加拿大市场个股详情

GSV Gold Standard Ventures Corp

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延时15分钟行情已收盘 04/11 09:30 (美东)
2.01亿总市值-18.67市盈率TTM

Gold Standard Ventures Corp关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q2)2020/06/30
资产
流动资产
现金及现金等价物和短期投资
-59.73%1,749.14万
21.62%2,266.46万
21.62%2,266.46万
5.56%2,707.29万
195.43%3,538.51万
846.56%4,343.25万
156.67%1,863.56万
156.67%1,863.56万
71.33%2,564.76万
134.03%1,197.74万
-现金和现金等价物
-59.73%1,749.14万
21.62%2,266.46万
21.62%2,266.46万
5.56%2,707.29万
195.43%3,538.51万
846.56%4,343.25万
156.67%1,863.56万
156.67%1,863.56万
71.33%2,564.76万
134.03%1,197.74万
应收款项
-77.58%1.11万
-90.78%1.06万
-90.78%1.06万
-81.70%1.13万
-4.91%5.16万
6.64%4.94万
170.02%11.49万
170.02%11.49万
11.14%6.18万
31.94%5.43万
-应收账款
-77.58%1.11万
-90.78%1.06万
-90.78%1.06万
-81.70%1.13万
-4.91%5.16万
6.64%4.94万
170.02%11.49万
170.02%11.49万
11.14%6.18万
31.94%5.43万
预付费用
125.52%86.33万
67.78%72.03万
67.78%72.03万
-15.32%81.57万
-35.01%20.64万
-9.02%38.28万
-1.61%42.93万
-1.61%42.93万
74.33%96.33万
-10.82%31.76万
受限制现金
----
----
----
----
----
----
----
----
--26.83万
----
流动资产合计
-58.13%1,836.57万
21.98%2,339.55万
21.98%2,339.55万
3.56%2,789.99万
188.63%3,564.3万
767.66%4,386.47万
147.82%1,917.99万
147.82%1,917.99万
72.94%2,694.1万
123.92%1,234.92万
非流动资产
固定资产净额
7.45%2.66亿
7.73%2.64亿
7.73%2.64亿
10.12%2.6亿
12.04%2.54亿
10.48%2.47亿
10.08%2.45亿
10.08%2.45亿
8.65%2.36亿
8.32%2.27亿
-固定资产
7.52%2.67亿
7.80%2.64亿
7.80%2.64亿
9.94%2.61亿
11.85%2.55亿
10.32%2.48亿
9.93%2.45亿
9.93%2.45亿
8.79%2.37亿
8.47%2.28亿
-累计折旧
-43.83%-65.97万
-49.65%-61.01万
-49.65%-61.01万
38.31%-56.06万
38.64%-50.96万
38.76%-45.87万
38.30%-40.77万
38.30%-40.77万
-59.36%-90.87万
-73.14%-83.05万
其他非流动资产
-0.62%343.54万
-0.42%348.49万
-0.42%348.49万
-3.51%350.21万
53.12%340.76万
49.30%345.69万
64.88%349.96万
64.88%349.96万
71.96%362.94万
6.57%222.55万
非流动资产合计
7.34%2.69亿
7.62%2.67亿
7.62%2.67亿
9.92%2.64亿
12.44%2.58亿
10.88%2.51亿
10.60%2.48亿
10.60%2.48亿
9.26%2.4亿
8.31%2.29亿
总资产
-2.40%2.88亿
8.65%2.91亿
8.65%2.91亿
9.27%2.92亿
21.44%2.93亿
27.42%2.95亿
15.17%2.67亿
15.17%2.67亿
13.48%2.67亿
11.24%2.42亿
负债
流动负债
短期借款与资本租赁负债
-40.43%11.56万
-18.55%15.15万
-18.55%15.15万
-1.13%18.33万
16.44%21.16万
8.06%19.4万
13.93%18.6万
13.93%18.6万
19.49%18.54万
24.34%18.17万
-短期资本租赁负债
-40.43%11.56万
-18.55%15.15万
-18.55%15.15万
-1.13%18.33万
16.44%21.16万
8.06%19.4万
13.93%18.6万
13.93%18.6万
19.49%18.54万
24.34%18.17万
应付款项
----
-78.16%56.2万
-78.16%56.2万
----
----
-58.49%71.94万
60.33%257.32万
60.33%257.32万
11.49%291.82万
-18.32%219.39万
-应付账款
----
-78.16%56.2万
-78.16%56.2万
----
----
-58.49%71.94万
60.33%257.32万
60.33%257.32万
11.49%291.82万
-18.32%219.39万
应计费用
----
-1.40%152.93万
-1.40%152.93万
----
----
79.32%122.01万
46.24%155.1万
46.24%155.1万
-6.87%88.94万
62.19%107.7万
流动负债总额
-60.35%84.58万
-47.96%224.29万
-47.96%224.29万
-64.32%142.48万
-13.85%297.45万
-17.72%213.35万
52.37%431.03万
52.37%431.03万
7.12%399.3万
-1.24%345.27万
非流动负债
长期借款与租赁负债
-23.37%24.82万
-30.71%26.21万
-30.71%26.21万
-36.44%27.58万
-46.74%25.89万
-40.24%32.39万
-33.24%37.83万
-33.24%37.83万
-29.73%43.39万
-25.96%48.61万
-长期租赁负债
-23.37%24.82万
-30.71%26.21万
-30.71%26.21万
-36.44%27.58万
-46.74%25.89万
-40.24%32.39万
-33.24%37.83万
-33.24%37.83万
-29.73%43.39万
-25.96%48.61万
长期拨备
1.70%199.88万
1.68%201.88万
1.68%201.88万
-0.67%202.44万
67.39%194.13万
86.04%196.54万
105.76%198.55万
105.76%198.55万
107.61%203.81万
19.69%115.98万
递延负债
10.82%288.05万
9.62%283.06万
9.62%283.06万
--277.98万
--272.89万
--259.93万
--258.21万
--258.21万
----
----
非流动负债总额
4.89%512.75万
3.35%511.15万
3.35%511.15万
105.50%507.99万
199.48%492.92万
205.85%488.86万
222.93%494.59万
222.93%494.59万
54.58%247.19万
1.25%164.59万
负债总额
-14.93%597.34万
-20.55%735.44万
-20.55%735.44万
0.61%650.47万
55.02%790.36万
67.53%702.21万
112.28%925.61万
112.28%925.61万
21.37%646.5万
-0.45%509.86万
所有者权益
股本
0.39%3.65亿
10.06%3.64亿
10.06%3.64亿
11.03%3.64亿
20.44%3.64亿
24.61%3.63亿
13.86%3.31亿
13.86%3.31亿
12.89%3.28亿
11.62%3.02亿
-普通股股本
0.39%3.65亿
10.06%3.64亿
10.06%3.64亿
11.03%3.64亿
20.44%3.64亿
24.61%3.63亿
13.86%3.31亿
13.86%3.31亿
12.89%3.28亿
11.62%3.02亿
留存收益
-7.12%-9,206.2万
-9.86%-9,073.71万
-9.86%-9,073.71万
-12.95%-8,810.89万
-16.36%-8,839.59万
-15.46%-8,594.17万
-13.26%-8,259.64万
-13.26%-8,259.64万
-10.50%-7,800.65万
-10.89%-7,596.47万
不影响留存收益的损益
-12.94%887.98万
-1.22%985.15万
-1.22%985.15万
-12.96%912.02万
-3.48%980.16万
3.28%1,019.99万
-2.75%997.36万
-2.75%997.36万
5.24%1,047.83万
4.40%1,015.47万
股东权益总额
-2.09%2.82亿
9.70%2.83亿
9.70%2.83亿
9.49%2.85亿
20.72%2.86亿
26.68%2.88亿
13.31%2.58亿
13.31%2.58亿
13.30%2.6亿
11.53%2.37亿
总权益
-2.09%2.82亿
9.70%2.83亿
9.70%2.83亿
9.49%2.85亿
20.72%2.86亿
26.68%2.88亿
13.31%2.58亿
13.31%2.58亿
13.30%2.6亿
11.53%2.37亿
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
--
--
--
(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(Q2)2020/06/30
资产
流动资产
现金及现金等价物和短期投资 -59.73%1,749.14万21.62%2,266.46万21.62%2,266.46万5.56%2,707.29万195.43%3,538.51万846.56%4,343.25万156.67%1,863.56万156.67%1,863.56万71.33%2,564.76万134.03%1,197.74万
-现金和现金等价物 -59.73%1,749.14万21.62%2,266.46万21.62%2,266.46万5.56%2,707.29万195.43%3,538.51万846.56%4,343.25万156.67%1,863.56万156.67%1,863.56万71.33%2,564.76万134.03%1,197.74万
应收款项 -77.58%1.11万-90.78%1.06万-90.78%1.06万-81.70%1.13万-4.91%5.16万6.64%4.94万170.02%11.49万170.02%11.49万11.14%6.18万31.94%5.43万
-应收账款 -77.58%1.11万-90.78%1.06万-90.78%1.06万-81.70%1.13万-4.91%5.16万6.64%4.94万170.02%11.49万170.02%11.49万11.14%6.18万31.94%5.43万
预付费用 125.52%86.33万67.78%72.03万67.78%72.03万-15.32%81.57万-35.01%20.64万-9.02%38.28万-1.61%42.93万-1.61%42.93万74.33%96.33万-10.82%31.76万
受限制现金 ----------------------------------26.83万----
流动资产合计 -58.13%1,836.57万21.98%2,339.55万21.98%2,339.55万3.56%2,789.99万188.63%3,564.3万767.66%4,386.47万147.82%1,917.99万147.82%1,917.99万72.94%2,694.1万123.92%1,234.92万
非流动资产
固定资产净额 7.45%2.66亿7.73%2.64亿7.73%2.64亿10.12%2.6亿12.04%2.54亿10.48%2.47亿10.08%2.45亿10.08%2.45亿8.65%2.36亿8.32%2.27亿
-固定资产 7.52%2.67亿7.80%2.64亿7.80%2.64亿9.94%2.61亿11.85%2.55亿10.32%2.48亿9.93%2.45亿9.93%2.45亿8.79%2.37亿8.47%2.28亿
-累计折旧 -43.83%-65.97万-49.65%-61.01万-49.65%-61.01万38.31%-56.06万38.64%-50.96万38.76%-45.87万38.30%-40.77万38.30%-40.77万-59.36%-90.87万-73.14%-83.05万
其他非流动资产 -0.62%343.54万-0.42%348.49万-0.42%348.49万-3.51%350.21万53.12%340.76万49.30%345.69万64.88%349.96万64.88%349.96万71.96%362.94万6.57%222.55万
非流动资产合计 7.34%2.69亿7.62%2.67亿7.62%2.67亿9.92%2.64亿12.44%2.58亿10.88%2.51亿10.60%2.48亿10.60%2.48亿9.26%2.4亿8.31%2.29亿
总资产 -2.40%2.88亿8.65%2.91亿8.65%2.91亿9.27%2.92亿21.44%2.93亿27.42%2.95亿15.17%2.67亿15.17%2.67亿13.48%2.67亿11.24%2.42亿
负债
流动负债
短期借款与资本租赁负债 -40.43%11.56万-18.55%15.15万-18.55%15.15万-1.13%18.33万16.44%21.16万8.06%19.4万13.93%18.6万13.93%18.6万19.49%18.54万24.34%18.17万
-短期资本租赁负债 -40.43%11.56万-18.55%15.15万-18.55%15.15万-1.13%18.33万16.44%21.16万8.06%19.4万13.93%18.6万13.93%18.6万19.49%18.54万24.34%18.17万
应付款项 -----78.16%56.2万-78.16%56.2万---------58.49%71.94万60.33%257.32万60.33%257.32万11.49%291.82万-18.32%219.39万
-应付账款 -----78.16%56.2万-78.16%56.2万---------58.49%71.94万60.33%257.32万60.33%257.32万11.49%291.82万-18.32%219.39万
应计费用 -----1.40%152.93万-1.40%152.93万--------79.32%122.01万46.24%155.1万46.24%155.1万-6.87%88.94万62.19%107.7万
流动负债总额 -60.35%84.58万-47.96%224.29万-47.96%224.29万-64.32%142.48万-13.85%297.45万-17.72%213.35万52.37%431.03万52.37%431.03万7.12%399.3万-1.24%345.27万
非流动负债
长期借款与租赁负债 -23.37%24.82万-30.71%26.21万-30.71%26.21万-36.44%27.58万-46.74%25.89万-40.24%32.39万-33.24%37.83万-33.24%37.83万-29.73%43.39万-25.96%48.61万
-长期租赁负债 -23.37%24.82万-30.71%26.21万-30.71%26.21万-36.44%27.58万-46.74%25.89万-40.24%32.39万-33.24%37.83万-33.24%37.83万-29.73%43.39万-25.96%48.61万
长期拨备 1.70%199.88万1.68%201.88万1.68%201.88万-0.67%202.44万67.39%194.13万86.04%196.54万105.76%198.55万105.76%198.55万107.61%203.81万19.69%115.98万
递延负债 10.82%288.05万9.62%283.06万9.62%283.06万--277.98万--272.89万--259.93万--258.21万--258.21万--------
非流动负债总额 4.89%512.75万3.35%511.15万3.35%511.15万105.50%507.99万199.48%492.92万205.85%488.86万222.93%494.59万222.93%494.59万54.58%247.19万1.25%164.59万
负债总额 -14.93%597.34万-20.55%735.44万-20.55%735.44万0.61%650.47万55.02%790.36万67.53%702.21万112.28%925.61万112.28%925.61万21.37%646.5万-0.45%509.86万
所有者权益
股本 0.39%3.65亿10.06%3.64亿10.06%3.64亿11.03%3.64亿20.44%3.64亿24.61%3.63亿13.86%3.31亿13.86%3.31亿12.89%3.28亿11.62%3.02亿
-普通股股本 0.39%3.65亿10.06%3.64亿10.06%3.64亿11.03%3.64亿20.44%3.64亿24.61%3.63亿13.86%3.31亿13.86%3.31亿12.89%3.28亿11.62%3.02亿
留存收益 -7.12%-9,206.2万-9.86%-9,073.71万-9.86%-9,073.71万-12.95%-8,810.89万-16.36%-8,839.59万-15.46%-8,594.17万-13.26%-8,259.64万-13.26%-8,259.64万-10.50%-7,800.65万-10.89%-7,596.47万
不影响留存收益的损益 -12.94%887.98万-1.22%985.15万-1.22%985.15万-12.96%912.02万-3.48%980.16万3.28%1,019.99万-2.75%997.36万-2.75%997.36万5.24%1,047.83万4.40%1,015.47万
股东权益总额 -2.09%2.82亿9.70%2.83亿9.70%2.83亿9.49%2.85亿20.72%2.86亿26.68%2.88亿13.31%2.58亿13.31%2.58亿13.30%2.6亿11.53%2.37亿
总权益 -2.09%2.82亿9.70%2.83亿9.70%2.83亿9.49%2.85亿20.72%2.86亿26.68%2.88亿13.31%2.58亿13.31%2.58亿13.30%2.6亿11.53%2.37亿
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。

加拿大市场投资机会
股息之王 股息之王

加拿大的股息之王是指那些连续多年增加股息的公司,这不仅反映了其强大的商业模式和稳健的财务状况,也表明它们在市场中可能表现优于平均水平,并且波动性较小。 加拿大的股息之王是指那些连续多年增加股息的公司,这不仅反映了其强大的商业模式和稳健的财务状况,也表明它们在市场中可能表现优于平均水平,并且波动性较小。