美股市場個股詳情

PARXF PAREX RESOURCES INC

添加自選
  • 8.720
  • +0.287+3.41%
延時15分鐘行情收盤價 03/11 16:00 (美東)
  • 8.756
  • +0.036+0.41%
盤後 16:28 (美東)
8.55億總市值14.53市盈率TTM

PAREX RESOURCES INC關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(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
51.38%5.7億
-65.07%6,784.7萬
107.69%1.82億
708.49%2.23億
-25.79%9,741.2萬
-61.73%3.76億
-34.72%1.94億
-65.06%8,756.8萬
-114.96%-3,661.2萬
-31.13%1.31億
持續經營淨收入
-86.79%6,068萬
-151.61%-6,905.1萬
-45.05%6,579.3萬
-96.21%384.5萬
-42.43%6,009.3萬
-24.87%4.59億
-46.48%1.34億
82.44%1.2億
-29.14%1.01億
-31.62%1.04億
持續經營損益
612.92%3,275萬
355.26%572.8萬
282.61%423.3萬
323.54%2,417.6萬
-115.42%-138.7萬
34.12%-638.5萬
-299.29%-224.4萬
-50.91%-231.8萬
0.41%-1,081.5萬
175.32%899.2萬
折舊和攤銷
11.09%2.16億
-6.66%5,398.4萬
7.90%5,267.2萬
24.67%5,688.3萬
24.50%5,223.1萬
30.05%1.94億
30.94%5,783.3萬
34.97%4,881.7萬
31.32%4,562.7萬
22.42%4,195.2萬
遞延稅費
198.41%1.58億
105.23%474.9萬
288.48%3,349.5萬
282.45%8,295.2萬
649.64%3,700.7萬
-4.22%-1.61億
62.24%-9,078.4萬
-165.45%-1,777.1萬
-179.15%-4,546.5萬
-518.46%-673.3萬
其他非現金項目
28.17%1,086.6萬
0.90%180.1萬
40.49%357.4萬
70.61%266.5萬
9.24%282.6萬
51.94%847.8萬
270.33%178.5萬
274.67%254.4萬
-31.67%156.2萬
21.28%258.7萬
營運資金變化
82.04%-5,231.8萬
-8,580.23%-7,335.4萬
142.84%3,010.1萬
121.85%4,183萬
-67.14%-5,089.5萬
-212.60%-2.91億
-99.59%86.5萬
-258.87%-7,027.1萬
-1,227.06%-1.91億
-104.63%-3,045.1萬
非持續經營活動現金淨額
經營活動現金淨額
51.38%5.7億
-65.07%6,784.7萬
107.69%1.82億
708.49%2.23億
-25.79%9,741.2萬
-61.73%3.76億
-34.72%1.94億
-65.06%8,756.8萬
-114.96%-3,661.2萬
-31.13%1.31億
投資活動現金流量
持續投資活動現金淨額
26.75%-3.92億
17.68%-1.03億
32.33%-9,068.8萬
34.81%-1.01億
19.72%-9,793.8萬
16.08%-5.36億
39.76%-1.25億
29.99%-1.34億
-15.27%-1.54億
-16.09%-1.22億
資本性支出
35.49%-2.26億
-20.73%-6,023萬
33.65%-6,208.8萬
43.19%-5,903.1萬
56.62%-4,467.4萬
33.92%-3.5億
70.29%-4,988.7萬
43.95%-9,358.3萬
-4.02%-1.04億
-7.90%-1.03億
其他投資活動的淨現金流
10.23%-1.66億
43.17%-4,272.5萬
29.27%-2,860萬
17.59%-4,163.1萬
-180.17%-5,326.4萬
-71.67%-1.85億
-89.43%-7,518.5萬
-65.36%-4,043.8萬
-48.26%-5,051.8萬
-97.25%-1,901.1萬
非持續投資活動現金淨額
投資活動現金淨額
26.75%-3.92億
17.68%-1.03億
32.33%-9,068.8萬
34.81%-1.01億
19.72%-9,793.8萬
16.08%-5.36億
39.76%-1.25億
29.99%-1.34億
-15.27%-1.54億
-16.09%-1.22億
融資活動現金流量
持續融資活動現金淨額
-64.51%-2.15億
-133.76%-1,286.1萬
-30.67%-6,898.1萬
-7.50%-5,934.7萬
-21.38%-7,370.7萬
55.26%-1.31億
287.89%3,809.4萬
42.91%-5,279萬
25.04%-5,520.7萬
42.49%-6,072.6萬
債務發行/償還的淨現金流
-134.36%-3,068.1萬
-66.73%2,988.2萬
-10,869.57%-2,018.4萬
-5,787.28%-1,018.5萬
-17,661.18%-3,019.4萬
13,134.74%8,928.8萬
53,881.44%8,981.5萬
-234.55%-18.4萬
56.09%-17.3萬
-146.38%-17萬
普通股發行/償還的淨現金流
29.77%-7,378.9萬
26.92%-1,640.8萬
14.63%-2,072.3萬
16.12%-2,136.7萬
53.48%-1,529.1萬
52.56%-1.05億
---2,245.3萬
66.46%-2,427.3萬
50.72%-2,547.4萬
66.26%-3,286.8萬
現金股利支付
5.47%-1.12億
9.65%-2,665.8萬
2.64%-2,846.7萬
5.23%-2,852.8萬
4.36%-2,853.1萬
-57.21%-1.19億
-46.73%-2,950.5萬
-45.89%-2,923.9萬
-35.43%-3,010.1萬
-127.46%-2,983.1萬
職工行使股票期權收到的現金
-91.93%30.9萬
--0
--0
--0
-85.58%30.9萬
-32.39%382.7萬
--23.7萬
--90.6萬
-19.61%54.1萬
-57.03%214.3萬
其他融資活動的淨現金流額
--144.9萬
--32.3萬
--39.3萬
--73.3萬
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非持續融資活動現金淨額
融資活動現金淨額
-64.51%-2.15億
-133.76%-1,286.1萬
-30.67%-6,898.1萬
-7.50%-5,934.7萬
-21.38%-7,370.7萬
55.26%-1.31億
287.89%3,809.4萬
42.91%-5,279萬
25.04%-5,520.7萬
42.49%-6,072.6萬
現金淨流量
期初現金流
-65.65%1.44億
338.66%1.52億
-2.95%1.29億
-81.34%6,948萬
-65.65%1.44億
10.75%4.19億
-90.21%3,454.8萬
-66.04%1.33億
2.85%3.72億
10.75%4.19億
當期現金流變化
87.15%-3,722.4萬
-144.72%-4,796.9萬
122.37%2,220.5萬
125.49%6,277.3萬
-44.27%-7,423.3萬
-641.23%-2.9億
53.94%1.07億
-198.48%-9,924.3萬
-762.31%-2.46億
-156.19%-5,145.5萬
利率變動影響
-133.59%-489.7萬
-185.50%-179.2萬
-122.12%-9.2萬
-139.17%-281.8萬
-104.00%-19.5萬
213.39%1,457.9萬
156.65%209.6萬
106.39%41.6萬
210.76%719.5萬
26.55%487.2萬
期末現金流
-29.27%1.02億
-29.27%1.02億
338.66%1.52億
-2.95%1.29億
-81.34%6,948萬
-65.65%1.44億
-65.65%1.44億
-90.21%3,454.8萬
-66.04%1.33億
2.85%3.72億
自由現金流
1,217.19%3.44億
-94.72%761.7萬
2,091.45%1.2億
216.54%1.64億
86.47%5,273.8萬
-94.24%2,610.8萬
11.35%1.44億
-107.19%-601.5萬
-196.98%-1.41億
-70.28%2,828.2萬
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
審計意見
無保留意見
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無保留意見
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(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 51.38%5.7億-65.07%6,784.7萬107.69%1.82億708.49%2.23億-25.79%9,741.2萬-61.73%3.76億-34.72%1.94億-65.06%8,756.8萬-114.96%-3,661.2萬-31.13%1.31億
持續經營淨收入 -86.79%6,068萬-151.61%-6,905.1萬-45.05%6,579.3萬-96.21%384.5萬-42.43%6,009.3萬-24.87%4.59億-46.48%1.34億82.44%1.2億-29.14%1.01億-31.62%1.04億
持續經營損益 612.92%3,275萬355.26%572.8萬282.61%423.3萬323.54%2,417.6萬-115.42%-138.7萬34.12%-638.5萬-299.29%-224.4萬-50.91%-231.8萬0.41%-1,081.5萬175.32%899.2萬
折舊和攤銷 11.09%2.16億-6.66%5,398.4萬7.90%5,267.2萬24.67%5,688.3萬24.50%5,223.1萬30.05%1.94億30.94%5,783.3萬34.97%4,881.7萬31.32%4,562.7萬22.42%4,195.2萬
遞延稅費 198.41%1.58億105.23%474.9萬288.48%3,349.5萬282.45%8,295.2萬649.64%3,700.7萬-4.22%-1.61億62.24%-9,078.4萬-165.45%-1,777.1萬-179.15%-4,546.5萬-518.46%-673.3萬
其他非現金項目 28.17%1,086.6萬0.90%180.1萬40.49%357.4萬70.61%266.5萬9.24%282.6萬51.94%847.8萬270.33%178.5萬274.67%254.4萬-31.67%156.2萬21.28%258.7萬
營運資金變化 82.04%-5,231.8萬-8,580.23%-7,335.4萬142.84%3,010.1萬121.85%4,183萬-67.14%-5,089.5萬-212.60%-2.91億-99.59%86.5萬-258.87%-7,027.1萬-1,227.06%-1.91億-104.63%-3,045.1萬
非持續經營活動現金淨額
經營活動現金淨額 51.38%5.7億-65.07%6,784.7萬107.69%1.82億708.49%2.23億-25.79%9,741.2萬-61.73%3.76億-34.72%1.94億-65.06%8,756.8萬-114.96%-3,661.2萬-31.13%1.31億
投資活動現金流量
持續投資活動現金淨額 26.75%-3.92億17.68%-1.03億32.33%-9,068.8萬34.81%-1.01億19.72%-9,793.8萬16.08%-5.36億39.76%-1.25億29.99%-1.34億-15.27%-1.54億-16.09%-1.22億
資本性支出 35.49%-2.26億-20.73%-6,023萬33.65%-6,208.8萬43.19%-5,903.1萬56.62%-4,467.4萬33.92%-3.5億70.29%-4,988.7萬43.95%-9,358.3萬-4.02%-1.04億-7.90%-1.03億
其他投資活動的淨現金流 10.23%-1.66億43.17%-4,272.5萬29.27%-2,860萬17.59%-4,163.1萬-180.17%-5,326.4萬-71.67%-1.85億-89.43%-7,518.5萬-65.36%-4,043.8萬-48.26%-5,051.8萬-97.25%-1,901.1萬
非持續投資活動現金淨額
投資活動現金淨額 26.75%-3.92億17.68%-1.03億32.33%-9,068.8萬34.81%-1.01億19.72%-9,793.8萬16.08%-5.36億39.76%-1.25億29.99%-1.34億-15.27%-1.54億-16.09%-1.22億
融資活動現金流量
持續融資活動現金淨額 -64.51%-2.15億-133.76%-1,286.1萬-30.67%-6,898.1萬-7.50%-5,934.7萬-21.38%-7,370.7萬55.26%-1.31億287.89%3,809.4萬42.91%-5,279萬25.04%-5,520.7萬42.49%-6,072.6萬
債務發行/償還的淨現金流 -134.36%-3,068.1萬-66.73%2,988.2萬-10,869.57%-2,018.4萬-5,787.28%-1,018.5萬-17,661.18%-3,019.4萬13,134.74%8,928.8萬53,881.44%8,981.5萬-234.55%-18.4萬56.09%-17.3萬-146.38%-17萬
普通股發行/償還的淨現金流 29.77%-7,378.9萬26.92%-1,640.8萬14.63%-2,072.3萬16.12%-2,136.7萬53.48%-1,529.1萬52.56%-1.05億---2,245.3萬66.46%-2,427.3萬50.72%-2,547.4萬66.26%-3,286.8萬
現金股利支付 5.47%-1.12億9.65%-2,665.8萬2.64%-2,846.7萬5.23%-2,852.8萬4.36%-2,853.1萬-57.21%-1.19億-46.73%-2,950.5萬-45.89%-2,923.9萬-35.43%-3,010.1萬-127.46%-2,983.1萬
職工行使股票期權收到的現金 -91.93%30.9萬--0--0--0-85.58%30.9萬-32.39%382.7萬--23.7萬--90.6萬-19.61%54.1萬-57.03%214.3萬
其他融資活動的淨現金流額 --144.9萬--32.3萬--39.3萬--73.3萬------------------------
非持續融資活動現金淨額
融資活動現金淨額 -64.51%-2.15億-133.76%-1,286.1萬-30.67%-6,898.1萬-7.50%-5,934.7萬-21.38%-7,370.7萬55.26%-1.31億287.89%3,809.4萬42.91%-5,279萬25.04%-5,520.7萬42.49%-6,072.6萬
現金淨流量
期初現金流 -65.65%1.44億338.66%1.52億-2.95%1.29億-81.34%6,948萬-65.65%1.44億10.75%4.19億-90.21%3,454.8萬-66.04%1.33億2.85%3.72億10.75%4.19億
當期現金流變化 87.15%-3,722.4萬-144.72%-4,796.9萬122.37%2,220.5萬125.49%6,277.3萬-44.27%-7,423.3萬-641.23%-2.9億53.94%1.07億-198.48%-9,924.3萬-762.31%-2.46億-156.19%-5,145.5萬
利率變動影響 -133.59%-489.7萬-185.50%-179.2萬-122.12%-9.2萬-139.17%-281.8萬-104.00%-19.5萬213.39%1,457.9萬156.65%209.6萬106.39%41.6萬210.76%719.5萬26.55%487.2萬
期末現金流 -29.27%1.02億-29.27%1.02億338.66%1.52億-2.95%1.29億-81.34%6,948萬-65.65%1.44億-65.65%1.44億-90.21%3,454.8萬-66.04%1.33億2.85%3.72億
自由現金流 1,217.19%3.44億-94.72%761.7萬2,091.45%1.2億216.54%1.64億86.47%5,273.8萬-94.24%2,610.8萬11.35%1.44億-107.19%-601.5萬-196.98%-1.41億-70.28%2,828.2萬
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審計意見 無保留意見--------無保留意見--------