カナダ市場銘柄情報

OPT Optiva Inc

銘柄追加
  • 6.470
  • 0.0000.00%
15分遅延取引時間外 07/15 16:00 ET
3,998.68万時価総額-1903直近PER

Optiva Incの主要データ

四半期ごと+年間
前年同期比 yoy
空白行の非表示 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
資産
流動資産
現金及び現金同等物、短期投資
-12.99%1,124.3万
6.83%1,964.2万
6.83%1,964.2万
25.52%2,091.2万
-52.41%1,218.2万
-48.72%1,292.1万
-37.86%1,838.6万
-37.86%1,838.6万
-47.99%1,666万
-22.28%2,559.6万
-現金及び現金同等物
-12.99%1,124.3万
6.83%1,964.2万
6.83%1,964.2万
25.52%2,091.2万
-52.41%1,218.2万
-48.72%1,292.1万
-37.86%1,838.6万
-37.86%1,838.6万
-47.99%1,666万
-22.28%2,559.6万
-売掛金
24.30%759.6万
36.98%641.2万
36.98%641.2万
-26.90%465.4万
-25.40%586.4万
-4.67%611.1万
12.28%468.1万
12.28%468.1万
7.98%636.7万
29.46%786.1万
-受取手形
-86.24%4.1万
-81.49%13.2万
-81.49%13.2万
--0
-98.71%9.1万
-96.30%29.8万
-92.43%71.3万
-92.43%71.3万
-90.85%99.9万
-51.63%703.4万
流動資産合計
-7.15%4,043.8万
-4.60%4,780.6万
-4.60%4,780.6万
8.94%5,033.2万
-22.51%4,204.1万
-13.55%4,355.3万
-5.86%5,011万
-5.86%5,011万
-17.05%4,620.3万
-1.13%5,425.4万
非流動資産
-減価償却累計额
----
-95.75%-133.5万
-95.75%-133.5万
----
----
----
-301.18%-68.2万
-301.18%-68.2万
----
----
-投資有価証券
15.65%1.02億
15.54%1.01億
15.54%1.01億
15.44%1.01億
0.88%8,810.7万
0.86%8,790.8万
0.83%8,771.6万
0.83%8,771.6万
0.81%8,752.6万
0.79%8,734万
長期受取手形
1.85%38.6万
1.86%38.3万
1.86%38.3万
-19.82%35.2万
-12.23%33万
1.00%37.9万
-12.96%37.6万
-12.96%37.6万
24.95%43.9万
2.84%37.6万
-のれん
0.00%3,227.1万
-1.10%3,227.1万
-1.10%3,227.1万
-2.19%3,227.1万
-3.24%3,227.1万
-4.28%3,227.1万
-4.24%3,263.1万
-4.24%3,263.1万
-5.22%3,299.2万
-4.16%3,335.3万
確定給付年金費用
----
----
----
--96.6万
----
----
----
----
----
----
規制資産
-4.73%2,665.8万
-12.60%2,549.9万
-12.60%2,549.9万
-1.95%2,696.9万
3.68%2,714.2万
22.70%2,798.2万
47.55%2,917.6万
47.55%2,917.6万
38.44%2,750.6万
42.82%2,617.9万
非流動繰延資産
68.25%63.6万
118.98%72.7万
118.98%72.7万
----
-84.36%38.7万
-86.08%37.8万
-88.46%33.2万
-88.46%33.2万
-27.93%211.9万
-30.39%247.4万
資産合計
-4.90%374.3万
-4.90%363.3万
-4.90%363.3万
-4.62%369.3万
-2.78%392.3万
-5.74%393.6万
-12.43%382万
-12.43%382万
-10.29%387.2万
-5.86%403.5万
負債
流動負債
-買掛金
-44.01%162.6万
-28.31%225.6万
-28.31%225.6万
-54.66%127.9万
-27.23%205.8万
91.14%290.4万
51.08%314.7万
51.08%314.7万
-34.35%282.1万
-10.01%282.8万
-未払い法人所得税
14.27%1.04億
13.11%1.04億
13.11%1.04億
12.52%1.03億
-8.28%9,053万
-7.51%9,119万
-9.41%9,156.7万
-9.41%9,156.7万
-9.75%9,176.9万
-8.17%9,870.3万
-その他の未払金
84.79%216.2万
11.09%216.4万
11.09%216.4万
-51.88%76.6万
-0.26%77.5万
-0.85%117万
67.35%194.8万
67.35%194.8万
77.14%159.2万
-25.69%77.7万
当期の未払費用
33.13%1,004.6万
2.54%1,191.9万
2.54%1,191.9万
-8.37%821.8万
-13.89%929万
-14.10%754.6万
-9.93%1,162.4万
-9.93%1,162.4万
-7.72%896.9万
-4.44%1,078.8万
現行支給額
----
----
----
----
----
----
----
----
----
0.00%420万
流動性繰延負債
26.31%202.6万
-22.06%155.5万
-22.06%155.5万
-0.50%257.5万
-64.38%178.2万
-69.69%160.4万
-50.06%199.5万
-50.06%199.5万
-39.83%258.8万
-20.64%500.3万
流動負債合計
9.62%1,795.3万
-5.22%2,002.9万
-5.22%2,002.9万
-9.00%1,663.5万
-34.23%1,748.8万
-30.32%1,637.8万
-20.71%2,113.1万
-20.71%2,113.1万
-35.13%1,828万
-9.81%2,658.9万
非流動負債
長期前払費用
-20.51%98.8万
-21.13%96.3万
-21.13%96.3万
-27.70%99.2万
-5.38%110.8万
38.36%124.3万
38.28%122.1万
38.28%122.1万
61.88%137.2万
374.01%117.1万
デリバティブ(金融派生商品)に関する負債
----
----
----
----
----
--0
----
----
-96.63%2.9万
-86.56%33.7万
長期積立金
15.65%1.02億
15.54%1.01億
15.54%1.01億
15.44%1.01億
0.88%8,810.7万
0.86%8,790.8万
0.83%8,771.6万
0.83%8,771.6万
0.81%8,752.6万
0.79%8,734万
従業員福利厚生費
-86.24%4.1万
-81.49%13.2万
-81.49%13.2万
--0
-98.71%9.1万
-96.30%29.8万
-92.43%71.3万
-92.43%71.3万
-90.85%99.9万
-51.63%703.4万
非流動負債合計
13.56%1.22億
9.68%1.24億
9.68%1.24億
8.95%1.2億
-13.79%1.08億
-11.90%1.08億
-11.76%1.13億
-11.76%1.13億
-15.25%1.1億
-8.52%1.25億
資本
資本金
0.02%2.71億
0.02%2.71億
0.02%2.71億
0.02%2.71億
0.00%2.71億
0.00%2.71億
0.00%2.71億
0.00%2.71億
0.21%2.71億
0.21%2.71億
-普通株式
0.02%2.71億
0.02%2.71億
0.02%2.71億
0.02%2.71億
0.00%2.71億
0.00%2.71億
0.00%2.71億
0.00%2.71億
0.21%2.71億
0.21%2.71億
資本剰余金
-6.52%1,516.6万
-5.17%1,511.7万
-5.17%1,511.7万
-2.73%1,502.7万
-0.12%1,498.5万
11.35%1,622.3万
12.48%1,594.1万
12.48%1,594.1万
15.38%1,544.9万
18.67%1,500.3万
利益剰余金に影響しない損益
-4.42%387万
-4.42%387万
-4.42%387万
32.54%501.4万
264.86%404.9万
264.83%404.9万
264.79%404.9万
264.79%404.9万
203.33%378.3万
64.40%-245.6万
その他の資本の構成要素
-6.96%54.8万
-21.31%48万
-21.31%48万
-4.33%70.7万
-34.14%62.7万
7.19%58.9万
-25.88%61万
-25.88%61万
-1.15%73.9万
188.41%95.2万
資本合計
-2.67%7,688.1万
-2.66%8,431.4万
-2.66%8,431.4万
1.12%8,566.9万
-16.77%7,691.2万
-11.50%7,899.4万
-6.52%8,661.8万
-6.52%8,661.8万
-11.34%8,471.7万
-2.62%9,240.5万
(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
資産
流動資産
現金及び現金同等物、短期投資 -12.99%1,124.3万6.83%1,964.2万6.83%1,964.2万25.52%2,091.2万-52.41%1,218.2万-48.72%1,292.1万-37.86%1,838.6万-37.86%1,838.6万-47.99%1,666万-22.28%2,559.6万
-現金及び現金同等物 -12.99%1,124.3万6.83%1,964.2万6.83%1,964.2万25.52%2,091.2万-52.41%1,218.2万-48.72%1,292.1万-37.86%1,838.6万-37.86%1,838.6万-47.99%1,666万-22.28%2,559.6万
-売掛金 24.30%759.6万36.98%641.2万36.98%641.2万-26.90%465.4万-25.40%586.4万-4.67%611.1万12.28%468.1万12.28%468.1万7.98%636.7万29.46%786.1万
-受取手形 -86.24%4.1万-81.49%13.2万-81.49%13.2万--0-98.71%9.1万-96.30%29.8万-92.43%71.3万-92.43%71.3万-90.85%99.9万-51.63%703.4万
流動資産合計 -7.15%4,043.8万-4.60%4,780.6万-4.60%4,780.6万8.94%5,033.2万-22.51%4,204.1万-13.55%4,355.3万-5.86%5,011万-5.86%5,011万-17.05%4,620.3万-1.13%5,425.4万
非流動資産
-減価償却累計额 -----95.75%-133.5万-95.75%-133.5万-------------301.18%-68.2万-301.18%-68.2万--------
-投資有価証券 15.65%1.02億15.54%1.01億15.54%1.01億15.44%1.01億0.88%8,810.7万0.86%8,790.8万0.83%8,771.6万0.83%8,771.6万0.81%8,752.6万0.79%8,734万
長期受取手形 1.85%38.6万1.86%38.3万1.86%38.3万-19.82%35.2万-12.23%33万1.00%37.9万-12.96%37.6万-12.96%37.6万24.95%43.9万2.84%37.6万
-のれん 0.00%3,227.1万-1.10%3,227.1万-1.10%3,227.1万-2.19%3,227.1万-3.24%3,227.1万-4.28%3,227.1万-4.24%3,263.1万-4.24%3,263.1万-5.22%3,299.2万-4.16%3,335.3万
確定給付年金費用 --------------96.6万------------------------
規制資産 -4.73%2,665.8万-12.60%2,549.9万-12.60%2,549.9万-1.95%2,696.9万3.68%2,714.2万22.70%2,798.2万47.55%2,917.6万47.55%2,917.6万38.44%2,750.6万42.82%2,617.9万
非流動繰延資産 68.25%63.6万118.98%72.7万118.98%72.7万-----84.36%38.7万-86.08%37.8万-88.46%33.2万-88.46%33.2万-27.93%211.9万-30.39%247.4万
資産合計 -4.90%374.3万-4.90%363.3万-4.90%363.3万-4.62%369.3万-2.78%392.3万-5.74%393.6万-12.43%382万-12.43%382万-10.29%387.2万-5.86%403.5万
負債
流動負債
-買掛金 -44.01%162.6万-28.31%225.6万-28.31%225.6万-54.66%127.9万-27.23%205.8万91.14%290.4万51.08%314.7万51.08%314.7万-34.35%282.1万-10.01%282.8万
-未払い法人所得税 14.27%1.04億13.11%1.04億13.11%1.04億12.52%1.03億-8.28%9,053万-7.51%9,119万-9.41%9,156.7万-9.41%9,156.7万-9.75%9,176.9万-8.17%9,870.3万
-その他の未払金 84.79%216.2万11.09%216.4万11.09%216.4万-51.88%76.6万-0.26%77.5万-0.85%117万67.35%194.8万67.35%194.8万77.14%159.2万-25.69%77.7万
当期の未払費用 33.13%1,004.6万2.54%1,191.9万2.54%1,191.9万-8.37%821.8万-13.89%929万-14.10%754.6万-9.93%1,162.4万-9.93%1,162.4万-7.72%896.9万-4.44%1,078.8万
現行支給額 ------------------------------------0.00%420万
流動性繰延負債 26.31%202.6万-22.06%155.5万-22.06%155.5万-0.50%257.5万-64.38%178.2万-69.69%160.4万-50.06%199.5万-50.06%199.5万-39.83%258.8万-20.64%500.3万
流動負債合計 9.62%1,795.3万-5.22%2,002.9万-5.22%2,002.9万-9.00%1,663.5万-34.23%1,748.8万-30.32%1,637.8万-20.71%2,113.1万-20.71%2,113.1万-35.13%1,828万-9.81%2,658.9万
非流動負債
長期前払費用 -20.51%98.8万-21.13%96.3万-21.13%96.3万-27.70%99.2万-5.38%110.8万38.36%124.3万38.28%122.1万38.28%122.1万61.88%137.2万374.01%117.1万
デリバティブ(金融派生商品)に関する負債 ----------------------0---------96.63%2.9万-86.56%33.7万
長期積立金 15.65%1.02億15.54%1.01億15.54%1.01億15.44%1.01億0.88%8,810.7万0.86%8,790.8万0.83%8,771.6万0.83%8,771.6万0.81%8,752.6万0.79%8,734万
従業員福利厚生費 -86.24%4.1万-81.49%13.2万-81.49%13.2万--0-98.71%9.1万-96.30%29.8万-92.43%71.3万-92.43%71.3万-90.85%99.9万-51.63%703.4万
非流動負債合計 13.56%1.22億9.68%1.24億9.68%1.24億8.95%1.2億-13.79%1.08億-11.90%1.08億-11.76%1.13億-11.76%1.13億-15.25%1.1億-8.52%1.25億
資本
資本金 0.02%2.71億0.02%2.71億0.02%2.71億0.02%2.71億0.00%2.71億0.00%2.71億0.00%2.71億0.00%2.71億0.21%2.71億0.21%2.71億
-普通株式 0.02%2.71億0.02%2.71億0.02%2.71億0.02%2.71億0.00%2.71億0.00%2.71億0.00%2.71億0.00%2.71億0.21%2.71億0.21%2.71億
資本剰余金 -6.52%1,516.6万-5.17%1,511.7万-5.17%1,511.7万-2.73%1,502.7万-0.12%1,498.5万11.35%1,622.3万12.48%1,594.1万12.48%1,594.1万15.38%1,544.9万18.67%1,500.3万
利益剰余金に影響しない損益 -4.42%387万-4.42%387万-4.42%387万32.54%501.4万264.86%404.9万264.83%404.9万264.79%404.9万264.79%404.9万203.33%378.3万64.40%-245.6万
その他の資本の構成要素 -6.96%54.8万-21.31%48万-21.31%48万-4.33%70.7万-34.14%62.7万7.19%58.9万-25.88%61万-25.88%61万-1.15%73.9万188.41%95.2万
資本合計 -2.67%7,688.1万-2.66%8,431.4万-2.66%8,431.4万1.12%8,566.9万-16.77%7,691.2万-11.50%7,899.4万-6.52%8,661.8万-6.52%8,661.8万-11.34%8,471.7万-2.62%9,240.5万

FY:会計年度年次報告書であり、上場企業がSECに開示する10-Kファイルに相当します。

Q:四半期報告書であり、上場企業がSECに開示する10-Qファイルに相当し、Q1、Q2、Q3、Q4は3ヵ月スパンの単一四半期報告書、Q6とQ9は累積四半期報告書で、Q6は6ヵ月、Q9は9ヵ月です。

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