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CRL 查尔斯河实验室

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  • 234.125
  • +4.235+1.84%
交易中 05/03 14:17 (美东)
120.60亿总市值25.39市盈率TTM

查尔斯河实验室关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2023/12/30
(Q4)2023/12/30
(Q3)2023/09/30
(Q2)2023/07/01
(Q1)2023/04/01
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/24
(Q2)2022/06/25
(Q1)2022/03/26
经营活动现金流量(间接法)
持续经营活动现金净额
10.37%6.84亿
-5.88%2.21亿
54.73%2.05亿
-0.90%1.48亿
6.58%1.09亿
-18.55%6.2亿
2.40%2.35亿
-24.01%1.33亿
-19.89%1.49亿
-39.71%1.03亿
持续经营净收入
-2.48%4.8亿
-0.08%1.89亿
-9.83%8,802.1万
-10.14%9,944.3万
9.17%1.04亿
23.51%4.93亿
35.24%1.89亿
-7.18%9,761.2万
23.07%1.11亿
48.94%9,522.6万
持续经营损益
-0.42%-9,289.9万
8.23%-1.06亿
414.16%747.7万
-75.02%289.8万
-79.57%284.1万
-361.64%-9,251.2万
-961.74%-1.16亿
-120.95%-238万
232.77%1,159.9万
-68.13%1,390.3万
折旧和摊销
3.37%3.14亿
3.83%8,051.4万
5.72%7,887万
1.64%7,767.1万
2.35%7,706.9万
14.43%3.04亿
15.32%7,754.5万
8.62%7,460.5万
12.21%7,642.1万
22.42%7,529.9万
递延税费
-41.85%-5,090.3万
-136.92%-2,265.2万
-0.49%-1,169.6万
30.19%-497.1万
-53.17%-1,158.4万
-49.48%-3,588.4万
6.71%-956.1万
48.61%-1,163.9万
-139.53%-712.1万
17.12%-756.3万
其他非现金项目
-81.07%340.2万
-737.71%-1,160万
-147.24%-852.9万
269.42%794.4万
458.87%1,558.7万
156.63%1,797.3万
108.16%181.9万
301.56%1,805.4万
-382.90%-468.9万
462.30%278.9万
营运资金变化
32.89%-1.02亿
-32.52%3,838.9万
103.53%230.8万
2.29%-5,113.3万
-0.33%-9,194.4万
-455.26%-1.53亿
29.12%5,689.1万
-7,174.67%-6,547.2万
-1,744.05%-5,233万
-2,595.38%-9,164.3万
-应收款项(增)减
77.80%-3,343.4万
8.68%2,564.7万
80.84%-1,083.2万
75.85%-1,441.8万
41.61%-3,383.1万
-465.35%-1.51亿
163.41%2,359.9万
-86.14%-5,652.7万
-451.65%-5,970万
-1,135.05%-5,794.2万
-存货(增)减
20.66%-6,230.1万
-711.38%-1,817.5万
8.78%-1,145.5万
40.62%-2,408.4万
62.93%-858.7万
-212.11%-7,852.3万
88.52%-224万
-955.45%-1,255.8万
-1,043.94%-4,056.1万
-103.12%-2,316.4万
-应付款项及应计费用(减)增
-670.25%-2,042.7万
170.72%610.4万
93.93%-154.6万
272.49%1,632.8万
-200.93%-4,131.3万
-105.91%-265.2万
-125.79%-863.1万
-202.71%-2,548.7万
58.85%-946.6万
325.40%4,093.2万
-其他营运资本变化
-82.60%1,378.2万
-43.81%2,481.3万
-10.17%2,614.1万
-150.45%-2,895.9万
84.04%-821.3万
58.91%7,919.1万
108.81%4,416.3万
813.37%2,910万
75.46%5,739.7万
-613.26%-5,146.9万
非持续经营活动现金净额
经营活动现金净额
10.37%6.84亿
-5.88%2.21亿
54.73%2.05亿
-0.90%1.48亿
6.58%1.09亿
-18.55%6.2亿
2.40%2.35亿
-24.01%1.33亿
-19.89%1.49亿
-39.71%1.03亿
投资活动现金流量
持续投资活动现金净额
7.36%-5.63亿
-637.08%-2.38亿
13.70%-7,955.7万
83.42%-7,660.9万
-72.05%-1.69亿
57.72%-6.08亿
376.88%4,438.3万
74.04%-9,218.6万
51.57%-4.62亿
28.98%-9,800.5万
资本性支出
1.91%-3.19亿
12.02%-7,832.3万
8.90%-6,594.7万
18.67%-6,738.3万
-32.82%-1.07亿
-41.95%-3.25亿
9.87%-8,902.4万
-30.35%-7,239.3万
-78.44%-8,285.2万
-187.06%-8,046.4万
业务交易的净现金流
-62.16%-1.95亿
-188.57%-1.45亿
--0
--0
---5,016.6万
89.74%-1.2亿
34.17%1.63亿
--0
68.73%-2.83亿
--0
投资产品交易的净现金流
69.07%-4,754.8万
44.74%-1,517.9万
28.37%-1,262.3万
90.45%-912.9万
18.90%-1,061.7万
-293.93%-1.54亿
-110.95%-2,746.6万
-121.91%-1,762.2万
-6,219.18%-9,554.6万
20.90%-1,309.1万
其他投资活动的净现金流
75.46%-229.4万
89.59%-25万
54.54%-98.7万
70.06%-9.7万
78.43%-96万
-3,640.53%-934.7万
-307.12%-240.2万
-14,573.33%-217.1万
-658.62%-32.4万
-669.78%-445万
非持续投资活动现金净额
投资活动现金净额
7.36%-5.63亿
-637.08%-2.38亿
13.70%-7,955.7万
83.42%-7,660.9万
-72.05%-1.69亿
57.72%-6.08亿
376.88%4,438.3万
74.04%-9,218.6万
51.57%-4.62亿
28.98%-9,800.5万
融资活动现金流量
持续融资活动现金净额
-101.71%-8,552.1万
149.63%1.24亿
-215.67%-1.63亿
-126.33%-7,146.4万
290.02%2,524.1万
-106.30%-4,239.7万
-13.69%-2.49亿
-128.84%-5,159.4万
-47.59%2.71亿
-106.82%-1,328.3万
债务发行/偿还的净现金流
-480.53%-7,532.3万
148.16%1.23亿
-225.43%-1.63亿
-122.68%-7,042.5万
156.02%3,517.2万
-97.05%1,979.4万
1.86%-2.54亿
-129.20%-4,997.1万
-40.10%3.11亿
-94.27%1,373.8万
普通股发行/偿还的净现金流
37.50%-2,415.5万
12.58%-13.9万
-58.33%-3.8万
-11.00%-496.6万
44.07%-1,901.2万
5.05%-3,865.1万
40.45%-15.9万
83.22%-2.4万
-4.80%-447.4万
5.65%-3,399.4万
职工行使股票期权收到的现金
1.94%2,559.7万
-19.74%593.9万
84.15%393.9万
16.46%392.7万
-3.34%1,179.2万
-45.00%2,511万
216.51%740万
-73.32%213.9万
-78.50%337.2万
-37.80%1,219.9万
其他融资活动的净现金流额
76.07%-1,164万
-179.28%-478.4万
-10.89%-414.5万
--0
48.12%-271.1万
-1,989.78%-4,865万
-104.48%-171.3万
-4,297.65%-373.8万
-221.37%-3,797.3万
81.78%-522.6万
非持续融资活动现金净额
融资活动现金净额
-101.71%-8,552.1万
149.63%1.24亿
-215.67%-1.63亿
-126.33%-7,146.4万
290.02%2,524.1万
-106.30%-4,239.7万
-13.69%-2.49亿
-128.84%-5,159.4万
-47.59%2.71亿
-106.82%-1,328.3万
现金净流量
期初现金流
-2.07%2.41亿
-15.58%1.66亿
0.76%2.09亿
-14.18%2.09亿
-2.07%2.41亿
5.66%2.46亿
-13.39%1.96亿
-8.92%2.07亿
-48.33%2.43亿
5.66%2.46亿
当期现金流变化
214.81%3,522.2万
251.64%1.06亿
-236.09%-3,697.3万
100.12%4.9万
-292.63%-3,399.4万
-576.49%-3,067.9万
54.06%3,018.4万
-667.69%-1,100.1万
83.50%-4,120.4万
-103.81%-865.8万
利率变动影响
-68.55%804.4万
-14.33%1,272.4万
-20,526.67%-618.8万
-103.25%-16.3万
-70.89%167.1万
44.27%2,557.9万
6,776.39%1,485.3万
-106.70%-3万
-17.95%501.6万
-47.59%574万
期末现金流
17.94%2.84亿
17.94%2.84亿
-15.58%1.66亿
0.76%2.09亿
-14.18%2.09亿
-2.07%2.41亿
-2.07%2.41亿
-13.39%1.96亿
-8.92%2.07亿
-48.33%2.43亿
自由现金流
23.89%3.65亿
-2.14%1.43亿
131.02%1.4亿
21.19%8,073.9万
-88.69%250.8万
-44.57%2.95亿
11.69%1.46亿
-49.33%6,038.6万
-52.47%6,662.2万
-84.41%2,216.6万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
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
--
--
--
--
(FY)2023/12/30(Q4)2023/12/30(Q3)2023/09/30(Q2)2023/07/01(Q1)2023/04/01(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/24(Q2)2022/06/25(Q1)2022/03/26
经营活动现金流量(间接法)
持续经营活动现金净额 10.37%6.84亿-5.88%2.21亿54.73%2.05亿-0.90%1.48亿6.58%1.09亿-18.55%6.2亿2.40%2.35亿-24.01%1.33亿-19.89%1.49亿-39.71%1.03亿
持续经营净收入 -2.48%4.8亿-0.08%1.89亿-9.83%8,802.1万-10.14%9,944.3万9.17%1.04亿23.51%4.93亿35.24%1.89亿-7.18%9,761.2万23.07%1.11亿48.94%9,522.6万
持续经营损益 -0.42%-9,289.9万8.23%-1.06亿414.16%747.7万-75.02%289.8万-79.57%284.1万-361.64%-9,251.2万-961.74%-1.16亿-120.95%-238万232.77%1,159.9万-68.13%1,390.3万
折旧和摊销 3.37%3.14亿3.83%8,051.4万5.72%7,887万1.64%7,767.1万2.35%7,706.9万14.43%3.04亿15.32%7,754.5万8.62%7,460.5万12.21%7,642.1万22.42%7,529.9万
递延税费 -41.85%-5,090.3万-136.92%-2,265.2万-0.49%-1,169.6万30.19%-497.1万-53.17%-1,158.4万-49.48%-3,588.4万6.71%-956.1万48.61%-1,163.9万-139.53%-712.1万17.12%-756.3万
其他非现金项目 -81.07%340.2万-737.71%-1,160万-147.24%-852.9万269.42%794.4万458.87%1,558.7万156.63%1,797.3万108.16%181.9万301.56%1,805.4万-382.90%-468.9万462.30%278.9万
营运资金变化 32.89%-1.02亿-32.52%3,838.9万103.53%230.8万2.29%-5,113.3万-0.33%-9,194.4万-455.26%-1.53亿29.12%5,689.1万-7,174.67%-6,547.2万-1,744.05%-5,233万-2,595.38%-9,164.3万
-应收款项(增)减 77.80%-3,343.4万8.68%2,564.7万80.84%-1,083.2万75.85%-1,441.8万41.61%-3,383.1万-465.35%-1.51亿163.41%2,359.9万-86.14%-5,652.7万-451.65%-5,970万-1,135.05%-5,794.2万
-存货(增)减 20.66%-6,230.1万-711.38%-1,817.5万8.78%-1,145.5万40.62%-2,408.4万62.93%-858.7万-212.11%-7,852.3万88.52%-224万-955.45%-1,255.8万-1,043.94%-4,056.1万-103.12%-2,316.4万
-应付款项及应计费用(减)增 -670.25%-2,042.7万170.72%610.4万93.93%-154.6万272.49%1,632.8万-200.93%-4,131.3万-105.91%-265.2万-125.79%-863.1万-202.71%-2,548.7万58.85%-946.6万325.40%4,093.2万
-其他营运资本变化 -82.60%1,378.2万-43.81%2,481.3万-10.17%2,614.1万-150.45%-2,895.9万84.04%-821.3万58.91%7,919.1万108.81%4,416.3万813.37%2,910万75.46%5,739.7万-613.26%-5,146.9万
非持续经营活动现金净额
经营活动现金净额 10.37%6.84亿-5.88%2.21亿54.73%2.05亿-0.90%1.48亿6.58%1.09亿-18.55%6.2亿2.40%2.35亿-24.01%1.33亿-19.89%1.49亿-39.71%1.03亿
投资活动现金流量
持续投资活动现金净额 7.36%-5.63亿-637.08%-2.38亿13.70%-7,955.7万83.42%-7,660.9万-72.05%-1.69亿57.72%-6.08亿376.88%4,438.3万74.04%-9,218.6万51.57%-4.62亿28.98%-9,800.5万
资本性支出 1.91%-3.19亿12.02%-7,832.3万8.90%-6,594.7万18.67%-6,738.3万-32.82%-1.07亿-41.95%-3.25亿9.87%-8,902.4万-30.35%-7,239.3万-78.44%-8,285.2万-187.06%-8,046.4万
业务交易的净现金流 -62.16%-1.95亿-188.57%-1.45亿--0--0---5,016.6万89.74%-1.2亿34.17%1.63亿--068.73%-2.83亿--0
投资产品交易的净现金流 69.07%-4,754.8万44.74%-1,517.9万28.37%-1,262.3万90.45%-912.9万18.90%-1,061.7万-293.93%-1.54亿-110.95%-2,746.6万-121.91%-1,762.2万-6,219.18%-9,554.6万20.90%-1,309.1万
其他投资活动的净现金流 75.46%-229.4万89.59%-25万54.54%-98.7万70.06%-9.7万78.43%-96万-3,640.53%-934.7万-307.12%-240.2万-14,573.33%-217.1万-658.62%-32.4万-669.78%-445万
非持续投资活动现金净额
投资活动现金净额 7.36%-5.63亿-637.08%-2.38亿13.70%-7,955.7万83.42%-7,660.9万-72.05%-1.69亿57.72%-6.08亿376.88%4,438.3万74.04%-9,218.6万51.57%-4.62亿28.98%-9,800.5万
融资活动现金流量
持续融资活动现金净额 -101.71%-8,552.1万149.63%1.24亿-215.67%-1.63亿-126.33%-7,146.4万290.02%2,524.1万-106.30%-4,239.7万-13.69%-2.49亿-128.84%-5,159.4万-47.59%2.71亿-106.82%-1,328.3万
债务发行/偿还的净现金流 -480.53%-7,532.3万148.16%1.23亿-225.43%-1.63亿-122.68%-7,042.5万156.02%3,517.2万-97.05%1,979.4万1.86%-2.54亿-129.20%-4,997.1万-40.10%3.11亿-94.27%1,373.8万
普通股发行/偿还的净现金流 37.50%-2,415.5万12.58%-13.9万-58.33%-3.8万-11.00%-496.6万44.07%-1,901.2万5.05%-3,865.1万40.45%-15.9万83.22%-2.4万-4.80%-447.4万5.65%-3,399.4万
职工行使股票期权收到的现金 1.94%2,559.7万-19.74%593.9万84.15%393.9万16.46%392.7万-3.34%1,179.2万-45.00%2,511万216.51%740万-73.32%213.9万-78.50%337.2万-37.80%1,219.9万
其他融资活动的净现金流额 76.07%-1,164万-179.28%-478.4万-10.89%-414.5万--048.12%-271.1万-1,989.78%-4,865万-104.48%-171.3万-4,297.65%-373.8万-221.37%-3,797.3万81.78%-522.6万
非持续融资活动现金净额
融资活动现金净额 -101.71%-8,552.1万149.63%1.24亿-215.67%-1.63亿-126.33%-7,146.4万290.02%2,524.1万-106.30%-4,239.7万-13.69%-2.49亿-128.84%-5,159.4万-47.59%2.71亿-106.82%-1,328.3万
现金净流量
期初现金流 -2.07%2.41亿-15.58%1.66亿0.76%2.09亿-14.18%2.09亿-2.07%2.41亿5.66%2.46亿-13.39%1.96亿-8.92%2.07亿-48.33%2.43亿5.66%2.46亿
当期现金流变化 214.81%3,522.2万251.64%1.06亿-236.09%-3,697.3万100.12%4.9万-292.63%-3,399.4万-576.49%-3,067.9万54.06%3,018.4万-667.69%-1,100.1万83.50%-4,120.4万-103.81%-865.8万
利率变动影响 -68.55%804.4万-14.33%1,272.4万-20,526.67%-618.8万-103.25%-16.3万-70.89%167.1万44.27%2,557.9万6,776.39%1,485.3万-106.70%-3万-17.95%501.6万-47.59%574万
期末现金流 17.94%2.84亿17.94%2.84亿-15.58%1.66亿0.76%2.09亿-14.18%2.09亿-2.07%2.41亿-2.07%2.41亿-13.39%1.96亿-8.92%2.07亿-48.33%2.43亿
自由现金流 23.89%3.65亿-2.14%1.43亿131.02%1.4亿21.19%8,073.9万-88.69%250.8万-44.57%2.95亿11.69%1.46亿-49.33%6,038.6万-52.47%6,662.2万-84.41%2,216.6万
货币单位 美元美元美元美元美元美元美元美元美元美元
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ----------无保留意见--------

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