加拿大市場個股詳情

CCD Cascadero Copper Corp

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  • 0.015
  • 0.0000.00%
延時15分鐘行情已收盤 07/16 16:00 (美東)
450.19萬總市值-7500市盈率TTM

Cascadero Copper Corp關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2024/02/29
(FY)2023/11/30
(Q4)2023/11/30
(Q3)2023/08/31
(Q2)2023/05/31
(Q1)2023/02/28
(FY)2022/11/30
(Q4)2022/11/30
(Q3)2022/08/31
(Q2)2022/05/31
資產
流動資產
現金及現金等價物和短期投資
-87.34%7.29萬
-76.47%16.05萬
-76.47%16.05萬
-48.87%38萬
-43.35%50.53萬
-48.84%57.61萬
1,101.63%68.23萬
1,101.63%68.23萬
1,027.25%74.31萬
1,364.53%89.2萬
-現金和現金等價物
-87.34%7.29萬
-76.47%16.05萬
-76.47%16.05萬
-48.87%38萬
-43.35%50.53萬
-48.84%57.61萬
1,101.63%68.23萬
1,101.63%68.23萬
1,027.25%74.31萬
1,364.53%89.2萬
流動資產合計
-78.41%14.43萬
-72.15%20.08萬
-72.15%20.08萬
-49.07%40.02萬
-42.85%52.64萬
-42.09%66.83萬
422.99%72.09萬
422.99%72.09萬
527.25%78.58萬
963.71%92.1萬
非流動資產
監管資產
145.78%6.57萬
-73.70%6,839
-73.70%6,839
-77.33%5,678
-14.67%4,845
1,941.86%2.67萬
125.90%2.6萬
125.90%2.6萬
-0.20%2.5萬
-74.88%5,678
總資產
145.78%6.57萬
-73.70%6,839
-73.70%6,839
-77.33%5,678
-14.67%4,845
1,941.86%2.67萬
125.90%2.6萬
125.90%2.6萬
-0.20%2.5萬
-74.88%5,678
負債
流動負債
-應付稅費
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
流動負債總額
10.43%21.93萬
25.27%30.61萬
25.27%30.61萬
-49.56%11.26萬
-51.55%15.03萬
-56.78%19.86萬
-68.03%24.43萬
-68.03%24.43萬
-57.60%22.32萬
-26.40%31.01萬
非流動負債
非流動負債總額
10.43%21.93萬
25.27%30.61萬
25.27%30.61萬
-49.56%11.26萬
-51.55%15.03萬
-56.78%19.86萬
-68.03%24.43萬
-68.03%24.43萬
-57.60%22.32萬
-26.40%31.01萬
所有者權益
股本
0.00%2,429.71萬
0.00%2,429.71萬
0.00%2,429.71萬
0.00%2,429.71萬
0.00%2,429.71萬
0.00%2,429.71萬
4.56%2,429.71萬
4.56%2,429.71萬
4.56%2,429.71萬
4.51%2,429.71萬
-普通股股本
0.00%2,429.71萬
0.00%2,429.71萬
0.00%2,429.71萬
0.00%2,429.71萬
0.00%2,429.71萬
0.00%2,429.71萬
4.56%2,429.71萬
4.56%2,429.71萬
4.56%2,429.71萬
4.51%2,429.71萬
資本公積
0.00%561.99萬
0.00%561.99萬
0.00%561.99萬
0.00%561.99萬
0.00%561.99萬
0.00%561.99萬
6.13%561.99萬
6.13%561.99萬
6.13%561.99萬
6.13%561.99萬
不影響留存收益的損益
0.10%1.11萬
-0.19%1.11萬
-0.19%1.11萬
-1.08%1.11萬
-2.31%1.11萬
-2.31%1.11萬
-1.82%1.11萬
-1.82%1.11萬
159.09%1.12萬
159.53%1.14萬
總權益
-78.41%14.43萬
-72.15%20.08萬
-72.15%20.08萬
-49.07%40.02萬
-42.85%52.64萬
-42.09%66.83萬
422.99%72.09萬
422.99%72.09萬
527.25%78.58萬
963.71%92.1萬
(Q1)2024/02/29(FY)2023/11/30(Q4)2023/11/30(Q3)2023/08/31(Q2)2023/05/31(Q1)2023/02/28(FY)2022/11/30(Q4)2022/11/30(Q3)2022/08/31(Q2)2022/05/31
資產
流動資產
現金及現金等價物和短期投資 -87.34%7.29萬-76.47%16.05萬-76.47%16.05萬-48.87%38萬-43.35%50.53萬-48.84%57.61萬1,101.63%68.23萬1,101.63%68.23萬1,027.25%74.31萬1,364.53%89.2萬
-現金和現金等價物 -87.34%7.29萬-76.47%16.05萬-76.47%16.05萬-48.87%38萬-43.35%50.53萬-48.84%57.61萬1,101.63%68.23萬1,101.63%68.23萬1,027.25%74.31萬1,364.53%89.2萬
流動資產合計 -78.41%14.43萬-72.15%20.08萬-72.15%20.08萬-49.07%40.02萬-42.85%52.64萬-42.09%66.83萬422.99%72.09萬422.99%72.09萬527.25%78.58萬963.71%92.1萬
非流動資產
監管資產 145.78%6.57萬-73.70%6,839-73.70%6,839-77.33%5,678-14.67%4,8451,941.86%2.67萬125.90%2.6萬125.90%2.6萬-0.20%2.5萬-74.88%5,678
總資產 145.78%6.57萬-73.70%6,839-73.70%6,839-77.33%5,678-14.67%4,8451,941.86%2.67萬125.90%2.6萬125.90%2.6萬-0.20%2.5萬-74.88%5,678
負債
流動負債
-應付稅費 --0--0--0--0--0--0--0--0--0--0
流動負債總額 10.43%21.93萬25.27%30.61萬25.27%30.61萬-49.56%11.26萬-51.55%15.03萬-56.78%19.86萬-68.03%24.43萬-68.03%24.43萬-57.60%22.32萬-26.40%31.01萬
非流動負債
非流動負債總額 10.43%21.93萬25.27%30.61萬25.27%30.61萬-49.56%11.26萬-51.55%15.03萬-56.78%19.86萬-68.03%24.43萬-68.03%24.43萬-57.60%22.32萬-26.40%31.01萬
所有者權益
股本 0.00%2,429.71萬0.00%2,429.71萬0.00%2,429.71萬0.00%2,429.71萬0.00%2,429.71萬0.00%2,429.71萬4.56%2,429.71萬4.56%2,429.71萬4.56%2,429.71萬4.51%2,429.71萬
-普通股股本 0.00%2,429.71萬0.00%2,429.71萬0.00%2,429.71萬0.00%2,429.71萬0.00%2,429.71萬0.00%2,429.71萬4.56%2,429.71萬4.56%2,429.71萬4.56%2,429.71萬4.51%2,429.71萬
資本公積 0.00%561.99萬0.00%561.99萬0.00%561.99萬0.00%561.99萬0.00%561.99萬0.00%561.99萬6.13%561.99萬6.13%561.99萬6.13%561.99萬6.13%561.99萬
不影響留存收益的損益 0.10%1.11萬-0.19%1.11萬-0.19%1.11萬-1.08%1.11萬-2.31%1.11萬-2.31%1.11萬-1.82%1.11萬-1.82%1.11萬159.09%1.12萬159.53%1.14萬
總權益 -78.41%14.43萬-72.15%20.08萬-72.15%20.08萬-49.07%40.02萬-42.85%52.64萬-42.09%66.83萬422.99%72.09萬422.99%72.09萬527.25%78.58萬963.71%92.1萬

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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