加拿大市场个股详情

WEII.H Wolverine Energy and Infrastructure Inc

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  • 0.040
  • 0.0000.00%
延时15分钟行情已收盘 06/21 09:30 (美东)
441.38万总市值-0.20市盈率TTM

Wolverine Energy and Infrastructure Inc关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q3)2021/12/31
(Q2)2021/09/30
资产
流动资产
现金及现金等价物和短期投资
-3.42%243.91万
-76.39%91.18万
-76.39%91.18万
-63.16%26.72万
779.41%140.52万
70.24%252.54万
36.51%386.26万
36.51%386.26万
-53.20%72.52万
-95.90%15.98万
-现金和现金等价物
-3.42%243.91万
-76.39%91.18万
-76.39%91.18万
-63.16%26.72万
779.41%140.52万
70.24%252.54万
36.51%386.26万
36.51%386.26万
-53.20%72.52万
-95.90%15.98万
应收款项
-47.69%742.16万
-37.67%1,710.87万
-37.67%1,710.87万
-14.76%1,678.18万
-9.19%1,078.72万
21.40%1,418.76万
11.03%2,745.06万
11.03%2,745.06万
-34.14%1,968.85万
-58.62%1,187.86万
-应收账款
-46.96%845.78万
-23.82%1,908.69万
-23.82%1,908.69万
1.64%1,836.78万
-9.69%1,307.5万
16.87%1,594.75万
62.81%2,505.6万
62.81%2,505.6万
8.51%1,807.19万
4.86%1,447.76万
-其他应收款
-14.47%333.43万
-49.73%436.69万
-49.73%436.69万
-69.50%345.59万
30.08%387.69万
20.01%389.82万
-30.97%868.73万
-30.97%868.73万
-21.11%1,133.11万
-81.42%298.04万
-应收账款调整额
22.76%-437.04万
-0.83%-634.51万
-0.83%-634.51万
48.10%-504.19万
-10.49%-616.47万
-8.65%-565.82万
-93.63%-629.28万
-93.63%-629.28万
-766.57%-971.44万
-387.02%-557.94万
存货
----
--0
--0
-88.63%56.36万
-77.20%112.72万
-65.63%169.07万
-59.62%225.43万
-59.62%225.43万
-8.47%495.76万
-6.11%494.46万
预付费用
----
----
----
-70.83%111.02万
-56.13%168.44万
-45.12%223.03万
----
----
--380.59万
--383.92万
其他流动资产
--160.55万
79.22%59.32万
79.22%59.32万
----
----
----
--33.1万
--33.1万
----
----
流动资产合计
-44.43%1,146.62万
-45.09%1,861.36万
-45.09%1,861.36万
-35.83%1,872.27万
-27.94%1,500.39万
-6.86%2,063.41万
-12.28%3,389.85万
-12.28%3,389.85万
-29.18%2,917.73万
-50.62%2,082.22万
非流动资产
固定资产净额
-26.15%5,400.33万
-23.36%5,866.72万
-23.36%5,866.72万
-32.97%6,449.79万
-24.14%6,940.38万
-22.82%7,312.23万
-54.88%7,655.02万
-54.88%7,655.02万
-45.30%9,622.52万
-50.10%9,148.43万
-固定资产
-5.26%1.32亿
-4.65%1.34亿
-4.65%1.34亿
-19.27%1.36亿
-13.83%1.39亿
-13.03%1.4亿
-41.18%1.4亿
-41.18%1.4亿
--1.68亿
--1.62亿
-累计折旧
-17.68%-7,838.46万
-17.91%-7,485.56万
-17.91%-7,485.56万
1.01%-7,145.35万
0.37%-6,981.06万
-1.03%-6,660.94万
7.21%-6,348.27万
7.21%-6,348.27万
---7,218.51万
---7,006.92万
投资和预付款
-5.03%3,759.45万
----
----
-13.69%2,840.81万
-4.13%3,988.94万
-24.31%3,958.6万
2,210.59%4,621.18万
2,210.59%4,621.18万
347.79%3,291.23万
466.09%4,160.73万
-长期股权投资
-3.98%3,595.16万
----
----
-14.62%2,626.52万
-4.35%3,774.66万
-25.35%3,744.31万
--4,406.89万
--4,406.89万
--3,076.38万
--3,946.45万
-金融资产投资
-23.33%164.29万
----
----
-0.26%214.29万
0.00%214.29万
0.00%214.29万
7.14%214.29万
7.14%214.29万
-70.77%214.85万
-70.85%214.29万
-其中:以公允价值计量且其变动计入当期损益的金融资产总额
-23.33%164.29万
----
----
0.00%214.29万
0.00%214.29万
0.00%214.29万
7.14%214.29万
7.14%214.29万
--214.29万
--214.29万
-其中:可供出售证券
----
----
----
----
----
----
----
----
--5,670
----
长期应收款
-23.68%500.56万
----
----
61.12%587.5万
79.88%655.9万
98.45%655.9万
232.20%656.46万
232.20%656.46万
--364.63万
--364.63万
商誉及其他无形资产
-41.68%96.41万
-49.48%109.78万
-49.48%109.78万
-87.80%134.22万
-84.82%149.77万
-83.62%165.31万
-79.14%217.31万
-79.14%217.31万
5.28%1,100.48万
-7.78%986.87万
-商誉
----
----
----
----
----
----
----
----
15.47%900.48万
0.00%779.86万
-其他无形资产
-41.68%96.41万
-49.48%109.78万
-49.48%109.78万
-32.89%134.22万
-27.65%149.77万
-27.94%165.31万
-17.02%217.31万
-17.02%217.31万
-24.64%200.01万
-28.69%207.01万
关联方资产
----
----
----
----
----
----
----
----
--132.98万
--132.98万
非流动递延资产
-76.25%99.82万
-79.69%79.53万
-79.69%79.53万
14.99%428.93万
31.99%450.49万
37.16%420.2万
139.58%391.52万
139.58%391.52万
17.70%373.01万
52.23%341.3万
其他非流动资产
-0.10%535万
915.96%5,435.37万
915.96%5,435.37万
0.10%535.56万
0.10%535.56万
0.10%535.56万
0.00%535万
0.00%535万
--535万
--535万
非流动资产合计
-20.36%1.04亿
-18.36%1.15亿
-18.36%1.15亿
-28.19%1.1亿
-18.12%1.27亿
-22.72%1.3亿
-26.31%1.41亿
-26.31%1.41亿
-22.36%1.53亿
-23.70%1.55亿
总资产
-23.64%1.15亿
-23.55%1.34亿
-23.55%1.34亿
-29.42%1.28亿
-19.28%1.42亿
-20.88%1.51亿
-23.95%1.75亿
-23.95%1.75亿
-23.54%1.82亿
-28.32%1.76亿
负债
流动负债
短期借款与资本租赁负债
-29.21%2,428.92万
-20.74%3,088.19万
-20.74%3,088.19万
-26.09%3,127.26万
5.01%3,181.32万
28.79%3,430.96万
-29.46%3,896.48万
-29.46%3,896.48万
-20.65%4,230.98万
-41.67%3,029.55万
-短期借款
-29.21%2,428.92万
-20.74%3,088.19万
-20.74%3,088.19万
-26.09%3,127.26万
5.01%3,181.32万
28.79%3,430.96万
-29.46%3,896.48万
-29.46%3,896.48万
-20.65%4,230.98万
-41.67%3,029.55万
应付款项
35.56%755.12万
7.26%1,744.05万
7.26%1,744.05万
-42.15%778.84万
-29.38%556.51万
-32.54%557.05万
-5.59%1,626.01万
-5.59%1,626.01万
--1,346.3万
-48.91%788.01万
-应付账款
35.56%755.12万
33.38%1,080.71万
33.38%1,080.71万
8.16%778.84万
44.11%556.51万
24.43%557.05万
62.56%810.25万
62.56%810.25万
--720.12万
-74.96%386.17万
-其他应付款
----
-18.69%663.34万
-18.69%663.34万
----
----
----
-33.34%815.76万
-33.34%815.76万
--626.19万
--401.83万
应计费用
-8.95%833.02万
----
----
--866.39万
--782.67万
--914.92万
----
----
----
----
流动负债总额
-18.07%4,017.06万
-12.50%4,832.24万
-12.50%4,832.24万
-14.43%4,772.49万
18.41%4,520.5万
40.49%4,902.93万
-23.79%5,522.49万
-23.79%5,522.49万
-19.41%5,577.28万
-43.33%3,817.56万
非流动负债
长期借款与租赁负债
-3.69%6,156.45万
-7.55%6,363.05万
-7.55%6,363.05万
-11.91%6,555.33万
-12.43%6,528.46万
-15.78%6,392.2万
-11.78%6,882.34万
-11.78%6,882.34万
0.36%7,441.49万
-4.56%7,454.92万
-长期借款
-3.69%6,156.45万
-7.55%6,363.05万
-7.55%6,363.05万
-11.91%6,555.33万
-12.43%6,528.46万
-15.78%6,392.2万
-11.78%6,882.34万
-11.78%6,882.34万
0.36%7,441.49万
-4.56%7,454.92万
递延负债
-39.95%406.77万
-41.28%539.02万
-41.28%539.02万
-82.12%173.07万
-55.78%481.71万
-53.35%677.35万
26.13%917.9万
26.13%917.9万
-24.79%967.84万
7.71%1,089.42万
非流动负债总额
-7.16%6,563.22万
-11.51%6,902.08万
-11.51%6,902.08万
-19.99%6,728.4万
-17.96%7,010.17万
-21.82%7,069.55万
-20.82%7,800.24万
-20.82%7,800.24万
-18.09%8,409.33万
-17.99%8,544.35万
负债总额
-11.63%1.06亿
-11.92%1.17亿
-11.92%1.17亿
-17.77%1.15亿
-6.72%1.15亿
-4.46%1.2亿
-22.08%1.33亿
-22.08%1.33亿
-18.62%1.4亿
-27.94%1.24亿
所有者权益
股本
0.00%5,405.83万
0.00%5,405.83万
0.00%5,405.83万
-0.48%5,405.83万
1.39%5,405.83万
1.33%5,405.83万
-3.21%5,405.83万
-3.21%5,405.83万
-0.95%5,431.92万
-2.78%5,331.92万
-普通股股本
0.00%5,405.83万
0.00%5,405.83万
0.00%5,405.83万
-0.48%5,405.83万
1.39%5,405.83万
1.33%5,405.83万
-3.21%5,405.83万
-3.21%5,405.83万
-0.95%5,431.92万
-2.78%5,331.92万
留存收益
-98.47%-4,355.4万
-213.26%-3,703.29万
-213.26%-3,703.29万
-249.86%-3,979.2万
-95,059.28%-2,654.09万
-265.99%-2,194.53万
-365.00%-1,182.19万
-365.00%-1,182.19万
-189.25%-1,137.37万
-100.14%-2.79万
不影响留存收益的损益
-27.48%-92.52万
-5.08%-84.1万
-5.08%-84.1万
-2.49%-78.45万
15.10%-60.99万
18.38%-72.58万
50.53%-80.04万
50.53%-80.04万
43.68%-76.55万
-150.06%-71.83万
股东权益总额
-69.48%957.9万
-60.94%1,618.44万
-60.94%1,618.44万
-68.04%1,348.18万
-48.82%2,690.75万
-52.21%3,138.72万
-29.40%4,143.6万
-29.40%4,143.6万
-36.31%4,218万
-29.18%5,257.29万
总权益
-69.48%957.9万
-60.94%1,618.44万
-60.94%1,618.44万
-68.04%1,348.18万
-48.82%2,690.75万
-52.21%3,138.72万
-29.40%4,143.6万
-29.40%4,143.6万
-36.31%4,218万
-29.18%5,257.29万
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
--
无保留意见
--
--
--
--
无保留意见
--
--
--
(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(Q3)2021/12/31(Q2)2021/09/30
资产
流动资产
现金及现金等价物和短期投资 -3.42%243.91万-76.39%91.18万-76.39%91.18万-63.16%26.72万779.41%140.52万70.24%252.54万36.51%386.26万36.51%386.26万-53.20%72.52万-95.90%15.98万
-现金和现金等价物 -3.42%243.91万-76.39%91.18万-76.39%91.18万-63.16%26.72万779.41%140.52万70.24%252.54万36.51%386.26万36.51%386.26万-53.20%72.52万-95.90%15.98万
应收款项 -47.69%742.16万-37.67%1,710.87万-37.67%1,710.87万-14.76%1,678.18万-9.19%1,078.72万21.40%1,418.76万11.03%2,745.06万11.03%2,745.06万-34.14%1,968.85万-58.62%1,187.86万
-应收账款 -46.96%845.78万-23.82%1,908.69万-23.82%1,908.69万1.64%1,836.78万-9.69%1,307.5万16.87%1,594.75万62.81%2,505.6万62.81%2,505.6万8.51%1,807.19万4.86%1,447.76万
-其他应收款 -14.47%333.43万-49.73%436.69万-49.73%436.69万-69.50%345.59万30.08%387.69万20.01%389.82万-30.97%868.73万-30.97%868.73万-21.11%1,133.11万-81.42%298.04万
-应收账款调整额 22.76%-437.04万-0.83%-634.51万-0.83%-634.51万48.10%-504.19万-10.49%-616.47万-8.65%-565.82万-93.63%-629.28万-93.63%-629.28万-766.57%-971.44万-387.02%-557.94万
存货 ------0--0-88.63%56.36万-77.20%112.72万-65.63%169.07万-59.62%225.43万-59.62%225.43万-8.47%495.76万-6.11%494.46万
预付费用 -------------70.83%111.02万-56.13%168.44万-45.12%223.03万----------380.59万--383.92万
其他流动资产 --160.55万79.22%59.32万79.22%59.32万--------------33.1万--33.1万--------
流动资产合计 -44.43%1,146.62万-45.09%1,861.36万-45.09%1,861.36万-35.83%1,872.27万-27.94%1,500.39万-6.86%2,063.41万-12.28%3,389.85万-12.28%3,389.85万-29.18%2,917.73万-50.62%2,082.22万
非流动资产
固定资产净额 -26.15%5,400.33万-23.36%5,866.72万-23.36%5,866.72万-32.97%6,449.79万-24.14%6,940.38万-22.82%7,312.23万-54.88%7,655.02万-54.88%7,655.02万-45.30%9,622.52万-50.10%9,148.43万
-固定资产 -5.26%1.32亿-4.65%1.34亿-4.65%1.34亿-19.27%1.36亿-13.83%1.39亿-13.03%1.4亿-41.18%1.4亿-41.18%1.4亿--1.68亿--1.62亿
-累计折旧 -17.68%-7,838.46万-17.91%-7,485.56万-17.91%-7,485.56万1.01%-7,145.35万0.37%-6,981.06万-1.03%-6,660.94万7.21%-6,348.27万7.21%-6,348.27万---7,218.51万---7,006.92万
投资和预付款 -5.03%3,759.45万---------13.69%2,840.81万-4.13%3,988.94万-24.31%3,958.6万2,210.59%4,621.18万2,210.59%4,621.18万347.79%3,291.23万466.09%4,160.73万
-长期股权投资 -3.98%3,595.16万---------14.62%2,626.52万-4.35%3,774.66万-25.35%3,744.31万--4,406.89万--4,406.89万--3,076.38万--3,946.45万
-金融资产投资 -23.33%164.29万---------0.26%214.29万0.00%214.29万0.00%214.29万7.14%214.29万7.14%214.29万-70.77%214.85万-70.85%214.29万
-其中:以公允价值计量且其变动计入当期损益的金融资产总额 -23.33%164.29万--------0.00%214.29万0.00%214.29万0.00%214.29万7.14%214.29万7.14%214.29万--214.29万--214.29万
-其中:可供出售证券 ----------------------------------5,670----
长期应收款 -23.68%500.56万--------61.12%587.5万79.88%655.9万98.45%655.9万232.20%656.46万232.20%656.46万--364.63万--364.63万
商誉及其他无形资产 -41.68%96.41万-49.48%109.78万-49.48%109.78万-87.80%134.22万-84.82%149.77万-83.62%165.31万-79.14%217.31万-79.14%217.31万5.28%1,100.48万-7.78%986.87万
-商誉 --------------------------------15.47%900.48万0.00%779.86万
-其他无形资产 -41.68%96.41万-49.48%109.78万-49.48%109.78万-32.89%134.22万-27.65%149.77万-27.94%165.31万-17.02%217.31万-17.02%217.31万-24.64%200.01万-28.69%207.01万
关联方资产 ----------------------------------132.98万--132.98万
非流动递延资产 -76.25%99.82万-79.69%79.53万-79.69%79.53万14.99%428.93万31.99%450.49万37.16%420.2万139.58%391.52万139.58%391.52万17.70%373.01万52.23%341.3万
其他非流动资产 -0.10%535万915.96%5,435.37万915.96%5,435.37万0.10%535.56万0.10%535.56万0.10%535.56万0.00%535万0.00%535万--535万--535万
非流动资产合计 -20.36%1.04亿-18.36%1.15亿-18.36%1.15亿-28.19%1.1亿-18.12%1.27亿-22.72%1.3亿-26.31%1.41亿-26.31%1.41亿-22.36%1.53亿-23.70%1.55亿
总资产 -23.64%1.15亿-23.55%1.34亿-23.55%1.34亿-29.42%1.28亿-19.28%1.42亿-20.88%1.51亿-23.95%1.75亿-23.95%1.75亿-23.54%1.82亿-28.32%1.76亿
负债
流动负债
短期借款与资本租赁负债 -29.21%2,428.92万-20.74%3,088.19万-20.74%3,088.19万-26.09%3,127.26万5.01%3,181.32万28.79%3,430.96万-29.46%3,896.48万-29.46%3,896.48万-20.65%4,230.98万-41.67%3,029.55万
-短期借款 -29.21%2,428.92万-20.74%3,088.19万-20.74%3,088.19万-26.09%3,127.26万5.01%3,181.32万28.79%3,430.96万-29.46%3,896.48万-29.46%3,896.48万-20.65%4,230.98万-41.67%3,029.55万
应付款项 35.56%755.12万7.26%1,744.05万7.26%1,744.05万-42.15%778.84万-29.38%556.51万-32.54%557.05万-5.59%1,626.01万-5.59%1,626.01万--1,346.3万-48.91%788.01万
-应付账款 35.56%755.12万33.38%1,080.71万33.38%1,080.71万8.16%778.84万44.11%556.51万24.43%557.05万62.56%810.25万62.56%810.25万--720.12万-74.96%386.17万
-其他应付款 -----18.69%663.34万-18.69%663.34万-------------33.34%815.76万-33.34%815.76万--626.19万--401.83万
应计费用 -8.95%833.02万----------866.39万--782.67万--914.92万----------------
流动负债总额 -18.07%4,017.06万-12.50%4,832.24万-12.50%4,832.24万-14.43%4,772.49万18.41%4,520.5万40.49%4,902.93万-23.79%5,522.49万-23.79%5,522.49万-19.41%5,577.28万-43.33%3,817.56万
非流动负债
长期借款与租赁负债 -3.69%6,156.45万-7.55%6,363.05万-7.55%6,363.05万-11.91%6,555.33万-12.43%6,528.46万-15.78%6,392.2万-11.78%6,882.34万-11.78%6,882.34万0.36%7,441.49万-4.56%7,454.92万
-长期借款 -3.69%6,156.45万-7.55%6,363.05万-7.55%6,363.05万-11.91%6,555.33万-12.43%6,528.46万-15.78%6,392.2万-11.78%6,882.34万-11.78%6,882.34万0.36%7,441.49万-4.56%7,454.92万
递延负债 -39.95%406.77万-41.28%539.02万-41.28%539.02万-82.12%173.07万-55.78%481.71万-53.35%677.35万26.13%917.9万26.13%917.9万-24.79%967.84万7.71%1,089.42万
非流动负债总额 -7.16%6,563.22万-11.51%6,902.08万-11.51%6,902.08万-19.99%6,728.4万-17.96%7,010.17万-21.82%7,069.55万-20.82%7,800.24万-20.82%7,800.24万-18.09%8,409.33万-17.99%8,544.35万
负债总额 -11.63%1.06亿-11.92%1.17亿-11.92%1.17亿-17.77%1.15亿-6.72%1.15亿-4.46%1.2亿-22.08%1.33亿-22.08%1.33亿-18.62%1.4亿-27.94%1.24亿
所有者权益
股本 0.00%5,405.83万0.00%5,405.83万0.00%5,405.83万-0.48%5,405.83万1.39%5,405.83万1.33%5,405.83万-3.21%5,405.83万-3.21%5,405.83万-0.95%5,431.92万-2.78%5,331.92万
-普通股股本 0.00%5,405.83万0.00%5,405.83万0.00%5,405.83万-0.48%5,405.83万1.39%5,405.83万1.33%5,405.83万-3.21%5,405.83万-3.21%5,405.83万-0.95%5,431.92万-2.78%5,331.92万
留存收益 -98.47%-4,355.4万-213.26%-3,703.29万-213.26%-3,703.29万-249.86%-3,979.2万-95,059.28%-2,654.09万-265.99%-2,194.53万-365.00%-1,182.19万-365.00%-1,182.19万-189.25%-1,137.37万-100.14%-2.79万
不影响留存收益的损益 -27.48%-92.52万-5.08%-84.1万-5.08%-84.1万-2.49%-78.45万15.10%-60.99万18.38%-72.58万50.53%-80.04万50.53%-80.04万43.68%-76.55万-150.06%-71.83万
股东权益总额 -69.48%957.9万-60.94%1,618.44万-60.94%1,618.44万-68.04%1,348.18万-48.82%2,690.75万-52.21%3,138.72万-29.40%4,143.6万-29.40%4,143.6万-36.31%4,218万-29.18%5,257.29万
总权益 -69.48%957.9万-60.94%1,618.44万-60.94%1,618.44万-68.04%1,348.18万-48.82%2,690.75万-52.21%3,138.72万-29.40%4,143.6万-29.40%4,143.6万-36.31%4,218万-29.18%5,257.29万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 --无保留意见--------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。

加拿大市场投资机会
股息之王 股息之王

加拿大的股息之王是指那些连续多年增加股息的公司,这不仅反映了其强大的商业模式和稳健的财务状况,也表明它们在市场中可能表现优于平均水平,并且波动性较小。 加拿大的股息之王是指那些连续多年增加股息的公司,这不仅反映了其强大的商业模式和稳健的财务状况,也表明它们在市场中可能表现优于平均水平,并且波动性较小。