美股市場個股詳情

CNIKF CANADA NICKEL COMPANY INC

添加自選
  • 1.040
  • -0.014-1.36%
延時15分鐘行情收盤價 05/02 16:00 (美東)
  • 1.031
  • -0.009-0.85%
盤後 16:52 (美東)
1.88億總市值-20392市盈率TTM

CANADA NICKEL COMPANY INC關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2024/01/31
(FY)2023/10/31
(Q4)2023/10/31
(Q3)2023/07/31
(Q2)2023/04/30
(Q1)2023/01/31
(FY)2022/10/31
(Q4)2022/10/31
(Q3)2022/07/31
(Q2)2022/04/30
經營活動現金流量(間接法)
持續經營活動現金淨額
-73.48%-127.42萬
-295.37%-739.08萬
-296.36%-371.77萬
50.72%-121.64萬
23.77%-172.22萬
-176.11%-73.45萬
70.34%-186.93萬
207.49%189.33萬
-82.79%-246.83萬
-19.78%-225.93萬
持續經營淨收入
39.69%-471.78萬
-171.72%-1,300.3萬
-84.70%-324.15萬
-99.89%1,508
33.62%-194.01萬
-410.60%-782.29萬
24.97%-478.55萬
-254.81%-175.51萬
157.88%142.42萬
-43.63%-292.26萬
遞延稅費
-103.63%-16.7萬
31.18%282.99萬
-136.88%-79.55萬
---34.43萬
---63.3萬
--460.27萬
--215.73萬
--215.73萬
--0
--0
其他非現金項目
-50.60%39.67萬
88.62%-75.72萬
146.93%103.36萬
51.15%-210.16萬
-202.32%-49.22萬
226.81%80.3萬
-428.72%-665.63萬
-125.42%-220.23萬
-8,603,672.00%-430.18萬
--48.11萬
營運資金變化
415.51%218.91萬
-138.63%-108.28萬
-157.89%-156.91萬
105.68%6.62萬
99.48%-4,536
-80.05%42.47萬
213.02%280.27萬
423.77%271.06萬
-269.06%-116.44萬
13.41%-87.22萬
-應收款項(增)減
71.11%61.34萬
-116.67%-34.54萬
-132.46%-85.94萬
124.53%49.68萬
-1.11%-34.14萬
-79.95%35.85萬
180.15%207.21萬
563.34%264.75萬
-201.82%-202.57萬
65.16%-33.76萬
-應付款項及應計費用(減)增
2,281.66%157.57萬
-200.93%-73.74萬
-1,224.55%-70.97萬
-150.00%-43.07萬
163.01%33.68萬
-80.58%6.62萬
593.10%73.06萬
123.74%6.31萬
142.18%86.14萬
-270.76%-53.46萬
非持續經營活動現金淨額
經營活動現金淨額
-73.48%-127.42萬
-295.37%-739.08萬
-296.36%-371.77萬
50.72%-121.64萬
23.77%-172.22萬
-176.11%-73.45萬
70.34%-186.93萬
207.48%189.33萬
-82.80%-246.83萬
-19.78%-225.93萬
投資活動現金流量
持續投資活動現金淨額
49.14%-560.96萬
24.52%-3,737.21萬
52.98%-508.35萬
48.86%-643.2萬
-13.17%-1,482.6萬
15.30%-1,103.07萬
-149.62%-4,951.22萬
-66.08%-1,081.24萬
-113.70%-1,257.61萬
-155.72%-1,310.1萬
固定資產交易的淨現金流
48.21%-1.88萬
45.32%-12.36萬
77.37%-2.58萬
-66.91%-3.14萬
27.57%-3萬
29.51%-3.64萬
45.25%-22.6萬
-113.41%-11.42萬
98.34%-1.88萬
57.94%-4.14萬
其他投資活動的淨現金流
49.15%-559.08萬
24.42%-3,724.85萬
52.72%-505.77萬
49.03%-640.06萬
-13.30%-1,479.6萬
15.24%-1,099.43萬
-153.76%-4,928.62萬
-45.33%-1,069.82萬
-164.11%-1,255.73萬
-159.90%-1,305.96萬
非持續投資活動現金淨額
投資活動現金淨額
49.14%-560.96萬
24.52%-3,737.21萬
52.98%-508.35萬
48.86%-643.2萬
-13.17%-1,482.6萬
15.30%-1,103.07萬
-149.62%-4,951.22萬
-66.08%-1,081.24萬
-113.70%-1,257.61萬
-155.72%-1,310.1萬
融資活動現金流量
持續融資活動現金淨額
509,207.68%3,514.22萬
-24.35%4,618.69萬
19.02%1,567.44萬
903.26%43.65萬
-15.40%3,006.91萬
-99.94%6,900
233.57%6,105.68萬
10,100.17%1,316.97萬
-99.62%4.35萬
431.67%3,554.15萬
債務發行/償還的淨現金流
---2.54萬
-91.01%114萬
18.51%1,565.38萬
--0
-13.16%-1,451.39萬
--0
--1,268.52萬
--1,320.93萬
--0
---1,282.62萬
普通股發行/償還的淨現金流
--3,448.02萬
-7.46%4,458.28萬
124.01%1.56萬
--0
--4,456.72萬
--0
326.27%4,817.73萬
-186.67%-6.5萬
--0
----
職工行使股票期權收到的現金
9,862.57%68.74萬
138.82%46.42萬
-80.38%4,999
903.26%43.65萬
-87.37%1.58萬
--6,900
-97.22%19.44萬
-52.90%2.55萬
-77.16%4.35萬
-98.12%12.54萬
非持續融資活動現金淨額
融資活動現金淨額
509,207.68%3,514.22萬
-24.35%4,618.69萬
19.02%1,567.44萬
903.26%43.65萬
-15.40%3,006.91萬
-99.94%6,900
233.57%6,105.68萬
10,100.17%1,316.97萬
-99.62%4.35萬
431.67%3,554.15萬
現金淨流量
期初現金流
10.95%1,443.39萬
290.14%1,300.99萬
-13.68%756.07萬
-37.83%1,477.26萬
-65.03%125.17萬
290.14%1,300.99萬
-70.14%333.46萬
-23.68%875.94萬
230.92%2,376.03萬
-52.31%357.92萬
當期現金流變化
340.33%2,825.84萬
-85.28%142.4萬
61.70%687.32萬
51.92%-721.19萬
-33.00%1,352.09萬
-4,907.60%-1,175.82萬
223.53%967.53萬
152.20%425.06萬
-449.09%-1,500.1萬
6,314.87%2,018.11萬
期末現金流
3,310.75%4,269.23萬
10.95%1,443.39萬
10.95%1,443.39萬
-13.68%756.07萬
-37.83%1,477.26萬
-65.03%125.17萬
290.14%1,300.99萬
290.14%1,300.99萬
-23.68%875.94萬
230.92%2,376.03萬
自由現金流
-67.74%-129.3萬
-258.62%-751.44萬
-310.42%-374.35萬
49.83%-124.78萬
23.84%-175.22萬
-184.38%-77.08萬
68.79%-209.53萬
295.49%177.9萬
-0.26%-248.71萬
-15.92%-230.07萬
貨幣單位
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
審計意見
--
帶解釋段的無保留意見
--
--
--
--
帶解釋段的無保留意見
--
--
--
(Q1)2024/01/31(FY)2023/10/31(Q4)2023/10/31(Q3)2023/07/31(Q2)2023/04/30(Q1)2023/01/31(FY)2022/10/31(Q4)2022/10/31(Q3)2022/07/31(Q2)2022/04/30
經營活動現金流量(間接法)
持續經營活動現金淨額 -73.48%-127.42萬-295.37%-739.08萬-296.36%-371.77萬50.72%-121.64萬23.77%-172.22萬-176.11%-73.45萬70.34%-186.93萬207.49%189.33萬-82.79%-246.83萬-19.78%-225.93萬
持續經營淨收入 39.69%-471.78萬-171.72%-1,300.3萬-84.70%-324.15萬-99.89%1,50833.62%-194.01萬-410.60%-782.29萬24.97%-478.55萬-254.81%-175.51萬157.88%142.42萬-43.63%-292.26萬
遞延稅費 -103.63%-16.7萬31.18%282.99萬-136.88%-79.55萬---34.43萬---63.3萬--460.27萬--215.73萬--215.73萬--0--0
其他非現金項目 -50.60%39.67萬88.62%-75.72萬146.93%103.36萬51.15%-210.16萬-202.32%-49.22萬226.81%80.3萬-428.72%-665.63萬-125.42%-220.23萬-8,603,672.00%-430.18萬--48.11萬
營運資金變化 415.51%218.91萬-138.63%-108.28萬-157.89%-156.91萬105.68%6.62萬99.48%-4,536-80.05%42.47萬213.02%280.27萬423.77%271.06萬-269.06%-116.44萬13.41%-87.22萬
-應收款項(增)減 71.11%61.34萬-116.67%-34.54萬-132.46%-85.94萬124.53%49.68萬-1.11%-34.14萬-79.95%35.85萬180.15%207.21萬563.34%264.75萬-201.82%-202.57萬65.16%-33.76萬
-應付款項及應計費用(減)增 2,281.66%157.57萬-200.93%-73.74萬-1,224.55%-70.97萬-150.00%-43.07萬163.01%33.68萬-80.58%6.62萬593.10%73.06萬123.74%6.31萬142.18%86.14萬-270.76%-53.46萬
非持續經營活動現金淨額
經營活動現金淨額 -73.48%-127.42萬-295.37%-739.08萬-296.36%-371.77萬50.72%-121.64萬23.77%-172.22萬-176.11%-73.45萬70.34%-186.93萬207.48%189.33萬-82.80%-246.83萬-19.78%-225.93萬
投資活動現金流量
持續投資活動現金淨額 49.14%-560.96萬24.52%-3,737.21萬52.98%-508.35萬48.86%-643.2萬-13.17%-1,482.6萬15.30%-1,103.07萬-149.62%-4,951.22萬-66.08%-1,081.24萬-113.70%-1,257.61萬-155.72%-1,310.1萬
固定資產交易的淨現金流 48.21%-1.88萬45.32%-12.36萬77.37%-2.58萬-66.91%-3.14萬27.57%-3萬29.51%-3.64萬45.25%-22.6萬-113.41%-11.42萬98.34%-1.88萬57.94%-4.14萬
其他投資活動的淨現金流 49.15%-559.08萬24.42%-3,724.85萬52.72%-505.77萬49.03%-640.06萬-13.30%-1,479.6萬15.24%-1,099.43萬-153.76%-4,928.62萬-45.33%-1,069.82萬-164.11%-1,255.73萬-159.90%-1,305.96萬
非持續投資活動現金淨額
投資活動現金淨額 49.14%-560.96萬24.52%-3,737.21萬52.98%-508.35萬48.86%-643.2萬-13.17%-1,482.6萬15.30%-1,103.07萬-149.62%-4,951.22萬-66.08%-1,081.24萬-113.70%-1,257.61萬-155.72%-1,310.1萬
融資活動現金流量
持續融資活動現金淨額 509,207.68%3,514.22萬-24.35%4,618.69萬19.02%1,567.44萬903.26%43.65萬-15.40%3,006.91萬-99.94%6,900233.57%6,105.68萬10,100.17%1,316.97萬-99.62%4.35萬431.67%3,554.15萬
債務發行/償還的淨現金流 ---2.54萬-91.01%114萬18.51%1,565.38萬--0-13.16%-1,451.39萬--0--1,268.52萬--1,320.93萬--0---1,282.62萬
普通股發行/償還的淨現金流 --3,448.02萬-7.46%4,458.28萬124.01%1.56萬--0--4,456.72萬--0326.27%4,817.73萬-186.67%-6.5萬--0----
職工行使股票期權收到的現金 9,862.57%68.74萬138.82%46.42萬-80.38%4,999903.26%43.65萬-87.37%1.58萬--6,900-97.22%19.44萬-52.90%2.55萬-77.16%4.35萬-98.12%12.54萬
非持續融資活動現金淨額
融資活動現金淨額 509,207.68%3,514.22萬-24.35%4,618.69萬19.02%1,567.44萬903.26%43.65萬-15.40%3,006.91萬-99.94%6,900233.57%6,105.68萬10,100.17%1,316.97萬-99.62%4.35萬431.67%3,554.15萬
現金淨流量
期初現金流 10.95%1,443.39萬290.14%1,300.99萬-13.68%756.07萬-37.83%1,477.26萬-65.03%125.17萬290.14%1,300.99萬-70.14%333.46萬-23.68%875.94萬230.92%2,376.03萬-52.31%357.92萬
當期現金流變化 340.33%2,825.84萬-85.28%142.4萬61.70%687.32萬51.92%-721.19萬-33.00%1,352.09萬-4,907.60%-1,175.82萬223.53%967.53萬152.20%425.06萬-449.09%-1,500.1萬6,314.87%2,018.11萬
期末現金流 3,310.75%4,269.23萬10.95%1,443.39萬10.95%1,443.39萬-13.68%756.07萬-37.83%1,477.26萬-65.03%125.17萬290.14%1,300.99萬290.14%1,300.99萬-23.68%875.94萬230.92%2,376.03萬
自由現金流 -67.74%-129.3萬-258.62%-751.44萬-310.42%-374.35萬49.83%-124.78萬23.84%-175.22萬-184.38%-77.08萬68.79%-209.53萬295.49%177.9萬-0.26%-248.71萬-15.92%-230.07萬
貨幣單位 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
審計意見 --帶解釋段的無保留意見--------帶解釋段的無保留意見------

分析

分析師評級

暫無數據

目標價預測

暫無數據

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