美股市场个股详情

GHIFF GAMEHOST INC

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  • 7.344
  • -0.046-0.63%
延时15分钟行情收盘价 05/17 16:00 (美东)
1.57亿总市值10.20市盈率TTM

GAMEHOST 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
3.16%706.15万
15.51%2,400.24万
9.27%502.62万
38.65%563.24万
29.90%649.84万
-0.45%684.55万
92.40%2,077.91万
206.67%460万
-48.58%406.24万
614.64%500.25万
持续经营净收入
4.38%474.62万
62.39%2,105.75万
25.34%538.97万
87.34%577.43万
54.65%534.65万
111.47%454.7万
112.57%1,296.69万
126.32%430万
-45.92%308.23万
964.30%345.72万
持续经营损益
-356.52%-5,900
-100.95%-3,200
----
39.74%-4,700
161.54%2,400
355.56%2,300
-32.46%33.77万
-40.00%30万
---7,800
---3,900
折旧和摊销
-2.18%103.8万
-9.70%427.57万
-15.03%101.97万
-1.21%110.42万
-10.85%109.07万
-9.99%106.11万
7.62%473.52万
-25.00%120万
11.77%111.77万
22.34%122.34万
递延税费
-9.10%142.22万
89.29%630.37万
600.97%150.29万
42.42%175.28万
7.71%148.35万
59.74%156.45万
122.01%333.02万
-160.00%-30万
-12.09%123.07万
1,477.30%137.73万
其他非现金项目
-13.92%72.97万
27.32%332.12万
-1.26%78.99万
9.72%83.32万
43.89%85.04万
87.50%84.77万
53.45%260.86万
60.00%80万
51.88%75.94万
47.75%59.1万
营运资金变化
190.67%144.17万
-148.43%-166.35万
-347.05%-89.41万
-1,138.06%-127.37万
108.31%8,400
-85.99%49.6万
1,617.60%343.52万
84.62%-20万
161.35%12.27万
-150.55%-10.11万
-应收款项(增)减
293.11%117.58万
-146.74%-131.62万
-228.43%-98.53万
-191.14%-73.78万
120.33%10.77万
-89.42%29.91万
412.91%281.62万
80.00%-30万
261.90%80.95万
11.70%-52.98万
-存货(增)减
510.38%4.35万
75.55%-3.64万
---3,000
92.67%-6,300
15.90%-1.64万
25.87%-1.06万
-48.90%-14.89万
--0
---8.59万
---1.95万
-预付费用(增)减
3,194.37%23.39万
-3,460.00%-26.7万
-82.90%6.84万
82.28%-12.34万
-210.21%-21.91万
-91.86%7,100
92.50%-7,500
100.00%40万
-16.08%-69.65万
-0.60%19.88万
-应付款项及应计费用(减)增
-105.74%-1.15万
-105.66%-4.39万
108.60%2.58万
-524.90%-40.62万
-45.39%13.62万
-68.64%20.04万
-40.35%77.54万
---30万
-89.38%9.56万
-58.43%24.94万
非持续经营活动现金净额
经营活动现金净额
3.16%706.15万
15.51%2,400.24万
9.27%502.62万
38.65%563.24万
29.90%649.84万
-0.45%684.55万
92.40%2,077.91万
206.67%460万
-48.58%406.24万
614.64%500.25万
投资活动现金流量
持续投资活动现金净额
-490.66%-10.75万
75.82%-61.91万
76.30%-7.11万
88.14%-14.34万
50.63%-38.64万
89.16%-1.82万
69.51%-256.08万
88.00%-30万
47.41%-120.95万
75.54%-78.27万
固定资产交易的净现金流
-44.30%-10.75万
72.98%-67.53万
76.30%-7.11万
88.14%-14.34万
50.63%-38.64万
55.63%-7.45万
70.25%-249.88万
88.00%-30万
47.41%-120.95万
75.54%-78.27万
非持续投资活动现金净额
投资活动现金净额
-490.66%-10.75万
75.82%-61.91万
76.30%-7.11万
88.14%-14.34万
50.63%-38.64万
89.16%-1.82万
69.51%-256.08万
88.00%-30万
47.41%-120.95万
75.54%-78.27万
融资活动现金流量
持续融资活动现金净额
-26.29%-738.16万
-37.21%-2,501.86万
-36.78%-642.85万
-30.23%-627.29万
-192.87%-647.25万
8.62%-584.48万
-728.74%-1,823.34万
-23.68%-470万
-2,308.35%-481.67万
-130.27%-221万
债务发行/偿还的净现金流
-480.69%-435.17万
-2.21%-907.45万
30.74%-131.59万
-93.19%-431.23万
-424.31%-269.7万
86.43%-74.94万
-221.63%-887.87万
5.00%-190万
-546.42%-223.21万
-90.10%83.16万
普通股发行/偿还的净现金流
84.98%-46.49万
-138.97%-787.43万
-269.81%-295.85万
98.76%-7,000
-78.71%-181.34万
-254.29%-309.54万
31.35%-329.51万
60.00%-80万
29.45%-56.44万
15.44%-101.47万
现金股利支付
-28.25%-256.5万
-33.17%-806.98万
-7.71%-215.41万
3.30%-195.36万
3.20%-196.21万
---200万
---605.96万
---200万
---202.02万
---202.69万
非持续融资活动现金净额
融资活动现金净额
-26.29%-738.16万
-37.21%-2,501.86万
-36.78%-642.85万
-30.23%-627.29万
-192.87%-647.25万
8.62%-584.48万
-728.74%-1,823.34万
-23.68%-470万
-2,308.35%-481.67万
-130.27%-221万
现金净流量
期初现金流
-10.47%1,397.92万
-0.10%1,561.45万
-3.42%1,545.26万
-9.56%1,623.65万
4.11%1,659.7万
-0.10%1,561.45万
51.74%1,562.96万
-21.57%1,600万
19.68%1,795.2万
56.30%1,594.22万
当期现金流变化
-143.52%-42.76万
-10,729.80%-163.53万
-268.35%-147.34万
60.08%-78.39万
-117.94%-36.05万
214.30%98.25万
-100.28%-1.51万
91.67%-40万
-136.37%-196.38万
-58.13%200.98万
期末现金流
-18.35%1,355.16万
-10.47%1,397.92万
-10.39%1,397.92万
-3.35%1,545.26万
-9.56%1,623.65万
4.11%1,659.7万
0.09%1,561.45万
0.00%1,560万
-21.63%1,598.82万
19.68%1,795.2万
自由现金流
2.70%695.4万
27.61%2,332.71万
15.23%495.51万
92.40%548.9万
44.84%611.2万
0.93%677.1万
661.68%1,828.03万
530.00%430万
-49.06%285.29万
268.79%421.98万
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
--
--
--
--
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 3.16%706.15万15.51%2,400.24万9.27%502.62万38.65%563.24万29.90%649.84万-0.45%684.55万92.40%2,077.91万206.67%460万-48.58%406.24万614.64%500.25万
持续经营净收入 4.38%474.62万62.39%2,105.75万25.34%538.97万87.34%577.43万54.65%534.65万111.47%454.7万112.57%1,296.69万126.32%430万-45.92%308.23万964.30%345.72万
持续经营损益 -356.52%-5,900-100.95%-3,200----39.74%-4,700161.54%2,400355.56%2,300-32.46%33.77万-40.00%30万---7,800---3,900
折旧和摊销 -2.18%103.8万-9.70%427.57万-15.03%101.97万-1.21%110.42万-10.85%109.07万-9.99%106.11万7.62%473.52万-25.00%120万11.77%111.77万22.34%122.34万
递延税费 -9.10%142.22万89.29%630.37万600.97%150.29万42.42%175.28万7.71%148.35万59.74%156.45万122.01%333.02万-160.00%-30万-12.09%123.07万1,477.30%137.73万
其他非现金项目 -13.92%72.97万27.32%332.12万-1.26%78.99万9.72%83.32万43.89%85.04万87.50%84.77万53.45%260.86万60.00%80万51.88%75.94万47.75%59.1万
营运资金变化 190.67%144.17万-148.43%-166.35万-347.05%-89.41万-1,138.06%-127.37万108.31%8,400-85.99%49.6万1,617.60%343.52万84.62%-20万161.35%12.27万-150.55%-10.11万
-应收款项(增)减 293.11%117.58万-146.74%-131.62万-228.43%-98.53万-191.14%-73.78万120.33%10.77万-89.42%29.91万412.91%281.62万80.00%-30万261.90%80.95万11.70%-52.98万
-存货(增)减 510.38%4.35万75.55%-3.64万---3,00092.67%-6,30015.90%-1.64万25.87%-1.06万-48.90%-14.89万--0---8.59万---1.95万
-预付费用(增)减 3,194.37%23.39万-3,460.00%-26.7万-82.90%6.84万82.28%-12.34万-210.21%-21.91万-91.86%7,10092.50%-7,500100.00%40万-16.08%-69.65万-0.60%19.88万
-应付款项及应计费用(减)增 -105.74%-1.15万-105.66%-4.39万108.60%2.58万-524.90%-40.62万-45.39%13.62万-68.64%20.04万-40.35%77.54万---30万-89.38%9.56万-58.43%24.94万
非持续经营活动现金净额
经营活动现金净额 3.16%706.15万15.51%2,400.24万9.27%502.62万38.65%563.24万29.90%649.84万-0.45%684.55万92.40%2,077.91万206.67%460万-48.58%406.24万614.64%500.25万
投资活动现金流量
持续投资活动现金净额 -490.66%-10.75万75.82%-61.91万76.30%-7.11万88.14%-14.34万50.63%-38.64万89.16%-1.82万69.51%-256.08万88.00%-30万47.41%-120.95万75.54%-78.27万
固定资产交易的净现金流 -44.30%-10.75万72.98%-67.53万76.30%-7.11万88.14%-14.34万50.63%-38.64万55.63%-7.45万70.25%-249.88万88.00%-30万47.41%-120.95万75.54%-78.27万
非持续投资活动现金净额
投资活动现金净额 -490.66%-10.75万75.82%-61.91万76.30%-7.11万88.14%-14.34万50.63%-38.64万89.16%-1.82万69.51%-256.08万88.00%-30万47.41%-120.95万75.54%-78.27万
融资活动现金流量
持续融资活动现金净额 -26.29%-738.16万-37.21%-2,501.86万-36.78%-642.85万-30.23%-627.29万-192.87%-647.25万8.62%-584.48万-728.74%-1,823.34万-23.68%-470万-2,308.35%-481.67万-130.27%-221万
债务发行/偿还的净现金流 -480.69%-435.17万-2.21%-907.45万30.74%-131.59万-93.19%-431.23万-424.31%-269.7万86.43%-74.94万-221.63%-887.87万5.00%-190万-546.42%-223.21万-90.10%83.16万
普通股发行/偿还的净现金流 84.98%-46.49万-138.97%-787.43万-269.81%-295.85万98.76%-7,000-78.71%-181.34万-254.29%-309.54万31.35%-329.51万60.00%-80万29.45%-56.44万15.44%-101.47万
现金股利支付 -28.25%-256.5万-33.17%-806.98万-7.71%-215.41万3.30%-195.36万3.20%-196.21万---200万---605.96万---200万---202.02万---202.69万
非持续融资活动现金净额
融资活动现金净额 -26.29%-738.16万-37.21%-2,501.86万-36.78%-642.85万-30.23%-627.29万-192.87%-647.25万8.62%-584.48万-728.74%-1,823.34万-23.68%-470万-2,308.35%-481.67万-130.27%-221万
现金净流量
期初现金流 -10.47%1,397.92万-0.10%1,561.45万-3.42%1,545.26万-9.56%1,623.65万4.11%1,659.7万-0.10%1,561.45万51.74%1,562.96万-21.57%1,600万19.68%1,795.2万56.30%1,594.22万
当期现金流变化 -143.52%-42.76万-10,729.80%-163.53万-268.35%-147.34万60.08%-78.39万-117.94%-36.05万214.30%98.25万-100.28%-1.51万91.67%-40万-136.37%-196.38万-58.13%200.98万
期末现金流 -18.35%1,355.16万-10.47%1,397.92万-10.39%1,397.92万-3.35%1,545.26万-9.56%1,623.65万4.11%1,659.7万0.09%1,561.45万0.00%1,560万-21.63%1,598.82万19.68%1,795.2万
自由现金流 2.70%695.4万27.61%2,332.71万15.23%495.51万92.40%548.9万44.84%611.2万0.93%677.1万661.68%1,828.03万530.00%430万-49.06%285.29万268.79%421.98万
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--------无保留意见------

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