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KRNY 卡尼金融储蓄

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  • 8.250
  • +1.240+17.69%
收盘价 11/06 16:00 (美东)
5.33亿总市值-5689市盈率TTM

卡尼金融储蓄关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2024/09/30
(FY)2024/06/30
(Q4)2024/06/30
(Q3)2024/03/31
(Q2)2023/12/31
(Q1)2023/09/30
(FY)2023/06/30
(Q4)2023/06/30
(Q3)2023/03/31
(Q2)2022/12/31
经营活动现金流量(间接法)
持续经营活动现金净额
-79.33%253.9万
-36.78%4,397.1万
-37.69%725.8万
-19.58%1,756.7万
-55.30%686.2万
-40.67%1,228.4万
-14.45%6,954.9万
-51.76%1,164.8万
-28.70%2,184.4万
-27.26%1,535.2万
持续经营净收入
-38.10%609.2万
-312.36%-8,666.7万
-849.85%-9,007.9万
-28.27%739.7万
-808.71%-1,382.7万
-40.48%984.2万
-39.58%4,081.1万
5.66%1,201.3万
-41.72%1,031.2万
-89.61%195.1万
持续经营损益
74.17%-8.6万
28.80%1,847.5万
-52.22%9.7万
-70.57%69.7万
48.28%1,801.4万
11.44%-33.3万
1,170.45%1,434.4万
-84.53%20.3万
761.45%236.8万
1,030.25%1,214.9万
折旧和摊销
-9.53%123.4万
-16.52%525.6万
-16.33%126.6万
-17.14%129.6万
-17.03%133万
-15.59%136.4万
-5.41%629.6万
-8.14%151.3万
-5.15%156.4万
-4.41%160.3万
递延税费
-63.93%87.5万
-131.09%-86.7万
-815.51%-330.5万
-210.88%-120万
429.26%121.2万
-26.64%242.6万
-44.48%278.9万
81.20%-36.1万
-126.46%-38.6万
-90.31%22.9万
其他非现金项目
-157.40%-301.8万
-22.85%1,248.5万
64.66%-131.2万
100.90%846.2万
128.62%7.7万
-67.04%525.8万
42.02%1,618.3万
-2,425.85%-371.3万
-26.30%421.2万
-108.80%-26.9万
营运资金变动
57.11%-334.6万
32.49%-1,231万
-123.26%-32.5万
-94.13%11.9万
-30.59%-430.3万
57.52%-780.1万
-168.05%-1,823.3万
-78.12%139.7万
-48.66%202.7万
-947.04%-329.5万
-应收款项(增)减
103.31%5.4万
81.90%-138.8万
133.59%154.4万
43.41%-80.7万
86.14%-49.2万
51.27%-163.3万
-594.47%-766.7万
169.65%66.1万
-39.53%-142.6万
-439.48%-355.1万
-应付款项及递延费用(减)增
-23.85%162.5万
-86.33%133.6万
23.76%87万
-72.83%76.2万
-173.91%-243万
-28.39%213.4万
1,046.07%977.6万
-12.56%70.3万
280,600.00%280.5万
7,206.67%328.8万
-其他流动资产变化
104.59%48.6万
-274.30%-493.8万
-61.09%106.6万
-51.09%274.1万
1,172.51%183.4万
-98.11%-1,057.9万
-64.24%283.3万
120.43%274万
144.93%560.4万
-104.99%-17.1万
-其他流动负债变化
-174.66%-294.4万
110.36%150.6万
23.23%-84.6万
113.72%46.3万
-1,121.89%-205.4万
138.45%394.3万
-74.93%-1,453万
-116.16%-110.2万
-180.47%-337.5万
107.83%20.1万
-其他营运资本变化
-54.08%-256.7万
-2.09%-882.6万
-84.36%-295.9万
-92.28%-304万
62.08%-116.1万
30.50%-166.6万
-40.18%-864.5万
-4.70%-160.5万
-4.63%-158.1万
-96.03%-306.2万
非持续经营活动现金流
经营活动现金净额
-79.33%253.9万
-36.78%4,397.1万
-37.69%725.8万
-19.58%1,756.7万
-55.30%686.2万
-40.67%1,228.4万
-14.45%6,954.9万
-51.76%1,164.8万
-28.70%2,184.4万
-27.26%1,535.2万
投资活动现金流量
持续投资活动现金净额
-78.80%1,372.1万
161.76%2.58亿
-64.50%5,584.4万
-16.24%4,149万
122.93%9,605.8万
131.44%6,473万
12.92%-4.18亿
148.04%1.57亿
121.18%4,953.5万
-108,973.44%-4.19亿
投资产品交易净现金流
318.54%2,952.1万
399.64%1.72亿
13.45%3,154.1万
16.94%3,897.8万
292.09%1.15亿
-141.12%-1,350.8万
-71.63%3,434.2万
-78.70%2,780.2万
152.42%3,333.2万
-267.44%-5,964.6万
贷款净收益
-142.48%-3,729.3万
118.55%8,069.4万
-81.79%2,270.5万
-175.37%-1,812.8万
96.58%-1,167.7万
136.29%8,779.4万
26.15%-4.35亿
128.28%1.25亿
113.70%2,405.3万
-842.70%-3.42亿
固定资产交易的净现金流
-719.18%-135.6万
-163.53%-135万
-927.00%-102.7万
50.77%-28.9万
-106.84%-25.3万
124.75%21.9万
192.07%212.5万
90.46%-10万
48.10%-58.7万
1,269.26%369.7万
其他投资活动的净现金流
333.75%2,284.9万
75.56%-478.9万
-304.08%-935.7万
388.16%2,092.9万
68.62%-658.6万
-340.11%-977.5万
-91.54%-1,959.3万
127.55%458.5万
-213.15%-726.3万
---2,098.6万
非持续投资现金净额
投资活动现金流净额
-78.80%1,372.1万
161.76%2.58亿
-64.50%5,584.4万
-16.24%4,149万
122.93%9,605.8万
131.44%6,473万
12.92%-4.18亿
148.04%1.57亿
121.18%4,953.5万
-108,973.44%-4.19亿
融资活动现金流量
持续融资活动现金净额
183.55%7,545万
-197.31%-3.09亿
76.02%-7,026.5万
-230.22%-6,189万
-122.52%-8,627.9万
-150.27%-9,031万
-26.63%3.17亿
-185.55%-2.93亿
-76.84%4,752.9万
2,771.55%3.83亿
存款的增减
260.20%3.12亿
-102.33%-4.71亿
70.77%-5,092.2万
34.15%-1.11亿
16.30%-1.15亿
-179.23%-1.95亿
-161.65%-2.33亿
-152.20%-1.74亿
-324.57%-1.68亿
-331.67%-1.37亿
债务发行/偿还的净现金流
-291.67%-2.3亿
-66.53%2.03亿
88.10%-1,250万
-75.88%5,500万
-92.48%4,000万
340.00%1.2亿
181.40%6.05亿
-310.00%-1.05亿
38.18%2.28亿
1,620.00%5.32亿
普通股发行/偿还的净现金流
94.92%-34.9万
58.16%-1,172.4万
99.78%-1.4万
98.95%-7.1万
16.92%-477.3万
24.00%-686.6万
78.53%-2,802万
80.80%-645.1万
74.94%-679万
81.30%-574.5万
现金股利支付
-0.01%-701.1万
3.28%-2,756.4万
1.79%-685.1万
3.93%-689.1万
4.15%-681.2万
3.22%-701万
7.15%-2,849.9万
5.76%-697.6万
6.92%-717.3万
13.63%-710.7万
其他融资活动的净现金流额
129.00%41.5万
-158.35%-92.9万
105.98%2.2万
-53.90%64.5万
-121.94%-16.5万
-649.21%-143.1万
60.16%159.2万
-57.94%-36.8万
575.85%139.9万
36.73%75.2万
非持续融资活动现金净额
融资活动现金流净额
183.55%7,545万
-197.31%-3.09亿
76.02%-7,026.5万
-230.22%-6,189万
-122.52%-8,627.9万
-150.27%-9,031万
-26.63%3.17亿
-185.55%-2.93亿
-76.84%4,752.9万
2,771.55%3.83亿
现金净流量
期初现金流
-9.43%6,386.4万
-30.61%7,051.5万
-63.50%7,102.7万
-2.38%7,386万
-40.44%5,721.9万
-30.61%7,051.5万
49.75%1.02亿
211.91%1.95亿
25.16%7,566万
77.69%9,607.6万
当期现金流变化
789.76%9,171万
78.61%-665.1万
94.23%-716.3万
-102.38%-283.3万
181.51%1,664.1万
-140.04%-1,329.6万
-192.12%-3,110万
-416.17%-1.24亿
6,070.63%1.19亿
-419.90%-2,041.6万
期末现金流
171.89%1.56亿
-9.43%6,386.4万
-9.43%6,386.4万
-63.50%7,102.7万
-2.38%7,386万
-40.44%5,721.9万
-30.61%7,051.5万
-30.61%7,051.5万
211.91%1.95亿
25.16%7,566万
自由现金流
-90.37%118.3万
-37.50%4,262.1万
-46.04%623.1万
-18.72%1,727.8万
-56.14%682.8万
-38.02%1,228.4万
-13.00%6,819.4万
-49.98%1,154.8万
-27.95%2,125.7万
-25.07%1,556.9万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
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
--
--
--
--
带解释段的无保留意见
--
--
--
(Q1)2024/09/30(FY)2024/06/30(Q4)2024/06/30(Q3)2024/03/31(Q2)2023/12/31(Q1)2023/09/30(FY)2023/06/30(Q4)2023/06/30(Q3)2023/03/31(Q2)2022/12/31
经营活动现金流量(间接法)
持续经营活动现金净额 -79.33%253.9万-36.78%4,397.1万-37.69%725.8万-19.58%1,756.7万-55.30%686.2万-40.67%1,228.4万-14.45%6,954.9万-51.76%1,164.8万-28.70%2,184.4万-27.26%1,535.2万
持续经营净收入 -38.10%609.2万-312.36%-8,666.7万-849.85%-9,007.9万-28.27%739.7万-808.71%-1,382.7万-40.48%984.2万-39.58%4,081.1万5.66%1,201.3万-41.72%1,031.2万-89.61%195.1万
持续经营损益 74.17%-8.6万28.80%1,847.5万-52.22%9.7万-70.57%69.7万48.28%1,801.4万11.44%-33.3万1,170.45%1,434.4万-84.53%20.3万761.45%236.8万1,030.25%1,214.9万
折旧和摊销 -9.53%123.4万-16.52%525.6万-16.33%126.6万-17.14%129.6万-17.03%133万-15.59%136.4万-5.41%629.6万-8.14%151.3万-5.15%156.4万-4.41%160.3万
递延税费 -63.93%87.5万-131.09%-86.7万-815.51%-330.5万-210.88%-120万429.26%121.2万-26.64%242.6万-44.48%278.9万81.20%-36.1万-126.46%-38.6万-90.31%22.9万
其他非现金项目 -157.40%-301.8万-22.85%1,248.5万64.66%-131.2万100.90%846.2万128.62%7.7万-67.04%525.8万42.02%1,618.3万-2,425.85%-371.3万-26.30%421.2万-108.80%-26.9万
营运资金变动 57.11%-334.6万32.49%-1,231万-123.26%-32.5万-94.13%11.9万-30.59%-430.3万57.52%-780.1万-168.05%-1,823.3万-78.12%139.7万-48.66%202.7万-947.04%-329.5万
-应收款项(增)减 103.31%5.4万81.90%-138.8万133.59%154.4万43.41%-80.7万86.14%-49.2万51.27%-163.3万-594.47%-766.7万169.65%66.1万-39.53%-142.6万-439.48%-355.1万
-应付款项及递延费用(减)增 -23.85%162.5万-86.33%133.6万23.76%87万-72.83%76.2万-173.91%-243万-28.39%213.4万1,046.07%977.6万-12.56%70.3万280,600.00%280.5万7,206.67%328.8万
-其他流动资产变化 104.59%48.6万-274.30%-493.8万-61.09%106.6万-51.09%274.1万1,172.51%183.4万-98.11%-1,057.9万-64.24%283.3万120.43%274万144.93%560.4万-104.99%-17.1万
-其他流动负债变化 -174.66%-294.4万110.36%150.6万23.23%-84.6万113.72%46.3万-1,121.89%-205.4万138.45%394.3万-74.93%-1,453万-116.16%-110.2万-180.47%-337.5万107.83%20.1万
-其他营运资本变化 -54.08%-256.7万-2.09%-882.6万-84.36%-295.9万-92.28%-304万62.08%-116.1万30.50%-166.6万-40.18%-864.5万-4.70%-160.5万-4.63%-158.1万-96.03%-306.2万
非持续经营活动现金流
经营活动现金净额 -79.33%253.9万-36.78%4,397.1万-37.69%725.8万-19.58%1,756.7万-55.30%686.2万-40.67%1,228.4万-14.45%6,954.9万-51.76%1,164.8万-28.70%2,184.4万-27.26%1,535.2万
投资活动现金流量
持续投资活动现金净额 -78.80%1,372.1万161.76%2.58亿-64.50%5,584.4万-16.24%4,149万122.93%9,605.8万131.44%6,473万12.92%-4.18亿148.04%1.57亿121.18%4,953.5万-108,973.44%-4.19亿
投资产品交易净现金流 318.54%2,952.1万399.64%1.72亿13.45%3,154.1万16.94%3,897.8万292.09%1.15亿-141.12%-1,350.8万-71.63%3,434.2万-78.70%2,780.2万152.42%3,333.2万-267.44%-5,964.6万
贷款净收益 -142.48%-3,729.3万118.55%8,069.4万-81.79%2,270.5万-175.37%-1,812.8万96.58%-1,167.7万136.29%8,779.4万26.15%-4.35亿128.28%1.25亿113.70%2,405.3万-842.70%-3.42亿
固定资产交易的净现金流 -719.18%-135.6万-163.53%-135万-927.00%-102.7万50.77%-28.9万-106.84%-25.3万124.75%21.9万192.07%212.5万90.46%-10万48.10%-58.7万1,269.26%369.7万
其他投资活动的净现金流 333.75%2,284.9万75.56%-478.9万-304.08%-935.7万388.16%2,092.9万68.62%-658.6万-340.11%-977.5万-91.54%-1,959.3万127.55%458.5万-213.15%-726.3万---2,098.6万
非持续投资现金净额
投资活动现金流净额 -78.80%1,372.1万161.76%2.58亿-64.50%5,584.4万-16.24%4,149万122.93%9,605.8万131.44%6,473万12.92%-4.18亿148.04%1.57亿121.18%4,953.5万-108,973.44%-4.19亿
融资活动现金流量
持续融资活动现金净额 183.55%7,545万-197.31%-3.09亿76.02%-7,026.5万-230.22%-6,189万-122.52%-8,627.9万-150.27%-9,031万-26.63%3.17亿-185.55%-2.93亿-76.84%4,752.9万2,771.55%3.83亿
存款的增减 260.20%3.12亿-102.33%-4.71亿70.77%-5,092.2万34.15%-1.11亿16.30%-1.15亿-179.23%-1.95亿-161.65%-2.33亿-152.20%-1.74亿-324.57%-1.68亿-331.67%-1.37亿
债务发行/偿还的净现金流 -291.67%-2.3亿-66.53%2.03亿88.10%-1,250万-75.88%5,500万-92.48%4,000万340.00%1.2亿181.40%6.05亿-310.00%-1.05亿38.18%2.28亿1,620.00%5.32亿
普通股发行/偿还的净现金流 94.92%-34.9万58.16%-1,172.4万99.78%-1.4万98.95%-7.1万16.92%-477.3万24.00%-686.6万78.53%-2,802万80.80%-645.1万74.94%-679万81.30%-574.5万
现金股利支付 -0.01%-701.1万3.28%-2,756.4万1.79%-685.1万3.93%-689.1万4.15%-681.2万3.22%-701万7.15%-2,849.9万5.76%-697.6万6.92%-717.3万13.63%-710.7万
其他融资活动的净现金流额 129.00%41.5万-158.35%-92.9万105.98%2.2万-53.90%64.5万-121.94%-16.5万-649.21%-143.1万60.16%159.2万-57.94%-36.8万575.85%139.9万36.73%75.2万
非持续融资活动现金净额
融资活动现金流净额 183.55%7,545万-197.31%-3.09亿76.02%-7,026.5万-230.22%-6,189万-122.52%-8,627.9万-150.27%-9,031万-26.63%3.17亿-185.55%-2.93亿-76.84%4,752.9万2,771.55%3.83亿
现金净流量
期初现金流 -9.43%6,386.4万-30.61%7,051.5万-63.50%7,102.7万-2.38%7,386万-40.44%5,721.9万-30.61%7,051.5万49.75%1.02亿211.91%1.95亿25.16%7,566万77.69%9,607.6万
当期现金流变化 789.76%9,171万78.61%-665.1万94.23%-716.3万-102.38%-283.3万181.51%1,664.1万-140.04%-1,329.6万-192.12%-3,110万-416.17%-1.24亿6,070.63%1.19亿-419.90%-2,041.6万
期末现金流 171.89%1.56亿-9.43%6,386.4万-9.43%6,386.4万-63.50%7,102.7万-2.38%7,386万-40.44%5,721.9万-30.61%7,051.5万-30.61%7,051.5万211.91%1.95亿25.16%7,566万
自由现金流 -90.37%118.3万-37.50%4,262.1万-46.04%623.1万-18.72%1,727.8万-56.14%682.8万-38.02%1,228.4万-13.00%6,819.4万-49.98%1,154.8万-27.95%2,125.7万-25.07%1,556.9万
货币单位 美元美元美元美元美元美元美元美元美元美元
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 --无保留意见--------带解释段的无保留意见------

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