美股市場個股詳情

COLIBRI RESOURCES CORP (CRUCF)

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延時15分鐘行情收盤價 05/06 10:08 (美東)
368.77萬總市值-2.78市盈率TTM

COLIBRI RESOURCES CORP (CRUCF) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2025/12/31
(Q4)2025/12/31
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額
-24.80%-85.56萬
-983.39%-52.44萬
94.16%-9,224
65.05%-10.64萬
-23.22%-21.56萬
-1.25%-68.56萬
84.86%-4.84萬
1.91%-15.78萬
-781.75%-30.44萬
-8.08%-17.49萬
持續經營淨收入
-0.66%-122.64萬
-166.26%-44.1萬
-39.58%-28.26萬
31.69%-25.21萬
47.91%-25.06萬
-55.25%-121.83萬
-131.75%-16.56萬
25.82%-20.25萬
-39.80%-36.91萬
-172.87%-48.12萬
持續經營損益
-143.93%-1.03萬
58.12%-1.64萬
291.24%8,292
-99.24%303
-109.23%-2,496
119.18%2.35萬
54.55%-3.92萬
0.55%-4,336
2,102.91%3.99萬
190.78%2.71萬
折舊和攤銷
-30.34%4.97萬
1,708.01%3.23萬
-58.71%5,877
-80.24%5,782
-80.75%5,759
-40.44%7.14萬
-106.58%-2,010
-53.82%1.42萬
-2.27%2.93萬
4.66%2.99萬
其他非現金項目
-48.64%16.89萬
-90.64%7,395
417.67%2.91萬
-57.04%6.67萬
-26.17%6.57萬
1,020.91%32.88萬
144.84%7.9萬
-90.44%5,619
571.04%15.52萬
52.08%8.9萬
營運資金變化
360.37%15.69萬
-227.93%-10.67萬
689.70%23.02萬
164.34%9.1萬
-191.48%-5.75萬
-80.69%3.41萬
268.58%8.34萬
5.69%2.91萬
-190.97%-14.14萬
46.38%6.29萬
-應收款項(增)減
-49,039.50%-9.79萬
-127.85%-7萬
98.81%-2,853
436.70%2.09萬
-962.69%-4.59萬
-99.56%200
2,510.75%25.14萬
-1,065.63%-24.07萬
-338.72%-6,202
-108.06%-4,320
-預付費用(增)減
-2,122.24%-12.48萬
16.43%-14.49萬
-103.64%-6,582
630.10%4.47萬
-280.70%-1.8萬
83.47%-5,617
-1,111.10%-17.34萬
40,844.37%18.09萬
-51.00%-8,423
65.35%-4,730
-應付款項及應計費用(減)增
861.14%37.96萬
1,896.34%10.81萬
169.49%23.96萬
120.06%2.54萬
-91.08%6,411
-76.10%3.95萬
112.09%5,417
82.68%8.89萬
-180.02%-12.67萬
2,289.04%7.19萬
非持續經營活動現金淨額
經營活動現金淨額
-24.80%-85.56萬
-983.39%-52.44萬
94.16%-9,224
65.05%-10.64萬
-23.22%-21.56萬
-1.25%-68.56萬
84.86%-4.84萬
1.91%-15.78萬
-781.75%-30.44萬
-8.08%-17.49萬
投資活動現金流量
持續投資活動現金淨額
-205.80%-18.01萬
-2,970.74%-16.1萬
-122.74%-4.76萬
-67.53%4.02萬
93.07%-1.17萬
-68.06%17.03萬
108.42%5,609
174.40%20.94萬
-83.53%12.37萬
-229.58%-16.85萬
固定資產交易的淨現金流
-1,882.92%-22.01萬
-2,970.74%-16.1萬
-122.74%-4.76萬
100.30%175
93.07%-1.17萬
94.70%-1.11萬
103.75%5,609
164.17%20.94萬
-110.73%-5.77萬
37.81%-16.85萬
投資產品交易的淨現金流
-77.95%4萬
--0
--0
----
----
-72.83%18.14萬
--0
--0
-15.12%18.14萬
--0
非持續投資活動現金淨額
投資活動現金淨額
-205.80%-18.01萬
-2,970.74%-16.1萬
-122.74%-4.76萬
-67.53%4.02萬
93.07%-1.17萬
-68.06%17.03萬
108.42%5,609
174.40%20.94萬
-83.53%12.37萬
-229.58%-16.85萬
融資活動現金流量
持續融資活動現金淨額
560.93%130.68萬
3,527.74%97.4萬
-7.62%4.31萬
-84.22%3.12萬
1,542.32%25.86萬
-52.74%19.77萬
-106.70%-2.84萬
-93.00%4.66萬
126.93%19.74萬
-128.93%-1.79萬
債務發行/償還的淨現金流
-526.60%-32.66萬
-256.55%-31.12萬
89.81%-4.41萬
-81.10%3.36萬
-210.95%-4,874
-111.58%-5.21萬
-52.02%19.88萬
-165.09%-43.32萬
124.68%17.79萬
-95.16%4,393
普通股發行/償還的淨現金流
458.13%170.51萬
23,569.97%142.02萬
-100.27%-800
--0
--28.57萬
--30.55萬
--6,000
--29.95萬
--0
--0
現金股利支付
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
其他融資活動的淨現金流額
-169.03%-5.48萬
-5.34%-17.24萬
-52.27%10.01萬
----
----
1,098.14%7.94萬
-589.46%-16.37萬
--20.96萬
277.39%2.22萬
139.00%1.13萬
非持續融資活動現金淨額
融資活動現金淨額
560.93%130.68萬
3,527.86%97.4萬
-7.62%4.31萬
-84.22%3.12萬
1,542.32%25.86萬
-52.74%19.77萬
-106.70%-2.84萬
-93.00%4.66萬
126.93%19.74萬
-128.93%-1.79萬
現金淨流量
期初現金流
-95.68%1.63萬
-91.47%6,734
-55.21%2.26萬
147.55%6.45萬
-95.68%1.63萬
350.44%37.88萬
-76.69%7.9萬
-54.33%5.05萬
-80.20%2.61萬
350.44%37.88萬
當期現金流變化
185.32%27.1萬
505.11%28.85萬
-114.03%-1.38萬
-309.34%-3.51萬
108.67%3.13萬
-215.79%-31.76萬
-289.57%-7.12萬
-55.99%9.82萬
201.26%1.67萬
-1,299.75%-36.13萬
利率變動影響
117.22%7,724
-101.88%-162
97.01%-2,086
-189.90%-6,873
95.74%1.68萬
-319.72%-4.49萬
243.14%8,606
-1,466.06%-6.97萬
265.44%7,645
-50.61%8,606
期末現金流
1,705.10%29.51萬
1,705.10%29.51萬
-91.47%6,734
-55.21%2.26萬
147.55%6.45萬
-95.68%1.63萬
-95.68%1.63萬
-76.69%7.9萬
-54.33%5.05萬
-80.20%2.61萬
自由現金流
-11.34%-107.58萬
-13,462.86%-68.55萬
77.76%-5.68萬
70.67%-10.62萬
33.83%-22.72萬
37.81%-96.62萬
98.92%-5,054
47.53%-25.56萬
-120.72%-36.21萬
20.64%-34.34萬
貨幣單位
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
審計意見
--
--
--
--
--
帶解釋段的無保留意見
--
--
--
--
(FY)2025/12/31(Q4)2025/12/31(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額 -24.80%-85.56萬-983.39%-52.44萬94.16%-9,22465.05%-10.64萬-23.22%-21.56萬-1.25%-68.56萬84.86%-4.84萬1.91%-15.78萬-781.75%-30.44萬-8.08%-17.49萬
持續經營淨收入 -0.66%-122.64萬-166.26%-44.1萬-39.58%-28.26萬31.69%-25.21萬47.91%-25.06萬-55.25%-121.83萬-131.75%-16.56萬25.82%-20.25萬-39.80%-36.91萬-172.87%-48.12萬
持續經營損益 -143.93%-1.03萬58.12%-1.64萬291.24%8,292-99.24%303-109.23%-2,496119.18%2.35萬54.55%-3.92萬0.55%-4,3362,102.91%3.99萬190.78%2.71萬
折舊和攤銷 -30.34%4.97萬1,708.01%3.23萬-58.71%5,877-80.24%5,782-80.75%5,759-40.44%7.14萬-106.58%-2,010-53.82%1.42萬-2.27%2.93萬4.66%2.99萬
其他非現金項目 -48.64%16.89萬-90.64%7,395417.67%2.91萬-57.04%6.67萬-26.17%6.57萬1,020.91%32.88萬144.84%7.9萬-90.44%5,619571.04%15.52萬52.08%8.9萬
營運資金變化 360.37%15.69萬-227.93%-10.67萬689.70%23.02萬164.34%9.1萬-191.48%-5.75萬-80.69%3.41萬268.58%8.34萬5.69%2.91萬-190.97%-14.14萬46.38%6.29萬
-應收款項(增)減 -49,039.50%-9.79萬-127.85%-7萬98.81%-2,853436.70%2.09萬-962.69%-4.59萬-99.56%2002,510.75%25.14萬-1,065.63%-24.07萬-338.72%-6,202-108.06%-4,320
-預付費用(增)減 -2,122.24%-12.48萬16.43%-14.49萬-103.64%-6,582630.10%4.47萬-280.70%-1.8萬83.47%-5,617-1,111.10%-17.34萬40,844.37%18.09萬-51.00%-8,42365.35%-4,730
-應付款項及應計費用(減)增 861.14%37.96萬1,896.34%10.81萬169.49%23.96萬120.06%2.54萬-91.08%6,411-76.10%3.95萬112.09%5,41782.68%8.89萬-180.02%-12.67萬2,289.04%7.19萬
非持續經營活動現金淨額
經營活動現金淨額 -24.80%-85.56萬-983.39%-52.44萬94.16%-9,22465.05%-10.64萬-23.22%-21.56萬-1.25%-68.56萬84.86%-4.84萬1.91%-15.78萬-781.75%-30.44萬-8.08%-17.49萬
投資活動現金流量
持續投資活動現金淨額 -205.80%-18.01萬-2,970.74%-16.1萬-122.74%-4.76萬-67.53%4.02萬93.07%-1.17萬-68.06%17.03萬108.42%5,609174.40%20.94萬-83.53%12.37萬-229.58%-16.85萬
固定資產交易的淨現金流 -1,882.92%-22.01萬-2,970.74%-16.1萬-122.74%-4.76萬100.30%17593.07%-1.17萬94.70%-1.11萬103.75%5,609164.17%20.94萬-110.73%-5.77萬37.81%-16.85萬
投資產品交易的淨現金流 -77.95%4萬--0--0---------72.83%18.14萬--0--0-15.12%18.14萬--0
非持續投資活動現金淨額
投資活動現金淨額 -205.80%-18.01萬-2,970.74%-16.1萬-122.74%-4.76萬-67.53%4.02萬93.07%-1.17萬-68.06%17.03萬108.42%5,609174.40%20.94萬-83.53%12.37萬-229.58%-16.85萬
融資活動現金流量
持續融資活動現金淨額 560.93%130.68萬3,527.74%97.4萬-7.62%4.31萬-84.22%3.12萬1,542.32%25.86萬-52.74%19.77萬-106.70%-2.84萬-93.00%4.66萬126.93%19.74萬-128.93%-1.79萬
債務發行/償還的淨現金流 -526.60%-32.66萬-256.55%-31.12萬89.81%-4.41萬-81.10%3.36萬-210.95%-4,874-111.58%-5.21萬-52.02%19.88萬-165.09%-43.32萬124.68%17.79萬-95.16%4,393
普通股發行/償還的淨現金流 458.13%170.51萬23,569.97%142.02萬-100.27%-800--0--28.57萬--30.55萬--6,000--29.95萬--0--0
現金股利支付 --0--0--0--0--0--0--0--0--0--0
其他融資活動的淨現金流額 -169.03%-5.48萬-5.34%-17.24萬-52.27%10.01萬--------1,098.14%7.94萬-589.46%-16.37萬--20.96萬277.39%2.22萬139.00%1.13萬
非持續融資活動現金淨額
融資活動現金淨額 560.93%130.68萬3,527.86%97.4萬-7.62%4.31萬-84.22%3.12萬1,542.32%25.86萬-52.74%19.77萬-106.70%-2.84萬-93.00%4.66萬126.93%19.74萬-128.93%-1.79萬
現金淨流量
期初現金流 -95.68%1.63萬-91.47%6,734-55.21%2.26萬147.55%6.45萬-95.68%1.63萬350.44%37.88萬-76.69%7.9萬-54.33%5.05萬-80.20%2.61萬350.44%37.88萬
當期現金流變化 185.32%27.1萬505.11%28.85萬-114.03%-1.38萬-309.34%-3.51萬108.67%3.13萬-215.79%-31.76萬-289.57%-7.12萬-55.99%9.82萬201.26%1.67萬-1,299.75%-36.13萬
利率變動影響 117.22%7,724-101.88%-16297.01%-2,086-189.90%-6,87395.74%1.68萬-319.72%-4.49萬243.14%8,606-1,466.06%-6.97萬265.44%7,645-50.61%8,606
期末現金流 1,705.10%29.51萬1,705.10%29.51萬-91.47%6,734-55.21%2.26萬147.55%6.45萬-95.68%1.63萬-95.68%1.63萬-76.69%7.9萬-54.33%5.05萬-80.20%2.61萬
自由現金流 -11.34%-107.58萬-13,462.86%-68.55萬77.76%-5.68萬70.67%-10.62萬33.83%-22.72萬37.81%-96.62萬98.92%-5,05447.53%-25.56萬-120.72%-36.21萬20.64%-34.34萬
貨幣單位 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
審計意見 ----------帶解釋段的無保留意見--------
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