美股市场个股详情

FIOGF FIORE GOLD INC

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延时15分钟行情收盘价 12/20 09:30 (美东)
0总市值0.00市盈率TTM

FIORE GOLD INC关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2021/06/30
(Q2)2021/03/31
(Q1)2020/12/31
(FY)2020/09/30
(Q4)2020/09/30
(Q3)2020/06/30
(Q2)2020/03/31
(Q1)2019/12/31
(FY)2019/09/30
(Q4)2019/09/30
资产
流动资产
现金及现金等价物和短期投资
7.00%1,848.1万
92.24%1,751.5万
196.62%1,922.4万
218.78%2,320.7万
218.78%2,320.7万
77.81%1,727.2万
9.80%911.1万
1.82%648.1万
18.05%728万
18.05%728万
-现金和现金等价物
7.00%1,848.1万
92.24%1,751.5万
196.62%1,922.4万
218.78%2,320.7万
218.78%2,320.7万
77.81%1,727.2万
9.80%911.1万
1.82%648.1万
18.05%728万
18.05%728万
应收款项
64.29%11.5万
-40.63%3.8万
-30.99%4.9万
65.38%25.8万
65.38%25.8万
--7万
--6.4万
--7.1万
--15.6万
--15.6万
-应收账款
625.00%8.7万
-28.57%1万
--2.1万
--1.2万
--1.2万
--1.2万
--1.4万
----
--0
--0
-其他应收款
-51.72%2.8万
-44.00%2.8万
-60.56%2.8万
57.69%24.6万
57.69%24.6万
--5.8万
--5万
--7.1万
--15.6万
--15.6万
存货
30.30%3,230.1万
24.91%3,141.7万
17.67%2,949.3万
25.71%2,625.6万
25.71%2,625.6万
42.77%2,479万
49.01%2,515.2万
58.71%2,506.5万
58.22%2,088.6万
58.22%2,088.6万
预付费用
84.04%116.5万
41.22%145.6万
17.21%121.2万
-17.31%106.5万
-17.31%106.5万
-20.68%63.3万
27.60%103.1万
17.77%103.4万
25.17%128.8万
25.17%128.8万
流动资产合计
21.74%5,206.2万
42.62%5,042.6万
53.07%4,997.8万
71.52%5,078.6万
71.52%5,078.6万
53.41%4,276.5万
35.45%3,535.8万
41.74%3,265.1万
45.17%2,961万
45.17%2,961万
非流动资产
固定资产净额
65.93%2,832.9万
44.24%2,518.5万
19.98%2,142.4万
-15.14%1,592.4万
-15.14%1,592.4万
-17.58%1,707.3万
-8.72%1,746万
12.40%1,785.6万
11.68%1,876.4万
11.68%1,876.4万
-固定资产
49.32%5,169.3万
45.30%4,755.8万
37.91%4,282.6万
20.71%3,593.5万
20.71%3,593.5万
15.58%3,461.9万
21.69%3,273.1万
38.90%3,105.3万
36.53%2,977万
36.53%2,977万
-累计折旧
-33.16%-2,336.4万
-46.51%-2,237.3万
-62.17%-2,140.2万
-81.82%-2,001.1万
-81.82%-2,001.1万
-89.91%-1,754.6万
-96.61%-1,527.1万
-103.97%-1,319.7万
-119.94%-1,100.6万
-119.94%-1,100.6万
长期应收款
0.00%7.7万
-26.67%7.7万
--7.7万
--7.7万
--7.7万
--7.7万
--10.5万
----
----
----
非流动递延资产
--0
----
--41.7万
--81.4万
--81.4万
----
----
----
--0
--0
长期预付费用
1.15%825.9万
4.08%847.8万
4.78%817.4万
4.97%816.9万
4.97%816.9万
5.25%816.5万
9.21%814.6万
27.01%780.1万
21.50%778.2万
21.50%778.2万
非流动资产合计
44.84%3,666.5万
31.23%3,374万
17.29%3,009.2万
-5.88%2,498.4万
-5.88%2,498.4万
-11.09%2,531.5万
-3.30%2,571.1万
12.70%2,565.7万
14.39%2,654.6万
14.39%2,654.6万
总资产
30.33%8,872.7万
37.82%8,416.6万
37.32%8,007万
34.93%7,577万
34.93%7,577万
20.82%6,808万
15.90%6,106.9万
27.30%5,830.8万
28.79%5,615.6万
28.79%5,615.6万
负债
流动负债
应付款项
35.60%694.7万
72.31%713.7万
76.06%814.8万
137.76%718.5万
137.76%718.5万
100.12%512.3万
8.80%414.2万
107.16%462.8万
77.14%302.2万
77.14%302.2万
-应付账款
34.25%555.8万
49.02%455.4万
47.74%583万
115.52%515.3万
115.52%515.3万
104.75%414万
11.05%305.6万
174.22%394.6万
96.95%239.1万
96.95%239.1万
-应付税费
41.30%138.9万
137.85%258.3万
239.88%231.8万
222.03%203.2万
222.03%203.2万
82.71%98.3万
2.94%108.6万
-14.21%68.2万
28.25%63.1万
28.25%63.1万
应计费用
-1.01%156.6万
24.89%139万
-37.74%106.9万
17.65%226万
17.65%226万
11.10%158.2万
121.27%111.3万
367.85%171.7万
238.20%192.1万
238.20%192.1万
现行拨备
----
----
----
----
----
--4.5万
--4.6万
--2.4万
--8.4万
--8.4万
短期借款与租赁负债
9.77%142.7万
-3.17%125.4万
-0.55%126.1万
24.69%129.8万
24.69%129.8万
38.59%130万
581.58%129.5万
--126.8万
--104.1万
--104.1万
-短期租赁负债
9.77%142.7万
-3.17%125.4万
-0.55%126.1万
24.69%129.8万
24.69%129.8万
38.59%130万
581.58%129.5万
--126.8万
--104.1万
--104.1万
其他流动负债
----
----
----
----
----
-1.40%63.2万
--5.2万
--9.1万
--49万
--49万
流动负债总额
14.49%994万
47.13%978.1万
35.58%1,047.8万
63.82%1,074.3万
63.82%1,074.3万
56.07%868.2万
47.73%664.8万
197.12%772.8万
188.39%655.8万
188.39%655.8万
非流动负债
长期拨备
-36.80%603.3万
-38.52%579.1万
-28.98%585.2万
-28.56%584.3万
-28.56%584.3万
21.78%954.6万
25.85%942万
70.39%824万
85.93%817.9万
85.93%817.9万
长期借款与租赁负债
-83.54%28.1万
-61.83%77.4万
-52.54%108.4万
-33.90%138.8万
-33.90%138.8万
-28.43%170.7万
5,236.84%202.8万
--228.4万
--210万
--210万
-长期租赁负债
-83.54%28.1万
-61.83%77.4万
-52.54%108.4万
-33.90%138.8万
-33.90%138.8万
-28.43%170.7万
5,236.84%202.8万
--228.4万
--210万
--210万
递延负债
--33.5万
--14.6万
----
----
----
----
----
----
----
----
其他非流动负债
--2.9万
--2万
--1.4万
----
----
----
----
----
----
----
非流动负债总额
-40.66%667.8万
-41.20%673.1万
-33.96%695万
-29.65%723.1万
-29.65%723.1万
-3.26%1,125.3万
32.18%1,144.8万
81.64%1,052.4万
112.68%1,027.9万
112.68%1,027.9万
总负债
-16.64%1,661.8万
-8.75%1,651.2万
-4.51%1,742.8万
6.75%1,797.4万
6.75%1,797.4万
15.93%1,993.5万
37.50%1,809.6万
117.42%1,825.2万
136.91%1,683.7万
136.91%1,683.7万
所有者权益
股本
2.53%5,229.1万
2.49%5,227.2万
1.81%5,182.7万
1.57%5,152.6万
1.57%5,152.6万
0.66%5,100.1万
0.66%5,100.1万
0.47%5,090.8万
0.12%5,073.1万
0.12%5,073.1万
-普通股股本
2.53%5,229.1万
2.49%5,227.2万
1.81%5,182.7万
1.57%5,152.6万
1.57%5,152.6万
0.66%5,100.1万
0.66%5,100.1万
0.47%5,090.8万
0.12%5,073.1万
0.12%5,073.1万
留存收益
274.69%1,429.3万
176.24%1,015.3万
134.90%565.7万
106.91%116.1万
106.91%116.1万
51.65%-818.2万
19.09%-1,331.8万
12.18%-1,620.7万
12.60%-1,679.6万
12.60%-1,679.6万
不影响留存收益的损益
3.74%552.5万
-1.15%522.9万
-3.68%515.8万
-5.11%510.9万
-5.11%510.9万
-1.50%532.6万
-0.62%529万
3.14%535.5万
6.72%538.4万
6.72%538.4万
股东权益总额
49.77%7,210.9万
57.43%6,765.4万
56.39%6,264.2万
46.99%5,779.6万
46.99%5,779.6万
22.97%4,814.5万
8.70%4,297.3万
7.08%4,005.6万
7.74%3,931.9万
7.74%3,931.9万
总权益
49.77%7,210.9万
57.43%6,765.4万
56.39%6,264.2万
46.99%5,779.6万
46.99%5,779.6万
22.97%4,814.5万
8.70%4,297.3万
7.08%4,005.6万
7.74%3,931.9万
7.74%3,931.9万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
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
--
--
--
--
--
--
(Q3)2021/06/30(Q2)2021/03/31(Q1)2020/12/31(FY)2020/09/30(Q4)2020/09/30(Q3)2020/06/30(Q2)2020/03/31(Q1)2019/12/31(FY)2019/09/30(Q4)2019/09/30
资产
流动资产
现金及现金等价物和短期投资 7.00%1,848.1万92.24%1,751.5万196.62%1,922.4万218.78%2,320.7万218.78%2,320.7万77.81%1,727.2万9.80%911.1万1.82%648.1万18.05%728万18.05%728万
-现金和现金等价物 7.00%1,848.1万92.24%1,751.5万196.62%1,922.4万218.78%2,320.7万218.78%2,320.7万77.81%1,727.2万9.80%911.1万1.82%648.1万18.05%728万18.05%728万
应收款项 64.29%11.5万-40.63%3.8万-30.99%4.9万65.38%25.8万65.38%25.8万--7万--6.4万--7.1万--15.6万--15.6万
-应收账款 625.00%8.7万-28.57%1万--2.1万--1.2万--1.2万--1.2万--1.4万------0--0
-其他应收款 -51.72%2.8万-44.00%2.8万-60.56%2.8万57.69%24.6万57.69%24.6万--5.8万--5万--7.1万--15.6万--15.6万
存货 30.30%3,230.1万24.91%3,141.7万17.67%2,949.3万25.71%2,625.6万25.71%2,625.6万42.77%2,479万49.01%2,515.2万58.71%2,506.5万58.22%2,088.6万58.22%2,088.6万
预付费用 84.04%116.5万41.22%145.6万17.21%121.2万-17.31%106.5万-17.31%106.5万-20.68%63.3万27.60%103.1万17.77%103.4万25.17%128.8万25.17%128.8万
流动资产合计 21.74%5,206.2万42.62%5,042.6万53.07%4,997.8万71.52%5,078.6万71.52%5,078.6万53.41%4,276.5万35.45%3,535.8万41.74%3,265.1万45.17%2,961万45.17%2,961万
非流动资产
固定资产净额 65.93%2,832.9万44.24%2,518.5万19.98%2,142.4万-15.14%1,592.4万-15.14%1,592.4万-17.58%1,707.3万-8.72%1,746万12.40%1,785.6万11.68%1,876.4万11.68%1,876.4万
-固定资产 49.32%5,169.3万45.30%4,755.8万37.91%4,282.6万20.71%3,593.5万20.71%3,593.5万15.58%3,461.9万21.69%3,273.1万38.90%3,105.3万36.53%2,977万36.53%2,977万
-累计折旧 -33.16%-2,336.4万-46.51%-2,237.3万-62.17%-2,140.2万-81.82%-2,001.1万-81.82%-2,001.1万-89.91%-1,754.6万-96.61%-1,527.1万-103.97%-1,319.7万-119.94%-1,100.6万-119.94%-1,100.6万
长期应收款 0.00%7.7万-26.67%7.7万--7.7万--7.7万--7.7万--7.7万--10.5万------------
非流动递延资产 --0------41.7万--81.4万--81.4万--------------0--0
长期预付费用 1.15%825.9万4.08%847.8万4.78%817.4万4.97%816.9万4.97%816.9万5.25%816.5万9.21%814.6万27.01%780.1万21.50%778.2万21.50%778.2万
非流动资产合计 44.84%3,666.5万31.23%3,374万17.29%3,009.2万-5.88%2,498.4万-5.88%2,498.4万-11.09%2,531.5万-3.30%2,571.1万12.70%2,565.7万14.39%2,654.6万14.39%2,654.6万
总资产 30.33%8,872.7万37.82%8,416.6万37.32%8,007万34.93%7,577万34.93%7,577万20.82%6,808万15.90%6,106.9万27.30%5,830.8万28.79%5,615.6万28.79%5,615.6万
负债
流动负债
应付款项 35.60%694.7万72.31%713.7万76.06%814.8万137.76%718.5万137.76%718.5万100.12%512.3万8.80%414.2万107.16%462.8万77.14%302.2万77.14%302.2万
-应付账款 34.25%555.8万49.02%455.4万47.74%583万115.52%515.3万115.52%515.3万104.75%414万11.05%305.6万174.22%394.6万96.95%239.1万96.95%239.1万
-应付税费 41.30%138.9万137.85%258.3万239.88%231.8万222.03%203.2万222.03%203.2万82.71%98.3万2.94%108.6万-14.21%68.2万28.25%63.1万28.25%63.1万
应计费用 -1.01%156.6万24.89%139万-37.74%106.9万17.65%226万17.65%226万11.10%158.2万121.27%111.3万367.85%171.7万238.20%192.1万238.20%192.1万
现行拨备 ----------------------4.5万--4.6万--2.4万--8.4万--8.4万
短期借款与租赁负债 9.77%142.7万-3.17%125.4万-0.55%126.1万24.69%129.8万24.69%129.8万38.59%130万581.58%129.5万--126.8万--104.1万--104.1万
-短期租赁负债 9.77%142.7万-3.17%125.4万-0.55%126.1万24.69%129.8万24.69%129.8万38.59%130万581.58%129.5万--126.8万--104.1万--104.1万
其他流动负债 ---------------------1.40%63.2万--5.2万--9.1万--49万--49万
流动负债总额 14.49%994万47.13%978.1万35.58%1,047.8万63.82%1,074.3万63.82%1,074.3万56.07%868.2万47.73%664.8万197.12%772.8万188.39%655.8万188.39%655.8万
非流动负债
长期拨备 -36.80%603.3万-38.52%579.1万-28.98%585.2万-28.56%584.3万-28.56%584.3万21.78%954.6万25.85%942万70.39%824万85.93%817.9万85.93%817.9万
长期借款与租赁负债 -83.54%28.1万-61.83%77.4万-52.54%108.4万-33.90%138.8万-33.90%138.8万-28.43%170.7万5,236.84%202.8万--228.4万--210万--210万
-长期租赁负债 -83.54%28.1万-61.83%77.4万-52.54%108.4万-33.90%138.8万-33.90%138.8万-28.43%170.7万5,236.84%202.8万--228.4万--210万--210万
递延负债 --33.5万--14.6万--------------------------------
其他非流动负债 --2.9万--2万--1.4万----------------------------
非流动负债总额 -40.66%667.8万-41.20%673.1万-33.96%695万-29.65%723.1万-29.65%723.1万-3.26%1,125.3万32.18%1,144.8万81.64%1,052.4万112.68%1,027.9万112.68%1,027.9万
总负债 -16.64%1,661.8万-8.75%1,651.2万-4.51%1,742.8万6.75%1,797.4万6.75%1,797.4万15.93%1,993.5万37.50%1,809.6万117.42%1,825.2万136.91%1,683.7万136.91%1,683.7万
所有者权益
股本 2.53%5,229.1万2.49%5,227.2万1.81%5,182.7万1.57%5,152.6万1.57%5,152.6万0.66%5,100.1万0.66%5,100.1万0.47%5,090.8万0.12%5,073.1万0.12%5,073.1万
-普通股股本 2.53%5,229.1万2.49%5,227.2万1.81%5,182.7万1.57%5,152.6万1.57%5,152.6万0.66%5,100.1万0.66%5,100.1万0.47%5,090.8万0.12%5,073.1万0.12%5,073.1万
留存收益 274.69%1,429.3万176.24%1,015.3万134.90%565.7万106.91%116.1万106.91%116.1万51.65%-818.2万19.09%-1,331.8万12.18%-1,620.7万12.60%-1,679.6万12.60%-1,679.6万
不影响留存收益的损益 3.74%552.5万-1.15%522.9万-3.68%515.8万-5.11%510.9万-5.11%510.9万-1.50%532.6万-0.62%529万3.14%535.5万6.72%538.4万6.72%538.4万
股东权益总额 49.77%7,210.9万57.43%6,765.4万56.39%6,264.2万46.99%5,779.6万46.99%5,779.6万22.97%4,814.5万8.70%4,297.3万7.08%4,005.6万7.74%3,931.9万7.74%3,931.9万
总权益 49.77%7,210.9万57.43%6,765.4万56.39%6,264.2万46.99%5,779.6万46.99%5,779.6万22.97%4,814.5万8.70%4,297.3万7.08%4,005.6万7.74%3,931.9万7.74%3,931.9万
货币单位 美元美元美元美元美元美元美元美元美元美元
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ------无保留意见------------
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