加拿大市場個股詳情

Mullen Group Ltd (MTL)

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  • 16.750
  • +0.060+0.36%
延時15分鐘行情交易中 01/23 14:07 (美東)
14.57億總市值15.80市盈率TTM

Mullen Group Ltd (MTL) 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
55.13%1.03億
-2.58%7,779.1萬
3.29%3,990.6萬
7.00%2.96億
6.15%1.11億
33.73%6,621.6萬
-9.31%7,984.8萬
12.90%3,863.4萬
5.24%2.77億
4.52%1.05億
持續經營淨收入
-13.41%3,320.8萬
-22.19%2,556.9萬
-20.21%1,772.7萬
-17.89%1.12億
-35.99%1,882.9萬
-1.89%3,835.2萬
-9.95%3,286.2萬
-29.95%2,221.8萬
-13.81%1.37億
-52.17%2,941.6萬
持續經營損益
162.35%226.7萬
-2,141.58%-1,051.3萬
-395.74%-244.4萬
262.65%1,266.7萬
494.27%1,726.5萬
-17,414.29%-363.6萬
67.54%-46.9萬
75.16%-49.3萬
-167.99%-778.8萬
-87.38%-437.9萬
折舊攤銷及損耗
9.12%3,815萬
9.42%3,548.7萬
21.62%3,412.4萬
12.96%1.31億
18.00%3,545.2萬
20.55%3,496.2萬
12.39%3,243.2萬
0.25%2,805.7萬
3.00%1.16億
5.06%3,004.3萬
投資證券未實現損益
-4,210.00%-43.1萬
115.63%1.5萬
130.00%5.1萬
-117.74%-67.5萬
---39.9萬
---1萬
---9.6萬
-155.02%-17萬
---31萬
----
以股票支付的報酬
59.28%35.2萬
26.72%29.4萬
40.43%26.4萬
-13.28%91.4萬
-6.51%27.3萬
-21.07%22.1萬
-5.31%23.2萬
-20.68%18.8萬
41.86%105.4萬
51.30%29.2萬
遞延稅費
-8.59%1,115.7萬
-43.04%621.8萬
-8.64%696.8萬
-10.59%4,150.5萬
-12.38%1,075.6萬
2.43%1,220.5萬
-5.53%1,091.7萬
-28.54%762.7萬
-11.18%4,642.1萬
-18.77%1,227.6萬
其他非現金項目
29.78%1,583.3萬
24.43%1,267.8萬
25.52%1,146.1萬
13.84%4,220.9萬
-11.38%1,068.9萬
40.98%1,220萬
26.34%1,018.9萬
10.04%913.1萬
963.89%3,707.8萬
147.28%1,206.1萬
營運資金變化
191.36%1,347.2萬
462.55%1,806.9萬
12.57%-1,336.4萬
-87.52%173.7萬
-16.14%2,855.7萬
47.87%-1,474.6萬
-81.10%321.2萬
-72.84%-1,528.6萬
148.23%1,391.6萬
9.18%3,405.5萬
已支付退稅
15.32%-1,129萬
-6.31%-1,002.6萬
-17.75%-1,488.1萬
31.45%-4,540.4萬
-17.83%-1,000.3萬
-19.44%-1,333.2萬
24.00%-943.1萬
63.02%-1,263.8萬
-67.78%-6,623.2萬
-1.99%-848.9萬
非持續經營活動現金淨額
經營活動現金淨額
55.13%1.03億
-2.58%7,779.1萬
3.29%3,990.6萬
7.00%2.96億
6.15%1.11億
33.73%6,621.6萬
-9.31%7,984.8萬
12.90%3,863.4萬
5.24%2.77億
4.52%1.05億
投資活動現金流量
持續投資活動現金淨額
-987.60%-3,201.9萬
-317.04%-1.83億
55.25%-873.1萬
-1.83%-1.12億
-91.89%-4,565.5萬
85.67%-294.4萬
-6.88%-4,379.6萬
20.63%-1,950.9萬
-197.07%-1.1億
-248.90%-2,379.2萬
固定資產交易淨額
-208.21%-2,522.7萬
-10.99%-1,634.7萬
50.55%-868.4萬
36.56%-5,634.6萬
35.99%-1,587.1萬
60.65%-818.5萬
29.49%-1,472.9萬
21.37%-1,756.1萬
-170.72%-8,881.3萬
-805.95%-2,479.3萬
無形資產交易淨額
----
----
----
---5萬
--0
----
----
----
--0
--0
業務交易淨額
-1,027.42%-1,275.2萬
-452.61%-1.67億
---164.1萬
-130.45%-5,905.9萬
-841.47%-3,019.3萬
204.88%137.5萬
-45.00%-3,024.1萬
--0
-182.46%-2,562.8萬
-125.94%-320.7萬
投資產品交易淨額
418.79%77.3萬
----
----
-74.08%53.4萬
-84.88%28.9萬
238.64%14.9萬
----
----
707.84%206萬
3,032.79%191.1萬
已收到的股息(投資活動產生的現金流)
--0
--0
--30萬
-60.87%45萬
-43.75%45萬
--0
--0
--0
134.69%115萬
384.85%80萬
已收到的利息(投資活動產生的現金流)
-29.43%181萬
578.68%175.1萬
496.80%149.2萬
671.91%612.9萬
1,162.81%305.6萬
1,250.00%256.5萬
35.79%25.8萬
45.35%25萬
101.01%79.4萬
86.15%24.2萬
其他投資活動淨額
180.95%337.7萬
-289.76%-155.6萬
90.99%-19.8萬
-755.99%-356.2萬
-369.80%-338.6萬
376.96%120.2萬
73.00%82萬
-192.29%-219.8萬
-85.50%54.3萬
602.00%125.5萬
非持續投資活動現金淨額
投資活動現金淨額
-987.60%-3,201.9萬
-317.04%-1.83億
55.25%-873.1萬
-1.83%-1.12億
-91.89%-4,565.5萬
85.67%-294.4萬
-6.88%-4,379.6萬
20.63%-1,950.9萬
-197.07%-1.1億
-248.90%-2,379.2萬
融資活動現金流量
持續融資活動現金淨額
-133.77%-9,308.6萬
423.84%1.42億
-207.10%-2,642萬
70.35%-5,160.6萬
-209.10%-2.75億
1,082.23%2.76億
7.35%-4,383.3萬
11.98%-860.3萬
19.10%-1.74億
23.92%-8,890.2萬
債務發行/償還的淨額
-122.17%-6,543.1萬
2,684.72%1.88億
-150.65%-453.3萬
3,796.55%6,646.4萬
-370.88%-2.3億
3,486.98%2.95億
-143.47%-727.8萬
-77.10%895萬
98.17%-179.8萬
40.54%-4,890.5萬
普通股發行/回購的淨額
-154.77%-464.7萬
32.25%-246.6萬
-589.09%-265.3萬
92.28%-555.9萬
103.90%29萬
-17.37%-182.4萬
88.42%-364萬
98.78%-38.5萬
-214.33%-7,204.8萬
-260.01%-742.7萬
已支付現金股息
-9.90%-1,831.3萬
-15.82%-1,834.6萬
-16.13%-1,840.6萬
-3.07%-6,675.9萬
-15.63%-1,840.6萬
-4.33%-1,666.4萬
2.24%-1,584萬
4.98%-1,584.9萬
-5.21%-6,477.3萬
4.75%-1,591.8萬
已付利息(籌資活動產生的現金流)
-147.40%-517.8萬
-48.73%-2,425.5萬
14.87%-184.3萬
-29.24%-4,571.5萬
-58.99%-2,514.9萬
21.14%-209.3萬
-4.63%-1,630.8萬
-64.64%-216.5萬
-7.98%-3,537.3萬
-5.62%-1,581.8萬
其他融資活動的淨現金流額
-57.26%48.3萬
-43.68%-110.2萬
19.98%101.5萬
31.48%-3.7萬
-49.40%-124.6萬
35.82%113萬
8.36%-76.7萬
7.77%84.6萬
-136.49%-5.4萬
2.23%-83.4萬
非持續融資活動現金淨額
融資活動現金淨額
-133.77%-9,308.6萬
423.84%1.42億
-207.10%-2,642萬
70.35%-5,160.6萬
-209.10%-2.75億
1,082.23%2.76億
7.35%-4,383.3萬
11.98%-860.3萬
19.10%-1.74億
23.92%-8,890.2萬
現金淨流量
期初現金流
4,343.39%1.77億
984.60%1.31億
5,402.66%1.26億
-73.79%229.5萬
3,563.54%3.44億
-56.47%397.6萬
39.74%1,209.2萬
-73.79%229.5萬
--875.7萬
7.74%940.1萬
當期現金流變化
-106.61%-2,238.7萬
576.69%3,709.1萬
-54.81%475.5萬
1,943.56%1.33億
-2,604.48%-2.09億
37,223.24%3.39億
-3,142.08%-778.1萬
8,071.21%1,052.2萬
-166.36%-719.3萬
-1,644.70%-772.9萬
利率變動影響
-302.21%-311萬
2,615.82%842.8萬
115.03%10.9萬
-1,278.66%-861.6萬
-1,559.71%-909.4萬
340.31%153.8萬
-146.53%-33.5萬
-2,689.29%-72.5萬
135.09%73.1萬
31.43%62.3萬
期末現金流
-56.11%1.51億
4,343.39%1.77億
984.60%1.31億
5,402.66%1.26億
5,402.66%1.26億
3,563.54%3.44億
-56.47%397.6萬
39.74%1,209.2萬
-73.79%229.5萬
-73.79%229.5萬
自由現金流
36.25%7,437.6萬
-10.47%5,440.5萬
34.55%2,620.9萬
28.21%2.25億
15.39%8,972.3萬
112.21%5,458.6萬
-1.91%6,076.6萬
100.48%1,947.9萬
-3.53%1.75億
14.16%7,775.8萬
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
--
(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 55.13%1.03億-2.58%7,779.1萬3.29%3,990.6萬7.00%2.96億6.15%1.11億33.73%6,621.6萬-9.31%7,984.8萬12.90%3,863.4萬5.24%2.77億4.52%1.05億
持續經營淨收入 -13.41%3,320.8萬-22.19%2,556.9萬-20.21%1,772.7萬-17.89%1.12億-35.99%1,882.9萬-1.89%3,835.2萬-9.95%3,286.2萬-29.95%2,221.8萬-13.81%1.37億-52.17%2,941.6萬
持續經營損益 162.35%226.7萬-2,141.58%-1,051.3萬-395.74%-244.4萬262.65%1,266.7萬494.27%1,726.5萬-17,414.29%-363.6萬67.54%-46.9萬75.16%-49.3萬-167.99%-778.8萬-87.38%-437.9萬
折舊攤銷及損耗 9.12%3,815萬9.42%3,548.7萬21.62%3,412.4萬12.96%1.31億18.00%3,545.2萬20.55%3,496.2萬12.39%3,243.2萬0.25%2,805.7萬3.00%1.16億5.06%3,004.3萬
投資證券未實現損益 -4,210.00%-43.1萬115.63%1.5萬130.00%5.1萬-117.74%-67.5萬---39.9萬---1萬---9.6萬-155.02%-17萬---31萬----
以股票支付的報酬 59.28%35.2萬26.72%29.4萬40.43%26.4萬-13.28%91.4萬-6.51%27.3萬-21.07%22.1萬-5.31%23.2萬-20.68%18.8萬41.86%105.4萬51.30%29.2萬
遞延稅費 -8.59%1,115.7萬-43.04%621.8萬-8.64%696.8萬-10.59%4,150.5萬-12.38%1,075.6萬2.43%1,220.5萬-5.53%1,091.7萬-28.54%762.7萬-11.18%4,642.1萬-18.77%1,227.6萬
其他非現金項目 29.78%1,583.3萬24.43%1,267.8萬25.52%1,146.1萬13.84%4,220.9萬-11.38%1,068.9萬40.98%1,220萬26.34%1,018.9萬10.04%913.1萬963.89%3,707.8萬147.28%1,206.1萬
營運資金變化 191.36%1,347.2萬462.55%1,806.9萬12.57%-1,336.4萬-87.52%173.7萬-16.14%2,855.7萬47.87%-1,474.6萬-81.10%321.2萬-72.84%-1,528.6萬148.23%1,391.6萬9.18%3,405.5萬
已支付退稅 15.32%-1,129萬-6.31%-1,002.6萬-17.75%-1,488.1萬31.45%-4,540.4萬-17.83%-1,000.3萬-19.44%-1,333.2萬24.00%-943.1萬63.02%-1,263.8萬-67.78%-6,623.2萬-1.99%-848.9萬
非持續經營活動現金淨額
經營活動現金淨額 55.13%1.03億-2.58%7,779.1萬3.29%3,990.6萬7.00%2.96億6.15%1.11億33.73%6,621.6萬-9.31%7,984.8萬12.90%3,863.4萬5.24%2.77億4.52%1.05億
投資活動現金流量
持續投資活動現金淨額 -987.60%-3,201.9萬-317.04%-1.83億55.25%-873.1萬-1.83%-1.12億-91.89%-4,565.5萬85.67%-294.4萬-6.88%-4,379.6萬20.63%-1,950.9萬-197.07%-1.1億-248.90%-2,379.2萬
固定資產交易淨額 -208.21%-2,522.7萬-10.99%-1,634.7萬50.55%-868.4萬36.56%-5,634.6萬35.99%-1,587.1萬60.65%-818.5萬29.49%-1,472.9萬21.37%-1,756.1萬-170.72%-8,881.3萬-805.95%-2,479.3萬
無形資產交易淨額 ---------------5萬--0--------------0--0
業務交易淨額 -1,027.42%-1,275.2萬-452.61%-1.67億---164.1萬-130.45%-5,905.9萬-841.47%-3,019.3萬204.88%137.5萬-45.00%-3,024.1萬--0-182.46%-2,562.8萬-125.94%-320.7萬
投資產品交易淨額 418.79%77.3萬---------74.08%53.4萬-84.88%28.9萬238.64%14.9萬--------707.84%206萬3,032.79%191.1萬
已收到的股息(投資活動產生的現金流) --0--0--30萬-60.87%45萬-43.75%45萬--0--0--0134.69%115萬384.85%80萬
已收到的利息(投資活動產生的現金流) -29.43%181萬578.68%175.1萬496.80%149.2萬671.91%612.9萬1,162.81%305.6萬1,250.00%256.5萬35.79%25.8萬45.35%25萬101.01%79.4萬86.15%24.2萬
其他投資活動淨額 180.95%337.7萬-289.76%-155.6萬90.99%-19.8萬-755.99%-356.2萬-369.80%-338.6萬376.96%120.2萬73.00%82萬-192.29%-219.8萬-85.50%54.3萬602.00%125.5萬
非持續投資活動現金淨額
投資活動現金淨額 -987.60%-3,201.9萬-317.04%-1.83億55.25%-873.1萬-1.83%-1.12億-91.89%-4,565.5萬85.67%-294.4萬-6.88%-4,379.6萬20.63%-1,950.9萬-197.07%-1.1億-248.90%-2,379.2萬
融資活動現金流量
持續融資活動現金淨額 -133.77%-9,308.6萬423.84%1.42億-207.10%-2,642萬70.35%-5,160.6萬-209.10%-2.75億1,082.23%2.76億7.35%-4,383.3萬11.98%-860.3萬19.10%-1.74億23.92%-8,890.2萬
債務發行/償還的淨額 -122.17%-6,543.1萬2,684.72%1.88億-150.65%-453.3萬3,796.55%6,646.4萬-370.88%-2.3億3,486.98%2.95億-143.47%-727.8萬-77.10%895萬98.17%-179.8萬40.54%-4,890.5萬
普通股發行/回購的淨額 -154.77%-464.7萬32.25%-246.6萬-589.09%-265.3萬92.28%-555.9萬103.90%29萬-17.37%-182.4萬88.42%-364萬98.78%-38.5萬-214.33%-7,204.8萬-260.01%-742.7萬
已支付現金股息 -9.90%-1,831.3萬-15.82%-1,834.6萬-16.13%-1,840.6萬-3.07%-6,675.9萬-15.63%-1,840.6萬-4.33%-1,666.4萬2.24%-1,584萬4.98%-1,584.9萬-5.21%-6,477.3萬4.75%-1,591.8萬
已付利息(籌資活動產生的現金流) -147.40%-517.8萬-48.73%-2,425.5萬14.87%-184.3萬-29.24%-4,571.5萬-58.99%-2,514.9萬21.14%-209.3萬-4.63%-1,630.8萬-64.64%-216.5萬-7.98%-3,537.3萬-5.62%-1,581.8萬
其他融資活動的淨現金流額 -57.26%48.3萬-43.68%-110.2萬19.98%101.5萬31.48%-3.7萬-49.40%-124.6萬35.82%113萬8.36%-76.7萬7.77%84.6萬-136.49%-5.4萬2.23%-83.4萬
非持續融資活動現金淨額
融資活動現金淨額 -133.77%-9,308.6萬423.84%1.42億-207.10%-2,642萬70.35%-5,160.6萬-209.10%-2.75億1,082.23%2.76億7.35%-4,383.3萬11.98%-860.3萬19.10%-1.74億23.92%-8,890.2萬
現金淨流量
期初現金流 4,343.39%1.77億984.60%1.31億5,402.66%1.26億-73.79%229.5萬3,563.54%3.44億-56.47%397.6萬39.74%1,209.2萬-73.79%229.5萬--875.7萬7.74%940.1萬
當期現金流變化 -106.61%-2,238.7萬576.69%3,709.1萬-54.81%475.5萬1,943.56%1.33億-2,604.48%-2.09億37,223.24%3.39億-3,142.08%-778.1萬8,071.21%1,052.2萬-166.36%-719.3萬-1,644.70%-772.9萬
利率變動影響 -302.21%-311萬2,615.82%842.8萬115.03%10.9萬-1,278.66%-861.6萬-1,559.71%-909.4萬340.31%153.8萬-146.53%-33.5萬-2,689.29%-72.5萬135.09%73.1萬31.43%62.3萬
期末現金流 -56.11%1.51億4,343.39%1.77億984.60%1.31億5,402.66%1.26億5,402.66%1.26億3,563.54%3.44億-56.47%397.6萬39.74%1,209.2萬-73.79%229.5萬-73.79%229.5萬
自由現金流 36.25%7,437.6萬-10.47%5,440.5萬34.55%2,620.9萬28.21%2.25億15.39%8,972.3萬112.21%5,458.6萬-1.91%6,076.6萬100.48%1,947.9萬-3.53%1.75億14.16%7,775.8萬
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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