加拿大市场个股详情

PHX PHX Energy Services Corp

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  • 9.400
  • +0.020+0.21%
延时15分钟行情已收盘 07/12 16:00 (美东)
4.46亿总市值4.92市盈率TTM

PHX Energy Services Corp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
185.97%1,116.7万
152.29%9,672.3万
309.72%3,675.36万
55.49%3,362.8万
97.67%2,263.25万
214.08%390.5万
-15.83%3,833.8万
-30.83%897.05万
-3.02%2,162.74万
29.45%1,144.94万
持续经营净收入
-22.14%1,745.4万
122.47%9,858万
62.95%3,313.31万
84.95%2,492.12万
41.27%1,810.82万
1,068.26%2,241.7万
90.03%4,431.1万
117.92%2,033.27万
220.38%1,347.47万
188.28%1,281.85万
持续经营损益
12.46%-873.8万
-61.45%-3,119.7万
10.22%-768.55万
-98.05%-792.62万
-81.45%-560.29万
-171.82%-998.2万
-157.89%-1,932.3万
-158.92%-856.07万
-5,374.63%-400.21万
-129.95%-308.79万
折旧摊销及损耗
14.85%1,116.8万
18.12%4,175.9万
12.55%1,089.71万
20.26%1,068.91万
20.49%1,044.81万
19.86%972.4万
21.09%3,535.4万
25.17%968.17万
21.90%888.81万
22.09%867.16万
资产准备金与勾销
98.88%53.5万
70.45%219.2万
88.25%77.37万
-998.46%-45.25万
438.06%160.15万
-48.96%26.9万
-36.75%128.6万
13.69%41.1万
-91.10%5.04万
-30.22%29.76万
以股票支付的报酬
-0.99%10万
8.87%49.1万
3.34%5.99万
8.39%14.42万
349.13%18.61万
-69.82%10.1万
17.57%45.1万
18.15%5.8万
14.46%13.3万
-149.86%-7.47万
递延税费
49.34%528.8万
-43.93%507万
-455.90%-945.94万
68.83%619.15万
63.50%479.74万
1,728.47%354.1万
154.08%904.2万
619.88%265.79万
224.30%366.73万
73.95%293.43万
其他非现金项目
-29.61%87.5万
37.59%466.7万
-1.34%99.84万
15.50%115.23万
66.73%127.31万
100.87%124.3万
586.24%339.2万
781.87%101.19万
772.81%99.77万
712.25%76.36万
营运资金变化
34.26%-1,458.5万
83.08%-567.4万
197.58%1,546.68万
1,131.90%701.12万
43.76%-577.04万
-243.50%-2,218.5万
-871.62%-3,353.4万
-1,186.39%-1,585.06万
-107.73%-67.95万
-201.89%-1,025.98万
已付利息(经营活动产生的现金流)
31.59%-74.5万
-49.88%-430.6万
-42.67%-110.52万
-12.64%-102.71万
-72.56%-108.48万
-95.18%-108.9万
-23.80%-287.3万
64.23%-77.47万
-1,787.41%-91.18万
-1,224.47%-62.86万
已支付退税
-38.06%-18.5万
-6,504.74%-1,485.9万
-185,645.35%-632.52万
-74,888.60%-707.57万
-8,996.83%-132.38万
-165.25%-13.4万
111.96%23.2万
103.50%3,409
-95.83%9,461
283.77%1.49万
非持续经营活动现金净额
0
0
0
0
-1,215.35%-125.5万
-100.02%-141
0
-10.11%-52.03万
经营活动现金净额
185.97%1,116.7万
160.83%9,672.3万
309.72%3,675.36万
55.49%3,362.8万
107.09%2,263.25万
193.93%390.5万
-18.41%3,708.3万
-34.99%897.04万
-1.54%2,162.74万
30.54%1,092.91万
投资活动现金流量
持续投资活动现金净额
3.07%-487万
57.18%-2,026.2万
45.58%-564.37万
69.40%-391.78万
60.75%-567.63万
48.13%-502.4万
-100.26%-4,732万
-74.73%-1,037.01万
-11.05%-1,280.23万
-169.48%-1,446.16万
固定资产交易净额
-181.20%-1,733.9万
53.88%-2,124.6万
52.72%-447.7万
42.37%-712.11万
69.27%-348.24万
52.24%-616.6万
-100.80%-4,606.6万
-60.86%-946.85万
-100.20%-1,235.72万
-45.68%-1,133.06万
无形资产交易净额
----
45.60%-68.6万
-20.65%-68.6万
--0
--0
----
31.94%-126.1万
69.31%-56.86万
---7.42万
---20.69万
其他投资活动净额
991.86%1,246.9万
23,757.14%167万
-44.37%-48.07万
963.62%320.34万
24.97%-219.4万
-68.58%114.2万
-99.83%7,000
-118.46%-33.3万
84.25%-37.09万
-221.27%-292.41万
非持续投资活动现金净额
0
0
0
0
-41,817.79%-6.8万
100.62%68
0
-2,460.08%-31.64万
投资活动现金净额
3.07%-487万
57.24%-2,026.2万
45.58%-564.37万
69.40%-391.78万
61.59%-567.63万
46.77%-502.4万
-100.55%-4,738.8万
-74.41%-1,037万
-11.03%-1,280.23万
-176.07%-1,477.8万
融资活动现金流量
持续融资活动现金净额
-496.72%-963.1万
-2,980.52%-7,794.7万
-293.27%-2,921.74万
-12,509.27%-3,530.92万
-215.79%-1,200.2万
-3,331.94%-161.4万
111.91%270.6万
6.19%-742.93万
95.72%-28万
292.29%1,036.54万
债务发行/偿还的净额
-113.56%-89万
-191.18%-1,774.4万
-444.48%-1,129.14万
-421.92%-1,016.54万
-118.41%-285.04万
127.14%656.4万
690.66%1,946万
-142.15%-207.38万
479.40%315.77万
2,001.29%1,548.63万
普通股发行/回购的净额
--0
85.11%-61.2万
--0
--0
--0
-125.82%-80.8万
73.45%-411万
94.12%-61万
--0
54.77%-150万
已支付现金股息
-23.80%-945.3万
-99.29%-3,018.9万
-43.28%-727.64万
-100.71%-762.07万
-101.97%-765.58万
-207.65%-763.6万
-140.80%-1,514.8万
-102.70%-507.86万
-201.39%-379.68万
-200.89%-379.05万
职工行使股票期权收到的现金
167.67%71.2万
-61.50%96.4万
-39.95%20.01万
15.45%41.45万
-51.10%8.3万
--26.6万
6.71%250.4万
--33.31万
--35.9万
--16.97万
其他融资活动的净现金流额
----
---3,036.6万
---1,084.96万
---1,793.77万
---157.87万
----
----
----
----
----
非持续融资活动现金净额
0
0
0
0
融资活动现金净额
-496.72%-963.1万
-2,980.52%-7,794.7万
-293.27%-2,921.74万
-12,509.27%-3,530.92万
-215.79%-1,200.2万
-3,331.94%-161.4万
111.91%270.6万
6.19%-742.93万
95.72%-28万
292.29%1,036.54万
现金净流量
期初现金流
-9.94%1,643.3万
-26.51%1,824.7万
-45.07%1,484.54万
11.73%2,007.96万
37.38%1,550.17万
-26.51%1,824.7万
-3.56%2,482.9万
8.45%2,702.37万
-14.53%1,797.13万
-51.92%1,128.35万
当期现金流变化
-21.99%-333.4万
80.44%-148.6万
121.43%189.24万
-165.52%-559.9万
-23.97%495.42万
79.82%-273.3万
-749.15%-759.9万
-13,243.98%-882.89万
119.60%854.51万
374.78%651.65万
利率变动影响
2,441.67%28.1万
-132.25%-32.8万
-684.58%-30.45万
-28.08%36.48万
-319.59%-37.62万
---1.2万
4,683.77%101.7万
334.74%5.21万
--50.72万
341.73%17.13万
期末现金流
-13.69%1,338万
-9.94%1,643.3万
-9.94%1,643.3万
-45.07%1,484.54万
11.73%2,007.96万
37.39%1,550.2万
-26.51%1,824.7万
-26.51%1,824.7万
8.45%2,702.37万
-14.53%1,797.13万
自由现金流
-25.86%-1,847.3万
182.50%3,110.5万
257.54%2,059.36万
407.34%1,482.44万
335.13%1,056.1万
35.55%-1,467.8万
-553.23%-3,770.3万
-1,686.47%-1,307.21万
-80.79%292.2万
-109.24%-449.15万
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
--
--
--
(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 185.97%1,116.7万152.29%9,672.3万309.72%3,675.36万55.49%3,362.8万97.67%2,263.25万214.08%390.5万-15.83%3,833.8万-30.83%897.05万-3.02%2,162.74万29.45%1,144.94万
持续经营净收入 -22.14%1,745.4万122.47%9,858万62.95%3,313.31万84.95%2,492.12万41.27%1,810.82万1,068.26%2,241.7万90.03%4,431.1万117.92%2,033.27万220.38%1,347.47万188.28%1,281.85万
持续经营损益 12.46%-873.8万-61.45%-3,119.7万10.22%-768.55万-98.05%-792.62万-81.45%-560.29万-171.82%-998.2万-157.89%-1,932.3万-158.92%-856.07万-5,374.63%-400.21万-129.95%-308.79万
折旧摊销及损耗 14.85%1,116.8万18.12%4,175.9万12.55%1,089.71万20.26%1,068.91万20.49%1,044.81万19.86%972.4万21.09%3,535.4万25.17%968.17万21.90%888.81万22.09%867.16万
资产准备金与勾销 98.88%53.5万70.45%219.2万88.25%77.37万-998.46%-45.25万438.06%160.15万-48.96%26.9万-36.75%128.6万13.69%41.1万-91.10%5.04万-30.22%29.76万
以股票支付的报酬 -0.99%10万8.87%49.1万3.34%5.99万8.39%14.42万349.13%18.61万-69.82%10.1万17.57%45.1万18.15%5.8万14.46%13.3万-149.86%-7.47万
递延税费 49.34%528.8万-43.93%507万-455.90%-945.94万68.83%619.15万63.50%479.74万1,728.47%354.1万154.08%904.2万619.88%265.79万224.30%366.73万73.95%293.43万
其他非现金项目 -29.61%87.5万37.59%466.7万-1.34%99.84万15.50%115.23万66.73%127.31万100.87%124.3万586.24%339.2万781.87%101.19万772.81%99.77万712.25%76.36万
营运资金变化 34.26%-1,458.5万83.08%-567.4万197.58%1,546.68万1,131.90%701.12万43.76%-577.04万-243.50%-2,218.5万-871.62%-3,353.4万-1,186.39%-1,585.06万-107.73%-67.95万-201.89%-1,025.98万
已付利息(经营活动产生的现金流) 31.59%-74.5万-49.88%-430.6万-42.67%-110.52万-12.64%-102.71万-72.56%-108.48万-95.18%-108.9万-23.80%-287.3万64.23%-77.47万-1,787.41%-91.18万-1,224.47%-62.86万
已支付退税 -38.06%-18.5万-6,504.74%-1,485.9万-185,645.35%-632.52万-74,888.60%-707.57万-8,996.83%-132.38万-165.25%-13.4万111.96%23.2万103.50%3,409-95.83%9,461283.77%1.49万
非持续经营活动现金净额 0000-1,215.35%-125.5万-100.02%-1410-10.11%-52.03万
经营活动现金净额 185.97%1,116.7万160.83%9,672.3万309.72%3,675.36万55.49%3,362.8万107.09%2,263.25万193.93%390.5万-18.41%3,708.3万-34.99%897.04万-1.54%2,162.74万30.54%1,092.91万
投资活动现金流量
持续投资活动现金净额 3.07%-487万57.18%-2,026.2万45.58%-564.37万69.40%-391.78万60.75%-567.63万48.13%-502.4万-100.26%-4,732万-74.73%-1,037.01万-11.05%-1,280.23万-169.48%-1,446.16万
固定资产交易净额 -181.20%-1,733.9万53.88%-2,124.6万52.72%-447.7万42.37%-712.11万69.27%-348.24万52.24%-616.6万-100.80%-4,606.6万-60.86%-946.85万-100.20%-1,235.72万-45.68%-1,133.06万
无形资产交易净额 ----45.60%-68.6万-20.65%-68.6万--0--0----31.94%-126.1万69.31%-56.86万---7.42万---20.69万
其他投资活动净额 991.86%1,246.9万23,757.14%167万-44.37%-48.07万963.62%320.34万24.97%-219.4万-68.58%114.2万-99.83%7,000-118.46%-33.3万84.25%-37.09万-221.27%-292.41万
非持续投资活动现金净额 0000-41,817.79%-6.8万100.62%680-2,460.08%-31.64万
投资活动现金净额 3.07%-487万57.24%-2,026.2万45.58%-564.37万69.40%-391.78万61.59%-567.63万46.77%-502.4万-100.55%-4,738.8万-74.41%-1,037万-11.03%-1,280.23万-176.07%-1,477.8万
融资活动现金流量
持续融资活动现金净额 -496.72%-963.1万-2,980.52%-7,794.7万-293.27%-2,921.74万-12,509.27%-3,530.92万-215.79%-1,200.2万-3,331.94%-161.4万111.91%270.6万6.19%-742.93万95.72%-28万292.29%1,036.54万
债务发行/偿还的净额 -113.56%-89万-191.18%-1,774.4万-444.48%-1,129.14万-421.92%-1,016.54万-118.41%-285.04万127.14%656.4万690.66%1,946万-142.15%-207.38万479.40%315.77万2,001.29%1,548.63万
普通股发行/回购的净额 --085.11%-61.2万--0--0--0-125.82%-80.8万73.45%-411万94.12%-61万--054.77%-150万
已支付现金股息 -23.80%-945.3万-99.29%-3,018.9万-43.28%-727.64万-100.71%-762.07万-101.97%-765.58万-207.65%-763.6万-140.80%-1,514.8万-102.70%-507.86万-201.39%-379.68万-200.89%-379.05万
职工行使股票期权收到的现金 167.67%71.2万-61.50%96.4万-39.95%20.01万15.45%41.45万-51.10%8.3万--26.6万6.71%250.4万--33.31万--35.9万--16.97万
其他融资活动的净现金流额 -------3,036.6万---1,084.96万---1,793.77万---157.87万--------------------
非持续融资活动现金净额 0000
融资活动现金净额 -496.72%-963.1万-2,980.52%-7,794.7万-293.27%-2,921.74万-12,509.27%-3,530.92万-215.79%-1,200.2万-3,331.94%-161.4万111.91%270.6万6.19%-742.93万95.72%-28万292.29%1,036.54万
现金净流量
期初现金流 -9.94%1,643.3万-26.51%1,824.7万-45.07%1,484.54万11.73%2,007.96万37.38%1,550.17万-26.51%1,824.7万-3.56%2,482.9万8.45%2,702.37万-14.53%1,797.13万-51.92%1,128.35万
当期现金流变化 -21.99%-333.4万80.44%-148.6万121.43%189.24万-165.52%-559.9万-23.97%495.42万79.82%-273.3万-749.15%-759.9万-13,243.98%-882.89万119.60%854.51万374.78%651.65万
利率变动影响 2,441.67%28.1万-132.25%-32.8万-684.58%-30.45万-28.08%36.48万-319.59%-37.62万---1.2万4,683.77%101.7万334.74%5.21万--50.72万341.73%17.13万
期末现金流 -13.69%1,338万-9.94%1,643.3万-9.94%1,643.3万-45.07%1,484.54万11.73%2,007.96万37.39%1,550.2万-26.51%1,824.7万-26.51%1,824.7万8.45%2,702.37万-14.53%1,797.13万
自由现金流 -25.86%-1,847.3万182.50%3,110.5万257.54%2,059.36万407.34%1,482.44万335.13%1,056.1万35.55%-1,467.8万-553.23%-3,770.3万-1,686.47%-1,307.21万-80.79%292.2万-109.24%-449.15万
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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