美股市场个股详情

PLTXF PLANTX LIFE INC

添加自选
  • 0.501200
  • -0.168160-25.12%
延时15分钟行情收盘价 10/09 16:00 (美东)
50.74万总市值-1249市盈率TTM

PLANTX LIFE INC关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2024/06/30
(FY)2024/03/31
(Q4)2024/03/31
(Q3)2023/12/31
(Q2)2023/09/30
(Q1)2023/06/30
(FY)2023/03/31
(Q4)2023/03/31
(Q3)2022/12/31
(Q2)2022/09/30
资产
流动资产
现金及现金等价物和短期投资
-46.71%8.56万
-53.54%7.39万
-53.54%7.39万
20.96%19.2万
424.76%89.44万
-12.72%16.06万
-87.67%15.92万
-87.67%15.92万
-91.98%15.87万
-98.22%17.04万
-现金和现金等价物
-46.71%8.56万
-53.54%7.39万
-53.54%7.39万
20.96%19.2万
424.76%89.44万
-12.72%16.06万
-87.67%15.92万
-87.67%15.92万
-91.98%15.87万
-98.22%17.04万
应收款项
-73.31%12.54万
-91.52%6.65万
-91.52%6.65万
136.53%66.9万
-47.64%68.22万
-64.18%47万
8.23%78.42万
8.23%78.42万
-87.89%28.28万
-38.22%130.31万
-应收账款
-73.31%12.54万
-91.52%6.65万
-91.52%6.65万
136.53%66.9万
-47.64%68.22万
-64.18%47万
8.23%78.42万
8.23%78.42万
-86.90%28.28万
-34.37%130.31万
存货
-95.37%2.92万
-97.59%1.84万
-97.59%1.84万
-58.93%56.4万
-61.16%61.18万
-56.68%63.06万
-29.75%76.48万
-29.75%76.48万
-19.60%137.31万
72.12%157.5万
预付费用
-89.81%1.01万
-34.40%3.62万
-34.40%3.62万
-69.56%8.1万
-79.67%7.49万
-76.21%9.91万
-90.14%5.53万
-90.14%5.53万
-46.13%26.6万
-46.85%36.85万
其他流动资产
----
-75.93%4,599
-75.93%4,599
--1.01万
--1.82万
--2.04万
--1.91万
--1.91万
----
----
流动资产合计
-81.87%25.03万
-88.80%19.97万
-88.80%19.97万
-27.14%151.6万
-33.23%228.15万
-59.01%138.08万
-51.35%178.25万
-51.35%178.25万
-68.07%208.07万
-74.31%341.7万
非流动资产
固定资产净额
-91.63%39.45万
-90.94%43.37万
-90.94%43.37万
-37.88%457.25万
-38.57%465.68万
-38.15%471.25万
-38.63%478.44万
-38.63%478.44万
105.54%736.1万
182.98%758.1万
-固定资产
-93.45%46.61万
-92.95%50.32万
-92.95%50.32万
-17.13%705.42万
-20.25%713.43万
-18.18%711.63万
-26.79%714.03万
-26.79%714.03万
65.66%851.19万
191.87%894.59万
-累计折旧
97.02%-7.15万
97.05%-6.95万
97.05%-6.95万
-115.64%-248.17万
-81.52%-247.76万
-122.91%-240.38万
-20.38%-235.59万
-20.38%-235.59万
26.08%-115.09万
-253.53%-136.49万
商誉及其他无形资产
----
--0
--0
-23.76%95.65万
57.07%95.85万
45.84%97.59万
34.43%98.76万
34.43%98.76万
-94.65%125.45万
-96.80%61.02万
-其他无形资产
----
----
----
-23.76%95.65万
57.07%95.85万
45.84%97.59万
34.43%98.76万
34.43%98.76万
124.93%125.45万
9.34%61.02万
投资和预付款
--161.42万
--161.42万
--161.42万
----
----
----
--0
--0
----
----
非流动资产合计
-64.69%200.88万
-64.52%204.79万
-64.52%204.79万
-35.83%552.9万
-31.45%561.52万
-31.36%568.84万
-32.34%577.2万
-32.34%577.2万
-68.11%861.56万
-62.35%819.12万
总资产
-68.04%225.91万
-70.25%224.76万
-70.25%224.76万
-34.14%704.5万
-31.97%789.68万
-39.36%706.92万
-38.05%755.45万
-38.05%755.45万
-68.11%1,069.62万
-66.89%1,160.83万
负债
流动负债
应付款项
-50.69%409.5万
-41.02%434.54万
-41.02%434.54万
46.93%896.79万
103.55%1,124.25万
91.71%830.42万
262.54%736.76万
262.54%736.76万
118.04%610.34万
148.82%552.33万
-应付账款
-55.77%346.32万
-44.59%379.31万
-44.59%379.31万
40.48%835.1万
108.51%1,067.58万
92.45%783.01万
261.27%684.6万
261.27%684.6万
112.37%594.48万
130.65%511.99万
-应付关联方款项
33.28%63.18万
5.89%55.23万
5.89%55.23万
288.94%61.7万
40.51%56.68万
80.25%47.4万
280.04%52.15万
280.04%52.15万
--15.86万
--40.34万
应计费用
-20.11%137.12万
-17.73%144.71万
-17.73%144.71万
2.95%187.72万
37.32%183.62万
30.70%171.63万
50.29%175.89万
50.29%175.89万
135.10%182.33万
499.89%133.72万
短期借款与租赁负债
656.15%904.68万
-88.63%81.37万
-88.63%81.37万
38.04%344万
86.47%348.42万
-44.03%119.64万
254.28%715.64万
254.28%715.64万
305.39%249.21万
205.33%186.86万
-短期借款
1,426.03%888.08万
-22.57%60.76万
-22.57%60.76万
314.01%294.26万
435.53%284.82万
-31.38%58.2万
-9.47%78.47万
-9.47%78.47万
514.49%71.07万
343.55%53.18万
-短期租赁负债
-73.00%16.59万
-96.77%20.61万
-96.77%20.61万
-72.07%49.74万
-52.42%63.61万
-52.35%61.45万
452.52%637.17万
452.52%637.17万
256.93%178.13万
171.65%133.67万
递延负债
-5.40%15万
-7.25%14.88万
-7.25%14.88万
2.96%16.38万
7.56%15.98万
5.77%15.86万
5.81%16.04万
5.81%16.04万
98.42%15.91万
85.39%14.86万
其他流动负债
-99.80%2,690
-99.81%2,487
-99.81%2,487
7.89%131.33万
15.28%140.32万
11.95%136.28万
7.47%130.83万
7.47%130.83万
--121.73万
10,029.65%121.73万
流动负债总额
15.13%1,466.56万
-61.93%675.74万
-61.93%675.74万
33.63%1,576.23万
79.56%1,812.6万
39.22%1,273.83万
169.31%1,775.15万
169.31%1,775.15万
176.25%1,179.52万
220.79%1,009.49万
非流动负债
长期借款与租赁负债
-98.84%15.78万
-0.06%756.03万
-0.06%756.03万
1.07%1,178.04万
30.47%1,239.04万
76.28%1,359.35万
25.52%756.52万
25.52%756.52万
699.79%1,165.61万
482.39%949.64万
-长期借款
----
6.88%740.44万
6.88%740.44万
-6.41%592.99万
52.22%642.32万
240.51%751.66万
3,336.92%692.77万
3,336.92%692.77万
2,652.69%633.59万
1,461.38%421.97万
-长期租赁负债
-97.40%15.78万
-75.54%15.59万
-75.54%15.59万
9.97%585.05万
13.09%596.72万
10.41%607.7万
-89.06%63.74万
-89.06%63.74万
333.52%532.02万
287.89%527.67万
衍生品负债
----
--0
--0
-47.93%30.07万
-47.93%30.07万
-47.93%30.07万
-47.93%30.07万
-47.93%30.07万
--57.75万
--57.75万
非流动负债总额
-98.86%15.78万
-3.89%756.03万
-3.89%756.03万
-1.25%1,208.12万
25.98%1,269.11万
67.62%1,389.43万
19.10%786.59万
19.10%786.59万
739.42%1,223.37万
517.81%1,007.39万
总负债
-44.34%1,482.35万
-44.11%1,431.77万
-44.11%1,431.77万
15.87%2,784.34万
52.80%3,081.71万
52.72%2,663.25万
94.13%2,561.74万
94.13%2,561.74万
319.56%2,402.88万
322.17%2,016.88万
所有者权益
股本
1.22%6,115.8万
2.78%6,115.8万
2.78%6,115.8万
4.74%6,085.8万
6.49%6,075.5万
6.10%6,041.85万
11.89%5,950.61万
11.89%5,950.61万
25.45%5,810.26万
33.35%5,705.26万
-普通股股本
1.22%6,115.8万
2.78%6,115.8万
2.78%6,115.8万
4.74%6,085.8万
6.49%6,075.5万
6.10%6,041.85万
11.89%5,950.61万
11.89%5,950.61万
25.45%5,810.26万
33.35%5,705.26万
留存收益
6.36%-9,910.42万
-5.35%-9,875.86万
-5.35%-9,875.86万
-0.28%-9,654.33万
-8.72%-9,980.95万
-20.22%-1.06亿
-13.12%-9,374.39万
-13.12%-9,374.39万
-84.64%-9,627.44万
-105.12%-9,180.44万
资本公积
-0.58%2,517.38万
0.17%2,535.69万
0.17%2,535.69万
-0.01%2,531.64万
0.00%2,531.94万
1.30%2,531.94万
-6.67%2,531.46万
-6.67%2,531.46万
-13.30%2,531.93万
-14.95%2,531.93万
不影响留存收益的损益
----
-102.86%-3.44万
-102.86%-3.44万
-77.13%-104.92万
-226.90%-93.03万
518.91%50.76万
365.08%120.24万
365.08%120.24万
-4,154.46%-59.23万
32,453.69%73.31万
其他权益
0.00%20.8万
0.00%20.8万
0.00%20.8万
0.00%20.8万
0.00%20.8万
-33.87%20.8万
-84.50%20.8万
-84.50%20.8万
-95.29%20.8万
-91.60%20.8万
股东权益总额
35.19%-1,256.44万
-60.66%-1,207.01万
-60.66%-1,207.01万
15.31%-1,121.01万
-70.26%-1,445.74万
-240.07%-1,938.53万
-678.53%-751.27万
-678.53%-751.27万
-147.65%-1,323.68万
-128.05%-849.13万
非控制性权益
----
--0
--0
-9,901.41%-958.84万
-12,116.13%-846.3万
-118.39%-17.8万
-29,521.27%-1,055.02万
-29,521.27%-1,055.02万
-414.26%-9.59万
---6.93万
总权益
35.78%-1,256.44万
33.18%-1,207.01万
33.18%-1,207.01万
-56.00%-2,079.84万
-167.74%-2,292.04万
-238.35%-1,956.33万
-1,705.20%-1,806.29万
-1,705.20%-1,806.29万
-147.94%-1,333.26万
-128.27%-856.06万
货币单位
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
审计意见
--
带解释段的无保留意见
--
--
--
--
带解释段的无保留意见
--
--
--
(Q1)2024/06/30(FY)2024/03/31(Q4)2024/03/31(Q3)2023/12/31(Q2)2023/09/30(Q1)2023/06/30(FY)2023/03/31(Q4)2023/03/31(Q3)2022/12/31(Q2)2022/09/30
资产
流动资产
现金及现金等价物和短期投资 -46.71%8.56万-53.54%7.39万-53.54%7.39万20.96%19.2万424.76%89.44万-12.72%16.06万-87.67%15.92万-87.67%15.92万-91.98%15.87万-98.22%17.04万
-现金和现金等价物 -46.71%8.56万-53.54%7.39万-53.54%7.39万20.96%19.2万424.76%89.44万-12.72%16.06万-87.67%15.92万-87.67%15.92万-91.98%15.87万-98.22%17.04万
应收款项 -73.31%12.54万-91.52%6.65万-91.52%6.65万136.53%66.9万-47.64%68.22万-64.18%47万8.23%78.42万8.23%78.42万-87.89%28.28万-38.22%130.31万
-应收账款 -73.31%12.54万-91.52%6.65万-91.52%6.65万136.53%66.9万-47.64%68.22万-64.18%47万8.23%78.42万8.23%78.42万-86.90%28.28万-34.37%130.31万
存货 -95.37%2.92万-97.59%1.84万-97.59%1.84万-58.93%56.4万-61.16%61.18万-56.68%63.06万-29.75%76.48万-29.75%76.48万-19.60%137.31万72.12%157.5万
预付费用 -89.81%1.01万-34.40%3.62万-34.40%3.62万-69.56%8.1万-79.67%7.49万-76.21%9.91万-90.14%5.53万-90.14%5.53万-46.13%26.6万-46.85%36.85万
其他流动资产 -----75.93%4,599-75.93%4,599--1.01万--1.82万--2.04万--1.91万--1.91万--------
流动资产合计 -81.87%25.03万-88.80%19.97万-88.80%19.97万-27.14%151.6万-33.23%228.15万-59.01%138.08万-51.35%178.25万-51.35%178.25万-68.07%208.07万-74.31%341.7万
非流动资产
固定资产净额 -91.63%39.45万-90.94%43.37万-90.94%43.37万-37.88%457.25万-38.57%465.68万-38.15%471.25万-38.63%478.44万-38.63%478.44万105.54%736.1万182.98%758.1万
-固定资产 -93.45%46.61万-92.95%50.32万-92.95%50.32万-17.13%705.42万-20.25%713.43万-18.18%711.63万-26.79%714.03万-26.79%714.03万65.66%851.19万191.87%894.59万
-累计折旧 97.02%-7.15万97.05%-6.95万97.05%-6.95万-115.64%-248.17万-81.52%-247.76万-122.91%-240.38万-20.38%-235.59万-20.38%-235.59万26.08%-115.09万-253.53%-136.49万
商誉及其他无形资产 ------0--0-23.76%95.65万57.07%95.85万45.84%97.59万34.43%98.76万34.43%98.76万-94.65%125.45万-96.80%61.02万
-其他无形资产 -------------23.76%95.65万57.07%95.85万45.84%97.59万34.43%98.76万34.43%98.76万124.93%125.45万9.34%61.02万
投资和预付款 --161.42万--161.42万--161.42万--------------0--0--------
非流动资产合计 -64.69%200.88万-64.52%204.79万-64.52%204.79万-35.83%552.9万-31.45%561.52万-31.36%568.84万-32.34%577.2万-32.34%577.2万-68.11%861.56万-62.35%819.12万
总资产 -68.04%225.91万-70.25%224.76万-70.25%224.76万-34.14%704.5万-31.97%789.68万-39.36%706.92万-38.05%755.45万-38.05%755.45万-68.11%1,069.62万-66.89%1,160.83万
负债
流动负债
应付款项 -50.69%409.5万-41.02%434.54万-41.02%434.54万46.93%896.79万103.55%1,124.25万91.71%830.42万262.54%736.76万262.54%736.76万118.04%610.34万148.82%552.33万
-应付账款 -55.77%346.32万-44.59%379.31万-44.59%379.31万40.48%835.1万108.51%1,067.58万92.45%783.01万261.27%684.6万261.27%684.6万112.37%594.48万130.65%511.99万
-应付关联方款项 33.28%63.18万5.89%55.23万5.89%55.23万288.94%61.7万40.51%56.68万80.25%47.4万280.04%52.15万280.04%52.15万--15.86万--40.34万
应计费用 -20.11%137.12万-17.73%144.71万-17.73%144.71万2.95%187.72万37.32%183.62万30.70%171.63万50.29%175.89万50.29%175.89万135.10%182.33万499.89%133.72万
短期借款与租赁负债 656.15%904.68万-88.63%81.37万-88.63%81.37万38.04%344万86.47%348.42万-44.03%119.64万254.28%715.64万254.28%715.64万305.39%249.21万205.33%186.86万
-短期借款 1,426.03%888.08万-22.57%60.76万-22.57%60.76万314.01%294.26万435.53%284.82万-31.38%58.2万-9.47%78.47万-9.47%78.47万514.49%71.07万343.55%53.18万
-短期租赁负债 -73.00%16.59万-96.77%20.61万-96.77%20.61万-72.07%49.74万-52.42%63.61万-52.35%61.45万452.52%637.17万452.52%637.17万256.93%178.13万171.65%133.67万
递延负债 -5.40%15万-7.25%14.88万-7.25%14.88万2.96%16.38万7.56%15.98万5.77%15.86万5.81%16.04万5.81%16.04万98.42%15.91万85.39%14.86万
其他流动负债 -99.80%2,690-99.81%2,487-99.81%2,4877.89%131.33万15.28%140.32万11.95%136.28万7.47%130.83万7.47%130.83万--121.73万10,029.65%121.73万
流动负债总额 15.13%1,466.56万-61.93%675.74万-61.93%675.74万33.63%1,576.23万79.56%1,812.6万39.22%1,273.83万169.31%1,775.15万169.31%1,775.15万176.25%1,179.52万220.79%1,009.49万
非流动负债
长期借款与租赁负债 -98.84%15.78万-0.06%756.03万-0.06%756.03万1.07%1,178.04万30.47%1,239.04万76.28%1,359.35万25.52%756.52万25.52%756.52万699.79%1,165.61万482.39%949.64万
-长期借款 ----6.88%740.44万6.88%740.44万-6.41%592.99万52.22%642.32万240.51%751.66万3,336.92%692.77万3,336.92%692.77万2,652.69%633.59万1,461.38%421.97万
-长期租赁负债 -97.40%15.78万-75.54%15.59万-75.54%15.59万9.97%585.05万13.09%596.72万10.41%607.7万-89.06%63.74万-89.06%63.74万333.52%532.02万287.89%527.67万
衍生品负债 ------0--0-47.93%30.07万-47.93%30.07万-47.93%30.07万-47.93%30.07万-47.93%30.07万--57.75万--57.75万
非流动负债总额 -98.86%15.78万-3.89%756.03万-3.89%756.03万-1.25%1,208.12万25.98%1,269.11万67.62%1,389.43万19.10%786.59万19.10%786.59万739.42%1,223.37万517.81%1,007.39万
总负债 -44.34%1,482.35万-44.11%1,431.77万-44.11%1,431.77万15.87%2,784.34万52.80%3,081.71万52.72%2,663.25万94.13%2,561.74万94.13%2,561.74万319.56%2,402.88万322.17%2,016.88万
所有者权益
股本 1.22%6,115.8万2.78%6,115.8万2.78%6,115.8万4.74%6,085.8万6.49%6,075.5万6.10%6,041.85万11.89%5,950.61万11.89%5,950.61万25.45%5,810.26万33.35%5,705.26万
-普通股股本 1.22%6,115.8万2.78%6,115.8万2.78%6,115.8万4.74%6,085.8万6.49%6,075.5万6.10%6,041.85万11.89%5,950.61万11.89%5,950.61万25.45%5,810.26万33.35%5,705.26万
留存收益 6.36%-9,910.42万-5.35%-9,875.86万-5.35%-9,875.86万-0.28%-9,654.33万-8.72%-9,980.95万-20.22%-1.06亿-13.12%-9,374.39万-13.12%-9,374.39万-84.64%-9,627.44万-105.12%-9,180.44万
资本公积 -0.58%2,517.38万0.17%2,535.69万0.17%2,535.69万-0.01%2,531.64万0.00%2,531.94万1.30%2,531.94万-6.67%2,531.46万-6.67%2,531.46万-13.30%2,531.93万-14.95%2,531.93万
不影响留存收益的损益 -----102.86%-3.44万-102.86%-3.44万-77.13%-104.92万-226.90%-93.03万518.91%50.76万365.08%120.24万365.08%120.24万-4,154.46%-59.23万32,453.69%73.31万
其他权益 0.00%20.8万0.00%20.8万0.00%20.8万0.00%20.8万0.00%20.8万-33.87%20.8万-84.50%20.8万-84.50%20.8万-95.29%20.8万-91.60%20.8万
股东权益总额 35.19%-1,256.44万-60.66%-1,207.01万-60.66%-1,207.01万15.31%-1,121.01万-70.26%-1,445.74万-240.07%-1,938.53万-678.53%-751.27万-678.53%-751.27万-147.65%-1,323.68万-128.05%-849.13万
非控制性权益 ------0--0-9,901.41%-958.84万-12,116.13%-846.3万-118.39%-17.8万-29,521.27%-1,055.02万-29,521.27%-1,055.02万-414.26%-9.59万---6.93万
总权益 35.78%-1,256.44万33.18%-1,207.01万33.18%-1,207.01万-56.00%-2,079.84万-167.74%-2,292.04万-238.35%-1,956.33万-1,705.20%-1,806.29万-1,705.20%-1,806.29万-147.94%-1,333.26万-128.27%-856.06万
货币单位 加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元
审计意见 --带解释段的无保留意见--------带解释段的无保留意见------

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