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BATX Battery X Metals Inc

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  • 0.095
  • +0.005+5.56%
延时15分钟行情已收盘 07/19 10:18 (美东)
583.61万总市值-545市盈率TTM

Battery X Metals Inc关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
资产
流动资产
现金及现金等价物和短期投资
-62.85%10.01万
-62.28%5.16万
-62.28%5.16万
--3.65万
42,116.90%12.24万
2,189.75%26.94万
-17.12%13.67万
-17.12%13.67万
--0
-99.97%290
-现金和现金等价物
-62.85%10.01万
-62.28%5.16万
-62.28%5.16万
--3.65万
42,116.90%12.24万
2,189.75%26.94万
-17.12%13.67万
-17.12%13.67万
--0
-99.97%290
-其他应收款
-79.46%4,565
617.68%1.59万
617.68%1.59万
----
721.92%1.82万
902.35%2.22万
-0.81%2,217
-0.81%2,217
-50.40%2,217
--2,217
流动资产合计
38.21%41.63万
-53.23%7万
-53.23%7万
397.66%6.27万
352.78%14.96万
765.95%30.12万
-20.56%14.98万
-20.56%14.98万
-99.18%1.26万
-97.38%3.3万
非流动资产
-其他无形资产
--136.56万
842.00%141.3万
842.00%141.3万
----
----
----
--15万
--15万
--1万
--5万
监管资产
57.28%8,616
48.27%2,230
48.27%2,230
-51.93%1,741
-77.53%5,014
-68.64%5,478
-83.26%1,504
-83.26%1,504
-99.75%3,622
-94.30%2.23万
总资产
57.28%8,616
48.27%2,230
48.27%2,230
-51.93%1,741
-77.53%5,014
-68.64%5,478
-83.26%1,504
-83.26%1,504
-93.93%3,622
-39.43%2.23万
负债
流动负债
短期借款与资本租赁负债
131.42%7.75万
152.73%7.69万
152.73%7.69万
5,445.57%7.14万
--3.29万
--3.35万
--3.04万
--3.04万
--1,288
----
-短期借款
131.42%7.75万
152.73%7.69万
152.73%7.69万
5,445.57%7.14万
--3.29万
--3.35万
--3.04万
--3.04万
--1,288
----
-应付账款
51.30%93.86万
44.43%86.94万
44.43%86.94万
----
58.70%68.42万
119.09%62.04万
198.36%60.19万
198.36%60.19万
320.51%51.28万
97.24%43.11万
-应付税费
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
应计费用
128.66%57.19万
62.99%57.01万
62.99%57.01万
----
-17.98%23.36万
-3.35%25.01万
37.83%34.98万
37.83%34.98万
-15.65%30.48万
5,595.26%28.48万
流动负债总额
71.95%159.26万
55.66%153.23万
55.66%153.23万
34.05%112.07万
32.16%96.89万
65.64%92.62万
115.04%98.44万
115.04%98.44万
71.42%83.6万
227.90%73.31万
非流动负债
长期应计费用
9.84%191.01万
191.22%190.61万
191.22%190.61万
-63.07%67.42万
1.43%184.11万
-0.77%173.89万
-58.77%65.45万
-58.77%65.45万
84.77%182.59万
145.92%181.51万
非流动负债总额
71.95%159.26万
55.66%153.23万
55.66%153.23万
34.05%112.07万
32.16%96.89万
65.64%92.62万
115.04%98.44万
115.04%98.44万
71.42%83.6万
227.90%73.31万
所有者权益
股本
35.95%1,018.41万
48.75%939.26万
48.75%939.26万
23.13%776.91万
22.92%759.11万
21.64%749.11万
18.60%631.45万
18.60%631.45万
64.22%630.95万
143.81%617.56万
-普通股股本
35.95%1,018.41万
48.75%939.26万
48.75%939.26万
23.13%776.91万
22.92%759.11万
21.64%749.11万
18.60%631.45万
18.60%631.45万
64.22%630.95万
143.81%617.56万
不影响留存收益的损益
23.58%134.12万
70.29%159.55万
70.29%159.55万
8.11%119.07万
-1.81%108.53万
-3.30%108.53万
42.89%93.69万
42.89%93.69万
85.55%110.14万
10.27%110.53万
总权益
14.03%232.64万
145.70%197.61万
145.70%197.61万
-59.92%73.69万
7.72%199.07万
14.16%204.01万
-54.72%80.43万
-54.72%80.43万
-27.12%183.85万
-7.50%184.81万
(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30
资产
流动资产
现金及现金等价物和短期投资 -62.85%10.01万-62.28%5.16万-62.28%5.16万--3.65万42,116.90%12.24万2,189.75%26.94万-17.12%13.67万-17.12%13.67万--0-99.97%290
-现金和现金等价物 -62.85%10.01万-62.28%5.16万-62.28%5.16万--3.65万42,116.90%12.24万2,189.75%26.94万-17.12%13.67万-17.12%13.67万--0-99.97%290
-其他应收款 -79.46%4,565617.68%1.59万617.68%1.59万----721.92%1.82万902.35%2.22万-0.81%2,217-0.81%2,217-50.40%2,217--2,217
流动资产合计 38.21%41.63万-53.23%7万-53.23%7万397.66%6.27万352.78%14.96万765.95%30.12万-20.56%14.98万-20.56%14.98万-99.18%1.26万-97.38%3.3万
非流动资产
-其他无形资产 --136.56万842.00%141.3万842.00%141.3万--------------15万--15万--1万--5万
监管资产 57.28%8,61648.27%2,23048.27%2,230-51.93%1,741-77.53%5,014-68.64%5,478-83.26%1,504-83.26%1,504-99.75%3,622-94.30%2.23万
总资产 57.28%8,61648.27%2,23048.27%2,230-51.93%1,741-77.53%5,014-68.64%5,478-83.26%1,504-83.26%1,504-93.93%3,622-39.43%2.23万
负债
流动负债
短期借款与资本租赁负债 131.42%7.75万152.73%7.69万152.73%7.69万5,445.57%7.14万--3.29万--3.35万--3.04万--3.04万--1,288----
-短期借款 131.42%7.75万152.73%7.69万152.73%7.69万5,445.57%7.14万--3.29万--3.35万--3.04万--3.04万--1,288----
-应付账款 51.30%93.86万44.43%86.94万44.43%86.94万----58.70%68.42万119.09%62.04万198.36%60.19万198.36%60.19万320.51%51.28万97.24%43.11万
-应付税费 --0--0--0--0--0--0--0--0--0--0
应计费用 128.66%57.19万62.99%57.01万62.99%57.01万-----17.98%23.36万-3.35%25.01万37.83%34.98万37.83%34.98万-15.65%30.48万5,595.26%28.48万
流动负债总额 71.95%159.26万55.66%153.23万55.66%153.23万34.05%112.07万32.16%96.89万65.64%92.62万115.04%98.44万115.04%98.44万71.42%83.6万227.90%73.31万
非流动负债
长期应计费用 9.84%191.01万191.22%190.61万191.22%190.61万-63.07%67.42万1.43%184.11万-0.77%173.89万-58.77%65.45万-58.77%65.45万84.77%182.59万145.92%181.51万
非流动负债总额 71.95%159.26万55.66%153.23万55.66%153.23万34.05%112.07万32.16%96.89万65.64%92.62万115.04%98.44万115.04%98.44万71.42%83.6万227.90%73.31万
所有者权益
股本 35.95%1,018.41万48.75%939.26万48.75%939.26万23.13%776.91万22.92%759.11万21.64%749.11万18.60%631.45万18.60%631.45万64.22%630.95万143.81%617.56万
-普通股股本 35.95%1,018.41万48.75%939.26万48.75%939.26万23.13%776.91万22.92%759.11万21.64%749.11万18.60%631.45万18.60%631.45万64.22%630.95万143.81%617.56万
不影响留存收益的损益 23.58%134.12万70.29%159.55万70.29%159.55万8.11%119.07万-1.81%108.53万-3.30%108.53万42.89%93.69万42.89%93.69万85.55%110.14万10.27%110.53万
总权益 14.03%232.64万145.70%197.61万145.70%197.61万-59.92%73.69万7.72%199.07万14.16%204.01万-54.72%80.43万-54.72%80.43万-27.12%183.85万-7.50%184.81万

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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