美股市场个股详情

RDUS Radius Recycling

添加自选
  • 16.990
  • -0.100-0.59%
交易中 09/18 11:01 (美东)
4.76亿总市值-1744市盈率TTM

Radius Recycling关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2024/05/31
(Q2)2024/02/29
(Q1)2023/11/30
(FY)2023/08/31
(Q4)2023/08/31
(Q3)2023/05/31
(Q2)2023/02/28
(Q1)2022/11/30
(FY)2022/08/31
(Q4)2022/08/31
经营活动现金流量(间接法)
持续经营活动现金净额
96.10%-82.5万
-162.72%-5,509.4万
97.91%-129.9万
-41.36%1.39亿
-24.96%1.35亿
-146.72%-2,116万
86.97%8,784.4万
-81.37%-6,215.2万
25.05%2.38亿
28.82%1.8亿
持续经营净收入
-1,558.79%-1.99亿
-896.09%-3,400.9万
-1.38%-1,779.9万
-114.79%-2,543.8万
-333.12%-2,576.2万
-81.98%1,360.8万
-88.81%427.2万
-137.14%-1,755.6万
1.19%1.72亿
-74.77%1,105.1万
持续经营损益
35.20%-16.2万
76.34%-15.4万
-110.60%-73.5万
-28.78%-236.7万
31.64%-111.7万
70.34%-25万
-212.63%-65.1万
-672.13%-34.9万
41.87%-183.8万
-45.89%-163.4万
折旧和摊销
8.28%2,440.6万
8.54%2,431.1万
9.42%2,347.1万
19.60%8,976万
14.07%2,337万
20.21%2,254万
20.45%2,239.9万
24.57%2,145.1万
28.08%7,505.3万
36.78%2,048.7万
递延税费
-924.67%-4,456.5万
323.83%133.4万
-88.71%-1,083.4万
-115.70%-393.4万
-349.88%-300.1万
-45.21%540.4万
-121.59%-59.6万
-151.14%-574.1万
263.92%2,505.2万
126.64%120.1万
营运资金变化
97.10%-201万
-184.92%-5,085.2万
102.95%198.9万
127.95%1,649.3万
-34.19%9,340.9万
-3.12%-6,932.2万
413.70%5,987.9万
41.14%-6,747.3万
4.35%-5,901.3万
72.83%1.42亿
-应收款项(增)减
118.82%984.4万
15.24%-3,019.3万
-6.45%1,583.3万
193.93%808.9万
71.62%7,910.5万
-1,283.15%-5,231.9万
-271.85%-3,562.2万
124.71%1,692.5万
104.49%275.2万
-12.93%4,609.2万
-存货(增)减
-53.75%-1,632.7万
-149.80%-3,071.6万
101.05%29.3万
229.03%4,803.9万
-80.45%2,482.4万
90.48%-1,061.9万
975.76%6,168万
38.91%-2,784.6万
57.99%-3,723.2万
3,535.85%1.27亿
-预付费用(增)减
88.20%-262.3万
93.08%1,529万
-250.68%-277.1万
82.43%-335.9万
309.78%911.7万
-38.27%-2,223.4万
937.88%791.9万
236.81%183.9万
-21.97%-1,911.7万
27.60%-434.6万
-应付款项及应计费用(减)增
-46.05%1,000.3万
-114.97%-418.5万
84.92%-849.3万
-383.74%-3,265.8万
-25.39%-2,284.7万
-62.99%1,854.2万
218.63%2,795万
-1,862.77%-5,630.3万
-87.68%1,151万
-184.66%-1,822.1万
-其他流动资产变化
15.25%-210.1万
-1,319.21%-251.2万
2.31%-118.4万
-362.17%-459.4万
-1,081.08%-72.6万
-494.48%-247.9万
-8.59%-17.7万
-148.36%-121.2万
81.60%-99.4万
108.43%7.4万
-其他流动负债变化
-10.88%-180.4万
8.48%307.1万
-126.45%-202.9万
112.17%167.2万
278.89%136.4万
88.82%-162.7万
1,055.51%283.1万
-526.67%-89.6万
-182.14%-1,373.4万
-97.28%36万
-其他营运资本变化
-29.42%99.8万
65.82%-160.7万
1,600.00%34万
68.33%-69.6万
128.60%257.2万
-93.23%141.4万
53.25%-470.2万
100.50%2万
-170.36%-219.8万
-314.00%-899.2万
非持续经营活动现金净额
经营活动现金净额
96.10%-82.5万
-162.72%-5,509.4万
97.91%-129.9万
-41.36%1.39亿
-24.96%1.35亿
-146.72%-2,116万
86.97%8,784.4万
-81.37%-6,215.2万
25.05%2.38亿
28.82%1.8亿
投资活动现金流量
持续投资活动现金净额
17.04%-1,577.1万
25.68%-1,945.9万
66.48%-2,419.9万
54.46%-1.44亿
51.04%-2,657.2万
78.78%-1,901万
10.59%-2,618.4万
49.51%-7,220.3万
-168.72%-3.16亿
-29.18%-5,426.8万
资本性支出
38.46%-1,646.7万
44.49%-1,498.3万
47.79%-2,480.8万
13.73%-1.3亿
45.84%-2,824.6万
6.32%-2,675.9万
9.09%-2,699.1万
-19.64%-4,752万
-26.29%-1.5亿
-23.76%-5,214.9万
固定资产交易的净现金流
----
----
----
--0
----
----
----
----
-112.70%-8万
--0
业务交易的净现金流
--0
--0
--0
85.44%-2,690.2万
--0
--0
--0
76.39%-2,690.2万
---1.85亿
---265.1万
投资产品交易的净现金流
--0
----
----
----
----
--0
----
----
----
----
其他投资活动的净现金流
-91.02%69.6万
88.85%152.4万
-72.56%60.9万
-33.70%1,244.9万
214.66%167.4万
7.70%774.9万
98.77%80.7万
-79.15%221.9万
3,098.64%1,877.6万
205.35%53.2万
非持续投资活动现金净额
投资活动现金净额
17.04%-1,577.1万
25.68%-1,945.9万
66.48%-2,419.9万
54.46%-1.44亿
51.04%-2,657.2万
78.78%-1,901万
10.59%-2,618.4万
49.51%-7,220.3万
-168.72%-3.16亿
-29.18%-5,426.8万
融资活动现金流量
持续融资活动现金净额
-15.20%2,816.4万
255.97%8,378万
-74.70%2,381.6万
-135.03%-3,313.2万
-9.16%-1.07亿
-22.29%3,321.3万
-183.09%-5,371.6万
-44.17%9,413.1万
250.55%9,457.4万
-12.04%-9,779.8万
债务发行/偿还的净现金流
-12.99%3,430.4万
284.52%8,925.1万
-67.90%3,453.1万
-101.68%-279.2万
-37.51%-1.01亿
-34.33%3,942.6万
-852.52%-4,836.9万
-41.78%1.08亿
629.88%1.66亿
8.20%-7,375.6万
普通股发行/偿还的净现金流
----
----
----
--0
----
----
----
----
---3,424.8万
---1,639万
现金股利支付
-2.91%-550.8万
-2.26%-524.7万
-0.20%-555.1万
0.49%-2,118.6万
-0.86%-516.3万
-0.39%-535.2万
2.69%-513.1万
0.50%-554万
-0.15%-2,129.1万
1.41%-511.9万
其他融资活动的净现金流额
26.60%-63.2万
-3.70%-22.4万
34.67%-516.4万
42.30%-915.4万
93.17%-17.3万
56.32%-86.1万
71.54%-21.6万
25.46%-790.4万
-54.97%-1,586.6万
-44.66%-253.3万
非持续融资活动现金净额
融资活动现金净额
-15.20%2,816.4万
255.97%8,378万
-74.70%2,381.6万
-135.03%-3,313.2万
-9.16%-1.07亿
-22.29%3,321.3万
-183.09%-5,371.6万
-44.17%9,413.1万
250.55%9,457.4万
-12.04%-9,779.8万
现金净流量
期初现金流
18.35%1,356.2万
24.55%440.8万
-86.23%603.2万
57.46%4,380.3万
-72.02%451.1万
-35.71%1,145.9万
-81.45%353.9万
57.46%4,380.3万
55.52%2,781.8万
-10.05%1,612.5万
当期现金流变化
266.28%1,156.8万
16.15%922.7万
95.82%-168.2万
-334.35%-3,773.9万
-94.57%149.8万
-350.58%-695.7万
722.57%794.4万
-363.52%-4,022.4万
67.85%1,610.4万
171.33%2,760.2万
利率变动影响
555.56%5.9万
-204.17%-7.3万
245.00%5.8万
73.11%-3.2万
-69.74%2.3万
105.84%9,000
-233.33%-2.4万
32.20%-4万
-135.31%-11.9万
126.95%7.6万
期末现金流
458.39%2,518.9万
18.35%1,356.2万
24.55%440.8万
-86.23%603.2万
-86.23%603.2万
-72.02%451.1万
-35.71%1,145.9万
-81.45%353.9万
57.46%4,380.3万
57.46%4,380.3万
自由现金流
63.91%-1,729.2万
-215.16%-7,007.7万
76.20%-2,610.7万
-88.74%984.6万
-16.42%1.07亿
-387.78%-4,791.9万
251.89%6,085.3万
-48.23%-1.1亿
22.86%8,747.5万
31.01%1.28亿
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
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)2024/05/31(Q2)2024/02/29(Q1)2023/11/30(FY)2023/08/31(Q4)2023/08/31(Q3)2023/05/31(Q2)2023/02/28(Q1)2022/11/30(FY)2022/08/31(Q4)2022/08/31
经营活动现金流量(间接法)
持续经营活动现金净额 96.10%-82.5万-162.72%-5,509.4万97.91%-129.9万-41.36%1.39亿-24.96%1.35亿-146.72%-2,116万86.97%8,784.4万-81.37%-6,215.2万25.05%2.38亿28.82%1.8亿
持续经营净收入 -1,558.79%-1.99亿-896.09%-3,400.9万-1.38%-1,779.9万-114.79%-2,543.8万-333.12%-2,576.2万-81.98%1,360.8万-88.81%427.2万-137.14%-1,755.6万1.19%1.72亿-74.77%1,105.1万
持续经营损益 35.20%-16.2万76.34%-15.4万-110.60%-73.5万-28.78%-236.7万31.64%-111.7万70.34%-25万-212.63%-65.1万-672.13%-34.9万41.87%-183.8万-45.89%-163.4万
折旧和摊销 8.28%2,440.6万8.54%2,431.1万9.42%2,347.1万19.60%8,976万14.07%2,337万20.21%2,254万20.45%2,239.9万24.57%2,145.1万28.08%7,505.3万36.78%2,048.7万
递延税费 -924.67%-4,456.5万323.83%133.4万-88.71%-1,083.4万-115.70%-393.4万-349.88%-300.1万-45.21%540.4万-121.59%-59.6万-151.14%-574.1万263.92%2,505.2万126.64%120.1万
营运资金变化 97.10%-201万-184.92%-5,085.2万102.95%198.9万127.95%1,649.3万-34.19%9,340.9万-3.12%-6,932.2万413.70%5,987.9万41.14%-6,747.3万4.35%-5,901.3万72.83%1.42亿
-应收款项(增)减 118.82%984.4万15.24%-3,019.3万-6.45%1,583.3万193.93%808.9万71.62%7,910.5万-1,283.15%-5,231.9万-271.85%-3,562.2万124.71%1,692.5万104.49%275.2万-12.93%4,609.2万
-存货(增)减 -53.75%-1,632.7万-149.80%-3,071.6万101.05%29.3万229.03%4,803.9万-80.45%2,482.4万90.48%-1,061.9万975.76%6,168万38.91%-2,784.6万57.99%-3,723.2万3,535.85%1.27亿
-预付费用(增)减 88.20%-262.3万93.08%1,529万-250.68%-277.1万82.43%-335.9万309.78%911.7万-38.27%-2,223.4万937.88%791.9万236.81%183.9万-21.97%-1,911.7万27.60%-434.6万
-应付款项及应计费用(减)增 -46.05%1,000.3万-114.97%-418.5万84.92%-849.3万-383.74%-3,265.8万-25.39%-2,284.7万-62.99%1,854.2万218.63%2,795万-1,862.77%-5,630.3万-87.68%1,151万-184.66%-1,822.1万
-其他流动资产变化 15.25%-210.1万-1,319.21%-251.2万2.31%-118.4万-362.17%-459.4万-1,081.08%-72.6万-494.48%-247.9万-8.59%-17.7万-148.36%-121.2万81.60%-99.4万108.43%7.4万
-其他流动负债变化 -10.88%-180.4万8.48%307.1万-126.45%-202.9万112.17%167.2万278.89%136.4万88.82%-162.7万1,055.51%283.1万-526.67%-89.6万-182.14%-1,373.4万-97.28%36万
-其他营运资本变化 -29.42%99.8万65.82%-160.7万1,600.00%34万68.33%-69.6万128.60%257.2万-93.23%141.4万53.25%-470.2万100.50%2万-170.36%-219.8万-314.00%-899.2万
非持续经营活动现金净额
经营活动现金净额 96.10%-82.5万-162.72%-5,509.4万97.91%-129.9万-41.36%1.39亿-24.96%1.35亿-146.72%-2,116万86.97%8,784.4万-81.37%-6,215.2万25.05%2.38亿28.82%1.8亿
投资活动现金流量
持续投资活动现金净额 17.04%-1,577.1万25.68%-1,945.9万66.48%-2,419.9万54.46%-1.44亿51.04%-2,657.2万78.78%-1,901万10.59%-2,618.4万49.51%-7,220.3万-168.72%-3.16亿-29.18%-5,426.8万
资本性支出 38.46%-1,646.7万44.49%-1,498.3万47.79%-2,480.8万13.73%-1.3亿45.84%-2,824.6万6.32%-2,675.9万9.09%-2,699.1万-19.64%-4,752万-26.29%-1.5亿-23.76%-5,214.9万
固定资产交易的净现金流 --------------0-----------------112.70%-8万--0
业务交易的净现金流 --0--0--085.44%-2,690.2万--0--0--076.39%-2,690.2万---1.85亿---265.1万
投资产品交易的净现金流 --0------------------0----------------
其他投资活动的净现金流 -91.02%69.6万88.85%152.4万-72.56%60.9万-33.70%1,244.9万214.66%167.4万7.70%774.9万98.77%80.7万-79.15%221.9万3,098.64%1,877.6万205.35%53.2万
非持续投资活动现金净额
投资活动现金净额 17.04%-1,577.1万25.68%-1,945.9万66.48%-2,419.9万54.46%-1.44亿51.04%-2,657.2万78.78%-1,901万10.59%-2,618.4万49.51%-7,220.3万-168.72%-3.16亿-29.18%-5,426.8万
融资活动现金流量
持续融资活动现金净额 -15.20%2,816.4万255.97%8,378万-74.70%2,381.6万-135.03%-3,313.2万-9.16%-1.07亿-22.29%3,321.3万-183.09%-5,371.6万-44.17%9,413.1万250.55%9,457.4万-12.04%-9,779.8万
债务发行/偿还的净现金流 -12.99%3,430.4万284.52%8,925.1万-67.90%3,453.1万-101.68%-279.2万-37.51%-1.01亿-34.33%3,942.6万-852.52%-4,836.9万-41.78%1.08亿629.88%1.66亿8.20%-7,375.6万
普通股发行/偿还的净现金流 --------------0-------------------3,424.8万---1,639万
现金股利支付 -2.91%-550.8万-2.26%-524.7万-0.20%-555.1万0.49%-2,118.6万-0.86%-516.3万-0.39%-535.2万2.69%-513.1万0.50%-554万-0.15%-2,129.1万1.41%-511.9万
其他融资活动的净现金流额 26.60%-63.2万-3.70%-22.4万34.67%-516.4万42.30%-915.4万93.17%-17.3万56.32%-86.1万71.54%-21.6万25.46%-790.4万-54.97%-1,586.6万-44.66%-253.3万
非持续融资活动现金净额
融资活动现金净额 -15.20%2,816.4万255.97%8,378万-74.70%2,381.6万-135.03%-3,313.2万-9.16%-1.07亿-22.29%3,321.3万-183.09%-5,371.6万-44.17%9,413.1万250.55%9,457.4万-12.04%-9,779.8万
现金净流量
期初现金流 18.35%1,356.2万24.55%440.8万-86.23%603.2万57.46%4,380.3万-72.02%451.1万-35.71%1,145.9万-81.45%353.9万57.46%4,380.3万55.52%2,781.8万-10.05%1,612.5万
当期现金流变化 266.28%1,156.8万16.15%922.7万95.82%-168.2万-334.35%-3,773.9万-94.57%149.8万-350.58%-695.7万722.57%794.4万-363.52%-4,022.4万67.85%1,610.4万171.33%2,760.2万
利率变动影响 555.56%5.9万-204.17%-7.3万245.00%5.8万73.11%-3.2万-69.74%2.3万105.84%9,000-233.33%-2.4万32.20%-4万-135.31%-11.9万126.95%7.6万
期末现金流 458.39%2,518.9万18.35%1,356.2万24.55%440.8万-86.23%603.2万-86.23%603.2万-72.02%451.1万-35.71%1,145.9万-81.45%353.9万57.46%4,380.3万57.46%4,380.3万
自由现金流 63.91%-1,729.2万-215.16%-7,007.7万76.20%-2,610.7万-88.74%984.6万-16.42%1.07亿-387.78%-4,791.9万251.89%6,085.3万-48.23%-1.1亿22.86%8,747.5万31.01%1.28亿
货币单位 美元美元美元美元美元美元美元美元美元美元
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ------无保留意见------------

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