美股市场个股详情

CPXGF CINEPLEX INC

添加自选
  • 6.650
  • +0.004+0.06%
延时15分钟行情收盘价 05/03 16:00 (美东)
  • 6.657
  • +0.007+0.10%
盘后 17:01 (美东)
4.24亿总市值4.29市盈率TTM

CINEPLEX INC关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q1)2022/03/31
经营活动现金流量(间接法)
持续经营活动现金净额
150.51%1.96亿
79.00%5,504.7万
669.11%4,469.3万
97.70%9,321.9万
157.66%313.5万
28.32%7,827.9万
11.91%3,075.3万
-88.83%581.1万
175.21%4,715.2万
84.74%-543.7万
持续经营净收入
1,526.29%1.38亿
-10,224.20%-3,806.7万
-3.60%2,974.6万
13,345.93%1.77亿
28.54%-3,017.3万
96.11%-967.9万
101.73%37.6万
191.97%3,085.7万
101.27%131.3万
52.92%-4,222.5万
持续经营损益
117.61%1,381万
3,159.77%867.1万
102.79%157.2万
96.14%-47.4万
140.30%404.1万
-100.31%-7,842.6万
104.65%26.6万
-1,544.94%-5,637.2万
-8,241.06%-1,229.3万
66.76%-1,002.7万
折旧和摊销
-3.52%1.77亿
7.90%3,380.4万
-4.79%4,699万
-7.04%4,753.9万
-5.77%4,820.5万
-15.01%1.83亿
-40.37%3,133万
-7.66%4,935.6万
-4.37%5,113.7万
-8.37%5,115.5万
递延税费
---1.47亿
---203.4万
--1,144.3万
---1.58亿
--230.7万
--0
--0
--0
--0
--0
其他非现金项目
15.20%2,215.2万
20.17%593.4万
15.31%546.1万
12.26%537.3万
12.87%538.4万
13.57%1,923万
14.52%493.8万
11.75%473.6万
14.01%478.6万
13.98%477万
营运资金变化
60.29%-1,135.2万
275.67%5,043.7万
-104.70%-5,284.3万
1,890.36%2,005.2万
-92.33%-2,899.8万
-124.34%-2,858.6万
1,055.59%1,342.6万
-179.09%-2,581.5万
-101.79%-112万
-163.94%-1,507.7万
-应收款项(增)减
151.69%1,569.2万
62.74%-1,848.1万
-119.43%-90.2万
111.78%69.3万
67.89%3,438.2万
-187.38%-3,035.8万
-36.87%-4,959.9万
1.02%464.3万
-112.78%-588.1万
0.55%2,047.9万
-存货(增)减
83.67%-31.1万
-103.60%-25.4万
115.14%64.3万
105.67%1.6万
83.85%-71.6万
4.70%-190.4万
1,358.26%705.8万
-34.49%-424.6万
41.49%-28.2万
-483.23%-443.4万
-预付费用(增)减
111.32%25.3万
13.00%394.7万
87.68%-47.3万
54.80%-59.8万
-363.43%-262.3万
23.28%-223.4万
439.79%349.3万
-475.41%-383.8万
35.65%-132.3万
-167.46%-56.6万
-应付款项及应计费用(减)增
-120.12%-779.2万
-0.47%4,326.4万
-29,172.73%-4,186万
380.72%3,408.8万
-270.20%-4,328.4万
-49.11%3,872.5万
104.68%4,346.9万
-100.36%-14.3万
-53.54%709.1万
-2,575.51%-1,169.2万
-其他流动负债变化
85.90%-14.8万
94.48%-3.1万
-134.18%-2.7万
-180.70%-4.6万
92.95%-4.4万
47.05%-105万
12.60%-56.2万
112.91%7.9万
235.71%5.7万
9.04%-62.4万
-其他营运资本变化
40.04%-1,904.6万
129.87%2,199.2万
54.17%-1,022.4万
-1,703.20%-1,410.1万
8.37%-1,671.3万
-335.45%-3,176.5万
-35.28%956.7万
-195.34%-2,231万
-119.94%-78.2万
-878.82%-1,824万
非持续经营活动现金净额
-54.84%1,303.7万
2,886.9万
经营活动现金净额
95.18%2.09亿
14.19%6,808.4万
669.11%4,469.3万
97.70%9,321.9万
157.66%313.5万
75.64%1.07亿
116.97%5,962.2万
-88.83%581.1万
175.21%4,715.2万
84.74%-543.7万
投资活动现金流量
持续投资活动现金净额
-34.32%-6,237.5万
11.81%-1,110万
24.60%-1,095万
-159.69%-2,111.8万
-71.55%-1,920.7万
-214.80%-4,643.7万
-219.69%-1,258.6万
-511.75%-1,452.3万
-361.78%-813.2万
-123.07%-1,119.6万
固定资产交易的净现金流
4.59%-5,247.8万
43.23%-1,035.9万
38.01%-906.1万
-32.15%-1,656.9万
-71.72%-1,648.9万
-132.81%-5,500.5万
-261.18%-1,824.7万
-202.40%-1,461.8万
-149.46%-1,253.8万
-10.18%-960.2万
无形资产交易净现金流
-10.80%-1,097.4万
-82.90%-271.6万
23.56%-278.1万
-1.46%-264.6万
-30.28%-283.1万
-7.65%-990.4万
25.45%-148.5万
-70.80%-363.8万
-30.92%-260.8万
29.59%-217.3万
业务交易的净现金流
-266.06%-893.4万
-1,285.48%-73.5万
---233.3万
-163.93%-340万
---246.6万
169.67%538万
-96.89%6.2万
--0
--531.8万
--0
其他投资活动的净现金流
-23.53%1,001.1万
-61.74%271万
-13.61%322.5万
-11.73%149.7万
345.42%257.9万
-81.63%1,309.2万
537.05%708.4万
-18.67%373.3万
-67.74%169.6万
-99.04%57.9万
非持续投资活动现金净额
投资活动现金净额
-30.83%-7,293.5万
1.09%-2,166万
24.60%-1,095万
-159.69%-4,223.6万
-71.55%-1,920.7万
-237.82%-5,574.9万
-456.21%-2,189.8万
-511.75%-1,452.3万
-823.57%-1,626.4万
-123.07%-1,119.6万
融资活动现金流量
持续融资活动现金净额
-227.63%-1.3亿
12.51%-2,479.9万
-592.04%-5,475.4万
-42.79%-5,190.4万
-92.29%106.2万
56.33%-3,979.9万
-13.08%-2,834.5万
122.17%1,112.8万
-497.26%-3,634.9万
240.74%1,376.7万
债务发行/偿还的净现金流
-234.91%-1.29亿
12.50%-2,414.4万
-569.19%-5,475.4万
-42.48%-5,190.4万
-89.31%146.8万
57.22%-3,861.8万
-12.51%-2,759.3万
123.25%1,167万
-498.55%-3,642.8万
245.15%1,373.3万
职工行使股票期权收到的现金
--0
--0
--0
--0
--0
--11.3万
--0
--0
--7.9万
--3.4万
其他融资活动的净现金流额
18.01%-106.1万
12.90%-65.5万
----
----
---40.6万
-49.94%-129.4万
-38.75%-75.2万
---54.2万
----
----
非持续融资活动现金净额
-11.16%-394.4万
-354.8万
融资活动现金净额
-209.92%-1.34亿
9.88%-2,874.3万
-592.04%-5,475.4万
-42.79%-5,190.4万
-92.29%106.2万
52.43%-4,334.7万
-27.23%-3,189.3万
122.17%1,112.8万
-497.26%-3,634.9万
240.74%1,376.7万
现金净流量
期初现金流
28.72%3,467.4万
-34.04%1,903.2万
50.45%3,999.5万
-18.24%1,969.9万
28.72%3,467.4万
65.73%2,693.8万
1.35%2,885.4万
-8.97%2,658.4万
23.54%2,409.4万
65.73%2,693.8万
当期现金流变化
-76.94%185.7万
203.22%1,768.1万
-969.66%-2,101.1万
656.16%2,019.7万
-423.73%-1,501万
-22.04%805.2万
482.61%583.1万
545.76%241.6万
-71.24%267.1万
-192.18%-286.6万
利率变动影响
142.72%13.5万
-327.27%-4.7万
132.88%4.8万
154.70%9.9万
59.09%3.5万
-189.01%-31.6万
-22.22%-1.1万
22.75%-14.6万
-143.83%-18.1万
-84.29%2.2万
期末现金流
5.74%3,666.6万
5.74%3,666.6万
-34.04%1,903.2万
50.45%3,999.5万
-18.24%1,969.9万
28.72%3,467.4万
28.72%3,467.4万
1.35%2,885.4万
-8.97%2,658.4万
23.54%2,409.4万
自由现金流
244.89%1.46亿
37.90%5,500.9万
363.97%3,285.1万
131.22%7,400.4万
5.97%-1,618.5万
49.91%4,223.9万
95.19%3,989万
-127.62%-1,244.5万
216.42%3,200.6万
63.71%-1,721.2万
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
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(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(Q1)2022/03/31
经营活动现金流量(间接法)
持续经营活动现金净额 150.51%1.96亿79.00%5,504.7万669.11%4,469.3万97.70%9,321.9万157.66%313.5万28.32%7,827.9万11.91%3,075.3万-88.83%581.1万175.21%4,715.2万84.74%-543.7万
持续经营净收入 1,526.29%1.38亿-10,224.20%-3,806.7万-3.60%2,974.6万13,345.93%1.77亿28.54%-3,017.3万96.11%-967.9万101.73%37.6万191.97%3,085.7万101.27%131.3万52.92%-4,222.5万
持续经营损益 117.61%1,381万3,159.77%867.1万102.79%157.2万96.14%-47.4万140.30%404.1万-100.31%-7,842.6万104.65%26.6万-1,544.94%-5,637.2万-8,241.06%-1,229.3万66.76%-1,002.7万
折旧和摊销 -3.52%1.77亿7.90%3,380.4万-4.79%4,699万-7.04%4,753.9万-5.77%4,820.5万-15.01%1.83亿-40.37%3,133万-7.66%4,935.6万-4.37%5,113.7万-8.37%5,115.5万
递延税费 ---1.47亿---203.4万--1,144.3万---1.58亿--230.7万--0--0--0--0--0
其他非现金项目 15.20%2,215.2万20.17%593.4万15.31%546.1万12.26%537.3万12.87%538.4万13.57%1,923万14.52%493.8万11.75%473.6万14.01%478.6万13.98%477万
营运资金变化 60.29%-1,135.2万275.67%5,043.7万-104.70%-5,284.3万1,890.36%2,005.2万-92.33%-2,899.8万-124.34%-2,858.6万1,055.59%1,342.6万-179.09%-2,581.5万-101.79%-112万-163.94%-1,507.7万
-应收款项(增)减 151.69%1,569.2万62.74%-1,848.1万-119.43%-90.2万111.78%69.3万67.89%3,438.2万-187.38%-3,035.8万-36.87%-4,959.9万1.02%464.3万-112.78%-588.1万0.55%2,047.9万
-存货(增)减 83.67%-31.1万-103.60%-25.4万115.14%64.3万105.67%1.6万83.85%-71.6万4.70%-190.4万1,358.26%705.8万-34.49%-424.6万41.49%-28.2万-483.23%-443.4万
-预付费用(增)减 111.32%25.3万13.00%394.7万87.68%-47.3万54.80%-59.8万-363.43%-262.3万23.28%-223.4万439.79%349.3万-475.41%-383.8万35.65%-132.3万-167.46%-56.6万
-应付款项及应计费用(减)增 -120.12%-779.2万-0.47%4,326.4万-29,172.73%-4,186万380.72%3,408.8万-270.20%-4,328.4万-49.11%3,872.5万104.68%4,346.9万-100.36%-14.3万-53.54%709.1万-2,575.51%-1,169.2万
-其他流动负债变化 85.90%-14.8万94.48%-3.1万-134.18%-2.7万-180.70%-4.6万92.95%-4.4万47.05%-105万12.60%-56.2万112.91%7.9万235.71%5.7万9.04%-62.4万
-其他营运资本变化 40.04%-1,904.6万129.87%2,199.2万54.17%-1,022.4万-1,703.20%-1,410.1万8.37%-1,671.3万-335.45%-3,176.5万-35.28%956.7万-195.34%-2,231万-119.94%-78.2万-878.82%-1,824万
非持续经营活动现金净额 -54.84%1,303.7万2,886.9万
经营活动现金净额 95.18%2.09亿14.19%6,808.4万669.11%4,469.3万97.70%9,321.9万157.66%313.5万75.64%1.07亿116.97%5,962.2万-88.83%581.1万175.21%4,715.2万84.74%-543.7万
投资活动现金流量
持续投资活动现金净额 -34.32%-6,237.5万11.81%-1,110万24.60%-1,095万-159.69%-2,111.8万-71.55%-1,920.7万-214.80%-4,643.7万-219.69%-1,258.6万-511.75%-1,452.3万-361.78%-813.2万-123.07%-1,119.6万
固定资产交易的净现金流 4.59%-5,247.8万43.23%-1,035.9万38.01%-906.1万-32.15%-1,656.9万-71.72%-1,648.9万-132.81%-5,500.5万-261.18%-1,824.7万-202.40%-1,461.8万-149.46%-1,253.8万-10.18%-960.2万
无形资产交易净现金流 -10.80%-1,097.4万-82.90%-271.6万23.56%-278.1万-1.46%-264.6万-30.28%-283.1万-7.65%-990.4万25.45%-148.5万-70.80%-363.8万-30.92%-260.8万29.59%-217.3万
业务交易的净现金流 -266.06%-893.4万-1,285.48%-73.5万---233.3万-163.93%-340万---246.6万169.67%538万-96.89%6.2万--0--531.8万--0
其他投资活动的净现金流 -23.53%1,001.1万-61.74%271万-13.61%322.5万-11.73%149.7万345.42%257.9万-81.63%1,309.2万537.05%708.4万-18.67%373.3万-67.74%169.6万-99.04%57.9万
非持续投资活动现金净额
投资活动现金净额 -30.83%-7,293.5万1.09%-2,166万24.60%-1,095万-159.69%-4,223.6万-71.55%-1,920.7万-237.82%-5,574.9万-456.21%-2,189.8万-511.75%-1,452.3万-823.57%-1,626.4万-123.07%-1,119.6万
融资活动现金流量
持续融资活动现金净额 -227.63%-1.3亿12.51%-2,479.9万-592.04%-5,475.4万-42.79%-5,190.4万-92.29%106.2万56.33%-3,979.9万-13.08%-2,834.5万122.17%1,112.8万-497.26%-3,634.9万240.74%1,376.7万
债务发行/偿还的净现金流 -234.91%-1.29亿12.50%-2,414.4万-569.19%-5,475.4万-42.48%-5,190.4万-89.31%146.8万57.22%-3,861.8万-12.51%-2,759.3万123.25%1,167万-498.55%-3,642.8万245.15%1,373.3万
职工行使股票期权收到的现金 --0--0--0--0--0--11.3万--0--0--7.9万--3.4万
其他融资活动的净现金流额 18.01%-106.1万12.90%-65.5万-----------40.6万-49.94%-129.4万-38.75%-75.2万---54.2万--------
非持续融资活动现金净额 -11.16%-394.4万-354.8万
融资活动现金净额 -209.92%-1.34亿9.88%-2,874.3万-592.04%-5,475.4万-42.79%-5,190.4万-92.29%106.2万52.43%-4,334.7万-27.23%-3,189.3万122.17%1,112.8万-497.26%-3,634.9万240.74%1,376.7万
现金净流量
期初现金流 28.72%3,467.4万-34.04%1,903.2万50.45%3,999.5万-18.24%1,969.9万28.72%3,467.4万65.73%2,693.8万1.35%2,885.4万-8.97%2,658.4万23.54%2,409.4万65.73%2,693.8万
当期现金流变化 -76.94%185.7万203.22%1,768.1万-969.66%-2,101.1万656.16%2,019.7万-423.73%-1,501万-22.04%805.2万482.61%583.1万545.76%241.6万-71.24%267.1万-192.18%-286.6万
利率变动影响 142.72%13.5万-327.27%-4.7万132.88%4.8万154.70%9.9万59.09%3.5万-189.01%-31.6万-22.22%-1.1万22.75%-14.6万-143.83%-18.1万-84.29%2.2万
期末现金流 5.74%3,666.6万5.74%3,666.6万-34.04%1,903.2万50.45%3,999.5万-18.24%1,969.9万28.72%3,467.4万28.72%3,467.4万1.35%2,885.4万-8.97%2,658.4万23.54%2,409.4万
自由现金流 244.89%1.46亿37.90%5,500.9万363.97%3,285.1万131.22%7,400.4万5.97%-1,618.5万49.91%4,223.9万95.19%3,989万-127.62%-1,244.5万216.42%3,200.6万63.71%-1,721.2万
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------------------

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