加拿大市場個股詳情

HBFG Happy Belly Food Group Inc

添加自選
  • 0.540
  • -0.010-1.82%
延時15分鐘行情交易中 08/16 11:45 (美東)
6231.05萬總市值-30000市盈率TTM

Happy Belly Food Group Inc關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
資產
流動資產
現金及現金等價物和短期投資
35.89%249.26萬
35.92%157.83萬
35.92%157.83萬
1.93%171.96萬
159.30%183.43萬
14.82%116.12萬
14.82%116.12萬
18.98%168.7萬
--111.09萬
-66.29%70.74萬
-現金和現金等價物
22.95%218.24萬
15.16%126.9萬
15.16%126.9萬
-14.59%141.03萬
182.61%177.5萬
17.71%110.2萬
17.71%110.2萬
25.50%165.13萬
--105.44萬
-50.43%62.81萬
-應收賬款
390.77%51.19萬
162.69%26.31萬
162.69%26.31萬
13.52%38.92萬
-13.70%10.43萬
91.78%10.02萬
91.78%10.02萬
174.94%34.28萬
--61.27萬
57.16%12.09萬
流動資產合計
36.59%330.97萬
15.96%214.44萬
15.96%214.44萬
28.21%281.95萬
128.66%242.31萬
39.23%184.92萬
39.23%184.92萬
20.47%219.91萬
--196.13萬
-61.02%105.97萬
非流動資產
-累計折舊
-22.35%-107.91萬
-28.20%-105.27萬
-28.20%-105.27萬
-34.52%-104.64萬
-43.31%-88.19萬
-43.66%-82.11萬
-43.66%-82.11萬
-119.84%-77.79萬
---69.37萬
-179.33%-61.54萬
-長期股權投資
98.20%498.98萬
99.29%506.45萬
99.29%506.45萬
101.37%489.67萬
909.00%251.76萬
813.65%254.13萬
813.65%254.13萬
740.29%243.17萬
--75.26萬
-20.85%24.95萬
-商譽
30.60%137.67萬
-12.34%96.29萬
-12.34%96.29萬
-38.27%99.55萬
-38.71%105.41萬
-38.59%109.85萬
-38.59%109.85萬
-80.39%161.27萬
--169.61萬
-79.09%171.98萬
-其他無形資產
303.27%81.44萬
210.10%62.63萬
210.10%62.63萬
210.10%62.63萬
416.32%20.2萬
416.32%20.2萬
416.32%20.2萬
164.28%20.2萬
---6.38萬
-100.90%-6.38萬
監管資產
142.57%51.19萬
-26.27%26.31萬
-26.27%26.31萬
146.76%76.44萬
36.00%21.1萬
206.75%35.69萬
206.75%35.69萬
100.19%30.98萬
--62.34萬
-9.82%15.52萬
非流動遞延資產
--20萬
--20萬
--20萬
----
----
----
----
----
----
----
總資產
----
----
----
----
----
----
----
-210.09%-3.31萬
--1.07萬
-63.94%3.43萬
負債
流動負債
短期借款與資本租賃負債
16.35%43.55萬
-23.11%27.87萬
-23.11%27.87萬
196.26%41.62萬
506.85%37.43萬
505.46%36.25萬
505.46%36.25萬
97.60%14.05萬
--13.61萬
-33.44%6.17萬
-短期借款
-71.13%5.92萬
-63.90%7.16萬
-63.90%7.16萬
2,071.42%21.9萬
--20.49萬
--19.85萬
--19.85萬
--1.01萬
--9,919
----
-短期資本租賃負債
122.18%37.64萬
26.26%20.71萬
26.26%20.71萬
51.24%19.72萬
174.62%16.94萬
173.95%16.4萬
173.95%16.4萬
83.42%13.04萬
--12.61萬
-33.44%6.17萬
-應付帳款
93.82%69.25萬
26.36%45.75萬
26.36%45.75萬
44.74%41.77萬
84.64%35.73萬
111.39%36.21萬
111.39%36.21萬
--28.86萬
--37.29萬
--19.35萬
-應付稅費
98.20%498.98萬
99.29%506.45萬
99.29%506.45萬
101.37%489.67萬
909.00%251.76萬
813.65%254.13萬
813.65%254.13萬
740.29%243.17萬
--75.26萬
-20.85%24.95萬
-其他應付款
185.76%22.12萬
164.39%22.12萬
164.39%22.12萬
--23.36萬
--7.74萬
--8.37萬
--8.37萬
----
----
----
應計費用
81.42%17.63萬
49.12%22.75萬
49.12%22.75萬
37.61%20.67萬
29.57%9.72萬
103.39%15.25萬
103.39%15.25萬
--15.02萬
--9.09萬
--7.5萬
遞延負債
--13.5萬
--13.5萬
--13.5萬
--25萬
----
--0
--0
----
--117.72萬
----
流動負債總額
12.58%218.75萬
41.30%134.91萬
41.30%134.91萬
158.37%152.48萬
421.65%194.31萬
203.54%95.48萬
203.54%95.48萬
26.68%59.02萬
--179.91萬
-54.94%37.25萬
非流動負債
-長期借款
158.21%143.27萬
179.94%166.45萬
179.94%166.45萬
234.20%165.61萬
223.58%55.49萬
217.06%59.46萬
217.06%59.46萬
143.89%49.56萬
--52.86萬
-26.56%17.15萬
長期應計費用
80.81%220.32萬
85.77%232.47萬
85.77%232.47萬
111.62%222.9萬
141.32%121.85萬
127.22%125.14萬
127.22%125.14萬
33.00%105.33萬
--112.5萬
-45.23%50.49萬
長期撥備
81.23%355.71萬
74.65%340萬
74.65%340萬
67.37%324.05萬
2,415.17%196.27萬
2,048.37%194.67萬
2,048.37%194.67萬
2,146.20%193.61萬
--22.4萬
-4.55%7.8萬
非流動負債總額
60.90%717.73萬
83.45%641.36萬
83.45%641.36萬
112.50%642.14萬
617.14%446.07萬
489.86%349.61萬
489.86%349.61萬
300.11%302.18萬
--255.17萬
-45.53%62.2萬
所有者權益
股本
4.32%3,730.1萬
1.40%3,625.9萬
1.40%3,625.9萬
0.89%3,600.7萬
0.82%3,575.7萬
0.82%3,575.7萬
0.82%3,575.7萬
-5.06%3,568.9萬
--3,568.9萬
43.28%3,546.68萬
-普通股股本
4.32%3,730.1萬
1.40%3,625.9萬
1.40%3,625.9萬
0.89%3,600.7萬
0.82%3,575.7萬
0.82%3,575.7萬
0.82%3,575.7萬
-5.06%3,568.9萬
--3,568.9萬
43.28%3,546.68萬
資本公積
0.67%1,136.36萬
0.50%1,134.43萬
0.50%1,134.43萬
0.52%1,134.43萬
0.03%1,128.83萬
0.05%1,128.83萬
0.05%1,128.83萬
-31.21%1,128.53萬
--1,128.53萬
--1,128.53萬
非控制性權益
--25萬
----
----
--27.02萬
----
----
----
----
----
----
總權益
58.40%756.07萬
36.67%585.32萬
36.67%585.32萬
34.59%654.78萬
45.33%477.31萬
16.77%428.28萬
16.77%428.28萬
-55.12%486.51萬
--478.24萬
-72.32%328.44萬
(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31
資產
流動資產
現金及現金等價物和短期投資 35.89%249.26萬35.92%157.83萬35.92%157.83萬1.93%171.96萬159.30%183.43萬14.82%116.12萬14.82%116.12萬18.98%168.7萬--111.09萬-66.29%70.74萬
-現金和現金等價物 22.95%218.24萬15.16%126.9萬15.16%126.9萬-14.59%141.03萬182.61%177.5萬17.71%110.2萬17.71%110.2萬25.50%165.13萬--105.44萬-50.43%62.81萬
-應收賬款 390.77%51.19萬162.69%26.31萬162.69%26.31萬13.52%38.92萬-13.70%10.43萬91.78%10.02萬91.78%10.02萬174.94%34.28萬--61.27萬57.16%12.09萬
流動資產合計 36.59%330.97萬15.96%214.44萬15.96%214.44萬28.21%281.95萬128.66%242.31萬39.23%184.92萬39.23%184.92萬20.47%219.91萬--196.13萬-61.02%105.97萬
非流動資產
-累計折舊 -22.35%-107.91萬-28.20%-105.27萬-28.20%-105.27萬-34.52%-104.64萬-43.31%-88.19萬-43.66%-82.11萬-43.66%-82.11萬-119.84%-77.79萬---69.37萬-179.33%-61.54萬
-長期股權投資 98.20%498.98萬99.29%506.45萬99.29%506.45萬101.37%489.67萬909.00%251.76萬813.65%254.13萬813.65%254.13萬740.29%243.17萬--75.26萬-20.85%24.95萬
-商譽 30.60%137.67萬-12.34%96.29萬-12.34%96.29萬-38.27%99.55萬-38.71%105.41萬-38.59%109.85萬-38.59%109.85萬-80.39%161.27萬--169.61萬-79.09%171.98萬
-其他無形資產 303.27%81.44萬210.10%62.63萬210.10%62.63萬210.10%62.63萬416.32%20.2萬416.32%20.2萬416.32%20.2萬164.28%20.2萬---6.38萬-100.90%-6.38萬
監管資產 142.57%51.19萬-26.27%26.31萬-26.27%26.31萬146.76%76.44萬36.00%21.1萬206.75%35.69萬206.75%35.69萬100.19%30.98萬--62.34萬-9.82%15.52萬
非流動遞延資產 --20萬--20萬--20萬----------------------------
總資產 -----------------------------210.09%-3.31萬--1.07萬-63.94%3.43萬
負債
流動負債
短期借款與資本租賃負債 16.35%43.55萬-23.11%27.87萬-23.11%27.87萬196.26%41.62萬506.85%37.43萬505.46%36.25萬505.46%36.25萬97.60%14.05萬--13.61萬-33.44%6.17萬
-短期借款 -71.13%5.92萬-63.90%7.16萬-63.90%7.16萬2,071.42%21.9萬--20.49萬--19.85萬--19.85萬--1.01萬--9,919----
-短期資本租賃負債 122.18%37.64萬26.26%20.71萬26.26%20.71萬51.24%19.72萬174.62%16.94萬173.95%16.4萬173.95%16.4萬83.42%13.04萬--12.61萬-33.44%6.17萬
-應付帳款 93.82%69.25萬26.36%45.75萬26.36%45.75萬44.74%41.77萬84.64%35.73萬111.39%36.21萬111.39%36.21萬--28.86萬--37.29萬--19.35萬
-應付稅費 98.20%498.98萬99.29%506.45萬99.29%506.45萬101.37%489.67萬909.00%251.76萬813.65%254.13萬813.65%254.13萬740.29%243.17萬--75.26萬-20.85%24.95萬
-其他應付款 185.76%22.12萬164.39%22.12萬164.39%22.12萬--23.36萬--7.74萬--8.37萬--8.37萬------------
應計費用 81.42%17.63萬49.12%22.75萬49.12%22.75萬37.61%20.67萬29.57%9.72萬103.39%15.25萬103.39%15.25萬--15.02萬--9.09萬--7.5萬
遞延負債 --13.5萬--13.5萬--13.5萬--25萬------0--0------117.72萬----
流動負債總額 12.58%218.75萬41.30%134.91萬41.30%134.91萬158.37%152.48萬421.65%194.31萬203.54%95.48萬203.54%95.48萬26.68%59.02萬--179.91萬-54.94%37.25萬
非流動負債
-長期借款 158.21%143.27萬179.94%166.45萬179.94%166.45萬234.20%165.61萬223.58%55.49萬217.06%59.46萬217.06%59.46萬143.89%49.56萬--52.86萬-26.56%17.15萬
長期應計費用 80.81%220.32萬85.77%232.47萬85.77%232.47萬111.62%222.9萬141.32%121.85萬127.22%125.14萬127.22%125.14萬33.00%105.33萬--112.5萬-45.23%50.49萬
長期撥備 81.23%355.71萬74.65%340萬74.65%340萬67.37%324.05萬2,415.17%196.27萬2,048.37%194.67萬2,048.37%194.67萬2,146.20%193.61萬--22.4萬-4.55%7.8萬
非流動負債總額 60.90%717.73萬83.45%641.36萬83.45%641.36萬112.50%642.14萬617.14%446.07萬489.86%349.61萬489.86%349.61萬300.11%302.18萬--255.17萬-45.53%62.2萬
所有者權益
股本 4.32%3,730.1萬1.40%3,625.9萬1.40%3,625.9萬0.89%3,600.7萬0.82%3,575.7萬0.82%3,575.7萬0.82%3,575.7萬-5.06%3,568.9萬--3,568.9萬43.28%3,546.68萬
-普通股股本 4.32%3,730.1萬1.40%3,625.9萬1.40%3,625.9萬0.89%3,600.7萬0.82%3,575.7萬0.82%3,575.7萬0.82%3,575.7萬-5.06%3,568.9萬--3,568.9萬43.28%3,546.68萬
資本公積 0.67%1,136.36萬0.50%1,134.43萬0.50%1,134.43萬0.52%1,134.43萬0.03%1,128.83萬0.05%1,128.83萬0.05%1,128.83萬-31.21%1,128.53萬--1,128.53萬--1,128.53萬
非控制性權益 --25萬----------27.02萬------------------------
總權益 58.40%756.07萬36.67%585.32萬36.67%585.32萬34.59%654.78萬45.33%477.31萬16.77%428.28萬16.77%428.28萬-55.12%486.51萬--478.24萬-72.32%328.44萬

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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