加拿大市场个股详情

EQB EQB Inc

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  • 94.810
  • +0.370+0.39%
延时15分钟行情已收盘 08/09 16:00 (美东)
36.29亿总市值10.18市盈率TTM

EQB Inc关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2024/04/30
(Q1)2024/01/31
(FY)2023/10/31
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
经营活动现金流量(间接法)
持续经营活动现金净额
37.65%-6,198.5万
-275.59%-7,278.9万
11.41%3,329.5万
62.05%-9,942.1万
-78.45%4,145.5万
-95.69%2,988.5万
-11.49%2.95亿
-551.55%-1.96亿
-204.04%-2.62亿
197.84%1.92亿
持续经营净收入
-19.25%1.06亿
4.89%1.04亿
37.53%3.72亿
122.53%1.31亿
14.58%9,951.9万
-7.64%2.7亿
-42.77%4,581.9万
7.05%7,757.9万
-16.90%5,883.6万
25.53%8,685.8万
持续经营损益
-251.53%-2,266.3万
103.95%202.1万
10.35%-2,979.5万
908.50%1,495.6万
-705.21%-5,117.1万
-15.40%-3,323.4万
-513.75%-1,539.9万
-55.73%-1,296.3万
123.18%148.3万
45.06%-635.5万
折旧摊销及损耗
-2.01%1,167.9万
-6.56%1,144.1万
-16.46%3,915.5万
29.40%1,191.9万
38.62%1,224.4万
43.46%4,687万
115.36%1,913万
13.34%969.6万
16.64%921.1万
20.39%883.3万
融资成本及折扣摊销
-1,500.53%-3,415.9万
75.45%313万
531.93%767.8万
639.09%243.9万
494.67%178.4万
539.47%121.5万
124.59%27.4万
1,313.64%31.1万
1,078.57%33万
1,566.67%30万
贷款、租赁及其他损失准备金
70.35%2,221.7万
148.64%1,553.5万
4.29%3,885.6万
149.23%1,304.2万
5,098.40%624.8万
585.51%3,725.8万
1,987.04%2,679.6万
252.97%535.4万
364.03%523.3万
83.81%-12.5万
以股票支付的报酬
36.14%110万
1.00%101.3万
-16.10%287.1万
0.50%80.8万
5.25%100.3万
34.78%342.2万
28.24%84万
32.26%82.4万
28.43%80.4万
50.08%95.3万
递延税费
-7.81%3,830.7万
10.85%3,937万
32.76%1.3亿
90.74%4,155万
42.85%3,551.6万
0.41%9,827.6万
0.52%2,291.2万
11.80%2,871.7万
-12.74%2,178.4万
1.77%2,486.3万
其他非现金项目
39.20%3,070.1万
40.67%2,793.3万
39.88%7,530.4万
73.09%2,205.5万
59.90%1,985.7万
18.95%5,383.4万
27.04%1,519.7万
18.27%1,347.7万
13.55%1,274.2万
16.28%1,241.8万
营运资金变动
36.94%-1.91亿
-598.07%-2.52亿
-75.88%-5.13亿
11.93%-3.03亿
-127.79%-3,602.8万
-193.35%-2.91亿
-5.78%2.11亿
-439.79%-2.87亿
-314.91%-3.44亿
814.28%1.3亿
-贷款(增)减
-211.54%-19.99亿
-3.09%-5.5亿
63.29%-13.99亿
62.23%-6.42亿
65.94%-5.34亿
7.12%-38.12亿
111.91%9,338.7万
55.58%-6.39亿
-106.76%-16.99亿
-47.89%-15.66亿
-其他流动资产变动
52.53%-1.28亿
130.79%1.03亿
-248.98%-8,710.5万
-154.80%-2.69亿
382.16%4,467.7万
-153.30%-2,496万
444.23%6,809.4万
-90.21%317万
-527.28%-1.05亿
140.74%926.6万
-其他流动负债变动
-17.58%4,759.8万
88.34%-596.2万
168.70%1.08亿
274.10%5,775万
-118.45%-5,111.5万
-290.92%-1.58亿
-647.03%-3.68亿
-1,037.50%-3,322.5万
-38.61%-3,317万
678.80%2.77亿
-其他营运资本变动
243.35%18.88亿
-60.04%2.01亿
-76.62%8.66亿
-63.18%5.5亿
-64.25%5.04亿
-13.63%37.03亿
-55.03%4.17亿
-71.66%3.83亿
52.27%14.93亿
37.10%14.1亿
已支付退税
30.23%-2,396.2万
45.05%-2,611.2万
42.30%-9,031.8万
-20.01%-3,434.2万
26.94%-4,751.7万
-192.56%-1.57亿
-194.79%-3,090.9万
-204.80%-3,195.8万
-86.96%-2,861.6万
-277.60%-6,504.2万
非持续经营活动现金流
经营活动现金净额
37.65%-6,198.5万
-275.59%-7,278.9万
11.41%3,329.5万
62.05%-9,942.1万
-78.45%4,145.5万
-95.69%2,988.5万
-11.49%2.95亿
-551.55%-1.96亿
-204.04%-2.62亿
197.84%1.92亿
投资活动现金流量
持续投资活动现金净额
34.14%1.89亿
137.84%6,671.2万
108.17%6,263万
64.29%1.41亿
24.04%-1.76亿
-67.33%-7.67亿
-191.68%-5.85亿
-323.14%-3,514.5万
134.37%8,574万
-871.33%-2.32亿
资本支出
-88.24%-2,328.9万
42.36%-474.7万
54.34%-3,496.6万
10.03%-1,237.2万
33.73%-823.6万
-98.50%-7,657.1万
-204.44%-3,070.3万
-85.26%-1,968.8万
-47.14%-1,375.2万
-45.94%-1,242.8万
业务交易的净额
--4.5万
----
--0
----
----
---4.95亿
----
----
----
----
投资产品交易净额
38.48%2.12亿
142.52%7,145.9万
150.09%9,759.6万
54.02%1.53亿
23.49%-1.68亿
53.58%-1.95亿
68.93%-5,921万
-158.60%-1,545.7万
141.44%9,949.2万
-1,328.45%-2.2亿
非持续投资现金净额
投资活动现金流净额
34.14%1.89亿
137.84%6,671.2万
108.17%6,263万
64.29%1.41亿
24.04%-1.76亿
-67.33%-7.67亿
-191.68%-5.85亿
-323.14%-3,514.5万
134.37%8,574万
-871.33%-2.32亿
融资活动现金流量
持续融资活动现金净额
0.46%-1,350.6万
102.47%36.2万
-109.06%-4,155.7万
-42.49%-1,356.9万
-77.81%-1,464.1万
2,452.02%4.59亿
8,056.11%4.86亿
-123.96%-970.2万
-38.03%-952.3万
-280.85%-823.4万
债务发行/偿还的净额
--0
--0
--0
----
----
--2.75亿
----
----
----
----
普通股发行/回购的净额
80.31%488.1万
2,000.35%1,795.8万
-97.01%693.1万
85.03%270.7万
-64.45%85.5万
2,204.41%2.32亿
17,533.88%2.26亿
-35.49%197.4万
199.18%146.3万
-53.98%240.5万
现金股利支付
-12.97%-1,838.7万
-13.55%-1,759.6万
-1.03%-4,848.8万
-48.15%-1,627.6万
-45.65%-1,549.6万
-62.36%-4,799.3万
-98.76%-1,469.2万
-57.95%-1,167.6万
-48.70%-1,098.6万
-44.00%-1,063.9万
非持续融资活动现金净额
融资活动现金流净额
0.46%-1,350.6万
102.47%36.2万
-109.06%-4,155.7万
-42.49%-1,356.9万
-77.81%-1,464.1万
2,452.02%4.59亿
8,056.11%4.86亿
-123.96%-970.2万
-38.03%-952.3万
-280.85%-823.4万
现金净流量
期初现金流
57.33%5.44亿
10.98%5.49亿
-35.97%4.95亿
-52.35%3.46亿
-35.97%4.95亿
38.64%7.73亿
-53.75%2.99亿
-8.83%5.4亿
21.64%7.25亿
38.64%7.73亿
当期现金流变化
307.09%1.13亿
96.18%-571.5万
119.55%5,436.8万
115.00%2,787.1万
-211.62%-1.49亿
-229.06%-2.78亿
54.72%1.96亿
-539.30%-2.41亿
-4,014.55%-1.86亿
-224.52%-4,797万
期末现金流
75.97%6.57亿
57.33%5.44亿
10.98%5.49亿
-30.77%3.73亿
-52.35%3.46亿
-35.97%4.95亿
-35.97%4.95亿
-53.75%2.99亿
-8.83%5.4亿
21.64%7.25亿
自由现金流
23.72%-8,527.4万
-333.41%-7,753.6万
96.42%-167.1万
59.46%-1.12亿
-81.54%3,321.9万
-107.13%-4,668.6万
-18.23%2.64亿
-758.49%-2.15亿
-213.72%-2.76亿
220.92%1.8亿
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
审计意见
--
--
无保留意见
--
--
无保留意见
--
--
--
--
(Q2)2024/04/30(Q1)2024/01/31(FY)2023/10/31(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31
经营活动现金流量(间接法)
持续经营活动现金净额 37.65%-6,198.5万-275.59%-7,278.9万11.41%3,329.5万62.05%-9,942.1万-78.45%4,145.5万-95.69%2,988.5万-11.49%2.95亿-551.55%-1.96亿-204.04%-2.62亿197.84%1.92亿
持续经营净收入 -19.25%1.06亿4.89%1.04亿37.53%3.72亿122.53%1.31亿14.58%9,951.9万-7.64%2.7亿-42.77%4,581.9万7.05%7,757.9万-16.90%5,883.6万25.53%8,685.8万
持续经营损益 -251.53%-2,266.3万103.95%202.1万10.35%-2,979.5万908.50%1,495.6万-705.21%-5,117.1万-15.40%-3,323.4万-513.75%-1,539.9万-55.73%-1,296.3万123.18%148.3万45.06%-635.5万
折旧摊销及损耗 -2.01%1,167.9万-6.56%1,144.1万-16.46%3,915.5万29.40%1,191.9万38.62%1,224.4万43.46%4,687万115.36%1,913万13.34%969.6万16.64%921.1万20.39%883.3万
融资成本及折扣摊销 -1,500.53%-3,415.9万75.45%313万531.93%767.8万639.09%243.9万494.67%178.4万539.47%121.5万124.59%27.4万1,313.64%31.1万1,078.57%33万1,566.67%30万
贷款、租赁及其他损失准备金 70.35%2,221.7万148.64%1,553.5万4.29%3,885.6万149.23%1,304.2万5,098.40%624.8万585.51%3,725.8万1,987.04%2,679.6万252.97%535.4万364.03%523.3万83.81%-12.5万
以股票支付的报酬 36.14%110万1.00%101.3万-16.10%287.1万0.50%80.8万5.25%100.3万34.78%342.2万28.24%84万32.26%82.4万28.43%80.4万50.08%95.3万
递延税费 -7.81%3,830.7万10.85%3,937万32.76%1.3亿90.74%4,155万42.85%3,551.6万0.41%9,827.6万0.52%2,291.2万11.80%2,871.7万-12.74%2,178.4万1.77%2,486.3万
其他非现金项目 39.20%3,070.1万40.67%2,793.3万39.88%7,530.4万73.09%2,205.5万59.90%1,985.7万18.95%5,383.4万27.04%1,519.7万18.27%1,347.7万13.55%1,274.2万16.28%1,241.8万
营运资金变动 36.94%-1.91亿-598.07%-2.52亿-75.88%-5.13亿11.93%-3.03亿-127.79%-3,602.8万-193.35%-2.91亿-5.78%2.11亿-439.79%-2.87亿-314.91%-3.44亿814.28%1.3亿
-贷款(增)减 -211.54%-19.99亿-3.09%-5.5亿63.29%-13.99亿62.23%-6.42亿65.94%-5.34亿7.12%-38.12亿111.91%9,338.7万55.58%-6.39亿-106.76%-16.99亿-47.89%-15.66亿
-其他流动资产变动 52.53%-1.28亿130.79%1.03亿-248.98%-8,710.5万-154.80%-2.69亿382.16%4,467.7万-153.30%-2,496万444.23%6,809.4万-90.21%317万-527.28%-1.05亿140.74%926.6万
-其他流动负债变动 -17.58%4,759.8万88.34%-596.2万168.70%1.08亿274.10%5,775万-118.45%-5,111.5万-290.92%-1.58亿-647.03%-3.68亿-1,037.50%-3,322.5万-38.61%-3,317万678.80%2.77亿
-其他营运资本变动 243.35%18.88亿-60.04%2.01亿-76.62%8.66亿-63.18%5.5亿-64.25%5.04亿-13.63%37.03亿-55.03%4.17亿-71.66%3.83亿52.27%14.93亿37.10%14.1亿
已支付退税 30.23%-2,396.2万45.05%-2,611.2万42.30%-9,031.8万-20.01%-3,434.2万26.94%-4,751.7万-192.56%-1.57亿-194.79%-3,090.9万-204.80%-3,195.8万-86.96%-2,861.6万-277.60%-6,504.2万
非持续经营活动现金流
经营活动现金净额 37.65%-6,198.5万-275.59%-7,278.9万11.41%3,329.5万62.05%-9,942.1万-78.45%4,145.5万-95.69%2,988.5万-11.49%2.95亿-551.55%-1.96亿-204.04%-2.62亿197.84%1.92亿
投资活动现金流量
持续投资活动现金净额 34.14%1.89亿137.84%6,671.2万108.17%6,263万64.29%1.41亿24.04%-1.76亿-67.33%-7.67亿-191.68%-5.85亿-323.14%-3,514.5万134.37%8,574万-871.33%-2.32亿
资本支出 -88.24%-2,328.9万42.36%-474.7万54.34%-3,496.6万10.03%-1,237.2万33.73%-823.6万-98.50%-7,657.1万-204.44%-3,070.3万-85.26%-1,968.8万-47.14%-1,375.2万-45.94%-1,242.8万
业务交易的净额 --4.5万------0-----------4.95亿----------------
投资产品交易净额 38.48%2.12亿142.52%7,145.9万150.09%9,759.6万54.02%1.53亿23.49%-1.68亿53.58%-1.95亿68.93%-5,921万-158.60%-1,545.7万141.44%9,949.2万-1,328.45%-2.2亿
非持续投资现金净额
投资活动现金流净额 34.14%1.89亿137.84%6,671.2万108.17%6,263万64.29%1.41亿24.04%-1.76亿-67.33%-7.67亿-191.68%-5.85亿-323.14%-3,514.5万134.37%8,574万-871.33%-2.32亿
融资活动现金流量
持续融资活动现金净额 0.46%-1,350.6万102.47%36.2万-109.06%-4,155.7万-42.49%-1,356.9万-77.81%-1,464.1万2,452.02%4.59亿8,056.11%4.86亿-123.96%-970.2万-38.03%-952.3万-280.85%-823.4万
债务发行/偿还的净额 --0--0--0----------2.75亿----------------
普通股发行/回购的净额 80.31%488.1万2,000.35%1,795.8万-97.01%693.1万85.03%270.7万-64.45%85.5万2,204.41%2.32亿17,533.88%2.26亿-35.49%197.4万199.18%146.3万-53.98%240.5万
现金股利支付 -12.97%-1,838.7万-13.55%-1,759.6万-1.03%-4,848.8万-48.15%-1,627.6万-45.65%-1,549.6万-62.36%-4,799.3万-98.76%-1,469.2万-57.95%-1,167.6万-48.70%-1,098.6万-44.00%-1,063.9万
非持续融资活动现金净额
融资活动现金流净额 0.46%-1,350.6万102.47%36.2万-109.06%-4,155.7万-42.49%-1,356.9万-77.81%-1,464.1万2,452.02%4.59亿8,056.11%4.86亿-123.96%-970.2万-38.03%-952.3万-280.85%-823.4万
现金净流量
期初现金流 57.33%5.44亿10.98%5.49亿-35.97%4.95亿-52.35%3.46亿-35.97%4.95亿38.64%7.73亿-53.75%2.99亿-8.83%5.4亿21.64%7.25亿38.64%7.73亿
当期现金流变化 307.09%1.13亿96.18%-571.5万119.55%5,436.8万115.00%2,787.1万-211.62%-1.49亿-229.06%-2.78亿54.72%1.96亿-539.30%-2.41亿-4,014.55%-1.86亿-224.52%-4,797万
期末现金流 75.97%6.57亿57.33%5.44亿10.98%5.49亿-30.77%3.73亿-52.35%3.46亿-35.97%4.95亿-35.97%4.95亿-53.75%2.99亿-8.83%5.4亿21.64%7.25亿
自由现金流 23.72%-8,527.4万-333.41%-7,753.6万96.42%-167.1万59.46%-1.12亿-81.54%3,321.9万-107.13%-4,668.6万-18.23%2.64亿-758.49%-2.15亿-213.72%-2.76亿220.92%1.8亿
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ----无保留意见----无保留意见--------

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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涨跌幅