美股市场个股详情

XEBEF XEBEC ADSORPTION INC

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延时15分钟行情收盘价 05/13 09:30 (美东)
0总市值0.00市盈率TTM

XEBEC ADSORPTION INC关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2022/06/30
(Q1)2022/03/31
(FY)2021/12/31
(Q4)2021/12/31
(Q3)2021/09/30
(Q2)2021/06/30
(Q1)2021/03/31
(FY)2020/12/31
(Q4)2020/12/31
(Q3)2020/09/30
经营活动现金流量(间接法)
持续经营活动现金净额
709.08%1,904.6万
43.81%-1,134.6万
-111.87%-5,670.1万
-149.77%-2,280.4万
-119.74%-1,059.2万
74.03%-312.7万
-2,414.69%-2,019.3万
-390.23%-2,676.2万
-323.99%-913万
-654.89%-482.02万
持续经营净收入
-214.25%-2,355.3万
-82.52%-1,844.4万
26.62%-2,345万
108.57%242.3万
-1,086.55%-2,593万
-881.02%-749.5万
-1,260.03%-1,010.5万
-1,682.03%-3,195.8万
-5,940.24%-2,826.5万
-308.48%-218.53万
持续经营损益
67.21%-70.6万
3,466.67%139.1万
-5,186.05%-2,187万
-9,649.03%-1,967.1万
22,537.10%1,880.6万
-1,159.06%-215.3万
-87.50%3.9万
267.63%43万
682.02%20.6万
171.62%8.31万
折旧和摊销
128.51%387.1万
74.68%391.8万
221.43%1,216.6万
374.69%793.2万
-262.96%-100.2万
496.48%169.4万
84.46%224.3万
106.00%378.5万
25.27%167.1万
300.22%61.49万
递延税费
-595.00%-41.7万
-503.28%-36.8万
480.00%163.4万
547.04%181.5万
-1,020.50%-6.1万
-1,100.00%-6万
-408.33%-6.1万
-2,862.04%-43万
-2,696.72%-40.6万
---5,444
其他非现金项目
98.60%127.3万
-92.91%3万
52.02%131.8万
-192.74%-39.6万
2,904.74%71.6万
281.55%64.1万
151.79%42.3万
60.51%86.7万
191.62%42.7万
-77.08%2.38万
营运资金变化
791.45%3,639.8万
114.36%182.3万
-4,337.48%-2,746.8万
-196.67%-1,574万
9.86%-313.3万
135.24%408.3万
-590.21%-1,269.3万
93.76%-61.9万
597.04%1,628.2万
-80.23%-347.55万
-应收款项(增)减
-354.87%-507.7万
568.49%866.7万
-608.20%-1,643万
-148.27%-852.3万
-5.87%-803.3万
141.14%199.2万
7.18%-185万
123.26%323.3万
724.96%1,765.6万
-26.04%-758.76万
-存货(增)减
-55.86%-874.4万
-22.11%-674.8万
-175.53%-2,563万
-13.36%-557.4万
-3,017.17%-892万
-558.45%-561万
-43.94%-552.6万
-356.67%-930.2万
-145.67%-491.7万
241.02%30.58万
-应付款项及应计费用(减)增
155.21%1,075.7万
142.78%301.6万
-226.78%-490.4万
-590.67%-1,409.2万
295.33%1,200.1万
744.50%421.5万
-443.14%-705万
-53.00%386.8万
1.86%287.2万
-12.25%303.57万
-其他流动资产变化
-13,315.70%-1,599.1万
13.68%13.3万
80.05%-7.7万
36.81%-40万
-73.37%5.5万
-11.03%12.1万
220.62%11.7万
-40.58%-38.6万
-74.58%-63.3万
63.05%20.65万
-其他营运资本变化
1,547.93%5,545.3万
-300.80%-324.5万
894.56%1,957.3万
885.35%1,284.9万
212.70%176.4万
162.60%336.5万
-70.01%161.6万
201.61%196.8万
243.88%130.4万
35.67%56.41万
非持续经营活动现金净额
经营活动现金净额
709.08%1,904.6万
43.81%-1,134.6万
-111.87%-5,670.1万
-149.77%-2,280.4万
-119.74%-1,059.2万
74.03%-312.7万
-2,414.69%-2,019.3万
-390.23%-2,676.2万
-323.99%-913万
-654.89%-482.02万
投资活动现金流量
持续投资活动现金净额
94.38%-143.6万
97.65%-85.2万
-9.30%-8,716.3万
82.42%-1,248.2万
-77.74%-1,287.7万
-11,105.70%-2,554.9万
-9,491.01%-3,625.4万
-654.19%-7,974.7万
-821.12%-7,100.3万
-490.70%-724.47万
固定资产交易的净现金流
71.48%-68.1万
18.83%-140.1万
-1,847.36%-958.1万
-1,612.10%-212.3万
-2,195.11%-325.5万
-1,374.07%-238.8万
-2,596.88%-172.6万
-61.50%-49.2万
-15.67%-12.4万
-246.79%-14.18万
无形资产交易净现金流
36.59%-20.1万
-1.65%-24.7万
-151.23%-194.7万
-11,400.00%-103.5万
12.39%-35.2万
-296.25%-31.7万
14.44%-24.3万
71.03%-77.5万
99.39%-9,000
66.11%-40.18万
业务交易的净现金流
--0
--0
-0.93%-7,148.3万
88.51%-736.7万
-35.32%-906.8万
---2,177.5万
---3,319.5万
-832.68%-7,082.7万
-946.01%-6,412.6万
---670.11万
其他投资活动的净现金流
48.18%-55.4万
173.03%79.6万
45.75%-415.2万
70.98%-195.7万
---20.2万
-7,735.71%-106.9万
-3,533.33%-109万
---765.3万
---674.4万
----
非持续投资活动现金净额
投资活动现金净额
94.38%-143.6万
97.65%-85.2万
-9.30%-8,716.3万
82.42%-1,248.2万
-77.74%-1,287.7万
-11,105.70%-2,554.9万
-9,491.01%-3,625.4万
-654.19%-7,974.7万
-821.12%-7,100.3万
-490.70%-724.47万
融资活动现金流量
持续融资活动现金净额
-41.94%-48.4万
-24.77%-436.2万
-90.88%2,231.9万
-88.45%2,186.1万
-9.07%429.4万
-100.70%-34.1万
-284.00%-349.6万
602.91%2.45亿
750.98%1.89亿
-56.83%472.22万
债务发行/偿还的净现金流
125.75%30.2万
19.17%-308.6万
731.91%916.9万
233.74%1,008.7万
223.08%407.3万
-112.13%-117.3万
-1,818.59%-381.8万
-328.27%-145.1万
-6,202.75%-754.2万
-4,391.51%-330.93万
普通股发行/偿还的净现金流
--0
--0
-98.57%346.3万
-98.99%195.7万
-99.43%4.6万
-97.22%109.7万
-82.98%36.2万
588.20%2.43亿
761.81%1.93亿
-26.96%806.15万
其他融资活动的净现金流额
-196.60%-78.6万
-3,090.00%-127.6万
169.98%968.7万
151.98%981.7万
683.33%17.5万
-6.00%-26.5万
-42.86%-4万
3,876.84%358.8万
16,333.33%389.6万
-25.00%-3万
非持续融资活动现金净额
融资活动现金净额
-41.94%-48.4万
-24.77%-436.2万
-90.88%2,231.9万
-88.45%2,186.1万
-9.07%429.4万
-100.70%-34.1万
-284.00%-349.6万
602.91%2.45亿
750.98%1.89亿
-56.83%472.22万
现金净流量
期初现金流
-75.82%2,415.9万
-75.20%3,990.5万
619.82%1.61亿
0.63%5,196.7万
16.42%7,026.2万
321.94%9,991.2万
619.82%1.61亿
470.05%2,235.8万
404.20%5,164.2万
4,932.58%6,035.08万
当期现金流变化
159.02%1,712.6万
72.37%-1,656万
-187.95%-1.22亿
-112.29%-1,342.5万
-161.14%-1,917.5万
-179.38%-2,901.7万
-8,437.00%-5,994.3万
635.87%1.38亿
781.57%1.09亿
-180.92%-734.28万
利率变动影响
-157.98%-163.3万
175.16%81.4万
32.64%51.2万
1,276.77%136.3万
765.96%88万
-181.33%-63.3万
-279.90%-108.3万
2,157.46%38.6万
82.78%9.9万
-331.85%-13.21万
期末现金流
-43.57%3,965.2万
-75.82%2,415.9万
-75.20%3,990.5万
-75.20%3,990.5万
-1.72%5,196.7万
17.08%7,026.2万
321.94%9,991.2万
609.50%1.61亿
609.50%1.61亿
416.25%5,287.59万
自由现金流
406.77%1,816.4万
41.37%-1,299.4万
-143.42%-6,822.9万
-177.03%-2,566.1万
-170.33%-1,450万
51.79%-592.1万
-1,825.46%-2,216.2万
-232.13%-2,802.9万
-148.26%-926.3万
-187.60%-536.39万
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
--
--
--
--
无保留意见
--
--
(Q2)2022/06/30(Q1)2022/03/31(FY)2021/12/31(Q4)2021/12/31(Q3)2021/09/30(Q2)2021/06/30(Q1)2021/03/31(FY)2020/12/31(Q4)2020/12/31(Q3)2020/09/30
经营活动现金流量(间接法)
持续经营活动现金净额 709.08%1,904.6万43.81%-1,134.6万-111.87%-5,670.1万-149.77%-2,280.4万-119.74%-1,059.2万74.03%-312.7万-2,414.69%-2,019.3万-390.23%-2,676.2万-323.99%-913万-654.89%-482.02万
持续经营净收入 -214.25%-2,355.3万-82.52%-1,844.4万26.62%-2,345万108.57%242.3万-1,086.55%-2,593万-881.02%-749.5万-1,260.03%-1,010.5万-1,682.03%-3,195.8万-5,940.24%-2,826.5万-308.48%-218.53万
持续经营损益 67.21%-70.6万3,466.67%139.1万-5,186.05%-2,187万-9,649.03%-1,967.1万22,537.10%1,880.6万-1,159.06%-215.3万-87.50%3.9万267.63%43万682.02%20.6万171.62%8.31万
折旧和摊销 128.51%387.1万74.68%391.8万221.43%1,216.6万374.69%793.2万-262.96%-100.2万496.48%169.4万84.46%224.3万106.00%378.5万25.27%167.1万300.22%61.49万
递延税费 -595.00%-41.7万-503.28%-36.8万480.00%163.4万547.04%181.5万-1,020.50%-6.1万-1,100.00%-6万-408.33%-6.1万-2,862.04%-43万-2,696.72%-40.6万---5,444
其他非现金项目 98.60%127.3万-92.91%3万52.02%131.8万-192.74%-39.6万2,904.74%71.6万281.55%64.1万151.79%42.3万60.51%86.7万191.62%42.7万-77.08%2.38万
营运资金变化 791.45%3,639.8万114.36%182.3万-4,337.48%-2,746.8万-196.67%-1,574万9.86%-313.3万135.24%408.3万-590.21%-1,269.3万93.76%-61.9万597.04%1,628.2万-80.23%-347.55万
-应收款项(增)减 -354.87%-507.7万568.49%866.7万-608.20%-1,643万-148.27%-852.3万-5.87%-803.3万141.14%199.2万7.18%-185万123.26%323.3万724.96%1,765.6万-26.04%-758.76万
-存货(增)减 -55.86%-874.4万-22.11%-674.8万-175.53%-2,563万-13.36%-557.4万-3,017.17%-892万-558.45%-561万-43.94%-552.6万-356.67%-930.2万-145.67%-491.7万241.02%30.58万
-应付款项及应计费用(减)增 155.21%1,075.7万142.78%301.6万-226.78%-490.4万-590.67%-1,409.2万295.33%1,200.1万744.50%421.5万-443.14%-705万-53.00%386.8万1.86%287.2万-12.25%303.57万
-其他流动资产变化 -13,315.70%-1,599.1万13.68%13.3万80.05%-7.7万36.81%-40万-73.37%5.5万-11.03%12.1万220.62%11.7万-40.58%-38.6万-74.58%-63.3万63.05%20.65万
-其他营运资本变化 1,547.93%5,545.3万-300.80%-324.5万894.56%1,957.3万885.35%1,284.9万212.70%176.4万162.60%336.5万-70.01%161.6万201.61%196.8万243.88%130.4万35.67%56.41万
非持续经营活动现金净额
经营活动现金净额 709.08%1,904.6万43.81%-1,134.6万-111.87%-5,670.1万-149.77%-2,280.4万-119.74%-1,059.2万74.03%-312.7万-2,414.69%-2,019.3万-390.23%-2,676.2万-323.99%-913万-654.89%-482.02万
投资活动现金流量
持续投资活动现金净额 94.38%-143.6万97.65%-85.2万-9.30%-8,716.3万82.42%-1,248.2万-77.74%-1,287.7万-11,105.70%-2,554.9万-9,491.01%-3,625.4万-654.19%-7,974.7万-821.12%-7,100.3万-490.70%-724.47万
固定资产交易的净现金流 71.48%-68.1万18.83%-140.1万-1,847.36%-958.1万-1,612.10%-212.3万-2,195.11%-325.5万-1,374.07%-238.8万-2,596.88%-172.6万-61.50%-49.2万-15.67%-12.4万-246.79%-14.18万
无形资产交易净现金流 36.59%-20.1万-1.65%-24.7万-151.23%-194.7万-11,400.00%-103.5万12.39%-35.2万-296.25%-31.7万14.44%-24.3万71.03%-77.5万99.39%-9,00066.11%-40.18万
业务交易的净现金流 --0--0-0.93%-7,148.3万88.51%-736.7万-35.32%-906.8万---2,177.5万---3,319.5万-832.68%-7,082.7万-946.01%-6,412.6万---670.11万
其他投资活动的净现金流 48.18%-55.4万173.03%79.6万45.75%-415.2万70.98%-195.7万---20.2万-7,735.71%-106.9万-3,533.33%-109万---765.3万---674.4万----
非持续投资活动现金净额
投资活动现金净额 94.38%-143.6万97.65%-85.2万-9.30%-8,716.3万82.42%-1,248.2万-77.74%-1,287.7万-11,105.70%-2,554.9万-9,491.01%-3,625.4万-654.19%-7,974.7万-821.12%-7,100.3万-490.70%-724.47万
融资活动现金流量
持续融资活动现金净额 -41.94%-48.4万-24.77%-436.2万-90.88%2,231.9万-88.45%2,186.1万-9.07%429.4万-100.70%-34.1万-284.00%-349.6万602.91%2.45亿750.98%1.89亿-56.83%472.22万
债务发行/偿还的净现金流 125.75%30.2万19.17%-308.6万731.91%916.9万233.74%1,008.7万223.08%407.3万-112.13%-117.3万-1,818.59%-381.8万-328.27%-145.1万-6,202.75%-754.2万-4,391.51%-330.93万
普通股发行/偿还的净现金流 --0--0-98.57%346.3万-98.99%195.7万-99.43%4.6万-97.22%109.7万-82.98%36.2万588.20%2.43亿761.81%1.93亿-26.96%806.15万
其他融资活动的净现金流额 -196.60%-78.6万-3,090.00%-127.6万169.98%968.7万151.98%981.7万683.33%17.5万-6.00%-26.5万-42.86%-4万3,876.84%358.8万16,333.33%389.6万-25.00%-3万
非持续融资活动现金净额
融资活动现金净额 -41.94%-48.4万-24.77%-436.2万-90.88%2,231.9万-88.45%2,186.1万-9.07%429.4万-100.70%-34.1万-284.00%-349.6万602.91%2.45亿750.98%1.89亿-56.83%472.22万
现金净流量
期初现金流 -75.82%2,415.9万-75.20%3,990.5万619.82%1.61亿0.63%5,196.7万16.42%7,026.2万321.94%9,991.2万619.82%1.61亿470.05%2,235.8万404.20%5,164.2万4,932.58%6,035.08万
当期现金流变化 159.02%1,712.6万72.37%-1,656万-187.95%-1.22亿-112.29%-1,342.5万-161.14%-1,917.5万-179.38%-2,901.7万-8,437.00%-5,994.3万635.87%1.38亿781.57%1.09亿-180.92%-734.28万
利率变动影响 -157.98%-163.3万175.16%81.4万32.64%51.2万1,276.77%136.3万765.96%88万-181.33%-63.3万-279.90%-108.3万2,157.46%38.6万82.78%9.9万-331.85%-13.21万
期末现金流 -43.57%3,965.2万-75.82%2,415.9万-75.20%3,990.5万-75.20%3,990.5万-1.72%5,196.7万17.08%7,026.2万321.94%9,991.2万609.50%1.61亿609.50%1.61亿416.25%5,287.59万
自由现金流 406.77%1,816.4万41.37%-1,299.4万-143.42%-6,822.9万-177.03%-2,566.1万-170.33%-1,450万51.79%-592.1万-1,825.46%-2,216.2万-232.13%-2,802.9万-148.26%-926.3万-187.60%-536.39万
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--------无保留意见----

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股票代码
最新价
涨跌幅