加拿大市场个股详情

NFG New Found Gold Corp

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  • 2.510
  • +0.030+1.21%
延时15分钟行情已收盘 11/28 16:00 (美东)
4.99亿总市值-8366市盈率TTM

New Found Gold Corp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
37.72%4,062.71万
17.19%5,453.24万
-13.68%5,330.93万
-36.09%5,729.29万
-36.09%5,729.29万
-53.09%2,950.06万
-42.18%4,653.42万
-41.07%6,175.6万
-30.55%8,963.96万
-30.55%8,963.96万
-现金和现金等价物
50.61%3,910.84万
25.93%5,222.66万
-10.53%5,025.22万
-34.42%5,388.48万
-34.42%5,388.48万
-53.81%2,596.7万
-42.61%4,147.37万
-33.70%5,616.63万
-18.23%8,216.53万
-18.23%8,216.53万
-短期投资
-57.02%151.87万
-54.43%230.58万
-45.31%305.71万
-54.40%340.81万
-54.40%340.81万
-47.02%353.36万
-38.42%506.05万
-72.17%558.97万
-73.85%747.43万
-73.85%747.43万
应收款项
-51.09%182.8万
-56.67%158.13万
-63.37%216.46万
7.34%337.5万
7.34%337.5万
27.47%373.75万
37.26%364.92万
173.26%590.89万
73.99%314.43万
73.99%314.43万
-应收账款
----
----
154.13%11.55万
----
----
----
----
--4.55万
----
----
-应收利息
86.89%7.31万
--7.76万
--7.68万
--7.53万
--7.53万
--3.91万
----
----
--0
--0
-应收税费
-52.55%175.5万
-58.79%150.37万
-66.36%197.24万
4.94%329.96万
4.94%329.96万
26.14%369.84万
38.61%364.92万
171.16%586.35万
73.99%314.43万
73.99%314.43万
预付费用
-21.79%145.63万
-13.66%131.32万
-9.70%130.84万
5.08%151.92万
5.08%151.92万
23.55%186.2万
-1.23%152.1万
-24.55%144.9万
-33.65%144.57万
-33.65%144.57万
套期保值资产
-53.60%5.54万
--16.53万
--23.37万
601.58%18.85万
601.58%18.85万
543.63%11.94万
--0
--0
-99.20%2.69万
-99.20%2.69万
其他流动资产
--260.93万
----
----
----
----
----
----
78.20%10.58万
-28.94%7.63万
-28.94%7.63万
流动资产合计
32.25%4,657.62万
11.39%5,759.22万
-17.63%5,701.61万
-33.88%6,237.55万
-33.88%6,237.55万
-47.77%3,521.95万
-39.23%5,170.44万
-37.38%6,921.97万
-30.90%9,433.27万
-30.90%9,433.27万
非流动资产
固定资产净额
148.84%4,101.13万
3.31%1,683.78万
2.66%1,690.45万
3.26%1,688.84万
3.26%1,688.84万
6.80%1,648.11万
13.61%1,629.84万
26.85%1,646.58万
41.76%1,635.48万
41.76%1,635.48万
-固定资产
136.76%4,366.74万
5.23%1,932.98万
4.95%1,922.82万
7.36%1,903.63万
7.36%1,903.63万
11.07%1,844.4万
18.31%1,836.97万
31.43%1,832.18万
44.55%1,773.17万
44.55%1,773.17万
-累计折旧
-35.32%-265.61万
-20.31%-249.2万
-25.20%-232.37万
-55.99%-214.78万
-55.99%-214.78万
-67.29%-196.29万
-75.42%-207.13万
-93.42%-185.6万
-88.70%-137.69万
-88.70%-137.69万
投资和预付款
-57.14%179.89万
-52.60%212.09万
--246.14万
--286.13万
--286.13万
--419.7万
--447.44万
----
--0
--0
-长期股权投资
-57.14%179.89万
-52.60%212.09万
--246.14万
--286.13万
--286.13万
--419.7万
--447.44万
----
--0
--0
长期应收票据
--0
--258.16万
--255.32万
--245.43万
--245.43万
--247.48万
----
----
--0
--0
其他非流动资产
--28.57万
--38.98万
--9.75万
----
----
----
----
----
----
----
非流动资产合计
86.14%4,309.59万
5.57%2,193万
33.71%2,201.66万
35.76%2,220.4万
35.76%2,220.4万
50.03%2,315.3万
44.80%2,077.29万
26.85%1,646.58万
41.76%1,635.48万
41.76%1,635.48万
总资产
53.62%8,967.21万
9.72%7,952.22万
-7.76%7,903.27万
-23.59%8,457.95万
-23.59%8,457.95万
-29.56%5,837.25万
-27.10%7,247.73万
-30.63%8,568.56万
-25.24%1.11亿
-25.24%1.11亿
负债
流动负债
短期借款与资本租赁负债
-24.88%5.81万
-47.02%3.18万
3.27%6.86万
9.30%8.9万
9.30%8.9万
2.05%7.73万
21.07%6万
66.56%6.65万
50.02%8.14万
50.02%8.14万
-短期资本租赁负债
-24.88%5.81万
-47.02%3.18万
3.27%6.86万
9.30%8.9万
9.30%8.9万
2.05%7.73万
21.07%6万
66.56%6.65万
50.02%8.14万
50.02%8.14万
现行拨备
38.29%193.45万
23.84%136.43万
25.17%138.21万
-8.95%128.5万
-8.95%128.5万
--139.89万
--110.16万
--110.41万
--141.13万
--141.13万
其他流动负债
695.55%333.06万
-15.06%651.98万
-38.26%901.94万
-38.06%1,242.63万
-38.06%1,242.63万
-95.91%41.87万
198.27%767.54万
112.85%1,460.88万
98.07%2,006.34万
98.07%2,006.34万
流动负债总额
2.80%1,069.19万
-20.86%1,136.12万
-32.89%1,453.89万
-29.98%1,900.76万
-29.98%1,900.76万
-37.97%1,040.06万
107.64%1,435.56万
111.11%2,166.52万
112.79%2,714.48万
112.79%2,714.48万
非流动负债
长期借款与租赁负债
0.67%6.92万
0.64%6.91万
0.61%6.9万
0.00%6.88万
0.00%6.88万
47.31%6.87万
47.15%6.86万
47.00%6.85万
47.72%6.88万
47.72%6.88万
-长期租赁负债
0.67%6.92万
0.64%6.91万
0.61%6.9万
0.00%6.88万
0.00%6.88万
47.31%6.87万
47.15%6.86万
47.00%6.85万
47.72%6.88万
47.72%6.88万
非流动负债总额
0.67%6.92万
0.64%6.91万
0.61%6.9万
0.00%6.88万
0.00%6.88万
47.31%6.87万
-99.46%6.86万
-99.46%6.85万
-99.46%6.88万
-99.46%6.88万
负债总额
2.79%1,076.11万
-20.76%1,143.02万
-32.79%1,460.78万
-29.90%1,907.65万
-29.90%1,907.65万
-37.73%1,046.93万
-26.26%1,442.43万
-5.13%2,173.37万
7.13%2,721.36万
7.13%2,721.36万
所有者权益
股本
34.66%3.4亿
32.69%3.18亿
31.43%3.02亿
26.40%2.9亿
26.40%2.9亿
29.66%2.52亿
27.58%2.39亿
26.24%2.3亿
26.31%2.3亿
26.31%2.3亿
-普通股股本
34.66%3.4亿
32.69%3.18亿
31.43%3.02亿
26.40%2.9亿
26.40%2.9亿
29.66%2.52亿
27.58%2.39亿
26.24%2.3亿
26.31%2.3亿
26.31%2.3亿
留存收益
-24.02%-2.96亿
-32.09%-2.85亿
-36.57%-2.73亿
-44.48%-2.59亿
-44.48%-2.59亿
-54.22%-2.39亿
-58.15%-2.16亿
-78.23%-2亿
-100.42%-1.8亿
-100.42%-1.8亿
不影响留存收益的损益
2.77%3,550.38万
----
3.91%3,530.6万
----
----
30.85%3,454.85万
20.03%3,433.05万
10.54%3,397.75万
----
----
其他股本权益
----
--3,531.49万
----
3.91%3,475.51万
3.91%3,475.51万
----
----
----
--3,344.72万
--3,344.72万
股东权益总额
64.73%7,891.1万
17.29%6,809.2万
0.74%6,442.49万
-21.53%6,550.3万
-21.53%6,550.3万
-27.48%4,790.32万
-27.31%5,805.3万
-36.44%6,395.18万
-31.94%8,347.39万
-31.94%8,347.39万
总权益
64.73%7,891.1万
17.29%6,809.2万
0.74%6,442.49万
-21.53%6,550.3万
-21.53%6,550.3万
-27.48%4,790.32万
-27.31%5,805.3万
-36.44%6,395.18万
-31.94%8,347.39万
-31.94%8,347.39万
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
--
--
--
--
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 37.72%4,062.71万17.19%5,453.24万-13.68%5,330.93万-36.09%5,729.29万-36.09%5,729.29万-53.09%2,950.06万-42.18%4,653.42万-41.07%6,175.6万-30.55%8,963.96万-30.55%8,963.96万
-现金和现金等价物 50.61%3,910.84万25.93%5,222.66万-10.53%5,025.22万-34.42%5,388.48万-34.42%5,388.48万-53.81%2,596.7万-42.61%4,147.37万-33.70%5,616.63万-18.23%8,216.53万-18.23%8,216.53万
-短期投资 -57.02%151.87万-54.43%230.58万-45.31%305.71万-54.40%340.81万-54.40%340.81万-47.02%353.36万-38.42%506.05万-72.17%558.97万-73.85%747.43万-73.85%747.43万
应收款项 -51.09%182.8万-56.67%158.13万-63.37%216.46万7.34%337.5万7.34%337.5万27.47%373.75万37.26%364.92万173.26%590.89万73.99%314.43万73.99%314.43万
-应收账款 --------154.13%11.55万------------------4.55万--------
-应收利息 86.89%7.31万--7.76万--7.68万--7.53万--7.53万--3.91万----------0--0
-应收税费 -52.55%175.5万-58.79%150.37万-66.36%197.24万4.94%329.96万4.94%329.96万26.14%369.84万38.61%364.92万171.16%586.35万73.99%314.43万73.99%314.43万
预付费用 -21.79%145.63万-13.66%131.32万-9.70%130.84万5.08%151.92万5.08%151.92万23.55%186.2万-1.23%152.1万-24.55%144.9万-33.65%144.57万-33.65%144.57万
套期保值资产 -53.60%5.54万--16.53万--23.37万601.58%18.85万601.58%18.85万543.63%11.94万--0--0-99.20%2.69万-99.20%2.69万
其他流动资产 --260.93万------------------------78.20%10.58万-28.94%7.63万-28.94%7.63万
流动资产合计 32.25%4,657.62万11.39%5,759.22万-17.63%5,701.61万-33.88%6,237.55万-33.88%6,237.55万-47.77%3,521.95万-39.23%5,170.44万-37.38%6,921.97万-30.90%9,433.27万-30.90%9,433.27万
非流动资产
固定资产净额 148.84%4,101.13万3.31%1,683.78万2.66%1,690.45万3.26%1,688.84万3.26%1,688.84万6.80%1,648.11万13.61%1,629.84万26.85%1,646.58万41.76%1,635.48万41.76%1,635.48万
-固定资产 136.76%4,366.74万5.23%1,932.98万4.95%1,922.82万7.36%1,903.63万7.36%1,903.63万11.07%1,844.4万18.31%1,836.97万31.43%1,832.18万44.55%1,773.17万44.55%1,773.17万
-累计折旧 -35.32%-265.61万-20.31%-249.2万-25.20%-232.37万-55.99%-214.78万-55.99%-214.78万-67.29%-196.29万-75.42%-207.13万-93.42%-185.6万-88.70%-137.69万-88.70%-137.69万
投资和预付款 -57.14%179.89万-52.60%212.09万--246.14万--286.13万--286.13万--419.7万--447.44万------0--0
-长期股权投资 -57.14%179.89万-52.60%212.09万--246.14万--286.13万--286.13万--419.7万--447.44万------0--0
长期应收票据 --0--258.16万--255.32万--245.43万--245.43万--247.48万----------0--0
其他非流动资产 --28.57万--38.98万--9.75万----------------------------
非流动资产合计 86.14%4,309.59万5.57%2,193万33.71%2,201.66万35.76%2,220.4万35.76%2,220.4万50.03%2,315.3万44.80%2,077.29万26.85%1,646.58万41.76%1,635.48万41.76%1,635.48万
总资产 53.62%8,967.21万9.72%7,952.22万-7.76%7,903.27万-23.59%8,457.95万-23.59%8,457.95万-29.56%5,837.25万-27.10%7,247.73万-30.63%8,568.56万-25.24%1.11亿-25.24%1.11亿
负债
流动负债
短期借款与资本租赁负债 -24.88%5.81万-47.02%3.18万3.27%6.86万9.30%8.9万9.30%8.9万2.05%7.73万21.07%6万66.56%6.65万50.02%8.14万50.02%8.14万
-短期资本租赁负债 -24.88%5.81万-47.02%3.18万3.27%6.86万9.30%8.9万9.30%8.9万2.05%7.73万21.07%6万66.56%6.65万50.02%8.14万50.02%8.14万
现行拨备 38.29%193.45万23.84%136.43万25.17%138.21万-8.95%128.5万-8.95%128.5万--139.89万--110.16万--110.41万--141.13万--141.13万
其他流动负债 695.55%333.06万-15.06%651.98万-38.26%901.94万-38.06%1,242.63万-38.06%1,242.63万-95.91%41.87万198.27%767.54万112.85%1,460.88万98.07%2,006.34万98.07%2,006.34万
流动负债总额 2.80%1,069.19万-20.86%1,136.12万-32.89%1,453.89万-29.98%1,900.76万-29.98%1,900.76万-37.97%1,040.06万107.64%1,435.56万111.11%2,166.52万112.79%2,714.48万112.79%2,714.48万
非流动负债
长期借款与租赁负债 0.67%6.92万0.64%6.91万0.61%6.9万0.00%6.88万0.00%6.88万47.31%6.87万47.15%6.86万47.00%6.85万47.72%6.88万47.72%6.88万
-长期租赁负债 0.67%6.92万0.64%6.91万0.61%6.9万0.00%6.88万0.00%6.88万47.31%6.87万47.15%6.86万47.00%6.85万47.72%6.88万47.72%6.88万
非流动负债总额 0.67%6.92万0.64%6.91万0.61%6.9万0.00%6.88万0.00%6.88万47.31%6.87万-99.46%6.86万-99.46%6.85万-99.46%6.88万-99.46%6.88万
负债总额 2.79%1,076.11万-20.76%1,143.02万-32.79%1,460.78万-29.90%1,907.65万-29.90%1,907.65万-37.73%1,046.93万-26.26%1,442.43万-5.13%2,173.37万7.13%2,721.36万7.13%2,721.36万
所有者权益
股本 34.66%3.4亿32.69%3.18亿31.43%3.02亿26.40%2.9亿26.40%2.9亿29.66%2.52亿27.58%2.39亿26.24%2.3亿26.31%2.3亿26.31%2.3亿
-普通股股本 34.66%3.4亿32.69%3.18亿31.43%3.02亿26.40%2.9亿26.40%2.9亿29.66%2.52亿27.58%2.39亿26.24%2.3亿26.31%2.3亿26.31%2.3亿
留存收益 -24.02%-2.96亿-32.09%-2.85亿-36.57%-2.73亿-44.48%-2.59亿-44.48%-2.59亿-54.22%-2.39亿-58.15%-2.16亿-78.23%-2亿-100.42%-1.8亿-100.42%-1.8亿
不影响留存收益的损益 2.77%3,550.38万----3.91%3,530.6万--------30.85%3,454.85万20.03%3,433.05万10.54%3,397.75万--------
其他股本权益 ------3,531.49万----3.91%3,475.51万3.91%3,475.51万--------------3,344.72万--3,344.72万
股东权益总额 64.73%7,891.1万17.29%6,809.2万0.74%6,442.49万-21.53%6,550.3万-21.53%6,550.3万-27.48%4,790.32万-27.31%5,805.3万-36.44%6,395.18万-31.94%8,347.39万-31.94%8,347.39万
总权益 64.73%7,891.1万17.29%6,809.2万0.74%6,442.49万-21.53%6,550.3万-21.53%6,550.3万-27.48%4,790.32万-27.31%5,805.3万-36.44%6,395.18万-31.94%8,347.39万-31.94%8,347.39万
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--------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。

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加拿大
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