美股市場個股詳情

XAUMF GOLDMONEY INC

添加自選
  • 5.542
  • +0.112+2.06%
延時15分鐘行情收盤價 12/20 16:00 (美東)
  • 5.510
  • -0.032-0.57%
盤後 16:41 (美東)
7289.48萬總市值-4.01市盈率TTM

GOLDMONEY INC關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2024/09/30
(Q1)2024/06/30
(FY)2024/03/31
(Q4)2024/03/31
(Q3)2023/12/31
(Q2)2023/09/30
(Q1)2023/06/30
(FY)2023/03/31
(Q4)2023/03/31
(Q3)2022/12/31
資產
流動資產
現金及現金等價物和短期投資
-58.10%908.33萬
-52.12%1,282.66萬
-69.21%1,332.63萬
-69.21%1,332.63萬
-61.04%1,487.61萬
-30.75%2,168.01萬
-8.94%2,678.68萬
35.31%4,327.47萬
35.31%4,327.47萬
22.13%3,818.11萬
-現金和現金等價物
-57.51%908.33萬
-50.67%1,282.66萬
-67.57%1,332.63萬
-67.57%1,332.63萬
-58.88%1,460.97萬
-24.01%2,137.74萬
-1.78%2,600.14萬
57.88%4,109.8萬
57.88%4,109.8萬
34.89%3,553.19萬
-短期投資
----
----
--0
--0
-89.94%26.64萬
-90.47%30.27萬
-73.33%78.54萬
-63.43%217.66萬
-63.43%217.66萬
-46.16%264.91萬
應收款項
-87.58%152.51萬
-86.36%153.52萬
-85.52%199.54萬
-85.52%199.54萬
-84.13%202.28萬
3.00%1,227.99萬
-4.62%1,125.68萬
12.06%1,378.01萬
12.06%1,378.01萬
10.01%1,274.98萬
-應收賬款
-62.84%70.08萬
-5.60%70.13萬
47.05%105.09萬
47.05%105.09萬
11.43%76.6萬
162.86%188.59萬
-5.31%74.28萬
-9.92%71.46萬
-9.92%71.46萬
0.06%68.74萬
-應收貸款
----
----
--0
--0
--0
-8.64%1,002.62萬
-8.76%1,005.2萬
11.81%1,275.78萬
11.81%1,275.78萬
8.31%1,180.92萬
-應收票據
--62.81萬
--62.77萬
--62.58萬
--62.58萬
----
----
----
--0
--0
----
-應收利息
----
----
-99.83%273
-99.83%273
-57.50%5.89萬
-4.06%9.4萬
--5.32萬
--15.65萬
--15.65萬
--13.85萬
-應收稅費
-76.74%5.72萬
-60.55%9.76萬
17.99%7.09萬
17.99%7.09萬
122.36%16.29萬
400.44%24.59萬
--24.75萬
-13.44%6.01萬
-13.44%6.01萬
--7.33萬
-應收關聯方款項
-26.90%2.04萬
-88.91%1.79萬
-84.91%1.37萬
-84.91%1.37萬
-3.77%3.98萬
-66.79%2.79萬
--16.13萬
284.01%9.1萬
284.01%9.1萬
--4.14萬
-其他應收款
--11.86萬
--9.07萬
--23.38萬
--23.38萬
--99.52萬
----
----
----
----
----
存貨
-74.57%337.87萬
-79.16%281.83萬
-96.00%213.38萬
-96.00%213.38萬
-96.87%187.77萬
-77.19%1,328.8萬
-74.86%1,352.05萬
-1.70%5,332.64萬
-1.70%5,332.64萬
25.78%5,990.31萬
預付費用
-90.37%30.73萬
-45.13%13.01萬
-64.49%9.37萬
-64.49%9.37萬
--7.62萬
--318.97萬
-56.58%23.7萬
--26.37萬
--26.37萬
----
受限制現金
----
----
----
----
----
----
----
----
----
--0
其他流動資產
--1.71萬
--1.71萬
--5.73萬
--5.73萬
-73.60%8.32萬
----
----
----
----
29.10%31.51萬
流動資產合計
-73.44%1,441.69萬
-66.25%1,748.23萬
-84.08%1,761.44萬
-84.08%1,761.44萬
-82.96%1,893.6萬
-46.84%5,428.56萬
-46.08%5,180.11萬
9.93%1.11億
9.93%1.11億
21.47%1.11億
非流動資產
固定資產淨額
-13.45%71.97萬
-30.39%74.23萬
-13.09%76.7萬
-13.09%76.7萬
-13.49%79.44萬
-13.34%83.16萬
4.83%106.63萬
-37.19%88.25萬
-37.19%88.25萬
-80.39%91.82萬
-固定資產
-17.25%123.87萬
-27.17%123.65萬
-16.93%123.65萬
-16.93%123.65萬
61.69%148.47萬
--149.69萬
66.92%169.79萬
-29.31%148.86萬
-29.31%148.86萬
-82.56%91.82萬
-累計折舊
21.99%-51.9萬
21.74%-49.42萬
22.53%-46.96萬
22.53%-46.96萬
---69.04萬
---66.53萬
---63.16萬
13.51%-60.61萬
13.51%-60.61萬
--0
商譽及其他無形資產
-37.58%1,676.11萬
-43.10%1,692.8萬
-42.86%1,709.48萬
-42.86%1,709.48萬
-32.60%2,668.27萬
-32.46%2,685.31萬
-25.48%2,974.86萬
-25.36%2,991.93萬
-25.36%2,991.93萬
-26.77%3,958.9萬
-商譽
----
----
--0
--0
-55.67%942.22萬
-55.67%942.22萬
-44.70%1,175.37萬
-44.70%1,175.37萬
-44.70%1,175.37萬
-39.37%2,125.37萬
-其他無形資產
-3.84%1,676.11萬
-5.93%1,692.8萬
-5.89%1,709.48萬
-5.89%1,709.48萬
-5.86%1,726.06萬
-5.81%1,743.09萬
-3.60%1,799.49萬
-3.54%1,816.55萬
-3.54%1,816.55萬
-3.52%1,833.53萬
投資和預付款
-63.41%1,266.76萬
-40.77%2,056.34萬
-40.34%2,064.34萬
-40.34%2,064.34萬
-2.11%3,401.93萬
-1.75%3,462.31萬
-0.55%3,471.9萬
-0.61%3,460.42萬
-0.61%3,460.42萬
-0.88%3,475.1萬
關聯方資產
-26.90%2.04萬
-88.91%1.79萬
-84.91%1.37萬
-84.91%1.37萬
-3.77%3.98萬
-66.79%2.79萬
--16.13萬
284.01%9.1萬
284.01%9.1萬
--4.14萬
非流動資產合計
50.81%1.81億
41.49%1.76億
156.65%1.68億
156.65%1.68億
164.68%1.99億
58.10%1.2億
64.01%1.24億
-14.29%6,540.59萬
-14.29%6,540.59萬
-19.77%7,525.82萬
總資產
12.13%1.96億
9.81%1.93億
5.36%1.85億
5.36%1.85億
17.02%2.18億
-2.08%1.74億
2.49%1.76億
-0.52%1.76億
-0.52%1.76億
0.60%1.86億
負債
流動負債
應付款項
387.43%464.33萬
50.04%413.3萬
-12.24%344.72萬
-12.24%344.72萬
--231.11萬
--95.26萬
--275.45萬
--392.81萬
--392.81萬
----
-應付賬款
138.58%191.01萬
68.67%305.84萬
-17.84%274.77萬
-17.84%274.77萬
--231.11萬
--80.06萬
--181.32萬
--334.44萬
--334.44萬
----
-應付稅費
1,698.16%273.32萬
14.17%107.47萬
19.86%69.96萬
19.86%69.96萬
--0
--15.2萬
--94.13萬
--58.37萬
--58.37萬
----
短期借款與租賃負債
--271.2萬
16,248.43%259.52萬
--256.71萬
--256.71萬
--252.56萬
----
--1.59萬
----
----
----
-短期租賃負債
----
----
----
----
----
----
--1.59萬
----
----
----
遞延負債
--303.38萬
--272.4萬
--201.73萬
--201.73萬
----
----
----
--0
--0
----
其他流動負債
----
----
----
----
----
--82.65萬
----
----
----
----
流動負債總額
483.94%1,038.92萬
241.18%945.21萬
104.47%803.17萬
104.47%803.17萬
30.72%483.66萬
-64.41%177.92萬
12.43%277.04萬
93.83%392.81萬
93.83%392.81萬
-3.63%370.01萬
非流動負債
長期借款與租賃負債
--3,612.29萬
17,629.73%3,604.84萬
--3,626.89萬
--3,626.89萬
--3,953.48萬
----
--20.33萬
----
----
----
-長期借款
--3,612.29萬
--3,604.84萬
--3,626.89萬
--3,626.89萬
--3,953.48萬
----
----
----
----
----
-長期租賃負債
----
----
----
----
----
----
--20.33萬
----
----
----
非流動負債總額
--3,612.29萬
17,629.73%3,604.84萬
--3,626.89萬
--3,626.89萬
--3,953.48萬
--0
--20.33萬
--0
--0
--0
總負債
2,514.29%4,651.21萬
1,430.08%4,550.06萬
1,027.79%4,430.05萬
1,027.79%4,430.05萬
1,099.19%4,437.14萬
-64.41%177.92萬
20.68%297.37萬
93.79%392.81萬
93.79%392.81萬
-3.63%370.01萬
所有者權益
股本
-3.17%1.49億
-4.61%1.49億
-4.53%1.49億
-4.53%1.49億
-7.24%1.52億
-5.83%1.54億
-5.28%1.56億
-5.64%1.56億
-5.64%1.56億
-1.39%1.63億
-普通股股本
-3.17%1.49億
-4.61%1.49億
-4.53%1.49億
-4.53%1.49億
-7.24%1.52億
-5.83%1.54億
-5.28%1.56億
-5.64%1.56億
-5.64%1.56億
-1.39%1.63億
留存收益
-385.06%-2,067.67萬
-427.96%-1,678.02萬
-955.23%-2,191.23萬
-955.23%-2,191.23萬
70.81%1,016.05萬
259.87%725.34萬
159.54%511.65萬
160.41%256.22萬
160.41%256.22萬
187.43%594.83萬
資本公積
2.25%1,310.76萬
7.46%1,376.88萬
-7.33%1,240.79萬
-7.33%1,240.79萬
-7.12%1,240.23萬
-6.72%1,281.91萬
-6.38%1,281.34萬
-1.62%1,338.95萬
-1.62%1,338.95萬
-1.66%1,335.24萬
不影響留存收益的損益
618.96%714.62萬
57,133.56%245.76萬
334.88%151.3萬
334.88%151.3萬
-97.56%8,575
-471.33%-137.7萬
-98.64%4,294
17.89%34.79萬
17.89%34.79萬
10.08%35.1萬
股東權益總額
-13.88%1.49億
-14.78%1.48億
-18.18%1.41億
-18.18%1.41億
-4.86%1.74億
-0.25%1.73億
2.26%1.74億
-1.54%1.73億
-1.54%1.73億
0.76%1.83億
非控制性權益
--0
--0
--0
--0
-9.59%-44.51萬
-12.01%-44.3萬
-19.48%-42.28萬
-34.89%-42.1萬
-34.89%-42.1萬
-48.64%-40.62萬
總權益
-13.66%1.49億
-14.57%1.48億
-17.98%1.41億
-17.98%1.41億
-4.90%1.74億
-0.28%1.73億
2.22%1.73億
-1.61%1.72億
-1.61%1.72億
0.68%1.83億
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
--
--
無保留意見
--
--
--
--
無保留意見
--
--
(Q2)2024/09/30(Q1)2024/06/30(FY)2024/03/31(Q4)2024/03/31(Q3)2023/12/31(Q2)2023/09/30(Q1)2023/06/30(FY)2023/03/31(Q4)2023/03/31(Q3)2022/12/31
資產
流動資產
現金及現金等價物和短期投資 -58.10%908.33萬-52.12%1,282.66萬-69.21%1,332.63萬-69.21%1,332.63萬-61.04%1,487.61萬-30.75%2,168.01萬-8.94%2,678.68萬35.31%4,327.47萬35.31%4,327.47萬22.13%3,818.11萬
-現金和現金等價物 -57.51%908.33萬-50.67%1,282.66萬-67.57%1,332.63萬-67.57%1,332.63萬-58.88%1,460.97萬-24.01%2,137.74萬-1.78%2,600.14萬57.88%4,109.8萬57.88%4,109.8萬34.89%3,553.19萬
-短期投資 ----------0--0-89.94%26.64萬-90.47%30.27萬-73.33%78.54萬-63.43%217.66萬-63.43%217.66萬-46.16%264.91萬
應收款項 -87.58%152.51萬-86.36%153.52萬-85.52%199.54萬-85.52%199.54萬-84.13%202.28萬3.00%1,227.99萬-4.62%1,125.68萬12.06%1,378.01萬12.06%1,378.01萬10.01%1,274.98萬
-應收賬款 -62.84%70.08萬-5.60%70.13萬47.05%105.09萬47.05%105.09萬11.43%76.6萬162.86%188.59萬-5.31%74.28萬-9.92%71.46萬-9.92%71.46萬0.06%68.74萬
-應收貸款 ----------0--0--0-8.64%1,002.62萬-8.76%1,005.2萬11.81%1,275.78萬11.81%1,275.78萬8.31%1,180.92萬
-應收票據 --62.81萬--62.77萬--62.58萬--62.58萬--------------0--0----
-應收利息 ---------99.83%273-99.83%273-57.50%5.89萬-4.06%9.4萬--5.32萬--15.65萬--15.65萬--13.85萬
-應收稅費 -76.74%5.72萬-60.55%9.76萬17.99%7.09萬17.99%7.09萬122.36%16.29萬400.44%24.59萬--24.75萬-13.44%6.01萬-13.44%6.01萬--7.33萬
-應收關聯方款項 -26.90%2.04萬-88.91%1.79萬-84.91%1.37萬-84.91%1.37萬-3.77%3.98萬-66.79%2.79萬--16.13萬284.01%9.1萬284.01%9.1萬--4.14萬
-其他應收款 --11.86萬--9.07萬--23.38萬--23.38萬--99.52萬--------------------
存貨 -74.57%337.87萬-79.16%281.83萬-96.00%213.38萬-96.00%213.38萬-96.87%187.77萬-77.19%1,328.8萬-74.86%1,352.05萬-1.70%5,332.64萬-1.70%5,332.64萬25.78%5,990.31萬
預付費用 -90.37%30.73萬-45.13%13.01萬-64.49%9.37萬-64.49%9.37萬--7.62萬--318.97萬-56.58%23.7萬--26.37萬--26.37萬----
受限制現金 --------------------------------------0
其他流動資產 --1.71萬--1.71萬--5.73萬--5.73萬-73.60%8.32萬----------------29.10%31.51萬
流動資產合計 -73.44%1,441.69萬-66.25%1,748.23萬-84.08%1,761.44萬-84.08%1,761.44萬-82.96%1,893.6萬-46.84%5,428.56萬-46.08%5,180.11萬9.93%1.11億9.93%1.11億21.47%1.11億
非流動資產
固定資產淨額 -13.45%71.97萬-30.39%74.23萬-13.09%76.7萬-13.09%76.7萬-13.49%79.44萬-13.34%83.16萬4.83%106.63萬-37.19%88.25萬-37.19%88.25萬-80.39%91.82萬
-固定資產 -17.25%123.87萬-27.17%123.65萬-16.93%123.65萬-16.93%123.65萬61.69%148.47萬--149.69萬66.92%169.79萬-29.31%148.86萬-29.31%148.86萬-82.56%91.82萬
-累計折舊 21.99%-51.9萬21.74%-49.42萬22.53%-46.96萬22.53%-46.96萬---69.04萬---66.53萬---63.16萬13.51%-60.61萬13.51%-60.61萬--0
商譽及其他無形資產 -37.58%1,676.11萬-43.10%1,692.8萬-42.86%1,709.48萬-42.86%1,709.48萬-32.60%2,668.27萬-32.46%2,685.31萬-25.48%2,974.86萬-25.36%2,991.93萬-25.36%2,991.93萬-26.77%3,958.9萬
-商譽 ----------0--0-55.67%942.22萬-55.67%942.22萬-44.70%1,175.37萬-44.70%1,175.37萬-44.70%1,175.37萬-39.37%2,125.37萬
-其他無形資產 -3.84%1,676.11萬-5.93%1,692.8萬-5.89%1,709.48萬-5.89%1,709.48萬-5.86%1,726.06萬-5.81%1,743.09萬-3.60%1,799.49萬-3.54%1,816.55萬-3.54%1,816.55萬-3.52%1,833.53萬
投資和預付款 -63.41%1,266.76萬-40.77%2,056.34萬-40.34%2,064.34萬-40.34%2,064.34萬-2.11%3,401.93萬-1.75%3,462.31萬-0.55%3,471.9萬-0.61%3,460.42萬-0.61%3,460.42萬-0.88%3,475.1萬
關聯方資產 -26.90%2.04萬-88.91%1.79萬-84.91%1.37萬-84.91%1.37萬-3.77%3.98萬-66.79%2.79萬--16.13萬284.01%9.1萬284.01%9.1萬--4.14萬
非流動資產合計 50.81%1.81億41.49%1.76億156.65%1.68億156.65%1.68億164.68%1.99億58.10%1.2億64.01%1.24億-14.29%6,540.59萬-14.29%6,540.59萬-19.77%7,525.82萬
總資產 12.13%1.96億9.81%1.93億5.36%1.85億5.36%1.85億17.02%2.18億-2.08%1.74億2.49%1.76億-0.52%1.76億-0.52%1.76億0.60%1.86億
負債
流動負債
應付款項 387.43%464.33萬50.04%413.3萬-12.24%344.72萬-12.24%344.72萬--231.11萬--95.26萬--275.45萬--392.81萬--392.81萬----
-應付賬款 138.58%191.01萬68.67%305.84萬-17.84%274.77萬-17.84%274.77萬--231.11萬--80.06萬--181.32萬--334.44萬--334.44萬----
-應付稅費 1,698.16%273.32萬14.17%107.47萬19.86%69.96萬19.86%69.96萬--0--15.2萬--94.13萬--58.37萬--58.37萬----
短期借款與租賃負債 --271.2萬16,248.43%259.52萬--256.71萬--256.71萬--252.56萬------1.59萬------------
-短期租賃負債 --------------------------1.59萬------------
遞延負債 --303.38萬--272.4萬--201.73萬--201.73萬--------------0--0----
其他流動負債 ----------------------82.65萬----------------
流動負債總額 483.94%1,038.92萬241.18%945.21萬104.47%803.17萬104.47%803.17萬30.72%483.66萬-64.41%177.92萬12.43%277.04萬93.83%392.81萬93.83%392.81萬-3.63%370.01萬
非流動負債
長期借款與租賃負債 --3,612.29萬17,629.73%3,604.84萬--3,626.89萬--3,626.89萬--3,953.48萬------20.33萬------------
-長期借款 --3,612.29萬--3,604.84萬--3,626.89萬--3,626.89萬--3,953.48萬--------------------
-長期租賃負債 --------------------------20.33萬------------
非流動負債總額 --3,612.29萬17,629.73%3,604.84萬--3,626.89萬--3,626.89萬--3,953.48萬--0--20.33萬--0--0--0
總負債 2,514.29%4,651.21萬1,430.08%4,550.06萬1,027.79%4,430.05萬1,027.79%4,430.05萬1,099.19%4,437.14萬-64.41%177.92萬20.68%297.37萬93.79%392.81萬93.79%392.81萬-3.63%370.01萬
所有者權益
股本 -3.17%1.49億-4.61%1.49億-4.53%1.49億-4.53%1.49億-7.24%1.52億-5.83%1.54億-5.28%1.56億-5.64%1.56億-5.64%1.56億-1.39%1.63億
-普通股股本 -3.17%1.49億-4.61%1.49億-4.53%1.49億-4.53%1.49億-7.24%1.52億-5.83%1.54億-5.28%1.56億-5.64%1.56億-5.64%1.56億-1.39%1.63億
留存收益 -385.06%-2,067.67萬-427.96%-1,678.02萬-955.23%-2,191.23萬-955.23%-2,191.23萬70.81%1,016.05萬259.87%725.34萬159.54%511.65萬160.41%256.22萬160.41%256.22萬187.43%594.83萬
資本公積 2.25%1,310.76萬7.46%1,376.88萬-7.33%1,240.79萬-7.33%1,240.79萬-7.12%1,240.23萬-6.72%1,281.91萬-6.38%1,281.34萬-1.62%1,338.95萬-1.62%1,338.95萬-1.66%1,335.24萬
不影響留存收益的損益 618.96%714.62萬57,133.56%245.76萬334.88%151.3萬334.88%151.3萬-97.56%8,575-471.33%-137.7萬-98.64%4,29417.89%34.79萬17.89%34.79萬10.08%35.1萬
股東權益總額 -13.88%1.49億-14.78%1.48億-18.18%1.41億-18.18%1.41億-4.86%1.74億-0.25%1.73億2.26%1.74億-1.54%1.73億-1.54%1.73億0.76%1.83億
非控制性權益 --0--0--0--0-9.59%-44.51萬-12.01%-44.3萬-19.48%-42.28萬-34.89%-42.1萬-34.89%-42.1萬-48.64%-40.62萬
總權益 -13.66%1.49億-14.57%1.48億-17.98%1.41億-17.98%1.41億-4.90%1.74億-0.28%1.73億2.22%1.73億-1.61%1.72億-1.61%1.72億0.68%1.83億
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