加拿大市场个股详情

NAR North Arrow Minerals Inc

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  • 0.135
  • +0.010+8.00%
延时15分钟行情已收盘 01/08 16:00 (美东)
385.83万总市值-4.50市盈率TTM

North Arrow Minerals Inc关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2024/10/31
(Q1)2024/07/31
(FY)2024/04/30
(Q4)2024/04/30
(Q3)2024/01/31
(Q2)2023/10/31
(Q1)2023/07/31
(FY)2023/04/30
(Q4)2023/04/30
(Q3)2023/01/31
资产
流动资产
现金及现金等价物和短期投资
128.72%292.82万
-37.25%130.98万
56.62%42.98万
56.62%42.98万
256.06%74.15万
209.38%128.03万
188.22%208.75万
-73.67%27.44万
-73.67%27.44万
-89.86%20.82万
-现金和现金等价物
129.01%292.76万
-37.23%130.85万
57.84%42.86万
57.84%42.86万
261.71%74.04万
211.75%127.84万
190.86%208.47万
-73.70%27.15万
-73.70%27.15万
-89.97%20.47万
-短期投资
-66.67%625
-53.84%1,250
-57.13%1,250
-57.13%1,250
-70.57%1,042
-50.00%1,875
-63.89%2,708
-70.84%2,916
-70.84%2,916
-68.52%3,541
应收款项
-74.42%1.45万
263.18%9.88万
409.42%8.23万
409.42%8.23万
430.22%7.37万
9.32%5.67万
-45.74%2.72万
-73.85%1.61万
-73.85%1.61万
-82.30%1.39万
-应收税费
-84.64%5,975
-9.86%1.28万
-28.78%8,598
-28.78%8,598
346.09%5.08万
86.51%3.89万
-15.83%1.42万
-61.00%1.21万
-61.00%1.21万
-61.25%1.14万
-其他应收款
-52.08%8,526
561.74%8.6万
1,707.68%7.37万
1,707.68%7.37万
812.19%2.29万
-42.60%1.78万
-60.93%1.3万
-86.76%4,075
-86.76%4,075
-94.89%2,510
预付费用
-89.42%1.37万
-92.07%1.29万
114.14%1.19万
114.14%1.19万
840.35%9.92万
2,227.30%12.92万
1,979.24%16.31万
-66.56%5,552
-66.56%5,552
-37.04%1.06万
流动资产合计
101.64%295.64万
-37.59%142.16万
76.94%52.4万
76.94%52.4万
292.96%91.44万
211.14%146.62万
191.18%227.77万
-73.58%29.61万
-73.58%29.61万
-89.17%23.27万
非流动资产
固定资产净额
4.61%1,742.49万
5.69%1,706.15万
7.85%1,713.41万
7.85%1,713.41万
-13.11%1,681.99万
-13.23%1,665.73万
-15.13%1,614.35万
-16.45%1,588.69万
-16.45%1,588.69万
-1.66%1,935.85万
-固定资产
4.60%1,757.85万
5.67%1,721.31万
7.83%1,728.41万
7.83%1,728.41万
-12.97%1,696.9万
-13.08%1,680.54万
-14.97%1,628.88万
-16.29%1,602.93万
-16.29%1,602.93万
-1.60%1,949.88万
-累计折旧
-3.76%-15.37万
-4.38%-15.16万
-5.29%-15万
-5.29%-15万
-6.18%-14.91万
-7.06%-14.81万
-6.61%-14.53万
-6.14%-14.24万
-6.14%-14.24万
-6.64%-14.04万
长期预付费用
0.00%24.34万
0.00%24.34万
--24.34万
--24.34万
--24.34万
--24.34万
--24.34万
--0
--0
----
非流动资产合计
4.54%1,766.82万
5.60%1,730.49万
9.38%1,737.75万
9.38%1,737.75万
-11.86%1,706.33万
-11.96%1,690.07万
-13.85%1,638.69万
-16.45%1,588.69万
-16.45%1,588.69万
-1.66%1,935.85万
总资产
12.29%2,062.46万
0.33%1,872.64万
10.62%1,790.15万
10.62%1,790.15万
-8.24%1,797.78万
-6.62%1,836.69万
-5.75%1,866.46万
-19.63%1,618.3万
-19.63%1,618.3万
-10.27%1,959.12万
负债
流动负债
短期借款与资本租赁负债
-98.56%7,957
-97.26%1.59万
0.41%57.2万
0.41%57.2万
1.69%56.64万
2.61%55.38万
10.88%58.14万
12.07%56.97万
12.07%56.97万
18.22%55.7万
-短期借款
----
----
2.23%54.83万
2.23%54.83万
2.41%53.48万
3.35%52.17万
12.58%54.88万
14.01%53.63万
14.01%53.63万
11.24%52.23万
-短期资本租赁负债
-75.22%7,957
-51.13%1.59万
-28.91%2.37万
-28.91%2.37万
-9.12%3.16万
-8.11%3.21万
-11.61%3.26万
-12.06%3.33万
-12.06%3.33万
1,898.62%3.48万
应付款项
-5.07%39.58万
-20.28%37.15万
-34.26%23.58万
-34.26%23.58万
-0.28%25.57万
-29.01%41.7万
-17.14%46.6万
13.06%35.87万
13.06%35.87万
-59.79%25.64万
-应付账款
-5.07%39.58万
-20.28%37.15万
-34.26%23.58万
-34.26%23.58万
-0.28%25.57万
-29.01%41.7万
-17.14%46.6万
13.06%35.87万
13.06%35.87万
-59.79%25.64万
应计费用
20.11%16万
-8.48%17.6万
-24.01%5.16万
-24.01%5.16万
-92.03%1.27万
-14.39%13.32万
8.83%19.23万
-60.71%6.79万
-60.71%6.79万
10.84%15.95万
现行拨备
----
----
0.00%12.05万
0.00%12.05万
--12.05万
----
----
--12.05万
--12.05万
----
递延负债
--0
-99.04%2,151
--3.17万
--3.17万
1,281.69%5.9万
29.34%9.82万
-27.34%22.41万
--0
--0
-99.65%4,272
流动负债总额
-53.10%56.38万
-61.36%56.56万
-9.41%101.17万
-9.41%101.17万
3.80%101.43万
-27.52%120.22万
-6.88%146.38万
-36.00%111.68万
-36.00%111.68万
-60.76%97.72万
非流动负债
长期借款与租赁负债
----
----
----
----
----
-80.64%7,925
-67.17%1.59万
-58.09%2.39万
-58.09%2.39万
--3.16万
-长期租赁负债
----
----
--0
--0
--0
-80.64%7,925
-67.17%1.59万
-58.09%2.39万
-58.09%2.39万
--3.16万
长期拨备
0.50%19.7万
0.25%19.65万
--19.6万
--19.6万
--19.6万
--19.6万
--19.6万
----
----
----
非流动负债总额
-3.41%19.7万
-7.28%19.65万
720.85%19.6万
720.85%19.6万
519.79%19.6万
398.09%20.39万
336.86%21.19万
-58.09%2.39万
-58.09%2.39万
--3.16万
负债总额
-45.90%76.07万
-54.52%76.2万
5.87%120.76万
5.87%120.76万
19.98%121.03万
-17.27%140.61万
3.41%167.57万
-36.70%114.06万
-36.70%114.06万
-59.49%100.88万
所有者权益
股本
5.07%4,291.81万
0.06%4,084.85万
5.35%4,084.85万
5.35%4,084.85万
5.67%4,084.85万
7.02%4,084.85万
6.96%4,082.35万
1.58%3,877.3万
1.58%3,877.3万
1.28%3,865.61万
-普通股股本
5.07%4,291.81万
0.06%4,084.85万
5.35%4,084.85万
5.35%4,084.85万
5.67%4,084.85万
7.02%4,084.85万
6.96%4,082.35万
1.58%3,877.3万
1.58%3,877.3万
1.28%3,865.61万
留存收益
2.01%-2,943.51万
2.23%-2,920.11万
-3.07%-3,043.65万
-3.07%-3,043.65万
-17.14%-3,030.61万
-17.05%-3,003.79万
-17.39%-2,986.77万
-16.78%-2,952.89万
-16.78%-2,952.89万
-6.71%-2,587.2万
其他股本权益
3.75%638.09万
4.71%631.7万
8.34%628.19万
8.34%628.19万
7.36%622.51万
12.60%615.03万
10.53%603.31万
6.35%579.83万
6.35%579.83万
6.99%579.83万
股东权益总额
17.12%1,986.39万
5.74%1,796.44万
10.98%1,669.38万
10.98%1,669.38万
-9.77%1,676.74万
-5.61%1,696.08万
-6.57%1,698.89万
-17.96%1,504.24万
-17.96%1,504.24万
-3.93%1,858.23万
总权益
17.12%1,986.39万
5.74%1,796.44万
10.98%1,669.38万
10.98%1,669.38万
-9.77%1,676.74万
-5.61%1,696.08万
-6.57%1,698.89万
-17.96%1,504.24万
-17.96%1,504.24万
-3.93%1,858.23万
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
--
--
无保留意见
--
--
--
--
带解释段的无保留意见
--
--
(Q2)2024/10/31(Q1)2024/07/31(FY)2024/04/30(Q4)2024/04/30(Q3)2024/01/31(Q2)2023/10/31(Q1)2023/07/31(FY)2023/04/30(Q4)2023/04/30(Q3)2023/01/31
资产
流动资产
现金及现金等价物和短期投资 128.72%292.82万-37.25%130.98万56.62%42.98万56.62%42.98万256.06%74.15万209.38%128.03万188.22%208.75万-73.67%27.44万-73.67%27.44万-89.86%20.82万
-现金和现金等价物 129.01%292.76万-37.23%130.85万57.84%42.86万57.84%42.86万261.71%74.04万211.75%127.84万190.86%208.47万-73.70%27.15万-73.70%27.15万-89.97%20.47万
-短期投资 -66.67%625-53.84%1,250-57.13%1,250-57.13%1,250-70.57%1,042-50.00%1,875-63.89%2,708-70.84%2,916-70.84%2,916-68.52%3,541
应收款项 -74.42%1.45万263.18%9.88万409.42%8.23万409.42%8.23万430.22%7.37万9.32%5.67万-45.74%2.72万-73.85%1.61万-73.85%1.61万-82.30%1.39万
-应收税费 -84.64%5,975-9.86%1.28万-28.78%8,598-28.78%8,598346.09%5.08万86.51%3.89万-15.83%1.42万-61.00%1.21万-61.00%1.21万-61.25%1.14万
-其他应收款 -52.08%8,526561.74%8.6万1,707.68%7.37万1,707.68%7.37万812.19%2.29万-42.60%1.78万-60.93%1.3万-86.76%4,075-86.76%4,075-94.89%2,510
预付费用 -89.42%1.37万-92.07%1.29万114.14%1.19万114.14%1.19万840.35%9.92万2,227.30%12.92万1,979.24%16.31万-66.56%5,552-66.56%5,552-37.04%1.06万
流动资产合计 101.64%295.64万-37.59%142.16万76.94%52.4万76.94%52.4万292.96%91.44万211.14%146.62万191.18%227.77万-73.58%29.61万-73.58%29.61万-89.17%23.27万
非流动资产
固定资产净额 4.61%1,742.49万5.69%1,706.15万7.85%1,713.41万7.85%1,713.41万-13.11%1,681.99万-13.23%1,665.73万-15.13%1,614.35万-16.45%1,588.69万-16.45%1,588.69万-1.66%1,935.85万
-固定资产 4.60%1,757.85万5.67%1,721.31万7.83%1,728.41万7.83%1,728.41万-12.97%1,696.9万-13.08%1,680.54万-14.97%1,628.88万-16.29%1,602.93万-16.29%1,602.93万-1.60%1,949.88万
-累计折旧 -3.76%-15.37万-4.38%-15.16万-5.29%-15万-5.29%-15万-6.18%-14.91万-7.06%-14.81万-6.61%-14.53万-6.14%-14.24万-6.14%-14.24万-6.64%-14.04万
长期预付费用 0.00%24.34万0.00%24.34万--24.34万--24.34万--24.34万--24.34万--24.34万--0--0----
非流动资产合计 4.54%1,766.82万5.60%1,730.49万9.38%1,737.75万9.38%1,737.75万-11.86%1,706.33万-11.96%1,690.07万-13.85%1,638.69万-16.45%1,588.69万-16.45%1,588.69万-1.66%1,935.85万
总资产 12.29%2,062.46万0.33%1,872.64万10.62%1,790.15万10.62%1,790.15万-8.24%1,797.78万-6.62%1,836.69万-5.75%1,866.46万-19.63%1,618.3万-19.63%1,618.3万-10.27%1,959.12万
负债
流动负债
短期借款与资本租赁负债 -98.56%7,957-97.26%1.59万0.41%57.2万0.41%57.2万1.69%56.64万2.61%55.38万10.88%58.14万12.07%56.97万12.07%56.97万18.22%55.7万
-短期借款 --------2.23%54.83万2.23%54.83万2.41%53.48万3.35%52.17万12.58%54.88万14.01%53.63万14.01%53.63万11.24%52.23万
-短期资本租赁负债 -75.22%7,957-51.13%1.59万-28.91%2.37万-28.91%2.37万-9.12%3.16万-8.11%3.21万-11.61%3.26万-12.06%3.33万-12.06%3.33万1,898.62%3.48万
应付款项 -5.07%39.58万-20.28%37.15万-34.26%23.58万-34.26%23.58万-0.28%25.57万-29.01%41.7万-17.14%46.6万13.06%35.87万13.06%35.87万-59.79%25.64万
-应付账款 -5.07%39.58万-20.28%37.15万-34.26%23.58万-34.26%23.58万-0.28%25.57万-29.01%41.7万-17.14%46.6万13.06%35.87万13.06%35.87万-59.79%25.64万
应计费用 20.11%16万-8.48%17.6万-24.01%5.16万-24.01%5.16万-92.03%1.27万-14.39%13.32万8.83%19.23万-60.71%6.79万-60.71%6.79万10.84%15.95万
现行拨备 --------0.00%12.05万0.00%12.05万--12.05万----------12.05万--12.05万----
递延负债 --0-99.04%2,151--3.17万--3.17万1,281.69%5.9万29.34%9.82万-27.34%22.41万--0--0-99.65%4,272
流动负债总额 -53.10%56.38万-61.36%56.56万-9.41%101.17万-9.41%101.17万3.80%101.43万-27.52%120.22万-6.88%146.38万-36.00%111.68万-36.00%111.68万-60.76%97.72万
非流动负债
长期借款与租赁负债 ---------------------80.64%7,925-67.17%1.59万-58.09%2.39万-58.09%2.39万--3.16万
-长期租赁负债 ----------0--0--0-80.64%7,925-67.17%1.59万-58.09%2.39万-58.09%2.39万--3.16万
长期拨备 0.50%19.7万0.25%19.65万--19.6万--19.6万--19.6万--19.6万--19.6万------------
非流动负债总额 -3.41%19.7万-7.28%19.65万720.85%19.6万720.85%19.6万519.79%19.6万398.09%20.39万336.86%21.19万-58.09%2.39万-58.09%2.39万--3.16万
负债总额 -45.90%76.07万-54.52%76.2万5.87%120.76万5.87%120.76万19.98%121.03万-17.27%140.61万3.41%167.57万-36.70%114.06万-36.70%114.06万-59.49%100.88万
所有者权益
股本 5.07%4,291.81万0.06%4,084.85万5.35%4,084.85万5.35%4,084.85万5.67%4,084.85万7.02%4,084.85万6.96%4,082.35万1.58%3,877.3万1.58%3,877.3万1.28%3,865.61万
-普通股股本 5.07%4,291.81万0.06%4,084.85万5.35%4,084.85万5.35%4,084.85万5.67%4,084.85万7.02%4,084.85万6.96%4,082.35万1.58%3,877.3万1.58%3,877.3万1.28%3,865.61万
留存收益 2.01%-2,943.51万2.23%-2,920.11万-3.07%-3,043.65万-3.07%-3,043.65万-17.14%-3,030.61万-17.05%-3,003.79万-17.39%-2,986.77万-16.78%-2,952.89万-16.78%-2,952.89万-6.71%-2,587.2万
其他股本权益 3.75%638.09万4.71%631.7万8.34%628.19万8.34%628.19万7.36%622.51万12.60%615.03万10.53%603.31万6.35%579.83万6.35%579.83万6.99%579.83万
股东权益总额 17.12%1,986.39万5.74%1,796.44万10.98%1,669.38万10.98%1,669.38万-9.77%1,676.74万-5.61%1,696.08万-6.57%1,698.89万-17.96%1,504.24万-17.96%1,504.24万-3.93%1,858.23万
总权益 17.12%1,986.39万5.74%1,796.44万10.98%1,669.38万10.98%1,669.38万-9.77%1,676.74万-5.61%1,696.08万-6.57%1,698.89万-17.96%1,504.24万-17.96%1,504.24万-3.93%1,858.23万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ----无保留意见--------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
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。