加拿大市場個股詳情

Altius Minerals Corp (ALS)

添加自選
  • 55.100
  • -1.450-2.56%
延時15分鐘行情交易中 05/14 11:33 (美東)
30.71億總市值8.80市盈率TTM

Altius Minerals Corp (ALS) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2026/03/31
(FY)2025/12/31
(Q4)2025/12/31
(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
經營活動現金流量(間接法)
持續經營活動現金淨額
-200.34%-385.6萬
-6.58%2,611.6萬
-10.39%274.2萬
40.64%1,508.2萬
-50.57%444.9萬
-25.65%384.3萬
-23.43%2,795.4萬
-59.19%306萬
-1.89%1,072.4萬
-35.33%900.1萬
持續經營淨收入
-58.45%263.6萬
194.05%2.99億
-73.62%2,254.9萬
8,151.23%2.65億
-33.65%551.6萬
31.70%634.4萬
905.77%1.02億
3,958.37%8,546.3萬
-8.52%321.1萬
150.09%831.3萬
持續經營損益
-70.08%14.3萬
-349.22%-3.68億
66.66%-2,752.5萬
-34,198.99%-3.39億
-203.58%-162.1萬
202.53%47.8萬
-14,510.36%-8,181.8萬
-76,337.96%-8,255.3萬
-786.11%-98.8萬
352.01%156.5萬
折舊攤銷及損耗
130.95%258.2萬
-10.60%551.7萬
13.60%151.2萬
-14.27%155萬
-14.40%133.7萬
-23.95%111.8萬
-61.39%617.1萬
-51.05%133.1萬
-54.88%180.8萬
-66.43%156.2萬
資產減值支出
----
-99.32%1.2萬
--0
--0
----
----
-74.60%176.3萬
-100.66%-4.2萬
--6.5萬
--174萬
以股票支付的報酬
421.32%630.8萬
3.54%462.3萬
-20.24%93.4萬
43.27%134.1萬
-25.81%113.8萬
46.84%121萬
12.53%446.5萬
38.91%117.1萬
32.95%93.6萬
15.43%153.4萬
遞延稅費
119.50%58.7萬
5,829.08%8,570.7萬
466.52%654.9萬
712,900.00%8,553.6萬
-11.60%-336.8萬
-896.30%-301萬
-128.80%-149.6萬
460.12%115.6萬
72.09%-1.2萬
-317.75%-301.8萬
其他非現金項目
-31.83%142.2萬
-22.61%750.9萬
-28.16%171.4萬
-41.94%148萬
-7.51%222.9萬
-11.54%208.6萬
-6.02%970.3萬
-2.45%238.6萬
-3.70%254.9萬
-3.56%241萬
營運資金變化
-1,175.92%-932.7萬
125.25%100.7萬
77.04%-82.2萬
-60.59%116.6萬
170.80%139.4萬
47.71%-73.1萬
-239.39%-398.8萬
-405.20%-358萬
813.27%295.9萬
-128.42%-196.9萬
-應收款項(增)減
-124.99%-47.5萬
139.30%143.6萬
107.20%6.6萬
-966.14%-135.4萬
135.54%82.3萬
746.60%190.1萬
-191.33%-365.4萬
-154.98%-91.7萬
77.99%-12.7萬
-133.87%-231.6萬
-應付款項及應計費用(減)增
-236.32%-885.2萬
-28.44%-42.9萬
66.65%-88.8萬
-18.34%252萬
64.55%57.1萬
-138.41%-263.2萬
70.70%-33.4萬
-437.98%-266.3萬
242.51%308.6萬
285.56%34.7萬
已付利息(經營活動產生的現金流)
31.91%-128.9萬
13.20%-714.7萬
25.85%-156.9萬
17.70%-183.7萬
-5.60%-184.8萬
11.38%-189.3萬
4.17%-823.4萬
6.66%-211.6萬
3.54%-223.2萬
10.90%-175萬
已支付退稅
-293.29%-691.8萬
-603.37%-292.6萬
-284.62%-60萬
-109.35%-22.7萬
75.47%-34萬
-35.10%-175.9萬
95.73%-41.6萬
86.08%-15.6萬
24.39%242.8萬
61.67%-138.6萬
非持續經營活動現金淨額
經營活動現金淨額
-200.34%-385.6萬
-6.58%2,611.6萬
-10.39%274.2萬
40.64%1,508.2萬
-50.57%444.9萬
-25.65%384.3萬
-23.43%2,795.4萬
-59.19%306萬
-1.89%1,072.4萬
-35.33%900.1萬
投資活動現金流量
持續投資活動現金淨額
-18,481.16%-1.4億
393.54%3.03億
42.05%-5,125.6萬
60,813.79%3.53億
-90.85%61.9萬
103.41%75.9萬
-287.69%-1.03億
-225.63%-8,844.7萬
105.31%58萬
485.03%676.5萬
固定資產交易淨額
-296.97%-6.5萬
138.65%53.1萬
87.46%-4萬
61.86%-11.1萬
176.80%64.9萬
-59.26%3.3萬
-115.78%-137.4萬
-103.32%-31.9萬
56.17%-29.1萬
-328.93%-84.5萬
無形資產交易淨額
----
26,385.29%3.18億
21,282.14%2,965.5萬
----
----
----
---121萬
---14萬
----
----
業務交易淨額
-57,260.83%-1.37億
101.13%136.2萬
100.58%49.5萬
107.55%34.6萬
115.09%28.1萬
100.81%24萬
-327.73%-1.21億
-223.82%-8,508.4萬
1.61%-458.2萬
80.83%-186.2萬
投資產品交易淨額
-519.92%-221.3萬
54.12%2,332.4萬
-1,360.52%-4,180萬
888.95%6,469.7萬
-102.36%-10萬
-92.70%52.7萬
3,448.23%1,513.4萬
-348.01%-286.2萬
--654.2萬
798.68%423.4萬
其他投資活動淨額
-19.51%-4.9萬
-877.81%-3,984.7萬
-94,104.76%-3,956.6萬
-52.63%-2.9萬
-104.03%-21.1萬
24.07%-4.1萬
180.92%512.3萬
99.54%-4.2萬
99.66%-1.9萬
-40.21%523.8萬
非持續投資活動現金淨額
投資活動現金淨額
-18,481.16%-1.4億
393.54%3.03億
42.05%-5,125.6萬
60,813.79%3.53億
-90.85%61.9萬
103.41%75.9萬
-287.69%-1.03億
-225.63%-8,844.7萬
105.31%58萬
485.03%676.5萬
融資活動現金流量
持續融資活動現金淨額
-167.98%-2,258.5萬
-15.55%-5,132.1萬
8.02%-1,033.6萬
-166.16%-2,652.8萬
31.56%-602.9萬
41.48%-842.8萬
-14.10%-4,441.5萬
-6.09%-1,123.7萬
23.57%-996.7萬
-6.74%-880.9萬
債務發行/償還的淨額
0.00%-204.2萬
-110.19%-1,716.8萬
0.00%-204.2萬
-440.74%-1,104.2萬
0.00%-204.2萬
0.00%-204.2萬
0.00%-816.8萬
0.00%-204.2萬
0.00%-204.2萬
0.00%-204.2萬
普通股發行/回購的淨額
-18,942.31%-990.2萬
89.69%-156.1萬
--0
---150.9萬
--0
99.28%-5.2萬
-20.80%-1,513.4萬
-15.76%-547.3萬
--0
-18.51%-247.8萬
已支付現金股息
-35.48%-521.2萬
-8.62%-1,612.1萬
-19.68%-425萬
-9.57%-423.8萬
1.35%-378.6萬
-7.31%-384.7萬
-3.79%-1,484.2萬
-0.40%-355.1萬
-8.50%-386.8萬
-6.55%-383.8萬
職工行使股票期權收到的現金
-117.66%-490.6萬
-305.46%-1,560.6萬
---379萬
-301.26%-956.2萬
--0
-77.20%-225.4萬
-102.58%-384.9萬
--0
-97.76%-238.3萬
---19.4萬
其他融資活動的淨現金流額
-124.46%-52.3萬
64.29%-86.5萬
-48.54%-25.4萬
89.43%-17.7萬
21.79%-20.1萬
27.19%-23.3萬
-19.31%-242.2萬
40.00%-17.1萬
-222.54%-167.4萬
50.39%-25.7萬
非持續融資活動現金淨額
融資活動現金淨額
-167.98%-2,258.5萬
-15.55%-5,132.1萬
8.02%-1,033.6萬
-166.16%-2,652.8萬
31.56%-602.9萬
41.48%-842.8萬
-14.10%-4,441.5萬
-6.09%-1,123.7萬
23.57%-996.7萬
-6.74%-880.9萬
現金淨流量
期初現金流
1,748.91%2.94億
-87.80%1,590.8萬
221.96%3.53億
-89.83%1,112.1萬
-88.10%1,208.2萬
-87.80%1,590.8萬
58.31%1.3億
63.10%1.1億
37.97%1.09億
32.12%1.02億
當期現金流變化
-4,237.53%-1.66億
332.18%2.78億
39.09%-5,885萬
25,468.74%3.42億
-113.81%-96.1萬
87.85%-382.6萬
-327.57%-1.2億
-243.56%-9,662.4萬
110.25%133.7萬
78.02%695.7萬
利率變動影響
----
--0
--0
--0
--0
--0
215.07%531.3萬
170.66%290萬
-211.98%-109.4萬
163.08%92.1萬
期末現金流
960.84%1.28億
1,748.91%2.94億
1,748.91%2.94億
221.96%3.53億
-89.83%1,112.1萬
-88.10%1,208.2萬
-87.80%1,590.8萬
-87.80%1,590.8萬
63.10%1.1億
37.97%1.09億
自由現金流
-200.49%-385.9萬
2.88%2,610萬
5.23%273.7萬
61.07%1,508.1萬
-46.13%444.2萬
-25.58%384萬
-29.72%2,537萬
-68.11%260.1萬
-8.80%936.3萬
-39.19%824.6萬
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
審計意見
--
無保留意見
--
--
--
--
無保留意見
--
--
--
(Q1)2026/03/31(FY)2025/12/31(Q4)2025/12/31(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
經營活動現金流量(間接法)
持續經營活動現金淨額 -200.34%-385.6萬-6.58%2,611.6萬-10.39%274.2萬40.64%1,508.2萬-50.57%444.9萬-25.65%384.3萬-23.43%2,795.4萬-59.19%306萬-1.89%1,072.4萬-35.33%900.1萬
持續經營淨收入 -58.45%263.6萬194.05%2.99億-73.62%2,254.9萬8,151.23%2.65億-33.65%551.6萬31.70%634.4萬905.77%1.02億3,958.37%8,546.3萬-8.52%321.1萬150.09%831.3萬
持續經營損益 -70.08%14.3萬-349.22%-3.68億66.66%-2,752.5萬-34,198.99%-3.39億-203.58%-162.1萬202.53%47.8萬-14,510.36%-8,181.8萬-76,337.96%-8,255.3萬-786.11%-98.8萬352.01%156.5萬
折舊攤銷及損耗 130.95%258.2萬-10.60%551.7萬13.60%151.2萬-14.27%155萬-14.40%133.7萬-23.95%111.8萬-61.39%617.1萬-51.05%133.1萬-54.88%180.8萬-66.43%156.2萬
資產減值支出 -----99.32%1.2萬--0--0---------74.60%176.3萬-100.66%-4.2萬--6.5萬--174萬
以股票支付的報酬 421.32%630.8萬3.54%462.3萬-20.24%93.4萬43.27%134.1萬-25.81%113.8萬46.84%121萬12.53%446.5萬38.91%117.1萬32.95%93.6萬15.43%153.4萬
遞延稅費 119.50%58.7萬5,829.08%8,570.7萬466.52%654.9萬712,900.00%8,553.6萬-11.60%-336.8萬-896.30%-301萬-128.80%-149.6萬460.12%115.6萬72.09%-1.2萬-317.75%-301.8萬
其他非現金項目 -31.83%142.2萬-22.61%750.9萬-28.16%171.4萬-41.94%148萬-7.51%222.9萬-11.54%208.6萬-6.02%970.3萬-2.45%238.6萬-3.70%254.9萬-3.56%241萬
營運資金變化 -1,175.92%-932.7萬125.25%100.7萬77.04%-82.2萬-60.59%116.6萬170.80%139.4萬47.71%-73.1萬-239.39%-398.8萬-405.20%-358萬813.27%295.9萬-128.42%-196.9萬
-應收款項(增)減 -124.99%-47.5萬139.30%143.6萬107.20%6.6萬-966.14%-135.4萬135.54%82.3萬746.60%190.1萬-191.33%-365.4萬-154.98%-91.7萬77.99%-12.7萬-133.87%-231.6萬
-應付款項及應計費用(減)增 -236.32%-885.2萬-28.44%-42.9萬66.65%-88.8萬-18.34%252萬64.55%57.1萬-138.41%-263.2萬70.70%-33.4萬-437.98%-266.3萬242.51%308.6萬285.56%34.7萬
已付利息(經營活動產生的現金流) 31.91%-128.9萬13.20%-714.7萬25.85%-156.9萬17.70%-183.7萬-5.60%-184.8萬11.38%-189.3萬4.17%-823.4萬6.66%-211.6萬3.54%-223.2萬10.90%-175萬
已支付退稅 -293.29%-691.8萬-603.37%-292.6萬-284.62%-60萬-109.35%-22.7萬75.47%-34萬-35.10%-175.9萬95.73%-41.6萬86.08%-15.6萬24.39%242.8萬61.67%-138.6萬
非持續經營活動現金淨額
經營活動現金淨額 -200.34%-385.6萬-6.58%2,611.6萬-10.39%274.2萬40.64%1,508.2萬-50.57%444.9萬-25.65%384.3萬-23.43%2,795.4萬-59.19%306萬-1.89%1,072.4萬-35.33%900.1萬
投資活動現金流量
持續投資活動現金淨額 -18,481.16%-1.4億393.54%3.03億42.05%-5,125.6萬60,813.79%3.53億-90.85%61.9萬103.41%75.9萬-287.69%-1.03億-225.63%-8,844.7萬105.31%58萬485.03%676.5萬
固定資產交易淨額 -296.97%-6.5萬138.65%53.1萬87.46%-4萬61.86%-11.1萬176.80%64.9萬-59.26%3.3萬-115.78%-137.4萬-103.32%-31.9萬56.17%-29.1萬-328.93%-84.5萬
無形資產交易淨額 ----26,385.29%3.18億21,282.14%2,965.5萬---------------121萬---14萬--------
業務交易淨額 -57,260.83%-1.37億101.13%136.2萬100.58%49.5萬107.55%34.6萬115.09%28.1萬100.81%24萬-327.73%-1.21億-223.82%-8,508.4萬1.61%-458.2萬80.83%-186.2萬
投資產品交易淨額 -519.92%-221.3萬54.12%2,332.4萬-1,360.52%-4,180萬888.95%6,469.7萬-102.36%-10萬-92.70%52.7萬3,448.23%1,513.4萬-348.01%-286.2萬--654.2萬798.68%423.4萬
其他投資活動淨額 -19.51%-4.9萬-877.81%-3,984.7萬-94,104.76%-3,956.6萬-52.63%-2.9萬-104.03%-21.1萬24.07%-4.1萬180.92%512.3萬99.54%-4.2萬99.66%-1.9萬-40.21%523.8萬
非持續投資活動現金淨額
投資活動現金淨額 -18,481.16%-1.4億393.54%3.03億42.05%-5,125.6萬60,813.79%3.53億-90.85%61.9萬103.41%75.9萬-287.69%-1.03億-225.63%-8,844.7萬105.31%58萬485.03%676.5萬
融資活動現金流量
持續融資活動現金淨額 -167.98%-2,258.5萬-15.55%-5,132.1萬8.02%-1,033.6萬-166.16%-2,652.8萬31.56%-602.9萬41.48%-842.8萬-14.10%-4,441.5萬-6.09%-1,123.7萬23.57%-996.7萬-6.74%-880.9萬
債務發行/償還的淨額 0.00%-204.2萬-110.19%-1,716.8萬0.00%-204.2萬-440.74%-1,104.2萬0.00%-204.2萬0.00%-204.2萬0.00%-816.8萬0.00%-204.2萬0.00%-204.2萬0.00%-204.2萬
普通股發行/回購的淨額 -18,942.31%-990.2萬89.69%-156.1萬--0---150.9萬--099.28%-5.2萬-20.80%-1,513.4萬-15.76%-547.3萬--0-18.51%-247.8萬
已支付現金股息 -35.48%-521.2萬-8.62%-1,612.1萬-19.68%-425萬-9.57%-423.8萬1.35%-378.6萬-7.31%-384.7萬-3.79%-1,484.2萬-0.40%-355.1萬-8.50%-386.8萬-6.55%-383.8萬
職工行使股票期權收到的現金 -117.66%-490.6萬-305.46%-1,560.6萬---379萬-301.26%-956.2萬--0-77.20%-225.4萬-102.58%-384.9萬--0-97.76%-238.3萬---19.4萬
其他融資活動的淨現金流額 -124.46%-52.3萬64.29%-86.5萬-48.54%-25.4萬89.43%-17.7萬21.79%-20.1萬27.19%-23.3萬-19.31%-242.2萬40.00%-17.1萬-222.54%-167.4萬50.39%-25.7萬
非持續融資活動現金淨額
融資活動現金淨額 -167.98%-2,258.5萬-15.55%-5,132.1萬8.02%-1,033.6萬-166.16%-2,652.8萬31.56%-602.9萬41.48%-842.8萬-14.10%-4,441.5萬-6.09%-1,123.7萬23.57%-996.7萬-6.74%-880.9萬
現金淨流量
期初現金流 1,748.91%2.94億-87.80%1,590.8萬221.96%3.53億-89.83%1,112.1萬-88.10%1,208.2萬-87.80%1,590.8萬58.31%1.3億63.10%1.1億37.97%1.09億32.12%1.02億
當期現金流變化 -4,237.53%-1.66億332.18%2.78億39.09%-5,885萬25,468.74%3.42億-113.81%-96.1萬87.85%-382.6萬-327.57%-1.2億-243.56%-9,662.4萬110.25%133.7萬78.02%695.7萬
利率變動影響 ------0--0--0--0--0215.07%531.3萬170.66%290萬-211.98%-109.4萬163.08%92.1萬
期末現金流 960.84%1.28億1,748.91%2.94億1,748.91%2.94億221.96%3.53億-89.83%1,112.1萬-88.10%1,208.2萬-87.80%1,590.8萬-87.80%1,590.8萬63.10%1.1億37.97%1.09億
自由現金流 -200.49%-385.9萬2.88%2,610萬5.23%273.7萬61.07%1,508.1萬-46.13%444.2萬-25.58%384萬-29.72%2,537萬-68.11%260.1萬-8.80%936.3萬-39.19%824.6萬
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 --無保留意見--------無保留意見------

FY:Financial Year 年度報告,相當於上市公司向SEC披露的10-K文件。

Q:Quarter 季度報告,相當於上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4為單季報,跨度為3個月;Q6、Q9為累計季報,Q6為6個月,Q9為9個月。

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