美股市场个股详情

WELL HEALTH TECHNOLOGIES CORP (WHTCF)

添加自选
  • 2.970
  • -0.040-1.33%
延时15分钟行情收盘价 03/13 13:52 (美东)
  • 2.999
  • +0.029+0.98%
盘后 16:41 (美东)
7.54亿总市值-45.00市盈率TTM

WELL HEALTH TECHNOLOGIES CORP (WHTCF) 现金流量表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
经营活动现金流量(间接法)
持续经营活动现金净额
515.87%2,720.6万
202.22%2,730.9万
1,218.17%2,132.8万
-85.67%952.2万
180.14%4,116.1万
-132.86%-654.2万
-287.95%-2,671.5万
-90.82%161.8万
-13.21%6,643.7万
-49.35%1,469.3万
持续经营净收入
97.00%-265.3万
-83.90%1,699.8万
-403.90%-4,188.6万
74.89%2,909.6万
-105.44%-183.5万
-1,872.91%-8,842.6万
5,336.81%1.06亿
229.70%1,378.3万
-10.91%1,663.7万
52.88%3,376.2万
持续经营损益
-431.79%-323.5万
-528.52%-937.6万
131.30%279.6万
80.95%-155.9万
172.48%421.1万
93.84%97.5万
182.66%218.8万
-3,767.10%-893.3万
-223.52%-818.5万
-1,927.04%-581万
折旧和摊销
51.75%2,652万
46.73%2,539.5万
18.03%1,954.6万
18.99%7,230.6万
25.11%2,096.3万
13.12%1,747.6万
23.26%1,730.7万
14.03%1,656万
10.08%6,076.8万
18.84%1,675.6万
递延税费
138.37%217.2万
127.33%306.8万
-44.68%-476万
-203.38%-3,161.5万
-3,159.54%-1,144.1万
-249.38%-566万
-109.48%-1,122.4万
-6.40%-329万
-965.54%-1,042.1万
---35.1万
其他非现金项目
153.14%1,076.1万
419.48%1,232.2万
-27.07%438.4万
-39.23%2,083.6万
-21.80%820.2万
-1.87%425.1万
-59.65%237.2万
-55.75%601.1万
364.85%3,428.5万
146.88%1,048.9万
营运资金变化
-60.69%-2,312.5万
54.85%-1,416.2万
125.28%354.8万
165.10%667.2万
1,770.42%6,646.6万
-991.88%-1,439.1万
-1,624.57%-3,137万
-347.91%-1,403.3万
-101.75%-1,024.9万
-137.52%-397.9万
-应收款项(增)减
71.89%-993.6万
147.62%2,461.4万
103.20%91.6万
-3,129.54%-8,025.4万
461.68%3,536.9万
-815.16%-3,534.3万
-950.33%-5,168.3万
-667.50%-2,859.7万
73.48%-248.5万
-145.25%-977.9万
-存货(增)减
932.43%61.6万
140.96%27.4万
-7,383.33%-43.7万
-895.26%-151.1万
-571.95%-77.4万
54.04%-7.4万
-411.16%-66.9万
121.43%6,000
132.93%19万
368.57%16.4万
-预付费用(增)减
----
----
----
-94.13%-443.4万
----
----
----
----
70.98%-228.4万
----
-应付款项及应计费用(减)增
-119.78%-91.8万
-318.93%-1,421.3万
-48.92%338.2万
495.32%3,641.7万
2,706.47%1,866.3万
334.87%464.1万
162.32%649.2万
163.16%662.1万
-187.28%-921.2万
126.96%66.5万
-其他流动资产变化
-25.53%-972.2万
354.60%1,294.7万
-786.37%-1,085.8万
168.28%84.8万
91.69%697万
-41.64%-774.5万
192.71%284.8万
-133.45%-122.5万
50.99%-124.2万
213.73%363.6万
-其他流动负债变化
-427.81%-178万
-1,022.74%-1,477.3万
696.13%638.5万
-37.23%310.2万
-96.33%15.6万
-52.82%54.3万
-69.57%160.1万
114.01%80.2万
18.97%494.2万
353.61%425.3万
-其他营运资本变化
-197.05%-1,539.4万
-150.67%-900.2万
-50.24%416万
33,330.38%5,250.4万
1,758.68%1,051.6万
8,076.29%1,586.2万
15,348.70%1,776.6万
4,905.99%836万
-128.06%-15.8万
-115.19%-63.4万
非持续经营活动现金净额
经营活动现金净额
515.87%2,720.6万
202.22%2,730.9万
1,218.17%2,132.8万
-85.67%952.2万
180.14%4,116.1万
-132.86%-654.2万
-287.95%-2,671.5万
-90.82%161.8万
-13.21%6,643.7万
-49.35%1,469.3万
投资活动现金流量
持续投资活动现金净额
-312.38%-2,179万
288.01%1,127.3万
-744.00%-4,902.8万
25.93%-6,022.6万
-233.98%-4,313.7万
91.42%-528.4万
-174.88%-599.6万
60.75%-580.9万
-114.40%-8,131.5万
6.87%-1,291.6万
固定资产交易的净现金流
-104.52%-800.5万
-25.36%-594.1万
-237.72%-544.4万
-100.15%-1,622.6万
-212.42%-596.1万
-60.94%-391.4万
-168.04%-473.9万
19.36%-161.2万
-26.59%-810.7万
-9.53%-190.8万
业务交易的净现金流
-1,627.05%-1,934.3万
287.44%2,476.5万
-576.96%-4,394.8万
40.06%-4,242.2万
-418.46%-4,120.2万
98.15%-112万
-36.62%639.2万
47.27%-649.2万
-125.86%-7,077.7万
63.16%-794.7万
投资产品交易的净现金流
--1,510.3万
--0
--0
-79.33%239万
--0
--0
--0
--239万
-29.96%1,156.3万
--12.5万
其他投资活动的净现金流
-3,718.00%-954.5万
1.28%-755.1万
483.16%36.4万
35.09%-157.8万
-23.41%641.6万
-117.49%-25万
34.89%-764.9万
80.57%-9.5万
-1,214.05%-243.1万
-67.72%837.7万
非持续投资活动现金净额
投资活动现金净额
-312.38%-2,179万
288.01%1,127.3万
-744.00%-4,902.8万
25.93%-6,022.6万
-233.98%-4,313.7万
91.42%-528.4万
-174.88%-599.6万
60.75%-580.9万
-114.40%-8,131.5万
6.87%-1,291.6万
融资活动现金流量
持续融资活动现金净额
-168.09%-2,175.2万
-231.32%-4,049.6万
-109.03%-69.6万
1,156.12%1.34亿
7,277.52%6,300.4万
-32.93%3,194.8万
210.76%3,083.7万
176.97%771.1万
120.11%1,062.8万
104.57%85.4万
债务发行/偿还的净现金流
46.51%-1,327.9万
190.11%1,876万
955.85%4,223.6万
-227.26%-4,933.6万
-83.74%124.1万
-146.51%-2,482.3万
-7.60%-2,081.9万
-70.76%-493.5万
165.99%3,876.9万
173.57%763.1万
普通股发行/偿还的净现金流
-22.70%-74.6万
78.83%-9.4万
---28.3万
---165.8万
---60.6万
---60.8万
---44.4万
--0
--0
--0
优先股发行/偿还的净现金流
----
----
----
--4,764.5万
----
----
----
----
--0
----
现金股利支付
--0
----
----
--0
--0
--0
----
----
--0
--0
职工行使股票期权收到的现金
1,140.00%24.8万
-96.85%8.6万
-69.40%11.2万
297.41%321.9万
-36.97%10.4万
-83.47%2万
686.46%272.9万
106.78%36.6万
-30.65%81万
20.44%16.5万
其他融资活动的净现金流额
-113.90%-797.5万
-210.29%-5,657.3万
-448.22%-4,276.1万
647.71%1.37亿
429.78%1,654.5万
1,078.32%5,735.9万
841.70%5,129.6万
268.10%1,228万
0.79%-2,510.1万
22.93%-501.7万
非持续融资活动现金净额
融资活动现金净额
-168.09%-2,175.2万
-231.32%-4,049.6万
-109.03%-69.6万
1,156.12%1.34亿
7,277.52%6,300.4万
-32.93%3,194.8万
210.76%3,083.7万
176.97%771.1万
120.11%1,062.8万
104.57%85.4万
现金净流量
期初现金流
112.45%9,889.4万
113.90%1.03亿
203.22%1.32亿
-11.21%4,342.3万
57.61%6,615万
30.64%4,655万
15.68%4,822.7万
-11.21%4,342.3万
-21.01%4,890.8万
-19.96%4,197.1万
当期现金流变化
-181.18%-1,633.6万
-2.13%-191.4万
-906.70%-2,839.6万
1,785.83%8,349.9万
3,101.82%6,173.1万
239.04%2,012.2万
66.66%-187.4万
148.92%352万
65.19%-495.3万
154.62%192.8万
利率变动影响
97.70%-1.2万
-1,293.40%-235.1万
-119.62%-11.4万
992.29%474.7万
1,043.49%449.1万
-229.53%-52.2万
145.18%19.7万
2,626.09%58.1万
-143.75%-53.2万
-15,966.67%-47.6万
期末现金流
24.79%8,254.6万
112.45%9,889.4万
113.90%1.03亿
203.22%1.32亿
203.22%1.32亿
57.61%6,615万
30.64%4,655万
15.68%4,822.7万
-11.21%4,342.3万
-11.21%4,342.3万
自由现金流
283.64%1,920.1万
167.93%2,136.8万
264,633.33%1,588.4万
-111.49%-670.4万
175.32%3,520万
-159.83%-1,045.6万
-352.72%-3,145.4万
-99.96%6,000
-16.84%5,833万
-53.11%1,278.5万
货币单位
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
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
--
--
--
--
--
--
(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31
经营活动现金流量(间接法)
持续经营活动现金净额 515.87%2,720.6万202.22%2,730.9万1,218.17%2,132.8万-85.67%952.2万180.14%4,116.1万-132.86%-654.2万-287.95%-2,671.5万-90.82%161.8万-13.21%6,643.7万-49.35%1,469.3万
持续经营净收入 97.00%-265.3万-83.90%1,699.8万-403.90%-4,188.6万74.89%2,909.6万-105.44%-183.5万-1,872.91%-8,842.6万5,336.81%1.06亿229.70%1,378.3万-10.91%1,663.7万52.88%3,376.2万
持续经营损益 -431.79%-323.5万-528.52%-937.6万131.30%279.6万80.95%-155.9万172.48%421.1万93.84%97.5万182.66%218.8万-3,767.10%-893.3万-223.52%-818.5万-1,927.04%-581万
折旧和摊销 51.75%2,652万46.73%2,539.5万18.03%1,954.6万18.99%7,230.6万25.11%2,096.3万13.12%1,747.6万23.26%1,730.7万14.03%1,656万10.08%6,076.8万18.84%1,675.6万
递延税费 138.37%217.2万127.33%306.8万-44.68%-476万-203.38%-3,161.5万-3,159.54%-1,144.1万-249.38%-566万-109.48%-1,122.4万-6.40%-329万-965.54%-1,042.1万---35.1万
其他非现金项目 153.14%1,076.1万419.48%1,232.2万-27.07%438.4万-39.23%2,083.6万-21.80%820.2万-1.87%425.1万-59.65%237.2万-55.75%601.1万364.85%3,428.5万146.88%1,048.9万
营运资金变化 -60.69%-2,312.5万54.85%-1,416.2万125.28%354.8万165.10%667.2万1,770.42%6,646.6万-991.88%-1,439.1万-1,624.57%-3,137万-347.91%-1,403.3万-101.75%-1,024.9万-137.52%-397.9万
-应收款项(增)减 71.89%-993.6万147.62%2,461.4万103.20%91.6万-3,129.54%-8,025.4万461.68%3,536.9万-815.16%-3,534.3万-950.33%-5,168.3万-667.50%-2,859.7万73.48%-248.5万-145.25%-977.9万
-存货(增)减 932.43%61.6万140.96%27.4万-7,383.33%-43.7万-895.26%-151.1万-571.95%-77.4万54.04%-7.4万-411.16%-66.9万121.43%6,000132.93%19万368.57%16.4万
-预付费用(增)减 -------------94.13%-443.4万----------------70.98%-228.4万----
-应付款项及应计费用(减)增 -119.78%-91.8万-318.93%-1,421.3万-48.92%338.2万495.32%3,641.7万2,706.47%1,866.3万334.87%464.1万162.32%649.2万163.16%662.1万-187.28%-921.2万126.96%66.5万
-其他流动资产变化 -25.53%-972.2万354.60%1,294.7万-786.37%-1,085.8万168.28%84.8万91.69%697万-41.64%-774.5万192.71%284.8万-133.45%-122.5万50.99%-124.2万213.73%363.6万
-其他流动负债变化 -427.81%-178万-1,022.74%-1,477.3万696.13%638.5万-37.23%310.2万-96.33%15.6万-52.82%54.3万-69.57%160.1万114.01%80.2万18.97%494.2万353.61%425.3万
-其他营运资本变化 -197.05%-1,539.4万-150.67%-900.2万-50.24%416万33,330.38%5,250.4万1,758.68%1,051.6万8,076.29%1,586.2万15,348.70%1,776.6万4,905.99%836万-128.06%-15.8万-115.19%-63.4万
非持续经营活动现金净额
经营活动现金净额 515.87%2,720.6万202.22%2,730.9万1,218.17%2,132.8万-85.67%952.2万180.14%4,116.1万-132.86%-654.2万-287.95%-2,671.5万-90.82%161.8万-13.21%6,643.7万-49.35%1,469.3万
投资活动现金流量
持续投资活动现金净额 -312.38%-2,179万288.01%1,127.3万-744.00%-4,902.8万25.93%-6,022.6万-233.98%-4,313.7万91.42%-528.4万-174.88%-599.6万60.75%-580.9万-114.40%-8,131.5万6.87%-1,291.6万
固定资产交易的净现金流 -104.52%-800.5万-25.36%-594.1万-237.72%-544.4万-100.15%-1,622.6万-212.42%-596.1万-60.94%-391.4万-168.04%-473.9万19.36%-161.2万-26.59%-810.7万-9.53%-190.8万
业务交易的净现金流 -1,627.05%-1,934.3万287.44%2,476.5万-576.96%-4,394.8万40.06%-4,242.2万-418.46%-4,120.2万98.15%-112万-36.62%639.2万47.27%-649.2万-125.86%-7,077.7万63.16%-794.7万
投资产品交易的净现金流 --1,510.3万--0--0-79.33%239万--0--0--0--239万-29.96%1,156.3万--12.5万
其他投资活动的净现金流 -3,718.00%-954.5万1.28%-755.1万483.16%36.4万35.09%-157.8万-23.41%641.6万-117.49%-25万34.89%-764.9万80.57%-9.5万-1,214.05%-243.1万-67.72%837.7万
非持续投资活动现金净额
投资活动现金净额 -312.38%-2,179万288.01%1,127.3万-744.00%-4,902.8万25.93%-6,022.6万-233.98%-4,313.7万91.42%-528.4万-174.88%-599.6万60.75%-580.9万-114.40%-8,131.5万6.87%-1,291.6万
融资活动现金流量
持续融资活动现金净额 -168.09%-2,175.2万-231.32%-4,049.6万-109.03%-69.6万1,156.12%1.34亿7,277.52%6,300.4万-32.93%3,194.8万210.76%3,083.7万176.97%771.1万120.11%1,062.8万104.57%85.4万
债务发行/偿还的净现金流 46.51%-1,327.9万190.11%1,876万955.85%4,223.6万-227.26%-4,933.6万-83.74%124.1万-146.51%-2,482.3万-7.60%-2,081.9万-70.76%-493.5万165.99%3,876.9万173.57%763.1万
普通股发行/偿还的净现金流 -22.70%-74.6万78.83%-9.4万---28.3万---165.8万---60.6万---60.8万---44.4万--0--0--0
优先股发行/偿还的净现金流 --------------4,764.5万------------------0----
现金股利支付 --0----------0--0--0----------0--0
职工行使股票期权收到的现金 1,140.00%24.8万-96.85%8.6万-69.40%11.2万297.41%321.9万-36.97%10.4万-83.47%2万686.46%272.9万106.78%36.6万-30.65%81万20.44%16.5万
其他融资活动的净现金流额 -113.90%-797.5万-210.29%-5,657.3万-448.22%-4,276.1万647.71%1.37亿429.78%1,654.5万1,078.32%5,735.9万841.70%5,129.6万268.10%1,228万0.79%-2,510.1万22.93%-501.7万
非持续融资活动现金净额
融资活动现金净额 -168.09%-2,175.2万-231.32%-4,049.6万-109.03%-69.6万1,156.12%1.34亿7,277.52%6,300.4万-32.93%3,194.8万210.76%3,083.7万176.97%771.1万120.11%1,062.8万104.57%85.4万
现金净流量
期初现金流 112.45%9,889.4万113.90%1.03亿203.22%1.32亿-11.21%4,342.3万57.61%6,615万30.64%4,655万15.68%4,822.7万-11.21%4,342.3万-21.01%4,890.8万-19.96%4,197.1万
当期现金流变化 -181.18%-1,633.6万-2.13%-191.4万-906.70%-2,839.6万1,785.83%8,349.9万3,101.82%6,173.1万239.04%2,012.2万66.66%-187.4万148.92%352万65.19%-495.3万154.62%192.8万
利率变动影响 97.70%-1.2万-1,293.40%-235.1万-119.62%-11.4万992.29%474.7万1,043.49%449.1万-229.53%-52.2万145.18%19.7万2,626.09%58.1万-143.75%-53.2万-15,966.67%-47.6万
期末现金流 24.79%8,254.6万112.45%9,889.4万113.90%1.03亿203.22%1.32亿203.22%1.32亿57.61%6,615万30.64%4,655万15.68%4,822.7万-11.21%4,342.3万-11.21%4,342.3万
自由现金流 283.64%1,920.1万167.93%2,136.8万264,633.33%1,588.4万-111.49%-670.4万175.32%3,520万-159.83%-1,045.6万-352.72%-3,145.4万-99.96%6,000-16.84%5,833万-53.11%1,278.5万
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