加拿大市场个股详情

INCR.U Intercure Ltd

添加自选
  • 1.530
  • 0.0000.00%
延时15分钟行情交易中 08/14 16:00 (美东)
6972.62万总市值8.95市盈率TTM

Intercure Ltd关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q1)2022/03/31
(FY)2021/12/31
(Q4)2021/12/31
(Q3)2021/09/30
(Q2)2021/06/30
(Q1)2021/03/31
资产
流动资产
现金及现金等价物和短期投资
-49.28%1.07亿
18.44%2.33亿
18.44%2.33亿
2.85%2.15亿
411.77%2.1亿
413.66%1.97亿
413.66%1.97亿
336.06%2.09亿
2,187.89%2.01亿
134.92%4,106万
-现金和现金等价物
-49.31%1.06亿
18.54%2.33亿
18.54%2.33亿
3.00%2.15亿
415.41%2.1亿
417.89%1.96亿
417.89%1.96亿
337.19%2.09亿
2,235.19%2.01亿
135.02%4,071.5万
-短期投资
-26.07%20.7万
-37.88%20.5万
-37.88%20.5万
-61.17%20万
-18.84%28万
-12.23%33万
-12.23%33万
112.81%51.5万
153.50%50.7万
124.03%34.5万
应收款项
242.01%1.69亿
246.24%1.3亿
246.24%1.3亿
127.48%1.15亿
133.16%4,948.3万
144.40%3,753.2万
144.40%3,753.2万
210.15%5,051.8万
176.08%4,195.1万
155.82%2,122.3万
-应收账款
188.29%5,811.4万
112.09%3,691.9万
112.09%3,691.9万
58.94%4,022.7万
26.92%2,015.8万
39.64%1,740.7万
39.64%1,740.7万
92.27%2,531万
84.14%2,142.1万
225.72%1,588.2万
-应收贷款
----
1,275.04%6,435.2万
1,275.04%6,435.2万
----
----
184.84%468万
184.84%468万
----
----
----
-应收关联方款项
----
--1,608.7万
--1,608.7万
----
----
--0
--0
----
----
----
-其他应收款
278.94%1.11亿
-18.47%1,259.2万
-18.47%1,259.2万
196.29%7,468.9万
449.05%2,932.5万
1,137.58%1,544.5万
1,137.58%1,544.5万
706.91%2,520.8万
476.36%2,053万
56.17%534.1万
存货
46.17%1.36亿
86.36%1.26亿
86.36%1.26亿
161.64%1.35亿
353.50%9,334.8万
205.73%6,787.9万
205.73%6,787.9万
224.51%5,171.1万
278.50%4,325.9万
160.76%2,058.4万
预付费用
----
-66.89%434.4万
-66.89%434.4万
----
----
1,562.74%1,311.9万
1,562.74%1,311.9万
----
----
----
受限制现金
-35.05%1,377.5万
-34.04%1,390.7万
-34.04%1,390.7万
16,080.67%2,427.1万
52,922.50%2,120.9万
52,607.50%2,108.3万
52,607.50%2,108.3万
275.00%15万
-99.52%5.1万
0.00%4万
流动资产合计
13.86%4.26亿
50.97%5.07亿
50.97%5.07亿
57.10%4.9亿
351.31%3.74亿
338.55%3.36亿
338.55%3.36亿
288.36%3.12亿
523.63%2.87亿
145.96%8,290.7万
非流动资产
固定资产净额
13.91%1.01亿
19.22%1.03亿
19.22%1.03亿
14.80%9,470.3万
39.81%8,897.8万
61.79%8,650.9万
61.79%8,650.9万
65.60%8,249.7万
59.27%6,902.8万
65.82%6,364.3万
-固定资产
----
28.90%1.26亿
28.90%1.26亿
----
----
70.24%9,799.7万
70.24%9,799.7万
----
----
----
-累计折旧
----
-101.84%-2,318.7万
-101.84%-2,318.7万
----
----
-180.54%-1,148.8万
-180.54%-1,148.8万
----
----
----
投资和预付款
1,559.45%4,256.5万
1,559.45%4,256.5万
1,559.45%4,256.5万
-29.08%256.5万
-23.11%256.5万
-18.34%256.5万
-18.34%256.5万
477.80%361.7万
472.21%333.6万
472.21%333.6万
-长期股权投资
--4,000万
--4,000万
--4,000万
----
----
--0
--0
----
----
----
-金融资产投资
0.00%256.5万
0.00%256.5万
0.00%256.5万
-29.08%256.5万
-23.11%256.5万
-18.34%256.5万
-18.34%256.5万
--361.7万
472.21%333.6万
472.21%333.6万
-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
0.00%256.5万
0.00%256.5万
0.00%256.5万
-29.08%256.5万
-23.11%256.5万
-18.34%256.5万
-18.34%256.5万
--361.7万
472.21%333.6万
472.21%333.6万
商誉及其他无形资产
3.61%2.84亿
5.92%2.84亿
5.92%2.84亿
11.97%2.85亿
44.28%2.74亿
41.13%2.68亿
41.13%2.68亿
33.99%2.55亿
34.89%2.27亿
13.18%1.9亿
-商誉
3.61%2.84亿
5.92%2.84亿
5.92%2.84亿
11.97%2.85亿
44.28%2.74亿
41.13%2.68亿
41.13%2.68亿
33.99%2.55亿
34.89%2.27亿
13.18%1.9亿
非流动递延资产
477.08%2,154.8万
583.28%2,063.5万
583.28%2,063.5万
-16.66%240.7万
29.29%373.4万
3.99%302万
3.99%302万
--288.8万
--288.8万
--288.8万
非流动资产合计
21.67%4.5亿
25.01%4.51亿
25.01%4.51亿
11.97%3.85亿
42.16%3.7亿
44.37%3.6亿
44.37%3.6亿
42.90%3.44亿
42.44%3.02亿
25.63%2.6亿
总资产
17.74%8.76亿
37.54%9.58亿
37.54%9.58亿
33.44%8.75亿
116.91%7.44亿
113.49%6.97亿
113.49%6.97亿
104.33%6.56亿
128.22%5.88亿
42.49%3.43亿
负债
流动负债
短期借款与资本租赁负债
-16.11%7,671.5万
75.13%1.32亿
75.13%1.32亿
147.70%1.36亿
3,661.83%9,145万
2,864.24%7,558.8万
2,864.24%7,558.8万
276.28%5,499.7万
-10.52%1,292.3万
-83.24%243.1万
-短期借款
-16.11%7,671.5万
77.12%1.28亿
77.12%1.28亿
147.70%1.36亿
3,661.83%9,145万
3,875.85%7,228.1万
3,875.85%7,228.1万
276.28%5,499.7万
-10.52%1,292.3万
-83.24%243.1万
-短期资本租赁负债
----
31.51%434.9万
31.51%434.9万
----
----
351.78%330.7万
351.78%330.7万
----
----
----
应付款项
27.86%1.49亿
98.38%1.47亿
98.38%1.47亿
23.84%1.35亿
257.97%1.16亿
226.68%7,426.2万
226.68%7,426.2万
432.29%1.09亿
419.98%7,774.2万
207.23%3,250.5万
-应付账款
18.75%9,896.4万
95.53%1.26亿
95.53%1.26亿
83.82%9,779.6万
316.94%8,333.8万
246.22%6,447.4万
246.22%6,447.4万
247.22%5,320.1万
286.54%4,076.8万
421.34%1,998.8万
-其他应付款
50.85%4,981.2万
117.13%2,125.3万
117.13%2,125.3万
-32.95%3,767.3万
163.81%3,302.1万
138.15%978.8万
138.15%978.8万
974.56%5,618.9万
739.55%3,697.4万
85.55%1,251.7万
应计费用
----
-5.47%1,058.9万
-5.47%1,058.9万
----
----
226.68%1,120.2万
226.68%1,120.2万
----
----
----
递延负债
----
-27.14%1,220.6万
-27.14%1,220.6万
----
----
1,336.79%1,675.3万
1,336.79%1,675.3万
----
----
----
其他流动负债
-49.62%791.9万
-35.17%1,023万
-35.17%1,023万
--2,364.8万
--1,572万
--1,578万
--1,578万
----
----
----
流动负债总额
4.42%2.33亿
61.54%3.13亿
61.54%3.13亿
79.67%2.95亿
539.82%2.24亿
547.94%1.94亿
547.94%1.94亿
367.45%1.64亿
127.26%9,066.5万
39.26%3,493.6万
非流动负债
长期借款与租赁负债
236.21%1.18亿
268.46%1.23亿
268.46%1.23亿
165.60%6,500.6万
297.28%3,521.9万
707.07%3,332.4万
707.07%3,332.4万
507.47%2,447.5万
1,544.24%3,939.6万
244.27%886.5万
-长期借款
561.44%9,596.2万
733.97%9,968.4万
733.97%9,968.4万
264.76%4,559.1万
163.83%1,450.8万
1,800.32%1,195.3万
1,800.32%1,195.3万
3,958.12%1,249.9万
10,213.96%3,620.2万
1,244.50%549.9万
-长期租赁负债
8.38%2,244.7万
8.10%2,310.2万
8.10%2,310.2万
62.12%1,941.5万
515.30%2,071.1万
510.60%2,137.1万
510.60%2,137.1万
221.85%1,197.6万
56.19%319.4万
55.40%336.6万
员工福利
85.68%88.2万
357.59%102.5万
357.59%102.5万
544.23%100.5万
206.45%47.5万
44.52%22.4万
44.52%22.4万
1.30%15.6万
-14.29%15.6万
-17.55%15.5万
其他非流动负债
----
----
----
----
----
----
----
--1,646.8万
--1,375万
---3,000
非流动负债总额
234.20%1.19亿
269.06%1.24亿
269.06%1.24亿
60.61%6,601.1万
295.85%3,569.4万
683.10%3,354.8万
683.10%3,354.8万
882.52%4,109.9万
1,967.57%5,330.2万
226.35%901.7万
负债总额
36.06%3.53亿
92.19%4.37亿
92.19%4.37亿
75.86%3.61亿
489.77%2.59亿
564.89%2.27亿
564.89%2.27亿
422.20%2.05亿
238.97%1.44亿
57.82%4,395.3万
所有者权益
股本
1.52%6.33亿
1.36%6.32亿
1.36%6.32亿
4.55%6.29亿
36.89%6.24亿
37.88%6.24亿
37.88%6.24亿
33.58%6.02亿
45.19%5.96亿
12.09%4.56亿
-普通股股本
1.52%6.33亿
1.36%6.32亿
1.36%6.32亿
4.55%6.29亿
36.89%6.24亿
37.88%6.24亿
37.88%6.24亿
33.58%6.02亿
45.19%5.96亿
12.09%4.56亿
留存收益
18.29%-1.41亿
24.04%-1.42亿
24.04%-1.42亿
18.10%-1.5亿
8.19%-1.73亿
2.45%-1.86亿
2.45%-1.86亿
8.48%-1.83亿
8.77%-1.82亿
4.89%-1.89亿
不影响留存收益的损益
0.00%238.8万
0.00%238.8万
0.00%238.8万
0.00%238.8万
0.00%238.8万
0.00%238.8万
0.00%238.8万
0.00%238.8万
0.00%238.8万
0.00%238.8万
其他股本权益
0.00%854.1万
0.00%854.1万
0.00%854.1万
-5.67%854.1万
-22.47%854.1万
-22.47%854.1万
-22.47%854.1万
-17.82%905.4万
745.80%1,026.8万
807.50%1,101.7万
股东权益总额
8.91%5.03亿
11.89%5.01亿
11.89%5.01亿
13.97%4.9亿
64.53%4.62亿
63.21%4.48亿
63.21%4.48亿
63.10%4.3亿
98.73%4.27亿
32.38%2.81亿
非控制性权益
-11.71%2,005万
-5.67%2,017.2万
-5.67%2,017.2万
16.20%2,344.4万
24.47%2,270.9万
21.48%2,138.4万
21.48%2,138.4万
12.75%2,017.5万
2,276.62%1,799.1万
2,310.17%1,824.5万
总权益
7.94%5.23亿
11.09%5.21亿
11.09%5.21亿
14.07%5.13亿
62.09%4.85亿
60.70%4.69亿
60.70%4.69亿
59.90%4.5亿
106.38%4.45亿
40.48%2.99亿
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)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q1)2022/03/31(FY)2021/12/31(Q4)2021/12/31(Q3)2021/09/30(Q2)2021/06/30(Q1)2021/03/31
资产
流动资产
现金及现金等价物和短期投资 -49.28%1.07亿18.44%2.33亿18.44%2.33亿2.85%2.15亿411.77%2.1亿413.66%1.97亿413.66%1.97亿336.06%2.09亿2,187.89%2.01亿134.92%4,106万
-现金和现金等价物 -49.31%1.06亿18.54%2.33亿18.54%2.33亿3.00%2.15亿415.41%2.1亿417.89%1.96亿417.89%1.96亿337.19%2.09亿2,235.19%2.01亿135.02%4,071.5万
-短期投资 -26.07%20.7万-37.88%20.5万-37.88%20.5万-61.17%20万-18.84%28万-12.23%33万-12.23%33万112.81%51.5万153.50%50.7万124.03%34.5万
应收款项 242.01%1.69亿246.24%1.3亿246.24%1.3亿127.48%1.15亿133.16%4,948.3万144.40%3,753.2万144.40%3,753.2万210.15%5,051.8万176.08%4,195.1万155.82%2,122.3万
-应收账款 188.29%5,811.4万112.09%3,691.9万112.09%3,691.9万58.94%4,022.7万26.92%2,015.8万39.64%1,740.7万39.64%1,740.7万92.27%2,531万84.14%2,142.1万225.72%1,588.2万
-应收贷款 ----1,275.04%6,435.2万1,275.04%6,435.2万--------184.84%468万184.84%468万------------
-应收关联方款项 ------1,608.7万--1,608.7万----------0--0------------
-其他应收款 278.94%1.11亿-18.47%1,259.2万-18.47%1,259.2万196.29%7,468.9万449.05%2,932.5万1,137.58%1,544.5万1,137.58%1,544.5万706.91%2,520.8万476.36%2,053万56.17%534.1万
存货 46.17%1.36亿86.36%1.26亿86.36%1.26亿161.64%1.35亿353.50%9,334.8万205.73%6,787.9万205.73%6,787.9万224.51%5,171.1万278.50%4,325.9万160.76%2,058.4万
预付费用 -----66.89%434.4万-66.89%434.4万--------1,562.74%1,311.9万1,562.74%1,311.9万------------
受限制现金 -35.05%1,377.5万-34.04%1,390.7万-34.04%1,390.7万16,080.67%2,427.1万52,922.50%2,120.9万52,607.50%2,108.3万52,607.50%2,108.3万275.00%15万-99.52%5.1万0.00%4万
流动资产合计 13.86%4.26亿50.97%5.07亿50.97%5.07亿57.10%4.9亿351.31%3.74亿338.55%3.36亿338.55%3.36亿288.36%3.12亿523.63%2.87亿145.96%8,290.7万
非流动资产
固定资产净额 13.91%1.01亿19.22%1.03亿19.22%1.03亿14.80%9,470.3万39.81%8,897.8万61.79%8,650.9万61.79%8,650.9万65.60%8,249.7万59.27%6,902.8万65.82%6,364.3万
-固定资产 ----28.90%1.26亿28.90%1.26亿--------70.24%9,799.7万70.24%9,799.7万------------
-累计折旧 -----101.84%-2,318.7万-101.84%-2,318.7万---------180.54%-1,148.8万-180.54%-1,148.8万------------
投资和预付款 1,559.45%4,256.5万1,559.45%4,256.5万1,559.45%4,256.5万-29.08%256.5万-23.11%256.5万-18.34%256.5万-18.34%256.5万477.80%361.7万472.21%333.6万472.21%333.6万
-长期股权投资 --4,000万--4,000万--4,000万----------0--0------------
-金融资产投资 0.00%256.5万0.00%256.5万0.00%256.5万-29.08%256.5万-23.11%256.5万-18.34%256.5万-18.34%256.5万--361.7万472.21%333.6万472.21%333.6万
-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 0.00%256.5万0.00%256.5万0.00%256.5万-29.08%256.5万-23.11%256.5万-18.34%256.5万-18.34%256.5万--361.7万472.21%333.6万472.21%333.6万
商誉及其他无形资产 3.61%2.84亿5.92%2.84亿5.92%2.84亿11.97%2.85亿44.28%2.74亿41.13%2.68亿41.13%2.68亿33.99%2.55亿34.89%2.27亿13.18%1.9亿
-商誉 3.61%2.84亿5.92%2.84亿5.92%2.84亿11.97%2.85亿44.28%2.74亿41.13%2.68亿41.13%2.68亿33.99%2.55亿34.89%2.27亿13.18%1.9亿
非流动递延资产 477.08%2,154.8万583.28%2,063.5万583.28%2,063.5万-16.66%240.7万29.29%373.4万3.99%302万3.99%302万--288.8万--288.8万--288.8万
非流动资产合计 21.67%4.5亿25.01%4.51亿25.01%4.51亿11.97%3.85亿42.16%3.7亿44.37%3.6亿44.37%3.6亿42.90%3.44亿42.44%3.02亿25.63%2.6亿
总资产 17.74%8.76亿37.54%9.58亿37.54%9.58亿33.44%8.75亿116.91%7.44亿113.49%6.97亿113.49%6.97亿104.33%6.56亿128.22%5.88亿42.49%3.43亿
负债
流动负债
短期借款与资本租赁负债 -16.11%7,671.5万75.13%1.32亿75.13%1.32亿147.70%1.36亿3,661.83%9,145万2,864.24%7,558.8万2,864.24%7,558.8万276.28%5,499.7万-10.52%1,292.3万-83.24%243.1万
-短期借款 -16.11%7,671.5万77.12%1.28亿77.12%1.28亿147.70%1.36亿3,661.83%9,145万3,875.85%7,228.1万3,875.85%7,228.1万276.28%5,499.7万-10.52%1,292.3万-83.24%243.1万
-短期资本租赁负债 ----31.51%434.9万31.51%434.9万--------351.78%330.7万351.78%330.7万------------
应付款项 27.86%1.49亿98.38%1.47亿98.38%1.47亿23.84%1.35亿257.97%1.16亿226.68%7,426.2万226.68%7,426.2万432.29%1.09亿419.98%7,774.2万207.23%3,250.5万
-应付账款 18.75%9,896.4万95.53%1.26亿95.53%1.26亿83.82%9,779.6万316.94%8,333.8万246.22%6,447.4万246.22%6,447.4万247.22%5,320.1万286.54%4,076.8万421.34%1,998.8万
-其他应付款 50.85%4,981.2万117.13%2,125.3万117.13%2,125.3万-32.95%3,767.3万163.81%3,302.1万138.15%978.8万138.15%978.8万974.56%5,618.9万739.55%3,697.4万85.55%1,251.7万
应计费用 -----5.47%1,058.9万-5.47%1,058.9万--------226.68%1,120.2万226.68%1,120.2万------------
递延负债 -----27.14%1,220.6万-27.14%1,220.6万--------1,336.79%1,675.3万1,336.79%1,675.3万------------
其他流动负债 -49.62%791.9万-35.17%1,023万-35.17%1,023万--2,364.8万--1,572万--1,578万--1,578万------------
流动负债总额 4.42%2.33亿61.54%3.13亿61.54%3.13亿79.67%2.95亿539.82%2.24亿547.94%1.94亿547.94%1.94亿367.45%1.64亿127.26%9,066.5万39.26%3,493.6万
非流动负债
长期借款与租赁负债 236.21%1.18亿268.46%1.23亿268.46%1.23亿165.60%6,500.6万297.28%3,521.9万707.07%3,332.4万707.07%3,332.4万507.47%2,447.5万1,544.24%3,939.6万244.27%886.5万
-长期借款 561.44%9,596.2万733.97%9,968.4万733.97%9,968.4万264.76%4,559.1万163.83%1,450.8万1,800.32%1,195.3万1,800.32%1,195.3万3,958.12%1,249.9万10,213.96%3,620.2万1,244.50%549.9万
-长期租赁负债 8.38%2,244.7万8.10%2,310.2万8.10%2,310.2万62.12%1,941.5万515.30%2,071.1万510.60%2,137.1万510.60%2,137.1万221.85%1,197.6万56.19%319.4万55.40%336.6万
员工福利 85.68%88.2万357.59%102.5万357.59%102.5万544.23%100.5万206.45%47.5万44.52%22.4万44.52%22.4万1.30%15.6万-14.29%15.6万-17.55%15.5万
其他非流动负债 ------------------------------1,646.8万--1,375万---3,000
非流动负债总额 234.20%1.19亿269.06%1.24亿269.06%1.24亿60.61%6,601.1万295.85%3,569.4万683.10%3,354.8万683.10%3,354.8万882.52%4,109.9万1,967.57%5,330.2万226.35%901.7万
负债总额 36.06%3.53亿92.19%4.37亿92.19%4.37亿75.86%3.61亿489.77%2.59亿564.89%2.27亿564.89%2.27亿422.20%2.05亿238.97%1.44亿57.82%4,395.3万
所有者权益
股本 1.52%6.33亿1.36%6.32亿1.36%6.32亿4.55%6.29亿36.89%6.24亿37.88%6.24亿37.88%6.24亿33.58%6.02亿45.19%5.96亿12.09%4.56亿
-普通股股本 1.52%6.33亿1.36%6.32亿1.36%6.32亿4.55%6.29亿36.89%6.24亿37.88%6.24亿37.88%6.24亿33.58%6.02亿45.19%5.96亿12.09%4.56亿
留存收益 18.29%-1.41亿24.04%-1.42亿24.04%-1.42亿18.10%-1.5亿8.19%-1.73亿2.45%-1.86亿2.45%-1.86亿8.48%-1.83亿8.77%-1.82亿4.89%-1.89亿
不影响留存收益的损益 0.00%238.8万0.00%238.8万0.00%238.8万0.00%238.8万0.00%238.8万0.00%238.8万0.00%238.8万0.00%238.8万0.00%238.8万0.00%238.8万
其他股本权益 0.00%854.1万0.00%854.1万0.00%854.1万-5.67%854.1万-22.47%854.1万-22.47%854.1万-22.47%854.1万-17.82%905.4万745.80%1,026.8万807.50%1,101.7万
股东权益总额 8.91%5.03亿11.89%5.01亿11.89%5.01亿13.97%4.9亿64.53%4.62亿63.21%4.48亿63.21%4.48亿63.10%4.3亿98.73%4.27亿32.38%2.81亿
非控制性权益 -11.71%2,005万-5.67%2,017.2万-5.67%2,017.2万16.20%2,344.4万24.47%2,270.9万21.48%2,138.4万21.48%2,138.4万12.75%2,017.5万2,276.62%1,799.1万2,310.17%1,824.5万
总权益 7.94%5.23亿11.09%5.21亿11.09%5.21亿14.07%5.13亿62.09%4.85亿60.70%4.69亿60.70%4.69亿59.90%4.5亿106.38%4.45亿40.48%2.99亿
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。

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。

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