加拿大市場個股詳情

TBL Taiga Building Products Ltd

添加自選
  • 3.830
  • +0.070+1.86%
延時15分鐘行情已收盤 10/11 16:00 (美東)
4.13億總市值7.09市盈率TTM

Taiga Building Products Ltd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
62.49%8,323.7萬
1,177.67%6,168.6萬
61.66%1.53億
61.66%1.53億
29.36%1.37億
1,992.61%5,122.7萬
--482.8萬
35.62%9,449.4萬
35.62%9,449.4萬
86.15%1.06億
-現金和現金等價物
62.49%8,323.7萬
1,177.67%6,168.6萬
61.66%1.53億
61.66%1.53億
29.36%1.37億
1,992.61%5,122.7萬
--482.8萬
35.62%9,449.4萬
35.62%9,449.4萬
86.15%1.06億
-應收賬款
-4.01%2.09億
5.94%2.05億
0.72%1.15億
0.72%1.15億
-1.00%1.98億
-17.91%2.17億
-33.15%1.93億
-13.94%1.15億
-13.94%1.15億
11.59%2億
流動資產合計
5.42%5億
10.22%4.86億
0.58%4.67億
0.58%4.67億
-0.71%5.08億
-4.31%4.74億
-18.70%4.41億
7.75%4.64億
7.75%4.64億
15.01%5.12億
非流動資產
-累計折舊
----
----
-14.00%-7,401.9萬
-14.00%-7,401.9萬
----
----
----
-16.90%-6,493萬
-16.90%-6,493萬
----
投資物業
16.64%1,171.8萬
21.00%1,162.4萬
--1,125.4萬
--1,125.4萬
--963.3萬
--1,004.6萬
--960.7萬
--0
--0
----
-長期股權投資
0.84%9,233.1萬
-1.64%8,938.7萬
-2.38%8,984.8萬
-2.38%8,984.8萬
-9.31%9,035.4萬
-8.31%9,155.8萬
-8.81%9,088.2萬
-8.80%9,203.4萬
-8.80%9,203.4萬
-12.70%9,963.5萬
-其中:以公允價值計量且其變動計入當期損益的金融資產總額
16.64%1,171.8萬
21.00%1,162.4萬
--1,125.4萬
--1,125.4萬
--963.3萬
--1,004.6萬
--960.7萬
--0
--0
----
長期應收票據
-13.32%578.4萬
-19.82%543.4萬
-33.33%543.1萬
-33.33%543.1萬
-47.18%581.5萬
-48.78%667.3萬
-37.34%677.7萬
2.26%814.6萬
2.26%814.6萬
181.01%1,101萬
-商譽
-1.89%2,206.2萬
-4.91%2,213.5萬
-7.19%2,189.2萬
-7.19%2,189.2萬
-6.20%2,267.1萬
-2.23%2,248.8萬
3.11%2,327.8萬
1.77%2,358.9萬
1.77%2,358.9萬
2.55%2,417萬
監管資產
-3.27%2.23億
7.14%2.2億
-3.17%1.34億
-3.17%1.34億
2.90%2.09億
-12.92%2.3億
-29.06%2.05億
-0.80%1.38億
-0.80%1.38億
13.52%2.03億
總資產
9.02%1,440.5萬
26.84%1,501萬
-4.72%1,427萬
-4.72%1,427萬
227.53%1,138.5萬
--1,321.3萬
--1,183.4萬
--1,497.7萬
--1,497.7萬
--347.6萬
負債
流動負債
短期借款與資本租賃負債
2.45%601.5萬
4.29%567萬
2.20%552.7萬
2.20%552.7萬
-68.79%589.5萬
-68.67%587.1萬
-94.63%543.7萬
-70.62%540.8萬
-70.62%540.8萬
219.22%1,888.8萬
-短期借款
----
----
----
----
----
----
----
----
----
1,963.69%1,318.7萬
-短期資本租賃負債
2.45%601.5萬
4.29%567萬
2.20%552.7萬
2.20%552.7萬
3.40%589.5萬
4.93%587.1萬
1.53%543.7萬
2.62%540.8萬
2.62%540.8萬
8.01%570.1萬
-應付帳款
-7.49%1.28億
8.37%1.29億
-2.80%7,874.3萬
-2.80%7,874.3萬
-19.98%1.48億
-17.22%1.38億
-25.71%1.19億
-0.95%8,101.4萬
-0.95%8,101.4萬
4.71%1.85億
-應付稅費
-0.79%9,952.9萬
-2.76%9,707.3萬
-3.92%9,721.9萬
-3.92%9,721.9萬
-8.97%9,924.7萬
-7.82%1億
-8.06%9,982.6萬
-8.00%1.01億
-8.00%1.01億
-6.79%1.09億
應計費用
----
----
-32.24%4,115.7萬
-32.24%4,115.7萬
----
----
----
-16.17%6,074.1萬
-16.17%6,074.1萬
----
現行撥備
----
----
0.15%602.1萬
0.15%602.1萬
----
----
----
634.07%601.2萬
634.07%601.2萬
----
流動負債總額
-7.08%1.34億
8.19%1.34億
-14.17%1.32億
-14.17%1.32億
-24.49%1.54億
-32.49%1.44億
-55.82%1.24億
-25.52%1.53億
-25.52%1.53億
-7.68%2.04億
非流動負債
-長期借款
0.84%9,233.1萬
-1.64%8,938.7萬
-2.38%8,984.8萬
-2.38%8,984.8萬
-2.66%9,035.4萬
-1.85%9,155.8萬
-2.36%9,088.2萬
-2.23%9,203.4萬
-2.23%9,203.4萬
-1.94%9,282萬
長期應計費用
-0.42%1.21億
-1.68%1.18億
-2.51%1.19億
-2.51%1.19億
0.32%1.21億
1.49%1.22億
0.78%1.2億
0.72%1.22億
0.72%1.22億
-1.49%1.21億
長期撥備
----
----
----
----
----
----
----
----
----
-65.00%681.5萬
監管負債
----
----
28.45%-94.8萬
28.45%-94.8萬
----
----
----
-1.61%-132.5萬
-1.61%-132.5萬
----
非流動負債總額
-4.50%2.34億
3.31%2.32億
-10.10%2.29億
-10.10%2.29億
-19.09%2.53億
-24.17%2.45億
-42.52%2.24億
-19.42%2.55億
-19.42%2.55億
-7.37%3.13億
所有者權益
股本
-0.29%1.22億
-0.45%1.22億
-0.49%1.23億
-0.49%1.23億
-0.46%1.23億
-0.30%1.23億
-0.14%1.23億
-0.08%1.23億
-0.08%1.23億
-0.08%1.23億
-普通股股本
-0.29%1.22億
-0.45%1.22億
-0.49%1.23億
-0.49%1.23億
-0.46%1.23億
-0.30%1.23億
-0.14%1.23億
-0.08%1.23億
-0.08%1.23億
-0.08%1.23億
不影響留存收益的損益
53.58%1,274.4萬
1.26%1,118.1萬
-31.74%758.7萬
-31.74%758.7萬
-12.79%1,090.3萬
60.60%829.8萬
513.79%1,104.2萬
221.61%1,111.5萬
221.61%1,111.5萬
212.78%1,250.2萬
總權益
4.02%6.61億
7.08%6.43億
1.05%6.24億
1.05%6.24億
-0.05%6.68億
-2.51%6.35億
-13.55%6.01億
5.97%6.18億
5.97%6.18億
12.21%6.68億
(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 62.49%8,323.7萬1,177.67%6,168.6萬61.66%1.53億61.66%1.53億29.36%1.37億1,992.61%5,122.7萬--482.8萬35.62%9,449.4萬35.62%9,449.4萬86.15%1.06億
-現金和現金等價物 62.49%8,323.7萬1,177.67%6,168.6萬61.66%1.53億61.66%1.53億29.36%1.37億1,992.61%5,122.7萬--482.8萬35.62%9,449.4萬35.62%9,449.4萬86.15%1.06億
-應收賬款 -4.01%2.09億5.94%2.05億0.72%1.15億0.72%1.15億-1.00%1.98億-17.91%2.17億-33.15%1.93億-13.94%1.15億-13.94%1.15億11.59%2億
流動資產合計 5.42%5億10.22%4.86億0.58%4.67億0.58%4.67億-0.71%5.08億-4.31%4.74億-18.70%4.41億7.75%4.64億7.75%4.64億15.01%5.12億
非流動資產
-累計折舊 ---------14.00%-7,401.9萬-14.00%-7,401.9萬-------------16.90%-6,493萬-16.90%-6,493萬----
投資物業 16.64%1,171.8萬21.00%1,162.4萬--1,125.4萬--1,125.4萬--963.3萬--1,004.6萬--960.7萬--0--0----
-長期股權投資 0.84%9,233.1萬-1.64%8,938.7萬-2.38%8,984.8萬-2.38%8,984.8萬-9.31%9,035.4萬-8.31%9,155.8萬-8.81%9,088.2萬-8.80%9,203.4萬-8.80%9,203.4萬-12.70%9,963.5萬
-其中:以公允價值計量且其變動計入當期損益的金融資產總額 16.64%1,171.8萬21.00%1,162.4萬--1,125.4萬--1,125.4萬--963.3萬--1,004.6萬--960.7萬--0--0----
長期應收票據 -13.32%578.4萬-19.82%543.4萬-33.33%543.1萬-33.33%543.1萬-47.18%581.5萬-48.78%667.3萬-37.34%677.7萬2.26%814.6萬2.26%814.6萬181.01%1,101萬
-商譽 -1.89%2,206.2萬-4.91%2,213.5萬-7.19%2,189.2萬-7.19%2,189.2萬-6.20%2,267.1萬-2.23%2,248.8萬3.11%2,327.8萬1.77%2,358.9萬1.77%2,358.9萬2.55%2,417萬
監管資產 -3.27%2.23億7.14%2.2億-3.17%1.34億-3.17%1.34億2.90%2.09億-12.92%2.3億-29.06%2.05億-0.80%1.38億-0.80%1.38億13.52%2.03億
總資產 9.02%1,440.5萬26.84%1,501萬-4.72%1,427萬-4.72%1,427萬227.53%1,138.5萬--1,321.3萬--1,183.4萬--1,497.7萬--1,497.7萬--347.6萬
負債
流動負債
短期借款與資本租賃負債 2.45%601.5萬4.29%567萬2.20%552.7萬2.20%552.7萬-68.79%589.5萬-68.67%587.1萬-94.63%543.7萬-70.62%540.8萬-70.62%540.8萬219.22%1,888.8萬
-短期借款 ------------------------------------1,963.69%1,318.7萬
-短期資本租賃負債 2.45%601.5萬4.29%567萬2.20%552.7萬2.20%552.7萬3.40%589.5萬4.93%587.1萬1.53%543.7萬2.62%540.8萬2.62%540.8萬8.01%570.1萬
-應付帳款 -7.49%1.28億8.37%1.29億-2.80%7,874.3萬-2.80%7,874.3萬-19.98%1.48億-17.22%1.38億-25.71%1.19億-0.95%8,101.4萬-0.95%8,101.4萬4.71%1.85億
-應付稅費 -0.79%9,952.9萬-2.76%9,707.3萬-3.92%9,721.9萬-3.92%9,721.9萬-8.97%9,924.7萬-7.82%1億-8.06%9,982.6萬-8.00%1.01億-8.00%1.01億-6.79%1.09億
應計費用 ---------32.24%4,115.7萬-32.24%4,115.7萬-------------16.17%6,074.1萬-16.17%6,074.1萬----
現行撥備 --------0.15%602.1萬0.15%602.1萬------------634.07%601.2萬634.07%601.2萬----
流動負債總額 -7.08%1.34億8.19%1.34億-14.17%1.32億-14.17%1.32億-24.49%1.54億-32.49%1.44億-55.82%1.24億-25.52%1.53億-25.52%1.53億-7.68%2.04億
非流動負債
-長期借款 0.84%9,233.1萬-1.64%8,938.7萬-2.38%8,984.8萬-2.38%8,984.8萬-2.66%9,035.4萬-1.85%9,155.8萬-2.36%9,088.2萬-2.23%9,203.4萬-2.23%9,203.4萬-1.94%9,282萬
長期應計費用 -0.42%1.21億-1.68%1.18億-2.51%1.19億-2.51%1.19億0.32%1.21億1.49%1.22億0.78%1.2億0.72%1.22億0.72%1.22億-1.49%1.21億
長期撥備 -------------------------------------65.00%681.5萬
監管負債 --------28.45%-94.8萬28.45%-94.8萬-------------1.61%-132.5萬-1.61%-132.5萬----
非流動負債總額 -4.50%2.34億3.31%2.32億-10.10%2.29億-10.10%2.29億-19.09%2.53億-24.17%2.45億-42.52%2.24億-19.42%2.55億-19.42%2.55億-7.37%3.13億
所有者權益
股本 -0.29%1.22億-0.45%1.22億-0.49%1.23億-0.49%1.23億-0.46%1.23億-0.30%1.23億-0.14%1.23億-0.08%1.23億-0.08%1.23億-0.08%1.23億
-普通股股本 -0.29%1.22億-0.45%1.22億-0.49%1.23億-0.49%1.23億-0.46%1.23億-0.30%1.23億-0.14%1.23億-0.08%1.23億-0.08%1.23億-0.08%1.23億
不影響留存收益的損益 53.58%1,274.4萬1.26%1,118.1萬-31.74%758.7萬-31.74%758.7萬-12.79%1,090.3萬60.60%829.8萬513.79%1,104.2萬221.61%1,111.5萬221.61%1,111.5萬212.78%1,250.2萬
總權益 4.02%6.61億7.08%6.43億1.05%6.24億1.05%6.24億-0.05%6.68億-2.51%6.35億-13.55%6.01億5.97%6.18億5.97%6.18億12.21%6.68億

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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