美股市場個股詳情

GOLDMONEY INC (XAUMF)

添加自選
  • 11.881
  • +0.031+0.26%
延時15分鐘行情收盤價 05/01 12:46 (美東)
1.48億總市值4.85市盈率TTM

GOLDMONEY INC (XAUMF) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2025/12/31
(Q2)2025/09/30
(Q1)2025/06/30
(FY)2025/03/31
(Q4)2025/03/31
(Q3)2024/12/31
(Q2)2024/09/30
(Q1)2024/06/30
(FY)2024/03/31
(Q4)2024/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額
296.62%2,076.82萬
46.91%694.35萬
11.04%853.15萬
-32.34%4,973.64萬
65.55%3,209.03萬
-73.19%523.63萬
750.30%472.65萬
-81.78%768.33萬
250.25%7,350.82萬
56.31%1,938.41萬
持續經營淨收入
517.33%1,784.98萬
273.73%676.93萬
85.03%949.58萬
159.42%1,456.96萬
132.54%1,044.25萬
-0.46%289.15萬
-284.08%-389.65萬
101.06%513.2萬
-466.28%-2,452.07萬
-843.70%-3,209.5萬
持續經營損益
393.37%50.99萬
-102.61%-20.9萬
350.62%67.08萬
-82.94%491.03萬
-110.56%-278.8萬
-108.23%-17.38萬
10,972.15%799.29萬
-234.67%-26.76萬
925.53%2,877.55萬
444,440.00%2,639.23萬
折舊和攤銷
-84.07%3.06萬
-67.59%6.21萬
-1.83%18.8萬
-3.12%76.71萬
-3.11%19.21萬
-0.21%19.18萬
-6.00%19.16萬
-2.99%19.15萬
-33.11%79.18萬
-3.30%19.82萬
其他非現金項目
229.01%364.66萬
-261.20%-70.95萬
-43.78%44.41萬
67.36%316.15萬
-46.64%82.31萬
198.70%110.83萬
-2.28%44.01萬
-22.49%78.99萬
143.47%188.91萬
165.05%154.25萬
營運資金變化
-171.34%-58.73萬
415.10%113.48萬
-172.98%-96.85萬
-55.11%2,564.43萬
65.62%2,342.07萬
-94.65%82.32萬
109.35%22.03萬
-96.52%132.7萬
1,146.41%5,713.23萬
69.44%1,414.16萬
-應收款項(增)減
-217,086.42%-65.53萬
-658.58%-5.87萬
-118.47%-8.54萬
191.76%31.87萬
-123.60%-15.42萬
-99.77%302
101.00%1.05萬
631.89%46.21萬
-155.90%-34.74萬
899.78%65.32萬
-存貨(增)減
----
----
68.31%-23.22萬
-102.03%-101.96萬
----
----
----
-101.86%-73.27萬
1,122.43%5,020.03萬
----
-預付費用(增)減
18.07%-19.74萬
112.11%1.55萬
-24,772.60%-41.7萬
-259.84%-16.97萬
50,307.87%34.44萬
-463.50%-24.09萬
-1,201.12%-12.8萬
-94.16%1,690
1,498.30%10.62萬
-101.33%-686
-應付款項及應計費用(減)增
-138.51%-29.36萬
-687.30%-180.18萬
-108.89%-14.19萬
129.18%37.54萬
-579.05%-158.31萬
1.41%76.24萬
125.67%30.68萬
235.99%159.59萬
-167.67%-128.65萬
-4.55%33.05萬
-其他流動資產變化
-53.63%61.11萬
1,203.92%307.89萬
----
----
----
-88.77%131.79萬
-123.23%-27.89萬
----
--0
-2,038.20%-5,094.59萬
-其他營運資本變化
94.88%-5.21萬
-131.98%-9.91萬
---9.2萬
208.99%2,613.93萬
-3.44%1,342.64萬
-137.81%-101.65萬
--30.99萬
----
--845.97萬
--1,390.42萬
非持續經營活動現金淨額
經營活動現金淨額
296.62%2,076.82萬
46.91%694.35萬
11.04%853.15萬
-32.34%4,973.64萬
65.55%3,209.03萬
-73.19%523.63萬
750.30%472.65萬
-81.78%768.33萬
250.25%7,350.82萬
56.31%1,938.41萬
投資活動現金流量
持續投資活動現金淨額
55.36%-2,215.91萬
65.61%-233.63萬
-74.84%-1,217.46萬
49.18%-6,404.48萬
71.26%-64.51萬
24.04%-4,964.32萬
-146.10%-679.34萬
87.49%-696.32萬
-6,628.55%-1.26億
-474.14%-224.49萬
固定資產交易的淨現金流
55.20%-1,103
-2,033.79%-4.66萬
----
-14.79%-8,985
75.35%-4,339
-119.13%-2,462
---2,184
--0
-67.93%-7,827
---1.76萬
業務交易的淨現金流
--1.76萬
--0
---4,887
--0
--0
--0
--0
--0
38.79%-2.28萬
--123
投資產品交易的淨現金流
----
----
----
--0
--0
--0
--0
--0
-8.13%207.02萬
-64.28%22.53萬
其他投資活動的淨現金流
----
----
----
----
----
----
----
----
4,596.85%1,264.02萬
--0
非持續投資活動現金淨額
投資活動現金淨額
55.36%-2,215.91萬
65.61%-233.63萬
-74.84%-1,217.46萬
49.18%-6,404.48萬
71.26%-64.51萬
24.04%-4,964.32萬
-146.10%-679.34萬
87.49%-696.32萬
-6,628.55%-1.26億
-474.14%-224.49萬
融資活動現金流量
持續融資活動現金淨額
-87.07%573.08萬
27.37%-119.11萬
-146.13%-326.93萬
18.47%3,784.65萬
45.84%-352.22萬
7.92%4,433.71萬
-15.07%-164.01萬
-9.97%-132.83萬
418.50%3,194.5萬
12.29%-650.38萬
債務發行/償還的淨現金流
-81.55%827.16萬
58.52%-64.47萬
-1.89%-64.65萬
11.95%4,263.65萬
--0
6.57%4,482.52萬
---155.43萬
---63.45萬
--3,808.47萬
---397.56萬
普通股發行/償還的淨現金流
-420.46%-254.09萬
-537.04%-54.65萬
-278.05%-262.28萬
21.98%-478.99萬
-39.32%-352.22萬
50.10%-48.82萬
93.98%-8.58萬
42.56%-69.38萬
38.06%-613.97萬
65.35%-252.82萬
非持續融資活動現金淨額
融資活動現金淨額
-87.07%573.08萬
27.37%-119.11萬
-146.13%-326.93萬
18.47%3,784.65萬
45.84%-352.22萬
7.92%4,433.71萬
-15.07%-164.01萬
-9.97%-132.83萬
418.50%3,194.5萬
12.29%-650.38萬
現金淨流量
期初現金流
1.37%920.78萬
-54.80%579.74萬
-4.47%1,273.1萬
-67.57%1,332.63萬
-36.29%930.85萬
-57.51%908.33萬
-50.67%1,282.66萬
-67.57%1,332.63萬
47.38%4,109.8萬
-58.88%1,460.97萬
當期現金流變化
6,315.43%433.99萬
192.15%341.61萬
-1,036.61%-691.24萬
95.70%-116.31萬
357.44%322.18萬
99.06%-6.98萬
-2.12%-370.7萬
95.86%-60.82萬
-309.64%-2,701.79萬
-122.40%-125.15萬
利率變動影響
-150.74%-14.97萬
84.39%-5,670
-119.61%-2.13萬
175.33%56.78萬
729.97%20.07萬
235.55%29.5萬
66.85%-3.63萬
127.47%10.84萬
-332.36%-75.38萬
-59.65%-3.19萬
期末現金流
43.93%1,339.79萬
1.37%920.78萬
-54.80%579.74萬
-4.47%1,273.1萬
-4.47%1,273.1萬
-36.29%930.85萬
-57.51%908.33萬
-50.67%1,282.66萬
-67.57%1,332.63萬
-67.57%1,332.63萬
自由現金流
296.79%2,076.71萬
45.99%689.69萬
11.04%853.15萬
-32.34%4,972.74萬
65.59%3,208.6萬
-73.20%523.38萬
749.91%472.43萬
-81.78%768.33萬
250.29%7,350.04萬
56.24%1,937.62萬
貨幣單位
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
審計意見
--
--
--
無保留意見
--
--
--
--
無保留意見
--
(Q3)2025/12/31(Q2)2025/09/30(Q1)2025/06/30(FY)2025/03/31(Q4)2025/03/31(Q3)2024/12/31(Q2)2024/09/30(Q1)2024/06/30(FY)2024/03/31(Q4)2024/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額 296.62%2,076.82萬46.91%694.35萬11.04%853.15萬-32.34%4,973.64萬65.55%3,209.03萬-73.19%523.63萬750.30%472.65萬-81.78%768.33萬250.25%7,350.82萬56.31%1,938.41萬
持續經營淨收入 517.33%1,784.98萬273.73%676.93萬85.03%949.58萬159.42%1,456.96萬132.54%1,044.25萬-0.46%289.15萬-284.08%-389.65萬101.06%513.2萬-466.28%-2,452.07萬-843.70%-3,209.5萬
持續經營損益 393.37%50.99萬-102.61%-20.9萬350.62%67.08萬-82.94%491.03萬-110.56%-278.8萬-108.23%-17.38萬10,972.15%799.29萬-234.67%-26.76萬925.53%2,877.55萬444,440.00%2,639.23萬
折舊和攤銷 -84.07%3.06萬-67.59%6.21萬-1.83%18.8萬-3.12%76.71萬-3.11%19.21萬-0.21%19.18萬-6.00%19.16萬-2.99%19.15萬-33.11%79.18萬-3.30%19.82萬
其他非現金項目 229.01%364.66萬-261.20%-70.95萬-43.78%44.41萬67.36%316.15萬-46.64%82.31萬198.70%110.83萬-2.28%44.01萬-22.49%78.99萬143.47%188.91萬165.05%154.25萬
營運資金變化 -171.34%-58.73萬415.10%113.48萬-172.98%-96.85萬-55.11%2,564.43萬65.62%2,342.07萬-94.65%82.32萬109.35%22.03萬-96.52%132.7萬1,146.41%5,713.23萬69.44%1,414.16萬
-應收款項(增)減 -217,086.42%-65.53萬-658.58%-5.87萬-118.47%-8.54萬191.76%31.87萬-123.60%-15.42萬-99.77%302101.00%1.05萬631.89%46.21萬-155.90%-34.74萬899.78%65.32萬
-存貨(增)減 --------68.31%-23.22萬-102.03%-101.96萬-------------101.86%-73.27萬1,122.43%5,020.03萬----
-預付費用(增)減 18.07%-19.74萬112.11%1.55萬-24,772.60%-41.7萬-259.84%-16.97萬50,307.87%34.44萬-463.50%-24.09萬-1,201.12%-12.8萬-94.16%1,6901,498.30%10.62萬-101.33%-686
-應付款項及應計費用(減)增 -138.51%-29.36萬-687.30%-180.18萬-108.89%-14.19萬129.18%37.54萬-579.05%-158.31萬1.41%76.24萬125.67%30.68萬235.99%159.59萬-167.67%-128.65萬-4.55%33.05萬
-其他流動資產變化 -53.63%61.11萬1,203.92%307.89萬-------------88.77%131.79萬-123.23%-27.89萬------0-2,038.20%-5,094.59萬
-其他營運資本變化 94.88%-5.21萬-131.98%-9.91萬---9.2萬208.99%2,613.93萬-3.44%1,342.64萬-137.81%-101.65萬--30.99萬------845.97萬--1,390.42萬
非持續經營活動現金淨額
經營活動現金淨額 296.62%2,076.82萬46.91%694.35萬11.04%853.15萬-32.34%4,973.64萬65.55%3,209.03萬-73.19%523.63萬750.30%472.65萬-81.78%768.33萬250.25%7,350.82萬56.31%1,938.41萬
投資活動現金流量
持續投資活動現金淨額 55.36%-2,215.91萬65.61%-233.63萬-74.84%-1,217.46萬49.18%-6,404.48萬71.26%-64.51萬24.04%-4,964.32萬-146.10%-679.34萬87.49%-696.32萬-6,628.55%-1.26億-474.14%-224.49萬
固定資產交易的淨現金流 55.20%-1,103-2,033.79%-4.66萬-----14.79%-8,98575.35%-4,339-119.13%-2,462---2,184--0-67.93%-7,827---1.76萬
業務交易的淨現金流 --1.76萬--0---4,887--0--0--0--0--038.79%-2.28萬--123
投資產品交易的淨現金流 --------------0--0--0--0--0-8.13%207.02萬-64.28%22.53萬
其他投資活動的淨現金流 --------------------------------4,596.85%1,264.02萬--0
非持續投資活動現金淨額
投資活動現金淨額 55.36%-2,215.91萬65.61%-233.63萬-74.84%-1,217.46萬49.18%-6,404.48萬71.26%-64.51萬24.04%-4,964.32萬-146.10%-679.34萬87.49%-696.32萬-6,628.55%-1.26億-474.14%-224.49萬
融資活動現金流量
持續融資活動現金淨額 -87.07%573.08萬27.37%-119.11萬-146.13%-326.93萬18.47%3,784.65萬45.84%-352.22萬7.92%4,433.71萬-15.07%-164.01萬-9.97%-132.83萬418.50%3,194.5萬12.29%-650.38萬
債務發行/償還的淨現金流 -81.55%827.16萬58.52%-64.47萬-1.89%-64.65萬11.95%4,263.65萬--06.57%4,482.52萬---155.43萬---63.45萬--3,808.47萬---397.56萬
普通股發行/償還的淨現金流 -420.46%-254.09萬-537.04%-54.65萬-278.05%-262.28萬21.98%-478.99萬-39.32%-352.22萬50.10%-48.82萬93.98%-8.58萬42.56%-69.38萬38.06%-613.97萬65.35%-252.82萬
非持續融資活動現金淨額
融資活動現金淨額 -87.07%573.08萬27.37%-119.11萬-146.13%-326.93萬18.47%3,784.65萬45.84%-352.22萬7.92%4,433.71萬-15.07%-164.01萬-9.97%-132.83萬418.50%3,194.5萬12.29%-650.38萬
現金淨流量
期初現金流 1.37%920.78萬-54.80%579.74萬-4.47%1,273.1萬-67.57%1,332.63萬-36.29%930.85萬-57.51%908.33萬-50.67%1,282.66萬-67.57%1,332.63萬47.38%4,109.8萬-58.88%1,460.97萬
當期現金流變化 6,315.43%433.99萬192.15%341.61萬-1,036.61%-691.24萬95.70%-116.31萬357.44%322.18萬99.06%-6.98萬-2.12%-370.7萬95.86%-60.82萬-309.64%-2,701.79萬-122.40%-125.15萬
利率變動影響 -150.74%-14.97萬84.39%-5,670-119.61%-2.13萬175.33%56.78萬729.97%20.07萬235.55%29.5萬66.85%-3.63萬127.47%10.84萬-332.36%-75.38萬-59.65%-3.19萬
期末現金流 43.93%1,339.79萬1.37%920.78萬-54.80%579.74萬-4.47%1,273.1萬-4.47%1,273.1萬-36.29%930.85萬-57.51%908.33萬-50.67%1,282.66萬-67.57%1,332.63萬-67.57%1,332.63萬
自由現金流 296.79%2,076.71萬45.99%689.69萬11.04%853.15萬-32.34%4,972.74萬65.59%3,208.6萬-73.20%523.38萬749.91%472.43萬-81.78%768.33萬250.29%7,350.04萬56.24%1,937.62萬
貨幣單位 加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元
審計意見 ------無保留意見--------無保留意見--
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