加拿大市場個股詳情

IWIN Irwin Naturals Inc

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延時15分鐘行情已收盤 04/30 15:04 (美東)
101.63萬總市值-28市盈率TTM

Irwin Naturals Inc關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
(FY)2021/12/31
(Q4)2021/12/31
資產
流動資產
現金及現金等價物和短期投資
355.10%548.4萬
494.89%594.3萬
664.52%652.9萬
28.00%80萬
28.00%80萬
86.53%120.5萬
498.20%99.9萬
--85.4萬
41.40%62.5萬
41.40%62.5萬
-現金和現金等價物
355.10%548.4萬
494.89%594.3萬
665.42%652.9萬
28.00%80萬
28.00%80萬
86.82%120.5萬
498.20%99.9萬
--85.3萬
41.40%62.5萬
41.40%62.5萬
-應收賬款
-11.31%1,262.6萬
13.51%1,582.6萬
0.45%1,634.7萬
29.99%2,131.1萬
29.99%2,131.1萬
4.74%1,423.6萬
-20.21%1,394.2萬
--1,627.3萬
-4.76%1,639.4萬
-4.76%1,639.4萬
流動資產合計
-7.86%3,793.5萬
20.79%4,564.9萬
24.82%4,789.1萬
28.02%4,754.9萬
28.02%4,754.9萬
30.34%4,117萬
11.84%3,779.3萬
--3,836.7萬
9.60%3,714.1萬
9.60%3,714.1萬
非流動資產
-累計折舊
6.08%-245.6萬
-6.58%-275.5萬
-6.65%-272.7萬
-4.98%-265.4萬
-4.98%-265.4萬
-4.77%-261.5萬
-2.42%-258.5萬
---255.7萬
-2.60%-252.8萬
-2.60%-252.8萬
-長期股權投資
184.13%758.9萬
209.83%926.4萬
401.67%1,108.7萬
24.36%302.7萬
24.36%302.7萬
--267.1萬
2,455.56%299萬
--221萬
199.75%243.4萬
199.75%243.4萬
長期應收票據
220.73%662.3萬
110.60%556.2萬
1.28%236.7萬
-10.68%236.7萬
-10.68%236.7萬
--206.5萬
--264.1萬
--233.7萬
--265萬
--265萬
-商譽
-16.52%1,522.8萬
13.44%1,622萬
341.06%2,735萬
20,465.52%1,789.2萬
20,465.52%1,789.2萬
20,866.67%1,824.1萬
16,334.48%1,429.8萬
--620.1萬
0.00%8.7萬
0.00%8.7萬
-其他無形資產
--3萬
--3萬
--3萬
--3萬
--3萬
----
----
----
----
----
監管資產
-14.56%1,295.8萬
15.75%1,648.9萬
4.20%1,729萬
29.96%2,161萬
29.96%2,161萬
8.93%1,516.7萬
-19.66%1,424.5萬
--1,659.3萬
-4.47%1,662.8萬
-4.47%1,662.8萬
負債
流動負債
短期借款與資本租賃負債
168.77%3,311萬
202.67%3,316萬
551.20%3,341.3萬
142.59%1,830.1萬
142.59%1,830.1萬
268.28%1,231.9萬
105.40%1,095.6萬
--513.1萬
-14.60%754.4萬
-14.60%754.4萬
-短期借款
208.14%3,145.8萬
243.12%3,114.8萬
776.15%3,191.8萬
166.82%1,648.4萬
166.82%1,648.4萬
366.16%1,020.9萬
129.36%907.8萬
--364.3萬
-17.63%617.8萬
-17.63%617.8萬
-短期資本租賃負債
-21.71%165.2萬
7.14%201.2萬
0.47%149.5萬
33.02%181.7萬
33.02%181.7萬
82.68%211萬
36.48%187.8萬
--148.8萬
2.40%136.6萬
2.40%136.6萬
-應付帳款
1.14%880.8萬
68.96%1,115萬
-13.55%716.6萬
36.25%820.9萬
36.25%820.9萬
15.92%870.9萬
-17.64%659.9萬
--828.9萬
71.26%602.5萬
71.26%602.5萬
-應付稅費
-31.15%857.2萬
-2.29%1,024.7萬
190.46%1,783.4萬
317.41%1,016.4萬
317.41%1,016.4萬
--1,245萬
8,863.25%1,048.7萬
--614萬
199.88%243.5萬
199.88%243.5萬
-其他應付款
3.14%26.3萬
14.46%27.7萬
67.88%27.7萬
56.97%25.9萬
56.97%25.9萬
54.55%25.5萬
47.56%24.2萬
--16.5萬
21.32%16.5萬
21.32%16.5萬
應計費用
-18.10%547.2萬
14.11%600萬
-9.37%625.6萬
35.61%957.7萬
35.61%957.7萬
1.14%668.1萬
-22.26%525.8萬
--690.3萬
-11.36%706.2萬
-11.36%706.2萬
遞延負債
-3.71%36.3萬
0.83%24.2萬
14.44%32.5萬
-5.38%21.1萬
-5.38%21.1萬
43.89%37.7萬
47.24%24萬
--28.4萬
70.23%22.3萬
70.23%22.3萬
流動負債總額
69.37%4,840.1萬
117.47%5,120萬
132.49%4,905.1萬
76.92%3,833.4萬
76.92%3,833.4萬
57.50%2,857.7萬
10.25%2,354.4萬
--2,109.8萬
3.99%2,166.8萬
3.99%2,166.8萬
非流動負債
-長期借款
-23.42%167.1萬
-0.48%247.1萬
63.30%343.1萬
3.90%252.9萬
3.90%252.9萬
--218.2萬
2,022.22%248.3萬
--210.1萬
199.75%243.4萬
199.75%243.4萬
長期應計費用
-21.70%348.2萬
2.73%459.6萬
35.66%509.4萬
14.14%446.5萬
14.14%446.5萬
243.66%444.7萬
179.28%447.4萬
--375.5萬
69.42%391.2萬
69.42%391.2萬
長期撥備
1,110.22%591.8萬
1,239.84%679.3萬
6,923.85%765.6萬
--49.8萬
--49.8萬
--48.9萬
--50.7萬
--10.9萬
----
----
非流動負債總額
38.87%5,697.3萬
80.56%6,144.7萬
145.56%6,688.5萬
101.21%4,849.8萬
101.21%4,849.8萬
126.12%4,102.7萬
58.48%3,403.1萬
--2,723.8萬
11.34%2,410.3萬
11.34%2,410.3萬
所有者權益
股本
-1.75%2,270.4萬
25.76%2,736.2萬
98.44%2,740.3萬
57.58%2,648.7萬
57.58%2,648.7萬
37.87%2,310.8萬
2,175,600.00%2,175.7萬
--1,380.9萬
1,680,800.00%1,680.9萬
1,680,800.00%1,680.9萬
-普通股股本
-1.75%2,270.4萬
25.76%2,736.2萬
98.44%2,740.3萬
57.58%2,648.7萬
57.58%2,648.7萬
37.87%2,310.8萬
2,175,600.00%2,175.7萬
--1,380.9萬
1,680,800.00%1,680.9萬
1,680,800.00%1,680.9萬
不影響留存收益的損益
63.64%-1.2萬
0.00%-1.2萬
425.00%2.1萬
133.33%3,000
133.33%3,000
-200.00%-3.3萬
---1.2萬
--4,000
---9,000
---9,000
其他股本權益
----
----
----
----
----
--2.5萬
----
----
----
----
總權益
-0.94%7,085.5萬
24.67%7,952.1萬
66.83%9,041.9萬
66.88%7,880.1萬
66.88%7,880.1萬
96.65%7,152.7萬
64.03%6,378.5萬
--5,419.7萬
29.65%4,721.9萬
29.65%4,721.9萬
(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31(FY)2021/12/31(Q4)2021/12/31
資產
流動資產
現金及現金等價物和短期投資 355.10%548.4萬494.89%594.3萬664.52%652.9萬28.00%80萬28.00%80萬86.53%120.5萬498.20%99.9萬--85.4萬41.40%62.5萬41.40%62.5萬
-現金和現金等價物 355.10%548.4萬494.89%594.3萬665.42%652.9萬28.00%80萬28.00%80萬86.82%120.5萬498.20%99.9萬--85.3萬41.40%62.5萬41.40%62.5萬
-應收賬款 -11.31%1,262.6萬13.51%1,582.6萬0.45%1,634.7萬29.99%2,131.1萬29.99%2,131.1萬4.74%1,423.6萬-20.21%1,394.2萬--1,627.3萬-4.76%1,639.4萬-4.76%1,639.4萬
流動資產合計 -7.86%3,793.5萬20.79%4,564.9萬24.82%4,789.1萬28.02%4,754.9萬28.02%4,754.9萬30.34%4,117萬11.84%3,779.3萬--3,836.7萬9.60%3,714.1萬9.60%3,714.1萬
非流動資產
-累計折舊 6.08%-245.6萬-6.58%-275.5萬-6.65%-272.7萬-4.98%-265.4萬-4.98%-265.4萬-4.77%-261.5萬-2.42%-258.5萬---255.7萬-2.60%-252.8萬-2.60%-252.8萬
-長期股權投資 184.13%758.9萬209.83%926.4萬401.67%1,108.7萬24.36%302.7萬24.36%302.7萬--267.1萬2,455.56%299萬--221萬199.75%243.4萬199.75%243.4萬
長期應收票據 220.73%662.3萬110.60%556.2萬1.28%236.7萬-10.68%236.7萬-10.68%236.7萬--206.5萬--264.1萬--233.7萬--265萬--265萬
-商譽 -16.52%1,522.8萬13.44%1,622萬341.06%2,735萬20,465.52%1,789.2萬20,465.52%1,789.2萬20,866.67%1,824.1萬16,334.48%1,429.8萬--620.1萬0.00%8.7萬0.00%8.7萬
-其他無形資產 --3萬--3萬--3萬--3萬--3萬--------------------
監管資產 -14.56%1,295.8萬15.75%1,648.9萬4.20%1,729萬29.96%2,161萬29.96%2,161萬8.93%1,516.7萬-19.66%1,424.5萬--1,659.3萬-4.47%1,662.8萬-4.47%1,662.8萬
負債
流動負債
短期借款與資本租賃負債 168.77%3,311萬202.67%3,316萬551.20%3,341.3萬142.59%1,830.1萬142.59%1,830.1萬268.28%1,231.9萬105.40%1,095.6萬--513.1萬-14.60%754.4萬-14.60%754.4萬
-短期借款 208.14%3,145.8萬243.12%3,114.8萬776.15%3,191.8萬166.82%1,648.4萬166.82%1,648.4萬366.16%1,020.9萬129.36%907.8萬--364.3萬-17.63%617.8萬-17.63%617.8萬
-短期資本租賃負債 -21.71%165.2萬7.14%201.2萬0.47%149.5萬33.02%181.7萬33.02%181.7萬82.68%211萬36.48%187.8萬--148.8萬2.40%136.6萬2.40%136.6萬
-應付帳款 1.14%880.8萬68.96%1,115萬-13.55%716.6萬36.25%820.9萬36.25%820.9萬15.92%870.9萬-17.64%659.9萬--828.9萬71.26%602.5萬71.26%602.5萬
-應付稅費 -31.15%857.2萬-2.29%1,024.7萬190.46%1,783.4萬317.41%1,016.4萬317.41%1,016.4萬--1,245萬8,863.25%1,048.7萬--614萬199.88%243.5萬199.88%243.5萬
-其他應付款 3.14%26.3萬14.46%27.7萬67.88%27.7萬56.97%25.9萬56.97%25.9萬54.55%25.5萬47.56%24.2萬--16.5萬21.32%16.5萬21.32%16.5萬
應計費用 -18.10%547.2萬14.11%600萬-9.37%625.6萬35.61%957.7萬35.61%957.7萬1.14%668.1萬-22.26%525.8萬--690.3萬-11.36%706.2萬-11.36%706.2萬
遞延負債 -3.71%36.3萬0.83%24.2萬14.44%32.5萬-5.38%21.1萬-5.38%21.1萬43.89%37.7萬47.24%24萬--28.4萬70.23%22.3萬70.23%22.3萬
流動負債總額 69.37%4,840.1萬117.47%5,120萬132.49%4,905.1萬76.92%3,833.4萬76.92%3,833.4萬57.50%2,857.7萬10.25%2,354.4萬--2,109.8萬3.99%2,166.8萬3.99%2,166.8萬
非流動負債
-長期借款 -23.42%167.1萬-0.48%247.1萬63.30%343.1萬3.90%252.9萬3.90%252.9萬--218.2萬2,022.22%248.3萬--210.1萬199.75%243.4萬199.75%243.4萬
長期應計費用 -21.70%348.2萬2.73%459.6萬35.66%509.4萬14.14%446.5萬14.14%446.5萬243.66%444.7萬179.28%447.4萬--375.5萬69.42%391.2萬69.42%391.2萬
長期撥備 1,110.22%591.8萬1,239.84%679.3萬6,923.85%765.6萬--49.8萬--49.8萬--48.9萬--50.7萬--10.9萬--------
非流動負債總額 38.87%5,697.3萬80.56%6,144.7萬145.56%6,688.5萬101.21%4,849.8萬101.21%4,849.8萬126.12%4,102.7萬58.48%3,403.1萬--2,723.8萬11.34%2,410.3萬11.34%2,410.3萬
所有者權益
股本 -1.75%2,270.4萬25.76%2,736.2萬98.44%2,740.3萬57.58%2,648.7萬57.58%2,648.7萬37.87%2,310.8萬2,175,600.00%2,175.7萬--1,380.9萬1,680,800.00%1,680.9萬1,680,800.00%1,680.9萬
-普通股股本 -1.75%2,270.4萬25.76%2,736.2萬98.44%2,740.3萬57.58%2,648.7萬57.58%2,648.7萬37.87%2,310.8萬2,175,600.00%2,175.7萬--1,380.9萬1,680,800.00%1,680.9萬1,680,800.00%1,680.9萬
不影響留存收益的損益 63.64%-1.2萬0.00%-1.2萬425.00%2.1萬133.33%3,000133.33%3,000-200.00%-3.3萬---1.2萬--4,000---9,000---9,000
其他股本權益 ----------------------2.5萬----------------
總權益 -0.94%7,085.5萬24.67%7,952.1萬66.83%9,041.9萬66.88%7,880.1萬66.88%7,880.1萬96.65%7,152.7萬64.03%6,378.5萬--5,419.7萬29.65%4,721.9萬29.65%4,721.9萬

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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最新價
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