美股市场个股详情

CAJTF CANADA JETLINES OPERATIONS LTD

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  • 0.150
  • +0.122+435.71%
延时15分钟行情收盘价 07/12 16:00 (美东)
2366.32万总市值-1578市盈率TTM

CANADA JETLINES OPERATIONS LTD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
-4.73%369.39万
200.79%536.79万
200.79%536.79万
161.39%557.05万
-4.94%316.25万
55.21%387.74万
-50.15%178.46万
-50.15%178.46万
-59.09%213.11万
54,818.49%332.7万
-现金和现金等价物
-4.73%369.39万
200.79%536.79万
200.79%536.79万
161.39%557.05万
-4.94%316.25万
55.21%387.74万
-50.15%178.46万
-50.15%178.46万
-59.09%213.11万
54,818.49%332.7万
应收款项
72.42%111.18万
40.30%106.46万
40.30%106.46万
64.06%183.26万
495.08%110.34万
1,178.59%64.48万
374.28%75.88万
374.28%75.88万
723.28%111.71万
6,917.98%18.54万
-应收账款
414.69%66.57万
86.68%48.99万
86.68%48.99万
317.14%12.02万
--64.03万
--12.93万
--26.24万
--26.24万
-78.76%2.88万
----
-应收利息
--0
--1.46万
--1.46万
----
----
----
--0
--0
----
----
-应收税费
--43.27万
439.45%54.89万
439.45%54.89万
--0
--0
--0
217.71%10.18万
217.71%10.18万
--16.06万
--18.54万
-其他应收款
-97.40%1.34万
-97.18%1.11万
-97.18%1.11万
84.60%171.24万
--46.31万
--51.55万
208.37%39.46万
208.37%39.46万
--92.76万
----
存货
-0.01%6.34万
37.80%5.52万
37.80%5.52万
146.75%12.38万
1,303.82%14.06万
--6.34万
--4万
--4万
--5.02万
--1万
预付费用
-21.49%43.43万
-37.23%20.24万
-37.23%20.24万
12.56%72.16万
-38.18%70.06万
-34.96%55.32万
-25.85%32.24万
-25.85%32.24万
62.71%64.11万
5,906.71%113.33万
其他流动资产
0.00%1
----
----
----
----
-99.71%1
----
----
----
----
流动资产合计
3.20%530.33万
130.23%669万
130.23%669万
109.38%824.85万
9.70%510.71万
51.17%513.88万
-30.39%290.58万
-30.39%290.58万
-31.36%393.95万
16,788.60%465.57万
非流动资产
固定资产净额
95.86%4,390.8万
61.76%3,750.48万
61.76%3,750.48万
277.54%3,559.21万
125.59%2,171.43万
131.64%2,241.78万
6,633.14%2,318.55万
6,633.14%2,318.55万
--942.73万
--962.58万
-固定资产
96.85%4,467.89万
63.08%3,811.88万
63.08%3,811.88万
277.95%3,606.91万
117.58%2,208.79万
133.88%2,269.74万
6,640.56%2,337.38万
6,640.56%2,337.38万
--954.34万
--1,015.15万
-累计折旧
-175.78%-77.09万
-226.03%-61.4万
-226.03%-61.4万
-310.57%-47.7万
28.94%-37.36万
-955.43%-27.95万
-7,698.05%-18.83万
-7,698.05%-18.83万
---11.62万
---52.58万
长期预付费用
40.02%113.33万
402.67%602.32万
402.67%602.32万
73.58%140.71万
--103.9万
--80.94万
66.88%119.82万
66.88%119.82万
--81.06万
----
非流动资产合计
93.92%4,504.13万
78.51%4,352.8万
78.51%4,352.8万
261.40%3,699.92万
136.38%2,275.33万
140.00%2,322.73万
2,195.24%2,438.38万
2,195.24%2,438.38万
--1,023.79万
--962.58万
总资产
77.48%5,034.46万
84.02%5,021.8万
84.02%5,021.8万
219.16%4,524.77万
95.08%2,786.04万
116.91%2,836.61万
421.10%2,728.96万
421.10%2,728.96万
147.02%1,417.73万
51,706.32%1,428.14万
负债
流动负债
应付款项
66.18%486.7万
155.88%646.52万
155.88%646.52万
208.55%355.46万
219.14%274.89万
542.42%292.88万
564.98%252.66万
564.98%252.66万
--115.21万
--86.13万
-应付账款
41.17%366.32万
148.08%541.32万
148.08%541.32万
223.46%312.86万
212.66%232.88万
478.44%259.49万
474.27%218.2万
474.27%218.2万
--96.73万
--74.49万
-其他应付款
260.51%120.38万
205.25%105.2万
205.25%105.2万
130.52%42.6万
260.62%42万
--33.39万
--34.46万
--34.46万
--18.48万
--11.65万
应计费用
365.61%529.73万
858.27%423.39万
858.27%423.39万
1,120.37%172.26万
166.31%87.4万
244.64%113.77万
16.65%44.18万
16.65%44.18万
--14.12万
--32.82万
短期借款与租赁负债
-4.45%484.84万
-8.61%445.92万
-8.61%445.92万
230.20%714.46万
262.07%509.09万
381.33%507.44万
7,689.78%487.93万
7,689.78%487.93万
--216.37万
--140.6万
-短期借款
-30.45%66.5万
3.26%78.58万
3.26%78.58万
94.61%94.46万
--97.26万
--95.61万
--76.1万
--76.1万
--48.54万
----
-短期租赁负债
1.58%418.34万
-10.80%367.33万
-10.80%367.33万
269.41%620万
192.90%411.83万
290.64%411.83万
6,474.82%411.83万
6,474.82%411.83万
--167.84万
--140.6万
递延负债
91.28%523.56万
1,076.85%434.94万
1,076.85%434.94万
15,795.28%537.83万
--438.66万
--273.72万
--36.96万
--36.96万
--3.38万
----
流动负债总额
70.47%2,024.83万
137.40%1,950.77万
137.40%1,950.77万
409.92%1,780.02万
404.73%1,310.03万
545.46%1,187.81万
900.46%821.73万
900.46%821.73万
1,080.86%349.08万
532.23%259.55万
非流动负债
长期拨备
44.03%59.57万
44.22%58.63万
44.22%58.63万
--61.4万
--41.79万
--41.36万
--40.65万
--40.65万
----
----
长期借款与租赁负债
61.67%3,404.75万
76.30%3,583.12万
76.30%3,583.12万
275.25%3,256.79万
137.23%2,023.52万
140.50%2,105.98万
8,120.48%2,032.43万
8,120.48%2,032.43万
21,597.60%867.9万
21,224.78%852.99万
-长期借款
-29.21%154.89万
67.75%177.56万
67.75%177.56万
253.52%182.3万
4,862.16%198.49万
5,369.71%218.79万
2,546.32%105.85万
2,546.32%105.85万
1,189.21%51.57万
0.00%4万
-长期租赁负债
72.21%3,249.86万
76.77%3,405.55万
76.77%3,405.55万
276.62%3,074.49万
114.97%1,825.03万
116.51%1,887.19万
9,196.37%1,926.58万
9,196.37%1,926.58万
--816.34万
--848.99万
其他非流动负债
----
----
----
----
----
--30万
----
----
----
----
非流动负债总额
59.11%3,464.33万
75.67%3,641.74万
75.67%3,641.74万
282.32%3,318.19万
142.13%2,065.31万
148.65%2,177.34万
8,284.90%2,073.08万
8,284.90%2,073.08万
21,597.60%867.9万
21,224.78%852.99万
总负债
63.12%5,489.16万
93.19%5,592.51万
93.19%5,592.51万
318.92%5,098.21万
203.39%3,375.34万
217.56%3,365.15万
2,608.98%2,894.82万
2,608.98%2,894.82万
3,526.16%1,216.98万
2,369.39%1,112.54万
所有者权益
股本
106.07%3,155.32万
54.57%2,406.1万
54.57%2,406.1万
12.73%1,701.03万
25.30%1,651.76万
68.30%1,531.2万
71.10%1,556.64万
71.10%1,556.64万
80.82%1,508.96万
357.73%1,318.22万
-普通股股本
106.07%3,155.32万
54.57%2,406.1万
54.57%2,406.1万
12.73%1,701.03万
25.30%1,651.76万
68.30%1,531.2万
71.10%1,556.64万
71.10%1,556.64万
80.82%1,508.96万
357.73%1,318.22万
留存收益
-59.12%-3,830.38万
-56.20%-3,194.87万
-56.20%-3,194.87万
-56.28%-2,489.12万
-98.86%-2,501.22万
-151.74%-2,407.22万
-191.56%-2,045.33万
-191.56%-2,045.33万
-221.22%-1,592.71万
-207.97%-1,257.75万
不影响留存收益的损益
-37.43%215.73万
-32.56%215.44万
-32.56%215.44万
-25.26%212.63万
0.91%257.46万
17.07%344.77万
53.19%319.48万
53.19%319.48万
41.06%284.51万
226.61%255.13万
其他权益
71.85%4.64万
-21.87%2.63万
-21.87%2.63万
--2.03万
--2.7万
--2.7万
--3.36万
--3.36万
----
----
股东权益总额
13.97%-454.7万
-244.09%-570.71万
-244.09%-570.71万
-385.64%-573.44万
-286.72%-589.3万
-313.07%-528.54万
-139.79%-165.86万
-139.79%-165.86万
-62.85%200.75万
846.16%315.6万
总权益
13.97%-454.7万
-244.09%-570.71万
-244.09%-570.71万
-385.64%-573.44万
-286.72%-589.3万
-313.07%-528.54万
-139.79%-165.86万
-139.79%-165.86万
-62.85%200.75万
846.16%315.6万
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
--
--
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(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 -4.73%369.39万200.79%536.79万200.79%536.79万161.39%557.05万-4.94%316.25万55.21%387.74万-50.15%178.46万-50.15%178.46万-59.09%213.11万54,818.49%332.7万
-现金和现金等价物 -4.73%369.39万200.79%536.79万200.79%536.79万161.39%557.05万-4.94%316.25万55.21%387.74万-50.15%178.46万-50.15%178.46万-59.09%213.11万54,818.49%332.7万
应收款项 72.42%111.18万40.30%106.46万40.30%106.46万64.06%183.26万495.08%110.34万1,178.59%64.48万374.28%75.88万374.28%75.88万723.28%111.71万6,917.98%18.54万
-应收账款 414.69%66.57万86.68%48.99万86.68%48.99万317.14%12.02万--64.03万--12.93万--26.24万--26.24万-78.76%2.88万----
-应收利息 --0--1.46万--1.46万--------------0--0--------
-应收税费 --43.27万439.45%54.89万439.45%54.89万--0--0--0217.71%10.18万217.71%10.18万--16.06万--18.54万
-其他应收款 -97.40%1.34万-97.18%1.11万-97.18%1.11万84.60%171.24万--46.31万--51.55万208.37%39.46万208.37%39.46万--92.76万----
存货 -0.01%6.34万37.80%5.52万37.80%5.52万146.75%12.38万1,303.82%14.06万--6.34万--4万--4万--5.02万--1万
预付费用 -21.49%43.43万-37.23%20.24万-37.23%20.24万12.56%72.16万-38.18%70.06万-34.96%55.32万-25.85%32.24万-25.85%32.24万62.71%64.11万5,906.71%113.33万
其他流动资产 0.00%1-----------------99.71%1----------------
流动资产合计 3.20%530.33万130.23%669万130.23%669万109.38%824.85万9.70%510.71万51.17%513.88万-30.39%290.58万-30.39%290.58万-31.36%393.95万16,788.60%465.57万
非流动资产
固定资产净额 95.86%4,390.8万61.76%3,750.48万61.76%3,750.48万277.54%3,559.21万125.59%2,171.43万131.64%2,241.78万6,633.14%2,318.55万6,633.14%2,318.55万--942.73万--962.58万
-固定资产 96.85%4,467.89万63.08%3,811.88万63.08%3,811.88万277.95%3,606.91万117.58%2,208.79万133.88%2,269.74万6,640.56%2,337.38万6,640.56%2,337.38万--954.34万--1,015.15万
-累计折旧 -175.78%-77.09万-226.03%-61.4万-226.03%-61.4万-310.57%-47.7万28.94%-37.36万-955.43%-27.95万-7,698.05%-18.83万-7,698.05%-18.83万---11.62万---52.58万
长期预付费用 40.02%113.33万402.67%602.32万402.67%602.32万73.58%140.71万--103.9万--80.94万66.88%119.82万66.88%119.82万--81.06万----
非流动资产合计 93.92%4,504.13万78.51%4,352.8万78.51%4,352.8万261.40%3,699.92万136.38%2,275.33万140.00%2,322.73万2,195.24%2,438.38万2,195.24%2,438.38万--1,023.79万--962.58万
总资产 77.48%5,034.46万84.02%5,021.8万84.02%5,021.8万219.16%4,524.77万95.08%2,786.04万116.91%2,836.61万421.10%2,728.96万421.10%2,728.96万147.02%1,417.73万51,706.32%1,428.14万
负债
流动负债
应付款项 66.18%486.7万155.88%646.52万155.88%646.52万208.55%355.46万219.14%274.89万542.42%292.88万564.98%252.66万564.98%252.66万--115.21万--86.13万
-应付账款 41.17%366.32万148.08%541.32万148.08%541.32万223.46%312.86万212.66%232.88万478.44%259.49万474.27%218.2万474.27%218.2万--96.73万--74.49万
-其他应付款 260.51%120.38万205.25%105.2万205.25%105.2万130.52%42.6万260.62%42万--33.39万--34.46万--34.46万--18.48万--11.65万
应计费用 365.61%529.73万858.27%423.39万858.27%423.39万1,120.37%172.26万166.31%87.4万244.64%113.77万16.65%44.18万16.65%44.18万--14.12万--32.82万
短期借款与租赁负债 -4.45%484.84万-8.61%445.92万-8.61%445.92万230.20%714.46万262.07%509.09万381.33%507.44万7,689.78%487.93万7,689.78%487.93万--216.37万--140.6万
-短期借款 -30.45%66.5万3.26%78.58万3.26%78.58万94.61%94.46万--97.26万--95.61万--76.1万--76.1万--48.54万----
-短期租赁负债 1.58%418.34万-10.80%367.33万-10.80%367.33万269.41%620万192.90%411.83万290.64%411.83万6,474.82%411.83万6,474.82%411.83万--167.84万--140.6万
递延负债 91.28%523.56万1,076.85%434.94万1,076.85%434.94万15,795.28%537.83万--438.66万--273.72万--36.96万--36.96万--3.38万----
流动负债总额 70.47%2,024.83万137.40%1,950.77万137.40%1,950.77万409.92%1,780.02万404.73%1,310.03万545.46%1,187.81万900.46%821.73万900.46%821.73万1,080.86%349.08万532.23%259.55万
非流动负债
长期拨备 44.03%59.57万44.22%58.63万44.22%58.63万--61.4万--41.79万--41.36万--40.65万--40.65万--------
长期借款与租赁负债 61.67%3,404.75万76.30%3,583.12万76.30%3,583.12万275.25%3,256.79万137.23%2,023.52万140.50%2,105.98万8,120.48%2,032.43万8,120.48%2,032.43万21,597.60%867.9万21,224.78%852.99万
-长期借款 -29.21%154.89万67.75%177.56万67.75%177.56万253.52%182.3万4,862.16%198.49万5,369.71%218.79万2,546.32%105.85万2,546.32%105.85万1,189.21%51.57万0.00%4万
-长期租赁负债 72.21%3,249.86万76.77%3,405.55万76.77%3,405.55万276.62%3,074.49万114.97%1,825.03万116.51%1,887.19万9,196.37%1,926.58万9,196.37%1,926.58万--816.34万--848.99万
其他非流动负债 ----------------------30万----------------
非流动负债总额 59.11%3,464.33万75.67%3,641.74万75.67%3,641.74万282.32%3,318.19万142.13%2,065.31万148.65%2,177.34万8,284.90%2,073.08万8,284.90%2,073.08万21,597.60%867.9万21,224.78%852.99万
总负债 63.12%5,489.16万93.19%5,592.51万93.19%5,592.51万318.92%5,098.21万203.39%3,375.34万217.56%3,365.15万2,608.98%2,894.82万2,608.98%2,894.82万3,526.16%1,216.98万2,369.39%1,112.54万
所有者权益
股本 106.07%3,155.32万54.57%2,406.1万54.57%2,406.1万12.73%1,701.03万25.30%1,651.76万68.30%1,531.2万71.10%1,556.64万71.10%1,556.64万80.82%1,508.96万357.73%1,318.22万
-普通股股本 106.07%3,155.32万54.57%2,406.1万54.57%2,406.1万12.73%1,701.03万25.30%1,651.76万68.30%1,531.2万71.10%1,556.64万71.10%1,556.64万80.82%1,508.96万357.73%1,318.22万
留存收益 -59.12%-3,830.38万-56.20%-3,194.87万-56.20%-3,194.87万-56.28%-2,489.12万-98.86%-2,501.22万-151.74%-2,407.22万-191.56%-2,045.33万-191.56%-2,045.33万-221.22%-1,592.71万-207.97%-1,257.75万
不影响留存收益的损益 -37.43%215.73万-32.56%215.44万-32.56%215.44万-25.26%212.63万0.91%257.46万17.07%344.77万53.19%319.48万53.19%319.48万41.06%284.51万226.61%255.13万
其他权益 71.85%4.64万-21.87%2.63万-21.87%2.63万--2.03万--2.7万--2.7万--3.36万--3.36万--------
股东权益总额 13.97%-454.7万-244.09%-570.71万-244.09%-570.71万-385.64%-573.44万-286.72%-589.3万-313.07%-528.54万-139.79%-165.86万-139.79%-165.86万-62.85%200.75万846.16%315.6万
总权益 13.97%-454.7万-244.09%-570.71万-244.09%-570.71万-385.64%-573.44万-286.72%-589.3万-313.07%-528.54万-139.79%-165.86万-139.79%-165.86万-62.85%200.75万846.16%315.6万
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------

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