美股市场个股详情

IMPERIAL METALS CORPORATION (IPMLF)

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  • 4.620
  • +0.164+3.68%
延时15分钟行情收盘价 05/08 15:50 (美东)
8.23亿总市值8.77市盈率TTM

IMPERIAL METALS CORPORATION (IPMLF) 现金流量表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2026/03/31
(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
经营活动现金流量(间接法)
持续经营活动现金净额
0.03%6,833.7万
124.28%3.49亿
67.41%7,477.1万
49.97%9,529.2万
145.92%1.1亿
2,744.13%6,831.6万
4,173.66%1.55亿
514.12%4,466.3万
789.69%6,354.1万
365.54%4,480.4万
持续经营净收入
-65.16%1,440.2万
44.72%1.54亿
-46.88%3,335.6万
19.43%3,853.7万
99.07%4,055万
551.03%4,133.7万
389.42%1.06亿
697.87%6,278.8万
1,208.49%3,226.8万
226.92%2,037万
持续经营损益
166.01%23.3万
193.44%99.7万
283.10%105.1万
-931.43%-58.2万
470.17%88.1万
-8.62%-35.3万
-214.61%-106.7万
-161.59%-57.4万
116.99%7万
-155.09%-23.8万
折旧和摊销
16.59%2,722.1万
55.32%9,559.5万
102.57%2,505.4万
48.93%2,462.4万
25.08%2,257万
59.90%2,334.7万
25.99%6,154.8万
-3.88%1,236.8万
33.56%1,653.4万
35.26%1,804.5万
递延税费
-8.24%1,980.1万
4,649.63%8,872.3万
306.01%2,336.2万
43.85%1,902.4万
267.98%2,475.8万
419.93%2,157.9万
107.09%186.8万
-59.58%-1,134万
241.81%1,322.5万
230.62%672.8万
其他非现金项目
-34.63%655.3万
-15.29%3,373.4万
-34.91%684.6万
-19.18%799.6万
10.37%886.7万
-11.88%1,002.5万
10.28%3,982.2万
0.17%1,051.7万
0.16%989.4万
-6.62%803.4万
营运资金变化
119.30%328.6万
150.16%1,022.7万
78.55%-470.4万
1,735.47%1,086.6万
1,401.91%2,109.1万
-762.23%-1,702.6万
-520.45%-2,038.8万
-81.67%-2,193.1万
104.91%59.2万
-110.83%-162万
-应收款项(增)减
213.97%1,997.6万
-103.40%-831.9万
66.79%-173.1万
-113.57%-723.8万
415.24%1,817.7万
-270.55%-1,752.7万
-118.95%-409万
-5.36%-521.2万
71.07%-338.9万
-171.50%-576.6万
-存货(增)减
-833.43%-1,672.7万
88.12%-329.9万
111.78%181.2万
89.96%-20.2万
-32.36%-311.7万
77.65%-179.2万
-213.39%-2,777.3万
-99.06%-1,538.7万
81.55%-201.2万
-155.00%-235.5万
-预付费用(增)减
-206.27%-86.4万
-274.11%-125.7万
-146.45%-523.7万
23.50%174.5万
607.86%142.2万
23.93%81.3万
38.35%-33.6万
-268.28%-212.5万
315.59%141.3万
65.26%-28万
-应付款项及应计费用(减)增
-39.12%90.1万
95.60%2,310.2万
-43.00%45.2万
261.59%1,656.1万
-32.03%460.9万
531.49%148万
47.84%1,181.1万
-32.91%79.3万
-55.16%458万
98.62%678.1万
非持续经营活动现金净额
经营活动现金净额
0.03%6,833.7万
124.28%3.49亿
67.41%7,477.1万
49.97%9,529.2万
145.92%1.1亿
2,744.13%6,831.6万
4,173.66%1.55亿
514.12%4,466.3万
789.69%6,354.1万
365.54%4,480.4万
投资活动现金流量
持续投资活动现金净额
-8.02%-4,482.1万
-31.94%-2.13亿
-134.09%-6,274万
-19.21%-6,193.2万
8.91%-4,636.1万
-32.03%-4,149.5万
-28.53%-1.61亿
2.02%-2,680.2万
-34.67%-5,195万
-63.63%-5,089.4万
固定资产交易的净现金流
22.80%-3,277.1万
-21.71%-2.22亿
-33.99%-5,917.6万
-16.93%-6,351.8万
-9.70%-5,648.4万
-32.28%-4,244.7万
-49.10%-1.82亿
-54.80%-4,416.6万
-71.29%-5,432.1万
-34.76%-5,148.8万
业务交易的净现金流
---1,361.3万
----
----
----
----
--0
----
----
----
----
其他投资活动的净现金流
64.18%156.3万
-56.71%909.7万
-120.53%-356.4万
-33.11%158.6万
1,604.21%1,012.3万
44.24%95.2万
756.66%2,101.3万
1,375.28%1,736.4万
134.54%237.1万
-91.64%59.4万
非持续投资活动现金净额
投资活动现金净额
-8.02%-4,482.1万
-31.94%-2.13亿
-134.09%-6,274万
-19.21%-6,193.2万
8.91%-4,636.1万
-32.03%-4,149.5万
-28.53%-1.61亿
2.02%-2,680.2万
-34.67%-5,195万
-63.63%-5,089.4万
融资活动现金流量
持续融资活动现金净额
134.44%1,412.6万
-516.72%-1.57亿
-1,027.59%-6,515.2万
191.07%883.3万
-434.70%-5,944.6万
-216.07%-4,101.8万
-70.27%3,762.3万
-122.71%-577.8万
-135.26%-969.9万
-60.17%1,776.1万
债务发行/偿还的净现金流
133.68%1,392.3万
-525.12%-1.6亿
-1,030.39%-6,531.4万
184.46%819.2万
-446.16%-6,148.2万
-216.98%-4,133.8万
-65.78%3,762.3万
-122.71%-577.8万
-189.10%-969.9万
-60.17%1,776.1万
普通股发行/偿还的净现金流
----
----
----
----
----
----
--0
--0
--0
----
职工行使股票期权收到的现金
-36.56%20.3万
--315.9万
--16.2万
--64.1万
--203.6万
--32万
--0
--0
--0
--0
非持续融资活动现金净额
融资活动现金净额
134.44%1,412.6万
-516.72%-1.57亿
-1,027.59%-6,515.2万
191.07%883.3万
-434.70%-5,944.6万
-216.07%-4,101.8万
-70.27%3,762.3万
-122.71%-577.8万
-135.26%-969.9万
-60.17%1,776.1万
现金净流量
期初现金流
-33.79%3,848.1万
133.06%5,811.6万
99.50%9,017.9万
9.45%4,747.5万
39.20%4,395.1万
133.06%5,811.6万
-9.46%2,493.6万
20.06%4,520.2万
-24.59%4,337.7万
-9.38%3,157.3万
当期现金流变化
365.14%3,764.2万
-164.93%-2,075万
-539.63%-5,312.1万
2,130.07%4,219.3万
-62.51%437.5万
-324.92%-1,419.7万
1,336.76%3,195.8万
195.17%1,208.3万
109.33%189.2万
-49.51%1,167.1万
利率变动影响
2,031.25%68.2万
-144.60%-54.5万
-128.52%-23.7万
862.69%51.1万
-739.85%-85.1万
-90.15%3.2万
5,919.05%122.2万
5,293.75%83.1万
-116.18%-6.7万
130.30%13.3万
期末现金流
74.75%7,680.5万
-36.64%3,682.1万
-36.64%3,682.1万
99.50%9,017.9万
9.45%4,747.5万
39.20%4,395.1万
133.06%5,811.6万
133.06%5,811.6万
20.06%4,520.2万
-24.59%4,337.7万
自由现金流
37.44%3,555.4万
572.88%1.27亿
3,089.16%1,559.5万
245.36%3,173.9万
886.44%5,369.8万
187.14%2,586.9万
78.75%-2,683.6万
101.23%48.9万
122.44%919万
76.12%-682.8万
货币单位
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
审计意见
--
无保留意见
--
--
--
--
无保留意见
--
--
--
(Q1)2026/03/31(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
经营活动现金流量(间接法)
持续经营活动现金净额 0.03%6,833.7万124.28%3.49亿67.41%7,477.1万49.97%9,529.2万145.92%1.1亿2,744.13%6,831.6万4,173.66%1.55亿514.12%4,466.3万789.69%6,354.1万365.54%4,480.4万
持续经营净收入 -65.16%1,440.2万44.72%1.54亿-46.88%3,335.6万19.43%3,853.7万99.07%4,055万551.03%4,133.7万389.42%1.06亿697.87%6,278.8万1,208.49%3,226.8万226.92%2,037万
持续经营损益 166.01%23.3万193.44%99.7万283.10%105.1万-931.43%-58.2万470.17%88.1万-8.62%-35.3万-214.61%-106.7万-161.59%-57.4万116.99%7万-155.09%-23.8万
折旧和摊销 16.59%2,722.1万55.32%9,559.5万102.57%2,505.4万48.93%2,462.4万25.08%2,257万59.90%2,334.7万25.99%6,154.8万-3.88%1,236.8万33.56%1,653.4万35.26%1,804.5万
递延税费 -8.24%1,980.1万4,649.63%8,872.3万306.01%2,336.2万43.85%1,902.4万267.98%2,475.8万419.93%2,157.9万107.09%186.8万-59.58%-1,134万241.81%1,322.5万230.62%672.8万
其他非现金项目 -34.63%655.3万-15.29%3,373.4万-34.91%684.6万-19.18%799.6万10.37%886.7万-11.88%1,002.5万10.28%3,982.2万0.17%1,051.7万0.16%989.4万-6.62%803.4万
营运资金变化 119.30%328.6万150.16%1,022.7万78.55%-470.4万1,735.47%1,086.6万1,401.91%2,109.1万-762.23%-1,702.6万-520.45%-2,038.8万-81.67%-2,193.1万104.91%59.2万-110.83%-162万
-应收款项(增)减 213.97%1,997.6万-103.40%-831.9万66.79%-173.1万-113.57%-723.8万415.24%1,817.7万-270.55%-1,752.7万-118.95%-409万-5.36%-521.2万71.07%-338.9万-171.50%-576.6万
-存货(增)减 -833.43%-1,672.7万88.12%-329.9万111.78%181.2万89.96%-20.2万-32.36%-311.7万77.65%-179.2万-213.39%-2,777.3万-99.06%-1,538.7万81.55%-201.2万-155.00%-235.5万
-预付费用(增)减 -206.27%-86.4万-274.11%-125.7万-146.45%-523.7万23.50%174.5万607.86%142.2万23.93%81.3万38.35%-33.6万-268.28%-212.5万315.59%141.3万65.26%-28万
-应付款项及应计费用(减)增 -39.12%90.1万95.60%2,310.2万-43.00%45.2万261.59%1,656.1万-32.03%460.9万531.49%148万47.84%1,181.1万-32.91%79.3万-55.16%458万98.62%678.1万
非持续经营活动现金净额
经营活动现金净额 0.03%6,833.7万124.28%3.49亿67.41%7,477.1万49.97%9,529.2万145.92%1.1亿2,744.13%6,831.6万4,173.66%1.55亿514.12%4,466.3万789.69%6,354.1万365.54%4,480.4万
投资活动现金流量
持续投资活动现金净额 -8.02%-4,482.1万-31.94%-2.13亿-134.09%-6,274万-19.21%-6,193.2万8.91%-4,636.1万-32.03%-4,149.5万-28.53%-1.61亿2.02%-2,680.2万-34.67%-5,195万-63.63%-5,089.4万
固定资产交易的净现金流 22.80%-3,277.1万-21.71%-2.22亿-33.99%-5,917.6万-16.93%-6,351.8万-9.70%-5,648.4万-32.28%-4,244.7万-49.10%-1.82亿-54.80%-4,416.6万-71.29%-5,432.1万-34.76%-5,148.8万
业务交易的净现金流 ---1,361.3万------------------0----------------
其他投资活动的净现金流 64.18%156.3万-56.71%909.7万-120.53%-356.4万-33.11%158.6万1,604.21%1,012.3万44.24%95.2万756.66%2,101.3万1,375.28%1,736.4万134.54%237.1万-91.64%59.4万
非持续投资活动现金净额
投资活动现金净额 -8.02%-4,482.1万-31.94%-2.13亿-134.09%-6,274万-19.21%-6,193.2万8.91%-4,636.1万-32.03%-4,149.5万-28.53%-1.61亿2.02%-2,680.2万-34.67%-5,195万-63.63%-5,089.4万
融资活动现金流量
持续融资活动现金净额 134.44%1,412.6万-516.72%-1.57亿-1,027.59%-6,515.2万191.07%883.3万-434.70%-5,944.6万-216.07%-4,101.8万-70.27%3,762.3万-122.71%-577.8万-135.26%-969.9万-60.17%1,776.1万
债务发行/偿还的净现金流 133.68%1,392.3万-525.12%-1.6亿-1,030.39%-6,531.4万184.46%819.2万-446.16%-6,148.2万-216.98%-4,133.8万-65.78%3,762.3万-122.71%-577.8万-189.10%-969.9万-60.17%1,776.1万
普通股发行/偿还的净现金流 --------------------------0--0--0----
职工行使股票期权收到的现金 -36.56%20.3万--315.9万--16.2万--64.1万--203.6万--32万--0--0--0--0
非持续融资活动现金净额
融资活动现金净额 134.44%1,412.6万-516.72%-1.57亿-1,027.59%-6,515.2万191.07%883.3万-434.70%-5,944.6万-216.07%-4,101.8万-70.27%3,762.3万-122.71%-577.8万-135.26%-969.9万-60.17%1,776.1万
现金净流量
期初现金流 -33.79%3,848.1万133.06%5,811.6万99.50%9,017.9万9.45%4,747.5万39.20%4,395.1万133.06%5,811.6万-9.46%2,493.6万20.06%4,520.2万-24.59%4,337.7万-9.38%3,157.3万
当期现金流变化 365.14%3,764.2万-164.93%-2,075万-539.63%-5,312.1万2,130.07%4,219.3万-62.51%437.5万-324.92%-1,419.7万1,336.76%3,195.8万195.17%1,208.3万109.33%189.2万-49.51%1,167.1万
利率变动影响 2,031.25%68.2万-144.60%-54.5万-128.52%-23.7万862.69%51.1万-739.85%-85.1万-90.15%3.2万5,919.05%122.2万5,293.75%83.1万-116.18%-6.7万130.30%13.3万
期末现金流 74.75%7,680.5万-36.64%3,682.1万-36.64%3,682.1万99.50%9,017.9万9.45%4,747.5万39.20%4,395.1万133.06%5,811.6万133.06%5,811.6万20.06%4,520.2万-24.59%4,337.7万
自由现金流 37.44%3,555.4万572.88%1.27亿3,089.16%1,559.5万245.36%3,173.9万886.44%5,369.8万187.14%2,586.9万78.75%-2,683.6万101.23%48.9万122.44%919万76.12%-682.8万
货币单位 加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元
审计意见 --无保留意见--------无保留意见------
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