(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 | (Q3)2022/09/30 | |
---|---|---|---|---|---|---|---|---|---|---|
经营活动现金流量(间接法) | ||||||||||
持续经营活动现金净额 | 65.80%-67.52万 | 57.00%-158.27万 | 76.77%-650.46万 | 71.38%-116.45万 | 103.42%31.51万 | 75.12%-197.44万 | 45.78%-368.08万 | 8.08%-2,800.64万 | 57.32%-406.87万 | -0.60%-921.3万 |
持续经营净收入 | 34.13%-264.71万 | 59.95%-187.12万 | 72.75%-1,645.17万 | 81.40%-554.98万 | 82.55%-221.16万 | 55.80%-401.85万 | 46.67%-467.19万 | -105.64%-6,037.03万 | -165.43%-2,984.26万 | -59.14%-1,267.56万 |
持续经营损益 | -68.16%14.57万 | 131.24%4.55万 | -52.73%42.42万 | 921.97%53.8万 | -164.19%-42.57万 | 91.24%45.76万 | -152.47%-14.57万 | 362.18%89.73万 | 184.88%5.26万 | 684.56%66.31万 |
折旧摊销及损耗 | 3.16%17.85万 | -9.30%18.92万 | -52.63%90.7万 | -38.98%25.02万 | -48.25%27.5万 | -70.03%17.31万 | -47.26%20.87万 | 15.78%191.46万 | -35.77%41.01万 | 32.20%53.15万 |
资产减值支出 | ---- | ---- | -83.29%341.63万 | -79.12%354.78万 | ---- | ---- | ---- | --2,044.72万 | --1,699.12万 | --345.61万 |
资产准备金与勾销 | 119.88%2.07万 | -112.93%-1.63万 | -34.42%37.68万 | 174.05%20.66万 | 89.55%14.8万 | -225.92%-10.41万 | -81.78%12.63万 | 213.59%57.46万 | -200.05%-27.9万 | 109.74%7.81万 |
以股票支付的报酬 | 129.14%8.25万 | -82.62%6.35万 | -72.84%41.77万 | 541.23%28.21万 | -89.18%5.34万 | -160.66%-28.32万 | -43.03%36.54万 | -60.64%153.77万 | -107.62%-6.39万 | -73.53%49.34万 |
递延税费 | ---- | ---- | --0 | --0 | ---- | ---- | ---- | -20,088.71%-79.34万 | --0 | ---23.29万 |
其他非现金项目 | 36.77%78.68万 | -98.81%9,995 | 35.45%129.34万 | -207.93%-75.76万 | 334.90%63.57万 | 73.67%57.53万 | 336.74%84.01万 | 57.22%95.49万 | 164.04%70.19万 | -11,737.40%-27.06万 |
营运资金变化 | -38.91%86.55万 | 4,700.65%46.06万 | -49.50%390.04万 | -96.26%32.38万 | 278.33%217万 | 1,101.08%141.66万 | -105.95%-1万 | 225.05%772.4万 | 4,759.54%865.48万 | 50.83%-121.68万 |
-应收款项(增)减 | -96.45%4.61万 | 27.37%-31.3万 | 250.61%68.83万 | -109.43%-4.34万 | 75.76%-13.38万 | 484.11%129.66万 | -1,484.07%-43.1万 | 58.93%-45.7万 | 136.82%45.99万 | -209.87%-55.22万 |
-存货(增)减 | -106.65%-45.88万 | 103.70%10.06万 | 140.24%84.37万 | -203.39%-289.89万 | 66.06%-44.01万 | 779.38%690.46万 | -5.20%-272.18万 | 41.39%-209.66万 | 272.68%280.39万 | 29.46%-129.68万 |
-预付费用(增)减 | 99.59%-1.55万 | -101.67%-3.29万 | 75.19%147.88万 | 46.84%337.66万 | 86.16%-9.19万 | -1,509.44%-377.7万 | 454.37%197.11万 | 140.72%84.41万 | 152.26%229.95万 | -43.24%-66.45万 |
-应付款项及应计费用(减)增 | 800.12%94.88万 | 514.92%27.16万 | -89.49%6.72万 | -109.76%-44.12万 | -28.91%46.84万 | -75.62%10.54万 | 72.90%-6.55万 | -79.02%63.93万 | -112.56%-21.03万 | 29.39%65.89万 |
-其他营运资本变动 | 111.08%34.49万 | -64.89%43.44万 | -90.65%82.24万 | -89.98%33.07万 | 271.23%236.75万 | -344.32%-311.3万 | -65.45%123.72万 | 457.31%879.42万 | 3,182.91%330.18万 | 153.85%63.78万 |
已付利息(经营活动产生的现金流) | 43.46%-10.93万 | -17.89%-46.82万 | 11.99%-79.77万 | 99.03%-6,829 | -405.83%-20.05万 | -92.42%-19.33万 | -550.94%-39.71万 | -254.53%-90.64万 | -950.61%-70.53万 | 40.68%-3.96万 |
已收到的利息(经营活动产生的现金流) | -29.49%1,487 | 17.62%4,178 | -31.07%9,099 | -89.69%1,193 | 430.73%2,245 | 160.37%2,109 | 799.24%3,552 | 297.26%1.32万 | 657.40%1.16万 | 582.26%423 |
非持续经营活动现金净额 | ||||||||||
经营活动现金净额 | 65.80%-67.52万 | 57.00%-158.27万 | 76.77%-650.46万 | 71.38%-116.45万 | 103.42%31.51万 | 75.12%-197.44万 | 45.78%-368.08万 | 8.08%-2,800.64万 | 57.32%-406.87万 | -0.60%-921.3万 |
投资活动现金流量 | ||||||||||
持续投资活动现金净额 | 0 | 0 | 108.51%44.35万 | 94.61%-1.67万 | 99.98%-173 | 101.47%3.53万 | 127.34%42.5万 | 33.32%-520.8万 | 80.65%-30.97万 | 81.90%-94.07万 |
固定资产交易净额 | --0 | --0 | 109.22%44.35万 | 95.36%-1.67万 | 99.98%-173 | 101.62%3.53万 | 128.82%42.5万 | 32.93%-480.82万 | 71.48%-36.02万 | 84.11%-79.59万 |
无形资产交易净额 | ---- | ---- | --0 | --0 | ---- | ---- | ---- | 33.80%-39.98万 | 114.92%5.04万 | 23.18%-14.48万 |
非持续投资活动现金净额 | ||||||||||
投资活动现金净额 | --0 | --0 | 108.51%44.35万 | 94.61%-1.67万 | 99.98%-173 | 101.47%3.53万 | 127.34%42.5万 | 33.32%-520.8万 | 80.65%-30.97万 | 81.90%-94.07万 |
融资活动现金流量 | ||||||||||
持续融资活动现金净额 | 583.79%46.84万 | -23.67%185.26万 | -77.89%326.96万 | 275.69%77.7万 | -100.05%-2,941 | -99.26%6.85万 | 1,222.63%242.71万 | -66.03%1,478.97万 | -98.86%20.68万 | 1,400.85%552.19万 |
债务发行/偿还的净额 | -255.67%-10.66万 | -951.69%-20.73万 | -91.08%86.69万 | 167.97%77.7万 | -100.05%-2,941 | -98.78%6.85万 | 109.21%2.43万 | 919.13%972.03万 | -142.70%-114.32万 | 2,075.10%552.19万 |
普通股发行/回购的净额 | --140.4万 | -48.77%123.09万 | -54.02%230.85万 | -106.98%-9.42万 | --0 | --0 | --240.27万 | -88.58%502.11万 | -92.73%135万 | --0 |
职工行使股票期权收到的现金 | ---- | --82.9万 | 95.41%9.42万 | --9.42万 | ---- | ---- | --0 | -93.75%4.82万 | --0 | --0 |
非持续融资活动现金净额 | ||||||||||
融资活动现金净额 | 583.79%46.84万 | -23.67%185.26万 | -77.89%326.96万 | 275.69%77.7万 | -100.05%-2,941 | -99.26%6.85万 | 1,222.63%242.71万 | -66.03%1,478.97万 | -98.86%20.68万 | 1,400.85%552.19万 |
现金净流量 | ||||||||||
期初现金流 | -79.52%43.01万 | -94.00%17.68万 | -86.23%294.49万 | -91.85%58.2万 | -97.73%26.69万 | -83.61%209.99万 | -86.23%294.49万 | 31.93%2,138.14万 | -50.71%714.27万 | -58.52%1,176.67万 |
当期现金流变化 | 88.94%-20.69万 | 132.57%26.99万 | 84.85%-279.15万 | 90.31%-40.42万 | 106.74%31.2万 | -76.05%-187.06万 | 90.32%-82.87万 | -450.46%-1,842.47万 | -159.94%-417.17万 | 66.88%-463.18万 |
利率变动影响 | -145.73%-1.72万 | -1.36%-1.66万 | 298.87%2.33万 | 95.96%-1,054 | -60.49%3,094 | 164.33%3.76万 | -112.01%-1.63万 | 85.76%-1.17万 | 62.60%-2.61万 | -92.86%7,830 |
期末现金流 | -22.81%20.61万 | -79.52%43.01万 | -94.00%17.68万 | -94.00%17.68万 | -91.85%58.2万 | -97.73%26.69万 | -83.61%209.99万 | -86.23%294.49万 | -86.23%294.49万 | -50.71%714.27万 |
自由现金流 | 65.80%-67.52万 | 57.00%-158.27万 | 80.39%-652.17万 | 73.24%-118.16万 | 103.10%31.51万 | 80.90%-197.44万 | 55.88%-368.08万 | 13.05%-3,325.14万 | 60.35%-441.55万 | 29.26%-1,015.37万 |
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 | -- | -- | 带解释段的无保留意见 | -- | -- | -- | -- | -- | -- | -- |
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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