加拿大市場個股詳情

ANRG Anaergia Inc

添加自選
  • 0.435
  • +0.035+8.75%
延時15分鐘行情已收盤 08/02 16:00 (美東)
7283.05萬總市值-163市盈率TTM

Anaergia Inc關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 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
經營活動現金流量(間接法)
持續經營活動現金淨額
66.84%-853.3萬
-101.91%-6,675.9萬
57.28%-773.8萬
-272.87%-2,516.5萬
-141.59%-812.7萬
-431.81%-2,572.9萬
44.52%-3,306.4萬
15.58%-1,811.3萬
-331.92%-674.9萬
87.57%-336.4萬
持續經營淨收入
-36.68%-1,148.1萬
-144.04%-1.93億
25.66%-3,118.1萬
-616.72%-3,056.8萬
-647.68%-1.23億
48.75%-840萬
-460.01%-7,900萬
-414.88%-4,194.2萬
-2,309.84%-426.5萬
-841.88%-1,640.3萬
持續經營損益
111.60%47.8萬
262.65%9,439.8萬
2,040.19%5,149.3萬
1,483.52%557.4萬
189.36%4,145.3萬
-146.08%-412.2萬
1,204.37%2,603萬
319.16%240.6萬
118.80%35.2萬
430.17%1,432.6萬
折舊攤銷及損耗
-30.44%118.6萬
56.36%584.8萬
1.23%106.6萬
61.43%142.7萬
84.36%165萬
87.78%170.5萬
11.51%374萬
7.23%105.3萬
3.39%88.4萬
19.65%89.5萬
資產減值支出
----
--3,787.8萬
--2,783.9萬
--664.8萬
----
----
--0
--0
--0
----
資產準備金與勾銷
--80.6萬
31.64%566.6萬
-1,367.89%-5,457萬
--86.3萬
--5,937.3萬
--0
23.93%430.4萬
--430.4萬
--0
----
投資證券未實現損益
----
--173.4萬
----
----
----
----
--0
----
----
----
以股票支付的報酬
79.57%58.9萬
45.39%194.1萬
17.13%59.5萬
141.87%59.5萬
24.41%42.3萬
36.10%32.8萬
147.68%133.5萬
279.10%50.8萬
129.91%24.6萬
65.05%34萬
遞延稅費
194.55%243.3萬
-159.26%-860.6萬
-124.69%-212.6萬
-180.36%-189.8萬
-1,764.00%-540.8萬
-74.39%82.6萬
857.98%1,452.3萬
136.44%861.1萬
246.07%236.2萬
-63.40%32.5萬
其他非現金項目
146.94%113.1萬
326.10%420.1萬
-200.40%-151.4萬
4,413.79%523.6萬
100.57%2.1萬
124.51%45.8萬
50.37%-185.8萬
168.83%150.8萬
135.47%11.6萬
-341.23%-368.6萬
營運資金變化
77.48%-372萬
-1,757.27%-1,617.5萬
-108.41%-57萬
-168.09%-1,297.8萬
1,482.46%1,389.4萬
-798.37%-1,652.1萬
102.04%97.6萬
142.14%677.8萬
-307.32%-484.1萬
103.09%87.8萬
-應收款項(增)減
385.24%2,213.5萬
112.24%355.9萬
829.81%333.8萬
1,387.98%2,143.2萬
33.31%-1,345.1萬
-2.16%-776萬
37.02%-2,906.9萬
101.85%35.9萬
-148.94%-166.4萬
-29.64%-2,016.8萬
-存貨(增)減
-127.71%-41.6萬
129.41%134.1萬
146.30%95.7萬
57.28%-78.6萬
55.57%-33.1萬
1,513.98%150.1萬
-211.41%-455.9萬
-4,034.00%-206.7萬
-397.30%-184萬
-124.40%-74.5萬
-預付費用(增)減
28.35%48.9萬
-134.84%-98.1萬
-91.34%25.5萬
-20.40%-71.4萬
-201.00%-90.3萬
-50.07%38.1萬
161.10%281.6萬
200.65%294.6萬
64.21%-59.3萬
-797.67%-30萬
-應付款項及應計費用(減)增
-7,455.26%-2,515.5萬
-201.75%-2,530.1萬
-184.77%-497.5萬
-1,158.48%-3,449.6萬
-8.73%1,382.8萬
-95.83%34.2萬
777.69%2,486.5萬
-124.23%-174.7萬
241.27%325.9萬
344.25%1,515.1萬
-其他流動資產變動
95.72%-49.7萬
1,150.00%413.7萬
27.32%323.9萬
576.48%265.4萬
508.07%986.9萬
-190.33%-1,162.5萬
-144.12%-39.4萬
191.41%254.4萬
-105.57%-55.7萬
124.56%162.3萬
-其他營運資本變動
-143.13%-27.6萬
-85.38%107萬
-171.35%-338.4萬
69.01%-106.8萬
-8.18%488.2萬
-8.96%64萬
250.31%731.7萬
359.75%474.3萬
48.74%-344.6萬
1,792.17%531.7萬
已支付退稅
1,600.00%4.5萬
72.61%-85.3萬
62.36%-50.4萬
96.01%-6.4萬
-623.08%-28.2萬
97.74%-3,000
-579.91%-311.4萬
-263.86%-133.9萬
-576.37%-160.3萬
-154.93%-3.9萬
非持續經營活動現金淨額
經營活動現金淨額
66.84%-853.3萬
-101.91%-6,675.9萬
57.28%-773.8萬
-272.87%-2,516.5萬
-141.59%-812.7萬
-431.81%-2,572.9萬
44.52%-3,306.4萬
15.58%-1,811.3萬
-331.92%-674.9萬
87.57%-336.4萬
投資活動現金流量
持續投資活動現金淨額
31.48%2,026.5萬
85.37%-2,779.9萬
101.58%84.6萬
85.02%-756.7萬
27.26%-3,649.1萬
143.17%1,541.3萬
-37.14%-1.9億
3.11%-5,369萬
12.95%-5,051.8萬
-225.41%-5,016.5萬
固定資產交易淨額
96.17%-141.4萬
46.54%-6,389.7萬
98.60%-36.7萬
93.99%-187萬
45.03%-2,470.4萬
-114.70%-3,695.6萬
-54.87%-1.2億
3.26%-2,627.8萬
4.35%-3,110.5萬
-262.40%-4,493.7萬
無形資產交易淨額
--0
52.41%-21.7萬
-77.78%7.8萬
65.29%-19.3萬
55.84%-3.4萬
60.92%-6.8萬
-14.29%-45.6萬
587.50%35.1萬
-227.06%-55.6萬
---7.7萬
業務交易淨額
--0
3,278.78%6,847.1萬
---218.8萬
--0
-85.23%18.8萬
5,635.82%7,047.1萬
80.46%-215.4萬
--0
76.07%-215.4萬
--127.3萬
其他投資活動淨額
220.21%2,167.9萬
52.67%-3,215.6萬
111.97%332.3萬
67.05%-550.4萬
-85.88%-1,194.1萬
-5.81%-1,803.4萬
-35.87%-6,793.3萬
-6.14%-2,776.3萬
-2.20%-1,670.3萬
-113.00%-642.4萬
非持續投資活動現金淨額
投資活動現金淨額
31.48%2,026.5萬
85.37%-2,779.9萬
101.58%84.6萬
85.02%-756.7萬
27.26%-3,649.1萬
143.17%1,541.3萬
-37.14%-1.9億
3.11%-5,369萬
12.95%-5,051.8萬
-225.41%-5,016.5萬
融資活動現金流量
持續融資活動現金淨額
-80.54%393萬
-67.33%6,476.1萬
-66.42%427萬
-77.79%2,320.7萬
-75.10%1,708.5萬
63.30%2,019.9萬
-17.26%1.98億
-45.38%1,271.7萬
383.40%1.05億
-61.24%6,862萬
債務發行/償還的淨額
-112.55%-135.2萬
-64.22%4,498.5萬
102.42%20.1萬
-71.18%2,995.8萬
-73.99%404.9萬
-25.74%1,077.7萬
236.97%1.26億
-124.81%-830.8萬
2,432.04%1.04億
39,815.38%1,556.7萬
普通股發行/回購的淨額
--1,250.2萬
--0
--0
--0
--0
--0
-71.95%5,592.9萬
102.17%1,000
-100.00%1,000
----
優先股發行/回購的淨額
--0
-17.58%1,977.9萬
-99.28%6.8萬
-87.83%165.9萬
--915.8萬
901.58%889.4萬
73.68%2,399.9萬
550.86%948.3萬
152.84%1,362.8萬
--0
已支付現金股息
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
職工行使股票期權收到的現金
----
--1萬
--0
---3,000
----
----
--0
--0
--0
-100.02%-2,000
已付利息(籌資活動產生的現金流)
-1,220.00%-112.2萬
34.16%-153.6萬
-109.61%-36.8萬
84.54%-91.7萬
-43.10%-16.6萬
26.09%-8.5萬
-79.32%-233.3萬
--383.1萬
-398.99%-593.3萬
-110.91%-11.6萬
其他融資活動的淨現金流額
-1,094.78%-609.8萬
129.91%152.3萬
-43.33%436.9萬
-5.08%-749萬
246.26%403.1萬
121.01%61.3萬
74.14%-509.2萬
166.37%771萬
-180.30%-712.8萬
76.98%-275.6萬
非持續融資活動現金淨額
融資活動現金淨額
-80.54%393萬
-67.33%6,476.1萬
-66.42%427萬
-77.79%2,320.7萬
-75.10%1,708.5萬
63.30%2,019.9萬
-17.26%1.98億
-45.38%1,271.7萬
383.40%1.05億
-61.24%6,862萬
現金淨流量
期初現金流
-60.07%2,211.3萬
-30.18%5,537.8萬
-74.31%2,824萬
-42.01%3,735.5萬
31.36%6,545.2萬
-30.18%5,537.8萬
92.69%7,931.7萬
-18.67%1.1億
-62.13%6,442萬
46.05%4,982.7萬
當期現金流變化
58.47%1,566.2萬
-19.54%-2,979.7萬
95.56%-262.2萬
-120.16%-952.5萬
-282.45%-2,753.3萬
135.08%988.3萬
-160.28%-2,492.7萬
-10.26%-5,908.6萬
241.00%4,724萬
-88.78%1,509.1萬
利率變動影響
-117.28%-3.3萬
-451.01%-346.8萬
-176.93%-350.5萬
123.40%41萬
-13.25%-56.4萬
114.49%19.1萬
130.90%98.8萬
303.48%455.6萬
-18.38%-175.2萬
-134.16%-49.8萬
期末現金流
-42.34%3,774.2萬
-60.07%2,211.3萬
-60.07%2,211.3萬
-74.31%2,824萬
-42.01%3,735.5萬
31.36%6,545.2萬
-30.18%5,537.8萬
-30.18%5,537.8萬
-18.67%1.1億
-62.13%6,442萬
自由現金流
84.15%-994.7萬
14.49%-1.31億
81.77%-802.7萬
29.11%-2,722.8萬
32.07%-3,286.5萬
-182.35%-6,275.3萬
-11.57%-1.53億
9.56%-4,404萬
-28.98%-3,841萬
-22.59%-4,837.8萬
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
--
帶解釋段的無保留意見
--
--
--
--
無保留意見
--
--
--
(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
經營活動現金流量(間接法)
持續經營活動現金淨額 66.84%-853.3萬-101.91%-6,675.9萬57.28%-773.8萬-272.87%-2,516.5萬-141.59%-812.7萬-431.81%-2,572.9萬44.52%-3,306.4萬15.58%-1,811.3萬-331.92%-674.9萬87.57%-336.4萬
持續經營淨收入 -36.68%-1,148.1萬-144.04%-1.93億25.66%-3,118.1萬-616.72%-3,056.8萬-647.68%-1.23億48.75%-840萬-460.01%-7,900萬-414.88%-4,194.2萬-2,309.84%-426.5萬-841.88%-1,640.3萬
持續經營損益 111.60%47.8萬262.65%9,439.8萬2,040.19%5,149.3萬1,483.52%557.4萬189.36%4,145.3萬-146.08%-412.2萬1,204.37%2,603萬319.16%240.6萬118.80%35.2萬430.17%1,432.6萬
折舊攤銷及損耗 -30.44%118.6萬56.36%584.8萬1.23%106.6萬61.43%142.7萬84.36%165萬87.78%170.5萬11.51%374萬7.23%105.3萬3.39%88.4萬19.65%89.5萬
資產減值支出 ------3,787.8萬--2,783.9萬--664.8萬----------0--0--0----
資產準備金與勾銷 --80.6萬31.64%566.6萬-1,367.89%-5,457萬--86.3萬--5,937.3萬--023.93%430.4萬--430.4萬--0----
投資證券未實現損益 ------173.4萬------------------0------------
以股票支付的報酬 79.57%58.9萬45.39%194.1萬17.13%59.5萬141.87%59.5萬24.41%42.3萬36.10%32.8萬147.68%133.5萬279.10%50.8萬129.91%24.6萬65.05%34萬
遞延稅費 194.55%243.3萬-159.26%-860.6萬-124.69%-212.6萬-180.36%-189.8萬-1,764.00%-540.8萬-74.39%82.6萬857.98%1,452.3萬136.44%861.1萬246.07%236.2萬-63.40%32.5萬
其他非現金項目 146.94%113.1萬326.10%420.1萬-200.40%-151.4萬4,413.79%523.6萬100.57%2.1萬124.51%45.8萬50.37%-185.8萬168.83%150.8萬135.47%11.6萬-341.23%-368.6萬
營運資金變化 77.48%-372萬-1,757.27%-1,617.5萬-108.41%-57萬-168.09%-1,297.8萬1,482.46%1,389.4萬-798.37%-1,652.1萬102.04%97.6萬142.14%677.8萬-307.32%-484.1萬103.09%87.8萬
-應收款項(增)減 385.24%2,213.5萬112.24%355.9萬829.81%333.8萬1,387.98%2,143.2萬33.31%-1,345.1萬-2.16%-776萬37.02%-2,906.9萬101.85%35.9萬-148.94%-166.4萬-29.64%-2,016.8萬
-存貨(增)減 -127.71%-41.6萬129.41%134.1萬146.30%95.7萬57.28%-78.6萬55.57%-33.1萬1,513.98%150.1萬-211.41%-455.9萬-4,034.00%-206.7萬-397.30%-184萬-124.40%-74.5萬
-預付費用(增)減 28.35%48.9萬-134.84%-98.1萬-91.34%25.5萬-20.40%-71.4萬-201.00%-90.3萬-50.07%38.1萬161.10%281.6萬200.65%294.6萬64.21%-59.3萬-797.67%-30萬
-應付款項及應計費用(減)增 -7,455.26%-2,515.5萬-201.75%-2,530.1萬-184.77%-497.5萬-1,158.48%-3,449.6萬-8.73%1,382.8萬-95.83%34.2萬777.69%2,486.5萬-124.23%-174.7萬241.27%325.9萬344.25%1,515.1萬
-其他流動資產變動 95.72%-49.7萬1,150.00%413.7萬27.32%323.9萬576.48%265.4萬508.07%986.9萬-190.33%-1,162.5萬-144.12%-39.4萬191.41%254.4萬-105.57%-55.7萬124.56%162.3萬
-其他營運資本變動 -143.13%-27.6萬-85.38%107萬-171.35%-338.4萬69.01%-106.8萬-8.18%488.2萬-8.96%64萬250.31%731.7萬359.75%474.3萬48.74%-344.6萬1,792.17%531.7萬
已支付退稅 1,600.00%4.5萬72.61%-85.3萬62.36%-50.4萬96.01%-6.4萬-623.08%-28.2萬97.74%-3,000-579.91%-311.4萬-263.86%-133.9萬-576.37%-160.3萬-154.93%-3.9萬
非持續經營活動現金淨額
經營活動現金淨額 66.84%-853.3萬-101.91%-6,675.9萬57.28%-773.8萬-272.87%-2,516.5萬-141.59%-812.7萬-431.81%-2,572.9萬44.52%-3,306.4萬15.58%-1,811.3萬-331.92%-674.9萬87.57%-336.4萬
投資活動現金流量
持續投資活動現金淨額 31.48%2,026.5萬85.37%-2,779.9萬101.58%84.6萬85.02%-756.7萬27.26%-3,649.1萬143.17%1,541.3萬-37.14%-1.9億3.11%-5,369萬12.95%-5,051.8萬-225.41%-5,016.5萬
固定資產交易淨額 96.17%-141.4萬46.54%-6,389.7萬98.60%-36.7萬93.99%-187萬45.03%-2,470.4萬-114.70%-3,695.6萬-54.87%-1.2億3.26%-2,627.8萬4.35%-3,110.5萬-262.40%-4,493.7萬
無形資產交易淨額 --052.41%-21.7萬-77.78%7.8萬65.29%-19.3萬55.84%-3.4萬60.92%-6.8萬-14.29%-45.6萬587.50%35.1萬-227.06%-55.6萬---7.7萬
業務交易淨額 --03,278.78%6,847.1萬---218.8萬--0-85.23%18.8萬5,635.82%7,047.1萬80.46%-215.4萬--076.07%-215.4萬--127.3萬
其他投資活動淨額 220.21%2,167.9萬52.67%-3,215.6萬111.97%332.3萬67.05%-550.4萬-85.88%-1,194.1萬-5.81%-1,803.4萬-35.87%-6,793.3萬-6.14%-2,776.3萬-2.20%-1,670.3萬-113.00%-642.4萬
非持續投資活動現金淨額
投資活動現金淨額 31.48%2,026.5萬85.37%-2,779.9萬101.58%84.6萬85.02%-756.7萬27.26%-3,649.1萬143.17%1,541.3萬-37.14%-1.9億3.11%-5,369萬12.95%-5,051.8萬-225.41%-5,016.5萬
融資活動現金流量
持續融資活動現金淨額 -80.54%393萬-67.33%6,476.1萬-66.42%427萬-77.79%2,320.7萬-75.10%1,708.5萬63.30%2,019.9萬-17.26%1.98億-45.38%1,271.7萬383.40%1.05億-61.24%6,862萬
債務發行/償還的淨額 -112.55%-135.2萬-64.22%4,498.5萬102.42%20.1萬-71.18%2,995.8萬-73.99%404.9萬-25.74%1,077.7萬236.97%1.26億-124.81%-830.8萬2,432.04%1.04億39,815.38%1,556.7萬
普通股發行/回購的淨額 --1,250.2萬--0--0--0--0--0-71.95%5,592.9萬102.17%1,000-100.00%1,000----
優先股發行/回購的淨額 --0-17.58%1,977.9萬-99.28%6.8萬-87.83%165.9萬--915.8萬901.58%889.4萬73.68%2,399.9萬550.86%948.3萬152.84%1,362.8萬--0
已支付現金股息 --0--0--0--0--0--0--0--0--0--0
職工行使股票期權收到的現金 ------1萬--0---3,000----------0--0--0-100.02%-2,000
已付利息(籌資活動產生的現金流) -1,220.00%-112.2萬34.16%-153.6萬-109.61%-36.8萬84.54%-91.7萬-43.10%-16.6萬26.09%-8.5萬-79.32%-233.3萬--383.1萬-398.99%-593.3萬-110.91%-11.6萬
其他融資活動的淨現金流額 -1,094.78%-609.8萬129.91%152.3萬-43.33%436.9萬-5.08%-749萬246.26%403.1萬121.01%61.3萬74.14%-509.2萬166.37%771萬-180.30%-712.8萬76.98%-275.6萬
非持續融資活動現金淨額
融資活動現金淨額 -80.54%393萬-67.33%6,476.1萬-66.42%427萬-77.79%2,320.7萬-75.10%1,708.5萬63.30%2,019.9萬-17.26%1.98億-45.38%1,271.7萬383.40%1.05億-61.24%6,862萬
現金淨流量
期初現金流 -60.07%2,211.3萬-30.18%5,537.8萬-74.31%2,824萬-42.01%3,735.5萬31.36%6,545.2萬-30.18%5,537.8萬92.69%7,931.7萬-18.67%1.1億-62.13%6,442萬46.05%4,982.7萬
當期現金流變化 58.47%1,566.2萬-19.54%-2,979.7萬95.56%-262.2萬-120.16%-952.5萬-282.45%-2,753.3萬135.08%988.3萬-160.28%-2,492.7萬-10.26%-5,908.6萬241.00%4,724萬-88.78%1,509.1萬
利率變動影響 -117.28%-3.3萬-451.01%-346.8萬-176.93%-350.5萬123.40%41萬-13.25%-56.4萬114.49%19.1萬130.90%98.8萬303.48%455.6萬-18.38%-175.2萬-134.16%-49.8萬
期末現金流 -42.34%3,774.2萬-60.07%2,211.3萬-60.07%2,211.3萬-74.31%2,824萬-42.01%3,735.5萬31.36%6,545.2萬-30.18%5,537.8萬-30.18%5,537.8萬-18.67%1.1億-62.13%6,442萬
自由現金流 84.15%-994.7萬14.49%-1.31億81.77%-802.7萬29.11%-2,722.8萬32.07%-3,286.5萬-182.35%-6,275.3萬-11.57%-1.53億9.56%-4,404萬-28.98%-3,841萬-22.59%-4,837.8萬
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 --帶解釋段的無保留意見--------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。

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加拿大
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升跌幅