加拿大市场个股详情

CVR Medical Corp (CVM)

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延时15分钟行情已收盘 08/24 09:30 (美东)
0总市值0.00市盈率TTM

CVR Medical Corp (CVM) 现金流量表

单季报·全部
显示同比 yoy
隐藏空行 yoy
币种: USD
2022/Q2
2022/Q1
2021/Q4
2021/Q3
2021/Q2
2021/Q1
2020/Q4
2020/Q3
2020/Q2
2020/Q1
2019/Q4
2019/Q3
2019/Q2
2019/Q1
2018/Q4
2018/Q3
2018/Q2
2018/Q1
2017/Q4
2017/Q3
经营活动现金流量净额
-429.83%-9.37万
-471.84%-5.25万
-114.61%-5.13万
+68.12%-5.63万
+112.62%2.84万
+92.94%-9174.00
+307.29%35.12万
-805.02%-17.66万
+70.64%-22.51万
+89.58%-12.99万
+90.68%-16.94万
+96.48%-1.95万
+29.11%-76.66万
-37.17%-124.67万
-264.64%-181.69万
+37.57%-55.44万
-4.97%-108.13万
+38.16%-90.88万
+38.01%-49.83万
-1000.89%-88.80万
持续经营活动现金流量净额
-429.83%-9.37万
-471.84%-5.25万
-114.61%-5.13万
+68.12%-5.63万
+112.62%2.84万
+92.94%-9174.00
+307.29%35.12万
-805.02%-17.66万
+70.64%-22.51万
+89.58%-12.99万
+90.68%-16.94万
+96.48%-1.95万
+29.11%-76.66万
-37.17%-124.67万
-264.64%-181.69万
+37.57%-55.44万
-4.97%-108.13万
+38.16%-90.88万
+38.01%-49.83万
-1000.89%-88.80万
持续经营净收入
-229.04%-19.06万
+59.86%-13.49万
-268.87%-138.58万
+21.88%-24.35万
+145.07%14.77万
+5.23%-33.60万
+167.57%82.06万
-14.52%-31.17万
+80.03%-32.77万
+82.35%-35.45万
+61.11%-121.44万
+77.25%-27.22万
+5.33%-164.14万
-44.64%-200.92万
-176.42%-312.23万
+5.09%-119.68万
+1.51%-173.37万
+42.15%-138.91万
+21.55%-112.96万
-69.49%-126.09万
折旧摊销及损耗
-100.00%0.00
-49.18%31.00
+3.33%62.00
+6.90%62.00
+12.50%63.00
+5.17%61.00
+1.69%60.00
-1.69%58.00
-3.45%56.00
+0.00%58.00
+90.32%59.00
-32.18%59.00
-1.69%58.00
-6.45%58.00
-42.18%31.00
+29.48%87.00
-1.58%59.00
+112.01%62.00
--53.62
--67.19
资产减值支出
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-190.89%-56.93万
-4.26%31.63万
-26.52%58.51万
-40.36%49.12万
-4.53%62.64万
--33.04万
以股票支付的报酬
+98.98%-2338.00
-88.90%1.52万
+105.59%3.20万
-83.29%1.80万
-321.40%-23.03万
+21.98%13.72万
-300.36%-57.19万
+118.51%10.78万
-74.72%10.40万
-82.08%11.24万
-76.97%28.54万
---58.24万
--41.15万
--62.73万
+9067.39%123.95万
-100.00%0.00
-100.00%0.00
-100.00%0.00
+147.32%1.35万
-98.74%1.11万
其他非现金项目
-3.68%9645.00
-3.67%9193.00
---3.94万
--1.05万
--1.00万
--9543.00
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---1.74万
--3629.22
营运资金变化
-11.23%8.96万
-67.81%5.80万
+200.81%16.91万
+482.13%15.86万
+7228.74%10.09万
+60.60%18.01万
-90.95%5.62万
-96.74%2.73万
-100.31%-1416.00
-17.03%11.21万
-6.13%62.10万
+156.13%83.50万
+588.12%46.33万
+1327.89%13.51万
+7468.12%66.16万
+1078.56%32.60万
+144.37%6.73万
+80.98%-1.10万
+205.83%8741.40
-42.12%2.77万
-应收款项(增)减
+97.70%-67.00
-154.01%-602.00
+59.71%-365.00
+830.14%1.49万
-467.45%-2911.00
+57.53%-237.00
+55.91%-906.00
-106.83%-2047.00
+81.32%-513.00
+87.27%-558.00
+68.85%-2055.00
+637.91%3.00万
-23.30%-2746.00
+41.44%-4385.00
+23.53%-6597.00
-37.54%-5574.00
-5.77%-2227.00
-17.00%-7488.00
-108.67%-8626.66
+0.39%-4052.78
-预付款项(增)减
+100.00%0.00
+100.00%0.00
+2658.88%4.82万
-97.98%239.00
+98.22%-148.00
-101.84%-148.00
+121.56%1746.00
+117.16%1.18万
-425.66%-8316.00
-22.48%8033.00
+59.26%-8097.00
-68.67%5436.00
-124.51%-1582.00
+177.39%1.04万
-193.51%-1.99万
-65.95%1.74万
+105.23%6454.00
-324.32%-1.34万
+266.18%2.13万
--5.10万
-应付款项及应计费用(减)增
-13.77%8.97万
-67.54%5.86万
+119.03%12.13万
+720.05%14.35万
+1302.97%10.40万
+72.44%18.05万
-91.23%5.54万
-97.81%1.75万
-98.41%7413.00
-18.98%10.46万
-8.27%63.11万
+154.46%79.96万
+641.07%46.76万
+1207.99%12.92万
+17813.54%68.80万
+1732.75%31.42万
+340.82%6.31万
+117.19%9874.00
-119.64%-3884.20
-137.11%-1.92万
投资活动现金流量净额
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+173.54%46.06万
+4.28%-31.63万
+26.52%-58.51万
+40.44%-49.12万
-209.27%-62.64万
+73.12%-33.04万
持续投资活动现金流量净额
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----
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----
----
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----
+173.54%46.06万
+4.28%-31.63万
+26.52%-58.51万
+40.44%-49.12万
-209.27%-62.64万
+73.12%-33.04万
固定资产交易净额
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--22.88
---57.78
其他投资活动净额
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+173.53%46.06万
+4.26%-31.63万
---58.51万
---49.12万
---62.64万
---33.04万
融资活动现金流量净额
+57.41%4.50万
-68.25%7885.00
+343.04%11.73万
-26.33%2.70万
-62.52%2.86万
-39.74%2.48万
-56.21%2.65万
+180.95%3.67万
-64.97%7.63万
-97.76%4.12万
-95.68%6.05万
-98.51%1.31万
-86.67%21.77万
+81.05%183.94万
+438.13%140.08万
-29.91%87.40万
-49.47%163.40万
-61.57%101.59万
-1349.66%-41.43万
-25.03%124.71万
持续融资活动现金流量净额
+57.41%4.50万
-68.25%7885.00
+343.04%11.73万
-26.33%2.70万
-62.52%2.86万
-39.74%2.48万
-56.21%2.65万
+180.95%3.67万
-64.97%7.63万
-97.76%4.12万
-95.68%6.05万
-98.51%1.31万
-86.67%21.77万
+81.05%183.94万
+438.13%140.08万
-29.91%87.40万
-49.47%163.40万
-61.57%101.59万
-1349.66%-41.43万
-25.03%124.71万
债务发行/偿还的净额
-100.00%0.00
-68.25%7885.00
+3.24%2.73万
-26.33%2.70万
-62.52%2.86万
-39.74%2.48万
-71.98%2.65万
+180.95%3.67万
--7.63万
--4.12万
--9.45万
--1.31万
--0.00
--0.00
--0.00
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--0.00
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普通股发行/回购的净额
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-102.43%-3.40万
-100.00%0.00
-7.25%78.28万
+36.41%127.43万
+484.71%140.08万
+253.32%84.90万
-73.43%84.40万
-47.78%93.42万
-900.08%-36.41万
--24.03万
职工行使股票期权收到的现金
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+100.00%0.00
-100.00%0.00
+301.99%79.00万
-88.56%8.18万
-740.52%-5.02万
--100.68万
其他融资活动的净现金流额
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--56.50万
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现金及现金等价物期末余额
+2144.62%3.02万
+636.55%1.73万
+2638.11%9.44万
-18.30%4839.00
-97.41%1347.00
+3.43%2350.00
+6.65%3448.00
+0.92%5923.00
+1202.03%5.20万
-99.61%2272.00
-95.67%3233.00
-90.00%5869.00
-93.46%3990.00
+516.87%58.02万
-83.88%7.47万
-96.90%5.87万
-96.72%6.10万
-78.98%9.41万
+374.76%46.35万
+429.69%189.08万
现金及现金等价物净增加额
-185.41%-4.87万
-384.61%-4.46万
-82.92%6.60万
+80.32%-2.93万
+138.30%5.70万
+117.66%1.57万
+454.91%38.66万
-2268.44%-14.89万
+72.90%-14.88万
-114.97%-8.87万
-344.42%-10.89万
-286.25%-6286.00
-1598.62%-54.90万
+254.31%59.27万
+102.90%4.46万
-88.20%3375.00
-102.30%-3.23万
-210.02%-38.41万
-493.78%-153.89万
-91.91%2.86万
现金及现金等价物期初余额
+636.55%1.73万
+2638.11%9.44万
-18.30%4839.00
-97.41%1347.00
+3.43%2350.00
+6.65%3448.00
+0.92%5923.00
+1202.03%5.20万
-99.61%2272.00
-95.67%3233.00
-90.00%5869.00
-93.46%3990.00
+516.87%58.02万
-83.88%7.47万
-96.90%5.87万
-96.72%6.10万
-78.98%9.41万
+371.04%46.35万
+429.69%189.08万
+52320.28%185.73万
利率变动影响
+206.22%6.16万
-94.06%-3.25万
+106.05%2.35万
-68.12%3.28万
-129.22%-5.80万
-119.10%-1.68万
-466.05%-38.91万
+1159.67%10.29万
+830.19%19.85万
+200.53%8.77万
+473.05%10.63万
+242.92%8165.00
-3659.34%-2.72万
-697.20%-8.73万
---2.85万
---5713.00
---723.00
--1.46万
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自由现金流
-429.83%-9.37万
-471.84%-5.25万
-114.25%-5.13万
+69.66%-5.63万
+112.62%2.84万
+92.94%-9174.00
+312.56%36.01万
-850.73%-18.55万
+70.64%-22.51万
+89.58%-12.99万
+90.68%-16.94万
+96.48%-1.95万
+29.11%-76.66万
-37.17%-124.67万
-264.66%-181.69万
+37.58%-55.44万
-4.97%-108.13万
+38.21%-90.88万
+38.02%-49.82万
-1000.96%-88.81万
截止日期
2022/06/30
2022/03/31
2021/12/31
2021/09/30
2021/06/30
2021/03/31
2020/12/31
2020/09/30
2020/06/30
2020/03/31
2019/12/31
2019/09/30
2019/06/30
2019/03/31
2018/12/31
2018/09/30
2018/06/30
2018/03/31
2017/12/31
2017/09/30
会计准则
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
2022/Q22022/Q12021/Q42021/Q32021/Q22021/Q12020/Q42020/Q32020/Q22020/Q12019/Q42019/Q32019/Q22019/Q12018/Q42018/Q32018/Q22018/Q12017/Q42017/Q3

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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