美股市场个股详情

SMA SmartStop Self Storage REIT

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  • 33.940
  • +0.610+1.83%
收盘价 04/17 16:00 (美东)
  • 33.940
  • 0.0000.00%
盘后 20:01 (美东)
17.44亿总市值-94.80市盈率TTM

SmartStop Self Storage REIT关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
经营活动现金流量(间接法)
持续经营活动现金净额
-12.52%6,402.7万
136.82%1,060.5万
-7.06%2,174.8万
-41.32%1,726.29万
-9.33%1,441.11万
-16.74%7,319.1万
-75.31%447.8万
-17.93%2,340万
14.56%2,941.91万
2.01%1,589.39万
持续经营净收入
-150.55%-588.7万
-106.45%-15.2万
-213.83%-339.1万
-116.46%-70.45万
-180.66%-163.95万
-46.25%1,164.7万
10.10%235.6万
32.60%297.9万
-69.46%427.94万
-37.83%203.26万
持续经营损益
134.54%535.7万
-328.33%-135.4万
3,010.13%229.9万
439.41%288.77万
23.46%152.43万
-81.84%228.4万
-94.06%59.3万
77.90%-7.9万
-80.23%53.54万
407.68%123.46万
折旧和摊销
-6.84%5,611万
-0.51%1,459.2万
-7.31%1,405.2万
-9.22%1,380.85万
-10.10%1,365.75万
-6.79%6,023万
-3.77%1,466.7万
-16.11%1,516万
-6.67%1,521.1万
1.22%1,519.2万
递延税费
125.60%84.5万
113.70%24.3万
117.14%23万
150.48%15.41万
81.14%21.79万
-207.64%-330.1万
-836.87%-177.4万
-1,487.73%-134.2万
70.67%-30.53万
-50.21%12.03万
其他非现金项目
147.66%522.8万
108.76%135.9万
211.45%171.3万
363.69%120.37万
46.41%95.23万
111.25%211.1万
111.75%65.1万
52.57%55万
101.77%25.96万
-38.45%65.04万
营运资金变化
42.76%-288.4万
58.48%-547.8万
18.51%553.7万
-119.02%-150.73万
67.68%-143.57万
-276.15%-503.8万
-197.94%-1,319.4万
-36.45%467.2万
48.23%792.61万
17.90%-444.21万
-应收款项(增)减
-265.29%-1,004.9万
26.19%228.4万
-63.46%-351.6万
-1,896.37%-392.12万
-86.27%-489.58万
-853.70%-275.1万
9,418.30%181万
-499.85%-215.1万
-89.81%21.83万
-82.91%-262.83万
-应付款项及应计费用(减)增
340.49%780.4万
49.48%-443.9万
68.91%894.2万
-81.98%48.76万
214.40%281.34万
-199.08%-324.5万
-111.66%-878.6万
-34.84%529.4万
82.86%270.63万
-12.85%-245.93万
-其他流动资产变化
-166.70%-63.9万
46.56%-332.3万
-92.74%11.1万
-61.48%192.64万
0.18%64.66万
222.82%95.8万
-1,997.65%-621.8万
468.56%152.9万
189.84%500.16万
135.97%64.54万
非持续经营活动现金净额
经营活动现金净额
-12.52%6,402.7万
136.82%1,060.5万
-7.06%2,174.8万
-41.32%1,726.29万
-9.33%1,441.11万
-16.74%7,319.1万
-75.31%447.8万
-17.93%2,340万
14.56%2,941.91万
2.01%1,589.39万
投资活动现金流量
持续投资活动现金净额
-69,160.31%-1.81亿
-3,019.56%-1.01亿
-356.52%-6,712.2万
-132.19%-1,256.96万
97.08%-60.94万
100.13%26.2万
89.80%-322.6万
46.58%-1,470.3万
131.33%3,905.01万
2.36%-2,085.91万
业务交易的净现金流
--0
16.96%875.9万
-403.01%-634.8万
-108.36%-99.77万
92.22%-141.33万
--0
81.91%748.9万
-75.09%-126.2万
117.37%1,193.53万
-8,391.30%-1,816.23万
投资产品交易的净现金流
61.93%-121.7万
90.90%-29.1万
35.84%-223.1万
-52.12%166.49万
---35.99万
36.10%-319.7万
---319.7万
30.50%-347.7万
--347.7万
--0
其他投资活动的净现金流
-130.66%-1,161.7万
-623.45%-448.6万
-264.57%-1,107.2万
-96.48%97.99万
18.44%296.11万
182.92%3,789.4万
103.12%85.7万
--672.8万
--2,780.9万
--250万
非持续投资活动现金净额
投资活动现金净额
-69,160.31%-1.81亿
-3,019.56%-1.01亿
-356.52%-6,712.2万
-132.19%-1,256.96万
97.08%-60.94万
100.13%26.2万
89.80%-322.6万
46.58%-1,470.3万
131.33%3,905.01万
2.36%-2,085.91万
融资活动现金流量
持续融资活动现金净额
243.45%9,481.6万
833.12%7,570.4万
781.80%4,823.7万
85.83%-841.54万
-167.55%-2,070.96万
-155.05%-6,609.9万
-16.20%811.3万
-111.91%-707.5万
-154.40%-5,939.66万
-270.77%-774.04万
债务发行/偿还的净现金流
1,139.33%1.98亿
250.09%1.05亿
398.86%7,158.6万
135.62%1,447.78万
-42.33%710.12万
-91.86%1,598.1万
2.08%2,996.2万
-12.38%1,435万
-130.76%-4,064.34万
-32.98%1,231.24万
普通股发行/偿还的净现金流
-78.21%-3,384.5万
-80.27%-1,261.7万
-19.53%-840.4万
-77.68%-843.98万
-1,968.30%-438.42万
-977.25%-1,899.2万
-2,325,349.17%-699.9万
---703.1万
-39,933.95%-475万
87.90%-21.2万
现金股利支付
6.05%-4,988.6万
-16.71%-1,383.5万
-4.36%-1,205.9万
-1.53%-1,203.48万
32.96%-1,195.72万
14.21%-5,309.8万
32.77%-1,185.4万
35.18%-1,155.5万
26.38%-1,185.38万
-72.63%-1,783.52万
其他融资活动的净现金流额
-95.31%-1,951.1万
8.64%-273.7万
-1.66%-288.6万
-12.53%-241.87万
-471.85%-1,146.93万
20.26%-999万
-46.85%-299.6万
-50.33%-283.9万
68.59%-214.94万
-14.26%-200.56万
非持续融资活动现金净额
融资活动现金净额
243.45%9,481.6万
833.12%7,570.4万
781.80%4,823.7万
85.83%-841.54万
-167.55%-2,070.96万
-155.05%-6,609.9万
-16.20%811.3万
-111.91%-707.5万
-154.40%-5,939.66万
-270.77%-774.04万
现金净流量
期初现金流
16.05%5,342.7万
2.80%4,503.8万
-1.37%4,204.5万
37.99%4,607.14万
16.05%5,342.72万
3.03%4,603.8万
-12.14%4,381.2万
-20.08%4,263.1万
-23.23%3,338.75万
3.03%4,603.84万
当期现金流变化
-400.45%-2,209.5万
-253.00%-1,432.8万
76.51%286.3万
-141.03%-372.21万
45.63%-690.79万
160.32%735.4万
345.82%936.5万
169.06%162.2万
-11.34%907.26万
-916.76%-1,270.56万
利率变动影响
-5,902.86%-203.1万
-663.60%-140.9万
129.48%13万
-277.55%-30.42万
-918.97%-44.78万
102.38%3.5万
1,417.80%25万
60.74%-44.1万
144.40%17.13万
-0.62%5.47万
期末现金流
-45.16%2,930.1万
-45.16%2,930.1万
2.80%4,503.8万
-1.37%4,204.5万
37.99%4,607.14万
16.05%5,342.7万
16.05%5,342.7万
-12.14%4,381.2万
-20.08%4,263.1万
-23.23%3,338.75万
自由现金流
-12.52%6,402.7万
136.82%1,060.5万
-7.06%2,174.8万
-41.32%1,726.29万
-9.33%1,441.11万
-16.74%7,319.1万
-75.31%447.8万
-17.93%2,340万
14.56%2,941.91万
2.01%1,589.39万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
审计意见
无保留意见
--
--
--
--
无保留意见
--
--
--
--
(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31
经营活动现金流量(间接法)
持续经营活动现金净额 -12.52%6,402.7万136.82%1,060.5万-7.06%2,174.8万-41.32%1,726.29万-9.33%1,441.11万-16.74%7,319.1万-75.31%447.8万-17.93%2,340万14.56%2,941.91万2.01%1,589.39万
持续经营净收入 -150.55%-588.7万-106.45%-15.2万-213.83%-339.1万-116.46%-70.45万-180.66%-163.95万-46.25%1,164.7万10.10%235.6万32.60%297.9万-69.46%427.94万-37.83%203.26万
持续经营损益 134.54%535.7万-328.33%-135.4万3,010.13%229.9万439.41%288.77万23.46%152.43万-81.84%228.4万-94.06%59.3万77.90%-7.9万-80.23%53.54万407.68%123.46万
折旧和摊销 -6.84%5,611万-0.51%1,459.2万-7.31%1,405.2万-9.22%1,380.85万-10.10%1,365.75万-6.79%6,023万-3.77%1,466.7万-16.11%1,516万-6.67%1,521.1万1.22%1,519.2万
递延税费 125.60%84.5万113.70%24.3万117.14%23万150.48%15.41万81.14%21.79万-207.64%-330.1万-836.87%-177.4万-1,487.73%-134.2万70.67%-30.53万-50.21%12.03万
其他非现金项目 147.66%522.8万108.76%135.9万211.45%171.3万363.69%120.37万46.41%95.23万111.25%211.1万111.75%65.1万52.57%55万101.77%25.96万-38.45%65.04万
营运资金变化 42.76%-288.4万58.48%-547.8万18.51%553.7万-119.02%-150.73万67.68%-143.57万-276.15%-503.8万-197.94%-1,319.4万-36.45%467.2万48.23%792.61万17.90%-444.21万
-应收款项(增)减 -265.29%-1,004.9万26.19%228.4万-63.46%-351.6万-1,896.37%-392.12万-86.27%-489.58万-853.70%-275.1万9,418.30%181万-499.85%-215.1万-89.81%21.83万-82.91%-262.83万
-应付款项及应计费用(减)增 340.49%780.4万49.48%-443.9万68.91%894.2万-81.98%48.76万214.40%281.34万-199.08%-324.5万-111.66%-878.6万-34.84%529.4万82.86%270.63万-12.85%-245.93万
-其他流动资产变化 -166.70%-63.9万46.56%-332.3万-92.74%11.1万-61.48%192.64万0.18%64.66万222.82%95.8万-1,997.65%-621.8万468.56%152.9万189.84%500.16万135.97%64.54万
非持续经营活动现金净额
经营活动现金净额 -12.52%6,402.7万136.82%1,060.5万-7.06%2,174.8万-41.32%1,726.29万-9.33%1,441.11万-16.74%7,319.1万-75.31%447.8万-17.93%2,340万14.56%2,941.91万2.01%1,589.39万
投资活动现金流量
持续投资活动现金净额 -69,160.31%-1.81亿-3,019.56%-1.01亿-356.52%-6,712.2万-132.19%-1,256.96万97.08%-60.94万100.13%26.2万89.80%-322.6万46.58%-1,470.3万131.33%3,905.01万2.36%-2,085.91万
业务交易的净现金流 --016.96%875.9万-403.01%-634.8万-108.36%-99.77万92.22%-141.33万--081.91%748.9万-75.09%-126.2万117.37%1,193.53万-8,391.30%-1,816.23万
投资产品交易的净现金流 61.93%-121.7万90.90%-29.1万35.84%-223.1万-52.12%166.49万---35.99万36.10%-319.7万---319.7万30.50%-347.7万--347.7万--0
其他投资活动的净现金流 -130.66%-1,161.7万-623.45%-448.6万-264.57%-1,107.2万-96.48%97.99万18.44%296.11万182.92%3,789.4万103.12%85.7万--672.8万--2,780.9万--250万
非持续投资活动现金净额
投资活动现金净额 -69,160.31%-1.81亿-3,019.56%-1.01亿-356.52%-6,712.2万-132.19%-1,256.96万97.08%-60.94万100.13%26.2万89.80%-322.6万46.58%-1,470.3万131.33%3,905.01万2.36%-2,085.91万
融资活动现金流量
持续融资活动现金净额 243.45%9,481.6万833.12%7,570.4万781.80%4,823.7万85.83%-841.54万-167.55%-2,070.96万-155.05%-6,609.9万-16.20%811.3万-111.91%-707.5万-154.40%-5,939.66万-270.77%-774.04万
债务发行/偿还的净现金流 1,139.33%1.98亿250.09%1.05亿398.86%7,158.6万135.62%1,447.78万-42.33%710.12万-91.86%1,598.1万2.08%2,996.2万-12.38%1,435万-130.76%-4,064.34万-32.98%1,231.24万
普通股发行/偿还的净现金流 -78.21%-3,384.5万-80.27%-1,261.7万-19.53%-840.4万-77.68%-843.98万-1,968.30%-438.42万-977.25%-1,899.2万-2,325,349.17%-699.9万---703.1万-39,933.95%-475万87.90%-21.2万
现金股利支付 6.05%-4,988.6万-16.71%-1,383.5万-4.36%-1,205.9万-1.53%-1,203.48万32.96%-1,195.72万14.21%-5,309.8万32.77%-1,185.4万35.18%-1,155.5万26.38%-1,185.38万-72.63%-1,783.52万
其他融资活动的净现金流额 -95.31%-1,951.1万8.64%-273.7万-1.66%-288.6万-12.53%-241.87万-471.85%-1,146.93万20.26%-999万-46.85%-299.6万-50.33%-283.9万68.59%-214.94万-14.26%-200.56万
非持续融资活动现金净额
融资活动现金净额 243.45%9,481.6万833.12%7,570.4万781.80%4,823.7万85.83%-841.54万-167.55%-2,070.96万-155.05%-6,609.9万-16.20%811.3万-111.91%-707.5万-154.40%-5,939.66万-270.77%-774.04万
现金净流量
期初现金流 16.05%5,342.7万2.80%4,503.8万-1.37%4,204.5万37.99%4,607.14万16.05%5,342.72万3.03%4,603.8万-12.14%4,381.2万-20.08%4,263.1万-23.23%3,338.75万3.03%4,603.84万
当期现金流变化 -400.45%-2,209.5万-253.00%-1,432.8万76.51%286.3万-141.03%-372.21万45.63%-690.79万160.32%735.4万345.82%936.5万169.06%162.2万-11.34%907.26万-916.76%-1,270.56万
利率变动影响 -5,902.86%-203.1万-663.60%-140.9万129.48%13万-277.55%-30.42万-918.97%-44.78万102.38%3.5万1,417.80%25万60.74%-44.1万144.40%17.13万-0.62%5.47万
期末现金流 -45.16%2,930.1万-45.16%2,930.1万2.80%4,503.8万-1.37%4,204.5万37.99%4,607.14万16.05%5,342.7万16.05%5,342.7万-12.14%4,381.2万-20.08%4,263.1万-23.23%3,338.75万
自由现金流 -12.52%6,402.7万136.82%1,060.5万-7.06%2,174.8万-41.32%1,726.29万-9.33%1,441.11万-16.74%7,319.1万-75.31%447.8万-17.93%2,340万14.56%2,941.91万2.01%1,589.39万
货币单位 美元美元美元美元美元美元美元美元美元美元
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 无保留意见--------无保留意见--------

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