加拿大市场个股详情

Rogers Sugar Inc (RSI)

添加自选
  • 6.410
  • +0.050+0.79%
延时15分钟行情已收盘 04/17 16:00 (美东)
8.22亿总市值10.86市盈率TTM

Rogers Sugar Inc (RSI) 现金流量表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2025/12/27
(FY)2025/09/27
(Q4)2025/09/27
(Q3)2025/06/28
(Q2)2025/03/29
(Q1)2024/12/28
(FY)2024/09/28
(Q4)2024/09/28
(Q3)2024/06/29
(Q2)2024/03/30
经营活动现金流量(间接法)
持续经营活动现金净额
107.70%311.8万
52.20%1.21亿
-81.92%1,522.5万
10,453.08%1.21亿
187.55%2,524.7万
-274.07%-4,050万
80.04%7,979万
98.58%8,421万
-96.75%115.1万
-17.13%-2,883.8万
持续经营净收入
80.60%2,854.9万
19.96%6,445.5万
-26.33%1,367.4万
95.54%1,442.9万
47.42%2,054.4万
14.12%1,580.8万
3.75%5,372.9万
56.30%1,856.2万
-47.95%737.9万
25.98%1,393.6万
持续经营损益
-150.34%-581.9万
226.30%462.9万
314.00%472.3万
-7,739.02%-626.4万
-527.78%-539万
512.86%1,156万
44.88%-366.5万
-322.03%-220.7万
103.01%8.2万
337.74%126万
折旧摊销及损耗
-4.65%726.4万
3.42%2,982.9万
-4.80%751.2万
4.14%734.9万
5.60%735万
9.85%761.8万
9.73%2,884.3万
16.85%789.1万
8.32%705.7万
5.63%696万
以股票支付的报酬
-49.65%50.7万
194.17%327.7万
261.52%161.2万
-4.93%94.4万
-142.88%-28.6万
122.79%100.7万
515.47%111.4万
41.40%-99.8万
513.75%99.3万
-76.22%66.7万
递延税费
76.56%1,023万
10.90%2,184.4万
-40.60%370.2万
64.24%498.8万
45.00%736万
8.26%579.4万
5.91%1,969.7万
46.57%623.2万
-32.06%303.7万
14.12%507.6万
其他非现金项目
7.72%582.1万
5.33%2,310.7万
15.21%608.1万
26.80%628.4万
-2.16%533.8万
-13.51%540.4万
-8.80%2,193.8万
-18.62%527.8万
-10.93%495.6万
-7.01%545.6万
营运资金变化
77.70%-1,892.3万
35.91%-677.6万
-122.68%-1,440.3万
593.29%9,523.4万
94.83%-276.6万
-6,660.24%-8,484.1万
69.83%-1,057.2万
199.37%6,349.6万
-212.61%-1,930.6万
-19.99%-5,350.7万
-应收款项(增)减
431.61%2,173.7万
-241.90%-871.5万
-34.77%-1,446.5万
76.29%2,304.6万
64.70%-1,074.1万
-125.67%-655.5万
-235.66%-254.9万
46.68%-1,073.3万
-4.60%1,307.3万
-118.86%-3,042.6万
-存货(增)减
117.21%827.7万
101.56%36万
-115.93%-1,042.7万
101.62%133.4万
270.49%5,755.6万
-273.67%-4,810.3万
-11.02%-2,306.8万
69.07%6,545.2万
-18.34%-8,245.8万
-405.88%-3,376万
-预付费用(增)减
73.92%224.7万
-203.40%-85.1万
1,229.38%212.7万
-41.60%-401万
-101.21%-26万
107.19%129.2万
1,970.45%82.3万
-76.40%16万
16.06%-283.2万
1,981.86%2,147.2万
-应付款项及应计费用(减)增
-65.04%-5,095万
-76.30%405.9万
-17.77%863.1万
41.00%7,541.4万
-374.86%-4,911.5万
15.44%-3,087.1万
217.22%1,712.8万
314.53%1,049.6万
-30.42%5,348.4万
74.28%-1,034.3万
-其他营运资本变动
61.26%-23.4万
43.94%-162.9万
85.68%-26.9万
4.01%-55万
54.22%-20.6万
-15,000.00%-60.4万
-95.82%-290.6万
-221.75%-187.9万
-52.39%-57.3万
-21.95%-45万
已付利息(经营活动产生的现金流)
-60.76%-400.3万
-9.25%-1,808.4万
-29.50%-669.4万
2.65%-264.3万
-12.70%-625.7万
20.12%-249万
21.36%-1,655.3万
-94.10%-516.9万
63.09%-271.5万
12.90%-555.2万
已支付退税
-5,596.67%-2,050.8万
94.28%-84.3万
88.94%-98.2万
444.88%114.5万
79.39%-64.6万
85.00%-36万
-6.42%-1,474.1万
-84.93%-887.5万
84.35%-33.2万
19.54%-313.4万
非持续经营活动现金净额
经营活动现金净额
107.70%311.8万
52.20%1.21亿
-81.92%1,522.5万
10,453.08%1.21亿
187.55%2,524.7万
-274.07%-4,050万
80.04%7,979万
98.58%8,421万
-96.75%115.1万
-17.13%-2,883.8万
投资活动现金流量
持续投资活动现金净额
-39.06%-2,679.9万
-34.22%-8,868.6万
-14.80%-2,466.6万
-17.97%-2,200.4万
-72.91%-2,274.4万
-50.76%-1,927.2万
-86.66%-6,607.5万
-54.62%-2,148.6万
-116.68%-1,865.2万
-115.15%-1,315.4万
固定资产交易净额
-39.06%-2,679.9万
-34.56%-8,868.6万
-15.57%-2,466.6万
-17.97%-2,200.4万
-72.91%-2,274.4万
-51.06%-1,927.2万
-88.49%-6,590.7万
-55.82%-2,134.3万
-122.71%-1,865.2万
-115.15%-1,315.4万
无形资产交易净额
----
--0
--0
--0
--0
--0
61.11%-16.8万
28.14%-14.3万
--0
--0
非持续投资活动现金净额
投资活动现金净额
-39.06%-2,679.9万
-34.22%-8,868.6万
-14.80%-2,466.6万
-17.97%-2,200.4万
-72.91%-2,274.4万
-50.76%-1,927.2万
-86.66%-6,607.5万
-54.62%-2,148.6万
-116.68%-1,865.2万
-115.15%-1,315.4万
融资活动现金流量
持续融资活动现金净额
-70.78%1,690.1万
-908.43%-4,336.4万
82.42%-867.2万
-494.01%-7,794.3万
-136.85%-1,459.2万
1,334.12%5,784.3万
160.36%536.4万
-71.46%-4,933.3万
169.48%1,978.2万
100.03%3,960.2万
债务发行/偿还的净额
-58.29%2,866万
103.08%199.3万
106.53%246.3万
-312.84%-6,660.9万
95.95%-257.5万
1,178.64%6,871.4万
-343.41%-6,470万
-93.45%-3,771.4万
254.20%3,129.5万
-322.75%-6,365.5万
普通股发行/回购的净额
--0
-98.86%128.1万
--39.6万
--20.9万
--0
--67.6万
3,093.08%1.13亿
--0
--0
5,638.77%1.13亿
已支付现金股息
-0.20%-1,153.6万
-9.90%-4,609.6万
-0.17%-1,153.1万
-0.11%-1,152.6万
-21.87%-1,152.6万
-21.71%-1,151.3万
-11.29%-4,194.2万
-21.72%-1,151.2万
-22.01%-1,151.3万
-0.63%-945.8万
其他融资活动的净现金流额
-555.88%-22.3万
16.10%-54.2万
--0
---1.7万
-879.37%-49.1万
94.35%-3.4万
50.61%-64.6万
-159.44%-10.7万
----
104.69%6.3万
非持续融资活动现金净额
融资活动现金净额
-70.78%1,690.1万
-908.43%-4,336.4万
82.42%-867.2万
-494.01%-7,794.3万
-136.85%-1,459.2万
1,334.12%5,784.3万
160.36%536.4万
-71.46%-4,933.3万
169.48%1,978.2万
100.03%3,960.2万
现金净流量
期初现金流
-55.31%854.5万
41,467.39%1,912.1万
364.34%2,663.9万
50.26%518.7万
199.14%1,745.2万
41,467.39%1,912.1万
-69.54%4.6万
1,844.75%573.7万
77.30%345.2万
-54.73%583.4万
当期现金流变化
-251.48%-678万
-155.62%-1,061.2万
-235.26%-1,811.3万
843.40%2,151.9万
-405.82%-1,208.9万
-133.28%-192.9万
56,014.71%1,907.9万
5,191.63%1,339.1万
237.99%228.1万
78.15%-239万
利率变动影响
-104.62%-1.2万
1,000.00%3.6万
371.43%1.9万
-1,775.00%-6.7万
-2,300.00%-17.6万
2,988.89%26万
97.12%-4,000
-150.00%-7,000
300.00%4,000
366.67%8,000
期末现金流
-89.96%175.3万
-55.31%854.5万
-55.31%854.5万
364.34%2,663.9万
50.26%518.7万
199.14%1,745.2万
41,467.39%1,912.1万
41,467.39%1,912.1万
1,844.75%573.7万
77.30%345.2万
自由现金流
60.38%-2,368.1万
138.80%3,275.2万
-115.05%-944.1万
668.32%9,946.2万
105.96%250.3万
-670.13%-5,977.2万
53.76%1,371.5万
120.01%6,272.4万
-165.26%-1,750.1万
-36.63%-4,199.2万
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(Q1)2025/12/27(FY)2025/09/27(Q4)2025/09/27(Q3)2025/06/28(Q2)2025/03/29(Q1)2024/12/28(FY)2024/09/28(Q4)2024/09/28(Q3)2024/06/29(Q2)2024/03/30
经营活动现金流量(间接法)
持续经营活动现金净额 107.70%311.8万52.20%1.21亿-81.92%1,522.5万10,453.08%1.21亿187.55%2,524.7万-274.07%-4,050万80.04%7,979万98.58%8,421万-96.75%115.1万-17.13%-2,883.8万
持续经营净收入 80.60%2,854.9万19.96%6,445.5万-26.33%1,367.4万95.54%1,442.9万47.42%2,054.4万14.12%1,580.8万3.75%5,372.9万56.30%1,856.2万-47.95%737.9万25.98%1,393.6万
持续经营损益 -150.34%-581.9万226.30%462.9万314.00%472.3万-7,739.02%-626.4万-527.78%-539万512.86%1,156万44.88%-366.5万-322.03%-220.7万103.01%8.2万337.74%126万
折旧摊销及损耗 -4.65%726.4万3.42%2,982.9万-4.80%751.2万4.14%734.9万5.60%735万9.85%761.8万9.73%2,884.3万16.85%789.1万8.32%705.7万5.63%696万
以股票支付的报酬 -49.65%50.7万194.17%327.7万261.52%161.2万-4.93%94.4万-142.88%-28.6万122.79%100.7万515.47%111.4万41.40%-99.8万513.75%99.3万-76.22%66.7万
递延税费 76.56%1,023万10.90%2,184.4万-40.60%370.2万64.24%498.8万45.00%736万8.26%579.4万5.91%1,969.7万46.57%623.2万-32.06%303.7万14.12%507.6万
其他非现金项目 7.72%582.1万5.33%2,310.7万15.21%608.1万26.80%628.4万-2.16%533.8万-13.51%540.4万-8.80%2,193.8万-18.62%527.8万-10.93%495.6万-7.01%545.6万
营运资金变化 77.70%-1,892.3万35.91%-677.6万-122.68%-1,440.3万593.29%9,523.4万94.83%-276.6万-6,660.24%-8,484.1万69.83%-1,057.2万199.37%6,349.6万-212.61%-1,930.6万-19.99%-5,350.7万
-应收款项(增)减 431.61%2,173.7万-241.90%-871.5万-34.77%-1,446.5万76.29%2,304.6万64.70%-1,074.1万-125.67%-655.5万-235.66%-254.9万46.68%-1,073.3万-4.60%1,307.3万-118.86%-3,042.6万
-存货(增)减 117.21%827.7万101.56%36万-115.93%-1,042.7万101.62%133.4万270.49%5,755.6万-273.67%-4,810.3万-11.02%-2,306.8万69.07%6,545.2万-18.34%-8,245.8万-405.88%-3,376万
-预付费用(增)减 73.92%224.7万-203.40%-85.1万1,229.38%212.7万-41.60%-401万-101.21%-26万107.19%129.2万1,970.45%82.3万-76.40%16万16.06%-283.2万1,981.86%2,147.2万
-应付款项及应计费用(减)增 -65.04%-5,095万-76.30%405.9万-17.77%863.1万41.00%7,541.4万-374.86%-4,911.5万15.44%-3,087.1万217.22%1,712.8万314.53%1,049.6万-30.42%5,348.4万74.28%-1,034.3万
-其他营运资本变动 61.26%-23.4万43.94%-162.9万85.68%-26.9万4.01%-55万54.22%-20.6万-15,000.00%-60.4万-95.82%-290.6万-221.75%-187.9万-52.39%-57.3万-21.95%-45万
已付利息(经营活动产生的现金流) -60.76%-400.3万-9.25%-1,808.4万-29.50%-669.4万2.65%-264.3万-12.70%-625.7万20.12%-249万21.36%-1,655.3万-94.10%-516.9万63.09%-271.5万12.90%-555.2万
已支付退税 -5,596.67%-2,050.8万94.28%-84.3万88.94%-98.2万444.88%114.5万79.39%-64.6万85.00%-36万-6.42%-1,474.1万-84.93%-887.5万84.35%-33.2万19.54%-313.4万
非持续经营活动现金净额
经营活动现金净额 107.70%311.8万52.20%1.21亿-81.92%1,522.5万10,453.08%1.21亿187.55%2,524.7万-274.07%-4,050万80.04%7,979万98.58%8,421万-96.75%115.1万-17.13%-2,883.8万
投资活动现金流量
持续投资活动现金净额 -39.06%-2,679.9万-34.22%-8,868.6万-14.80%-2,466.6万-17.97%-2,200.4万-72.91%-2,274.4万-50.76%-1,927.2万-86.66%-6,607.5万-54.62%-2,148.6万-116.68%-1,865.2万-115.15%-1,315.4万
固定资产交易净额 -39.06%-2,679.9万-34.56%-8,868.6万-15.57%-2,466.6万-17.97%-2,200.4万-72.91%-2,274.4万-51.06%-1,927.2万-88.49%-6,590.7万-55.82%-2,134.3万-122.71%-1,865.2万-115.15%-1,315.4万
无形资产交易净额 ------0--0--0--0--061.11%-16.8万28.14%-14.3万--0--0
非持续投资活动现金净额
投资活动现金净额 -39.06%-2,679.9万-34.22%-8,868.6万-14.80%-2,466.6万-17.97%-2,200.4万-72.91%-2,274.4万-50.76%-1,927.2万-86.66%-6,607.5万-54.62%-2,148.6万-116.68%-1,865.2万-115.15%-1,315.4万
融资活动现金流量
持续融资活动现金净额 -70.78%1,690.1万-908.43%-4,336.4万82.42%-867.2万-494.01%-7,794.3万-136.85%-1,459.2万1,334.12%5,784.3万160.36%536.4万-71.46%-4,933.3万169.48%1,978.2万100.03%3,960.2万
债务发行/偿还的净额 -58.29%2,866万103.08%199.3万106.53%246.3万-312.84%-6,660.9万95.95%-257.5万1,178.64%6,871.4万-343.41%-6,470万-93.45%-3,771.4万254.20%3,129.5万-322.75%-6,365.5万
普通股发行/回购的净额 --0-98.86%128.1万--39.6万--20.9万--0--67.6万3,093.08%1.13亿--0--05,638.77%1.13亿
已支付现金股息 -0.20%-1,153.6万-9.90%-4,609.6万-0.17%-1,153.1万-0.11%-1,152.6万-21.87%-1,152.6万-21.71%-1,151.3万-11.29%-4,194.2万-21.72%-1,151.2万-22.01%-1,151.3万-0.63%-945.8万
其他融资活动的净现金流额 -555.88%-22.3万16.10%-54.2万--0---1.7万-879.37%-49.1万94.35%-3.4万50.61%-64.6万-159.44%-10.7万----104.69%6.3万
非持续融资活动现金净额
融资活动现金净额 -70.78%1,690.1万-908.43%-4,336.4万82.42%-867.2万-494.01%-7,794.3万-136.85%-1,459.2万1,334.12%5,784.3万160.36%536.4万-71.46%-4,933.3万169.48%1,978.2万100.03%3,960.2万
现金净流量
期初现金流 -55.31%854.5万41,467.39%1,912.1万364.34%2,663.9万50.26%518.7万199.14%1,745.2万41,467.39%1,912.1万-69.54%4.6万1,844.75%573.7万77.30%345.2万-54.73%583.4万
当期现金流变化 -251.48%-678万-155.62%-1,061.2万-235.26%-1,811.3万843.40%2,151.9万-405.82%-1,208.9万-133.28%-192.9万56,014.71%1,907.9万5,191.63%1,339.1万237.99%228.1万78.15%-239万
利率变动影响 -104.62%-1.2万1,000.00%3.6万371.43%1.9万-1,775.00%-6.7万-2,300.00%-17.6万2,988.89%26万97.12%-4,000-150.00%-7,000300.00%4,000366.67%8,000
期末现金流 -89.96%175.3万-55.31%854.5万-55.31%854.5万364.34%2,663.9万50.26%518.7万199.14%1,745.2万41,467.39%1,912.1万41,467.39%1,912.1万1,844.75%573.7万77.30%345.2万
自由现金流 60.38%-2,368.1万138.80%3,275.2万-115.05%-944.1万668.32%9,946.2万105.96%250.3万-670.13%-5,977.2万53.76%1,371.5万120.01%6,272.4万-165.26%-1,750.1万-36.63%-4,199.2万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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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