カナダ市場銘柄情報

TAAT TAAT Global Alternatives Inc

銘柄追加
  • 0.295
  • 0.0000.00%
15分遅延取引時間外 10/08 10:49 ET
349.86万時価総額-1020直近PER

TAAT Global Alternatives 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
(Q3)2024/07/31
(Q2)2024/04/30
(Q1)2024/01/31
(FY)2023/10/31
(Q4)2023/10/31
(Q3)2023/07/31
(Q2)2023/04/30
(Q1)2023/01/31
(FY)2022/10/31
(Q4)2022/10/31
資産
流動資産
現金及び現金同等物、短期投資
-45.21%29.42万
-67.51%14.22万
73.54%51.17万
-20.86%53.56万
-20.86%53.56万
-79.55%53.7万
-92.14%43.76万
-96.64%29.48万
-94.27%67.68万
-94.27%67.68万
-現金及び現金同等物
-45.21%29.42万
-67.51%14.22万
73.54%51.17万
-20.86%53.56万
-20.86%53.56万
-79.55%53.7万
-92.14%43.76万
-96.64%29.48万
-94.27%67.68万
-94.27%67.68万
-売掛金
5.52%499.95万
9.59%467.34万
-11.44%412万
8.95%451.74万
8.95%451.74万
-12.62%473.79万
185.18%426.44万
137.05%465.23万
122.94%414.61万
122.94%414.61万
流動資産合計
-9.12%973万
-7.62%957.9万
-14.88%936.3万
-9.66%965.03万
-9.66%965.03万
-26.01%1,070.59万
7.70%1,036.89万
-15.95%1,100.02万
-29.25%1,068.2万
-29.25%1,068.2万
非流動資産
-減価償却累計额
116.30%28.09万
118.85%34.86万
-37.13%-226.41万
----
----
-53.89%-172.37万
-109.82%-184.92万
-86.81%-165.1万
----
----
-投資有価証券
-89.06%30.04万
-89.34%33.12万
-28.90%233.04万
-29.08%266.59万
-29.08%266.59万
-59.48%274.56万
-12.16%310.62万
-11.72%327.77万
-1.80%375.93万
-1.80%375.93万
-のれん
--0
----
----
--0
--0
-47.80%198.67万
99.79%214.97万
114.95%231.27万
130.10%247.58万
130.10%247.58万
規制資産
5.95%508.13万
0.31%475.24万
-16.83%419.45万
1.35%459.76万
1.35%459.76万
-22.86%479.62万
174.82%473.75万
136.54%504.33万
128.77%453.65万
128.77%453.65万
資産合計
70.51%4.92万
-86.83%4.64万
-87.55%4.2万
-88.15%3.79万
-88.15%3.79万
-89.57%2.88万
63.44%35.24万
115.07%33.74万
188.15%31.95万
188.15%31.95万
負債
流動負債
短期借入金及び資本リース債務
-1.35%536.1万
-0.49%552.5万
9.31%614.63万
68.22%597.31万
68.22%597.31万
659.61%543.43万
746.52%555.21万
700.79%562.28万
437.40%355.07万
437.40%355.07万
-短期借入金
18.23%526.58万
19.23%545.65万
8.33%508.26万
77.05%490.67万
77.05%490.67万
--445.38万
--457.65万
--469.17万
--277.14万
--277.14万
-資本リース債務
-90.29%9.52万
-92.98%6.85万
14.25%106.38万
36.84%106.64万
36.84%106.64万
37.05%98.05万
48.74%97.56万
32.61%93.11万
17.94%77.93万
17.94%77.93万
-買掛金
4.27%364.17万
203.62%334.15万
57.57%345.99万
85.37%315.8万
85.37%315.8万
31.42%349.25万
158.70%110.05万
41.35%219.58万
76.84%170.36万
76.84%170.36万
-未払法人税
-89.06%30.04万
-89.34%33.12万
-28.90%233.04万
-29.08%266.59万
-29.08%266.59万
-59.48%274.56万
-12.16%310.62万
-11.72%327.77万
-1.80%375.93万
-1.80%375.93万
当期の未払費用
-49.03%114.09万
-7.67%103.61万
156.42%174.96万
124.30%173.34万
124.30%173.34万
312.63%223.84万
82.48%112.22万
-10.10%68.23万
-37.37%77.28万
-37.37%77.28万
流動負債合計
-9.14%1,014.66万
27.36%990.53万
33.58%1,135.93万
80.23%1,086.78万
80.23%1,086.78万
185.04%1,116.78万
357.79%777.75万
181.83%850.36万
110.77%602.98万
110.77%602.98万
非流動負債
長期借入金及びリース債務
11.02%3.26万
-72.99%3.26万
-39.44%3.25万
-40.25%4.23万
-40.25%4.23万
-94.33%2.94万
835.32%12.06万
321.35%5.36万
472.27%7.09万
472.27%7.09万
-長期借入金
-97.66%6.1万
-96.31%10.88万
-33.38%210.14万
-32.02%246.49万
-32.02%246.49万
-26.24%261.01万
-16.68%294.64万
-15.04%315.41万
-5.29%362.6万
-5.29%362.6万
長期前払費用
-76.24%79.62万
-80.24%81.19万
-23.21%330.72万
-21.83%366.07万
-21.83%366.07万
-27.42%335.11万
-8.22%410.88万
-10.32%430.67万
-4.32%468.29万
-4.32%468.29万
長期積立金
76.66%23.94万
39.19%22.24万
85.32%22.89万
50.70%20.1万
50.70%20.1万
-95.81%13.55万
--15.98万
--12.35万
--13.34万
--13.34万
非流動負債合計
-24.91%1,044.7万
-5.95%1,023.65万
16.20%1,368.97万
38.25%1,353.37万
38.25%1,353.37万
30.11%1,391.34万
107.90%1,088.37万
75.06%1,178.13万
46.34%978.91万
46.34%978.91万
資本
資本金
0.09%9,592.86万
1.46%9,592.86万
1.36%9,583.76万
8.31%9,583.76万
8.31%9,583.76万
8.02%9,583.76万
11.94%9,455.24万
12.21%9,455.24万
7.81%8,848.74万
7.81%8,848.74万
-普通株式
0.09%9,592.86万
1.46%9,592.86万
1.36%9,583.76万
8.31%9,583.76万
8.31%9,583.76万
8.02%9,583.76万
11.94%9,455.24万
12.21%9,455.24万
7.81%8,848.74万
7.81%8,848.74万
利益剰余金に影響しない損益
-1.16%2,777.61万
1.27%2,781.55万
3.12%2,815.34万
-15.76%2,747.76万
-15.76%2,747.76万
-6.44%2,810.26万
11.39%2,746.6万
17.04%2,730.2万
60.51%3,261.86万
60.51%3,261.86万
資本合計
-36.77%1,062.27万
-39.68%1,048.39万
-30.47%1,275.72万
-27.78%1,342.26万
-27.78%1,342.26万
-28.15%1,680.1万
10.58%1,738.14万
-6.03%1,834.83万
-14.01%1,858.57万
-14.01%1,858.57万
(Q3)2024/07/31(Q2)2024/04/30(Q1)2024/01/31(FY)2023/10/31(Q4)2023/10/31(Q3)2023/07/31(Q2)2023/04/30(Q1)2023/01/31(FY)2022/10/31(Q4)2022/10/31
資産
流動資産
現金及び現金同等物、短期投資 -45.21%29.42万-67.51%14.22万73.54%51.17万-20.86%53.56万-20.86%53.56万-79.55%53.7万-92.14%43.76万-96.64%29.48万-94.27%67.68万-94.27%67.68万
-現金及び現金同等物 -45.21%29.42万-67.51%14.22万73.54%51.17万-20.86%53.56万-20.86%53.56万-79.55%53.7万-92.14%43.76万-96.64%29.48万-94.27%67.68万-94.27%67.68万
-売掛金 5.52%499.95万9.59%467.34万-11.44%412万8.95%451.74万8.95%451.74万-12.62%473.79万185.18%426.44万137.05%465.23万122.94%414.61万122.94%414.61万
流動資産合計 -9.12%973万-7.62%957.9万-14.88%936.3万-9.66%965.03万-9.66%965.03万-26.01%1,070.59万7.70%1,036.89万-15.95%1,100.02万-29.25%1,068.2万-29.25%1,068.2万
非流動資産
-減価償却累計额 116.30%28.09万118.85%34.86万-37.13%-226.41万---------53.89%-172.37万-109.82%-184.92万-86.81%-165.1万--------
-投資有価証券 -89.06%30.04万-89.34%33.12万-28.90%233.04万-29.08%266.59万-29.08%266.59万-59.48%274.56万-12.16%310.62万-11.72%327.77万-1.80%375.93万-1.80%375.93万
-のれん --0----------0--0-47.80%198.67万99.79%214.97万114.95%231.27万130.10%247.58万130.10%247.58万
規制資産 5.95%508.13万0.31%475.24万-16.83%419.45万1.35%459.76万1.35%459.76万-22.86%479.62万174.82%473.75万136.54%504.33万128.77%453.65万128.77%453.65万
資産合計 70.51%4.92万-86.83%4.64万-87.55%4.2万-88.15%3.79万-88.15%3.79万-89.57%2.88万63.44%35.24万115.07%33.74万188.15%31.95万188.15%31.95万
負債
流動負債
短期借入金及び資本リース債務 -1.35%536.1万-0.49%552.5万9.31%614.63万68.22%597.31万68.22%597.31万659.61%543.43万746.52%555.21万700.79%562.28万437.40%355.07万437.40%355.07万
-短期借入金 18.23%526.58万19.23%545.65万8.33%508.26万77.05%490.67万77.05%490.67万--445.38万--457.65万--469.17万--277.14万--277.14万
-資本リース債務 -90.29%9.52万-92.98%6.85万14.25%106.38万36.84%106.64万36.84%106.64万37.05%98.05万48.74%97.56万32.61%93.11万17.94%77.93万17.94%77.93万
-買掛金 4.27%364.17万203.62%334.15万57.57%345.99万85.37%315.8万85.37%315.8万31.42%349.25万158.70%110.05万41.35%219.58万76.84%170.36万76.84%170.36万
-未払法人税 -89.06%30.04万-89.34%33.12万-28.90%233.04万-29.08%266.59万-29.08%266.59万-59.48%274.56万-12.16%310.62万-11.72%327.77万-1.80%375.93万-1.80%375.93万
当期の未払費用 -49.03%114.09万-7.67%103.61万156.42%174.96万124.30%173.34万124.30%173.34万312.63%223.84万82.48%112.22万-10.10%68.23万-37.37%77.28万-37.37%77.28万
流動負債合計 -9.14%1,014.66万27.36%990.53万33.58%1,135.93万80.23%1,086.78万80.23%1,086.78万185.04%1,116.78万357.79%777.75万181.83%850.36万110.77%602.98万110.77%602.98万
非流動負債
長期借入金及びリース債務 11.02%3.26万-72.99%3.26万-39.44%3.25万-40.25%4.23万-40.25%4.23万-94.33%2.94万835.32%12.06万321.35%5.36万472.27%7.09万472.27%7.09万
-長期借入金 -97.66%6.1万-96.31%10.88万-33.38%210.14万-32.02%246.49万-32.02%246.49万-26.24%261.01万-16.68%294.64万-15.04%315.41万-5.29%362.6万-5.29%362.6万
長期前払費用 -76.24%79.62万-80.24%81.19万-23.21%330.72万-21.83%366.07万-21.83%366.07万-27.42%335.11万-8.22%410.88万-10.32%430.67万-4.32%468.29万-4.32%468.29万
長期積立金 76.66%23.94万39.19%22.24万85.32%22.89万50.70%20.1万50.70%20.1万-95.81%13.55万--15.98万--12.35万--13.34万--13.34万
非流動負債合計 -24.91%1,044.7万-5.95%1,023.65万16.20%1,368.97万38.25%1,353.37万38.25%1,353.37万30.11%1,391.34万107.90%1,088.37万75.06%1,178.13万46.34%978.91万46.34%978.91万
資本
資本金 0.09%9,592.86万1.46%9,592.86万1.36%9,583.76万8.31%9,583.76万8.31%9,583.76万8.02%9,583.76万11.94%9,455.24万12.21%9,455.24万7.81%8,848.74万7.81%8,848.74万
-普通株式 0.09%9,592.86万1.46%9,592.86万1.36%9,583.76万8.31%9,583.76万8.31%9,583.76万8.02%9,583.76万11.94%9,455.24万12.21%9,455.24万7.81%8,848.74万7.81%8,848.74万
利益剰余金に影響しない損益 -1.16%2,777.61万1.27%2,781.55万3.12%2,815.34万-15.76%2,747.76万-15.76%2,747.76万-6.44%2,810.26万11.39%2,746.6万17.04%2,730.2万60.51%3,261.86万60.51%3,261.86万
資本合計 -36.77%1,062.27万-39.68%1,048.39万-30.47%1,275.72万-27.78%1,342.26万-27.78%1,342.26万-28.15%1,680.1万10.58%1,738.14万-6.03%1,834.83万-14.01%1,858.57万-14.01%1,858.57万

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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