美股市场个股详情

VSTA Vasta Platform

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  • 2.605
  • -0.095-3.52%
交易中 11/08 09:30 (美东)
2.09亿总市值-19586市盈率TTM

Vasta Platform关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q3)2022/09/30
经营活动现金流量(间接法)
持续经营活动现金净额
-70.73%3,842.6万
164.11%4,417万
25.17%2.19亿
2,123.31%5,495.3万
686.09%1,587.9万
-6.73%1.31亿
-51.89%1,672.4万
909.14%1.75亿
93.56%-271.6万
-67.44%202万
持续经营净收入
22.47%-9,509万
13,602.99%3,672.4万
-13.26%-1.2亿
13.23%9,962.1万
7.98%-9,694万
-6.68%-1.23亿
-98.99%26.8万
32.18%-1.06亿
89.88%8,797.8万
-1.51%-1.05亿
持续经营损益
122.62%421.2万
653.86%400.3万
19.87%2,214.2万
26.71%1,597.1万
-24.50%374.8万
-13.57%189.2万
141.32%53.1万
14,796.77%1,847.2万
483.45%1,260.4万
48.85%496.4万
折旧和摊销
2.78%7,171.8万
-1.83%6,953.4万
7.09%2.88亿
17.11%8,183.1万
-2.40%6,534万
3.21%6,977.6万
10.18%7,083.2万
27.26%2.69亿
13.31%6,987.3万
32.33%6,694.9万
递延税费
103.56%16.9万
106.53%28.9万
36.35%-961.1万
109.73%57.9万
55.26%-102.5万
-531.42%-474.2万
27.60%-442.3万
-660.27%-1,509.9万
-391.16%-594.8万
-3,195.95%-229.1万
其他非现金项目
-44.17%4,500.8万
3.80%6,847.2万
9.79%2.31亿
1.95%8,113.4万
-90.77%290.5万
17.72%8,062万
116.08%6,596.4万
187.45%2.1亿
142.63%7,958.2万
183.03%3,145.9万
营运资金变化
-57.36%3,091.1万
-80.01%-9,282万
4.43%-1.43亿
4.56%-2.3亿
134.45%6,602万
-39.68%7,249.6万
9.59%-5,156.3万
6.49%-1.5亿
-37.51%-2.41亿
-40.33%2,816万
-应收款项(增)减
-30.96%1.15亿
-16.45%-1.04亿
47.47%-1.08亿
26.15%-2.55亿
-19.47%6,884万
23.16%1.67亿
-9.11%-8,893.6万
-541.59%-2.06亿
-19.24%-3.46亿
0.33%8,548.4万
-存货(增)减
123.30%388.7万
101.20%720.1万
-39.95%-3,371万
468.86%4,498万
-63.36%-6,558.6万
10.46%-1,668.3万
-86.64%357.9万
-398.14%-2,408.7万
-42.27%790.7万
-870.17%-4,014.9万
-预付费用(增)减
-465.16%-588.9万
78.22%-446.9万
8.52%-1,516.3万
615.74%1,238.8万
-187.51%-598.9万
72.23%-104.2万
-18.85%-2,052万
-32.49%-1,657.6万
-2.04%-240.2万
180.07%684.4万
-应付款项及应计费用(减)增
-307.37%-5,101.1万
-75.75%697.1万
-68.86%4,815万
-133.41%-3,964.6万
457.70%7,157万
-164.52%-1,252.2万
670.10%2,874.8万
861.69%1.55亿
86.09%1.19亿
297.89%1,283.3万
-其他流动负债变化
-178.10%-1,587.1万
7,503.33%222.1万
78.79%-897.4万
295.23%1,153.2万
41.86%-1,476.9万
18.41%-570.7万
99.25%-3万
55.39%-4,230.2万
-290.86%-590.7万
73.85%-2,540.1万
-其他营运资本变化
73.34%-1,567.9万
-104.61%-118万
-62.42%-2,543.5万
69.69%-417.4万
204.39%1,195.4万
-939.43%-5,881.1万
68.16%2,559.6万
-79.28%-1,566万
-137.94%-1,377.2万
-116.61%-1,145.1万
非持续经营活动现金净额
经营活动现金净额
-70.73%3,842.6万
164.11%4,417万
25.17%2.19亿
2,123.31%5,495.3万
686.09%1,587.9万
-6.73%1.31亿
-51.89%1,672.4万
909.14%1.75亿
93.56%-271.6万
-67.43%202万
投资活动现金流量
持续投资活动现金净额
30.84%-4,782.4万
-397.13%-3,483万
111.31%4,468.6万
-681.71%-2,274.5万
253.00%1.25亿
46.29%-6,915万
106.22%1,172.2万
-546.43%-3.95亿
118.11%391万
66.28%-8,160.5万
固定资产交易的净现金流
53.30%-191.1万
-70.89%-898.2万
64.78%-2,153.7万
68.79%-329万
-274.85%-889.9万
70.33%-409.2万
84.74%-525.6万
-192.41%-6,114.3万
8.00%-1,054.1万
23.62%-237.4万
无形资产交易净现金流
-3.30%-2,208万
10.00%-3,477.6万
-16.23%-1.05亿
-84.56%-4,386.7万
95.43%-141.2万
-31.85%-2,137.5万
-95.97%-3,863.8万
-62.12%-9,058.8万
-24.35%-2,376.9万
-78.62%-3,089.2万
业务交易的净现金流
--0
--0
96.01%-321.2万
--0
--0
---7,000
62.18%-320.5万
56.74%-8,055.9万
82.39%-2,687.3万
-780.89%-4,521.1万
投资产品交易的净现金流
45.43%-2,383.3万
-84.82%892.8万
207.42%1.75亿
-62.50%2,441.2万
4,421.29%1.35亿
55.77%-4,367.6万
146.73%5,882.1万
-146.28%-1.63亿
-59.72%6,509.3万
98.63%-312.8万
非持续投资活动现金净额
投资活动现金净额
30.84%-4,782.4万
-397.13%-3,483万
111.31%4,468.6万
-681.71%-2,274.5万
253.00%1.25亿
46.29%-6,915万
106.22%1,172.2万
-546.43%-3.95亿
118.11%391万
66.28%-8,160.5万
融资活动现金流量
持续融资活动现金净额
89.56%-694.8万
-20.48%-3,799万
-384.80%-2.13亿
-19,003.95%-4,310.1万
-203.13%-7,224.9万
-549.03%-6,655.8万
-210.19%-3,153.1万
35.37%-4,402.6万
105.40%22.8万
-108.56%-2,383.4万
债务发行/偿还的净现金流
-13,677.54%-4.94亿
58.39%-430万
71.22%-8,135.6万
96.91%-793万
-414.46%-5,950.8万
59.42%-358.4万
-82.77%-1,033.4万
-1,096.49%-2.83亿
-3,684.57%-2.57亿
-103.82%-1,156.7万
普通股发行/偿还的净现金流
--4.96亿
---2,253.1万
-115.97%-3,993.1万
-113.66%-3,414.8万
---578.3万
--0
--0
1,146.90%2.5亿
2,163.56%2.5亿
----
其他融资活动的净现金流额
86.05%-878.8万
47.36%-1,115.9万
-709.84%-9,215.2万
-115.00%-102.3万
43.28%-695.8万
-4,325.44%-6,297.4万
-369.90%-2,119.7万
44.81%-1,137.9万
-53.51%682.2万
-0.81%-1,226.7万
非持续融资活动现金净额
融资活动现金净额
89.56%-694.8万
-20.48%-3,799万
-384.80%-2.13亿
-19,003.95%-4,310.1万
-203.13%-7,224.9万
-549.03%-6,655.8万
-210.19%-3,153.1万
35.37%-4,402.6万
105.40%22.8万
-108.56%-2,383.4万
现金净流量
期初现金流
57.48%6,721.4万
109.47%9,586.4万
-85.23%4,576.5万
140.75%1.07亿
-74.10%3,826.8万
-70.77%4,268万
-85.23%4,576.5万
-0.41%3.1亿
-88.26%4,434.3万
-55.90%1.48亿
当期现金流变化
-270.49%-1,634.6万
-828.69%-2,865万
118.97%5,009.9万
-866.03%-1,089.3万
166.22%6,848.9万
-350.11%-441.2万
98.12%-308.5万
-20,812.75%-2.64亿
102.09%142.2万
-341.84%-1.03亿
期末现金流
32.93%5,086.8万
57.48%6,721.4万
109.47%9,586.4万
109.47%9,586.4万
140.75%1.07亿
-74.10%3,826.8万
-70.77%4,268万
-85.23%4,576.5万
-85.23%4,576.5万
-88.26%4,434.3万
自由现金流
-86.36%1,443.5万
101.52%41.2万
298.21%9,202.3万
121.06%779.6万
117.82%556.8万
-4.46%1.06亿
-40.13%-2,717万
123.49%2,310.9万
49.09%-3,702.6万
-120.03%-3,124.6万
货币单位
巴西雷亚尔
巴西雷亚尔
巴西雷亚尔
巴西雷亚尔
巴西雷亚尔
巴西雷亚尔
巴西雷亚尔
巴西雷亚尔
巴西雷亚尔
巴西雷亚尔
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
--
--
(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(Q3)2022/09/30
经营活动现金流量(间接法)
持续经营活动现金净额 -70.73%3,842.6万164.11%4,417万25.17%2.19亿2,123.31%5,495.3万686.09%1,587.9万-6.73%1.31亿-51.89%1,672.4万909.14%1.75亿93.56%-271.6万-67.44%202万
持续经营净收入 22.47%-9,509万13,602.99%3,672.4万-13.26%-1.2亿13.23%9,962.1万7.98%-9,694万-6.68%-1.23亿-98.99%26.8万32.18%-1.06亿89.88%8,797.8万-1.51%-1.05亿
持续经营损益 122.62%421.2万653.86%400.3万19.87%2,214.2万26.71%1,597.1万-24.50%374.8万-13.57%189.2万141.32%53.1万14,796.77%1,847.2万483.45%1,260.4万48.85%496.4万
折旧和摊销 2.78%7,171.8万-1.83%6,953.4万7.09%2.88亿17.11%8,183.1万-2.40%6,534万3.21%6,977.6万10.18%7,083.2万27.26%2.69亿13.31%6,987.3万32.33%6,694.9万
递延税费 103.56%16.9万106.53%28.9万36.35%-961.1万109.73%57.9万55.26%-102.5万-531.42%-474.2万27.60%-442.3万-660.27%-1,509.9万-391.16%-594.8万-3,195.95%-229.1万
其他非现金项目 -44.17%4,500.8万3.80%6,847.2万9.79%2.31亿1.95%8,113.4万-90.77%290.5万17.72%8,062万116.08%6,596.4万187.45%2.1亿142.63%7,958.2万183.03%3,145.9万
营运资金变化 -57.36%3,091.1万-80.01%-9,282万4.43%-1.43亿4.56%-2.3亿134.45%6,602万-39.68%7,249.6万9.59%-5,156.3万6.49%-1.5亿-37.51%-2.41亿-40.33%2,816万
-应收款项(增)减 -30.96%1.15亿-16.45%-1.04亿47.47%-1.08亿26.15%-2.55亿-19.47%6,884万23.16%1.67亿-9.11%-8,893.6万-541.59%-2.06亿-19.24%-3.46亿0.33%8,548.4万
-存货(增)减 123.30%388.7万101.20%720.1万-39.95%-3,371万468.86%4,498万-63.36%-6,558.6万10.46%-1,668.3万-86.64%357.9万-398.14%-2,408.7万-42.27%790.7万-870.17%-4,014.9万
-预付费用(增)减 -465.16%-588.9万78.22%-446.9万8.52%-1,516.3万615.74%1,238.8万-187.51%-598.9万72.23%-104.2万-18.85%-2,052万-32.49%-1,657.6万-2.04%-240.2万180.07%684.4万
-应付款项及应计费用(减)增 -307.37%-5,101.1万-75.75%697.1万-68.86%4,815万-133.41%-3,964.6万457.70%7,157万-164.52%-1,252.2万670.10%2,874.8万861.69%1.55亿86.09%1.19亿297.89%1,283.3万
-其他流动负债变化 -178.10%-1,587.1万7,503.33%222.1万78.79%-897.4万295.23%1,153.2万41.86%-1,476.9万18.41%-570.7万99.25%-3万55.39%-4,230.2万-290.86%-590.7万73.85%-2,540.1万
-其他营运资本变化 73.34%-1,567.9万-104.61%-118万-62.42%-2,543.5万69.69%-417.4万204.39%1,195.4万-939.43%-5,881.1万68.16%2,559.6万-79.28%-1,566万-137.94%-1,377.2万-116.61%-1,145.1万
非持续经营活动现金净额
经营活动现金净额 -70.73%3,842.6万164.11%4,417万25.17%2.19亿2,123.31%5,495.3万686.09%1,587.9万-6.73%1.31亿-51.89%1,672.4万909.14%1.75亿93.56%-271.6万-67.43%202万
投资活动现金流量
持续投资活动现金净额 30.84%-4,782.4万-397.13%-3,483万111.31%4,468.6万-681.71%-2,274.5万253.00%1.25亿46.29%-6,915万106.22%1,172.2万-546.43%-3.95亿118.11%391万66.28%-8,160.5万
固定资产交易的净现金流 53.30%-191.1万-70.89%-898.2万64.78%-2,153.7万68.79%-329万-274.85%-889.9万70.33%-409.2万84.74%-525.6万-192.41%-6,114.3万8.00%-1,054.1万23.62%-237.4万
无形资产交易净现金流 -3.30%-2,208万10.00%-3,477.6万-16.23%-1.05亿-84.56%-4,386.7万95.43%-141.2万-31.85%-2,137.5万-95.97%-3,863.8万-62.12%-9,058.8万-24.35%-2,376.9万-78.62%-3,089.2万
业务交易的净现金流 --0--096.01%-321.2万--0--0---7,00062.18%-320.5万56.74%-8,055.9万82.39%-2,687.3万-780.89%-4,521.1万
投资产品交易的净现金流 45.43%-2,383.3万-84.82%892.8万207.42%1.75亿-62.50%2,441.2万4,421.29%1.35亿55.77%-4,367.6万146.73%5,882.1万-146.28%-1.63亿-59.72%6,509.3万98.63%-312.8万
非持续投资活动现金净额
投资活动现金净额 30.84%-4,782.4万-397.13%-3,483万111.31%4,468.6万-681.71%-2,274.5万253.00%1.25亿46.29%-6,915万106.22%1,172.2万-546.43%-3.95亿118.11%391万66.28%-8,160.5万
融资活动现金流量
持续融资活动现金净额 89.56%-694.8万-20.48%-3,799万-384.80%-2.13亿-19,003.95%-4,310.1万-203.13%-7,224.9万-549.03%-6,655.8万-210.19%-3,153.1万35.37%-4,402.6万105.40%22.8万-108.56%-2,383.4万
债务发行/偿还的净现金流 -13,677.54%-4.94亿58.39%-430万71.22%-8,135.6万96.91%-793万-414.46%-5,950.8万59.42%-358.4万-82.77%-1,033.4万-1,096.49%-2.83亿-3,684.57%-2.57亿-103.82%-1,156.7万
普通股发行/偿还的净现金流 --4.96亿---2,253.1万-115.97%-3,993.1万-113.66%-3,414.8万---578.3万--0--01,146.90%2.5亿2,163.56%2.5亿----
其他融资活动的净现金流额 86.05%-878.8万47.36%-1,115.9万-709.84%-9,215.2万-115.00%-102.3万43.28%-695.8万-4,325.44%-6,297.4万-369.90%-2,119.7万44.81%-1,137.9万-53.51%682.2万-0.81%-1,226.7万
非持续融资活动现金净额
融资活动现金净额 89.56%-694.8万-20.48%-3,799万-384.80%-2.13亿-19,003.95%-4,310.1万-203.13%-7,224.9万-549.03%-6,655.8万-210.19%-3,153.1万35.37%-4,402.6万105.40%22.8万-108.56%-2,383.4万
现金净流量
期初现金流 57.48%6,721.4万109.47%9,586.4万-85.23%4,576.5万140.75%1.07亿-74.10%3,826.8万-70.77%4,268万-85.23%4,576.5万-0.41%3.1亿-88.26%4,434.3万-55.90%1.48亿
当期现金流变化 -270.49%-1,634.6万-828.69%-2,865万118.97%5,009.9万-866.03%-1,089.3万166.22%6,848.9万-350.11%-441.2万98.12%-308.5万-20,812.75%-2.64亿102.09%142.2万-341.84%-1.03亿
期末现金流 32.93%5,086.8万57.48%6,721.4万109.47%9,586.4万109.47%9,586.4万140.75%1.07亿-74.10%3,826.8万-70.77%4,268万-85.23%4,576.5万-85.23%4,576.5万-88.26%4,434.3万
自由现金流 -86.36%1,443.5万101.52%41.2万298.21%9,202.3万121.06%779.6万117.82%556.8万-4.46%1.06亿-40.13%-2,717万123.49%2,310.9万49.09%-3,702.6万-120.03%-3,124.6万
货币单位 巴西雷亚尔巴西雷亚尔巴西雷亚尔巴西雷亚尔巴西雷亚尔巴西雷亚尔巴西雷亚尔巴西雷亚尔巴西雷亚尔巴西雷亚尔
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----

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