加拿大市场个股详情

DR Medical Facilities Corp

添加自选
  • 15.770
  • -0.270-1.68%
延时15分钟行情已收盘 11/28 16:00 (美东)
3.70亿总市值14.77市盈率TTM

Medical Facilities Corp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
39.47%2,199.1万
-18.61%1,481万
29.58%2,451.5万
27.54%7,271.4万
12.68%1,983万
16.31%1,576.8万
26.19%1,819.7万
65.40%1,891.9万
-24.63%5,701.3万
-25.36%1,759.8万
持续经营净收入
263.43%1,741.9万
-28.01%664.4万
-12.47%846.1万
257.86%4,399.9万
708.66%2,031.1万
187.21%479.3万
-58.51%922.9万
966.91%966.6万
-73.56%1,229.5万
-115.96%-333.7万
持续经营损益
100.65%1.4万
10.00%1.1万
975.00%4.3万
-823.05%-213.3万
-153.33%-8,000
-214,000.00%-213.9万
-96.36%1万
0.00%4,000
85.53%29.5万
-57.14%1.5万
折旧摊销及损耗
-6.17%487.9万
-13.78%489.1万
-13.58%487.4万
3.73%2,153.7万
-6.25%502.4万
0.29%520万
11.63%567.3万
9.79%564万
-22.44%2,076.3万
-16.93%535.9万
资产减值支出
----
----
----
-97.25%78.6万
--0
----
----
----
--2,853.9万
--1,515.5万
以股票支付的报酬
--0
102.26%1.2万
0.00%1.4万
28.64%-47.6万
101.74%1.4万
-28.95%2.7万
-1,254.35%-53.1万
-74.07%1.4万
-328.42%-66.7万
-1,590.74%-80.5万
递延税费
-94.80%14.1万
-117.76%-17.8万
-77.18%37.7万
59.85%832.5万
-43.38%296.2万
184.31%270.9万
-81.04%100.2万
178.89%165.2万
18.47%520.8万
225.31%523.1万
其他非现金项目
25.05%796.7万
116.53%1,150万
290.33%852.1万
232.30%1,615万
130.76%228.5万
-34.58%637.1万
146.83%531.1万
-84.28%218.3万
-80.09%486万
-344.10%-742.8万
营运资金变化
-430.76%-440.9万
-168.47%-231.3万
91.63%496.7万
92.14%-48.8万
-242.25%-779.1万
85.40%133.3万
148.93%337.8万
147.10%259.2万
40.54%-621.1万
214.82%547.7万
-应收款项(增)减
81.42%622.8万
-733.50%-247.7万
27.58%768.8万
139.64%102.9万
-28.81%-882.1万
-6.30%343.3万
118.15%39.1万
119.77%602.6万
-110.71%-259.6万
-77.73%-684.8万
-存货(增)减
-189.34%-24.3万
37.43%-22.9万
57.42%-19.5万
-114.42%-20.5万
-70.57%34.7万
2,166.67%27.2万
-1,842.86%-36.6万
-318.10%-45.8万
115.78%142.2万
389.68%117.9万
-预付费用(增)减
-88.53%19.8万
-47.89%40.7万
-26.30%140.4万
252.43%210.5万
-227.70%-230.7万
214.91%172.6万
48.48%78.1万
537.12%190.5万
49.65%-138.1万
70.36%-70.4万
-应付款项及应计费用(减)增
-158.47%-1,059.2万
-100.54%-1.4万
19.48%-393万
6.54%-341.7万
-74.77%299万
-181.65%-409.8万
127.36%257.2万
-4.95%-488.1万
-213.79%-365.6万
86.06%1,185万
已付利息(经营活动产生的现金流)
-0.16%-245.3万
11.14%-235.2万
3.21%-274.1万
-4.01%-1,082.5万
2.06%-289.7万
-13.33%-244.9万
-10.66%-264.7万
2.24%-283.2万
11.95%-1,040.8万
-2.64%-295.8万
已支付退税
-81.58%-156.7万
-5.48%-340.5万
---1,000
-277.90%-416.1万
-107.87%-7万
-32.97%-86.3万
-251.76%-322.8万
--0
150.76%233.9万
202.66%88.9万
非持续经营活动现金净额
经营活动现金净额
39.47%2,199.1万
-18.61%1,481万
29.58%2,451.5万
27.54%7,271.4万
12.68%1,983万
16.31%1,576.8万
26.19%1,819.7万
65.40%1,891.9万
-24.63%5,701.3万
-25.36%1,759.8万
投资活动现金流量
持续投资活动现金净额
93.54%-44.8万
-29.42%-370万
30.32%-177.2万
-136.66%-1,366.7万
50.61%-132.5万
-341.48%-694万
-154.13%-285.9万
-543.80%-254.3万
33.53%-577.5万
-28.01%-268.3万
固定资产交易净额
95.20%-44.8万
-29.42%-370万
30.10%-177.2万
-138.96%-1,605.3万
63.01%-132.5万
-511.66%-933.4万
-225.26%-285.9万
-246.79%-253.5万
20.22%-671.8万
-70.90%-358.2万
业务交易净额
--0
--0
--0
153.02%238.6万
--0
5,304.35%239.4万
--0
-102.38%-8,000
453.18%94.3万
--89.9万
非持续投资活动现金净额
投资活动现金净额
93.54%-44.8万
-29.42%-370万
30.32%-177.2万
-136.66%-1,366.7万
50.61%-132.5万
-341.48%-694万
-154.13%-285.9万
-543.80%-254.3万
33.53%-577.5万
-28.01%-268.3万
融资活动现金流量
持续融资活动现金净额
-113.33%-2,084.2万
17.25%-1,877.2万
-32.30%-2,115.9万
9.73%-6,982.6万
12.15%-2,137.9万
36.33%-977万
-43.11%-2,268.4万
26.71%-1,599.3万
-7.35%-7,735.3万
-3.91%-2,433.6万
债务发行/偿还的净额
-1,095.59%-622.9万
47.57%-665.8万
-117.35%-1,053.3万
-345.57%-2,884.2万
-195.03%-1,077.7万
89.30%-52.1万
-254.89%-1,269.8万
48.25%-484.6万
78.46%-647.3万
201.96%1,134.1万
普通股发行/回购的净额
-467.87%-565.6万
-102.22%-392.1万
30.34%-176.6万
80.66%-742.2万
93.13%-195.2万
68.23%-99.6万
50.26%-193.9万
14.16%-253.5万
-1,751.62%-3,838.4万
-1,269.90%-2,839.8万
已支付现金股息
-3.47%-158.2万
4.21%-145.5万
2.34%-150.3万
19.00%-607.1万
13.32%-148.4万
18.02%-152.9万
22.38%-151.9万
21.52%-153.9万
-8.36%-749.5万
0.35%-171.2万
其他融资活动的净现金流额
-9.68%-737.5万
-3.22%-673.8万
-4.02%-735.7万
-9.96%-2,749.1万
-28.72%-716.6万
-22.86%-672.4万
-1.71%-652.8万
6.23%-707.3万
24.28%-2,500.1万
34.56%-556.7万
非持续融资活动现金净额
融资活动现金净额
-113.33%-2,084.2万
17.25%-1,877.2万
-32.30%-2,115.9万
9.73%-6,982.6万
12.15%-2,137.9万
36.33%-977万
-43.11%-2,268.4万
26.71%-1,599.3万
-7.35%-7,735.3万
-3.91%-2,433.6万
现金净流量
期初现金流
-35.66%1,798.1万
-27.34%2,565.4万
-30.96%2,411.3万
-42.79%3,492.6万
-39.16%2,697.9万
-41.40%2,794.9万
-29.75%3,530.5万
-42.79%3,492.6万
-7.76%6,104.4万
-29.65%4,434.1万
当期现金流变化
174.42%70.1万
-4.30%-766.2万
313.58%158.4万
58.72%-1,077.9万
69.49%-287.4万
71.96%-94.2万
-187.40%-734.6万
103.55%38.3万
-411.66%-2,611.5万
-385.37%-942.1万
利率变动影响
50.00%-1.4万
-10.00%-1.1万
-975.00%-4.3万
-1,033.33%-3.4万
33.33%8,000
-800.00%-2.8万
-233.33%-1万
60.00%-4,000
91.18%-3,000
112.77%6,000
期末现金流
-30.81%1,866.8万
-35.66%1,798.1万
-27.34%2,565.4万
-30.96%2,411.3万
-30.96%2,411.3万
-39.16%2,697.9万
-41.40%2,794.9万
-29.75%3,530.5万
-42.79%3,492.6万
-42.79%3,492.6万
自由现金流
234.83%2,154.3万
-27.57%1,111万
38.81%2,274.3万
12.66%5,666.1万
32.03%1,850.5万
-46.52%643.4万
13.27%1,533.8万
53.02%1,638.4万
-25.18%5,029.5万
-34.75%1,401.6万
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
--
--
--
--
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 39.47%2,199.1万-18.61%1,481万29.58%2,451.5万27.54%7,271.4万12.68%1,983万16.31%1,576.8万26.19%1,819.7万65.40%1,891.9万-24.63%5,701.3万-25.36%1,759.8万
持续经营净收入 263.43%1,741.9万-28.01%664.4万-12.47%846.1万257.86%4,399.9万708.66%2,031.1万187.21%479.3万-58.51%922.9万966.91%966.6万-73.56%1,229.5万-115.96%-333.7万
持续经营损益 100.65%1.4万10.00%1.1万975.00%4.3万-823.05%-213.3万-153.33%-8,000-214,000.00%-213.9万-96.36%1万0.00%4,00085.53%29.5万-57.14%1.5万
折旧摊销及损耗 -6.17%487.9万-13.78%489.1万-13.58%487.4万3.73%2,153.7万-6.25%502.4万0.29%520万11.63%567.3万9.79%564万-22.44%2,076.3万-16.93%535.9万
资产减值支出 -------------97.25%78.6万--0--------------2,853.9万--1,515.5万
以股票支付的报酬 --0102.26%1.2万0.00%1.4万28.64%-47.6万101.74%1.4万-28.95%2.7万-1,254.35%-53.1万-74.07%1.4万-328.42%-66.7万-1,590.74%-80.5万
递延税费 -94.80%14.1万-117.76%-17.8万-77.18%37.7万59.85%832.5万-43.38%296.2万184.31%270.9万-81.04%100.2万178.89%165.2万18.47%520.8万225.31%523.1万
其他非现金项目 25.05%796.7万116.53%1,150万290.33%852.1万232.30%1,615万130.76%228.5万-34.58%637.1万146.83%531.1万-84.28%218.3万-80.09%486万-344.10%-742.8万
营运资金变化 -430.76%-440.9万-168.47%-231.3万91.63%496.7万92.14%-48.8万-242.25%-779.1万85.40%133.3万148.93%337.8万147.10%259.2万40.54%-621.1万214.82%547.7万
-应收款项(增)减 81.42%622.8万-733.50%-247.7万27.58%768.8万139.64%102.9万-28.81%-882.1万-6.30%343.3万118.15%39.1万119.77%602.6万-110.71%-259.6万-77.73%-684.8万
-存货(增)减 -189.34%-24.3万37.43%-22.9万57.42%-19.5万-114.42%-20.5万-70.57%34.7万2,166.67%27.2万-1,842.86%-36.6万-318.10%-45.8万115.78%142.2万389.68%117.9万
-预付费用(增)减 -88.53%19.8万-47.89%40.7万-26.30%140.4万252.43%210.5万-227.70%-230.7万214.91%172.6万48.48%78.1万537.12%190.5万49.65%-138.1万70.36%-70.4万
-应付款项及应计费用(减)增 -158.47%-1,059.2万-100.54%-1.4万19.48%-393万6.54%-341.7万-74.77%299万-181.65%-409.8万127.36%257.2万-4.95%-488.1万-213.79%-365.6万86.06%1,185万
已付利息(经营活动产生的现金流) -0.16%-245.3万11.14%-235.2万3.21%-274.1万-4.01%-1,082.5万2.06%-289.7万-13.33%-244.9万-10.66%-264.7万2.24%-283.2万11.95%-1,040.8万-2.64%-295.8万
已支付退税 -81.58%-156.7万-5.48%-340.5万---1,000-277.90%-416.1万-107.87%-7万-32.97%-86.3万-251.76%-322.8万--0150.76%233.9万202.66%88.9万
非持续经营活动现金净额
经营活动现金净额 39.47%2,199.1万-18.61%1,481万29.58%2,451.5万27.54%7,271.4万12.68%1,983万16.31%1,576.8万26.19%1,819.7万65.40%1,891.9万-24.63%5,701.3万-25.36%1,759.8万
投资活动现金流量
持续投资活动现金净额 93.54%-44.8万-29.42%-370万30.32%-177.2万-136.66%-1,366.7万50.61%-132.5万-341.48%-694万-154.13%-285.9万-543.80%-254.3万33.53%-577.5万-28.01%-268.3万
固定资产交易净额 95.20%-44.8万-29.42%-370万30.10%-177.2万-138.96%-1,605.3万63.01%-132.5万-511.66%-933.4万-225.26%-285.9万-246.79%-253.5万20.22%-671.8万-70.90%-358.2万
业务交易净额 --0--0--0153.02%238.6万--05,304.35%239.4万--0-102.38%-8,000453.18%94.3万--89.9万
非持续投资活动现金净额
投资活动现金净额 93.54%-44.8万-29.42%-370万30.32%-177.2万-136.66%-1,366.7万50.61%-132.5万-341.48%-694万-154.13%-285.9万-543.80%-254.3万33.53%-577.5万-28.01%-268.3万
融资活动现金流量
持续融资活动现金净额 -113.33%-2,084.2万17.25%-1,877.2万-32.30%-2,115.9万9.73%-6,982.6万12.15%-2,137.9万36.33%-977万-43.11%-2,268.4万26.71%-1,599.3万-7.35%-7,735.3万-3.91%-2,433.6万
债务发行/偿还的净额 -1,095.59%-622.9万47.57%-665.8万-117.35%-1,053.3万-345.57%-2,884.2万-195.03%-1,077.7万89.30%-52.1万-254.89%-1,269.8万48.25%-484.6万78.46%-647.3万201.96%1,134.1万
普通股发行/回购的净额 -467.87%-565.6万-102.22%-392.1万30.34%-176.6万80.66%-742.2万93.13%-195.2万68.23%-99.6万50.26%-193.9万14.16%-253.5万-1,751.62%-3,838.4万-1,269.90%-2,839.8万
已支付现金股息 -3.47%-158.2万4.21%-145.5万2.34%-150.3万19.00%-607.1万13.32%-148.4万18.02%-152.9万22.38%-151.9万21.52%-153.9万-8.36%-749.5万0.35%-171.2万
其他融资活动的净现金流额 -9.68%-737.5万-3.22%-673.8万-4.02%-735.7万-9.96%-2,749.1万-28.72%-716.6万-22.86%-672.4万-1.71%-652.8万6.23%-707.3万24.28%-2,500.1万34.56%-556.7万
非持续融资活动现金净额
融资活动现金净额 -113.33%-2,084.2万17.25%-1,877.2万-32.30%-2,115.9万9.73%-6,982.6万12.15%-2,137.9万36.33%-977万-43.11%-2,268.4万26.71%-1,599.3万-7.35%-7,735.3万-3.91%-2,433.6万
现金净流量
期初现金流 -35.66%1,798.1万-27.34%2,565.4万-30.96%2,411.3万-42.79%3,492.6万-39.16%2,697.9万-41.40%2,794.9万-29.75%3,530.5万-42.79%3,492.6万-7.76%6,104.4万-29.65%4,434.1万
当期现金流变化 174.42%70.1万-4.30%-766.2万313.58%158.4万58.72%-1,077.9万69.49%-287.4万71.96%-94.2万-187.40%-734.6万103.55%38.3万-411.66%-2,611.5万-385.37%-942.1万
利率变动影响 50.00%-1.4万-10.00%-1.1万-975.00%-4.3万-1,033.33%-3.4万33.33%8,000-800.00%-2.8万-233.33%-1万60.00%-4,00091.18%-3,000112.77%6,000
期末现金流 -30.81%1,866.8万-35.66%1,798.1万-27.34%2,565.4万-30.96%2,411.3万-30.96%2,411.3万-39.16%2,697.9万-41.40%2,794.9万-29.75%3,530.5万-42.79%3,492.6万-42.79%3,492.6万
自由现金流 234.83%2,154.3万-27.57%1,111万38.81%2,274.3万12.66%5,666.1万32.03%1,850.5万-46.52%643.4万13.27%1,533.8万53.02%1,638.4万-25.18%5,029.5万-34.75%1,401.6万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ------无保留意见--------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。

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加拿大
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