加拿大市場個股詳情

PKK Tenet Fintech Group Inc

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延時15分鐘行情已收盤 11/26 15:59 (美東)
2051.59萬總市值-140市盈率TTM

Tenet Fintech Group Inc關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(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
(Q3)2022/09/30
資產
流動資產
現金及現金等價物和短期投資
-61.15%42.29萬
-94.43%16.24萬
-63.03%119.16萬
-63.03%119.16萬
19.39%1,075.38萬
-92.94%108.85萬
-84.85%291.64萬
-83.29%322.34萬
-83.29%322.34萬
-75.58%900.75萬
-現金和現金等價物
-61.15%42.29萬
-94.43%16.24萬
-63.03%119.16萬
-63.03%119.16萬
-84.64%130.4萬
-92.77%108.85萬
-84.62%291.64萬
-82.85%322.34萬
-82.85%322.34萬
-76.68%848.82萬
-短期投資
----
----
----
----
1,720.04%944.98萬
----
----
----
----
5.42%51.92萬
應收款項
-16.43%2,822.36萬
-22.63%2,882.84萬
-25.00%2,830.68萬
-25.00%2,830.68萬
19.03%3,120.18萬
20.17%3,377.42萬
23.93%3,726.06萬
36.41%3,774.37萬
36.41%3,774.37萬
-7.64%2,621.36萬
-應收賬款
-44.62%881.36萬
-49.48%933.56萬
-47.19%914.35萬
-47.19%914.35萬
42.38%1,278.89萬
96.47%1,591.37萬
68.56%1,847.99萬
79.75%1,731.51萬
79.75%1,731.51萬
-21.63%898.24萬
-應收貸款
9.06%1,684.77萬
2.87%1,693.33萬
2.18%1,650.74萬
2.18%1,650.74萬
0.65%1,598.4萬
-18.79%1,544.85萬
-9.42%1,646.1萬
-7.97%1,615.49萬
-7.97%1,615.49萬
-2.39%1,588.06萬
-應收票據
-12.02%22.26萬
-12.22%21.93萬
-12.66%21.61萬
-12.66%21.61萬
-5.06%23.31萬
3.48%25.3萬
120.12%24.99萬
118.59%24.74萬
118.59%24.74萬
--24.55萬
-應收稅費
-0.23%101.43萬
1.02%102.09萬
12.24%113.81萬
12.24%113.81萬
295.11%96.47萬
549.59%101.67萬
193.82%101.06萬
273.43%101.39萬
273.43%101.39萬
-14.80%24.42萬
-應收關聯方款項
14.10%130.34萬
23.06%130.34萬
28.87%129.18萬
28.87%129.18萬
--123.12萬
96.58%114.24萬
304.75%105.92萬
920.32%100.24萬
920.32%100.24萬
----
-其他應收款
--2.2萬
--1.58萬
-99.50%1萬
-99.50%1萬
----
----
----
--201萬
--201萬
136.57%86.09萬
預付費用
-56.47%1,287.04萬
-56.35%1,402.48萬
-60.34%1,399.07萬
-60.34%1,399.07萬
-63.44%1,533.53萬
-22.87%2,956.6萬
-25.35%3,213.13萬
-25.05%3,527.26萬
-25.05%3,527.26萬
73.23%4,194.65萬
受限制現金
-80.87%3.68萬
-84.78%3.1萬
-89.04%2.33萬
-89.04%2.33萬
-42.86%1.33萬
477.51%19.25萬
370.00%20.37萬
299.32%21.3萬
299.32%21.3萬
-63.16%2.33萬
持有待售資產
-12.28%21.42萬
-29.31%21.34萬
-31.24%21.18萬
-31.24%21.18萬
-38.94%21.06萬
-4.68%24.42萬
20.15%30.19萬
-4.01%30.81萬
-4.01%30.81萬
29.56%34.49萬
其他流動資產
--773.32萬
--773.32萬
--773.32萬
--773.32萬
----
----
----
----
----
----
流動資產合計
-23.69%4,950.1萬
-29.97%5,099.32萬
-32.96%5,145.74萬
-32.96%5,145.74萬
-25.82%5,751.48萬
-21.04%6,486.54萬
-21.41%7,281.38萬
-18.69%7,676.07萬
-18.69%7,676.07萬
-13.67%7,753.57萬
非流動資產
固定資產淨額
-20.79%296.63萬
-21.38%309.19萬
2.89%350.93萬
2.89%350.93萬
76.02%367.01萬
72.29%374.5萬
104.49%393.28萬
65.41%341.08萬
65.41%341.08萬
109.11%208.51萬
-固定資產
-3.04%624.53萬
-0.70%624.54萬
20.56%668.91萬
20.56%668.91萬
66.14%668.78萬
64.62%644.11萬
80.98%628.97萬
60.31%554.82萬
60.31%554.82萬
77.72%402.53萬
-累計折舊
-21.62%-327.9萬
-33.80%-315.35萬
-48.77%-317.97萬
-48.77%-317.97萬
-55.53%-301.77萬
-55.02%-269.62萬
-51.84%-235.69萬
-52.80%-213.74萬
-52.80%-213.74萬
-53.03%-194.02萬
投資和預付款
-14.53%119.63萬
-21.93%119.19萬
12.85%118.3萬
12.85%118.3萬
12.78%119.72萬
140.90%139.98萬
209.81%152.66萬
--104.83萬
--104.83萬
--106.15萬
-長期股權投資
-14.53%119.63萬
-21.93%119.19萬
12.85%118.3萬
12.85%118.3萬
12.78%119.72萬
--139.98萬
--152.66萬
--104.83萬
--104.83萬
--106.15萬
長期應收款
--7.53萬
--8.39萬
----
----
----
----
----
----
----
----
長期應收票據
-55.80%17.58萬
-72.28%19.86萬
-78.80%22.05萬
-78.80%22.05萬
-79.12%26.23萬
-76.34%39.77萬
-70.77%71.63萬
-68.20%104萬
-68.20%104萬
-68.75%125.6萬
長期預付費用
6,689.22%535.34萬
13,972.08%1,092.75萬
14,106.16%1,086.4萬
14,106.16%1,086.4萬
--1,394.8萬
--7.89萬
--7.77萬
--7.65萬
--7.65萬
----
商譽及其他無形資產
-80.03%1,148.73萬
-77.51%1,328.56萬
-74.94%1,468.85萬
-74.94%1,468.85萬
-77.99%2,051.51萬
-40.53%5,752.54萬
-38.01%5,907.33萬
-38.53%5,862.11萬
-38.53%5,862.11萬
165.61%9,320.18萬
-商譽
----
----
--0
--0
-94.84%316.09萬
-57.44%2,660.98萬
-57.44%2,660.98萬
-57.44%2,660.98萬
-57.44%2,660.98萬
--6,126.6萬
-其他無形資產
-62.84%1,148.73萬
-59.08%1,328.56萬
-54.11%1,468.85萬
-54.11%1,468.85萬
-45.66%1,735.42萬
-9.63%3,091.56萬
-0.94%3,246.35萬
-2.54%3,201.13萬
-2.54%3,201.13萬
-8.99%3,193.58萬
非流動遞延資產
----
----
--0
--0
522.94%85.4萬
911.12%84.2萬
14.24%32.63萬
62.49%31.01萬
62.49%31.01萬
-83.26%13.71萬
非流動資產合計
-66.78%2,125.44萬
-56.16%2,877.95萬
-52.77%3,046.54萬
-52.77%3,046.54萬
-58.62%4,044.67萬
-36.80%6,398.86萬
-34.64%6,565.28萬
-36.06%6,450.68萬
-36.06%6,450.68萬
138.83%9,774.15萬
總資產
-45.09%7,075.55萬
-42.39%7,977.27萬
-42.01%8,192.27萬
-42.01%8,192.27萬
-44.11%9,796.16萬
-29.74%1.29億
-28.29%1.38億
-27.66%1.41億
-27.66%1.41億
34.06%1.75億
負債
流動負債
短期借款與資本租賃負債
201.61%307.56萬
139.13%238.21萬
257.41%345.75萬
257.41%345.75萬
24.52%105.06萬
25.05%101.97萬
129.00%99.61萬
123.61%96.74萬
123.61%96.74萬
402.12%84.37萬
-短期借款
451.26%275.63萬
324.72%207.9萬
564.88%314.85萬
564.88%314.85萬
39.78%50萬
46.07%50萬
--48.95萬
--47.35萬
--47.35萬
--35.77萬
-短期資本租賃負債
-38.57%31.93萬
-40.17%30.31萬
-37.43%30.9萬
-37.43%30.9萬
13.29%55.06萬
9.85%51.97萬
16.47%50.67萬
14.15%49.39萬
14.15%49.39萬
189.24%48.6萬
應付款項
27.69%1,693.6萬
18.78%1,568.05萬
25.76%1,305.3萬
25.76%1,305.3萬
76.52%1,357.97萬
83.06%1,326.34萬
11.82%1,320.12萬
17.29%1,037.95萬
17.29%1,037.95萬
-43.79%769.3萬
-應付帳款
56.59%1,426.28萬
39.35%1,275.93萬
61.33%1,011.15萬
61.33%1,011.15萬
99.41%934.68萬
171.32%910.85萬
104.92%915.65萬
19.97%626.75萬
19.97%626.75萬
-53.23%468.71萬
-應付稅費
-48.11%215.6萬
-46.38%216.89萬
-46.89%218.41萬
-46.89%218.41萬
40.82%423.29萬
6.86%415.49萬
-44.88%404.47萬
13.41%411.2萬
13.41%411.2萬
-17.99%300.59萬
-其他應付款
--51.71萬
--75.24萬
--75.75萬
--75.75萬
----
----
----
----
----
----
應計費用
--63.2萬
--35.65萬
--39.46萬
--39.46萬
----
----
----
--0
--0
----
現行撥備
--164.24萬
--165.05萬
--163.2萬
--163.2萬
----
----
----
----
----
----
遞延負債
-4.57%336.31萬
-11.66%338.6萬
-36.11%297.67萬
-36.11%297.67萬
-73.75%240.72萬
-58.30%352.41萬
-64.31%383.3萬
-57.82%465.89萬
-57.82%465.89萬
110.76%916.94萬
其他流動負債
--5,070
--2.79萬
--4.62萬
--4.62萬
----
----
----
----
----
----
流動負債總額
44.07%2,565.41萬
30.24%2,348.34萬
34.70%2,156.01萬
34.70%2,156.01萬
-3.78%1,703.75萬
7.84%1,780.72萬
-21.54%1,803.04萬
-21.26%1,600.59萬
-21.26%1,600.59萬
-2.74%1,770.61萬
非流動負債
長期借款與租賃負債
113.08%906.81萬
11.34%809.24萬
117.68%1,030.12萬
117.68%1,030.12萬
692.82%1,163.97萬
169.11%425.57萬
327.34%726.85萬
173.76%473.22萬
173.76%473.22萬
59.35%146.81萬
-長期借款
483.89%668.88萬
18.29%558.95萬
270.75%782.24萬
270.75%782.24萬
8,345.45%844.55萬
1,045.56%114.56萬
1,005.61%472.54萬
410.58%210.99萬
410.58%210.99萬
-70.50%10萬
-長期租賃負債
-23.50%237.93萬
-1.58%250.29萬
-5.47%247.88萬
-5.47%247.88萬
133.47%319.42萬
109.94%311.02萬
99.71%254.32萬
99.36%262.23萬
99.36%262.23萬
134.96%136.81萬
長期應付帳款及其他應付款項
-81.76%37.17萬
-82.84%33.59萬
-72.67%51.44萬
-72.67%51.44萬
3,384.30%211.97萬
-22.31%203.73萬
-15.57%195.8萬
-2.02%188.22萬
-2.02%188.22萬
-99.39%6.08萬
衍生品負債
--0
--0
--3.38萬
--3.38萬
--19.07萬
--14.07萬
----
----
----
----
遞延負債
51.04%163.11萬
32.95%163.11萬
56.94%163.11萬
56.94%163.11萬
-78.77%121.59萬
-81.14%107.99萬
-44.18%122.69萬
-81.85%103.93萬
-81.85%103.93萬
--572.66萬
非流動負債總額
47.34%1,107.09萬
-3.77%1,005.95萬
63.07%1,248.06萬
63.07%1,248.06萬
109.03%1,516.6萬
-24.34%751.37萬
68.12%1,045.34萬
-18.37%765.37萬
-18.37%765.37萬
-33.79%725.55萬
負債總額
45.04%3,672.5萬
17.76%3,354.29萬
43.88%3,404.07萬
43.88%3,404.07萬
29.01%3,220.35萬
-4.24%2,532.09萬
-2.45%2,848.38萬
-20.35%2,365.96萬
-20.35%2,365.96萬
-14.40%2,496.17萬
所有者權益
股本
3.24%2.23億
5.25%2.22億
3.17%2.18億
3.17%2.18億
2.78%2.17億
2.30%2.16億
0.25%2.11億
1.45%2.11億
1.45%2.11億
136.65%2.11億
-普通股股本
3.24%2.23億
5.25%2.22億
3.17%2.18億
3.17%2.18億
2.78%2.17億
2.30%2.16億
0.25%2.11億
1.45%2.11億
1.45%2.11億
136.65%2.11億
資本公積
12.72%2,780.18萬
13.33%2,720.82萬
13.17%2,643.26萬
13.17%2,643.26萬
18.76%2,667.68萬
12.14%2,466.46萬
11.93%2,400.74萬
8.48%2,335.7萬
8.48%2,335.7萬
0.99%2,246.3萬
留存收益
-54.56%-2.28億
-52.30%-2.16億
-58.06%-2.1億
-58.06%-2.1億
-94.91%-1.9億
-64.35%-1.48億
-69.74%-1.42億
-66.37%-1.33億
-66.37%-1.33億
-229.10%-9,764.1萬
不影響留存收益的損益
54.00%-183.38萬
-363.41%-202.38萬
-357.00%-160.68萬
-357.00%-160.68萬
-266.52%-307.09萬
-426.82%-398.68萬
18.86%76.83萬
-54.26%62.52萬
-54.26%62.52萬
-222.74%-83.79萬
其他股本權益
91.57%111.54萬
113.73%99.71萬
727.83%183.34萬
727.83%183.34萬
--127.17萬
--58.22萬
--46.65萬
47.64%22.15萬
47.64%22.15萬
----
股東權益總額
-75.90%2,151.81萬
-65.29%3,295.91萬
-66.56%3,422.56萬
-66.56%3,422.56萬
-61.78%5,167.31萬
-37.23%8,927.7萬
-36.46%9,494.93萬
-32.34%1.02億
-32.34%1.02億
52.76%1.35億
非控制性權益
-12.23%1,251.24萬
-11.73%1,327.07萬
-10.52%1,365.64萬
-10.52%1,365.64萬
-6.72%1,408.49萬
-3.19%1,425.61萬
3.91%1,503.36萬
6.58%1,526.2萬
6.58%1,526.2萬
15.58%1,509.93萬
總權益
-67.13%3,403.04萬
-57.97%4,622.98萬
-59.29%4,788.2萬
-59.29%4,788.2萬
-56.25%6,575.81萬
-34.04%1.04億
-32.89%1.1億
-28.98%1.18億
-28.98%1.18億
47.98%1.5億
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
--
--
--
--
--
--
--
帶解釋段的無保留意見
--
--
(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(Q3)2022/09/30
資產
流動資產
現金及現金等價物和短期投資 -61.15%42.29萬-94.43%16.24萬-63.03%119.16萬-63.03%119.16萬19.39%1,075.38萬-92.94%108.85萬-84.85%291.64萬-83.29%322.34萬-83.29%322.34萬-75.58%900.75萬
-現金和現金等價物 -61.15%42.29萬-94.43%16.24萬-63.03%119.16萬-63.03%119.16萬-84.64%130.4萬-92.77%108.85萬-84.62%291.64萬-82.85%322.34萬-82.85%322.34萬-76.68%848.82萬
-短期投資 ----------------1,720.04%944.98萬----------------5.42%51.92萬
應收款項 -16.43%2,822.36萬-22.63%2,882.84萬-25.00%2,830.68萬-25.00%2,830.68萬19.03%3,120.18萬20.17%3,377.42萬23.93%3,726.06萬36.41%3,774.37萬36.41%3,774.37萬-7.64%2,621.36萬
-應收賬款 -44.62%881.36萬-49.48%933.56萬-47.19%914.35萬-47.19%914.35萬42.38%1,278.89萬96.47%1,591.37萬68.56%1,847.99萬79.75%1,731.51萬79.75%1,731.51萬-21.63%898.24萬
-應收貸款 9.06%1,684.77萬2.87%1,693.33萬2.18%1,650.74萬2.18%1,650.74萬0.65%1,598.4萬-18.79%1,544.85萬-9.42%1,646.1萬-7.97%1,615.49萬-7.97%1,615.49萬-2.39%1,588.06萬
-應收票據 -12.02%22.26萬-12.22%21.93萬-12.66%21.61萬-12.66%21.61萬-5.06%23.31萬3.48%25.3萬120.12%24.99萬118.59%24.74萬118.59%24.74萬--24.55萬
-應收稅費 -0.23%101.43萬1.02%102.09萬12.24%113.81萬12.24%113.81萬295.11%96.47萬549.59%101.67萬193.82%101.06萬273.43%101.39萬273.43%101.39萬-14.80%24.42萬
-應收關聯方款項 14.10%130.34萬23.06%130.34萬28.87%129.18萬28.87%129.18萬--123.12萬96.58%114.24萬304.75%105.92萬920.32%100.24萬920.32%100.24萬----
-其他應收款 --2.2萬--1.58萬-99.50%1萬-99.50%1萬--------------201萬--201萬136.57%86.09萬
預付費用 -56.47%1,287.04萬-56.35%1,402.48萬-60.34%1,399.07萬-60.34%1,399.07萬-63.44%1,533.53萬-22.87%2,956.6萬-25.35%3,213.13萬-25.05%3,527.26萬-25.05%3,527.26萬73.23%4,194.65萬
受限制現金 -80.87%3.68萬-84.78%3.1萬-89.04%2.33萬-89.04%2.33萬-42.86%1.33萬477.51%19.25萬370.00%20.37萬299.32%21.3萬299.32%21.3萬-63.16%2.33萬
持有待售資產 -12.28%21.42萬-29.31%21.34萬-31.24%21.18萬-31.24%21.18萬-38.94%21.06萬-4.68%24.42萬20.15%30.19萬-4.01%30.81萬-4.01%30.81萬29.56%34.49萬
其他流動資產 --773.32萬--773.32萬--773.32萬--773.32萬------------------------
流動資產合計 -23.69%4,950.1萬-29.97%5,099.32萬-32.96%5,145.74萬-32.96%5,145.74萬-25.82%5,751.48萬-21.04%6,486.54萬-21.41%7,281.38萬-18.69%7,676.07萬-18.69%7,676.07萬-13.67%7,753.57萬
非流動資產
固定資產淨額 -20.79%296.63萬-21.38%309.19萬2.89%350.93萬2.89%350.93萬76.02%367.01萬72.29%374.5萬104.49%393.28萬65.41%341.08萬65.41%341.08萬109.11%208.51萬
-固定資產 -3.04%624.53萬-0.70%624.54萬20.56%668.91萬20.56%668.91萬66.14%668.78萬64.62%644.11萬80.98%628.97萬60.31%554.82萬60.31%554.82萬77.72%402.53萬
-累計折舊 -21.62%-327.9萬-33.80%-315.35萬-48.77%-317.97萬-48.77%-317.97萬-55.53%-301.77萬-55.02%-269.62萬-51.84%-235.69萬-52.80%-213.74萬-52.80%-213.74萬-53.03%-194.02萬
投資和預付款 -14.53%119.63萬-21.93%119.19萬12.85%118.3萬12.85%118.3萬12.78%119.72萬140.90%139.98萬209.81%152.66萬--104.83萬--104.83萬--106.15萬
-長期股權投資 -14.53%119.63萬-21.93%119.19萬12.85%118.3萬12.85%118.3萬12.78%119.72萬--139.98萬--152.66萬--104.83萬--104.83萬--106.15萬
長期應收款 --7.53萬--8.39萬--------------------------------
長期應收票據 -55.80%17.58萬-72.28%19.86萬-78.80%22.05萬-78.80%22.05萬-79.12%26.23萬-76.34%39.77萬-70.77%71.63萬-68.20%104萬-68.20%104萬-68.75%125.6萬
長期預付費用 6,689.22%535.34萬13,972.08%1,092.75萬14,106.16%1,086.4萬14,106.16%1,086.4萬--1,394.8萬--7.89萬--7.77萬--7.65萬--7.65萬----
商譽及其他無形資產 -80.03%1,148.73萬-77.51%1,328.56萬-74.94%1,468.85萬-74.94%1,468.85萬-77.99%2,051.51萬-40.53%5,752.54萬-38.01%5,907.33萬-38.53%5,862.11萬-38.53%5,862.11萬165.61%9,320.18萬
-商譽 ----------0--0-94.84%316.09萬-57.44%2,660.98萬-57.44%2,660.98萬-57.44%2,660.98萬-57.44%2,660.98萬--6,126.6萬
-其他無形資產 -62.84%1,148.73萬-59.08%1,328.56萬-54.11%1,468.85萬-54.11%1,468.85萬-45.66%1,735.42萬-9.63%3,091.56萬-0.94%3,246.35萬-2.54%3,201.13萬-2.54%3,201.13萬-8.99%3,193.58萬
非流動遞延資產 ----------0--0522.94%85.4萬911.12%84.2萬14.24%32.63萬62.49%31.01萬62.49%31.01萬-83.26%13.71萬
非流動資產合計 -66.78%2,125.44萬-56.16%2,877.95萬-52.77%3,046.54萬-52.77%3,046.54萬-58.62%4,044.67萬-36.80%6,398.86萬-34.64%6,565.28萬-36.06%6,450.68萬-36.06%6,450.68萬138.83%9,774.15萬
總資產 -45.09%7,075.55萬-42.39%7,977.27萬-42.01%8,192.27萬-42.01%8,192.27萬-44.11%9,796.16萬-29.74%1.29億-28.29%1.38億-27.66%1.41億-27.66%1.41億34.06%1.75億
負債
流動負債
短期借款與資本租賃負債 201.61%307.56萬139.13%238.21萬257.41%345.75萬257.41%345.75萬24.52%105.06萬25.05%101.97萬129.00%99.61萬123.61%96.74萬123.61%96.74萬402.12%84.37萬
-短期借款 451.26%275.63萬324.72%207.9萬564.88%314.85萬564.88%314.85萬39.78%50萬46.07%50萬--48.95萬--47.35萬--47.35萬--35.77萬
-短期資本租賃負債 -38.57%31.93萬-40.17%30.31萬-37.43%30.9萬-37.43%30.9萬13.29%55.06萬9.85%51.97萬16.47%50.67萬14.15%49.39萬14.15%49.39萬189.24%48.6萬
應付款項 27.69%1,693.6萬18.78%1,568.05萬25.76%1,305.3萬25.76%1,305.3萬76.52%1,357.97萬83.06%1,326.34萬11.82%1,320.12萬17.29%1,037.95萬17.29%1,037.95萬-43.79%769.3萬
-應付帳款 56.59%1,426.28萬39.35%1,275.93萬61.33%1,011.15萬61.33%1,011.15萬99.41%934.68萬171.32%910.85萬104.92%915.65萬19.97%626.75萬19.97%626.75萬-53.23%468.71萬
-應付稅費 -48.11%215.6萬-46.38%216.89萬-46.89%218.41萬-46.89%218.41萬40.82%423.29萬6.86%415.49萬-44.88%404.47萬13.41%411.2萬13.41%411.2萬-17.99%300.59萬
-其他應付款 --51.71萬--75.24萬--75.75萬--75.75萬------------------------
應計費用 --63.2萬--35.65萬--39.46萬--39.46萬--------------0--0----
現行撥備 --164.24萬--165.05萬--163.2萬--163.2萬------------------------
遞延負債 -4.57%336.31萬-11.66%338.6萬-36.11%297.67萬-36.11%297.67萬-73.75%240.72萬-58.30%352.41萬-64.31%383.3萬-57.82%465.89萬-57.82%465.89萬110.76%916.94萬
其他流動負債 --5,070--2.79萬--4.62萬--4.62萬------------------------
流動負債總額 44.07%2,565.41萬30.24%2,348.34萬34.70%2,156.01萬34.70%2,156.01萬-3.78%1,703.75萬7.84%1,780.72萬-21.54%1,803.04萬-21.26%1,600.59萬-21.26%1,600.59萬-2.74%1,770.61萬
非流動負債
長期借款與租賃負債 113.08%906.81萬11.34%809.24萬117.68%1,030.12萬117.68%1,030.12萬692.82%1,163.97萬169.11%425.57萬327.34%726.85萬173.76%473.22萬173.76%473.22萬59.35%146.81萬
-長期借款 483.89%668.88萬18.29%558.95萬270.75%782.24萬270.75%782.24萬8,345.45%844.55萬1,045.56%114.56萬1,005.61%472.54萬410.58%210.99萬410.58%210.99萬-70.50%10萬
-長期租賃負債 -23.50%237.93萬-1.58%250.29萬-5.47%247.88萬-5.47%247.88萬133.47%319.42萬109.94%311.02萬99.71%254.32萬99.36%262.23萬99.36%262.23萬134.96%136.81萬
長期應付帳款及其他應付款項 -81.76%37.17萬-82.84%33.59萬-72.67%51.44萬-72.67%51.44萬3,384.30%211.97萬-22.31%203.73萬-15.57%195.8萬-2.02%188.22萬-2.02%188.22萬-99.39%6.08萬
衍生品負債 --0--0--3.38萬--3.38萬--19.07萬--14.07萬----------------
遞延負債 51.04%163.11萬32.95%163.11萬56.94%163.11萬56.94%163.11萬-78.77%121.59萬-81.14%107.99萬-44.18%122.69萬-81.85%103.93萬-81.85%103.93萬--572.66萬
非流動負債總額 47.34%1,107.09萬-3.77%1,005.95萬63.07%1,248.06萬63.07%1,248.06萬109.03%1,516.6萬-24.34%751.37萬68.12%1,045.34萬-18.37%765.37萬-18.37%765.37萬-33.79%725.55萬
負債總額 45.04%3,672.5萬17.76%3,354.29萬43.88%3,404.07萬43.88%3,404.07萬29.01%3,220.35萬-4.24%2,532.09萬-2.45%2,848.38萬-20.35%2,365.96萬-20.35%2,365.96萬-14.40%2,496.17萬
所有者權益
股本 3.24%2.23億5.25%2.22億3.17%2.18億3.17%2.18億2.78%2.17億2.30%2.16億0.25%2.11億1.45%2.11億1.45%2.11億136.65%2.11億
-普通股股本 3.24%2.23億5.25%2.22億3.17%2.18億3.17%2.18億2.78%2.17億2.30%2.16億0.25%2.11億1.45%2.11億1.45%2.11億136.65%2.11億
資本公積 12.72%2,780.18萬13.33%2,720.82萬13.17%2,643.26萬13.17%2,643.26萬18.76%2,667.68萬12.14%2,466.46萬11.93%2,400.74萬8.48%2,335.7萬8.48%2,335.7萬0.99%2,246.3萬
留存收益 -54.56%-2.28億-52.30%-2.16億-58.06%-2.1億-58.06%-2.1億-94.91%-1.9億-64.35%-1.48億-69.74%-1.42億-66.37%-1.33億-66.37%-1.33億-229.10%-9,764.1萬
不影響留存收益的損益 54.00%-183.38萬-363.41%-202.38萬-357.00%-160.68萬-357.00%-160.68萬-266.52%-307.09萬-426.82%-398.68萬18.86%76.83萬-54.26%62.52萬-54.26%62.52萬-222.74%-83.79萬
其他股本權益 91.57%111.54萬113.73%99.71萬727.83%183.34萬727.83%183.34萬--127.17萬--58.22萬--46.65萬47.64%22.15萬47.64%22.15萬----
股東權益總額 -75.90%2,151.81萬-65.29%3,295.91萬-66.56%3,422.56萬-66.56%3,422.56萬-61.78%5,167.31萬-37.23%8,927.7萬-36.46%9,494.93萬-32.34%1.02億-32.34%1.02億52.76%1.35億
非控制性權益 -12.23%1,251.24萬-11.73%1,327.07萬-10.52%1,365.64萬-10.52%1,365.64萬-6.72%1,408.49萬-3.19%1,425.61萬3.91%1,503.36萬6.58%1,526.2萬6.58%1,526.2萬15.58%1,509.93萬
總權益 -67.13%3,403.04萬-57.97%4,622.98萬-59.29%4,788.2萬-59.29%4,788.2萬-56.25%6,575.81萬-34.04%1.04億-32.89%1.1億-28.98%1.18億-28.98%1.18億47.98%1.5億
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----

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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