加拿大市場個股詳情

StorageVault Canada Inc (SVI)

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  • 5.190
  • 0.0000.00%
延時15分鐘行情已收盤 01/15 16:00 (美東)
18.95億總市值-519.00市盈率TTM

StorageVault Canada Inc (SVI) 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
-58.43%1,367.24萬
-2.24%2,673.66萬
-12.71%1,343.8萬
37.18%1.07億
48.04%3,135.74萬
49.74%3,288.97萬
151.33%2,734.91萬
-82.53%1,539.52萬
15.87%7,799.49萬
1.18%2,118.21萬
持續經營淨收入
393.87%2,049.24萬
29.04%-616.56萬
-42.86%-1,136.9萬
-1,677.67%-3,022.31萬
76.24%-660.35萬
-142.57%-697.32萬
-168.89%-868.84萬
-174.00%-795.81萬
95.88%-170.02萬
-19.43%-2,778.7萬
持續經營損益
-941.81%-2,460.8萬
-100.71%-2.29萬
1,330.49%100.96萬
148.00%900.61萬
-78.66%295.85萬
119.61%292.32萬
120.54%320.65萬
96.11%-8.2萬
-639.07%-1,876.3萬
2,379.01%1,386.15萬
折舊攤銷及損耗
7.71%2,951.7萬
7.19%2,728.22萬
13.00%2,665.3萬
2.15%1.03億
3.81%2,624.08萬
9.89%2,740.49萬
3.13%2,545.1萬
-7.94%2,358.57萬
-3.47%1.01億
-25.92%2,527.85萬
以股票支付的報酬
-63.57%8.4萬
-63.55%8.4萬
-64.18%8.4萬
-29.27%268.46萬
-32.43%198.95萬
-3.93%23.04萬
-23.63%23.03萬
-24.35%23.44萬
-72.15%379.56萬
-76.61%294.43萬
遞延稅費
-24.91%-198.57萬
-21.09%-197.95萬
-22.65%-215.03萬
-4.88%-905.79萬
-77.98%-408.02萬
24.33%-158.97萬
21.66%-163.48萬
18.69%-175.33萬
9.89%-863.65萬
57.96%-229.24萬
其他非現金項目
17.29%707.11萬
-21.33%696.75萬
46.81%659.49萬
143.15%2,583.89萬
33.59%646.13萬
222.32%602.88萬
377.08%885.66萬
117.70%449.21萬
78.46%1,062.69萬
192.28%483.66萬
營運資金變化
-447.33%-1,689.85萬
891.31%57.09萬
-136.39%-738.4萬
177.24%606.04萬
1.16%439.09萬
209.17%486.52萬
99.90%-7.21萬
-104.64%-312.37萬
13.36%-784.62萬
129.20%434.05萬
-應收款項(增)減
-656.80%-1,694.44萬
-49.50%39.15萬
-27,864.48%-201.65萬
33.19%-125.78萬
9,916.12%19.88萬
18.85%-223.9萬
-61.58%77.51萬
100.64%7,263
79.14%-188.25萬
100.06%1,985
-預付費用(增)減
-106.47%-41.2萬
89.86%-19.39萬
-96.68%-731.24萬
211.65%658.1萬
102.88%583.88萬
179.82%637.27萬
69.57%-191.26萬
21.98%-371.78萬
-65.35%-589.41萬
-22.29%287.8萬
-應付款項及應計費用(減)增
-204.83%-115.5萬
-296.22%-123.84萬
38.28%151.05萬
42.93%143萬
-390.80%-139.52萬
132.27%110.18萬
-71.81%63.11萬
-35.61%109.23萬
-57.47%100.05萬
-78.86%47.98萬
-其他營運資本變動
535.65%161.29萬
271.13%161.16萬
185.95%43.44萬
35.25%-69.29萬
-125.64%-25.15萬
33.94%-37.02萬
100.59%43.43萬
-100.71%-50.54萬
-190.57%-107.01萬
258.84%98.08萬
非持續經營活動現金淨額
經營活動現金淨額
-58.43%1,367.24萬
-2.24%2,673.66萬
-12.71%1,343.8萬
37.18%1.07億
48.04%3,135.74萬
49.74%3,288.97萬
151.33%2,734.91萬
-82.53%1,539.52萬
15.87%7,799.49萬
1.18%2,118.21萬
投資活動現金流量
持續投資活動現金淨額
34.02%-6,599.4萬
34.33%-9,113.04萬
17.40%-2,003.1萬
-277.35%-2.98億
57.46%-3,454.85萬
-408.73%-1億
-430.74%-1.39億
-21.61%-2,425.01萬
68.39%-7,886.55萬
-152.46%-8,121.94萬
業務交易淨額
15.03%-6,075萬
43.38%-6,737.5萬
--0
-143.02%-2.11億
82.77%-1,050萬
---7,150萬
-481.20%-1.19億
-85.19%-1,000萬
59.44%-8,682.5萬
-166.04%-6,095萬
投資物業交易淨額
81.62%-524.4萬
-20.17%-2,375.54萬
-40.57%-2,003.1萬
-1,187.94%-8,659.51萬
-18.64%-2,404.85萬
-45.09%-2,852.76萬
-131.66%-1,976.89萬
2.00%-1,425.01萬
122.47%795.95萬
-118.87%-2,026.94萬
非持續投資活動現金淨額
投資活動現金淨額
34.02%-6,599.4萬
34.33%-9,113.04萬
17.40%-2,003.1萬
-277.35%-2.98億
57.46%-3,454.85萬
-408.73%-1億
-430.74%-1.39億
-21.61%-2,425.01萬
68.39%-7,886.55萬
-152.46%-8,121.94萬
融資活動現金流量
持續融資活動現金淨額
-8.09%5,567.69萬
-41.35%6,799.3萬
-12.92%812.37萬
2,574.46%1.93億
-88.52%725.59萬
865.26%6,057.69萬
459.73%1.16億
111.13%932.9萬
-104.35%-780.31萬
665.84%6,322.13萬
債務發行/償還的淨額
-6.49%6,322.19萬
-43.21%7,450.16萬
93.79%2,955.35萬
1,088.59%2.52億
-40.99%3,765.95萬
1,546.20%6,761.2萬
334.79%1.31億
119.83%1,525.02萬
-89.11%2,117.76萬
469.30%6,381.37萬
普通股發行/回購的淨額
88.42%-4.66萬
72.82%-275.36萬
-2,851.23%-1,354.97萬
-68.55%-3,630.91萬
-496.75%-2,531.71萬
96.50%-40.24萬
-239.18%-1,013.05萬
83.71%-45.91萬
-111.68%-2,154.26萬
-262.37%-424.25萬
已支付現金股息
4.65%-60.01萬
6.30%-58.84萬
5.04%-59.76萬
12.58%-248.42萬
39.48%-59.76萬
-19.40%-62.94萬
13.01%-62.79萬
-3.98%-62.93萬
-19.88%-284.16萬
-65.16%-98.74萬
職工行使股票期權收到的現金
---132.04萬
-1,823.53%-49.05萬
188.65%70.25萬
70.97%-195.02萬
33.36%-113.23萬
--0
98.44%-2.55萬
76.70%-79.24萬
-961.58%-671.77萬
-168.53%-169.92萬
已付利息(籌資活動產生的現金流)
0.65%-557.77萬
50.01%-187.01萬
-48.88%-557.14萬
---1,496.55萬
---186.84萬
---561.43萬
---374.06萬
---374.21萬
--0
--0
其他融資活動的淨現金流額
99.95%-208
-8.34%-80.62萬
-709.14%-241.36萬
-237.64%-291.96萬
-123.48%-148.82萬
-1,812.61%-38.9萬
81.93%-74.41萬
-284.97%-29.83萬
222.24%212.12萬
1,247.02%633.68萬
非持續融資活動現金淨額
融資活動現金淨額
-8.09%5,567.69萬
-41.35%6,799.3萬
-12.92%812.37萬
2,574.46%1.93億
-88.52%725.59萬
865.26%6,057.69萬
459.73%1.16億
111.13%932.9萬
-104.35%-780.31萬
665.84%6,322.13萬
現金淨流量
期初現金流
13.98%2,147.24萬
24.68%1,787.33萬
17.90%1,634.26萬
-38.49%1,386.11萬
14.99%1,227.78萬
15.64%1,883.87萬
107.66%1,433.52萬
-38.49%1,386.11萬
-10.38%2,253.48萬
-58.16%1,067.71萬
當期現金流變化
151.14%335.53萬
-20.08%359.92萬
222.85%153.07萬
128.61%248.15萬
27.66%406.48萬
-16.88%-656.09萬
-52.02%450.35萬
103.03%47.41萬
-232.48%-867.37萬
206.81%318.4萬
期末現金流
102.22%2,482.77萬
13.98%2,147.24萬
24.68%1,787.33萬
17.90%1,634.26萬
17.90%1,634.26萬
14.99%1,227.78萬
15.64%1,883.87萬
107.66%1,433.52萬
-38.49%1,386.11萬
-38.49%1,386.11萬
自由現金流
-58.43%1,367.24萬
-2.24%2,673.66萬
-12.71%1,343.8萬
37.18%1.07億
48.04%3,135.74萬
49.74%3,288.97萬
151.33%2,734.91萬
-82.53%1,539.52萬
15.87%7,799.49萬
1.18%2,118.21萬
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 -58.43%1,367.24萬-2.24%2,673.66萬-12.71%1,343.8萬37.18%1.07億48.04%3,135.74萬49.74%3,288.97萬151.33%2,734.91萬-82.53%1,539.52萬15.87%7,799.49萬1.18%2,118.21萬
持續經營淨收入 393.87%2,049.24萬29.04%-616.56萬-42.86%-1,136.9萬-1,677.67%-3,022.31萬76.24%-660.35萬-142.57%-697.32萬-168.89%-868.84萬-174.00%-795.81萬95.88%-170.02萬-19.43%-2,778.7萬
持續經營損益 -941.81%-2,460.8萬-100.71%-2.29萬1,330.49%100.96萬148.00%900.61萬-78.66%295.85萬119.61%292.32萬120.54%320.65萬96.11%-8.2萬-639.07%-1,876.3萬2,379.01%1,386.15萬
折舊攤銷及損耗 7.71%2,951.7萬7.19%2,728.22萬13.00%2,665.3萬2.15%1.03億3.81%2,624.08萬9.89%2,740.49萬3.13%2,545.1萬-7.94%2,358.57萬-3.47%1.01億-25.92%2,527.85萬
以股票支付的報酬 -63.57%8.4萬-63.55%8.4萬-64.18%8.4萬-29.27%268.46萬-32.43%198.95萬-3.93%23.04萬-23.63%23.03萬-24.35%23.44萬-72.15%379.56萬-76.61%294.43萬
遞延稅費 -24.91%-198.57萬-21.09%-197.95萬-22.65%-215.03萬-4.88%-905.79萬-77.98%-408.02萬24.33%-158.97萬21.66%-163.48萬18.69%-175.33萬9.89%-863.65萬57.96%-229.24萬
其他非現金項目 17.29%707.11萬-21.33%696.75萬46.81%659.49萬143.15%2,583.89萬33.59%646.13萬222.32%602.88萬377.08%885.66萬117.70%449.21萬78.46%1,062.69萬192.28%483.66萬
營運資金變化 -447.33%-1,689.85萬891.31%57.09萬-136.39%-738.4萬177.24%606.04萬1.16%439.09萬209.17%486.52萬99.90%-7.21萬-104.64%-312.37萬13.36%-784.62萬129.20%434.05萬
-應收款項(增)減 -656.80%-1,694.44萬-49.50%39.15萬-27,864.48%-201.65萬33.19%-125.78萬9,916.12%19.88萬18.85%-223.9萬-61.58%77.51萬100.64%7,26379.14%-188.25萬100.06%1,985
-預付費用(增)減 -106.47%-41.2萬89.86%-19.39萬-96.68%-731.24萬211.65%658.1萬102.88%583.88萬179.82%637.27萬69.57%-191.26萬21.98%-371.78萬-65.35%-589.41萬-22.29%287.8萬
-應付款項及應計費用(減)增 -204.83%-115.5萬-296.22%-123.84萬38.28%151.05萬42.93%143萬-390.80%-139.52萬132.27%110.18萬-71.81%63.11萬-35.61%109.23萬-57.47%100.05萬-78.86%47.98萬
-其他營運資本變動 535.65%161.29萬271.13%161.16萬185.95%43.44萬35.25%-69.29萬-125.64%-25.15萬33.94%-37.02萬100.59%43.43萬-100.71%-50.54萬-190.57%-107.01萬258.84%98.08萬
非持續經營活動現金淨額
經營活動現金淨額 -58.43%1,367.24萬-2.24%2,673.66萬-12.71%1,343.8萬37.18%1.07億48.04%3,135.74萬49.74%3,288.97萬151.33%2,734.91萬-82.53%1,539.52萬15.87%7,799.49萬1.18%2,118.21萬
投資活動現金流量
持續投資活動現金淨額 34.02%-6,599.4萬34.33%-9,113.04萬17.40%-2,003.1萬-277.35%-2.98億57.46%-3,454.85萬-408.73%-1億-430.74%-1.39億-21.61%-2,425.01萬68.39%-7,886.55萬-152.46%-8,121.94萬
業務交易淨額 15.03%-6,075萬43.38%-6,737.5萬--0-143.02%-2.11億82.77%-1,050萬---7,150萬-481.20%-1.19億-85.19%-1,000萬59.44%-8,682.5萬-166.04%-6,095萬
投資物業交易淨額 81.62%-524.4萬-20.17%-2,375.54萬-40.57%-2,003.1萬-1,187.94%-8,659.51萬-18.64%-2,404.85萬-45.09%-2,852.76萬-131.66%-1,976.89萬2.00%-1,425.01萬122.47%795.95萬-118.87%-2,026.94萬
非持續投資活動現金淨額
投資活動現金淨額 34.02%-6,599.4萬34.33%-9,113.04萬17.40%-2,003.1萬-277.35%-2.98億57.46%-3,454.85萬-408.73%-1億-430.74%-1.39億-21.61%-2,425.01萬68.39%-7,886.55萬-152.46%-8,121.94萬
融資活動現金流量
持續融資活動現金淨額 -8.09%5,567.69萬-41.35%6,799.3萬-12.92%812.37萬2,574.46%1.93億-88.52%725.59萬865.26%6,057.69萬459.73%1.16億111.13%932.9萬-104.35%-780.31萬665.84%6,322.13萬
債務發行/償還的淨額 -6.49%6,322.19萬-43.21%7,450.16萬93.79%2,955.35萬1,088.59%2.52億-40.99%3,765.95萬1,546.20%6,761.2萬334.79%1.31億119.83%1,525.02萬-89.11%2,117.76萬469.30%6,381.37萬
普通股發行/回購的淨額 88.42%-4.66萬72.82%-275.36萬-2,851.23%-1,354.97萬-68.55%-3,630.91萬-496.75%-2,531.71萬96.50%-40.24萬-239.18%-1,013.05萬83.71%-45.91萬-111.68%-2,154.26萬-262.37%-424.25萬
已支付現金股息 4.65%-60.01萬6.30%-58.84萬5.04%-59.76萬12.58%-248.42萬39.48%-59.76萬-19.40%-62.94萬13.01%-62.79萬-3.98%-62.93萬-19.88%-284.16萬-65.16%-98.74萬
職工行使股票期權收到的現金 ---132.04萬-1,823.53%-49.05萬188.65%70.25萬70.97%-195.02萬33.36%-113.23萬--098.44%-2.55萬76.70%-79.24萬-961.58%-671.77萬-168.53%-169.92萬
已付利息(籌資活動產生的現金流) 0.65%-557.77萬50.01%-187.01萬-48.88%-557.14萬---1,496.55萬---186.84萬---561.43萬---374.06萬---374.21萬--0--0
其他融資活動的淨現金流額 99.95%-208-8.34%-80.62萬-709.14%-241.36萬-237.64%-291.96萬-123.48%-148.82萬-1,812.61%-38.9萬81.93%-74.41萬-284.97%-29.83萬222.24%212.12萬1,247.02%633.68萬
非持續融資活動現金淨額
融資活動現金淨額 -8.09%5,567.69萬-41.35%6,799.3萬-12.92%812.37萬2,574.46%1.93億-88.52%725.59萬865.26%6,057.69萬459.73%1.16億111.13%932.9萬-104.35%-780.31萬665.84%6,322.13萬
現金淨流量
期初現金流 13.98%2,147.24萬24.68%1,787.33萬17.90%1,634.26萬-38.49%1,386.11萬14.99%1,227.78萬15.64%1,883.87萬107.66%1,433.52萬-38.49%1,386.11萬-10.38%2,253.48萬-58.16%1,067.71萬
當期現金流變化 151.14%335.53萬-20.08%359.92萬222.85%153.07萬128.61%248.15萬27.66%406.48萬-16.88%-656.09萬-52.02%450.35萬103.03%47.41萬-232.48%-867.37萬206.81%318.4萬
期末現金流 102.22%2,482.77萬13.98%2,147.24萬24.68%1,787.33萬17.90%1,634.26萬17.90%1,634.26萬14.99%1,227.78萬15.64%1,883.87萬107.66%1,433.52萬-38.49%1,386.11萬-38.49%1,386.11萬
自由現金流 -58.43%1,367.24萬-2.24%2,673.66萬-12.71%1,343.8萬37.18%1.07億48.04%3,135.74萬49.74%3,288.97萬151.33%2,734.91萬-82.53%1,539.52萬15.87%7,799.49萬1.18%2,118.21萬
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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