加拿大市場個股詳情

GURU GURU Organic Energy Corp

添加自選
  • 1.390
  • +0.140+11.20%
延時15分鐘行情已收盤 12/27 16:00 (美東)
4213.86萬總市值-4.09市盈率TTM

GURU Organic Energy Corp關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2024/07/31
(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
資產
流動資產
現金及現金等價物和短期投資
-28.26%2,772.71萬
-30.70%2,821.16萬
-26.65%3,117.04萬
-26.93%3,382.58萬
-26.93%3,382.58萬
-19.50%3,865.08萬
-22.88%4,071.09萬
-31.15%4,249.68萬
-30.86%4,629.1萬
-30.86%4,629.1萬
-現金和現金等價物
-74.83%972.71萬
-74.92%1,021.16萬
-39.30%1,317.04萬
-37.92%1,582.58萬
-37.92%1,582.58萬
42.04%3,865.08萬
27.26%4,071.09萬
-64.85%2,169.68萬
-61.93%2,549.1萬
-61.93%2,549.1萬
-短期投資
--1,800萬
--1,800萬
-13.46%1,800萬
-13.46%1,800萬
-13.46%1,800萬
--0
--0
--2,080萬
--2,080萬
--2,080萬
應收款項
-16.76%470.59萬
-9.11%489.07萬
15.56%547.04萬
-11.88%445.1萬
-11.88%445.1萬
-17.98%565.32萬
-11.06%538.07萬
15.99%473.36萬
-13.84%505.1萬
-13.84%505.1萬
-應收賬款
-17.36%461.16萬
-9.60%480.89萬
15.74%540.12萬
-7.44%362.28萬
-7.44%362.28萬
-16.71%558.01萬
-3.92%531.99萬
27.48%466.68萬
-22.25%391.4萬
-22.25%391.4萬
-應收稅費
29.10%9.43萬
34.62%8.18萬
3.33%6.91萬
-26.17%28.35萬
-26.17%28.35萬
-62.11%7.31萬
-88.14%6.08萬
-84.08%6.69萬
-52.50%38.39萬
-52.50%38.39萬
-其他應收款
----
----
----
-27.67%54.46萬
-27.67%54.46萬
----
----
----
3,669.88%75.3萬
3,669.88%75.3萬
存貨
22.09%644.13萬
9.41%716.72萬
-11.91%674.06萬
-29.57%599.92萬
-29.57%599.92萬
-44.69%527.58萬
-37.74%655.06萬
-28.28%765.19萬
16.08%851.83萬
16.08%851.83萬
預付費用
-75.33%25.91萬
-15.22%36.53萬
54.41%55.53萬
67.78%33.35萬
67.78%33.35萬
12.34%105.02萬
-41.68%43.08萬
-41.63%35.96萬
-47.50%19.88萬
-47.50%19.88萬
流動資產合計
-22.71%3,913.34萬
-23.44%4,063.48萬
-20.47%4,393.66萬
-25.72%4,460.95萬
-25.72%4,460.95萬
-22.56%5,062.99萬
-24.29%5,307.3萬
-28.34%5,524.2萬
-25.42%6,005.91萬
-25.42%6,005.91萬
非流動資產
固定資產淨額
-25.77%238.53萬
-26.00%252.85萬
-26.04%276.78萬
-25.14%294.03萬
-25.14%294.03萬
-7.04%321.33萬
9.14%341.69萬
32.33%374.25萬
31.41%392.75萬
31.41%392.75萬
-固定資產
-25.77%238.53萬
-26.00%252.85萬
-26.04%276.78萬
-12.21%381.7萬
-12.21%381.7萬
-7.04%321.33萬
9.14%341.69萬
32.33%374.25萬
38.97%434.78萬
38.97%434.78萬
-累計折舊
----
----
----
-108.59%-87.67萬
-108.59%-87.67萬
----
----
----
-200.49%-42.03萬
-200.49%-42.03萬
長期預付費用
0.00%4.83萬
-2.03%4.83萬
-2.03%4.83萬
-2.03%4.83萬
-2.03%4.83萬
-2.03%4.83萬
0.00%4.93萬
0.00%4.93萬
0.00%4.93萬
0.00%4.93萬
商譽及其他無形資產
-23.90%1.14萬
-26.29%1.21萬
-28.30%1.28萬
-30.00%1.35萬
-30.00%1.35萬
-30.00%1.5萬
-30.00%1.64萬
-30.00%1.79萬
-30.00%1.93萬
-30.00%1.93萬
非流動遞延資產
-0.95%52.78萬
-3.70%54.23萬
-0.98%55.84萬
-5.77%55.12萬
-5.77%55.12萬
-1.48%53.29萬
2.33%56.32萬
-0.36%56.39萬
2.38%58.49萬
2.38%58.49萬
其他非流動資產
-20.56%42.05萬
-27.81%44.24萬
-31.74%46.25萬
-31.21%48.75萬
-31.21%48.75萬
-34.34%52.94萬
-25.66%61.28萬
-16.69%67.76萬
-15.21%70.87萬
-15.21%70.87萬
非流動資產合計
-21.79%339.33萬
-23.29%357.36萬
-23.78%384.98萬
-23.61%404.08萬
-23.61%404.08萬
-10.99%433.89萬
1.75%465.85萬
17.95%505.11萬
18.27%528.96萬
18.27%528.96萬
總資產
-22.63%4,252.67萬
-23.42%4,420.83萬
-20.74%4,778.64萬
-25.55%4,865.03萬
-25.55%4,865.03萬
-21.76%5,496.88萬
-22.69%5,773.16萬
-25.91%6,029.31萬
-23.12%6,534.87萬
-23.12%6,534.87萬
負債
流動負債
短期借款與資本租賃負債
-7.68%36.97萬
-13.88%37.5萬
1.52%40.97萬
-1.87%39.97萬
-1.87%39.97萬
4.31%40.05萬
29.53%43.54萬
19.18%40.36萬
20.55%40.73萬
20.55%40.73萬
-短期資本租賃負債
-7.68%36.97萬
-13.88%37.5萬
1.52%40.97萬
-1.87%39.97萬
-1.87%39.97萬
4.31%40.05萬
29.53%43.54萬
19.18%40.36萬
20.55%40.73萬
20.55%40.73萬
應付款項
----
----
38.17%828.12萬
-35.17%128.3萬
-35.17%128.3萬
-19.00%717.54萬
-2.07%658.67萬
-39.03%599.33萬
-44.02%197.9萬
-44.02%197.9萬
-應付帳款
----
----
39.19%828.12萬
-33.70%128.3萬
-33.70%128.3萬
-18.78%713.17萬
-1.55%654.29萬
-38.98%594.96萬
-43.99%193.53萬
-43.99%193.53萬
-應付稅費
----
----
----
--0
--0
-44.15%4.37萬
-45.31%4.37萬
-45.30%4.37萬
-45.27%4.37萬
-45.27%4.37萬
應計費用
----
----
----
-5.32%594.42萬
-5.32%594.42萬
----
----
----
-7.81%627.81萬
-7.81%627.81萬
流動負債總額
8.96%825.49萬
10.55%776.32萬
35.86%869.09萬
-11.98%762.69萬
-11.98%762.69萬
-18.03%757.59萬
-0.56%702.21萬
-37.09%639.69萬
-18.89%866.45萬
-18.89%866.45萬
非流動負債
長期借款與租賃負債
-30.76%88.81萬
-27.80%97.74萬
-25.26%110.6萬
-25.10%118.29萬
-25.10%118.29萬
-24.85%128.26萬
-22.41%135.36萬
-0.78%147.99萬
0.38%157.94萬
0.38%157.94萬
-長期租賃負債
-30.76%88.81萬
-27.80%97.74萬
-25.26%110.6萬
-25.10%118.29萬
-25.10%118.29萬
-24.85%128.26萬
-22.41%135.36萬
-0.78%147.99萬
0.38%157.94萬
0.38%157.94萬
衍生品負債
-81.37%3,671
-68.68%6,816
-68.30%6,933
-52.00%9,512
-52.00%9,512
-75.40%1.97萬
-84.58%2.18萬
-85.62%2.19萬
-90.28%1.98萬
-90.28%1.98萬
非流動負債總額
-31.52%89.18萬
-28.44%98.42萬
-25.89%111.29萬
-25.44%119.24萬
-25.44%119.24萬
-27.12%130.23萬
-27.06%137.54萬
-8.63%150.18萬
-10.01%159.92萬
-10.01%159.92萬
負債總額
3.02%914.67萬
4.17%874.74萬
24.12%980.38萬
-14.07%881.93萬
-14.07%881.93萬
-19.51%887.82萬
-6.15%839.75萬
-33.13%789.87萬
-17.63%1,026.37萬
-17.63%1,026.37萬
所有者權益
股本
-4.58%8,034.41萬
-4.96%8,034.41萬
-5.70%8,032.72萬
-5.90%8,033.56萬
-5.90%8,033.56萬
-1.60%8,419.8萬
-1.22%8,453.85萬
-0.46%8,518.69萬
-0.23%8,537.45萬
-0.23%8,537.45萬
-普通股股本
-4.58%8,034.41萬
-4.96%8,034.41萬
-5.70%8,032.72萬
-5.90%8,033.56萬
-5.90%8,033.56萬
-1.60%8,419.8萬
-1.22%8,453.85萬
-0.46%8,518.69萬
-0.23%8,537.45萬
-0.23%8,537.45萬
資本公積
25.20%179.27萬
32.43%165.66萬
58.61%159.19萬
79.60%148.5萬
79.60%148.5萬
56.96%143.18萬
50.09%125.09萬
37.09%100.37萬
38.82%82.68萬
38.82%82.68萬
留存收益
-23.64%-4,884.53萬
-27.74%-4,661.49萬
-30.06%-4,394.27萬
-35.06%-4,208.73萬
-35.06%-4,208.73萬
-45.50%-3,950.74萬
-77.34%-3,649.11萬
-103.50%-3,378.78萬
-132.32%-3,116.25萬
-132.32%-3,116.25萬
不影響留存收益的損益
378.38%8.86萬
109.77%7.51萬
174.06%6,207
111.81%9.77萬
111.81%9.77萬
68.96%-3.18萬
133.12%3.58萬
94.34%-8,381
122.44%4.61萬
122.44%4.61萬
股東權益總額
-27.58%3,338萬
-28.12%3,546.09萬
-27.51%3,798.26萬
-27.69%3,983.1萬
-27.69%3,983.1萬
-22.18%4,609.06萬
-24.95%4,933.41萬
-24.68%5,239.44萬
-24.07%5,508.5萬
-24.07%5,508.5萬
總權益
-27.58%3,338萬
-28.12%3,546.09萬
-27.51%3,798.26萬
-27.69%3,983.1萬
-27.69%3,983.1萬
-22.18%4,609.06萬
-24.95%4,933.41萬
-24.68%5,239.44萬
-24.07%5,508.5萬
-24.07%5,508.5萬
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
--
(Q3)2024/07/31(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
資產
流動資產
現金及現金等價物和短期投資 -28.26%2,772.71萬-30.70%2,821.16萬-26.65%3,117.04萬-26.93%3,382.58萬-26.93%3,382.58萬-19.50%3,865.08萬-22.88%4,071.09萬-31.15%4,249.68萬-30.86%4,629.1萬-30.86%4,629.1萬
-現金和現金等價物 -74.83%972.71萬-74.92%1,021.16萬-39.30%1,317.04萬-37.92%1,582.58萬-37.92%1,582.58萬42.04%3,865.08萬27.26%4,071.09萬-64.85%2,169.68萬-61.93%2,549.1萬-61.93%2,549.1萬
-短期投資 --1,800萬--1,800萬-13.46%1,800萬-13.46%1,800萬-13.46%1,800萬--0--0--2,080萬--2,080萬--2,080萬
應收款項 -16.76%470.59萬-9.11%489.07萬15.56%547.04萬-11.88%445.1萬-11.88%445.1萬-17.98%565.32萬-11.06%538.07萬15.99%473.36萬-13.84%505.1萬-13.84%505.1萬
-應收賬款 -17.36%461.16萬-9.60%480.89萬15.74%540.12萬-7.44%362.28萬-7.44%362.28萬-16.71%558.01萬-3.92%531.99萬27.48%466.68萬-22.25%391.4萬-22.25%391.4萬
-應收稅費 29.10%9.43萬34.62%8.18萬3.33%6.91萬-26.17%28.35萬-26.17%28.35萬-62.11%7.31萬-88.14%6.08萬-84.08%6.69萬-52.50%38.39萬-52.50%38.39萬
-其他應收款 -------------27.67%54.46萬-27.67%54.46萬------------3,669.88%75.3萬3,669.88%75.3萬
存貨 22.09%644.13萬9.41%716.72萬-11.91%674.06萬-29.57%599.92萬-29.57%599.92萬-44.69%527.58萬-37.74%655.06萬-28.28%765.19萬16.08%851.83萬16.08%851.83萬
預付費用 -75.33%25.91萬-15.22%36.53萬54.41%55.53萬67.78%33.35萬67.78%33.35萬12.34%105.02萬-41.68%43.08萬-41.63%35.96萬-47.50%19.88萬-47.50%19.88萬
流動資產合計 -22.71%3,913.34萬-23.44%4,063.48萬-20.47%4,393.66萬-25.72%4,460.95萬-25.72%4,460.95萬-22.56%5,062.99萬-24.29%5,307.3萬-28.34%5,524.2萬-25.42%6,005.91萬-25.42%6,005.91萬
非流動資產
固定資產淨額 -25.77%238.53萬-26.00%252.85萬-26.04%276.78萬-25.14%294.03萬-25.14%294.03萬-7.04%321.33萬9.14%341.69萬32.33%374.25萬31.41%392.75萬31.41%392.75萬
-固定資產 -25.77%238.53萬-26.00%252.85萬-26.04%276.78萬-12.21%381.7萬-12.21%381.7萬-7.04%321.33萬9.14%341.69萬32.33%374.25萬38.97%434.78萬38.97%434.78萬
-累計折舊 -------------108.59%-87.67萬-108.59%-87.67萬-------------200.49%-42.03萬-200.49%-42.03萬
長期預付費用 0.00%4.83萬-2.03%4.83萬-2.03%4.83萬-2.03%4.83萬-2.03%4.83萬-2.03%4.83萬0.00%4.93萬0.00%4.93萬0.00%4.93萬0.00%4.93萬
商譽及其他無形資產 -23.90%1.14萬-26.29%1.21萬-28.30%1.28萬-30.00%1.35萬-30.00%1.35萬-30.00%1.5萬-30.00%1.64萬-30.00%1.79萬-30.00%1.93萬-30.00%1.93萬
非流動遞延資產 -0.95%52.78萬-3.70%54.23萬-0.98%55.84萬-5.77%55.12萬-5.77%55.12萬-1.48%53.29萬2.33%56.32萬-0.36%56.39萬2.38%58.49萬2.38%58.49萬
其他非流動資產 -20.56%42.05萬-27.81%44.24萬-31.74%46.25萬-31.21%48.75萬-31.21%48.75萬-34.34%52.94萬-25.66%61.28萬-16.69%67.76萬-15.21%70.87萬-15.21%70.87萬
非流動資產合計 -21.79%339.33萬-23.29%357.36萬-23.78%384.98萬-23.61%404.08萬-23.61%404.08萬-10.99%433.89萬1.75%465.85萬17.95%505.11萬18.27%528.96萬18.27%528.96萬
總資產 -22.63%4,252.67萬-23.42%4,420.83萬-20.74%4,778.64萬-25.55%4,865.03萬-25.55%4,865.03萬-21.76%5,496.88萬-22.69%5,773.16萬-25.91%6,029.31萬-23.12%6,534.87萬-23.12%6,534.87萬
負債
流動負債
短期借款與資本租賃負債 -7.68%36.97萬-13.88%37.5萬1.52%40.97萬-1.87%39.97萬-1.87%39.97萬4.31%40.05萬29.53%43.54萬19.18%40.36萬20.55%40.73萬20.55%40.73萬
-短期資本租賃負債 -7.68%36.97萬-13.88%37.5萬1.52%40.97萬-1.87%39.97萬-1.87%39.97萬4.31%40.05萬29.53%43.54萬19.18%40.36萬20.55%40.73萬20.55%40.73萬
應付款項 --------38.17%828.12萬-35.17%128.3萬-35.17%128.3萬-19.00%717.54萬-2.07%658.67萬-39.03%599.33萬-44.02%197.9萬-44.02%197.9萬
-應付帳款 --------39.19%828.12萬-33.70%128.3萬-33.70%128.3萬-18.78%713.17萬-1.55%654.29萬-38.98%594.96萬-43.99%193.53萬-43.99%193.53萬
-應付稅費 --------------0--0-44.15%4.37萬-45.31%4.37萬-45.30%4.37萬-45.27%4.37萬-45.27%4.37萬
應計費用 -------------5.32%594.42萬-5.32%594.42萬-------------7.81%627.81萬-7.81%627.81萬
流動負債總額 8.96%825.49萬10.55%776.32萬35.86%869.09萬-11.98%762.69萬-11.98%762.69萬-18.03%757.59萬-0.56%702.21萬-37.09%639.69萬-18.89%866.45萬-18.89%866.45萬
非流動負債
長期借款與租賃負債 -30.76%88.81萬-27.80%97.74萬-25.26%110.6萬-25.10%118.29萬-25.10%118.29萬-24.85%128.26萬-22.41%135.36萬-0.78%147.99萬0.38%157.94萬0.38%157.94萬
-長期租賃負債 -30.76%88.81萬-27.80%97.74萬-25.26%110.6萬-25.10%118.29萬-25.10%118.29萬-24.85%128.26萬-22.41%135.36萬-0.78%147.99萬0.38%157.94萬0.38%157.94萬
衍生品負債 -81.37%3,671-68.68%6,816-68.30%6,933-52.00%9,512-52.00%9,512-75.40%1.97萬-84.58%2.18萬-85.62%2.19萬-90.28%1.98萬-90.28%1.98萬
非流動負債總額 -31.52%89.18萬-28.44%98.42萬-25.89%111.29萬-25.44%119.24萬-25.44%119.24萬-27.12%130.23萬-27.06%137.54萬-8.63%150.18萬-10.01%159.92萬-10.01%159.92萬
負債總額 3.02%914.67萬4.17%874.74萬24.12%980.38萬-14.07%881.93萬-14.07%881.93萬-19.51%887.82萬-6.15%839.75萬-33.13%789.87萬-17.63%1,026.37萬-17.63%1,026.37萬
所有者權益
股本 -4.58%8,034.41萬-4.96%8,034.41萬-5.70%8,032.72萬-5.90%8,033.56萬-5.90%8,033.56萬-1.60%8,419.8萬-1.22%8,453.85萬-0.46%8,518.69萬-0.23%8,537.45萬-0.23%8,537.45萬
-普通股股本 -4.58%8,034.41萬-4.96%8,034.41萬-5.70%8,032.72萬-5.90%8,033.56萬-5.90%8,033.56萬-1.60%8,419.8萬-1.22%8,453.85萬-0.46%8,518.69萬-0.23%8,537.45萬-0.23%8,537.45萬
資本公積 25.20%179.27萬32.43%165.66萬58.61%159.19萬79.60%148.5萬79.60%148.5萬56.96%143.18萬50.09%125.09萬37.09%100.37萬38.82%82.68萬38.82%82.68萬
留存收益 -23.64%-4,884.53萬-27.74%-4,661.49萬-30.06%-4,394.27萬-35.06%-4,208.73萬-35.06%-4,208.73萬-45.50%-3,950.74萬-77.34%-3,649.11萬-103.50%-3,378.78萬-132.32%-3,116.25萬-132.32%-3,116.25萬
不影響留存收益的損益 378.38%8.86萬109.77%7.51萬174.06%6,207111.81%9.77萬111.81%9.77萬68.96%-3.18萬133.12%3.58萬94.34%-8,381122.44%4.61萬122.44%4.61萬
股東權益總額 -27.58%3,338萬-28.12%3,546.09萬-27.51%3,798.26萬-27.69%3,983.1萬-27.69%3,983.1萬-22.18%4,609.06萬-24.95%4,933.41萬-24.68%5,239.44萬-24.07%5,508.5萬-24.07%5,508.5萬
總權益 -27.58%3,338萬-28.12%3,546.09萬-27.51%3,798.26萬-27.69%3,983.1萬-27.69%3,983.1萬-22.18%4,609.06萬-24.95%4,933.41萬-24.68%5,239.44萬-24.07%5,508.5萬-24.07%5,508.5萬
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。

加拿大市場投資機會
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。