加拿大市场个股详情

EONX Eonx Technologies Inc

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延时15分钟行情已收盘 08/02 15:44 (美东)
599.10万总市值-1515市盈率TTM

Eonx Technologies Inc关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2024/03/31
(Q2)2023/12/31
(Q1)2023/09/30
(FY)2023/06/30
(Q4)2023/06/30
(Q3)2023/03/31
(Q2)2022/12/31
(Q1)2022/09/30
(FY)2022/06/30
(Q4)2022/06/30
资产
流动资产
现金及现金等价物和短期投资
152.63%371.14万
11.43%277.03万
166.08%328.31万
273.91%486.63万
273.91%486.63万
8.14%146.91万
7.69%248.61万
-26.85%123.39万
-74.61%130.15万
-74.61%130.15万
-现金和现金等价物
152.63%371.14万
11.43%277.03万
166.08%328.31万
273.91%486.63万
273.91%486.63万
8.14%146.91万
7.69%248.61万
-26.85%123.39万
-74.61%130.15万
-74.61%130.15万
-应收账款
39.37%328.45万
72.46%862.23万
135.79%476.55万
50.27%467.16万
50.27%467.16万
-50.57%235.68万
405.68%499.97万
565.99%202.1万
342.64%310.87万
342.64%310.87万
流动资产合计
27.75%1,169.29万
67.24%1,840.25万
74.80%1,486.43万
68.66%1,510.15万
68.66%1,510.15万
-9.12%915.28万
94.30%1,100.39万
49.74%850.37万
0.36%895.36万
0.36%895.36万
非流动资产
-累计折旧
----
----
----
-26.14%-32.12万
-26.14%-32.12万
----
----
----
-2.05%-25.46万
-2.05%-25.46万
-长期股权投资
-4.60%524.26万
274.26%772.07万
51.42%761.32万
154.61%699.49万
154.61%699.49万
1,705.82%549.54万
471.50%206.29万
50.03%502.8万
-53.71%274.73万
-53.71%274.73万
监管资产
43.76%588.85万
117.65%1,360.01万
82.87%941.83万
48.71%839.94万
48.71%839.94万
-37.57%409.61万
186.08%624.85万
56.44%515.04万
82.60%564.82万
82.60%564.82万
负债
流动负债
短期借款与资本租赁负债
-87.54%21.55万
-97.99%11.04万
-95.82%17.88万
-69.80%159.73万
-69.80%159.73万
-65.64%172.91万
133.39%549.49万
41.31%427.31万
88.70%528.91万
88.70%528.91万
-短期借款
-88.26%17万
----
----
-73.18%135万
-73.18%135万
-69.65%144.81万
150.25%523.18万
53.56%427.31万
96.49%503.34万
96.49%503.34万
-短期资本租赁负债
-83.80%4.55万
-58.05%11.04万
--17.88万
-3.28%24.73万
-3.28%24.73万
8.06%28.1万
-0.24%26.31万
--0
5.97%25.56万
5.97%25.56万
-应付账款
1.93%811.59万
75.12%1,441.57万
80.19%1,051.99万
24.78%992.88万
24.78%992.88万
54.19%796.21万
108.31%823.17万
104.79%583.82万
168.35%795.71万
168.35%795.71万
-应付税费
-3.54%530.47万
277.27%778.28万
52.65%767.53万
156.83%705.59万
156.83%705.59万
1,707.13%549.94万
471.50%206.29万
50.03%502.8万
-53.71%274.73万
-53.71%274.73万
-其他应付款
----
----
----
----
----
----
----
----
0.00%1
0.00%1
递延负债
658.83%900.77万
346.40%973.9万
437.80%708.6万
572.17%582.56万
572.17%582.56万
18.39%118.71万
105.79%218.17万
66.92%131.76万
-8.71%86.67万
-8.71%86.67万
流动负债总额
59.35%1,737.31万
49.88%2,487.12万
43.12%1,838.15万
19.96%1,789.33万
19.96%1,789.33万
-11.29%1,090.25万
91.25%1,659.39万
54.72%1,284.33万
89.59%1,491.57万
89.59%1,491.57万
非流动负债
-长期借款
----
----
----
--0
--0
-10.42%27.26万
-68.72%11.29万
--0
-50.83%24.73万
-50.83%24.73万
长期应计费用
-85.36%5.5万
-85.41%8.75万
-77.82%13.18万
-54.00%17.39万
-54.00%17.39万
-13.82%37.56万
25.58%59.93万
14.53%59.4万
-30.44%37.81万
-30.44%37.81万
衍生品负债
--6.2万
--6.2万
--6.2万
--6.1万
--6.1万
----
----
----
--0
--0
长期拨备
0.38%524.26万
295.94%772.07万
51.42%761.32万
179.80%699.49万
179.80%699.49万
--522.28万
--195万
76.51%502.8万
-53.98%250万
-53.98%250万
可转换优先证券
3.05%64.83万
27.81%63.64万
17.76%59.68万
11.45%54.17万
11.45%54.17万
-11.55%62.91万
-32.42%49.79万
-4.02%50.68万
9.12%48.6万
9.12%48.6万
非流动负债总额
38.26%2,267.78万
75.02%3,265.39万
45.80%2,605.68万
41.25%2,494.92万
41.25%2,494.92万
30.23%1,640.19万
106.43%1,865.68万
53.37%1,787.13万
27.97%1,766.29万
27.97%1,766.29万
所有者权益
股本
0.07%546.6万
6.18%546.6万
6.18%546.6万
6.18%546.6万
6.18%546.6万
6.22%546.19万
-3.68%514.8万
121.99%514.8万
139.27%514.8万
139.27%514.8万
-普通股股本
0.07%546.6万
6.18%546.6万
6.18%546.6万
6.18%546.6万
6.18%546.6万
6.22%546.19万
-3.68%514.8万
121.99%514.8万
139.27%514.8万
139.27%514.8万
资本公积
25.99%602.47万
37.18%597.95万
51.46%593.84万
69.25%589.42万
69.25%589.42万
2,989.98%478.2万
2,871.00%435.89万
843.41%392.07万
803.20%348.25万
803.20%348.25万
不影响留存收益的损益
-526.12%-26.36万
-227.52%-22.75万
-109.40%-1.03万
1,447.34%15.62万
1,447.34%15.62万
--6.19万
---6.95万
--10.95万
--1.01万
--1.01万
其他股本权益
-99.63%6,928
-99.05%4,308
155.02%9.73万
-93.04%4,783
-93.04%4,783
4,685.66%185.63万
657.94%45.29万
303.75%3.81万
1,734.84%6.87万
1,734.84%6.87万
总权益
23.79%1,241.4万
39.73%1,913.62万
36.88%1,555.08万
38.90%1,586.7万
38.90%1,586.7万
-5.38%1,002.85万
119.75%1,369.49万
80.65%1,136.13万
19.54%1,142.33万
19.54%1,142.33万
(Q3)2024/03/31(Q2)2023/12/31(Q1)2023/09/30(FY)2023/06/30(Q4)2023/06/30(Q3)2023/03/31(Q2)2022/12/31(Q1)2022/09/30(FY)2022/06/30(Q4)2022/06/30
资产
流动资产
现金及现金等价物和短期投资 152.63%371.14万11.43%277.03万166.08%328.31万273.91%486.63万273.91%486.63万8.14%146.91万7.69%248.61万-26.85%123.39万-74.61%130.15万-74.61%130.15万
-现金和现金等价物 152.63%371.14万11.43%277.03万166.08%328.31万273.91%486.63万273.91%486.63万8.14%146.91万7.69%248.61万-26.85%123.39万-74.61%130.15万-74.61%130.15万
-应收账款 39.37%328.45万72.46%862.23万135.79%476.55万50.27%467.16万50.27%467.16万-50.57%235.68万405.68%499.97万565.99%202.1万342.64%310.87万342.64%310.87万
流动资产合计 27.75%1,169.29万67.24%1,840.25万74.80%1,486.43万68.66%1,510.15万68.66%1,510.15万-9.12%915.28万94.30%1,100.39万49.74%850.37万0.36%895.36万0.36%895.36万
非流动资产
-累计折旧 -------------26.14%-32.12万-26.14%-32.12万-------------2.05%-25.46万-2.05%-25.46万
-长期股权投资 -4.60%524.26万274.26%772.07万51.42%761.32万154.61%699.49万154.61%699.49万1,705.82%549.54万471.50%206.29万50.03%502.8万-53.71%274.73万-53.71%274.73万
监管资产 43.76%588.85万117.65%1,360.01万82.87%941.83万48.71%839.94万48.71%839.94万-37.57%409.61万186.08%624.85万56.44%515.04万82.60%564.82万82.60%564.82万
负债
流动负债
短期借款与资本租赁负债 -87.54%21.55万-97.99%11.04万-95.82%17.88万-69.80%159.73万-69.80%159.73万-65.64%172.91万133.39%549.49万41.31%427.31万88.70%528.91万88.70%528.91万
-短期借款 -88.26%17万---------73.18%135万-73.18%135万-69.65%144.81万150.25%523.18万53.56%427.31万96.49%503.34万96.49%503.34万
-短期资本租赁负债 -83.80%4.55万-58.05%11.04万--17.88万-3.28%24.73万-3.28%24.73万8.06%28.1万-0.24%26.31万--05.97%25.56万5.97%25.56万
-应付账款 1.93%811.59万75.12%1,441.57万80.19%1,051.99万24.78%992.88万24.78%992.88万54.19%796.21万108.31%823.17万104.79%583.82万168.35%795.71万168.35%795.71万
-应付税费 -3.54%530.47万277.27%778.28万52.65%767.53万156.83%705.59万156.83%705.59万1,707.13%549.94万471.50%206.29万50.03%502.8万-53.71%274.73万-53.71%274.73万
-其他应付款 --------------------------------0.00%10.00%1
递延负债 658.83%900.77万346.40%973.9万437.80%708.6万572.17%582.56万572.17%582.56万18.39%118.71万105.79%218.17万66.92%131.76万-8.71%86.67万-8.71%86.67万
流动负债总额 59.35%1,737.31万49.88%2,487.12万43.12%1,838.15万19.96%1,789.33万19.96%1,789.33万-11.29%1,090.25万91.25%1,659.39万54.72%1,284.33万89.59%1,491.57万89.59%1,491.57万
非流动负债
-长期借款 --------------0--0-10.42%27.26万-68.72%11.29万--0-50.83%24.73万-50.83%24.73万
长期应计费用 -85.36%5.5万-85.41%8.75万-77.82%13.18万-54.00%17.39万-54.00%17.39万-13.82%37.56万25.58%59.93万14.53%59.4万-30.44%37.81万-30.44%37.81万
衍生品负债 --6.2万--6.2万--6.2万--6.1万--6.1万--------------0--0
长期拨备 0.38%524.26万295.94%772.07万51.42%761.32万179.80%699.49万179.80%699.49万--522.28万--195万76.51%502.8万-53.98%250万-53.98%250万
可转换优先证券 3.05%64.83万27.81%63.64万17.76%59.68万11.45%54.17万11.45%54.17万-11.55%62.91万-32.42%49.79万-4.02%50.68万9.12%48.6万9.12%48.6万
非流动负债总额 38.26%2,267.78万75.02%3,265.39万45.80%2,605.68万41.25%2,494.92万41.25%2,494.92万30.23%1,640.19万106.43%1,865.68万53.37%1,787.13万27.97%1,766.29万27.97%1,766.29万
所有者权益
股本 0.07%546.6万6.18%546.6万6.18%546.6万6.18%546.6万6.18%546.6万6.22%546.19万-3.68%514.8万121.99%514.8万139.27%514.8万139.27%514.8万
-普通股股本 0.07%546.6万6.18%546.6万6.18%546.6万6.18%546.6万6.18%546.6万6.22%546.19万-3.68%514.8万121.99%514.8万139.27%514.8万139.27%514.8万
资本公积 25.99%602.47万37.18%597.95万51.46%593.84万69.25%589.42万69.25%589.42万2,989.98%478.2万2,871.00%435.89万843.41%392.07万803.20%348.25万803.20%348.25万
不影响留存收益的损益 -526.12%-26.36万-227.52%-22.75万-109.40%-1.03万1,447.34%15.62万1,447.34%15.62万--6.19万---6.95万--10.95万--1.01万--1.01万
其他股本权益 -99.63%6,928-99.05%4,308155.02%9.73万-93.04%4,783-93.04%4,7834,685.66%185.63万657.94%45.29万303.75%3.81万1,734.84%6.87万1,734.84%6.87万
总权益 23.79%1,241.4万39.73%1,913.62万36.88%1,555.08万38.90%1,586.7万38.90%1,586.7万-5.38%1,002.85万119.75%1,369.49万80.65%1,136.13万19.54%1,142.33万19.54%1,142.33万

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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