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成功领取价值超 5000港元/年的高级行情
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多维分析
公司估值 资金追踪 卖空分析
TIRX 天睿祥
0.820
-0.042-4.87%
盘后价
0.780
-0.04-4.88%
显示同比
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隐藏空行
(FY)2021/10/31(FY)2020/10/31(FY)2019/10/31(FY)2018/10/31
Investing cash flow
Cash flow from continuing investing activities
-216949.78% -750.34万 -109.34% -3,457 104.47% 3.7万 -221.07% -82.86万
Net PPE purchase and sale
1.33% -3,411 71.22% -3,457 -24.89% -1.2万 -- -9,618
Net intangibles purchase and sale
-- 0 -- 0 -- -18.31万 -- 0
Net business purchase and sale
-- -- -- -- -- 0 -- 0
Net other investing changes
-- -750万 -- -- 128.34% 23.21万 -- -81.9万
Cash from discontinued investing activities
Investing cash flow
-216949.78% -750.34万 -109.34% -3,457 104.47% 3.7万 -221.07% -82.86万
Financing cash flow
Cash flow from continuing financing activities
6925.47% 3,264.25万 45.11% -47.82万 -113.43% -87.13万 648.66万
Net issuance payments of debt
-237.2% -37.82万 70.32% -11.22万 -195.29% -37.79万 -- 39.66万
Net common stock issuance
-- 3,686.25万 -- -- -- -- -- --
Net other financing activities
-949.44% -384.18万 25.81% -36.61万 -108.1% -49.34万 -- 609万
Cash from discontinued financing activities
Financing cash flow
6925.47% 3,264.25万 45.11% -47.82万 -113.43% -87.13万 -- 648.66万
Net cash flow
Beginning cash position
-0.62% 692.35万 -8.66% 696.66万 7837.31% 762.74万 2914.3% 9.61万
Current changes in cash
4586.97% 2,377.51万 12.46% -52.99万 -108.61% -60.53万 2821.13% 703.25万
Effect of exchange rate changes
-70.21% 14.5万 975.61% 48.68万 86.63% -5.56万 -13898.17% -41.57万
End cash Position
345.49% 3,084.36万 -0.62% 692.35万 3.78% 696.66万 2618.34% 671.29万
Free cash flow
-2548.57% -136.73万 -252.17% -5.16万 -97.51% 3.39万 198.35% 136.49万
Investing cash flow
Cash flow from continuing investing activities
-216949.78% -750.34万 -109.34% -3,457 104.47% 3.7万 -221.07% -82.86万
Net PPE purchase and sale
1.33% -3,411 71.22% -3,457 -24.89% -1.2万 -- -9,618
Net intangibles purchase and sale
-- 0 -- 0 -- -18.31万 -- 0
Net business purchase and sale
-- -- -- -- -- 0 -- 0
Net other investing changes
-- -750万 -- -- 128.34% 23.21万 -- -81.9万
Cash from discontinued investing activities
Investing cash flow
-216949.78% -750.34万 -109.34% -3,457 104.47% 3.7万 -221.07% -82.86万
Financing cash flow
Cash flow from continuing financing activities
6925.47% 3,264.25万 45.11% -47.82万 -113.43% -87.13万 648.66万
Net issuance payments of debt
-237.2% -37.82万 70.32% -11.22万 -195.29% -37.79万 -- 39.66万
Net common stock issuance
-- 3,686.25万 -- -- -- -- -- --
Net other financing activities
-949.44% -384.18万 25.81% -36.61万 -108.1% -49.34万 -- 609万
Cash from discontinued financing activities
Financing cash flow
6925.47% 3,264.25万 45.11% -47.82万 -113.43% -87.13万 -- 648.66万
Net cash flow
Beginning cash position
-0.62% 692.35万 -8.66% 696.66万 7837.31% 762.74万 2914.3% 9.61万
Current changes in cash
4586.97% 2,377.51万 12.46% -52.99万 -108.61% -60.53万 2821.13% 703.25万
Effect of exchange rate changes
-70.21% 14.5万 975.61% 48.68万 86.63% -5.56万 -13898.17% -41.57万
End cash Position
345.49% 3,084.36万 -0.62% 692.35万 3.78% 696.66万 2618.34% 671.29万
Free cash flow
-2548.57% -136.73万 -252.17% -5.16万 -97.51% 3.39万 198.35% 136.49万
Currency Unit
美元美元美元美元
Accounting Standards
US-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions
无保留意见无保留意见带解释段的无保留意见--

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。

环比数据来源于季报,环比 = (本期 - 上期)/上期 * 100%

公司概况 更多
天睿祥控股有限公司是一家保险经纪公司。该公司的产品分为两大类:财产和意外保险,如汽车保险、商业财产保险、责任保险;人寿保险,如个人和团体人寿保险。公司成立于2019年3月5日,总部位于中国北京。
CEO: Wang, Zhe
所属市场: 纳斯达克
上市日期: 2021/01/27
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