Air Canada
AC
BCE Inc
BCE
Enbridge Inc
ENB
4
WELL Health Technologies Corp
WELL
5
GoldMining Inc
GOLD
(FY)2024/12/31 | (Q4)2024/12/31 | (Q3)2024/09/30 | (Q2)2024/06/30 | (Q1)2024/03/31 | (FY)2023/12/31 | (Q4)2023/12/31 | (Q3)2023/09/30 | (Q2)2023/06/30 | (Q1)2023/03/31 | |
---|---|---|---|---|---|---|---|---|---|---|
經營活動現金流量(間接法) | ||||||||||
持續經營活動現金淨額 | -16.96%-623.8萬 | -262.88%-238.88萬 | -562.98%-27.45萬 | 76.43%-79.99萬 | -107.05%-277.48萬 | -20.73%-533.36萬 | 64.53%-65.83萬 | -95.88%5.93萬 | -76.73%-339.44萬 | 35.15%-134.02萬 |
持續經營淨收入 | 146.40%769.63萬 | 348.35%1,076.78萬 | -714.01%-651.21萬 | 116.76%104.26萬 | 145.85%239.79萬 | -32.71%-1,658.63萬 | 51.01%-433.58萬 | 41.14%-80萬 | -2,711.60%-622.1萬 | -152.80%-522.95萬 |
持續經營損益 | -303.90%-1,668.22萬 | -1,996.84%-1,488.04萬 | 1,700.01%458.38萬 | -151.97%-240.23萬 | -258.07%-398.33萬 | 195.92%818.17萬 | -86.30%78.45萬 | 158.92%25.47萬 | 521.79%462.27萬 | 275.81%252萬 |
折舊攤銷及損耗 | 27.42%24.5萬 | 267.88%6.13萬 | -28.36%6.12萬 | -16.99%6.12萬 | -12.07%6.12萬 | -43.32%19.22萬 | 95.17%-3.65萬 | -82.62%8.54萬 | -78.33%7.37萬 | -73.63%6.96萬 |
資產減值支出 | --166.93萬 | ---- | ---- | ---- | ---- | --0 | ---- | ---- | ---- | ---- |
以股票支付的報酬 | -42.10%220.02萬 | -67.81%42.43萬 | 4.42%46.46萬 | -10.09%48.53萬 | -44.83%82.6萬 | -12.08%380.02萬 | 98.24%131.83萬 | -56.29%44.49萬 | -28.71%53.97萬 | -20.46%149.72萬 |
其他非現金項目 | 48.27%-61.03萬 | 10.12%-20.96萬 | 85.73%-5.04萬 | 80.69%-10.36萬 | -338.64%-24.66萬 | -432.05%-117.97萬 | -182.61%-23.32萬 | -476.50%-35.35萬 | -1,348.89%-53.68萬 | -100.04%-5.62萬 |
營運資金變化 | -392.75%-75.63萬 | -112.01%-22.15萬 | 175.46%117.84萬 | 106.24%11.69萬 | -1,196.14%-183.01萬 | -70.52%25.83萬 | 27.95%184.44萬 | -75.98%42.78萬 | -12.57%-187.27萬 | 79.33%-14.12萬 |
-應收款項(增)減 | -335.49%-57.88萬 | -208.14%-55.38萬 | -42.44%8.64萬 | -133.58%-16.89萬 | 286.21%5.75萬 | 44.75%-13.29萬 | -80.19%-17.97萬 | -36.83%15萬 | -140.10%-7.23萬 | 94.47%-3.09萬 |
-預付費用(增)減 | 302.32%15.52萬 | 93.37%-2,994 | -41.88%1.76萬 | 221.54%12.69萬 | -67.86%1.37萬 | -197.66%-7.67萬 | -113.99%-4.52萬 | 112.36%3.03萬 | -309.94%-10.44萬 | 187.10%4.26萬 |
-應付款項及應計費用(減)增 | -171.09%-33.27萬 | -83.80%33.52萬 | 334.13%107.45萬 | 109.37%15.89萬 | -1,143.78%-190.13萬 | -54.93%46.79萬 | 69.82%206.93萬 | -86.16%24.75萬 | 10.44%-169.6萬 | -102.56%-15.29萬 |
非持續經營活動現金淨額 | ||||||||||
經營活動現金淨額 | -16.96%-623.8萬 | -262.88%-238.88萬 | -562.98%-27.45萬 | 76.43%-79.99萬 | -107.05%-277.48萬 | -20.73%-533.36萬 | 64.53%-65.83萬 | -95.88%5.93萬 | -76.73%-339.44萬 | 35.15%-134.02萬 |
投資活動現金流量 | ||||||||||
持續投資活動現金淨額 | -55.78%-6,842.52萬 | -67.94%-1,992萬 | -59.79%-1,810.56萬 | -58.27%-1,865.93萬 | -31.28%-1,174.04萬 | -40.37%-4,392.49萬 | -56.96%-1,186.14萬 | -44.41%-1,133.08萬 | -54.74%-1,178.97萬 | -7.97%-894.3萬 |
固定資產交易淨額 | -41.32%-4,959.6萬 | -123.79%-1,811.82萬 | -2.77%-1,113.43萬 | -40.50%-1,294.15萬 | -32.98%-1,182.43萬 | -49.26%-3,509.51萬 | -22.82%-809.59萬 | -56.24%-1,083.44萬 | -65.55%-921.13萬 | -101.03%-889.19萬 |
無形資產交易淨額 | --0 | --0 | --0 | --0 | --0 | 63.63%-8.48萬 | -47.72%1.82萬 | 17.86%-2.98萬 | 95.41%-4,714 | 46.91%-6.86萬 |
已收到的利息(投資活動產生的現金流) | -48.08%61.78萬 | -0.31%21.06萬 | -85.34%5.24萬 | -80.85%10.53萬 | 249.11%24.95萬 | 388.96%118.99萬 | 153.43%21.12萬 | 475.62%35.75萬 | 893.37%54.97萬 | 139.69%7.15萬 |
其他投資活動淨額 | -95.74%-1,944.7萬 | 49.63%-201.24萬 | -752.20%-702.37萬 | -86.43%-582.31萬 | -206.43%-16.56萬 | -27.54%-993.49萬 | -268.80%-399.5萬 | 12.11%-82.42萬 | -55.56%-312.34萬 | 98.56%-5.4萬 |
非持續投資活動現金淨額 | ||||||||||
投資活動現金淨額 | -55.78%-6,842.52萬 | -67.94%-1,992萬 | -59.79%-1,810.56萬 | -58.27%-1,865.93萬 | -31.28%-1,174.04萬 | -40.37%-4,392.49萬 | -56.96%-1,186.14萬 | -44.41%-1,133.08萬 | -54.74%-1,178.97萬 | -7.97%-894.3萬 |
融資活動現金流量 | ||||||||||
持續融資活動現金淨額 | 5.95%6,951.89萬 | 168.94%3,748.71萬 | 3,731.13%2,139.19萬 | 248.95%238.43萬 | -84.67%825.56萬 | 568.63%6,561.76萬 | 43,517.18%1,393.91萬 | -106.63%-58.91萬 | -400.02%-160.07萬 | 12,686.20%5,386.84萬 |
債務發行/償還的淨額 | -32.10%-387.27萬 | 47.02%-72.81萬 | -141.21%-103.27萬 | 10.43%-81.79萬 | -499.17%-129.41萬 | -895.34%-293.16萬 | -4,180.80%-137.44萬 | -1,456.85%-42.81萬 | -342.78%-91.31萬 | -652.56%-21.6萬 |
普通股發行/回購的淨額 | -5.54%6,707.12萬 | 172.19%4,082.8萬 | --2,303.01萬 | 12,952.43%321.31萬 | --0 | --7,100.25萬 | --1,500萬 | --0 | 16.67%-2.5萬 | 186,658.34%5,602.75萬 |
職工行使股票期權收到的現金 | 599.87%1,035.9萬 | -97.49%1.1萬 | --71.28萬 | -58.99%8.55萬 | 1,044.83%954.97萬 | -84.76%148.01萬 | --43.75萬 | --0 | -72.91%20.85萬 | 98.61%83.42萬 |
其他融資活動的淨現金流額 | -2.67%-403.85萬 | -2,015.48%-262.38萬 | -718.88%-131.83萬 | 88.93%-9.64萬 | ---- | -1,086.90%-393.34萬 | ---12.4萬 | -140.39%-16.1萬 | ---87.11萬 | ---277.73萬 |
非持續融資活動現金淨額 | ||||||||||
融資活動現金淨額 | 5.95%6,951.89萬 | 168.94%3,748.71萬 | 3,731.13%2,139.19萬 | 248.95%238.43萬 | -84.67%825.56萬 | 568.63%6,561.76萬 | 43,517.18%1,393.91萬 | -106.63%-58.91萬 | -400.02%-160.07萬 | 12,686.20%5,386.84萬 |
現金淨流量 | ||||||||||
期初現金流 | 195.93%2,485.79萬 | -82.11%420.17萬 | -94.74%186.23萬 | -64.32%1,857.24萬 | 195.93%2,485.79萬 | -75.42%840萬 | 28.73%2,348.37萬 | 136.38%3,537.38萬 | 114.23%5,205.36萬 | -75.42%840萬 |
當期現金流變化 | -131.45%-514.43萬 | 969.34%1,517.83萬 | 125.39%301.17萬 | -1.73%-1,707.49萬 | -114.36%-625.96萬 | 163.17%1,635.91萬 | 115.03%141.94萬 | -577.70%-1,186.07萬 | -86.37%-1,678.49萬 | 538.99%4,358.53萬 |
利率變動影響 | -1,153.29%-104.03萬 | -1,462.07%-70.68萬 | -2,190.48%-67.24萬 | 247.33%36.47萬 | -137.94%-2.59萬 | -15.59%9.88萬 | 88.65%-4.52萬 | -103.69%-2.94萬 | 132.15%10.5萬 | 45.99%6.84萬 |
期末現金流 | -24.88%1,867.32萬 | -24.88%1,867.32萬 | -82.11%420.17萬 | -94.74%186.23萬 | -64.32%1,857.24萬 | 195.93%2,485.79萬 | 195.93%2,485.79萬 | 28.73%2,348.37萬 | 136.38%3,537.38萬 | 114.23%5,205.36萬 |
自由現金流 | -37.82%-5,583.4萬 | -134.74%-2,050.69萬 | -5.59%-1,140.88萬 | -8.97%-1,374.14萬 | -41.73%-1,459.91萬 | -43.85%-4,051.34萬 | -3.84%-873.59萬 | -95.29%-1,080.49萬 | -66.20%-1,261.04萬 | -55.62%-1,030.06萬 |
會計準則 | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
審計意見 | 無保留意見 | -- | -- | -- | -- | 無保留意見 | -- | -- | -- | -- |
FY:Financial Year 年度報告,相當於上市公司向SEC披露的10-K文件。
Q:Quarter 季度報告,相當於上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4為單季報,跨度為3個月;Q6、Q9為累計季報,Q6為6個月,Q9為9個月。