美股市場個股詳情

Draganfly (DPRO)

添加自選
  • 5.460
  • +0.390+7.69%
收盤價 04/10 16:00 (美東)
  • 5.499
  • +0.039+0.72%
盤後 19:58 (美東)
1.99億總市值-5.18市盈率TTM

Draganfly (DPRO) 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
-101.75%-2,387.57萬
-336.53%-973.97萬
-46.93%-470.45萬
-42.86%-536.49萬
-53.69%-406.66萬
36.96%-1,183.43萬
34.11%-223.12萬
13.83%-320.18萬
37.91%-375.53萬
52.95%-264.61萬
持續經營淨收入
-65.60%-2,298.11萬
-103.82%-962.43萬
-2,482.39%-516.98萬
32.85%-476.22萬
-83.75%-342.48萬
41.23%-1,387.75萬
-12.74%-472.19萬
96.32%-20.02萬
-2.64%-709.15萬
73.63%-186.38萬
持續經營損益
245.53%266.49萬
-19.06%79.33萬
151.72%184.82萬
-93.09%18.12萬
91.52%-15.78萬
-850.36%-183.12萬
923.10%98.01萬
-595,535.00%-357.38萬
47,532.90%262.36萬
-2,270.31%-186.11萬
折舊和攤銷
-39.95%34.65萬
-27.14%10.53萬
-37.97%8.82萬
-47.84%7.53萬
-46.78%7.77萬
5.57%57.71萬
-8.22%14.46萬
-3.19%14.22萬
-17.84%14.44萬
119.48%14.59萬
其他非現金項目
-100.06%-869
-119.51%-4.67萬
-95.02%1.82萬
-92.10%2.79萬
-100.06%-306
56.93%144.37萬
-73.88%23.93萬
27,556.06%36.51萬
27,136.13%35.35萬
38,005.80%48.58萬
營運資金變化
-5,323.35%-557.38萬
-861.16%-156.34萬
-475.73%-188.84萬
-1,232.61%-114.99萬
-1,015.94%-97.21萬
-112.75%-10.28萬
134.75%20.54萬
-148.15%-32.8萬
-212.33%-8.63萬
-83.39%10.61萬
-應收款項(增)減
-50.98%-40.22萬
12.19%10.58萬
-248.99%-3.61萬
27.47%-28.13萬
-6,834.43%-19.07萬
-121.78%-26.64萬
-80.34%9.43萬
117.42%2.42萬
-181.18%-38.78萬
-99.30%2,832
-存貨(增)減
-358.54%-258.08萬
-140.69%-120.4萬
-685.79%-38.52萬
-420.07%-60.59萬
-3,155.80%-38.57萬
35.47%-56.28萬
-511.70%-50.02萬
131.91%6.58萬
49.20%-11.65萬
97.88%-1.18萬
-預付費用(增)減
-752.84%-403.26萬
-1,246.77%-284.35萬
-80.24%-58.91萬
-133.91%-14.52萬
-269.52%-45.48萬
-36.02%61.77萬
-48.67%24.8萬
31.47%-32.69萬
-20.69%42.83萬
-36.03%26.83萬
-應付款項及應計費用(減)增
689.88%136.74萬
18,435.57%205.08萬
-1,260.57%-85.42萬
283.05%8.57萬
176.69%8.52萬
50.09%-23.18萬
99.34%-1.12萬
-104.35%-6.28萬
92.21%-4.68萬
-128.28%-11.1萬
-其他營運資本變化
-78.15%7.44萬
-12.57%32.74萬
16.12%-2.38萬
-656.60%-20.32萬
38.08%-2.61萬
839.46%34.06萬
1,360.99%37.45萬
-148.49%-2.83萬
132.92%3.65萬
-118.49%-4.21萬
非持續經營活動現金淨額
經營活動現金淨額
-101.75%-2,387.57萬
-336.53%-973.97萬
-46.93%-470.45萬
-42.86%-536.49萬
-53.69%-406.66萬
36.96%-1,183.43萬
34.11%-223.12萬
13.83%-320.18萬
37.91%-375.53萬
52.95%-264.61萬
投資活動現金流量
持續投資活動現金淨額
-3,560.42%-85.34萬
-583.23%-49.63萬
-2,702.76%-33.8萬
68.07%-1.27萬
-108.52%-6,476
93.86%-2.33萬
9.21%-7.26萬
104.97%1.3萬
8.18%-3.97萬
1,508.52%7.61萬
固定資產交易的淨現金流
-1,357.41%-92.3萬
-426.65%-49.63萬
-6,988.56%-37.34萬
52.28%-2.09萬
-146.79%-3.24萬
85.72%-6.33萬
-17.78%-9.42萬
101.97%5,421
27.19%-4.38萬
341.96%6.93萬
無形資產交易淨現金流
----
----
----
----
----
--0
----
----
----
----
其他投資活動的淨現金流
74.03%6.96萬
--0
368.81%3.55萬
100.34%8,234
284.40%2.6萬
-37.31%4萬
431,800.00%2.16萬
-44.08%7,564
-75.74%4,110
-79.77%6,751
非持續投資活動現金淨額
投資活動現金淨額
-3,560.42%-85.34萬
-583.23%-49.63萬
-2,702.76%-33.8萬
68.07%-1.27萬
-108.52%-6,476
93.86%-2.33萬
9.21%-7.26萬
104.97%1.3萬
8.18%-3.97萬
1,508.52%7.61萬
融資活動現金流量
持續融資活動現金淨額
625.78%1.09億
602.01%3,195.98萬
2,608.52%5,131.88萬
443.14%2,581.71萬
-100.97%-3.71萬
4.01%1,502.63萬
11.34%455.26萬
760.85%189.47萬
988.98%475.33萬
-65.78%382.57萬
債務發行/償還的淨現金流
65.19%-15.41萬
59.89%-4萬
56.36%-3.9萬
58.19%-3.8萬
77.20%-3.71萬
-31.44%-44.28萬
-0.91%-9.97萬
56.79%-8.94萬
-10,947.08%-9.1萬
-406.70%-16.28萬
普通股發行/償還的淨現金流
228.45%5,830.56萬
-99.47%2.8萬
1,160.24%3,427.93萬
391.55%2,399.83萬
--0
1.59%1,775.19萬
8.28%527.22萬
--272.01萬
--488.22萬
-61.31%487.75萬
職工行使股票期權收到的現金
14,906.98%5,603.83萬
18,770,203.51%3,209.72萬
1,133,231.02%1,976.53萬
1,025.59%417.58萬
--0
--37.34萬
--171
--1,744
--37.1萬
--513
其他融資活動的淨現金流額
-93.18%-513.11萬
79.77%-12.55萬
-264.21%-268.67萬
----
----
1.27%-265.62萬
8.96%-62.01萬
-823.83%-73.77萬
23.65%-40.89萬
36.18%-88.95萬
非持續融資活動現金淨額
融資活動現金淨額
625.78%1.09億
602.01%3,195.98萬
2,608.52%5,131.88萬
443.14%2,581.71萬
-100.97%-3.71萬
4.01%1,502.63萬
11.34%455.26萬
760.85%189.47萬
988.98%475.33萬
-65.78%382.57萬
現金淨流量
期初現金流
102.11%625.24萬
1,648.09%6,988.13萬
326.63%2,257.11萬
-51.01%212.61萬
102.11%625.24萬
-60.81%309.36萬
62.70%399.76萬
-21.28%529.05萬
-67.54%433.97萬
-60.81%309.36萬
當期現金流變化
2,561.29%8,432.95萬
866.00%2,172.38萬
3,676.07%4,627.64萬
2,032.96%2,043.95萬
-427.33%-411.02萬
167.33%316.87萬
261.11%224.88萬
69.65%-129.41萬
114.46%95.83萬
-77.42%125.57萬
利率變動影響
-4,174.83%-42.51萬
-24,275.61%-144.84萬
95,104.14%103.39萬
172.60%5,415
-67.96%-1.61萬
89.52%-9,944
-56.48%5,991
341.87%1,086
65.75%-7,459
88.93%-9,562
期末現金流
1,341.95%9,015.68萬
1,341.95%9,015.68萬
1,648.09%6,988.13萬
326.63%2,257.11萬
-51.01%212.61萬
102.11%625.24萬
102.11%625.24萬
62.70%399.76萬
-21.28%529.05萬
-67.54%433.97萬
自由現金流
-106.63%-2,479.88萬
-340.18%-1,023.6萬
-57.36%-507.79萬
-41.76%-538.58萬
-54.67%-409.91萬
37.70%-1,200.15萬
32.91%-232.54萬
19.16%-322.69萬
37.80%-379.91萬
53.49%-265.01萬
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
無保留意見
--
--
--
--
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 -101.75%-2,387.57萬-336.53%-973.97萬-46.93%-470.45萬-42.86%-536.49萬-53.69%-406.66萬36.96%-1,183.43萬34.11%-223.12萬13.83%-320.18萬37.91%-375.53萬52.95%-264.61萬
持續經營淨收入 -65.60%-2,298.11萬-103.82%-962.43萬-2,482.39%-516.98萬32.85%-476.22萬-83.75%-342.48萬41.23%-1,387.75萬-12.74%-472.19萬96.32%-20.02萬-2.64%-709.15萬73.63%-186.38萬
持續經營損益 245.53%266.49萬-19.06%79.33萬151.72%184.82萬-93.09%18.12萬91.52%-15.78萬-850.36%-183.12萬923.10%98.01萬-595,535.00%-357.38萬47,532.90%262.36萬-2,270.31%-186.11萬
折舊和攤銷 -39.95%34.65萬-27.14%10.53萬-37.97%8.82萬-47.84%7.53萬-46.78%7.77萬5.57%57.71萬-8.22%14.46萬-3.19%14.22萬-17.84%14.44萬119.48%14.59萬
其他非現金項目 -100.06%-869-119.51%-4.67萬-95.02%1.82萬-92.10%2.79萬-100.06%-30656.93%144.37萬-73.88%23.93萬27,556.06%36.51萬27,136.13%35.35萬38,005.80%48.58萬
營運資金變化 -5,323.35%-557.38萬-861.16%-156.34萬-475.73%-188.84萬-1,232.61%-114.99萬-1,015.94%-97.21萬-112.75%-10.28萬134.75%20.54萬-148.15%-32.8萬-212.33%-8.63萬-83.39%10.61萬
-應收款項(增)減 -50.98%-40.22萬12.19%10.58萬-248.99%-3.61萬27.47%-28.13萬-6,834.43%-19.07萬-121.78%-26.64萬-80.34%9.43萬117.42%2.42萬-181.18%-38.78萬-99.30%2,832
-存貨(增)減 -358.54%-258.08萬-140.69%-120.4萬-685.79%-38.52萬-420.07%-60.59萬-3,155.80%-38.57萬35.47%-56.28萬-511.70%-50.02萬131.91%6.58萬49.20%-11.65萬97.88%-1.18萬
-預付費用(增)減 -752.84%-403.26萬-1,246.77%-284.35萬-80.24%-58.91萬-133.91%-14.52萬-269.52%-45.48萬-36.02%61.77萬-48.67%24.8萬31.47%-32.69萬-20.69%42.83萬-36.03%26.83萬
-應付款項及應計費用(減)增 689.88%136.74萬18,435.57%205.08萬-1,260.57%-85.42萬283.05%8.57萬176.69%8.52萬50.09%-23.18萬99.34%-1.12萬-104.35%-6.28萬92.21%-4.68萬-128.28%-11.1萬
-其他營運資本變化 -78.15%7.44萬-12.57%32.74萬16.12%-2.38萬-656.60%-20.32萬38.08%-2.61萬839.46%34.06萬1,360.99%37.45萬-148.49%-2.83萬132.92%3.65萬-118.49%-4.21萬
非持續經營活動現金淨額
經營活動現金淨額 -101.75%-2,387.57萬-336.53%-973.97萬-46.93%-470.45萬-42.86%-536.49萬-53.69%-406.66萬36.96%-1,183.43萬34.11%-223.12萬13.83%-320.18萬37.91%-375.53萬52.95%-264.61萬
投資活動現金流量
持續投資活動現金淨額 -3,560.42%-85.34萬-583.23%-49.63萬-2,702.76%-33.8萬68.07%-1.27萬-108.52%-6,47693.86%-2.33萬9.21%-7.26萬104.97%1.3萬8.18%-3.97萬1,508.52%7.61萬
固定資產交易的淨現金流 -1,357.41%-92.3萬-426.65%-49.63萬-6,988.56%-37.34萬52.28%-2.09萬-146.79%-3.24萬85.72%-6.33萬-17.78%-9.42萬101.97%5,42127.19%-4.38萬341.96%6.93萬
無形資產交易淨現金流 ----------------------0----------------
其他投資活動的淨現金流 74.03%6.96萬--0368.81%3.55萬100.34%8,234284.40%2.6萬-37.31%4萬431,800.00%2.16萬-44.08%7,564-75.74%4,110-79.77%6,751
非持續投資活動現金淨額
投資活動現金淨額 -3,560.42%-85.34萬-583.23%-49.63萬-2,702.76%-33.8萬68.07%-1.27萬-108.52%-6,47693.86%-2.33萬9.21%-7.26萬104.97%1.3萬8.18%-3.97萬1,508.52%7.61萬
融資活動現金流量
持續融資活動現金淨額 625.78%1.09億602.01%3,195.98萬2,608.52%5,131.88萬443.14%2,581.71萬-100.97%-3.71萬4.01%1,502.63萬11.34%455.26萬760.85%189.47萬988.98%475.33萬-65.78%382.57萬
債務發行/償還的淨現金流 65.19%-15.41萬59.89%-4萬56.36%-3.9萬58.19%-3.8萬77.20%-3.71萬-31.44%-44.28萬-0.91%-9.97萬56.79%-8.94萬-10,947.08%-9.1萬-406.70%-16.28萬
普通股發行/償還的淨現金流 228.45%5,830.56萬-99.47%2.8萬1,160.24%3,427.93萬391.55%2,399.83萬--01.59%1,775.19萬8.28%527.22萬--272.01萬--488.22萬-61.31%487.75萬
職工行使股票期權收到的現金 14,906.98%5,603.83萬18,770,203.51%3,209.72萬1,133,231.02%1,976.53萬1,025.59%417.58萬--0--37.34萬--171--1,744--37.1萬--513
其他融資活動的淨現金流額 -93.18%-513.11萬79.77%-12.55萬-264.21%-268.67萬--------1.27%-265.62萬8.96%-62.01萬-823.83%-73.77萬23.65%-40.89萬36.18%-88.95萬
非持續融資活動現金淨額
融資活動現金淨額 625.78%1.09億602.01%3,195.98萬2,608.52%5,131.88萬443.14%2,581.71萬-100.97%-3.71萬4.01%1,502.63萬11.34%455.26萬760.85%189.47萬988.98%475.33萬-65.78%382.57萬
現金淨流量
期初現金流 102.11%625.24萬1,648.09%6,988.13萬326.63%2,257.11萬-51.01%212.61萬102.11%625.24萬-60.81%309.36萬62.70%399.76萬-21.28%529.05萬-67.54%433.97萬-60.81%309.36萬
當期現金流變化 2,561.29%8,432.95萬866.00%2,172.38萬3,676.07%4,627.64萬2,032.96%2,043.95萬-427.33%-411.02萬167.33%316.87萬261.11%224.88萬69.65%-129.41萬114.46%95.83萬-77.42%125.57萬
利率變動影響 -4,174.83%-42.51萬-24,275.61%-144.84萬95,104.14%103.39萬172.60%5,415-67.96%-1.61萬89.52%-9,944-56.48%5,991341.87%1,08665.75%-7,45988.93%-9,562
期末現金流 1,341.95%9,015.68萬1,341.95%9,015.68萬1,648.09%6,988.13萬326.63%2,257.11萬-51.01%212.61萬102.11%625.24萬102.11%625.24萬62.70%399.76萬-21.28%529.05萬-67.54%433.97萬
自由現金流 -106.63%-2,479.88萬-340.18%-1,023.6萬-57.36%-507.79萬-41.76%-538.58萬-54.67%-409.91萬37.70%-1,200.15萬32.91%-232.54萬19.16%-322.69萬37.80%-379.91萬53.49%-265.01萬
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 無保留意見--------帶解釋段的無保留意見--------
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中東戰火燃至股市!投資者該如何應對?
美伊和平談判破裂後,美國中央司令部宣佈今晚22點(北京時間)正式封鎖所有進出伊朗港口的船隻,承載全球20%石油供應的霍爾木茲海峽迎來史上最嚴厲制裁。伊朗日均170萬桶原油出口將被切斷。伊朗革命衛隊此前多次警告「封鎖是戰爭行爲」,不排除軍事反制。歐佩克雖表態可能增產,但沙特、阿聯酋 展开