加拿大市場個股詳情

LGO Largo Inc

添加自選
  • 2.500
  • +0.050+2.04%
延時15分鐘行情已收盤 12/24 12:59 (美東)
1.60億總市值-2.42市盈率TTM

Largo Inc關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
資產
流動資產
現金及現金等價物和短期投資
-23.05%3,045萬
-44.03%3,581.1萬
-25.85%4,565.6萬
-21.58%4,271.4萬
-21.58%4,271.4萬
-36.90%3,957.2萬
21.00%6,398萬
-21.45%6,157.5萬
-34.99%5,447.1萬
-34.99%5,447.1萬
-現金和現金等價物
-23.05%3,045萬
-44.03%3,581.1萬
-25.85%4,565.6萬
-21.58%4,271.4萬
-21.58%4,271.4萬
-36.90%3,957.2萬
21.00%6,398萬
-21.45%6,157.5萬
-34.99%5,447.1萬
-34.99%5,447.1萬
應收款項
-53.42%1,314.2萬
-32.71%1,613.8萬
-55.31%1,510.8萬
22.04%2,559.8萬
22.04%2,559.8萬
9.05%2,821.4萬
-29.95%2,398.4萬
33.51%3,380.8萬
-11.44%2,097.5萬
-11.44%2,097.5萬
-應收賬款
-56.03%975.8萬
-43.42%1,149.8萬
-65.10%1,057.4萬
4.35%1,908萬
4.35%1,908萬
6.03%2,219.3萬
-36.38%2,032萬
26.49%3,029.9萬
-17.43%1,828.5萬
-17.43%1,828.5萬
-應收稅費
-44.00%335.6萬
26.62%460.4萬
33.01%450.5萬
143.80%649萬
143.80%649萬
21.98%599.3萬
62.76%363.6萬
153.33%338.7萬
76.06%266.2萬
76.06%266.2萬
-其他應收款
0.00%2.8萬
28.57%3.6萬
-76.23%2.9萬
0.00%2.8萬
0.00%2.8萬
0.00%2.8萬
-55.56%2.8萬
269.70%12.2萬
0.00%2.8萬
0.00%2.8萬
存貨
-3.77%6,028.3萬
-24.96%4,740.1萬
-15.03%4,830.7萬
-4.14%6,156.5萬
-4.14%6,156.5萬
-11.37%6,264.7萬
-8.25%6,316.4萬
-9.26%5,685.3萬
41.70%6,422.1萬
41.70%6,422.1萬
預付費用
-22.13%466.1萬
-26.26%624.3萬
-41.92%567.2萬
-53.35%653.4萬
-53.35%653.4萬
-52.24%598.6萬
-24.42%846.6萬
56.29%976.5萬
108.00%1,400.7萬
108.00%1,400.7萬
受限制現金
-27.93%52.9萬
-3.00%71.2萬
-2.32%71.7萬
51.49%71.2萬
51.49%71.2萬
63.84%73.4萬
-96.86%73.4萬
63.84%73.4萬
4.91%47萬
4.91%47萬
持有待售資產
--761.3萬
--675.8萬
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----
----
----
----
----
----
流動資產合計
-14.93%1.17億
-29.48%1.13億
-29.05%1.15億
-11.04%1.37億
-11.04%1.37億
-20.38%1.37億
-15.87%1.6億
-5.97%1.63億
-3.65%1.54億
-3.65%1.54億
非流動資產
固定資產淨額
-5.92%1.89億
-6.31%1.87億
11.59%2.08億
21.08%2.12億
21.08%2.12億
26.71%2.01億
25.68%2億
10.89%1.87億
19.49%1.75億
19.49%1.75億
-固定資產
-0.35%3.75億
-3.17%3.61億
14.81%3.96億
22.94%3.97億
22.94%3.97億
27.18%3.76億
25.32%3.73億
9.58%3.45億
20.92%3.23億
20.92%3.23億
-累計折舊
-6.06%-1.85億
-0.44%-1.74億
-18.60%-1.87億
-25.15%-1.85億
-25.15%-1.85億
-27.73%-1.75億
-24.91%-1.74億
-8.06%-1.58億
-22.66%-1.48億
-22.66%-1.48億
商譽及其他無形資產
-61.83%246.6萬
-60.35%267.6萬
-16.67%583.4萬
-15.28%615.3萬
-15.28%615.3萬
-12.32%646.1萬
20.67%674.9萬
46.07%700.1萬
84.86%726.3萬
84.86%726.3萬
-其他無形資產
-61.83%246.6萬
-60.35%267.6萬
-16.67%583.4萬
-15.28%615.3萬
-15.28%615.3萬
-12.32%646.1萬
20.67%674.9萬
46.07%700.1萬
84.86%726.3萬
84.86%726.3萬
非流動遞延資產
320.70%1,790.9萬
634.98%1,573.6萬
316.57%1,264.3萬
63.08%749.5萬
63.08%749.5萬
-0.12%425.7萬
-41.68%214.1萬
14.70%303.5萬
37.48%459.6萬
37.48%459.6萬
其他非流動資產
-24.98%1,747.7萬
-24.35%1,845.9萬
-18.67%1,878.8萬
28.70%1,867.4萬
28.70%1,867.4萬
366.33%2,329.8萬
--2,440萬
--2,310萬
--1,451萬
--1,451萬
非流動資產合計
-3.43%2.27億
-3.87%2.24億
11.72%2.45億
21.28%2.44億
21.28%2.44億
34.10%2.35億
38.55%2.33億
25.06%2.2億
30.97%2.02億
30.97%2.02億
總資產
-7.67%3.44億
-14.31%3.37億
-5.63%3.61億
7.27%3.82億
7.27%3.82億
7.10%3.72億
9.64%3.93億
9.66%3.82億
13.33%3.56億
13.33%3.56億
負債
流動負債
短期借款與資本租賃負債
204.87%2,620.4萬
-27.50%1,347.7萬
-54.58%435.4萬
-86.90%60萬
-86.90%60萬
-44.82%859.5萬
19.38%1,859萬
-38.42%958.6萬
-70.56%458.1萬
-70.56%458.1萬
-短期借款
--2,620.4萬
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----
----
----
20.00%1,800萬
-40.00%900萬
----
----
-銀行債務
----
--1,347.7萬
--375萬
--0
--0
--800萬
----
----
--400萬
--400萬
-短期資本租賃負債
--0
--0
3.07%60.4萬
3.27%60萬
3.27%60萬
3.30%59.5萬
3.15%59萬
3.35%58.6萬
3.20%58.1萬
3.20%58.1萬
現行撥備
-3.54%695.6萬
-3.18%669.4萬
9.29%714萬
13.25%686.3萬
13.25%686.3萬
19.82%721.1萬
65.68%691.4萬
605.51%653.3萬
563.75%606萬
563.75%606萬
遞延負債
13.93%394.1萬
13.26%355.4萬
24.14%281.3萬
109.25%355.3萬
109.25%355.3萬
1.44%345.9萬
24.33%313.8萬
-67.94%226.6萬
-68.95%169.8萬
-68.95%169.8萬
其他流動負債
--110.6萬
--124.9萬
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流動負債總額
51.71%6,996.5萬
-6.99%5,318.6萬
2.98%4,468.5萬
8.93%4,245.5萬
8.93%4,245.5萬
-20.70%4,611.8萬
-7.21%5,718.1萬
-10.29%4,339萬
-6.47%3,897.3萬
-6.47%3,897.3萬
非流動負債
長期借款與租賃負債
16.25%6,750萬
47.81%7,125萬
25.63%7,203.3萬
102.61%7,592.5萬
102.61%7,592.5萬
3,517.82%5,806.6萬
2,678.39%4,820.5萬
2,979.43%5,733.9萬
1,785.91%3,747.3萬
1,785.91%3,747.3萬
-長期借款
18.42%6,750萬
51.60%7,125萬
27.23%7,125萬
108.33%7,500萬
108.33%7,500萬
--5,700萬
--4,700萬
--5,600萬
--3,600萬
--3,600萬
-長期租賃負債
--0
--0
-41.52%78.3萬
-37.20%92.5萬
-37.20%92.5萬
-33.58%106.6萬
-30.55%120.5萬
-28.09%133.9萬
-25.87%147.3萬
-25.87%147.3萬
長期撥備
14.10%574.4萬
1.64%550.3萬
37.87%626.5萬
51.85%671.8萬
51.85%671.8萬
18.47%503.4萬
13.45%541.4萬
-16.27%454.4萬
-2.92%442.4萬
-2.92%442.4萬
遞延負債
----
----
----
----
----
----
--71.3萬
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其他非流動負債
276.83%61.8萬
152.00%63萬
91.93%54.7萬
122.09%72.4萬
122.09%72.4萬
-50.75%16.4萬
29.53%25萬
--28.5萬
--32.6萬
--32.6萬
非流動負債總額
16.75%7,386.2萬
41.77%7,738.3萬
26.83%7,884.5萬
97.44%8,336.7萬
97.44%8,336.7萬
922.53%6,326.4萬
714.66%5,458.2萬
599.85%6,216.8萬
545.22%4,222.3萬
545.22%4,222.3萬
負債總額
31.49%1.44億
16.83%1.31億
17.03%1.24億
54.96%1.26億
54.96%1.26億
70.00%1.09億
63.57%1.12億
84.38%1.06億
68.41%8,119.6萬
68.41%8,119.6萬
所有者權益
股本
0.17%4.13億
0.16%4.13億
0.08%4.12億
0.16%4.12億
0.16%4.12億
0.16%4.12億
-1.17%4.12億
-1.26%4.12億
-1.04%4.12億
-1.04%4.12億
-普通股股本
0.17%4.13億
0.16%4.13億
0.08%4.12億
0.16%4.12億
0.16%4.12億
0.16%4.12億
-1.17%4.12億
-1.26%4.12億
-1.04%4.12億
-1.04%4.12億
留存收益
-72.88%-1.14億
-90.19%-1.04億
-83.31%-8,979.8萬
-60.99%-7,764.3萬
-60.99%-7,764.3萬
-76.79%-6,570.2萬
-65.49%-5,467.1萬
4.28%-4,898.6萬
2.23%-4,822.7萬
2.23%-4,822.7萬
不影響留存收益的損益
-12.98%-1.18億
-24.09%-1.2億
3.17%-1.04億
12.45%-9,820萬
12.45%-9,820萬
11.86%-1.04億
12.93%-9,706.1萬
-16.41%-1.07億
5.56%-1.12億
5.56%-1.12億
其他股本權益
-2.15%1,172萬
-8.12%1,100.2萬
-2.73%1,167.8萬
-13.71%1,220萬
-13.71%1,220萬
-32.69%1,197.7萬
-32.54%1,197.4萬
-31.38%1,200.6萬
-20.64%1,413.8萬
-20.64%1,413.8萬
股東權益總額
-23.97%1.93億
-26.78%2億
-13.97%2.3億
-6.31%2.49億
-6.31%2.49億
-7.18%2.54億
-6.16%2.73億
-8.12%2.68億
-0.11%2.65億
-0.11%2.65億
非控制性權益
-23.76%648.3萬
-23.19%690.5萬
-22.68%710.8萬
-21.99%714.7萬
-21.99%714.7萬
-7.57%850.3萬
30,066.67%899萬
6,111.49%919.3萬
--916.2萬
--916.2萬
總權益
-23.96%2億
-26.67%2.06億
-14.26%2.37億
-6.83%2.56億
-6.83%2.56億
-7.19%2.63億
-3.05%2.82億
-5.02%2.77億
3.33%2.75億
3.33%2.75億
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
--
(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31
資產
流動資產
現金及現金等價物和短期投資 -23.05%3,045萬-44.03%3,581.1萬-25.85%4,565.6萬-21.58%4,271.4萬-21.58%4,271.4萬-36.90%3,957.2萬21.00%6,398萬-21.45%6,157.5萬-34.99%5,447.1萬-34.99%5,447.1萬
-現金和現金等價物 -23.05%3,045萬-44.03%3,581.1萬-25.85%4,565.6萬-21.58%4,271.4萬-21.58%4,271.4萬-36.90%3,957.2萬21.00%6,398萬-21.45%6,157.5萬-34.99%5,447.1萬-34.99%5,447.1萬
應收款項 -53.42%1,314.2萬-32.71%1,613.8萬-55.31%1,510.8萬22.04%2,559.8萬22.04%2,559.8萬9.05%2,821.4萬-29.95%2,398.4萬33.51%3,380.8萬-11.44%2,097.5萬-11.44%2,097.5萬
-應收賬款 -56.03%975.8萬-43.42%1,149.8萬-65.10%1,057.4萬4.35%1,908萬4.35%1,908萬6.03%2,219.3萬-36.38%2,032萬26.49%3,029.9萬-17.43%1,828.5萬-17.43%1,828.5萬
-應收稅費 -44.00%335.6萬26.62%460.4萬33.01%450.5萬143.80%649萬143.80%649萬21.98%599.3萬62.76%363.6萬153.33%338.7萬76.06%266.2萬76.06%266.2萬
-其他應收款 0.00%2.8萬28.57%3.6萬-76.23%2.9萬0.00%2.8萬0.00%2.8萬0.00%2.8萬-55.56%2.8萬269.70%12.2萬0.00%2.8萬0.00%2.8萬
存貨 -3.77%6,028.3萬-24.96%4,740.1萬-15.03%4,830.7萬-4.14%6,156.5萬-4.14%6,156.5萬-11.37%6,264.7萬-8.25%6,316.4萬-9.26%5,685.3萬41.70%6,422.1萬41.70%6,422.1萬
預付費用 -22.13%466.1萬-26.26%624.3萬-41.92%567.2萬-53.35%653.4萬-53.35%653.4萬-52.24%598.6萬-24.42%846.6萬56.29%976.5萬108.00%1,400.7萬108.00%1,400.7萬
受限制現金 -27.93%52.9萬-3.00%71.2萬-2.32%71.7萬51.49%71.2萬51.49%71.2萬63.84%73.4萬-96.86%73.4萬63.84%73.4萬4.91%47萬4.91%47萬
持有待售資產 --761.3萬--675.8萬--------------------------------
流動資產合計 -14.93%1.17億-29.48%1.13億-29.05%1.15億-11.04%1.37億-11.04%1.37億-20.38%1.37億-15.87%1.6億-5.97%1.63億-3.65%1.54億-3.65%1.54億
非流動資產
固定資產淨額 -5.92%1.89億-6.31%1.87億11.59%2.08億21.08%2.12億21.08%2.12億26.71%2.01億25.68%2億10.89%1.87億19.49%1.75億19.49%1.75億
-固定資產 -0.35%3.75億-3.17%3.61億14.81%3.96億22.94%3.97億22.94%3.97億27.18%3.76億25.32%3.73億9.58%3.45億20.92%3.23億20.92%3.23億
-累計折舊 -6.06%-1.85億-0.44%-1.74億-18.60%-1.87億-25.15%-1.85億-25.15%-1.85億-27.73%-1.75億-24.91%-1.74億-8.06%-1.58億-22.66%-1.48億-22.66%-1.48億
商譽及其他無形資產 -61.83%246.6萬-60.35%267.6萬-16.67%583.4萬-15.28%615.3萬-15.28%615.3萬-12.32%646.1萬20.67%674.9萬46.07%700.1萬84.86%726.3萬84.86%726.3萬
-其他無形資產 -61.83%246.6萬-60.35%267.6萬-16.67%583.4萬-15.28%615.3萬-15.28%615.3萬-12.32%646.1萬20.67%674.9萬46.07%700.1萬84.86%726.3萬84.86%726.3萬
非流動遞延資產 320.70%1,790.9萬634.98%1,573.6萬316.57%1,264.3萬63.08%749.5萬63.08%749.5萬-0.12%425.7萬-41.68%214.1萬14.70%303.5萬37.48%459.6萬37.48%459.6萬
其他非流動資產 -24.98%1,747.7萬-24.35%1,845.9萬-18.67%1,878.8萬28.70%1,867.4萬28.70%1,867.4萬366.33%2,329.8萬--2,440萬--2,310萬--1,451萬--1,451萬
非流動資產合計 -3.43%2.27億-3.87%2.24億11.72%2.45億21.28%2.44億21.28%2.44億34.10%2.35億38.55%2.33億25.06%2.2億30.97%2.02億30.97%2.02億
總資產 -7.67%3.44億-14.31%3.37億-5.63%3.61億7.27%3.82億7.27%3.82億7.10%3.72億9.64%3.93億9.66%3.82億13.33%3.56億13.33%3.56億
負債
流動負債
短期借款與資本租賃負債 204.87%2,620.4萬-27.50%1,347.7萬-54.58%435.4萬-86.90%60萬-86.90%60萬-44.82%859.5萬19.38%1,859萬-38.42%958.6萬-70.56%458.1萬-70.56%458.1萬
-短期借款 --2,620.4萬--------------------20.00%1,800萬-40.00%900萬--------
-銀行債務 ------1,347.7萬--375萬--0--0--800萬----------400萬--400萬
-短期資本租賃負債 --0--03.07%60.4萬3.27%60萬3.27%60萬3.30%59.5萬3.15%59萬3.35%58.6萬3.20%58.1萬3.20%58.1萬
現行撥備 -3.54%695.6萬-3.18%669.4萬9.29%714萬13.25%686.3萬13.25%686.3萬19.82%721.1萬65.68%691.4萬605.51%653.3萬563.75%606萬563.75%606萬
遞延負債 13.93%394.1萬13.26%355.4萬24.14%281.3萬109.25%355.3萬109.25%355.3萬1.44%345.9萬24.33%313.8萬-67.94%226.6萬-68.95%169.8萬-68.95%169.8萬
其他流動負債 --110.6萬--124.9萬--------------------------------
流動負債總額 51.71%6,996.5萬-6.99%5,318.6萬2.98%4,468.5萬8.93%4,245.5萬8.93%4,245.5萬-20.70%4,611.8萬-7.21%5,718.1萬-10.29%4,339萬-6.47%3,897.3萬-6.47%3,897.3萬
非流動負債
長期借款與租賃負債 16.25%6,750萬47.81%7,125萬25.63%7,203.3萬102.61%7,592.5萬102.61%7,592.5萬3,517.82%5,806.6萬2,678.39%4,820.5萬2,979.43%5,733.9萬1,785.91%3,747.3萬1,785.91%3,747.3萬
-長期借款 18.42%6,750萬51.60%7,125萬27.23%7,125萬108.33%7,500萬108.33%7,500萬--5,700萬--4,700萬--5,600萬--3,600萬--3,600萬
-長期租賃負債 --0--0-41.52%78.3萬-37.20%92.5萬-37.20%92.5萬-33.58%106.6萬-30.55%120.5萬-28.09%133.9萬-25.87%147.3萬-25.87%147.3萬
長期撥備 14.10%574.4萬1.64%550.3萬37.87%626.5萬51.85%671.8萬51.85%671.8萬18.47%503.4萬13.45%541.4萬-16.27%454.4萬-2.92%442.4萬-2.92%442.4萬
遞延負債 --------------------------71.3萬------------
其他非流動負債 276.83%61.8萬152.00%63萬91.93%54.7萬122.09%72.4萬122.09%72.4萬-50.75%16.4萬29.53%25萬--28.5萬--32.6萬--32.6萬
非流動負債總額 16.75%7,386.2萬41.77%7,738.3萬26.83%7,884.5萬97.44%8,336.7萬97.44%8,336.7萬922.53%6,326.4萬714.66%5,458.2萬599.85%6,216.8萬545.22%4,222.3萬545.22%4,222.3萬
負債總額 31.49%1.44億16.83%1.31億17.03%1.24億54.96%1.26億54.96%1.26億70.00%1.09億63.57%1.12億84.38%1.06億68.41%8,119.6萬68.41%8,119.6萬
所有者權益
股本 0.17%4.13億0.16%4.13億0.08%4.12億0.16%4.12億0.16%4.12億0.16%4.12億-1.17%4.12億-1.26%4.12億-1.04%4.12億-1.04%4.12億
-普通股股本 0.17%4.13億0.16%4.13億0.08%4.12億0.16%4.12億0.16%4.12億0.16%4.12億-1.17%4.12億-1.26%4.12億-1.04%4.12億-1.04%4.12億
留存收益 -72.88%-1.14億-90.19%-1.04億-83.31%-8,979.8萬-60.99%-7,764.3萬-60.99%-7,764.3萬-76.79%-6,570.2萬-65.49%-5,467.1萬4.28%-4,898.6萬2.23%-4,822.7萬2.23%-4,822.7萬
不影響留存收益的損益 -12.98%-1.18億-24.09%-1.2億3.17%-1.04億12.45%-9,820萬12.45%-9,820萬11.86%-1.04億12.93%-9,706.1萬-16.41%-1.07億5.56%-1.12億5.56%-1.12億
其他股本權益 -2.15%1,172萬-8.12%1,100.2萬-2.73%1,167.8萬-13.71%1,220萬-13.71%1,220萬-32.69%1,197.7萬-32.54%1,197.4萬-31.38%1,200.6萬-20.64%1,413.8萬-20.64%1,413.8萬
股東權益總額 -23.97%1.93億-26.78%2億-13.97%2.3億-6.31%2.49億-6.31%2.49億-7.18%2.54億-6.16%2.73億-8.12%2.68億-0.11%2.65億-0.11%2.65億
非控制性權益 -23.76%648.3萬-23.19%690.5萬-22.68%710.8萬-21.99%714.7萬-21.99%714.7萬-7.57%850.3萬30,066.67%899萬6,111.49%919.3萬--916.2萬--916.2萬
總權益 -23.96%2億-26.67%2.06億-14.26%2.37億-6.83%2.56億-6.83%2.56億-7.19%2.63億-3.05%2.82億-5.02%2.77億3.33%2.75億3.33%2.75億
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 ----------------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
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。