加拿大市场个股详情

FirstService Corp (FSV)

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  • 225.280
  • -1.050-0.46%
延时15分钟行情交易中 01/16 15:31 (美东)
102.98亿总市值53.41市盈率TTM

FirstService Corp (FSV) 现金流量表

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(FY)2023/12/31
(Q4)2023/12/31
经营活动现金流量(间接法)
持续经营活动现金净额
64.08%1.26亿
24.54%1.63亿
568.75%4,125万
1.90%2.86亿
-21.48%8,671.9万
-8.28%7,701.1万
51.58%1.31亿
-2,804.29%-880万
164.76%2.8亿
104.46%1.1亿
持续经营净收入
-8.84%7,088.7万
23.35%5,543.1万
-5.48%1,408万
27.72%1.88亿
110.99%5,017.9万
69.57%7,776.1万
-17.87%4,493.7万
-34.28%1,489.7万
1.39%1.47亿
-46.36%2,378.3万
持续经营损益
----
----
----
----
----
----
----
----
---435.1万
----
折旧摊销及损耗
12.62%4,663.5万
16.33%4,563.2万
20.02%4,417.6万
29.18%1.65亿
41.20%4,782.8万
24.93%4,140.9万
35.10%3,922.5万
15.45%3,680.7万
16.16%1.28亿
11.36%3,387.2万
以股票支付的报酬
16.11%661.7万
-6.60%655.6万
10.00%759.9万
18.36%2,531.1万
15.45%568.5万
44.02%569.9万
31.27%701.9万
-23.27%690.8万
12.76%2,138.5万
-1.36%492.4万
递延税费
63.36%-83万
66.11%-77.1万
63.98%-81.9万
26.58%-1,398.6万
61.05%-717.2万
-4,218.18%-226.5万
-442.96%-227.5万
-736.03%-227.4万
-356.17%-1,904.9万
-299.08%-1,841.3万
其他非现金项目
52.55%-609.9万
345.01%459.7万
153.18%1,060万
-397.83%-3,886.1万
-296.36%-2,646.4万
-1,293.50%-1,285.4万
130.82%103.3万
---1,993.1万
2,296.63%1,304.8万
562.17%1,347.7万
营运资金变化
127.95%915.2万
25.94%5,138.9万
23.94%-3,438.6万
-607.76%-3,983.3万
-70.85%1,666.3万
-25,477.34%-3,273.9万
4,292.36%4,080.5万
28.90%-4,520.7万
96.79%-562.8万
278.26%5,715.4万
-应收款项(增)减
299.79%3,464.9万
-9.62%-2,481.5万
-50.02%999.4万
54.91%-4,230.6万
-30.97%-2,232.3万
-138.05%-1,734.3万
69.31%-2,263.7万
141.16%1,999.7万
-34.66%-9,382.2万
75.10%-1,704.5万
-存货(增)减
107.45%195万
-273.77%-1,998.2万
507.98%1,943.1万
-187.29%-1,941.4万
--891.4万
---2,617.8万
-131.69%-534.6万
122.41%319.6万
131.10%2,224万
----
-预付费用(增)减
1,199.60%555.3万
-86.58%128.3万
6.66%-1,612.7万
-210.45%-1,502.6万
---680.3万
---50.5万
5,690.64%956万
-86.53%-1,727.8万
-1,919.55%-484万
----
-应付款项及应计费用(减)增
-143.45%-1,331.2万
71.42%5,657.3万
-23.90%-6,973.6万
14.95%2,260.2万
-60.04%1,524.9万
203.89%3,063.5万
-20.28%3,300.2万
-85.11%-5,628.4万
276.85%1,966.2万
32.82%3,815.9万
-其他流动负债变动
-10.87%684.1万
-30.00%459.2万
494.03%461.8万
109.72%2,343.8万
--2,973万
--767.5万
345.78%656万
-139.04%-117.2万
141.64%1,117.6万
----
-其他营运资本变动
1.83%-2,652.9万
71.55%3,373.8万
175.24%1,743.4万
-122.84%-912.7万
-208.57%-810.4万
-66.65%-2,702.3万
2.07%1,966.6万
-82.37%633.4万
945.69%3,995.6万
152.76%746.4万
非持续经营活动现金净额
经营活动现金净额
64.08%1.26亿
24.54%1.63亿
568.75%4,125万
1.90%2.86亿
-21.48%8,671.9万
-8.28%7,701.1万
51.58%1.31亿
-2,804.29%-880万
164.76%2.8亿
104.46%1.1亿
投资活动现金流量
持续投资活动现金净额
-195.98%-7,950.4万
48.71%-7,827.9万
21.09%-4,524.5万
49.92%-3.24亿
81.34%-8,687万
39.40%-2,686.1万
-459.87%-1.53亿
47.46%-5,734万
-301.95%-6.46亿
-469.09%-4.66亿
固定资产交易净额
-26.74%-3,366.3万
-13.90%-3,337.5万
-18.15%-2,956.3万
-32.11%-1.13亿
-80.16%-3,191.6万
-13.19%-2,656万
-28.95%-2,930.1万
-16.48%-2,502.1万
-10.02%-8,538.4万
20.04%-1,771.5万
业务交易净额
-1,007.30%-4,446.9万
64.82%-4,328万
72.69%-863.6万
61.21%-2.12亿
87.66%-5,358.1万
79.26%-401.6万
-1,008.49%-1.23亿
61.61%-3,161.8万
-952.39%-5.47亿
-876.89%-4.34亿
其他投资活动净额
-136.93%-137.2万
-443.14%-162.4万
-905.14%-704.6万
109.75%134.2万
89.85%-137.3万
348.33%371.5万
-104.56%-29.9万
86.78%-70.1万
55.88%-1,376.3万
11.01%-1,352.3万
非持续投资活动现金净额
投资活动现金净额
-195.98%-7,950.4万
48.71%-7,827.9万
21.09%-4,524.5万
49.92%-3.24亿
81.34%-8,687万
39.40%-2,686.1万
-459.87%-1.53亿
47.46%-5,734万
-301.95%-6.46亿
-469.09%-4.66亿
融资活动现金流量
持续融资活动现金净额
40.61%-2,699.8万
-243.52%-9,928.5万
-98.60%60.2万
-82.02%7,440.8万
-98.03%756万
0.64%-4,546万
314.71%6,917.8万
-59.82%4,313万
2,103.95%4.14亿
16,548.01%3.85亿
债务发行/偿还的净额
-0.48%-3,694.1万
-174.98%-6,783.3万
-71.88%1,300.6万
-76.82%1.04亿
-99.08%361.3万
-25.92%-3,676.4万
579.84%9,047.3万
-55.48%4,625.5万
457.47%4.47亿
2,627.01%3.91亿
已支付现金股息
-11.09%-1,250.1万
-11.14%-1,249.7万
-12.56%-1,131.7万
-12.22%-4,382.8万
-12.30%-1,127.7万
-12.16%-1,125.3万
-12.17%-1,124.4万
-12.26%-1,005.4万
-11.96%-3,905.5万
-12.15%-1,004.2万
职工行使股票期权收到的现金
228.57%3,579.4万
-56.86%172万
-19.53%2,008.6万
73.59%5,835.4万
--1,851.2万
--1,089.4万
-1.41%398.7万
15.69%2,496.1万
173.39%3,361.6万
----
其他融资活动的净现金流额
-60.13%-1,335万
-47.28%-2,067.5万
-17.42%-2,117.3万
-59.10%-4,369.5万
89.04%-328.8万
-27.83%-833.7万
-90.09%-1,403.8万
-96.58%-1,803.2万
29.19%-2,746.3万
-653.09%-3,000.3万
非持续融资活动现金净额
融资活动现金净额
40.61%-2,699.8万
-243.52%-9,928.5万
-98.60%60.2万
-82.02%7,440.8万
-98.03%756万
0.64%-4,546万
314.71%6,917.8万
-59.82%4,313万
2,103.95%4.14亿
16,548.01%3.85亿
现金净流量
期初现金流
-2.87%2.25亿
30.52%2.4亿
17.79%2.44亿
29.83%2.07亿
32.70%2.36亿
26.22%2.32亿
17.08%1.84亿
29.83%2.07亿
-17.98%1.59亿
-3.94%1.78亿
当期现金流变化
323.45%1,986万
-131.15%-1,473万
85.25%-339.3万
-24.17%3,638万
-74.81%740.9万
176.72%469万
76.66%4,729.1万
-999.90%-2,301万
232.81%4,797.6万
215.40%2,941.1万
利率变动影响
617.22%78.1万
-651.22%-67.8万
-106.58%-1.5万
195.97%42.9万
154.52%22.9万
-126.17%-15.1万
120.81%12.3万
1,853.85%22.8万
-137.19%-44.7万
-21.04%-42万
期末现金流
4.01%2.46亿
-2.87%2.25亿
30.52%2.4亿
17.79%2.44亿
17.79%2.44亿
32.70%2.36亿
26.22%2.32亿
17.08%1.84亿
29.83%2.07亿
29.83%2.07亿
自由现金流
83.74%9,269.9万
27.62%1.29亿
134.56%1,168.7万
-7.86%1.73亿
-35.81%5,480.3万
-16.61%5,045.1万
59.68%1.01亿
-55.26%-3,382.1万
563.36%1.88亿
167.96%8,538.1万
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
--
--
--
--
--
--
(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(FY)2023/12/31(Q4)2023/12/31
经营活动现金流量(间接法)
持续经营活动现金净额 64.08%1.26亿24.54%1.63亿568.75%4,125万1.90%2.86亿-21.48%8,671.9万-8.28%7,701.1万51.58%1.31亿-2,804.29%-880万164.76%2.8亿104.46%1.1亿
持续经营净收入 -8.84%7,088.7万23.35%5,543.1万-5.48%1,408万27.72%1.88亿110.99%5,017.9万69.57%7,776.1万-17.87%4,493.7万-34.28%1,489.7万1.39%1.47亿-46.36%2,378.3万
持续经营损益 -----------------------------------435.1万----
折旧摊销及损耗 12.62%4,663.5万16.33%4,563.2万20.02%4,417.6万29.18%1.65亿41.20%4,782.8万24.93%4,140.9万35.10%3,922.5万15.45%3,680.7万16.16%1.28亿11.36%3,387.2万
以股票支付的报酬 16.11%661.7万-6.60%655.6万10.00%759.9万18.36%2,531.1万15.45%568.5万44.02%569.9万31.27%701.9万-23.27%690.8万12.76%2,138.5万-1.36%492.4万
递延税费 63.36%-83万66.11%-77.1万63.98%-81.9万26.58%-1,398.6万61.05%-717.2万-4,218.18%-226.5万-442.96%-227.5万-736.03%-227.4万-356.17%-1,904.9万-299.08%-1,841.3万
其他非现金项目 52.55%-609.9万345.01%459.7万153.18%1,060万-397.83%-3,886.1万-296.36%-2,646.4万-1,293.50%-1,285.4万130.82%103.3万---1,993.1万2,296.63%1,304.8万562.17%1,347.7万
营运资金变化 127.95%915.2万25.94%5,138.9万23.94%-3,438.6万-607.76%-3,983.3万-70.85%1,666.3万-25,477.34%-3,273.9万4,292.36%4,080.5万28.90%-4,520.7万96.79%-562.8万278.26%5,715.4万
-应收款项(增)减 299.79%3,464.9万-9.62%-2,481.5万-50.02%999.4万54.91%-4,230.6万-30.97%-2,232.3万-138.05%-1,734.3万69.31%-2,263.7万141.16%1,999.7万-34.66%-9,382.2万75.10%-1,704.5万
-存货(增)减 107.45%195万-273.77%-1,998.2万507.98%1,943.1万-187.29%-1,941.4万--891.4万---2,617.8万-131.69%-534.6万122.41%319.6万131.10%2,224万----
-预付费用(增)减 1,199.60%555.3万-86.58%128.3万6.66%-1,612.7万-210.45%-1,502.6万---680.3万---50.5万5,690.64%956万-86.53%-1,727.8万-1,919.55%-484万----
-应付款项及应计费用(减)增 -143.45%-1,331.2万71.42%5,657.3万-23.90%-6,973.6万14.95%2,260.2万-60.04%1,524.9万203.89%3,063.5万-20.28%3,300.2万-85.11%-5,628.4万276.85%1,966.2万32.82%3,815.9万
-其他流动负债变动 -10.87%684.1万-30.00%459.2万494.03%461.8万109.72%2,343.8万--2,973万--767.5万345.78%656万-139.04%-117.2万141.64%1,117.6万----
-其他营运资本变动 1.83%-2,652.9万71.55%3,373.8万175.24%1,743.4万-122.84%-912.7万-208.57%-810.4万-66.65%-2,702.3万2.07%1,966.6万-82.37%633.4万945.69%3,995.6万152.76%746.4万
非持续经营活动现金净额
经营活动现金净额 64.08%1.26亿24.54%1.63亿568.75%4,125万1.90%2.86亿-21.48%8,671.9万-8.28%7,701.1万51.58%1.31亿-2,804.29%-880万164.76%2.8亿104.46%1.1亿
投资活动现金流量
持续投资活动现金净额 -195.98%-7,950.4万48.71%-7,827.9万21.09%-4,524.5万49.92%-3.24亿81.34%-8,687万39.40%-2,686.1万-459.87%-1.53亿47.46%-5,734万-301.95%-6.46亿-469.09%-4.66亿
固定资产交易净额 -26.74%-3,366.3万-13.90%-3,337.5万-18.15%-2,956.3万-32.11%-1.13亿-80.16%-3,191.6万-13.19%-2,656万-28.95%-2,930.1万-16.48%-2,502.1万-10.02%-8,538.4万20.04%-1,771.5万
业务交易净额 -1,007.30%-4,446.9万64.82%-4,328万72.69%-863.6万61.21%-2.12亿87.66%-5,358.1万79.26%-401.6万-1,008.49%-1.23亿61.61%-3,161.8万-952.39%-5.47亿-876.89%-4.34亿
其他投资活动净额 -136.93%-137.2万-443.14%-162.4万-905.14%-704.6万109.75%134.2万89.85%-137.3万348.33%371.5万-104.56%-29.9万86.78%-70.1万55.88%-1,376.3万11.01%-1,352.3万
非持续投资活动现金净额
投资活动现金净额 -195.98%-7,950.4万48.71%-7,827.9万21.09%-4,524.5万49.92%-3.24亿81.34%-8,687万39.40%-2,686.1万-459.87%-1.53亿47.46%-5,734万-301.95%-6.46亿-469.09%-4.66亿
融资活动现金流量
持续融资活动现金净额 40.61%-2,699.8万-243.52%-9,928.5万-98.60%60.2万-82.02%7,440.8万-98.03%756万0.64%-4,546万314.71%6,917.8万-59.82%4,313万2,103.95%4.14亿16,548.01%3.85亿
债务发行/偿还的净额 -0.48%-3,694.1万-174.98%-6,783.3万-71.88%1,300.6万-76.82%1.04亿-99.08%361.3万-25.92%-3,676.4万579.84%9,047.3万-55.48%4,625.5万457.47%4.47亿2,627.01%3.91亿
已支付现金股息 -11.09%-1,250.1万-11.14%-1,249.7万-12.56%-1,131.7万-12.22%-4,382.8万-12.30%-1,127.7万-12.16%-1,125.3万-12.17%-1,124.4万-12.26%-1,005.4万-11.96%-3,905.5万-12.15%-1,004.2万
职工行使股票期权收到的现金 228.57%3,579.4万-56.86%172万-19.53%2,008.6万73.59%5,835.4万--1,851.2万--1,089.4万-1.41%398.7万15.69%2,496.1万173.39%3,361.6万----
其他融资活动的净现金流额 -60.13%-1,335万-47.28%-2,067.5万-17.42%-2,117.3万-59.10%-4,369.5万89.04%-328.8万-27.83%-833.7万-90.09%-1,403.8万-96.58%-1,803.2万29.19%-2,746.3万-653.09%-3,000.3万
非持续融资活动现金净额
融资活动现金净额 40.61%-2,699.8万-243.52%-9,928.5万-98.60%60.2万-82.02%7,440.8万-98.03%756万0.64%-4,546万314.71%6,917.8万-59.82%4,313万2,103.95%4.14亿16,548.01%3.85亿
现金净流量
期初现金流 -2.87%2.25亿30.52%2.4亿17.79%2.44亿29.83%2.07亿32.70%2.36亿26.22%2.32亿17.08%1.84亿29.83%2.07亿-17.98%1.59亿-3.94%1.78亿
当期现金流变化 323.45%1,986万-131.15%-1,473万85.25%-339.3万-24.17%3,638万-74.81%740.9万176.72%469万76.66%4,729.1万-999.90%-2,301万232.81%4,797.6万215.40%2,941.1万
利率变动影响 617.22%78.1万-651.22%-67.8万-106.58%-1.5万195.97%42.9万154.52%22.9万-126.17%-15.1万120.81%12.3万1,853.85%22.8万-137.19%-44.7万-21.04%-42万
期末现金流 4.01%2.46亿-2.87%2.25亿30.52%2.4亿17.79%2.44亿17.79%2.44亿32.70%2.36亿26.22%2.32亿17.08%1.84亿29.83%2.07亿29.83%2.07亿
自由现金流 83.74%9,269.9万27.62%1.29亿134.56%1,168.7万-7.86%1.73亿-35.81%5,480.3万-16.61%5,045.1万59.68%1.01亿-55.26%-3,382.1万563.36%1.88亿167.96%8,538.1万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ------无保留意见------------

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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