美股市场个股详情

DYNACOR GROUP INC (DNGDF)

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  • 4.527
  • 0.0000.00%
延时15分钟行情收盘价 04/16 10:25 (美东)
1.90亿总市值9.05市盈率TTM

DYNACOR GROUP INC (DNGDF) 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
-25.79%1,197.33万
111.34%152.78万
-161.36%-634.65万
-86.50%130.67万
61.46%1,548.53万
67.93%1,613.5万
-105.26%-1,347.72万
106.13%1,034.32万
589.37%967.82万
-1.66%959.08万
持续经营净收入
26.14%2,128.85万
318.30%721.4万
-7.07%545.61万
-22.92%346.94万
7.71%514.9万
12.00%1,687.73万
-51.80%172.46万
130.74%587.11万
0.50%450.1万
7.01%478.06万
持续经营损益
-724.57%-47.64万
-3,156.62%-76.29万
164.55%1.42万
5,893.84%28.88万
70.41%-1.65万
41.38%-5.78万
115.70%2.5万
-126.21%-2.2万
-109.24%-4,985
27.92%-5.58万
折旧和摊销
10.55%403.13万
19.66%108.74万
10.01%103.58万
9.26%99.57万
3.08%91.24万
8.89%364.67万
4.88%90.88万
8.78%94.15万
9.44%91.13万
12.86%88.52万
递延税费
-1,418.65%-156.94万
-2,164.40%-112.51万
59.16%-16.72万
-63.24%7.81万
-2,201.02%-35.54万
77.50%-10.33万
122.75%5.45万
-216.78%-40.93万
158.18%21.26万
92.46%-1.54万
其他非现金项目
478.78%26.7万
435.95%92.92万
-68.09%6.86万
-3,362.49%-80.9万
280.72%7.82万
-186.41%-7.05万
-113.43%-27.66万
954.46%21.51万
-85.45%2.48万
0.72%2.05万
营运资金变化
-177.37%-1,338.52万
55.35%-727.51万
-453.22%-1,294.71万
-173.76%-284.9万
145.84%968.61万
46.16%-482.58万
-48.37%-1,629.39万
239.73%366.54万
201.56%386.27万
-16.94%394万
-应收款项(增)减
-7.06%-1,119.15万
38.98%-540.21万
-122.05%-1,204.74万
36.57%332.46万
110.93%293.33万
-968.21%-1,045.32万
-292.08%-885.28万
-587.21%-542.55万
292.35%243.45万
-2.85%139.06万
-存货(增)减
-453.32%-900.63万
8.26%-983.42万
-176.74%-533.78万
-336.87%-404.83万
121.86%1,021.4万
118.02%254.91万
20.75%-1,071.94万
628.74%695.56万
144.52%170.9万
1.53%460.39万
-预付费用(增)减
-62.11%-13.58万
152.33%44.49万
122.33%21.89万
-2.80%19.97万
-77.19%-99.94万
-59.82%-8.38万
-16.98%17.63万
-24.75%9.85万
92.02%20.54万
-12.20%-56.4万
-应付款项及应计费用(减)增
290.37%1,104.37万
122.16%848.95万
198.14%478.77万
-378.19%-232.51万
-65.17%-246.17万
-30.33%282.91万
56.86%382.14万
39.64%160.58万
-140.72%-48.62万
-107.16%-149.05万
-其他流动负债变化
----
----
----
----
----
----
----
--5.29万
----
----
-其他营运资本变化
-1,329.39%-409.52万
-35.29%-97.33万
-231.92%-56.86万
----
----
-84.53%33.31万
---71.94万
--43.1万
----
----
非持续经营活动现金净额
经营活动现金净额
-25.79%1,197.33万
111.34%152.78万
-161.36%-634.65万
-86.50%130.67万
61.46%1,548.53万
67.93%1,613.5万
-105.26%-1,347.72万
106.13%1,034.32万
589.37%967.82万
-1.66%959.08万
投资活动现金流量
持续投资活动现金净额
-15.34%-1,286.65万
53.11%-353.23万
-672.44%-1,021.24万
237.90%218.17万
-81.66%-130.36万
-72.95%-1,115.57万
-952.49%-753.39万
-45.63%-132.21万
-38.35%-158.22万
80.52%-71.76万
固定资产交易的净现金流
-265.79%-1,886.49万
-130.05%-353.23万
-899.24%-1,321.09万
48.28%-81.82万
-81.66%-130.36万
20.05%-515.73万
-114.50%-153.54万
-45.63%-132.21万
-38.35%-158.22万
80.52%-71.76万
投资产品交易的净现金流
200.00%599.85万
--0
--299.85万
--300万
----
---599.85万
---599.85万
--0
--0
----
非持续投资活动现金净额
投资活动现金净额
-15.34%-1,286.65万
53.11%-353.23万
-672.44%-1,021.24万
237.90%218.17万
-81.66%-130.36万
-72.95%-1,115.57万
-952.49%-753.39万
-45.63%-132.21万
-38.35%-158.22万
80.52%-71.76万
融资活动现金流量
持续融资活动现金净额
286.17%1,406.66万
-26.35%-129.99万
10.46%-165.53万
-132.29%-235.2万
628.53%1,937.38万
-20.32%-755.57万
68.25%-102.88万
-59.09%-184.87万
-7.08%-101.25万
-293.37%-366.56万
债务发行/偿还的净现金流
-190.42%-18.77万
-1,881.27%-16.92万
-39.53%-7,222
58.56%-7,222
87.96%-4,031
1.41%-6.46万
51.24%-8,539
79.87%-5,176
-89.83%-1.74万
-154.81%-3.35万
普通股发行/偿还的净现金流
571.75%1,872.94万
100.00%1
42.10%-54.1万
-710.18%-116.23万
842.61%2,043.28万
-37.34%-397.02万
94.17%-14.09万
-195.43%-93.43万
-56.25%-14.35万
-4,162.39%-275.15万
现金股利支付
-26.01%-474.09万
-30.16%-119.9万
-30.47%-121.85万
-28.79%-120.8万
-15.09%-111.54万
-10.70%-376.23万
-10.86%-92.12万
-8.09%-93.4万
-10.41%-93.8万
-13.46%-96.92万
职工行使股票期权收到的现金
10.05%26.57万
62.95%6.83万
350.56%11.14万
-70.35%2.56万
-31.68%6.05万
218.97%24.15万
56.25%4.19万
-43.77%2.47万
1,656.89%8.63万
--8.85万
非持续融资活动现金净额
融资活动现金净额
286.17%1,406.66万
-26.35%-129.99万
10.46%-165.53万
-132.29%-235.2万
628.53%1,937.38万
-20.32%-755.57万
68.25%-102.88万
-59.09%-184.87万
-7.08%-101.25万
-293.37%-366.56万
现金净流量
期初现金流
-11.84%1,981.92万
-12.10%3,687.67万
59.46%5,538.82万
92.58%5,329.76万
-11.84%1,981.92万
-12.17%2,248.07万
27.12%4,195.25万
15.45%3,473.42万
-9.94%2,767.54万
-12.17%2,248.07万
当期现金流变化
611.30%1,317.34万
85.01%-330.44万
-353.95%-1,821.42万
-83.96%113.64万
544.35%3,355.55万
17.47%-257.64万
-109.47%-2,203.99万
143.31%717.23万
1,133.74%708.35万
1.37%520.76万
利率变动影响
682.15%49.52万
9.42%-8.46万
-746.82%-29.73万
3,956.97%95.42万
-496.87%-7.71万
-1,317.53%-8.51万
-10,615.20%-9.34万
246.89%4.6万
-159.78%-2.47万
-223.12%-1.29万
期末现金流
68.97%3,348.78万
68.97%3,348.78万
-12.10%3,687.67万
59.46%5,538.82万
92.58%5,329.76万
-11.84%1,981.92万
-11.84%1,981.92万
27.12%4,195.25万
15.45%3,473.42万
-9.94%2,767.54万
自由现金流
-162.78%-689.17万
86.65%-200.45万
-316.80%-1,955.73万
-100.14%-1.16万
60.80%1,416.37万
261.15%1,097.77万
-105.72%-1,501.27万
121.57%902.11万
3,002.35%807.7万
46.67%880.81万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
审计意见
无保留意见
--
--
--
--
无保留意见
--
--
--
--
(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 -25.79%1,197.33万111.34%152.78万-161.36%-634.65万-86.50%130.67万61.46%1,548.53万67.93%1,613.5万-105.26%-1,347.72万106.13%1,034.32万589.37%967.82万-1.66%959.08万
持续经营净收入 26.14%2,128.85万318.30%721.4万-7.07%545.61万-22.92%346.94万7.71%514.9万12.00%1,687.73万-51.80%172.46万130.74%587.11万0.50%450.1万7.01%478.06万
持续经营损益 -724.57%-47.64万-3,156.62%-76.29万164.55%1.42万5,893.84%28.88万70.41%-1.65万41.38%-5.78万115.70%2.5万-126.21%-2.2万-109.24%-4,98527.92%-5.58万
折旧和摊销 10.55%403.13万19.66%108.74万10.01%103.58万9.26%99.57万3.08%91.24万8.89%364.67万4.88%90.88万8.78%94.15万9.44%91.13万12.86%88.52万
递延税费 -1,418.65%-156.94万-2,164.40%-112.51万59.16%-16.72万-63.24%7.81万-2,201.02%-35.54万77.50%-10.33万122.75%5.45万-216.78%-40.93万158.18%21.26万92.46%-1.54万
其他非现金项目 478.78%26.7万435.95%92.92万-68.09%6.86万-3,362.49%-80.9万280.72%7.82万-186.41%-7.05万-113.43%-27.66万954.46%21.51万-85.45%2.48万0.72%2.05万
营运资金变化 -177.37%-1,338.52万55.35%-727.51万-453.22%-1,294.71万-173.76%-284.9万145.84%968.61万46.16%-482.58万-48.37%-1,629.39万239.73%366.54万201.56%386.27万-16.94%394万
-应收款项(增)减 -7.06%-1,119.15万38.98%-540.21万-122.05%-1,204.74万36.57%332.46万110.93%293.33万-968.21%-1,045.32万-292.08%-885.28万-587.21%-542.55万292.35%243.45万-2.85%139.06万
-存货(增)减 -453.32%-900.63万8.26%-983.42万-176.74%-533.78万-336.87%-404.83万121.86%1,021.4万118.02%254.91万20.75%-1,071.94万628.74%695.56万144.52%170.9万1.53%460.39万
-预付费用(增)减 -62.11%-13.58万152.33%44.49万122.33%21.89万-2.80%19.97万-77.19%-99.94万-59.82%-8.38万-16.98%17.63万-24.75%9.85万92.02%20.54万-12.20%-56.4万
-应付款项及应计费用(减)增 290.37%1,104.37万122.16%848.95万198.14%478.77万-378.19%-232.51万-65.17%-246.17万-30.33%282.91万56.86%382.14万39.64%160.58万-140.72%-48.62万-107.16%-149.05万
-其他流动负债变化 ------------------------------5.29万--------
-其他营运资本变化 -1,329.39%-409.52万-35.29%-97.33万-231.92%-56.86万---------84.53%33.31万---71.94万--43.1万--------
非持续经营活动现金净额
经营活动现金净额 -25.79%1,197.33万111.34%152.78万-161.36%-634.65万-86.50%130.67万61.46%1,548.53万67.93%1,613.5万-105.26%-1,347.72万106.13%1,034.32万589.37%967.82万-1.66%959.08万
投资活动现金流量
持续投资活动现金净额 -15.34%-1,286.65万53.11%-353.23万-672.44%-1,021.24万237.90%218.17万-81.66%-130.36万-72.95%-1,115.57万-952.49%-753.39万-45.63%-132.21万-38.35%-158.22万80.52%-71.76万
固定资产交易的净现金流 -265.79%-1,886.49万-130.05%-353.23万-899.24%-1,321.09万48.28%-81.82万-81.66%-130.36万20.05%-515.73万-114.50%-153.54万-45.63%-132.21万-38.35%-158.22万80.52%-71.76万
投资产品交易的净现金流 200.00%599.85万--0--299.85万--300万-------599.85万---599.85万--0--0----
非持续投资活动现金净额
投资活动现金净额 -15.34%-1,286.65万53.11%-353.23万-672.44%-1,021.24万237.90%218.17万-81.66%-130.36万-72.95%-1,115.57万-952.49%-753.39万-45.63%-132.21万-38.35%-158.22万80.52%-71.76万
融资活动现金流量
持续融资活动现金净额 286.17%1,406.66万-26.35%-129.99万10.46%-165.53万-132.29%-235.2万628.53%1,937.38万-20.32%-755.57万68.25%-102.88万-59.09%-184.87万-7.08%-101.25万-293.37%-366.56万
债务发行/偿还的净现金流 -190.42%-18.77万-1,881.27%-16.92万-39.53%-7,22258.56%-7,22287.96%-4,0311.41%-6.46万51.24%-8,53979.87%-5,176-89.83%-1.74万-154.81%-3.35万
普通股发行/偿还的净现金流 571.75%1,872.94万100.00%142.10%-54.1万-710.18%-116.23万842.61%2,043.28万-37.34%-397.02万94.17%-14.09万-195.43%-93.43万-56.25%-14.35万-4,162.39%-275.15万
现金股利支付 -26.01%-474.09万-30.16%-119.9万-30.47%-121.85万-28.79%-120.8万-15.09%-111.54万-10.70%-376.23万-10.86%-92.12万-8.09%-93.4万-10.41%-93.8万-13.46%-96.92万
职工行使股票期权收到的现金 10.05%26.57万62.95%6.83万350.56%11.14万-70.35%2.56万-31.68%6.05万218.97%24.15万56.25%4.19万-43.77%2.47万1,656.89%8.63万--8.85万
非持续融资活动现金净额
融资活动现金净额 286.17%1,406.66万-26.35%-129.99万10.46%-165.53万-132.29%-235.2万628.53%1,937.38万-20.32%-755.57万68.25%-102.88万-59.09%-184.87万-7.08%-101.25万-293.37%-366.56万
现金净流量
期初现金流 -11.84%1,981.92万-12.10%3,687.67万59.46%5,538.82万92.58%5,329.76万-11.84%1,981.92万-12.17%2,248.07万27.12%4,195.25万15.45%3,473.42万-9.94%2,767.54万-12.17%2,248.07万
当期现金流变化 611.30%1,317.34万85.01%-330.44万-353.95%-1,821.42万-83.96%113.64万544.35%3,355.55万17.47%-257.64万-109.47%-2,203.99万143.31%717.23万1,133.74%708.35万1.37%520.76万
利率变动影响 682.15%49.52万9.42%-8.46万-746.82%-29.73万3,956.97%95.42万-496.87%-7.71万-1,317.53%-8.51万-10,615.20%-9.34万246.89%4.6万-159.78%-2.47万-223.12%-1.29万
期末现金流 68.97%3,348.78万68.97%3,348.78万-12.10%3,687.67万59.46%5,538.82万92.58%5,329.76万-11.84%1,981.92万-11.84%1,981.92万27.12%4,195.25万15.45%3,473.42万-9.94%2,767.54万
自由现金流 -162.78%-689.17万86.65%-200.45万-316.80%-1,955.73万-100.14%-1.16万60.80%1,416.37万261.15%1,097.77万-105.72%-1,501.27万121.57%902.11万3,002.35%807.7万46.67%880.81万
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审计意见 无保留意见--------无保留意见--------
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