加拿大市场个股详情

SPB Superior Plus Corp

添加自选
  • 8.110
  • +0.030+0.37%
延时15分钟行情已收盘 07/19 16:00 (美东)
20.16亿总市值1622.00市盈率TTM

Superior Plus Corp关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q3)2022/09/30
(Q2)2022/06/30
资产
流动资产
现金及现金等价物和短期投资
-37.82%3,710万
-28.70%3,067.99万
-28.70%3,067.99万
-2.74%2,986.83万
-3.45%4,301.21万
68.90%5,966.29万
93.18%4,302.98万
93.18%4,302.98万
19.80%3,071.12万
-23.07%4,454.69万
-现金和现金等价物
-37.82%3,710万
-28.70%3,067.99万
-28.70%3,067.99万
-2.74%2,986.83万
-3.45%4,301.21万
68.90%5,966.29万
93.18%4,302.98万
93.18%4,302.98万
19.80%3,071.12万
-23.07%4,454.69万
-应收账款
16.19%3.09亿
9.94%3.04亿
9.94%3.04亿
34.34%2.06亿
36.75%2.27亿
-9.19%2.66亿
17.52%2.77亿
17.52%2.77亿
33.41%1.53亿
57.18%1.66亿
流动资产合计
1.64%4.8亿
-21.50%4.94亿
-21.50%4.94亿
-4.62%3.73亿
7.37%4.23亿
-14.03%4.72亿
44.27%6.29亿
44.27%6.29亿
4.72%3.91亿
21.59%3.94亿
非流动资产
-累计折旧
----
-14.96%-7.91亿
-14.96%-7.91亿
----
----
----
-11.15%-6.88亿
-11.15%-6.88亿
----
----
-长期股权投资
27.67%17.36亿
17.99%18.14亿
17.99%18.14亿
20.36%17.49亿
23.76%17.36亿
-7.78%13.6亿
24.52%15.38亿
24.52%15.38亿
25.62%14.53亿
25.19%14.03亿
-其中:持至到期证券
-4.92%710万
-29.54%550.28万
-29.54%550.28万
84.84%1,162.36万
-43.33%1,380.91万
-84.04%746.71万
-81.07%781.02万
-81.07%781.02万
-92.43%628.85万
-54.83%2,436.89万
金融资产
204.34%90万
1,102.10%354.29万
1,102.10%354.29万
1,643.89%382.55万
-2.77%286.75万
-95.27%29.57万
-95.73%29.47万
-95.73%29.47万
-97.46%21.94万
-75.46%294.91万
长期应收票据
-43.93%970万
-35.30%1,530.23万
-35.30%1,530.23万
61.61%3,001.54万
165.59%2,226.06万
99.98%1,730万
179.23%2,365.16万
179.23%2,365.16万
146.77%1,857.3万
8.26%838.16万
-商誉
16.54%18.94亿
17.39%19.22亿
17.39%19.22亿
18.26%19.33亿
21.32%20.04亿
1.72%16.25亿
18.46%16.37亿
18.46%16.37亿
17.51%16.34亿
20.71%16.52亿
确认的养老福利金
----
----
----
----
----
-7.70%606.24万
----
----
-22.85%489.92万
-14.46%558.78万
监管资产
13.84%3.25亿
-17.82%3.22亿
-17.82%3.22亿
29.06%2.22亿
32.50%2.46亿
-9.43%2.86亿
56.42%3.92亿
56.42%3.92亿
21.13%1.72亿
54.77%1.85亿
负债
流动负债
短期借款与资本租赁负债
22.54%5,780万
23.23%5,638.47万
23.23%5,638.47万
17.91%5,466.05万
21.50%5,629.3万
-13.53%4,716.84万
3.62%4,575.6万
3.62%4,575.6万
17.79%4,635.93万
29.10%4,633.19万
-短期借款
-28.66%770万
-21.89%851.8万
-21.89%851.8万
-16.16%882.81万
37.81%1,358.28万
-35.52%1,079.4万
21.96%1,090.48万
21.96%1,090.48万
24.36%1,052.95万
43.78%985.62万
-短期资本租赁负债
37.73%5,010万
37.35%4,786.67万
37.35%4,786.67万
27.92%4,583.24万
17.09%4,271.02万
-3.79%3,637.44万
-1.03%3,485.12万
-1.03%3,485.12万
15.99%3,582.97万
25.63%3,647.57万
-应付账款
6.06%2.56亿
7.74%3.41亿
7.74%3.41亿
16.25%2.93亿
31.85%2.48亿
16.21%2.41亿
35.79%3.16亿
35.79%3.16亿
27.81%2.52亿
30.25%1.88亿
-应付税费
25.99%19.44亿
18.77%19.97亿
18.77%19.97亿
22.29%19.59亿
24.67%19.54亿
-7.18%15.43亿
25.13%16.81亿
25.13%16.81亿
26.71%16.02亿
25.88%15.67亿
-应付股利
260.06%3,780万
267.44%3,844.41万
267.44%3,844.41万
260.22%3,766.64万
224.11%3,546.61万
4.85%1,049.83万
6.72%1,046.27万
6.72%1,046.27万
5.85%1,045.64万
8.55%1,094.27万
-其他应付款
--680万
11.20%565.36万
11.20%565.36万
--5,054.07万
--4,255.93万
----
--508.4万
--508.4万
----
----
应计费用
14.82%9,830万
7.97%8,472.79万
7.97%8,472.79万
22.68%6,746.12万
56.27%9,447.56万
3.47%8,561.29万
-5.25%7,847.04万
-5.25%7,847.04万
-41.79%5,498.76万
3.25%6,045.65万
现行拨备
251.68%260万
-98.39%37.69万
-98.39%37.69万
302.44%353.12万
-51.38%45.28万
-45.71%73.93万
966.95%2,343.06万
966.95%2,343.06万
-73.35%87.75万
-71.13%93.13万
递延负债
-0.30%1,430万
0.26%1,846.83万
0.26%1,846.83万
16.54%2,045.17万
27.91%1,667.66万
3.50%1,434.27万
14.01%1,842.03万
14.01%1,842.03万
8.14%1,754.92万
-2.02%1,303.81万
流动负债总额
16.81%4.98亿
4.69%5.69亿
4.69%5.69亿
14.48%5.1亿
43.06%4.96亿
6.81%4.27亿
31.20%5.43亿
31.20%5.43亿
10.03%4.46亿
6.03%3.47亿
非流动负债
-长期借款
-2.29%1.24亿
2.42%1.33亿
2.42%1.33亿
9.99%1.34亿
11.00%1.32亿
2.88%1.26亿
27.36%1.29亿
27.36%1.29亿
20.92%1.22亿
16.17%1.19亿
长期应计费用
43.64%14.4亿
45.24%14.6亿
45.24%14.6亿
41.97%14.01亿
41.35%14.02亿
10.48%10.02亿
18.91%10.05亿
18.91%10.05亿
19.83%9.87亿
16.39%9.92亿
衍生品负债
-60.55%210万
-68.83%293.98万
-68.83%293.98万
-59.52%743.03万
-40.97%256.56万
95.46%532.31万
234.03%943.12万
234.03%943.12万
2,501.17%1,835.36万
389.89%434.6万
长期拨备
30.74%16.12亿
19.42%16.82亿
19.42%16.82亿
21.30%16.15亿
24.94%16.04亿
-8.75%12.33亿
24.27%14.08亿
24.27%14.08亿
26.07%13.32亿
26.09%12.84亿
员工福利
-4.52%480万
-6.99%376.9万
-6.99%376.9万
-9.60%456.12万
-9.62%498.03万
-15.18%502.74万
-24.02%405.25万
-24.02%405.25万
-3.95%504.54万
0.47%551.02万
可转换优先证券
55.35%1,160万
2.31%912.11万
2.31%912.11万
43.73%956.37万
-9.71%784.78万
-26.01%746.71万
-49.48%891.54万
-49.48%891.54万
-59.00%665.41万
-58.86%869.21万
非流动负债总额
24.00%24.42亿
15.33%25.65亿
15.33%25.65亿
20.59%24.69亿
28.00%24.5亿
-4.47%19.7亿
26.56%22.24亿
26.56%22.24亿
22.66%20.47亿
21.76%19.14亿
所有者权益
股本
40.14%27.11亿
21.00%23.33亿
21.00%23.33亿
18.40%22.77亿
14.76%23.42亿
2.82%19.35亿
4.65%19.28亿
4.65%19.28亿
4.41%19.23亿
7.72%20.41亿
-普通股股本
40.14%27.11亿
21.00%23.33亿
21.00%23.33亿
18.40%22.77亿
14.76%23.42亿
2.82%19.35亿
4.65%19.28亿
4.65%19.28亿
4.41%19.23亿
7.72%20.41亿
资本公积
23.99%110万
2.31%90.46万
2.31%90.46万
0.61%88.28万
-2.77%90.55万
-7.70%88.72万
-6.06%88.42万
-6.06%88.42万
-6.73%87.75万
-3.77%93.13万
不影响留存收益的损益
-114.66%-1,690万
-24.98%8,827.08万
-24.98%8,827.08万
-14.72%1.19亿
47.04%9,289.09万
274.73%1.15亿
184.15%1.18亿
184.15%1.18亿
209.76%1.39亿
166.43%6,317.28万
其他股本权益
---10万
----
----
----
----
----
----
----
----
----
总权益
22.66%38.31亿
18.17%39亿
18.17%39亿
20.91%37.91亿
23.36%38.96亿
-1.83%31.23亿
18.44%33亿
18.44%33亿
15.65%31.35亿
18.15%31.58亿
(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(Q3)2022/09/30(Q2)2022/06/30
资产
流动资产
现金及现金等价物和短期投资 -37.82%3,710万-28.70%3,067.99万-28.70%3,067.99万-2.74%2,986.83万-3.45%4,301.21万68.90%5,966.29万93.18%4,302.98万93.18%4,302.98万19.80%3,071.12万-23.07%4,454.69万
-现金和现金等价物 -37.82%3,710万-28.70%3,067.99万-28.70%3,067.99万-2.74%2,986.83万-3.45%4,301.21万68.90%5,966.29万93.18%4,302.98万93.18%4,302.98万19.80%3,071.12万-23.07%4,454.69万
-应收账款 16.19%3.09亿9.94%3.04亿9.94%3.04亿34.34%2.06亿36.75%2.27亿-9.19%2.66亿17.52%2.77亿17.52%2.77亿33.41%1.53亿57.18%1.66亿
流动资产合计 1.64%4.8亿-21.50%4.94亿-21.50%4.94亿-4.62%3.73亿7.37%4.23亿-14.03%4.72亿44.27%6.29亿44.27%6.29亿4.72%3.91亿21.59%3.94亿
非流动资产
-累计折旧 -----14.96%-7.91亿-14.96%-7.91亿-------------11.15%-6.88亿-11.15%-6.88亿--------
-长期股权投资 27.67%17.36亿17.99%18.14亿17.99%18.14亿20.36%17.49亿23.76%17.36亿-7.78%13.6亿24.52%15.38亿24.52%15.38亿25.62%14.53亿25.19%14.03亿
-其中:持至到期证券 -4.92%710万-29.54%550.28万-29.54%550.28万84.84%1,162.36万-43.33%1,380.91万-84.04%746.71万-81.07%781.02万-81.07%781.02万-92.43%628.85万-54.83%2,436.89万
金融资产 204.34%90万1,102.10%354.29万1,102.10%354.29万1,643.89%382.55万-2.77%286.75万-95.27%29.57万-95.73%29.47万-95.73%29.47万-97.46%21.94万-75.46%294.91万
长期应收票据 -43.93%970万-35.30%1,530.23万-35.30%1,530.23万61.61%3,001.54万165.59%2,226.06万99.98%1,730万179.23%2,365.16万179.23%2,365.16万146.77%1,857.3万8.26%838.16万
-商誉 16.54%18.94亿17.39%19.22亿17.39%19.22亿18.26%19.33亿21.32%20.04亿1.72%16.25亿18.46%16.37亿18.46%16.37亿17.51%16.34亿20.71%16.52亿
确认的养老福利金 ---------------------7.70%606.24万---------22.85%489.92万-14.46%558.78万
监管资产 13.84%3.25亿-17.82%3.22亿-17.82%3.22亿29.06%2.22亿32.50%2.46亿-9.43%2.86亿56.42%3.92亿56.42%3.92亿21.13%1.72亿54.77%1.85亿
负债
流动负债
短期借款与资本租赁负债 22.54%5,780万23.23%5,638.47万23.23%5,638.47万17.91%5,466.05万21.50%5,629.3万-13.53%4,716.84万3.62%4,575.6万3.62%4,575.6万17.79%4,635.93万29.10%4,633.19万
-短期借款 -28.66%770万-21.89%851.8万-21.89%851.8万-16.16%882.81万37.81%1,358.28万-35.52%1,079.4万21.96%1,090.48万21.96%1,090.48万24.36%1,052.95万43.78%985.62万
-短期资本租赁负债 37.73%5,010万37.35%4,786.67万37.35%4,786.67万27.92%4,583.24万17.09%4,271.02万-3.79%3,637.44万-1.03%3,485.12万-1.03%3,485.12万15.99%3,582.97万25.63%3,647.57万
-应付账款 6.06%2.56亿7.74%3.41亿7.74%3.41亿16.25%2.93亿31.85%2.48亿16.21%2.41亿35.79%3.16亿35.79%3.16亿27.81%2.52亿30.25%1.88亿
-应付税费 25.99%19.44亿18.77%19.97亿18.77%19.97亿22.29%19.59亿24.67%19.54亿-7.18%15.43亿25.13%16.81亿25.13%16.81亿26.71%16.02亿25.88%15.67亿
-应付股利 260.06%3,780万267.44%3,844.41万267.44%3,844.41万260.22%3,766.64万224.11%3,546.61万4.85%1,049.83万6.72%1,046.27万6.72%1,046.27万5.85%1,045.64万8.55%1,094.27万
-其他应付款 --680万11.20%565.36万11.20%565.36万--5,054.07万--4,255.93万------508.4万--508.4万--------
应计费用 14.82%9,830万7.97%8,472.79万7.97%8,472.79万22.68%6,746.12万56.27%9,447.56万3.47%8,561.29万-5.25%7,847.04万-5.25%7,847.04万-41.79%5,498.76万3.25%6,045.65万
现行拨备 251.68%260万-98.39%37.69万-98.39%37.69万302.44%353.12万-51.38%45.28万-45.71%73.93万966.95%2,343.06万966.95%2,343.06万-73.35%87.75万-71.13%93.13万
递延负债 -0.30%1,430万0.26%1,846.83万0.26%1,846.83万16.54%2,045.17万27.91%1,667.66万3.50%1,434.27万14.01%1,842.03万14.01%1,842.03万8.14%1,754.92万-2.02%1,303.81万
流动负债总额 16.81%4.98亿4.69%5.69亿4.69%5.69亿14.48%5.1亿43.06%4.96亿6.81%4.27亿31.20%5.43亿31.20%5.43亿10.03%4.46亿6.03%3.47亿
非流动负债
-长期借款 -2.29%1.24亿2.42%1.33亿2.42%1.33亿9.99%1.34亿11.00%1.32亿2.88%1.26亿27.36%1.29亿27.36%1.29亿20.92%1.22亿16.17%1.19亿
长期应计费用 43.64%14.4亿45.24%14.6亿45.24%14.6亿41.97%14.01亿41.35%14.02亿10.48%10.02亿18.91%10.05亿18.91%10.05亿19.83%9.87亿16.39%9.92亿
衍生品负债 -60.55%210万-68.83%293.98万-68.83%293.98万-59.52%743.03万-40.97%256.56万95.46%532.31万234.03%943.12万234.03%943.12万2,501.17%1,835.36万389.89%434.6万
长期拨备 30.74%16.12亿19.42%16.82亿19.42%16.82亿21.30%16.15亿24.94%16.04亿-8.75%12.33亿24.27%14.08亿24.27%14.08亿26.07%13.32亿26.09%12.84亿
员工福利 -4.52%480万-6.99%376.9万-6.99%376.9万-9.60%456.12万-9.62%498.03万-15.18%502.74万-24.02%405.25万-24.02%405.25万-3.95%504.54万0.47%551.02万
可转换优先证券 55.35%1,160万2.31%912.11万2.31%912.11万43.73%956.37万-9.71%784.78万-26.01%746.71万-49.48%891.54万-49.48%891.54万-59.00%665.41万-58.86%869.21万
非流动负债总额 24.00%24.42亿15.33%25.65亿15.33%25.65亿20.59%24.69亿28.00%24.5亿-4.47%19.7亿26.56%22.24亿26.56%22.24亿22.66%20.47亿21.76%19.14亿
所有者权益
股本 40.14%27.11亿21.00%23.33亿21.00%23.33亿18.40%22.77亿14.76%23.42亿2.82%19.35亿4.65%19.28亿4.65%19.28亿4.41%19.23亿7.72%20.41亿
-普通股股本 40.14%27.11亿21.00%23.33亿21.00%23.33亿18.40%22.77亿14.76%23.42亿2.82%19.35亿4.65%19.28亿4.65%19.28亿4.41%19.23亿7.72%20.41亿
资本公积 23.99%110万2.31%90.46万2.31%90.46万0.61%88.28万-2.77%90.55万-7.70%88.72万-6.06%88.42万-6.06%88.42万-6.73%87.75万-3.77%93.13万
不影响留存收益的损益 -114.66%-1,690万-24.98%8,827.08万-24.98%8,827.08万-14.72%1.19亿47.04%9,289.09万274.73%1.15亿184.15%1.18亿184.15%1.18亿209.76%1.39亿166.43%6,317.28万
其他股本权益 ---10万------------------------------------
总权益 22.66%38.31亿18.17%39亿18.17%39亿20.91%37.91亿23.36%38.96亿-1.83%31.23亿18.44%33亿18.44%33亿15.65%31.35亿18.15%31.58亿

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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