加拿大市場個股詳情

BLN Blackline Safety Corp

添加自選
  • 4.720
  • +0.080+1.72%
延時15分鐘行情已收盤 08/15 16:00 (美東)
3.85億總市值-16275市盈率TTM

Blackline Safety Corp關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2024/04/30
(Q1)2024/01/31
(FY)2023/10/31
(Q4)2023/10/31
(Q3)2023/07/31
(Q2)2023/04/30
(Q1)2023/01/31
(FY)2022/10/31
(Q4)2022/10/31
(Q3)2022/07/31
資產
流動資產
現金及現金等價物和短期投資
-39.65%1,323.2萬
-32.27%1,593.1萬
-48.33%1,598.8萬
-48.33%1,598.8萬
68.07%1,762.6萬
-27.01%2,192.5萬
-47.78%2,352.3萬
-43.02%3,094.1萬
-43.02%3,094.1萬
-68.34%1,048.7萬
-現金和現金等價物
-24.06%1,323.2萬
-51.41%1,143.1萬
-48.81%1,148.8萬
-48.81%1,148.8萬
25.16%1,312.6萬
-20.77%1,742.5萬
-18.79%2,352.3萬
-34.42%2,244.1萬
-34.42%2,244.1萬
-38.69%1,048.7萬
-應收賬款
34.10%4,129.4萬
46.47%3,807萬
72.75%3,952.8萬
72.75%3,952.8萬
108.40%3,502.8萬
70.24%3,079.3萬
26.43%2,599.2萬
12.96%2,288.1萬
12.96%2,288.1萬
15.80%1,680.8萬
-其他應收款
0.58%417.4萬
--454萬
--484.3萬
--484.3萬
--486萬
--415萬
----
----
----
----
流動資產合計
2.09%7,593.1萬
4.25%7,481.4萬
0.70%7,650.4萬
0.70%7,650.4萬
45.35%7,368.5萬
7.55%7,437.4萬
-14.90%7,176.2萬
-16.20%7,596.9萬
-16.20%7,596.9萬
-20.09%5,069.6萬
非流動資產
-累計折舊
-31.62%-2,274.7萬
-35.86%-2,125.7萬
-38.48%-2,256.7萬
-38.48%-2,256.7萬
-38.68%-1,852.9萬
-41.42%-1,728.2萬
-43.32%-1,564.6萬
---1,629.6萬
---1,629.6萬
---1,336.1萬
-長期股權投資
77.44%1,509.7萬
27.53%1,235.5萬
-1.23%1,024萬
-1.23%1,024萬
646.91%832.8萬
526.51%850.8萬
518.65%968.8萬
552.08%1,036.8萬
552.08%1,036.8萬
-13.77%111.5萬
-商譽
-7.07%644萬
-5.90%653.7萬
-6.57%661.3萬
-6.57%661.3萬
-4.02%678.9萬
-3.62%693萬
188.02%694.7萬
192.84%707.8萬
192.84%707.8萬
171.32%707.3萬
監管資產
34.38%4,293.6萬
46.03%3,946.7萬
70.33%4,071.3萬
70.33%4,071.3萬
103.73%3,605.7萬
70.55%3,195萬
27.63%2,702.6萬
14.99%2,390.2萬
14.99%2,390.2萬
18.43%1,769.8萬
非流動遞延資產
14.64%1,176.9萬
20.26%1,066.8萬
4.64%1,013.1萬
4.64%1,013.1萬
12.42%896.7萬
73.35%1,026.6萬
82.87%887.1萬
134.20%968.2萬
134.20%968.2萬
202.38%797.6萬
負債
流動負債
短期借款與資本租賃負債
-10.34%78萬
-2.92%86.3萬
-1.71%86.4萬
-1.71%86.4萬
-9.66%82.3萬
0.35%87萬
5.08%88.9萬
12.12%87.9萬
12.12%87.9萬
36.21%91.1萬
-短期資本租賃負債
-10.34%78萬
-2.92%86.3萬
-1.71%86.4萬
-1.71%86.4萬
-9.66%82.3萬
0.35%87萬
5.08%88.9萬
12.12%87.9萬
12.12%87.9萬
36.21%91.1萬
-應付帳款
22.80%2,202.3萬
--1,997.8萬
-3.68%1,045.3萬
-3.68%1,045.3萬
--1,748.5萬
--1,793.4萬
----
--1,085.2萬
--1,085.2萬
----
-應付稅費
30.55%3,448萬
51.81%3,304.6萬
57.60%3,156萬
57.60%3,156萬
181.99%2,871.8萬
155.21%2,641.2萬
106.29%2,176.8萬
156.14%2,002.5萬
156.14%2,002.5萬
83.67%1,018.4萬
應計費用
----
----
31.24%1,089.7萬
31.24%1,089.7萬
----
----
----
--830.3萬
--830.3萬
----
現行撥備
34.43%224.9萬
47.52%216.7萬
40.47%207.9萬
40.47%207.9萬
47.12%181.1萬
48.58%167.3萬
32.70%146.9萬
45.38%148萬
45.38%148萬
--123.1萬
遞延負債
45.30%2,191.8萬
35.77%1,847.1萬
7.62%1,522.6萬
7.62%1,522.6萬
-7.62%1,508.4萬
-7.00%1,508.5萬
-0.72%1,360.5萬
20.11%1,414.8萬
20.11%1,414.8萬
26.76%1,632.8萬
流動負債總額
28.79%5,114.4萬
36.07%4,601.9萬
24.40%4,436.2萬
24.40%4,436.2萬
14.13%4,006.3萬
6.16%3,971.2萬
4.78%3,382萬
26.70%3,566.2萬
26.70%3,566.2萬
25.43%3,510.2萬
非流動負債
-長期借款
46.05%219.8萬
-11.55%150.1萬
-9.09%163萬
-9.09%163萬
17.40%130.9萬
10.82%150.5萬
8.37%169.7萬
12.77%179.3萬
12.77%179.3萬
-13.77%111.5萬
長期應計費用
7.52%1,651.4萬
4.92%1,517.5萬
3.60%1,587.2萬
3.60%1,587.2萬
16.00%1,526.2萬
11.31%1,535.9萬
15.55%1,446.4萬
26.61%1,532萬
26.61%1,532萬
19.30%1,315.7萬
長期撥備
84.19%1,289.9萬
35.83%1,085.4萬
0.41%861萬
0.41%861萬
--701.9萬
--700.3萬
--799.1萬
--857.5萬
--857.5萬
----
非流動負債總額
29.49%8,562.4萬
42.23%7,906.5萬
36.34%7,592.2萬
36.34%7,592.2萬
51.88%6,878.1萬
38.47%6,612.4萬
29.79%5,558.8萬
54.84%5,568.7萬
54.84%5,568.7萬
35.06%4,528.6萬
所有者權益
股本
0.84%1.96億
0.86%1.96億
0.63%1.96億
0.63%1.96億
14.63%1.95億
14.47%1.95億
15.48%1.95億
15.64%1.94億
15.64%1.94億
31.07%1.7億
-普通股股本
0.84%1.96億
0.86%1.96億
0.63%1.96億
0.63%1.96億
14.63%1.95億
14.47%1.95億
15.48%1.95億
15.64%1.94億
15.64%1.94億
31.07%1.7億
資本公積
2.67%1,167.9萬
1.10%1,154.7萬
2.86%1,154.5萬
2.86%1,154.5萬
3.73%1,140.1萬
5.20%1,137.5萬
7.36%1,142.1萬
4.44%1,122.4萬
4.44%1,122.4萬
3.19%1,099.1萬
留存收益
----
----
----
----
----
----
----
-6.57%19.9萬
-6.57%19.9萬
----
不影響留存收益的損益
60.75%963.4萬
66.37%884.1萬
125.25%870.6萬
125.25%870.6萬
1,300.00%736.8萬
434.80%599.3萬
464.47%531.4萬
289.83%386.5萬
289.83%386.5萬
-0.32%-61.4萬
總權益
3.48%1.11億
5.05%1.07億
0.99%1.09億
0.99%1.09億
32.70%1.05億
11.31%1.07億
-1.98%1.02億
-1.15%1.08億
-1.15%1.08億
-1.02%7,890.2萬
(Q2)2024/04/30(Q1)2024/01/31(FY)2023/10/31(Q4)2023/10/31(Q3)2023/07/31(Q2)2023/04/30(Q1)2023/01/31(FY)2022/10/31(Q4)2022/10/31(Q3)2022/07/31
資產
流動資產
現金及現金等價物和短期投資 -39.65%1,323.2萬-32.27%1,593.1萬-48.33%1,598.8萬-48.33%1,598.8萬68.07%1,762.6萬-27.01%2,192.5萬-47.78%2,352.3萬-43.02%3,094.1萬-43.02%3,094.1萬-68.34%1,048.7萬
-現金和現金等價物 -24.06%1,323.2萬-51.41%1,143.1萬-48.81%1,148.8萬-48.81%1,148.8萬25.16%1,312.6萬-20.77%1,742.5萬-18.79%2,352.3萬-34.42%2,244.1萬-34.42%2,244.1萬-38.69%1,048.7萬
-應收賬款 34.10%4,129.4萬46.47%3,807萬72.75%3,952.8萬72.75%3,952.8萬108.40%3,502.8萬70.24%3,079.3萬26.43%2,599.2萬12.96%2,288.1萬12.96%2,288.1萬15.80%1,680.8萬
-其他應收款 0.58%417.4萬--454萬--484.3萬--484.3萬--486萬--415萬----------------
流動資產合計 2.09%7,593.1萬4.25%7,481.4萬0.70%7,650.4萬0.70%7,650.4萬45.35%7,368.5萬7.55%7,437.4萬-14.90%7,176.2萬-16.20%7,596.9萬-16.20%7,596.9萬-20.09%5,069.6萬
非流動資產
-累計折舊 -31.62%-2,274.7萬-35.86%-2,125.7萬-38.48%-2,256.7萬-38.48%-2,256.7萬-38.68%-1,852.9萬-41.42%-1,728.2萬-43.32%-1,564.6萬---1,629.6萬---1,629.6萬---1,336.1萬
-長期股權投資 77.44%1,509.7萬27.53%1,235.5萬-1.23%1,024萬-1.23%1,024萬646.91%832.8萬526.51%850.8萬518.65%968.8萬552.08%1,036.8萬552.08%1,036.8萬-13.77%111.5萬
-商譽 -7.07%644萬-5.90%653.7萬-6.57%661.3萬-6.57%661.3萬-4.02%678.9萬-3.62%693萬188.02%694.7萬192.84%707.8萬192.84%707.8萬171.32%707.3萬
監管資產 34.38%4,293.6萬46.03%3,946.7萬70.33%4,071.3萬70.33%4,071.3萬103.73%3,605.7萬70.55%3,195萬27.63%2,702.6萬14.99%2,390.2萬14.99%2,390.2萬18.43%1,769.8萬
非流動遞延資產 14.64%1,176.9萬20.26%1,066.8萬4.64%1,013.1萬4.64%1,013.1萬12.42%896.7萬73.35%1,026.6萬82.87%887.1萬134.20%968.2萬134.20%968.2萬202.38%797.6萬
負債
流動負債
短期借款與資本租賃負債 -10.34%78萬-2.92%86.3萬-1.71%86.4萬-1.71%86.4萬-9.66%82.3萬0.35%87萬5.08%88.9萬12.12%87.9萬12.12%87.9萬36.21%91.1萬
-短期資本租賃負債 -10.34%78萬-2.92%86.3萬-1.71%86.4萬-1.71%86.4萬-9.66%82.3萬0.35%87萬5.08%88.9萬12.12%87.9萬12.12%87.9萬36.21%91.1萬
-應付帳款 22.80%2,202.3萬--1,997.8萬-3.68%1,045.3萬-3.68%1,045.3萬--1,748.5萬--1,793.4萬------1,085.2萬--1,085.2萬----
-應付稅費 30.55%3,448萬51.81%3,304.6萬57.60%3,156萬57.60%3,156萬181.99%2,871.8萬155.21%2,641.2萬106.29%2,176.8萬156.14%2,002.5萬156.14%2,002.5萬83.67%1,018.4萬
應計費用 --------31.24%1,089.7萬31.24%1,089.7萬--------------830.3萬--830.3萬----
現行撥備 34.43%224.9萬47.52%216.7萬40.47%207.9萬40.47%207.9萬47.12%181.1萬48.58%167.3萬32.70%146.9萬45.38%148萬45.38%148萬--123.1萬
遞延負債 45.30%2,191.8萬35.77%1,847.1萬7.62%1,522.6萬7.62%1,522.6萬-7.62%1,508.4萬-7.00%1,508.5萬-0.72%1,360.5萬20.11%1,414.8萬20.11%1,414.8萬26.76%1,632.8萬
流動負債總額 28.79%5,114.4萬36.07%4,601.9萬24.40%4,436.2萬24.40%4,436.2萬14.13%4,006.3萬6.16%3,971.2萬4.78%3,382萬26.70%3,566.2萬26.70%3,566.2萬25.43%3,510.2萬
非流動負債
-長期借款 46.05%219.8萬-11.55%150.1萬-9.09%163萬-9.09%163萬17.40%130.9萬10.82%150.5萬8.37%169.7萬12.77%179.3萬12.77%179.3萬-13.77%111.5萬
長期應計費用 7.52%1,651.4萬4.92%1,517.5萬3.60%1,587.2萬3.60%1,587.2萬16.00%1,526.2萬11.31%1,535.9萬15.55%1,446.4萬26.61%1,532萬26.61%1,532萬19.30%1,315.7萬
長期撥備 84.19%1,289.9萬35.83%1,085.4萬0.41%861萬0.41%861萬--701.9萬--700.3萬--799.1萬--857.5萬--857.5萬----
非流動負債總額 29.49%8,562.4萬42.23%7,906.5萬36.34%7,592.2萬36.34%7,592.2萬51.88%6,878.1萬38.47%6,612.4萬29.79%5,558.8萬54.84%5,568.7萬54.84%5,568.7萬35.06%4,528.6萬
所有者權益
股本 0.84%1.96億0.86%1.96億0.63%1.96億0.63%1.96億14.63%1.95億14.47%1.95億15.48%1.95億15.64%1.94億15.64%1.94億31.07%1.7億
-普通股股本 0.84%1.96億0.86%1.96億0.63%1.96億0.63%1.96億14.63%1.95億14.47%1.95億15.48%1.95億15.64%1.94億15.64%1.94億31.07%1.7億
資本公積 2.67%1,167.9萬1.10%1,154.7萬2.86%1,154.5萬2.86%1,154.5萬3.73%1,140.1萬5.20%1,137.5萬7.36%1,142.1萬4.44%1,122.4萬4.44%1,122.4萬3.19%1,099.1萬
留存收益 -----------------------------6.57%19.9萬-6.57%19.9萬----
不影響留存收益的損益 60.75%963.4萬66.37%884.1萬125.25%870.6萬125.25%870.6萬1,300.00%736.8萬434.80%599.3萬464.47%531.4萬289.83%386.5萬289.83%386.5萬-0.32%-61.4萬
總權益 3.48%1.11億5.05%1.07億0.99%1.09億0.99%1.09億32.70%1.05億11.31%1.07億-1.98%1.02億-1.15%1.08億-1.15%1.08億-1.02%7,890.2萬

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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