加拿大市場個股詳情

QYOU QYOU Media Inc

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延時15分鐘行情已收盤 10/02 16:00 (美東)
1819.74萬總市值-2916市盈率TTM

QYOU Media 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
-43.68%101.06萬
-56.43%161.55萬
-79.02%73.67萬
-79.02%73.67萬
-44.72%170.15萬
-57.09%179.43萬
-27.06%370.74萬
-46.39%351.1萬
-61.11%351.1萬
-75.95%307.78萬
-現金和現金等價物
-43.68%101.06萬
-56.43%161.55萬
-79.02%73.67萬
-79.02%73.67萬
-44.72%170.15萬
-57.09%179.43萬
-27.06%370.74萬
-46.39%351.1萬
-61.11%351.1萬
-75.95%307.78萬
-應收賬款
5.17%582.61萬
7.43%559.05萬
-47.29%363.93萬
-47.29%363.93萬
-17.95%477.04萬
11.97%553.97萬
26.57%520.36萬
67.11%690.41萬
220.23%690.41萬
966.39%581.41萬
流動資產合計
-13.09%934.71萬
-16.10%1,024.35萬
-44.26%745.77萬
-44.26%745.77萬
-5.67%1,155.23萬
-11.70%1,075.46萬
-7.00%1,220.94萬
-10.96%1,337.94萬
14.69%1,337.94萬
-11.23%1,224.63萬
非流動資產
-累計折舊
-20.06%-70.9萬
-6.91%-61.66萬
-12.70%-62.52萬
-12.70%-62.52萬
-12.87%-60.47萬
-17.15%-59.05萬
-19.44%-57.68萬
-16.59%-55.48萬
-23.38%-55.48萬
-19.28%-53.57萬
-長期股權投資
-43.15%14.91萬
-22.66%14.16萬
-27.93%15.94萬
-27.93%15.94萬
-25.55%22.05萬
-24.31%26.23萬
-54.91%18.31萬
-63.81%22.12萬
-28.45%22.12萬
-17.29%29.62萬
-商譽
8.49%295.15萬
16.65%298.49萬
30.21%266.15萬
30.21%266.15萬
-44.07%275.04萬
-41.81%272.05萬
-44.18%255.89萬
-55.44%204.4萬
-51.96%204.4萬
5,536.04%491.72萬
-其他無形資產
4.21%1,681.54萬
8.97%1,672.92萬
6.62%1,697.2萬
6.62%1,697.2萬
11.23%1,653.54萬
13.77%1,613.54萬
13.68%1,535.26萬
16.97%1,591.82萬
38.84%1,591.82萬
291.54%1,486.65萬
監管資產
-4.67%727.92萬
9.89%810.43萬
-33.75%582.69萬
-33.75%582.69萬
9.32%806.45萬
26.67%763.55萬
35.49%737.48萬
52.84%879.51萬
253.42%879.51萬
1,004.67%737.67萬
負債
流動負債
短期借款與資本租賃負債
143.52%66.09萬
141.27%58.5萬
17.96%30.86萬
17.96%30.86萬
254.69%89.4萬
17.47%27.14萬
10.96%24.25萬
4.56%26.17萬
81.41%26.17萬
-21.99%25.2萬
-短期借款
6,565.65%51.7萬
5,131.81%40.58萬
1,213.96%10.19萬
1,213.96%10.19萬
8,409.84%66萬
0.00%7,756
0.00%7,756
0.00%7,756
-28.66%7,756
-95.88%7,756
-短期資本租賃負債
-45.40%14.39萬
-23.65%17.92萬
-18.58%20.67萬
-18.58%20.67萬
-4.23%23.4萬
18.08%26.37萬
11.37%23.47萬
4.70%25.39萬
90.38%25.39萬
81.14%24.43萬
-應付帳款
36.54%882.46萬
36.22%946.63萬
2.85%716.02萬
2.85%716.02萬
12.17%792.25萬
13.88%646.3萬
64.12%694.92萬
48.11%696.15萬
190.01%696.15萬
395.32%706.27萬
-應付稅費
-59.17%19.16萬
-80.60%18.4萬
-79.20%20.19萬
-79.20%20.19萬
-72.66%42.71萬
-70.36%46.92萬
-59.62%94.85萬
-62.89%97.08萬
-50.84%97.08萬
336.29%156.23萬
遞延負債
-17.23%4.94萬
205.69%15.11萬
500.50%13.48萬
500.50%13.48萬
-86.03%2.22萬
-75.13%5.96萬
-77.77%4.94萬
-91.30%2.24萬
15.56%2.24萬
13,619.86%15.89萬
流動負債總額
32.80%1,037.23萬
43.16%1,103.16萬
12.16%863.35萬
12.16%863.35萬
16.48%987.91萬
9.62%781.02萬
39.90%770.59萬
26.81%769.72萬
131.17%769.72萬
384.62%848.13萬
非流動負債
-長期借款
-65.25%7.22萬
-30.35%8.78萬
-35.10%10.66萬
-35.10%10.66萬
-30.44%16.58萬
-28.99%20.78萬
-64.37%12.61萬
-70.59%16.42萬
-36.14%16.42萬
-17.15%23.84萬
長期應計費用
-45.78%31.55萬
-15.85%38.33萬
-13.02%44.02萬
-13.02%44.02萬
-13.62%50.76萬
-7.70%58.2萬
-33.61%45.55萬
-41.02%50.61萬
26.10%50.61萬
33.35%58.76萬
長期撥備
41.21%7.69萬
-5.61%5.37萬
-7.27%5.29萬
-7.27%5.29萬
-5.35%5.47萬
1.14%5.45萬
9.51%5.69萬
7.83%5.7萬
9.59%5.7萬
-17.84%5.78萬
非流動負債總額
27.59%1,056.39萬
29.59%1,121.56萬
1.93%883.54萬
1.93%883.54萬
2.61%1,030.62萬
-4.92%827.94萬
10.15%865.45萬
-0.21%866.8萬
63.42%866.8萬
376.41%1,004.36萬
所有者權益
股本
8.21%5,460.24萬
8.03%5,449.72萬
6.01%5,231.06萬
6.01%5,231.06萬
7.59%5,057.95萬
7.48%5,046.04萬
9.48%5,044.77萬
10.24%4,934.4萬
19.04%4,934.4萬
16.78%4,701.02萬
-普通股股本
8.21%5,460.24萬
8.03%5,449.72萬
6.01%5,231.06萬
6.01%5,231.06萬
7.59%5,057.95萬
7.48%5,046.04萬
9.48%5,044.77萬
10.24%4,934.4萬
19.04%4,934.4萬
16.78%4,701.02萬
不影響留存收益的損益
161.72%6.44萬
91.05%5.34萬
-165.55%-3.43萬
-165.55%-3.43萬
-91.00%2.33萬
-70.93%-10.44萬
213.12%2.79萬
-56.47%5.23萬
175.56%5.23萬
432.85%25.93萬
總權益
-10.16%1,278.05萬
-10.39%1,377.61萬
-33.29%1,072.03萬
-33.29%1,072.03萬
-16.32%1,497.54萬
-19.22%1,422.61萬
-17.11%1,537.38萬
-22.03%1,607.03萬
-1.82%1,607.03萬
24.57%1,789.5萬
(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 -43.68%101.06萬-56.43%161.55萬-79.02%73.67萬-79.02%73.67萬-44.72%170.15萬-57.09%179.43萬-27.06%370.74萬-46.39%351.1萬-61.11%351.1萬-75.95%307.78萬
-現金和現金等價物 -43.68%101.06萬-56.43%161.55萬-79.02%73.67萬-79.02%73.67萬-44.72%170.15萬-57.09%179.43萬-27.06%370.74萬-46.39%351.1萬-61.11%351.1萬-75.95%307.78萬
-應收賬款 5.17%582.61萬7.43%559.05萬-47.29%363.93萬-47.29%363.93萬-17.95%477.04萬11.97%553.97萬26.57%520.36萬67.11%690.41萬220.23%690.41萬966.39%581.41萬
流動資產合計 -13.09%934.71萬-16.10%1,024.35萬-44.26%745.77萬-44.26%745.77萬-5.67%1,155.23萬-11.70%1,075.46萬-7.00%1,220.94萬-10.96%1,337.94萬14.69%1,337.94萬-11.23%1,224.63萬
非流動資產
-累計折舊 -20.06%-70.9萬-6.91%-61.66萬-12.70%-62.52萬-12.70%-62.52萬-12.87%-60.47萬-17.15%-59.05萬-19.44%-57.68萬-16.59%-55.48萬-23.38%-55.48萬-19.28%-53.57萬
-長期股權投資 -43.15%14.91萬-22.66%14.16萬-27.93%15.94萬-27.93%15.94萬-25.55%22.05萬-24.31%26.23萬-54.91%18.31萬-63.81%22.12萬-28.45%22.12萬-17.29%29.62萬
-商譽 8.49%295.15萬16.65%298.49萬30.21%266.15萬30.21%266.15萬-44.07%275.04萬-41.81%272.05萬-44.18%255.89萬-55.44%204.4萬-51.96%204.4萬5,536.04%491.72萬
-其他無形資產 4.21%1,681.54萬8.97%1,672.92萬6.62%1,697.2萬6.62%1,697.2萬11.23%1,653.54萬13.77%1,613.54萬13.68%1,535.26萬16.97%1,591.82萬38.84%1,591.82萬291.54%1,486.65萬
監管資產 -4.67%727.92萬9.89%810.43萬-33.75%582.69萬-33.75%582.69萬9.32%806.45萬26.67%763.55萬35.49%737.48萬52.84%879.51萬253.42%879.51萬1,004.67%737.67萬
負債
流動負債
短期借款與資本租賃負債 143.52%66.09萬141.27%58.5萬17.96%30.86萬17.96%30.86萬254.69%89.4萬17.47%27.14萬10.96%24.25萬4.56%26.17萬81.41%26.17萬-21.99%25.2萬
-短期借款 6,565.65%51.7萬5,131.81%40.58萬1,213.96%10.19萬1,213.96%10.19萬8,409.84%66萬0.00%7,7560.00%7,7560.00%7,756-28.66%7,756-95.88%7,756
-短期資本租賃負債 -45.40%14.39萬-23.65%17.92萬-18.58%20.67萬-18.58%20.67萬-4.23%23.4萬18.08%26.37萬11.37%23.47萬4.70%25.39萬90.38%25.39萬81.14%24.43萬
-應付帳款 36.54%882.46萬36.22%946.63萬2.85%716.02萬2.85%716.02萬12.17%792.25萬13.88%646.3萬64.12%694.92萬48.11%696.15萬190.01%696.15萬395.32%706.27萬
-應付稅費 -59.17%19.16萬-80.60%18.4萬-79.20%20.19萬-79.20%20.19萬-72.66%42.71萬-70.36%46.92萬-59.62%94.85萬-62.89%97.08萬-50.84%97.08萬336.29%156.23萬
遞延負債 -17.23%4.94萬205.69%15.11萬500.50%13.48萬500.50%13.48萬-86.03%2.22萬-75.13%5.96萬-77.77%4.94萬-91.30%2.24萬15.56%2.24萬13,619.86%15.89萬
流動負債總額 32.80%1,037.23萬43.16%1,103.16萬12.16%863.35萬12.16%863.35萬16.48%987.91萬9.62%781.02萬39.90%770.59萬26.81%769.72萬131.17%769.72萬384.62%848.13萬
非流動負債
-長期借款 -65.25%7.22萬-30.35%8.78萬-35.10%10.66萬-35.10%10.66萬-30.44%16.58萬-28.99%20.78萬-64.37%12.61萬-70.59%16.42萬-36.14%16.42萬-17.15%23.84萬
長期應計費用 -45.78%31.55萬-15.85%38.33萬-13.02%44.02萬-13.02%44.02萬-13.62%50.76萬-7.70%58.2萬-33.61%45.55萬-41.02%50.61萬26.10%50.61萬33.35%58.76萬
長期撥備 41.21%7.69萬-5.61%5.37萬-7.27%5.29萬-7.27%5.29萬-5.35%5.47萬1.14%5.45萬9.51%5.69萬7.83%5.7萬9.59%5.7萬-17.84%5.78萬
非流動負債總額 27.59%1,056.39萬29.59%1,121.56萬1.93%883.54萬1.93%883.54萬2.61%1,030.62萬-4.92%827.94萬10.15%865.45萬-0.21%866.8萬63.42%866.8萬376.41%1,004.36萬
所有者權益
股本 8.21%5,460.24萬8.03%5,449.72萬6.01%5,231.06萬6.01%5,231.06萬7.59%5,057.95萬7.48%5,046.04萬9.48%5,044.77萬10.24%4,934.4萬19.04%4,934.4萬16.78%4,701.02萬
-普通股股本 8.21%5,460.24萬8.03%5,449.72萬6.01%5,231.06萬6.01%5,231.06萬7.59%5,057.95萬7.48%5,046.04萬9.48%5,044.77萬10.24%4,934.4萬19.04%4,934.4萬16.78%4,701.02萬
不影響留存收益的損益 161.72%6.44萬91.05%5.34萬-165.55%-3.43萬-165.55%-3.43萬-91.00%2.33萬-70.93%-10.44萬213.12%2.79萬-56.47%5.23萬175.56%5.23萬432.85%25.93萬
總權益 -10.16%1,278.05萬-10.39%1,377.61萬-33.29%1,072.03萬-33.29%1,072.03萬-16.32%1,497.54萬-19.22%1,422.61萬-17.11%1,537.38萬-22.03%1,607.03萬-1.82%1,607.03萬24.57%1,789.5萬

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。

熱議
加拿大
綜合熱度
股票代碼
最新價
升跌幅

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