加拿大市场个股详情

DRX ADF Group Inc

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  • 9.280
  • -0.420-4.33%
延时15分钟行情已收盘 12/04 15:47 (美东)
2.77亿总市值5.66市盈率TTM

ADF Group Inc关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2024/07/31
(Q1)2024/04/30
(FY)2024/01/31
(Q4)2024/01/31
(Q3)2023/10/31
(Q2)2023/07/31
(Q1)2023/04/30
(FY)2023/01/31
(Q4)2023/01/31
(Q3)2022/10/31
经营活动现金流量(间接法)
持续经营活动现金净额
800.48%8,238.5万
-154.14%-2,232.1万
3,080.86%7,786万
411.48%3,211.7万
-131.87%-463.2万
535.87%914.9万
970.30%4,122.6万
-197.86%-261.2万
22.86%-1,031.1万
156.85%1,453.5万
持续经营净收入
51.77%1,600万
184.21%1,526.5万
151.90%3,762.2万
348.61%1,051.1万
284.81%1,119.8万
94.29%1,054.2万
26.20%537.1万
56.17%1,493.5万
165.65%234.3万
4.38%291万
持续经营损益
128.99%24.5万
82.14%-10万
-38.61%-137.5万
-0.95%-191.8万
48.82%194.8万
-42.26%-84.5万
-390.16%-56万
-11.09%-99.2万
32.09%-190万
4,775.00%130.9万
折旧摊销及损耗
6.56%152.8万
3.12%148.9万
8.96%580万
-2.34%146.2万
3.69%146万
16.11%143.4万
22.06%144.4万
5.32%532.3万
12.39%149.7万
11.04%140.8万
以股票支付的报酬
-149.38%-80.1万
9,829.09%546.1万
532.04%457.6万
592.40%227.8万
134.34%62.1万
2,960.38%162.2万
-28.57%5.5万
100.55%72.4万
1,075.00%32.9万
212.29%26.5万
递延税费
1,422.25%622.6万
134.84%599.3万
357.74%878.4万
137.71%374.4万
433.08%207.9万
27.81%40.9万
797.27%255.2万
28.28%191.9万
46.92%157.5万
-15.03%39万
其他非现金项目
42.31%107.3万
17.42%93万
621.54%338.4万
-49.97%83.8万
145.10%100万
143.41%75.4万
543.90%79.2万
-54.29%46.9万
686.38%167.5万
22.89%40.8万
营运资金变化
1,460.63%6,048万
-266.89%-5,135.9万
174.13%1,916.2万
199.59%1,577万
-435.84%-2,293.8万
33.08%-444.5万
401.63%3,077.5万
-106.62%-2,585万
-13.96%-1,583.5万
456.19%683万
-应收款项(增)减
822.81%7,655.3万
-175.92%-2,644.9万
118.75%1,137.2万
107.88%390.9万
-140.23%-1,678.6万
70.05%-1,059.1万
299.99%3,484万
-7,912.95%-6,065.8万
-472.40%-4,960.7万
171.59%4,173万
-存货(增)减
323.40%160.4万
-235.01%-186.6万
-418.00%-284.9万
59.04%-10.2万
-402.88%-147.2万
-3.76%-71.8万
-486.32%-55.7万
79.73%-55万
33.78%-24.9万
122.34%48.6万
-预付费用(增)减
-102.22%-209.5万
106.97%15万
-1,277.67%-121.3万
-23.20%125.1万
46.06%72.3万
54.58%-103.6万
-927.31%-215.1万
-95.68%10.3万
20.67%162.9万
725.00%49.5万
-应付款项及应计费用(减)增
-386.89%-1,478.9万
746.92%744.6万
96.22%1,074.9万
631.75%1,242.7万
23.06%-568.2万
163.82%515.5万
-108.69%-115.1万
368.40%547.8万
92.73%-233.7万
-148.79%-738.5万
-其他营运资本变动
-128.89%-79.3万
-14,773.79%-3,064万
-96.30%110.3万
-104.94%-171.5万
100.98%27.9万
-90.77%274.5万
96.67%-20.6万
417.42%2,977.7万
776.55%3,472.9万
-4.92%-2,849.6万
已支付退税
-634.78%-236.6万
--0
-110.81%-9.3万
-11,460.00%-56.8万
--0
-101.25%-32.2万
--79.7万
160.27%86万
102.50%5,000
767.76%101.5万
非持续经营活动现金净额
经营活动现金净额
800.48%8,238.5万
-154.14%-2,232.1万
3,080.86%7,786万
411.48%3,211.7万
-131.87%-463.2万
535.87%914.9万
970.30%4,122.6万
-197.86%-261.2万
22.86%-1,031.1万
156.85%1,453.5万
投资活动现金流量
持续投资活动现金净额
-346.12%-453.7万
-60.20%-113.1万
48.13%-626.6万
22.79%-121.3万
-3.87%-333万
72.46%-101.7万
80.45%-70.6万
45.06%-1,208.1万
78.11%-157.1万
17.33%-320.6万
固定资产交易净额
-389.64%-449万
-105.15%-115.5万
49.68%-576.8万
24.60%-109.1万
1.08%-319.7万
73.70%-91.7万
82.92%-56.3万
46.63%-1,146.3万
79.46%-144.7万
14.32%-323.2万
无形资产交易净额
39.91%-13.1万
-44.30%-21.5万
-3.15%-72万
3.98%-19.3万
-23.08%-16万
-5.31%-21.8万
6.88%-14.9万
-18.51%-69.8万
-20.36%-20.1万
0.76%-13万
其他投资活动净额
-28.81%8.4万
3,883.33%23.9万
177.50%22.2万
-7.79%7.1万
-82.69%2.7万
11,700.00%11.8万
103.90%6,000
3.90%8万
120.00%7.7万
524.00%15.6万
非持续投资活动现金净额
投资活动现金净额
-346.12%-453.7万
-60.20%-113.1万
48.13%-626.6万
22.79%-121.3万
-3.87%-333万
72.46%-101.7万
80.45%-70.6万
45.06%-1,208.1万
78.11%-157.1万
17.33%-320.6万
融资活动现金流量
持续融资活动现金净额
-2,623.75%-5,047.1万
-6.73%-160.2万
-147.24%-668.8万
-137.35%-128.4万
40.49%-205万
-919.91%-185.3万
-110.77%-150.1万
53.85%1,415.7万
-73.16%343.8万
-147.84%-344.5万
债务发行/偿还的净额
-30.37%-98.3万
-11.35%-84.4万
-117.56%-298.2万
-116.83%-71.3万
69.90%-75.7万
-178.95%-75.4万
-105.30%-75.8万
52.16%1,698万
-68.16%423.6万
-250.77%-251.5万
普通股发行/回购的净额
---4,828.1万
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----
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--0
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已支付现金股息
0.00%-32.6万
--0
0.00%-65.3万
--0
0.00%-32.7万
0.00%-32.6万
--0
0.00%-65.3万
--0
0.00%-32.7万
已付利息(筹资活动产生的现金流)
-13.97%-88.1万
-2.02%-75.8万
-40.24%-305.3万
28.45%-57.1万
-60.20%-96.6万
-88.54%-77.3万
-103.01%-74.3万
-120.34%-217.7万
-338.46%-79.8万
-74.28%-60.3万
其他融资活动的净现金流额
----
----
----
----
----
----
----
102.22%7,000
--0
----
非持续融资活动现金净额
融资活动现金净额
-2,623.75%-5,047.1万
-6.73%-160.2万
-147.24%-668.8万
-137.35%-128.4万
40.49%-205万
-919.91%-185.3万
-110.77%-150.1万
53.85%1,415.7万
-73.16%343.8万
-147.84%-344.5万
现金净流量
期初现金流
4.09%4,835.8万
906.24%7,237.9万
0.88%719.3万
178.94%4,398.4万
623.16%5,217.6万
263.35%4,645.8万
0.88%719.3万
-59.96%713万
7.58%1,576.8万
-49.53%721.5万
当期现金流变化
336.01%2,737.7万
-164.21%-2,505.4万
12,209.33%6,490.6万
450.78%2,962万
-226.99%-1,001.2万
212.81%627.9万
598.01%3,901.9万
94.70%-53.6万
-9.14%-844.4万
1,916.37%788.4万
利率变动影响
154.01%30.3万
319.92%103.3万
-53.26%28万
-835.11%-122.5万
172.05%182万
-11,120.00%-56.1万
272.73%24.6万
207.35%59.9万
-162.38%-13.1万
2,406.90%66.9万
期末现金流
45.73%7,603.8万
4.09%4,835.8万
906.24%7,237.9万
906.24%7,237.9万
178.94%4,398.4万
623.16%5,217.6万
263.35%4,645.8万
0.88%719.3万
0.88%719.3万
7.58%1,576.8万
自由现金流
870.35%7,776.4万
-158.48%-2,369.1万
583.12%7,137.2万
357.82%3,083.3万
-171.50%-798.9万
238.34%801.4万
594.43%4,051.4万
23.84%-1,477.3万
41.89%-1,195.9万
536.28%1,117.3万
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
--
--
(Q2)2024/07/31(Q1)2024/04/30(FY)2024/01/31(Q4)2024/01/31(Q3)2023/10/31(Q2)2023/07/31(Q1)2023/04/30(FY)2023/01/31(Q4)2023/01/31(Q3)2022/10/31
经营活动现金流量(间接法)
持续经营活动现金净额 800.48%8,238.5万-154.14%-2,232.1万3,080.86%7,786万411.48%3,211.7万-131.87%-463.2万535.87%914.9万970.30%4,122.6万-197.86%-261.2万22.86%-1,031.1万156.85%1,453.5万
持续经营净收入 51.77%1,600万184.21%1,526.5万151.90%3,762.2万348.61%1,051.1万284.81%1,119.8万94.29%1,054.2万26.20%537.1万56.17%1,493.5万165.65%234.3万4.38%291万
持续经营损益 128.99%24.5万82.14%-10万-38.61%-137.5万-0.95%-191.8万48.82%194.8万-42.26%-84.5万-390.16%-56万-11.09%-99.2万32.09%-190万4,775.00%130.9万
折旧摊销及损耗 6.56%152.8万3.12%148.9万8.96%580万-2.34%146.2万3.69%146万16.11%143.4万22.06%144.4万5.32%532.3万12.39%149.7万11.04%140.8万
以股票支付的报酬 -149.38%-80.1万9,829.09%546.1万532.04%457.6万592.40%227.8万134.34%62.1万2,960.38%162.2万-28.57%5.5万100.55%72.4万1,075.00%32.9万212.29%26.5万
递延税费 1,422.25%622.6万134.84%599.3万357.74%878.4万137.71%374.4万433.08%207.9万27.81%40.9万797.27%255.2万28.28%191.9万46.92%157.5万-15.03%39万
其他非现金项目 42.31%107.3万17.42%93万621.54%338.4万-49.97%83.8万145.10%100万143.41%75.4万543.90%79.2万-54.29%46.9万686.38%167.5万22.89%40.8万
营运资金变化 1,460.63%6,048万-266.89%-5,135.9万174.13%1,916.2万199.59%1,577万-435.84%-2,293.8万33.08%-444.5万401.63%3,077.5万-106.62%-2,585万-13.96%-1,583.5万456.19%683万
-应收款项(增)减 822.81%7,655.3万-175.92%-2,644.9万118.75%1,137.2万107.88%390.9万-140.23%-1,678.6万70.05%-1,059.1万299.99%3,484万-7,912.95%-6,065.8万-472.40%-4,960.7万171.59%4,173万
-存货(增)减 323.40%160.4万-235.01%-186.6万-418.00%-284.9万59.04%-10.2万-402.88%-147.2万-3.76%-71.8万-486.32%-55.7万79.73%-55万33.78%-24.9万122.34%48.6万
-预付费用(增)减 -102.22%-209.5万106.97%15万-1,277.67%-121.3万-23.20%125.1万46.06%72.3万54.58%-103.6万-927.31%-215.1万-95.68%10.3万20.67%162.9万725.00%49.5万
-应付款项及应计费用(减)增 -386.89%-1,478.9万746.92%744.6万96.22%1,074.9万631.75%1,242.7万23.06%-568.2万163.82%515.5万-108.69%-115.1万368.40%547.8万92.73%-233.7万-148.79%-738.5万
-其他营运资本变动 -128.89%-79.3万-14,773.79%-3,064万-96.30%110.3万-104.94%-171.5万100.98%27.9万-90.77%274.5万96.67%-20.6万417.42%2,977.7万776.55%3,472.9万-4.92%-2,849.6万
已支付退税 -634.78%-236.6万--0-110.81%-9.3万-11,460.00%-56.8万--0-101.25%-32.2万--79.7万160.27%86万102.50%5,000767.76%101.5万
非持续经营活动现金净额
经营活动现金净额 800.48%8,238.5万-154.14%-2,232.1万3,080.86%7,786万411.48%3,211.7万-131.87%-463.2万535.87%914.9万970.30%4,122.6万-197.86%-261.2万22.86%-1,031.1万156.85%1,453.5万
投资活动现金流量
持续投资活动现金净额 -346.12%-453.7万-60.20%-113.1万48.13%-626.6万22.79%-121.3万-3.87%-333万72.46%-101.7万80.45%-70.6万45.06%-1,208.1万78.11%-157.1万17.33%-320.6万
固定资产交易净额 -389.64%-449万-105.15%-115.5万49.68%-576.8万24.60%-109.1万1.08%-319.7万73.70%-91.7万82.92%-56.3万46.63%-1,146.3万79.46%-144.7万14.32%-323.2万
无形资产交易净额 39.91%-13.1万-44.30%-21.5万-3.15%-72万3.98%-19.3万-23.08%-16万-5.31%-21.8万6.88%-14.9万-18.51%-69.8万-20.36%-20.1万0.76%-13万
其他投资活动净额 -28.81%8.4万3,883.33%23.9万177.50%22.2万-7.79%7.1万-82.69%2.7万11,700.00%11.8万103.90%6,0003.90%8万120.00%7.7万524.00%15.6万
非持续投资活动现金净额
投资活动现金净额 -346.12%-453.7万-60.20%-113.1万48.13%-626.6万22.79%-121.3万-3.87%-333万72.46%-101.7万80.45%-70.6万45.06%-1,208.1万78.11%-157.1万17.33%-320.6万
融资活动现金流量
持续融资活动现金净额 -2,623.75%-5,047.1万-6.73%-160.2万-147.24%-668.8万-137.35%-128.4万40.49%-205万-919.91%-185.3万-110.77%-150.1万53.85%1,415.7万-73.16%343.8万-147.84%-344.5万
债务发行/偿还的净额 -30.37%-98.3万-11.35%-84.4万-117.56%-298.2万-116.83%-71.3万69.90%-75.7万-178.95%-75.4万-105.30%-75.8万52.16%1,698万-68.16%423.6万-250.77%-251.5万
普通股发行/回购的净额 ---4,828.1万------------------0----------------
已支付现金股息 0.00%-32.6万--00.00%-65.3万--00.00%-32.7万0.00%-32.6万--00.00%-65.3万--00.00%-32.7万
已付利息(筹资活动产生的现金流) -13.97%-88.1万-2.02%-75.8万-40.24%-305.3万28.45%-57.1万-60.20%-96.6万-88.54%-77.3万-103.01%-74.3万-120.34%-217.7万-338.46%-79.8万-74.28%-60.3万
其他融资活动的净现金流额 ----------------------------102.22%7,000--0----
非持续融资活动现金净额
融资活动现金净额 -2,623.75%-5,047.1万-6.73%-160.2万-147.24%-668.8万-137.35%-128.4万40.49%-205万-919.91%-185.3万-110.77%-150.1万53.85%1,415.7万-73.16%343.8万-147.84%-344.5万
现金净流量
期初现金流 4.09%4,835.8万906.24%7,237.9万0.88%719.3万178.94%4,398.4万623.16%5,217.6万263.35%4,645.8万0.88%719.3万-59.96%713万7.58%1,576.8万-49.53%721.5万
当期现金流变化 336.01%2,737.7万-164.21%-2,505.4万12,209.33%6,490.6万450.78%2,962万-226.99%-1,001.2万212.81%627.9万598.01%3,901.9万94.70%-53.6万-9.14%-844.4万1,916.37%788.4万
利率变动影响 154.01%30.3万319.92%103.3万-53.26%28万-835.11%-122.5万172.05%182万-11,120.00%-56.1万272.73%24.6万207.35%59.9万-162.38%-13.1万2,406.90%66.9万
期末现金流 45.73%7,603.8万4.09%4,835.8万906.24%7,237.9万906.24%7,237.9万178.94%4,398.4万623.16%5,217.6万263.35%4,645.8万0.88%719.3万0.88%719.3万7.58%1,576.8万
自由现金流 870.35%7,776.4万-158.48%-2,369.1万583.12%7,137.2万357.82%3,083.3万-171.50%-798.9万238.34%801.4万594.43%4,051.4万23.84%-1,477.3万41.89%-1,195.9万536.28%1,117.3万
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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加拿大
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