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Recipe Unlimited Corp (RECP)

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Recipe Unlimited Corp (RECP) 现金流量表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2022/06/26
(Q1)2022/03/27
(FY)2021/12/26
(Q4)2021/12/26
(Q3)2021/09/26
(Q2)2021/06/27
(Q1)2021/03/28
(FY)2020/12/27
(Q4)2020/12/27
(Q3)2020/09/27
经营活动现金流量(间接法)
持续经营活动现金净额
69.20%5,453.3万
-75.25%529.9万
69.09%1.92亿
256.76%6,542.6万
5.36%7,148.8万
56.75%3,223万
227.99%2,141.1万
-50.06%1.13亿
-79.47%1,833.9万
43.29%6,785万
持续经营净收入
-14.20%1,660.5万
62.95%2,110.5万
180.54%4,271.1万
-111.65%-275.5万
154.56%1,316.1万
147.67%1,935.3万
131.40%1,295.2万
-220.76%-5,302.8万
1,362.93%2,364.2万
-23.18%517万
持续经营损益
-424.02%-602.1万
-2,187.25%-233.3万
124.63%162.3万
88.14%-35.7万
176.23%325.1万
-325.74%-114.9万
-157.63%-10.2万
-1,735.65%-659万
-134.87%-301.1万
-1,021.17%-426.5万
折旧摊销及损耗
-3.52%2,327.3万
-5.96%2,298.6万
-9.09%9,732.8万
-5.52%2,497.7万
-10.10%2,378.8万
-9.73%2,412.1万
-10.93%2,444.2万
-8.03%1.07亿
-11.51%2,643.5万
-8.12%2,646.1万
资产减值支出
-50.27%-140.8万
-15,288.89%-277万
-64.65%2,584.8万
-34.41%1,991.9万
182.06%688.4万
-102.69%-93.7万
-100.11%-1.8万
27.74%7,312.1万
-36.18%3,037万
-247.28%-838.9万
以股票支付的报酬
537.50%25.5万
109.58%35万
10.88%147.8万
166.40%98.3万
213.04%28.8万
-89.58%4万
-65.78%16.7万
559.66%133.3万
106.81%36.9万
-93.51%9.2万
递延税费
51.41%645.6万
1,475.12%552.8万
180.53%1,305.2万
-63.92%284.8万
8.06%425.1万
125.51%426.4万
96.45%-40.2万
-103.52%-1,620.8万
178.19%789.4万
1,277.84%393.4万
其他非现金项目
359.62%1,006.8万
9.09%184.8万
-80.82%415.9万
91.91%-341.5万
-64.26%967.1万
-244.27%-387.8万
-95.02%169.4万
-14.31%2,168.3万
-3,091.60%-4,219.3万
27.52%2,706万
营运资金变化
200.36%695.4万
-269.37%-4,028.7万
99.35%1,139.7万
191.74%1,578.6万
-4.23%1,443.2万
-154.52%-692.9万
-124.61%-1,090.7万
-49.68%571.7万
-147.24%-1,720.7万
219.26%1,507万
-应收款项(增)减
3,596.49%842.8万
-59.05%815.8万
53.38%1,616万
28.23%-2,147.9万
1,011.25%1,749.1万
109.32%22.8万
-51.81%1,992万
179.93%1,053.6万
33.81%-2,992.9万
-48.53%157.4万
-存货(增)减
43.79%-622.1万
-1,710.37%-244.4万
-277.33%-1,864万
-147.88%-315.3万
-50.19%-428.5万
-220.97%-1,106.7万
-105.13%-13.5万
-68.31%-494万
-149.02%-127.2万
-21.82%-285.3万
-预付费用(增)减
272.99%51.1万
-458.51%-187.1万
95.37%-3万
79.29%-3.5万
-78.17%20.3万
-70.54%13.7万
82.12%-33.5万
-122.67%-64.8万
52.66%-16.9万
-51.41%93万
-应付款项及应计费用(减)增
265.49%1,586.6万
19.34%-806.5万
-192.34%-700.4万
42.12%-1,394.5万
-43.55%1,358.4万
-72.16%434.1万
-25.33%-999.9万
-30.20%758.5万
-493.72%-2,409.2万
610.39%2,406.5万
-其他流动负债变动
-1,947.54%-1,163万
-77.15%-3,606.5万
406.79%2,091.1万
42.20%5,439.8万
-45.28%-1,256.1万
-122.28%-56.8万
47.77%-2,035.8万
-149.56%-681.6万
-47.80%3,825.5万
18.06%-864.6万
已支付退税
37.89%-164.9万
82.42%-112.8万
70.20%-586.8万
193.47%744万
-255.98%-423.8万
---265.5万
55.61%-641.5万
-6.00%-1,969.4万
-74.18%-796万
167.79%271.7万
非持续经营活动现金净额
经营活动现金净额
69.20%5,453.3万
-75.25%529.9万
69.09%1.92亿
256.76%6,542.6万
5.36%7,148.8万
56.75%3,223万
227.99%2,141.1万
-50.06%1.13亿
-79.47%1,833.9万
43.29%6,785万
投资活动现金流量
持续投资活动现金净额
666.74%1,581.2万
-78.16%280.7万
18.90%4,240.2万
252.54%2,155.4万
47.08%1,076.8万
-127.15%-279万
6.53%1,285万
8.71%3,566.2万
-51.25%611.4万
51.67%732.1万
固定资产交易净额
-78.44%-958.2万
-2.34%-414.9万
-20.04%-2,641.1万
-247.07%-1,084.6万
-40.01%-614.1万
15.99%-537万
49.94%-405.4万
54.14%-2,200.1万
77.06%-312.5万
64.11%-438.6万
无形资产交易净额
--0
--0
----
----
----
--0
---5,000
-1,703.20%-225.4万
----
----
业务交易净额
--0
---10.9万
-570.07%-4,188.6万
-492.75%-2,252.8万
99.49%-5.7万
-9,188.94%-1,932.1万
--0
29.24%-625.1万
457.16%573.6万
-1,362.10%-1,115.7万
投资产品交易净额
--1,300.1万
----
--3,766.3万
----
----
--0
----
----
----
----
其他投资活动净额
-43.41%1,239.3万
-58.22%706.5万
10.38%7,303.6万
199.90%1,726.5万
-25.80%1,696.6万
29.76%2,190.1万
-18.19%1,690.9万
-29.41%6,616.8万
-81.88%575.7万
40.39%2,286.4万
非持续投资活动现金净额
投资活动现金净额
666.74%1,581.2万
-78.16%280.7万
18.90%4,240.2万
252.54%2,155.4万
47.08%1,076.8万
-127.15%-279万
6.53%1,285万
8.71%3,566.2万
-51.25%611.4万
51.67%732.1万
融资活动现金流量
持续融资活动现金净额
-62.99%-5,497万
56.87%-1,331.1万
-56.16%-2.32亿
-151.97%-8,226.1万
67.25%-8,442.3万
69.84%-3,372.5万
-112.18%-3,086.2万
44.68%-1.49亿
65.82%-3,264.7万
-323.46%-2.58亿
债务发行/偿还的净额
-73.39%-4,486.7万
59.31%-1,095.3万
-105.12%-2.32亿
-323.77%-9,334.9万
66.85%-8,421.3万
72.49%-2,587.7万
-110.46%-2,691.5万
-75.64%-1.13亿
72.61%-2,202.8万
-395.34%-2.54亿
普通股发行/回购的净额
--0
-47.68%12.4万
9,310.53%2,100万
18,065.48%1,525.9万
--338.8万
--211.6万
175.96%23.7万
99.85%-22.8万
-88.76%8.4万
----
已支付现金股息
--0
--0
--0
--0
--0
--0
--0
75.36%-663.4万
--0
--0
已付利息(筹资活动产生的现金流)
9.58%-882.2万
33.37%-248.2万
26.59%-2,117.7万
61.71%-409.7万
3.56%-359.8万
10.17%-975.7万
-4.87%-372.5万
-47.16%-2,884.6万
-13.89%-1,070.1万
-292.32%-373.1万
其他融资活动的净现金流额
-518.84%-128.1万
----
-176.12%-74万
-3,600.00%-7.4万
----
22.18%-20.7万
---45.9万
91.34%-26.8万
98.47%-2,000
----
非持续融资活动现金净额
融资活动现金净额
-62.99%-5,497万
56.87%-1,331.1万
-56.16%-2.32亿
-151.97%-8,226.1万
67.25%-8,442.3万
69.84%-3,372.5万
-112.18%-3,086.2万
44.68%-1.49亿
65.82%-3,264.7万
-323.46%-2.58亿
现金净流量
期初现金流
-16.00%3,707.9万
4.08%4,219.2万
0.47%4,053.9万
-22.76%3,752.9万
-82.82%3,968.9万
-85.85%4,414.4万
0.47%4,053.9万
-18.11%4,035.1万
43.23%4,858.5万
441.09%2.31亿
当期现金流变化
458.81%1,537.5万
-253.13%-520.5万
758.76%166.6万
157.59%471.9万
98.81%-216.7万
94.71%-428.5万
-98.75%339.9万
102.10%19.4万
-228.86%-819.4万
-1,999.85%-1.83亿
利率变动影响
29.41%-12万
-55.34%9.2万
-116.67%-1.3万
-137.84%-5.6万
-93.20%7,000
-213.33%-17万
150.61%20.6万
-101.99%-6,000
105.56%14.8万
213.19%10.3万
期末现金流
31.86%5,233.4万
-16.00%3,707.9万
4.08%4,219.2万
4.08%4,219.2万
-22.76%3,752.9万
-82.82%3,968.9万
-85.85%4,414.4万
0.47%4,053.9万
0.47%4,053.9万
43.23%4,858.5万
自由现金流
79.49%4,492.1万
-107.02%-121.8万
97.08%1.63亿
321.58%5,439.6万
10.73%6,534.7万
90.48%2,502.7万
851.17%1,735.2万
-53.42%8,286万
-82.90%1,290.3万
69.08%5,901.3万
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(Q2)2022/06/26(Q1)2022/03/27(FY)2021/12/26(Q4)2021/12/26(Q3)2021/09/26(Q2)2021/06/27(Q1)2021/03/28(FY)2020/12/27(Q4)2020/12/27(Q3)2020/09/27
经营活动现金流量(间接法)
持续经营活动现金净额 69.20%5,453.3万-75.25%529.9万69.09%1.92亿256.76%6,542.6万5.36%7,148.8万56.75%3,223万227.99%2,141.1万-50.06%1.13亿-79.47%1,833.9万43.29%6,785万
持续经营净收入 -14.20%1,660.5万62.95%2,110.5万180.54%4,271.1万-111.65%-275.5万154.56%1,316.1万147.67%1,935.3万131.40%1,295.2万-220.76%-5,302.8万1,362.93%2,364.2万-23.18%517万
持续经营损益 -424.02%-602.1万-2,187.25%-233.3万124.63%162.3万88.14%-35.7万176.23%325.1万-325.74%-114.9万-157.63%-10.2万-1,735.65%-659万-134.87%-301.1万-1,021.17%-426.5万
折旧摊销及损耗 -3.52%2,327.3万-5.96%2,298.6万-9.09%9,732.8万-5.52%2,497.7万-10.10%2,378.8万-9.73%2,412.1万-10.93%2,444.2万-8.03%1.07亿-11.51%2,643.5万-8.12%2,646.1万
资产减值支出 -50.27%-140.8万-15,288.89%-277万-64.65%2,584.8万-34.41%1,991.9万182.06%688.4万-102.69%-93.7万-100.11%-1.8万27.74%7,312.1万-36.18%3,037万-247.28%-838.9万
以股票支付的报酬 537.50%25.5万109.58%35万10.88%147.8万166.40%98.3万213.04%28.8万-89.58%4万-65.78%16.7万559.66%133.3万106.81%36.9万-93.51%9.2万
递延税费 51.41%645.6万1,475.12%552.8万180.53%1,305.2万-63.92%284.8万8.06%425.1万125.51%426.4万96.45%-40.2万-103.52%-1,620.8万178.19%789.4万1,277.84%393.4万
其他非现金项目 359.62%1,006.8万9.09%184.8万-80.82%415.9万91.91%-341.5万-64.26%967.1万-244.27%-387.8万-95.02%169.4万-14.31%2,168.3万-3,091.60%-4,219.3万27.52%2,706万
营运资金变化 200.36%695.4万-269.37%-4,028.7万99.35%1,139.7万191.74%1,578.6万-4.23%1,443.2万-154.52%-692.9万-124.61%-1,090.7万-49.68%571.7万-147.24%-1,720.7万219.26%1,507万
-应收款项(增)减 3,596.49%842.8万-59.05%815.8万53.38%1,616万28.23%-2,147.9万1,011.25%1,749.1万109.32%22.8万-51.81%1,992万179.93%1,053.6万33.81%-2,992.9万-48.53%157.4万
-存货(增)减 43.79%-622.1万-1,710.37%-244.4万-277.33%-1,864万-147.88%-315.3万-50.19%-428.5万-220.97%-1,106.7万-105.13%-13.5万-68.31%-494万-149.02%-127.2万-21.82%-285.3万
-预付费用(增)减 272.99%51.1万-458.51%-187.1万95.37%-3万79.29%-3.5万-78.17%20.3万-70.54%13.7万82.12%-33.5万-122.67%-64.8万52.66%-16.9万-51.41%93万
-应付款项及应计费用(减)增 265.49%1,586.6万19.34%-806.5万-192.34%-700.4万42.12%-1,394.5万-43.55%1,358.4万-72.16%434.1万-25.33%-999.9万-30.20%758.5万-493.72%-2,409.2万610.39%2,406.5万
-其他流动负债变动 -1,947.54%-1,163万-77.15%-3,606.5万406.79%2,091.1万42.20%5,439.8万-45.28%-1,256.1万-122.28%-56.8万47.77%-2,035.8万-149.56%-681.6万-47.80%3,825.5万18.06%-864.6万
已支付退税 37.89%-164.9万82.42%-112.8万70.20%-586.8万193.47%744万-255.98%-423.8万---265.5万55.61%-641.5万-6.00%-1,969.4万-74.18%-796万167.79%271.7万
非持续经营活动现金净额
经营活动现金净额 69.20%5,453.3万-75.25%529.9万69.09%1.92亿256.76%6,542.6万5.36%7,148.8万56.75%3,223万227.99%2,141.1万-50.06%1.13亿-79.47%1,833.9万43.29%6,785万
投资活动现金流量
持续投资活动现金净额 666.74%1,581.2万-78.16%280.7万18.90%4,240.2万252.54%2,155.4万47.08%1,076.8万-127.15%-279万6.53%1,285万8.71%3,566.2万-51.25%611.4万51.67%732.1万
固定资产交易净额 -78.44%-958.2万-2.34%-414.9万-20.04%-2,641.1万-247.07%-1,084.6万-40.01%-614.1万15.99%-537万49.94%-405.4万54.14%-2,200.1万77.06%-312.5万64.11%-438.6万
无形资产交易净额 --0--0--------------0---5,000-1,703.20%-225.4万--------
业务交易净额 --0---10.9万-570.07%-4,188.6万-492.75%-2,252.8万99.49%-5.7万-9,188.94%-1,932.1万--029.24%-625.1万457.16%573.6万-1,362.10%-1,115.7万
投资产品交易净额 --1,300.1万------3,766.3万----------0----------------
其他投资活动净额 -43.41%1,239.3万-58.22%706.5万10.38%7,303.6万199.90%1,726.5万-25.80%1,696.6万29.76%2,190.1万-18.19%1,690.9万-29.41%6,616.8万-81.88%575.7万40.39%2,286.4万
非持续投资活动现金净额
投资活动现金净额 666.74%1,581.2万-78.16%280.7万18.90%4,240.2万252.54%2,155.4万47.08%1,076.8万-127.15%-279万6.53%1,285万8.71%3,566.2万-51.25%611.4万51.67%732.1万
融资活动现金流量
持续融资活动现金净额 -62.99%-5,497万56.87%-1,331.1万-56.16%-2.32亿-151.97%-8,226.1万67.25%-8,442.3万69.84%-3,372.5万-112.18%-3,086.2万44.68%-1.49亿65.82%-3,264.7万-323.46%-2.58亿
债务发行/偿还的净额 -73.39%-4,486.7万59.31%-1,095.3万-105.12%-2.32亿-323.77%-9,334.9万66.85%-8,421.3万72.49%-2,587.7万-110.46%-2,691.5万-75.64%-1.13亿72.61%-2,202.8万-395.34%-2.54亿
普通股发行/回购的净额 --0-47.68%12.4万9,310.53%2,100万18,065.48%1,525.9万--338.8万--211.6万175.96%23.7万99.85%-22.8万-88.76%8.4万----
已支付现金股息 --0--0--0--0--0--0--075.36%-663.4万--0--0
已付利息(筹资活动产生的现金流) 9.58%-882.2万33.37%-248.2万26.59%-2,117.7万61.71%-409.7万3.56%-359.8万10.17%-975.7万-4.87%-372.5万-47.16%-2,884.6万-13.89%-1,070.1万-292.32%-373.1万
其他融资活动的净现金流额 -518.84%-128.1万-----176.12%-74万-3,600.00%-7.4万----22.18%-20.7万---45.9万91.34%-26.8万98.47%-2,000----
非持续融资活动现金净额
融资活动现金净额 -62.99%-5,497万56.87%-1,331.1万-56.16%-2.32亿-151.97%-8,226.1万67.25%-8,442.3万69.84%-3,372.5万-112.18%-3,086.2万44.68%-1.49亿65.82%-3,264.7万-323.46%-2.58亿
现金净流量
期初现金流 -16.00%3,707.9万4.08%4,219.2万0.47%4,053.9万-22.76%3,752.9万-82.82%3,968.9万-85.85%4,414.4万0.47%4,053.9万-18.11%4,035.1万43.23%4,858.5万441.09%2.31亿
当期现金流变化 458.81%1,537.5万-253.13%-520.5万758.76%166.6万157.59%471.9万98.81%-216.7万94.71%-428.5万-98.75%339.9万102.10%19.4万-228.86%-819.4万-1,999.85%-1.83亿
利率变动影响 29.41%-12万-55.34%9.2万-116.67%-1.3万-137.84%-5.6万-93.20%7,000-213.33%-17万150.61%20.6万-101.99%-6,000105.56%14.8万213.19%10.3万
期末现金流 31.86%5,233.4万-16.00%3,707.9万4.08%4,219.2万4.08%4,219.2万-22.76%3,752.9万-82.82%3,968.9万-85.85%4,414.4万0.47%4,053.9万0.47%4,053.9万43.23%4,858.5万
自由现金流 79.49%4,492.1万-107.02%-121.8万97.08%1.63亿321.58%5,439.6万10.73%6,534.7万90.48%2,502.7万851.17%1,735.2万-53.42%8,286万-82.90%1,290.3万69.08%5,901.3万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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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