加拿大市场个股详情

Collective Mining Ltd (CNL)

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  • 21.310
  • -0.750-3.40%
延时15分钟行情已收盘 01/15 16:00 (美东)
19.66亿总市值-30.01市盈率TTM

Collective Mining Ltd (CNL) 现金流量表

季报+年报
显示同比 yoy
隐藏空行 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
经营活动现金流量(间接法)
持续经营活动现金净额
-62.86%-963.66万
-14.43%-758.66万
-36.82%-542.84万
-33.26%-2,257.06万
-0.80%-605.63万
-32.60%-591.7万
-89.63%-662.97万
-33.59%-396.76万
-19.10%-1,693.71万
-81.61%-600.85万
持续经营净收入
-72.11%-1,084.38万
-34.54%-851.9万
-258.25%-1,692.79万
-40.85%-2,694.89万
-80.51%-959.13万
-68.05%-630.05万
-3.85%-633.19万
-18.91%-472.52万
-10.80%-1,913.37万
-16.11%-531.33万
持续经营损益
-90.83%5.03万
-383.26%-53.1万
5,552.57%1,046.23万
1,232.61%402.89万
426.27%348.51万
138.60%54.82万
-89.64%18.75万
-119.55%-19.19万
-67.22%30.23万
-282.85%-106.82万
折旧摊销及损耗
128.01%20.35万
119.90%18.01万
154.58%19.59万
38.08%33.99万
25.73%9.17万
43.76%8.93万
44.58%8.19万
41.40%7.7万
15.94%24.61万
53.46%7.3万
以股票支付的报酬
198.37%85.35万
118.51%72.28万
-3.32%34.67万
-20.81%116.71万
-52.89%19.17万
-3.08%28.6万
0.42%33.08万
-18.96%35.86万
-31.93%147.39万
28.92%40.69万
其他非现金项目
430.28%6.77万
335.65%6.22万
-14.79%6.66万
432.19%11.6万
8.30%1.08万
248.54%1.28万
261.45%1.43万
1,759.76%7.81万
-80.28%2.18万
-88.70%9,974
营运资金变化
105.82%3.22万
154.63%49.83万
-1.79%42.8万
-935.30%-127.35万
-109.27%-24.44万
-259.81%-55.28万
-326.76%-91.21万
191.00%43.58万
142.04%15.25万
-150.32%-11.68万
-应收款项(增)减
-19.17%-72.51万
----
----
-12.44%-112.89万
-11.51%-29.22万
-111.06%-60.84万
----
----
-76.51%-100.4万
---26.2万
-应付款项及应计费用(减)增
1,261.76%75.72万
----
----
-112.51%-14.47万
-67.11%4.78万
-91.23%5.56万
----
----
461.08%115.64万
--14.52万
非持续经营活动现金净额
经营活动现金净额
-62.86%-963.66万
-14.43%-758.66万
-36.82%-542.84万
-33.26%-2,257.06万
-0.80%-605.63万
-32.60%-591.7万
-89.63%-662.97万
-33.59%-396.76万
-19.10%-1,693.71万
-81.61%-600.85万
投资活动现金流量
持续投资活动现金净额
-30,530.53%-781.14万
-206.63%-10.55万
17.56%-2.66万
32.41%-23.89万
-12.52%-14.68万
52.28%-2.55万
77.76%-3.44万
-115.92%-3.22万
-10.81%-35.35万
-72.62%-13.04万
固定资产交易净额
-4,120.83%-107.64万
-206.63%-10.55万
17.56%-2.66万
32.41%-23.89万
-12.52%-14.68万
52.28%-2.55万
77.76%-3.44万
-115.92%-3.22万
-10.81%-35.35万
-72.62%-13.04万
非持续投资活动现金净额
投资活动现金净额
-30,530.53%-781.14万
-206.63%-10.55万
17.56%-2.66万
32.41%-23.89万
-12.52%-14.68万
52.28%-2.55万
77.76%-3.44万
-115.92%-3.22万
-10.81%-35.35万
-72.62%-13.04万
融资活动现金流量
持续融资活动现金净额
-215.95%-18.4万
-103.32%-14.18万
222.35%4,440.79万
121.43%4,929.63万
12,723.06%3,109.57万
-82.43%15.87万
1,327.88%426.58万
-33.83%1,377.61万
206.49%2,226.31万
-96.66%24.25万
债务发行/偿还的净额
-547.62%-19.18万
-428.56%-16.17万
-517.30%-16.16万
-110.85%-11.48万
-59.67%-2.84万
-128.46%-2.96万
-155.85%-3.06万
-123.12%-2.62万
38.82%-5.44万
-36.80%-1.78万
普通股发行/回购的净额
--0
--0
161.08%3,635.73万
115.95%4,725.51万
--3,332.94万
--0
--0
-36.36%1,392.57万
177.32%2,188.23万
--0
职工行使股票期权收到的现金
-95.88%7,760
-99.54%1.99万
1,200.45%838.51万
155.66%515.04万
-91.99%2.08万
-79.44%18.83万
889.13%429.64万
59.63%64.48万
1,395.81%201.46万
473.93%26.03万
其他融资活动的净现金流额
--0
--0
77.50%-17.29万
-89.60%-299.44万
---222.61万
--0
100.00%-1
47.22%-76.82万
-134.82%-157.93万
--0
非持续融资活动现金净额
融资活动现金净额
-215.95%-18.4万
-103.32%-14.18万
222.35%4,440.79万
121.43%4,929.63万
12,723.06%3,109.57万
-82.43%15.87万
1,327.88%426.58万
-33.83%1,377.61万
206.49%2,226.31万
-96.66%24.25万
现金净流量
期初现金流
233.95%7,058.14万
228.73%7,802.62万
174.82%3,893.1万
66.60%1,416.62万
-21.80%1,551.99万
-11.15%2,113.55万
-11.26%2,373.59万
66.60%1,416.62万
-47.86%850.33万
308.25%1,984.57万
当期现金流变化
-204.85%-1,763.2万
-226.65%-783.39万
298.45%3,895.3万
432.66%2,648.68万
522.21%2,489.26万
-60.06%-578.38万
28.45%-239.82万
-45.18%977.62万
168.34%497.25万
-252.48%-589.58万
利率变动影响
-109.98%-1.68万
292.49%38.91万
168.90%14.23万
-349.43%-172.2万
-785.02%-148.16万
151.06%16.82万
-151.58%-20.21万
-150.16%-20.65万
230.48%69.04万
196.33%21.63万
期末现金流
241.06%5,293.26万
233.95%7,058.14万
228.73%7,802.62万
174.82%3,893.1万
174.82%3,893.1万
-21.80%1,551.99万
-11.15%2,113.55万
-11.26%2,373.59万
66.60%1,416.62万
66.60%1,416.62万
自由现金流
-81.29%-1,077.3万
-15.43%-769.21万
-36.38%-545.5万
-31.92%-2,280.95万
-1.05%-620.31万
-31.59%-594.25万
-82.54%-666.41万
-34.00%-399.99万
-18.92%-1,729.06万
-81.41%-613.89万
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
审计意见
--
--
--
无保留意见
--
--
--
--
无保留意见
--
(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
经营活动现金流量(间接法)
持续经营活动现金净额 -62.86%-963.66万-14.43%-758.66万-36.82%-542.84万-33.26%-2,257.06万-0.80%-605.63万-32.60%-591.7万-89.63%-662.97万-33.59%-396.76万-19.10%-1,693.71万-81.61%-600.85万
持续经营净收入 -72.11%-1,084.38万-34.54%-851.9万-258.25%-1,692.79万-40.85%-2,694.89万-80.51%-959.13万-68.05%-630.05万-3.85%-633.19万-18.91%-472.52万-10.80%-1,913.37万-16.11%-531.33万
持续经营损益 -90.83%5.03万-383.26%-53.1万5,552.57%1,046.23万1,232.61%402.89万426.27%348.51万138.60%54.82万-89.64%18.75万-119.55%-19.19万-67.22%30.23万-282.85%-106.82万
折旧摊销及损耗 128.01%20.35万119.90%18.01万154.58%19.59万38.08%33.99万25.73%9.17万43.76%8.93万44.58%8.19万41.40%7.7万15.94%24.61万53.46%7.3万
以股票支付的报酬 198.37%85.35万118.51%72.28万-3.32%34.67万-20.81%116.71万-52.89%19.17万-3.08%28.6万0.42%33.08万-18.96%35.86万-31.93%147.39万28.92%40.69万
其他非现金项目 430.28%6.77万335.65%6.22万-14.79%6.66万432.19%11.6万8.30%1.08万248.54%1.28万261.45%1.43万1,759.76%7.81万-80.28%2.18万-88.70%9,974
营运资金变化 105.82%3.22万154.63%49.83万-1.79%42.8万-935.30%-127.35万-109.27%-24.44万-259.81%-55.28万-326.76%-91.21万191.00%43.58万142.04%15.25万-150.32%-11.68万
-应收款项(增)减 -19.17%-72.51万---------12.44%-112.89万-11.51%-29.22万-111.06%-60.84万---------76.51%-100.4万---26.2万
-应付款项及应计费用(减)增 1,261.76%75.72万---------112.51%-14.47万-67.11%4.78万-91.23%5.56万--------461.08%115.64万--14.52万
非持续经营活动现金净额
经营活动现金净额 -62.86%-963.66万-14.43%-758.66万-36.82%-542.84万-33.26%-2,257.06万-0.80%-605.63万-32.60%-591.7万-89.63%-662.97万-33.59%-396.76万-19.10%-1,693.71万-81.61%-600.85万
投资活动现金流量
持续投资活动现金净额 -30,530.53%-781.14万-206.63%-10.55万17.56%-2.66万32.41%-23.89万-12.52%-14.68万52.28%-2.55万77.76%-3.44万-115.92%-3.22万-10.81%-35.35万-72.62%-13.04万
固定资产交易净额 -4,120.83%-107.64万-206.63%-10.55万17.56%-2.66万32.41%-23.89万-12.52%-14.68万52.28%-2.55万77.76%-3.44万-115.92%-3.22万-10.81%-35.35万-72.62%-13.04万
非持续投资活动现金净额
投资活动现金净额 -30,530.53%-781.14万-206.63%-10.55万17.56%-2.66万32.41%-23.89万-12.52%-14.68万52.28%-2.55万77.76%-3.44万-115.92%-3.22万-10.81%-35.35万-72.62%-13.04万
融资活动现金流量
持续融资活动现金净额 -215.95%-18.4万-103.32%-14.18万222.35%4,440.79万121.43%4,929.63万12,723.06%3,109.57万-82.43%15.87万1,327.88%426.58万-33.83%1,377.61万206.49%2,226.31万-96.66%24.25万
债务发行/偿还的净额 -547.62%-19.18万-428.56%-16.17万-517.30%-16.16万-110.85%-11.48万-59.67%-2.84万-128.46%-2.96万-155.85%-3.06万-123.12%-2.62万38.82%-5.44万-36.80%-1.78万
普通股发行/回购的净额 --0--0161.08%3,635.73万115.95%4,725.51万--3,332.94万--0--0-36.36%1,392.57万177.32%2,188.23万--0
职工行使股票期权收到的现金 -95.88%7,760-99.54%1.99万1,200.45%838.51万155.66%515.04万-91.99%2.08万-79.44%18.83万889.13%429.64万59.63%64.48万1,395.81%201.46万473.93%26.03万
其他融资活动的净现金流额 --0--077.50%-17.29万-89.60%-299.44万---222.61万--0100.00%-147.22%-76.82万-134.82%-157.93万--0
非持续融资活动现金净额
融资活动现金净额 -215.95%-18.4万-103.32%-14.18万222.35%4,440.79万121.43%4,929.63万12,723.06%3,109.57万-82.43%15.87万1,327.88%426.58万-33.83%1,377.61万206.49%2,226.31万-96.66%24.25万
现金净流量
期初现金流 233.95%7,058.14万228.73%7,802.62万174.82%3,893.1万66.60%1,416.62万-21.80%1,551.99万-11.15%2,113.55万-11.26%2,373.59万66.60%1,416.62万-47.86%850.33万308.25%1,984.57万
当期现金流变化 -204.85%-1,763.2万-226.65%-783.39万298.45%3,895.3万432.66%2,648.68万522.21%2,489.26万-60.06%-578.38万28.45%-239.82万-45.18%977.62万168.34%497.25万-252.48%-589.58万
利率变动影响 -109.98%-1.68万292.49%38.91万168.90%14.23万-349.43%-172.2万-785.02%-148.16万151.06%16.82万-151.58%-20.21万-150.16%-20.65万230.48%69.04万196.33%21.63万
期末现金流 241.06%5,293.26万233.95%7,058.14万228.73%7,802.62万174.82%3,893.1万174.82%3,893.1万-21.80%1,551.99万-11.15%2,113.55万-11.26%2,373.59万66.60%1,416.62万66.60%1,416.62万
自由现金流 -81.29%-1,077.3万-15.43%-769.21万-36.38%-545.5万-31.92%-2,280.95万-1.05%-620.31万-31.59%-594.25万-82.54%-666.41万-34.00%-399.99万-18.92%-1,729.06万-81.41%-613.89万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ------无保留意见--------无保留意见--

FY:Financial Year 年度报告,相当于上市公司向SEC披露的10-K文件。

Q:Quarter 季度报告,相当于上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4为单季报,跨度为3个月;Q6、Q9为累计季报,Q6为6个月,Q9为9个月。

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