美股市场个股详情

NGENF NERVGEN PHARMA CORP

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  • 1.500
  • 0.0000.00%
延时15分钟行情交易中 04/30 11:15 (美东)
1.05亿总市值-5395市盈率TTM

NERVGEN PHARMA 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
36.49%-1,129.56万
38.93%-308.62万
70.28%-142.93万
45.90%-199.85万
-13.11%-478.15万
-115.07%-1,778.42万
-76.92%-505.37万
-138.56%-480.88万
-75.10%-369.44万
-228.42%-422.74万
持续经营净收入
-8.01%-2,238.21万
-44.92%-860.84万
-23.07%-430.25万
24.63%-476.21万
5.20%-470.9万
-62.83%-2,072.23万
-43.25%-594.02万
2.87%-349.6万
-131.20%-631.85万
-121.04%-496.76万
持续经营损益
297.34%512.25万
628.50%379.48万
153.44%102.11万
285.75%14.26万
4,273.79%16.4万
-8,172.95%-259.58万
-1,480.34%-71.8万
-1,808.66%-191.08万
516.62%3.7万
-115.36%-3,930
折旧和摊销
25.96%14.5万
11.13%3.86万
5.39%3.66万
2.27%3.5万
205.29%3.48万
170.06%11.51万
210.14%3.48万
219.83%3.48万
223.74%3.42万
14.03%1.14万
其他非现金项目
-97.23%1.47万
-28.72%3,179
-99.32%3,506
--3,829
--4,147
--52.89万
--4,460
--51.94万
----
----
营运资金变化
-111.36%-24.03万
-71.45%29.35万
110.47%5.92万
-75.59%41.91万
-1,473.59%-101.22万
391.28%211.5万
581.31%102.82万
-258.25%-56.56万
857.90%171.67万
-143.27%-6.43万
-应收款项(增)减
-703.60%-22.32万
-43,531.54%-22.69万
-76.13%1.68万
285.95%5.01万
-975.86%-6.32万
2,726.07%3.7万
97.64%-520
326.22%7.03万
-4.02%-2.69万
-119.56%-5,871
-预付费用(增)减
123.65%5.73万
166.31%18.22万
-407.73%-15.97万
-519.63%-33.72万
472.82%37.19万
-314.12%-24.23万
-259.54%-27.48万
-71.39%5.19万
80.75%8.03万
64.98%-9.98万
-应付款项及应计费用(减)增
-103.21%-7.45万
-74.05%33.82万
129.39%20.21万
-57.54%70.62万
-3,297.88%-132.1万
627.98%232.03万
186,121.57%130.36万
-530.99%-68.78万
778.72%166.33万
-89.76%4.13万
非持续经营活动现金净额
经营活动现金净额
36.49%-1,129.56万
38.93%-308.62万
70.28%-142.93万
45.90%-199.85万
-13.11%-478.15万
-115.07%-1,778.42万
-76.92%-505.37万
-138.56%-480.88万
-75.10%-369.44万
-228.42%-422.74万
投资活动现金流量
持续投资活动现金净额
-557.92%-13.89万
1
-2,320.19%-13.85万
70.54%-2,944
147.27%2,548
53.19%-2.11万
0
-108.04%-5,721
76.39%-9,994
-5,390
固定资产交易的净现金流
85.43%-3,074
--1
53.17%-2,679
70.54%-2,944
147.27%2,548
-667.73%-2.11万
--0
-108.04%-5,721
---9,994
---5,390
无形资产交易净现金流
---13.58万
--0
----
----
----
--0
--0
----
----
----
非持续投资活动现金净额
投资活动现金净额
-557.92%-13.89万
--1
-2,320.19%-13.85万
70.54%-2,944
147.27%2,548
53.19%-2.11万
--0
-108.04%-5,721
76.39%-9,994
---5,390
融资活动现金流量
持续融资活动现金净额
-96.62%76.63万
-6.16%7.48万
-99.64%7.24万
-90.09%25.39万
184.63%36.53万
15.44%2,264.14万
-99.31%7.97万
607.61%1,987.08万
-43.26%256.26万
-81.69%12.83万
债务发行/偿还的净现金流
-33.33%-10.09万
0.00%-2.52万
-0.00%-2.52万
0.00%-2.52万
---2.52万
---7.57万
---2.52万
---2.52万
---2.52万
--0
普通股发行/偿还的净现金流
--0
--0
----
----
----
4.56%1,976.28万
-99.06%10.84万
----
----
----
职工行使股票期权收到的现金
-71.87%86.72万
-20.38%10万
-58.51%9.76万
-89.24%27.91万
204.29%39.05万
29.67%308.34万
-87.89%12.56万
-63.23%23.53万
--259.41万
-81.69%12.83万
其他融资活动的净现金流额
----
----
----
----
----
92.26%-12.9万
----
----
----
----
非持续融资活动现金净额
融资活动现金净额
-96.62%76.63万
-6.16%7.48万
-99.64%7.24万
-90.09%25.39万
184.63%36.53万
15.44%2,264.14万
-99.31%7.97万
607.61%1,987.08万
-43.26%256.26万
-81.69%12.83万
现金净流量
期初现金流
32.62%2,245.16万
-46.62%1,478.56万
38.06%1,608.29万
40.48%1,802.15万
32.62%2,245.16万
202.38%1,692.89万
235.78%2,769.95万
58.29%1,164.96万
157.25%1,282.84万
202.38%1,692.89万
当期现金流变化
-320.59%-1,066.82万
39.46%-301.14万
-109.93%-149.54万
-53.06%-174.76万
-7.54%-441.37万
-57.20%483.62万
-156.97%-497.4万
1,806.60%1,505.64万
-148.30%-114.18万
-600.18%-410.44万
利率变动影响
-118.04%-12.39万
58.18%-11.46万
-80.06%19.81万
-416.69%-19.1万
-516.90%-1.64万
2,088.15%68.66万
-426.66%-27.4万
892.44%99.36万
-516.67%-3.7万
115.36%3,930
期末现金流
-48.07%1,165.95万
-48.07%1,165.95万
-46.62%1,478.56万
38.06%1,608.29万
40.48%1,802.15万
32.62%2,245.16万
32.62%2,245.16万
235.78%2,769.95万
58.29%1,164.96万
157.25%1,282.84万
自由现金流
35.77%-1,143.7万
38.93%-308.62万
67.44%-156.78万
45.97%-200.14万
-12.97%-478.15万
-114.15%-1,780.53万
-76.92%-505.37万
-138.52%-481.45万
-72.12%-370.44万
-228.84%-423.28万
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
--
--
--
--
(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 36.49%-1,129.56万38.93%-308.62万70.28%-142.93万45.90%-199.85万-13.11%-478.15万-115.07%-1,778.42万-76.92%-505.37万-138.56%-480.88万-75.10%-369.44万-228.42%-422.74万
持续经营净收入 -8.01%-2,238.21万-44.92%-860.84万-23.07%-430.25万24.63%-476.21万5.20%-470.9万-62.83%-2,072.23万-43.25%-594.02万2.87%-349.6万-131.20%-631.85万-121.04%-496.76万
持续经营损益 297.34%512.25万628.50%379.48万153.44%102.11万285.75%14.26万4,273.79%16.4万-8,172.95%-259.58万-1,480.34%-71.8万-1,808.66%-191.08万516.62%3.7万-115.36%-3,930
折旧和摊销 25.96%14.5万11.13%3.86万5.39%3.66万2.27%3.5万205.29%3.48万170.06%11.51万210.14%3.48万219.83%3.48万223.74%3.42万14.03%1.14万
其他非现金项目 -97.23%1.47万-28.72%3,179-99.32%3,506--3,829--4,147--52.89万--4,460--51.94万--------
营运资金变化 -111.36%-24.03万-71.45%29.35万110.47%5.92万-75.59%41.91万-1,473.59%-101.22万391.28%211.5万581.31%102.82万-258.25%-56.56万857.90%171.67万-143.27%-6.43万
-应收款项(增)减 -703.60%-22.32万-43,531.54%-22.69万-76.13%1.68万285.95%5.01万-975.86%-6.32万2,726.07%3.7万97.64%-520326.22%7.03万-4.02%-2.69万-119.56%-5,871
-预付费用(增)减 123.65%5.73万166.31%18.22万-407.73%-15.97万-519.63%-33.72万472.82%37.19万-314.12%-24.23万-259.54%-27.48万-71.39%5.19万80.75%8.03万64.98%-9.98万
-应付款项及应计费用(减)增 -103.21%-7.45万-74.05%33.82万129.39%20.21万-57.54%70.62万-3,297.88%-132.1万627.98%232.03万186,121.57%130.36万-530.99%-68.78万778.72%166.33万-89.76%4.13万
非持续经营活动现金净额
经营活动现金净额 36.49%-1,129.56万38.93%-308.62万70.28%-142.93万45.90%-199.85万-13.11%-478.15万-115.07%-1,778.42万-76.92%-505.37万-138.56%-480.88万-75.10%-369.44万-228.42%-422.74万
投资活动现金流量
持续投资活动现金净额 -557.92%-13.89万1-2,320.19%-13.85万70.54%-2,944147.27%2,54853.19%-2.11万0-108.04%-5,72176.39%-9,994-5,390
固定资产交易的净现金流 85.43%-3,074--153.17%-2,67970.54%-2,944147.27%2,548-667.73%-2.11万--0-108.04%-5,721---9,994---5,390
无形资产交易净现金流 ---13.58万--0--------------0--0------------
非持续投资活动现金净额
投资活动现金净额 -557.92%-13.89万--1-2,320.19%-13.85万70.54%-2,944147.27%2,54853.19%-2.11万--0-108.04%-5,72176.39%-9,994---5,390
融资活动现金流量
持续融资活动现金净额 -96.62%76.63万-6.16%7.48万-99.64%7.24万-90.09%25.39万184.63%36.53万15.44%2,264.14万-99.31%7.97万607.61%1,987.08万-43.26%256.26万-81.69%12.83万
债务发行/偿还的净现金流 -33.33%-10.09万0.00%-2.52万-0.00%-2.52万0.00%-2.52万---2.52万---7.57万---2.52万---2.52万---2.52万--0
普通股发行/偿还的净现金流 --0--0------------4.56%1,976.28万-99.06%10.84万------------
职工行使股票期权收到的现金 -71.87%86.72万-20.38%10万-58.51%9.76万-89.24%27.91万204.29%39.05万29.67%308.34万-87.89%12.56万-63.23%23.53万--259.41万-81.69%12.83万
其他融资活动的净现金流额 --------------------92.26%-12.9万----------------
非持续融资活动现金净额
融资活动现金净额 -96.62%76.63万-6.16%7.48万-99.64%7.24万-90.09%25.39万184.63%36.53万15.44%2,264.14万-99.31%7.97万607.61%1,987.08万-43.26%256.26万-81.69%12.83万
现金净流量
期初现金流 32.62%2,245.16万-46.62%1,478.56万38.06%1,608.29万40.48%1,802.15万32.62%2,245.16万202.38%1,692.89万235.78%2,769.95万58.29%1,164.96万157.25%1,282.84万202.38%1,692.89万
当期现金流变化 -320.59%-1,066.82万39.46%-301.14万-109.93%-149.54万-53.06%-174.76万-7.54%-441.37万-57.20%483.62万-156.97%-497.4万1,806.60%1,505.64万-148.30%-114.18万-600.18%-410.44万
利率变动影响 -118.04%-12.39万58.18%-11.46万-80.06%19.81万-416.69%-19.1万-516.90%-1.64万2,088.15%68.66万-426.66%-27.4万892.44%99.36万-516.67%-3.7万115.36%3,930
期末现金流 -48.07%1,165.95万-48.07%1,165.95万-46.62%1,478.56万38.06%1,608.29万40.48%1,802.15万32.62%2,245.16万32.62%2,245.16万235.78%2,769.95万58.29%1,164.96万157.25%1,282.84万
自由现金流 35.77%-1,143.7万38.93%-308.62万67.44%-156.78万45.97%-200.14万-12.97%-478.15万-114.15%-1,780.53万-76.92%-505.37万-138.52%-481.45万-72.12%-370.44万-228.84%-423.28万
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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