加拿大市场个股详情

JJ Jackpot Digital Inc

添加自选
  • 0.065
  • 0.0000.00%
延时15分钟行情交易中 01/20 15:05 (美东)
1209.87万总市值32.50市盈率TTM

Jackpot Digital Inc关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2024/09/30
(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
资产
流动资产
现金及现金等价物和短期投资
164.47%261.11万
3,724.72%419.28万
-77.45%11.07万
-1.32%9.99万
-1.32%9.99万
398.67%98.73万
-32.22%10.96万
-27.55%49.07万
-59.94%10.13万
-59.94%10.13万
-现金和现金等价物
164.47%261.11万
3,724.72%419.28万
-77.45%11.07万
-1.32%9.99万
-1.32%9.99万
398.67%98.73万
-32.22%10.96万
-27.55%49.07万
-59.94%10.13万
-59.94%10.13万
应收款项
54.52%64.04万
34.78%45.62万
15.30%54.17万
7.62%48.05万
7.62%48.05万
1.73%41.44万
-3.30%33.85万
24.46%46.98万
77.03%44.65万
77.03%44.65万
-应收账款
-5.63%28.49万
-17.50%21.01万
20.85%40.87万
8.98%35.57万
8.98%35.57万
2.94%30.19万
-9.02%25.46万
0.83%33.82万
48.50%32.63万
48.50%32.63万
-应收关联方款项
215.83%35.55万
193.44%24.62万
1.03%13.29万
3.93%12.49万
3.93%12.49万
-1.37%11.26万
19.53%8.39万
212.98%13.16万
270.40%12.01万
270.40%12.01万
存货
--128.14万
--148.02万
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----
----
----
----
----
----
----
预付费用
66.42%15.19万
317.24%22.08万
241.52%17.69万
195.22%15.29万
195.22%15.29万
8.17%9.13万
-30.03%5.29万
-17.37%5.18万
-16.66%5.18万
-16.66%5.18万
流动资产合计
213.78%468.47万
1,167.34%635万
-18.09%82.92万
22.32%73.34万
22.32%73.34万
116.46%149.3万
-14.70%50.1万
-9.41%101.23万
5.71%59.96万
5.71%59.96万
非流动资产
固定资产净额
-22.17%272.22万
7.39%273.13万
62.34%449.57万
59.98%486.41万
59.98%486.41万
8.98%349.78万
-22.52%254.34万
-20.97%276.92万
-14.58%304.05万
-14.58%304.05万
-固定资产
-22.17%272.22万
7.39%273.13万
62.34%449.57万
41.98%747.2万
41.98%747.2万
8.98%349.78万
-22.52%254.34万
-20.97%276.92万
40.54%526.26万
40.54%526.26万
-累计折旧
----
----
----
-17.36%-260.79万
-17.36%-260.79万
----
----
----
-1,101.83%-222.2万
-1,101.83%-222.2万
投资和预付款
-95.41%346
-78.31%1,847
-47.67%3,723
-26.43%6,703
-26.43%6,703
-92.81%7,545
-92.08%8,515
-93.58%7,115
-91.03%9,111
-91.03%9,111
-长期股权投资
-95.41%346
-78.31%1,847
-47.67%3,723
-26.43%6,703
-26.43%6,703
-92.81%7,545
-92.08%8,515
-81.28%7,115
-91.03%9,111
-91.03%9,111
长期预付费用
73.21%6.58万
--0
--0
--0
--0
--3.8万
--3.8万
--3.8万
-48.74%3.8万
-48.74%3.8万
商誉及其他无形资产
-5.61%32.82万
34.68%34.58万
123.52%32.89万
122.48%34.8万
122.48%34.8万
109.83%34.77万
46.72%25.68万
-18.56%14.72万
78.24%15.64万
78.24%15.64万
-其他无形资产
----
----
----
122.48%34.8万
122.48%34.8万
----
----
----
78.24%15.64万
78.24%15.64万
非流动资产合计
-19.90%311.66万
8.16%307.89万
63.04%482.83万
60.87%521.89万
60.87%521.89万
11.80%389.1万
-20.15%284.67万
-21.97%296.15万
-15.15%324.41万
-15.15%324.41万
总资产
44.90%780.13万
181.65%942.89万
42.37%565.76万
54.86%595.22万
54.86%595.22万
29.11%538.4万
-19.38%334.77万
-19.12%397.39万
-12.45%384.37万
-12.45%384.37万
负债
流动负债
短期借款与资本租赁负债
351.11%218.58万
116.43%114.77万
-33.59%56.35万
-89.78%56.11万
-89.78%56.11万
-91.41%48.45万
-47.13%53.03万
-14.76%84.85万
414.49%549.08万
414.49%549.08万
-短期借款
443.44%187.67万
103.09%84.67万
-57.87%27.03万
-94.79%27.03万
-94.79%27.03万
-93.46%34.53万
-35.21%41.69万
-0.61%64.16万
614.65%519.28万
614.65%519.28万
-短期资本租赁负债
122.07%30.91万
165.49%30.1万
41.67%29.31万
-2.40%29.08万
-2.40%29.08万
-61.24%13.92万
-68.46%11.34万
-40.86%20.69万
-12.52%29.8万
-12.52%29.8万
应付款项
16.68%156.49万
28.21%198.33万
73.80%259.93万
74.26%267.07万
74.26%267.07万
1.71%134.13万
26.10%154.69万
24.61%149.56万
26.44%153.26万
26.44%153.26万
-应付账款
16.68%156.49万
28.21%198.33万
73.80%259.93万
74.26%267.07万
74.26%267.07万
1.71%134.13万
26.10%154.69万
24.61%149.56万
26.44%153.26万
26.44%153.26万
应计费用
-91.83%35.75万
26.44%517.66万
22.01%486.32万
18.21%453.66万
18.21%453.66万
17.76%437.76万
19.47%409.43万
23.63%398.6万
23.03%383.78万
23.03%383.78万
递延负债
-33.47%26.08万
4.88%32.56万
-34.96%25.47万
-41.03%22.13万
-41.03%22.13万
30.44%39.2万
177.77%31.04万
369.51%39.16万
532.54%37.53万
532.54%37.53万
其他流动负债
----
----
----
----
----
----
----
--33.49万
----
----
流动负债总额
-33.76%436.91万
33.19%863.33万
17.35%828.06万
-28.89%798.98万
-28.89%798.98万
-41.71%659.55万
12.37%648.19万
28.22%705.66万
105.87%1,123.64万
105.87%1,123.64万
非流动负债
长期借款与租赁负债
-1.22%739.29万
112.76%1,066.27万
72.43%773.35万
--764.51万
--764.51万
27,153.89%748.39万
10.36%501.17万
-1.01%448.5万
--0
--0
-长期借款
0.71%703.05万
103.85%1,021.61万
60.64%720.49万
--703.66万
--703.66万
--698.09万
13.19%501.17万
3.72%448.5万
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----
-长期租赁负债
-27.96%36.24万
--44.66万
--52.86万
--60.85万
--60.85万
1,731.94%50.31万
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----
--0
--0
递延负债
-12.14%61.89万
-8.29%64.96万
-10.45%66.55万
-12.30%66.87万
-12.30%66.87万
-10.83%70.45万
-6.75%70.83万
-1.25%74.31万
-2.18%76.25万
-2.18%76.25万
非流动负债总额
-2.16%801.19万
97.77%1,131.22万
60.65%839.9万
990.40%831.38万
990.40%831.38万
901.67%818.84万
7.91%572万
-1.05%522.82万
-85.75%76.25万
-85.75%76.25万
负债总额
-16.25%1,238.09万
63.46%1,994.55万
35.78%1,667.96万
35.88%1,630.36万
35.88%1,630.36万
21.85%1,478.38万
10.23%1,220.19万
13.89%1,228.48万
11.00%1,199.88万
11.00%1,199.88万
所有者权益
股本
6.74%6,623.61万
0.27%6,222.14万
0.18%6,215.61万
0.18%6,215.61万
0.18%6,215.61万
1.36%6,205.6万
2.09%6,205.6万
2.41%6,204.2万
5.19%6,204.2万
5.19%6,204.2万
-普通股股本
6.74%6,623.61万
0.27%6,222.14万
0.18%6,215.61万
0.18%6,215.61万
0.18%6,215.61万
1.36%6,205.6万
2.09%6,205.6万
2.41%6,204.2万
5.19%6,204.2万
5.19%6,204.2万
留存收益
0.77%-7,423.6万
-4.49%-7,654.46万
-3.43%-7,532.28万
-3.36%-7,543.59万
-3.36%-7,543.59万
-3.71%-7,480.99万
-3.77%-7,325.79万
-5.20%-7,282.63万
-7.06%-7,298.47万
-7.06%-7,298.47万
不影响留存收益的损益
-45.32%117.32万
-40.66%126.14万
-47.15%127.71万
-25.73%206.09万
-25.73%206.09万
-26.88%214.57万
-26.26%212.58万
-12.12%241.65万
0.76%277.5万
0.76%277.5万
其他股本权益
85.97%224.71万
1,046.80%254.52万
1,422.97%86.76万
6,820.66%86.76万
6,820.66%86.76万
9,538.58%120.83万
1,670.43%22.19万
185.44%5.7万
-37.18%1.25万
-37.18%1.25万
股东权益总额
51.28%-457.96万
-18.78%-1,051.66万
-32.62%-1,102.21万
-26.93%-1,035.14万
-26.93%-1,035.14万
-18.04%-939.98万
-28.01%-885.41万
-41.49%-831.09万
-27.04%-815.52万
-27.04%-815.52万
总权益
51.28%-457.96万
-18.78%-1,051.66万
-32.62%-1,102.21万
-26.93%-1,035.14万
-26.93%-1,035.14万
-18.04%-939.98万
-28.01%-885.41万
-41.49%-831.09万
-27.04%-815.52万
-27.04%-815.52万
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
--
--
--
带解释段的无保留意见
--
--
--
--
--
--
(Q3)2024/09/30(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
资产
流动资产
现金及现金等价物和短期投资 164.47%261.11万3,724.72%419.28万-77.45%11.07万-1.32%9.99万-1.32%9.99万398.67%98.73万-32.22%10.96万-27.55%49.07万-59.94%10.13万-59.94%10.13万
-现金和现金等价物 164.47%261.11万3,724.72%419.28万-77.45%11.07万-1.32%9.99万-1.32%9.99万398.67%98.73万-32.22%10.96万-27.55%49.07万-59.94%10.13万-59.94%10.13万
应收款项 54.52%64.04万34.78%45.62万15.30%54.17万7.62%48.05万7.62%48.05万1.73%41.44万-3.30%33.85万24.46%46.98万77.03%44.65万77.03%44.65万
-应收账款 -5.63%28.49万-17.50%21.01万20.85%40.87万8.98%35.57万8.98%35.57万2.94%30.19万-9.02%25.46万0.83%33.82万48.50%32.63万48.50%32.63万
-应收关联方款项 215.83%35.55万193.44%24.62万1.03%13.29万3.93%12.49万3.93%12.49万-1.37%11.26万19.53%8.39万212.98%13.16万270.40%12.01万270.40%12.01万
存货 --128.14万--148.02万--------------------------------
预付费用 66.42%15.19万317.24%22.08万241.52%17.69万195.22%15.29万195.22%15.29万8.17%9.13万-30.03%5.29万-17.37%5.18万-16.66%5.18万-16.66%5.18万
流动资产合计 213.78%468.47万1,167.34%635万-18.09%82.92万22.32%73.34万22.32%73.34万116.46%149.3万-14.70%50.1万-9.41%101.23万5.71%59.96万5.71%59.96万
非流动资产
固定资产净额 -22.17%272.22万7.39%273.13万62.34%449.57万59.98%486.41万59.98%486.41万8.98%349.78万-22.52%254.34万-20.97%276.92万-14.58%304.05万-14.58%304.05万
-固定资产 -22.17%272.22万7.39%273.13万62.34%449.57万41.98%747.2万41.98%747.2万8.98%349.78万-22.52%254.34万-20.97%276.92万40.54%526.26万40.54%526.26万
-累计折旧 -------------17.36%-260.79万-17.36%-260.79万-------------1,101.83%-222.2万-1,101.83%-222.2万
投资和预付款 -95.41%346-78.31%1,847-47.67%3,723-26.43%6,703-26.43%6,703-92.81%7,545-92.08%8,515-93.58%7,115-91.03%9,111-91.03%9,111
-长期股权投资 -95.41%346-78.31%1,847-47.67%3,723-26.43%6,703-26.43%6,703-92.81%7,545-92.08%8,515-81.28%7,115-91.03%9,111-91.03%9,111
长期预付费用 73.21%6.58万--0--0--0--0--3.8万--3.8万--3.8万-48.74%3.8万-48.74%3.8万
商誉及其他无形资产 -5.61%32.82万34.68%34.58万123.52%32.89万122.48%34.8万122.48%34.8万109.83%34.77万46.72%25.68万-18.56%14.72万78.24%15.64万78.24%15.64万
-其他无形资产 ------------122.48%34.8万122.48%34.8万------------78.24%15.64万78.24%15.64万
非流动资产合计 -19.90%311.66万8.16%307.89万63.04%482.83万60.87%521.89万60.87%521.89万11.80%389.1万-20.15%284.67万-21.97%296.15万-15.15%324.41万-15.15%324.41万
总资产 44.90%780.13万181.65%942.89万42.37%565.76万54.86%595.22万54.86%595.22万29.11%538.4万-19.38%334.77万-19.12%397.39万-12.45%384.37万-12.45%384.37万
负债
流动负债
短期借款与资本租赁负债 351.11%218.58万116.43%114.77万-33.59%56.35万-89.78%56.11万-89.78%56.11万-91.41%48.45万-47.13%53.03万-14.76%84.85万414.49%549.08万414.49%549.08万
-短期借款 443.44%187.67万103.09%84.67万-57.87%27.03万-94.79%27.03万-94.79%27.03万-93.46%34.53万-35.21%41.69万-0.61%64.16万614.65%519.28万614.65%519.28万
-短期资本租赁负债 122.07%30.91万165.49%30.1万41.67%29.31万-2.40%29.08万-2.40%29.08万-61.24%13.92万-68.46%11.34万-40.86%20.69万-12.52%29.8万-12.52%29.8万
应付款项 16.68%156.49万28.21%198.33万73.80%259.93万74.26%267.07万74.26%267.07万1.71%134.13万26.10%154.69万24.61%149.56万26.44%153.26万26.44%153.26万
-应付账款 16.68%156.49万28.21%198.33万73.80%259.93万74.26%267.07万74.26%267.07万1.71%134.13万26.10%154.69万24.61%149.56万26.44%153.26万26.44%153.26万
应计费用 -91.83%35.75万26.44%517.66万22.01%486.32万18.21%453.66万18.21%453.66万17.76%437.76万19.47%409.43万23.63%398.6万23.03%383.78万23.03%383.78万
递延负债 -33.47%26.08万4.88%32.56万-34.96%25.47万-41.03%22.13万-41.03%22.13万30.44%39.2万177.77%31.04万369.51%39.16万532.54%37.53万532.54%37.53万
其他流动负债 ------------------------------33.49万--------
流动负债总额 -33.76%436.91万33.19%863.33万17.35%828.06万-28.89%798.98万-28.89%798.98万-41.71%659.55万12.37%648.19万28.22%705.66万105.87%1,123.64万105.87%1,123.64万
非流动负债
长期借款与租赁负债 -1.22%739.29万112.76%1,066.27万72.43%773.35万--764.51万--764.51万27,153.89%748.39万10.36%501.17万-1.01%448.5万--0--0
-长期借款 0.71%703.05万103.85%1,021.61万60.64%720.49万--703.66万--703.66万--698.09万13.19%501.17万3.72%448.5万--------
-长期租赁负债 -27.96%36.24万--44.66万--52.86万--60.85万--60.85万1,731.94%50.31万----------0--0
递延负债 -12.14%61.89万-8.29%64.96万-10.45%66.55万-12.30%66.87万-12.30%66.87万-10.83%70.45万-6.75%70.83万-1.25%74.31万-2.18%76.25万-2.18%76.25万
非流动负债总额 -2.16%801.19万97.77%1,131.22万60.65%839.9万990.40%831.38万990.40%831.38万901.67%818.84万7.91%572万-1.05%522.82万-85.75%76.25万-85.75%76.25万
负债总额 -16.25%1,238.09万63.46%1,994.55万35.78%1,667.96万35.88%1,630.36万35.88%1,630.36万21.85%1,478.38万10.23%1,220.19万13.89%1,228.48万11.00%1,199.88万11.00%1,199.88万
所有者权益
股本 6.74%6,623.61万0.27%6,222.14万0.18%6,215.61万0.18%6,215.61万0.18%6,215.61万1.36%6,205.6万2.09%6,205.6万2.41%6,204.2万5.19%6,204.2万5.19%6,204.2万
-普通股股本 6.74%6,623.61万0.27%6,222.14万0.18%6,215.61万0.18%6,215.61万0.18%6,215.61万1.36%6,205.6万2.09%6,205.6万2.41%6,204.2万5.19%6,204.2万5.19%6,204.2万
留存收益 0.77%-7,423.6万-4.49%-7,654.46万-3.43%-7,532.28万-3.36%-7,543.59万-3.36%-7,543.59万-3.71%-7,480.99万-3.77%-7,325.79万-5.20%-7,282.63万-7.06%-7,298.47万-7.06%-7,298.47万
不影响留存收益的损益 -45.32%117.32万-40.66%126.14万-47.15%127.71万-25.73%206.09万-25.73%206.09万-26.88%214.57万-26.26%212.58万-12.12%241.65万0.76%277.5万0.76%277.5万
其他股本权益 85.97%224.71万1,046.80%254.52万1,422.97%86.76万6,820.66%86.76万6,820.66%86.76万9,538.58%120.83万1,670.43%22.19万185.44%5.7万-37.18%1.25万-37.18%1.25万
股东权益总额 51.28%-457.96万-18.78%-1,051.66万-32.62%-1,102.21万-26.93%-1,035.14万-26.93%-1,035.14万-18.04%-939.98万-28.01%-885.41万-41.49%-831.09万-27.04%-815.52万-27.04%-815.52万
总权益 51.28%-457.96万-18.78%-1,051.66万-32.62%-1,102.21万-26.93%-1,035.14万-26.93%-1,035.14万-18.04%-939.98万-28.01%-885.41万-41.49%-831.09万-27.04%-815.52万-27.04%-815.52万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ------带解释段的无保留意见------------

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
五大行 五大行

“五大行”指的是加拿大最大的五家银行——皇家银行、加拿大道明信托、加拿大丰业银行、蒙特利尔银行和加拿大帝国商业银行——它们主导并显著影响着国家的金融行业。 “五大行”指的是加拿大最大的五家银行——皇家银行、加拿大道明信托、加拿大丰业银行、蒙特利尔银行和加拿大帝国商业银行——它们主导并显著影响着国家的金融行业。