美股市场个股详情

MCREF METALS CREEK RESOUCES CORPORATION

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  • 0.020250
  • -0.005150-20.28%
延时15分钟行情收盘价 04/26 16:00 (美东)
342.61万总市值-2892市盈率TTM

METALS CREEK RESOUCES CORPORATION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
29.71%-58.45万
9.85%-10.04万
31.84%-10.63万
70.04%-14.65万
-207.09%-23.13万
-77.36%-83.16万
48.66%-11.14万
-233.53%-15.59万
-89.38%-48.9万
31.84%-7.53万
持续经营净收入
84.46%-92.17万
99.81%-8,611
67.66%-20.32万
41.18%-37.01万
-173.58%-33.98万
-1,713.58%-593.03万
-2,799.30%-454.85万
6.80%-62.84万
-263.51%-62.92万
39.75%-12.42万
持续经营损益
105.93%7,517
81.16%-9,607
93.56%-1,450
227.12%1.91万
98.69%-500
81.14%-12.68万
-141.48%-5.1万
96.37%-2.25万
---1.5万
-20.06%-3.83万
折旧和摊销
-16.51%2.78万
-13.77%7,182
-21.74%6,953
-15.03%6,840
-15.03%6,840
24.15%3.33万
-38.29%8,329
99.89%8,885
77.04%8,050
85.36%8,050
递延税费
--0
--0
--0
--0
--0
57.18%-32.44万
--0
--0
--0
-2,348.52%-32.44万
其他非现金项目
-43.82%1,772
-51.14%322
-46.82%401
-42.38%484
-37.29%565
-28.79%3,154
-33.50%659
-30.12%754
-27.27%840
-25.17%901
营运资金变化
-325.78%-4.89万
-102.33%-1,745
-57.83%7,196
91.08%-1.84万
-134.86%-3.59万
-105.89%-1.15万
220.26%7.5万
-94.10%1.71万
-116.26%-20.65万
61.56%10.29万
-应收款项(增)减
-98.95%2,055
143.45%6,471
-89.21%751
-101.62%-4,202
98.68%-965
264.89%19.65万
101.86%2,658
-86.60%6,962
826.15%25.98万
-1,039.35%-7.29万
-预付费用(增)减
-102.98%-2,406
-79.64%4,475
-106.58%-1,331
-249.76%-1.45万
-69.30%8,903
249.82%8.09万
-65.03%2.2万
120.71%2.02万
-56.93%9,651
169.70%2.9万
-应付款项及应计费用(减)增
83.21%-4.85万
-125.20%-1.27万
176.81%7,776
100.05%233
-129.84%-4.38万
-178.47%-28.88万
181.87%5.04万
-103.02%-1.01万
-479.58%-47.59万
50.53%14.68万
非持续经营活动现金净额
经营活动现金净额
29.71%-58.45万
9.85%-10.04万
31.84%-10.63万
70.04%-14.65万
-207.09%-23.13万
-77.36%-83.16万
48.66%-11.14万
-233.53%-15.59万
-89.38%-48.9万
31.84%-7.53万
投资活动现金流量
持续投资活动现金净额
92.88%-15.14万
-97.36%-6.03万
52.57%-3.01万
-218.34%-6.24万
100.07%1,366
34.50%-212.54万
97.99%-3.06万
86.94%-6.35万
106.08%5.27万
-461.33%-208.41万
资本性支出
86.50%-31.1万
-35.52%-8.51万
-11.78%-9.31万
-67.08%-12.36万
99.56%-9,134
31.31%-230.42万
95.96%-6.28万
83.54%-8.33万
91.31%-7.4万
-369.41%-208.41万
固定资产交易的净现金流
-96.69%694
-95.37%694
--0
----
----
1,389.23%2.1万
152.92%1.5万
-120.25%-4,050
----
----
投资产品交易的净现金流
18.63%15.89万
39.83%2.41万
--6.3万
-47.52%6.12万
--1.05万
-0.69%13.39万
-71.31%1.73万
--0
--11.67万
--0
其他投资活动的净现金流
----
----
----
----
----
200.84%2.39万
--0
----
----
----
非持续投资活动现金净额
投资活动现金净额
92.88%-15.14万
-97.36%-6.03万
52.57%-3.01万
-218.34%-6.24万
100.07%1,366
34.50%-212.54万
97.99%-3.06万
86.94%-6.35万
106.08%5.27万
-461.33%-208.41万
融资活动现金流量
持续融资活动现金净额
-76.46%55.59万
1,785.66%36.02万
3,397.81%17.01万
-96.38%4.21万
-101.35%-1.66万
-44.18%236.1万
-100.81%-2.14万
-101.55%-5,158
17.91%116.47万
359.66%122.29万
债务发行/偿还的净现金流
-1.73%-1.53万
-5.18%-3,960
-1.73%-3,830
0.03%-3,764
-0.03%-3,766
0.00%-1.51万
0.00%-3,765
0.00%-3,765
0.00%-3,765
0.00%-3,765
普通股发行/偿还的净现金流
--55.66万
--33.52万
----
----
----
--0
--0
----
----
----
职工行使股票期权收到的现金
--0
--0
--0
--0
--0
9.60%71.25万
--0
--0
202.90%68.53万
-62.90%2.72万
其他融资活动的净现金流额
-99.13%1.45万
255.53%2.89万
-11,987.79%-4.75万
-90.50%4.59万
-101.07%-1.28万
221.44%166.36万
-101.40%-1.86万
-100.13%-393
-36.87%48.31万
131.91%119.95万
非持续融资活动现金净额
融资活动现金净额
-76.46%55.59万
1,710.29%36.02万
4,190.93%17.01万
-96.38%4.21万
-101.35%-1.66万
-44.18%236.1万
-100.85%-2.24万
-101.25%-4,158
17.91%116.47万
359.66%122.29万
现金净流量
期初现金流
-54.92%48.91万
-83.22%10.96万
-91.35%7.59万
63.30%24.26万
-54.92%48.91万
90.58%108.51万
260.40%65.34万
304.22%87.7万
-57.98%14.86万
90.58%108.51万
当期现金流变化
69.79%-18万
221.42%19.95万
115.09%3.37万
-122.89%-16.67万
73.68%-24.65万
-215.56%-59.6万
-118.18%-16.43万
-527.09%-22.35万
632.87%72.84万
-334.09%-93.65万
期末现金流
-36.81%30.91万
-36.81%30.91万
-83.22%10.96万
-91.35%7.59万
63.30%24.26万
-54.92%48.91万
-54.92%48.91万
260.40%65.34万
304.22%87.7万
-57.98%14.86万
自由现金流
71.48%-89.55万
-6.51%-18.55万
18.04%-19.94万
52.02%-27.01万
88.87%-24.04万
19.18%-313.99万
90.47%-17.42万
37.51%-24.33万
49.32%-56.3万
-288.02%-215.95万
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
(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 29.71%-58.45万9.85%-10.04万31.84%-10.63万70.04%-14.65万-207.09%-23.13万-77.36%-83.16万48.66%-11.14万-233.53%-15.59万-89.38%-48.9万31.84%-7.53万
持续经营净收入 84.46%-92.17万99.81%-8,61167.66%-20.32万41.18%-37.01万-173.58%-33.98万-1,713.58%-593.03万-2,799.30%-454.85万6.80%-62.84万-263.51%-62.92万39.75%-12.42万
持续经营损益 105.93%7,51781.16%-9,60793.56%-1,450227.12%1.91万98.69%-50081.14%-12.68万-141.48%-5.1万96.37%-2.25万---1.5万-20.06%-3.83万
折旧和摊销 -16.51%2.78万-13.77%7,182-21.74%6,953-15.03%6,840-15.03%6,84024.15%3.33万-38.29%8,32999.89%8,88577.04%8,05085.36%8,050
递延税费 --0--0--0--0--057.18%-32.44万--0--0--0-2,348.52%-32.44万
其他非现金项目 -43.82%1,772-51.14%322-46.82%401-42.38%484-37.29%565-28.79%3,154-33.50%659-30.12%754-27.27%840-25.17%901
营运资金变化 -325.78%-4.89万-102.33%-1,745-57.83%7,19691.08%-1.84万-134.86%-3.59万-105.89%-1.15万220.26%7.5万-94.10%1.71万-116.26%-20.65万61.56%10.29万
-应收款项(增)减 -98.95%2,055143.45%6,471-89.21%751-101.62%-4,20298.68%-965264.89%19.65万101.86%2,658-86.60%6,962826.15%25.98万-1,039.35%-7.29万
-预付费用(增)减 -102.98%-2,406-79.64%4,475-106.58%-1,331-249.76%-1.45万-69.30%8,903249.82%8.09万-65.03%2.2万120.71%2.02万-56.93%9,651169.70%2.9万
-应付款项及应计费用(减)增 83.21%-4.85万-125.20%-1.27万176.81%7,776100.05%233-129.84%-4.38万-178.47%-28.88万181.87%5.04万-103.02%-1.01万-479.58%-47.59万50.53%14.68万
非持续经营活动现金净额
经营活动现金净额 29.71%-58.45万9.85%-10.04万31.84%-10.63万70.04%-14.65万-207.09%-23.13万-77.36%-83.16万48.66%-11.14万-233.53%-15.59万-89.38%-48.9万31.84%-7.53万
投资活动现金流量
持续投资活动现金净额 92.88%-15.14万-97.36%-6.03万52.57%-3.01万-218.34%-6.24万100.07%1,36634.50%-212.54万97.99%-3.06万86.94%-6.35万106.08%5.27万-461.33%-208.41万
资本性支出 86.50%-31.1万-35.52%-8.51万-11.78%-9.31万-67.08%-12.36万99.56%-9,13431.31%-230.42万95.96%-6.28万83.54%-8.33万91.31%-7.4万-369.41%-208.41万
固定资产交易的净现金流 -96.69%694-95.37%694--0--------1,389.23%2.1万152.92%1.5万-120.25%-4,050--------
投资产品交易的净现金流 18.63%15.89万39.83%2.41万--6.3万-47.52%6.12万--1.05万-0.69%13.39万-71.31%1.73万--0--11.67万--0
其他投资活动的净现金流 --------------------200.84%2.39万--0------------
非持续投资活动现金净额
投资活动现金净额 92.88%-15.14万-97.36%-6.03万52.57%-3.01万-218.34%-6.24万100.07%1,36634.50%-212.54万97.99%-3.06万86.94%-6.35万106.08%5.27万-461.33%-208.41万
融资活动现金流量
持续融资活动现金净额 -76.46%55.59万1,785.66%36.02万3,397.81%17.01万-96.38%4.21万-101.35%-1.66万-44.18%236.1万-100.81%-2.14万-101.55%-5,15817.91%116.47万359.66%122.29万
债务发行/偿还的净现金流 -1.73%-1.53万-5.18%-3,960-1.73%-3,8300.03%-3,764-0.03%-3,7660.00%-1.51万0.00%-3,7650.00%-3,7650.00%-3,7650.00%-3,765
普通股发行/偿还的净现金流 --55.66万--33.52万--------------0--0------------
职工行使股票期权收到的现金 --0--0--0--0--09.60%71.25万--0--0202.90%68.53万-62.90%2.72万
其他融资活动的净现金流额 -99.13%1.45万255.53%2.89万-11,987.79%-4.75万-90.50%4.59万-101.07%-1.28万221.44%166.36万-101.40%-1.86万-100.13%-393-36.87%48.31万131.91%119.95万
非持续融资活动现金净额
融资活动现金净额 -76.46%55.59万1,710.29%36.02万4,190.93%17.01万-96.38%4.21万-101.35%-1.66万-44.18%236.1万-100.85%-2.24万-101.25%-4,15817.91%116.47万359.66%122.29万
现金净流量
期初现金流 -54.92%48.91万-83.22%10.96万-91.35%7.59万63.30%24.26万-54.92%48.91万90.58%108.51万260.40%65.34万304.22%87.7万-57.98%14.86万90.58%108.51万
当期现金流变化 69.79%-18万221.42%19.95万115.09%3.37万-122.89%-16.67万73.68%-24.65万-215.56%-59.6万-118.18%-16.43万-527.09%-22.35万632.87%72.84万-334.09%-93.65万
期末现金流 -36.81%30.91万-36.81%30.91万-83.22%10.96万-91.35%7.59万63.30%24.26万-54.92%48.91万-54.92%48.91万260.40%65.34万304.22%87.7万-57.98%14.86万
自由现金流 71.48%-89.55万-6.51%-18.55万18.04%-19.94万52.02%-27.01万88.87%-24.04万19.18%-313.99万90.47%-17.42万37.51%-24.33万49.32%-56.3万-288.02%-215.95万
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

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