加拿大市場個股詳情

BYN Banyan Gold Corp

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  • 0.225
  • -0.005-2.17%
延時15分鐘行情已收盤 02/14 16:00 (美東)
7397.86萬總市值-16.07市盈率TTM

Banyan Gold Corp關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2024/09/30
(Q4)2024/09/30
(Q3)2024/06/30
(Q2)2024/03/31
(Q1)2023/12/31
(FY)2023/09/30
(Q4)2023/09/30
(Q3)2023/06/30
(Q2)2023/03/31
(Q1)2022/12/31
資產
流動資產
現金及現金等價物和短期投資
69.21%1,379.36萬
69.21%1,379.36萬
54.89%1,808.37萬
-68.56%537.78萬
-66.02%620.61萬
-29.81%815.17萬
-29.81%815.17萬
-34.82%1,167.52萬
203.22%1,710.71萬
111.43%1,826.64萬
-現金和現金等價物
69.21%1,379.36萬
69.21%1,379.36萬
54.89%1,808.37萬
-68.56%537.78萬
-66.02%620.61萬
-29.81%815.17萬
-29.81%815.17萬
-34.82%1,167.52萬
203.22%1,710.71萬
111.43%1,826.64萬
應收款項
-16.08%38.28萬
-16.08%38.28萬
-27.01%36.37萬
145.59%33.42萬
-69.30%26.69萬
-43.51%45.61萬
-43.51%45.61萬
50.54%49.84萬
-69.84%13.61萬
111.60%86.94萬
-應收賬款
-16.08%38.28萬
-16.08%38.28萬
-27.01%36.37萬
145.59%33.42萬
-69.30%26.69萬
-43.51%45.61萬
-43.51%45.61萬
50.54%49.84萬
-69.84%13.61萬
111.60%86.94萬
預付費用
52.87%3.96萬
52.87%3.96萬
-82.09%2.89萬
-91.18%2.59萬
-61.58%2.59萬
1.21%2.59萬
1.21%2.59萬
-68.16%16.16萬
401.48%29.42萬
-1.44%6.75萬
流動資產合計
64.66%1,421.61萬
64.66%1,421.61萬
49.79%1,847.64萬
-67.28%573.79萬
-66.16%649.89萬
-30.64%863.37萬
-30.64%863.37萬
-34.22%1,233.52萬
185.08%1,753.73萬
110.59%1,920.33萬
非流動資產
固定資產淨額
17.45%5,840.68萬
17.45%5,840.68萬
12.76%5,309.44萬
23.18%5,174.59萬
29.26%5,115.89萬
38.62%4,973.04萬
38.62%4,973.04萬
55.50%4,708.76萬
68.13%4,200.79萬
83.81%3,957.93萬
-固定資產
17.61%5,884.56萬
17.61%5,884.56萬
12.97%5,349.71萬
23.36%5,211.52萬
29.46%5,149.5萬
38.76%5,003.34萬
38.76%5,003.34萬
55.61%4,735.52萬
68.22%4,224.62萬
83.79%3,977.69萬
-累計折舊
-44.82%-43.88萬
-44.82%-43.88萬
-50.48%-40.27萬
-54.96%-36.93萬
-70.14%-33.61萬
-66.29%-30.3萬
-66.29%-30.3萬
-77.98%-26.76萬
-85.00%-23.83萬
-81.44%-19.76萬
長期預付費用
7.06%14.51萬
7.06%14.51萬
--13.56萬
--13.56萬
--13.56萬
255.26%13.56萬
255.26%13.56萬
----
----
----
非流動資產合計
17.42%5,855.2萬
17.42%5,855.2萬
13.04%5,323萬
23.50%5,188.15萬
29.60%5,129.44萬
38.85%4,986.6萬
38.85%4,986.6萬
55.50%4,708.76萬
68.13%4,200.79萬
83.81%3,957.93萬
總資產
24.39%7,276.8萬
24.39%7,276.8萬
20.67%7,170.64萬
-3.23%5,761.94萬
-1.68%5,779.34萬
20.97%5,849.97萬
20.97%5,849.97萬
21.19%5,942.28萬
91.24%5,954.52萬
91.77%5,878.27萬
負債
流動負債
遞延負債
----
----
----
----
0.27%876.5萬
----
----
--874.15萬
--874.15萬
34.52%874.15萬
流動負債總額
184.71%220.57萬
184.71%220.57萬
-89.39%110.78萬
-95.35%48.34萬
-0.88%917.79萬
-57.25%77.47萬
-57.25%77.47萬
19.73%1,043.77萬
40.85%1,039.91萬
38.26%925.92萬
非流動負債
遞延負債
49.66%1,311.78萬
49.66%1,311.78萬
--876.5萬
--876.5萬
----
0.27%876.5萬
0.27%876.5萬
----
----
----
非流動負債總額
49.66%1,311.78萬
49.66%1,311.78萬
--876.5萬
--876.5萬
--0
0.27%876.5萬
0.27%876.5萬
--0
--0
--0
負債總額
60.63%1,532.35萬
60.63%1,532.35萬
-5.41%987.28萬
-11.07%924.84萬
-0.88%917.79萬
-9.61%953.97萬
-9.61%953.97萬
19.73%1,043.77萬
40.85%1,039.91萬
38.26%925.92萬
所有者權益
股本
20.57%6,584.89萬
20.57%6,584.89萬
20.84%6,850.65萬
-3.46%5,470.82萬
-3.53%5,467.27萬
22.72%5,461.67萬
22.72%5,461.67萬
20.26%5,669.38萬
86.55%5,667.13萬
87.09%5,667.15萬
-普通股股本
20.57%6,584.89萬
20.57%6,584.89萬
20.84%6,850.65萬
-3.46%5,470.82萬
-3.53%5,467.27萬
22.72%5,461.67萬
22.72%5,461.67萬
20.26%5,669.38萬
86.55%5,667.13萬
87.09%5,667.15萬
資本公積
56.03%427.44萬
56.03%427.44萬
59.27%442.43萬
68.15%347.42萬
67.04%345.12萬
32.59%273.94萬
32.59%273.94萬
23.03%277.79萬
-5.71%206.61萬
-2.25%206.61萬
留存收益
-51.01%-1,267.88萬
-51.01%-1,267.88萬
-5.82%-1,109.72萬
-2.29%-981.13萬
-3.20%-950.85萬
4.20%-839.62萬
4.20%-839.62萬
-15.41%-1,048.66萬
-8.78%-959.13萬
-9.04%-921.41萬
股東權益總額
17.33%5,744.46萬
17.33%5,744.46萬
26.23%6,183.36萬
-1.58%4,837.11萬
-1.83%4,861.55萬
29.50%4,896萬
29.50%4,896萬
21.50%4,898.5萬
106.90%4,914.61萬
106.73%4,952.35萬
總權益
17.33%5,744.46萬
17.33%5,744.46萬
26.23%6,183.36萬
-1.58%4,837.11萬
-1.83%4,861.55萬
29.50%4,896萬
29.50%4,896萬
21.50%4,898.5萬
106.90%4,914.61萬
106.73%4,952.35萬
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)2024/09/30(Q4)2024/09/30(Q3)2024/06/30(Q2)2024/03/31(Q1)2023/12/31(FY)2023/09/30(Q4)2023/09/30(Q3)2023/06/30(Q2)2023/03/31(Q1)2022/12/31
資產
流動資產
現金及現金等價物和短期投資 69.21%1,379.36萬69.21%1,379.36萬54.89%1,808.37萬-68.56%537.78萬-66.02%620.61萬-29.81%815.17萬-29.81%815.17萬-34.82%1,167.52萬203.22%1,710.71萬111.43%1,826.64萬
-現金和現金等價物 69.21%1,379.36萬69.21%1,379.36萬54.89%1,808.37萬-68.56%537.78萬-66.02%620.61萬-29.81%815.17萬-29.81%815.17萬-34.82%1,167.52萬203.22%1,710.71萬111.43%1,826.64萬
應收款項 -16.08%38.28萬-16.08%38.28萬-27.01%36.37萬145.59%33.42萬-69.30%26.69萬-43.51%45.61萬-43.51%45.61萬50.54%49.84萬-69.84%13.61萬111.60%86.94萬
-應收賬款 -16.08%38.28萬-16.08%38.28萬-27.01%36.37萬145.59%33.42萬-69.30%26.69萬-43.51%45.61萬-43.51%45.61萬50.54%49.84萬-69.84%13.61萬111.60%86.94萬
預付費用 52.87%3.96萬52.87%3.96萬-82.09%2.89萬-91.18%2.59萬-61.58%2.59萬1.21%2.59萬1.21%2.59萬-68.16%16.16萬401.48%29.42萬-1.44%6.75萬
流動資產合計 64.66%1,421.61萬64.66%1,421.61萬49.79%1,847.64萬-67.28%573.79萬-66.16%649.89萬-30.64%863.37萬-30.64%863.37萬-34.22%1,233.52萬185.08%1,753.73萬110.59%1,920.33萬
非流動資產
固定資產淨額 17.45%5,840.68萬17.45%5,840.68萬12.76%5,309.44萬23.18%5,174.59萬29.26%5,115.89萬38.62%4,973.04萬38.62%4,973.04萬55.50%4,708.76萬68.13%4,200.79萬83.81%3,957.93萬
-固定資產 17.61%5,884.56萬17.61%5,884.56萬12.97%5,349.71萬23.36%5,211.52萬29.46%5,149.5萬38.76%5,003.34萬38.76%5,003.34萬55.61%4,735.52萬68.22%4,224.62萬83.79%3,977.69萬
-累計折舊 -44.82%-43.88萬-44.82%-43.88萬-50.48%-40.27萬-54.96%-36.93萬-70.14%-33.61萬-66.29%-30.3萬-66.29%-30.3萬-77.98%-26.76萬-85.00%-23.83萬-81.44%-19.76萬
長期預付費用 7.06%14.51萬7.06%14.51萬--13.56萬--13.56萬--13.56萬255.26%13.56萬255.26%13.56萬------------
非流動資產合計 17.42%5,855.2萬17.42%5,855.2萬13.04%5,323萬23.50%5,188.15萬29.60%5,129.44萬38.85%4,986.6萬38.85%4,986.6萬55.50%4,708.76萬68.13%4,200.79萬83.81%3,957.93萬
總資產 24.39%7,276.8萬24.39%7,276.8萬20.67%7,170.64萬-3.23%5,761.94萬-1.68%5,779.34萬20.97%5,849.97萬20.97%5,849.97萬21.19%5,942.28萬91.24%5,954.52萬91.77%5,878.27萬
負債
流動負債
遞延負債 ----------------0.27%876.5萬----------874.15萬--874.15萬34.52%874.15萬
流動負債總額 184.71%220.57萬184.71%220.57萬-89.39%110.78萬-95.35%48.34萬-0.88%917.79萬-57.25%77.47萬-57.25%77.47萬19.73%1,043.77萬40.85%1,039.91萬38.26%925.92萬
非流動負債
遞延負債 49.66%1,311.78萬49.66%1,311.78萬--876.5萬--876.5萬----0.27%876.5萬0.27%876.5萬------------
非流動負債總額 49.66%1,311.78萬49.66%1,311.78萬--876.5萬--876.5萬--00.27%876.5萬0.27%876.5萬--0--0--0
負債總額 60.63%1,532.35萬60.63%1,532.35萬-5.41%987.28萬-11.07%924.84萬-0.88%917.79萬-9.61%953.97萬-9.61%953.97萬19.73%1,043.77萬40.85%1,039.91萬38.26%925.92萬
所有者權益
股本 20.57%6,584.89萬20.57%6,584.89萬20.84%6,850.65萬-3.46%5,470.82萬-3.53%5,467.27萬22.72%5,461.67萬22.72%5,461.67萬20.26%5,669.38萬86.55%5,667.13萬87.09%5,667.15萬
-普通股股本 20.57%6,584.89萬20.57%6,584.89萬20.84%6,850.65萬-3.46%5,470.82萬-3.53%5,467.27萬22.72%5,461.67萬22.72%5,461.67萬20.26%5,669.38萬86.55%5,667.13萬87.09%5,667.15萬
資本公積 56.03%427.44萬56.03%427.44萬59.27%442.43萬68.15%347.42萬67.04%345.12萬32.59%273.94萬32.59%273.94萬23.03%277.79萬-5.71%206.61萬-2.25%206.61萬
留存收益 -51.01%-1,267.88萬-51.01%-1,267.88萬-5.82%-1,109.72萬-2.29%-981.13萬-3.20%-950.85萬4.20%-839.62萬4.20%-839.62萬-15.41%-1,048.66萬-8.78%-959.13萬-9.04%-921.41萬
股東權益總額 17.33%5,744.46萬17.33%5,744.46萬26.23%6,183.36萬-1.58%4,837.11萬-1.83%4,861.55萬29.50%4,896萬29.50%4,896萬21.50%4,898.5萬106.90%4,914.61萬106.73%4,952.35萬
總權益 17.33%5,744.46萬17.33%5,744.46萬26.23%6,183.36萬-1.58%4,837.11萬-1.83%4,861.55萬29.50%4,896萬29.50%4,896萬21.50%4,898.5萬106.90%4,914.61萬106.73%4,952.35萬
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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。

市場投資機會
五大行 五大行

“五大行”指的是加拿大最大的五家銀行——皇家銀行、加拿大道明信託、加拿大豐業銀行、蒙特利爾銀行和加拿大帝國商業銀行——它們主導並顯著影響著國家的金融行業。 “五大行”指的是加拿大最大的五家銀行——皇家銀行、加拿大道明信託、加拿大豐業銀行、蒙特利爾銀行和加拿大帝國商業銀行——它們主導並顯著影響著國家的金融行業。