万
22.18%277.6万
-50.11%45.7万
递延税费
89.60%-60.3万
79.67%-143.4万
-173.07%-637.6万
86.72%-218.7万
111.43%194.1万
-207.75%-580万
-1,019.69%-705.4万
254.99%872.6万
39.09%-1,646.6万
-168.89%-1,698.6万
其他非现金项目
22.28%876.9万
3.76%781万
-27.23%592.6万
-36.77%2,940.9万
-56.15%656.8万
-33.61%717.1万
-31.05%752.7万
-17.04%814.3万
23.25%4,651.1万
55.01%1,497.7万
营运资金变化
-192.35%-2,064万
19.10%-5,347.8万
61.55%-1,391.7万
53.10%-3,519.4万
1,587.52%4,475.3万
138.59%2,234.9万
-128.36%-6,610万
-494.68%-3,619.6万
-49.69%-7,503.4万
155.16%265.2万
-应收款项(增)减
-155.65%-1,307.9万
-252.65%-1.12亿
----
----
----
146.36%2,350.4万
-15.20%-3,161.8万
-79.57%-8,551.8万
-51.55%-7,831.6万
25.36%4,745万
-存货(增)减
-35.16%-2,367.1万
123.57%787.4万
----
----
----
19.74%-1,751.3万
137.20%352.2万
-104.71%-19.7万
-155.45%-4,783.1万
-136.89%-2,072.8万
-预付费用(增)减
-1,230.30%-223.8万
-6.76%-184.7万
----
----
----
102.47%19.8万
29.19%-173万
-205.31%-327万
-236.04%-455.2万
84.27%278.8万
-应付款项及应计费用(减)增
13.54%1,834.8万
243.34%5,199.5万
----
----
----
-28.52%1,616万
-448.39%-3,627.4万
6.64%5,278.9万
228.78%5,566.5万
24.18%-2,685.8万
已付利息(经营活动产生的现金流)
-40.89%-1,303.8万
-122.87%-276.8万
6.17%-961.1万
36.17%-2,109.5万
93.35%-35.6万
30.05%-925.4万
37.93%-124.2万
17.81%-1,024.3万
-31.53%-3,304.9万
-398.70%-535.6万
非持续经营活动现金净额
经营活动现金净额
-76.39%2,391万
-17.38%1,503万
-90.77%377.3万
161.91%2.82亿
76.19%1.21亿
636.30%1.01亿
98.00%1,819.2万
159.59%4,089.4万
801.13%1.08亿
1,795.32%6,883.8万
投资活动现金流量
持续投资活动现金净额
48.75%-2,525.8万
-212.47%-6,514万
-28.80%-4,467万
-94.78%-1.45亿
-24.77%-3,995.3万
-191.97%-4,928.8万
-110.02%-2,084.7万
-123.80%-3,468.2万
-21.26%-7,432.5万
-97.00%-3,202.1万
固定资产交易净额
48.75%-2,525.8万
-212.47%-6,514万
-28.80%-4,467万
-94.78%-1.45亿
-24.77%-3,995.3万
-191.97%-4,928.8万
-110.02%-2,084.7万
-123.80%-3,468.2万
-21.26%-7,432.5万
-97.00%-3,202.1万
非持续投资活动现金净额
投资活动现金净额
48.75%-2,525.8万
-212.47%-6,514万
-28.80%-4,467万
-94.78%-1.45亿
-24.77%-3,995.3万
-191.97%-4,928.8万
-110.02%-2,084.7万
-123.80%-3,468.2万
-21.26%-7,432.5万
-97.00%-3,202.1万
融资活动现金流量
持续融资活动现金净额
56.42%-1,306.4万
530.06%4,244.3万
871.61%5,716万
-150.89%-8,413.2万
-49.27%-5,017.2万
-672.13%-2,997.4万
45.45%-986.9万
-73.32%588.3万
-173.13%-3,353.3万
-610.90%-3,361.2万
债务发行/偿还的净额
57.28%-1,306.4万
522.78%4,216万
915.46%5,716万
-164.99%-9,646.8万
-77.87%-6,154.1万
-579.19%-3,058.4万
46.53%-997.2万
-73.63%562.9万
-179.71%-3,640.4万
-633.44%-3,459.9万
职工行使股票期权收到的现金
--0
174.76%28.3万
--0
329.68%1,233.6万
1,051.87%1,136.9万
-1.77%61万
-81.57%10.3万
-63.92%25.4万
1,468.85%287.1万
--98.7万
非持续融资活动现金净额
融资活动现金净额
56.42%-1,306.4万
530.06%4,244.3万
871.61%5,716万
-150.89%-8,413.2万
-49.27%-5,017.2万
-672.13%-2,997.4万
45.45%-986.9万
-73.32%588.3万
-173.13%-3,353.3万
-610.90%-3,361.2万
现金净流量
期初现金流
679.85%5,267.1万
116.72%5,999万
145.69%4,519万
1,461.44%1,839.3万
33.44%3,059.7万
-70.05%675.4万
98.62%2,768.1万
1,461.44%1,839.3万
-104.53%-135.1万
279.43%2,292.9万
当期现金流变化
-165.50%-1,441.2万
38.78%-766.7万
34.46%1,626.3万
16,275.46%5,273.2万
872.20%3,115.9万
413.87%2,200.2万
33.49%-1,252.4万
-45.78%1,209.5万
98.94%-32.6万
153.04%320.5万
利率变动影响
-445.79%-636.6万
104.14%34.8万
47.84%-146.4万
-229.22%-2,593.5万
-114.00%-1,656.6万
-75.08%184.1万
-130.62%-840.3万
60.01%-280.7万
5,092.54%2,007万
-472.98%-774.1万
期末现金流
4.24%3,189.3万
679.85%5,267.1万
116.72%5,998.9万
145.69%4,519万
145.69%4,519万
33.44%3,059.7万
-70.05%675.4万
98.62%2,768.1万
1,461.44%1,839.3万
1,461.44%1,839.3万
自由现金流
-108.75%-447.3万
-104.17%-5,050.5万
-1,057.74%-5,264.7万
307.61%1.13亿
134.27%8,109.4万
1,182.16%5,114.3万
-1,261.42%-2,473.7万
1,666.10%549.7万
135.19%2,772.2万
370.14%3,461.6万
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
审计意见
--
--
--
--
--
--
--
--
无保留意见
--
(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31
经营活动现金流量(间接法)
持续经营活动现金净额 -76.39%2,391万-17.38%1,503万-90.77%377.3万161.91%2.82亿76.19%1.21亿636.30%1.01亿98.00%1,819.2万159.59%4,089.4万801.13%1.08亿1,795.32%6,883.8万
持续经营净收入 -106.27%-542.7万-56.65%2,308.9万-105.62%-215.3万1,532.89%1.91亿-35.25%1,250.2万72.81%8,657.2万247.16%5,326.1万278.00%3,833.7万114.10%1,167.7万168.19%1,930.9万
持续经营损益 423.07%1,085.2万225.74%98.2万-335.90%-361.8万209.91%1,209.6万414.97%1,706.6万66.54%-335.9万91.77%-78.1万-115.93%-83万-1,081.71%-1,100.5万169.87%331.4万
折旧摊销及损耗 27.20%3,483.7万-2.18%2,803.3万-7.18%2,799.5万-4.57%1.17亿-5.76%3,043.5万-6.83%2,738.7万-5.69%2,865.7万0.03%3,016.2万-4.45%1.22亿2.07%3,229.4万
资产减值支出 131.22%788.9万241.48%1,067.8万48.47%334.2万-123.08%-1,382.5万-66.62%606.8万-2,174.62%-2,527.1万-92.70%312.7万--225.1万8,395.89%5,989.6万2,478.30%1,817.7万
以股票支付的报酬 -13.48%127.1万165.75%211.8万301.65%218.5万84.33%511.7万404.81%230.7万301.37%146.9万-13.28%79.7万-47.39%54.4万22.18%277.6万-50.11%45.7万
递延税费 89.60%-60.3万79.67%-143.4万-173.07%-637.6万86.72%-218.7万111.43%194.1万-207.75%-580万-1,019.69%-705.4万254.99%872.6万39.09%-1,646.6万-168.89%-1,698.6万
其他非现金项目 22.28%876.9万3.76%781万-27.23%592.6万-36.77%2,940.9万-56.15%656.8万-33.61%717.1万-31.05%752.7万-17.04%814.3万23.25%4,651.1万55.01%1,497.7万
营运资金变化 -192.35%-2,064万19.10%-5,347.8万61.55%-1,391.7万53.10%-3,519.4万1,587.52%4,475.3万138.59%2,234.9万-128.36%-6,610万-494.68%-3,619.6万-49.69%-7,503.4万155.16%265.2万
-应收款项(增)减 -155.65%-1,307.9万-252.65%-1.12亿------------146.36%2,350.4万-15.20%-3,161.8万-79.57%-8,551.8万-51.55%-7,831.6万25.36%4,745万
-存货(增)减 -35.16%-2,367.1万123.57%787.4万------------19.74%-1,751.3万137.20%352.2万-104.71%-19.7万-155.45%-4,783.1万-136.89%-2,072.8万
-预付费用(增)减 -1,230.30%-223.8万-6.76%-184.7万------------102.47%19.8万29.19%-173万-205.31%-327万-236.04%-455.2万84.27%278.8万
-应付款项及应计费用(减)增 13.54%1,834.8万243.34%5,199.5万-------------28.52%1,616万-448.39%-3,627.4万6.64%5,278.9万228.78%5,566.5万24.18%-2,685.8万
已付利息(经营活动产生的现金流) -40.89%-1,303.8万-122.87%-276.8万6.17%-961.1万36.17%-2,109.5万93.35%-35.6万30.05%-925.4万37.93%-124.2万17.81%-1,024.3万-31.53%-3,304.9万-398.70%-535.6万
非持续经营活动现金净额
经营活动现金净额 -76.39%2,391万-17.38%1,503万-90.77%377.3万161.91%2.82亿76.19%1.21亿636.30%1.01亿98.00%1,819.2万159.59%4,089.4万801.13%1.08亿1,795.32%6,883.8万
投资活动现金流量
持续投资活动现金净额 48.75%-2,525.8万-212.47%-6,514万-28.80%-4,467万-94.78%-1.45亿-24.77%-3,995.3万-191.97%-4,928.8万-110.02%-2,084.7万-123.80%-3,468.2万-21.26%-7,432.5万-97.00%-3,202.1万
固定资产交易净额 48.75%-2,525.8万-212.47%-6,514万-28.80%-4,467万-94.78%-1.45亿-24.77%-3,995.3万-191.97%-4,928.8万-110.02%-2,084.7万-123.80%-3,468.2万-21.26%-7,432.5万-97.00%-3,202.1万
非持续投资活动现金净额
投资活动现金净额 48.75%-2,525.8万-212.47%-6,514万-28.80%-4,467万-94.78%-1.45亿-24.77%-3,995.3万-191.97%-4,928.8万-110.02%-2,084.7万-123.80%-3,468.2万-21.26%-7,432.5万-97.00%-3,202.1万
融资活动现金流量
持续融资活动现金净额 56.42%-1,306.4万530.06%4,244.3万871.61%5,716万-150.89%-8,413.2万-49.27%-5,017.2万-672.13%-2,997.4万45.45%-986.9万-73.32%588.3万-173.13%-3,353.3万-610.90%-3,361.2万
债务发行/偿还的净额 57.28%-1,306.4万522.78%4,216万915.46%5,716万-164.99%-9,646.8万-77.87%-6,154.1万-579.19%-3,058.4万46.53%-997.2万-73.63%562.9万-179.71%-3,640.4万-633.44%-3,459.9万
职工行使股票期权收到的现金 --0174.76%28.3万--0329.68%1,233.6万1,051.87%1,136.9万-1.77%61万-81.57%10.3万-63.92%25.4万1,468.85%287.1万--98.7万
非持续融资活动现金净额
融资活动现金净额 56.42%-1,306.4万530.06%4,244.3万871.61%5,716万-150.89%-8,413.2万-49.27%-5,017.2万-672.13%-2,997.4万45.45%-986.9万-73.32%588.3万-173.13%-3,353.3万-610.90%-3,361.2万
现金净流量
期初现金流 679.85%5,267.1万116.72%5,999万145.69%4,519万1,461.44%1,839.3万33.44%3,059.7万-70.05%675.4万98.62%2,768.1万1,461.44%1,839.3万-104.53%-135.1万279.43%2,292.9万
当期现金流变化 -165.50%-1,441.2万38.78%-766.7万34.46%1,626.3万16,275.46%5,273.2万872.20%3,115.9万413.87%2,200.2万33.49%-1,252.4万-45.78%1,209.5万98.94%-32.6万153.04%320.5万
利率变动影响 -445.79%-636.6万104.14%34.8万47.84%-146.4万-229.22%-2,593.5万-114.00%-1,656.6万-75.08%184.1万-130.62%-840.3万60.01%-280.7万5,092.54%2,007万-472.98%-774.1万
期末现金流 4.24%3,189.3万679.85%5,267.1万116.72%5,998.9万145.69%4,519万145.69%4,519万33.44%3,059.7万-70.05%675.4万98.62%2,768.1万1,461.44%1,839.3万1,461.44%1,839.3万
自由现金流 -108.75%-447.3万-104.17%-5,050.5万-1,057.74%-5,264.7万307.61%1.13亿134.27%8,109.4万1,182.16%5,114.3万-1,261.42%-2,473.7万1,666.10%549.7万135.19%2,772.2万370.14%3,461.6万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ----------------无保留意见--

FY:Financial Year 年度报告,相当于上市公司向SEC披露的10-K文件。

Q:Quarter 季度报告,相当于上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4为单季报,跨度为3个月;Q6、Q9为累计季报,Q6为6个月,Q9为9个月。

热议
加拿大
综合热度
股票代码
最新价
涨跌幅

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