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CMPUY COMPUGROUP MEDICAL SE & CO. KGAA ADR EA REPR 1 ORD SHS EUR0.00

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延时15分钟行情收盘价 12/09 16:00 (美东)
11.95亿总市值45.47市盈率TTM

COMPUGROUP MEDICAL SE & CO. KGAA ADR EA REPR 1 ORD SHS EUR0.00关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(FY)2022/12/31
(Q4)2022/12/31
经营活动现金流量(间接法)
持续经营活动现金净额
持续经营净收入
-48.78%859.1万
-55.57%1,381.3万
26.92%1,839.2万
-36.76%4,687.2万
-208.26%-1,548.5万
-43.06%1,677.4万
156.68%3,109.2万
-20.56%1,449.1万
7.37%7,411.7万
14.75%1,430.3万
递延税费
5,455.00%111.1万
-15,177.78%-271.4万
2,131.25%65万
-4,445.74%-1,529.7万
-162.31%-1,530.3万
-99.35%2万
116.51%1.8万
-101.00%-3.2万
107.55%35.2万
-3.99%-583.4万
其他非现金项目
190.87%358.3万
-231.47%-490.9万
763.64%285万
-309.43%-955.2万
-1,377.36%-445.8万
-124.22%-394.3万
86.36%-148.1万
127.25%33万
184.60%456.1万
105.37%34.9万
营运资金变化
37.07%-1,312.2万
48.98%-1,661.5万
-3.01%5,441.1万
78.94%-909.2万
41.04%-1,177.5万
53.46%-2,085.3万
-3.38%-3,256.3万
5.65%5,610.1万
-491.94%-4,317.2万
-248.49%-1,997.2万
-应收款项(增)减
-72.23%299.1万
722.01%5,232.1万
-951.12%-5,152.6万
140.38%1,540.9万
113.89%317.8万
157.93%1,077万
-80.04%636.5万
82.85%-490.2万
-82.23%-3,816.1万
-1,629.71%-2,288.4万
-存货(增)减
-173.39%-65.9万
-163.09%-116.4万
-61.43%212.3万
220.41%1,058.2万
-56.49%233.5万
116.52%89.8万
128.96%184.5万
334.31%550.4万
-285.44%-878.8万
1,319.77%536.7万
-其他流动资产变化
16.79%-2,228.8万
0.35%-3,798.9万
15.12%1.02亿
-42.03%-1,473.8万
-39.38%-3,850.3万
2.35%-2,678.5万
-30.12%-3,812.3万
19.87%8,867.3万
-255.95%-1,037.7万
-16.18%-2,762.4万
-其他流动负债变化
130.70%244.9万
-14,926.67%-901.6万
93.38%239.6万
151.74%73万
970.70%752.7万
-1,987.96%-797.6万
99.38%-6万
-84.31%123.9万
-138.44%-141.1万
55.53%70.3万
非持续经营活动现金净额
经营活动现金净额
41.84%3,092.7万
-130.12%-551.1万
-17.98%7,883.3万
23.79%1.8亿
-33.29%4,330.6万
60.82%2,180.4万
205.93%1,829.9万
14.66%9,611.9万
-12.25%1.45亿
54.62%6,491.3万
投资活动现金流量
持续投资活动现金净额
资本性支出
3.44%-1,363.3万
-7.98%-1,548.5万
-9.57%-1,948.9万
6.94%-7,541.4万
-20.48%-2,916.7万
21.99%-1,411.9万
26.26%-1,434.1万
7.77%-1,778.7万
-4.57%-8,103.8万
8.56%-2,420.8万
固定资产交易的净现金流
-79.41%1.4万
171.23%19.8万
-17.54%14.1万
279.66%132.5万
1,347.14%101.3万
585.71%6.8万
-68.26%7.3万
171.43%17.1万
-95.20%34.9万
-98.94%7万
业务交易的净现金流
-224.76%-469.6万
-132.96%-3,792.6万
106.95%165.8万
22.38%-5,023.8万
-67.30%-864.6万
72.62%-144.6万
67.54%-1,628万
-479.69%-2,386.6万
30.97%-6,472.5万
-901.24%-516.8万
非持续投资活动现金净额
投资活动现金净额
-18.18%-1,831.5万
-74.19%-5,321.3万
57.35%-1,769万
14.50%-1.24亿
-25.57%-3,680万
33.76%-1,549.7万
55.97%-3,054.8万
-77.74%-4,148.2万
11.32%-1.45亿
-105.56%-2,930.6万
融资活动现金流量
持续融资活动现金净额
债务发行/偿还的净现金流
-164.95%-855.7万
115.01%8,978.4万
--0
-154.30%-2,421.1万
69.56%-674.7万
170.28%1,317.4万
-61.50%4,175.8万
-215.45%-7,239.6万
-74.37%4,458.9万
-215.03%-2,216.7万
普通股发行/偿还的净现金流
--0
---1,398.8万
---65.4万
--0
--0
--0
--0
--0
90.52%-910.9万
--0
现金股利支付
----
-98.09%-5,173.5万
----
0.00%-2,611.7万
--0
----
0.00%-2,611.7万
----
0.95%-2,611.7万
--0
其他融资活动的净现金流额
94.08%-27.9万
----
----
-2,264.58%-454万
--454.6万
-2,592.00%-471.1万
---437.5万
----
-7.26%-19.2万
--0
非持续融资活动现金净额
融资活动现金净额
-901.39%-1,501.8万
234.33%1,748.9万
91.18%-693.6万
-393.23%-8,068.7万
69.39%-913.4万
107.39%187.4万
-93.17%523.1万
-108.63%-7,865.8万
-154.25%-1,635.9万
-162.45%-2,984.1万
现金净流量
期初现金流
33.96%7,775.7万
80.08%1.18亿
-28.79%6,446.1万
-15.67%9,051.7万
-22.42%6,658.6万
-51.66%5,804.4万
-50.05%6,560.9万
-15.67%9,051.7万
41.41%1.07亿
-6.05%8,583.3万
当期现金流变化
-129.41%-240.6万
-487.56%-4,123.5万
325.67%5,420.7万
-52.19%-2,548.6万
-145.58%-262.8万
123.24%818.1万
30.48%-701.8万
-205.40%-2,402.1万
-153.24%-1,674.6万
-64.74%576.6万
利率变动影响
-204.43%-37.7万
254.30%84.4万
41.38%-52万
-612.50%-57万
146.49%50.3万
-62.94%36.1万
54.45%-54.7万
-172.17%-88.7万
-344.44%-8万
-187.77%-108.2万
期末现金流
12.60%7,497.4万
33.96%7,775.7万
80.08%1.18亿
-28.79%6,446.1万
-28.79%6,446.1万
-22.42%6,658.6万
-51.66%5,804.4万
-50.05%6,560.9万
-15.67%9,051.7万
-15.67%9,051.7万
自由现金流
125.04%1,729.4万
-630.47%-2,099.6万
-24.24%5,934.4万
62.71%1.04亿
-65.26%1,413.9万
268.75%768.5万
110.78%395.8万
21.36%7,833.2万
-27.10%6,398.9万
162.48%4,070.5万
货币单位
欧元
欧元
欧元
欧元
欧元
欧元
欧元
欧元
欧元
欧元
(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(FY)2022/12/31(Q4)2022/12/31
经营活动现金流量(间接法)
持续经营活动现金净额
持续经营净收入 -48.78%859.1万-55.57%1,381.3万26.92%1,839.2万-36.76%4,687.2万-208.26%-1,548.5万-43.06%1,677.4万156.68%3,109.2万-20.56%1,449.1万7.37%7,411.7万14.75%1,430.3万
递延税费 5,455.00%111.1万-15,177.78%-271.4万2,131.25%65万-4,445.74%-1,529.7万-162.31%-1,530.3万-99.35%2万116.51%1.8万-101.00%-3.2万107.55%35.2万-3.99%-583.4万
其他非现金项目 190.87%358.3万-231.47%-490.9万763.64%285万-309.43%-955.2万-1,377.36%-445.8万-124.22%-394.3万86.36%-148.1万127.25%33万184.60%456.1万105.37%34.9万
营运资金变化 37.07%-1,312.2万48.98%-1,661.5万-3.01%5,441.1万78.94%-909.2万41.04%-1,177.5万53.46%-2,085.3万-3.38%-3,256.3万5.65%5,610.1万-491.94%-4,317.2万-248.49%-1,997.2万
-应收款项(增)减 -72.23%299.1万722.01%5,232.1万-951.12%-5,152.6万140.38%1,540.9万113.89%317.8万157.93%1,077万-80.04%636.5万82.85%-490.2万-82.23%-3,816.1万-1,629.71%-2,288.4万
-存货(增)减 -173.39%-65.9万-163.09%-116.4万-61.43%212.3万220.41%1,058.2万-56.49%233.5万116.52%89.8万128.96%184.5万334.31%550.4万-285.44%-878.8万1,319.77%536.7万
-其他流动资产变化 16.79%-2,228.8万0.35%-3,798.9万15.12%1.02亿-42.03%-1,473.8万-39.38%-3,850.3万2.35%-2,678.5万-30.12%-3,812.3万19.87%8,867.3万-255.95%-1,037.7万-16.18%-2,762.4万
-其他流动负债变化 130.70%244.9万-14,926.67%-901.6万93.38%239.6万151.74%73万970.70%752.7万-1,987.96%-797.6万99.38%-6万-84.31%123.9万-138.44%-141.1万55.53%70.3万
非持续经营活动现金净额
经营活动现金净额 41.84%3,092.7万-130.12%-551.1万-17.98%7,883.3万23.79%1.8亿-33.29%4,330.6万60.82%2,180.4万205.93%1,829.9万14.66%9,611.9万-12.25%1.45亿54.62%6,491.3万
投资活动现金流量
持续投资活动现金净额
资本性支出 3.44%-1,363.3万-7.98%-1,548.5万-9.57%-1,948.9万6.94%-7,541.4万-20.48%-2,916.7万21.99%-1,411.9万26.26%-1,434.1万7.77%-1,778.7万-4.57%-8,103.8万8.56%-2,420.8万
固定资产交易的净现金流 -79.41%1.4万171.23%19.8万-17.54%14.1万279.66%132.5万1,347.14%101.3万585.71%6.8万-68.26%7.3万171.43%17.1万-95.20%34.9万-98.94%7万
业务交易的净现金流 -224.76%-469.6万-132.96%-3,792.6万106.95%165.8万22.38%-5,023.8万-67.30%-864.6万72.62%-144.6万67.54%-1,628万-479.69%-2,386.6万30.97%-6,472.5万-901.24%-516.8万
非持续投资活动现金净额
投资活动现金净额 -18.18%-1,831.5万-74.19%-5,321.3万57.35%-1,769万14.50%-1.24亿-25.57%-3,680万33.76%-1,549.7万55.97%-3,054.8万-77.74%-4,148.2万11.32%-1.45亿-105.56%-2,930.6万
融资活动现金流量
持续融资活动现金净额
债务发行/偿还的净现金流 -164.95%-855.7万115.01%8,978.4万--0-154.30%-2,421.1万69.56%-674.7万170.28%1,317.4万-61.50%4,175.8万-215.45%-7,239.6万-74.37%4,458.9万-215.03%-2,216.7万
普通股发行/偿还的净现金流 --0---1,398.8万---65.4万--0--0--0--0--090.52%-910.9万--0
现金股利支付 -----98.09%-5,173.5万----0.00%-2,611.7万--0----0.00%-2,611.7万----0.95%-2,611.7万--0
其他融资活动的净现金流额 94.08%-27.9万---------2,264.58%-454万--454.6万-2,592.00%-471.1万---437.5万-----7.26%-19.2万--0
非持续融资活动现金净额
融资活动现金净额 -901.39%-1,501.8万234.33%1,748.9万91.18%-693.6万-393.23%-8,068.7万69.39%-913.4万107.39%187.4万-93.17%523.1万-108.63%-7,865.8万-154.25%-1,635.9万-162.45%-2,984.1万
现金净流量
期初现金流 33.96%7,775.7万80.08%1.18亿-28.79%6,446.1万-15.67%9,051.7万-22.42%6,658.6万-51.66%5,804.4万-50.05%6,560.9万-15.67%9,051.7万41.41%1.07亿-6.05%8,583.3万
当期现金流变化 -129.41%-240.6万-487.56%-4,123.5万325.67%5,420.7万-52.19%-2,548.6万-145.58%-262.8万123.24%818.1万30.48%-701.8万-205.40%-2,402.1万-153.24%-1,674.6万-64.74%576.6万
利率变动影响 -204.43%-37.7万254.30%84.4万41.38%-52万-612.50%-57万146.49%50.3万-62.94%36.1万54.45%-54.7万-172.17%-88.7万-344.44%-8万-187.77%-108.2万
期末现金流 12.60%7,497.4万33.96%7,775.7万80.08%1.18亿-28.79%6,446.1万-28.79%6,446.1万-22.42%6,658.6万-51.66%5,804.4万-50.05%6,560.9万-15.67%9,051.7万-15.67%9,051.7万
自由现金流 125.04%1,729.4万-630.47%-2,099.6万-24.24%5,934.4万62.71%1.04亿-65.26%1,413.9万268.75%768.5万110.78%395.8万21.36%7,833.2万-27.10%6,398.9万162.48%4,070.5万
货币单位 欧元欧元欧元欧元欧元欧元欧元欧元欧元欧元
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