Sie können auf die jährlichen und vierteljährlichen Kapitalflussrechnungen von Aligos Therapeutics Inc zugreifen, um deren finanzielle Solidität und Stabilität zu bewerten.
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
Leere Zeilen ausblenden
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q2
FY2020Q1
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
-21.11%-24.34M
20.46%-15.50M
8.08%-20.91M
18.78%-18.40M
1.16%-20.10M
-43.16%-19.49M
-1.60%-22.75M
-35.01%-22.66M
-18.67%-20.34M
45.61%-13.62M
-9.56%-22.39M
55.22%-16.78M
32.45%-17.14M
-8.76%-25.04M
31.42%-20.43M
-90.41%-37.48M
---25.37M
-30.09%-23.02M
-46.64%-29.80M
---19.68M
---17.69M
---20.32M
Nettoergebnis aus fortgeführten Aktivitäten
-63.75%-31.54M
-413.44%-15.86M
223.59%43.09M
-194.53%-82.15M
-6.75%-19.26M
126.93%5.06M
-51.88%-34.86M
-27.44%-27.89M
3.11%-18.04M
5.69%-18.79M
35.55%-22.95M
41.97%-21.89M
43.79%-18.62M
33.18%-19.92M
-28.69%-35.62M
-9.57%-37.71M
---33.13M
-43.38%-29.82M
-38.17%-27.67M
---34.42M
---20.80M
---20.03M
Betriebsergebnisse und -verluste
-11.29%220.00K
1.17%259.00K
-31.21%194.00K
-38.83%241.00K
-19.22%248.00K
-77.30%256.00K
-37.89%282.00K
-24.52%394.00K
-42.94%307.00K
97.89%1.13M
-32.84%454.00K
-28.30%522.00K
-31.03%538.00K
-25.97%570.00K
-8.77%676.00K
-0.27%728.00K
--780.00K
-19.71%770.00K
123.87%741.00K
--730.00K
--959.00K
--331.00K
Andere nicht monetäre Posten
-314.29%-232.00K
38.15%-308.00K
-41.88%179.00K
-84.78%58.00K
-114.97%-56.00K
-339.42%-498.00K
150.41%308.00K
27.00%381.00K
25.08%374.00K
-29.49%208.00K
-61.08%123.00K
-2.60%300.00K
58.20%299.00K
64.80%295.00K
86.98%316.00K
49.51%308.00K
--189.00K
616.00%179.00K
628.13%169.00K
--206.00K
--25.00K
---32.00K
Veränderung des Umlaufvermögens
148.15%1.53M
-77.38%930.00K
30.20%-3.83M
-33.11%-390.00K
48.69%-3.18M
539.35%4.11M
-49.58%-5.49M
-133.87%-293.00K
-118.07%-6.20M
106.45%643.00K
-135.31%-3.67M
119.43%865.00K
-189.21%-2.84M
-515.32%-9.98M
279.73%10.40M
-135.63%-4.45M
--3.19M
20.64%2.40M
-392.60%-5.79M
--12.50M
--1.99M
---1.18M
-Änderung bei anderen kurzfristigen Vermögenswerten
245.29%587.00K
144.20%337.00K
-172.06%-147.00K
74.81%-296.00K
121.82%170.00K
-93.63%138.00K
-90.22%204.00K
-105.06%-1.18M
-236.19%-779.00K
9.62%2.17M
-37.58%2.09M
92.67%-573.00K
1605.26%572.00K
496.59%1.98M
1106.50%3.34M
-155.49%-7.81M
---38.00K
-333.80%-498.00K
135.65%277.00K
---3.06M
--213.00K
---777.00K
-Änderung bei anderen kurzfristigen Verbindlichkeiten
38.75%-411.00K
-4.30%579.00K
74.28%-151.00K
80.93%-504.00K
77.98%-671.00K
896.05%605.00K
74.73%-587.00K
-16.38%-2.64M
25.77%-3.05M
97.94%-76.00K
-118.68%-2.32M
-353.29%-2.27M
-167.25%-4.11M
-138.94%-3.69M
1318.32%12.44M
-104.17%-501.00K
---1.54M
---1.55M
---1.02M
--12.00M
----
--0.00
Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
-21.11%-24.34M
20.46%-15.50M
8.08%-20.91M
18.78%-18.40M
1.16%-20.10M
-43.16%-19.49M
-1.60%-22.75M
-35.01%-22.66M
-18.67%-20.34M
45.61%-13.62M
-9.56%-22.39M
55.22%-16.78M
32.45%-17.14M
-8.76%-25.04M
31.42%-20.43M
-90.41%-37.48M
---25.37M
-30.09%-23.02M
-46.64%-29.80M
---19.68M
---17.69M
---20.32M
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
642.31%193.00K
1457.14%109.00K
-37.68%43.00K
300.00%28.00K
36.84%26.00K
150.00%7.00K
885.71%69.00K
-92.31%7.00K
533.33%19.00K
-104.19%-14.00K
-98.64%7.00K
-72.92%91.00K
-96.91%3.00K
119.74%334.00K
67.75%515.00K
450.82%336.00K
--97.00K
-73.29%152.00K
-71.83%307.00K
--61.00K
--569.00K
--1.09M
Investitionsausgaben
642.31%193.00K
1457.14%109.00K
-37.68%43.00K
300.00%28.00K
36.84%26.00K
--7.00K
885.71%69.00K
-92.31%7.00K
533.33%19.00K
----
-98.64%7.00K
-72.92%91.00K
-96.91%3.00K
119.74%334.00K
67.75%515.00K
450.82%336.00K
--97.00K
-73.29%152.00K
-71.83%307.00K
--61.00K
--569.00K
--1.09M
Netto-Cashflow aus der Veräußerung von Anlagevermögen
642.31%193.00K
1457.14%109.00K
-37.68%43.00K
300.00%28.00K
36.84%26.00K
150.00%7.00K
885.71%69.00K
-92.31%7.00K
533.33%19.00K
-104.19%-14.00K
-98.64%7.00K
-72.92%91.00K
-96.91%3.00K
119.74%334.00K
67.75%515.00K
450.82%336.00K
--97.00K
-73.29%152.00K
-71.83%307.00K
--61.00K
--569.00K
--1.09M
Netto-Cashflow aus Anlageprodukten
359.29%47.88M
-198.28%-39.31M
50.30%-44.02M
--20.00M
104140.00%10.42M
60.06%40.00M
-542.87%-88.57M
-100.00%0.00
-99.97%10.00K
359.18%24.99M
133.40%20.00M
172.45%11.70M
56892.98%32.49M
-196.42%-9.64M
-698.89%-59.89M
-207.63%-16.14M
--57.00K
-35.48%10.00M
144.09%10.00M
--15.00M
--15.50M
---22.68M
Netto-Cashflow aus anderen Investitionstätigkeiten
--0.00
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----
----
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----
----
----
----
----
----
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Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
358.58%47.68M
-198.57%-39.42M
50.29%-44.07M
285414.29%19.97M
115633.33%10.40M
59.95%39.99M
-543.37%-88.64M
-100.06%-7.00K
-100.03%-9.00K
350.64%25.00M
133.10%19.99M
170.42%11.60M
81307.50%32.48M
-201.30%-9.98M
-723.17%-60.40M
-210.32%-16.48M
---40.00K
-34.04%9.85M
140.78%9.69M
--14.94M
--14.93M
---23.77M
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
-1225.00%-53.00K
-162.99%-177.00K
535584.21%101.74M
-99.89%97.00K
80.95%-4.00K
-32.13%281.00K
-1800.00%-19.00K
72574.38%87.94M
-10.53%-21.00K
398.80%414.00K
95.24%-1.00K
-78.08%121.00K
-100.02%-19.00K
-12.63%83.00K
-126.92%-21.00K
-99.71%552.00K
--77.95M
251.85%95.00K
262.50%78.00K
--193.32M
--27.00K
---48.00K
Netto-Cashflow aus Schuldenemission/Rückzahlung
-100.00%-10.00K
----
----
-975.00%-43.00K
76.19%-5.00K
65.96%-16.00K
20.83%-19.00K
-114.81%-4.00K
25.00%-21.00K
-62.07%-47.00K
22.58%-24.00K
235.00%27.00K
-27.27%-28.00K
-52.63%-29.00K
-72.22%-31.00K
94.48%-20.00K
---22.00K
-105.71%-19.00K
-63.64%-18.00K
---362.00K
--333.00K
---11.00K
Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
---43.00K
----
--101.74M
-99.20%140.00K
--0.00
-35.57%297.00K
----
18552.13%17.53M
--0.00
315.32%461.00K
----
--94.00K
-100.00%0.00
--111.00K
----
-100.00%0.00
--78.58M
----
----
--155.54M
--62.00K
----
Netto-Cashflow aus Ausgabe/Rückerwerb von Vorzugsaktien
----
----
----
----
----
----
----
--70.41M
----
----
----
----
----
----
----
-100.00%0.00
--0.00
----
100.00%0.00
--41.13M
--0.00
---55.00K
Erlöse aus dem Ausüben von Aktienoptionen durch Mitarbeiter
----
----
----
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--0.00
-100.00%0.00
--0.00
-100.00%0.00
-100.00%0.00
130.00%23.00K
-100.00%0.00
-50.00%9.00K
-99.53%1.00K
-89.58%10.00K
1042.86%720.00K
--18.00K
--213.00K
433.33%96.00K
--63.00K
----
--18.00K
Netto-Cashflow aus anderen Finanzierungsaktivitäten
-4400.00%-43.00K
----
----
----
--1.00K
----
----
----
----
----
----
----
100.00%0.00
----
----
95.15%-148.00K
---628.00K
73.10%-99.00K
--0.00
---3.05M
---368.00K
----
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
-1225.00%-53.00K
-162.99%-177.00K
535584.21%101.74M
-99.89%97.00K
80.95%-4.00K
-32.13%281.00K
-1800.00%-19.00K
72574.38%87.94M
-10.53%-21.00K
398.80%414.00K
95.24%-1.00K
-78.08%121.00K
-100.02%-19.00K
-12.63%83.00K
-126.92%-21.00K
-99.71%552.00K
--77.95M
251.85%95.00K
262.50%78.00K
--193.32M
--27.00K
---48.00K
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
-58.42%18.77M
203.17%73.87M
-72.67%37.11M
-49.73%35.44M
-50.32%45.15M
-69.18%24.37M
66.67%135.77M
-18.51%70.50M
27.64%90.87M
-25.49%79.07M
-56.43%81.46M
-64.01%86.52M
-62.10%71.19M
-47.18%106.12M
-15.37%186.98M
642.58%240.39M
--187.84M
673.74%200.92M
215.17%220.94M
--32.37M
--25.97M
--70.10M
Änderungen des Cashflows im aktuellen Zeitraum
339.88%23.29M
-365.16%-55.10M
133.00%36.77M
-97.45%1.67M
52.34%-9.71M
76.08%20.78M
-4551.65%-111.41M
1390.45%65.27M
-232.88%-20.37M
133.79%11.80M
97.04%-2.40M
90.53%-5.06M
-70.83%15.33M
-167.14%-34.93M
-303.79%-80.86M
-128.32%-53.41M
--52.54M
-377.89%-13.07M
54.63%-20.02M
--188.57M
---2.74M
---44.14M
Endbestand an Zahlungsmitteln
18.66%42.06M
-58.42%18.77M
203.17%73.87M
-72.67%37.11M
-49.73%35.44M
-50.32%45.15M
-69.18%24.37M
66.67%135.77M
-18.51%70.50M
27.64%90.87M
-25.49%79.07M
-56.43%81.46M
-64.01%86.52M
-62.10%71.19M
-47.18%106.12M
-15.37%186.98M
--240.39M
708.59%187.84M
673.74%200.92M
--220.94M
--23.23M
--25.97M
Freier Cashflow
-21.92%-24.54M
19.93%-15.61M
8.17%-20.95M
18.68%-18.43M
1.12%-20.13M
-43.21%-19.50M
-1.88%-22.82M
-34.32%-22.66M
-18.76%-20.36M
46.33%-13.62M
-6.90%-22.39M
55.38%-16.87M
32.69%-17.14M
-9.49%-25.37M
30.41%-20.95M
-91.52%-37.82M
---25.46M
-26.87%-23.17M
-40.61%-30.10M
---19.75M
---18.26M
---21.41M
Währungseinheit
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Prüfungsmeinungen
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Häufig gestellte Fragen
Was ist die Kapitalflussrechnung?
Dieser Bericht verfolgt den Geldfluss in und aus dem Unternehmen und umfasst die operativen, investiven und finanziellen Aktivitäten. Er hebt hervor, wie gut das Unternehmen Bargeld verwaltet, um Wachstum zu unterstützen und seinen Verpflichtungen nachzukommen.