加拿大市场个股详情

Doman Building Materials Group Ltd (DBM)

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  • 10.230
  • +0.220+2.20%
延时15分钟行情已收盘 05/06 16:00 (美东)
8.98亿总市值11.12市盈率TTM

Doman Building Materials Group Ltd (DBM) 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
71.53%1.84亿
373.36%3,735.7万
-10.46%1.61亿
57.87%1.12亿
2.84%-1.26亿
-20.60%1.07亿
-279.20%-1,366.6万
33.91%1.8亿
1.79%7,085.1万
-69.98%-1.3亿
持续经营净收入
48.19%8,030万
33.11%1,100万
23.98%1,806万
63.01%2,768.2万
63.89%2,355.8万
-28.50%5,418.7万
-21.48%826.4万
-31.15%1,456.7万
-41.83%1,698.2万
-3.60%1,437.4万
折旧摊销及损耗
29.53%1亿
4.79%2,525万
38.93%2,501.8万
43.58%2,527.9万
39.76%2,450.2万
13.42%7,724.1万
42.93%2,409.5万
6.95%1,800.8万
1.80%1,760.6万
2.44%1,753.2万
递延税费
-54.49%320万
-17,327.66%-809.7万
-53.65%89万
158.25%780.7万
27.39%260万
-39.67%703.1万
101.34%4.7万
-50.63%192万
-66.46%302.3万
-9.65%204.1万
其他非现金项目
27.22%6,859.3万
-9.22%1,673.5万
23.74%1,491.7万
54.54%1,914.3万
61.20%1,779.8万
27.77%5,391.7万
93.31%1,843.4万
9.48%1,205.5万
11.81%1,238.7万
4.45%1,104.1万
营运资金变化
150.20%2,069.1万
109.90%528.8万
-6.97%1.3亿
40.04%5,565.9万
-1.77%-1.71亿
-162.81%-4,121.9万
-378.95%-5,344.1万
59.15%1.4亿
81.61%3,974.5万
-46.47%-1.68亿
-应收款项(增)减
71.11%-861.3万
184.55%9,859.4万
-30.23%5,087.4万
30.40%348.7万
-15.36%-1.62亿
-241.68%-2,981.2万
-39.08%3,464.9万
-2.76%7,291.7万
111.56%267.4万
-19.24%-1.4亿
-存货(增)减
255.74%2,777.4万
19.94%-4,888.5万
39.54%7,216.4万
33.20%5,250.3万
-0.22%-4,800.8万
-303.63%-1,783.4万
-52.54%-6,106.3万
161.80%5,171.4万
0.13%3,941.6万
-363.89%-4,790.1万
-预付费用(增)减
212.42%326.7万
78.69%-114.1万
-88.33%22.1万
52.62%136.9万
360.20%281.8万
-749.71%-290.6万
-551.05%-535.4万
181.95%189.3万
138.17%89.7万
-134.59%-108.3万
-应付款项及应计费用(减)增
-118.61%-173.7万
-99.70%-4,328万
-47.98%704.6万
47.56%-170万
68.81%3,619.7万
160.70%933.3万
25.74%-2,167.3万
406.61%1,354.6万
-140.47%-324.2万
109.81%2,144.3万
已付利息(经营活动产生的现金流)
-64.94%-5,946.3万
22.82%-835.7万
-216.59%-1,757.7万
5.82%-1,399.8万
-306.13%-1,953.1万
-5.49%-3,605.2万
11.62%-1,082.8万
-35.25%-555.2万
-3.60%-1,486.3万
-38.47%-480.9万
已支付退税
-279.93%-2,903.8万
-1,782.70%-446.2万
-918.61%-1,040万
-141.28%-972.1万
-89.09%-445.5万
39.05%-764.3万
90.03%-23.7万
56.59%-102.1万
10.65%-402.9万
28.65%-235.6万
非持续经营活动现金净额
经营活动现金净额
71.53%1.84亿
373.36%3,735.7万
-10.46%1.61亿
57.87%1.12亿
2.84%-1.26亿
-20.60%1.07亿
-279.20%-1,366.6万
33.91%1.8亿
1.79%7,085.1万
-69.98%-1.3亿
投资活动现金流量
持续投资活动现金净额
109.61%4,558.8万
96.46%-1,427.1万
1,393.76%5,124.6万
35.61%-235.2万
117.18%1,096.5万
-3,253.81%-4.74亿
-10,745.91%-4.03亿
51.15%-396.1万
-183.18%-365.3万
-6,109.24%-6,383.1万
固定资产交易净额
452.66%4,742.2万
-128.16%-1,311.7万
1,410.93%5,192.6万
35.61%-235.2万
120.92%1,096.5万
4.91%-1,344.7万
1,354.23%4,658.2万
51.15%-396.1万
-183.18%-365.3万
-4,998.74%-5,241.5万
业务交易净额
99.60%-183.4万
----
----
----
----
---4.61亿
----
----
----
----
其他投资活动净额
----
----
---68万
----
----
----
----
----
----
---1,141.6万
非持续投资活动现金净额
投资活动现金净额
109.61%4,558.8万
96.46%-1,427.1万
1,393.76%5,124.6万
35.61%-235.2万
117.18%1,096.5万
-3,253.81%-4.74亿
-10,745.91%-4.03亿
51.15%-396.1万
-183.18%-365.3万
-6,109.24%-6,383.1万
融资活动现金流量
持续融资活动现金净额
-168.22%-2.36亿
-106.65%-2,670.1万
-44.28%-2.16亿
-91.66%-1.14亿
-21.17%1.21亿
502.58%3.46亿
1,150.64%4.01亿
-18.06%-1.5亿
13.21%-5,955.2万
98.20%1.54亿
债务发行/偿还的净额
-146.22%-1.86亿
-102.70%-1,123.2万
-54.40%-2.05亿
-120.11%-1.02亿
-19.49%1.33亿
1,147.62%4.01亿
838.63%4.16亿
-15.44%-1.33亿
17.99%-4,626.3万
85.38%1.65亿
普通股发行/回购的净额
27.12%184.7万
--0
39.09%103.9万
--0
15.76%80.8万
16.89%145.3万
--5,000
17.82%74.7万
118.75%3,000
11.68%69.8万
已支付现金股息
-0.34%-4,897.4万
-0.39%-1,226.8万
-0.39%-1,224.9万
-0.30%-1,223.6万
-0.29%-1,222.1万
-0.23%-4,880.8万
-0.30%-1,222万
-0.29%-1,220.2万
-0.29%-1,220万
-0.06%-1,218.6万
其他融资活动的净现金流额
64.09%-305.8万
-43.87%-320.1万
112.19%63.4万
93.13%-7.5万
---41.6万
-13,206.25%-851.6万
-11,025.00%-222.5万
-25,895.00%-519.9万
-4,450.00%-109.2万
----
非持续融资活动现金净额
融资活动现金净额
-168.22%-2.36亿
-106.65%-2,670.1万
-44.28%-2.16亿
-91.66%-1.14亿
-21.17%1.21亿
502.58%3.46亿
1,150.64%4.01亿
-18.06%-1.5亿
13.21%-5,955.2万
98.20%1.54亿
现金净流量
期初现金流
-68.70%938万
-77.74%556.7万
851.40%991.1万
272.86%1,564.7万
-68.70%938万
807.51%2,997万
673.58%2,500.8万
70.83%-131.9万
-126.58%-905.2万
807.51%2,997万
当期现金流变化
72.66%-581万
76.30%-361.5万
-112.99%-343.6万
-160.69%-464万
114.67%588.1万
-160.10%-2,125.4万
-142.37%-1,525.2万
6,664.02%2,645.3万
2,665.77%764.6万
-55,032.88%-4,010.1万
利率变动影响
-365.36%-176.2万
61.70%-14.4万
-620.63%-90.8万
-1,359.77%-109.6万
-64.23%38.6万
157.24%66.4万
77.40%-37.6万
-122.30%-12.6万
137.99%8.7万
542.26%107.9万
期末现金流
-80.72%180.8万
-80.72%180.8万
-77.74%556.7万
851.40%991.1万
272.86%1,564.7万
-68.70%938万
-68.70%938万
673.58%2,500.8万
70.83%-131.9万
-126.58%-905.2万
自由现金流
66.53%1.55亿
-25.54%2,420.4万
-13.98%1.51亿
63.21%1.09亿
28.89%-1.3亿
-22.86%9,326.1万
732.05%3,250.8万
39.38%1.76亿
-1.66%6,692.8万
-135.45%-1.82亿
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
--
--
--
--
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 71.53%1.84亿373.36%3,735.7万-10.46%1.61亿57.87%1.12亿2.84%-1.26亿-20.60%1.07亿-279.20%-1,366.6万33.91%1.8亿1.79%7,085.1万-69.98%-1.3亿
持续经营净收入 48.19%8,030万33.11%1,100万23.98%1,806万63.01%2,768.2万63.89%2,355.8万-28.50%5,418.7万-21.48%826.4万-31.15%1,456.7万-41.83%1,698.2万-3.60%1,437.4万
折旧摊销及损耗 29.53%1亿4.79%2,525万38.93%2,501.8万43.58%2,527.9万39.76%2,450.2万13.42%7,724.1万42.93%2,409.5万6.95%1,800.8万1.80%1,760.6万2.44%1,753.2万
递延税费 -54.49%320万-17,327.66%-809.7万-53.65%89万158.25%780.7万27.39%260万-39.67%703.1万101.34%4.7万-50.63%192万-66.46%302.3万-9.65%204.1万
其他非现金项目 27.22%6,859.3万-9.22%1,673.5万23.74%1,491.7万54.54%1,914.3万61.20%1,779.8万27.77%5,391.7万93.31%1,843.4万9.48%1,205.5万11.81%1,238.7万4.45%1,104.1万
营运资金变化 150.20%2,069.1万109.90%528.8万-6.97%1.3亿40.04%5,565.9万-1.77%-1.71亿-162.81%-4,121.9万-378.95%-5,344.1万59.15%1.4亿81.61%3,974.5万-46.47%-1.68亿
-应收款项(增)减 71.11%-861.3万184.55%9,859.4万-30.23%5,087.4万30.40%348.7万-15.36%-1.62亿-241.68%-2,981.2万-39.08%3,464.9万-2.76%7,291.7万111.56%267.4万-19.24%-1.4亿
-存货(增)减 255.74%2,777.4万19.94%-4,888.5万39.54%7,216.4万33.20%5,250.3万-0.22%-4,800.8万-303.63%-1,783.4万-52.54%-6,106.3万161.80%5,171.4万0.13%3,941.6万-363.89%-4,790.1万
-预付费用(增)减 212.42%326.7万78.69%-114.1万-88.33%22.1万52.62%136.9万360.20%281.8万-749.71%-290.6万-551.05%-535.4万181.95%189.3万138.17%89.7万-134.59%-108.3万
-应付款项及应计费用(减)增 -118.61%-173.7万-99.70%-4,328万-47.98%704.6万47.56%-170万68.81%3,619.7万160.70%933.3万25.74%-2,167.3万406.61%1,354.6万-140.47%-324.2万109.81%2,144.3万
已付利息(经营活动产生的现金流) -64.94%-5,946.3万22.82%-835.7万-216.59%-1,757.7万5.82%-1,399.8万-306.13%-1,953.1万-5.49%-3,605.2万11.62%-1,082.8万-35.25%-555.2万-3.60%-1,486.3万-38.47%-480.9万
已支付退税 -279.93%-2,903.8万-1,782.70%-446.2万-918.61%-1,040万-141.28%-972.1万-89.09%-445.5万39.05%-764.3万90.03%-23.7万56.59%-102.1万10.65%-402.9万28.65%-235.6万
非持续经营活动现金净额
经营活动现金净额 71.53%1.84亿373.36%3,735.7万-10.46%1.61亿57.87%1.12亿2.84%-1.26亿-20.60%1.07亿-279.20%-1,366.6万33.91%1.8亿1.79%7,085.1万-69.98%-1.3亿
投资活动现金流量
持续投资活动现金净额 109.61%4,558.8万96.46%-1,427.1万1,393.76%5,124.6万35.61%-235.2万117.18%1,096.5万-3,253.81%-4.74亿-10,745.91%-4.03亿51.15%-396.1万-183.18%-365.3万-6,109.24%-6,383.1万
固定资产交易净额 452.66%4,742.2万-128.16%-1,311.7万1,410.93%5,192.6万35.61%-235.2万120.92%1,096.5万4.91%-1,344.7万1,354.23%4,658.2万51.15%-396.1万-183.18%-365.3万-4,998.74%-5,241.5万
业务交易净额 99.60%-183.4万-------------------4.61亿----------------
其他投资活动净额 -----------68万---------------------------1,141.6万
非持续投资活动现金净额
投资活动现金净额 109.61%4,558.8万96.46%-1,427.1万1,393.76%5,124.6万35.61%-235.2万117.18%1,096.5万-3,253.81%-4.74亿-10,745.91%-4.03亿51.15%-396.1万-183.18%-365.3万-6,109.24%-6,383.1万
融资活动现金流量
持续融资活动现金净额 -168.22%-2.36亿-106.65%-2,670.1万-44.28%-2.16亿-91.66%-1.14亿-21.17%1.21亿502.58%3.46亿1,150.64%4.01亿-18.06%-1.5亿13.21%-5,955.2万98.20%1.54亿
债务发行/偿还的净额 -146.22%-1.86亿-102.70%-1,123.2万-54.40%-2.05亿-120.11%-1.02亿-19.49%1.33亿1,147.62%4.01亿838.63%4.16亿-15.44%-1.33亿17.99%-4,626.3万85.38%1.65亿
普通股发行/回购的净额 27.12%184.7万--039.09%103.9万--015.76%80.8万16.89%145.3万--5,00017.82%74.7万118.75%3,00011.68%69.8万
已支付现金股息 -0.34%-4,897.4万-0.39%-1,226.8万-0.39%-1,224.9万-0.30%-1,223.6万-0.29%-1,222.1万-0.23%-4,880.8万-0.30%-1,222万-0.29%-1,220.2万-0.29%-1,220万-0.06%-1,218.6万
其他融资活动的净现金流额 64.09%-305.8万-43.87%-320.1万112.19%63.4万93.13%-7.5万---41.6万-13,206.25%-851.6万-11,025.00%-222.5万-25,895.00%-519.9万-4,450.00%-109.2万----
非持续融资活动现金净额
融资活动现金净额 -168.22%-2.36亿-106.65%-2,670.1万-44.28%-2.16亿-91.66%-1.14亿-21.17%1.21亿502.58%3.46亿1,150.64%4.01亿-18.06%-1.5亿13.21%-5,955.2万98.20%1.54亿
现金净流量
期初现金流 -68.70%938万-77.74%556.7万851.40%991.1万272.86%1,564.7万-68.70%938万807.51%2,997万673.58%2,500.8万70.83%-131.9万-126.58%-905.2万807.51%2,997万
当期现金流变化 72.66%-581万76.30%-361.5万-112.99%-343.6万-160.69%-464万114.67%588.1万-160.10%-2,125.4万-142.37%-1,525.2万6,664.02%2,645.3万2,665.77%764.6万-55,032.88%-4,010.1万
利率变动影响 -365.36%-176.2万61.70%-14.4万-620.63%-90.8万-1,359.77%-109.6万-64.23%38.6万157.24%66.4万77.40%-37.6万-122.30%-12.6万137.99%8.7万542.26%107.9万
期末现金流 -80.72%180.8万-80.72%180.8万-77.74%556.7万851.40%991.1万272.86%1,564.7万-68.70%938万-68.70%938万673.58%2,500.8万70.83%-131.9万-126.58%-905.2万
自由现金流 66.53%1.55亿-25.54%2,420.4万-13.98%1.51亿63.21%1.09亿28.89%-1.3亿-22.86%9,326.1万732.05%3,250.8万39.38%1.76亿-1.66%6,692.8万-135.45%-1.82亿
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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