美股市場個股詳情

CorMedix (CRMD)

添加自選
  • 7.360
  • -0.080-1.08%
交易中 01/23 12:24 (美東)
5.80億總市值3.33市盈率TTM

CorMedix (CRMD) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 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
經營活動現金流量(間接法)
持續經營活動現金淨額
326.06%3,085.65萬
313.62%2,999.18萬
214.02%1,973.65萬
-31.78%-5,061.47萬
47.75%-561.45萬
-56.94%-1,364.99萬
-63.78%-1,403.99萬
-66.54%-1,731.03萬
-57.70%-3,840.95萬
-74.59%-1,074.57萬
持續經營淨收入
4,009.63%1.09億
240.11%1,982.8萬
242.71%2,064.39萬
61.31%-1,793萬
191.26%1,346.44萬
71.50%-277.68萬
-25.53%-1,415.15萬
-36.90%-1,446.61萬
-56.02%-4,633.92萬
-79.73%-1,475.4萬
折舊和攤銷
4,796.74%379.05萬
111.96%16.29萬
641.97%16.19萬
337.82%30.98萬
615.99%13.37萬
335.05%7.74萬
341.06%7.69萬
29.43%2.18萬
-16.38%7.08萬
-17.08%1.87萬
其他非現金項目
7,583.94%286.66萬
9.64%4萬
9.59%3.91萬
9.48%14.76萬
9.55%3.82萬
9.50%3.73萬
9.45%3.65萬
9.40%3.56萬
8.35%13.48萬
9.34%3.48萬
營運資金變化
-109.99%-2,565.13萬
676.07%729.08萬
13.66%-461.58萬
-1,866.85%-3,940.84萬
-851.83%-2,058.17萬
-156,265.66%-1,221.53萬
-179.44%-126.56萬
-155.48%-534.58萬
109.15%223.04萬
143.19%273.76萬
-應收款項(增)減
-407.94%-8,727.02萬
5,773.49%1,170.65萬
---296.46萬
---5,179.06萬
---3,440.31萬
---1,718.11萬
---20.63萬
--0
--0
--0
-存貨(增)減
75.63%-64.3萬
-26.94%-214.67萬
152.24%11.18萬
-160.79%-549.32萬
54.90%-95萬
---263.79萬
---169.12萬
---21.41萬
-70,124.77%-210.63萬
-783,127.88%-210.63萬
-預付費用(增)減
297.52%110.84萬
151.02%46.13萬
-84.84%-226.7萬
-299.22%-239.92萬
-147.40%-54.75萬
209.81%27.88萬
16.49%-90.41萬
-192.31%-122.65萬
-420.98%-60.1萬
1,463.83%115.51萬
-應付款項及應計費用(減)增
731.61%6,123.01萬
-270.93%-268.89萬
114.07%54.44萬
302.66%2,042.52萬
312.41%1,535.84萬
2,529.37%736.28萬
-41.93%157.31萬
-135.85%-386.91萬
430.94%507.26萬
199.82%372.41萬
-其他流動負債變化
-102.25%-7.67萬
-11.54%-4.13萬
-11.54%-4.04萬
-11.73%-15.06萬
-11.58%-3.94萬
-11.79%-3.79萬
-11.79%-3.71萬
-11.79%-3.62萬
-11.07%-13.48萬
-11.84%-3.53萬
非持續經營活動現金淨額
經營活動現金淨額
326.06%3,085.65萬
313.62%2,999.18萬
214.02%1,973.65萬
-31.78%-5,061.47萬
47.75%-561.45萬
-56.94%-1,364.99萬
-63.78%-1,403.99萬
-66.54%-1,731.03萬
-57.70%-3,840.95萬
-74.59%-1,074.57萬
投資活動現金流量
持續投資活動現金淨額
-4,708.50%-2.91億
-422.43%-2,021.18萬
-102.18%-19.48萬
224.44%2,123.07萬
-150.88%-30.42萬
1,177.14%632.14萬
362.74%626.86萬
160.90%894.49萬
-359.96%-1,706.17萬
32,222.08%59.78萬
固定資產交易的淨現金流
-5,078.93%-50.58萬
31.17%-2.39萬
83.40%-1.02萬
64.64%-11.57萬
96.67%-9,869
4.68%-9,766
-447.17%-3.48萬
-315.18%-6.13萬
-49.21%-32.73萬
-129.84%-29.59萬
投資產品交易的淨現金流
203.06%1,918.73萬
-420.27%-2,018.78萬
-102.05%-18.46萬
227.56%2,134.64萬
-132.93%-29.43萬
1,197.97%633.11萬
364.91%630.34萬
161.38%900.62萬
-379.49%-1,673.44萬
604.31%89.37萬
非持續投資活動現金淨額
投資活動現金淨額
-4,708.50%-2.91億
-422.43%-2,021.18萬
-102.18%-19.48萬
224.44%2,123.07萬
-150.88%-30.42萬
1,177.14%632.14萬
362.74%626.86萬
160.90%894.49萬
-359.96%-1,706.17萬
32,222.08%59.78萬
融資活動現金流量
持續融資活動現金淨額
969.55%1.51億
7,778.42%8,324.22萬
6,373.74%609.29萬
-52.93%2,631.86萬
2,313.10%1,128.48萬
-67.19%1,407.43萬
-80.25%105.66萬
-101.35%-9.71萬
212.42%5,591.68萬
-92.26%46.77萬
普通股發行/償還的淨現金流
-99.97%3,891
8,058.35%8,236.67萬
--676.16萬
-66.18%1,888.16萬
1,168.84%550.55萬
-71.16%1,236.65萬
-81.00%100.96萬
--0
214.17%5,582.75萬
-92.82%43.39萬
職工行使股票期權收到的現金
-22.55%132.27萬
502.19%112.3萬
--35.04萬
2,585.30%772.66萬
17,181.02%583.23萬
8,383.03%170.78萬
--18.65萬
--0
123.70%28.77萬
--3.38萬
其他融資活動的淨現金流額
---79.57萬
-77.41%-24.75萬
-949.23%-101.9萬
-45.95%-28.96萬
-5,300,600.00%-5.3萬
--0
---13.95萬
---9.71萬
---19.84萬
---1
非持續融資活動現金淨額
融資活動現金淨額
969.55%1.51億
7,778.42%8,324.22萬
6,373.74%609.29萬
-52.93%2,631.86萬
2,313.10%1,128.48萬
-67.19%1,407.43萬
-80.25%105.66萬
-101.35%-9.71萬
212.42%5,591.68萬
-92.26%46.77萬
現金淨流量
期初現金流
456.51%1.59億
87.76%6,639.1萬
-7.00%4,075.61萬
1.03%4,382.32萬
-33.85%3,539.12萬
44.02%2,864.51萬
38.68%3,535.99萬
1.03%4,382.32萬
-19.00%4,337.47萬
23.08%5,350.1萬
當期現金流變化
-1,729.66%-1.1億
1,485.34%9,302.22萬
402.92%2,563.46萬
-787.85%-306.53萬
155.43%536.61萬
-79.93%674.57萬
-19.73%-671.48萬
52.67%-846.25萬
104.38%44.56萬
-8,611.45%-968.03萬
利率變動影響
-33.49%276
1,040.91%828
128.45%229
-160.86%-1,709
-150.80%-1,231
119.34%415
-135.63%-88
-135.25%-805
132.36%2,808
-84.65%2,423
期末現金流
39.81%4,948.13萬
456.51%1.59億
87.76%6,639.1萬
-7.00%4,075.61萬
-7.00%4,075.61萬
-33.85%3,539.12萬
44.02%2,864.51萬
38.68%3,535.99萬
1.03%4,382.32萬
1.03%4,382.32萬
自由現金流
322.19%3,035.07萬
312.92%2,996.79萬
213.56%1,972.63萬
-30.96%-5,073.04萬
49.06%-562.44萬
-56.87%-1,365.97萬
-64.06%-1,407.47萬
-66.90%-1,737.16萬
-57.62%-3,873.68萬
-75.72%-1,104.16萬
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
--
--
--
--
無保留意見
--
(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
經營活動現金流量(間接法)
持續經營活動現金淨額 326.06%3,085.65萬313.62%2,999.18萬214.02%1,973.65萬-31.78%-5,061.47萬47.75%-561.45萬-56.94%-1,364.99萬-63.78%-1,403.99萬-66.54%-1,731.03萬-57.70%-3,840.95萬-74.59%-1,074.57萬
持續經營淨收入 4,009.63%1.09億240.11%1,982.8萬242.71%2,064.39萬61.31%-1,793萬191.26%1,346.44萬71.50%-277.68萬-25.53%-1,415.15萬-36.90%-1,446.61萬-56.02%-4,633.92萬-79.73%-1,475.4萬
折舊和攤銷 4,796.74%379.05萬111.96%16.29萬641.97%16.19萬337.82%30.98萬615.99%13.37萬335.05%7.74萬341.06%7.69萬29.43%2.18萬-16.38%7.08萬-17.08%1.87萬
其他非現金項目 7,583.94%286.66萬9.64%4萬9.59%3.91萬9.48%14.76萬9.55%3.82萬9.50%3.73萬9.45%3.65萬9.40%3.56萬8.35%13.48萬9.34%3.48萬
營運資金變化 -109.99%-2,565.13萬676.07%729.08萬13.66%-461.58萬-1,866.85%-3,940.84萬-851.83%-2,058.17萬-156,265.66%-1,221.53萬-179.44%-126.56萬-155.48%-534.58萬109.15%223.04萬143.19%273.76萬
-應收款項(增)減 -407.94%-8,727.02萬5,773.49%1,170.65萬---296.46萬---5,179.06萬---3,440.31萬---1,718.11萬---20.63萬--0--0--0
-存貨(增)減 75.63%-64.3萬-26.94%-214.67萬152.24%11.18萬-160.79%-549.32萬54.90%-95萬---263.79萬---169.12萬---21.41萬-70,124.77%-210.63萬-783,127.88%-210.63萬
-預付費用(增)減 297.52%110.84萬151.02%46.13萬-84.84%-226.7萬-299.22%-239.92萬-147.40%-54.75萬209.81%27.88萬16.49%-90.41萬-192.31%-122.65萬-420.98%-60.1萬1,463.83%115.51萬
-應付款項及應計費用(減)增 731.61%6,123.01萬-270.93%-268.89萬114.07%54.44萬302.66%2,042.52萬312.41%1,535.84萬2,529.37%736.28萬-41.93%157.31萬-135.85%-386.91萬430.94%507.26萬199.82%372.41萬
-其他流動負債變化 -102.25%-7.67萬-11.54%-4.13萬-11.54%-4.04萬-11.73%-15.06萬-11.58%-3.94萬-11.79%-3.79萬-11.79%-3.71萬-11.79%-3.62萬-11.07%-13.48萬-11.84%-3.53萬
非持續經營活動現金淨額
經營活動現金淨額 326.06%3,085.65萬313.62%2,999.18萬214.02%1,973.65萬-31.78%-5,061.47萬47.75%-561.45萬-56.94%-1,364.99萬-63.78%-1,403.99萬-66.54%-1,731.03萬-57.70%-3,840.95萬-74.59%-1,074.57萬
投資活動現金流量
持續投資活動現金淨額 -4,708.50%-2.91億-422.43%-2,021.18萬-102.18%-19.48萬224.44%2,123.07萬-150.88%-30.42萬1,177.14%632.14萬362.74%626.86萬160.90%894.49萬-359.96%-1,706.17萬32,222.08%59.78萬
固定資產交易的淨現金流 -5,078.93%-50.58萬31.17%-2.39萬83.40%-1.02萬64.64%-11.57萬96.67%-9,8694.68%-9,766-447.17%-3.48萬-315.18%-6.13萬-49.21%-32.73萬-129.84%-29.59萬
投資產品交易的淨現金流 203.06%1,918.73萬-420.27%-2,018.78萬-102.05%-18.46萬227.56%2,134.64萬-132.93%-29.43萬1,197.97%633.11萬364.91%630.34萬161.38%900.62萬-379.49%-1,673.44萬604.31%89.37萬
非持續投資活動現金淨額
投資活動現金淨額 -4,708.50%-2.91億-422.43%-2,021.18萬-102.18%-19.48萬224.44%2,123.07萬-150.88%-30.42萬1,177.14%632.14萬362.74%626.86萬160.90%894.49萬-359.96%-1,706.17萬32,222.08%59.78萬
融資活動現金流量
持續融資活動現金淨額 969.55%1.51億7,778.42%8,324.22萬6,373.74%609.29萬-52.93%2,631.86萬2,313.10%1,128.48萬-67.19%1,407.43萬-80.25%105.66萬-101.35%-9.71萬212.42%5,591.68萬-92.26%46.77萬
普通股發行/償還的淨現金流 -99.97%3,8918,058.35%8,236.67萬--676.16萬-66.18%1,888.16萬1,168.84%550.55萬-71.16%1,236.65萬-81.00%100.96萬--0214.17%5,582.75萬-92.82%43.39萬
職工行使股票期權收到的現金 -22.55%132.27萬502.19%112.3萬--35.04萬2,585.30%772.66萬17,181.02%583.23萬8,383.03%170.78萬--18.65萬--0123.70%28.77萬--3.38萬
其他融資活動的淨現金流額 ---79.57萬-77.41%-24.75萬-949.23%-101.9萬-45.95%-28.96萬-5,300,600.00%-5.3萬--0---13.95萬---9.71萬---19.84萬---1
非持續融資活動現金淨額
融資活動現金淨額 969.55%1.51億7,778.42%8,324.22萬6,373.74%609.29萬-52.93%2,631.86萬2,313.10%1,128.48萬-67.19%1,407.43萬-80.25%105.66萬-101.35%-9.71萬212.42%5,591.68萬-92.26%46.77萬
現金淨流量
期初現金流 456.51%1.59億87.76%6,639.1萬-7.00%4,075.61萬1.03%4,382.32萬-33.85%3,539.12萬44.02%2,864.51萬38.68%3,535.99萬1.03%4,382.32萬-19.00%4,337.47萬23.08%5,350.1萬
當期現金流變化 -1,729.66%-1.1億1,485.34%9,302.22萬402.92%2,563.46萬-787.85%-306.53萬155.43%536.61萬-79.93%674.57萬-19.73%-671.48萬52.67%-846.25萬104.38%44.56萬-8,611.45%-968.03萬
利率變動影響 -33.49%2761,040.91%828128.45%229-160.86%-1,709-150.80%-1,231119.34%415-135.63%-88-135.25%-805132.36%2,808-84.65%2,423
期末現金流 39.81%4,948.13萬456.51%1.59億87.76%6,639.1萬-7.00%4,075.61萬-7.00%4,075.61萬-33.85%3,539.12萬44.02%2,864.51萬38.68%3,535.99萬1.03%4,382.32萬1.03%4,382.32萬
自由現金流 322.19%3,035.07萬312.92%2,996.79萬213.56%1,972.63萬-30.96%-5,073.04萬49.06%-562.44萬-56.87%-1,365.97萬-64.06%-1,407.47萬-66.90%-1,737.16萬-57.62%-3,873.68萬-75.72%-1,104.16萬
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