美股市场个股详情

GLATF GLOBAL ATOMIC CORPORATION

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  • 1.448
  • -0.033-2.20%
延时15分钟行情收盘价 07/02 16:00 (美东)
3.03亿总市值-49913市盈率TTM

GLOBAL ATOMIC CORPORATION关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q3)2022/09/30
(Q2)2022/06/30
经营活动现金流量(间接法)
持续经营活动现金净额
-107.05%-277.48万
-20.73%-533.36万
64.53%-65.83万
-95.88%5.93万
-76.73%-339.44万
35.15%-134.02万
-8.58%-441.76万
-58.49%-185.57万
210.54%143.81万
-19.90%-192.06万
持续经营净收入
145.85%239.79万
-32.71%-1,658.63万
51.01%-433.58万
41.14%-80万
-2,711.60%-622.1万
-152.80%-522.95万
-201.47%-1,249.84万
-163.63%-884.95万
-369.49%-135.91万
82.80%-22.13万
持续经营损益
-258.07%-398.33万
195.92%818.17万
-86.30%78.45万
158.92%25.47万
521.79%462.27万
275.81%252万
167.22%276.48万
3,488.90%572.63万
79.75%-43.22万
-255.27%-109.6万
折旧和摊销
-12.07%6.12万
-43.32%19.22万
95.17%-3.65万
-82.62%8.54万
-78.33%7.37万
-73.63%6.96万
74.72%33.92万
-892.96%-75.66万
1,298.44%49.15万
913.03%34.02万
其他非现金项目
-338.64%-24.66万
-432.05%-117.97万
-182.61%-23.32万
-476.50%-35.35万
-1,348.89%-53.68万
-100.04%-5.62万
-20,706.97%-22.17万
-2,448.42%-8.25万
-2,786.99%-6.13万
-2,639.34%-3.7万
营运资金变化
-1,196.14%-183.01万
-70.52%25.83万
27.95%184.44万
-75.98%42.78万
-12.57%-187.27万
79.33%-14.12万
-22.36%87.63万
-13.97%144.15万
702.59%178.13万
-270.67%-166.36万
-应收款项(增)减
286.21%5.75万
44.75%-13.29万
-80.19%-17.97万
-36.83%15万
-140.10%-7.23万
94.47%-3.09万
-551.88%-24.06万
-732.88%-9.97万
891.11%23.75万
-3.94%18.03万
-预付费用(增)减
-67.86%1.37万
-197.66%-7.67万
-113.99%-4.52万
112.36%3.03万
-309.94%-10.44万
187.10%4.26万
128.65%7.85万
593.67%32.28万
-86.57%-24.51万
162.68%4.97万
-应付款项及应计费用(减)增
-1,143.78%-190.13万
-54.93%46.79万
69.82%206.93万
-86.16%24.75万
10.44%-169.6万
-102.56%-15.29万
-27.88%103.83万
-29.37%121.85万
1,432.83%178.89万
-239.84%-189.37万
非持续经营活动现金净额
经营活动现金净额
-107.05%-277.48万
-20.73%-533.36万
64.53%-65.83万
-95.88%5.93万
-76.73%-339.44万
35.15%-134.02万
-8.58%-441.76万
-58.49%-185.57万
210.54%143.81万
-19.90%-192.06万
投资活动现金流量
持续投资活动现金净额
-31.28%-1,174.04万
-40.37%-4,392.49万
-56.96%-1,186.14万
-44.41%-1,133.08万
-54.74%-1,178.97万
-7.97%-894.3万
-135.81%-3,129.27万
-26.67%-755.67万
-228.24%-784.63万
-170.71%-761.92万
固定资产交易的净现金流
-32.98%-1,182.43万
-49.26%-3,509.51万
-22.82%-809.59万
-56.24%-1,083.44万
-65.55%-921.13万
-101.03%-889.19万
-3,170.08%-2,351.35万
-1,528.79%-659.17万
-6,749.87%-693.45万
-3,599.47%-556.4万
无形资产交易净现金流
--0
63.63%-8.48万
-47.72%1.82万
17.86%-2.98万
95.41%-4,714
46.91%-6.86万
-8.82%-23.32万
116.27%3.49万
---3.62万
---10.27万
其他投资活动的净现金流
-206.43%-16.56万
-27.54%-993.49万
-268.80%-399.5万
12.11%-82.42万
-55.56%-312.34万
98.56%-5.4万
36.88%-778.94万
79.76%-108.32万
59.04%-93.77万
24.63%-200.78万
非持续投资活动现金净额
投资活动现金净额
-31.28%-1,174.04万
-40.37%-4,392.49万
-56.96%-1,186.14万
-44.41%-1,133.08万
-54.74%-1,178.97万
-7.97%-894.3万
-135.81%-3,129.27万
-26.67%-755.67万
-228.24%-784.63万
-170.71%-761.92万
融资活动现金流量
持续融资活动现金净额
-84.67%825.56万
568.63%6,561.76万
43,517.18%1,393.91万
-106.63%-58.91万
-400.02%-160.07万
12,686.20%5,386.84万
-80.02%981.38万
-100.10%-3.21万
655.76%889.11万
4,977.46%53.35万
债务发行/偿还的净现金流
-499.17%-129.41万
-895.34%-293.16万
-4,180.80%-137.44万
-1,456.85%-42.81万
-342.78%-91.31万
-652.56%-21.6万
-111.37%-29.45万
47.22%-3.21万
3.71%-2.75万
-884.90%-20.62万
普通股发行/偿还的净现金流
--0
--7,100.25万
--1,500万
--0
16.67%-2.5万
186,658.34%5,602.75万
--0
--0
--0
---3万
职工行使股票期权收到的现金
1,044.83%954.97万
-84.76%148.01万
--43.75万
--0
-72.91%20.85万
98.61%83.42万
92.19%970.98万
--0
607.05%852万
7,597.73%76.98万
其他融资活动的净现金流额
----
-1,086.90%-393.34万
---12.4万
-140.39%-16.1万
---87.11万
---277.73万
113.19%39.86万
--0
--39.86万
----
非持续融资活动现金净额
融资活动现金净额
-84.67%825.56万
568.63%6,561.76万
43,517.18%1,393.91万
-106.63%-58.91万
-400.02%-160.07万
12,686.20%5,386.84万
-80.02%981.38万
-100.10%-3.21万
655.76%889.11万
4,977.46%53.35万
现金净流量
期初现金流
195.93%2,485.79万
-75.42%840万
28.73%2,348.37万
136.38%3,537.38万
114.23%5,205.36万
-75.42%840万
1,296.09%3,417.94万
141.31%1,824.31万
48.46%1,496.48万
67.44%2,429.78万
当期现金流变化
-114.36%-625.96万
163.17%1,635.91万
115.03%141.94万
-577.70%-1,186.07万
-86.37%-1,678.49万
538.99%4,358.53万
-181.48%-2,589.65万
-135.48%-944.45万
198.72%248.29万
-103.43%-900.63万
利率变动影响
-137.94%-2.59万
-15.59%9.88万
88.65%-4.52万
-103.69%-2.94万
132.15%10.5万
45.99%6.84万
327.81%11.7万
-13,262.72%-39.86万
15,211.78%79.55万
-8,250.74%-32.67万
期末现金流
-64.32%1,857.24万
195.93%2,485.79万
195.93%2,485.79万
28.73%2,348.37万
136.38%3,537.38万
114.23%5,205.36万
-75.42%840万
-75.42%840万
141.31%1,824.31万
48.46%1,496.48万
自由现金流
-41.73%-1,459.91万
-43.85%-4,051.34万
-3.84%-873.59万
-95.29%-1,080.49万
-66.20%-1,261.04万
-55.62%-1,030.06万
-463.09%-2,816.43万
-370.01%-841.25万
-294.56%-553.26万
-333.00%-758.74万
货币单位
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
审计意见
--
无保留意见
--
--
--
--
无保留意见
--
--
--
(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(Q3)2022/09/30(Q2)2022/06/30
经营活动现金流量(间接法)
持续经营活动现金净额 -107.05%-277.48万-20.73%-533.36万64.53%-65.83万-95.88%5.93万-76.73%-339.44万35.15%-134.02万-8.58%-441.76万-58.49%-185.57万210.54%143.81万-19.90%-192.06万
持续经营净收入 145.85%239.79万-32.71%-1,658.63万51.01%-433.58万41.14%-80万-2,711.60%-622.1万-152.80%-522.95万-201.47%-1,249.84万-163.63%-884.95万-369.49%-135.91万82.80%-22.13万
持续经营损益 -258.07%-398.33万195.92%818.17万-86.30%78.45万158.92%25.47万521.79%462.27万275.81%252万167.22%276.48万3,488.90%572.63万79.75%-43.22万-255.27%-109.6万
折旧和摊销 -12.07%6.12万-43.32%19.22万95.17%-3.65万-82.62%8.54万-78.33%7.37万-73.63%6.96万74.72%33.92万-892.96%-75.66万1,298.44%49.15万913.03%34.02万
其他非现金项目 -338.64%-24.66万-432.05%-117.97万-182.61%-23.32万-476.50%-35.35万-1,348.89%-53.68万-100.04%-5.62万-20,706.97%-22.17万-2,448.42%-8.25万-2,786.99%-6.13万-2,639.34%-3.7万
营运资金变化 -1,196.14%-183.01万-70.52%25.83万27.95%184.44万-75.98%42.78万-12.57%-187.27万79.33%-14.12万-22.36%87.63万-13.97%144.15万702.59%178.13万-270.67%-166.36万
-应收款项(增)减 286.21%5.75万44.75%-13.29万-80.19%-17.97万-36.83%15万-140.10%-7.23万94.47%-3.09万-551.88%-24.06万-732.88%-9.97万891.11%23.75万-3.94%18.03万
-预付费用(增)减 -67.86%1.37万-197.66%-7.67万-113.99%-4.52万112.36%3.03万-309.94%-10.44万187.10%4.26万128.65%7.85万593.67%32.28万-86.57%-24.51万162.68%4.97万
-应付款项及应计费用(减)增 -1,143.78%-190.13万-54.93%46.79万69.82%206.93万-86.16%24.75万10.44%-169.6万-102.56%-15.29万-27.88%103.83万-29.37%121.85万1,432.83%178.89万-239.84%-189.37万
非持续经营活动现金净额
经营活动现金净额 -107.05%-277.48万-20.73%-533.36万64.53%-65.83万-95.88%5.93万-76.73%-339.44万35.15%-134.02万-8.58%-441.76万-58.49%-185.57万210.54%143.81万-19.90%-192.06万
投资活动现金流量
持续投资活动现金净额 -31.28%-1,174.04万-40.37%-4,392.49万-56.96%-1,186.14万-44.41%-1,133.08万-54.74%-1,178.97万-7.97%-894.3万-135.81%-3,129.27万-26.67%-755.67万-228.24%-784.63万-170.71%-761.92万
固定资产交易的净现金流 -32.98%-1,182.43万-49.26%-3,509.51万-22.82%-809.59万-56.24%-1,083.44万-65.55%-921.13万-101.03%-889.19万-3,170.08%-2,351.35万-1,528.79%-659.17万-6,749.87%-693.45万-3,599.47%-556.4万
无形资产交易净现金流 --063.63%-8.48万-47.72%1.82万17.86%-2.98万95.41%-4,71446.91%-6.86万-8.82%-23.32万116.27%3.49万---3.62万---10.27万
其他投资活动的净现金流 -206.43%-16.56万-27.54%-993.49万-268.80%-399.5万12.11%-82.42万-55.56%-312.34万98.56%-5.4万36.88%-778.94万79.76%-108.32万59.04%-93.77万24.63%-200.78万
非持续投资活动现金净额
投资活动现金净额 -31.28%-1,174.04万-40.37%-4,392.49万-56.96%-1,186.14万-44.41%-1,133.08万-54.74%-1,178.97万-7.97%-894.3万-135.81%-3,129.27万-26.67%-755.67万-228.24%-784.63万-170.71%-761.92万
融资活动现金流量
持续融资活动现金净额 -84.67%825.56万568.63%6,561.76万43,517.18%1,393.91万-106.63%-58.91万-400.02%-160.07万12,686.20%5,386.84万-80.02%981.38万-100.10%-3.21万655.76%889.11万4,977.46%53.35万
债务发行/偿还的净现金流 -499.17%-129.41万-895.34%-293.16万-4,180.80%-137.44万-1,456.85%-42.81万-342.78%-91.31万-652.56%-21.6万-111.37%-29.45万47.22%-3.21万3.71%-2.75万-884.90%-20.62万
普通股发行/偿还的净现金流 --0--7,100.25万--1,500万--016.67%-2.5万186,658.34%5,602.75万--0--0--0---3万
职工行使股票期权收到的现金 1,044.83%954.97万-84.76%148.01万--43.75万--0-72.91%20.85万98.61%83.42万92.19%970.98万--0607.05%852万7,597.73%76.98万
其他融资活动的净现金流额 -----1,086.90%-393.34万---12.4万-140.39%-16.1万---87.11万---277.73万113.19%39.86万--0--39.86万----
非持续融资活动现金净额
融资活动现金净额 -84.67%825.56万568.63%6,561.76万43,517.18%1,393.91万-106.63%-58.91万-400.02%-160.07万12,686.20%5,386.84万-80.02%981.38万-100.10%-3.21万655.76%889.11万4,977.46%53.35万
现金净流量
期初现金流 195.93%2,485.79万-75.42%840万28.73%2,348.37万136.38%3,537.38万114.23%5,205.36万-75.42%840万1,296.09%3,417.94万141.31%1,824.31万48.46%1,496.48万67.44%2,429.78万
当期现金流变化 -114.36%-625.96万163.17%1,635.91万115.03%141.94万-577.70%-1,186.07万-86.37%-1,678.49万538.99%4,358.53万-181.48%-2,589.65万-135.48%-944.45万198.72%248.29万-103.43%-900.63万
利率变动影响 -137.94%-2.59万-15.59%9.88万88.65%-4.52万-103.69%-2.94万132.15%10.5万45.99%6.84万327.81%11.7万-13,262.72%-39.86万15,211.78%79.55万-8,250.74%-32.67万
期末现金流 -64.32%1,857.24万195.93%2,485.79万195.93%2,485.79万28.73%2,348.37万136.38%3,537.38万114.23%5,205.36万-75.42%840万-75.42%840万141.31%1,824.31万48.46%1,496.48万
自由现金流 -41.73%-1,459.91万-43.85%-4,051.34万-3.84%-873.59万-95.29%-1,080.49万-66.20%-1,261.04万-55.62%-1,030.06万-463.09%-2,816.43万-370.01%-841.25万-294.56%-553.26万-333.00%-758.74万
货币单位 加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元
审计意见 --无保留意见--------无保留意见------

分析

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