美股市场个股详情

BCMRF BCM RESOURCES CORP

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  • 0.025
  • 0.0000.00%
延时15分钟行情交易中 11/08 16:00 (美东)
461.57万总市值-8333市盈率TTM

BCM RESOURCES CORP关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2024/05/31
(Q2)2024/02/29
(Q1)2023/11/30
(FY)2023/08/31
(Q4)2023/08/31
(Q3)2023/05/31
(Q2)2023/02/28
(Q1)2022/11/30
(FY)2022/08/31
(Q4)2022/08/31
资产
流动资产
现金及现金等价物和短期投资
-99.46%2,496
-96.34%1,460
-92.43%5,934
-89.03%3.98万
-89.03%3.98万
-58.80%45.88万
-95.52%3.99万
-84.97%7.84万
290.59%36.26万
290.59%36.26万
-现金和现金等价物
-99.46%2,496
-96.34%1,460
-92.43%5,934
-89.03%3.98万
-89.03%3.98万
-58.80%45.88万
-95.52%3.99万
-84.97%7.84万
290.59%36.26万
290.59%36.26万
应收款项
-57.10%1.38万
60.01%4.56万
77.53%4.56万
76.15%4.25万
76.15%4.25万
-24.31%3.21万
-28.50%2.85万
190.46%2.57万
195.66%2.41万
195.66%2.41万
-应收账款
0.00%1.1万
0.00%1.1万
0.00%1.1万
0.00%1.1万
0.00%1.1万
--1.1万
--1.1万
--1.1万
--1.1万
--1.1万
-应收税费
-86.83%2,782
97.78%3.46万
135.68%3.46万
139.91%3.15万
139.91%3.15万
-50.22%2.11万
-56.12%1.75万
65.98%1.47万
60.93%1.31万
60.93%1.31万
预付费用
----
----
----
--0
--0
-13.23%10.97万
68.54%20.54万
-1.45%10.35万
-60.42%6.45万
-60.42%6.45万
其他流动资产
----
----
----
----
----
----
----
---30
----
----
流动资产合计
-97.29%1.63万
-82.82%4.7万
-75.17%5.15万
-81.76%8.23万
-81.76%8.23万
-53.17%60.06万
-73.99%27.38万
-67.34%20.74万
70.93%45.12万
70.93%45.12万
非流动资产
固定资产净额
5.67%2,295.05万
18.59%2,262.23万
272.64%2,261.24万
287.44%2,256.48万
287.44%2,256.48万
389.58%2,171.91万
534.91%1,907.53万
164.53%606.81万
276.61%582.41万
276.61%582.41万
投资和预付款
1.49%1.47万
1.49%1.47万
1.49%1.47万
0.15%1.45万
0.15%1.45万
0.15%1.45万
0.15%1.45万
0.15%1.45万
0.25%1.45万
0.25%1.45万
非流动资产合计
5.67%2,296.52万
18.58%2,263.7万
272.00%2,262.71万
286.72%2,257.93万
286.72%2,257.93万
388.32%2,173.35万
532.35%1,908.98万
163.50%608.26万
274.05%583.86万
274.05%583.86万
总资产
2.90%2,298.15万
17.15%2,268.41万
260.55%2,267.86万
260.29%2,266.16万
260.29%2,266.16万
289.86%2,233.41万
375.56%1,936.36万
113.69%629.01万
244.67%628.98万
244.67%628.98万
负债
流动负债
应付款项
97.53%176.53万
716.19%144.9万
708.72%142.76万
851.71%137.77万
851.71%137.77万
409.50%89.37万
-32.99%17.75万
-45.03%17.65万
-51.35%14.48万
-51.35%14.48万
-应付账款
82.88%150.27万
1,056.92%127.28万
822.73%128.66万
1,082.45%127.32万
1,082.45%127.32万
1,215.38%82.17万
38.24%11万
3.70%13.94万
-2.63%10.77万
-2.63%10.77万
-应付关联方款项
264.65%26.26万
160.99%17.62万
280.05%14.09万
181.79%10.45万
181.79%10.45万
-36.23%7.2万
-63.58%6.75万
-80.13%3.71万
-80.16%3.71万
-80.16%3.71万
短期借款与租赁负债
----
----
----
----
----
----
--41.3万
----
----
----
-短期借款
----
----
----
----
----
----
--41.3万
----
----
----
流动负债总额
97.53%176.53万
145.37%144.9万
708.72%142.76万
851.71%137.77万
851.71%137.77万
409.50%89.37万
122.89%59.05万
-45.03%17.65万
-51.35%14.48万
-51.35%14.48万
非流动负债
非流动负债总额
--0
--0
--0
--0
--0
--0
--400
--0
--0
--0
总负债
97.53%176.53万
145.21%144.9万
708.72%142.76万
851.71%137.77万
851.71%137.77万
422.91%89.37万
123.04%59.09万
-45.03%17.65万
-51.35%14.48万
-51.35%14.48万
所有者权益
股本
1.46%3,075.2万
11.94%3,072.12万
106.64%3,072.12万
106.86%3,072.12万
106.86%3,072.12万
116.97%3,031.03万
134.43%2,744.39万
35.71%1,486.72万
51.21%1,485.12万
51.21%1,485.12万
-普通股股本
1.46%3,075.2万
11.94%3,072.12万
106.64%3,072.12万
106.86%3,072.12万
106.86%3,072.12万
116.97%3,031.03万
134.43%2,744.39万
35.71%1,486.72万
51.21%1,485.12万
51.21%1,485.12万
留存收益
-8.98%-1,298.8万
-16.44%-1,295.83万
-16.76%-1,292.23万
-16.79%-1,288.93万
-16.79%-1,288.93万
-12.82%-1,191.8万
-6.04%-1,112.91万
-5.68%-1,106.76万
-5.60%-1,103.6万
-5.60%-1,103.6万
不影响留存收益的损益
15.80%345.21万
40.45%345.21万
49.19%345.21万
49.19%345.21万
49.19%345.21万
38.55%298.1万
14.24%245.79万
8.10%231.39万
7.55%231.39万
7.55%231.39万
其他权益
----
--2万
----
----
----
--6.72万
----
----
219.68%1.6万
219.68%1.6万
股东权益总额
-1.05%2,121.62万
13.12%2,123.51万
247.61%2,125.1万
246.36%2,128.4万
246.36%2,128.4万
285.77%2,144.04万
393.13%1,877.27万
133.12%611.35万
302.33%614.51万
302.33%614.51万
总权益
-1.05%2,121.62万
13.12%2,123.51万
247.61%2,125.1万
246.36%2,128.4万
246.36%2,128.4万
285.77%2,144.04万
393.13%1,877.27万
133.12%611.35万
302.33%614.51万
302.33%614.51万
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
--
--
--
带解释段的无保留意见
--
--
--
--
带解释段的无保留意见
--
(Q3)2024/05/31(Q2)2024/02/29(Q1)2023/11/30(FY)2023/08/31(Q4)2023/08/31(Q3)2023/05/31(Q2)2023/02/28(Q1)2022/11/30(FY)2022/08/31(Q4)2022/08/31
资产
流动资产
现金及现金等价物和短期投资 -99.46%2,496-96.34%1,460-92.43%5,934-89.03%3.98万-89.03%3.98万-58.80%45.88万-95.52%3.99万-84.97%7.84万290.59%36.26万290.59%36.26万
-现金和现金等价物 -99.46%2,496-96.34%1,460-92.43%5,934-89.03%3.98万-89.03%3.98万-58.80%45.88万-95.52%3.99万-84.97%7.84万290.59%36.26万290.59%36.26万
应收款项 -57.10%1.38万60.01%4.56万77.53%4.56万76.15%4.25万76.15%4.25万-24.31%3.21万-28.50%2.85万190.46%2.57万195.66%2.41万195.66%2.41万
-应收账款 0.00%1.1万0.00%1.1万0.00%1.1万0.00%1.1万0.00%1.1万--1.1万--1.1万--1.1万--1.1万--1.1万
-应收税费 -86.83%2,78297.78%3.46万135.68%3.46万139.91%3.15万139.91%3.15万-50.22%2.11万-56.12%1.75万65.98%1.47万60.93%1.31万60.93%1.31万
预付费用 --------------0--0-13.23%10.97万68.54%20.54万-1.45%10.35万-60.42%6.45万-60.42%6.45万
其他流动资产 -------------------------------30--------
流动资产合计 -97.29%1.63万-82.82%4.7万-75.17%5.15万-81.76%8.23万-81.76%8.23万-53.17%60.06万-73.99%27.38万-67.34%20.74万70.93%45.12万70.93%45.12万
非流动资产
固定资产净额 5.67%2,295.05万18.59%2,262.23万272.64%2,261.24万287.44%2,256.48万287.44%2,256.48万389.58%2,171.91万534.91%1,907.53万164.53%606.81万276.61%582.41万276.61%582.41万
投资和预付款 1.49%1.47万1.49%1.47万1.49%1.47万0.15%1.45万0.15%1.45万0.15%1.45万0.15%1.45万0.15%1.45万0.25%1.45万0.25%1.45万
非流动资产合计 5.67%2,296.52万18.58%2,263.7万272.00%2,262.71万286.72%2,257.93万286.72%2,257.93万388.32%2,173.35万532.35%1,908.98万163.50%608.26万274.05%583.86万274.05%583.86万
总资产 2.90%2,298.15万17.15%2,268.41万260.55%2,267.86万260.29%2,266.16万260.29%2,266.16万289.86%2,233.41万375.56%1,936.36万113.69%629.01万244.67%628.98万244.67%628.98万
负债
流动负债
应付款项 97.53%176.53万716.19%144.9万708.72%142.76万851.71%137.77万851.71%137.77万409.50%89.37万-32.99%17.75万-45.03%17.65万-51.35%14.48万-51.35%14.48万
-应付账款 82.88%150.27万1,056.92%127.28万822.73%128.66万1,082.45%127.32万1,082.45%127.32万1,215.38%82.17万38.24%11万3.70%13.94万-2.63%10.77万-2.63%10.77万
-应付关联方款项 264.65%26.26万160.99%17.62万280.05%14.09万181.79%10.45万181.79%10.45万-36.23%7.2万-63.58%6.75万-80.13%3.71万-80.16%3.71万-80.16%3.71万
短期借款与租赁负债 --------------------------41.3万------------
-短期借款 --------------------------41.3万------------
流动负债总额 97.53%176.53万145.37%144.9万708.72%142.76万851.71%137.77万851.71%137.77万409.50%89.37万122.89%59.05万-45.03%17.65万-51.35%14.48万-51.35%14.48万
非流动负债
非流动负债总额 --0--0--0--0--0--0--400--0--0--0
总负债 97.53%176.53万145.21%144.9万708.72%142.76万851.71%137.77万851.71%137.77万422.91%89.37万123.04%59.09万-45.03%17.65万-51.35%14.48万-51.35%14.48万
所有者权益
股本 1.46%3,075.2万11.94%3,072.12万106.64%3,072.12万106.86%3,072.12万106.86%3,072.12万116.97%3,031.03万134.43%2,744.39万35.71%1,486.72万51.21%1,485.12万51.21%1,485.12万
-普通股股本 1.46%3,075.2万11.94%3,072.12万106.64%3,072.12万106.86%3,072.12万106.86%3,072.12万116.97%3,031.03万134.43%2,744.39万35.71%1,486.72万51.21%1,485.12万51.21%1,485.12万
留存收益 -8.98%-1,298.8万-16.44%-1,295.83万-16.76%-1,292.23万-16.79%-1,288.93万-16.79%-1,288.93万-12.82%-1,191.8万-6.04%-1,112.91万-5.68%-1,106.76万-5.60%-1,103.6万-5.60%-1,103.6万
不影响留存收益的损益 15.80%345.21万40.45%345.21万49.19%345.21万49.19%345.21万49.19%345.21万38.55%298.1万14.24%245.79万8.10%231.39万7.55%231.39万7.55%231.39万
其他权益 ------2万--------------6.72万--------219.68%1.6万219.68%1.6万
股东权益总额 -1.05%2,121.62万13.12%2,123.51万247.61%2,125.1万246.36%2,128.4万246.36%2,128.4万285.77%2,144.04万393.13%1,877.27万133.12%611.35万302.33%614.51万302.33%614.51万
总权益 -1.05%2,121.62万13.12%2,123.51万247.61%2,125.1万246.36%2,128.4万246.36%2,128.4万285.77%2,144.04万393.13%1,877.27万133.12%611.35万302.33%614.51万302.33%614.51万
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 ------带解释段的无保留意见--------带解释段的无保留意见--

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