美股市场个股详情

CURRENCY EXCHANGE INTL CORP (CURN)

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  • 19.560
  • 0.0000.00%
延时15分钟行情收盘价 03/25 13:00 (美东)
1.17亿总市值10.75市盈率TTM

CURRENCY EXCHANGE INTL CORP (CURN) 现金流量表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2026/01/31
(FY)2025/10/31
(Q4)2025/10/31
(Q3)2025/07/31
(Q2)2025/04/30
(Q1)2025/01/31
(FY)2024/10/31
(Q4)2024/10/31
(Q3)2024/07/31
(Q2)2024/04/30
经营活动现金流量(间接法)
持续经营活动现金净额
117.65%123.35万
-42.71%1,541.34万
116.13%360.33万
-34.51%922.64万
-11.61%957.19万
-128.74%-698.81万
2,477.36%2,690.23万
-90.33%-2,233.42万
159.30%1,408.88万
-19.74%1,082.92万
持续经营净收入
87.78%152.58万
317.11%1,031.88万
216.33%327.81万
7.87%424.51万
291.50%198.3万
-4.39%81.25万
-75.73%247.38万
-222.31%-281.79万
-2.99%393.54万
-77.42%50.65万
持续经营损益
----
--2.28万
--37.32万
---35.62万
----
----
----
----
----
----
折旧和摊销
-0.96%86.33万
-5.83%355.07万
-13.65%91.28万
-6.91%89.39万
-0.28%87.24万
-0.74%87.17万
10.72%377.04万
23.63%105.71万
12.55%96.02万
2.08%87.49万
其他非现金项目
98.04%-5,177
-508.70%-105.23万
-360.30%-57.23万
---4.89万
-44,557.75%-16.7万
-448.15%-26.41万
77.43%-17.29万
---12.43万
--0
---374
营运资金变化
81.92%-150.68万
-90.73%153.38万
94.88%-119.49万
-51.10%434.72万
-25.77%671.55万
-137.96%-833.4万
210.68%1,654.82万
-69.81%-2,334.6万
5,744.64%889.04万
-10.62%904.68万
-应收款项(增)减
-114.75%-37.39万
-25.31%758.83万
122.11%915.57万
-120.74%-249.33万
89.88%-160.88万
-74.43%253.46万
246.90%1,015.97万
171.85%412.21万
1,326.51%1,202.23万
-704.00%-1,589.66万
-应付款项及应计费用(减)增
82.51%-141.88万
-285.66%-872.49万
60.01%-1,110.89万
259.45%521.98万
-79.43%527.7万
-180.30%-811.28万
143.85%469.93万
-477.04%-2,777.94万
15.07%-327.36万
165.49%2,564.89万
-其他流动资产变化
7.52%-58.78万
-220.63%-56.49万
719.13%24.8万
192.75%124.66万
-316.17%-142.39万
-10.31%-63.56万
-83.71%46.83万
93.82%-4.01万
-46.87%42.58万
258.08%65.87万
-其他营运资本变化
141.21%87.37万
164.99%323.53万
45.23%51.04万
231.63%37.4万
427.74%447.12万
-184.21%-212.03万
732.50%122.09万
113.79%35.14万
-112.03%-28.41万
22.23%-136.42万
非持续经营活动现金净额
经营活动现金净额
117.65%123.35万
-42.71%1,541.34万
116.13%360.33万
-34.51%922.64万
-11.61%957.19万
-128.74%-698.81万
2,477.36%2,690.23万
-90.33%-2,233.42万
159.30%1,408.88万
-19.74%1,082.92万
投资活动现金流量
持续投资活动现金净额
48.15%-21.55万
50.50%-148.67万
61.75%-32.49万
67.79%-38.59万
46.64%-36.03万
-48.15%-41.56万
-134.61%-300.31万
-41.69%-84.93万
-490.62%-119.8万
-165.98%-67.52万
固定资产交易的净现金流
69.59%-7.06万
74.11%-57.26万
85.81%-8.96万
83.77%-14.84万
80.24%-10.24万
-57.78%-23.21万
-190.58%-221.19万
-103.44%-63.17万
-599.42%-91.47万
-168.41%-51.84万
无形资产交易净现金流
21.03%-14.49万
-15.53%-91.41万
-8.09%-23.52万
16.19%-23.74万
-64.42%-25.79万
-37.53%-18.35万
-49.62%-79.12万
24.68%-21.76万
-293.16%-28.33万
-121.74%-15.68万
非持续投资活动现金净额
投资活动现金净额
48.15%-21.55万
50.50%-148.67万
61.75%-32.49万
67.79%-38.59万
46.64%-36.03万
-48.15%-41.56万
-134.61%-300.31万
-41.69%-84.93万
-490.62%-119.8万
-165.98%-67.52万
融资活动现金流量
持续融资活动现金净额
-325.89%-311.74万
12.63%-1,271.03万
-98.51%-330.12万
-435.60%-718.97万
-2,841.49%-148.74万
93.69%-73.2万
-310.36%-1,454.83万
-119.82%-166.31万
85.32%-134.24万
100.55%5.43万
债务发行/偿还的净现金流
-277.14%-61.31万
37.14%-736.91万
0.04%-55.05万
-907.43%-567.83万
-201.81%-97.78万
98.59%-16.26万
-273.44%-1,172.39万
-106.82%-55.07万
93.85%-56.36万
109.94%96.05万
普通股发行/偿还的净现金流
-345.27%-250.43万
-73.10%-475.91万
-96.80%-190.81万
-92.44%-161.76万
28.55%-67.1万
---56.24万
---274.93万
---96.96万
---84.06万
---93.92万
职工行使股票期权收到的现金
--0
-674.81%-58.2万
-6,670.27%-54.11万
-18.12%5,111
-537.20%-3.91万
89.61%-6,983
-220.69%-7.51万
-102.95%-7,992
133.52%6,242
97.87%-6,135
其他融资活动的净现金流额
----
----
----
81.64%10.1万
156.68%10.04万
149.98%10.02万
29.52%23.29万
158.24%9.81万
22.03%5.56万
-17.83%3.91万
非持续融资活动现金净额
融资活动现金净额
-325.89%-311.74万
12.63%-1,271.03万
-98.51%-330.12万
-435.60%-718.97万
-2,841.49%-148.74万
93.69%-73.2万
-310.36%-1,454.83万
-119.82%-166.31万
85.32%-134.24万
100.55%5.43万
现金净流量
期初现金流
1.04%1.03亿
9.88%1.02亿
-18.71%1.03亿
-12.11%1.02亿
-12.22%9,288.98万
9.88%1.02亿
4.70%9,272.03万
29.67%1.27亿
14.04%1.16亿
7.45%1.06亿
当期现金流变化
74.20%-209.94万
-86.99%121.64万
99.91%-2.28万
-85.71%165.07万
-24.33%772.42万
-165.39%-813.57万
107.60%935.09万
-530.00%-2,484.66万
395.12%1,154.84万
205.83%1,020.83万
利率变动影响
124.22%20.63万
18.85%-15.74万
-1,097.15%-5.62万
51.53%-15.91万
275.73%90.97万
-229.71%-85.18万
43.51%-19.4万
99.56%-4,694
-192.99%-32.83万
2.22%-51.77万
期末现金流
8.78%1.01亿
1.04%1.03亿
1.04%1.03亿
-18.71%1.03亿
-12.11%1.02亿
-12.22%9,288.98万
9.88%1.02亿
9.88%1.02亿
29.67%1.27亿
14.04%1.16亿
自由现金流
113.75%101.8万
-41.73%1,392.67万
114.14%327.84万
-31.42%884.05万
-9.28%921.16万
-130.80%-740.37万
1,086.91%2,389.92万
-87.97%-2,318.36万
146.45%1,289.08万
-23.25%1,015.4万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
审计意见
--
无保留意见
--
--
--
--
无保留意见
--
--
--
(Q1)2026/01/31(FY)2025/10/31(Q4)2025/10/31(Q3)2025/07/31(Q2)2025/04/30(Q1)2025/01/31(FY)2024/10/31(Q4)2024/10/31(Q3)2024/07/31(Q2)2024/04/30
经营活动现金流量(间接法)
持续经营活动现金净额 117.65%123.35万-42.71%1,541.34万116.13%360.33万-34.51%922.64万-11.61%957.19万-128.74%-698.81万2,477.36%2,690.23万-90.33%-2,233.42万159.30%1,408.88万-19.74%1,082.92万
持续经营净收入 87.78%152.58万317.11%1,031.88万216.33%327.81万7.87%424.51万291.50%198.3万-4.39%81.25万-75.73%247.38万-222.31%-281.79万-2.99%393.54万-77.42%50.65万
持续经营损益 ------2.28万--37.32万---35.62万------------------------
折旧和摊销 -0.96%86.33万-5.83%355.07万-13.65%91.28万-6.91%89.39万-0.28%87.24万-0.74%87.17万10.72%377.04万23.63%105.71万12.55%96.02万2.08%87.49万
其他非现金项目 98.04%-5,177-508.70%-105.23万-360.30%-57.23万---4.89万-44,557.75%-16.7万-448.15%-26.41万77.43%-17.29万---12.43万--0---374
营运资金变化 81.92%-150.68万-90.73%153.38万94.88%-119.49万-51.10%434.72万-25.77%671.55万-137.96%-833.4万210.68%1,654.82万-69.81%-2,334.6万5,744.64%889.04万-10.62%904.68万
-应收款项(增)减 -114.75%-37.39万-25.31%758.83万122.11%915.57万-120.74%-249.33万89.88%-160.88万-74.43%253.46万246.90%1,015.97万171.85%412.21万1,326.51%1,202.23万-704.00%-1,589.66万
-应付款项及应计费用(减)增 82.51%-141.88万-285.66%-872.49万60.01%-1,110.89万259.45%521.98万-79.43%527.7万-180.30%-811.28万143.85%469.93万-477.04%-2,777.94万15.07%-327.36万165.49%2,564.89万
-其他流动资产变化 7.52%-58.78万-220.63%-56.49万719.13%24.8万192.75%124.66万-316.17%-142.39万-10.31%-63.56万-83.71%46.83万93.82%-4.01万-46.87%42.58万258.08%65.87万
-其他营运资本变化 141.21%87.37万164.99%323.53万45.23%51.04万231.63%37.4万427.74%447.12万-184.21%-212.03万732.50%122.09万113.79%35.14万-112.03%-28.41万22.23%-136.42万
非持续经营活动现金净额
经营活动现金净额 117.65%123.35万-42.71%1,541.34万116.13%360.33万-34.51%922.64万-11.61%957.19万-128.74%-698.81万2,477.36%2,690.23万-90.33%-2,233.42万159.30%1,408.88万-19.74%1,082.92万
投资活动现金流量
持续投资活动现金净额 48.15%-21.55万50.50%-148.67万61.75%-32.49万67.79%-38.59万46.64%-36.03万-48.15%-41.56万-134.61%-300.31万-41.69%-84.93万-490.62%-119.8万-165.98%-67.52万
固定资产交易的净现金流 69.59%-7.06万74.11%-57.26万85.81%-8.96万83.77%-14.84万80.24%-10.24万-57.78%-23.21万-190.58%-221.19万-103.44%-63.17万-599.42%-91.47万-168.41%-51.84万
无形资产交易净现金流 21.03%-14.49万-15.53%-91.41万-8.09%-23.52万16.19%-23.74万-64.42%-25.79万-37.53%-18.35万-49.62%-79.12万24.68%-21.76万-293.16%-28.33万-121.74%-15.68万
非持续投资活动现金净额
投资活动现金净额 48.15%-21.55万50.50%-148.67万61.75%-32.49万67.79%-38.59万46.64%-36.03万-48.15%-41.56万-134.61%-300.31万-41.69%-84.93万-490.62%-119.8万-165.98%-67.52万
融资活动现金流量
持续融资活动现金净额 -325.89%-311.74万12.63%-1,271.03万-98.51%-330.12万-435.60%-718.97万-2,841.49%-148.74万93.69%-73.2万-310.36%-1,454.83万-119.82%-166.31万85.32%-134.24万100.55%5.43万
债务发行/偿还的净现金流 -277.14%-61.31万37.14%-736.91万0.04%-55.05万-907.43%-567.83万-201.81%-97.78万98.59%-16.26万-273.44%-1,172.39万-106.82%-55.07万93.85%-56.36万109.94%96.05万
普通股发行/偿还的净现金流 -345.27%-250.43万-73.10%-475.91万-96.80%-190.81万-92.44%-161.76万28.55%-67.1万---56.24万---274.93万---96.96万---84.06万---93.92万
职工行使股票期权收到的现金 --0-674.81%-58.2万-6,670.27%-54.11万-18.12%5,111-537.20%-3.91万89.61%-6,983-220.69%-7.51万-102.95%-7,992133.52%6,24297.87%-6,135
其他融资活动的净现金流额 ------------81.64%10.1万156.68%10.04万149.98%10.02万29.52%23.29万158.24%9.81万22.03%5.56万-17.83%3.91万
非持续融资活动现金净额
融资活动现金净额 -325.89%-311.74万12.63%-1,271.03万-98.51%-330.12万-435.60%-718.97万-2,841.49%-148.74万93.69%-73.2万-310.36%-1,454.83万-119.82%-166.31万85.32%-134.24万100.55%5.43万
现金净流量
期初现金流 1.04%1.03亿9.88%1.02亿-18.71%1.03亿-12.11%1.02亿-12.22%9,288.98万9.88%1.02亿4.70%9,272.03万29.67%1.27亿14.04%1.16亿7.45%1.06亿
当期现金流变化 74.20%-209.94万-86.99%121.64万99.91%-2.28万-85.71%165.07万-24.33%772.42万-165.39%-813.57万107.60%935.09万-530.00%-2,484.66万395.12%1,154.84万205.83%1,020.83万
利率变动影响 124.22%20.63万18.85%-15.74万-1,097.15%-5.62万51.53%-15.91万275.73%90.97万-229.71%-85.18万43.51%-19.4万99.56%-4,694-192.99%-32.83万2.22%-51.77万
期末现金流 8.78%1.01亿1.04%1.03亿1.04%1.03亿-18.71%1.03亿-12.11%1.02亿-12.22%9,288.98万9.88%1.02亿9.88%1.02亿29.67%1.27亿14.04%1.16亿
自由现金流 113.75%101.8万-41.73%1,392.67万114.14%327.84万-31.42%884.05万-9.28%921.16万-130.80%-740.37万1,086.91%2,389.92万-87.97%-2,318.36万146.45%1,289.08万-23.25%1,015.4万
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审计意见 --无保留意见--------无保留意见------
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