加拿大市場個股詳情

CXB Calibre Mining Corp

添加自選
  • 2.160
  • +0.010+0.47%
延時15分鐘行情已收盤 12/20 16:00 (美東)
18.10億總市值31.76市盈率TTM

Calibre Mining Corp關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
資產
流動資產
現金及現金等價物和短期投資
19.02%1.16億
65.97%1.28億
-6.73%5,438.5萬
52.52%8,616萬
52.52%8,616萬
51.96%9,729.3萬
-16.74%7,686.9萬
-24.58%5,831.2萬
-27.99%5,649.2萬
-27.99%5,649.2萬
-現金和現金等價物
19.02%1.16億
65.97%1.28億
-6.73%5,438.5萬
52.52%8,616萬
52.52%8,616萬
51.96%9,729.3萬
-16.74%7,686.9萬
-24.58%5,831.2萬
-27.99%5,649.2萬
-27.99%5,649.2萬
應收款項
987.37%3,202.3萬
299.94%1,303萬
678.76%1,309.1萬
30.39%250.6萬
30.39%250.6萬
224.70%294.5萬
65.30%325.8萬
-13.35%168.1萬
14.20%192.2萬
14.20%192.2萬
-應收賬款
1,338.68%1,982.5萬
-16.40%155.5萬
115.92%218.3萬
48.27%145.9萬
48.27%145.9萬
--137.8萬
88.45%186萬
5.75%101.1萬
99.19%98.4萬
99.19%98.4萬
-應收稅費
678.43%1,219.8萬
720.82%1,147.5萬
1,528.06%1,090.8萬
11.62%104.7萬
11.62%104.7萬
72.77%156.7萬
42.07%139.8萬
-31.91%67萬
-21.11%93.8萬
-21.11%93.8萬
存貨
-5.20%1.06億
-8.69%1.01億
-7.73%9,581.1萬
-2.20%1.03億
-2.20%1.03億
14.90%1.12億
22.50%1.11億
10.86%1.04億
92.91%1.05億
92.91%1.05億
預付費用
-5.90%1,593.9萬
295.20%3,642.2萬
139.13%2,504.2萬
25.42%1,456.4萬
25.42%1,456.4萬
32.92%1,693.9萬
-15.96%921.6萬
42.17%1,047.2萬
76.85%1,161.2萬
76.85%1,161.2萬
受限制現金
--1億
--1.25億
--1.76億
----
----
----
----
----
----
----
流動資產合計
61.65%3.7億
101.30%4.03億
108.83%3.64億
17.66%2.06億
17.66%2.06億
30.85%2.29億
1.59%2億
-6.70%1.74億
24.00%1.75億
24.00%1.75億
非流動資產
固定資產淨額
146.93%13.06億
124.83%11.56億
118.10%10.67億
16.74%5.57億
16.74%5.57億
15.81%5.29億
20.24%5.14億
22.22%4.89億
64.50%4.77億
64.50%4.77億
-固定資產
123.22%15.67億
110.70%13.94億
107.96%12.84億
27.95%7.57億
27.95%7.57億
25.78%7.02億
27.77%6.61億
29.04%6.18億
68.43%5.91億
68.43%5.91億
-累計折舊
-50.86%-2.61億
-61.38%-2.38億
-69.36%-2.18億
-74.78%-2億
-74.78%-2億
-70.63%-1.73億
-63.52%-1.47億
-63.78%-1.29億
-87.16%-1.14億
-87.16%-1.14億
投資和預付款
--0
--0
--0
--4,234.1萬
--4,234.1萬
----
----
----
--0
--0
長期應收款
-6.19%471.2萬
-91.47%40.9萬
-61.62%179.5萬
-34.31%314.2萬
-34.31%314.2萬
7.17%502.3萬
62.58%479.6萬
58.54%467.7萬
34.17%478.3萬
34.17%478.3萬
長期預付費用
211.84%1,654.3萬
31.05%699.3萬
390.30%2,470.6萬
43.61%691.5萬
43.61%691.5萬
8.95%530.5萬
8.41%533.6萬
-0.34%503.9萬
73.95%481.5萬
73.95%481.5萬
其他非流動資產
15.68%489.8萬
112.04%530.1萬
131.64%579.1萬
69.36%423.4萬
69.36%423.4萬
69.36%423.4萬
--250萬
--250萬
--250萬
--250萬
非流動資產合計
145.13%13.32億
121.85%11.69億
119.23%10.99億
25.43%6.14億
25.43%6.14億
15.94%5.43億
20.97%5.27億
22.82%5.01億
65.06%4.89億
65.06%4.89億
總資產
120.37%17.02億
116.19%15.71億
116.55%14.63億
23.38%8.2億
23.38%8.2億
19.99%7.73億
14.93%7.27億
13.55%6.76億
51.82%6.64億
51.82%6.64億
負債
流動負債
短期借款與資本租賃負債
101.89%1,773.8萬
142.02%1,620.1萬
186.60%1,680.6萬
121.86%988.4萬
121.86%988.4萬
120.04%878.6萬
2,599.19%669.4萬
1,006.42%586.4萬
10,260.47%445.5萬
10,260.47%445.5萬
-短期借款
----
----
----
----
----
126.29%850.4萬
--641萬
--558.6萬
----
----
-銀行債務
--1,196.6萬
--1,057.1萬
--1,191.5萬
129.21%959.7萬
129.21%959.7萬
----
----
----
--418.7萬
--418.7萬
-短期資本租賃負債
1,946.81%577.2萬
1,882.39%563萬
1,659.35%489.1萬
7.09%28.7萬
7.09%28.7萬
20.00%28.2萬
14.52%28.4萬
-47.55%27.8萬
523.26%26.8萬
523.26%26.8萬
應付款項
78.06%1.19億
90.00%9,950.1萬
144.50%1.05億
40.26%7,810.1萬
40.26%7,810.1萬
19.70%6,689.6萬
-6.17%5,236.8萬
14.76%4,288.2萬
61.19%5,568.2萬
61.19%5,568.2萬
-應付帳款
141.98%1.13億
135.78%9,104萬
163.76%9,504.4萬
26.22%5,327萬
26.22%5,327萬
14.47%4,672.2萬
-10.20%3,861.2萬
16.83%3,603.4萬
100.57%4,220.3萬
100.57%4,220.3萬
-應付稅費
-69.98%605.7萬
-38.49%846.1萬
43.15%980.3萬
84.22%2,483.1萬
84.22%2,483.1萬
33.87%2,017.4萬
7.33%1,375.6萬
4.97%684.8萬
-0.17%1,347.9萬
-0.17%1,347.9萬
現行撥備
-22.68%446.9萬
-19.74%465.4萬
-21.64%457.1萬
-19.48%457.9萬
-19.48%457.9萬
4.41%578萬
2.22%579.9萬
8.28%583.3萬
5.49%568.7萬
5.49%568.7萬
養老金及其他退休福利計劃
----
----
----
----
----
-23.14%96.3萬
-37.16%118.7萬
-59.01%128.9萬
----
----
遞延負債
--3,448.9萬
--4,927.1萬
--4,013.4萬
----
----
----
----
----
----
----
其他流動負債
--420.9萬
328,100.00%328.2萬
--187.6萬
-1.91%72萬
-1.91%72萬
----
--1,000
----
--73.4萬
--73.4萬
流動負債總額
118.40%1.8億
161.79%1.73億
201.13%1.68億
40.15%9,328.4萬
40.15%9,328.4萬
23.63%8,242.5萬
3.81%6,604.9萬
20.33%5,586.8萬
53.30%6,655.8萬
53.30%6,655.8萬
非流動負債
長期借款與租賃負債
3,184.90%3.7億
3,472.53%3.37億
3,263.47%3.37億
25.79%1,084.9萬
25.79%1,084.9萬
60.77%1,126.2萬
1,391.31%944萬
--1,001.6萬
--862.5萬
--862.5萬
-長期借款
2,821.07%3.17億
3,431.15%3.17億
3,261.42%3.19億
30.42%1,050.9萬
30.42%1,050.9萬
70.79%1,086.2萬
--897萬
--949.1萬
--805.8萬
--805.8萬
-長期租賃負債
13,064.50%5,265.8萬
4,262.34%2,050.3萬
3,300.57%1,785.3萬
-40.04%34萬
-40.04%34萬
-37.98%40萬
-25.75%47萬
--52.5萬
--56.7萬
--56.7萬
長期撥備
26.39%9,752.2萬
22.62%9,405.8萬
23.28%9,329.5萬
16.37%8,624.1萬
16.37%8,624.1萬
-1.79%7,715.8萬
-1.79%7,670.8萬
-2.44%7,567.6萬
13.35%7,411.2萬
13.35%7,411.2萬
遞延負債
11.51%7,763.6萬
8.37%7,498.6萬
12.94%7,236.7萬
10.12%6,943.4萬
10.12%6,943.4萬
24.99%6,962.2萬
25.30%6,919.6萬
18.11%6,407.4萬
63.04%6,305.5萬
63.04%6,305.5萬
其他非流動負債
229.67%644.5萬
387.98%328.9萬
80.11%198.3萬
118.97%255.1萬
118.97%255.1萬
113.43%195.5萬
-14.36%67.4萬
40.43%110.1萬
93.84%116.5萬
93.84%116.5萬
非流動負債總額
244.72%5.52億
226.62%5.1億
234.42%5.05億
15.05%1.69億
15.05%1.69億
12.53%1.6億
15.78%1.56億
13.77%1.51億
40.42%1.47億
40.42%1.47億
負債總額
201.77%7.32億
207.33%6.82億
225.42%6.73億
22.88%2.62億
22.88%2.62億
16.07%2.42億
11.94%2.22億
15.47%2.07億
44.19%2.14億
44.19%2.14億
所有者權益
股本
134.09%6.99億
108.80%6.19億
83.82%5.39億
3.70%3.02億
3.70%3.02億
2.62%2.99億
2.11%2.97億
1.67%2.93億
65.96%2.92億
65.96%2.92億
-普通股股本
134.09%6.99億
108.80%6.19億
83.82%5.39億
3.70%3.02億
3.70%3.02億
2.62%2.99億
2.11%2.97億
1.67%2.93億
65.96%2.92億
65.96%2.92億
資本公積
13.76%2,553萬
22.47%2,683.5萬
19.25%2,669.9萬
-2.03%2,201.3萬
-2.03%2,201.3萬
2.85%2,244.2萬
2.68%2,191.1萬
5.53%2,239萬
17.90%2,247萬
17.90%2,247萬
留存收益
14.45%2.38億
28.44%2.37億
42.89%2.16億
62.94%2.2億
62.94%2.2億
72.58%2.08億
55.37%1.85億
46.45%1.52億
47.24%1.35億
47.24%1.35億
不影響留存收益的損益
761.09%807.7萬
256.19%546.4萬
355.27%807.2萬
705.40%1,267.7萬
705.40%1,267.7萬
-39.56%93.8萬
-53.81%153.4萬
-38.95%177.3萬
-46.32%157.4萬
-46.32%157.4萬
股東權益總額
83.14%9.71億
76.10%8.89億
68.54%7.9億
23.62%5.57億
23.62%5.57億
21.88%5.3億
16.30%5.05億
12.72%4.69億
55.72%4.51億
55.72%4.51億
總權益
83.14%9.71億
76.10%8.89億
68.54%7.9億
23.62%5.57億
23.62%5.57億
21.88%5.3億
16.30%5.05億
12.72%4.69億
55.72%4.51億
55.72%4.51億
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
--
--
--
--
--
--
(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31
資產
流動資產
現金及現金等價物和短期投資 19.02%1.16億65.97%1.28億-6.73%5,438.5萬52.52%8,616萬52.52%8,616萬51.96%9,729.3萬-16.74%7,686.9萬-24.58%5,831.2萬-27.99%5,649.2萬-27.99%5,649.2萬
-現金和現金等價物 19.02%1.16億65.97%1.28億-6.73%5,438.5萬52.52%8,616萬52.52%8,616萬51.96%9,729.3萬-16.74%7,686.9萬-24.58%5,831.2萬-27.99%5,649.2萬-27.99%5,649.2萬
應收款項 987.37%3,202.3萬299.94%1,303萬678.76%1,309.1萬30.39%250.6萬30.39%250.6萬224.70%294.5萬65.30%325.8萬-13.35%168.1萬14.20%192.2萬14.20%192.2萬
-應收賬款 1,338.68%1,982.5萬-16.40%155.5萬115.92%218.3萬48.27%145.9萬48.27%145.9萬--137.8萬88.45%186萬5.75%101.1萬99.19%98.4萬99.19%98.4萬
-應收稅費 678.43%1,219.8萬720.82%1,147.5萬1,528.06%1,090.8萬11.62%104.7萬11.62%104.7萬72.77%156.7萬42.07%139.8萬-31.91%67萬-21.11%93.8萬-21.11%93.8萬
存貨 -5.20%1.06億-8.69%1.01億-7.73%9,581.1萬-2.20%1.03億-2.20%1.03億14.90%1.12億22.50%1.11億10.86%1.04億92.91%1.05億92.91%1.05億
預付費用 -5.90%1,593.9萬295.20%3,642.2萬139.13%2,504.2萬25.42%1,456.4萬25.42%1,456.4萬32.92%1,693.9萬-15.96%921.6萬42.17%1,047.2萬76.85%1,161.2萬76.85%1,161.2萬
受限制現金 --1億--1.25億--1.76億----------------------------
流動資產合計 61.65%3.7億101.30%4.03億108.83%3.64億17.66%2.06億17.66%2.06億30.85%2.29億1.59%2億-6.70%1.74億24.00%1.75億24.00%1.75億
非流動資產
固定資產淨額 146.93%13.06億124.83%11.56億118.10%10.67億16.74%5.57億16.74%5.57億15.81%5.29億20.24%5.14億22.22%4.89億64.50%4.77億64.50%4.77億
-固定資產 123.22%15.67億110.70%13.94億107.96%12.84億27.95%7.57億27.95%7.57億25.78%7.02億27.77%6.61億29.04%6.18億68.43%5.91億68.43%5.91億
-累計折舊 -50.86%-2.61億-61.38%-2.38億-69.36%-2.18億-74.78%-2億-74.78%-2億-70.63%-1.73億-63.52%-1.47億-63.78%-1.29億-87.16%-1.14億-87.16%-1.14億
投資和預付款 --0--0--0--4,234.1萬--4,234.1萬--------------0--0
長期應收款 -6.19%471.2萬-91.47%40.9萬-61.62%179.5萬-34.31%314.2萬-34.31%314.2萬7.17%502.3萬62.58%479.6萬58.54%467.7萬34.17%478.3萬34.17%478.3萬
長期預付費用 211.84%1,654.3萬31.05%699.3萬390.30%2,470.6萬43.61%691.5萬43.61%691.5萬8.95%530.5萬8.41%533.6萬-0.34%503.9萬73.95%481.5萬73.95%481.5萬
其他非流動資產 15.68%489.8萬112.04%530.1萬131.64%579.1萬69.36%423.4萬69.36%423.4萬69.36%423.4萬--250萬--250萬--250萬--250萬
非流動資產合計 145.13%13.32億121.85%11.69億119.23%10.99億25.43%6.14億25.43%6.14億15.94%5.43億20.97%5.27億22.82%5.01億65.06%4.89億65.06%4.89億
總資產 120.37%17.02億116.19%15.71億116.55%14.63億23.38%8.2億23.38%8.2億19.99%7.73億14.93%7.27億13.55%6.76億51.82%6.64億51.82%6.64億
負債
流動負債
短期借款與資本租賃負債 101.89%1,773.8萬142.02%1,620.1萬186.60%1,680.6萬121.86%988.4萬121.86%988.4萬120.04%878.6萬2,599.19%669.4萬1,006.42%586.4萬10,260.47%445.5萬10,260.47%445.5萬
-短期借款 --------------------126.29%850.4萬--641萬--558.6萬--------
-銀行債務 --1,196.6萬--1,057.1萬--1,191.5萬129.21%959.7萬129.21%959.7萬--------------418.7萬--418.7萬
-短期資本租賃負債 1,946.81%577.2萬1,882.39%563萬1,659.35%489.1萬7.09%28.7萬7.09%28.7萬20.00%28.2萬14.52%28.4萬-47.55%27.8萬523.26%26.8萬523.26%26.8萬
應付款項 78.06%1.19億90.00%9,950.1萬144.50%1.05億40.26%7,810.1萬40.26%7,810.1萬19.70%6,689.6萬-6.17%5,236.8萬14.76%4,288.2萬61.19%5,568.2萬61.19%5,568.2萬
-應付帳款 141.98%1.13億135.78%9,104萬163.76%9,504.4萬26.22%5,327萬26.22%5,327萬14.47%4,672.2萬-10.20%3,861.2萬16.83%3,603.4萬100.57%4,220.3萬100.57%4,220.3萬
-應付稅費 -69.98%605.7萬-38.49%846.1萬43.15%980.3萬84.22%2,483.1萬84.22%2,483.1萬33.87%2,017.4萬7.33%1,375.6萬4.97%684.8萬-0.17%1,347.9萬-0.17%1,347.9萬
現行撥備 -22.68%446.9萬-19.74%465.4萬-21.64%457.1萬-19.48%457.9萬-19.48%457.9萬4.41%578萬2.22%579.9萬8.28%583.3萬5.49%568.7萬5.49%568.7萬
養老金及其他退休福利計劃 ---------------------23.14%96.3萬-37.16%118.7萬-59.01%128.9萬--------
遞延負債 --3,448.9萬--4,927.1萬--4,013.4萬----------------------------
其他流動負債 --420.9萬328,100.00%328.2萬--187.6萬-1.91%72萬-1.91%72萬------1,000------73.4萬--73.4萬
流動負債總額 118.40%1.8億161.79%1.73億201.13%1.68億40.15%9,328.4萬40.15%9,328.4萬23.63%8,242.5萬3.81%6,604.9萬20.33%5,586.8萬53.30%6,655.8萬53.30%6,655.8萬
非流動負債
長期借款與租賃負債 3,184.90%3.7億3,472.53%3.37億3,263.47%3.37億25.79%1,084.9萬25.79%1,084.9萬60.77%1,126.2萬1,391.31%944萬--1,001.6萬--862.5萬--862.5萬
-長期借款 2,821.07%3.17億3,431.15%3.17億3,261.42%3.19億30.42%1,050.9萬30.42%1,050.9萬70.79%1,086.2萬--897萬--949.1萬--805.8萬--805.8萬
-長期租賃負債 13,064.50%5,265.8萬4,262.34%2,050.3萬3,300.57%1,785.3萬-40.04%34萬-40.04%34萬-37.98%40萬-25.75%47萬--52.5萬--56.7萬--56.7萬
長期撥備 26.39%9,752.2萬22.62%9,405.8萬23.28%9,329.5萬16.37%8,624.1萬16.37%8,624.1萬-1.79%7,715.8萬-1.79%7,670.8萬-2.44%7,567.6萬13.35%7,411.2萬13.35%7,411.2萬
遞延負債 11.51%7,763.6萬8.37%7,498.6萬12.94%7,236.7萬10.12%6,943.4萬10.12%6,943.4萬24.99%6,962.2萬25.30%6,919.6萬18.11%6,407.4萬63.04%6,305.5萬63.04%6,305.5萬
其他非流動負債 229.67%644.5萬387.98%328.9萬80.11%198.3萬118.97%255.1萬118.97%255.1萬113.43%195.5萬-14.36%67.4萬40.43%110.1萬93.84%116.5萬93.84%116.5萬
非流動負債總額 244.72%5.52億226.62%5.1億234.42%5.05億15.05%1.69億15.05%1.69億12.53%1.6億15.78%1.56億13.77%1.51億40.42%1.47億40.42%1.47億
負債總額 201.77%7.32億207.33%6.82億225.42%6.73億22.88%2.62億22.88%2.62億16.07%2.42億11.94%2.22億15.47%2.07億44.19%2.14億44.19%2.14億
所有者權益
股本 134.09%6.99億108.80%6.19億83.82%5.39億3.70%3.02億3.70%3.02億2.62%2.99億2.11%2.97億1.67%2.93億65.96%2.92億65.96%2.92億
-普通股股本 134.09%6.99億108.80%6.19億83.82%5.39億3.70%3.02億3.70%3.02億2.62%2.99億2.11%2.97億1.67%2.93億65.96%2.92億65.96%2.92億
資本公積 13.76%2,553萬22.47%2,683.5萬19.25%2,669.9萬-2.03%2,201.3萬-2.03%2,201.3萬2.85%2,244.2萬2.68%2,191.1萬5.53%2,239萬17.90%2,247萬17.90%2,247萬
留存收益 14.45%2.38億28.44%2.37億42.89%2.16億62.94%2.2億62.94%2.2億72.58%2.08億55.37%1.85億46.45%1.52億47.24%1.35億47.24%1.35億
不影響留存收益的損益 761.09%807.7萬256.19%546.4萬355.27%807.2萬705.40%1,267.7萬705.40%1,267.7萬-39.56%93.8萬-53.81%153.4萬-38.95%177.3萬-46.32%157.4萬-46.32%157.4萬
股東權益總額 83.14%9.71億76.10%8.89億68.54%7.9億23.62%5.57億23.62%5.57億21.88%5.3億16.30%5.05億12.72%4.69億55.72%4.51億55.72%4.51億
總權益 83.14%9.71億76.10%8.89億68.54%7.9億23.62%5.57億23.62%5.57億21.88%5.3億16.30%5.05億12.72%4.69億55.72%4.51億55.72%4.51億
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 ------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。

加拿大市場投資機會
股息之王 股息之王

加拿大的股息之王是指那些連續多年增加股息的公司,這不僅反映了其強大的商業模式和穩健的財務狀況,也表明它們在市場中可能表現優於平均水平,且波動性較小。 加拿大的股息之王是指那些連續多年增加股息的公司,這不僅反映了其強大的商業模式和穩健的財務狀況,也表明它們在市場中可能表現優於平均水平,且波動性較小。