美股市場個股詳情

CRL 查爾斯河實驗室

添加自選
  • 224.750
  • -7.810-3.36%
收盤價 05/16 16:00 (美東)
  • 224.750
  • 0.0000.00%
盤後 16:02 (美東)
115.77億總市值26.41市盈率TTM

查爾斯河實驗室關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2024/03/30
(FY)2023/12/30
(Q4)2023/12/30
(Q3)2023/09/30
(Q2)2023/07/01
(Q1)2023/04/01
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/24
(Q2)2022/06/25
經營活動現金流量(間接法)
持續經營活動現金淨額
18.75%1.3億
10.37%6.84億
-5.88%2.21億
54.73%2.05億
-0.90%1.48億
6.58%1.09億
-18.55%6.2億
2.40%2.35億
-24.01%1.33億
-19.89%1.49億
持續經營淨收入
-28.35%7,448.2萬
-2.48%4.8億
-0.08%1.89億
-9.83%8,802.1萬
-10.14%9,944.3萬
9.17%1.04億
23.51%4.93億
35.24%1.89億
-7.18%9,761.2萬
23.07%1.11億
持續經營損益
-279.16%-588萬
-0.42%-9,289.9萬
8.23%-1.06億
414.16%747.7萬
-78.82%245.7萬
-76.39%328.2萬
-361.64%-9,251.2萬
-961.74%-1.16億
-120.95%-238萬
232.77%1,159.9萬
折舊和攤銷
10.75%8,535.7萬
3.37%3.14億
3.83%8,051.4萬
5.72%7,887萬
1.64%7,767.1萬
2.35%7,706.9萬
14.43%3.04億
15.32%7,754.5萬
8.62%7,460.5萬
12.21%7,642.1萬
遞延稅費
91.48%-98.7萬
-41.85%-5,090.3萬
-136.92%-2,265.2萬
-0.49%-1,169.6萬
30.19%-497.1萬
-53.17%-1,158.4萬
-49.48%-3,588.4萬
6.71%-956.1萬
48.61%-1,163.9萬
-139.53%-712.1萬
其他非現金項目
38.05%199.9萬
-81.07%340.2萬
-737.71%-1,160萬
-147.24%-852.9萬
570.95%2,208.3萬
-48.08%144.8萬
156.63%1,797.3萬
108.16%181.9萬
301.56%1,805.4萬
-382.90%-468.9萬
營運資金變化
47.69%-4,809.2萬
32.89%-1.02億
-32.52%3,838.9萬
103.53%230.8萬
2.29%-5,113.3萬
-0.33%-9,194.4萬
-455.26%-1.53億
29.12%5,689.1萬
-7,174.67%-6,547.2萬
-1,744.05%-5,233萬
-應收款項(增)減
48.92%-1,728.1萬
77.80%-3,343.4萬
8.68%2,564.7萬
80.84%-1,083.2萬
75.85%-1,441.8萬
41.61%-3,383.1萬
-465.35%-1.51億
163.41%2,359.9萬
-86.14%-5,652.7萬
-451.65%-5,970萬
-存貨(增)減
165.21%560萬
20.66%-6,230.1萬
-711.38%-1,817.5萬
8.78%-1,145.5萬
40.62%-2,408.4萬
62.93%-858.7萬
-212.11%-7,852.3萬
88.52%-224萬
-955.45%-1,255.8萬
-1,043.94%-4,056.1萬
-應付款項及應計費用(減)增
53.03%-2,948.6萬
82.19%-798萬
45.26%-988.7萬
272.29%3,454萬
-6.24%3,014.9萬
-61.55%-6,278.2萬
-150.24%-4,481.6萬
-130.32%-1,806.1萬
-168.91%-2,004.8萬
13.68%3,215.6萬
-其他營運資本變化
-152.24%-692.5萬
-98.90%133.5萬
-23.86%4,080.4萬
-142.03%-994.5萬
-371.19%-4,278萬
-53.20%1,325.6萬
2,094.88%1.21億
1,184.00%5,359.3萬
2,266.76%2,366.1萬
184.91%1,577.5萬
非持續經營活動現金淨額
經營活動現金淨額
18.75%1.3億
10.37%6.84億
-5.88%2.21億
54.73%2.05億
-0.90%1.48億
6.58%1.09億
-18.55%6.2億
2.40%2.35億
-24.01%1.33億
-19.89%1.49億
投資活動現金流量
持續投資活動現金淨額
49.12%-8,579.2萬
7.36%-5.63億
-637.08%-2.38億
13.70%-7,955.7萬
83.42%-7,660.9萬
-72.05%-1.69億
57.72%-6.08億
376.88%4,438.3萬
74.04%-9,218.6萬
51.57%-4.62億
資本性支出
25.95%-7,914.4萬
1.91%-3.19億
12.02%-7,832.3萬
8.90%-6,594.7萬
18.67%-6,738.3萬
-32.82%-1.07億
-41.95%-3.25億
9.87%-8,902.4萬
-30.35%-7,239.3萬
-78.44%-8,285.2萬
業務交易的淨現金流
--0
-62.16%-1.95億
-188.57%-1.45億
--0
--0
---5,016.6萬
89.74%-1.2億
34.17%1.63億
--0
68.73%-2.83億
投資產品交易的淨現金流
40.05%-636.5萬
69.07%-4,754.8萬
44.74%-1,517.9萬
28.37%-1,262.3萬
90.45%-912.9萬
18.90%-1,061.7萬
-293.93%-1.54億
-110.95%-2,746.6萬
-121.91%-1,762.2萬
-6,219.18%-9,554.6萬
其他投資活動的淨現金流
70.52%-28.3萬
75.46%-229.4萬
89.59%-25萬
54.54%-98.7萬
70.06%-9.7萬
78.43%-96萬
-3,640.53%-934.7萬
-307.12%-240.2萬
-14,573.33%-217.1萬
-658.62%-32.4萬
非持續投資活動現金淨額
投資活動現金淨額
49.12%-8,579.2萬
7.36%-5.63億
-637.08%-2.38億
13.70%-7,955.7萬
83.42%-7,660.9萬
-72.05%-1.69億
57.72%-6.08億
376.88%4,438.3萬
74.04%-9,218.6萬
51.57%-4.62億
融資活動現金流量
持續融資活動現金淨額
-27.32%1,834.6萬
-101.71%-8,552.1萬
149.63%1.24億
-215.67%-1.63億
-126.33%-7,146.4萬
290.02%2,524.1萬
-106.30%-4,239.7萬
-13.69%-2.49億
-128.84%-5,159.4萬
-47.59%2.71億
債務發行/償還的淨現金流
-76.12%840萬
-480.53%-7,532.3萬
148.16%1.23億
-225.43%-1.63億
-122.68%-7,042.5萬
156.02%3,517.2萬
-97.05%1,979.4萬
1.86%-2.54億
-129.20%-4,997.1萬
-40.10%3.11億
普通股發行/償還的淨現金流
50.82%-935.1萬
37.50%-2,415.5萬
12.58%-13.9萬
-58.33%-3.8萬
-11.00%-496.6萬
44.07%-1,901.2萬
5.05%-3,865.1萬
40.45%-15.9萬
83.22%-2.4萬
-4.80%-447.4萬
職工行使股票期權收到的現金
82.37%2,150.5萬
1.94%2,559.7萬
-19.74%593.9萬
84.15%393.9萬
16.46%392.7萬
-3.34%1,179.2萬
-45.00%2,511萬
216.51%740萬
-73.32%213.9萬
-78.50%337.2萬
其他融資活動的淨現金流額
18.55%-220.8萬
76.07%-1,164萬
-179.28%-478.4萬
-10.89%-414.5萬
--0
48.12%-271.1萬
-1,989.78%-4,865萬
-104.48%-171.3萬
-4,297.65%-373.8萬
-221.37%-3,797.3萬
非持續融資活動現金淨額
融資活動現金淨額
-27.32%1,834.6萬
-101.71%-8,552.1萬
149.63%1.24億
-215.67%-1.63億
-126.33%-7,146.4萬
290.02%2,524.1萬
-106.30%-4,239.7萬
-13.69%-2.49億
-128.84%-5,159.4萬
-47.59%2.71億
現金淨流量
期初現金流
17.94%2.84億
-2.07%2.41億
-15.58%1.66億
0.76%2.09億
-14.18%2.09億
-2.07%2.41億
5.66%2.46億
-13.39%1.96億
-8.92%2.07億
-48.33%2.43億
當期現金流變化
283.69%6,244.2萬
214.81%3,522.2萬
251.64%1.06億
-236.09%-3,697.3萬
100.12%4.9萬
-292.63%-3,399.4萬
-576.49%-3,067.9萬
54.06%3,018.4萬
-667.69%-1,100.1萬
83.50%-4,120.4萬
利率變動影響
-601.92%-838.7萬
-68.55%804.4萬
-14.33%1,272.4萬
-20,526.67%-618.8萬
-103.25%-16.3萬
-70.89%167.1萬
44.27%2,557.9萬
6,776.39%1,485.3萬
-106.70%-3萬
-17.95%501.6萬
期末現金流
62.06%3.39億
17.94%2.84億
17.94%2.84億
-15.58%1.66億
0.76%2.09億
-14.18%2.09億
-2.07%2.41億
-2.07%2.41億
-13.39%1.96億
-8.92%2.07億
自由現金流
1,923.29%5,074.4萬
23.89%3.65億
-2.14%1.43億
131.02%1.4億
21.19%8,073.9萬
-88.69%250.8萬
-44.57%2.95億
11.69%1.46億
-49.33%6,038.6萬
-52.47%6,662.2萬
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
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
--
--
--
(Q1)2024/03/30(FY)2023/12/30(Q4)2023/12/30(Q3)2023/09/30(Q2)2023/07/01(Q1)2023/04/01(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/24(Q2)2022/06/25
經營活動現金流量(間接法)
持續經營活動現金淨額 18.75%1.3億10.37%6.84億-5.88%2.21億54.73%2.05億-0.90%1.48億6.58%1.09億-18.55%6.2億2.40%2.35億-24.01%1.33億-19.89%1.49億
持續經營淨收入 -28.35%7,448.2萬-2.48%4.8億-0.08%1.89億-9.83%8,802.1萬-10.14%9,944.3萬9.17%1.04億23.51%4.93億35.24%1.89億-7.18%9,761.2萬23.07%1.11億
持續經營損益 -279.16%-588萬-0.42%-9,289.9萬8.23%-1.06億414.16%747.7萬-78.82%245.7萬-76.39%328.2萬-361.64%-9,251.2萬-961.74%-1.16億-120.95%-238萬232.77%1,159.9萬
折舊和攤銷 10.75%8,535.7萬3.37%3.14億3.83%8,051.4萬5.72%7,887萬1.64%7,767.1萬2.35%7,706.9萬14.43%3.04億15.32%7,754.5萬8.62%7,460.5萬12.21%7,642.1萬
遞延稅費 91.48%-98.7萬-41.85%-5,090.3萬-136.92%-2,265.2萬-0.49%-1,169.6萬30.19%-497.1萬-53.17%-1,158.4萬-49.48%-3,588.4萬6.71%-956.1萬48.61%-1,163.9萬-139.53%-712.1萬
其他非現金項目 38.05%199.9萬-81.07%340.2萬-737.71%-1,160萬-147.24%-852.9萬570.95%2,208.3萬-48.08%144.8萬156.63%1,797.3萬108.16%181.9萬301.56%1,805.4萬-382.90%-468.9萬
營運資金變化 47.69%-4,809.2萬32.89%-1.02億-32.52%3,838.9萬103.53%230.8萬2.29%-5,113.3萬-0.33%-9,194.4萬-455.26%-1.53億29.12%5,689.1萬-7,174.67%-6,547.2萬-1,744.05%-5,233萬
-應收款項(增)減 48.92%-1,728.1萬77.80%-3,343.4萬8.68%2,564.7萬80.84%-1,083.2萬75.85%-1,441.8萬41.61%-3,383.1萬-465.35%-1.51億163.41%2,359.9萬-86.14%-5,652.7萬-451.65%-5,970萬
-存貨(增)減 165.21%560萬20.66%-6,230.1萬-711.38%-1,817.5萬8.78%-1,145.5萬40.62%-2,408.4萬62.93%-858.7萬-212.11%-7,852.3萬88.52%-224萬-955.45%-1,255.8萬-1,043.94%-4,056.1萬
-應付款項及應計費用(減)增 53.03%-2,948.6萬82.19%-798萬45.26%-988.7萬272.29%3,454萬-6.24%3,014.9萬-61.55%-6,278.2萬-150.24%-4,481.6萬-130.32%-1,806.1萬-168.91%-2,004.8萬13.68%3,215.6萬
-其他營運資本變化 -152.24%-692.5萬-98.90%133.5萬-23.86%4,080.4萬-142.03%-994.5萬-371.19%-4,278萬-53.20%1,325.6萬2,094.88%1.21億1,184.00%5,359.3萬2,266.76%2,366.1萬184.91%1,577.5萬
非持續經營活動現金淨額
經營活動現金淨額 18.75%1.3億10.37%6.84億-5.88%2.21億54.73%2.05億-0.90%1.48億6.58%1.09億-18.55%6.2億2.40%2.35億-24.01%1.33億-19.89%1.49億
投資活動現金流量
持續投資活動現金淨額 49.12%-8,579.2萬7.36%-5.63億-637.08%-2.38億13.70%-7,955.7萬83.42%-7,660.9萬-72.05%-1.69億57.72%-6.08億376.88%4,438.3萬74.04%-9,218.6萬51.57%-4.62億
資本性支出 25.95%-7,914.4萬1.91%-3.19億12.02%-7,832.3萬8.90%-6,594.7萬18.67%-6,738.3萬-32.82%-1.07億-41.95%-3.25億9.87%-8,902.4萬-30.35%-7,239.3萬-78.44%-8,285.2萬
業務交易的淨現金流 --0-62.16%-1.95億-188.57%-1.45億--0--0---5,016.6萬89.74%-1.2億34.17%1.63億--068.73%-2.83億
投資產品交易的淨現金流 40.05%-636.5萬69.07%-4,754.8萬44.74%-1,517.9萬28.37%-1,262.3萬90.45%-912.9萬18.90%-1,061.7萬-293.93%-1.54億-110.95%-2,746.6萬-121.91%-1,762.2萬-6,219.18%-9,554.6萬
其他投資活動的淨現金流 70.52%-28.3萬75.46%-229.4萬89.59%-25萬54.54%-98.7萬70.06%-9.7萬78.43%-96萬-3,640.53%-934.7萬-307.12%-240.2萬-14,573.33%-217.1萬-658.62%-32.4萬
非持續投資活動現金淨額
投資活動現金淨額 49.12%-8,579.2萬7.36%-5.63億-637.08%-2.38億13.70%-7,955.7萬83.42%-7,660.9萬-72.05%-1.69億57.72%-6.08億376.88%4,438.3萬74.04%-9,218.6萬51.57%-4.62億
融資活動現金流量
持續融資活動現金淨額 -27.32%1,834.6萬-101.71%-8,552.1萬149.63%1.24億-215.67%-1.63億-126.33%-7,146.4萬290.02%2,524.1萬-106.30%-4,239.7萬-13.69%-2.49億-128.84%-5,159.4萬-47.59%2.71億
債務發行/償還的淨現金流 -76.12%840萬-480.53%-7,532.3萬148.16%1.23億-225.43%-1.63億-122.68%-7,042.5萬156.02%3,517.2萬-97.05%1,979.4萬1.86%-2.54億-129.20%-4,997.1萬-40.10%3.11億
普通股發行/償還的淨現金流 50.82%-935.1萬37.50%-2,415.5萬12.58%-13.9萬-58.33%-3.8萬-11.00%-496.6萬44.07%-1,901.2萬5.05%-3,865.1萬40.45%-15.9萬83.22%-2.4萬-4.80%-447.4萬
職工行使股票期權收到的現金 82.37%2,150.5萬1.94%2,559.7萬-19.74%593.9萬84.15%393.9萬16.46%392.7萬-3.34%1,179.2萬-45.00%2,511萬216.51%740萬-73.32%213.9萬-78.50%337.2萬
其他融資活動的淨現金流額 18.55%-220.8萬76.07%-1,164萬-179.28%-478.4萬-10.89%-414.5萬--048.12%-271.1萬-1,989.78%-4,865萬-104.48%-171.3萬-4,297.65%-373.8萬-221.37%-3,797.3萬
非持續融資活動現金淨額
融資活動現金淨額 -27.32%1,834.6萬-101.71%-8,552.1萬149.63%1.24億-215.67%-1.63億-126.33%-7,146.4萬290.02%2,524.1萬-106.30%-4,239.7萬-13.69%-2.49億-128.84%-5,159.4萬-47.59%2.71億
現金淨流量
期初現金流 17.94%2.84億-2.07%2.41億-15.58%1.66億0.76%2.09億-14.18%2.09億-2.07%2.41億5.66%2.46億-13.39%1.96億-8.92%2.07億-48.33%2.43億
當期現金流變化 283.69%6,244.2萬214.81%3,522.2萬251.64%1.06億-236.09%-3,697.3萬100.12%4.9萬-292.63%-3,399.4萬-576.49%-3,067.9萬54.06%3,018.4萬-667.69%-1,100.1萬83.50%-4,120.4萬
利率變動影響 -601.92%-838.7萬-68.55%804.4萬-14.33%1,272.4萬-20,526.67%-618.8萬-103.25%-16.3萬-70.89%167.1萬44.27%2,557.9萬6,776.39%1,485.3萬-106.70%-3萬-17.95%501.6萬
期末現金流 62.06%3.39億17.94%2.84億17.94%2.84億-15.58%1.66億0.76%2.09億-14.18%2.09億-2.07%2.41億-2.07%2.41億-13.39%1.96億-8.92%2.07億
自由現金流 1,923.29%5,074.4萬23.89%3.65億-2.14%1.43億131.02%1.4億21.19%8,073.9萬-88.69%250.8萬-44.57%2.95億11.69%1.46億-49.33%6,038.6萬-52.47%6,662.2萬
貨幣單位 美元美元美元美元美元美元美元美元美元美元
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 ------------無保留意見------

分析

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