加拿大市場個股詳情

WOW Wow Unlimited Media Inc

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延時15分鐘行情盤後交易中 09/30 09:30 (美東)
0總市值0.00市盈率TTM

Wow Unlimited Media Inc關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2021/09/30
(Q2)2021/06/30
(Q1)2021/03/31
(FY)2020/12/31
(Q4)2020/12/31
(Q3)2020/09/30
(Q2)2020/06/30
(Q1)2020/03/31
(FY)2019/12/31
(Q4)2019/12/31
資產
流動資產
現金及現金等價物和短期投資
0.94%454.58萬
-18.26%229.3萬
101.21%448.49萬
30.24%417.43萬
30.24%417.43萬
-22.00%450.35萬
-18.99%280.52萬
-26.39%222.9萬
-17.03%320.51萬
-17.03%320.51萬
-現金和現金等價物
0.94%454.58萬
-18.26%229.3萬
101.21%448.49萬
30.24%417.43萬
30.24%417.43萬
-22.00%450.35萬
-18.99%280.52萬
-26.39%222.9萬
-17.03%320.51萬
-17.03%320.51萬
-應收賬款
29.65%3,788.32萬
7.97%3,357.82萬
39.21%3,578.34萬
8.76%3,282.39萬
8.76%3,282.39萬
21.89%2,921.97萬
2.89%3,110.06萬
-6.21%2,570.47萬
18.14%3,017.97萬
18.14%3,017.97萬
流動資產合計
23.32%4,532.24萬
6.67%3,961.65萬
38.28%4,305.32萬
11.86%3,991.48萬
11.86%3,991.48萬
14.98%3,675.22萬
1.71%3,713.85萬
-3.60%3,113.53萬
16.72%3,568.31萬
16.72%3,568.31萬
非流動資產
-累計折舊
----
----
----
-4.97%-841.32萬
-4.97%-841.32萬
----
----
----
39.30%-801.52萬
39.30%-801.52萬
-長期股權投資
27.59%1,657.39萬
31.70%1,745.44萬
17.08%1,624.24萬
37.91%1,665.98萬
37.91%1,665.98萬
-20.43%1,298.99萬
-19.29%1,325.27萬
-12.91%1,387.27萬
118.82%1,208.05萬
118.82%1,208.05萬
-商譽
5.81%2,165.97萬
-3.37%1,978.29萬
-0.26%1,976萬
8.97%1,855.43萬
8.97%1,855.43萬
-43.97%2,047.09萬
-43.75%2,047.21萬
-42.87%1,981.21萬
-49.22%1,702.66萬
-49.22%1,702.66萬
監管資產
29.65%3,788.32萬
7.97%3,357.82萬
39.21%3,578.34萬
8.76%3,282.39萬
8.76%3,282.39萬
21.89%2,921.97萬
2.89%3,110.06萬
-6.21%2,570.47萬
18.14%3,017.97萬
18.14%3,017.97萬
非流動遞延資產
509.40%45.67萬
-7.24%63.65萬
-5.74%81.65萬
-32.75%99.67萬
-32.75%99.67萬
-96.26%7.49萬
-71.91%68.62萬
-66.97%86.62萬
-47.13%148.22萬
-47.13%148.22萬
負債
流動負債
短期借款與資本租賃負債
-3.01%2,612萬
-29.15%2,073.38萬
3.23%2,485.59萬
-8.10%2,143.56萬
-8.10%2,143.56萬
8.06%2,693.01萬
23.99%2,926.27萬
8.83%2,407.87萬
35.55%2,332.48萬
35.55%2,332.48萬
-短期借款
-6.41%2,315.6萬
-33.81%1,792.44萬
1.90%2,264.49萬
-14.65%1,922.86萬
-14.65%1,922.86萬
3.73%2,474.28萬
21.79%2,707.82萬
6.57%2,222.29萬
42.08%2,252.99萬
42.08%2,252.99萬
-短期資本租賃負債
35.51%296.4萬
28.61%280.95萬
19.14%221.1萬
177.65%220.7萬
177.65%220.7萬
104.85%218.72萬
59.74%218.45萬
45.92%185.58萬
-41.16%79.49萬
-41.16%79.49萬
-應付稅費
17.96%1,668.83萬
22.31%1,775.46萬
8.73%1,663.39萬
29.51%1,763.18萬
29.51%1,763.18萬
-20.69%1,414.78萬
-18.55%1,451.65萬
-12.16%1,529.81萬
75.70%1,361.46萬
75.70%1,361.46萬
遞延負債
34.31%2,300.29萬
51.91%2,320.1萬
85.93%2,166.37萬
111.94%2,003.87萬
111.94%2,003.87萬
63.61%1,712.64萬
41.14%1,527.25萬
28.90%1,165.14萬
34.72%945.48萬
34.72%945.48萬
流動負債總額
7.17%5,712.25萬
-4.74%5,101.43萬
26.19%5,399.69萬
15.17%5,065.95萬
15.17%5,065.95萬
20.62%5,330萬
9.82%5,355.15萬
-0.85%4,278.91萬
18.35%4,398.77萬
18.35%4,398.77萬
非流動負債
-長期借款
-6.36%1,216.39萬
-1.31%1,307.88萬
-14.21%1,190.07萬
2.24%1,235.17萬
2.24%1,235.17萬
6.40%1,298.99萬
7.34%1,325.27萬
16.59%1,387.27萬
688.07%1,208.05萬
688.07%1,208.05萬
長期應計費用
-0.54%1,263.74萬
2.09%1,357.65萬
-14.00%1,146.73萬
9.57%1,204.06萬
9.57%1,204.06萬
9.48%1,270.65萬
8.47%1,329.83萬
7.37%1,333.44萬
267.35%1,098.87萬
267.35%1,098.87萬
長期撥備
--440.99萬
--437.56萬
--434.17萬
--430.82萬
--430.82萬
----
----
----
----
----
非流動負債總額
9.43%7,381.08萬
1.03%6,876.89萬
21.59%7,063.07萬
18.56%6,829.13萬
18.56%6,829.13萬
8.74%6,744.78萬
2.22%6,806.8萬
-4.10%5,808.72萬
28.24%5,760.23萬
28.24%5,760.23萬
所有者權益
股本
0.00%8,496.98萬
0.00%8,496.98萬
0.00%8,496.98萬
0.00%8,496.98萬
0.00%8,496.98萬
0.00%8,496.98萬
0.00%8,496.98萬
2.36%8,496.98萬
2.36%8,496.98萬
2.36%8,496.98萬
-普通股股本
0.00%8,496.98萬
0.00%8,496.98萬
0.00%8,496.98萬
0.00%8,496.98萬
0.00%8,496.98萬
0.00%8,496.98萬
0.00%8,496.98萬
2.36%8,496.98萬
2.36%8,496.98萬
2.36%8,496.98萬
不影響留存收益的損益
-1.40%561.64萬
-9.02%524.25萬
-9.11%539.22萬
10.12%547.37萬
10.12%547.37萬
13.77%569.61萬
25.00%576.25萬
27.65%593.28萬
3.86%497.06萬
3.86%497.06萬
總權益
14.27%8,018.2萬
2.59%7,371.8萬
15.04%7,525.29萬
9.51%7,166.27萬
9.51%7,166.27萬
-14.81%7,017.07萬
-18.24%7,185.88萬
-20.52%6,541.68萬
-6.77%6,543.69萬
-6.77%6,543.69萬
(Q3)2021/09/30(Q2)2021/06/30(Q1)2021/03/31(FY)2020/12/31(Q4)2020/12/31(Q3)2020/09/30(Q2)2020/06/30(Q1)2020/03/31(FY)2019/12/31(Q4)2019/12/31
資產
流動資產
現金及現金等價物和短期投資 0.94%454.58萬-18.26%229.3萬101.21%448.49萬30.24%417.43萬30.24%417.43萬-22.00%450.35萬-18.99%280.52萬-26.39%222.9萬-17.03%320.51萬-17.03%320.51萬
-現金和現金等價物 0.94%454.58萬-18.26%229.3萬101.21%448.49萬30.24%417.43萬30.24%417.43萬-22.00%450.35萬-18.99%280.52萬-26.39%222.9萬-17.03%320.51萬-17.03%320.51萬
-應收賬款 29.65%3,788.32萬7.97%3,357.82萬39.21%3,578.34萬8.76%3,282.39萬8.76%3,282.39萬21.89%2,921.97萬2.89%3,110.06萬-6.21%2,570.47萬18.14%3,017.97萬18.14%3,017.97萬
流動資產合計 23.32%4,532.24萬6.67%3,961.65萬38.28%4,305.32萬11.86%3,991.48萬11.86%3,991.48萬14.98%3,675.22萬1.71%3,713.85萬-3.60%3,113.53萬16.72%3,568.31萬16.72%3,568.31萬
非流動資產
-累計折舊 -------------4.97%-841.32萬-4.97%-841.32萬------------39.30%-801.52萬39.30%-801.52萬
-長期股權投資 27.59%1,657.39萬31.70%1,745.44萬17.08%1,624.24萬37.91%1,665.98萬37.91%1,665.98萬-20.43%1,298.99萬-19.29%1,325.27萬-12.91%1,387.27萬118.82%1,208.05萬118.82%1,208.05萬
-商譽 5.81%2,165.97萬-3.37%1,978.29萬-0.26%1,976萬8.97%1,855.43萬8.97%1,855.43萬-43.97%2,047.09萬-43.75%2,047.21萬-42.87%1,981.21萬-49.22%1,702.66萬-49.22%1,702.66萬
監管資產 29.65%3,788.32萬7.97%3,357.82萬39.21%3,578.34萬8.76%3,282.39萬8.76%3,282.39萬21.89%2,921.97萬2.89%3,110.06萬-6.21%2,570.47萬18.14%3,017.97萬18.14%3,017.97萬
非流動遞延資產 509.40%45.67萬-7.24%63.65萬-5.74%81.65萬-32.75%99.67萬-32.75%99.67萬-96.26%7.49萬-71.91%68.62萬-66.97%86.62萬-47.13%148.22萬-47.13%148.22萬
負債
流動負債
短期借款與資本租賃負債 -3.01%2,612萬-29.15%2,073.38萬3.23%2,485.59萬-8.10%2,143.56萬-8.10%2,143.56萬8.06%2,693.01萬23.99%2,926.27萬8.83%2,407.87萬35.55%2,332.48萬35.55%2,332.48萬
-短期借款 -6.41%2,315.6萬-33.81%1,792.44萬1.90%2,264.49萬-14.65%1,922.86萬-14.65%1,922.86萬3.73%2,474.28萬21.79%2,707.82萬6.57%2,222.29萬42.08%2,252.99萬42.08%2,252.99萬
-短期資本租賃負債 35.51%296.4萬28.61%280.95萬19.14%221.1萬177.65%220.7萬177.65%220.7萬104.85%218.72萬59.74%218.45萬45.92%185.58萬-41.16%79.49萬-41.16%79.49萬
-應付稅費 17.96%1,668.83萬22.31%1,775.46萬8.73%1,663.39萬29.51%1,763.18萬29.51%1,763.18萬-20.69%1,414.78萬-18.55%1,451.65萬-12.16%1,529.81萬75.70%1,361.46萬75.70%1,361.46萬
遞延負債 34.31%2,300.29萬51.91%2,320.1萬85.93%2,166.37萬111.94%2,003.87萬111.94%2,003.87萬63.61%1,712.64萬41.14%1,527.25萬28.90%1,165.14萬34.72%945.48萬34.72%945.48萬
流動負債總額 7.17%5,712.25萬-4.74%5,101.43萬26.19%5,399.69萬15.17%5,065.95萬15.17%5,065.95萬20.62%5,330萬9.82%5,355.15萬-0.85%4,278.91萬18.35%4,398.77萬18.35%4,398.77萬
非流動負債
-長期借款 -6.36%1,216.39萬-1.31%1,307.88萬-14.21%1,190.07萬2.24%1,235.17萬2.24%1,235.17萬6.40%1,298.99萬7.34%1,325.27萬16.59%1,387.27萬688.07%1,208.05萬688.07%1,208.05萬
長期應計費用 -0.54%1,263.74萬2.09%1,357.65萬-14.00%1,146.73萬9.57%1,204.06萬9.57%1,204.06萬9.48%1,270.65萬8.47%1,329.83萬7.37%1,333.44萬267.35%1,098.87萬267.35%1,098.87萬
長期撥備 --440.99萬--437.56萬--434.17萬--430.82萬--430.82萬--------------------
非流動負債總額 9.43%7,381.08萬1.03%6,876.89萬21.59%7,063.07萬18.56%6,829.13萬18.56%6,829.13萬8.74%6,744.78萬2.22%6,806.8萬-4.10%5,808.72萬28.24%5,760.23萬28.24%5,760.23萬
所有者權益
股本 0.00%8,496.98萬0.00%8,496.98萬0.00%8,496.98萬0.00%8,496.98萬0.00%8,496.98萬0.00%8,496.98萬0.00%8,496.98萬2.36%8,496.98萬2.36%8,496.98萬2.36%8,496.98萬
-普通股股本 0.00%8,496.98萬0.00%8,496.98萬0.00%8,496.98萬0.00%8,496.98萬0.00%8,496.98萬0.00%8,496.98萬0.00%8,496.98萬2.36%8,496.98萬2.36%8,496.98萬2.36%8,496.98萬
不影響留存收益的損益 -1.40%561.64萬-9.02%524.25萬-9.11%539.22萬10.12%547.37萬10.12%547.37萬13.77%569.61萬25.00%576.25萬27.65%593.28萬3.86%497.06萬3.86%497.06萬
總權益 14.27%8,018.2萬2.59%7,371.8萬15.04%7,525.29萬9.51%7,166.27萬9.51%7,166.27萬-14.81%7,017.07萬-18.24%7,185.88萬-20.52%6,541.68萬-6.77%6,543.69萬-6.77%6,543.69萬

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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加拿大
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最新價
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