加拿大市场个股详情

Calfrac Well Services Ltd (CFW)

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  • 6.500
  • +0.120+1.88%
延时15分钟行情已收盘 03/25 16:00 (美东)
6.49亿总市值19.12市盈率TTM

Calfrac Well Services Ltd (CFW) 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
52.09%1.95亿
8.63%9,882.5万
82.21%3,009.9万
713.49%7,354.8万
-158.96%-705万
-54.38%1.28亿
-24.99%9,097.7万
-83.69%1,651.9万
-50.30%904.1万
-70.76%1,195.8万
持续经营净收入
391.31%4,193.3万
325.98%1,451.7万
164.23%429.5万
-37.57%1,532.5万
368.55%779.6万
-95.52%853.5万
-151.38%-642.4万
-107.72%-668.7万
-53.91%2,454.9万
-107.57%-290.3万
持续经营损益
-584.70%-814.3万
-287.53%-2,536万
-44.11%597.6万
709.69%927.1万
154.51%197万
-86.11%168万
-138.35%-654.4万
418.34%1,069.3万
246.61%114.5万
-335.42%-361.4万
折旧摊销及损耗
-8.17%1.25亿
-31.81%3,070.2万
-14.71%2,971.2万
15.76%3,245.1万
14.03%3,192.2万
16.50%1.36亿
47.93%4,502.1万
27.20%3,483.7万
-2.18%2,803.3万
-7.18%2,799.5万
资产减值支出
-31.31%871.7万
----
----
----
----
191.79%1,269万
179.42%1,695.5万
131.22%788.9万
241.48%1,067.8万
----
以股票支付的报酬
26.60%-86.1万
100.95%6.4万
--0
--0
-142.33%-92.5万
-122.92%-117.3万
-392.46%-674.7万
-13.48%127.1万
165.75%211.8万
301.65%218.5万
递延税费
87.26%-224万
222.53%1,123.4万
-52.57%-92万
-218.06%-456.1万
-25.36%-799.3万
-703.89%-1,758.1万
-572.33%-916.8万
89.60%-60.3万
79.67%-143.4万
-173.07%-637.6万
其他非现金项目
-5.75%2,941.1万
-18.13%670.6万
-25.18%680万
0.85%796.1万
31.70%794.4万
6.11%3,120.6万
24.71%819.1万
26.75%908.9万
4.88%789.4万
-25.92%603.2万
营运资金变化
365.37%3,558.4万
2.97%5,907.6万
73.73%-491.8万
132.68%1,647.4万
-2,031.87%-3,504.8万
61.90%-1,340.9万
28.19%5,737万
-183.78%-1,872.3万
23.73%-5,041.2万
95.46%-164.4万
-应收款项(增)减
593.28%1,783.8万
-23.09%6,154万
178.31%1,519.8万
84.86%-1,665.3万
-181.33%-4,224.7万
121.22%257.3万
-1.83%8,001.3万
-182.57%-1,940.8万
-247.83%-1.1亿
160.74%5,194.4万
-存货(增)减
272.17%3,872.3万
10.42%743.7万
100.49%10.5万
45.15%1,627.1万
178.59%1,491万
-27.46%-2,249.1万
294.77%673.5万
-22.57%-2,146.5万
218.29%1,121万
-9,529.95%-1,897.1万
-预付费用(增)减
548.22%1,636.9万
453.99%749万
325.52%172.3万
384.20%250.1万
238.54%465.5万
73.28%-365.2万
115.25%135.2万
-485.86%-76.4万
49.13%-88万
-2.75%-336万
-应付款项及应计费用(减)增
-467.54%-3,734.6万
43.41%-1,739.1万
-195.77%-2,194.4万
-70.84%1,435.5万
60.44%-1,236.6万
23.22%1,016.1万
-25.79%-3,073万
41.79%2,291.4万
235.73%4,923.4万
-159.21%-3,125.7万
已付利息(经营活动产生的现金流)
-15.09%-3,376.6万
-100.21%-683.1万
18.81%-1,084.6万
-18.27%-337.3万
-30.86%-1,271.6万
-39.08%-2,933.9万
-858.43%-341.2万
-44.35%-1,335.8万
-129.63%-285.2万
5.14%-971.7万
非持续经营活动现金净额
418.31%417.3万
-259.38%-2,338.1万
118.12%1,612.1万
-79.93%120.2万
225.00%1,023.1万
-131.1万
-650.6万
739.1万
598.9万
-818.5万
经营活动现金净额
56.93%2亿
-10.69%7,544.4万
93.31%4,622万
397.34%7,475万
-15.69%318.1万
-54.84%1.27亿
-30.35%8,447.1万
-76.39%2,391万
-17.38%1,503万
-90.77%377.3万
投资活动现金流量
持续投资活动现金净额
30.49%-1.16亿
73.61%-899万
-18.57%-2,924.9万
36.02%-4,137万
16.49%-3,673.9万
-15.62%-1.67亿
14.75%-3,406万
49.95%-2,466.8万
-210.15%-6,465.7万
-26.84%-4,399.2万
固定资产交易净额
30.49%-1.16亿
73.61%-899万
-18.57%-2,924.9万
36.02%-4,137万
16.49%-3,673.9万
-15.62%-1.67亿
14.75%-3,406万
49.95%-2,466.8万
-210.15%-6,465.7万
-26.84%-4,399.2万
非持续投资活动现金净额
-263.88%-828.2万
-49.90%-78.7万
-102.37%-119.4万
-902.90%-484.4万
-114.90%-145.7万
-227.6万
-52.5万
-59万
-48.3万
-67.8万
投资活动现金净额
26.54%-1.25亿
71.73%-977.7万
-20.53%-3,044.3万
29.05%-4,621.4万
14.49%-3,819.6万
-17.19%-1.7亿
13.44%-3,458.5万
48.75%-2,525.8万
-212.47%-6,514万
-28.80%-4,467万
融资活动现金流量
持续融资活动现金净额
-297.97%-8,699.7万
-71.00%-7,283.6万
-270.75%-4,843.5万
-58.89%1,744.7万
-70.56%1,682.7万
152.23%4,394.4万
15.10%-4,259.5万
56.42%-1,306.4万
530.06%4,244.3万
871.61%5,716万
债务发行/偿还的净额
-380.61%-1.22亿
-150.99%-1.08亿
-270.75%-4,843.5万
-58.62%1,744.7万
-70.69%1,675.6万
144.99%4,340.2万
30.37%-4,285.4万
57.28%-1,306.4万
522.78%4,216万
915.46%5,716万
职工行使股票期权收到的现金
6,319.74%3,479.5万
13,306.95%3,472.4万
--0
--0
--7.1万
-95.61%54.2万
-97.72%25.9万
--0
174.76%28.3万
--0
非持续融资活动现金净额
0
0
0
0
0
0
0
0
0
0
融资活动现金净额
-297.97%-8,699.7万
-71.00%-7,283.6万
-270.75%-4,843.5万
-58.89%1,744.7万
-70.56%1,682.7万
152.23%4,394.4万
15.10%-4,259.5万
56.42%-1,306.4万
530.06%4,244.3万
871.61%5,716万
现金净流量
期初现金流
12.36%5,077.6万
-8.90%2,905.4万
24.72%6,569万
-44.76%3,313.8万
12.36%5,077.6万
145.69%4,519万
4.24%3,189.3万
679.85%5,267.1万
116.72%5,998.9万
145.69%4,519万
当期现金流变化
-915.73%-1,203.2万
-198.33%-716.9万
-126.60%-3,265.8万
699.75%4,598.3万
-211.84%-1,818.8万
-97.20%147.5万
-76.60%729.1万
-165.50%-1,441.2万
38.78%-766.7万
34.46%1,626.3万
利率变动影响
-880.35%-3,208万
-231.31%-1,522.1万
37.51%-397.8万
-3,948.42%-1,343.1万
137.57%55万
115.85%411.1万
169.97%1,159.2万
-445.79%-636.6万
104.15%34.9万
47.84%-146.4万
期末现金流
-86.88%666.4万
-86.88%666.4万
-8.90%2,905.4万
24.72%6,569万
-44.76%3,313.8万
12.36%5,077.6万
12.36%5,077.6万
4.24%3,189.3万
679.85%5,267.1万
116.72%5,998.9万
自由现金流
224.54%7,056万
21.87%5,996.4万
471.72%1,443.4万
162.93%3,147.9万
32.02%-3,531.7万
-150.14%-5,665.5万
-39.33%4,920.3万
-107.59%-388.3万
-102.21%-5,002.1万
-1,045.13%-5,195.4万
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
--
--
--
--
无保留意见
--
--
--
--
(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 52.09%1.95亿8.63%9,882.5万82.21%3,009.9万713.49%7,354.8万-158.96%-705万-54.38%1.28亿-24.99%9,097.7万-83.69%1,651.9万-50.30%904.1万-70.76%1,195.8万
持续经营净收入 391.31%4,193.3万325.98%1,451.7万164.23%429.5万-37.57%1,532.5万368.55%779.6万-95.52%853.5万-151.38%-642.4万-107.72%-668.7万-53.91%2,454.9万-107.57%-290.3万
持续经营损益 -584.70%-814.3万-287.53%-2,536万-44.11%597.6万709.69%927.1万154.51%197万-86.11%168万-138.35%-654.4万418.34%1,069.3万246.61%114.5万-335.42%-361.4万
折旧摊销及损耗 -8.17%1.25亿-31.81%3,070.2万-14.71%2,971.2万15.76%3,245.1万14.03%3,192.2万16.50%1.36亿47.93%4,502.1万27.20%3,483.7万-2.18%2,803.3万-7.18%2,799.5万
资产减值支出 -31.31%871.7万----------------191.79%1,269万179.42%1,695.5万131.22%788.9万241.48%1,067.8万----
以股票支付的报酬 26.60%-86.1万100.95%6.4万--0--0-142.33%-92.5万-122.92%-117.3万-392.46%-674.7万-13.48%127.1万165.75%211.8万301.65%218.5万
递延税费 87.26%-224万222.53%1,123.4万-52.57%-92万-218.06%-456.1万-25.36%-799.3万-703.89%-1,758.1万-572.33%-916.8万89.60%-60.3万79.67%-143.4万-173.07%-637.6万
其他非现金项目 -5.75%2,941.1万-18.13%670.6万-25.18%680万0.85%796.1万31.70%794.4万6.11%3,120.6万24.71%819.1万26.75%908.9万4.88%789.4万-25.92%603.2万
营运资金变化 365.37%3,558.4万2.97%5,907.6万73.73%-491.8万132.68%1,647.4万-2,031.87%-3,504.8万61.90%-1,340.9万28.19%5,737万-183.78%-1,872.3万23.73%-5,041.2万95.46%-164.4万
-应收款项(增)减 593.28%1,783.8万-23.09%6,154万178.31%1,519.8万84.86%-1,665.3万-181.33%-4,224.7万121.22%257.3万-1.83%8,001.3万-182.57%-1,940.8万-247.83%-1.1亿160.74%5,194.4万
-存货(增)减 272.17%3,872.3万10.42%743.7万100.49%10.5万45.15%1,627.1万178.59%1,491万-27.46%-2,249.1万294.77%673.5万-22.57%-2,146.5万218.29%1,121万-9,529.95%-1,897.1万
-预付费用(增)减 548.22%1,636.9万453.99%749万325.52%172.3万384.20%250.1万238.54%465.5万73.28%-365.2万115.25%135.2万-485.86%-76.4万49.13%-88万-2.75%-336万
-应付款项及应计费用(减)增 -467.54%-3,734.6万43.41%-1,739.1万-195.77%-2,194.4万-70.84%1,435.5万60.44%-1,236.6万23.22%1,016.1万-25.79%-3,073万41.79%2,291.4万235.73%4,923.4万-159.21%-3,125.7万
已付利息(经营活动产生的现金流) -15.09%-3,376.6万-100.21%-683.1万18.81%-1,084.6万-18.27%-337.3万-30.86%-1,271.6万-39.08%-2,933.9万-858.43%-341.2万-44.35%-1,335.8万-129.63%-285.2万5.14%-971.7万
非持续经营活动现金净额 418.31%417.3万-259.38%-2,338.1万118.12%1,612.1万-79.93%120.2万225.00%1,023.1万-131.1万-650.6万739.1万598.9万-818.5万
经营活动现金净额 56.93%2亿-10.69%7,544.4万93.31%4,622万397.34%7,475万-15.69%318.1万-54.84%1.27亿-30.35%8,447.1万-76.39%2,391万-17.38%1,503万-90.77%377.3万
投资活动现金流量
持续投资活动现金净额 30.49%-1.16亿73.61%-899万-18.57%-2,924.9万36.02%-4,137万16.49%-3,673.9万-15.62%-1.67亿14.75%-3,406万49.95%-2,466.8万-210.15%-6,465.7万-26.84%-4,399.2万
固定资产交易净额 30.49%-1.16亿73.61%-899万-18.57%-2,924.9万36.02%-4,137万16.49%-3,673.9万-15.62%-1.67亿14.75%-3,406万49.95%-2,466.8万-210.15%-6,465.7万-26.84%-4,399.2万
非持续投资活动现金净额 -263.88%-828.2万-49.90%-78.7万-102.37%-119.4万-902.90%-484.4万-114.90%-145.7万-227.6万-52.5万-59万-48.3万-67.8万
投资活动现金净额 26.54%-1.25亿71.73%-977.7万-20.53%-3,044.3万29.05%-4,621.4万14.49%-3,819.6万-17.19%-1.7亿13.44%-3,458.5万48.75%-2,525.8万-212.47%-6,514万-28.80%-4,467万
融资活动现金流量
持续融资活动现金净额 -297.97%-8,699.7万-71.00%-7,283.6万-270.75%-4,843.5万-58.89%1,744.7万-70.56%1,682.7万152.23%4,394.4万15.10%-4,259.5万56.42%-1,306.4万530.06%4,244.3万871.61%5,716万
债务发行/偿还的净额 -380.61%-1.22亿-150.99%-1.08亿-270.75%-4,843.5万-58.62%1,744.7万-70.69%1,675.6万144.99%4,340.2万30.37%-4,285.4万57.28%-1,306.4万522.78%4,216万915.46%5,716万
职工行使股票期权收到的现金 6,319.74%3,479.5万13,306.95%3,472.4万--0--0--7.1万-95.61%54.2万-97.72%25.9万--0174.76%28.3万--0
非持续融资活动现金净额 0000000000
融资活动现金净额 -297.97%-8,699.7万-71.00%-7,283.6万-270.75%-4,843.5万-58.89%1,744.7万-70.56%1,682.7万152.23%4,394.4万15.10%-4,259.5万56.42%-1,306.4万530.06%4,244.3万871.61%5,716万
现金净流量
期初现金流 12.36%5,077.6万-8.90%2,905.4万24.72%6,569万-44.76%3,313.8万12.36%5,077.6万145.69%4,519万4.24%3,189.3万679.85%5,267.1万116.72%5,998.9万145.69%4,519万
当期现金流变化 -915.73%-1,203.2万-198.33%-716.9万-126.60%-3,265.8万699.75%4,598.3万-211.84%-1,818.8万-97.20%147.5万-76.60%729.1万-165.50%-1,441.2万38.78%-766.7万34.46%1,626.3万
利率变动影响 -880.35%-3,208万-231.31%-1,522.1万37.51%-397.8万-3,948.42%-1,343.1万137.57%55万115.85%411.1万169.97%1,159.2万-445.79%-636.6万104.15%34.9万47.84%-146.4万
期末现金流 -86.88%666.4万-86.88%666.4万-8.90%2,905.4万24.72%6,569万-44.76%3,313.8万12.36%5,077.6万12.36%5,077.6万4.24%3,189.3万679.85%5,267.1万116.72%5,998.9万
自由现金流 224.54%7,056万21.87%5,996.4万471.72%1,443.4万162.93%3,147.9万32.02%-3,531.7万-150.14%-5,665.5万-39.33%4,920.3万-107.59%-388.3万-102.21%-5,002.1万-1,045.13%-5,195.4万
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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近期,美伊停火谈判前景主导市场情绪。此前美国向伊朗提交15点停火方案的消息一度触发市场强烈反应,但白宫随后拒绝证实“15点计划”并称美伊谈判仍在继续伊朗方面则表示称信息交流并非谈判,强调停火节奏须有伊朗掌握,并列出包括战争赔偿、承认霍尔木兹海峡主权在内的五大硬性条件。美伊谈判目 展开