美股市场个股详情

GRNWF GREENLANE RENEWABLES INC

添加自选
  • 0.085800
  • +0.028300+49.22%
延时15分钟行情收盘价 11/12 16:00 (美东)
1322.66万总市值-746市盈率TTM

GREENLANE RENEWABLES INC关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2024/06/30
(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
资产
流动资产
现金及现金等价物和短期投资
-43.94%904.7万
-55.71%721.8万
-44.86%1,179万
-44.86%1,179万
-20.75%1,690.7万
-30.32%1,613.9万
-29.52%1,629.8万
-32.06%2,138.1万
-32.06%2,138.1万
-40.02%2,133.5万
-现金和现金等价物
-43.94%904.7万
-55.71%721.8万
-44.86%1,179万
-44.86%1,179万
-20.75%1,690.7万
-30.32%1,613.9万
-29.52%1,629.8万
-32.06%2,138.1万
-32.06%2,138.1万
-40.02%2,133.5万
应收款项
5.45%2,934.1万
23.54%3,344.1万
-11.99%2,424.9万
-11.99%2,424.9万
-35.59%1,875万
2.03%2,782.4万
-8.62%2,707万
5.15%2,755.4万
5.15%2,755.4万
65.53%2,911万
-应收账款
31.56%1,808.5万
65.61%2,358.5万
-20.20%980.4万
-20.20%980.4万
-27.70%879.4万
-2.85%1,374.7万
28.91%1,424.1万
-24.95%1,228.5万
-24.95%1,228.5万
117.47%1,216.3万
-应收票据
--94.2万
--90.5万
--85.9万
--85.9万
----
----
----
--0
--0
----
-其他应收款
-26.73%1,031.4万
-30.23%895.1万
-11.02%1,358.6万
-11.02%1,358.6万
-41.25%995.6万
11.33%1,407.7万
-30.94%1,282.9万
55.22%1,526.9万
55.22%1,526.9万
41.31%1,694.7万
存货
-23.17%170.1万
9.64%172.8万
82.73%206.3万
82.73%206.3万
173.96%263万
170.66%221.4万
79.70%157.6万
43.82%112.9万
43.82%112.9万
-9.09%96万
预付费用
----
----
----
----
----
----
----
----
----
--104万
受限制现金
-0.12%165.5万
-3.25%163.8万
-5.37%160.3万
-5.37%160.3万
-4.50%163.6万
2.54%165.7万
8.04%169.3万
2.36%169.4万
2.36%169.4万
7.13%171.3万
其他流动资产
-9.13%134.3万
7.88%169.7万
31.52%166.5万
31.52%166.5万
--158.4万
--147.8万
--157.3万
30.52%126.6万
30.52%126.6万
----
流动资产合计
-12.62%4,308.7万
-3.39%4,657.5万
-21.98%4,137万
-21.98%4,137万
-23.36%4,150.7万
-6.72%4,931.2万
-12.65%4,821万
-13.20%5,302.4万
-13.20%5,302.4万
-2.96%5,415.8万
非流动资产
固定资产净额
1.19%247.1万
55.33%259.4万
37.12%237.5万
37.12%237.5万
41.58%238.7万
38.51%244.2万
-10.46%167万
151.74%173.2万
151.74%173.2万
157.01%168.6万
-固定资产
3.14%433.3万
31.15%429.4万
38.56%440.2万
38.56%440.2万
--425.8万
--420.1万
--327.4万
120.93%317.7万
120.93%317.7万
----
-累计折旧
-5.86%-186.2万
-5.99%-170万
-40.28%-202.7万
-40.28%-202.7万
---187.1万
---175.9万
---160.4万
-92.67%-144.5万
-92.67%-144.5万
----
商誉及其他无形资产
-59.63%1,034万
-60.34%1,041.7万
-59.86%1,061万
-59.86%1,061万
-3.66%2,495.4万
-4.19%2,561.4万
-5.44%2,626.5万
56.39%2,643.1万
56.39%2,643.1万
50.61%2,590.2万
-商誉
-56.92%778.6万
-57.50%774.1万
-56.97%778万
-56.97%778万
12.38%1,800万
12.61%1,807.5万
5.76%1,821.5万
73.78%1,808.2万
73.78%1,808.2万
53.94%1,601.7万
-其他无形资产
-66.12%255.4万
-66.76%267.6万
-66.10%283万
-66.10%283万
-29.65%695.4万
-29.43%753.9万
-23.73%805万
28.53%834.9万
28.53%834.9万
45.52%988.5万
长期应收票据
----
----
--0
--0
-27.76%85.1万
--80.9万
--196.5万
--175.2万
--175.2万
--117.8万
非流动递延资产
----
----
--0
--0
254.05%39.3万
281.98%42.4万
352.25%50.2万
303.60%44.8万
303.60%44.8万
--11.1万
非流动资产合计
-56.26%1,281.1万
-57.20%1,301.1万
-57.23%1,298.5万
-57.23%1,298.5万
-1.01%2,858.5万
2.38%2,928.9万
2.18%3,040.2万
71.54%3,036.3万
71.54%3,036.3万
61.74%2,887.7万
总资产
-28.88%5,589.8万
-24.20%5,958.6万
-34.82%5,435.5万
-34.82%5,435.5万
-15.59%7,009.2万
-3.52%7,860.1万
-7.46%7,861.2万
5.84%8,338.7万
5.84%8,338.7万
12.72%8,303.5万
负债
流动负债
应付款项
7.05%537.7万
20.29%451.1万
-30.53%309.4万
-30.53%309.4万
--460.4万
--502.3万
--375万
603.63%445.4万
603.63%445.4万
----
-应付账款
10.94%515万
30.22%422.3万
-23.76%300.7万
-23.76%300.7万
--403.5万
--464.2万
--324.3万
558.43%394.4万
558.43%394.4万
----
-应付税费
-40.42%22.7万
-43.20%28.8万
-82.94%8.7万
-82.94%8.7万
--56.9万
--38.1万
--50.7万
1,400.00%51万
1,400.00%51万
----
应计费用
9.89%1,810.6万
31.89%2,136.5万
-10.64%1,655.7万
-10.64%1,655.7万
--1,370.5万
--1,647.6万
--1,619.9万
-4.98%1,852.8万
-4.98%1,852.8万
----
现行拨备
-18.55%105.4万
-29.09%98.5万
12.05%119万
12.05%119万
55.52%109.8万
108.37%129.4万
434.23%138.9万
941.18%106.2万
941.18%106.2万
592.16%70.6万
短期借款与租赁负债
15.99%31.2万
30.00%29.9万
-13.43%23.2万
-13.43%23.2万
-14.18%23.6万
-6.27%26.9万
-26.28%23万
10.74%26.8万
10.74%26.8万
15.55%27.5万
-短期租赁负债
15.99%31.2万
30.00%29.9万
-13.43%23.2万
-13.43%23.2万
-14.18%23.6万
-6.27%26.9万
-26.28%23万
10.74%26.8万
10.74%26.8万
15.55%27.5万
递延负债
27.62%429.3万
305.99%488万
146.09%361.5万
146.09%361.5万
132.26%344.9万
52.98%336.4万
-70.99%120.2万
0.48%146.9万
0.48%146.9万
69.33%148.5万
其他流动负债
----
--54万
----
----
----
----
----
----
----
----
流动负债总额
10.28%2,914.2万
43.08%3,258万
-4.24%2,468.8万
-4.24%2,468.8万
-6.15%2,309.2万
9.83%2,642.6万
-12.48%2,277万
17.52%2,578.1万
17.52%2,578.1万
52.85%2,460.5万
非流动负债
长期拨备
0.00%20万
-56.04%20万
-76.13%20万
-76.13%20万
-34.85%20万
50.38%20万
213.79%45.5万
458.67%83.8万
458.67%83.8万
104.67%30.7万
长期借款与租赁负债
8.04%189.4万
104.28%195.7万
77.77%171.9万
77.77%171.9万
87.88%173.6万
70.03%175.3万
-12.59%95.8万
345.62%96.7万
345.62%96.7万
228.83%92.4万
-长期租赁负债
8.04%189.4万
104.28%195.7万
77.77%171.9万
77.77%171.9万
87.88%173.6万
70.03%175.3万
-12.59%95.8万
345.62%96.7万
345.62%96.7万
228.83%92.4万
递延负债
-73.95%59.4万
-73.39%62万
5.52%244.6万
5.52%244.6万
-25.11%227.9万
-25.54%228万
-17.29%233万
--231.8万
--231.8万
--304.3万
非流动负债总额
-36.50%268.8万
-25.81%277.7万
5.87%436.5万
5.87%436.5万
-1.38%421.5万
0.17%423.3万
-7.76%374.3万
1,023.43%412.3万
1,023.43%412.3万
891.65%427.4万
总负债
3.82%3,183万
33.36%3,535.7万
-2.85%2,905.3万
-2.85%2,905.3万
-5.44%2,730.7万
8.39%3,065.9万
-11.84%2,651.3万
34.07%2,990.4万
34.07%2,990.4万
74.72%2,887.9万
所有者权益
股本
0.23%6,586万
0.25%6,584.5万
0.86%6,581.4万
0.86%6,581.4万
1.47%6,573.2万
1.97%6,570.9万
2.50%6,567.8万
1.84%6,525.3万
1.84%6,525.3万
1.37%6,477.7万
-普通股股本
0.23%6,586万
0.25%6,584.5万
0.86%6,581.4万
0.86%6,581.4万
1.47%6,573.2万
1.97%6,570.9万
2.50%6,567.8万
1.84%6,525.3万
1.84%6,525.3万
1.37%6,477.7万
留存收益
-109.81%-4,701.9万
-158.72%-4,654.7万
-188.74%-4,525.2万
-188.74%-4,525.2万
-98.33%-2,743.9万
-54.66%-2,241万
-46.05%-1,799.1万
-54.15%-1,567.2万
-54.15%-1,567.2万
-54.20%-1,383.5万
资本公积
11.75%529.7万
10.31%506.2万
14.32%489.3万
14.32%489.3万
21.33%477.9万
32.59%474万
55.88%458.9万
78.71%428万
78.71%428万
86.51%393.9万
不影响留存收益的损益
27.84%-7万
25.99%-13.1万
59.52%-15.3万
59.52%-15.3万
60.41%-28.7万
71.30%-9.7万
-204.12%-17.7万
-311.17%-37.8万
-311.17%-37.8万
-879.57%-72.5万
股东权益总额
-49.80%2,406.8万
-53.49%2,422.9万
-52.69%2,530.2万
-52.69%2,530.2万
-21.00%4,278.5万
-9.86%4,794.2万
-5.05%5,209.9万
-5.31%5,348.3万
-5.31%5,348.3万
-5.21%5,415.6万
总权益
-49.80%2,406.8万
-53.49%2,422.9万
-52.69%2,530.2万
-52.69%2,530.2万
-21.00%4,278.5万
-9.86%4,794.2万
-5.05%5,209.9万
-5.31%5,348.3万
-5.31%5,348.3万
-5.21%5,415.6万
货币单位
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
审计意见
--
--
带解释段的无保留意见
--
--
--
--
无保留意见
--
--
(Q2)2024/06/30(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
资产
流动资产
现金及现金等价物和短期投资 -43.94%904.7万-55.71%721.8万-44.86%1,179万-44.86%1,179万-20.75%1,690.7万-30.32%1,613.9万-29.52%1,629.8万-32.06%2,138.1万-32.06%2,138.1万-40.02%2,133.5万
-现金和现金等价物 -43.94%904.7万-55.71%721.8万-44.86%1,179万-44.86%1,179万-20.75%1,690.7万-30.32%1,613.9万-29.52%1,629.8万-32.06%2,138.1万-32.06%2,138.1万-40.02%2,133.5万
应收款项 5.45%2,934.1万23.54%3,344.1万-11.99%2,424.9万-11.99%2,424.9万-35.59%1,875万2.03%2,782.4万-8.62%2,707万5.15%2,755.4万5.15%2,755.4万65.53%2,911万
-应收账款 31.56%1,808.5万65.61%2,358.5万-20.20%980.4万-20.20%980.4万-27.70%879.4万-2.85%1,374.7万28.91%1,424.1万-24.95%1,228.5万-24.95%1,228.5万117.47%1,216.3万
-应收票据 --94.2万--90.5万--85.9万--85.9万--------------0--0----
-其他应收款 -26.73%1,031.4万-30.23%895.1万-11.02%1,358.6万-11.02%1,358.6万-41.25%995.6万11.33%1,407.7万-30.94%1,282.9万55.22%1,526.9万55.22%1,526.9万41.31%1,694.7万
存货 -23.17%170.1万9.64%172.8万82.73%206.3万82.73%206.3万173.96%263万170.66%221.4万79.70%157.6万43.82%112.9万43.82%112.9万-9.09%96万
预付费用 --------------------------------------104万
受限制现金 -0.12%165.5万-3.25%163.8万-5.37%160.3万-5.37%160.3万-4.50%163.6万2.54%165.7万8.04%169.3万2.36%169.4万2.36%169.4万7.13%171.3万
其他流动资产 -9.13%134.3万7.88%169.7万31.52%166.5万31.52%166.5万--158.4万--147.8万--157.3万30.52%126.6万30.52%126.6万----
流动资产合计 -12.62%4,308.7万-3.39%4,657.5万-21.98%4,137万-21.98%4,137万-23.36%4,150.7万-6.72%4,931.2万-12.65%4,821万-13.20%5,302.4万-13.20%5,302.4万-2.96%5,415.8万
非流动资产
固定资产净额 1.19%247.1万55.33%259.4万37.12%237.5万37.12%237.5万41.58%238.7万38.51%244.2万-10.46%167万151.74%173.2万151.74%173.2万157.01%168.6万
-固定资产 3.14%433.3万31.15%429.4万38.56%440.2万38.56%440.2万--425.8万--420.1万--327.4万120.93%317.7万120.93%317.7万----
-累计折旧 -5.86%-186.2万-5.99%-170万-40.28%-202.7万-40.28%-202.7万---187.1万---175.9万---160.4万-92.67%-144.5万-92.67%-144.5万----
商誉及其他无形资产 -59.63%1,034万-60.34%1,041.7万-59.86%1,061万-59.86%1,061万-3.66%2,495.4万-4.19%2,561.4万-5.44%2,626.5万56.39%2,643.1万56.39%2,643.1万50.61%2,590.2万
-商誉 -56.92%778.6万-57.50%774.1万-56.97%778万-56.97%778万12.38%1,800万12.61%1,807.5万5.76%1,821.5万73.78%1,808.2万73.78%1,808.2万53.94%1,601.7万
-其他无形资产 -66.12%255.4万-66.76%267.6万-66.10%283万-66.10%283万-29.65%695.4万-29.43%753.9万-23.73%805万28.53%834.9万28.53%834.9万45.52%988.5万
长期应收票据 ----------0--0-27.76%85.1万--80.9万--196.5万--175.2万--175.2万--117.8万
非流动递延资产 ----------0--0254.05%39.3万281.98%42.4万352.25%50.2万303.60%44.8万303.60%44.8万--11.1万
非流动资产合计 -56.26%1,281.1万-57.20%1,301.1万-57.23%1,298.5万-57.23%1,298.5万-1.01%2,858.5万2.38%2,928.9万2.18%3,040.2万71.54%3,036.3万71.54%3,036.3万61.74%2,887.7万
总资产 -28.88%5,589.8万-24.20%5,958.6万-34.82%5,435.5万-34.82%5,435.5万-15.59%7,009.2万-3.52%7,860.1万-7.46%7,861.2万5.84%8,338.7万5.84%8,338.7万12.72%8,303.5万
负债
流动负债
应付款项 7.05%537.7万20.29%451.1万-30.53%309.4万-30.53%309.4万--460.4万--502.3万--375万603.63%445.4万603.63%445.4万----
-应付账款 10.94%515万30.22%422.3万-23.76%300.7万-23.76%300.7万--403.5万--464.2万--324.3万558.43%394.4万558.43%394.4万----
-应付税费 -40.42%22.7万-43.20%28.8万-82.94%8.7万-82.94%8.7万--56.9万--38.1万--50.7万1,400.00%51万1,400.00%51万----
应计费用 9.89%1,810.6万31.89%2,136.5万-10.64%1,655.7万-10.64%1,655.7万--1,370.5万--1,647.6万--1,619.9万-4.98%1,852.8万-4.98%1,852.8万----
现行拨备 -18.55%105.4万-29.09%98.5万12.05%119万12.05%119万55.52%109.8万108.37%129.4万434.23%138.9万941.18%106.2万941.18%106.2万592.16%70.6万
短期借款与租赁负债 15.99%31.2万30.00%29.9万-13.43%23.2万-13.43%23.2万-14.18%23.6万-6.27%26.9万-26.28%23万10.74%26.8万10.74%26.8万15.55%27.5万
-短期租赁负债 15.99%31.2万30.00%29.9万-13.43%23.2万-13.43%23.2万-14.18%23.6万-6.27%26.9万-26.28%23万10.74%26.8万10.74%26.8万15.55%27.5万
递延负债 27.62%429.3万305.99%488万146.09%361.5万146.09%361.5万132.26%344.9万52.98%336.4万-70.99%120.2万0.48%146.9万0.48%146.9万69.33%148.5万
其他流动负债 ------54万--------------------------------
流动负债总额 10.28%2,914.2万43.08%3,258万-4.24%2,468.8万-4.24%2,468.8万-6.15%2,309.2万9.83%2,642.6万-12.48%2,277万17.52%2,578.1万17.52%2,578.1万52.85%2,460.5万
非流动负债
长期拨备 0.00%20万-56.04%20万-76.13%20万-76.13%20万-34.85%20万50.38%20万213.79%45.5万458.67%83.8万458.67%83.8万104.67%30.7万
长期借款与租赁负债 8.04%189.4万104.28%195.7万77.77%171.9万77.77%171.9万87.88%173.6万70.03%175.3万-12.59%95.8万345.62%96.7万345.62%96.7万228.83%92.4万
-长期租赁负债 8.04%189.4万104.28%195.7万77.77%171.9万77.77%171.9万87.88%173.6万70.03%175.3万-12.59%95.8万345.62%96.7万345.62%96.7万228.83%92.4万
递延负债 -73.95%59.4万-73.39%62万5.52%244.6万5.52%244.6万-25.11%227.9万-25.54%228万-17.29%233万--231.8万--231.8万--304.3万
非流动负债总额 -36.50%268.8万-25.81%277.7万5.87%436.5万5.87%436.5万-1.38%421.5万0.17%423.3万-7.76%374.3万1,023.43%412.3万1,023.43%412.3万891.65%427.4万
总负债 3.82%3,183万33.36%3,535.7万-2.85%2,905.3万-2.85%2,905.3万-5.44%2,730.7万8.39%3,065.9万-11.84%2,651.3万34.07%2,990.4万34.07%2,990.4万74.72%2,887.9万
所有者权益
股本 0.23%6,586万0.25%6,584.5万0.86%6,581.4万0.86%6,581.4万1.47%6,573.2万1.97%6,570.9万2.50%6,567.8万1.84%6,525.3万1.84%6,525.3万1.37%6,477.7万
-普通股股本 0.23%6,586万0.25%6,584.5万0.86%6,581.4万0.86%6,581.4万1.47%6,573.2万1.97%6,570.9万2.50%6,567.8万1.84%6,525.3万1.84%6,525.3万1.37%6,477.7万
留存收益 -109.81%-4,701.9万-158.72%-4,654.7万-188.74%-4,525.2万-188.74%-4,525.2万-98.33%-2,743.9万-54.66%-2,241万-46.05%-1,799.1万-54.15%-1,567.2万-54.15%-1,567.2万-54.20%-1,383.5万
资本公积 11.75%529.7万10.31%506.2万14.32%489.3万14.32%489.3万21.33%477.9万32.59%474万55.88%458.9万78.71%428万78.71%428万86.51%393.9万
不影响留存收益的损益 27.84%-7万25.99%-13.1万59.52%-15.3万59.52%-15.3万60.41%-28.7万71.30%-9.7万-204.12%-17.7万-311.17%-37.8万-311.17%-37.8万-879.57%-72.5万
股东权益总额 -49.80%2,406.8万-53.49%2,422.9万-52.69%2,530.2万-52.69%2,530.2万-21.00%4,278.5万-9.86%4,794.2万-5.05%5,209.9万-5.31%5,348.3万-5.31%5,348.3万-5.21%5,415.6万
总权益 -49.80%2,406.8万-53.49%2,422.9万-52.69%2,530.2万-52.69%2,530.2万-21.00%4,278.5万-9.86%4,794.2万-5.05%5,209.9万-5.31%5,348.3万-5.31%5,348.3万-5.21%5,415.6万
货币单位 加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元
审计意见 ----带解释段的无保留意见--------无保留意见----

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