美股市场个股详情

CINEPLEX INC (CPXGF)

添加自选
  • 8.030
  • -0.060-0.74%
延时15分钟行情收盘价 04/14 15:52 (美东)
5.10亿总市值-19.07市盈率TTM

CINEPLEX INC (CPXGF) 现金流量表

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2025/12/31
(Q4)2025/12/31
(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
经营活动现金流量(间接法)
持续经营活动现金净额
-18.21%1.22亿
-23.44%7,656.2万
49.96%2,676万
5,495.89%5,579.1万
-163.04%-2,266.4万
-23.91%1.49亿
19.36%1亿
-51.30%1,784.5万
-98.79%99.7万
608.90%3,595.4万
持续经营净收入
64.55%-3,692.4万
-423.30%-330.2万
105.96%136.5万
89.69%-219.8万
41.85%-3,661.5万
-175.45%-1.04亿
94.79%-63.1万
-193.60%-2,290万
-113.42%-2,131.2万
-89.80%-6,297万
持续经营损益
1,341.47%269.4万
-14.50%262.5万
-38.27%5万
100.72%6.1万
-107.92%-4.2万
-102.90%-21.7万
-23.56%307万
-85.99%8.1万
-742.01%-848.1万
-65.98%53万
折旧和摊销
-2.59%1.6亿
0.15%3,964.7万
-2.51%3,938万
-3.26%4,351.6万
-4.71%4,408.6万
-6.93%1.64亿
-10.18%3,958.7万
-7.89%4,039.5万
1.77%4,498.3万
4.19%4,626.6万
递延税费
53.27%-1,288万
34.17%-110.2万
-99.17%4.5万
91.96%-63.8万
49.53%-1,243.4万
81.21%-2,756.4万
73.95%-167.4万
-45.62%539.8万
94.72%-793.4万
---2,463.7万
其他非现金项目
215.38%754.1万
0.14%207.8万
-11.23%201.6万
-9.40%181.1万
119.93%165.1万
-122.94%-653.6万
-80.74%207.5万
-66.97%227.1万
-39.28%199.9万
-209.72%-828.3万
营运资金变化
-111.83%-393.6万
-39.24%3,280.6万
64.80%-1,329万
210.14%1,279.2万
-172.39%-2,334.1万
393.15%3,327.8万
14.52%5,399.7万
26.53%-3,775.1万
-151.28%-1,161.4万
208.31%3,224.4万
-应收款项(增)减
47.01%-967万
-24.60%-6,920.8万
2,125.43%1,051.2万
-2,583.96%-526.6万
40.71%5,611.7万
-216.29%-1,824.8万
-201.62%-5,554.4万
84.66%-51.9万
-97.22%21.2万
33.57%3,988万
-存货(增)减
144.35%53.8万
63.56%-112.7万
-57.35%2.9万
270.13%80.3万
89.95%251.5万
-290.03%-121.3万
-240.26%-309.3万
-92.10%6.8万
-5.83%-47.2万
623.50%132.4万
-预付费用(增)减
78.75%-274.4万
-20.69%354.1万
235.74%241.4万
21.76%-466.6万
68.55%-434.1万
-5,204.35%-1,291.4万
4.13%446.5万
165.07%71.9万
-286.02%-596.4万
-896.75%-1,380.5万
-应付款项及应计费用(减)增
-90.07%656.5万
0.13%7,834.6万
24.06%-2,140.6万
767.86%1,656.3万
-403.59%-6,258.6万
948.74%6,613.4万
89.97%7,824.1万
25.16%-2,818.9万
-107.96%-248万
148.52%2,061.5万
-其他流动负债变化
16.17%-19.7万
-594.56%-102.1万
1,247.62%96.4万
-352.50%-10.1万
-54.05%-5.7万
-58.78%-23.5万
-297.30%-14.7万
-133.33%-8.4万
214.29%4万
7.50%-3.7万
-其他营运资本变化
739.02%157.2万
-25.94%2,227.5万
40.46%-580.3万
285.05%545.9万
4.73%-1,498.9万
98.71%-24.6万
42.96%3,007.5万
3.03%-974.6万
79.13%-295万
1.03%-1,573.3万
非持续经营活动现金净额
46.30%1,874.6万
-22.02%448万
89.80%-15万
0
0
-1.72%1,281.3万
137.55%574.5万
-118.28%-147.1万
0
-70.04%293.4万
经营活动现金净额
-13.11%1.41亿
-23.37%8,104.2万
62.51%2,661万
5,495.89%5,579.1万
-158.28%-2,266.4万
-22.53%1.62亿
54.41%1.06亿
-63.36%1,637.4万
-98.93%99.7万
1,324.99%3,888.8万
投资活动现金流量
持续投资活动现金净额
36.04%-4,297万
49.49%-1,212.1万
58.89%-629.8万
40.95%-762.8万
-10.18%-1,736.2万
-7.71%-6,718.7万
-24.14%-2,399.8万
-74.37%-1,532万
22.80%-1,291.7万
10.09%-1,575.8万
固定资产交易的净现金流
43.31%-4,056.6万
49.28%-1,154.9万
67.79%-452.8万
61.19%-765.8万
-10.31%-1,694万
-36.36%-7,155.7万
-22.47%-2,276.8万
-103.80%-1,405.6万
-61.97%-1,973.3万
-3.71%-1,535.7万
无形资产交易净现金流
16.66%-802.6万
33.93%-173.3万
24.87%-198.5万
14.39%-225.5万
-9.26%-238.3万
12.24%-963.1万
3.42%-262.3万
5.00%-264.2万
0.45%-263.4万
22.96%-218.1万
业务交易的净现金流
-2.38%-464.1万
---274.9万
--0
--0
-57.67%-189.2万
49.26%-453.3万
--0
--0
1.97%-333.3万
51.34%-120万
其他投资活动的净现金流
-44.63%1,026.3万
180.69%391万
-84.40%21.5万
-82.12%228.5万
29.30%385.3万
85.14%1,853.4万
-48.60%139.3万
-57.27%137.8万
753.91%1,278.3万
15.55%298万
非持续投资活动现金净额
投资活动现金净额
-82.51%1,223.4万
281.92%4,389.6万
57.10%-667.2万
41.52%-762.8万
-114.15%-1,736.2万
195.90%6,994.5万
-11.40%-2,412.9万
-42.03%-1,555.2万
38.23%-1,304.4万
738.67%1.23亿
融资活动现金流量
持续融资活动现金净额
45.48%-9,691.6万
-8.98%-2,889.1万
11.60%-2,132.9万
-1.11%-2,383.4万
75.53%-2,589.4万
-36.31%-1.78亿
5.98%-2,651万
55.25%-2,412.7万
53.59%-2,357.3万
-4,310.39%-1.06亿
债务发行/偿还的净现金流
47.54%-8,976.9万
0.78%-2,174.4万
3.43%-2,132.9万
-1.11%-2,383.4万
75.53%-2,589.4万
-32.30%-1.71亿
19.24%-2,191.5万
59.04%-2,208.6万
53.59%-2,357.3万
-4,310.39%-1.06亿
普通股发行/偿还的净现金流
-7.70%-714.7万
-55.54%-714.7万
--0
----
----
---663.6万
---459.5万
---204.1万
----
----
非持续融资活动现金净额
18.46%-599.9万
76.25%-76.3万
-39.76%-220.4万
0
0
-86.54%-735.7万
-237.04%-321.2万
-88.19%-157.7万
0
71.58%-29.7万
融资活动现金净额
44.40%-1.03亿
0.23%-2,965.4万
8.45%-2,353.3万
-1.11%-2,383.4万
75.60%-2,589.4万
-37.79%-1.85亿
-1.97%-2,972.2万
53.06%-2,570.4万
54.58%-2,357.3万
-7,327.79%-1.06亿
现金净流量
期初现金流
128.74%8,387.1万
21.58%3,865.3万
-25.83%4,206.5万
-80.55%1,794.9万
128.74%8,387.1万
5.74%3,666.6万
67.04%3,179.2万
41.80%5,671.1万
368.51%9,229.2万
5.74%3,666.6万
当期现金流变化
6.92%5,009.8万
83.58%9,528.4万
85.55%-359.5万
168.30%2,432.9万
-218.87%-6,592万
2,423.16%4,685.5万
193.55%5,190.3万
-18.42%-2,488.2万
-276.36%-3,562万
469.45%5,545.4万
利率变动影响
-92.00%2.8万
-65.91%6万
594.59%18.3万
-646.15%-21.3万
-101.16%-2,000
159.26%35万
474.47%17.6万
-177.08%-3.7万
-60.61%3.9万
391.43%17.2万
期末现金流
59.77%1.34亿
59.77%1.34亿
21.58%3,865.3万
-25.83%4,206.5万
-80.55%1,794.9万
128.74%8,387.1万
128.74%8,387.1万
67.04%3,179.2万
41.80%5,671.1万
368.51%9,229.2万
自由现金流
14.06%9,218.7万
-15.68%6,776万
6,302.78%2,009.7万
314.68%4,587.8万
-296.66%-4,198.7万
-44.52%8,082.5万
70.32%8,036.3万
-100.93%-32.4万
-127.26%-2,137万
243.19%2,135万
货币单位
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
审计意见
无保留意见
--
--
--
--
无保留意见
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--
--
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(FY)2025/12/31(Q4)2025/12/31(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
经营活动现金流量(间接法)
持续经营活动现金净额 -18.21%1.22亿-23.44%7,656.2万49.96%2,676万5,495.89%5,579.1万-163.04%-2,266.4万-23.91%1.49亿19.36%1亿-51.30%1,784.5万-98.79%99.7万608.90%3,595.4万
持续经营净收入 64.55%-3,692.4万-423.30%-330.2万105.96%136.5万89.69%-219.8万41.85%-3,661.5万-175.45%-1.04亿94.79%-63.1万-193.60%-2,290万-113.42%-2,131.2万-89.80%-6,297万
持续经营损益 1,341.47%269.4万-14.50%262.5万-38.27%5万100.72%6.1万-107.92%-4.2万-102.90%-21.7万-23.56%307万-85.99%8.1万-742.01%-848.1万-65.98%53万
折旧和摊销 -2.59%1.6亿0.15%3,964.7万-2.51%3,938万-3.26%4,351.6万-4.71%4,408.6万-6.93%1.64亿-10.18%3,958.7万-7.89%4,039.5万1.77%4,498.3万4.19%4,626.6万
递延税费 53.27%-1,288万34.17%-110.2万-99.17%4.5万91.96%-63.8万49.53%-1,243.4万81.21%-2,756.4万73.95%-167.4万-45.62%539.8万94.72%-793.4万---2,463.7万
其他非现金项目 215.38%754.1万0.14%207.8万-11.23%201.6万-9.40%181.1万119.93%165.1万-122.94%-653.6万-80.74%207.5万-66.97%227.1万-39.28%199.9万-209.72%-828.3万
营运资金变化 -111.83%-393.6万-39.24%3,280.6万64.80%-1,329万210.14%1,279.2万-172.39%-2,334.1万393.15%3,327.8万14.52%5,399.7万26.53%-3,775.1万-151.28%-1,161.4万208.31%3,224.4万
-应收款项(增)减 47.01%-967万-24.60%-6,920.8万2,125.43%1,051.2万-2,583.96%-526.6万40.71%5,611.7万-216.29%-1,824.8万-201.62%-5,554.4万84.66%-51.9万-97.22%21.2万33.57%3,988万
-存货(增)减 144.35%53.8万63.56%-112.7万-57.35%2.9万270.13%80.3万89.95%251.5万-290.03%-121.3万-240.26%-309.3万-92.10%6.8万-5.83%-47.2万623.50%132.4万
-预付费用(增)减 78.75%-274.4万-20.69%354.1万235.74%241.4万21.76%-466.6万68.55%-434.1万-5,204.35%-1,291.4万4.13%446.5万165.07%71.9万-286.02%-596.4万-896.75%-1,380.5万
-应付款项及应计费用(减)增 -90.07%656.5万0.13%7,834.6万24.06%-2,140.6万767.86%1,656.3万-403.59%-6,258.6万948.74%6,613.4万89.97%7,824.1万25.16%-2,818.9万-107.96%-248万148.52%2,061.5万
-其他流动负债变化 16.17%-19.7万-594.56%-102.1万1,247.62%96.4万-352.50%-10.1万-54.05%-5.7万-58.78%-23.5万-297.30%-14.7万-133.33%-8.4万214.29%4万7.50%-3.7万
-其他营运资本变化 739.02%157.2万-25.94%2,227.5万40.46%-580.3万285.05%545.9万4.73%-1,498.9万98.71%-24.6万42.96%3,007.5万3.03%-974.6万79.13%-295万1.03%-1,573.3万
非持续经营活动现金净额 46.30%1,874.6万-22.02%448万89.80%-15万00-1.72%1,281.3万137.55%574.5万-118.28%-147.1万0-70.04%293.4万
经营活动现金净额 -13.11%1.41亿-23.37%8,104.2万62.51%2,661万5,495.89%5,579.1万-158.28%-2,266.4万-22.53%1.62亿54.41%1.06亿-63.36%1,637.4万-98.93%99.7万1,324.99%3,888.8万
投资活动现金流量
持续投资活动现金净额 36.04%-4,297万49.49%-1,212.1万58.89%-629.8万40.95%-762.8万-10.18%-1,736.2万-7.71%-6,718.7万-24.14%-2,399.8万-74.37%-1,532万22.80%-1,291.7万10.09%-1,575.8万
固定资产交易的净现金流 43.31%-4,056.6万49.28%-1,154.9万67.79%-452.8万61.19%-765.8万-10.31%-1,694万-36.36%-7,155.7万-22.47%-2,276.8万-103.80%-1,405.6万-61.97%-1,973.3万-3.71%-1,535.7万
无形资产交易净现金流 16.66%-802.6万33.93%-173.3万24.87%-198.5万14.39%-225.5万-9.26%-238.3万12.24%-963.1万3.42%-262.3万5.00%-264.2万0.45%-263.4万22.96%-218.1万
业务交易的净现金流 -2.38%-464.1万---274.9万--0--0-57.67%-189.2万49.26%-453.3万--0--01.97%-333.3万51.34%-120万
其他投资活动的净现金流 -44.63%1,026.3万180.69%391万-84.40%21.5万-82.12%228.5万29.30%385.3万85.14%1,853.4万-48.60%139.3万-57.27%137.8万753.91%1,278.3万15.55%298万
非持续投资活动现金净额
投资活动现金净额 -82.51%1,223.4万281.92%4,389.6万57.10%-667.2万41.52%-762.8万-114.15%-1,736.2万195.90%6,994.5万-11.40%-2,412.9万-42.03%-1,555.2万38.23%-1,304.4万738.67%1.23亿
融资活动现金流量
持续融资活动现金净额 45.48%-9,691.6万-8.98%-2,889.1万11.60%-2,132.9万-1.11%-2,383.4万75.53%-2,589.4万-36.31%-1.78亿5.98%-2,651万55.25%-2,412.7万53.59%-2,357.3万-4,310.39%-1.06亿
债务发行/偿还的净现金流 47.54%-8,976.9万0.78%-2,174.4万3.43%-2,132.9万-1.11%-2,383.4万75.53%-2,589.4万-32.30%-1.71亿19.24%-2,191.5万59.04%-2,208.6万53.59%-2,357.3万-4,310.39%-1.06亿
普通股发行/偿还的净现金流 -7.70%-714.7万-55.54%-714.7万--0-----------663.6万---459.5万---204.1万--------
非持续融资活动现金净额 18.46%-599.9万76.25%-76.3万-39.76%-220.4万00-86.54%-735.7万-237.04%-321.2万-88.19%-157.7万071.58%-29.7万
融资活动现金净额 44.40%-1.03亿0.23%-2,965.4万8.45%-2,353.3万-1.11%-2,383.4万75.60%-2,589.4万-37.79%-1.85亿-1.97%-2,972.2万53.06%-2,570.4万54.58%-2,357.3万-7,327.79%-1.06亿
现金净流量
期初现金流 128.74%8,387.1万21.58%3,865.3万-25.83%4,206.5万-80.55%1,794.9万128.74%8,387.1万5.74%3,666.6万67.04%3,179.2万41.80%5,671.1万368.51%9,229.2万5.74%3,666.6万
当期现金流变化 6.92%5,009.8万83.58%9,528.4万85.55%-359.5万168.30%2,432.9万-218.87%-6,592万2,423.16%4,685.5万193.55%5,190.3万-18.42%-2,488.2万-276.36%-3,562万469.45%5,545.4万
利率变动影响 -92.00%2.8万-65.91%6万594.59%18.3万-646.15%-21.3万-101.16%-2,000159.26%35万474.47%17.6万-177.08%-3.7万-60.61%3.9万391.43%17.2万
期末现金流 59.77%1.34亿59.77%1.34亿21.58%3,865.3万-25.83%4,206.5万-80.55%1,794.9万128.74%8,387.1万128.74%8,387.1万67.04%3,179.2万41.80%5,671.1万368.51%9,229.2万
自由现金流 14.06%9,218.7万-15.68%6,776万6,302.78%2,009.7万314.68%4,587.8万-296.66%-4,198.7万-44.52%8,082.5万70.32%8,036.3万-100.93%-32.4万-127.26%-2,137万243.19%2,135万
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中东战火燃至股市!投资者该如何应对?
北京时间4月13日22时,美国中央司令部正式封锁伊朗港口海上交通,霍尔木兹海峡实施史上最严对伊制裁,第三方通行不受影响。据Axios消息,巴基斯坦、埃及、土耳其三方持续斡旋,力争在4月21日停火协议到期前推动达成停战协议。纽约邮报称,伊朗官员正研究以放弃铀浓缩换取美方结束战争;俄 展开