加拿大市場個股詳情

HIRE.H Hire Technologies Inc

添加自選
  • 0.000
  • 0.0000.00%
延時15分鐘行情已收盤 12/20 09:30 (美東)
0總市值0.00市盈率TTM

Hire Technologies Inc關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
(FY)2021/12/31
(Q4)2021/12/31
(Q3)2021/09/30
(Q2)2021/06/30
(Q1)2021/03/31
(FY)2020/12/31
(Q4)2020/12/31
資產
流動資產
現金及現金等價物和短期投資
-87.09%30.72萬
40.98%50.3萬
288.08%117.89萬
411.64%174.29萬
411.64%174.29萬
124.42%237.86萬
153.87%35.68萬
-50.07%30.38萬
-85.22%34.06萬
-61.87%34.06萬
-現金和現金等價物
-87.09%30.72萬
40.98%50.3萬
288.08%117.89萬
411.64%174.29萬
411.64%174.29萬
124.42%237.86萬
153.87%35.68萬
-50.07%30.38萬
-85.22%34.06萬
-61.87%34.06萬
應收款項
-0.67%639.29萬
71.88%696.07萬
90.00%651.2萬
116.22%562.82萬
116.22%562.82萬
200.22%643.58萬
116.76%404.98萬
32.85%342.74萬
54.82%260.3萬
--260.3萬
-應收賬款
-4.59%614.02萬
66.89%675.87萬
86.22%638.26萬
118.12%554.32萬
118.12%554.32萬
200.22%643.58萬
116.76%404.98萬
32.85%342.74萬
51.15%254.13萬
--254.13萬
-應收稅費
--25.27萬
--20.2萬
--12.94萬
37.81%8.5萬
37.81%8.5萬
----
----
----
--6.17萬
--6.17萬
預付費用
9.65%33.01萬
28.40%27.25萬
2.91%29.5萬
11.05%35.86萬
11.05%35.86萬
0.26%30.1萬
9.77%21.22萬
-14.13%28.66萬
2.81%32.3萬
--32.3萬
其他流動資產
---23.13萬
----
----
----
----
----
----
----
----
----
流動資產合計
-25.41%679.88萬
67.49%773.62萬
98.76%798.58萬
136.63%772.97萬
136.63%772.97萬
160.16%911.53萬
109.35%461.88萬
14.08%401.78萬
-24.02%326.66萬
265.65%326.66萬
非流動資產
固定資產淨額
-31.27%31.78萬
5.47%35.12萬
-0.72%38.54萬
6.52%43.78萬
6.52%43.78萬
20.04%46.24萬
-6.48%33.3萬
-41.20%38.82萬
-2.26%41.1萬
--41.1萬
-固定資產
1.81%88.65萬
25.29%86.51萬
19.97%85.33萬
21.32%85.02萬
21.32%85.02萬
30.14%87.08萬
15.33%69.05萬
-17.89%71.13萬
25.80%70.08萬
--70.08萬
-累計折舊
-39.26%-56.87萬
-43.75%-51.39萬
-44.83%-46.79萬
-42.31%-41.24萬
-42.31%-41.24萬
-43.84%-40.84萬
-47.36%-35.75萬
-56.82%-32.31萬
-112.20%-28.98萬
---28.98萬
投資和預付款
-89.77%288
-88.97%374
-99.55%1,178
-99.53%1,207
-99.53%1,207
-98.95%2,816
--3,391
--26.18萬
--25.46萬
--25.46萬
-金融資產投資
-89.77%288
-88.97%374
-99.55%1,178
-99.53%1,207
-99.53%1,207
-98.95%2,816
--3,391
--26.18萬
--25.46萬
--25.46萬
-其中:以公允價值計量且其變動計入當期損益的金融資產總額
-89.77%288
-88.97%374
-99.55%1,178
-99.53%1,207
-99.53%1,207
-98.95%2,816
--3,391
--26.18萬
--25.46萬
--25.46萬
長期應收款
----
----
----
----
----
--23.13萬
--47.35萬
3,562.31%47.35萬
1,375.70%47.35萬
--47.35萬
商譽及其他無形資產
-17.08%1,444.12萬
50.60%1,602.42萬
85.64%1,620.86萬
80.62%1,599.49萬
80.62%1,599.49萬
582.04%1,741.49萬
550.57%1,064.01萬
426.57%873.12萬
426.86%885.55萬
--885.55萬
-商譽
-12.05%943.37萬
66.40%1,010.15萬
98.07%1,010.15萬
90.26%970.35萬
90.26%970.35萬
708.61%1,072.68萬
567.41%607.04萬
460.73%510.01萬
460.73%510.01萬
--510.01萬
-其他無形資產
-25.13%500.75萬
29.61%592.27萬
68.18%610.71萬
67.53%629.14萬
67.53%629.14萬
445.17%668.81萬
529.47%456.96萬
385.06%363.12萬
386.92%375.54萬
--375.54萬
其他非流動資產
----
----
----
--1
--1
----
----
----
----
----
非流動資產合計
-18.51%1,475.93萬
43.02%1,637.58萬
68.40%1,659.51萬
64.43%1,643.39萬
64.43%1,643.39萬
464.76%1,811.14萬
474.92%1,144.99萬
322.71%985.46萬
368.48%999.45萬
--999.45萬
總資產
-20.82%2,155.81萬
50.06%2,411.2萬
77.19%2,458.1萬
82.21%2,416.36萬
82.21%2,416.36萬
305.72%2,722.67萬
283.15%1,606.87萬
137.00%1,387.24萬
106.15%1,326.11萬
1,384.41%1,326.11萬
負債
流動負債
短期借款與資本租賃負債
-3.97%325.81萬
-9.32%298.84萬
3.42%328.52萬
10.71%324.29萬
10.71%324.29萬
2,240.74%339.26萬
1,941.82%329.55萬
709.93%317.67萬
1,763.05%292.91萬
--292.91萬
-短期借款
-2.32%313.3萬
-9.81%284.29萬
3.39%311.97萬
11.40%306.75萬
11.40%306.75萬
--320.75萬
--315.23萬
--301.73萬
--275.37萬
--275.37萬
-短期資本租賃負債
-32.44%12.5萬
1.57%14.54萬
3.88%16.56萬
0.01%17.54萬
0.01%17.54萬
27.69%18.51萬
-11.29%14.32萬
-59.36%15.94萬
11.55%17.54萬
--17.54萬
應付款項
658.18%1,663.12萬
214.09%830.73萬
436.91%814.58萬
138.33%352.33萬
138.33%352.33萬
57.86%219.36萬
484.67%264.49萬
81.08%151.72萬
77.22%147.83萬
--147.83萬
-應付帳款
-14.99%68.83萬
-77.77%21.96萬
165.29%71.88萬
151.62%77.99萬
151.62%77.99萬
368.67%80.96萬
257.99%98.79萬
-52.27%27.09萬
34.61%30.99萬
--30.99萬
-應付稅費
82.46%85.1萬
--104.51萬
--74.44萬
--55.16萬
--55.16萬
--46.64萬
----
----
--0
--0
-應付關聯方款項
9,825.80%1,509.19萬
----
----
----
----
--15.2萬
----
----
----
----
-其他應付款
----
325.03%704.27萬
436.22%668.26萬
87.59%219.18萬
87.59%219.18萬
-37.09%76.55萬
839.26%165.7萬
361.14%124.62萬
93.47%116.84萬
--116.84萬
應計費用
-30.47%216.97萬
76.37%227.48萬
84.86%132.01萬
42.95%116.64萬
42.95%116.64萬
880.92%312.06萬
37.34%128.98萬
-19.52%71.41萬
-8.67%81.6萬
--81.6萬
養老金及其他退休福利計劃
654.49%31.69萬
----
----
----
----
-58.00%4.2萬
----
----
----
----
遞延負債
1,977.47%43.25萬
--96.64萬
--81.89萬
--40.87萬
--40.87萬
--2.08萬
----
----
--0
--0
其他流動負債
----
402.63%462.71萬
56.80%346.31萬
-57.17%289.63萬
-57.17%289.63萬
--94.86萬
--92.06萬
--220.87萬
--676.3萬
--676.3萬
流動負債總額
134.70%2,280.83萬
135.12%1,916.4萬
123.63%1,703.31萬
-6.25%1,123.77萬
-6.25%1,123.77萬
397.69%971.81萬
424.87%815.07萬
259.72%761.66萬
535.94%1,198.64萬
45,208.68%1,198.64萬
非流動負債
長期借款與租賃負債
-3.61%301.97萬
796.38%302.63萬
700.81%303.31萬
753.98%305.01萬
753.98%305.01萬
-29.19%313.29萬
11.28%33.76萬
21.59%37.88萬
14.05%35.72萬
--35.72萬
-長期借款
0.39%301.97萬
1,434.57%299.97萬
1,391.31%298萬
1,987.29%296.08萬
1,987.29%296.08萬
-28.78%300.79萬
144.34%19.55萬
--19.98萬
--14.19萬
--14.19萬
-長期租賃負債
--0
-81.24%2.67萬
-70.32%5.31萬
-58.56%8.92萬
-58.56%8.92萬
-37.83%12.5萬
-36.37%14.21萬
-42.56%17.89萬
-31.25%21.53萬
--21.53萬
長期應付帳款及其他應付款項
----
--0
-53.89%66.97萬
233.31%456.24萬
233.31%456.24萬
434.87%331.32萬
1,300.45%178.86萬
927.44%145.24萬
577.31%136.88萬
--136.88萬
遞延負債
29.95%182.74萬
133.34%188.72萬
47.35%126.24萬
46.18%129.35萬
46.18%129.35萬
704.20%140.63萬
626.28%80.88萬
625.86%85.68萬
621.21%88.49萬
--88.49萬
非流動負債總額
-38.27%484.71萬
67.42%491.36萬
84.72%496.53萬
241.11%890.6萬
241.11%890.6萬
-4.74%785.24萬
441.04%293.5萬
370.82%268.79萬
309.25%261.09萬
--261.09萬
負債總額
57.40%2,765.54萬
117.20%2,407.75萬
113.48%2,199.84萬
38.00%2,014.37萬
38.00%2,014.37萬
72.33%1,757.05萬
429.06%1,108.56萬
283.32%1,030.46萬
478.61%1,459.73萬
55,077.76%1,459.73萬
所有者權益
股本
2.05%2,712.71萬
25.95%2,712.71萬
37.58%2,707.33萬
54.34%2,707.33萬
54.34%2,707.33萬
110.97%2,658.21萬
71.46%2,153.78萬
56.66%1,967.85萬
39.64%1,754.13萬
1,811.89%1,754.13萬
-普通股股本
2.05%2,712.71萬
25.95%2,712.71萬
37.58%2,707.33萬
54.34%2,707.33萬
54.34%2,707.33萬
110.97%2,658.21萬
71.46%2,153.78萬
56.66%1,967.85萬
39.64%1,754.13萬
1,811.89%1,754.13萬
留存收益
-87.96%-3,633.99萬
-63.90%-3,017.54萬
-50.66%-2,703.97萬
-26.61%-2,556.82萬
-26.61%-2,556.82萬
-12.19%-1,933.35萬
-63.07%-1,841.11萬
-75.55%-1,794.76萬
-113.05%-2,019.5萬
-17,974.86%-2,019.5萬
不影響留存收益的損益
29.40%311.55萬
66.06%308.28萬
38.77%254.89萬
90.87%251.49萬
90.87%251.49萬
109.80%240.76萬
124.39%185.64萬
122.03%183.69萬
59.27%131.76萬
--131.76萬
股東權益總額
-163.14%-609.73萬
-99.31%3.44萬
-27.62%258.26萬
400.86%401.99萬
400.86%401.99萬
377.05%965.62萬
137.46%498.31萬
12.73%356.78萬
-134.17%-133.62萬
-254.13%-133.62萬
總權益
-163.14%-609.73萬
-99.31%3.44萬
-27.62%258.26萬
400.86%401.99萬
400.86%401.99萬
377.05%965.62萬
137.46%498.31萬
12.73%356.78萬
-134.17%-133.62萬
-254.13%-133.62萬
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
--
--
--
帶解釋段的無保留意見
--
--
--
--
帶解釋段的無保留意見
--
(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31(FY)2021/12/31(Q4)2021/12/31(Q3)2021/09/30(Q2)2021/06/30(Q1)2021/03/31(FY)2020/12/31(Q4)2020/12/31
資產
流動資產
現金及現金等價物和短期投資 -87.09%30.72萬40.98%50.3萬288.08%117.89萬411.64%174.29萬411.64%174.29萬124.42%237.86萬153.87%35.68萬-50.07%30.38萬-85.22%34.06萬-61.87%34.06萬
-現金和現金等價物 -87.09%30.72萬40.98%50.3萬288.08%117.89萬411.64%174.29萬411.64%174.29萬124.42%237.86萬153.87%35.68萬-50.07%30.38萬-85.22%34.06萬-61.87%34.06萬
應收款項 -0.67%639.29萬71.88%696.07萬90.00%651.2萬116.22%562.82萬116.22%562.82萬200.22%643.58萬116.76%404.98萬32.85%342.74萬54.82%260.3萬--260.3萬
-應收賬款 -4.59%614.02萬66.89%675.87萬86.22%638.26萬118.12%554.32萬118.12%554.32萬200.22%643.58萬116.76%404.98萬32.85%342.74萬51.15%254.13萬--254.13萬
-應收稅費 --25.27萬--20.2萬--12.94萬37.81%8.5萬37.81%8.5萬--------------6.17萬--6.17萬
預付費用 9.65%33.01萬28.40%27.25萬2.91%29.5萬11.05%35.86萬11.05%35.86萬0.26%30.1萬9.77%21.22萬-14.13%28.66萬2.81%32.3萬--32.3萬
其他流動資產 ---23.13萬------------------------------------
流動資產合計 -25.41%679.88萬67.49%773.62萬98.76%798.58萬136.63%772.97萬136.63%772.97萬160.16%911.53萬109.35%461.88萬14.08%401.78萬-24.02%326.66萬265.65%326.66萬
非流動資產
固定資產淨額 -31.27%31.78萬5.47%35.12萬-0.72%38.54萬6.52%43.78萬6.52%43.78萬20.04%46.24萬-6.48%33.3萬-41.20%38.82萬-2.26%41.1萬--41.1萬
-固定資產 1.81%88.65萬25.29%86.51萬19.97%85.33萬21.32%85.02萬21.32%85.02萬30.14%87.08萬15.33%69.05萬-17.89%71.13萬25.80%70.08萬--70.08萬
-累計折舊 -39.26%-56.87萬-43.75%-51.39萬-44.83%-46.79萬-42.31%-41.24萬-42.31%-41.24萬-43.84%-40.84萬-47.36%-35.75萬-56.82%-32.31萬-112.20%-28.98萬---28.98萬
投資和預付款 -89.77%288-88.97%374-99.55%1,178-99.53%1,207-99.53%1,207-98.95%2,816--3,391--26.18萬--25.46萬--25.46萬
-金融資產投資 -89.77%288-88.97%374-99.55%1,178-99.53%1,207-99.53%1,207-98.95%2,816--3,391--26.18萬--25.46萬--25.46萬
-其中:以公允價值計量且其變動計入當期損益的金融資產總額 -89.77%288-88.97%374-99.55%1,178-99.53%1,207-99.53%1,207-98.95%2,816--3,391--26.18萬--25.46萬--25.46萬
長期應收款 ----------------------23.13萬--47.35萬3,562.31%47.35萬1,375.70%47.35萬--47.35萬
商譽及其他無形資產 -17.08%1,444.12萬50.60%1,602.42萬85.64%1,620.86萬80.62%1,599.49萬80.62%1,599.49萬582.04%1,741.49萬550.57%1,064.01萬426.57%873.12萬426.86%885.55萬--885.55萬
-商譽 -12.05%943.37萬66.40%1,010.15萬98.07%1,010.15萬90.26%970.35萬90.26%970.35萬708.61%1,072.68萬567.41%607.04萬460.73%510.01萬460.73%510.01萬--510.01萬
-其他無形資產 -25.13%500.75萬29.61%592.27萬68.18%610.71萬67.53%629.14萬67.53%629.14萬445.17%668.81萬529.47%456.96萬385.06%363.12萬386.92%375.54萬--375.54萬
其他非流動資產 --------------1--1--------------------
非流動資產合計 -18.51%1,475.93萬43.02%1,637.58萬68.40%1,659.51萬64.43%1,643.39萬64.43%1,643.39萬464.76%1,811.14萬474.92%1,144.99萬322.71%985.46萬368.48%999.45萬--999.45萬
總資產 -20.82%2,155.81萬50.06%2,411.2萬77.19%2,458.1萬82.21%2,416.36萬82.21%2,416.36萬305.72%2,722.67萬283.15%1,606.87萬137.00%1,387.24萬106.15%1,326.11萬1,384.41%1,326.11萬
負債
流動負債
短期借款與資本租賃負債 -3.97%325.81萬-9.32%298.84萬3.42%328.52萬10.71%324.29萬10.71%324.29萬2,240.74%339.26萬1,941.82%329.55萬709.93%317.67萬1,763.05%292.91萬--292.91萬
-短期借款 -2.32%313.3萬-9.81%284.29萬3.39%311.97萬11.40%306.75萬11.40%306.75萬--320.75萬--315.23萬--301.73萬--275.37萬--275.37萬
-短期資本租賃負債 -32.44%12.5萬1.57%14.54萬3.88%16.56萬0.01%17.54萬0.01%17.54萬27.69%18.51萬-11.29%14.32萬-59.36%15.94萬11.55%17.54萬--17.54萬
應付款項 658.18%1,663.12萬214.09%830.73萬436.91%814.58萬138.33%352.33萬138.33%352.33萬57.86%219.36萬484.67%264.49萬81.08%151.72萬77.22%147.83萬--147.83萬
-應付帳款 -14.99%68.83萬-77.77%21.96萬165.29%71.88萬151.62%77.99萬151.62%77.99萬368.67%80.96萬257.99%98.79萬-52.27%27.09萬34.61%30.99萬--30.99萬
-應付稅費 82.46%85.1萬--104.51萬--74.44萬--55.16萬--55.16萬--46.64萬----------0--0
-應付關聯方款項 9,825.80%1,509.19萬------------------15.2萬----------------
-其他應付款 ----325.03%704.27萬436.22%668.26萬87.59%219.18萬87.59%219.18萬-37.09%76.55萬839.26%165.7萬361.14%124.62萬93.47%116.84萬--116.84萬
應計費用 -30.47%216.97萬76.37%227.48萬84.86%132.01萬42.95%116.64萬42.95%116.64萬880.92%312.06萬37.34%128.98萬-19.52%71.41萬-8.67%81.6萬--81.6萬
養老金及其他退休福利計劃 654.49%31.69萬-----------------58.00%4.2萬----------------
遞延負債 1,977.47%43.25萬--96.64萬--81.89萬--40.87萬--40.87萬--2.08萬----------0--0
其他流動負債 ----402.63%462.71萬56.80%346.31萬-57.17%289.63萬-57.17%289.63萬--94.86萬--92.06萬--220.87萬--676.3萬--676.3萬
流動負債總額 134.70%2,280.83萬135.12%1,916.4萬123.63%1,703.31萬-6.25%1,123.77萬-6.25%1,123.77萬397.69%971.81萬424.87%815.07萬259.72%761.66萬535.94%1,198.64萬45,208.68%1,198.64萬
非流動負債
長期借款與租賃負債 -3.61%301.97萬796.38%302.63萬700.81%303.31萬753.98%305.01萬753.98%305.01萬-29.19%313.29萬11.28%33.76萬21.59%37.88萬14.05%35.72萬--35.72萬
-長期借款 0.39%301.97萬1,434.57%299.97萬1,391.31%298萬1,987.29%296.08萬1,987.29%296.08萬-28.78%300.79萬144.34%19.55萬--19.98萬--14.19萬--14.19萬
-長期租賃負債 --0-81.24%2.67萬-70.32%5.31萬-58.56%8.92萬-58.56%8.92萬-37.83%12.5萬-36.37%14.21萬-42.56%17.89萬-31.25%21.53萬--21.53萬
長期應付帳款及其他應付款項 ------0-53.89%66.97萬233.31%456.24萬233.31%456.24萬434.87%331.32萬1,300.45%178.86萬927.44%145.24萬577.31%136.88萬--136.88萬
遞延負債 29.95%182.74萬133.34%188.72萬47.35%126.24萬46.18%129.35萬46.18%129.35萬704.20%140.63萬626.28%80.88萬625.86%85.68萬621.21%88.49萬--88.49萬
非流動負債總額 -38.27%484.71萬67.42%491.36萬84.72%496.53萬241.11%890.6萬241.11%890.6萬-4.74%785.24萬441.04%293.5萬370.82%268.79萬309.25%261.09萬--261.09萬
負債總額 57.40%2,765.54萬117.20%2,407.75萬113.48%2,199.84萬38.00%2,014.37萬38.00%2,014.37萬72.33%1,757.05萬429.06%1,108.56萬283.32%1,030.46萬478.61%1,459.73萬55,077.76%1,459.73萬
所有者權益
股本 2.05%2,712.71萬25.95%2,712.71萬37.58%2,707.33萬54.34%2,707.33萬54.34%2,707.33萬110.97%2,658.21萬71.46%2,153.78萬56.66%1,967.85萬39.64%1,754.13萬1,811.89%1,754.13萬
-普通股股本 2.05%2,712.71萬25.95%2,712.71萬37.58%2,707.33萬54.34%2,707.33萬54.34%2,707.33萬110.97%2,658.21萬71.46%2,153.78萬56.66%1,967.85萬39.64%1,754.13萬1,811.89%1,754.13萬
留存收益 -87.96%-3,633.99萬-63.90%-3,017.54萬-50.66%-2,703.97萬-26.61%-2,556.82萬-26.61%-2,556.82萬-12.19%-1,933.35萬-63.07%-1,841.11萬-75.55%-1,794.76萬-113.05%-2,019.5萬-17,974.86%-2,019.5萬
不影響留存收益的損益 29.40%311.55萬66.06%308.28萬38.77%254.89萬90.87%251.49萬90.87%251.49萬109.80%240.76萬124.39%185.64萬122.03%183.69萬59.27%131.76萬--131.76萬
股東權益總額 -163.14%-609.73萬-99.31%3.44萬-27.62%258.26萬400.86%401.99萬400.86%401.99萬377.05%965.62萬137.46%498.31萬12.73%356.78萬-134.17%-133.62萬-254.13%-133.62萬
總權益 -163.14%-609.73萬-99.31%3.44萬-27.62%258.26萬400.86%401.99萬400.86%401.99萬377.05%965.62萬137.46%498.31萬12.73%356.78萬-134.17%-133.62萬-254.13%-133.62萬
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 ------帶解釋段的無保留意見--------帶解釋段的無保留意見--

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。