加拿大市场个股详情

IAU i-80 Gold Corp

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  • 1.080
  • -0.050-4.42%
延时15分钟行情已收盘 08/09 16:00 (美东)
4.16亿总市值-3323市盈率TTM

i-80 Gold Corp关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q2)2022/06/30
资产
流动资产
现金及现金等价物和短期投资
-77.00%1,309万
-66.28%1,627.7万
-66.28%1,627.7万
-50.34%3,773.5万
-80.83%1,935.5万
-12.52%5,691万
-44.93%4,827.6万
-44.93%4,827.6万
47.18%7,598.7万
44.07%1.01亿
-现金和现金等价物
-77.00%1,309万
-66.28%1,627.7万
-66.28%1,627.7万
-50.34%3,773.5万
-80.83%1,935.5万
-12.52%5,691万
-44.93%4,827.6万
-44.93%4,827.6万
47.18%7,598.7万
44.07%1.01亿
-应收账款
290.77%207.5万
592.78%431.6万
592.78%431.6万
53.16%77.5万
-50.88%161.9万
4.53%53.1万
58.52%62.3万
58.52%62.3万
--50.6万
--329.6万
流动资产合计
-54.60%3,961.4万
-48.50%3,981.3万
-48.50%3,981.3万
-38.89%6,755.1万
-65.38%4,976.6万
-13.28%8,725.8万
-36.37%7,730.9万
-36.37%7,730.9万
3.09%1.11亿
84.90%1.44亿
非流动资产
-累计折旧
-31.25%-1,672.6万
-38.80%-1,597.9万
-38.80%-1,597.9万
-46.66%-1,500万
-71.33%-1,418.4万
-93.50%-1,274.4万
-114.90%-1,151.2万
-114.90%-1,151.2万
-1,324.51%-1,022.8万
91.68%-827.9万
投资和预付款
15.06%1.29亿
9.96%1.2亿
9.96%1.2亿
--1.2亿
35.36%1.16亿
--1.12亿
42.32%1.09亿
42.32%1.09亿
----
--8,585.8万
-长期股权投资
-35.47%8,925.3万
56.82%1.48亿
56.82%1.48亿
52.24%1.56亿
34.71%1.38亿
219.08%1.38亿
128.59%9,458.8万
128.59%9,458.8万
277,459.46%1.03亿
11,582.92%1.03亿
监管资产
290.77%207.5万
592.78%431.6万
592.78%431.6万
53.16%77.5万
-50.88%161.9万
4.53%53.1万
58.52%62.3万
58.52%62.3万
-65.86%50.6万
112.78%329.6万
非流动递延资产
----
----
----
----
----
----
----
----
----
--142.7万
负债
流动负债
短期借款与资本租赁负债
530.41%9,908.8万
50.03%3,193.9万
50.03%3,193.9万
62.44%1,984.5万
51.53%1,697.6万
20,581.58%1,571.8万
36,603.45%2,128.8万
36,603.45%2,128.8万
--1,221.7万
18,571.67%1,120.3万
-短期借款
530.41%9,908.8万
48.68%3,165万
48.68%3,165万
62.44%1,984.5万
51.53%1,697.6万
20,581.58%1,571.8万
36,603.45%2,128.8万
36,603.45%2,128.8万
--1,221.7万
--1,120.3万
-短期资本租赁负债
----
--28.9万
--28.9万
----
----
----
----
----
----
----
-应付账款
-45.23%490.5万
20.97%1,284.9万
20.97%1,284.9万
190.46%1,032万
297.38%1,184.6万
235.77%895.5万
24.48%1,062.2万
24.48%1,062.2万
201.10%355.3万
-80.84%298.1万
-应付税费
-34.73%1.64亿
6.14%2.37亿
6.14%2.37亿
-0.99%2.3亿
-1.74%2.38亿
14.67%2.51亿
1.57%2.23亿
1.57%2.23亿
1,156.99%2.32亿
1,124.59%2.43亿
-其他应付款
13.72%3,936.4万
27.87%4,525.3万
27.87%4,525.3万
1.23%4,757.3万
19.70%4,943.9万
12.46%3,461.4万
14.99%3,538.9万
14.99%3,538.9万
7,732.83%4,699.7万
348.59%4,130.2万
应计费用
114.80%1,553.2万
116.77%1,433.3万
116.77%1,433.3万
38.93%896.9万
60.75%1,044.7万
58.78%723.1万
19.50%661.2万
19.50%661.2万
73.18%645.6万
330.68%649.9万
现行拨备
-27.70%67.6万
-42.60%54.3万
-42.60%54.3万
--84.7万
--108.7万
--93.5万
--94.6万
--94.6万
----
----
流动负债总额
148.35%1.31亿
-28.95%6,085万
-28.95%6,085万
23.43%6,028万
36.29%6,405.8万
59.20%5,258.4万
186.27%8,564.9万
186.27%8,564.9万
276.95%4,883.7万
172.47%4,700.1万
非流动负债
-长期借款
----
--28.3万
--28.3万
----
----
----
----
----
----
----
长期应计费用
21.18%5.19亿
23.43%5.19亿
23.43%5.19亿
-3.22%5.04亿
20.67%5.13亿
-15.54%4.28亿
-1.34%4.21亿
-1.34%4.21亿
297.78%5.2亿
155.87%4.25亿
长期拨备
-35.47%8,925.3万
56.52%1.48亿
56.52%1.48亿
52.24%1.56亿
34.71%1.38亿
223.32%1.38亿
128.59%9,458.8万
128.59%9,458.8万
--1.03亿
11,582.92%1.03亿
非流动负债总额
-3.06%2.95亿
-3.60%2.97亿
-3.60%2.97亿
3.25%2.9亿
4.43%3.03亿
20.50%3.04亿
23.73%3.09亿
23.73%3.09亿
794.44%2.81亿
681.51%2.9亿
所有者权益
股本
37.21%5.11亿
38.03%4.89亿
38.03%4.89亿
35.43%4.79亿
28.05%4.53亿
5.43%3.73亿
1.22%3.54亿
1.22%3.54亿
41.53%3.54亿
41.64%3.54亿
-普通股股本
37.21%5.11亿
38.03%4.89亿
38.03%4.89亿
35.43%4.79亿
28.05%4.53亿
5.43%3.73亿
1.22%3.54亿
1.22%3.54亿
41.53%3.54亿
41.64%3.54亿
不影响留存收益的损益
19.53%1,898.3万
28.38%1,931.1万
28.38%1,931.1万
28.28%1,900万
28.84%1,868万
10.58%1,588.1万
9.93%1,504.2万
9.93%1,504.2万
10.60%1,481.1万
11.56%1,449.9万
其他股本权益
-55.69%275.4万
-49.01%320.2万
-49.01%320.2万
-17.66%456万
-19.63%327.9万
134.53%621.5万
136.98%628万
136.98%628万
736.56%553.8万
516.31%408万
总权益
9.77%7.27亿
12.73%7.24亿
12.73%7.24亿
8.92%7.38亿
4.44%7.28亿
3.48%6.62亿
-2.19%6.42亿
-2.19%6.42亿
184.06%6.78亿
175.58%6.97亿
(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(Q2)2022/06/30
资产
流动资产
现金及现金等价物和短期投资 -77.00%1,309万-66.28%1,627.7万-66.28%1,627.7万-50.34%3,773.5万-80.83%1,935.5万-12.52%5,691万-44.93%4,827.6万-44.93%4,827.6万47.18%7,598.7万44.07%1.01亿
-现金和现金等价物 -77.00%1,309万-66.28%1,627.7万-66.28%1,627.7万-50.34%3,773.5万-80.83%1,935.5万-12.52%5,691万-44.93%4,827.6万-44.93%4,827.6万47.18%7,598.7万44.07%1.01亿
-应收账款 290.77%207.5万592.78%431.6万592.78%431.6万53.16%77.5万-50.88%161.9万4.53%53.1万58.52%62.3万58.52%62.3万--50.6万--329.6万
流动资产合计 -54.60%3,961.4万-48.50%3,981.3万-48.50%3,981.3万-38.89%6,755.1万-65.38%4,976.6万-13.28%8,725.8万-36.37%7,730.9万-36.37%7,730.9万3.09%1.11亿84.90%1.44亿
非流动资产
-累计折旧 -31.25%-1,672.6万-38.80%-1,597.9万-38.80%-1,597.9万-46.66%-1,500万-71.33%-1,418.4万-93.50%-1,274.4万-114.90%-1,151.2万-114.90%-1,151.2万-1,324.51%-1,022.8万91.68%-827.9万
投资和预付款 15.06%1.29亿9.96%1.2亿9.96%1.2亿--1.2亿35.36%1.16亿--1.12亿42.32%1.09亿42.32%1.09亿------8,585.8万
-长期股权投资 -35.47%8,925.3万56.82%1.48亿56.82%1.48亿52.24%1.56亿34.71%1.38亿219.08%1.38亿128.59%9,458.8万128.59%9,458.8万277,459.46%1.03亿11,582.92%1.03亿
监管资产 290.77%207.5万592.78%431.6万592.78%431.6万53.16%77.5万-50.88%161.9万4.53%53.1万58.52%62.3万58.52%62.3万-65.86%50.6万112.78%329.6万
非流动递延资产 --------------------------------------142.7万
负债
流动负债
短期借款与资本租赁负债 530.41%9,908.8万50.03%3,193.9万50.03%3,193.9万62.44%1,984.5万51.53%1,697.6万20,581.58%1,571.8万36,603.45%2,128.8万36,603.45%2,128.8万--1,221.7万18,571.67%1,120.3万
-短期借款 530.41%9,908.8万48.68%3,165万48.68%3,165万62.44%1,984.5万51.53%1,697.6万20,581.58%1,571.8万36,603.45%2,128.8万36,603.45%2,128.8万--1,221.7万--1,120.3万
-短期资本租赁负债 ------28.9万--28.9万----------------------------
-应付账款 -45.23%490.5万20.97%1,284.9万20.97%1,284.9万190.46%1,032万297.38%1,184.6万235.77%895.5万24.48%1,062.2万24.48%1,062.2万201.10%355.3万-80.84%298.1万
-应付税费 -34.73%1.64亿6.14%2.37亿6.14%2.37亿-0.99%2.3亿-1.74%2.38亿14.67%2.51亿1.57%2.23亿1.57%2.23亿1,156.99%2.32亿1,124.59%2.43亿
-其他应付款 13.72%3,936.4万27.87%4,525.3万27.87%4,525.3万1.23%4,757.3万19.70%4,943.9万12.46%3,461.4万14.99%3,538.9万14.99%3,538.9万7,732.83%4,699.7万348.59%4,130.2万
应计费用 114.80%1,553.2万116.77%1,433.3万116.77%1,433.3万38.93%896.9万60.75%1,044.7万58.78%723.1万19.50%661.2万19.50%661.2万73.18%645.6万330.68%649.9万
现行拨备 -27.70%67.6万-42.60%54.3万-42.60%54.3万--84.7万--108.7万--93.5万--94.6万--94.6万--------
流动负债总额 148.35%1.31亿-28.95%6,085万-28.95%6,085万23.43%6,028万36.29%6,405.8万59.20%5,258.4万186.27%8,564.9万186.27%8,564.9万276.95%4,883.7万172.47%4,700.1万
非流动负债
-长期借款 ------28.3万--28.3万----------------------------
长期应计费用 21.18%5.19亿23.43%5.19亿23.43%5.19亿-3.22%5.04亿20.67%5.13亿-15.54%4.28亿-1.34%4.21亿-1.34%4.21亿297.78%5.2亿155.87%4.25亿
长期拨备 -35.47%8,925.3万56.52%1.48亿56.52%1.48亿52.24%1.56亿34.71%1.38亿223.32%1.38亿128.59%9,458.8万128.59%9,458.8万--1.03亿11,582.92%1.03亿
非流动负债总额 -3.06%2.95亿-3.60%2.97亿-3.60%2.97亿3.25%2.9亿4.43%3.03亿20.50%3.04亿23.73%3.09亿23.73%3.09亿794.44%2.81亿681.51%2.9亿
所有者权益
股本 37.21%5.11亿38.03%4.89亿38.03%4.89亿35.43%4.79亿28.05%4.53亿5.43%3.73亿1.22%3.54亿1.22%3.54亿41.53%3.54亿41.64%3.54亿
-普通股股本 37.21%5.11亿38.03%4.89亿38.03%4.89亿35.43%4.79亿28.05%4.53亿5.43%3.73亿1.22%3.54亿1.22%3.54亿41.53%3.54亿41.64%3.54亿
不影响留存收益的损益 19.53%1,898.3万28.38%1,931.1万28.38%1,931.1万28.28%1,900万28.84%1,868万10.58%1,588.1万9.93%1,504.2万9.93%1,504.2万10.60%1,481.1万11.56%1,449.9万
其他股本权益 -55.69%275.4万-49.01%320.2万-49.01%320.2万-17.66%456万-19.63%327.9万134.53%621.5万136.98%628万136.98%628万736.56%553.8万516.31%408万
总权益 9.77%7.27亿12.73%7.24亿12.73%7.24亿8.92%7.38亿4.44%7.28亿3.48%6.62亿-2.19%6.42亿-2.19%6.42亿184.06%6.78亿175.58%6.97亿

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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