加拿大市场个股详情

DIR.UN Dream Industrial Real Estate Investment Trust

添加自选
  • 12.630
  • -0.190-1.48%
延时15分钟行情已收盘 07/05 16:00 (美东)
36.40亿总市值18.36市盈率TTM

Dream Industrial Real Estate Investment Trust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
49.31%1.16亿
-40.44%4,991.6万
-40.44%4,991.6万
8.08%6,494.8万
-46.51%4,349.1万
-73.21%7,772.6万
-48.91%8,380.2万
-48.91%8,380.2万
-31.15%6,009.1万
-74.04%8,131.1万
-现金和现金等价物
49.31%1.16亿
-40.44%4,991.6万
-40.44%4,991.6万
8.08%6,494.8万
-46.51%4,349.1万
-73.21%7,772.6万
-48.91%8,380.2万
-48.91%8,380.2万
-31.15%6,009.1万
-74.04%8,131.1万
-应收账款
-6.28%3,346.3万
56.37%1,325.7万
56.37%1,325.7万
34.59%3,301万
53.92%3,376.6万
295.94%3,570.6万
413.20%847.8万
413.20%847.8万
92.11%2,452.7万
79.72%2,193.7万
流动资产合计
29.19%1.61亿
-24.27%8,748.3万
-24.27%8,748.3万
20.92%1.14亿
-21.69%9,009.3万
-69.58%1.24亿
-34.64%1.16亿
-34.64%1.16亿
-46.48%9,428.3万
-88.15%1.15亿
非流动资产
投资和预付款
1.92%69.67亿
2.44%69.24亿
2.44%69.24亿
5.30%68.54亿
6.68%68.35亿
13.43%68.35亿
18.66%67.59亿
18.66%67.59亿
28.93%65.1亿
36.62%64.07亿
-长期股权投资
3.36%26.52亿
18.59%25.49亿
18.59%25.49亿
25.61%25.34亿
25.67%24.81亿
33.40%25.66亿
6.47%21.49亿
6.47%21.49亿
12.99%20.17亿
-2.68%19.74亿
金融资产
-48.42%3,918.4万
-60.83%3,489.5万
-60.83%3,489.5万
-63.97%7,425.7万
-48.55%6,960.7万
-16.37%7,596.5万
125.81%8,907.7万
125.81%8,907.7万
1,840.26%2.06亿
1,532.56%1.35亿
监管资产
-6.28%3,346.3万
14.53%3,169.4万
14.53%3,169.4万
34.59%3,301万
53.92%3,376.6万
295.94%3,570.6万
252.21%2,767.3万
252.21%2,767.3万
92.11%2,452.7万
79.72%2,193.7万
负债
流动负债
短期借款与资本租赁负债
-3.83%3.24亿
12.61%3.1亿
12.61%3.1亿
20.56%3.09亿
58.72%3.97亿
201.74%3.37亿
618.50%2.76亿
618.50%2.76亿
821.92%2.56亿
488.26%2.5亿
-短期借款
-3.83%3.24亿
12.61%3.1亿
12.61%3.1亿
20.56%3.09亿
58.72%3.97亿
201.74%3.37亿
618.50%2.76亿
618.50%2.76亿
821.92%2.56亿
488.26%2.5亿
-应付账款
-3.58%9,595万
29.87%7,580.3万
29.87%7,580.3万
25.22%1.09亿
4.95%9,830.7万
18.34%9,951.6万
-19.95%5,836.7万
-19.95%5,836.7万
-7.75%8,704万
-11.83%9,367.1万
-应付税费
-6.80%27.15亿
16.39%28.27亿
16.39%28.27亿
21.29%27.75亿
21.31%27.44亿
27.21%29.13亿
1.46%24.29亿
1.46%24.29亿
5.25%22.88亿
-6.33%22.62亿
-应付股利
----
6.48%1,593.8万
6.48%1,593.8万
----
----
----
9.73%1,496.8万
9.73%1,496.8万
----
----
-其他应付款
21.93%285.2万
-8.74%268.2万
-8.74%268.2万
--282.1万
--230万
--233.9万
107.41%293.9万
107.41%293.9万
----
----
应计费用
----
42.32%661.8万
42.32%661.8万
----
----
----
197.70%465万
197.70%465万
----
----
递延负债
52.60%4,617.6万
5.14%4,242.5万
5.14%4,242.5万
6.77%2,994.5万
10.19%2,971.9万
17.31%3,026万
24.14%4,035.2万
24.14%4,035.2万
--2,804.6万
--2,697万
流动负债总额
36.73%6.45亿
14.46%4.56亿
14.46%4.56亿
21.00%4.52亿
42.08%5.29亿
111.48%4.72亿
149.42%3.98亿
149.42%3.98亿
170.82%3.74亿
-12.26%3.73亿
非流动负债
-长期借款
-2.57%1,167.8万
-0.89%1,173.8万
-0.89%1,173.8万
4.76%1,154.3万
5.21%1,172.5万
4.02%1,198.6万
-1.55%1,184.3万
-1.55%1,184.3万
--1,101.8万
--1,114.4万
长期应计费用
----
----
----
----
----
----
----
----
89.12%285万
77.76%269.3万
衍生品负债
24.00%1,110.9万
2,663.64%2,796.8万
2,663.64%2,796.8万
--313.7万
4,541.67%835.5万
11.10%895.9万
-88.97%101.2万
-88.97%101.2万
--0
--18万
长期拨备
3.38%26.41亿
18.70%25.37亿
18.70%25.37亿
25.73%25.22亿
25.79%24.69亿
33.58%25.54亿
6.52%21.37亿
6.52%21.37亿
12.38%20.06亿
-3.23%19.63亿
非流动负债总额
-0.73%33.6亿
16.11%32.83亿
16.11%32.83亿
21.25%32.27亿
24.25%32.73亿
34.69%33.85亿
10.71%28.28亿
10.71%28.28亿
15.14%26.61亿
-7.22%26.34亿
所有者权益
股本
7.61%33.56亿
7.49%33.4亿
7.49%33.4亿
7.36%33.25亿
3.81%32.06亿
1.37%31.19亿
12.73%31.07亿
12.73%31.07亿
28.37%30.97亿
30.19%30.88亿
-普通股股本
7.61%33.56亿
7.49%33.4亿
7.49%33.4亿
7.36%33.25亿
3.81%32.06亿
1.37%31.19亿
12.73%31.07亿
12.73%31.07亿
28.37%30.97亿
30.19%30.88亿
不影响留存收益的损益
-36.60%6,122.4万
-38.85%4,333万
-38.85%4,333万
96.07%5,120.1万
279.84%5,916.1万
435.32%9,657.1万
2,078.86%7,086.3万
2,078.86%7,086.3万
417.50%2,611.3万
-1,168.16%-3,289.6万
其他股本权益
2.24%1,127.9万
45.01%587.3万
45.01%587.3万
66.01%1,604.5万
8.82%1,283.6万
-13.15%1,103.2万
-16.79%405万
-16.79%405万
34.65%966.5万
-78.39%1,179.6万
非控制性权益
6.71%8.26亿
158.03%8.09亿
158.03%8.09亿
147.12%8.07亿
159.68%7.87亿
327.73%7.74亿
124.98%3.14亿
124.98%3.14亿
262.49%3.27亿
2,750.38%3.03亿
总权益
2.35%79.96亿
7.94%78.58亿
7.94%78.58亿
9.99%78.52亿
11.79%77.84亿
16.46%78.12亿
20.27%72.8亿
20.27%72.8亿
34.01%71.39亿
22.57%69.63亿
(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 49.31%1.16亿-40.44%4,991.6万-40.44%4,991.6万8.08%6,494.8万-46.51%4,349.1万-73.21%7,772.6万-48.91%8,380.2万-48.91%8,380.2万-31.15%6,009.1万-74.04%8,131.1万
-现金和现金等价物 49.31%1.16亿-40.44%4,991.6万-40.44%4,991.6万8.08%6,494.8万-46.51%4,349.1万-73.21%7,772.6万-48.91%8,380.2万-48.91%8,380.2万-31.15%6,009.1万-74.04%8,131.1万
-应收账款 -6.28%3,346.3万56.37%1,325.7万56.37%1,325.7万34.59%3,301万53.92%3,376.6万295.94%3,570.6万413.20%847.8万413.20%847.8万92.11%2,452.7万79.72%2,193.7万
流动资产合计 29.19%1.61亿-24.27%8,748.3万-24.27%8,748.3万20.92%1.14亿-21.69%9,009.3万-69.58%1.24亿-34.64%1.16亿-34.64%1.16亿-46.48%9,428.3万-88.15%1.15亿
非流动资产
投资和预付款 1.92%69.67亿2.44%69.24亿2.44%69.24亿5.30%68.54亿6.68%68.35亿13.43%68.35亿18.66%67.59亿18.66%67.59亿28.93%65.1亿36.62%64.07亿
-长期股权投资 3.36%26.52亿18.59%25.49亿18.59%25.49亿25.61%25.34亿25.67%24.81亿33.40%25.66亿6.47%21.49亿6.47%21.49亿12.99%20.17亿-2.68%19.74亿
金融资产 -48.42%3,918.4万-60.83%3,489.5万-60.83%3,489.5万-63.97%7,425.7万-48.55%6,960.7万-16.37%7,596.5万125.81%8,907.7万125.81%8,907.7万1,840.26%2.06亿1,532.56%1.35亿
监管资产 -6.28%3,346.3万14.53%3,169.4万14.53%3,169.4万34.59%3,301万53.92%3,376.6万295.94%3,570.6万252.21%2,767.3万252.21%2,767.3万92.11%2,452.7万79.72%2,193.7万
负债
流动负债
短期借款与资本租赁负债 -3.83%3.24亿12.61%3.1亿12.61%3.1亿20.56%3.09亿58.72%3.97亿201.74%3.37亿618.50%2.76亿618.50%2.76亿821.92%2.56亿488.26%2.5亿
-短期借款 -3.83%3.24亿12.61%3.1亿12.61%3.1亿20.56%3.09亿58.72%3.97亿201.74%3.37亿618.50%2.76亿618.50%2.76亿821.92%2.56亿488.26%2.5亿
-应付账款 -3.58%9,595万29.87%7,580.3万29.87%7,580.3万25.22%1.09亿4.95%9,830.7万18.34%9,951.6万-19.95%5,836.7万-19.95%5,836.7万-7.75%8,704万-11.83%9,367.1万
-应付税费 -6.80%27.15亿16.39%28.27亿16.39%28.27亿21.29%27.75亿21.31%27.44亿27.21%29.13亿1.46%24.29亿1.46%24.29亿5.25%22.88亿-6.33%22.62亿
-应付股利 ----6.48%1,593.8万6.48%1,593.8万------------9.73%1,496.8万9.73%1,496.8万--------
-其他应付款 21.93%285.2万-8.74%268.2万-8.74%268.2万--282.1万--230万--233.9万107.41%293.9万107.41%293.9万--------
应计费用 ----42.32%661.8万42.32%661.8万------------197.70%465万197.70%465万--------
递延负债 52.60%4,617.6万5.14%4,242.5万5.14%4,242.5万6.77%2,994.5万10.19%2,971.9万17.31%3,026万24.14%4,035.2万24.14%4,035.2万--2,804.6万--2,697万
流动负债总额 36.73%6.45亿14.46%4.56亿14.46%4.56亿21.00%4.52亿42.08%5.29亿111.48%4.72亿149.42%3.98亿149.42%3.98亿170.82%3.74亿-12.26%3.73亿
非流动负债
-长期借款 -2.57%1,167.8万-0.89%1,173.8万-0.89%1,173.8万4.76%1,154.3万5.21%1,172.5万4.02%1,198.6万-1.55%1,184.3万-1.55%1,184.3万--1,101.8万--1,114.4万
长期应计费用 --------------------------------89.12%285万77.76%269.3万
衍生品负债 24.00%1,110.9万2,663.64%2,796.8万2,663.64%2,796.8万--313.7万4,541.67%835.5万11.10%895.9万-88.97%101.2万-88.97%101.2万--0--18万
长期拨备 3.38%26.41亿18.70%25.37亿18.70%25.37亿25.73%25.22亿25.79%24.69亿33.58%25.54亿6.52%21.37亿6.52%21.37亿12.38%20.06亿-3.23%19.63亿
非流动负债总额 -0.73%33.6亿16.11%32.83亿16.11%32.83亿21.25%32.27亿24.25%32.73亿34.69%33.85亿10.71%28.28亿10.71%28.28亿15.14%26.61亿-7.22%26.34亿
所有者权益
股本 7.61%33.56亿7.49%33.4亿7.49%33.4亿7.36%33.25亿3.81%32.06亿1.37%31.19亿12.73%31.07亿12.73%31.07亿28.37%30.97亿30.19%30.88亿
-普通股股本 7.61%33.56亿7.49%33.4亿7.49%33.4亿7.36%33.25亿3.81%32.06亿1.37%31.19亿12.73%31.07亿12.73%31.07亿28.37%30.97亿30.19%30.88亿
不影响留存收益的损益 -36.60%6,122.4万-38.85%4,333万-38.85%4,333万96.07%5,120.1万279.84%5,916.1万435.32%9,657.1万2,078.86%7,086.3万2,078.86%7,086.3万417.50%2,611.3万-1,168.16%-3,289.6万
其他股本权益 2.24%1,127.9万45.01%587.3万45.01%587.3万66.01%1,604.5万8.82%1,283.6万-13.15%1,103.2万-16.79%405万-16.79%405万34.65%966.5万-78.39%1,179.6万
非控制性权益 6.71%8.26亿158.03%8.09亿158.03%8.09亿147.12%8.07亿159.68%7.87亿327.73%7.74亿124.98%3.14亿124.98%3.14亿262.49%3.27亿2,750.38%3.03亿
总权益 2.35%79.96亿7.94%78.58亿7.94%78.58亿9.99%78.52亿11.79%77.84亿16.46%78.12亿20.27%72.8亿20.27%72.8亿34.01%71.39亿22.57%69.63亿

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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