加拿大市场个股详情

Aecon Group Inc (ARE)

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  • 46.000
  • +0.350+0.77%
延时15分钟行情已收盘 04/10 16:00 (美东)
31.49亿总市值200.00市盈率TTM

Aecon Group Inc (ARE) 现金流量表

季报+年报
显示同比 yoy
隐藏空行 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
经营活动现金流量(间接法)
持续经营活动现金净额
1,566.27%1.27亿
432.20%1.97亿
-4.69%5,594.5万
-35.86%3,959万
-10.94%-1.66亿
-85.12%759.9万
-78.99%3,709.3万
-46.93%5,869.8万
158.03%6,172.9万
-15.57%-1.5亿
持续经营净收入
132.44%2,482.4万
52.40%3,527.4万
-36.12%4,967.9万
93.57%-1,097.1万
-634.36%-4,915.8万
-143.10%-7,652.9万
13.76%2,314.5万
-38.20%7,777.1万
-513.74%-1.71亿
32.47%-669.4万
持续经营损益
115.32%651.2万
-356.26%-517.9万
200.27%1,084.1万
97.07%-104.1万
4.30%189.1万
82.62%-4,250.1万
116.43%202.1万
92.45%-1,081.2万
51.21%-3,552.3万
111.18%181.3万
折旧摊销及损耗
20.85%1.06亿
14.57%3,006万
5.96%2,435.5万
30.38%2,579.5万
37.75%2,595.6万
11.08%8,784.9万
79.12%2,623.7万
13.37%2,298.5万
-6.86%1,978.4万
-17.80%1,884.3万
资产准备金与勾销
122.10%3,882.6万
3,613.20%2,053.4万
257.15%454.3万
-69.00%451.5万
746.38%923.4万
-46.55%1,748.1万
-97.72%55.3万
-77.04%127.2万
1,092.17%1,456.5万
-75.27%109.1万
投资证券未实现损益
132.66%664.8万
506.70%1,852.5万
38.72%-477.6万
-18.97%-444.7万
37.79%-265.4万
-426.05%-2,035.3万
-17.73%-455.5万
---779.4万
---373.8万
---426.6万
以股票支付的报酬
-1.04%2,435.5万
-9.01%945.1万
30.16%654.3万
54.92%694.2万
-69.92%141.9万
6.48%2,461.2万
101.42%1,038.7万
-22.89%502.7万
1.15%448.1万
-32.69%471.7万
其他非现金项目
-65.07%-1,955.4万
-66.61%-1,453.8万
-16.87%-264.7万
-1,662.50%-253.8万
123.77%16.9万
-1,681.58%-1,184.6万
-271.33%-872.6万
-62.60%-226.5万
91.84%-14.4万
40.10%-71.1万
营运资金变化
-108.18%-661.6万
760.75%1.05亿
-14.81%-3,232.7万
-88.39%2,892.1万
28.67%-1.09亿
223.47%8,089.9万
-90.80%1,224.5万
-128.40%-2,815.7万
425.01%2.49亿
-16.59%-1.52亿
-应收款项(增)减
-595.40%-4.84亿
-142.58%-8,313.2万
-117.15%-2.42亿
-40.79%3,818.1万
-290.20%-1.97亿
267.47%9,770.3万
76.45%1.95亿
-1,638.13%-1.12亿
158.24%6,448万
23.00%-5,044.8万
-存货(增)减
929.15%554.7万
-47.82%448.3万
580.31%739.5万
83.70%-105.6万
-36.30%-527.5万
-119.71%-66.9万
-2.95%859.2万
16.51%108.7万
-104.48%-647.8万
-20.04%-387万
-预付费用(增)减
-1,126.63%-8,020万
-822.86%-3,177.4万
-660.67%-3,753.1万
-81,812.12%-2,703.1万
251.24%1,613.6万
136.22%781.2万
-152.33%-344.3万
-64.19%669.4万
99.89%-3.3万
127.61%459.4万
-应付款项及应计费用(减)增
776.83%2.87亿
114.79%1,785万
219.49%1.82亿
-65.66%4,157.6万
145.70%4,550.3万
21.01%-4,235万
24.34%-1.21亿
380.48%5,687.5万
144.89%1.21亿
-322.93%-9,956.6万
-其他营运资本变动
1,342.23%2.65亿
393.71%1.98亿
211.31%5,831.5万
-132.48%-2,274.9万
1,174.35%3,187.6万
-88.14%1,840.3万
-140.46%-6,740.4万
-68.99%1,873.2万
288.82%7,004.2万
96.70%-296.7万
已支付退税
-4.86%-5,454.1万
91.26%-211.7万
-139.64%-26.6万
52.63%-758.6万
-257.81%-4,457.2万
-34.36%-5,201.3万
-146.15%-2,421.4万
132.32%67.1万
22.41%-1,601.3万
-102.19%-1,245.7万
非持续经营活动现金净额
经营活动现金净额
1,566.27%1.27亿
432.20%1.97亿
-4.69%5,594.5万
-35.86%3,959万
-10.94%-1.66亿
-85.12%759.9万
-78.99%3,709.3万
-46.93%5,869.8万
158.03%6,172.9万
-15.57%-1.5亿
投资活动现金流量
持续投资活动现金净额
43.66%-8,992.2万
37.38%-3,462.1万
69.53%-3,103.2万
-309.60%-559万
-264.11%-1,867.9万
-144.24%-1.6亿
-1,800.55%-5,528.5万
-169.80%-1.02亿
-98.62%266.7万
-127.01%-513万
固定资产交易净额
-121.64%-4,911.7万
-618.02%-1,773.5万
-149.81%-673.5万
52.87%-394.3万
-139.96%-2,070.4万
-142.16%-2,216.1万
38.11%-247万
-171.23%-269.6万
-117.56%-836.7万
-187.17%-862.8万
无形资产交易净额
19.21%-124.1万
47.00%-49.5万
-11.95%-35.6万
54.23%-13万
---26万
71.98%-153.6万
-110.84%-93.4万
81.95%-31.8万
86.56%-28.4万
--0
业务交易净额
84.92%-2,369.2万
104.45%245万
76.97%-2,614.2万
----
----
-149.58%-1.57亿
-7,596.51%-5,510.7万
-169.93%-1.14亿
----
----
投资产品交易净额
-1,269.38%-187.1万
-599.31%-144.8万
718.44%115.4万
-245.63%-158.3万
-96.79%6,000
100.84%16万
105.87%29万
101.84%14.1万
92.76%-45.8万
205.65%18.7万
已收到的股息(投资活动产生的现金流)
-166.51%-1,400.1万
-692.40%-1,739.3万
-92.79%104.7万
-76.60%6.6万
-31.17%227.9万
51.93%2,105.2万
-77.98%293.6万
14,719.39%1,452.3万
86.75%28.2万
1,099.64%331.1万
非持续投资活动现金净额
投资活动现金净额
43.66%-8,992.2万
37.38%-3,462.1万
69.53%-3,103.2万
-309.60%-559万
-264.11%-1,867.9万
-144.24%-1.6亿
-1,800.55%-5,528.5万
-169.80%-1.02亿
-98.62%266.7万
-127.01%-513万
融资活动现金流量
持续融资活动现金净额
124.95%1,453.6万
-34.37%-6,802.5万
-293.49%-9,775.9万
14,708.10%4,753.4万
327.08%1.33亿
58.95%-5,825.6万
-244.21%-5,062.5万
127.35%5,052.4万
100.38%32.1万
-163.78%-5,847.6万
债务发行/偿还的净额
982.30%7,120.2万
-40.81%-5,429.4万
-220.56%-7,871.6万
389.54%5,948.9万
408.20%1.45亿
96.78%-807万
64.33%-3,855.7万
137.67%6,529.2万
116.74%1,215.2万
-145.56%-4,695.7万
普通股发行/回购的净额
-181.32%-876.6万
-699.53%-170.3万
----
----
----
---311.6万
---21.3万
----
----
----
已支付现金股息
-1.76%-4,790万
-1.46%-1,202.8万
-0.97%-1,198万
-1.05%-1,195.5万
-3.63%-1,193.7万
-3.20%-4,707万
-3.73%-1,185.5万
-3.95%-1,186.5万
-3.93%-1,183.1万
-1.19%-1,151.9万
非持续融资活动现金净额
融资活动现金净额
124.95%1,453.6万
-34.37%-6,802.5万
-293.49%-9,775.9万
14,708.10%4,753.4万
327.08%1.33亿
58.95%-5,825.6万
-244.21%-5,062.5万
127.35%5,052.4万
100.38%32.1万
-163.78%-5,847.6万
现金净流量
期初现金流
-32.17%4.38亿
-22.77%3.91亿
-7.42%4.62亿
-11.04%3.86亿
-32.17%4.38亿
71.20%6.46亿
17.04%5.06亿
39.24%4.99亿
20.96%4.33亿
71.20%6.46亿
当期现金流变化
124.37%5,123.4万
237.70%9,476.3万
-1,089.62%-7,284.6万
25.99%8,153.4万
75.55%-5,221.7万
-177.89%-2.1亿
-132.02%-6,881.7万
-89.75%736.1万
2,771.21%6,471.7万
-1,021.23%-2.14亿
利率变动影响
-229.24%-324万
-46.01%41.3万
303.43%136.3万
-501.08%-480.9万
-117.07%-20.7万
283.66%250.7万
149.45%76.5万
-134.10%-67万
160.65%119.9万
525.26%121.3万
期末现金流
10.96%4.86亿
10.96%4.86亿
-22.77%3.91亿
-7.42%4.62亿
-11.04%3.86亿
-32.17%4.38亿
-32.17%4.38亿
17.04%5.06亿
39.24%4.99亿
20.96%4.33亿
自由现金流
228.77%5,881万
546.31%1.76亿
0.77%4,572.7万
-33.59%2,773.6万
-19.03%-1.9亿
-268.68%-4,566.9万
-83.89%2,720.3万
-57.42%4,537.9万
136.54%4,176.4万
-19.36%-1.6亿
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
审计意见
无保留意见
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无保留意见
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(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
经营活动现金流量(间接法)
持续经营活动现金净额 1,566.27%1.27亿432.20%1.97亿-4.69%5,594.5万-35.86%3,959万-10.94%-1.66亿-85.12%759.9万-78.99%3,709.3万-46.93%5,869.8万158.03%6,172.9万-15.57%-1.5亿
持续经营净收入 132.44%2,482.4万52.40%3,527.4万-36.12%4,967.9万93.57%-1,097.1万-634.36%-4,915.8万-143.10%-7,652.9万13.76%2,314.5万-38.20%7,777.1万-513.74%-1.71亿32.47%-669.4万
持续经营损益 115.32%651.2万-356.26%-517.9万200.27%1,084.1万97.07%-104.1万4.30%189.1万82.62%-4,250.1万116.43%202.1万92.45%-1,081.2万51.21%-3,552.3万111.18%181.3万
折旧摊销及损耗 20.85%1.06亿14.57%3,006万5.96%2,435.5万30.38%2,579.5万37.75%2,595.6万11.08%8,784.9万79.12%2,623.7万13.37%2,298.5万-6.86%1,978.4万-17.80%1,884.3万
资产准备金与勾销 122.10%3,882.6万3,613.20%2,053.4万257.15%454.3万-69.00%451.5万746.38%923.4万-46.55%1,748.1万-97.72%55.3万-77.04%127.2万1,092.17%1,456.5万-75.27%109.1万
投资证券未实现损益 132.66%664.8万506.70%1,852.5万38.72%-477.6万-18.97%-444.7万37.79%-265.4万-426.05%-2,035.3万-17.73%-455.5万---779.4万---373.8万---426.6万
以股票支付的报酬 -1.04%2,435.5万-9.01%945.1万30.16%654.3万54.92%694.2万-69.92%141.9万6.48%2,461.2万101.42%1,038.7万-22.89%502.7万1.15%448.1万-32.69%471.7万
其他非现金项目 -65.07%-1,955.4万-66.61%-1,453.8万-16.87%-264.7万-1,662.50%-253.8万123.77%16.9万-1,681.58%-1,184.6万-271.33%-872.6万-62.60%-226.5万91.84%-14.4万40.10%-71.1万
营运资金变化 -108.18%-661.6万760.75%1.05亿-14.81%-3,232.7万-88.39%2,892.1万28.67%-1.09亿223.47%8,089.9万-90.80%1,224.5万-128.40%-2,815.7万425.01%2.49亿-16.59%-1.52亿
-应收款项(增)减 -595.40%-4.84亿-142.58%-8,313.2万-117.15%-2.42亿-40.79%3,818.1万-290.20%-1.97亿267.47%9,770.3万76.45%1.95亿-1,638.13%-1.12亿158.24%6,448万23.00%-5,044.8万
-存货(增)减 929.15%554.7万-47.82%448.3万580.31%739.5万83.70%-105.6万-36.30%-527.5万-119.71%-66.9万-2.95%859.2万16.51%108.7万-104.48%-647.8万-20.04%-387万
-预付费用(增)减 -1,126.63%-8,020万-822.86%-3,177.4万-660.67%-3,753.1万-81,812.12%-2,703.1万251.24%1,613.6万136.22%781.2万-152.33%-344.3万-64.19%669.4万99.89%-3.3万127.61%459.4万
-应付款项及应计费用(减)增 776.83%2.87亿114.79%1,785万219.49%1.82亿-65.66%4,157.6万145.70%4,550.3万21.01%-4,235万24.34%-1.21亿380.48%5,687.5万144.89%1.21亿-322.93%-9,956.6万
-其他营运资本变动 1,342.23%2.65亿393.71%1.98亿211.31%5,831.5万-132.48%-2,274.9万1,174.35%3,187.6万-88.14%1,840.3万-140.46%-6,740.4万-68.99%1,873.2万288.82%7,004.2万96.70%-296.7万
已支付退税 -4.86%-5,454.1万91.26%-211.7万-139.64%-26.6万52.63%-758.6万-257.81%-4,457.2万-34.36%-5,201.3万-146.15%-2,421.4万132.32%67.1万22.41%-1,601.3万-102.19%-1,245.7万
非持续经营活动现金净额
经营活动现金净额 1,566.27%1.27亿432.20%1.97亿-4.69%5,594.5万-35.86%3,959万-10.94%-1.66亿-85.12%759.9万-78.99%3,709.3万-46.93%5,869.8万158.03%6,172.9万-15.57%-1.5亿
投资活动现金流量
持续投资活动现金净额 43.66%-8,992.2万37.38%-3,462.1万69.53%-3,103.2万-309.60%-559万-264.11%-1,867.9万-144.24%-1.6亿-1,800.55%-5,528.5万-169.80%-1.02亿-98.62%266.7万-127.01%-513万
固定资产交易净额 -121.64%-4,911.7万-618.02%-1,773.5万-149.81%-673.5万52.87%-394.3万-139.96%-2,070.4万-142.16%-2,216.1万38.11%-247万-171.23%-269.6万-117.56%-836.7万-187.17%-862.8万
无形资产交易净额 19.21%-124.1万47.00%-49.5万-11.95%-35.6万54.23%-13万---26万71.98%-153.6万-110.84%-93.4万81.95%-31.8万86.56%-28.4万--0
业务交易净额 84.92%-2,369.2万104.45%245万76.97%-2,614.2万---------149.58%-1.57亿-7,596.51%-5,510.7万-169.93%-1.14亿--------
投资产品交易净额 -1,269.38%-187.1万-599.31%-144.8万718.44%115.4万-245.63%-158.3万-96.79%6,000100.84%16万105.87%29万101.84%14.1万92.76%-45.8万205.65%18.7万
已收到的股息(投资活动产生的现金流) -166.51%-1,400.1万-692.40%-1,739.3万-92.79%104.7万-76.60%6.6万-31.17%227.9万51.93%2,105.2万-77.98%293.6万14,719.39%1,452.3万86.75%28.2万1,099.64%331.1万
非持续投资活动现金净额
投资活动现金净额 43.66%-8,992.2万37.38%-3,462.1万69.53%-3,103.2万-309.60%-559万-264.11%-1,867.9万-144.24%-1.6亿-1,800.55%-5,528.5万-169.80%-1.02亿-98.62%266.7万-127.01%-513万
融资活动现金流量
持续融资活动现金净额 124.95%1,453.6万-34.37%-6,802.5万-293.49%-9,775.9万14,708.10%4,753.4万327.08%1.33亿58.95%-5,825.6万-244.21%-5,062.5万127.35%5,052.4万100.38%32.1万-163.78%-5,847.6万
债务发行/偿还的净额 982.30%7,120.2万-40.81%-5,429.4万-220.56%-7,871.6万389.54%5,948.9万408.20%1.45亿96.78%-807万64.33%-3,855.7万137.67%6,529.2万116.74%1,215.2万-145.56%-4,695.7万
普通股发行/回购的净额 -181.32%-876.6万-699.53%-170.3万---------------311.6万---21.3万------------
已支付现金股息 -1.76%-4,790万-1.46%-1,202.8万-0.97%-1,198万-1.05%-1,195.5万-3.63%-1,193.7万-3.20%-4,707万-3.73%-1,185.5万-3.95%-1,186.5万-3.93%-1,183.1万-1.19%-1,151.9万
非持续融资活动现金净额
融资活动现金净额 124.95%1,453.6万-34.37%-6,802.5万-293.49%-9,775.9万14,708.10%4,753.4万327.08%1.33亿58.95%-5,825.6万-244.21%-5,062.5万127.35%5,052.4万100.38%32.1万-163.78%-5,847.6万
现金净流量
期初现金流 -32.17%4.38亿-22.77%3.91亿-7.42%4.62亿-11.04%3.86亿-32.17%4.38亿71.20%6.46亿17.04%5.06亿39.24%4.99亿20.96%4.33亿71.20%6.46亿
当期现金流变化 124.37%5,123.4万237.70%9,476.3万-1,089.62%-7,284.6万25.99%8,153.4万75.55%-5,221.7万-177.89%-2.1亿-132.02%-6,881.7万-89.75%736.1万2,771.21%6,471.7万-1,021.23%-2.14亿
利率变动影响 -229.24%-324万-46.01%41.3万303.43%136.3万-501.08%-480.9万-117.07%-20.7万283.66%250.7万149.45%76.5万-134.10%-67万160.65%119.9万525.26%121.3万
期末现金流 10.96%4.86亿10.96%4.86亿-22.77%3.91亿-7.42%4.62亿-11.04%3.86亿-32.17%4.38亿-32.17%4.38亿17.04%5.06亿39.24%4.99亿20.96%4.33亿
自由现金流 228.77%5,881万546.31%1.76亿0.77%4,572.7万-33.59%2,773.6万-19.03%-1.9亿-268.68%-4,566.9万-83.89%2,720.3万-57.42%4,537.9万136.54%4,176.4万-19.36%-1.6亿
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 无保留意见--------无保留意见--------

FY:Financial Year 年度报告,相当于上市公司向SEC披露的10-K文件。

Q:Quarter 季度报告,相当于上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4为单季报,跨度为3个月;Q6、Q9为累计季报,Q6为6个月,Q9为9个月。

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