美股市场个股详情

ROCHESTER RESOURCES LTD (RCTFF)

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延时15分钟行情收盘价 04/14 09:35 (美东)
573.53万总市值-1.82市盈率TTM

ROCHESTER RESOURCES LTD (RCTFF) 现金流量表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2025/11/30
(Q1)2025/08/31
(FY)2025/05/31
(Q4)2025/05/31
(Q3)2025/02/28
(Q2)2024/11/30
(Q1)2024/08/31
(FY)2024/05/31
(Q4)2024/05/31
(Q3)2024/02/29
经营活动现金流量(间接法)
持续经营活动现金净额
314.93%43.61万
102.54%46.59万
-56.17%25.37万
709.90%55.03万
-123.88%-63.17万
104.98%10.51万
1,060.64%23万
52.96%57.89万
72.59%6.8万
968.67%264.5万
持续经营净收入
29.07%-91.03万
-156.30%-84.31万
54.95%-231.91万
72.45%-44.17万
-7.54%-209.15万
-11.62%-128.33万
433.08%149.74万
12.89%-514.75万
19.63%-160.35万
-82.14%-194.48万
持续经营损益
-93.82%2.23万
85.23%-2.63万
44.92%-10万
-612.65%-55.9万
817.20%27.65万
735.08%36.03万
8.96%-17.78万
-152.95%-18.15万
165.24%10.9万
-798.25%-3.86万
折旧和摊销
18.04%14.76万
-17.36%9.9万
-2.72%50.63万
17.32%13.82万
-7.74%12.32万
-7.06%12.5万
-10.95%11.98万
-13.09%52.04万
-27.79%11.78万
-7.77%13.36万
其他非现金项目
61.50%42.91万
60.72%43.08万
23.35%134.43万
48.75%40.6万
50.01%40.46万
-2.59%26.57万
-2.34%26.8万
-0.16%108.98万
-4.11%27.29万
-0.54%26.97万
营运资金变化
17.89%70.45万
144.42%70.21万
-92.39%27.79万
4.24%80.3万
-88.89%45.78万
143.48%59.76万
-1,287.45%-158.05万
-8.45%364.96万
-54.96%77.03万
410.19%412.05万
-应收款项(增)减
-95.92%-88.54万
-212.00%-63.6万
-256.51%-76.76万
66.16%-16.42万
-116.79%-71.94万
86.64%-45.19万
189.95%56.78万
69.60%-21.53万
26.11%-48.51万
4,435.11%428.4万
-存货(增)减
-429.43%-48.33万
-656.11%-44.37万
-111.98%-3.61万
128.35%2.42万
30.41%-14.83万
-78.27%14.67万
22.21%-5.87万
20.76%30.13万
-146.66%-8.53万
-1,206.77%-21.31万
-预付费用(增)减
117.72%1.52万
-173.71%-2.87万
137.53%8.24万
145.53%1.1万
205.12%11.85万
65.63%-8.6万
141.94%3.89万
-802.90%-21.95万
16.87%-2.42万
608.35%3.88万
-应付款项及应计费用(减)增
108.13%205.79万
185.06%181.05万
-73.59%99.91万
-31.71%93.2万
11,076.58%120.7万
-37.57%98.88万
-358.40%-212.85万
-15.36%378.31万
-38.33%136.48万
-98.51%1.08万
非持续经营活动现金净额
经营活动现金净额
314.93%43.61万
102.54%46.59万
-56.17%25.37万
709.90%55.03万
-123.88%-63.17万
104.98%10.51万
1,060.64%23万
52.96%57.89万
72.59%6.8万
968.67%264.5万
投资活动现金流量
持续投资活动现金净额
57.34%-19.01万
-145.82%-40.3万
-243.93%-224.27万
-156.06%-103.21万
-474.51%-60.1万
-579.58%-44.56万
-108.05%-16.39万
-100.71%-65.21万
-351.26%-40.31万
70.29%-10.46万
固定资产交易的净现金流
63.74%-14.71万
-391.75%-29.95万
-44,368.32%-179.25万
-47,941.01%-82.82万
---49.76万
-17,487.73%-40.57万
---6.09万
92.95%-4,031
-100.84%-1,724
--0
其他投资活动的净现金流
-7.75%-4.29万
-0.42%-10.35万
30.54%-45.01万
49.20%-20.39万
1.18%-10.34万
37.01%-3.98万
-30.75%-10.3万
-142.07%-64.8万
-819.86%-40.14万
-9.04%-10.46万
非持续投资活动现金净额
投资活动现金净额
57.34%-19.01万
-145.82%-40.3万
-243.93%-224.27万
-156.06%-103.21万
-474.51%-60.1万
-579.58%-44.56万
-108.05%-16.39万
-100.71%-65.21万
-351.26%-40.31万
70.29%-10.46万
融资活动现金流量
持续融资活动现金净额
-127.09%-22.74万
206.16%8.66万
16,853.89%196.82万
502.88%42.85万
138.53%78.17万
-59.02%83.96万
-183.49%-8.16万
105.30%1.16万
10.58%-10.64万
-15,720.04%-202.86万
债务发行/偿还的净现金流
54.14%-5.88万
24.99%-6.12万
-7.21%-34.35万
17.83%-8.74万
32.57%-4.64万
-84.21%-12.82万
-7.76%-8.16万
-113.88%-32.04万
-114.35%-10.64万
-629.47%-6.88万
其他融资活动的净现金流额
---16.86万
--14.78万
596.28%231.17万
--51.59万
142.25%82.81万
----
----
578.98%33.2万
--0
---195.98万
非持续融资活动现金净额
融资活动现金净额
-127.09%-22.74万
206.16%8.66万
16,853.89%196.82万
502.88%42.85万
138.53%78.17万
-59.02%83.96万
-183.49%-8.16万
105.30%1.16万
10.58%-10.64万
-15,720.04%-202.86万
现金净流量
期初现金流
138.14%24.87万
-17.29%9.92万
-33.92%12万
-72.83%15.25万
1,117.47%60.35万
-40.82%10.44万
-33.92%12万
-47.70%18.15万
457.78%56.14万
-74.21%4.96万
当期现金流变化
-96.28%1.86万
1,064.19%14.95万
66.32%-2.07万
87.92%-5.33万
-188.11%-45.1万
493.24%49.91万
-208.39%-1.55万
62.80%-6.16万
-645.94%-44.15万
658.80%51.19万
期末现金流
-55.71%26.73万
138.14%24.87万
-17.29%9.92万
-17.29%9.92万
-72.83%15.25万
1,117.47%60.35万
-40.82%10.44万
-33.92%12万
-33.92%12万
457.78%56.14万
自由现金流
196.10%28.89万
-1.63%16.64万
-367.68%-153.88万
-519.63%-27.79万
-142.70%-112.93万
85.77%-30.07万
806.25%16.91万
78.92%57.49万
-72.79%6.62万
30,682.08%264.5万
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
--
--
--
--
带解释段的无保留意见
--
--
(Q2)2025/11/30(Q1)2025/08/31(FY)2025/05/31(Q4)2025/05/31(Q3)2025/02/28(Q2)2024/11/30(Q1)2024/08/31(FY)2024/05/31(Q4)2024/05/31(Q3)2024/02/29
经营活动现金流量(间接法)
持续经营活动现金净额 314.93%43.61万102.54%46.59万-56.17%25.37万709.90%55.03万-123.88%-63.17万104.98%10.51万1,060.64%23万52.96%57.89万72.59%6.8万968.67%264.5万
持续经营净收入 29.07%-91.03万-156.30%-84.31万54.95%-231.91万72.45%-44.17万-7.54%-209.15万-11.62%-128.33万433.08%149.74万12.89%-514.75万19.63%-160.35万-82.14%-194.48万
持续经营损益 -93.82%2.23万85.23%-2.63万44.92%-10万-612.65%-55.9万817.20%27.65万735.08%36.03万8.96%-17.78万-152.95%-18.15万165.24%10.9万-798.25%-3.86万
折旧和摊销 18.04%14.76万-17.36%9.9万-2.72%50.63万17.32%13.82万-7.74%12.32万-7.06%12.5万-10.95%11.98万-13.09%52.04万-27.79%11.78万-7.77%13.36万
其他非现金项目 61.50%42.91万60.72%43.08万23.35%134.43万48.75%40.6万50.01%40.46万-2.59%26.57万-2.34%26.8万-0.16%108.98万-4.11%27.29万-0.54%26.97万
营运资金变化 17.89%70.45万144.42%70.21万-92.39%27.79万4.24%80.3万-88.89%45.78万143.48%59.76万-1,287.45%-158.05万-8.45%364.96万-54.96%77.03万410.19%412.05万
-应收款项(增)减 -95.92%-88.54万-212.00%-63.6万-256.51%-76.76万66.16%-16.42万-116.79%-71.94万86.64%-45.19万189.95%56.78万69.60%-21.53万26.11%-48.51万4,435.11%428.4万
-存货(增)减 -429.43%-48.33万-656.11%-44.37万-111.98%-3.61万128.35%2.42万30.41%-14.83万-78.27%14.67万22.21%-5.87万20.76%30.13万-146.66%-8.53万-1,206.77%-21.31万
-预付费用(增)减 117.72%1.52万-173.71%-2.87万137.53%8.24万145.53%1.1万205.12%11.85万65.63%-8.6万141.94%3.89万-802.90%-21.95万16.87%-2.42万608.35%3.88万
-应付款项及应计费用(减)增 108.13%205.79万185.06%181.05万-73.59%99.91万-31.71%93.2万11,076.58%120.7万-37.57%98.88万-358.40%-212.85万-15.36%378.31万-38.33%136.48万-98.51%1.08万
非持续经营活动现金净额
经营活动现金净额 314.93%43.61万102.54%46.59万-56.17%25.37万709.90%55.03万-123.88%-63.17万104.98%10.51万1,060.64%23万52.96%57.89万72.59%6.8万968.67%264.5万
投资活动现金流量
持续投资活动现金净额 57.34%-19.01万-145.82%-40.3万-243.93%-224.27万-156.06%-103.21万-474.51%-60.1万-579.58%-44.56万-108.05%-16.39万-100.71%-65.21万-351.26%-40.31万70.29%-10.46万
固定资产交易的净现金流 63.74%-14.71万-391.75%-29.95万-44,368.32%-179.25万-47,941.01%-82.82万---49.76万-17,487.73%-40.57万---6.09万92.95%-4,031-100.84%-1,724--0
其他投资活动的净现金流 -7.75%-4.29万-0.42%-10.35万30.54%-45.01万49.20%-20.39万1.18%-10.34万37.01%-3.98万-30.75%-10.3万-142.07%-64.8万-819.86%-40.14万-9.04%-10.46万
非持续投资活动现金净额
投资活动现金净额 57.34%-19.01万-145.82%-40.3万-243.93%-224.27万-156.06%-103.21万-474.51%-60.1万-579.58%-44.56万-108.05%-16.39万-100.71%-65.21万-351.26%-40.31万70.29%-10.46万
融资活动现金流量
持续融资活动现金净额 -127.09%-22.74万206.16%8.66万16,853.89%196.82万502.88%42.85万138.53%78.17万-59.02%83.96万-183.49%-8.16万105.30%1.16万10.58%-10.64万-15,720.04%-202.86万
债务发行/偿还的净现金流 54.14%-5.88万24.99%-6.12万-7.21%-34.35万17.83%-8.74万32.57%-4.64万-84.21%-12.82万-7.76%-8.16万-113.88%-32.04万-114.35%-10.64万-629.47%-6.88万
其他融资活动的净现金流额 ---16.86万--14.78万596.28%231.17万--51.59万142.25%82.81万--------578.98%33.2万--0---195.98万
非持续融资活动现金净额
融资活动现金净额 -127.09%-22.74万206.16%8.66万16,853.89%196.82万502.88%42.85万138.53%78.17万-59.02%83.96万-183.49%-8.16万105.30%1.16万10.58%-10.64万-15,720.04%-202.86万
现金净流量
期初现金流 138.14%24.87万-17.29%9.92万-33.92%12万-72.83%15.25万1,117.47%60.35万-40.82%10.44万-33.92%12万-47.70%18.15万457.78%56.14万-74.21%4.96万
当期现金流变化 -96.28%1.86万1,064.19%14.95万66.32%-2.07万87.92%-5.33万-188.11%-45.1万493.24%49.91万-208.39%-1.55万62.80%-6.16万-645.94%-44.15万658.80%51.19万
期末现金流 -55.71%26.73万138.14%24.87万-17.29%9.92万-17.29%9.92万-72.83%15.25万1,117.47%60.35万-40.82%10.44万-33.92%12万-33.92%12万457.78%56.14万
自由现金流 196.10%28.89万-1.63%16.64万-367.68%-153.88万-519.63%-27.79万-142.70%-112.93万85.77%-30.07万806.25%16.91万78.92%57.49万-72.79%6.62万30,682.08%264.5万
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--------带解释段的无保留意见----
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