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ROCHESTER RESOURCES LTD (RCTFF)

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延時15分鐘行情收盤價 04/14 09:35 (美東)
573.53萬總市值-1.82市盈率TTM

ROCHESTER RESOURCES LTD (RCTFF) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2025/11/30
(Q1)2025/08/31
(FY)2025/05/31
(Q4)2025/05/31
(Q3)2025/02/28
(Q2)2024/11/30
(Q1)2024/08/31
(FY)2024/05/31
(Q4)2024/05/31
(Q3)2024/02/29
經營活動現金流量(間接法)
持續經營活動現金淨額
314.93%43.61萬
102.54%46.59萬
-56.17%25.37萬
709.90%55.03萬
-123.88%-63.17萬
104.98%10.51萬
1,060.64%23萬
52.96%57.89萬
72.59%6.8萬
968.67%264.5萬
持續經營淨收入
29.07%-91.03萬
-156.30%-84.31萬
54.95%-231.91萬
72.45%-44.17萬
-7.54%-209.15萬
-11.62%-128.33萬
433.08%149.74萬
12.89%-514.75萬
19.63%-160.35萬
-82.14%-194.48萬
持續經營損益
-93.82%2.23萬
85.23%-2.63萬
44.92%-10萬
-612.65%-55.9萬
817.20%27.65萬
735.08%36.03萬
8.96%-17.78萬
-152.95%-18.15萬
165.24%10.9萬
-798.25%-3.86萬
折舊和攤銷
18.04%14.76萬
-17.36%9.9萬
-2.72%50.63萬
17.32%13.82萬
-7.74%12.32萬
-7.06%12.5萬
-10.95%11.98萬
-13.09%52.04萬
-27.79%11.78萬
-7.77%13.36萬
其他非現金項目
61.50%42.91萬
60.72%43.08萬
23.35%134.43萬
48.75%40.6萬
50.01%40.46萬
-2.59%26.57萬
-2.34%26.8萬
-0.16%108.98萬
-4.11%27.29萬
-0.54%26.97萬
營運資金變化
17.89%70.45萬
144.42%70.21萬
-92.39%27.79萬
4.24%80.3萬
-88.89%45.78萬
143.48%59.76萬
-1,287.45%-158.05萬
-8.45%364.96萬
-54.96%77.03萬
410.19%412.05萬
-應收款項(增)減
-95.92%-88.54萬
-212.00%-63.6萬
-256.51%-76.76萬
66.16%-16.42萬
-116.79%-71.94萬
86.64%-45.19萬
189.95%56.78萬
69.60%-21.53萬
26.11%-48.51萬
4,435.11%428.4萬
-存貨(增)減
-429.43%-48.33萬
-656.11%-44.37萬
-111.98%-3.61萬
128.35%2.42萬
30.41%-14.83萬
-78.27%14.67萬
22.21%-5.87萬
20.76%30.13萬
-146.66%-8.53萬
-1,206.77%-21.31萬
-預付費用(增)減
117.72%1.52萬
-173.71%-2.87萬
137.53%8.24萬
145.53%1.1萬
205.12%11.85萬
65.63%-8.6萬
141.94%3.89萬
-802.90%-21.95萬
16.87%-2.42萬
608.35%3.88萬
-應付款項及應計費用(減)增
108.13%205.79萬
185.06%181.05萬
-73.59%99.91萬
-31.71%93.2萬
11,076.58%120.7萬
-37.57%98.88萬
-358.40%-212.85萬
-15.36%378.31萬
-38.33%136.48萬
-98.51%1.08萬
非持續經營活動現金淨額
經營活動現金淨額
314.93%43.61萬
102.54%46.59萬
-56.17%25.37萬
709.90%55.03萬
-123.88%-63.17萬
104.98%10.51萬
1,060.64%23萬
52.96%57.89萬
72.59%6.8萬
968.67%264.5萬
投資活動現金流量
持續投資活動現金淨額
57.34%-19.01萬
-145.82%-40.3萬
-243.93%-224.27萬
-156.06%-103.21萬
-474.51%-60.1萬
-579.58%-44.56萬
-108.05%-16.39萬
-100.71%-65.21萬
-351.26%-40.31萬
70.29%-10.46萬
固定資產交易的淨現金流
63.74%-14.71萬
-391.75%-29.95萬
-44,368.32%-179.25萬
-47,941.01%-82.82萬
---49.76萬
-17,487.73%-40.57萬
---6.09萬
92.95%-4,031
-100.84%-1,724
--0
其他投資活動的淨現金流
-7.75%-4.29萬
-0.42%-10.35萬
30.54%-45.01萬
49.20%-20.39萬
1.18%-10.34萬
37.01%-3.98萬
-30.75%-10.3萬
-142.07%-64.8萬
-819.86%-40.14萬
-9.04%-10.46萬
非持續投資活動現金淨額
投資活動現金淨額
57.34%-19.01萬
-145.82%-40.3萬
-243.93%-224.27萬
-156.06%-103.21萬
-474.51%-60.1萬
-579.58%-44.56萬
-108.05%-16.39萬
-100.71%-65.21萬
-351.26%-40.31萬
70.29%-10.46萬
融資活動現金流量
持續融資活動現金淨額
-127.09%-22.74萬
206.16%8.66萬
16,853.89%196.82萬
502.88%42.85萬
138.53%78.17萬
-59.02%83.96萬
-183.49%-8.16萬
105.30%1.16萬
10.58%-10.64萬
-15,720.04%-202.86萬
債務發行/償還的淨現金流
54.14%-5.88萬
24.99%-6.12萬
-7.21%-34.35萬
17.83%-8.74萬
32.57%-4.64萬
-84.21%-12.82萬
-7.76%-8.16萬
-113.88%-32.04萬
-114.35%-10.64萬
-629.47%-6.88萬
其他融資活動的淨現金流額
---16.86萬
--14.78萬
596.28%231.17萬
--51.59萬
142.25%82.81萬
----
----
578.98%33.2萬
--0
---195.98萬
非持續融資活動現金淨額
融資活動現金淨額
-127.09%-22.74萬
206.16%8.66萬
16,853.89%196.82萬
502.88%42.85萬
138.53%78.17萬
-59.02%83.96萬
-183.49%-8.16萬
105.30%1.16萬
10.58%-10.64萬
-15,720.04%-202.86萬
現金淨流量
期初現金流
138.14%24.87萬
-17.29%9.92萬
-33.92%12萬
-72.83%15.25萬
1,117.47%60.35萬
-40.82%10.44萬
-33.92%12萬
-47.70%18.15萬
457.78%56.14萬
-74.21%4.96萬
當期現金流變化
-96.28%1.86萬
1,064.19%14.95萬
66.32%-2.07萬
87.92%-5.33萬
-188.11%-45.1萬
493.24%49.91萬
-208.39%-1.55萬
62.80%-6.16萬
-645.94%-44.15萬
658.80%51.19萬
期末現金流
-55.71%26.73萬
138.14%24.87萬
-17.29%9.92萬
-17.29%9.92萬
-72.83%15.25萬
1,117.47%60.35萬
-40.82%10.44萬
-33.92%12萬
-33.92%12萬
457.78%56.14萬
自由現金流
196.10%28.89萬
-1.63%16.64萬
-367.68%-153.88萬
-519.63%-27.79萬
-142.70%-112.93萬
85.77%-30.07萬
806.25%16.91萬
78.92%57.49萬
-72.79%6.62萬
30,682.08%264.5萬
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
--
--
(Q2)2025/11/30(Q1)2025/08/31(FY)2025/05/31(Q4)2025/05/31(Q3)2025/02/28(Q2)2024/11/30(Q1)2024/08/31(FY)2024/05/31(Q4)2024/05/31(Q3)2024/02/29
經營活動現金流量(間接法)
持續經營活動現金淨額 314.93%43.61萬102.54%46.59萬-56.17%25.37萬709.90%55.03萬-123.88%-63.17萬104.98%10.51萬1,060.64%23萬52.96%57.89萬72.59%6.8萬968.67%264.5萬
持續經營淨收入 29.07%-91.03萬-156.30%-84.31萬54.95%-231.91萬72.45%-44.17萬-7.54%-209.15萬-11.62%-128.33萬433.08%149.74萬12.89%-514.75萬19.63%-160.35萬-82.14%-194.48萬
持續經營損益 -93.82%2.23萬85.23%-2.63萬44.92%-10萬-612.65%-55.9萬817.20%27.65萬735.08%36.03萬8.96%-17.78萬-152.95%-18.15萬165.24%10.9萬-798.25%-3.86萬
折舊和攤銷 18.04%14.76萬-17.36%9.9萬-2.72%50.63萬17.32%13.82萬-7.74%12.32萬-7.06%12.5萬-10.95%11.98萬-13.09%52.04萬-27.79%11.78萬-7.77%13.36萬
其他非現金項目 61.50%42.91萬60.72%43.08萬23.35%134.43萬48.75%40.6萬50.01%40.46萬-2.59%26.57萬-2.34%26.8萬-0.16%108.98萬-4.11%27.29萬-0.54%26.97萬
營運資金變化 17.89%70.45萬144.42%70.21萬-92.39%27.79萬4.24%80.3萬-88.89%45.78萬143.48%59.76萬-1,287.45%-158.05萬-8.45%364.96萬-54.96%77.03萬410.19%412.05萬
-應收款項(增)減 -95.92%-88.54萬-212.00%-63.6萬-256.51%-76.76萬66.16%-16.42萬-116.79%-71.94萬86.64%-45.19萬189.95%56.78萬69.60%-21.53萬26.11%-48.51萬4,435.11%428.4萬
-存貨(增)減 -429.43%-48.33萬-656.11%-44.37萬-111.98%-3.61萬128.35%2.42萬30.41%-14.83萬-78.27%14.67萬22.21%-5.87萬20.76%30.13萬-146.66%-8.53萬-1,206.77%-21.31萬
-預付費用(增)減 117.72%1.52萬-173.71%-2.87萬137.53%8.24萬145.53%1.1萬205.12%11.85萬65.63%-8.6萬141.94%3.89萬-802.90%-21.95萬16.87%-2.42萬608.35%3.88萬
-應付款項及應計費用(減)增 108.13%205.79萬185.06%181.05萬-73.59%99.91萬-31.71%93.2萬11,076.58%120.7萬-37.57%98.88萬-358.40%-212.85萬-15.36%378.31萬-38.33%136.48萬-98.51%1.08萬
非持續經營活動現金淨額
經營活動現金淨額 314.93%43.61萬102.54%46.59萬-56.17%25.37萬709.90%55.03萬-123.88%-63.17萬104.98%10.51萬1,060.64%23萬52.96%57.89萬72.59%6.8萬968.67%264.5萬
投資活動現金流量
持續投資活動現金淨額 57.34%-19.01萬-145.82%-40.3萬-243.93%-224.27萬-156.06%-103.21萬-474.51%-60.1萬-579.58%-44.56萬-108.05%-16.39萬-100.71%-65.21萬-351.26%-40.31萬70.29%-10.46萬
固定資產交易的淨現金流 63.74%-14.71萬-391.75%-29.95萬-44,368.32%-179.25萬-47,941.01%-82.82萬---49.76萬-17,487.73%-40.57萬---6.09萬92.95%-4,031-100.84%-1,724--0
其他投資活動的淨現金流 -7.75%-4.29萬-0.42%-10.35萬30.54%-45.01萬49.20%-20.39萬1.18%-10.34萬37.01%-3.98萬-30.75%-10.3萬-142.07%-64.8萬-819.86%-40.14萬-9.04%-10.46萬
非持續投資活動現金淨額
投資活動現金淨額 57.34%-19.01萬-145.82%-40.3萬-243.93%-224.27萬-156.06%-103.21萬-474.51%-60.1萬-579.58%-44.56萬-108.05%-16.39萬-100.71%-65.21萬-351.26%-40.31萬70.29%-10.46萬
融資活動現金流量
持續融資活動現金淨額 -127.09%-22.74萬206.16%8.66萬16,853.89%196.82萬502.88%42.85萬138.53%78.17萬-59.02%83.96萬-183.49%-8.16萬105.30%1.16萬10.58%-10.64萬-15,720.04%-202.86萬
債務發行/償還的淨現金流 54.14%-5.88萬24.99%-6.12萬-7.21%-34.35萬17.83%-8.74萬32.57%-4.64萬-84.21%-12.82萬-7.76%-8.16萬-113.88%-32.04萬-114.35%-10.64萬-629.47%-6.88萬
其他融資活動的淨現金流額 ---16.86萬--14.78萬596.28%231.17萬--51.59萬142.25%82.81萬--------578.98%33.2萬--0---195.98萬
非持續融資活動現金淨額
融資活動現金淨額 -127.09%-22.74萬206.16%8.66萬16,853.89%196.82萬502.88%42.85萬138.53%78.17萬-59.02%83.96萬-183.49%-8.16萬105.30%1.16萬10.58%-10.64萬-15,720.04%-202.86萬
現金淨流量
期初現金流 138.14%24.87萬-17.29%9.92萬-33.92%12萬-72.83%15.25萬1,117.47%60.35萬-40.82%10.44萬-33.92%12萬-47.70%18.15萬457.78%56.14萬-74.21%4.96萬
當期現金流變化 -96.28%1.86萬1,064.19%14.95萬66.32%-2.07萬87.92%-5.33萬-188.11%-45.1萬493.24%49.91萬-208.39%-1.55萬62.80%-6.16萬-645.94%-44.15萬658.80%51.19萬
期末現金流 -55.71%26.73萬138.14%24.87萬-17.29%9.92萬-17.29%9.92萬-72.83%15.25萬1,117.47%60.35萬-40.82%10.44萬-33.92%12萬-33.92%12萬457.78%56.14萬
自由現金流 196.10%28.89萬-1.63%16.64萬-367.68%-153.88萬-519.63%-27.79萬-142.70%-112.93萬85.77%-30.07萬806.25%16.91萬78.92%57.49萬-72.79%6.62萬30,682.08%264.5萬
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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