加拿大市場個股詳情

ANX Signal Gold Inc

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延時15分鐘行情已收盤 12/20 09:30 (美東)
0總市值0.00市盈率TTM

Signal Gold Inc關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2022/03/31
(FY)2021/12/31
(Q4)2021/12/31
(Q3)2021/09/30
(Q2)2021/06/30
(Q1)2021/03/31
(FY)2020/12/31
(Q4)2020/12/31
(Q3)2020/09/30
(Q2)2020/06/30
資產
流動資產
現金及現金等價物和短期投資
-75.38%358.07萬
-30.84%1,012.17萬
-30.84%1,012.17萬
-28.39%1,056.7萬
154.97%1,456.87萬
120.15%1,454.64萬
213.50%1,463.46萬
213.50%1,463.46萬
99.89%1,475.55萬
62.62%571.38萬
-現金和現金等價物
-75.38%358.07萬
-30.84%1,012.17萬
-30.84%1,012.17萬
-28.39%1,056.7萬
163.23%1,456.87萬
126.22%1,454.64萬
236.30%1,463.46萬
236.30%1,463.46萬
109.43%1,475.55萬
77.51%553.47萬
-短期投資
----
----
----
----
----
----
----
----
--0
-54.72%17.91萬
應收款項
27.70%75.04萬
119.82%128.72萬
119.82%128.72萬
114.52%93萬
129.65%66.76萬
80.00%58.76萬
88.86%58.56萬
88.86%58.56萬
6.07%43.35萬
-73.31%29.07萬
-應收稅費
35.30%68.49萬
43.27%64.2萬
43.27%64.2萬
102.30%56.93萬
64.63%47.86萬
55.07%50.62萬
44.51%44.81萬
44.51%44.81萬
-25.81%28.14萬
-59.27%29.07萬
-應收關聯方款項
-21.68%5.79萬
-29.64%5.74萬
-29.64%5.74萬
70.91%25.99萬
--18.12萬
--7.4萬
--8.16萬
--8.16萬
--15.21萬
----
-其他應收款
1.46%7,500
951.80%58.78萬
951.80%58.78萬
--10.07萬
--7,800
--7,392
--5.59萬
--5.59萬
----
----
存貨
-22.80%443.47萬
-17.41%564.14萬
-17.41%564.14萬
-38.86%386.64萬
-22.00%448.29萬
11.29%574.47萬
22.49%683.04萬
22.49%683.04萬
40.27%632.42萬
36.19%574.71萬
預付費用
62.03%96.95萬
12.38%79.28萬
12.38%79.28萬
68.85%49.77萬
45.58%71.48萬
36.93%59.83萬
45.21%70.55萬
45.21%70.55萬
7.02%29.47萬
30.88%49.1萬
受限制現金
----
--0
--0
--0
0.00%20.88萬
0.00%20.88萬
0.00%20.88萬
0.00%20.88萬
--20.88萬
-11.95%20.88萬
持有待售資產
----
----
----
----
----
----
----
----
----
--228.11萬
流動資產合計
-55.11%973.53萬
-22.30%1,784.32萬
-22.30%1,784.32萬
-27.96%1,586.11萬
40.12%2,064.29萬
70.20%2,168.59萬
104.15%2,296.49萬
104.15%2,296.49萬
75.09%2,201.68萬
56.14%1,473.26萬
非流動資產
固定資產淨額
33.31%7,833.44萬
33.64%7,377.38萬
33.64%7,377.38萬
33.42%6,926.7萬
28.72%6,360.65萬
15.37%5,876.19萬
10.83%5,520.23萬
10.83%5,520.23萬
4.00%5,191.68萬
3.81%4,941.53萬
-固定資產
23.65%1.26億
23.13%1.2億
23.13%1.2億
22.18%1.14億
20.15%1.08億
12.83%1.02億
10.50%9,742.41萬
10.50%9,742.41萬
6.25%9,315.77萬
5.87%8,949.88萬
-累計折舊
-10.44%-4,741.01萬
-9.39%-4,618.46萬
-9.39%-4,618.46萬
-8.03%-4,455.33萬
-9.58%-4,392.46萬
-9.53%-4,292.86萬
-10.07%-4,222.18萬
-10.07%-4,222.18萬
-9.22%-4,124.09萬
-8.52%-4,008.34萬
投資和預付款
36.30%402.56萬
18.58%373.53萬
18.58%373.53萬
17.96%382.64萬
89.84%291.18萬
--295.35萬
--315萬
--315萬
--324.38萬
--153.39萬
-長期股權投資
--248.36萬
--215.66萬
--215.66萬
--215.66萬
----
----
--0
--0
----
----
-金融資產投資
-47.79%154.2萬
-49.88%157.86萬
-49.88%157.86萬
-48.52%166.98萬
89.84%291.18萬
--295.35萬
--315萬
--315萬
--324.38萬
--153.39萬
-其中:可供出售證券
-47.79%154.2萬
-49.88%157.86萬
-49.88%157.86萬
-48.52%166.98萬
89.84%291.18萬
--295.35萬
--315萬
--315萬
--324.38萬
--153.39萬
非流動遞延資產
----
----
----
----
----
----
----
----
--0
-47.52%132.1萬
其他非流動資產
199.14%20.28萬
149.14%19.88萬
149.14%19.88萬
139.12%19.08萬
-15.04%6.78萬
-5.57%6.78萬
11.14%7.98萬
11.14%7.98萬
11.14%7.98萬
35.72%7.98萬
非流動資產合計
33.63%8,256.28萬
32.99%7,770.78萬
32.99%7,770.78萬
32.66%7,328.42萬
27.19%6,658.61萬
16.51%6,178.32萬
11.28%5,843.21萬
11.28%5,843.21萬
3.80%5,524.04萬
2.94%5,235萬
總資產
10.58%9,229.8萬
17.39%9,555.1萬
17.39%9,555.1萬
15.39%8,914.53萬
30.03%8,722.9萬
26.91%8,346.91萬
27.67%8,139.7萬
27.67%8,139.7萬
17.43%7,725.72萬
11.26%6,708.25萬
負債
流動負債
短期借款與資本租賃負債
-57.64%78.58萬
-27.83%136.34萬
-27.83%136.34萬
-35.72%125.47萬
-21.74%166.59萬
-17.43%185.52萬
-18.26%188.91萬
-18.26%188.91萬
-36.97%195.2萬
-33.81%212.87萬
-短期借款
-64.81%58.83萬
-28.94%117.95萬
-28.94%117.95萬
-38.82%103.59萬
-22.12%143.02萬
-12.25%167.17萬
-13.68%165.98萬
-13.68%165.98萬
-36.48%169.34萬
-30.30%183.63萬
-短期資本租賃負債
7.66%19.75萬
-19.79%18.39萬
-19.79%18.39萬
-15.39%21.88萬
-19.37%23.57萬
-46.30%18.35萬
-40.97%22.93萬
-40.97%22.93萬
-40.00%25.86萬
-49.71%29.23萬
應付款項
22.45%799.17萬
29.76%673.29萬
29.76%673.29萬
4.44%532.49萬
-24.94%317.59萬
27.87%652.65萬
35.66%518.85萬
35.66%518.85萬
-1.11%509.85萬
0.58%423.1萬
-應付帳款
72.49%799.17萬
102.46%673.29萬
102.46%673.29萬
50.10%532.49萬
2.78%317.59萬
10.37%463.31萬
1.67%332.55萬
1.67%332.55萬
-20.95%354.75萬
-20.56%308.98萬
-應付稅費
----
--0
--0
--0
----
108.95%189.33萬
236.53%186.3萬
236.53%186.3萬
132.22%155.1萬
260.09%114.11萬
應計費用
108.75%354.43萬
79.56%264.13萬
79.56%264.13萬
27.12%207.74萬
154.88%292.2萬
18.48%169.79萬
-21.06%147.09萬
-21.06%147.09萬
-31.05%163.42萬
-47.57%114.64萬
現行撥備
----
----
----
-73.58%10.18萬
31.30%10.35萬
-13.91%10.12萬
26.82%10.11萬
26.82%10.11萬
918.24%38.52萬
107.34%7.88萬
遞延負債
1,965.66%340.52萬
2,598.01%512.22萬
2,598.01%512.22萬
-29.02%20.57萬
-19.01%31.17萬
337.90%16.49萬
404.30%18.99萬
404.30%18.99萬
993.48%28.99萬
-33.17%38.49萬
其他流動負債
1,093.83%53.5萬
213.77%58.64萬
213.77%58.64萬
67.43%55.64萬
-28.44%70.41萬
-81.09%4.48萬
-53.82%18.69萬
-53.82%18.69萬
-34.56%33.23萬
--98.4萬
流動負債總額
56.51%1,626.2萬
82.20%1,644.61萬
82.20%1,644.61萬
-1.77%952.08萬
-0.79%888.3萬
13.24%1,039.04萬
5.93%902.64萬
5.93%902.64萬
-13.43%969.2萬
-12.41%895.36萬
非流動負債
長期借款與租賃負債
-16.25%26.29萬
-68.74%23.56萬
-68.74%23.56萬
-76.09%28.07萬
-85.42%23.17萬
-84.08%31.39萬
-68.36%75.37萬
-68.36%75.37萬
-34.64%117.39萬
-35.64%158.93萬
-長期借款
----
----
----
----
-98.41%2.15萬
-88.85%19.15萬
-71.35%60.9萬
-71.35%60.9萬
-33.27%99.11萬
-37.50%135.22萬
-長期租賃負債
114.77%26.29萬
62.80%23.56萬
62.80%23.56萬
53.52%28.07萬
-11.37%21.02萬
-51.86%12.24萬
-43.52%14.47萬
-43.52%14.47萬
-41.20%18.29萬
-22.46%23.72萬
長期撥備
7.81%369.34萬
16.36%393.64萬
16.36%393.64萬
33.99%360.59萬
33.59%365.03萬
25.65%342.6萬
22.20%338.3萬
22.20%338.3萬
-3.91%269.11萬
-4.59%273.24萬
遞延負債
30.83%437.5萬
19.78%406.4萬
19.78%406.4萬
96.45%375.8萬
84.55%314.1萬
69.66%334.4萬
93.55%339.3萬
93.55%339.3萬
15.94%191.3萬
4.16%170.2萬
非流動負債總額
17.61%833.13萬
9.38%823.6萬
9.38%823.6萬
32.30%764.46萬
16.59%702.29萬
6.21%708.39萬
9.07%752.96萬
9.07%752.96萬
-7.50%577.81萬
-13.54%602.38萬
負債總額
40.74%2,459.33萬
49.08%2,468.21萬
49.08%2,468.21萬
10.96%1,716.54萬
6.20%1,590.59萬
10.28%1,747.43萬
7.34%1,655.6萬
7.34%1,655.6萬
-11.31%1,547.01萬
-12.87%1,497.74萬
所有者權益
股本
15.37%8,244.94萬
22.34%8,197.95萬
22.34%8,197.95萬
27.26%8,178.22萬
35.71%7,888.9萬
23.32%7,146.52萬
15.91%6,700.84萬
15.91%6,700.84萬
11.44%6,426.38萬
--5,813.06萬
-普通股股本
15.37%8,244.94萬
22.34%8,197.95萬
22.34%8,197.95萬
27.26%8,178.22萬
35.71%7,888.9萬
23.32%7,146.52萬
15.91%6,700.84萬
15.91%6,700.84萬
11.44%6,426.38萬
--5,813.06萬
留存收益
-101.27%-1,618.73萬
-127.89%-1,263.77萬
-127.89%-1,263.77萬
-78.11%-1,128.83萬
0.82%-1,024.01萬
37.29%-804.24萬
61.51%-554.56萬
61.51%-554.56萬
55.30%-633.78萬
32.35%-1,032.48萬
不影響留存收益的損益
5.08%144.26萬
-14.87%152.71萬
-14.87%152.71萬
-21.63%147.72萬
-31.08%147.97萬
-35.66%137.29萬
-21.01%179.39萬
-21.01%179.39萬
-14.28%188.49萬
0.19%214.68萬
其他股本權益
----
----
----
-99.55%8,881
-44.50%119.46萬
-54.95%119.91萬
-40.48%158.42萬
-40.48%158.42萬
-25.75%197.62萬
-2.71%215.25萬
股東權益總額
2.59%6,770.47萬
9.30%7,086.89萬
9.30%7,086.89萬
16.50%7,197.99萬
36.88%7,132.31萬
32.19%6,599.47萬
34.15%6,484.09萬
34.15%6,484.09萬
27.79%6,178.71萬
20.89%5,210.52萬
總權益
2.59%6,770.47萬
9.30%7,086.89萬
9.30%7,086.89萬
16.50%7,197.99萬
36.88%7,132.31萬
32.19%6,599.47萬
34.15%6,484.09萬
34.15%6,484.09萬
27.79%6,178.71萬
20.89%5,210.52萬
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
審計意見
--
無保留意見
--
--
--
--
無保留意見
--
--
--
(Q1)2022/03/31(FY)2021/12/31(Q4)2021/12/31(Q3)2021/09/30(Q2)2021/06/30(Q1)2021/03/31(FY)2020/12/31(Q4)2020/12/31(Q3)2020/09/30(Q2)2020/06/30
資產
流動資產
現金及現金等價物和短期投資 -75.38%358.07萬-30.84%1,012.17萬-30.84%1,012.17萬-28.39%1,056.7萬154.97%1,456.87萬120.15%1,454.64萬213.50%1,463.46萬213.50%1,463.46萬99.89%1,475.55萬62.62%571.38萬
-現金和現金等價物 -75.38%358.07萬-30.84%1,012.17萬-30.84%1,012.17萬-28.39%1,056.7萬163.23%1,456.87萬126.22%1,454.64萬236.30%1,463.46萬236.30%1,463.46萬109.43%1,475.55萬77.51%553.47萬
-短期投資 ----------------------------------0-54.72%17.91萬
應收款項 27.70%75.04萬119.82%128.72萬119.82%128.72萬114.52%93萬129.65%66.76萬80.00%58.76萬88.86%58.56萬88.86%58.56萬6.07%43.35萬-73.31%29.07萬
-應收稅費 35.30%68.49萬43.27%64.2萬43.27%64.2萬102.30%56.93萬64.63%47.86萬55.07%50.62萬44.51%44.81萬44.51%44.81萬-25.81%28.14萬-59.27%29.07萬
-應收關聯方款項 -21.68%5.79萬-29.64%5.74萬-29.64%5.74萬70.91%25.99萬--18.12萬--7.4萬--8.16萬--8.16萬--15.21萬----
-其他應收款 1.46%7,500951.80%58.78萬951.80%58.78萬--10.07萬--7,800--7,392--5.59萬--5.59萬--------
存貨 -22.80%443.47萬-17.41%564.14萬-17.41%564.14萬-38.86%386.64萬-22.00%448.29萬11.29%574.47萬22.49%683.04萬22.49%683.04萬40.27%632.42萬36.19%574.71萬
預付費用 62.03%96.95萬12.38%79.28萬12.38%79.28萬68.85%49.77萬45.58%71.48萬36.93%59.83萬45.21%70.55萬45.21%70.55萬7.02%29.47萬30.88%49.1萬
受限制現金 ------0--0--00.00%20.88萬0.00%20.88萬0.00%20.88萬0.00%20.88萬--20.88萬-11.95%20.88萬
持有待售資產 --------------------------------------228.11萬
流動資產合計 -55.11%973.53萬-22.30%1,784.32萬-22.30%1,784.32萬-27.96%1,586.11萬40.12%2,064.29萬70.20%2,168.59萬104.15%2,296.49萬104.15%2,296.49萬75.09%2,201.68萬56.14%1,473.26萬
非流動資產
固定資產淨額 33.31%7,833.44萬33.64%7,377.38萬33.64%7,377.38萬33.42%6,926.7萬28.72%6,360.65萬15.37%5,876.19萬10.83%5,520.23萬10.83%5,520.23萬4.00%5,191.68萬3.81%4,941.53萬
-固定資產 23.65%1.26億23.13%1.2億23.13%1.2億22.18%1.14億20.15%1.08億12.83%1.02億10.50%9,742.41萬10.50%9,742.41萬6.25%9,315.77萬5.87%8,949.88萬
-累計折舊 -10.44%-4,741.01萬-9.39%-4,618.46萬-9.39%-4,618.46萬-8.03%-4,455.33萬-9.58%-4,392.46萬-9.53%-4,292.86萬-10.07%-4,222.18萬-10.07%-4,222.18萬-9.22%-4,124.09萬-8.52%-4,008.34萬
投資和預付款 36.30%402.56萬18.58%373.53萬18.58%373.53萬17.96%382.64萬89.84%291.18萬--295.35萬--315萬--315萬--324.38萬--153.39萬
-長期股權投資 --248.36萬--215.66萬--215.66萬--215.66萬----------0--0--------
-金融資產投資 -47.79%154.2萬-49.88%157.86萬-49.88%157.86萬-48.52%166.98萬89.84%291.18萬--295.35萬--315萬--315萬--324.38萬--153.39萬
-其中:可供出售證券 -47.79%154.2萬-49.88%157.86萬-49.88%157.86萬-48.52%166.98萬89.84%291.18萬--295.35萬--315萬--315萬--324.38萬--153.39萬
非流動遞延資產 ----------------------------------0-47.52%132.1萬
其他非流動資產 199.14%20.28萬149.14%19.88萬149.14%19.88萬139.12%19.08萬-15.04%6.78萬-5.57%6.78萬11.14%7.98萬11.14%7.98萬11.14%7.98萬35.72%7.98萬
非流動資產合計 33.63%8,256.28萬32.99%7,770.78萬32.99%7,770.78萬32.66%7,328.42萬27.19%6,658.61萬16.51%6,178.32萬11.28%5,843.21萬11.28%5,843.21萬3.80%5,524.04萬2.94%5,235萬
總資產 10.58%9,229.8萬17.39%9,555.1萬17.39%9,555.1萬15.39%8,914.53萬30.03%8,722.9萬26.91%8,346.91萬27.67%8,139.7萬27.67%8,139.7萬17.43%7,725.72萬11.26%6,708.25萬
負債
流動負債
短期借款與資本租賃負債 -57.64%78.58萬-27.83%136.34萬-27.83%136.34萬-35.72%125.47萬-21.74%166.59萬-17.43%185.52萬-18.26%188.91萬-18.26%188.91萬-36.97%195.2萬-33.81%212.87萬
-短期借款 -64.81%58.83萬-28.94%117.95萬-28.94%117.95萬-38.82%103.59萬-22.12%143.02萬-12.25%167.17萬-13.68%165.98萬-13.68%165.98萬-36.48%169.34萬-30.30%183.63萬
-短期資本租賃負債 7.66%19.75萬-19.79%18.39萬-19.79%18.39萬-15.39%21.88萬-19.37%23.57萬-46.30%18.35萬-40.97%22.93萬-40.97%22.93萬-40.00%25.86萬-49.71%29.23萬
應付款項 22.45%799.17萬29.76%673.29萬29.76%673.29萬4.44%532.49萬-24.94%317.59萬27.87%652.65萬35.66%518.85萬35.66%518.85萬-1.11%509.85萬0.58%423.1萬
-應付帳款 72.49%799.17萬102.46%673.29萬102.46%673.29萬50.10%532.49萬2.78%317.59萬10.37%463.31萬1.67%332.55萬1.67%332.55萬-20.95%354.75萬-20.56%308.98萬
-應付稅費 ------0--0--0----108.95%189.33萬236.53%186.3萬236.53%186.3萬132.22%155.1萬260.09%114.11萬
應計費用 108.75%354.43萬79.56%264.13萬79.56%264.13萬27.12%207.74萬154.88%292.2萬18.48%169.79萬-21.06%147.09萬-21.06%147.09萬-31.05%163.42萬-47.57%114.64萬
現行撥備 -------------73.58%10.18萬31.30%10.35萬-13.91%10.12萬26.82%10.11萬26.82%10.11萬918.24%38.52萬107.34%7.88萬
遞延負債 1,965.66%340.52萬2,598.01%512.22萬2,598.01%512.22萬-29.02%20.57萬-19.01%31.17萬337.90%16.49萬404.30%18.99萬404.30%18.99萬993.48%28.99萬-33.17%38.49萬
其他流動負債 1,093.83%53.5萬213.77%58.64萬213.77%58.64萬67.43%55.64萬-28.44%70.41萬-81.09%4.48萬-53.82%18.69萬-53.82%18.69萬-34.56%33.23萬--98.4萬
流動負債總額 56.51%1,626.2萬82.20%1,644.61萬82.20%1,644.61萬-1.77%952.08萬-0.79%888.3萬13.24%1,039.04萬5.93%902.64萬5.93%902.64萬-13.43%969.2萬-12.41%895.36萬
非流動負債
長期借款與租賃負債 -16.25%26.29萬-68.74%23.56萬-68.74%23.56萬-76.09%28.07萬-85.42%23.17萬-84.08%31.39萬-68.36%75.37萬-68.36%75.37萬-34.64%117.39萬-35.64%158.93萬
-長期借款 -----------------98.41%2.15萬-88.85%19.15萬-71.35%60.9萬-71.35%60.9萬-33.27%99.11萬-37.50%135.22萬
-長期租賃負債 114.77%26.29萬62.80%23.56萬62.80%23.56萬53.52%28.07萬-11.37%21.02萬-51.86%12.24萬-43.52%14.47萬-43.52%14.47萬-41.20%18.29萬-22.46%23.72萬
長期撥備 7.81%369.34萬16.36%393.64萬16.36%393.64萬33.99%360.59萬33.59%365.03萬25.65%342.6萬22.20%338.3萬22.20%338.3萬-3.91%269.11萬-4.59%273.24萬
遞延負債 30.83%437.5萬19.78%406.4萬19.78%406.4萬96.45%375.8萬84.55%314.1萬69.66%334.4萬93.55%339.3萬93.55%339.3萬15.94%191.3萬4.16%170.2萬
非流動負債總額 17.61%833.13萬9.38%823.6萬9.38%823.6萬32.30%764.46萬16.59%702.29萬6.21%708.39萬9.07%752.96萬9.07%752.96萬-7.50%577.81萬-13.54%602.38萬
負債總額 40.74%2,459.33萬49.08%2,468.21萬49.08%2,468.21萬10.96%1,716.54萬6.20%1,590.59萬10.28%1,747.43萬7.34%1,655.6萬7.34%1,655.6萬-11.31%1,547.01萬-12.87%1,497.74萬
所有者權益
股本 15.37%8,244.94萬22.34%8,197.95萬22.34%8,197.95萬27.26%8,178.22萬35.71%7,888.9萬23.32%7,146.52萬15.91%6,700.84萬15.91%6,700.84萬11.44%6,426.38萬--5,813.06萬
-普通股股本 15.37%8,244.94萬22.34%8,197.95萬22.34%8,197.95萬27.26%8,178.22萬35.71%7,888.9萬23.32%7,146.52萬15.91%6,700.84萬15.91%6,700.84萬11.44%6,426.38萬--5,813.06萬
留存收益 -101.27%-1,618.73萬-127.89%-1,263.77萬-127.89%-1,263.77萬-78.11%-1,128.83萬0.82%-1,024.01萬37.29%-804.24萬61.51%-554.56萬61.51%-554.56萬55.30%-633.78萬32.35%-1,032.48萬
不影響留存收益的損益 5.08%144.26萬-14.87%152.71萬-14.87%152.71萬-21.63%147.72萬-31.08%147.97萬-35.66%137.29萬-21.01%179.39萬-21.01%179.39萬-14.28%188.49萬0.19%214.68萬
其他股本權益 -------------99.55%8,881-44.50%119.46萬-54.95%119.91萬-40.48%158.42萬-40.48%158.42萬-25.75%197.62萬-2.71%215.25萬
股東權益總額 2.59%6,770.47萬9.30%7,086.89萬9.30%7,086.89萬16.50%7,197.99萬36.88%7,132.31萬32.19%6,599.47萬34.15%6,484.09萬34.15%6,484.09萬27.79%6,178.71萬20.89%5,210.52萬
總權益 2.59%6,770.47萬9.30%7,086.89萬9.30%7,086.89萬16.50%7,197.99萬36.88%7,132.31萬32.19%6,599.47萬34.15%6,484.09萬34.15%6,484.09萬27.79%6,178.71萬20.89%5,210.52萬
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 --無保留意見--------無保留意見------

FY:Financial Year 年度報告,相當於上市公司向SEC披露的10-K文件。

Q:Quarter 季度報告,相當於上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4為單季報,跨度為3個月;Q6、Q9為累計季報,Q6為6個月,Q9為9個月。

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