(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 | (Q3)2022/09/30 | |
---|---|---|---|---|---|---|---|---|---|---|
经营活动现金流量(间接法) | ||||||||||
持续经营活动现金净额 | 72.32%-39.86万 | -113.94%-11.01万 | 49.48%-236.31万 | -11.34%-189.72万 | 122.44%18.37万 | -77.53%-143.97万 | 158.78%79.01万 | 14.36%-467.78万 | 23.78%-170.4万 | 60.97%-81.88万 |
持续经营净收入 | 61.95%-54.62万 | 9.77%-135.59万 | 14.13%-974.63万 | -34.62%-488.34万 | 9.13%-192.44万 | 56.45%-143.57万 | 34.89%-150.28万 | -137.48%-1,135.06万 | -17.53%-362.77万 | 17.05%-211.77万 |
持续经营损益 | --0 | 359.13%3.13万 | 80.00%-6.63万 | 91.29%-3.63万 | -103.12%-1.25万 | 90.18%-5,489 | 95.34%-1.21万 | -49.73%-33.14万 | ---41.64万 | --39.99万 |
折旧和摊销 | 171.42%40.19万 | 108.45%56.52万 | 204.27%200.41万 | 472.90%119.71万 | 110.51%38.78万 | -15.21%14.81万 | 198.46%27.12万 | 397.80%65.87万 | 544.01%20.9万 | 468.97%18.42万 |
递延税费 | 68.98%1,629 | 51.60%-1.34万 | -303.80%-19.71万 | -390.13%-21.12万 | 132.41%4.08万 | 105.73%964 | -116.61%-2.77万 | 111.23%9.67万 | --7.28万 | ---12.6万 |
其他非现金项目 | -41.80%6,508 | -21.32%7,762 | 104.43%4.26万 | 101.00%9,635 | 154.64%1.19万 | 24.32%1.12万 | -48.54%9,865 | -331.66%-95.98万 | -4,454.35%-96.63万 | -204.13%-2.17万 |
营运资金变化 | 52.45%-45.37万 | -73.42%41.18万 | 426.87%343.84万 | 283.57%168.22万 | 886.97%116.09万 | -162.42%-95.42万 | 2,103.73%154.95万 | 119.55%65.26万 | -422.23%-91.64万 | 124.75%11.76万 |
-应收款项(增)减 | 416.43%82.51万 | -260.34%-227.74万 | 197.62%296.83万 | 257.75%223.76万 | 68.20%-42.9万 | 55.42%-26.07万 | 355.66%142.04万 | 4.19%-304.05万 | -31.42%-141.84万 | -1,408.83%-134.9万 |
-预付费用(增)减 | -147.27%-53.54万 | 322.73%36.68万 | -90.45%15.92万 | 0.95%74.66万 | -385.87%-45.77万 | -133.06%-21.65万 | -23.02%8.68万 | 163.18%166.73万 | 303.68%73.96万 | 159.38%16.01万 |
-应付款项及应计费用(减)增 | -31.72%-64.17万 | 14,914.77%230.61万 | -91.22%19.86万 | -1,298.71%-141.46万 | 50.27%208.5万 | -133.80%-48.71万 | 103.29%1.54万 | -1.20%226.13万 | -114.01%-10.11万 | 1,330.07%138.75万 |
-其他营运资本变化 | -1,094.39%-10.17万 | -39.59%1.63万 | 147.70%11.23万 | 182.51%11.26万 | 53.72%-3.74万 | -41.47%1.02万 | 175.76%2.7万 | -226.82%-23.55万 | -13,223.63%-13.64万 | -2,213.06%-8.09万 |
非持续经营活动现金净额 | ||||||||||
经营活动现金净额 | 72.32%-39.86万 | -113.94%-11.01万 | 49.48%-236.31万 | -11.34%-189.72万 | 122.44%18.37万 | -77.53%-143.97万 | 158.78%79.01万 | 14.36%-467.78万 | 23.78%-170.4万 | 60.97%-81.88万 |
投资活动现金流量 | ||||||||||
持续投资活动现金净额 | 28.42%-28.16万 | -81.58%-95.61万 | -11.26%-215.37万 | -61.85%-103.51万 | 21.56%-19.85万 | 50.75%-39.34万 | -115.68%-52.65万 | -408.70%-193.57万 | 66.05%-63.96万 | -5,146.75%-25.31万 |
资本性支出 | 29.34%-26.28万 | -40.32%-69.95万 | -64.35%-206.23万 | -57.34%-99.34万 | 16.58%-19.85万 | -71.89%-37.19万 | -194.64%-49.85万 | -493.30%-125.48万 | ---63.14万 | ---23.79万 |
固定资产交易的净现金流 | 12.64%-1.88万 | 50.60%-1.52万 | 14.81%-9.42万 | -407.95%-4.17万 | 99.62%-58 | -76.93%-2.16万 | 58.90%-3.08万 | -77.77%-11.05万 | -653.94%-8,218 | -214.95%-1.52万 |
业务交易的净现金流 | --0 | -8,809.71%-24.13万 | 100.49%2,769 | ---2 | --2 | 100.00%-2 | --2,771 | -433.81%-57.03万 | --0 | --0 |
非持续投资活动现金净额 | ||||||||||
投资活动现金净额 | 28.42%-28.16万 | -81.58%-95.61万 | -11.26%-215.37万 | -61.85%-103.51万 | 21.56%-19.85万 | 50.75%-39.34万 | -115.68%-52.65万 | -408.70%-193.57万 | 66.05%-63.96万 | -5,146.75%-25.31万 |
融资活动现金流量 | ||||||||||
持续融资活动现金净额 | 190.58%7.43万 | 2,997.63%194.46万 | -50.68%171.77万 | -30.18%194.67万 | -25.39%-7.98万 | -112.94%-8.2万 | -153.90%-6.71万 | 9.07%348.25万 | 317.07%278.81万 | -100.45%-6.37万 |
债务发行/偿还的净现金流 | 190.59%7.43万 | 455.11%24.39万 | 13.62%-22.72万 | 104.89%3,236 | -24.18%-7.98万 | -28.11%-8.2万 | 0.00%-6.87万 | -195.82%-26.31万 | -99.33%-6.61万 | -92.42%-6.43万 |
普通股发行/偿还的净现金流 | --64.38万 | --105.7万 | -49.02%145.46万 | ---- | ---- | --0 | --0 | 25.41%285.36万 | ---- | ---- |
职工行使股票期权收到的现金 | -32,190,250.00%-64.38万 | 41,064.13%64.38万 | -45.03%49.03万 | 78,104.16%48.88万 | -99.52%3 | -100.00%-2 | -99.19%1,564 | -11.36%89.2万 | -99.91%625 | -99.99%625 |
非持续融资活动现金净额 | ||||||||||
融资活动现金净额 | 190.58%7.43万 | 2,997.63%194.46万 | -50.68%171.77万 | -30.18%194.67万 | -25.39%-7.98万 | -112.94%-8.2万 | -153.90%-6.71万 | 9.07%348.25万 | 317.07%278.81万 | -100.45%-6.37万 |
现金净流量 | ||||||||||
期初现金流 | -56.43%161.55万 | -79.02%73.67万 | -46.39%351.1万 | -44.72%170.15万 | -57.09%179.43万 | -27.06%370.74万 | -46.39%351.1万 | -27.45%654.89万 | -75.95%307.78万 | 488.60%418.14万 |
当期现金流变化 | 68.36%-60.59万 | 347.09%87.84万 | 10.60%-279.9万 | -321.73%-98.56万 | 91.66%-9.47万 | -96.18%-191.51万 | 113.42%19.65万 | -18.15%-313.09万 | 112.88%44.45万 | -109.44%-113.55万 |
利率变动影响 | -50.03%993 | 5,433.33%332 | -73.41%2.47万 | 283.94%2.08万 | -94.07%1,891 | -97.35%1,987 | 100.24%6 | -45.90%9.3万 | 96.48%-1.13万 | -46.68%3.19万 |
期末现金流 | -43.68%101.06万 | -56.43%161.55万 | -79.02%73.67万 | -79.02%73.67万 | -44.72%170.15万 | -57.09%179.43万 | -27.06%370.74万 | -46.39%351.1万 | -61.11%351.1万 | -75.95%307.78万 |
自由现金流 | 62.90%-68.02万 | -416.25%-82.48万 | 25.21%-451.95万 | -25.12%-293.23万 | 98.62%-1.48万 | -76.35%-183.32万 | 116.42%26.08万 | -5.36%-604.31万 | -4.78%-234.35万 | 49.02%-107.19万 |
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 | -- | -- | 带解释段的无保留意见 | -- | -- | -- | -- | 带解释段的无保留意见 | -- | -- |
暂无数据
暂无数据