加拿大市场个股详情

VEGI Boosh Plant-Based Brands Inc

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延时15分钟行情交易中 08/02 15:58 (美东)
69.97万总市值-36市盈率TTM

Boosh Plant-Based Brands Inc关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q1)2022/06/30
(FY)2022/03/31
(Q4)2022/03/31
资产
流动资产
现金及现金等价物和短期投资
-87.82%2.25万
-70.72%4.82万
-66.76%2.69万
-77.65%4.85万
-77.65%4.85万
-81.11%18.45万
-76.39%16.45万
-94.09%8.1万
120.51%21.71万
120.51%21.71万
-现金和现金等价物
-87.82%2.25万
-70.72%4.82万
-66.76%2.69万
-77.65%4.85万
-77.65%4.85万
-81.11%18.45万
-76.39%16.45万
-94.09%8.1万
120.51%21.71万
120.51%21.71万
-应收账款
-85.22%9.19万
-84.24%9.18万
-88.69%8.99万
-31.21%16.81万
-31.21%16.81万
833.12%62.18万
440.06%58.23万
2,711.34%79.5万
483.00%24.44万
483.00%24.44万
-其他应收款
----
----
--30.65万
105.04%30.63万
105.04%30.63万
41.07%27.47万
----
----
--14.94万
--14.94万
流动资产合计
-83.54%32.7万
-78.78%41.1万
-77.07%47.32万
-77.49%54.32万
-77.49%54.32万
11.12%198.68万
17.33%193.71万
-13.73%206.35万
745.70%241.31万
745.70%241.31万
非流动资产
-累计折旧
2.84%-4.13万
-3.42%-3.82万
12.63%-3.44万
-5.58%-3.1万
-5.58%-3.1万
-237.51%-4.25万
-408.02%-3.69万
-1,586.75%-3.93万
-4,388.53%-2.94万
-4,388.53%-2.94万
-长期股权投资
-13.64%25.49万
12.03%25.61万
--25.88万
16,116.73%25.98万
16,116.73%25.98万
--29.52万
--22.86万
--0
-88.20%1,602
-88.20%1,602
-商誉
----
----
----
--0
--0
1,667.54%841.84万
4,120.71%860.12万
16,480.12%855.95万
16,358.68%860.48万
16,358.68%860.48万
-其他无形资产
----
----
----
----
----
----
----
--17万
----
----
监管资产
-77.18%15.32万
-76.60%15.28万
-80.92%20.09万
-81.92%22.35万
-81.92%22.35万
306.27%67.14万
289.29%65.31万
1,552.87%105.28万
2,315.35%123.63万
2,315.35%123.63万
总资产
58.70%6.12万
-11.25%5.91万
46.25%10.43万
-18.33%5.54万
-18.33%5.54万
-42.78%3.86万
11.15%6.66万
101.41%7.13万
632.10%6.79万
632.10%6.79万
负债
流动负债
短期借款与资本租赁负债
-1.93%56.38万
3.51%57.4万
5.15%55.87万
8.95%56.9万
8.95%56.9万
1,625.94%57.49万
959.89%55.46万
652.15%53.13万
134.06%52.23万
134.06%52.23万
-短期借款
-1.56%52.9万
-0.28%54.08万
2.23%52.69万
9.70%53.86万
9.70%53.86万
--53.74万
--54.23万
--51.54万
230.75%49.1万
230.75%49.1万
-短期资本租赁负债
-7.10%3.48万
171.67%3.32万
99.64%3.17万
-2.89%3.04万
-2.89%3.04万
12.37%3.74万
-76.62%1.22万
-77.49%1.59万
-58.04%3.14万
-58.04%3.14万
-应付账款
15.14%300.37万
39.80%300.07万
34.58%272.33万
57.57%240.68万
57.57%240.68万
991.32%260.87万
1,415.95%214.64万
1,406.95%202.35万
874.32%152.74万
874.32%152.74万
-应付税费
-13.64%25.49万
12.03%25.61万
--25.88万
16,116.73%25.98万
16,116.73%25.98万
--29.52万
--22.86万
--0
-88.20%1,602
-88.20%1,602
-应付关联方款项
68.61%2.97万
22.39%2.76万
26.11%2.68万
106.34%2.73万
106.34%2.73万
34.41%1.76万
435.95%2.25万
7,442.55%2.13万
-80.09%1.32万
-80.09%1.32万
应计费用
128.48%111.08万
88.21%102.69万
-8.87%64.18万
-20.03%76.12万
-20.03%76.12万
1,090.49%48.62万
1,640.45%54.56万
1,955.45%70.43万
430.42%95.18万
430.42%95.18万
递延负债
132.00%27.68万
29.64%28.43万
--27.38万
--28.56万
--28.56万
--11.93万
--21.93万
----
--0
--0
流动负债总额
22.14%498.48万
31.19%491.35万
29.35%453.08万
37.67%435.62万
37.67%435.62万
627.43%408.14万
1,428.06%374.53万
1,340.62%350.26万
405.03%316.41万
405.03%316.41万
非流动负债
-长期借款
-52.72%3.04万
--3.89万
--4.85万
3,398.06%5.6万
3,398.06%5.6万
--6.42万
--0
--0
-88.20%1,602
-88.20%1,602
长期应计费用
-49.15%7.15万
29.23%8.3万
-1.95%9.77万
-14.57%11.17万
-14.57%11.17万
-25.96%14.06万
-52.52%6.42万
-27.40%9.96万
5.38%13.07万
5.38%13.07万
长期拨备
-2.77%22.45万
-5.01%21.72万
--21.02万
--20.38万
--20.38万
--23.1万
--22.86万
----
----
----
非流动负债总额
19.72%523.98万
30.09%516.96万
36.74%478.96万
45.81%461.59万
45.81%461.59万
680.04%437.65万
1,521.33%397.39万
1,340.62%350.26万
394.57%316.57万
394.57%316.57万
所有者权益
股本
16.74%1,940.51万
19.13%1,940.51万
20.46%1,912.01万
15.88%1,821.74万
15.88%1,821.74万
170.99%1,662.18万
267.02%1,628.95万
301.86%1,587.24万
1,975.70%1,572.03万
1,975.70%1,572.03万
-普通股股本
16.74%1,940.51万
19.13%1,940.51万
20.46%1,912.01万
15.88%1,821.74万
15.88%1,821.74万
170.99%1,662.18万
267.02%1,628.95万
301.86%1,587.24万
1,975.70%1,572.03万
1,975.70%1,572.03万
不影响留存收益的损益
-13.56%154.37万
-18.13%129.14万
-7.26%152.82万
22.94%199.34万
22.94%199.34万
20.94%178.59万
48.67%157.73万
142.87%164.79万
363.86%162.14万
363.86%162.14万
其他股本权益
----
---1
----
----
----
----
----
---140
----
----
总权益
-96.22%39.86万
-95.33%49.52万
-94.68%57.09万
-94.13%65.49万
-94.13%65.49万
329.71%1,054.58万
432.77%1,060.25万
315.47%1,072.26万
2,314.99%1,114.85万
2,314.99%1,114.85万
(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(Q1)2022/06/30(FY)2022/03/31(Q4)2022/03/31
资产
流动资产
现金及现金等价物和短期投资 -87.82%2.25万-70.72%4.82万-66.76%2.69万-77.65%4.85万-77.65%4.85万-81.11%18.45万-76.39%16.45万-94.09%8.1万120.51%21.71万120.51%21.71万
-现金和现金等价物 -87.82%2.25万-70.72%4.82万-66.76%2.69万-77.65%4.85万-77.65%4.85万-81.11%18.45万-76.39%16.45万-94.09%8.1万120.51%21.71万120.51%21.71万
-应收账款 -85.22%9.19万-84.24%9.18万-88.69%8.99万-31.21%16.81万-31.21%16.81万833.12%62.18万440.06%58.23万2,711.34%79.5万483.00%24.44万483.00%24.44万
-其他应收款 ----------30.65万105.04%30.63万105.04%30.63万41.07%27.47万----------14.94万--14.94万
流动资产合计 -83.54%32.7万-78.78%41.1万-77.07%47.32万-77.49%54.32万-77.49%54.32万11.12%198.68万17.33%193.71万-13.73%206.35万745.70%241.31万745.70%241.31万
非流动资产
-累计折旧 2.84%-4.13万-3.42%-3.82万12.63%-3.44万-5.58%-3.1万-5.58%-3.1万-237.51%-4.25万-408.02%-3.69万-1,586.75%-3.93万-4,388.53%-2.94万-4,388.53%-2.94万
-长期股权投资 -13.64%25.49万12.03%25.61万--25.88万16,116.73%25.98万16,116.73%25.98万--29.52万--22.86万--0-88.20%1,602-88.20%1,602
-商誉 --------------0--01,667.54%841.84万4,120.71%860.12万16,480.12%855.95万16,358.68%860.48万16,358.68%860.48万
-其他无形资产 ------------------------------17万--------
监管资产 -77.18%15.32万-76.60%15.28万-80.92%20.09万-81.92%22.35万-81.92%22.35万306.27%67.14万289.29%65.31万1,552.87%105.28万2,315.35%123.63万2,315.35%123.63万
总资产 58.70%6.12万-11.25%5.91万46.25%10.43万-18.33%5.54万-18.33%5.54万-42.78%3.86万11.15%6.66万101.41%7.13万632.10%6.79万632.10%6.79万
负债
流动负债
短期借款与资本租赁负债 -1.93%56.38万3.51%57.4万5.15%55.87万8.95%56.9万8.95%56.9万1,625.94%57.49万959.89%55.46万652.15%53.13万134.06%52.23万134.06%52.23万
-短期借款 -1.56%52.9万-0.28%54.08万2.23%52.69万9.70%53.86万9.70%53.86万--53.74万--54.23万--51.54万230.75%49.1万230.75%49.1万
-短期资本租赁负债 -7.10%3.48万171.67%3.32万99.64%3.17万-2.89%3.04万-2.89%3.04万12.37%3.74万-76.62%1.22万-77.49%1.59万-58.04%3.14万-58.04%3.14万
-应付账款 15.14%300.37万39.80%300.07万34.58%272.33万57.57%240.68万57.57%240.68万991.32%260.87万1,415.95%214.64万1,406.95%202.35万874.32%152.74万874.32%152.74万
-应付税费 -13.64%25.49万12.03%25.61万--25.88万16,116.73%25.98万16,116.73%25.98万--29.52万--22.86万--0-88.20%1,602-88.20%1,602
-应付关联方款项 68.61%2.97万22.39%2.76万26.11%2.68万106.34%2.73万106.34%2.73万34.41%1.76万435.95%2.25万7,442.55%2.13万-80.09%1.32万-80.09%1.32万
应计费用 128.48%111.08万88.21%102.69万-8.87%64.18万-20.03%76.12万-20.03%76.12万1,090.49%48.62万1,640.45%54.56万1,955.45%70.43万430.42%95.18万430.42%95.18万
递延负债 132.00%27.68万29.64%28.43万--27.38万--28.56万--28.56万--11.93万--21.93万------0--0
流动负债总额 22.14%498.48万31.19%491.35万29.35%453.08万37.67%435.62万37.67%435.62万627.43%408.14万1,428.06%374.53万1,340.62%350.26万405.03%316.41万405.03%316.41万
非流动负债
-长期借款 -52.72%3.04万--3.89万--4.85万3,398.06%5.6万3,398.06%5.6万--6.42万--0--0-88.20%1,602-88.20%1,602
长期应计费用 -49.15%7.15万29.23%8.3万-1.95%9.77万-14.57%11.17万-14.57%11.17万-25.96%14.06万-52.52%6.42万-27.40%9.96万5.38%13.07万5.38%13.07万
长期拨备 -2.77%22.45万-5.01%21.72万--21.02万--20.38万--20.38万--23.1万--22.86万------------
非流动负债总额 19.72%523.98万30.09%516.96万36.74%478.96万45.81%461.59万45.81%461.59万680.04%437.65万1,521.33%397.39万1,340.62%350.26万394.57%316.57万394.57%316.57万
所有者权益
股本 16.74%1,940.51万19.13%1,940.51万20.46%1,912.01万15.88%1,821.74万15.88%1,821.74万170.99%1,662.18万267.02%1,628.95万301.86%1,587.24万1,975.70%1,572.03万1,975.70%1,572.03万
-普通股股本 16.74%1,940.51万19.13%1,940.51万20.46%1,912.01万15.88%1,821.74万15.88%1,821.74万170.99%1,662.18万267.02%1,628.95万301.86%1,587.24万1,975.70%1,572.03万1,975.70%1,572.03万
不影响留存收益的损益 -13.56%154.37万-18.13%129.14万-7.26%152.82万22.94%199.34万22.94%199.34万20.94%178.59万48.67%157.73万142.87%164.79万363.86%162.14万363.86%162.14万
其他股本权益 -------1-----------------------140--------
总权益 -96.22%39.86万-95.33%49.52万-94.68%57.09万-94.13%65.49万-94.13%65.49万329.71%1,054.58万432.77%1,060.25万315.47%1,072.26万2,314.99%1,114.85万2,314.99%1,114.85万

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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