加拿大市场个股详情

MTY Food Group Inc (MTY)

添加自选
  • 39.000
  • -0.050-0.13%
延时15分钟行情已收盘 03/20 16:00 (美东)
8.91亿总市值7.53市盈率TTM

MTY Food Group Inc (MTY) 现金流量表

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2025/11/30
(Q4)2025/11/30
(Q3)2025/08/31
(Q2)2025/05/31
(Q1)2025/02/28
(FY)2024/11/30
(Q4)2024/11/30
(Q3)2024/08/31
(Q2)2024/05/31
(Q1)2024/02/29
经营活动现金流量(间接法)
持续经营活动现金净额
-10.09%1.84亿
5.64%4,618万
-41.21%3,900.9万
-0.98%4,016万
8.53%5,880.2万
10.95%2.05亿
-8.48%4,371.6万
28.86%6,635.5万
-21.79%4,055.8万
61.88%5,417.8万
持续经营净收入
384.62%1.19亿
158.20%3,215.3万
-19.68%2,814.5万
108.58%5,726.9万
-89.51%182.5万
-76.43%2,463.6万
-434.83%-5,525万
-10.32%3,504万
-9.85%2,745.6万
-5.96%1,739万
持续经营损益
-132.77%-583.7万
-63.36%850.3万
89.73%-84.2万
-1,135.53%-3,520.8万
3,730.43%2,171万
336.54%1,781.1万
524.74%2,320.9万
-94.91%-820万
835.93%340万
-111.88%-59.8万
折旧摊销及损耗
-0.05%9,177.4万
-3.44%2,271.9万
0.40%2,305.6万
-1.24%2,278.3万
4.32%2,321.6万
2.60%9,181.9万
18.83%2,352.9万
-0.66%2,296.5万
-5.89%2,307万
0.87%2,225.5万
资产减值支出
-80.69%1,433.2万
-87.53%819.1万
74.51%521.1万
-93.55%20.5万
-68.94%72.5万
652.60%7,420.6万
585.48%6,571万
1,677.38%298.6万
10,686.67%317.6万
1,616.18%233.4万
投资证券未实现损益
----
----
-67.49%33万
105.07%3.1万
722.92%29.9万
----
----
125.81%101.5万
-241.44%-61.1万
-111.79%-4.8万
以股票支付的报酬
-35.45%41.7万
-65.57%4.2万
67.68%27.5万
-77.65%4万
-66.85%6万
-18.43%64.6万
-32.60%12.2万
-13.68%16.4万
-14.35%17.9万
-14.62%18.1万
递延税费
313.45%1,885万
109.41%150.1万
128.39%641.1万
712.52%1,226.9万
-147.42%-133.1万
-261.71%-883.1万
-875.24%-1,595.5万
27.36%280.7万
-62.12%151万
209.48%280.7万
其他非现金项目
-34.01%3,996.6万
-76.66%406.8万
-23.64%1,108.7万
-12.26%1,288.6万
-14.39%1,192.5万
5.53%6,056.2万
66.22%1,742.8万
-14.65%1,451.9万
-13.60%1,468.6万
8.04%1,392.9万
营运资金变化
-1,875.56%-3,160.9万
-967.86%-1,304.4万
-1,696.09%-1,790.7万
2.98%-1,297.6万
9.32%1,231.8万
79.24%-160万
-31.34%150.3万
53.95%-99.7万
-272.33%-1,337.4万
372.17%1,126.8万
-应收款项(增)减
-419.67%-1,090.4万
217.05%832.9万
-9,255.48%-1,450.1万
-99.91%-684.3万
-51.60%211.1万
165.82%341.1万
216.39%262.7万
-105.16%-15.5万
-236.58%-342.3万
188.77%436.2万
-存货(增)减
214.79%259.7万
-151.53%-140.1万
315.69%11万
671.62%171.3万
79.60%217.5万
153.43%82.5万
65.57%-55.7万
80.31%-5.1万
211.00%22.2万
127.20%121.1万
-预付费用(增)减
-1,497.48%-166.3万
-51.92%43.8万
-57.83%54.7万
-228.77%-85.5万
34.87%-179.3万
-90.39%11.9万
-41.64%91.1万
14.88%129.7万
427.09%66.4万
-120.42%-275.3万
-应付款项及应计费用(减)增
56.02%-674.5万
75.93%-152.4万
115.47%19.4万
-20.49%-975万
1,163.85%433.5万
17.66%-1,533.5万
0.14%-633.2万
31.51%-125.4万
-2,335.36%-809.2万
103.17%34.3万
-其他流动资产变动
-315.19%-128.9万
99.69%-3,000
-95.04%14.6万
76.64%115.7万
-28.10%-258.9万
177.59%59.9万
-260.49%-97.9万
551.53%294.4万
49.20%65.5万
-72.88%-202.1万
-其他流动负债变动
-377.41%-1,501.9万
-632.90%-1,880.6万
-4.93%-359.9万
102.84%8.5万
-12.10%730.1万
-56.89%541.4万
-61.84%352.9万
-6.72%-343万
-23.65%-299.1万
-7.13%830.6万
-其他营运资本变动
-58.00%141.4万
-103.34%-7.7万
-131.03%-80.4万
470.90%151.7万
-57.25%77.8万
-27.04%336.7万
133.91%230.4万
-1.16%-34.8万
26.17%-40.9万
-59.81%182万
已付利息(经营活动产生的现金流)
21.82%-3,675万
22.34%-865万
26.34%-903.2万
18.53%-917.4万
19.87%-989.4万
6.52%-4,700.9万
7.64%-1,113.8万
0.82%-1,226.2万
10.67%-1,126.1万
6.86%-1,234.8万
已支付退税
-254.96%-2,638.4万
-69.94%-864.3万
-192.87%-772.5万
-3.81%-796.5万
31.45%-205.1万
74.38%-743.3万
-24.29%-508.6万
209.45%831.8万
4.61%-767.3万
67.76%-299.2万
非持续经营活动现金净额
经营活动现金净额
-10.09%1.84亿
5.64%4,618万
-41.21%3,900.9万
-0.98%4,016万
8.53%5,880.2万
10.95%2.05亿
-8.48%4,371.6万
28.86%6,635.5万
-21.79%4,055.8万
61.88%5,417.8万
投资活动现金流量
持续投资活动现金净额
66.77%-782.1万
187.05%231.2万
86.47%-122.9万
-12.25%-570.9万
52.38%-319.5万
92.64%-2,353.7万
36.73%-265.6万
3.70%-908.6万
52.05%-508.6万
97.73%-670.9万
固定资产交易净额
71.40%-583万
190.38%309万
60.62%-219.5万
15.69%-416.9万
60.35%-255.6万
28.31%-2,038.5万
-29.12%-341.9万
26.53%-557.4万
54.15%-494.5万
13.07%-644.7万
无形资产交易净额
25.17%-203.9万
80.84%-24.2万
89.98%-8.1万
-132.30%-82.7万
-198.32%-88.9万
-33.25%-272.5万
-51.08%-126.3万
-16.09%-80.8万
9.41%-35.6万
-148.33%-29.8万
业务交易净额
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----
----
----
----
--0
--0
--0
----
----
其他投资活动净额
111.24%4.8万
-126.46%-53.6万
138.72%104.7万
-431.63%-71.3万
594.44%25万
-122.87%-42.7万
2,455.81%202.6万
-1,181.60%-270.4万
-62.35%21.5万
-96.82%3.6万
非持续投资活动现金净额
投资活动现金净额
66.77%-782.1万
187.05%231.2万
86.47%-122.9万
-12.25%-570.9万
52.38%-319.5万
92.64%-2,353.7万
36.73%-265.6万
3.70%-908.6万
52.05%-508.6万
97.73%-670.9万
融资活动现金流量
持续融资活动现金净额
6.39%-1.75亿
15.74%-3,518.8万
13.02%-4,880.5万
-47.29%-4,872.7万
24.55%-4,212.4万
-237.40%-1.87亿
-14.07%-4,175.9万
-28.53%-5,610.9万
20.76%-3,308.3万
-121.64%-5,583.1万
债务发行/偿还的净额
6.33%-1.16亿
-18.80%-2,513.6万
7.38%-4,126.7万
-128.80%-2,855.9万
54.43%-2,057.2万
-174.81%-1.23亿
19.68%-2,115.9万
-19.10%-4,455.5万
64.84%-1,248.2万
-117.09%-4,514万
普通股发行/回购的净额
33.66%-2,774万
90.42%-134.2万
--0
1.69%-1,258.6万
-288.52%-1,381.2万
-903.48%-4,181.5万
-236.33%-1,401.5万
---1,144.2万
---1,280.3万
---355.5万
已支付现金股息
-13.02%-3,030.2万
-14.47%-753.8万
-12.95%-753.8万
-12.08%-756.1万
-12.62%-766.5万
-9.85%-2,681.1万
-8.00%-658.5万
-9.36%-667.4万
-10.52%-674.6万
-11.52%-680.6万
其他融资活动的净现金流额
-124.48%-126.8万
---117.2万
----
98.00%-2.1万
77.27%-7.5万
1,623.53%518万
--0
4,721.13%656.2万
-610.81%-105.2万
-560.00%-33万
非持续融资活动现金净额
融资活动现金净额
6.39%-1.75亿
15.74%-3,518.8万
13.02%-4,880.5万
-47.29%-4,872.7万
24.55%-4,212.4万
-237.40%-1.87亿
-14.07%-4,175.9万
-28.53%-5,610.9万
20.76%-3,308.3万
-121.64%-5,583.1万
现金净流量
期初现金流
-14.41%5,040.9万
-27.30%3,706.9万
-9.66%4,720.4万
36.00%6,878.1万
-14.41%5,040.9万
-0.98%5,889.5万
-15.46%5,098.9万
-16.52%5,225.3万
-13.87%5,057.4万
-0.98%5,889.5万
当期现金流变化
126.96%148.6万
2,003.29%1,330.4万
-1,050.43%-1,102.5万
-697.57%-1,427.6万
261.24%1,348.3万
-733.56%-551.2万
-110.05%-69.9万
172.68%116万
580.68%238.9万
-109.31%-836.2万
利率变动影响
103.16%9.4万
1,257.98%161.6万
136.72%89万
-928.31%-730.1万
11,824.39%488.9万
-104.54%-297.4万
101.42%11.9万
-253.87%-242.4万
-116.24%-71万
-98.73%4.1万
期末现金流
3.13%5,198.9万
3.13%5,198.9万
-27.30%3,706.9万
-9.66%4,720.4万
36.00%6,878.1万
-14.41%5,040.9万
-14.41%5,040.9万
-15.46%5,098.9万
-16.52%5,225.3万
-13.87%5,057.4万
自由现金流
-4.79%1.69亿
13.27%4,316.1万
-38.74%3,624.7万
6.11%3,495.1万
15.74%5,424.8万
16.18%1.77亿
-12.79%3,810.3万
38.13%5,917.2万
-18.55%3,293.7万
84.16%4,686.9万
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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--
--
--
无保留意见
--
--
--
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(FY)2025/11/30(Q4)2025/11/30(Q3)2025/08/31(Q2)2025/05/31(Q1)2025/02/28(FY)2024/11/30(Q4)2024/11/30(Q3)2024/08/31(Q2)2024/05/31(Q1)2024/02/29
经营活动现金流量(间接法)
持续经营活动现金净额 -10.09%1.84亿5.64%4,618万-41.21%3,900.9万-0.98%4,016万8.53%5,880.2万10.95%2.05亿-8.48%4,371.6万28.86%6,635.5万-21.79%4,055.8万61.88%5,417.8万
持续经营净收入 384.62%1.19亿158.20%3,215.3万-19.68%2,814.5万108.58%5,726.9万-89.51%182.5万-76.43%2,463.6万-434.83%-5,525万-10.32%3,504万-9.85%2,745.6万-5.96%1,739万
持续经营损益 -132.77%-583.7万-63.36%850.3万89.73%-84.2万-1,135.53%-3,520.8万3,730.43%2,171万336.54%1,781.1万524.74%2,320.9万-94.91%-820万835.93%340万-111.88%-59.8万
折旧摊销及损耗 -0.05%9,177.4万-3.44%2,271.9万0.40%2,305.6万-1.24%2,278.3万4.32%2,321.6万2.60%9,181.9万18.83%2,352.9万-0.66%2,296.5万-5.89%2,307万0.87%2,225.5万
资产减值支出 -80.69%1,433.2万-87.53%819.1万74.51%521.1万-93.55%20.5万-68.94%72.5万652.60%7,420.6万585.48%6,571万1,677.38%298.6万10,686.67%317.6万1,616.18%233.4万
投资证券未实现损益 ---------67.49%33万105.07%3.1万722.92%29.9万--------125.81%101.5万-241.44%-61.1万-111.79%-4.8万
以股票支付的报酬 -35.45%41.7万-65.57%4.2万67.68%27.5万-77.65%4万-66.85%6万-18.43%64.6万-32.60%12.2万-13.68%16.4万-14.35%17.9万-14.62%18.1万
递延税费 313.45%1,885万109.41%150.1万128.39%641.1万712.52%1,226.9万-147.42%-133.1万-261.71%-883.1万-875.24%-1,595.5万27.36%280.7万-62.12%151万209.48%280.7万
其他非现金项目 -34.01%3,996.6万-76.66%406.8万-23.64%1,108.7万-12.26%1,288.6万-14.39%1,192.5万5.53%6,056.2万66.22%1,742.8万-14.65%1,451.9万-13.60%1,468.6万8.04%1,392.9万
营运资金变化 -1,875.56%-3,160.9万-967.86%-1,304.4万-1,696.09%-1,790.7万2.98%-1,297.6万9.32%1,231.8万79.24%-160万-31.34%150.3万53.95%-99.7万-272.33%-1,337.4万372.17%1,126.8万
-应收款项(增)减 -419.67%-1,090.4万217.05%832.9万-9,255.48%-1,450.1万-99.91%-684.3万-51.60%211.1万165.82%341.1万216.39%262.7万-105.16%-15.5万-236.58%-342.3万188.77%436.2万
-存货(增)减 214.79%259.7万-151.53%-140.1万315.69%11万671.62%171.3万79.60%217.5万153.43%82.5万65.57%-55.7万80.31%-5.1万211.00%22.2万127.20%121.1万
-预付费用(增)减 -1,497.48%-166.3万-51.92%43.8万-57.83%54.7万-228.77%-85.5万34.87%-179.3万-90.39%11.9万-41.64%91.1万14.88%129.7万427.09%66.4万-120.42%-275.3万
-应付款项及应计费用(减)增 56.02%-674.5万75.93%-152.4万115.47%19.4万-20.49%-975万1,163.85%433.5万17.66%-1,533.5万0.14%-633.2万31.51%-125.4万-2,335.36%-809.2万103.17%34.3万
-其他流动资产变动 -315.19%-128.9万99.69%-3,000-95.04%14.6万76.64%115.7万-28.10%-258.9万177.59%59.9万-260.49%-97.9万551.53%294.4万49.20%65.5万-72.88%-202.1万
-其他流动负债变动 -377.41%-1,501.9万-632.90%-1,880.6万-4.93%-359.9万102.84%8.5万-12.10%730.1万-56.89%541.4万-61.84%352.9万-6.72%-343万-23.65%-299.1万-7.13%830.6万
-其他营运资本变动 -58.00%141.4万-103.34%-7.7万-131.03%-80.4万470.90%151.7万-57.25%77.8万-27.04%336.7万133.91%230.4万-1.16%-34.8万26.17%-40.9万-59.81%182万
已付利息(经营活动产生的现金流) 21.82%-3,675万22.34%-865万26.34%-903.2万18.53%-917.4万19.87%-989.4万6.52%-4,700.9万7.64%-1,113.8万0.82%-1,226.2万10.67%-1,126.1万6.86%-1,234.8万
已支付退税 -254.96%-2,638.4万-69.94%-864.3万-192.87%-772.5万-3.81%-796.5万31.45%-205.1万74.38%-743.3万-24.29%-508.6万209.45%831.8万4.61%-767.3万67.76%-299.2万
非持续经营活动现金净额
经营活动现金净额 -10.09%1.84亿5.64%4,618万-41.21%3,900.9万-0.98%4,016万8.53%5,880.2万10.95%2.05亿-8.48%4,371.6万28.86%6,635.5万-21.79%4,055.8万61.88%5,417.8万
投资活动现金流量
持续投资活动现金净额 66.77%-782.1万187.05%231.2万86.47%-122.9万-12.25%-570.9万52.38%-319.5万92.64%-2,353.7万36.73%-265.6万3.70%-908.6万52.05%-508.6万97.73%-670.9万
固定资产交易净额 71.40%-583万190.38%309万60.62%-219.5万15.69%-416.9万60.35%-255.6万28.31%-2,038.5万-29.12%-341.9万26.53%-557.4万54.15%-494.5万13.07%-644.7万
无形资产交易净额 25.17%-203.9万80.84%-24.2万89.98%-8.1万-132.30%-82.7万-198.32%-88.9万-33.25%-272.5万-51.08%-126.3万-16.09%-80.8万9.41%-35.6万-148.33%-29.8万
业务交易净额 ----------------------0--0--0--------
其他投资活动净额 111.24%4.8万-126.46%-53.6万138.72%104.7万-431.63%-71.3万594.44%25万-122.87%-42.7万2,455.81%202.6万-1,181.60%-270.4万-62.35%21.5万-96.82%3.6万
非持续投资活动现金净额
投资活动现金净额 66.77%-782.1万187.05%231.2万86.47%-122.9万-12.25%-570.9万52.38%-319.5万92.64%-2,353.7万36.73%-265.6万3.70%-908.6万52.05%-508.6万97.73%-670.9万
融资活动现金流量
持续融资活动现金净额 6.39%-1.75亿15.74%-3,518.8万13.02%-4,880.5万-47.29%-4,872.7万24.55%-4,212.4万-237.40%-1.87亿-14.07%-4,175.9万-28.53%-5,610.9万20.76%-3,308.3万-121.64%-5,583.1万
债务发行/偿还的净额 6.33%-1.16亿-18.80%-2,513.6万7.38%-4,126.7万-128.80%-2,855.9万54.43%-2,057.2万-174.81%-1.23亿19.68%-2,115.9万-19.10%-4,455.5万64.84%-1,248.2万-117.09%-4,514万
普通股发行/回购的净额 33.66%-2,774万90.42%-134.2万--01.69%-1,258.6万-288.52%-1,381.2万-903.48%-4,181.5万-236.33%-1,401.5万---1,144.2万---1,280.3万---355.5万
已支付现金股息 -13.02%-3,030.2万-14.47%-753.8万-12.95%-753.8万-12.08%-756.1万-12.62%-766.5万-9.85%-2,681.1万-8.00%-658.5万-9.36%-667.4万-10.52%-674.6万-11.52%-680.6万
其他融资活动的净现金流额 -124.48%-126.8万---117.2万----98.00%-2.1万77.27%-7.5万1,623.53%518万--04,721.13%656.2万-610.81%-105.2万-560.00%-33万
非持续融资活动现金净额
融资活动现金净额 6.39%-1.75亿15.74%-3,518.8万13.02%-4,880.5万-47.29%-4,872.7万24.55%-4,212.4万-237.40%-1.87亿-14.07%-4,175.9万-28.53%-5,610.9万20.76%-3,308.3万-121.64%-5,583.1万
现金净流量
期初现金流 -14.41%5,040.9万-27.30%3,706.9万-9.66%4,720.4万36.00%6,878.1万-14.41%5,040.9万-0.98%5,889.5万-15.46%5,098.9万-16.52%5,225.3万-13.87%5,057.4万-0.98%5,889.5万
当期现金流变化 126.96%148.6万2,003.29%1,330.4万-1,050.43%-1,102.5万-697.57%-1,427.6万261.24%1,348.3万-733.56%-551.2万-110.05%-69.9万172.68%116万580.68%238.9万-109.31%-836.2万
利率变动影响 103.16%9.4万1,257.98%161.6万136.72%89万-928.31%-730.1万11,824.39%488.9万-104.54%-297.4万101.42%11.9万-253.87%-242.4万-116.24%-71万-98.73%4.1万
期末现金流 3.13%5,198.9万3.13%5,198.9万-27.30%3,706.9万-9.66%4,720.4万36.00%6,878.1万-14.41%5,040.9万-14.41%5,040.9万-15.46%5,098.9万-16.52%5,225.3万-13.87%5,057.4万
自由现金流 -4.79%1.69亿13.27%4,316.1万-38.74%3,624.7万6.11%3,495.1万15.74%5,424.8万16.18%1.77亿-12.79%3,810.3万38.13%5,917.2万-18.55%3,293.7万84.16%4,686.9万
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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