加拿大市場個股詳情

GRT.UN Granite Real Estate Investment Trust

添加自選
  • 69.060
  • +0.540+0.79%
延時15分鐘行情交易中 03/25 11:27 (美東)
43.33億總市值12.10市盈率TTM

Granite Real Estate Investment Trust關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2024/12/31
(Q4)2024/12/31
(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
經營活動現金流量(間接法)
持續經營活動現金淨額
8.12%3.39億
-6.33%7,123萬
25.10%1.07億
13.11%7,673.1萬
-0.07%8,396.4萬
12.86%3.13億
16.04%7,604.3萬
8.95%8,527.7萬
7.36%6,783.9萬
19.17%8,402.2萬
持續經營淨收入
161.29%3.62億
164.84%8,475.5萬
227.45%1.12億
26.01%7,635.5萬
657.39%8,892.5萬
-11.12%1.38億
125.33%3,200.2萬
136.63%3,415.7萬
149.53%6,059.6萬
-97.64%1,174.1萬
持續經營損益
-122.36%-4,282萬
-91.21%424.9萬
-170.22%-3,975萬
-72.83%335.3萬
-114.39%-1,067.2萬
-8.39%1.91億
-78.77%4,836.5萬
-75.15%5,661.1萬
-95.03%1,234.2萬
114.99%7,415.9萬
折舊攤銷及損耗
1.34%128.9萬
-0.61%32.4萬
7.10%33.2萬
10.10%33.8萬
-10.33%29.5萬
-20.40%127.2萬
-23.11%32.6萬
-26.01%31萬
-20.26%30.7萬
-11.08%32.9萬
以股票支付的報酬
-47.52%536萬
-141.06%-71.2萬
1,113.32%482.9萬
-184.40%-66萬
-73.93%190.3萬
6,215.57%1,021.3萬
28.16%173.4萬
132.44%39.8萬
151.21%78.2萬
491.49%729.9萬
遞延稅費
425.37%3,087.4萬
346.88%457.6萬
248.21%1,196.2萬
6.96%805.3萬
163.01%628.3萬
85.10%-948.9萬
104.48%102.4萬
86.41%-807.1萬
115.09%752.9萬
-114.56%-997.1萬
其他非現金項目
16.47%7,755.8萬
-2.00%2,107.2萬
15.92%1,876萬
26.47%1,883.8萬
34.81%1,888.8萬
46.09%6,659.3萬
50.56%2,150.3萬
33.73%1,618.4萬
76.48%1,489.5萬
30.23%1,401.1萬
營運資金變化
-65.97%-773.9萬
-614.41%-1,531.7萬
3,984.46%1,375.1萬
203.86%296萬
-1,433.28%-913.3萬
-4,471.57%-466.3萬
43.13%-214.4萬
-103.62%-35.4萬
-138.29%-285萬
113.92%68.5萬
-應收款項(增)減
-2,879.50%-595.9萬
-468.28%-965.5萬
243.54%344.2萬
-49.78%268.2萬
-68.14%-242.8萬
-111.95%-20萬
-140.00%-169.9萬
-281.24%-239.8萬
998.97%534.1萬
40.58%-144.4萬
-預付費用(增)減
118.94%64.2萬
39.11%-50.6萬
-3,877.78%-71.6萬
2,306.96%253.8萬
72.22%-67.4萬
-49.41%-339萬
28.85%-83.1萬
98.52%-1.8萬
-104.94%-11.5萬
-9.38%-242.6萬
-應付款項及應計費用(減)增
-35.03%-233.2萬
-1,000.77%-468.4萬
209.87%1,378.3萬
55.01%-382.2萬
-522.49%-760.9萬
58.97%-172.7萬
110.91%52萬
-55.98%444.8萬
-178.92%-849.6萬
127.71%180.1萬
-其他營運資本變動
-113.76%-9萬
-252.24%-47.2萬
-15.59%-275.8萬
271.90%156.2萬
-42.70%157.8萬
-86.09%65.4萬
93.56%-13.4萬
-256.77%-238.6萬
143.48%42萬
-55.78%275.4萬
已付利息(經營活動產生的現金流)
-9.69%-7,948萬
-3.61%-2,568.6萬
-2.73%-1,285.3萬
-26.30%-3,004.5萬
4.17%-1,089.6萬
-38.03%-7,246萬
-11.58%-2,479萬
-90.34%-1,251.1萬
-42.50%-2,378.9萬
-62.20%-1,137萬
已支付退稅
-0.69%-831.5萬
-2.73%-203.1萬
-51.62%-219.4萬
-24.73%-246.1萬
43.06%-162.9萬
54.35%-825.8萬
38.10%-197.7萬
87.26%-144.7萬
10.85%-197.3萬
-115.92%-286.1萬
非持續經營活動現金淨額
經營活動現金淨額
8.12%3.39億
-6.33%7,123萬
25.10%1.07億
13.11%7,673.1萬
-0.07%8,396.4萬
12.86%3.13億
16.04%7,604.3萬
8.95%8,527.7萬
7.36%6,783.9萬
19.17%8,402.2萬
投資活動現金流量
持續投資活動現金淨額
48.91%-6,546萬
11.93%-1,601.4萬
-184.81%-2,088.2萬
57.37%-2,045.5萬
85.16%-810.9萬
83.29%-1.28億
79.99%-1,818.3萬
95.92%-733.2萬
83.84%-4,798.3萬
72.53%-5,462.9萬
固定資產交易淨額
56.14%-12.5萬
78.46%-2.8萬
-34.21%-5.1萬
131.43%2.2萬
-44.68%-6.8萬
64.68%-28.5萬
-828.57%-13萬
83.76%-3.8萬
83.94%-7萬
61.79%-4.7萬
投資物業交易淨額
69.91%-5,894.3萬
-2.26%-1,452.5萬
-204.99%-2,052.6萬
66.37%-1,649萬
94.12%-740.2萬
72.20%-1.96億
79.80%-1,420.4萬
96.07%-673萬
82.30%-4,902.8萬
32.29%-1.26億
其他投資活動淨額
-109.39%-639.2萬
62.04%-146.1萬
45.92%-30.5萬
-457.58%-398.7萬
-100.90%-63.9萬
211.49%6,807.6萬
72.10%-384.9萬
96.22%-56.4萬
105.69%111.5萬
659.49%7,137.4萬
非持續投資活動現金淨額
投資活動現金淨額
48.91%-6,546萬
11.93%-1,601.4萬
-184.81%-2,088.2萬
57.37%-2,045.5萬
85.16%-810.9萬
83.29%-1.28億
79.99%-1,818.3萬
95.92%-733.2萬
83.84%-4,798.3萬
72.53%-5,462.9萬
融資活動現金流量
持續融資活動現金淨額
-31.70%-2.67億
33.47%-6,595.3萬
-29.01%-5,199.6萬
-502.69%-9,664.1萬
-11.07%-5,290.5萬
-194.66%-2.03億
12.45%-9,913.9萬
-119.37%-4,030.5萬
-109.79%-1,603.5萬
-8.04%-4,763.1萬
債務發行/償還的淨額
-161.33%-2,897.4萬
-943.26%-2,831.4萬
-102.21%-23.6萬
-100.67%-23.6萬
-104.47%-18.8萬
-91.65%4,724.6萬
-148.85%-271.4萬
-96.61%1,069.7萬
-84.97%3,506萬
-64.60%420.3萬
普通股發行/回購的淨額
-69.70%-4,580.8萬
94.12%-158.7萬
--0
---4,422.1萬
----
81.04%-2,699.4萬
60.93%-2,699.4萬
--0
--0
----
已支付現金股息
-1.93%-2.08億
-1.64%-5,176.3萬
-1.49%-5,176萬
-2.06%-5,205.9萬
-2.54%-5,226.9萬
-0.80%-2.04億
-2.50%-5,092.7萬
-0.62%-5,100.2萬
-0.01%-5,100.9萬
-0.13%-5,097.2萬
已付利息(籌資活動產生的現金流)
39.48%-55.5萬
---1.4萬
--0
-69.09%-9.3萬
48.03%-44.8萬
---91.7萬
--0
--0
---5.5萬
---86.2萬
其他融資活動的淨現金流額
184.67%1,569.3萬
184.98%1,572.5萬
----
-3.23%-3.2萬
----
-180.66%-1,853.5萬
-168,118.18%-1,850.4萬
----
-3.33%-3.1萬
----
非持續融資活動現金淨額
融資活動現金淨額
-31.70%-2.67億
33.47%-6,595.3萬
-29.01%-5,199.6萬
-502.69%-9,664.1萬
-11.07%-5,290.5萬
-194.66%-2.03億
12.45%-9,913.9萬
-119.37%-4,030.5萬
-109.79%-1,603.5萬
-8.04%-4,763.1萬
現金淨流量
期初現金流
-14.03%1.16億
-15.68%1.33億
-15.03%1.01億
19.42%1.4億
-14.03%1.16億
-66.44%1.35億
-42.29%1.58億
-24.39%1.19億
-48.70%1.17億
-66.44%1.35億
當期現金流變化
131.31%565.4萬
73.99%-1,073.7萬
-10.19%3,380.6萬
-1,156.40%-4,036.5萬
225.84%2,295萬
93.42%-1,805.6萬
70.22%-4,127.9萬
-64.66%3,764萬
105.46%382.1萬
89.43%-1,823.8萬
利率變動影響
592.37%438.7萬
483.00%342.4萬
-204.79%-157.5萬
191.26%168.1萬
150.58%85.7萬
-112.60%-89.1萬
-42.36%-89.4萬
-85.25%150.3萬
-101.31%-184.2萬
121.70%34.2萬
期末現金流
8.65%1.26億
8.65%1.26億
-15.68%1.33億
-15.03%1.01億
19.42%1.4億
-14.03%1.16億
-14.03%1.16億
-42.29%1.58億
-24.39%1.19億
-48.70%1.17億
自由現金流
8.18%3.38億
-6.21%7,120.2萬
25.10%1.07億
13.22%7,673.1萬
-0.09%8,389.6萬
13.09%3.13億
15.87%7,591.3萬
9.22%8,523.9萬
7.99%6,776.9萬
19.31%8,397.5萬
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
審計意見
無保留意見
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(FY)2024/12/31(Q4)2024/12/31(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
經營活動現金流量(間接法)
持續經營活動現金淨額 8.12%3.39億-6.33%7,123萬25.10%1.07億13.11%7,673.1萬-0.07%8,396.4萬12.86%3.13億16.04%7,604.3萬8.95%8,527.7萬7.36%6,783.9萬19.17%8,402.2萬
持續經營淨收入 161.29%3.62億164.84%8,475.5萬227.45%1.12億26.01%7,635.5萬657.39%8,892.5萬-11.12%1.38億125.33%3,200.2萬136.63%3,415.7萬149.53%6,059.6萬-97.64%1,174.1萬
持續經營損益 -122.36%-4,282萬-91.21%424.9萬-170.22%-3,975萬-72.83%335.3萬-114.39%-1,067.2萬-8.39%1.91億-78.77%4,836.5萬-75.15%5,661.1萬-95.03%1,234.2萬114.99%7,415.9萬
折舊攤銷及損耗 1.34%128.9萬-0.61%32.4萬7.10%33.2萬10.10%33.8萬-10.33%29.5萬-20.40%127.2萬-23.11%32.6萬-26.01%31萬-20.26%30.7萬-11.08%32.9萬
以股票支付的報酬 -47.52%536萬-141.06%-71.2萬1,113.32%482.9萬-184.40%-66萬-73.93%190.3萬6,215.57%1,021.3萬28.16%173.4萬132.44%39.8萬151.21%78.2萬491.49%729.9萬
遞延稅費 425.37%3,087.4萬346.88%457.6萬248.21%1,196.2萬6.96%805.3萬163.01%628.3萬85.10%-948.9萬104.48%102.4萬86.41%-807.1萬115.09%752.9萬-114.56%-997.1萬
其他非現金項目 16.47%7,755.8萬-2.00%2,107.2萬15.92%1,876萬26.47%1,883.8萬34.81%1,888.8萬46.09%6,659.3萬50.56%2,150.3萬33.73%1,618.4萬76.48%1,489.5萬30.23%1,401.1萬
營運資金變化 -65.97%-773.9萬-614.41%-1,531.7萬3,984.46%1,375.1萬203.86%296萬-1,433.28%-913.3萬-4,471.57%-466.3萬43.13%-214.4萬-103.62%-35.4萬-138.29%-285萬113.92%68.5萬
-應收款項(增)減 -2,879.50%-595.9萬-468.28%-965.5萬243.54%344.2萬-49.78%268.2萬-68.14%-242.8萬-111.95%-20萬-140.00%-169.9萬-281.24%-239.8萬998.97%534.1萬40.58%-144.4萬
-預付費用(增)減 118.94%64.2萬39.11%-50.6萬-3,877.78%-71.6萬2,306.96%253.8萬72.22%-67.4萬-49.41%-339萬28.85%-83.1萬98.52%-1.8萬-104.94%-11.5萬-9.38%-242.6萬
-應付款項及應計費用(減)增 -35.03%-233.2萬-1,000.77%-468.4萬209.87%1,378.3萬55.01%-382.2萬-522.49%-760.9萬58.97%-172.7萬110.91%52萬-55.98%444.8萬-178.92%-849.6萬127.71%180.1萬
-其他營運資本變動 -113.76%-9萬-252.24%-47.2萬-15.59%-275.8萬271.90%156.2萬-42.70%157.8萬-86.09%65.4萬93.56%-13.4萬-256.77%-238.6萬143.48%42萬-55.78%275.4萬
已付利息(經營活動產生的現金流) -9.69%-7,948萬-3.61%-2,568.6萬-2.73%-1,285.3萬-26.30%-3,004.5萬4.17%-1,089.6萬-38.03%-7,246萬-11.58%-2,479萬-90.34%-1,251.1萬-42.50%-2,378.9萬-62.20%-1,137萬
已支付退稅 -0.69%-831.5萬-2.73%-203.1萬-51.62%-219.4萬-24.73%-246.1萬43.06%-162.9萬54.35%-825.8萬38.10%-197.7萬87.26%-144.7萬10.85%-197.3萬-115.92%-286.1萬
非持續經營活動現金淨額
經營活動現金淨額 8.12%3.39億-6.33%7,123萬25.10%1.07億13.11%7,673.1萬-0.07%8,396.4萬12.86%3.13億16.04%7,604.3萬8.95%8,527.7萬7.36%6,783.9萬19.17%8,402.2萬
投資活動現金流量
持續投資活動現金淨額 48.91%-6,546萬11.93%-1,601.4萬-184.81%-2,088.2萬57.37%-2,045.5萬85.16%-810.9萬83.29%-1.28億79.99%-1,818.3萬95.92%-733.2萬83.84%-4,798.3萬72.53%-5,462.9萬
固定資產交易淨額 56.14%-12.5萬78.46%-2.8萬-34.21%-5.1萬131.43%2.2萬-44.68%-6.8萬64.68%-28.5萬-828.57%-13萬83.76%-3.8萬83.94%-7萬61.79%-4.7萬
投資物業交易淨額 69.91%-5,894.3萬-2.26%-1,452.5萬-204.99%-2,052.6萬66.37%-1,649萬94.12%-740.2萬72.20%-1.96億79.80%-1,420.4萬96.07%-673萬82.30%-4,902.8萬32.29%-1.26億
其他投資活動淨額 -109.39%-639.2萬62.04%-146.1萬45.92%-30.5萬-457.58%-398.7萬-100.90%-63.9萬211.49%6,807.6萬72.10%-384.9萬96.22%-56.4萬105.69%111.5萬659.49%7,137.4萬
非持續投資活動現金淨額
投資活動現金淨額 48.91%-6,546萬11.93%-1,601.4萬-184.81%-2,088.2萬57.37%-2,045.5萬85.16%-810.9萬83.29%-1.28億79.99%-1,818.3萬95.92%-733.2萬83.84%-4,798.3萬72.53%-5,462.9萬
融資活動現金流量
持續融資活動現金淨額 -31.70%-2.67億33.47%-6,595.3萬-29.01%-5,199.6萬-502.69%-9,664.1萬-11.07%-5,290.5萬-194.66%-2.03億12.45%-9,913.9萬-119.37%-4,030.5萬-109.79%-1,603.5萬-8.04%-4,763.1萬
債務發行/償還的淨額 -161.33%-2,897.4萬-943.26%-2,831.4萬-102.21%-23.6萬-100.67%-23.6萬-104.47%-18.8萬-91.65%4,724.6萬-148.85%-271.4萬-96.61%1,069.7萬-84.97%3,506萬-64.60%420.3萬
普通股發行/回購的淨額 -69.70%-4,580.8萬94.12%-158.7萬--0---4,422.1萬----81.04%-2,699.4萬60.93%-2,699.4萬--0--0----
已支付現金股息 -1.93%-2.08億-1.64%-5,176.3萬-1.49%-5,176萬-2.06%-5,205.9萬-2.54%-5,226.9萬-0.80%-2.04億-2.50%-5,092.7萬-0.62%-5,100.2萬-0.01%-5,100.9萬-0.13%-5,097.2萬
已付利息(籌資活動產生的現金流) 39.48%-55.5萬---1.4萬--0-69.09%-9.3萬48.03%-44.8萬---91.7萬--0--0---5.5萬---86.2萬
其他融資活動的淨現金流額 184.67%1,569.3萬184.98%1,572.5萬-----3.23%-3.2萬-----180.66%-1,853.5萬-168,118.18%-1,850.4萬-----3.33%-3.1萬----
非持續融資活動現金淨額
融資活動現金淨額 -31.70%-2.67億33.47%-6,595.3萬-29.01%-5,199.6萬-502.69%-9,664.1萬-11.07%-5,290.5萬-194.66%-2.03億12.45%-9,913.9萬-119.37%-4,030.5萬-109.79%-1,603.5萬-8.04%-4,763.1萬
現金淨流量
期初現金流 -14.03%1.16億-15.68%1.33億-15.03%1.01億19.42%1.4億-14.03%1.16億-66.44%1.35億-42.29%1.58億-24.39%1.19億-48.70%1.17億-66.44%1.35億
當期現金流變化 131.31%565.4萬73.99%-1,073.7萬-10.19%3,380.6萬-1,156.40%-4,036.5萬225.84%2,295萬93.42%-1,805.6萬70.22%-4,127.9萬-64.66%3,764萬105.46%382.1萬89.43%-1,823.8萬
利率變動影響 592.37%438.7萬483.00%342.4萬-204.79%-157.5萬191.26%168.1萬150.58%85.7萬-112.60%-89.1萬-42.36%-89.4萬-85.25%150.3萬-101.31%-184.2萬121.70%34.2萬
期末現金流 8.65%1.26億8.65%1.26億-15.68%1.33億-15.03%1.01億19.42%1.4億-14.03%1.16億-14.03%1.16億-42.29%1.58億-24.39%1.19億-48.70%1.17億
自由現金流 8.18%3.38億-6.21%7,120.2萬25.10%1.07億13.22%7,673.1萬-0.09%8,389.6萬13.09%3.13億15.87%7,591.3萬9.22%8,523.9萬7.99%6,776.9萬19.31%8,397.5萬
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 無保留意見------------------

FY:Financial Year 年度報告,相當於上市公司向SEC披露的10-K文件。

Q:Quarter 季度報告,相當於上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4為單季報,跨度為3個月;Q6、Q9為累計季報,Q6為6個月,Q9為9個月。

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加拿大的股息之王是指那些連續多年增加股息的公司,這不僅反映了其強大的商業模式和穩健的財務狀況,也表明它們在市場中可能表現優於平均水平,且波動性較小。 加拿大的股息之王是指那些連續多年增加股息的公司,這不僅反映了其強大的商業模式和穩健的財務狀況,也表明它們在市場中可能表現優於平均水平,且波動性較小。

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