美股市场个股详情

DNGDF DYNACOR GROUP INC

添加自选
  • 3.885
  • -0.015-0.38%
延时15分钟行情收盘价 05/17 16:00 (美东)
1.42亿总市值9.48市盈率TTM

DYNACOR GROUP INC关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q2)2022/06/30
经营活动现金流量(间接法)
持续经营活动现金净额
-1.66%959.08万
54.26%960.8万
-98.52%-656.6万
11,259.51%501.78万
-84.59%140.39万
1,972.01%975.23万
-71.52%622.86万
-128.89%-330.75万
-100.79%-4.5万
535.05%911.04万
持续经营净收入
7.01%478.06万
25.42%1,506.83万
1.90%357.81万
217.68%254.44万
73.89%447.84万
-12.85%446.74万
1.98%1,201.41万
-12.10%351.13万
-77.23%80.09万
19.15%257.55万
持续经营损益
25.74%-5.75万
21.29%-9.85万
-104.65%-15.9万
244.49%8.38万
433.33%5.4万
-390.25%-7.74万
70.53%-12.52万
-594.01%-7.77万
78.63%-5.8万
84.49%-1.62万
折旧和摊销
12.86%88.52万
4.51%334.9万
-7.40%86.65万
8.34%86.55万
5.87%83.27万
14.75%78.43万
21.45%320.46万
37.31%93.58万
20.05%79.89万
21.34%78.65万
递延税费
92.46%-1.54万
5.95%-45.92万
-30.74%-23.96万
-10.45%35.05万
-7,287.22%-36.54万
70.39%-20.47万
-177.31%-48.83万
54.09%-18.32万
3.71%39.14万
-101.46%-4,946
其他非现金项目
8.97%2.22万
70.14%43.43万
106.83%22.31万
10.63%2.04万
54.20%17.04万
10.63%2.04万
0.68%25.52万
-2.73%10.78万
2.17%1.84万
3.73%11.05万
营运资金变化
-16.94%394万
-3.45%-896.29万
-44.28%-1,098.2万
153.87%107.89万
-167.16%-380.33万
200.67%474.35万
-227.37%-866.37万
-208.18%-761.17万
-251.12%-200.28万
206.64%566.28万
-应收款项(增)减
-2.85%139.06万
73.73%-97.86万
15.40%-225.79万
195.07%111.36万
-132.14%-126.56万
137.45%143.14万
-10,553.56%-372.46万
-173.69%-266.9万
60.37%-117.13万
320.56%393.74万
-存货(增)减
1.53%460.39万
-740.33%-1,414.59万
-221.55%-1,352.6万
-58.37%-131.55万
-203.99%-383.87万
1,443.29%453.43万
-324.86%-168.34万
-277.79%-420.65万
-139.40%-83.07万
164.84%369.13万
-预付费用(增)减
-12.20%-56.4万
37.95%-5.24万
132.85%21.24万
-26.63%13.09万
18.78%10.7万
-13.18%-50.27万
-696.78%-8.45万
-74.87%9.12万
122.45%17.84万
130.27%9.01万
-应付款项及应计费用(减)增
-107.16%-149.05万
794.18%406.06万
38.51%243.61万
741.90%115万
158.07%119.4万
-562.14%-71.95万
-112.00%-58.5万
474.73%175.88万
-108.56%-17.91万
-183.37%-205.6万
-其他营运资本变化
----
183.26%215.34万
----
----
----
----
-324.00%-258.62万
----
----
----
非持续经营活动现金净额
经营活动现金净额
-1.66%959.08万
54.26%960.8万
-98.52%-656.6万
11,259.51%501.78万
-84.59%140.39万
1,972.01%975.23万
-71.52%622.86万
-128.89%-330.75万
-100.79%-4.5万
535.05%911.04万
投资活动现金流量
持续投资活动现金净额
80.52%-71.76万
-83.86%-645.03万
28.39%-71.58万
-22.93%-90.78万
-0.26%-114.36万
-484.98%-368.31万
-9.13%-350.83万
10.16%-99.97万
-47.00%-73.85万
-1.98%-114.06万
固定资产交易的净现金流
80.52%-71.76万
-83.86%-645.03万
28.39%-71.58万
-22.93%-90.78万
-0.26%-114.36万
-484.98%-368.31万
-9.13%-350.83万
10.16%-99.97万
-47.00%-73.85万
-1.98%-114.06万
非持续投资活动现金净额
投资活动现金净额
80.52%-71.76万
-83.86%-645.03万
28.39%-71.58万
-22.93%-90.78万
-0.26%-114.36万
-484.98%-368.31万
-9.13%-350.83万
10.16%-99.97万
-47.00%-73.85万
-1.98%-114.06万
融资活动现金流量
持续融资活动现金净额
-293.37%-366.56万
-48.63%-627.95万
-167.75%-323.99万
5.89%-116.21万
-80.89%-94.56万
25.88%-93.19万
-23.75%-422.48万
-13.38%-121.01万
-57.39%-123.48万
11.00%-52.27万
债务发行/偿还的净现金流
-154.81%-3.35万
41.60%-6.55万
-123.62%-1.75万
-18.63%-2.57万
82.24%-9,180
57.69%-1.31万
49.85%-11.22万
83.52%-7,831
46.18%-2.17万
14.39%-5.17万
普通股发行/偿还的净现金流
-4,162.39%-275.15万
-55.09%-289.09万
-424.66%-241.83万
35.23%-31.63万
55.73%-9.18万
90.87%-6.46万
-103.30%-186.4万
2.54%-46.09万
-286.31%-48.83万
13.63%-20.74万
现金股利支付
-13.46%-96.92万
-14.33%-339.87万
-17.78%-83.1万
-15.69%-86.41万
-11.42%-84.95万
-12.69%-85.42万
-17.06%-297.28万
-14.06%-70.55万
-19.26%-74.69万
-44.37%-76.25万
职工行使股票期权收到的现金
--8.85万
-91.38%7.57万
478.93%2.68万
52.69%4.4万
-99.07%4,913
--0
125.47%87.83万
-93.54%4,632
-62.40%2.88万
118.28%52.67万
其他融资活动的净现金流额
----
----
----
----
----
----
-25.10%-15.41万
---4.04万
90.00%-6,822
---2.79万
非持续融资活动现金净额
融资活动现金净额
-293.37%-366.56万
-48.63%-627.95万
-167.75%-323.99万
5.89%-116.21万
-80.89%-94.56万
25.88%-93.19万
-23.75%-422.48万
-13.38%-121.01万
-57.39%-123.48万
11.00%-52.27万
现金净流量
期初现金流
-12.17%2,248.07万
-5.55%2,559.54万
6.32%3,300.15万
-9.26%3,008.49万
19.46%3,072.88万
-5.55%2,559.54万
128.34%2,709.92万
74.35%3,103.89万
146.57%3,315.46万
49.21%2,572.31万
当期现金流变化
1.37%520.76万
-107.48%-312.17万
-90.71%-1,052.17万
246.06%294.79万
-109.20%-68.52万
462.79%513.74万
-109.87%-150.46万
-159.53%-551.73万
-145.84%-201.83万
295.98%744.71万
利率变动影响
-223.12%-1.29万
791.20%6,987
-98.80%888
67.90%-3.13万
366.68%4.14万
-110.00%-3,997
106.97%784
168.38%7.38万
-112.16%-9.75万
-315.71%-1.55万
期末现金流
-9.94%2,767.54万
-12.17%2,248.07万
-12.17%2,248.07万
6.32%3,300.15万
-9.26%3,008.49万
19.46%3,072.88万
-5.55%2,559.54万
-5.55%2,559.54万
74.35%3,103.89万
146.57%3,315.46万
自由现金流
46.67%880.81万
18.35%303.96万
-67.01%-729.77万
586.32%407.14万
-96.72%26.04万
3,878.48%600.56万
-86.06%256.83万
-142.78%-436.96万
-116.33%-83.72万
343.69%793.41万
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
--
--
--
--
--
--
--
--
(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(Q2)2022/06/30
经营活动现金流量(间接法)
持续经营活动现金净额 -1.66%959.08万54.26%960.8万-98.52%-656.6万11,259.51%501.78万-84.59%140.39万1,972.01%975.23万-71.52%622.86万-128.89%-330.75万-100.79%-4.5万535.05%911.04万
持续经营净收入 7.01%478.06万25.42%1,506.83万1.90%357.81万217.68%254.44万73.89%447.84万-12.85%446.74万1.98%1,201.41万-12.10%351.13万-77.23%80.09万19.15%257.55万
持续经营损益 25.74%-5.75万21.29%-9.85万-104.65%-15.9万244.49%8.38万433.33%5.4万-390.25%-7.74万70.53%-12.52万-594.01%-7.77万78.63%-5.8万84.49%-1.62万
折旧和摊销 12.86%88.52万4.51%334.9万-7.40%86.65万8.34%86.55万5.87%83.27万14.75%78.43万21.45%320.46万37.31%93.58万20.05%79.89万21.34%78.65万
递延税费 92.46%-1.54万5.95%-45.92万-30.74%-23.96万-10.45%35.05万-7,287.22%-36.54万70.39%-20.47万-177.31%-48.83万54.09%-18.32万3.71%39.14万-101.46%-4,946
其他非现金项目 8.97%2.22万70.14%43.43万106.83%22.31万10.63%2.04万54.20%17.04万10.63%2.04万0.68%25.52万-2.73%10.78万2.17%1.84万3.73%11.05万
营运资金变化 -16.94%394万-3.45%-896.29万-44.28%-1,098.2万153.87%107.89万-167.16%-380.33万200.67%474.35万-227.37%-866.37万-208.18%-761.17万-251.12%-200.28万206.64%566.28万
-应收款项(增)减 -2.85%139.06万73.73%-97.86万15.40%-225.79万195.07%111.36万-132.14%-126.56万137.45%143.14万-10,553.56%-372.46万-173.69%-266.9万60.37%-117.13万320.56%393.74万
-存货(增)减 1.53%460.39万-740.33%-1,414.59万-221.55%-1,352.6万-58.37%-131.55万-203.99%-383.87万1,443.29%453.43万-324.86%-168.34万-277.79%-420.65万-139.40%-83.07万164.84%369.13万
-预付费用(增)减 -12.20%-56.4万37.95%-5.24万132.85%21.24万-26.63%13.09万18.78%10.7万-13.18%-50.27万-696.78%-8.45万-74.87%9.12万122.45%17.84万130.27%9.01万
-应付款项及应计费用(减)增 -107.16%-149.05万794.18%406.06万38.51%243.61万741.90%115万158.07%119.4万-562.14%-71.95万-112.00%-58.5万474.73%175.88万-108.56%-17.91万-183.37%-205.6万
-其他营运资本变化 ----183.26%215.34万-----------------324.00%-258.62万------------
非持续经营活动现金净额
经营活动现金净额 -1.66%959.08万54.26%960.8万-98.52%-656.6万11,259.51%501.78万-84.59%140.39万1,972.01%975.23万-71.52%622.86万-128.89%-330.75万-100.79%-4.5万535.05%911.04万
投资活动现金流量
持续投资活动现金净额 80.52%-71.76万-83.86%-645.03万28.39%-71.58万-22.93%-90.78万-0.26%-114.36万-484.98%-368.31万-9.13%-350.83万10.16%-99.97万-47.00%-73.85万-1.98%-114.06万
固定资产交易的净现金流 80.52%-71.76万-83.86%-645.03万28.39%-71.58万-22.93%-90.78万-0.26%-114.36万-484.98%-368.31万-9.13%-350.83万10.16%-99.97万-47.00%-73.85万-1.98%-114.06万
非持续投资活动现金净额
投资活动现金净额 80.52%-71.76万-83.86%-645.03万28.39%-71.58万-22.93%-90.78万-0.26%-114.36万-484.98%-368.31万-9.13%-350.83万10.16%-99.97万-47.00%-73.85万-1.98%-114.06万
融资活动现金流量
持续融资活动现金净额 -293.37%-366.56万-48.63%-627.95万-167.75%-323.99万5.89%-116.21万-80.89%-94.56万25.88%-93.19万-23.75%-422.48万-13.38%-121.01万-57.39%-123.48万11.00%-52.27万
债务发行/偿还的净现金流 -154.81%-3.35万41.60%-6.55万-123.62%-1.75万-18.63%-2.57万82.24%-9,18057.69%-1.31万49.85%-11.22万83.52%-7,83146.18%-2.17万14.39%-5.17万
普通股发行/偿还的净现金流 -4,162.39%-275.15万-55.09%-289.09万-424.66%-241.83万35.23%-31.63万55.73%-9.18万90.87%-6.46万-103.30%-186.4万2.54%-46.09万-286.31%-48.83万13.63%-20.74万
现金股利支付 -13.46%-96.92万-14.33%-339.87万-17.78%-83.1万-15.69%-86.41万-11.42%-84.95万-12.69%-85.42万-17.06%-297.28万-14.06%-70.55万-19.26%-74.69万-44.37%-76.25万
职工行使股票期权收到的现金 --8.85万-91.38%7.57万478.93%2.68万52.69%4.4万-99.07%4,913--0125.47%87.83万-93.54%4,632-62.40%2.88万118.28%52.67万
其他融资活动的净现金流额 -------------------------25.10%-15.41万---4.04万90.00%-6,822---2.79万
非持续融资活动现金净额
融资活动现金净额 -293.37%-366.56万-48.63%-627.95万-167.75%-323.99万5.89%-116.21万-80.89%-94.56万25.88%-93.19万-23.75%-422.48万-13.38%-121.01万-57.39%-123.48万11.00%-52.27万
现金净流量
期初现金流 -12.17%2,248.07万-5.55%2,559.54万6.32%3,300.15万-9.26%3,008.49万19.46%3,072.88万-5.55%2,559.54万128.34%2,709.92万74.35%3,103.89万146.57%3,315.46万49.21%2,572.31万
当期现金流变化 1.37%520.76万-107.48%-312.17万-90.71%-1,052.17万246.06%294.79万-109.20%-68.52万462.79%513.74万-109.87%-150.46万-159.53%-551.73万-145.84%-201.83万295.98%744.71万
利率变动影响 -223.12%-1.29万791.20%6,987-98.80%88867.90%-3.13万366.68%4.14万-110.00%-3,997106.97%784168.38%7.38万-112.16%-9.75万-315.71%-1.55万
期末现金流 -9.94%2,767.54万-12.17%2,248.07万-12.17%2,248.07万6.32%3,300.15万-9.26%3,008.49万19.46%3,072.88万-5.55%2,559.54万-5.55%2,559.54万74.35%3,103.89万146.57%3,315.46万
自由现金流 46.67%880.81万18.35%303.96万-67.01%-729.77万586.32%407.14万-96.72%26.04万3,878.48%600.56万-86.06%256.83万-142.78%-436.96万-116.33%-83.72万343.69%793.41万
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审计意见 --无保留意见----------------

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