加拿大市場個股詳情

HAI Haivision Systems Inc

添加自選
  • 4.990
  • -0.020-0.40%
延時15分鐘行情已收盤 11/15 16:00 (美東)
1.42億總市值27.72市盈率TTM

Haivision Systems Inc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
(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
--1,388.22萬
53.38%1,118.94萬
2.66%1,304.3萬
43.53%828.57萬
43.53%828.57萬
-42.82%729.53萬
-47.13%1,270.56萬
-78.49%577.27萬
-78.49%577.27萬
--885.36萬
-現金和現金等價物
--1,388.22萬
53.38%1,118.94萬
2.66%1,304.3萬
43.53%828.57萬
43.53%828.57萬
-42.82%729.53萬
-47.13%1,270.56萬
-78.49%577.27萬
-78.49%577.27萬
--885.36萬
應收款項
--2,672萬
19.42%2,687.65萬
-6.92%2,051.93萬
-4.58%2,835.11萬
-4.58%2,835.11萬
-19.10%2,250.68萬
-5.68%2,204.36萬
38.35%2,971.13萬
38.35%2,971.13萬
--2,446.5萬
-應收賬款
--2,467.56萬
28.65%2,465.52萬
-6.69%1,777萬
-2.24%2,611.3萬
-2.24%2,611.3萬
-22.79%1,916.39萬
-10.89%1,904.36萬
37.15%2,671.13萬
37.15%2,671.13萬
--2,146.5萬
-應收稅費
--204.44萬
-33.55%222.13萬
-8.36%274.93萬
-25.40%223.81萬
-25.40%223.81萬
11.43%334.29萬
50.00%300萬
50.00%300萬
50.00%300萬
--300萬
存貨
--1,558.06萬
-23.19%1,639.38萬
-20.26%1,667.32萬
-10.10%1,892.98萬
-10.10%1,892.98萬
48.52%2,134.37萬
107.21%2,090.91萬
138.18%2,105.64萬
138.18%2,105.64萬
--1,544.92萬
預付費用
--382.82萬
1.04%476.56萬
-9.71%450.38萬
-21.11%404.28萬
-21.11%404.28萬
-10.61%471.65萬
2.95%498.8萬
58.86%512.47萬
58.86%512.47萬
--532.46萬
其他流動資產
----
----
----
----
----
----
--1
----
----
----
流動資產合計
--6,001.08萬
6.02%5,922.54萬
-9.74%5,473.93萬
-3.33%5,960.94萬
-3.33%5,960.94萬
-7.25%5,586.23萬
-2.71%6,064.63萬
2.13%6,166.51萬
2.13%6,166.51萬
--5,409.25萬
非流動資產
固定資產淨額
--992.51萬
-15.20%1,016.94萬
-11.71%1,070.76萬
-10.67%1,139.41萬
-10.67%1,139.41萬
-6.44%1,199.19萬
29.74%1,212.78萬
30.50%1,275.51萬
30.50%1,275.51萬
--1,228.62萬
-固定資產
--992.51萬
-15.20%1,016.94萬
-11.71%1,070.76萬
1.16%1,780.84萬
1.16%1,780.84萬
-6.44%1,199.19萬
29.74%1,212.78萬
31.17%1,760.47萬
31.17%1,760.47萬
--1,228.62萬
-累計折舊
----
----
----
-32.26%-641.42萬
-32.26%-641.42萬
----
----
-32.95%-484.96萬
-32.95%-484.96萬
----
長期應收款
--731.34萬
47.23%723.77萬
27.30%586.96萬
69.86%560.23萬
69.86%560.23萬
141.89%491.59萬
63.79%461.09萬
30.13%329.83萬
30.13%329.83萬
--297.39萬
商譽及其他無形資產
--5,903.65萬
-9.02%6,012.2萬
-9.27%6,050.82萬
-6.19%6,388.66萬
-6.19%6,388.66萬
-6.33%6,608.06萬
39.44%6,669.01萬
43.03%6,809.95萬
43.03%6,809.95萬
--6,829.7萬
-商譽
--4,630.94萬
0.33%4,592.7萬
1.26%4,495.45萬
3.63%4,621.88萬
3.63%4,621.88萬
15.23%4,577.43萬
43.15%4,439.67萬
48.27%4,459.95萬
48.27%4,459.95萬
--3,992.91萬
-其他無形資產
--1,272.7萬
-30.10%1,419.5萬
-30.23%1,555.37萬
-24.82%1,766.78萬
-24.82%1,766.78萬
-34.12%2,030.62萬
32.59%2,229.34萬
34.04%2,350萬
34.04%2,350萬
--2,836.8萬
非流動遞延資產
--395.33萬
25.73%353.54萬
41.56%360.6萬
29.53%359.87萬
29.53%359.87萬
437.61%281.19萬
33.08%254.73萬
27.47%277.82萬
27.47%277.82萬
--148.42萬
非流動資產合計
--8,022.83萬
-5.52%8,106.45萬
-6.15%8,069.14萬
-2.82%8,448.17萬
-2.82%8,448.17萬
-0.14%8,580.03萬
38.89%8,597.61萬
39.99%8,693.1萬
39.99%8,693.1萬
--8,504.14萬
總資產
--1.4億
-0.97%1.4億
-7.63%1.35億
-3.03%1.44億
-3.03%1.44億
-3.07%1.42億
18.01%1.47億
21.32%1.49億
21.32%1.49億
--1.39億
負債
流動負債
短期借款與資本租賃負債
--621.73萬
-64.43%453.89萬
-64.65%641.65萬
-47.96%733.69萬
-47.96%733.69萬
-20.04%1,276.11萬
1,687.48%1,815.14萬
1,307.38%1,409.99萬
1,307.38%1,409.99萬
--1,601.45萬
-短期借款
--453.98萬
-74.33%285.78萬
-71.24%476.89萬
-55.03%564.91萬
-55.03%564.91萬
-23.44%1,113.07萬
--1,658萬
--1,256.15萬
--1,256.15萬
--1,457.41萬
-短期資本租賃負債
--167.75萬
3.11%168.11萬
4.85%164.76萬
9.71%168.78萬
9.71%168.78萬
14.78%163.04萬
54.75%157.14萬
53.56%153.84萬
53.56%153.84萬
--144.05萬
應付款項
--1,020.8萬
-0.46%957.28萬
-8.47%855.04萬
-29.48%994.67萬
-29.48%994.67萬
-13.52%961.67萬
-8.55%934.17萬
44.55%1,410.51萬
44.55%1,410.51萬
--926.77萬
-應付帳款
--815.14萬
4.69%840.85萬
-11.29%682.31萬
-15.03%884.39萬
-15.03%884.39萬
-2.09%803.17萬
0.81%769.14萬
53.11%1,040.81萬
53.11%1,040.81萬
--644.76萬
-應付稅費
--177.91萬
--89.06萬
--145.77萬
1,468.31%65.86萬
1,468.31%65.86萬
--0
--0
-98.58%4.2萬
-98.58%4.2萬
--11.5萬
-其他應付款
--27.75萬
-82.73%27.37萬
-83.66%26.97萬
-87.85%44.42萬
-87.85%44.42萬
-41.26%158.49萬
--165.03萬
--365.5萬
--365.5萬
--270.52萬
應計費用
--588萬
28.05%610.82萬
12.54%518.85萬
16.92%869.03萬
16.92%869.03萬
-7.48%477.01萬
29.94%461.02萬
30.26%743.29萬
30.26%743.29萬
--511.19萬
遞延負債
--1,267.17萬
29.94%1,356.04萬
8.85%1,233.31萬
30.91%1,210.4萬
30.91%1,210.4萬
15.86%1,043.57萬
26.84%1,133.03萬
16.84%924.6萬
16.84%924.6萬
--889.39萬
流動負債總額
--3,497.7萬
-10.12%3,378.03萬
-25.20%3,248.85萬
-15.16%3,807.78萬
-15.16%3,807.78萬
-8.87%3,758.35萬
83.18%4,343.36萬
84.11%4,488.38萬
84.11%4,488.38萬
--3,928.8萬
非流動負債
長期借款與租賃負債
--712.45萬
-26.05%729.78萬
-24.03%782.82萬
-18.72%883.92萬
-18.72%883.92萬
-21.60%986.81萬
38.15%1,030.5萬
43.33%1,087.48萬
43.33%1,087.48萬
--1,167.49萬
-長期借款
--166.4萬
-37.84%144.6萬
-33.68%164.28萬
-19.72%210.08萬
-19.72%210.08萬
-39.74%232.61萬
--247.7萬
--261.68萬
--261.68萬
--335.65萬
-長期租賃負債
--546.05萬
-22.41%585.19萬
-20.98%618.54萬
-18.40%673.84萬
-18.40%673.84萬
-13.58%754.2萬
4.94%782.8萬
8.84%825.81萬
8.84%825.81萬
--831.84萬
遞延負債
--300.9萬
21.05%408.15萬
7.68%341.33萬
16.78%302.06萬
16.78%302.06萬
57.96%337.17萬
41.57%316.98萬
62.43%258.66萬
62.43%258.66萬
--221.59萬
非流動負債總額
--1,013.36萬
-14.05%1,137.94萬
-16.57%1,124.15萬
-11.90%1,185.99萬
-11.90%1,185.99萬
-10.07%1,323.97萬
38.94%1,347.47萬
46.65%1,346.15萬
46.65%1,346.15萬
--1,389.08萬
負債總額
--4,511.05萬
-11.14%4,515.97萬
-23.16%4,373萬
-14.41%4,993.77萬
-14.41%4,993.77萬
-9.18%5,082.32萬
70.34%5,690.83萬
73.86%5,834.53萬
73.86%5,834.53萬
--5,317.89萬
所有者權益
股本
--8,990.01萬
0.35%9,121.96萬
0.50%9,135.57萬
0.81%9,090.25萬
0.81%9,090.25萬
0.81%9,090.25萬
0.81%9,090.25萬
0.43%9,017.6萬
0.43%9,017.6萬
--9,017.6萬
-普通股股本
--8,990.01萬
0.35%9,121.96萬
0.50%9,135.57萬
0.81%9,090.25萬
0.81%9,090.25萬
0.81%9,090.25萬
0.81%9,090.25萬
0.43%9,017.6萬
0.43%9,017.6萬
--9,017.6萬
留存收益
---779.21萬
34.63%-773.9萬
16.15%-866.01萬
-10.61%-999.66萬
-10.61%-999.66萬
-207.91%-1,183.88萬
-196.48%-1,032.79萬
-201.08%-903.79萬
-201.08%-903.79萬
---808.64萬
不影響留存收益的損益
--815.66萬
-0.02%737.07萬
-1.47%537.61萬
69.05%795.27萬
69.05%795.27萬
1,271.07%737.2萬
263.26%545.61萬
961.19%470.42萬
961.19%470.42萬
---6.32萬
其他股本權益
--486.4萬
-2.83%427.89萬
-1.48%362.9萬
20.11%529.49萬
20.11%529.49萬
32.74%440.38萬
39.64%368.35萬
64.26%440.85萬
64.26%440.85萬
--392.86萬
股東權益總額
--9,512.86萬
4.72%9,513.02萬
2.21%9,170.07萬
4.32%9,415.34萬
4.32%9,415.34萬
0.72%9,083.94萬
-1.23%8,971.41萬
1.50%9,025.08萬
1.50%9,025.08萬
--8,595.5萬
總權益
--9,512.86萬
4.72%9,513.02萬
2.21%9,170.07萬
4.32%9,415.34萬
4.32%9,415.34萬
0.72%9,083.94萬
-1.23%8,971.41萬
1.50%9,025.08萬
1.50%9,025.08萬
--8,595.5萬
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(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 --1,388.22萬53.38%1,118.94萬2.66%1,304.3萬43.53%828.57萬43.53%828.57萬-42.82%729.53萬-47.13%1,270.56萬-78.49%577.27萬-78.49%577.27萬--885.36萬
-現金和現金等價物 --1,388.22萬53.38%1,118.94萬2.66%1,304.3萬43.53%828.57萬43.53%828.57萬-42.82%729.53萬-47.13%1,270.56萬-78.49%577.27萬-78.49%577.27萬--885.36萬
應收款項 --2,672萬19.42%2,687.65萬-6.92%2,051.93萬-4.58%2,835.11萬-4.58%2,835.11萬-19.10%2,250.68萬-5.68%2,204.36萬38.35%2,971.13萬38.35%2,971.13萬--2,446.5萬
-應收賬款 --2,467.56萬28.65%2,465.52萬-6.69%1,777萬-2.24%2,611.3萬-2.24%2,611.3萬-22.79%1,916.39萬-10.89%1,904.36萬37.15%2,671.13萬37.15%2,671.13萬--2,146.5萬
-應收稅費 --204.44萬-33.55%222.13萬-8.36%274.93萬-25.40%223.81萬-25.40%223.81萬11.43%334.29萬50.00%300萬50.00%300萬50.00%300萬--300萬
存貨 --1,558.06萬-23.19%1,639.38萬-20.26%1,667.32萬-10.10%1,892.98萬-10.10%1,892.98萬48.52%2,134.37萬107.21%2,090.91萬138.18%2,105.64萬138.18%2,105.64萬--1,544.92萬
預付費用 --382.82萬1.04%476.56萬-9.71%450.38萬-21.11%404.28萬-21.11%404.28萬-10.61%471.65萬2.95%498.8萬58.86%512.47萬58.86%512.47萬--532.46萬
其他流動資產 --------------------------1------------
流動資產合計 --6,001.08萬6.02%5,922.54萬-9.74%5,473.93萬-3.33%5,960.94萬-3.33%5,960.94萬-7.25%5,586.23萬-2.71%6,064.63萬2.13%6,166.51萬2.13%6,166.51萬--5,409.25萬
非流動資產
固定資產淨額 --992.51萬-15.20%1,016.94萬-11.71%1,070.76萬-10.67%1,139.41萬-10.67%1,139.41萬-6.44%1,199.19萬29.74%1,212.78萬30.50%1,275.51萬30.50%1,275.51萬--1,228.62萬
-固定資產 --992.51萬-15.20%1,016.94萬-11.71%1,070.76萬1.16%1,780.84萬1.16%1,780.84萬-6.44%1,199.19萬29.74%1,212.78萬31.17%1,760.47萬31.17%1,760.47萬--1,228.62萬
-累計折舊 -------------32.26%-641.42萬-32.26%-641.42萬---------32.95%-484.96萬-32.95%-484.96萬----
長期應收款 --731.34萬47.23%723.77萬27.30%586.96萬69.86%560.23萬69.86%560.23萬141.89%491.59萬63.79%461.09萬30.13%329.83萬30.13%329.83萬--297.39萬
商譽及其他無形資產 --5,903.65萬-9.02%6,012.2萬-9.27%6,050.82萬-6.19%6,388.66萬-6.19%6,388.66萬-6.33%6,608.06萬39.44%6,669.01萬43.03%6,809.95萬43.03%6,809.95萬--6,829.7萬
-商譽 --4,630.94萬0.33%4,592.7萬1.26%4,495.45萬3.63%4,621.88萬3.63%4,621.88萬15.23%4,577.43萬43.15%4,439.67萬48.27%4,459.95萬48.27%4,459.95萬--3,992.91萬
-其他無形資產 --1,272.7萬-30.10%1,419.5萬-30.23%1,555.37萬-24.82%1,766.78萬-24.82%1,766.78萬-34.12%2,030.62萬32.59%2,229.34萬34.04%2,350萬34.04%2,350萬--2,836.8萬
非流動遞延資產 --395.33萬25.73%353.54萬41.56%360.6萬29.53%359.87萬29.53%359.87萬437.61%281.19萬33.08%254.73萬27.47%277.82萬27.47%277.82萬--148.42萬
非流動資產合計 --8,022.83萬-5.52%8,106.45萬-6.15%8,069.14萬-2.82%8,448.17萬-2.82%8,448.17萬-0.14%8,580.03萬38.89%8,597.61萬39.99%8,693.1萬39.99%8,693.1萬--8,504.14萬
總資產 --1.4億-0.97%1.4億-7.63%1.35億-3.03%1.44億-3.03%1.44億-3.07%1.42億18.01%1.47億21.32%1.49億21.32%1.49億--1.39億
負債
流動負債
短期借款與資本租賃負債 --621.73萬-64.43%453.89萬-64.65%641.65萬-47.96%733.69萬-47.96%733.69萬-20.04%1,276.11萬1,687.48%1,815.14萬1,307.38%1,409.99萬1,307.38%1,409.99萬--1,601.45萬
-短期借款 --453.98萬-74.33%285.78萬-71.24%476.89萬-55.03%564.91萬-55.03%564.91萬-23.44%1,113.07萬--1,658萬--1,256.15萬--1,256.15萬--1,457.41萬
-短期資本租賃負債 --167.75萬3.11%168.11萬4.85%164.76萬9.71%168.78萬9.71%168.78萬14.78%163.04萬54.75%157.14萬53.56%153.84萬53.56%153.84萬--144.05萬
應付款項 --1,020.8萬-0.46%957.28萬-8.47%855.04萬-29.48%994.67萬-29.48%994.67萬-13.52%961.67萬-8.55%934.17萬44.55%1,410.51萬44.55%1,410.51萬--926.77萬
-應付帳款 --815.14萬4.69%840.85萬-11.29%682.31萬-15.03%884.39萬-15.03%884.39萬-2.09%803.17萬0.81%769.14萬53.11%1,040.81萬53.11%1,040.81萬--644.76萬
-應付稅費 --177.91萬--89.06萬--145.77萬1,468.31%65.86萬1,468.31%65.86萬--0--0-98.58%4.2萬-98.58%4.2萬--11.5萬
-其他應付款 --27.75萬-82.73%27.37萬-83.66%26.97萬-87.85%44.42萬-87.85%44.42萬-41.26%158.49萬--165.03萬--365.5萬--365.5萬--270.52萬
應計費用 --588萬28.05%610.82萬12.54%518.85萬16.92%869.03萬16.92%869.03萬-7.48%477.01萬29.94%461.02萬30.26%743.29萬30.26%743.29萬--511.19萬
遞延負債 --1,267.17萬29.94%1,356.04萬8.85%1,233.31萬30.91%1,210.4萬30.91%1,210.4萬15.86%1,043.57萬26.84%1,133.03萬16.84%924.6萬16.84%924.6萬--889.39萬
流動負債總額 --3,497.7萬-10.12%3,378.03萬-25.20%3,248.85萬-15.16%3,807.78萬-15.16%3,807.78萬-8.87%3,758.35萬83.18%4,343.36萬84.11%4,488.38萬84.11%4,488.38萬--3,928.8萬
非流動負債
長期借款與租賃負債 --712.45萬-26.05%729.78萬-24.03%782.82萬-18.72%883.92萬-18.72%883.92萬-21.60%986.81萬38.15%1,030.5萬43.33%1,087.48萬43.33%1,087.48萬--1,167.49萬
-長期借款 --166.4萬-37.84%144.6萬-33.68%164.28萬-19.72%210.08萬-19.72%210.08萬-39.74%232.61萬--247.7萬--261.68萬--261.68萬--335.65萬
-長期租賃負債 --546.05萬-22.41%585.19萬-20.98%618.54萬-18.40%673.84萬-18.40%673.84萬-13.58%754.2萬4.94%782.8萬8.84%825.81萬8.84%825.81萬--831.84萬
遞延負債 --300.9萬21.05%408.15萬7.68%341.33萬16.78%302.06萬16.78%302.06萬57.96%337.17萬41.57%316.98萬62.43%258.66萬62.43%258.66萬--221.59萬
非流動負債總額 --1,013.36萬-14.05%1,137.94萬-16.57%1,124.15萬-11.90%1,185.99萬-11.90%1,185.99萬-10.07%1,323.97萬38.94%1,347.47萬46.65%1,346.15萬46.65%1,346.15萬--1,389.08萬
負債總額 --4,511.05萬-11.14%4,515.97萬-23.16%4,373萬-14.41%4,993.77萬-14.41%4,993.77萬-9.18%5,082.32萬70.34%5,690.83萬73.86%5,834.53萬73.86%5,834.53萬--5,317.89萬
所有者權益
股本 --8,990.01萬0.35%9,121.96萬0.50%9,135.57萬0.81%9,090.25萬0.81%9,090.25萬0.81%9,090.25萬0.81%9,090.25萬0.43%9,017.6萬0.43%9,017.6萬--9,017.6萬
-普通股股本 --8,990.01萬0.35%9,121.96萬0.50%9,135.57萬0.81%9,090.25萬0.81%9,090.25萬0.81%9,090.25萬0.81%9,090.25萬0.43%9,017.6萬0.43%9,017.6萬--9,017.6萬
留存收益 ---779.21萬34.63%-773.9萬16.15%-866.01萬-10.61%-999.66萬-10.61%-999.66萬-207.91%-1,183.88萬-196.48%-1,032.79萬-201.08%-903.79萬-201.08%-903.79萬---808.64萬
不影響留存收益的損益 --815.66萬-0.02%737.07萬-1.47%537.61萬69.05%795.27萬69.05%795.27萬1,271.07%737.2萬263.26%545.61萬961.19%470.42萬961.19%470.42萬---6.32萬
其他股本權益 --486.4萬-2.83%427.89萬-1.48%362.9萬20.11%529.49萬20.11%529.49萬32.74%440.38萬39.64%368.35萬64.26%440.85萬64.26%440.85萬--392.86萬
股東權益總額 --9,512.86萬4.72%9,513.02萬2.21%9,170.07萬4.32%9,415.34萬4.32%9,415.34萬0.72%9,083.94萬-1.23%8,971.41萬1.50%9,025.08萬1.50%9,025.08萬--8,595.5萬
總權益 --9,512.86萬4.72%9,513.02萬2.21%9,170.07萬4.32%9,415.34萬4.32%9,415.34萬0.72%9,083.94萬-1.23%8,971.41萬1.50%9,025.08萬1.50%9,025.08萬--8,595.5萬
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。

熱議
加拿大
綜合熱度
股票代碼
最新價
升跌幅

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