美股市场个股详情

VITFF VICTORIA GOLD CORP

添加自选
  • 0.346
  • 0.0000.00%
延时15分钟行情收盘价 08/13 16:00 (美东)
2343.31万总市值2.16市盈率TTM

VICTORIA GOLD 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
9.15%3,939.3万
-19.86%2,674.9万
-19.86%2,674.9万
-41.01%2,891.2万
-8.59%3,935.8万
-34.91%3,609.1万
-20.38%3,337.7万
-20.38%3,337.7万
119.93%4,901.29万
118.80%4,305.79万
-现金和现金等价物
20.71%2,849.5万
-27.23%1,497.1万
-27.23%1,497.1万
-47.59%1,887.9万
-5.45%2,754.4万
-41.99%2,360.6万
-34.17%2,057.2万
-34.17%2,057.2万
142.92%3,602.3万
96.17%2,913.1万
-短期投资
-12.71%1,089.8万
-8.02%1,177.8万
-8.02%1,177.8万
-22.76%1,003.3万
-15.17%1,181.4万
-15.38%1,248.5万
20.01%1,280.5万
20.01%1,280.5万
74.21%1,298.99万
188.35%1,392.69万
应收款项
50.84%784.5万
0.91%1,082.4万
0.91%1,082.4万
175.18%791.8万
-7.03%530.4万
9.76%520.1万
1,021.97%1,072.6万
1,021.97%1,072.6万
-51.45%287.74万
410.93%570.5万
-应收账款
2,080.62%281.3万
35.94%620.3万
35.94%620.3万
1,632.46%277.2万
-96.97%14万
-96.54%12.9万
609.64%456.3万
609.64%456.3万
-97.01%16万
6,782.31%461.58万
-应收税费
-0.79%503.2万
-25.02%462.1万
-25.02%462.1万
89.37%514.6万
374.08%516.4万
401.75%507.2万
1,869.01%616.3万
1,869.01%616.3万
376.90%271.74万
3.79%108.93万
存货
0.70%2.25亿
2.94%2.18亿
2.94%2.18亿
12.69%2.2亿
13.88%2.28亿
33.86%2.24亿
53.69%2.12亿
53.69%2.12亿
55.72%1.95亿
66.73%2.01亿
预付费用
75.17%447.2万
15.45%369.2万
15.45%369.2万
20.48%341.6万
-38.51%247.7万
-62.50%255.3万
-52.53%319.8万
-52.53%319.8万
-53.70%283.53万
280.57%402.84万
流动资产合计
3.40%2.77亿
0.81%2.61亿
0.81%2.61亿
4.74%2.65亿
8.02%2.77亿
14.22%2.68亿
38.19%2.59亿
38.19%2.59亿
58.63%2.53亿
80.75%2.57亿
非流动资产
固定资产净额
2.16%7.44亿
1.82%7.41亿
1.82%7.41亿
0.28%7.36亿
1.70%7.29亿
5.03%7.28亿
7.74%7.28亿
7.74%7.28亿
10.12%7.34亿
9.40%7.17亿
-固定资产
9.48%10.26亿
9.39%10.06亿
9.39%10.06亿
8.39%9.83亿
10.05%9.58亿
13.02%9.38亿
14.91%9.2亿
14.91%9.2亿
17.03%9.07亿
16.70%8.7亿
-累计折旧
-34.83%-2.83亿
-38.11%-2.65亿
-38.11%-2.65亿
-42.84%-2.47亿
-49.18%-2.29亿
-53.47%-2.1亿
-53.69%-1.92亿
-53.69%-1.92亿
-59.51%-1.73亿
-69.65%-1.53亿
投资和预付款
-18.24%217.8万
-17.07%232.7万
-17.07%232.7万
--249.9万
--235.6万
--266.4万
--280.6万
--280.6万
----
----
金融资产
----
----
----
----
--71.3万
----
----
----
----
----
非流动递延资产
--1,198.2万
-55.24%1,198.2万
-55.24%1,198.2万
-50.75%1,189.3万
--0
--0
-3.28%2,676.9万
-3.28%2,676.9万
--2,414.9万
--2,608.57万
其他非流动资产
0.00%18.5万
0.00%18.5万
0.00%18.5万
-70.17%18.5万
-54.82%18.5万
-53.41%18.5万
-64.42%18.5万
-64.42%18.5万
32.42%62.02万
-10.65%40.95万
非流动资产合计
3.73%7.58亿
-0.27%7.56亿
-0.27%7.56亿
-1.08%7.51亿
-1.49%7.33亿
0.98%7.31亿
7.65%7.58亿
7.65%7.58亿
13.76%7.59亿
13.36%7.44亿
总资产
3.64%10.35亿
0.01%10.17亿
0.01%10.17亿
0.38%10.16亿
0.95%10.1亿
4.22%9.99亿
14.07%10.17亿
14.07%10.17亿
22.42%10.12亿
25.36%10.01亿
负债
流动负债
应付款项
28.74%4,574.1万
-33.70%3,446.9万
-33.70%3,446.9万
-12.07%2,812.7万
-59.16%2,046.9万
28.33%3,553.1万
60.59%5,199.1万
60.59%5,199.1万
28.44%3,198.88万
215.99%5,012.34万
-应付账款
15.70%4,067.2万
-42.97%2,943.5万
-42.97%2,943.5万
-26.40%2,313.4万
-55.41%1,863.9万
79.07%3,515.3万
112.22%5,161.3万
112.22%5,161.3万
52.24%3,143.18万
163.50%4,179.75万
-应付税费
475.40%217.5万
475.40%217.5万
475.40%217.5万
289.19%216.8万
-78.02%183万
-95.31%37.8万
-95.31%37.8万
-95.31%37.8万
-86.92%55.71万
--832.59万
-其他应付款
--289.4万
--285.9万
--285.9万
--282.5万
----
----
----
----
----
----
应计费用
3.87%3,322.4万
-19.76%3,044.4万
-19.76%3,044.4万
-27.27%3,381.1万
-4.39%3,622.4万
2.95%3,198.6万
4.91%3,794.1万
4.91%3,794.1万
51.56%4,648.72万
33.08%3,788.92万
短期借款与租赁负债
-27.82%4,161.2万
-26.11%4,669.2万
-26.11%4,669.2万
0.37%6,268.7万
4.47%6,107万
8.44%5,765.2万
12.67%6,319.3万
12.67%6,319.3万
10.72%6,245.77万
15.34%5,845.92万
-短期租赁负债
94.22%134.4万
93.44%138.5万
93.44%138.5万
8.19%80万
3.99%79.3万
-10.67%69.2万
87.43%71.6万
87.43%71.6万
48.47%73.94万
23.91%76.26万
递延负债
--253.5万
----
----
----
----
----
----
----
--198.93万
--420.12万
其他流动负债
-71.85%608.1万
-77.91%247.5万
-77.91%247.5万
-94.83%39.9万
-75.42%296.4万
--2,160.4万
--1,120.2万
--1,120.2万
127.89%772.15万
64.92%1,206.05万
流动负债总额
-11.98%1.29亿
-30.58%1.14亿
-30.58%1.14亿
-17.01%1.25亿
-25.81%1.21亿
25.91%1.47亿
31.85%1.64亿
31.85%1.64亿
30.57%1.51亿
59.03%1.63亿
非流动负债
长期拨备
41.92%4,867.7万
23.39%4,316.1万
23.39%4,316.1万
-11.93%3,707.4万
-12.02%3,587.2万
-8.06%3,430万
-12.52%3,498万
-12.52%3,498万
10.29%4,209.67万
36.59%4,077.3万
长期借款与租赁负债
-8.22%1.94亿
2.94%1.93亿
2.94%1.93亿
-0.69%1.92亿
19.51%2.03亿
16.94%2.12亿
23.11%1.87亿
23.11%1.87亿
11.87%1.93亿
-16.23%1.7亿
-长期借款
-7.93%1.92亿
3.44%1.91亿
3.44%1.91亿
-0.58%1.89亿
20.01%2亿
17.66%2.09亿
21.99%1.85亿
21.99%1.85亿
10.77%1.9亿
-17.37%1.67亿
-长期租赁负债
-30.08%192.7万
-28.78%208.6万
-28.78%208.6万
-7.48%286.8万
-6.09%307万
-20.06%275.6万
191.15%292.9万
191.15%292.9万
186.24%309.99万
182.19%326.92万
递延负债
20.95%7,231.4万
-12.09%7,549.3万
-12.09%7,549.3万
-8.59%7,381.1万
-7.12%6,947.2万
-16.00%5,979万
37.38%8,587.2万
37.38%8,587.2万
111.85%8,074.61万
174.05%7,479.58万
衍生品负债
----
----
----
----
----
----
----
----
-95.75%83.74万
--0
非流动负债总额
3.71%3.17亿
1.66%3.13亿
1.66%3.13亿
-3.89%3.04亿
8.04%3.09亿
-2.92%3.06亿
12.67%3.08亿
12.67%3.08亿
17.93%3.17亿
-0.01%2.86亿
总负债
-1.38%4.46亿
-9.55%4.28亿
-9.55%4.28亿
-8.12%4.29亿
-4.25%4.29亿
4.87%4.52亿
18.67%4.73亿
18.67%4.73亿
21.73%4.67亿
15.56%4.48亿
所有者权益
股本
7.34%4.58亿
5.57%4.5亿
5.57%4.5亿
5.89%4.5亿
5.89%4.5亿
2.53%4.26亿
6.24%4.26亿
6.24%4.26亿
6.13%4.25亿
6.30%4.25亿
-普通股股本
7.34%4.58亿
5.57%4.5亿
5.57%4.5亿
5.89%4.5亿
5.89%4.5亿
2.53%4.26亿
6.24%4.26亿
6.24%4.26亿
6.13%4.25亿
6.30%4.25亿
留存收益
15.54%1.13亿
26.00%1.22亿
26.00%1.22亿
39.09%1.19亿
21.78%1.14亿
28.51%9,768.9万
61.84%9,670.6万
61.84%9,670.6万
513.17%8,576.08万
627.48%9,332.37万
资本公积
-15.49%2,103.1万
-15.47%2,006.5万
-15.47%2,006.5万
-16.85%1,988.8万
-17.56%1,971.8万
0.58%2,488.6万
-3.00%2,373.7万
-3.00%2,373.7万
-1.26%2,391.88万
0.33%2,391.88万
不影响留存收益的损益
0.00%-251.7万
0.00%-251.7万
0.00%-251.7万
-23.73%-251.7万
-27.62%-251.7万
-26.74%-251.7万
-26.04%-251.7万
-26.04%-251.7万
-3.27%-203.43万
-0.65%-197.23万
股东权益总额
7.80%5.89亿
8.31%5.89亿
8.31%5.89亿
10.15%5.87亿
7.52%5.81亿
6.18%5.46亿
12.56%5.44亿
12.56%5.44亿
21.97%5.33亿
33.74%5.4亿
非控制性权益
----
--0
--0
----
----
----
--0
--0
96.80%1,226.51万
91.78%1,205.4万
总权益
7.80%5.89亿
8.31%5.89亿
8.31%5.89亿
7.67%5.87亿
5.17%5.81亿
3.69%5.46亿
10.35%5.44亿
10.35%5.44亿
23.02%5.45亿
34.63%5.52亿
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
--
无保留意见
--
--
--
--
无保留意见
--
--
--
(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 9.15%3,939.3万-19.86%2,674.9万-19.86%2,674.9万-41.01%2,891.2万-8.59%3,935.8万-34.91%3,609.1万-20.38%3,337.7万-20.38%3,337.7万119.93%4,901.29万118.80%4,305.79万
-现金和现金等价物 20.71%2,849.5万-27.23%1,497.1万-27.23%1,497.1万-47.59%1,887.9万-5.45%2,754.4万-41.99%2,360.6万-34.17%2,057.2万-34.17%2,057.2万142.92%3,602.3万96.17%2,913.1万
-短期投资 -12.71%1,089.8万-8.02%1,177.8万-8.02%1,177.8万-22.76%1,003.3万-15.17%1,181.4万-15.38%1,248.5万20.01%1,280.5万20.01%1,280.5万74.21%1,298.99万188.35%1,392.69万
应收款项 50.84%784.5万0.91%1,082.4万0.91%1,082.4万175.18%791.8万-7.03%530.4万9.76%520.1万1,021.97%1,072.6万1,021.97%1,072.6万-51.45%287.74万410.93%570.5万
-应收账款 2,080.62%281.3万35.94%620.3万35.94%620.3万1,632.46%277.2万-96.97%14万-96.54%12.9万609.64%456.3万609.64%456.3万-97.01%16万6,782.31%461.58万
-应收税费 -0.79%503.2万-25.02%462.1万-25.02%462.1万89.37%514.6万374.08%516.4万401.75%507.2万1,869.01%616.3万1,869.01%616.3万376.90%271.74万3.79%108.93万
存货 0.70%2.25亿2.94%2.18亿2.94%2.18亿12.69%2.2亿13.88%2.28亿33.86%2.24亿53.69%2.12亿53.69%2.12亿55.72%1.95亿66.73%2.01亿
预付费用 75.17%447.2万15.45%369.2万15.45%369.2万20.48%341.6万-38.51%247.7万-62.50%255.3万-52.53%319.8万-52.53%319.8万-53.70%283.53万280.57%402.84万
流动资产合计 3.40%2.77亿0.81%2.61亿0.81%2.61亿4.74%2.65亿8.02%2.77亿14.22%2.68亿38.19%2.59亿38.19%2.59亿58.63%2.53亿80.75%2.57亿
非流动资产
固定资产净额 2.16%7.44亿1.82%7.41亿1.82%7.41亿0.28%7.36亿1.70%7.29亿5.03%7.28亿7.74%7.28亿7.74%7.28亿10.12%7.34亿9.40%7.17亿
-固定资产 9.48%10.26亿9.39%10.06亿9.39%10.06亿8.39%9.83亿10.05%9.58亿13.02%9.38亿14.91%9.2亿14.91%9.2亿17.03%9.07亿16.70%8.7亿
-累计折旧 -34.83%-2.83亿-38.11%-2.65亿-38.11%-2.65亿-42.84%-2.47亿-49.18%-2.29亿-53.47%-2.1亿-53.69%-1.92亿-53.69%-1.92亿-59.51%-1.73亿-69.65%-1.53亿
投资和预付款 -18.24%217.8万-17.07%232.7万-17.07%232.7万--249.9万--235.6万--266.4万--280.6万--280.6万--------
金融资产 ------------------71.3万--------------------
非流动递延资产 --1,198.2万-55.24%1,198.2万-55.24%1,198.2万-50.75%1,189.3万--0--0-3.28%2,676.9万-3.28%2,676.9万--2,414.9万--2,608.57万
其他非流动资产 0.00%18.5万0.00%18.5万0.00%18.5万-70.17%18.5万-54.82%18.5万-53.41%18.5万-64.42%18.5万-64.42%18.5万32.42%62.02万-10.65%40.95万
非流动资产合计 3.73%7.58亿-0.27%7.56亿-0.27%7.56亿-1.08%7.51亿-1.49%7.33亿0.98%7.31亿7.65%7.58亿7.65%7.58亿13.76%7.59亿13.36%7.44亿
总资产 3.64%10.35亿0.01%10.17亿0.01%10.17亿0.38%10.16亿0.95%10.1亿4.22%9.99亿14.07%10.17亿14.07%10.17亿22.42%10.12亿25.36%10.01亿
负债
流动负债
应付款项 28.74%4,574.1万-33.70%3,446.9万-33.70%3,446.9万-12.07%2,812.7万-59.16%2,046.9万28.33%3,553.1万60.59%5,199.1万60.59%5,199.1万28.44%3,198.88万215.99%5,012.34万
-应付账款 15.70%4,067.2万-42.97%2,943.5万-42.97%2,943.5万-26.40%2,313.4万-55.41%1,863.9万79.07%3,515.3万112.22%5,161.3万112.22%5,161.3万52.24%3,143.18万163.50%4,179.75万
-应付税费 475.40%217.5万475.40%217.5万475.40%217.5万289.19%216.8万-78.02%183万-95.31%37.8万-95.31%37.8万-95.31%37.8万-86.92%55.71万--832.59万
-其他应付款 --289.4万--285.9万--285.9万--282.5万------------------------
应计费用 3.87%3,322.4万-19.76%3,044.4万-19.76%3,044.4万-27.27%3,381.1万-4.39%3,622.4万2.95%3,198.6万4.91%3,794.1万4.91%3,794.1万51.56%4,648.72万33.08%3,788.92万
短期借款与租赁负债 -27.82%4,161.2万-26.11%4,669.2万-26.11%4,669.2万0.37%6,268.7万4.47%6,107万8.44%5,765.2万12.67%6,319.3万12.67%6,319.3万10.72%6,245.77万15.34%5,845.92万
-短期租赁负债 94.22%134.4万93.44%138.5万93.44%138.5万8.19%80万3.99%79.3万-10.67%69.2万87.43%71.6万87.43%71.6万48.47%73.94万23.91%76.26万
递延负债 --253.5万------------------------------198.93万--420.12万
其他流动负债 -71.85%608.1万-77.91%247.5万-77.91%247.5万-94.83%39.9万-75.42%296.4万--2,160.4万--1,120.2万--1,120.2万127.89%772.15万64.92%1,206.05万
流动负债总额 -11.98%1.29亿-30.58%1.14亿-30.58%1.14亿-17.01%1.25亿-25.81%1.21亿25.91%1.47亿31.85%1.64亿31.85%1.64亿30.57%1.51亿59.03%1.63亿
非流动负债
长期拨备 41.92%4,867.7万23.39%4,316.1万23.39%4,316.1万-11.93%3,707.4万-12.02%3,587.2万-8.06%3,430万-12.52%3,498万-12.52%3,498万10.29%4,209.67万36.59%4,077.3万
长期借款与租赁负债 -8.22%1.94亿2.94%1.93亿2.94%1.93亿-0.69%1.92亿19.51%2.03亿16.94%2.12亿23.11%1.87亿23.11%1.87亿11.87%1.93亿-16.23%1.7亿
-长期借款 -7.93%1.92亿3.44%1.91亿3.44%1.91亿-0.58%1.89亿20.01%2亿17.66%2.09亿21.99%1.85亿21.99%1.85亿10.77%1.9亿-17.37%1.67亿
-长期租赁负债 -30.08%192.7万-28.78%208.6万-28.78%208.6万-7.48%286.8万-6.09%307万-20.06%275.6万191.15%292.9万191.15%292.9万186.24%309.99万182.19%326.92万
递延负债 20.95%7,231.4万-12.09%7,549.3万-12.09%7,549.3万-8.59%7,381.1万-7.12%6,947.2万-16.00%5,979万37.38%8,587.2万37.38%8,587.2万111.85%8,074.61万174.05%7,479.58万
衍生品负债 ---------------------------------95.75%83.74万--0
非流动负债总额 3.71%3.17亿1.66%3.13亿1.66%3.13亿-3.89%3.04亿8.04%3.09亿-2.92%3.06亿12.67%3.08亿12.67%3.08亿17.93%3.17亿-0.01%2.86亿
总负债 -1.38%4.46亿-9.55%4.28亿-9.55%4.28亿-8.12%4.29亿-4.25%4.29亿4.87%4.52亿18.67%4.73亿18.67%4.73亿21.73%4.67亿15.56%4.48亿
所有者权益
股本 7.34%4.58亿5.57%4.5亿5.57%4.5亿5.89%4.5亿5.89%4.5亿2.53%4.26亿6.24%4.26亿6.24%4.26亿6.13%4.25亿6.30%4.25亿
-普通股股本 7.34%4.58亿5.57%4.5亿5.57%4.5亿5.89%4.5亿5.89%4.5亿2.53%4.26亿6.24%4.26亿6.24%4.26亿6.13%4.25亿6.30%4.25亿
留存收益 15.54%1.13亿26.00%1.22亿26.00%1.22亿39.09%1.19亿21.78%1.14亿28.51%9,768.9万61.84%9,670.6万61.84%9,670.6万513.17%8,576.08万627.48%9,332.37万
资本公积 -15.49%2,103.1万-15.47%2,006.5万-15.47%2,006.5万-16.85%1,988.8万-17.56%1,971.8万0.58%2,488.6万-3.00%2,373.7万-3.00%2,373.7万-1.26%2,391.88万0.33%2,391.88万
不影响留存收益的损益 0.00%-251.7万0.00%-251.7万0.00%-251.7万-23.73%-251.7万-27.62%-251.7万-26.74%-251.7万-26.04%-251.7万-26.04%-251.7万-3.27%-203.43万-0.65%-197.23万
股东权益总额 7.80%5.89亿8.31%5.89亿8.31%5.89亿10.15%5.87亿7.52%5.81亿6.18%5.46亿12.56%5.44亿12.56%5.44亿21.97%5.33亿33.74%5.4亿
非控制性权益 ------0--0--------------0--096.80%1,226.51万91.78%1,205.4万
总权益 7.80%5.89亿8.31%5.89亿8.31%5.89亿7.67%5.87亿5.17%5.81亿3.69%5.46亿10.35%5.44亿10.35%5.44亿23.02%5.45亿34.63%5.52亿
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 --无保留意见--------无保留意见------
美股市场投资机会
成长股 成长股

成长股策略挑选具有卓越增长表现的企业。聚焦流通市值≥5亿美元、净利润增长率年报≥15%、毛利率≥50%、净资产收益率年报≥15%且ROE同比增长率>50%的股票,旨在寻找财务状况强劲且成长性极高的公司。 成长股策略挑选具有卓越增长表现的企业。聚焦流通市值≥5亿美元、净利润增长率年报≥15%、毛利率≥50%、净资产收益率年报≥15%且ROE同比增长率>50%的股票,旨在寻找财务状况强劲且成长性极高的公司。