美股市場個股詳情

TSRMD NEXGOLD MINING CORP

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  • 0.547
  • 0.0000.00%
延時15分鐘行情收盤價 08/02 16:00 (美東)
4162.04萬總市值-2.80市盈率TTM

NEXGOLD MINING CORP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
-39.56%781萬
-39.46%1,009.65萬
-39.46%1,009.65萬
-56.72%891.44萬
-54.18%1,117.25萬
136.19%1,292.14萬
54.75%1,667.77萬
54.75%1,667.77萬
--2,059.82萬
56.65%2,438.29萬
-現金和現金等價物
-40.91%714.52萬
-41.11%943.06萬
-41.11%943.06萬
-58.96%824.69萬
-55.01%1,067.06萬
157.16%1,209.23萬
58.81%1,601.33萬
58.81%1,601.33萬
--2,009.48萬
62.08%2,371.51萬
-短期投資
-19.83%66.47萬
0.22%66.59萬
0.22%66.59萬
32.60%66.75萬
-24.84%50.19萬
7.89%82.91萬
-4.24%66.44萬
-4.24%66.44萬
--50.34萬
-28.43%66.78萬
應收款項
-29.29%26.67萬
-19.92%32.92萬
-19.92%32.92萬
-28.81%26.55萬
-72.40%34.42萬
-62.34%37.72萬
-16.11%41.11萬
-16.11%41.11萬
--37.3萬
237.82%124.72萬
-應收稅費
-55.83%9.99萬
-31.67%22.23萬
-31.67%22.23萬
-45.72%20.24萬
-88.69%14.11萬
-77.42%22.61萬
-33.01%32.53萬
-33.01%32.53萬
--37.3萬
237.82%124.72萬
-其他應收款
10.45%16.68萬
24.69%10.69萬
24.69%10.69萬
--6.31萬
--20.31萬
--15.1萬
1,851.19%8.58萬
1,851.19%8.58萬
----
----
預付費用
426.45%118.27萬
177.54%125.78萬
177.54%125.78萬
126.84%126.37萬
92.38%119.68萬
-61.99%22.47萬
-28.84%45.32萬
-28.84%45.32萬
--55.71萬
290.12%62.21萬
受限制現金
----
--0
--0
0.00%6,805
0.00%6,805
0.00%6,805
0.00%6,805
0.00%6,805
--6,805
0.00%6,805
流動資產合計
-31.56%925.94萬
-33.42%1,168.35萬
-33.42%1,168.35萬
-51.47%1,045.05萬
-51.56%1,272.03萬
91.37%1,353萬
47.33%1,754.88萬
47.33%1,754.88萬
--2,153.51萬
63.09%2,625.9萬
非流動資產
固定資產淨額
-0.18%1.06億
-0.18%1.06億
-0.18%1.06億
-43.58%1.06億
-42.49%1.06億
-45.85%1.06億
-11.70%1.06億
-11.70%1.06億
--1.88億
1.55%1.84億
-固定資產
0.01%1.07億
0.01%1.07億
0.01%1.07億
-43.26%1.07億
-42.18%1.07億
-45.55%1.07億
-11.54%1.07億
-11.54%1.07億
--1.89億
1.56%1.85億
-累計折舊
-19.74%-123.14萬
-20.69%-118.05萬
-20.69%-118.05萬
-23.13%-112.99萬
-25.81%-107.89萬
-26.71%-102.84萬
-10.08%-97.82萬
-10.08%-97.82萬
---91.77萬
-4.48%-85.76萬
非流動資產合計
-0.18%1.06億
-0.18%1.06億
-0.18%1.06億
-43.58%1.06億
-42.49%1.06億
-45.85%1.06億
-11.70%1.06億
-11.70%1.06億
--1.88億
1.55%1.84億
總資產
-3.73%1.15億
-4.89%1.18億
-4.89%1.18億
-44.39%1.17億
-43.62%1.19億
-41.07%1.2億
-6.38%1.24億
-6.38%1.24億
--2.09億
6.56%2.11億
負債
流動負債
應付款項
7.85%6.7萬
13.77%59.53萬
13.77%59.53萬
-59.37%11.15萬
-67.95%8.37萬
-96.08%6.21萬
-25.81%52.33萬
-25.81%52.33萬
--27.43萬
-78.24%26.12萬
-應付賬款
7.85%6.7萬
13.77%59.53萬
13.77%59.53萬
-59.37%11.15萬
-67.95%8.37萬
-96.08%6.21萬
-25.81%52.33萬
-25.81%52.33萬
--27.43萬
-78.24%26.12萬
應計費用
-23.99%38.15萬
-24.83%52.33萬
-24.83%52.33萬
-20.61%53.4萬
-11.70%67.95萬
-57.00%50.2萬
-31.64%69.61萬
-31.64%69.61萬
--67.26萬
29.05%76.95萬
短期借款與租賃負債
9.85%980.41萬
-77.11%197.08萬
-77.11%197.08萬
-76.57%196.59萬
-75.07%188.25萬
10,089.38%892.48萬
--861.11萬
--861.11萬
--839.19萬
872,957.92%755.2萬
-短期借款
10.01%969.98萬
-78.12%186.08萬
-78.12%186.08萬
-77.60%185.66萬
-76.18%177.45萬
--881.75萬
--850.5萬
--850.5萬
--828.72萬
--744.91萬
-短期租賃負債
-2.86%10.42萬
3.63%11萬
3.63%11萬
4.42%10.93萬
4.99%10.8萬
22.52%10.73萬
--10.61萬
--10.61萬
--10.47萬
11,793.87%10.29萬
其他流動負債
-49.95%3.15萬
351.13%10.26萬
351.13%10.26萬
632.05%31.93萬
48.08%42.06萬
-91.23%6.29萬
-99.00%2.27萬
-99.00%2.27萬
--4.36萬
-89.31%28.4萬
流動負債總額
7.67%1,028.41萬
-67.60%319.2萬
-67.60%319.2萬
-68.76%293.06萬
-65.42%306.62萬
168.55%955.17萬
146.62%985.32萬
146.62%985.32萬
--938.24萬
99.03%886.66萬
非流動負債
長期借款與租賃負債
-21.98%725.88萬
52.78%1,497.08萬
52.78%1,497.08萬
50.32%1,562.43萬
52.64%1,561.68萬
60.77%930.43萬
81.14%979.89萬
81.14%979.89萬
--1,039.42萬
109.18%1,023.1萬
-長期借款
-21.39%713.86萬
55.32%1,482.89萬
55.32%1,482.89萬
54.46%1,562.43萬
55.35%1,542.02萬
64.03%908.05萬
--954.71萬
--954.71萬
--1,011.56萬
102.94%992.58萬
-長期租賃負債
-46.31%12.02萬
-43.66%14.19萬
-43.66%14.19萬
----
-35.57%19.66萬
-11.00%22.38萬
-95.34%25.18萬
-95.34%25.18萬
--27.87萬
--30.52萬
遞延負債
----
----
----
----
----
----
----
----
--178.4萬
--195.92萬
衍生品負債
----
--5.95萬
--5.95萬
--4.3萬
--17.1萬
----
--0
--0
----
----
其他非流動負債
----
----
----
----
----
----
--1
--1
----
----
非流動負債總額
-21.98%725.88萬
53.39%1,503.04萬
53.39%1,503.04萬
28.65%1,566.74萬
29.51%1,578.78萬
11.48%930.43萬
81.14%979.89萬
81.14%979.89萬
--1,217.82萬
149.24%1,219.03萬
總負債
-6.96%1,754.29萬
-7.28%1,822.23萬
-7.28%1,822.23萬
-13.74%1,859.8萬
-10.46%1,885.41萬
58.41%1,885.61萬
108.96%1,965.21萬
108.96%1,965.21萬
--2,156.06萬
125.30%2,105.69萬
所有者權益
股本
3.10%2.17億
3.18%2.16億
3.18%2.16億
1.50%2.13億
1.18%2.12億
0.45%2.1億
0.07%2.1億
0.07%2.1億
--2.1億
3.01%2.1億
-普通股股本
3.10%2.17億
3.18%2.16億
3.18%2.16億
1.50%2.13億
1.18%2.12億
0.45%2.1億
0.07%2.1億
0.07%2.1億
--2.1億
3.01%2.1億
留存收益
-8.30%-1.47億
-10.25%-1.44億
-10.25%-1.44億
-205.22%-1.41億
-211.19%-1.38億
-217.09%-1.35億
-18.40%-1.31億
-18.40%-1.31億
---4,630.39萬
-15.13%-4,442.36萬
資本公積
3.05%2,742.07萬
4.52%2,728.32萬
4.52%2,728.32萬
4.72%2,705.91萬
5.15%2,686.52萬
5.14%2,660.94萬
6.12%2,610.27萬
6.12%2,610.27萬
--2,584.01萬
5.06%2,555.01萬
不影響留存收益的損益
-19.11%-102.47萬
0.14%-102.36萬
0.14%-102.36萬
13.84%-102.19萬
-16.23%-118.75萬
6.58%-86.03萬
-2.95%-102.5萬
-2.95%-102.5萬
---118.61萬
-35.08%-102.17萬
其他權益
--91.82萬
--91.82萬
--91.82萬
--46.5萬
--46.5萬
----
----
----
----
----
股東權益總額
-3.12%9,766.55萬
-4.44%9,946.1萬
-4.44%9,946.1萬
-47.91%9,790.3萬
-47.30%9,996.25萬
-47.26%1.01億
-15.21%1.04億
-15.21%1.04億
--1.88億
0.67%1.9億
總權益
-3.12%9,766.55萬
-4.44%9,946.1萬
-4.44%9,946.1萬
-47.91%9,790.3萬
-47.30%9,996.25萬
-47.26%1.01億
-15.21%1.04億
-15.21%1.04億
--1.88億
0.67%1.9億
貨幣單位
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
審計意見
--
帶解釋段的無保留意見
--
--
--
--
帶解釋段的無保留意見
--
--
--
(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 -39.56%781萬-39.46%1,009.65萬-39.46%1,009.65萬-56.72%891.44萬-54.18%1,117.25萬136.19%1,292.14萬54.75%1,667.77萬54.75%1,667.77萬--2,059.82萬56.65%2,438.29萬
-現金和現金等價物 -40.91%714.52萬-41.11%943.06萬-41.11%943.06萬-58.96%824.69萬-55.01%1,067.06萬157.16%1,209.23萬58.81%1,601.33萬58.81%1,601.33萬--2,009.48萬62.08%2,371.51萬
-短期投資 -19.83%66.47萬0.22%66.59萬0.22%66.59萬32.60%66.75萬-24.84%50.19萬7.89%82.91萬-4.24%66.44萬-4.24%66.44萬--50.34萬-28.43%66.78萬
應收款項 -29.29%26.67萬-19.92%32.92萬-19.92%32.92萬-28.81%26.55萬-72.40%34.42萬-62.34%37.72萬-16.11%41.11萬-16.11%41.11萬--37.3萬237.82%124.72萬
-應收稅費 -55.83%9.99萬-31.67%22.23萬-31.67%22.23萬-45.72%20.24萬-88.69%14.11萬-77.42%22.61萬-33.01%32.53萬-33.01%32.53萬--37.3萬237.82%124.72萬
-其他應收款 10.45%16.68萬24.69%10.69萬24.69%10.69萬--6.31萬--20.31萬--15.1萬1,851.19%8.58萬1,851.19%8.58萬--------
預付費用 426.45%118.27萬177.54%125.78萬177.54%125.78萬126.84%126.37萬92.38%119.68萬-61.99%22.47萬-28.84%45.32萬-28.84%45.32萬--55.71萬290.12%62.21萬
受限制現金 ------0--00.00%6,8050.00%6,8050.00%6,8050.00%6,8050.00%6,805--6,8050.00%6,805
流動資產合計 -31.56%925.94萬-33.42%1,168.35萬-33.42%1,168.35萬-51.47%1,045.05萬-51.56%1,272.03萬91.37%1,353萬47.33%1,754.88萬47.33%1,754.88萬--2,153.51萬63.09%2,625.9萬
非流動資產
固定資產淨額 -0.18%1.06億-0.18%1.06億-0.18%1.06億-43.58%1.06億-42.49%1.06億-45.85%1.06億-11.70%1.06億-11.70%1.06億--1.88億1.55%1.84億
-固定資產 0.01%1.07億0.01%1.07億0.01%1.07億-43.26%1.07億-42.18%1.07億-45.55%1.07億-11.54%1.07億-11.54%1.07億--1.89億1.56%1.85億
-累計折舊 -19.74%-123.14萬-20.69%-118.05萬-20.69%-118.05萬-23.13%-112.99萬-25.81%-107.89萬-26.71%-102.84萬-10.08%-97.82萬-10.08%-97.82萬---91.77萬-4.48%-85.76萬
非流動資產合計 -0.18%1.06億-0.18%1.06億-0.18%1.06億-43.58%1.06億-42.49%1.06億-45.85%1.06億-11.70%1.06億-11.70%1.06億--1.88億1.55%1.84億
總資產 -3.73%1.15億-4.89%1.18億-4.89%1.18億-44.39%1.17億-43.62%1.19億-41.07%1.2億-6.38%1.24億-6.38%1.24億--2.09億6.56%2.11億
負債
流動負債
應付款項 7.85%6.7萬13.77%59.53萬13.77%59.53萬-59.37%11.15萬-67.95%8.37萬-96.08%6.21萬-25.81%52.33萬-25.81%52.33萬--27.43萬-78.24%26.12萬
-應付賬款 7.85%6.7萬13.77%59.53萬13.77%59.53萬-59.37%11.15萬-67.95%8.37萬-96.08%6.21萬-25.81%52.33萬-25.81%52.33萬--27.43萬-78.24%26.12萬
應計費用 -23.99%38.15萬-24.83%52.33萬-24.83%52.33萬-20.61%53.4萬-11.70%67.95萬-57.00%50.2萬-31.64%69.61萬-31.64%69.61萬--67.26萬29.05%76.95萬
短期借款與租賃負債 9.85%980.41萬-77.11%197.08萬-77.11%197.08萬-76.57%196.59萬-75.07%188.25萬10,089.38%892.48萬--861.11萬--861.11萬--839.19萬872,957.92%755.2萬
-短期借款 10.01%969.98萬-78.12%186.08萬-78.12%186.08萬-77.60%185.66萬-76.18%177.45萬--881.75萬--850.5萬--850.5萬--828.72萬--744.91萬
-短期租賃負債 -2.86%10.42萬3.63%11萬3.63%11萬4.42%10.93萬4.99%10.8萬22.52%10.73萬--10.61萬--10.61萬--10.47萬11,793.87%10.29萬
其他流動負債 -49.95%3.15萬351.13%10.26萬351.13%10.26萬632.05%31.93萬48.08%42.06萬-91.23%6.29萬-99.00%2.27萬-99.00%2.27萬--4.36萬-89.31%28.4萬
流動負債總額 7.67%1,028.41萬-67.60%319.2萬-67.60%319.2萬-68.76%293.06萬-65.42%306.62萬168.55%955.17萬146.62%985.32萬146.62%985.32萬--938.24萬99.03%886.66萬
非流動負債
長期借款與租賃負債 -21.98%725.88萬52.78%1,497.08萬52.78%1,497.08萬50.32%1,562.43萬52.64%1,561.68萬60.77%930.43萬81.14%979.89萬81.14%979.89萬--1,039.42萬109.18%1,023.1萬
-長期借款 -21.39%713.86萬55.32%1,482.89萬55.32%1,482.89萬54.46%1,562.43萬55.35%1,542.02萬64.03%908.05萬--954.71萬--954.71萬--1,011.56萬102.94%992.58萬
-長期租賃負債 -46.31%12.02萬-43.66%14.19萬-43.66%14.19萬-----35.57%19.66萬-11.00%22.38萬-95.34%25.18萬-95.34%25.18萬--27.87萬--30.52萬
遞延負債 ----------------------------------178.4萬--195.92萬
衍生品負債 ------5.95萬--5.95萬--4.3萬--17.1萬------0--0--------
其他非流動負債 --------------------------1--1--------
非流動負債總額 -21.98%725.88萬53.39%1,503.04萬53.39%1,503.04萬28.65%1,566.74萬29.51%1,578.78萬11.48%930.43萬81.14%979.89萬81.14%979.89萬--1,217.82萬149.24%1,219.03萬
總負債 -6.96%1,754.29萬-7.28%1,822.23萬-7.28%1,822.23萬-13.74%1,859.8萬-10.46%1,885.41萬58.41%1,885.61萬108.96%1,965.21萬108.96%1,965.21萬--2,156.06萬125.30%2,105.69萬
所有者權益
股本 3.10%2.17億3.18%2.16億3.18%2.16億1.50%2.13億1.18%2.12億0.45%2.1億0.07%2.1億0.07%2.1億--2.1億3.01%2.1億
-普通股股本 3.10%2.17億3.18%2.16億3.18%2.16億1.50%2.13億1.18%2.12億0.45%2.1億0.07%2.1億0.07%2.1億--2.1億3.01%2.1億
留存收益 -8.30%-1.47億-10.25%-1.44億-10.25%-1.44億-205.22%-1.41億-211.19%-1.38億-217.09%-1.35億-18.40%-1.31億-18.40%-1.31億---4,630.39萬-15.13%-4,442.36萬
資本公積 3.05%2,742.07萬4.52%2,728.32萬4.52%2,728.32萬4.72%2,705.91萬5.15%2,686.52萬5.14%2,660.94萬6.12%2,610.27萬6.12%2,610.27萬--2,584.01萬5.06%2,555.01萬
不影響留存收益的損益 -19.11%-102.47萬0.14%-102.36萬0.14%-102.36萬13.84%-102.19萬-16.23%-118.75萬6.58%-86.03萬-2.95%-102.5萬-2.95%-102.5萬---118.61萬-35.08%-102.17萬
其他權益 --91.82萬--91.82萬--91.82萬--46.5萬--46.5萬--------------------
股東權益總額 -3.12%9,766.55萬-4.44%9,946.1萬-4.44%9,946.1萬-47.91%9,790.3萬-47.30%9,996.25萬-47.26%1.01億-15.21%1.04億-15.21%1.04億--1.88億0.67%1.9億
總權益 -3.12%9,766.55萬-4.44%9,946.1萬-4.44%9,946.1萬-47.91%9,790.3萬-47.30%9,996.25萬-47.26%1.01億-15.21%1.04億-15.21%1.04億--1.88億0.67%1.9億
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審計意見 --帶解釋段的無保留意見--------帶解釋段的無保留意見------
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