加拿大市場個股詳情

TCS Tecsys Inc

添加自選
  • 40.000
  • -0.250-0.62%
延時15分鐘行情已收盤 08/02 16:00 (美東)
5.94億總市值307.69市盈率TTM

Tecsys Inc關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2024/04/30
(Q4)2024/04/30
(Q3)2024/01/31
(Q2)2023/10/31
(Q1)2023/07/31
(FY)2023/04/30
(Q4)2023/04/30
(Q3)2023/01/31
(Q2)2022/10/31
(Q1)2022/07/31
資產
流動資產
現金及現金等價物和短期投資
-4.05%3,556.9萬
-4.05%3,556.9萬
19.24%3,321萬
-19.50%3,364萬
-15.11%3,187.1萬
-14.28%3,707萬
-14.28%3,707萬
-24.54%2,785.2萬
9.58%4,178.7萬
-4.86%3,754.6萬
-現金和現金等價物
-11.20%1,885.6萬
-11.20%1,885.6萬
37.07%1,672.4萬
-18.55%1,737.4萬
-8.07%1,582.5萬
-7.69%2,123.5萬
-7.69%2,123.5萬
-27.03%1,220.1萬
18.65%2,133.1萬
-11.00%1,721.5萬
-應收賬款
-3.54%2,209萬
-3.54%2,209萬
3.21%2,477.2萬
-3.49%2,062.5萬
41.27%2,464.8萬
35.01%2,290萬
35.01%2,290萬
12.26%2,400.1萬
9.66%2,137萬
-9.76%1,744.7萬
-其他應收款
11.05%934.6萬
11.05%934.6萬
----
----
----
28.67%841.6萬
28.67%841.6萬
----
----
----
流動資產合計
2.83%7,896.5萬
2.83%7,896.5萬
5.69%7,840.4萬
-3.54%7,809.2萬
7.18%7,791.2萬
3.16%7,679.2萬
3.16%7,679.2萬
-3.25%7,418.3萬
8.36%8,096.1萬
0.10%7,269.1萬
非流動資產
-累計折舊
-6.42%-1,503.7萬
-6.42%-1,503.7萬
----
----
----
-3.42%-1,413萬
-3.42%-1,413萬
----
----
----
-長期股權投資
-38.58%130.2萬
-38.58%130.2萬
-68.66%150.6萬
-85.20%171.3萬
-84.10%191萬
-82.88%212萬
-82.88%212萬
-68.32%480.5萬
-26.05%1,157.5萬
-25.78%1,201.4萬
長期應收票據
11.50%907.3萬
11.50%907.3萬
-5.61%813.4萬
-5.53%813.7萬
-5.50%813.2萬
-5.47%813.7萬
-5.47%813.7萬
43.43%861.7萬
43.41%861.3萬
43.25%860.5萬
-商譽
-4.34%2,774.9萬
-4.34%2,774.9萬
-5.82%2,529萬
-2.34%2,574萬
-1.32%2,601.3萬
-0.09%2,900.8萬
-0.09%2,900.8萬
-3.94%2,685.3萬
-7.16%2,635.8萬
-9.85%2,636.1萬
監管資產
-0.40%2,864.6萬
-0.40%2,864.6萬
-12.97%3,063.2萬
-1.49%2,955.3萬
35.50%3,334.8萬
28.28%2,876.1萬
28.28%2,876.1萬
14.68%3,519.8萬
6.78%3,000萬
-6.86%2,461.1萬
非流動遞延資產
-10.00%515.8萬
-10.00%515.8萬
54.04%680.1萬
37.07%584.2萬
69.84%696萬
44.21%573.1萬
44.21%573.1萬
-1.23%441.5萬
-2.78%426.2萬
-4.19%409.8萬
總資產
20.31%642.2萬
20.31%642.2萬
-45.57%533萬
7.63%851.6萬
1.99%667.2萬
2.18%533.8萬
2.18%533.8萬
9.27%979.3萬
3.49%791.2萬
0.63%654.2萬
負債
流動負債
短期借款與資本租賃負債
2.40%81.2萬
2.40%81.2萬
9.62%79.8萬
-57.58%78.9萬
-57.97%78.8萬
-57.41%79.3萬
-57.41%79.3萬
-63.89%72.8萬
-7.55%186萬
-7.68%187.5萬
-短期借款
----
----
----
----
----
----
----
----
0.00%120萬
-0.33%120萬
-短期資本租賃負債
2.40%81.2萬
2.40%81.2萬
9.62%79.8萬
19.55%78.9萬
16.74%78.8萬
19.79%79.3萬
19.79%79.3萬
-10.78%72.8萬
-18.72%66萬
-18.38%67.5萬
-應付帳款
-35.33%448.6萬
-35.33%448.6萬
----
----
----
78.79%693.7萬
78.79%693.7萬
----
----
----
-應付稅費
-27.67%262.4萬
-27.67%262.4萬
-55.55%273.6萬
-62.83%477萬
-76.34%313萬
-73.40%362.8萬
-73.40%362.8萬
-62.96%615.5萬
-24.98%1,283.2萬
-25.21%1,322.9萬
應計費用
-7.20%468萬
-7.20%468萬
----
----
----
-15.09%504.3萬
-15.09%504.3萬
----
----
----
遞延負債
19.16%3,621.1萬
19.16%3,621.1萬
5.14%3,069.7萬
8.75%3,299.9萬
22.52%3,174.5萬
23.08%3,038.8萬
23.08%3,038.8萬
24.94%2,919.7萬
26.62%3,034.3萬
17.84%2,590.9萬
流動負債總額
7.95%5,705.3萬
7.95%5,705.3萬
7.63%5,326.7萬
2.05%5,323.3萬
19.54%5,053.4萬
21.43%5,285萬
21.43%5,285萬
10.62%4,949.1萬
22.25%5,216.6萬
1.16%4,227.4萬
非流動負債
-長期借款
-38.58%130.2萬
-38.58%130.2萬
-68.66%150.6萬
-65.57%171.3萬
-62.65%191萬
-59.08%212萬
-59.08%212萬
-37.35%480.5萬
-36.65%497.5萬
-36.75%511.4萬
長期應計費用
-25.27%262.3萬
-25.27%262.3萬
-53.10%283.5萬
-51.53%300.3萬
-50.05%321.3萬
-46.91%351萬
-46.91%351萬
-31.89%604.5萬
-33.68%619.6萬
-33.10%643.2萬
長期撥備
----
----
----
----
----
----
----
----
-15.38%660萬
-14.81%690萬
遞延負債
96.05%49.6萬
96.05%49.6萬
--8,000
--182.5萬
--0
--25.3萬
--25.3萬
----
----
----
非流動負債總額
5.66%5,967.7萬
5.66%5,967.7萬
0.64%5,600.3萬
-10.76%5,800.3萬
-3.31%5,366.4萬
-1.19%5,647.8萬
-1.19%5,647.8萬
-9.30%5,564.6萬
8.74%6,499.8萬
-6.68%5,550.3萬
所有者權益
股本
17.86%5,225.6萬
17.86%5,225.6萬
8.87%4,802.6萬
8.05%4,764.2萬
5.89%4,664.5萬
0.83%4,433.8萬
0.83%4,433.8萬
0.32%4,411.2萬
0.28%4,409.4萬
3.16%4,404.9萬
-普通股股本
17.86%5,225.6萬
17.86%5,225.6萬
8.87%4,802.6萬
8.05%4,764.2萬
5.89%4,664.5萬
0.83%4,433.8萬
0.83%4,433.8萬
0.32%4,411.2萬
0.28%4,409.4萬
3.16%4,404.9萬
資本公積
-38.39%941.7萬
-38.39%941.7萬
-4.32%1,422.9萬
5.52%1,512.8萬
11.40%1,519.3萬
16.01%1,528.5萬
16.01%1,528.5萬
15.85%1,487.1萬
15.47%1,433.6萬
12.72%1,363.8萬
不影響留存收益的損益
-8,282.35%-142.5萬
-8,282.35%-142.5萬
4,300.00%66萬
-8.27%-335.1萬
234.47%213萬
98.81%-1.7萬
98.81%-1.7萬
101.49%1.5萬
-705.99%-309.5萬
-860.00%-158.4萬
總權益
0.89%1.28億
0.89%1.28億
1.45%1.28億
-3.89%1.27億
4.00%1.29億
0.85%1.27億
0.85%1.27億
-1.90%1.26億
3.74%1.32億
-1.78%1.24億
(FY)2024/04/30(Q4)2024/04/30(Q3)2024/01/31(Q2)2023/10/31(Q1)2023/07/31(FY)2023/04/30(Q4)2023/04/30(Q3)2023/01/31(Q2)2022/10/31(Q1)2022/07/31
資產
流動資產
現金及現金等價物和短期投資 -4.05%3,556.9萬-4.05%3,556.9萬19.24%3,321萬-19.50%3,364萬-15.11%3,187.1萬-14.28%3,707萬-14.28%3,707萬-24.54%2,785.2萬9.58%4,178.7萬-4.86%3,754.6萬
-現金和現金等價物 -11.20%1,885.6萬-11.20%1,885.6萬37.07%1,672.4萬-18.55%1,737.4萬-8.07%1,582.5萬-7.69%2,123.5萬-7.69%2,123.5萬-27.03%1,220.1萬18.65%2,133.1萬-11.00%1,721.5萬
-應收賬款 -3.54%2,209萬-3.54%2,209萬3.21%2,477.2萬-3.49%2,062.5萬41.27%2,464.8萬35.01%2,290萬35.01%2,290萬12.26%2,400.1萬9.66%2,137萬-9.76%1,744.7萬
-其他應收款 11.05%934.6萬11.05%934.6萬------------28.67%841.6萬28.67%841.6萬------------
流動資產合計 2.83%7,896.5萬2.83%7,896.5萬5.69%7,840.4萬-3.54%7,809.2萬7.18%7,791.2萬3.16%7,679.2萬3.16%7,679.2萬-3.25%7,418.3萬8.36%8,096.1萬0.10%7,269.1萬
非流動資產
-累計折舊 -6.42%-1,503.7萬-6.42%-1,503.7萬-------------3.42%-1,413萬-3.42%-1,413萬------------
-長期股權投資 -38.58%130.2萬-38.58%130.2萬-68.66%150.6萬-85.20%171.3萬-84.10%191萬-82.88%212萬-82.88%212萬-68.32%480.5萬-26.05%1,157.5萬-25.78%1,201.4萬
長期應收票據 11.50%907.3萬11.50%907.3萬-5.61%813.4萬-5.53%813.7萬-5.50%813.2萬-5.47%813.7萬-5.47%813.7萬43.43%861.7萬43.41%861.3萬43.25%860.5萬
-商譽 -4.34%2,774.9萬-4.34%2,774.9萬-5.82%2,529萬-2.34%2,574萬-1.32%2,601.3萬-0.09%2,900.8萬-0.09%2,900.8萬-3.94%2,685.3萬-7.16%2,635.8萬-9.85%2,636.1萬
監管資產 -0.40%2,864.6萬-0.40%2,864.6萬-12.97%3,063.2萬-1.49%2,955.3萬35.50%3,334.8萬28.28%2,876.1萬28.28%2,876.1萬14.68%3,519.8萬6.78%3,000萬-6.86%2,461.1萬
非流動遞延資產 -10.00%515.8萬-10.00%515.8萬54.04%680.1萬37.07%584.2萬69.84%696萬44.21%573.1萬44.21%573.1萬-1.23%441.5萬-2.78%426.2萬-4.19%409.8萬
總資產 20.31%642.2萬20.31%642.2萬-45.57%533萬7.63%851.6萬1.99%667.2萬2.18%533.8萬2.18%533.8萬9.27%979.3萬3.49%791.2萬0.63%654.2萬
負債
流動負債
短期借款與資本租賃負債 2.40%81.2萬2.40%81.2萬9.62%79.8萬-57.58%78.9萬-57.97%78.8萬-57.41%79.3萬-57.41%79.3萬-63.89%72.8萬-7.55%186萬-7.68%187.5萬
-短期借款 --------------------------------0.00%120萬-0.33%120萬
-短期資本租賃負債 2.40%81.2萬2.40%81.2萬9.62%79.8萬19.55%78.9萬16.74%78.8萬19.79%79.3萬19.79%79.3萬-10.78%72.8萬-18.72%66萬-18.38%67.5萬
-應付帳款 -35.33%448.6萬-35.33%448.6萬------------78.79%693.7萬78.79%693.7萬------------
-應付稅費 -27.67%262.4萬-27.67%262.4萬-55.55%273.6萬-62.83%477萬-76.34%313萬-73.40%362.8萬-73.40%362.8萬-62.96%615.5萬-24.98%1,283.2萬-25.21%1,322.9萬
應計費用 -7.20%468萬-7.20%468萬-------------15.09%504.3萬-15.09%504.3萬------------
遞延負債 19.16%3,621.1萬19.16%3,621.1萬5.14%3,069.7萬8.75%3,299.9萬22.52%3,174.5萬23.08%3,038.8萬23.08%3,038.8萬24.94%2,919.7萬26.62%3,034.3萬17.84%2,590.9萬
流動負債總額 7.95%5,705.3萬7.95%5,705.3萬7.63%5,326.7萬2.05%5,323.3萬19.54%5,053.4萬21.43%5,285萬21.43%5,285萬10.62%4,949.1萬22.25%5,216.6萬1.16%4,227.4萬
非流動負債
-長期借款 -38.58%130.2萬-38.58%130.2萬-68.66%150.6萬-65.57%171.3萬-62.65%191萬-59.08%212萬-59.08%212萬-37.35%480.5萬-36.65%497.5萬-36.75%511.4萬
長期應計費用 -25.27%262.3萬-25.27%262.3萬-53.10%283.5萬-51.53%300.3萬-50.05%321.3萬-46.91%351萬-46.91%351萬-31.89%604.5萬-33.68%619.6萬-33.10%643.2萬
長期撥備 ---------------------------------15.38%660萬-14.81%690萬
遞延負債 96.05%49.6萬96.05%49.6萬--8,000--182.5萬--0--25.3萬--25.3萬------------
非流動負債總額 5.66%5,967.7萬5.66%5,967.7萬0.64%5,600.3萬-10.76%5,800.3萬-3.31%5,366.4萬-1.19%5,647.8萬-1.19%5,647.8萬-9.30%5,564.6萬8.74%6,499.8萬-6.68%5,550.3萬
所有者權益
股本 17.86%5,225.6萬17.86%5,225.6萬8.87%4,802.6萬8.05%4,764.2萬5.89%4,664.5萬0.83%4,433.8萬0.83%4,433.8萬0.32%4,411.2萬0.28%4,409.4萬3.16%4,404.9萬
-普通股股本 17.86%5,225.6萬17.86%5,225.6萬8.87%4,802.6萬8.05%4,764.2萬5.89%4,664.5萬0.83%4,433.8萬0.83%4,433.8萬0.32%4,411.2萬0.28%4,409.4萬3.16%4,404.9萬
資本公積 -38.39%941.7萬-38.39%941.7萬-4.32%1,422.9萬5.52%1,512.8萬11.40%1,519.3萬16.01%1,528.5萬16.01%1,528.5萬15.85%1,487.1萬15.47%1,433.6萬12.72%1,363.8萬
不影響留存收益的損益 -8,282.35%-142.5萬-8,282.35%-142.5萬4,300.00%66萬-8.27%-335.1萬234.47%213萬98.81%-1.7萬98.81%-1.7萬101.49%1.5萬-705.99%-309.5萬-860.00%-158.4萬
總權益 0.89%1.28億0.89%1.28億1.45%1.28億-3.89%1.27億4.00%1.29億0.85%1.27億0.85%1.27億-1.90%1.26億3.74%1.32億-1.78%1.24億

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。

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