加拿大市场个股详情

FSZ Fiera Capital Corp

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  • 8.990
  • +0.060+0.67%
延时15分钟行情已收盘 12/27 16:00 (美东)
9.66亿总市值16.35市盈率TTM

Fiera Capital Corp关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2024/09/30
(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
经营活动现金流量(间接法)
持续经营活动现金净额
-31.28%5,477.6万
275.45%5,302.5万
-91.25%-2,574.8万
21.76%1.38亿
-13.67%5,759.9万
210.32%7,970.8万
-69.86%1,412.3万
48.12%-1,346.3万
-33.85%1.13亿
-31.37%6,672.2万
持续经营净收入
31.25%1,606万
-44.82%657.8万
1,405.61%976.6万
110.24%6,627.3万
859.57%4,286.4万
24.24%1,223.6万
1.43%1,192.1万
-113.72%-74.8万
-58.86%3,152.2万
-87.80%446.7万
持续经营损益
-13.77%-90.9万
-1,940.51%-290.8万
-269.24%-627.2万
-969.50%-806.4万
-188.47%-1,112.9万
87.87%-79.9万
104.36%15.8万
218.59%370.6万
97.75%-75.4万
227.00%1,257.9万
折旧摊销及损耗
-12.29%1,173.6万
-6.19%1,260.3万
-6.35%1,284.2万
-6.40%5,393.5万
-11.07%1,340.6万
-2.18%1,338.1万
-0.57%1,343.5万
-10.71%1,371.3万
-14.79%5,762.2万
11.11%1,507.4万
以股票支付的报酬
-1.93%335.7万
21.82%481.3万
50.50%377.3万
-40.14%1,235.5万
0.16%247.4万
95.71%342.3万
118.17%395.1万
-82.84%250.7万
-37.01%2,063.9万
-79.16%247万
递延税费
173.86%644.4万
-50.76%253.1万
580.27%100万
93.87%1,962.5万
615.52%1,198.5万
-61.88%235.3万
664.88%514万
-90.84%14.7万
-54.43%1,012.3万
-86.55%167.5万
其他非现金项目
-23.64%1,190.1万
160.41%1,360.1万
25.48%1,353.2万
14.50%4,225.8万
109.16%1,066.5万
26.85%1,558.6万
-63.52%522.3万
107.27%1,078.4万
-13.90%3,690.5万
-59.93%509.9万
营运资金变化
-81.55%618.7万
161.49%1,580.7万
-38.60%-6,038.9万
-13.26%-4,841.5万
-149.95%-1,266.6万
392.51%3,352.8万
-405.68%-2,570.5万
33.02%-4,357.2万
-14.86%-4,274.7万
27.33%2,535.8万
-应收款项(增)减
-412.50%-1,352.8万
248.01%1,787.4万
-14.89%1,076.4万
-115.58%-972.3万
-4,595.43%-3,183.5万
182.90%432.9万
9.84%513.6万
-80.12%1,264.7万
218.15%6,240万
98.28%-67.8万
-预付费用(增)减
55.07%1,946.7万
63.80%-589.2万
22.45%272.7万
73.14%-144万
101.17%5.3万
144.38%1,255.4万
-2,592.19%-1,627.4万
133.55%222.7万
-835.60%-536.1万
-259.73%-451.4万
-应付款项及应计费用(减)增
-91.03%156.3万
132.01%263.1万
-29.09%-7,311.6万
64.31%-3,087.3万
-38.30%1,656.3万
282.08%1,742.5万
-1,010.30%-822万
45.89%-5,664.1万
-4,619.02%-8,649.4万
-50.38%2,684.6万
-其他流动负债变动
281.14%66.7万
139.64%126.1万
74.06%-110.8万
72.17%-433.4万
262.12%294.4万
121.11%17.5万
-389.44%-318.1万
74.35%-427.2万
-168.00%-1,557.5万
-92.27%81.3万
-其他营运资本变动
-107.54%-198.2万
97.88%-6.7万
-86.06%34.4万
-189.58%-204.5万
-113.52%-39.1万
2.35%-95.5万
-393.69%-316.6万
448.45%246.7万
126.40%228.3万
135.34%289.1万
非持续经营活动现金净额
经营活动现金净额
-31.28%5,477.6万
275.45%5,302.5万
-91.25%-2,574.8万
21.76%1.38亿
-13.67%5,759.9万
210.32%7,970.8万
-69.86%1,412.3万
48.12%-1,346.3万
-33.85%1.13亿
-31.37%6,672.2万
投资活动现金流量
持续投资活动现金净额
-55.28%125.9万
225.94%375.8万
-5.75%506.7万
151.85%328.7万
-137.67%-192万
137.35%281.5万
84.61%-298.4万
-20.58%537.6万
-114.56%-634万
-48.89%509.7万
无形资产交易净额
-94.26%-91.3万
7.98%-64.6万
-7.48%-64.7万
42.23%-284.3万
-11.94%-106.9万
65.06%-47万
50.07%-70.2万
50.45%-60.2万
69.50%-492.1万
-117.54%-95.5万
业务交易净额
-630.23%-114万
-114.34%-264.5万
-778.02%-79.9万
60.07%-231.4万
46.03%-120.4万
111.81%21.5万
-57.60%-123.4万
90.52%-9.1万
-111.60%-579.5万
-56.89%-223.1万
投资产品交易净额
66.35%-31.9万
11.62%-315.7万
2,750.00%42.4万
-605.74%-704.5万
-213.27%-250.9万
-196.25%-94.8万
-795.24%-357.2万
84.47%-1.6万
822.52%139.3万
-65.77%221.5万
已收到的股息(投资活动产生的现金流)
-2.36%206.5万
521.08%1,078.2万
-5.02%412.5万
-53.94%1,040.8万
-53.33%221.4万
-61.14%211.5万
-66.10%173.6万
-40.43%434.3万
118.50%2,259.7万
28.98%474.4万
其他投资活动净额
-17.71%156.6万
-173.10%-57.6万
12.74%196.4万
125.90%508.1万
-51.06%64.8万
347.14%190.3万
103.59%78.8万
-0.85%174.2万
-2,484.19%-1,961.4万
-21.47%132.4万
非持续投资活动现金净额
投资活动现金净额
-55.28%125.9万
225.94%375.8万
-5.75%506.7万
151.85%328.7万
-137.67%-192万
137.35%281.5万
84.61%-298.4万
-20.58%537.6万
-114.56%-634万
-48.89%509.7万
融资活动现金流量
持续融资活动现金净额
68.62%-5,704.6万
-228.89%-6,337.2万
-133.04%-891.8万
7.33%-1.37亿
23.09%-3,168.4万
-284.21%-1.82亿
277.71%4,916.6万
184.40%2,699.2万
17.40%-1.48亿
26.42%-4,119.4万
债务发行/偿还的净额
87.90%-1,769.3万
-98.88%124.3万
-52.61%1,946.3万
-54.10%409.3万
139.51%290万
-3,087.21%-1.46亿
971.23%1.11亿
291.37%4,107万
119.63%891.7万
75.82%-734万
普通股发行/回购的净额
---495.5万
--0
---91.9万
92.59%-252万
---417.6万
--0
--0
--0
-90.06%-3,399.8万
--0
已支付现金股息
-1.96%-2,304万
-3.04%-4,561.4万
--0
-1.68%-8,946.6万
-2.40%-2,259.8万
-2.40%-2,259.8万
-0.96%-4,427万
--0
-0.35%-8,798.4万
0.89%-2,206.8万
职工行使股票期权收到的现金
----
--0
--0
340.43%165.6万
----
----
--0
340.43%165.6万
-87.29%37.6万
--0
已付利息(筹资活动产生的现金流)
7.64%-1,124.4万
-6.29%-1,277.5万
-34.84%-1,399.5万
-21.53%-4,087.1万
35.15%-629.9万
-48.63%-1,217.4万
-44.82%-1,201.9万
-39.75%-1,037.9万
-17.71%-3,363万
-46.37%-971.3万
其他融资活动的净现金流额
84.57%-11.4万
-14.47%-622.6万
-151.48%-1,346.7万
-456.53%-1,019万
-52.77%-316.7万
94.07%-73.9万
-138.50%-543.9万
-275.79%-535.5万
33.54%-183.1万
-114.81%-207.3万
非持续融资活动现金净额
融资活动现金净额
68.62%-5,704.6万
-228.89%-6,337.2万
-133.04%-891.8万
7.33%-1.37亿
23.09%-3,168.4万
-284.21%-1.82亿
277.71%4,916.6万
184.40%2,699.2万
17.40%-1.48亿
26.42%-4,119.4万
现金净流量
期初现金流
-78.55%3,032.8万
-55.12%3,663.4万
5.48%6,560.5万
-39.37%6,219.9万
40.95%4,225.9万
184.52%1.41亿
62.13%8,163.3万
-39.37%6,219.9万
48.99%1.03亿
-43.15%2,998.1万
当期现金流变化
98.98%-101.1万
-110.93%-658.9万
-256.57%-2,959.9万
109.61%395.6万
-21.65%2,399.5万
-385.61%-9,924.9万
29,517.07%6,030.5万
136.95%1,890.5万
-216.04%-4,118万
-40.20%3,062.5万
利率变动影响
325.36%58.7万
149.82%28.3万
18.71%62.8万
-170.06%-55万
-140.74%-64.9万
-81.15%13.8万
-23.75%-56.8万
148.94%52.9万
144.81%78.5万
217.05%159.3万
期末现金流
-29.24%2,990.4万
-78.55%3,032.8万
-55.12%3,663.4万
5.48%6,560.5万
5.48%6,560.5万
40.95%4,225.9万
184.52%1.41亿
62.13%8,163.3万
-39.37%6,219.9万
-39.37%6,219.9万
自由现金流
-32.02%5,386.3万
290.28%5,237.9万
-87.66%-2,639.5万
24.67%1.35亿
-14.05%5,653万
225.53%7,923.8万
-70.47%1,342.1万
48.23%-1,406.5万
-30.14%1.08亿
-32.05%6,576.7万
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
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--
--
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(Q3)2024/09/30(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
经营活动现金流量(间接法)
持续经营活动现金净额 -31.28%5,477.6万275.45%5,302.5万-91.25%-2,574.8万21.76%1.38亿-13.67%5,759.9万210.32%7,970.8万-69.86%1,412.3万48.12%-1,346.3万-33.85%1.13亿-31.37%6,672.2万
持续经营净收入 31.25%1,606万-44.82%657.8万1,405.61%976.6万110.24%6,627.3万859.57%4,286.4万24.24%1,223.6万1.43%1,192.1万-113.72%-74.8万-58.86%3,152.2万-87.80%446.7万
持续经营损益 -13.77%-90.9万-1,940.51%-290.8万-269.24%-627.2万-969.50%-806.4万-188.47%-1,112.9万87.87%-79.9万104.36%15.8万218.59%370.6万97.75%-75.4万227.00%1,257.9万
折旧摊销及损耗 -12.29%1,173.6万-6.19%1,260.3万-6.35%1,284.2万-6.40%5,393.5万-11.07%1,340.6万-2.18%1,338.1万-0.57%1,343.5万-10.71%1,371.3万-14.79%5,762.2万11.11%1,507.4万
以股票支付的报酬 -1.93%335.7万21.82%481.3万50.50%377.3万-40.14%1,235.5万0.16%247.4万95.71%342.3万118.17%395.1万-82.84%250.7万-37.01%2,063.9万-79.16%247万
递延税费 173.86%644.4万-50.76%253.1万580.27%100万93.87%1,962.5万615.52%1,198.5万-61.88%235.3万664.88%514万-90.84%14.7万-54.43%1,012.3万-86.55%167.5万
其他非现金项目 -23.64%1,190.1万160.41%1,360.1万25.48%1,353.2万14.50%4,225.8万109.16%1,066.5万26.85%1,558.6万-63.52%522.3万107.27%1,078.4万-13.90%3,690.5万-59.93%509.9万
营运资金变化 -81.55%618.7万161.49%1,580.7万-38.60%-6,038.9万-13.26%-4,841.5万-149.95%-1,266.6万392.51%3,352.8万-405.68%-2,570.5万33.02%-4,357.2万-14.86%-4,274.7万27.33%2,535.8万
-应收款项(增)减 -412.50%-1,352.8万248.01%1,787.4万-14.89%1,076.4万-115.58%-972.3万-4,595.43%-3,183.5万182.90%432.9万9.84%513.6万-80.12%1,264.7万218.15%6,240万98.28%-67.8万
-预付费用(增)减 55.07%1,946.7万63.80%-589.2万22.45%272.7万73.14%-144万101.17%5.3万144.38%1,255.4万-2,592.19%-1,627.4万133.55%222.7万-835.60%-536.1万-259.73%-451.4万
-应付款项及应计费用(减)增 -91.03%156.3万132.01%263.1万-29.09%-7,311.6万64.31%-3,087.3万-38.30%1,656.3万282.08%1,742.5万-1,010.30%-822万45.89%-5,664.1万-4,619.02%-8,649.4万-50.38%2,684.6万
-其他流动负债变动 281.14%66.7万139.64%126.1万74.06%-110.8万72.17%-433.4万262.12%294.4万121.11%17.5万-389.44%-318.1万74.35%-427.2万-168.00%-1,557.5万-92.27%81.3万
-其他营运资本变动 -107.54%-198.2万97.88%-6.7万-86.06%34.4万-189.58%-204.5万-113.52%-39.1万2.35%-95.5万-393.69%-316.6万448.45%246.7万126.40%228.3万135.34%289.1万
非持续经营活动现金净额
经营活动现金净额 -31.28%5,477.6万275.45%5,302.5万-91.25%-2,574.8万21.76%1.38亿-13.67%5,759.9万210.32%7,970.8万-69.86%1,412.3万48.12%-1,346.3万-33.85%1.13亿-31.37%6,672.2万
投资活动现金流量
持续投资活动现金净额 -55.28%125.9万225.94%375.8万-5.75%506.7万151.85%328.7万-137.67%-192万137.35%281.5万84.61%-298.4万-20.58%537.6万-114.56%-634万-48.89%509.7万
无形资产交易净额 -94.26%-91.3万7.98%-64.6万-7.48%-64.7万42.23%-284.3万-11.94%-106.9万65.06%-47万50.07%-70.2万50.45%-60.2万69.50%-492.1万-117.54%-95.5万
业务交易净额 -630.23%-114万-114.34%-264.5万-778.02%-79.9万60.07%-231.4万46.03%-120.4万111.81%21.5万-57.60%-123.4万90.52%-9.1万-111.60%-579.5万-56.89%-223.1万
投资产品交易净额 66.35%-31.9万11.62%-315.7万2,750.00%42.4万-605.74%-704.5万-213.27%-250.9万-196.25%-94.8万-795.24%-357.2万84.47%-1.6万822.52%139.3万-65.77%221.5万
已收到的股息(投资活动产生的现金流) -2.36%206.5万521.08%1,078.2万-5.02%412.5万-53.94%1,040.8万-53.33%221.4万-61.14%211.5万-66.10%173.6万-40.43%434.3万118.50%2,259.7万28.98%474.4万
其他投资活动净额 -17.71%156.6万-173.10%-57.6万12.74%196.4万125.90%508.1万-51.06%64.8万347.14%190.3万103.59%78.8万-0.85%174.2万-2,484.19%-1,961.4万-21.47%132.4万
非持续投资活动现金净额
投资活动现金净额 -55.28%125.9万225.94%375.8万-5.75%506.7万151.85%328.7万-137.67%-192万137.35%281.5万84.61%-298.4万-20.58%537.6万-114.56%-634万-48.89%509.7万
融资活动现金流量
持续融资活动现金净额 68.62%-5,704.6万-228.89%-6,337.2万-133.04%-891.8万7.33%-1.37亿23.09%-3,168.4万-284.21%-1.82亿277.71%4,916.6万184.40%2,699.2万17.40%-1.48亿26.42%-4,119.4万
债务发行/偿还的净额 87.90%-1,769.3万-98.88%124.3万-52.61%1,946.3万-54.10%409.3万139.51%290万-3,087.21%-1.46亿971.23%1.11亿291.37%4,107万119.63%891.7万75.82%-734万
普通股发行/回购的净额 ---495.5万--0---91.9万92.59%-252万---417.6万--0--0--0-90.06%-3,399.8万--0
已支付现金股息 -1.96%-2,304万-3.04%-4,561.4万--0-1.68%-8,946.6万-2.40%-2,259.8万-2.40%-2,259.8万-0.96%-4,427万--0-0.35%-8,798.4万0.89%-2,206.8万
职工行使股票期权收到的现金 ------0--0340.43%165.6万----------0340.43%165.6万-87.29%37.6万--0
已付利息(筹资活动产生的现金流) 7.64%-1,124.4万-6.29%-1,277.5万-34.84%-1,399.5万-21.53%-4,087.1万35.15%-629.9万-48.63%-1,217.4万-44.82%-1,201.9万-39.75%-1,037.9万-17.71%-3,363万-46.37%-971.3万
其他融资活动的净现金流额 84.57%-11.4万-14.47%-622.6万-151.48%-1,346.7万-456.53%-1,019万-52.77%-316.7万94.07%-73.9万-138.50%-543.9万-275.79%-535.5万33.54%-183.1万-114.81%-207.3万
非持续融资活动现金净额
融资活动现金净额 68.62%-5,704.6万-228.89%-6,337.2万-133.04%-891.8万7.33%-1.37亿23.09%-3,168.4万-284.21%-1.82亿277.71%4,916.6万184.40%2,699.2万17.40%-1.48亿26.42%-4,119.4万
现金净流量
期初现金流 -78.55%3,032.8万-55.12%3,663.4万5.48%6,560.5万-39.37%6,219.9万40.95%4,225.9万184.52%1.41亿62.13%8,163.3万-39.37%6,219.9万48.99%1.03亿-43.15%2,998.1万
当期现金流变化 98.98%-101.1万-110.93%-658.9万-256.57%-2,959.9万109.61%395.6万-21.65%2,399.5万-385.61%-9,924.9万29,517.07%6,030.5万136.95%1,890.5万-216.04%-4,118万-40.20%3,062.5万
利率变动影响 325.36%58.7万149.82%28.3万18.71%62.8万-170.06%-55万-140.74%-64.9万-81.15%13.8万-23.75%-56.8万148.94%52.9万144.81%78.5万217.05%159.3万
期末现金流 -29.24%2,990.4万-78.55%3,032.8万-55.12%3,663.4万5.48%6,560.5万5.48%6,560.5万40.95%4,225.9万184.52%1.41亿62.13%8,163.3万-39.37%6,219.9万-39.37%6,219.9万
自由现金流 -32.02%5,386.3万290.28%5,237.9万-87.66%-2,639.5万24.67%1.35亿-14.05%5,653万225.53%7,923.8万-70.47%1,342.1万48.23%-1,406.5万-30.14%1.08亿-32.05%6,576.7万
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。

加拿大市场投资机会
五大行 五大行

“五大行”指的是加拿大最大的五家银行——皇家银行、加拿大道明信托、加拿大丰业银行、蒙特利尔银行和加拿大帝国商业银行——它们主导并显著影响着国家的金融行业。 “五大行”指的是加拿大最大的五家银行——皇家银行、加拿大道明信托、加拿大丰业银行、蒙特利尔银行和加拿大帝国商业银行——它们主导并显著影响着国家的金融行业。