加拿大市場個股詳情

Real Matters Inc (REAL)

添加自選
  • 5.650
  • -0.010-0.18%
延時15分鐘行情交易中 05/14 12:57 (美東)
4.20億總市值-11.95市盈率TTM

Real Matters Inc (REAL) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2026/03/31
(Q1)2025/12/31
(FY)2025/09/30
(Q4)2025/09/30
(Q3)2025/06/30
(Q2)2025/03/31
(Q1)2024/12/31
(FY)2024/09/30
(Q4)2024/09/30
(Q3)2024/06/30
經營活動現金流量(間接法)
持續經營活動現金淨額
58.86%-122.1萬
155.14%377.6萬
-231.82%-718.3萬
-148.35%-307.1萬
20.17%-266.8萬
-3,234.83%-296.8萬
-41.46%148萬
312.52%544.9萬
22,003.45%635.2萬
-563.52%-334.2萬
持續經營淨收入
154.19%120.3萬
-254.30%-351.8萬
-125,972.22%-2,265.7萬
-11,350.64%-1,786.3萬
-385.70%-485.4萬
-207.09%-222萬
163.37%228萬
100.29%1.8萬
-109.62%-15.6萬
374.47%169.9萬
持續經營損益
-267.96%-121.6萬
175.25%249.3萬
30.75%-135.1萬
-267.67%-305.9萬
579.58%429.7萬
141.56%72.4萬
-318.10%-331.3萬
-819.93%-195.1萬
49.82%-83.2萬
-175.23%-89.6萬
折舊攤銷及損耗
4.17%77.4萬
-0.40%75.5萬
-5.23%299.2萬
1.46%76.4萬
-4.47%72.7萬
-7.59%74.3萬
-9.65%75.8萬
-18.57%315.7萬
-13.75%75.3萬
-20.98%76.1萬
以股票支付的報酬
147.18%35.1萬
48.28%8.6萬
-35.40%177.9萬
7.26%125.6萬
-20.64%32.3萬
-60.34%14.2萬
-92.91%5.8萬
100.00%275.4萬
306.60%117.1萬
37.50%40.7萬
遞延稅費
124.76%23.3萬
180.62%28.7萬
2,256.23%1,763.8萬
9,819.40%1,953.6萬
-411.40%-60.1萬
-375.25%-94.1萬
41.83%-35.6萬
72.26%-81.8萬
-89.62%-20.1萬
190.19%19.3萬
其他非現金項目
87.18%7.3萬
-1,529.87%-110.1萬
-10.12%31.1萬
-17.98%7.3萬
-13.33%7.8萬
-58.95%3.9萬
6.94%7.7萬
22.26%34.6萬
18.67%8.9萬
16.88%9萬
營運資金變化
-120.32%-222.3萬
107.03%521.5萬
-276.51%-432.1萬
-157.65%-343.6萬
61.15%-239.5萬
12.79%-100.9萬
-33.88%251.9萬
284.91%244.8萬
272.30%596萬
-281.03%-616.5萬
-應收款項(增)減
-38.64%-549萬
56.54%750.3萬
-462.17%-488.2萬
-224.80%-520.4萬
87.85%-51.1萬
1.71%-396萬
-11.45%479.3萬
-73.01%134.8萬
252.97%417萬
-1,555.91%-420.6萬
-預付費用(增)減
-12.21%15.1萬
-42.93%45.2萬
59.64%62.1萬
37.08%45.1萬
16.24%-79.4萬
-1.15%17.2萬
-5.04%79.2萬
144.97%38.9萬
-36.61%32.9萬
14.90%-94.8萬
-應付款項及應計費用(減)增
12.28%311.7萬
4.30%-275.7萬
-71.69%19.9萬
-4.31%135.5萬
-7.79%-105.1萬
-0.18%277.6萬
-14.37%-288.1萬
119.59%70.3萬
218.10%141.6萬
-208.54%-97.5萬
-其他營運資本變動
-133.33%-1,000
109.19%1.7萬
-3,337.50%-25.9萬
-184.44%-3.8萬
-8.33%-3.9萬
103.61%3,000
-325.61%-18.5萬
-91.67%8,000
184.91%4.5萬
-154.55%-3.6萬
已付利息(經營活動產生的現金流)
12.05%-7.3萬
15.58%-6.5萬
10.12%-31.1萬
17.98%-7.3萬
13.33%-7.8萬
12.63%-8.3萬
-6.94%-7.7萬
-22.26%-34.6萬
-18.67%-8.9萬
-16.88%-9萬
已支付退稅
5.51%-34.3萬
19.31%-37.6萬
-694.34%-126.3萬
21.57%-26.9萬
-125.04%-16.5萬
-59.91%-36.3萬
-87.90%-46.6萬
-137.86%-15.9萬
-114.23%-34.3萬
-8.73%65.9萬
非持續經營活動現金淨額
經營活動現金淨額
58.86%-122.1萬
155.14%377.6萬
-231.82%-718.3萬
-148.35%-307.1萬
20.17%-266.8萬
-3,234.83%-296.8萬
-41.46%148萬
312.52%544.9萬
22,003.45%635.2萬
-563.52%-334.2萬
投資活動現金流量
持續投資活動現金淨額
-167.48%-43.6萬
-373.44%-30.3萬
-305.92%-68.6萬
1.83%-21.4萬
-1,850.00%-24.5萬
-3,360.00%-16.3萬
-313.33%-6.4萬
78.85%-16.9萬
-25.29%-21.8萬
104.91%1.4萬
固定資產交易淨額
27.78%-5.2萬
-245.45%-11.4萬
36.29%-16.5萬
80.08%-5萬
-400.00%-1萬
-1,700.00%-7.2萬
-1,550.00%-3.3萬
51.50%-25.9萬
-796.43%-25.1萬
99.26%-2,000
無形資產交易淨額
-116.95%-38.4萬
-115.65%-24.8萬
-65.71%-86.5萬
-104.88%-25.2萬
-134.31%-32.1萬
-23.78%-17.7萬
3.36%-11.5萬
-5.24%-52.2萬
28.90%-12.3萬
-63.10%-13.7萬
其他投資活動淨額
----
-29.76%5.9萬
-43.79%34.4萬
-43.59%8.8萬
-43.79%8.6萬
-43.42%8.6萬
-44.37%8.4萬
164.94%61.2萬
477.78%15.6萬
121.74%15.3萬
非持續投資活動現金淨額
投資活動現金淨額
-167.48%-43.6萬
-373.44%-30.3萬
-305.92%-68.6萬
1.83%-21.4萬
-1,850.00%-24.5萬
-3,360.00%-16.3萬
-313.33%-6.4萬
78.85%-16.9萬
-25.29%-21.8萬
104.91%1.4萬
融資活動現金流量
持續融資活動現金淨額
31.72%-18.3萬
38.20%-14.4萬
-133.64%-47.9萬
-101.61%-2.2萬
-81.70%8.8萬
25.97%-26.8萬
-275.81%-23.3萬
420.00%142.4萬
580.10%136.7萬
401.04%48.1萬
債務發行/償還的淨額
27.99%-19.3萬
-6.79%-28.3萬
35.42%-108.3萬
41.35%-27.8萬
23.81%-27.2萬
25.97%-26.8萬
45.25%-26.5萬
-45.45%-167.7萬
-26.40%-47.4萬
-170.45%-35.7萬
普通股發行/回購的淨額
----
----
---4.4萬
--0
--0
---4.4萬
----
--0
--0
--0
職工行使股票期權收到的現金
--1萬
334.38%13.9萬
-79.10%64.8萬
-86.09%25.6萬
-57.04%36萬
--0
-92.42%3.2萬
261.42%310.1萬
219.62%184.1萬
267.54%83.8萬
非持續融資活動現金淨額
融資活動現金淨額
31.72%-18.3萬
38.20%-14.4萬
-133.64%-47.9萬
-101.61%-2.2萬
-81.70%8.8萬
25.97%-26.8萬
-275.81%-23.3萬
420.00%142.4萬
580.10%136.7萬
401.04%48.1萬
現金淨流量
期初現金流
-10.70%4,379.8萬
-18.22%4,019萬
16.06%4,914.3萬
5.88%4,382萬
2.96%4,568.8萬
8.74%4,904.7萬
16.06%4,914.3萬
-8.24%4,234.1萬
-2.70%4,138.6萬
6.08%4,437.4萬
當期現金流變化
45.87%-184萬
181.40%332.9萬
-224.52%-834.8萬
-144.09%-330.7萬
0.77%-282.5萬
-662.11%-339.9萬
-52.60%118.3萬
276.05%670.4萬
375,150.00%750.1萬
-635.15%-284.7萬
利率變動影響
-870.00%-30.8萬
121.81%27.9萬
-717.35%-60.5萬
-226.17%-32.3萬
778.72%95.7萬
114.08%4萬
-579.03%-127.9萬
1,300.00%9.8萬
233.33%25.6萬
-182.46%-14.1萬
期末現金流
-8.84%4,165萬
-10.70%4,379.8萬
-18.22%4,019萬
-18.22%4,019萬
5.88%4,382萬
2.96%4,568.8萬
8.74%4,904.7萬
16.06%4,914.3萬
16.06%4,914.3萬
-2.70%4,138.6萬
自由現金流
48.49%-165.7萬
156.31%341.4萬
-275.94%-821.3萬
-156.42%-337.3萬
13.85%-299.9萬
-1,263.14%-321.7萬
-44.66%133.2萬
229.88%466.8萬
2,699.13%597.8萬
-1,048.50%-348.1萬
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
--
--
(Q2)2026/03/31(Q1)2025/12/31(FY)2025/09/30(Q4)2025/09/30(Q3)2025/06/30(Q2)2025/03/31(Q1)2024/12/31(FY)2024/09/30(Q4)2024/09/30(Q3)2024/06/30
經營活動現金流量(間接法)
持續經營活動現金淨額 58.86%-122.1萬155.14%377.6萬-231.82%-718.3萬-148.35%-307.1萬20.17%-266.8萬-3,234.83%-296.8萬-41.46%148萬312.52%544.9萬22,003.45%635.2萬-563.52%-334.2萬
持續經營淨收入 154.19%120.3萬-254.30%-351.8萬-125,972.22%-2,265.7萬-11,350.64%-1,786.3萬-385.70%-485.4萬-207.09%-222萬163.37%228萬100.29%1.8萬-109.62%-15.6萬374.47%169.9萬
持續經營損益 -267.96%-121.6萬175.25%249.3萬30.75%-135.1萬-267.67%-305.9萬579.58%429.7萬141.56%72.4萬-318.10%-331.3萬-819.93%-195.1萬49.82%-83.2萬-175.23%-89.6萬
折舊攤銷及損耗 4.17%77.4萬-0.40%75.5萬-5.23%299.2萬1.46%76.4萬-4.47%72.7萬-7.59%74.3萬-9.65%75.8萬-18.57%315.7萬-13.75%75.3萬-20.98%76.1萬
以股票支付的報酬 147.18%35.1萬48.28%8.6萬-35.40%177.9萬7.26%125.6萬-20.64%32.3萬-60.34%14.2萬-92.91%5.8萬100.00%275.4萬306.60%117.1萬37.50%40.7萬
遞延稅費 124.76%23.3萬180.62%28.7萬2,256.23%1,763.8萬9,819.40%1,953.6萬-411.40%-60.1萬-375.25%-94.1萬41.83%-35.6萬72.26%-81.8萬-89.62%-20.1萬190.19%19.3萬
其他非現金項目 87.18%7.3萬-1,529.87%-110.1萬-10.12%31.1萬-17.98%7.3萬-13.33%7.8萬-58.95%3.9萬6.94%7.7萬22.26%34.6萬18.67%8.9萬16.88%9萬
營運資金變化 -120.32%-222.3萬107.03%521.5萬-276.51%-432.1萬-157.65%-343.6萬61.15%-239.5萬12.79%-100.9萬-33.88%251.9萬284.91%244.8萬272.30%596萬-281.03%-616.5萬
-應收款項(增)減 -38.64%-549萬56.54%750.3萬-462.17%-488.2萬-224.80%-520.4萬87.85%-51.1萬1.71%-396萬-11.45%479.3萬-73.01%134.8萬252.97%417萬-1,555.91%-420.6萬
-預付費用(增)減 -12.21%15.1萬-42.93%45.2萬59.64%62.1萬37.08%45.1萬16.24%-79.4萬-1.15%17.2萬-5.04%79.2萬144.97%38.9萬-36.61%32.9萬14.90%-94.8萬
-應付款項及應計費用(減)增 12.28%311.7萬4.30%-275.7萬-71.69%19.9萬-4.31%135.5萬-7.79%-105.1萬-0.18%277.6萬-14.37%-288.1萬119.59%70.3萬218.10%141.6萬-208.54%-97.5萬
-其他營運資本變動 -133.33%-1,000109.19%1.7萬-3,337.50%-25.9萬-184.44%-3.8萬-8.33%-3.9萬103.61%3,000-325.61%-18.5萬-91.67%8,000184.91%4.5萬-154.55%-3.6萬
已付利息(經營活動產生的現金流) 12.05%-7.3萬15.58%-6.5萬10.12%-31.1萬17.98%-7.3萬13.33%-7.8萬12.63%-8.3萬-6.94%-7.7萬-22.26%-34.6萬-18.67%-8.9萬-16.88%-9萬
已支付退稅 5.51%-34.3萬19.31%-37.6萬-694.34%-126.3萬21.57%-26.9萬-125.04%-16.5萬-59.91%-36.3萬-87.90%-46.6萬-137.86%-15.9萬-114.23%-34.3萬-8.73%65.9萬
非持續經營活動現金淨額
經營活動現金淨額 58.86%-122.1萬155.14%377.6萬-231.82%-718.3萬-148.35%-307.1萬20.17%-266.8萬-3,234.83%-296.8萬-41.46%148萬312.52%544.9萬22,003.45%635.2萬-563.52%-334.2萬
投資活動現金流量
持續投資活動現金淨額 -167.48%-43.6萬-373.44%-30.3萬-305.92%-68.6萬1.83%-21.4萬-1,850.00%-24.5萬-3,360.00%-16.3萬-313.33%-6.4萬78.85%-16.9萬-25.29%-21.8萬104.91%1.4萬
固定資產交易淨額 27.78%-5.2萬-245.45%-11.4萬36.29%-16.5萬80.08%-5萬-400.00%-1萬-1,700.00%-7.2萬-1,550.00%-3.3萬51.50%-25.9萬-796.43%-25.1萬99.26%-2,000
無形資產交易淨額 -116.95%-38.4萬-115.65%-24.8萬-65.71%-86.5萬-104.88%-25.2萬-134.31%-32.1萬-23.78%-17.7萬3.36%-11.5萬-5.24%-52.2萬28.90%-12.3萬-63.10%-13.7萬
其他投資活動淨額 -----29.76%5.9萬-43.79%34.4萬-43.59%8.8萬-43.79%8.6萬-43.42%8.6萬-44.37%8.4萬164.94%61.2萬477.78%15.6萬121.74%15.3萬
非持續投資活動現金淨額
投資活動現金淨額 -167.48%-43.6萬-373.44%-30.3萬-305.92%-68.6萬1.83%-21.4萬-1,850.00%-24.5萬-3,360.00%-16.3萬-313.33%-6.4萬78.85%-16.9萬-25.29%-21.8萬104.91%1.4萬
融資活動現金流量
持續融資活動現金淨額 31.72%-18.3萬38.20%-14.4萬-133.64%-47.9萬-101.61%-2.2萬-81.70%8.8萬25.97%-26.8萬-275.81%-23.3萬420.00%142.4萬580.10%136.7萬401.04%48.1萬
債務發行/償還的淨額 27.99%-19.3萬-6.79%-28.3萬35.42%-108.3萬41.35%-27.8萬23.81%-27.2萬25.97%-26.8萬45.25%-26.5萬-45.45%-167.7萬-26.40%-47.4萬-170.45%-35.7萬
普通股發行/回購的淨額 -----------4.4萬--0--0---4.4萬------0--0--0
職工行使股票期權收到的現金 --1萬334.38%13.9萬-79.10%64.8萬-86.09%25.6萬-57.04%36萬--0-92.42%3.2萬261.42%310.1萬219.62%184.1萬267.54%83.8萬
非持續融資活動現金淨額
融資活動現金淨額 31.72%-18.3萬38.20%-14.4萬-133.64%-47.9萬-101.61%-2.2萬-81.70%8.8萬25.97%-26.8萬-275.81%-23.3萬420.00%142.4萬580.10%136.7萬401.04%48.1萬
現金淨流量
期初現金流 -10.70%4,379.8萬-18.22%4,019萬16.06%4,914.3萬5.88%4,382萬2.96%4,568.8萬8.74%4,904.7萬16.06%4,914.3萬-8.24%4,234.1萬-2.70%4,138.6萬6.08%4,437.4萬
當期現金流變化 45.87%-184萬181.40%332.9萬-224.52%-834.8萬-144.09%-330.7萬0.77%-282.5萬-662.11%-339.9萬-52.60%118.3萬276.05%670.4萬375,150.00%750.1萬-635.15%-284.7萬
利率變動影響 -870.00%-30.8萬121.81%27.9萬-717.35%-60.5萬-226.17%-32.3萬778.72%95.7萬114.08%4萬-579.03%-127.9萬1,300.00%9.8萬233.33%25.6萬-182.46%-14.1萬
期末現金流 -8.84%4,165萬-10.70%4,379.8萬-18.22%4,019萬-18.22%4,019萬5.88%4,382萬2.96%4,568.8萬8.74%4,904.7萬16.06%4,914.3萬16.06%4,914.3萬-2.70%4,138.6萬
自由現金流 48.49%-165.7萬156.31%341.4萬-275.94%-821.3萬-156.42%-337.3萬13.85%-299.9萬-1,263.14%-321.7萬-44.66%133.2萬229.88%466.8萬2,699.13%597.8萬-1,048.50%-348.1萬
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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