加拿大市場個股詳情

POND Pond Technologies Holdings Inc

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延時15分鐘行情已收盤 07/17 16:00 (美東)
229.94萬總市值-600市盈率TTM

Pond Technologies Holdings 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
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
資產
流動資產
現金及現金等價物和短期投資
-51.57%12.3萬
-57.14%8.4萬
-57.14%8.4萬
-84.98%7萬
-81.26%11.9萬
-72.78%25.4萬
-81.63%19.6萬
-81.63%19.6萬
-78.42%46.6萬
86.76%63.5萬
-現金和現金等價物
-51.57%12.3萬
-57.14%8.4萬
-57.14%8.4萬
-84.98%7萬
-81.26%11.9萬
-72.78%25.4萬
-81.63%19.6萬
-81.63%19.6萬
-78.42%46.6萬
86.76%63.5萬
-應收賬款
-85.89%14萬
86.21%81萬
86.21%81萬
-74.60%23.8萬
-22.69%33.4萬
-14.92%99.2萬
6.36%43.5萬
6.36%43.5萬
-15.96%93.7萬
-34.84%43.2萬
遞延資產
----
----
----
----
-24.82%61.2萬
15.70%59.7萬
----
----
--75.7萬
--81.4萬
流動資產合計
-73.46%64.3萬
8.00%131萬
8.00%131萬
-74.34%71.3萬
-41.09%154.4萬
-31.98%242.3萬
-45.85%121.3萬
-45.85%121.3萬
-28.52%277.9萬
47.08%262.1萬
非流動資產
-累計折舊
-15.45%-254.1萬
-13.94%-250.1萬
-13.94%-250.1萬
-6.98%-229.9萬
-6.99%-225萬
-7.00%-220.1萬
-9.15%-219.5萬
-9.15%-219.5萬
64.35%-214.9萬
65.10%-210.3萬
-長期股權投資
-86.20%25.5萬
-80.70%36.9萬
-80.70%36.9萬
-19.07%178.2萬
-50.71%175.8萬
-48.38%184.8萬
-46.80%191.2萬
-46.80%191.2萬
-44.92%220.2萬
-12.85%356.7萬
-商譽
-18.14%106.5萬
-19.90%109.9萬
-19.90%109.9萬
-20.79%115.8萬
-19.88%122.9萬
-28.56%130.1萬
-17.99%137.2萬
-17.99%137.2萬
-16.07%146.2萬
-14.87%153.4萬
-其他無形資產
-42.54%418.4萬
-50.81%416.6萬
-50.81%416.6萬
-50.38%416.7萬
-8.76%755.1萬
-11.54%728.1萬
4.98%846.9萬
4.98%846.9萬
--839.8萬
--827.6萬
監管資產
-84.91%15.5萬
76.60%83萬
76.60%83萬
-72.02%27萬
-21.40%37.1萬
-16.77%102.7萬
7.06%47萬
7.06%47萬
-20.18%96.5萬
-54.53%47.2萬
負債
流動負債
短期借款與資本租賃負債
161.66%479.1萬
116.84%414.6萬
116.84%414.6萬
3.59%187.5萬
195.19%190.1萬
255.53%183.1萬
179.12%191.2萬
179.12%191.2萬
393.19%181萬
57.46%64.4萬
-短期借款
166.27%467.3萬
120.43%405.6萬
120.43%405.6萬
2.87%179萬
204.17%182.5萬
290.00%175.5萬
206.67%184萬
206.67%184萬
424.10%174萬
66.67%60萬
-短期資本租賃負債
55.26%11.8萬
25.00%9萬
25.00%9萬
21.43%8.5萬
72.73%7.6萬
16.92%7.6萬
-15.29%7.2萬
-15.29%7.2萬
100.00%7萬
-10.20%4.4萬
-應付帳款
-35.64%106萬
86.19%152.3萬
86.19%152.3萬
27.77%124.7萬
140.16%119.6萬
79.41%164.7萬
40.79%81.8萬
40.79%81.8萬
-27.33%97.6萬
-24.89%49.8萬
-應付稅費
-86.20%25.5萬
-80.70%36.9萬
-80.70%36.9萬
-19.16%178.1萬
-46.18%175.9萬
-48.37%184.8萬
-46.80%191.2萬
-46.80%191.2萬
-44.90%220.3萬
-20.18%326.8萬
應計費用
55.73%118.2萬
72.29%117.5萬
72.29%117.5萬
128.38%156.9萬
166.59%114.9萬
42.13%75.9萬
26.77%68.2萬
26.77%68.2萬
136.08%68.7萬
41.78%43.1萬
遞延負債
0.00%157.2萬
-2.36%157.2萬
-2.36%157.2萬
-2.30%157.2萬
-10.63%157.2萬
83.64%157.2萬
180.49%161萬
180.49%161萬
74.32%160.9萬
355.70%175.9萬
流動負債總額
48.11%860.4萬
67.58%841.6萬
67.58%841.6萬
23.21%626.3萬
74.53%581.7萬
105.70%580.9萬
111.19%502.2萬
111.19%502.2萬
73.84%508.3萬
89.16%333.3萬
非流動負債
-長期借款
-32.36%25.5萬
-23.62%30.4萬
-23.62%30.4萬
-20.00%33.2萬
104.55%36萬
114.20%37.7萬
126.14%39.8萬
126.14%39.8萬
159.38%41.5萬
5.39%17.6萬
長期應計費用
-19.37%109.5萬
-30.28%100.4萬
-30.28%100.4萬
-14.92%121.5萬
6.36%128.7萬
6.18%135.8萬
6.90%144萬
6.90%144萬
7.45%142.8萬
-11.23%121萬
長期撥備
----
-95.71%6.5萬
-95.71%6.5萬
-18.86%145萬
-58.77%139.8萬
-56.79%147.1萬
-55.71%151.4萬
-55.71%151.4萬
-53.44%178.7萬
-13.63%339.1萬
非流動負債總額
15.70%885.9萬
26.69%878.5萬
26.69%878.5萬
10.40%804.4萬
14.77%757.6萬
19.58%765.7萬
16.11%693.4萬
16.11%693.4萬
5.26%728.6萬
12.72%660.1萬
所有者權益
股本
8.64%4,439.9萬
13.45%4,439.9萬
13.45%4,439.9萬
14.62%4,435萬
6.53%4,091.3萬
6.59%4,086.8萬
6.83%3,913.4萬
6.83%3,913.4萬
7.36%3,869.3萬
10.78%3,840.4萬
-普通股股本
8.64%4,439.9萬
13.45%4,439.9萬
13.45%4,439.9萬
14.62%4,435萬
6.53%4,091.3萬
6.59%4,086.8萬
6.83%3,913.4萬
6.83%3,913.4萬
7.36%3,869.3萬
10.78%3,840.4萬
其他股本權益
-27.86%10.1萬
-41.98%9.4萬
-41.98%9.4萬
-52.09%10.3萬
-49.01%15.5萬
-70.02%14萬
-8.47%16.2萬
-8.47%16.2萬
-29.51%21.5萬
64.32%30.4萬
總權益
-36.10%324.6萬
-14.15%401萬
-14.15%401萬
-35.05%368.2萬
-24.34%405.9萬
-21.19%508萬
-11.20%467.1萬
-11.20%467.1萬
-31.60%566.9萬
-14.84%536.5萬
(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(Q2)2022/06/30
資產
流動資產
現金及現金等價物和短期投資 -51.57%12.3萬-57.14%8.4萬-57.14%8.4萬-84.98%7萬-81.26%11.9萬-72.78%25.4萬-81.63%19.6萬-81.63%19.6萬-78.42%46.6萬86.76%63.5萬
-現金和現金等價物 -51.57%12.3萬-57.14%8.4萬-57.14%8.4萬-84.98%7萬-81.26%11.9萬-72.78%25.4萬-81.63%19.6萬-81.63%19.6萬-78.42%46.6萬86.76%63.5萬
-應收賬款 -85.89%14萬86.21%81萬86.21%81萬-74.60%23.8萬-22.69%33.4萬-14.92%99.2萬6.36%43.5萬6.36%43.5萬-15.96%93.7萬-34.84%43.2萬
遞延資產 -----------------24.82%61.2萬15.70%59.7萬----------75.7萬--81.4萬
流動資產合計 -73.46%64.3萬8.00%131萬8.00%131萬-74.34%71.3萬-41.09%154.4萬-31.98%242.3萬-45.85%121.3萬-45.85%121.3萬-28.52%277.9萬47.08%262.1萬
非流動資產
-累計折舊 -15.45%-254.1萬-13.94%-250.1萬-13.94%-250.1萬-6.98%-229.9萬-6.99%-225萬-7.00%-220.1萬-9.15%-219.5萬-9.15%-219.5萬64.35%-214.9萬65.10%-210.3萬
-長期股權投資 -86.20%25.5萬-80.70%36.9萬-80.70%36.9萬-19.07%178.2萬-50.71%175.8萬-48.38%184.8萬-46.80%191.2萬-46.80%191.2萬-44.92%220.2萬-12.85%356.7萬
-商譽 -18.14%106.5萬-19.90%109.9萬-19.90%109.9萬-20.79%115.8萬-19.88%122.9萬-28.56%130.1萬-17.99%137.2萬-17.99%137.2萬-16.07%146.2萬-14.87%153.4萬
-其他無形資產 -42.54%418.4萬-50.81%416.6萬-50.81%416.6萬-50.38%416.7萬-8.76%755.1萬-11.54%728.1萬4.98%846.9萬4.98%846.9萬--839.8萬--827.6萬
監管資產 -84.91%15.5萬76.60%83萬76.60%83萬-72.02%27萬-21.40%37.1萬-16.77%102.7萬7.06%47萬7.06%47萬-20.18%96.5萬-54.53%47.2萬
負債
流動負債
短期借款與資本租賃負債 161.66%479.1萬116.84%414.6萬116.84%414.6萬3.59%187.5萬195.19%190.1萬255.53%183.1萬179.12%191.2萬179.12%191.2萬393.19%181萬57.46%64.4萬
-短期借款 166.27%467.3萬120.43%405.6萬120.43%405.6萬2.87%179萬204.17%182.5萬290.00%175.5萬206.67%184萬206.67%184萬424.10%174萬66.67%60萬
-短期資本租賃負債 55.26%11.8萬25.00%9萬25.00%9萬21.43%8.5萬72.73%7.6萬16.92%7.6萬-15.29%7.2萬-15.29%7.2萬100.00%7萬-10.20%4.4萬
-應付帳款 -35.64%106萬86.19%152.3萬86.19%152.3萬27.77%124.7萬140.16%119.6萬79.41%164.7萬40.79%81.8萬40.79%81.8萬-27.33%97.6萬-24.89%49.8萬
-應付稅費 -86.20%25.5萬-80.70%36.9萬-80.70%36.9萬-19.16%178.1萬-46.18%175.9萬-48.37%184.8萬-46.80%191.2萬-46.80%191.2萬-44.90%220.3萬-20.18%326.8萬
應計費用 55.73%118.2萬72.29%117.5萬72.29%117.5萬128.38%156.9萬166.59%114.9萬42.13%75.9萬26.77%68.2萬26.77%68.2萬136.08%68.7萬41.78%43.1萬
遞延負債 0.00%157.2萬-2.36%157.2萬-2.36%157.2萬-2.30%157.2萬-10.63%157.2萬83.64%157.2萬180.49%161萬180.49%161萬74.32%160.9萬355.70%175.9萬
流動負債總額 48.11%860.4萬67.58%841.6萬67.58%841.6萬23.21%626.3萬74.53%581.7萬105.70%580.9萬111.19%502.2萬111.19%502.2萬73.84%508.3萬89.16%333.3萬
非流動負債
-長期借款 -32.36%25.5萬-23.62%30.4萬-23.62%30.4萬-20.00%33.2萬104.55%36萬114.20%37.7萬126.14%39.8萬126.14%39.8萬159.38%41.5萬5.39%17.6萬
長期應計費用 -19.37%109.5萬-30.28%100.4萬-30.28%100.4萬-14.92%121.5萬6.36%128.7萬6.18%135.8萬6.90%144萬6.90%144萬7.45%142.8萬-11.23%121萬
長期撥備 -----95.71%6.5萬-95.71%6.5萬-18.86%145萬-58.77%139.8萬-56.79%147.1萬-55.71%151.4萬-55.71%151.4萬-53.44%178.7萬-13.63%339.1萬
非流動負債總額 15.70%885.9萬26.69%878.5萬26.69%878.5萬10.40%804.4萬14.77%757.6萬19.58%765.7萬16.11%693.4萬16.11%693.4萬5.26%728.6萬12.72%660.1萬
所有者權益
股本 8.64%4,439.9萬13.45%4,439.9萬13.45%4,439.9萬14.62%4,435萬6.53%4,091.3萬6.59%4,086.8萬6.83%3,913.4萬6.83%3,913.4萬7.36%3,869.3萬10.78%3,840.4萬
-普通股股本 8.64%4,439.9萬13.45%4,439.9萬13.45%4,439.9萬14.62%4,435萬6.53%4,091.3萬6.59%4,086.8萬6.83%3,913.4萬6.83%3,913.4萬7.36%3,869.3萬10.78%3,840.4萬
其他股本權益 -27.86%10.1萬-41.98%9.4萬-41.98%9.4萬-52.09%10.3萬-49.01%15.5萬-70.02%14萬-8.47%16.2萬-8.47%16.2萬-29.51%21.5萬64.32%30.4萬
總權益 -36.10%324.6萬-14.15%401萬-14.15%401萬-35.05%368.2萬-24.34%405.9萬-21.19%508萬-11.20%467.1萬-11.20%467.1萬-31.60%566.9萬-14.84%536.5萬

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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