美股市场个股详情

CSCCF CAPSTONE COPPER CORP

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  • 8.340
  • +0.115+1.40%
延时15分钟行情收盘价 05/20 16:00 (美东)
62.78亿总市值-55600市盈率TTM

CAPSTONE COPPER CORP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
33.62%1.17亿
147.30%6,043.1万
406.70%5,675.5万
-103.58%-220.4万
148.88%382.5万
-84.20%8,742.2万
-74.14%2,443.6万
-84.01%1,120.1万
-63.48%6,155.6万
-103.55%-782.5万
持续经营净收入
-191.62%-1.25亿
31.22%-1,952.8万
-212.98%-4,233.7万
-136.86%-3,391.1万
-182.44%-2,895万
-46.16%1.36亿
-168.56%-2,839.2万
6.95%3,747.4万
86.20%9,198.7万
-72.35%3,511.7万
持续经营损益
94.21%-945.2万
-62.23%2,118.8万
91.02%-864万
50.92%-5,705.3万
607.59%3,502.9万
-11,744.22%-1.63亿
90,385.48%5,610.1万
-6,199.80%-9,619.8万
-5,034.38%-1.16亿
-1,450.49%-690.1万
折旧和摊销
34.46%2.37亿
72.46%7,490.4万
35.02%6,280万
1.74%5,390.1万
36.18%4,527.9万
88.94%1.76亿
75.49%4,343.3万
124.48%4,651万
139.65%5,298.1万
29.53%3,325万
递延税费
-41.27%3,364.1万
90.80%-283.2万
69.58%4,550.3万
-97.00%122.4万
-149.53%-1,021.8万
-34.22%5,727.9万
-299.11%-3,079.3万
7.62%2,683.3万
68.23%4,073.8万
-11.76%2,063.1万
其他非现金项目
600.56%7,194.1万
1,248.92%2,989.2万
-4,869.11%-1,173.2万
3,366.83%4,707.5万
-41.64%532.1万
-92.94%1,026.9万
168.84%221.6万
100.92%24.6万
-104.83%-144.1万
-93.69%911.8万
营运资金变化
3.38%-9,063.5万
-53.24%-5,052.6万
7,693.24%1,571.8万
-152.35%-1,364.7万
54.23%-3,881.7万
-530.67%-9,380.9万
-593.98%-3,297.1万
-100.92%-20.7万
-8.12%2,607万
-250.05%-8,480.2万
-应收款项(增)减
231.88%4,684.3万
91.75%-628.8万
163.35%1,596.4万
-52.08%1,320.9万
240.80%2,395.8万
-308.50%-3,551.9万
-627.02%-7,617.7万
171.91%606.2万
404.32%2,756.6万
48.09%703万
-存货(增)减
-100.82%-44.5万
-103.46%-167.1万
-119.44%-207.6万
288.26%1,696.6万
-433.43%-1,366.4万
1,179.83%5,402.4万
850.68%4,826.1万
304.74%1,067.7万
-473.32%-901.2万
-3.05%409.8万
-应付款项及应计费用(减)增
-63.53%-1.01亿
-318.15%-1,277.7万
-26.61%-3,032.6万
-1,336.04%-4,135.8万
70.34%-1,341万
-2,738.83%-6,190.7万
202.90%585.7万
-285.58%-2,395.3万
-82.50%334.6万
-88.48%-4,521.1万
-其他流动资产变化
123.87%282.9万
180.55%709.4万
24.24%904.6万
-250.59%-522.7万
41.41%-808.4万
-361.17%-1,185.2万
-150.86%-880.7万
146.35%728.1万
53.04%347.1万
-2,177.86%-1,379.7万
-其他流动负债变化
-0.19%-3,862.8万
-1,652.21%-3,688.4万
8,534.31%2,311万
295.28%276.3万
25.20%-2,761.7万
-234.83%-3,855.5万
-494.93%-210.5万
-100.71%-27.4万
178.36%69.9万
-273.82%-3,692.2万
非持续经营活动现金净额
经营活动现金净额
33.62%1.17亿
147.30%6,043.1万
406.70%5,675.5万
-103.58%-220.4万
148.88%382.5万
-84.20%8,742.2万
-74.14%2,443.6万
-84.01%1,120.1万
-63.48%6,155.6万
-103.55%-782.5万
投资活动现金流量
持续投资活动现金净额
-81.60%-6.73亿
8.65%-1.46亿
0.65%-1.9亿
17.41%-1.52亿
-212.20%-1.85亿
-158.01%-3.71亿
-325.99%-1.6亿
-492.08%-1.92亿
-322.57%-1.84亿
644.54%1.65亿
固定资产交易的净现金流
-10.18%-6.17亿
12.78%-1.32亿
6.64%-1.73亿
23.05%-1.37亿
-290.87%-1.74亿
-319.53%-5.6亿
-331.40%-1.52亿
-442.08%-1.85亿
-326.82%-1.78亿
-99.68%-4,460.5万
业务交易的净现金流
--0
--0
--0
--0
--0
--2.19亿
--0
--0
--0
--2.19亿
投资产品交易的净现金流
300.14%282.5万
753.61%272.3万
--0
-72.13%10.2万
----
-39.45%70.6万
329.50%31.9万
-100.25%-3,000
594.59%36.6万
----
其他投资活动的净现金流
128.85%216.5万
-82.19%4.4万
-96.30%5,000
1,272.00%34.3万
-7.06%-1,052.9万
34.37%-750.5万
111.09%24.7万
-77.35%13.5万
101.46%2.5万
-21.46%-983.5万
非持续投资活动现金净额
投资活动现金净额
-81.60%-6.73亿
8.65%-1.46亿
0.65%-1.9亿
17.41%-1.52亿
-212.20%-1.85亿
-158.01%-3.71亿
-325.99%-1.6亿
-492.08%-1.92亿
-322.57%-1.84亿
644.54%1.65亿
融资活动现金流量
持续融资活动现金净额
164.64%5.08亿
-24.51%8,317.1万
405.76%1.42亿
181.63%1.71亿
1,357.70%1.1亿
194.06%1.92亿
10,311.40%1.1亿
8,556.00%2,813.2万
4,067.97%6,064.4万
95.72%-876.5万
债务发行/偿还的净现金流
80.89%3.81亿
-28.87%5,769.1万
105.01%1.1亿
50.84%1.26亿
1,253.99%8,742.6万
212.84%2.11亿
7,701.69%8,111万
6,520.88%5,380.7万
10,978.23%8,343.6万
95.89%-757.6万
现金股利支付
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
职工行使股票期权收到的现金
-12.53%272.2万
-138.31%-23.6万
-91.39%5.4万
-14.86%53.3万
90.75%237.1万
-28.59%311.2万
225.93%61.6万
-42.42%62.7万
-70.62%62.6万
30.98%124.3万
其他融资活动的净现金流额
1,025.73%1.31亿
-14.35%2,874.4万
239.57%3,458.3万
295.33%4,480.4万
--2,292.4万
22.73%-1,415.7万
6,161.01%3,355.9万
-3,386.21%-2,477.8万
-3,409.96%-2,293.8万
----
非持续融资活动现金净额
融资活动现金净额
164.64%5.08亿
-24.51%8,317.1万
405.76%1.42亿
181.63%1.71亿
1,357.70%1.1亿
194.06%1.92亿
10,311.40%1.1亿
8,556.00%2,813.2万
4,067.97%6,064.4万
95.72%-876.5万
现金净流量
期初现金流
-35.02%1.7亿
-34.17%1.28亿
-66.65%1.16亿
-75.78%9,949.8万
-35.02%1.7亿
363.23%2.62亿
-5.64%1.94亿
106.98%3.48亿
888.91%4.11亿
363.23%2.62亿
当期现金流变化
47.37%-4,799.2万
90.49%-239.9万
105.63%858万
126.94%1,664.2万
-147.79%-7,081.5万
-144.40%-9,118.1万
-145.11%-2,521.5万
-501.25%-1.52亿
-148.84%-6,176.9万
1,090.38%1.48亿
利率变动影响
710.73%370.1万
-61.41%41.1万
343.38%328.8万
99.56%-4,000
-98.98%6,000
-529.79%-60.6万
818.10%106.5万
-1,054.70%-135.1万
-526.76%-90.9万
928.17%58.8万
期末现金流
-26.01%1.26亿
-26.01%1.26亿
-34.17%1.28亿
-66.65%1.16亿
-75.78%9,949.8万
-35.02%1.7亿
-35.02%1.7亿
-5.64%1.94亿
106.98%3.48亿
888.91%4.11亿
自由现金流
-5.84%-5亿
43.53%-7,184.3万
33.24%-1.16亿
-19.44%-1.39亿
-225.24%-1.71亿
-212.48%-4.72亿
-314.38%-1.27亿
-585.53%-1.74亿
-192.01%-1.17亿
-126.49%-5,243万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
审计意见
无保留意见
--
--
--
--
--
--
--
--
--
(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 33.62%1.17亿147.30%6,043.1万406.70%5,675.5万-103.58%-220.4万148.88%382.5万-84.20%8,742.2万-74.14%2,443.6万-84.01%1,120.1万-63.48%6,155.6万-103.55%-782.5万
持续经营净收入 -191.62%-1.25亿31.22%-1,952.8万-212.98%-4,233.7万-136.86%-3,391.1万-182.44%-2,895万-46.16%1.36亿-168.56%-2,839.2万6.95%3,747.4万86.20%9,198.7万-72.35%3,511.7万
持续经营损益 94.21%-945.2万-62.23%2,118.8万91.02%-864万50.92%-5,705.3万607.59%3,502.9万-11,744.22%-1.63亿90,385.48%5,610.1万-6,199.80%-9,619.8万-5,034.38%-1.16亿-1,450.49%-690.1万
折旧和摊销 34.46%2.37亿72.46%7,490.4万35.02%6,280万1.74%5,390.1万36.18%4,527.9万88.94%1.76亿75.49%4,343.3万124.48%4,651万139.65%5,298.1万29.53%3,325万
递延税费 -41.27%3,364.1万90.80%-283.2万69.58%4,550.3万-97.00%122.4万-149.53%-1,021.8万-34.22%5,727.9万-299.11%-3,079.3万7.62%2,683.3万68.23%4,073.8万-11.76%2,063.1万
其他非现金项目 600.56%7,194.1万1,248.92%2,989.2万-4,869.11%-1,173.2万3,366.83%4,707.5万-41.64%532.1万-92.94%1,026.9万168.84%221.6万100.92%24.6万-104.83%-144.1万-93.69%911.8万
营运资金变化 3.38%-9,063.5万-53.24%-5,052.6万7,693.24%1,571.8万-152.35%-1,364.7万54.23%-3,881.7万-530.67%-9,380.9万-593.98%-3,297.1万-100.92%-20.7万-8.12%2,607万-250.05%-8,480.2万
-应收款项(增)减 231.88%4,684.3万91.75%-628.8万163.35%1,596.4万-52.08%1,320.9万240.80%2,395.8万-308.50%-3,551.9万-627.02%-7,617.7万171.91%606.2万404.32%2,756.6万48.09%703万
-存货(增)减 -100.82%-44.5万-103.46%-167.1万-119.44%-207.6万288.26%1,696.6万-433.43%-1,366.4万1,179.83%5,402.4万850.68%4,826.1万304.74%1,067.7万-473.32%-901.2万-3.05%409.8万
-应付款项及应计费用(减)增 -63.53%-1.01亿-318.15%-1,277.7万-26.61%-3,032.6万-1,336.04%-4,135.8万70.34%-1,341万-2,738.83%-6,190.7万202.90%585.7万-285.58%-2,395.3万-82.50%334.6万-88.48%-4,521.1万
-其他流动资产变化 123.87%282.9万180.55%709.4万24.24%904.6万-250.59%-522.7万41.41%-808.4万-361.17%-1,185.2万-150.86%-880.7万146.35%728.1万53.04%347.1万-2,177.86%-1,379.7万
-其他流动负债变化 -0.19%-3,862.8万-1,652.21%-3,688.4万8,534.31%2,311万295.28%276.3万25.20%-2,761.7万-234.83%-3,855.5万-494.93%-210.5万-100.71%-27.4万178.36%69.9万-273.82%-3,692.2万
非持续经营活动现金净额
经营活动现金净额 33.62%1.17亿147.30%6,043.1万406.70%5,675.5万-103.58%-220.4万148.88%382.5万-84.20%8,742.2万-74.14%2,443.6万-84.01%1,120.1万-63.48%6,155.6万-103.55%-782.5万
投资活动现金流量
持续投资活动现金净额 -81.60%-6.73亿8.65%-1.46亿0.65%-1.9亿17.41%-1.52亿-212.20%-1.85亿-158.01%-3.71亿-325.99%-1.6亿-492.08%-1.92亿-322.57%-1.84亿644.54%1.65亿
固定资产交易的净现金流 -10.18%-6.17亿12.78%-1.32亿6.64%-1.73亿23.05%-1.37亿-290.87%-1.74亿-319.53%-5.6亿-331.40%-1.52亿-442.08%-1.85亿-326.82%-1.78亿-99.68%-4,460.5万
业务交易的净现金流 --0--0--0--0--0--2.19亿--0--0--0--2.19亿
投资产品交易的净现金流 300.14%282.5万753.61%272.3万--0-72.13%10.2万-----39.45%70.6万329.50%31.9万-100.25%-3,000594.59%36.6万----
其他投资活动的净现金流 128.85%216.5万-82.19%4.4万-96.30%5,0001,272.00%34.3万-7.06%-1,052.9万34.37%-750.5万111.09%24.7万-77.35%13.5万101.46%2.5万-21.46%-983.5万
非持续投资活动现金净额
投资活动现金净额 -81.60%-6.73亿8.65%-1.46亿0.65%-1.9亿17.41%-1.52亿-212.20%-1.85亿-158.01%-3.71亿-325.99%-1.6亿-492.08%-1.92亿-322.57%-1.84亿644.54%1.65亿
融资活动现金流量
持续融资活动现金净额 164.64%5.08亿-24.51%8,317.1万405.76%1.42亿181.63%1.71亿1,357.70%1.1亿194.06%1.92亿10,311.40%1.1亿8,556.00%2,813.2万4,067.97%6,064.4万95.72%-876.5万
债务发行/偿还的净现金流 80.89%3.81亿-28.87%5,769.1万105.01%1.1亿50.84%1.26亿1,253.99%8,742.6万212.84%2.11亿7,701.69%8,111万6,520.88%5,380.7万10,978.23%8,343.6万95.89%-757.6万
现金股利支付 --0--0--0--0--0--0--0--0--0--0
职工行使股票期权收到的现金 -12.53%272.2万-138.31%-23.6万-91.39%5.4万-14.86%53.3万90.75%237.1万-28.59%311.2万225.93%61.6万-42.42%62.7万-70.62%62.6万30.98%124.3万
其他融资活动的净现金流额 1,025.73%1.31亿-14.35%2,874.4万239.57%3,458.3万295.33%4,480.4万--2,292.4万22.73%-1,415.7万6,161.01%3,355.9万-3,386.21%-2,477.8万-3,409.96%-2,293.8万----
非持续融资活动现金净额
融资活动现金净额 164.64%5.08亿-24.51%8,317.1万405.76%1.42亿181.63%1.71亿1,357.70%1.1亿194.06%1.92亿10,311.40%1.1亿8,556.00%2,813.2万4,067.97%6,064.4万95.72%-876.5万
现金净流量
期初现金流 -35.02%1.7亿-34.17%1.28亿-66.65%1.16亿-75.78%9,949.8万-35.02%1.7亿363.23%2.62亿-5.64%1.94亿106.98%3.48亿888.91%4.11亿363.23%2.62亿
当期现金流变化 47.37%-4,799.2万90.49%-239.9万105.63%858万126.94%1,664.2万-147.79%-7,081.5万-144.40%-9,118.1万-145.11%-2,521.5万-501.25%-1.52亿-148.84%-6,176.9万1,090.38%1.48亿
利率变动影响 710.73%370.1万-61.41%41.1万343.38%328.8万99.56%-4,000-98.98%6,000-529.79%-60.6万818.10%106.5万-1,054.70%-135.1万-526.76%-90.9万928.17%58.8万
期末现金流 -26.01%1.26亿-26.01%1.26亿-34.17%1.28亿-66.65%1.16亿-75.78%9,949.8万-35.02%1.7亿-35.02%1.7亿-5.64%1.94亿106.98%3.48亿888.91%4.11亿
自由现金流 -5.84%-5亿43.53%-7,184.3万33.24%-1.16亿-19.44%-1.39亿-225.24%-1.71亿-212.48%-4.72亿-314.38%-1.27亿-585.53%-1.74亿-192.01%-1.17亿-126.49%-5,243万
货币单位 美元美元美元美元美元美元美元美元美元美元
审计意见 无保留意见------------------

分析

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目标价预测

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