加拿大市场个股详情

FD Facedrive Inc

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延时15分钟行情交易中 10/30 09:30 (美东)
0总市值0.00市盈率TTM

Facedrive Inc关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2022/06/30
(Q1)2022/03/31
(FY)2021/12/31
(Q4)2021/12/31
(Q3)2021/09/30
(Q2)2021/06/30
(Q1)2021/03/31
(FY)2020/12/31
(Q4)2020/12/31
(Q3)2020/09/30
资产
流动资产
现金及现金等价物和短期投资
-43.00%696.79万
-80.74%360.49万
-39.94%222.92万
-39.94%222.92万
-7.24%682.76万
19.34%1,222.53万
440.39%1,871.62万
-2.10%371.13万
-2.10%371.13万
-0.15%736.07万
-现金和现金等价物
-43.00%696.79万
-80.74%360.49万
-39.94%222.92万
-39.94%222.92万
-7.24%682.76万
19.34%1,222.53万
440.39%1,871.62万
-2.10%371.13万
-2.10%371.13万
-0.15%736.07万
应收款项
-3.81%202.89万
9.92%173.05万
5.85%191.53万
5.85%191.53万
-18.75%188.69万
202.62%210.92万
290.47%157.44万
322.68%180.94万
322.68%180.94万
293.26%232.22万
-应收账款
74.13%108.86万
106.19%125.66万
116.39%141.36万
116.39%141.36万
3,474.39%107.25万
25,936.73%62.51万
--60.95万
1,156.27%65.33万
1,156.27%65.33万
-42.30%3万
-应收税费
-26.60%94.03万
-43.54%47.39万
-27.62%50.18万
-27.62%50.18万
32.32%81.44万
178.29%128.1万
108.54%83.93万
84.68%69.32万
84.68%69.32万
113.88%61.55万
-其他应收款
----
----
----
----
----
-13.34%20.3万
16,765.37%12.56万
62,045.37%46.3万
62,045.37%46.3万
568.71%167.67万
存货
116.85%586.08万
594.25%527.28万
4,491.11%543.34万
4,491.11%543.34万
4,888.51%412.08万
5,703.66%270.27万
--75.95万
--11.83万
--11.83万
--8.26万
预付费用
-75.23%34.52万
-65.39%72.76万
-1.58%36.39万
-1.58%36.39万
2,088.98%124.08万
1,563.84%139.37万
1,738.08%210.23万
175.18%36.97万
175.18%36.97万
6.90%5.67万
流动资产合计
-17.51%1,520.28万
-51.04%1,133.59万
65.45%994.18万
65.45%994.18万
43.31%1,407.6万
66.48%1,843.09万
481.57%2,315.23万
38.03%600.88万
38.03%600.88万
22.55%982.22万
非流动资产
固定资产净额
95.90%1,562.3万
14.91%898.61万
29.13%1,027.65万
29.13%1,027.65万
1.68%870.44万
5,183.71%797.5万
4,564.13%782.04万
4,268.20%795.85万
4,268.20%795.85万
--856.06万
-固定资产
96.89%1,573.46万
15.75%906万
29.81%1,033.06万
29.81%1,033.06万
2.03%873.5万
5,187.58%799.15万
4,567.58%782.75万
4,268.20%795.85万
4,268.20%795.85万
--856.15万
-累计折旧
-576.90%-11.15万
-935.13%-7.38万
---5.41万
---5.41万
-3,512.15%-3.06万
-8,096.02%-1.65万
-24,496.55%-7,133
----
----
---848
投资和预付款
-59.12%138.77万
-60.93%134.57万
-60.86%136.51万
-60.86%136.51万
--0
--339.49万
--344.44万
--348.75万
--348.75万
--365.37万
-金融资产投资
--138.77万
--134.57万
--136.51万
--136.51万
----
----
----
--0
--0
----
-其中:以公允价值计量且其变动计入当期损益的金融资产总额
--138.77万
--134.57万
--136.51万
--136.51万
----
----
----
--0
--0
----
-其他投资
----
----
--0
--0
----
----
----
--348.75万
--348.75万
----
长期应收款
----
----
----
----
92.03%7.46万
117.94%6.32万
185.12%5.46万
----
----
--3.89万
长期应收票据
----
----
--0
--0
-4.48%127.41万
-9.05%123.94万
-11.36%125.75万
1.56%131.9万
1.56%131.9万
--133.39万
长期预付费用
-14.13%87.35万
13.16%116.64万
17.14%122.12万
17.14%122.12万
5.44%108.17万
5,881.14%101.72万
5,960.97%103.07万
--104.25万
--104.25万
--102.59万
商誉及其他无形资产
-22.61%554.15万
-19.79%576.71万
-24.57%646.02万
-24.57%646.02万
114.26%713.49万
884.46%716万
765.01%719万
--856.45万
--856.45万
--333.01万
-商誉
59.14%193.41万
55.35%190.74万
-0.19%191.98万
-0.19%191.98万
110.45%192.42万
--121.54万
--122.78万
--192.35万
--192.35万
--91.43万
-其他无形资产
-39.32%360.74万
-35.26%385.98万
-31.63%454.04万
-31.63%454.04万
115.70%521.07万
717.35%594.47万
617.30%596.22万
--664.1万
--664.1万
--241.57万
非流动递延资产
--6.43万
--4.96万
--4.69万
--4.69万
----
----
----
----
----
----
其他非流动资产
--14.61万
--14.6万
7.48%22.12万
7.48%22.12万
----
----
----
--20.58万
--20.58万
----
非流动资产合计
13.36%2,363.6万
-16.04%1,746.09万
-13.23%1,959.11万
-13.23%1,959.11万
1.82%1,826.97万
811.65%2,084.97万
747.59%2,079.76万
1,416.64%2,257.79万
1,416.64%2,257.79万
--1,794.31万
总资产
-1.12%3,883.88万
-34.48%2,879.68万
3.31%2,953.29万
3.31%2,953.29万
16.50%3,234.57万
194.05%3,928.06万
583.01%4,395万
389.33%2,858.67万
389.33%2,858.67万
246.41%2,776.53万
负债
流动负债
短期借款与资本租赁负债
137.16%284.88万
136.84%235.59万
149.69%241.54万
149.69%241.54万
29.83%133.38万
1,882.85%120.12万
1,964.43%99.47万
1,693.18%96.74万
1,693.18%96.74万
--102.73万
-短期资本租赁负债
137.16%284.88万
136.84%235.59万
149.69%241.54万
149.69%241.54万
29.83%133.38万
1,882.85%120.12万
1,964.43%99.47万
1,693.18%96.74万
1,693.18%96.74万
--102.73万
应付款项
22.46%677.86万
79.39%683.67万
98.06%646.19万
98.06%646.19万
660.66%659.47万
751.80%553.53万
535.90%381.1万
421.49%326.25万
421.49%326.25万
-39.43%86.7万
-应付账款
26.79%583.85万
88.42%587.16万
124.21%548.84万
124.21%548.84万
1,232.46%564.43万
2,130.29%460.47万
1,898.42%311.63万
1,339.09%244.78万
1,339.09%244.78万
-63.83%42.36万
-应付税费
--8.71万
--8.44万
--8.57万
--8.57万
----
----
----
--0
--0
----
-应付关联方款项
-8.34%85.3万
26.76%88.06万
8.98%88.79万
8.98%88.79万
114.36%95.04万
109.88%93.06万
56.69%69.47万
78.85%81.47万
78.85%81.47万
70.26%44.34万
应计费用
10.09%99.09万
256.07%153.01万
28.10%85.65万
28.10%85.65万
47.71%69.27万
91.21%90.01万
11.13%42.97万
451.31%66.86万
451.31%66.86万
19.50%46.9万
递延负债
765.28%81.28万
-22.18%84.56万
176.10%86.86万
176.10%86.86万
7.71%9.44万
--9.39万
2,073.24%108.66万
109.73%31.46万
109.73%31.46万
-64.96%8.76万
其他流动负债
----
--222.73万
----
----
--44.82万
-85.92%37.21万
----
----
----
----
流动负债总额
41.08%1,143.1万
118.21%1,379.55万
103.38%1,060.23万
103.38%1,060.23万
273.90%916.37万
111.91%810.26万
483.13%632.2万
448.26%521.31万
448.26%521.31万
18.18%245.08万
非流动负债
长期借款与租赁负债
36.71%1,016.64万
7.37%777.22万
19.27%881.67万
19.27%881.67万
3.38%794.75万
4,627.11%743.63万
5,190.49%723.84万
5,256.08%739.19万
5,256.08%739.19万
--768.79万
-长期借款
11.57%10.41万
11.57%10.13万
22.73%9.86万
22.73%9.86万
139.82%9.59万
133.35%9.33万
--9.08万
--8.03万
--8.03万
--4万
-长期租赁负债
37.03%1,006.23万
7.32%767.08万
19.24%871.81万
19.24%871.81万
2.66%785.16万
6,159.35%734.3万
5,124.11%714.76万
5,197.87%731.16万
5,197.87%731.16万
--764.79万
长期应付账款及其他应付款项
----
----
----
----
----
----
----
----
----
--0
应付关联方款项
----
----
----
----
----
----
----
----
----
0.00%33.4万
递延负债
----
----
--0
--0
----
----
----
--24.8万
--24.8万
----
非流动负债总额
36.71%1,016.64万
7.37%777.22万
15.40%881.67万
15.40%881.67万
-0.93%794.75万
1,413.47%743.63万
1,437.32%723.84万
1,518.50%763.99万
1,518.50%763.99万
2,301.59%802.2万
负债总额
38.99%2,159.75万
59.05%2,156.77万
51.09%1,941.9万
51.09%1,941.9万
63.39%1,711.12万
260.12%1,553.89万
772.05%1,356.05万
803.31%1,285.3万
803.31%1,285.3万
334.94%1,047.28万
所有者权益
股本
39.24%8,610.74万
5.30%6,436.55万
53.14%6,265.95万
53.14%6,265.95万
55.10%6,216.05万
115.34%6,184.05万
292.91%6,112.37万
195.55%4,091.65万
195.55%4,091.65万
189.50%4,007.8万
-普通股股本
39.24%8,610.74万
5.30%6,436.55万
53.14%6,265.95万
53.14%6,265.95万
55.10%6,216.05万
115.34%6,184.05万
292.91%6,112.37万
195.55%4,091.65万
195.55%4,091.65万
189.50%4,007.8万
资本公积
17.55%377.15万
161.22%776.93万
90.95%415.51万
90.95%415.51万
138.38%357.17万
180.40%320.85万
278.71%297.42万
303.59%217.6万
303.59%217.6万
643.61%149.83万
留存收益
-76.28%-7,255.24万
-92.79%-6,477.58万
-107.43%-5,659.38万
-107.43%-5,659.38万
-107.05%-5,040.35万
-97.70%-4,115.83万
-193.13%-3,359.84万
-173.82%-2,728.3万
-173.82%-2,728.3万
-188.49%-2,434.32万
不影响留存收益的损益
42.94%-8.51万
-18.20%-12.99万
-41.00%-10.69万
-41.00%-10.69万
-258.76%-9.42万
---14.91万
---10.99万
---7.58万
---7.58万
--5.93万
股东权益总额
-27.38%1,724.13万
-76.21%722.91万
-35.72%1,011.39万
-35.72%1,011.39万
-11.90%1,523.45万
162.53%2,374.16万
522.77%3,038.95万
256.03%1,573.37万
256.03%1,573.37万
208.39%1,729.25万
总权益
-27.38%1,724.13万
-76.21%722.91万
-35.72%1,011.39万
-35.72%1,011.39万
-11.90%1,523.45万
162.53%2,374.16万
522.77%3,038.95万
256.03%1,573.37万
256.03%1,573.37万
208.39%1,729.25万
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
--
--
带解释段的无保留意见
--
--
--
--
无保留意见
--
--
(Q2)2022/06/30(Q1)2022/03/31(FY)2021/12/31(Q4)2021/12/31(Q3)2021/09/30(Q2)2021/06/30(Q1)2021/03/31(FY)2020/12/31(Q4)2020/12/31(Q3)2020/09/30
资产
流动资产
现金及现金等价物和短期投资 -43.00%696.79万-80.74%360.49万-39.94%222.92万-39.94%222.92万-7.24%682.76万19.34%1,222.53万440.39%1,871.62万-2.10%371.13万-2.10%371.13万-0.15%736.07万
-现金和现金等价物 -43.00%696.79万-80.74%360.49万-39.94%222.92万-39.94%222.92万-7.24%682.76万19.34%1,222.53万440.39%1,871.62万-2.10%371.13万-2.10%371.13万-0.15%736.07万
应收款项 -3.81%202.89万9.92%173.05万5.85%191.53万5.85%191.53万-18.75%188.69万202.62%210.92万290.47%157.44万322.68%180.94万322.68%180.94万293.26%232.22万
-应收账款 74.13%108.86万106.19%125.66万116.39%141.36万116.39%141.36万3,474.39%107.25万25,936.73%62.51万--60.95万1,156.27%65.33万1,156.27%65.33万-42.30%3万
-应收税费 -26.60%94.03万-43.54%47.39万-27.62%50.18万-27.62%50.18万32.32%81.44万178.29%128.1万108.54%83.93万84.68%69.32万84.68%69.32万113.88%61.55万
-其他应收款 ---------------------13.34%20.3万16,765.37%12.56万62,045.37%46.3万62,045.37%46.3万568.71%167.67万
存货 116.85%586.08万594.25%527.28万4,491.11%543.34万4,491.11%543.34万4,888.51%412.08万5,703.66%270.27万--75.95万--11.83万--11.83万--8.26万
预付费用 -75.23%34.52万-65.39%72.76万-1.58%36.39万-1.58%36.39万2,088.98%124.08万1,563.84%139.37万1,738.08%210.23万175.18%36.97万175.18%36.97万6.90%5.67万
流动资产合计 -17.51%1,520.28万-51.04%1,133.59万65.45%994.18万65.45%994.18万43.31%1,407.6万66.48%1,843.09万481.57%2,315.23万38.03%600.88万38.03%600.88万22.55%982.22万
非流动资产
固定资产净额 95.90%1,562.3万14.91%898.61万29.13%1,027.65万29.13%1,027.65万1.68%870.44万5,183.71%797.5万4,564.13%782.04万4,268.20%795.85万4,268.20%795.85万--856.06万
-固定资产 96.89%1,573.46万15.75%906万29.81%1,033.06万29.81%1,033.06万2.03%873.5万5,187.58%799.15万4,567.58%782.75万4,268.20%795.85万4,268.20%795.85万--856.15万
-累计折旧 -576.90%-11.15万-935.13%-7.38万---5.41万---5.41万-3,512.15%-3.06万-8,096.02%-1.65万-24,496.55%-7,133-----------848
投资和预付款 -59.12%138.77万-60.93%134.57万-60.86%136.51万-60.86%136.51万--0--339.49万--344.44万--348.75万--348.75万--365.37万
-金融资产投资 --138.77万--134.57万--136.51万--136.51万--------------0--0----
-其中:以公允价值计量且其变动计入当期损益的金融资产总额 --138.77万--134.57万--136.51万--136.51万--------------0--0----
-其他投资 ----------0--0--------------348.75万--348.75万----
长期应收款 ----------------92.03%7.46万117.94%6.32万185.12%5.46万----------3.89万
长期应收票据 ----------0--0-4.48%127.41万-9.05%123.94万-11.36%125.75万1.56%131.9万1.56%131.9万--133.39万
长期预付费用 -14.13%87.35万13.16%116.64万17.14%122.12万17.14%122.12万5.44%108.17万5,881.14%101.72万5,960.97%103.07万--104.25万--104.25万--102.59万
商誉及其他无形资产 -22.61%554.15万-19.79%576.71万-24.57%646.02万-24.57%646.02万114.26%713.49万884.46%716万765.01%719万--856.45万--856.45万--333.01万
-商誉 59.14%193.41万55.35%190.74万-0.19%191.98万-0.19%191.98万110.45%192.42万--121.54万--122.78万--192.35万--192.35万--91.43万
-其他无形资产 -39.32%360.74万-35.26%385.98万-31.63%454.04万-31.63%454.04万115.70%521.07万717.35%594.47万617.30%596.22万--664.1万--664.1万--241.57万
非流动递延资产 --6.43万--4.96万--4.69万--4.69万------------------------
其他非流动资产 --14.61万--14.6万7.48%22.12万7.48%22.12万--------------20.58万--20.58万----
非流动资产合计 13.36%2,363.6万-16.04%1,746.09万-13.23%1,959.11万-13.23%1,959.11万1.82%1,826.97万811.65%2,084.97万747.59%2,079.76万1,416.64%2,257.79万1,416.64%2,257.79万--1,794.31万
总资产 -1.12%3,883.88万-34.48%2,879.68万3.31%2,953.29万3.31%2,953.29万16.50%3,234.57万194.05%3,928.06万583.01%4,395万389.33%2,858.67万389.33%2,858.67万246.41%2,776.53万
负债
流动负债
短期借款与资本租赁负债 137.16%284.88万136.84%235.59万149.69%241.54万149.69%241.54万29.83%133.38万1,882.85%120.12万1,964.43%99.47万1,693.18%96.74万1,693.18%96.74万--102.73万
-短期资本租赁负债 137.16%284.88万136.84%235.59万149.69%241.54万149.69%241.54万29.83%133.38万1,882.85%120.12万1,964.43%99.47万1,693.18%96.74万1,693.18%96.74万--102.73万
应付款项 22.46%677.86万79.39%683.67万98.06%646.19万98.06%646.19万660.66%659.47万751.80%553.53万535.90%381.1万421.49%326.25万421.49%326.25万-39.43%86.7万
-应付账款 26.79%583.85万88.42%587.16万124.21%548.84万124.21%548.84万1,232.46%564.43万2,130.29%460.47万1,898.42%311.63万1,339.09%244.78万1,339.09%244.78万-63.83%42.36万
-应付税费 --8.71万--8.44万--8.57万--8.57万--------------0--0----
-应付关联方款项 -8.34%85.3万26.76%88.06万8.98%88.79万8.98%88.79万114.36%95.04万109.88%93.06万56.69%69.47万78.85%81.47万78.85%81.47万70.26%44.34万
应计费用 10.09%99.09万256.07%153.01万28.10%85.65万28.10%85.65万47.71%69.27万91.21%90.01万11.13%42.97万451.31%66.86万451.31%66.86万19.50%46.9万
递延负债 765.28%81.28万-22.18%84.56万176.10%86.86万176.10%86.86万7.71%9.44万--9.39万2,073.24%108.66万109.73%31.46万109.73%31.46万-64.96%8.76万
其他流动负债 ------222.73万----------44.82万-85.92%37.21万----------------
流动负债总额 41.08%1,143.1万118.21%1,379.55万103.38%1,060.23万103.38%1,060.23万273.90%916.37万111.91%810.26万483.13%632.2万448.26%521.31万448.26%521.31万18.18%245.08万
非流动负债
长期借款与租赁负债 36.71%1,016.64万7.37%777.22万19.27%881.67万19.27%881.67万3.38%794.75万4,627.11%743.63万5,190.49%723.84万5,256.08%739.19万5,256.08%739.19万--768.79万
-长期借款 11.57%10.41万11.57%10.13万22.73%9.86万22.73%9.86万139.82%9.59万133.35%9.33万--9.08万--8.03万--8.03万--4万
-长期租赁负债 37.03%1,006.23万7.32%767.08万19.24%871.81万19.24%871.81万2.66%785.16万6,159.35%734.3万5,124.11%714.76万5,197.87%731.16万5,197.87%731.16万--764.79万
长期应付账款及其他应付款项 --------------------------------------0
应付关联方款项 ------------------------------------0.00%33.4万
递延负债 ----------0--0--------------24.8万--24.8万----
非流动负债总额 36.71%1,016.64万7.37%777.22万15.40%881.67万15.40%881.67万-0.93%794.75万1,413.47%743.63万1,437.32%723.84万1,518.50%763.99万1,518.50%763.99万2,301.59%802.2万
负债总额 38.99%2,159.75万59.05%2,156.77万51.09%1,941.9万51.09%1,941.9万63.39%1,711.12万260.12%1,553.89万772.05%1,356.05万803.31%1,285.3万803.31%1,285.3万334.94%1,047.28万
所有者权益
股本 39.24%8,610.74万5.30%6,436.55万53.14%6,265.95万53.14%6,265.95万55.10%6,216.05万115.34%6,184.05万292.91%6,112.37万195.55%4,091.65万195.55%4,091.65万189.50%4,007.8万
-普通股股本 39.24%8,610.74万5.30%6,436.55万53.14%6,265.95万53.14%6,265.95万55.10%6,216.05万115.34%6,184.05万292.91%6,112.37万195.55%4,091.65万195.55%4,091.65万189.50%4,007.8万
资本公积 17.55%377.15万161.22%776.93万90.95%415.51万90.95%415.51万138.38%357.17万180.40%320.85万278.71%297.42万303.59%217.6万303.59%217.6万643.61%149.83万
留存收益 -76.28%-7,255.24万-92.79%-6,477.58万-107.43%-5,659.38万-107.43%-5,659.38万-107.05%-5,040.35万-97.70%-4,115.83万-193.13%-3,359.84万-173.82%-2,728.3万-173.82%-2,728.3万-188.49%-2,434.32万
不影响留存收益的损益 42.94%-8.51万-18.20%-12.99万-41.00%-10.69万-41.00%-10.69万-258.76%-9.42万---14.91万---10.99万---7.58万---7.58万--5.93万
股东权益总额 -27.38%1,724.13万-76.21%722.91万-35.72%1,011.39万-35.72%1,011.39万-11.90%1,523.45万162.53%2,374.16万522.77%3,038.95万256.03%1,573.37万256.03%1,573.37万208.39%1,729.25万
总权益 -27.38%1,724.13万-76.21%722.91万-35.72%1,011.39万-35.72%1,011.39万-11.90%1,523.45万162.53%2,374.16万522.77%3,038.95万256.03%1,573.37万256.03%1,573.37万208.39%1,729.25万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ----带解释段的无保留意见--------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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