加拿大市场个股详情

TFII TFI International Inc

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  • 217.880
  • +0.510+0.23%
延时15分钟行情已收盘 12/13 16:00 (美东)
184.40亿总市值29.34市盈率TTM

TFI International Inc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
25.94%3.51亿
24.03%2.49亿
-13.55%2.01亿
4.34%10.14亿
21.84%3.03亿
-17.48%2.79亿
-19.14%2亿
68.59%2.32亿
13.60%9.72亿
30.48%2.48亿
持续经营净收入
-4.01%1.28亿
-8.16%1.18亿
-17.04%9,284.7万
-38.67%5.05亿
-14.40%1.31亿
-45.62%1.33亿
-53.68%1.28亿
-24.24%1.12亿
9.12%8.23亿
6.49%1.53亿
持续经营损益
20.93%427.6万
38.07%1,107.3万
302.90%792.1万
115.85%3,105.9万
177.86%1,753.7万
104.26%353.6万
110.47%802万
114.10%196.6万
-227.83%-1.96亿
45.89%-2,252.4万
折旧摊销及损耗
34.74%1.54亿
41.01%1.53亿
12.45%1.17亿
2.64%4.42亿
13.39%1.16亿
7.07%1.14亿
-3.25%1.08亿
-5.60%1.04亿
9.56%4.31亿
-7.39%1.02亿
资产准备金与勾销
104.32%757.4万
110.29%204.8万
138.92%309.5万
-229.38%-3,369.6万
12.68%-954.1万
-81.05%370.7万
-356.72%-1,990.9万
-182.38%-795.3万
18.98%2,604.4万
-816.46%-1,092.6万
以股票支付的报酬
-2.28%321.9万
-2.75%321.5万
-16.60%278.8万
-8.17%1,345.1万
9.11%350.8万
-12.09%329.4万
-9.65%330.6万
-16.99%334.3万
-5.03%1,464.8万
-56.37%321.5万
递延税费
-22.37%3,529.7万
-5.54%4,293.3万
-16.00%3,138万
-29.09%1.72亿
-6.02%4,360.8万
-11.78%4,547.1万
-50.92%4,545.3万
-27.96%3,735.5万
59.68%2.42亿
-6.06%4,640.3万
其他非现金项目
100.13%3,971.2万
139.61%4,590.7万
49.12%2,606.1万
1.91%8,136.2万
41.97%2,488.3万
-4.56%1,984.3万
-11.47%1,915.9万
-12.10%1,747.7万
138.18%7,984.1万
-21.68%1,752.7万
营运资金变化
190.93%5,344.4万
-183,992.86%-2,577.3万
-168.84%-3,499.4万
172.32%1.07亿
31.40%3,743.8万
-61.21%1,837万
99.98%-1.4万
137.31%5,083.7万
-451.58%-1.47亿
184.56%2,849.1万
-应收款项(增)减
303.38%5,614.1万
-59.13%2,504万
-121.98%-2,022.9万
479.19%2.24亿
-13.36%9,844.4万
-192.42%-2,760.4万
177.96%6,126.1万
174.20%9,202万
41.86%-5,910.5万
451.52%1.14亿
-存货(增)减
-49.12%109.4万
179.54%140.3万
-73.81%74.7万
536.11%653.3万
1,123.29%329.5万
37.91%215万
-22.59%-176.4万
319.89%285.2万
-21.49%-149.8万
-136.63%-32.2万
-预付费用(增)减
-122.16%-173.8万
112.87%130.2万
58.48%-472.3万
-217.37%-1,164.8万
-88.41%199.9万
470.89%784.4万
-2,163.31%-1,011.7万
-37.90%-1,137.4万
204.96%992.4万
196.46%1,724.5万
-应付款项及应计费用(减)增
-105.71%-205.3万
-8.35%-5,351.8万
66.97%-1,078.9万
-16.12%-1.12亿
35.04%-6,630万
147.10%3,598万
-648.39%-4,939.4万
-1,120.97%-3,266.1万
-162.72%-9,677.4万
-1,165.47%-1.02亿
已付利息(经营活动产生的现金流)
-124.40%-4,613.6万
-144.95%-4,301.6万
-62.29%-2,589.9万
9.23%-7,035.4万
11.92%-1,627.5万
-8.05%-2,056万
11.22%-1,756.1万
21.09%-1,595.8万
-18.42%-7,751.2万
-5.92%-1,847.8万
已支付退税
33.78%-2,804.6万
21.92%-5,815.4万
72.47%-1,951.9万
-4.09%-2.33亿
10.29%-4,561.9万
23.03%-4,235.2万
10.30%-7,447.6万
-101.02%-7,090.6万
-18.73%-2.24亿
1.92%-5,085.3万
非持续经营活动现金净额
经营活动现金净额
25.94%3.51亿
24.03%2.49亿
-13.55%2.01亿
4.34%10.14亿
21.84%3.03亿
-17.48%2.79亿
-19.14%2亿
68.59%2.32亿
13.60%9.72亿
30.48%2.48亿
投资活动现金流量
持续投资活动现金净额
80.59%-1.13亿
-7,249.30%-9.07亿
-28.74%-1.53亿
-456.87%-7.97亿
-3.84%-8,291.6万
-240.60%-5.83亿
15.93%-1,234.8万
-22.70%-1.19亿
119.22%2.23亿
37.10%-7,985万
固定资产交易净额
-3.35%-1.07亿
-53.52%-9,930.8万
-25.68%-6,476.9万
-29.83%-2.88亿
26.69%-6,893.5万
-102.06%-1.03亿
-112.43%-6,468.7万
-10.80%-5,153.3万
-26.27%-2.22亿
-18.92%-9,403.1万
无形资产交易净额
-23.05%-77.4万
-494.50%-389.4万
53.33%-46.2万
53.02%-275.8万
74.15%-48.4万
58.37%-62.9万
49.50%-65.5万
16.81%-99万
17.82%-587万
30.64%-187.2万
业务交易净额
93.85%-3,096.1万
-2,556.83%-8.05亿
-28.58%-1.09亿
-262.05%-6.29亿
59.94%-1,011.4万
-207.25%-5.04亿
10.93%-3,030.9万
-281.12%-8,474.3万
138.48%3.88亿
73.79%-2,524.9万
投资产品交易净额
--0
--0
447.30%1,906.8万
170.25%4,750.6万
-542.74%-3,736.7万
100.17%1.3万
299.59%8,137.6万
112.63%348.4万
-1,516.74%-6,762.1万
-79.14%844万
其他投资活动净额
4.37%2,503.3万
-49.66%97万
-85.65%214.5万
-42.84%7,484.5万
3.41%3,398.4万
332.77%2,398.4万
-97.90%192.7万
2,121.40%1,495万
453.47%1.31亿
207.24%3,286.2万
非持续投资活动现金净额
投资活动现金净额
80.59%-1.13亿
-7,249.30%-9.07亿
-28.74%-1.53亿
-456.87%-7.97亿
-3.84%-8,291.6万
-240.60%-5.83亿
15.93%-1,234.8万
-22.70%-1.19亿
119.22%2.23亿
37.10%-7,985万
融资活动现金流量
持续融资活动现金净额
-198.92%-2.09亿
-51.10%-2.19亿
512.90%5.12亿
97.37%-2,806.8万
119.48%3,009.9万
133.25%2.11亿
39.21%-1.45亿
-213.47%-1.24亿
-431.13%-10.67亿
-42.35%-1.55亿
债务发行/偿还的净额
-171.50%-1.74亿
-4,506.80%-1.59亿
1,378.52%5.73亿
209.35%4.24亿
840.21%2.29亿
159.17%2.44亿
-134.63%-344.2万
-180.27%-4,483万
-163.27%-3.88亿
-178.15%-3,096万
普通股发行/回购的净额
---59.4万
69.05%-3,524.9万
46.19%-2,772.2万
42.03%-3.35亿
-100.49%-1.69亿
--0
47.14%-1.14亿
30.43%-5,152.1万
-168.79%-5.77亿
31.61%-8,438.7万
已支付现金股息
-12.35%-3,387.9万
-8.60%-3,327.2万
-10.93%-3,363.2万
-24.43%-1.21亿
-26.27%-2,998.3万
-23.46%-3,015.6万
-26.55%-3,063.7万
-21.57%-3,031.9万
-13.98%-9,732.1万
-10.93%-2,374.6万
职工行使股票期权收到的现金
-76.03%88.1万
274.09%802.8万
-59.69%270.1万
-22.57%1,277.7万
-95.37%25.5万
-15.54%367.5万
-12.09%214.6万
59.47%670.1万
-17.96%1,650.2万
163.54%550.8万
其他融资活动的净现金流额
84.79%-93.1万
-145.18%-29.5万
27.85%-285万
54.65%-957.2万
99.27%-15.3万
-1,302.75%-612.2万
825.56%65.3万
-568.36%-395万
-88.20%-2,110.8万
-283.30%-2,093.6万
非持续融资活动现金净额
融资活动现金净额
-198.92%-2.09亿
-51.10%-2.19亿
512.90%5.12亿
97.37%-2,806.8万
119.48%3,009.9万
133.25%2.11亿
39.21%-1.45亿
-213.47%-1.24亿
-431.13%-10.67亿
-42.35%-1.55亿
现金净流量
期初现金流
-85.06%2,660.6万
561.76%9.02亿
128.09%3.36亿
662.58%1.47亿
-33.71%8,826.4万
1,092.33%1.78亿
561.75%1.36亿
662.58%1.47亿
348.96%1,929.2万
106.58%1.33亿
当期现金流变化
131.19%2,918.1万
-2,149.10%-8.78亿
5,368.61%5.59亿
47.42%1.88亿
1,686.96%2.5亿
-179.16%-9,357万
856.49%4,286.3万
-907.99%-1,061.7万
752.45%1.28亿
130.95%1,397.7万
利率变动影响
-115.38%-56.9万
333.06%253.8万
5,420.00%744.8万
----
----
--370万
---108.9万
---14万
----
----
期末现金流
-37.44%5,521.8万
-85.06%2,660.6万
561.76%9.02亿
128.09%3.36亿
128.09%3.36亿
-33.71%8,826.4万
1,092.33%1.78亿
561.75%1.36亿
662.58%1.47亿
662.58%1.47亿
自由现金流
43.80%2.27亿
8.83%1.26亿
-20.79%1.23亿
5.66%6.5亿
64.33%2.21亿
-39.88%1.58亿
-32.81%1.16亿
238.02%1.55亿
6.06%6.15亿
56.60%1.35亿
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
--
--
--
--
无保留意见
--
(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 25.94%3.51亿24.03%2.49亿-13.55%2.01亿4.34%10.14亿21.84%3.03亿-17.48%2.79亿-19.14%2亿68.59%2.32亿13.60%9.72亿30.48%2.48亿
持续经营净收入 -4.01%1.28亿-8.16%1.18亿-17.04%9,284.7万-38.67%5.05亿-14.40%1.31亿-45.62%1.33亿-53.68%1.28亿-24.24%1.12亿9.12%8.23亿6.49%1.53亿
持续经营损益 20.93%427.6万38.07%1,107.3万302.90%792.1万115.85%3,105.9万177.86%1,753.7万104.26%353.6万110.47%802万114.10%196.6万-227.83%-1.96亿45.89%-2,252.4万
折旧摊销及损耗 34.74%1.54亿41.01%1.53亿12.45%1.17亿2.64%4.42亿13.39%1.16亿7.07%1.14亿-3.25%1.08亿-5.60%1.04亿9.56%4.31亿-7.39%1.02亿
资产准备金与勾销 104.32%757.4万110.29%204.8万138.92%309.5万-229.38%-3,369.6万12.68%-954.1万-81.05%370.7万-356.72%-1,990.9万-182.38%-795.3万18.98%2,604.4万-816.46%-1,092.6万
以股票支付的报酬 -2.28%321.9万-2.75%321.5万-16.60%278.8万-8.17%1,345.1万9.11%350.8万-12.09%329.4万-9.65%330.6万-16.99%334.3万-5.03%1,464.8万-56.37%321.5万
递延税费 -22.37%3,529.7万-5.54%4,293.3万-16.00%3,138万-29.09%1.72亿-6.02%4,360.8万-11.78%4,547.1万-50.92%4,545.3万-27.96%3,735.5万59.68%2.42亿-6.06%4,640.3万
其他非现金项目 100.13%3,971.2万139.61%4,590.7万49.12%2,606.1万1.91%8,136.2万41.97%2,488.3万-4.56%1,984.3万-11.47%1,915.9万-12.10%1,747.7万138.18%7,984.1万-21.68%1,752.7万
营运资金变化 190.93%5,344.4万-183,992.86%-2,577.3万-168.84%-3,499.4万172.32%1.07亿31.40%3,743.8万-61.21%1,837万99.98%-1.4万137.31%5,083.7万-451.58%-1.47亿184.56%2,849.1万
-应收款项(增)减 303.38%5,614.1万-59.13%2,504万-121.98%-2,022.9万479.19%2.24亿-13.36%9,844.4万-192.42%-2,760.4万177.96%6,126.1万174.20%9,202万41.86%-5,910.5万451.52%1.14亿
-存货(增)减 -49.12%109.4万179.54%140.3万-73.81%74.7万536.11%653.3万1,123.29%329.5万37.91%215万-22.59%-176.4万319.89%285.2万-21.49%-149.8万-136.63%-32.2万
-预付费用(增)减 -122.16%-173.8万112.87%130.2万58.48%-472.3万-217.37%-1,164.8万-88.41%199.9万470.89%784.4万-2,163.31%-1,011.7万-37.90%-1,137.4万204.96%992.4万196.46%1,724.5万
-应付款项及应计费用(减)增 -105.71%-205.3万-8.35%-5,351.8万66.97%-1,078.9万-16.12%-1.12亿35.04%-6,630万147.10%3,598万-648.39%-4,939.4万-1,120.97%-3,266.1万-162.72%-9,677.4万-1,165.47%-1.02亿
已付利息(经营活动产生的现金流) -124.40%-4,613.6万-144.95%-4,301.6万-62.29%-2,589.9万9.23%-7,035.4万11.92%-1,627.5万-8.05%-2,056万11.22%-1,756.1万21.09%-1,595.8万-18.42%-7,751.2万-5.92%-1,847.8万
已支付退税 33.78%-2,804.6万21.92%-5,815.4万72.47%-1,951.9万-4.09%-2.33亿10.29%-4,561.9万23.03%-4,235.2万10.30%-7,447.6万-101.02%-7,090.6万-18.73%-2.24亿1.92%-5,085.3万
非持续经营活动现金净额
经营活动现金净额 25.94%3.51亿24.03%2.49亿-13.55%2.01亿4.34%10.14亿21.84%3.03亿-17.48%2.79亿-19.14%2亿68.59%2.32亿13.60%9.72亿30.48%2.48亿
投资活动现金流量
持续投资活动现金净额 80.59%-1.13亿-7,249.30%-9.07亿-28.74%-1.53亿-456.87%-7.97亿-3.84%-8,291.6万-240.60%-5.83亿15.93%-1,234.8万-22.70%-1.19亿119.22%2.23亿37.10%-7,985万
固定资产交易净额 -3.35%-1.07亿-53.52%-9,930.8万-25.68%-6,476.9万-29.83%-2.88亿26.69%-6,893.5万-102.06%-1.03亿-112.43%-6,468.7万-10.80%-5,153.3万-26.27%-2.22亿-18.92%-9,403.1万
无形资产交易净额 -23.05%-77.4万-494.50%-389.4万53.33%-46.2万53.02%-275.8万74.15%-48.4万58.37%-62.9万49.50%-65.5万16.81%-99万17.82%-587万30.64%-187.2万
业务交易净额 93.85%-3,096.1万-2,556.83%-8.05亿-28.58%-1.09亿-262.05%-6.29亿59.94%-1,011.4万-207.25%-5.04亿10.93%-3,030.9万-281.12%-8,474.3万138.48%3.88亿73.79%-2,524.9万
投资产品交易净额 --0--0447.30%1,906.8万170.25%4,750.6万-542.74%-3,736.7万100.17%1.3万299.59%8,137.6万112.63%348.4万-1,516.74%-6,762.1万-79.14%844万
其他投资活动净额 4.37%2,503.3万-49.66%97万-85.65%214.5万-42.84%7,484.5万3.41%3,398.4万332.77%2,398.4万-97.90%192.7万2,121.40%1,495万453.47%1.31亿207.24%3,286.2万
非持续投资活动现金净额
投资活动现金净额 80.59%-1.13亿-7,249.30%-9.07亿-28.74%-1.53亿-456.87%-7.97亿-3.84%-8,291.6万-240.60%-5.83亿15.93%-1,234.8万-22.70%-1.19亿119.22%2.23亿37.10%-7,985万
融资活动现金流量
持续融资活动现金净额 -198.92%-2.09亿-51.10%-2.19亿512.90%5.12亿97.37%-2,806.8万119.48%3,009.9万133.25%2.11亿39.21%-1.45亿-213.47%-1.24亿-431.13%-10.67亿-42.35%-1.55亿
债务发行/偿还的净额 -171.50%-1.74亿-4,506.80%-1.59亿1,378.52%5.73亿209.35%4.24亿840.21%2.29亿159.17%2.44亿-134.63%-344.2万-180.27%-4,483万-163.27%-3.88亿-178.15%-3,096万
普通股发行/回购的净额 ---59.4万69.05%-3,524.9万46.19%-2,772.2万42.03%-3.35亿-100.49%-1.69亿--047.14%-1.14亿30.43%-5,152.1万-168.79%-5.77亿31.61%-8,438.7万
已支付现金股息 -12.35%-3,387.9万-8.60%-3,327.2万-10.93%-3,363.2万-24.43%-1.21亿-26.27%-2,998.3万-23.46%-3,015.6万-26.55%-3,063.7万-21.57%-3,031.9万-13.98%-9,732.1万-10.93%-2,374.6万
职工行使股票期权收到的现金 -76.03%88.1万274.09%802.8万-59.69%270.1万-22.57%1,277.7万-95.37%25.5万-15.54%367.5万-12.09%214.6万59.47%670.1万-17.96%1,650.2万163.54%550.8万
其他融资活动的净现金流额 84.79%-93.1万-145.18%-29.5万27.85%-285万54.65%-957.2万99.27%-15.3万-1,302.75%-612.2万825.56%65.3万-568.36%-395万-88.20%-2,110.8万-283.30%-2,093.6万
非持续融资活动现金净额
融资活动现金净额 -198.92%-2.09亿-51.10%-2.19亿512.90%5.12亿97.37%-2,806.8万119.48%3,009.9万133.25%2.11亿39.21%-1.45亿-213.47%-1.24亿-431.13%-10.67亿-42.35%-1.55亿
现金净流量
期初现金流 -85.06%2,660.6万561.76%9.02亿128.09%3.36亿662.58%1.47亿-33.71%8,826.4万1,092.33%1.78亿561.75%1.36亿662.58%1.47亿348.96%1,929.2万106.58%1.33亿
当期现金流变化 131.19%2,918.1万-2,149.10%-8.78亿5,368.61%5.59亿47.42%1.88亿1,686.96%2.5亿-179.16%-9,357万856.49%4,286.3万-907.99%-1,061.7万752.45%1.28亿130.95%1,397.7万
利率变动影响 -115.38%-56.9万333.06%253.8万5,420.00%744.8万----------370万---108.9万---14万--------
期末现金流 -37.44%5,521.8万-85.06%2,660.6万561.76%9.02亿128.09%3.36亿128.09%3.36亿-33.71%8,826.4万1,092.33%1.78亿561.75%1.36亿662.58%1.47亿662.58%1.47亿
自由现金流 43.80%2.27亿8.83%1.26亿-20.79%1.23亿5.66%6.5亿64.33%2.21亿-39.88%1.58亿-32.81%1.16亿238.02%1.55亿6.06%6.15亿56.60%1.35亿
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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加拿大
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