(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 | (FY)2022/12/31 | (Q4)2022/12/31 | (Q3)2022/09/30 | |
---|---|---|---|---|---|---|---|---|---|---|
經營活動現金流量(間接法) | ||||||||||
持續經營活動現金淨額 | -182.19%-2,626.33萬 | 59.66%-334.22萬 | -35.96%-4,260.64萬 | -31.69%-1,153.31萬 | -93.65%-1,348.18萬 | -11.01%-930.7萬 | -13.51%-828.44萬 | -54.86%-3,133.65萬 | -6.90%-875.8萬 | -69.71%-696.18萬 |
持續經營淨收入 | -93.96%-2,520.71萬 | -57.62%-1,286.72萬 | -26.48%-5,062.32萬 | -45.72%-1,876.95萬 | -31.46%-1,069.43萬 | -46.12%-1,299.59萬 | 19.30%-816.34萬 | -62.84%-4,002.49萬 | -97.02%-1,288.02萬 | -6.73%-813.49萬 |
持續經營損益 | -382.58%-62.8萬 | -57.60%-71.71萬 | 296.72%152.16萬 | 1,621.55%216.35萬 | 47.44%-40.91萬 | 158.30%22.23萬 | -334.34%-45.5萬 | -1,347.63%-77.35萬 | 7,730.16%12.57萬 | -240.96%-77.84萬 |
折舊和攤銷 | 1,331.91%1,097.66萬 | 38.62%100.62萬 | 45.70%326.26萬 | 42.17%95.06萬 | 38.76%81.96萬 | 37.68%76.66萬 | 71.52%72.59萬 | 219.35%223.93萬 | 129.44%66.86萬 | 196.81%59.07萬 |
遞延稅費 | ---63.55萬 | ---- | ---- | ---- | ---- | --0 | ---- | ---- | ---- | ---- |
其他非現金項目 | -1.88%59.44萬 | -0.66%60.01萬 | 100,345.96%242.38萬 | 78,919.04%60.61萬 | 107,484.60%60.79萬 | 110,239.89%60.58萬 | 113,446.24%60.41萬 | 29.18%2,413 | --767 | --565 |
營運資金變化 | -626.73%-445.19萬 | 664.00%738.92萬 | -632.85%-597.52萬 | 525.66%36.16萬 | -1,219.64%-587.18萬 | 378.15%84.52萬 | -255.41%-131.01萬 | 174.07%112.14萬 | 103.90%5.78萬 | -10.87%52.44萬 |
-應收款項(增)減 | 1,146.39%111.95萬 | 431.53%281.08萬 | -315.56%-333.93萬 | -362.28%-373.61萬 | -241.11%-22.19萬 | 157.47%8.98萬 | 14,340.80%52.88萬 | -3,423.69%-80.36萬 | -3,393.21%-80.82萬 | 544.03%15.72萬 |
-存貨(增)減 | -79.47%5.73萬 | 92.27%-7.09萬 | -133.41%-450.18萬 | -341.77%-169.63萬 | -64.84%-216.62萬 | 128.13%27.9萬 | -183.15%-91.82萬 | -1,005.72%-192.87萬 | 502.24%70.16萬 | ---131.42萬 |
-預付費用(增)減 | 89.17%-10.62萬 | 1,191.55%59.67萬 | -136.03%-46.63萬 | 1,943.01%212.99萬 | -864.25%-156.04萬 | -420.85%-98.1萬 | -103.92%-5.47萬 | 171.85%129.41萬 | 92.61%-11.56萬 | 273.06%20.42萬 |
-應付款項及應計費用(減)增 | -443.82%-568.52萬 | 316.66%379.77萬 | 121.15%343.77萬 | 378.09%366.73萬 | -118.41%-13.04萬 | 494.44%165.35萬 | -782.31%-175.28萬 | 255.29%155.44萬 | 231.38%76.71萬 | -4.58%70.79萬 |
-其他營運資本變化 | 182.97%16.27萬 | -71.26%25.48萬 | -209.99%-110.55萬 | 99.36%-3,138 | -333.04%-179.29萬 | -126.00%-19.61萬 | 2,908.09%88.67萬 | --100.5萬 | ---48.71萬 | --76.93萬 |
非持續經營活動現金淨額 | ||||||||||
經營活動現金淨額 | -182.19%-2,626.33萬 | 59.66%-334.22萬 | -35.96%-4,260.64萬 | -31.69%-1,153.31萬 | -93.65%-1,348.18萬 | -11.01%-930.7萬 | -13.51%-828.44萬 | -54.86%-3,133.65萬 | -6.90%-875.8萬 | -69.71%-696.18萬 |
投資活動現金流量 | ||||||||||
持續投資活動現金淨額 | 80.41%-34.3萬 | 77.60%-78.75萬 | 4.74%-905.88萬 | -59.07%-275.32萬 | 61.63%-103.93萬 | 5.70%-175.11萬 | -11.69%-351.52萬 | 39.79%-950.96萬 | 64.46%-173.07萬 | -52.03%-270.85萬 |
固定資產交易的淨現金流 | 75.98%-32.38萬 | 65.41%-75.83萬 | 13.70%-883.55萬 | -46.96%-326.52萬 | 19.59%-202.98萬 | 56.23%-134.82萬 | 6.52%-219.22萬 | -1.60%-1,023.78萬 | 43.79%-222.18萬 | 24.38%-252.45萬 |
其他投資活動的淨現金流 | 95.23%-1.92萬 | 97.80%-2.91萬 | -130.67%-22.33萬 | 4.27%51.2萬 | 638.36%99.05萬 | -132.94%-40.29萬 | -64.93%-132.29萬 | 13.69%72.82萬 | 153.60%49.11萬 | -111.82%-18.4萬 |
非持續投資活動現金淨額 | ||||||||||
投資活動現金淨額 | 80.41%-34.3萬 | 77.60%-78.75萬 | 4.74%-905.88萬 | -59.07%-275.32萬 | 61.63%-103.93萬 | 5.70%-175.11萬 | -11.69%-351.52萬 | 39.79%-950.96萬 | 64.46%-173.07萬 | -52.03%-270.85萬 |
融資活動現金流量 | ||||||||||
持續融資活動現金淨額 | -17.02%2,780.89萬 | -107.95%-50.7萬 | -8.78%3,983.08萬 | -99.40%8.8萬 | -101.55%-15.25萬 | 10,877.63%3,351.48萬 | -66.00%638.06萬 | 1,303.76%4,366.39萬 | 4,706.68%1,475.01萬 | 1,856.36%984.29萬 |
債務發行/償還的淨現金流 | -126.77%-52.79萬 | -41.26%-30.34萬 | -107.50%-98.67萬 | -101.97%-26.41萬 | -95.45%-27.5萬 | -70.67%-23.28萬 | -8,623.84%-21.48萬 | 102,121.05%1,314.77萬 | 27,558.84%1,342.73萬 | -1,766.93%-14.07萬 |
普通股發行/償還的淨現金流 | -14.06%3,002萬 | ---- | 15.87%3,493.13萬 | --0 | --0 | --3,493.13萬 | ---- | --3,014.59萬 | --0 | --978.99萬 |
職工行使股票期權收到的現金 | --0 | -99.40%4.1萬 | 202.79%840.74萬 | -90.32%12.04萬 | -64.04%34.65萬 | 138.60%105.39萬 | 5,259.23%688.66萬 | -4.90%277.66萬 | 1,446.16%124.27萬 | 94.81%96.37萬 |
其他融資活動的淨現金流額 | 24.78%-168.31萬 | 16.02%-24.46萬 | -4.77%-252.11萬 | 189.43%23.17萬 | 70.92%-22.4萬 | ---223.76萬 | 83.03%-29.13萬 | -1,452.24%-240.62萬 | --8.01萬 | ---77萬 |
非持續融資活動現金淨額 | ||||||||||
融資活動現金淨額 | -17.02%2,780.89萬 | -107.95%-50.7萬 | -8.78%3,983.08萬 | -99.40%8.8萬 | -101.55%-15.25萬 | 10,877.63%3,351.48萬 | -66.00%638.06萬 | 1,303.76%4,366.39萬 | 4,706.68%1,475.01萬 | 1,856.36%984.29萬 |
現金淨流量 | ||||||||||
期初現金流 | -91.25%105.76萬 | -64.22%624.12萬 | 13.65%1,744.4萬 | 50.22%1,970.08萬 | 157.03%3,496.66萬 | -49.11%1,209.1萬 | 13.65%1,744.4萬 | -68.22%1,534.92萬 | -53.35%1,311.45萬 | -59.39%1,360.44萬 |
當期現金流變化 | -94.65%120.25萬 | 14.44%-463.67萬 | -519.97%-1,183.43萬 | -433.19%-1,419.83萬 | -8,600.60%-1,467.37萬 | 326.02%2,245.67萬 | -165.13%-541.9萬 | 108.56%281.79萬 | 133.41%426.13萬 | 103.21%17.26萬 |
利率變動影響 | -152.49%-21.99萬 | -928.29%-54.69萬 | 187.33%63.15萬 | 983.99%73.87萬 | 10.62%-59.22萬 | 291.28%41.9萬 | -26.88%6.6萬 | -2,301.06%-72.31萬 | 895.77%6.81萬 | -6,386.26%-66.25萬 |
期末現金流 | -94.17%204.02萬 | -91.25%105.76萬 | -64.22%624.12萬 | -64.22%624.12萬 | 50.22%1,970.08萬 | 157.03%3,496.66萬 | -49.11%1,209.1萬 | 13.65%1,744.4萬 | 13.65%1,744.4萬 | -53.35%1,311.45萬 |
自由現金流 | -149.52%-2,658.72萬 | 60.86%-410.05萬 | -23.73%-5,144.18萬 | -34.78%-1,479.83萬 | -63.52%-1,551.17萬 | 7.06%-1,065.52萬 | -8.64%-1,047.67萬 | -37.15%-4,157.43萬 | 9.60%-1,097.98萬 | -27.49%-948.63萬 |
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 | -- | -- | -- | -- | 帶解釋段的無保留意見 | -- | -- |
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