カナダ市場銘柄情報

VIVO VIVO Cannabis Inc

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15分遅延取引時間外 08/02 09:30 ET
0時価総額0.00直近PER

VIVO Cannabis 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
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
(FY)2021/12/31
(Q4)2021/12/31
(Q3)2021/09/30
(Q2)2021/06/30
(Q1)2021/03/31
資産
流動資産
現金及び現金同等物、短期投資
-78.28%245.48万
-78.28%245.48万
-67.39%418.59万
-72.29%451.79万
-56.91%753.85万
-11.36%1,130.29万
-11.36%1,130.29万
96.57%1,283.43万
-34.97%1,630.36万
-53.20%1,749.32万
-現金及び現金同等物
-78.28%245.48万
-78.28%245.48万
-66.18%418.59万
-71.25%451.79万
-55.48%753.85万
98.19%1,130.29万
98.19%1,130.29万
278.47%1,237.55万
-29.34%1,571.51万
-51.86%1,693.17万
-売掛金
-25.32%303.53万
-25.32%303.53万
8.76%413.72万
11.05%403.81万
64.56%468.2万
61.05%406.42万
61.05%406.42万
-1.24%380.39万
1.33%363.62万
-38.02%284.52万
流動資産合計
-40.41%1,701.41万
-40.41%1,701.41万
-33.86%2,177.83万
-30.98%2,302.19万
-31.62%2,424.48万
-9.61%2,855.05万
-9.61%2,855.05万
10.64%3,292.8万
-31.70%3,335.69万
-43.86%3,545.85万
非流動資産
-減価償却累計额
-64.36%-2,816.29万
-64.36%-2,816.29万
-28.49%-1,998.21万
-31.22%-1,881.71万
-34.27%-1,763.25万
-36.11%-1,713.51万
-36.11%-1,713.51万
-45.15%-1,555.13万
-48.17%-1,434.06万
-52.06%-1,313.17万
-投資有価証券
533.36%204.68万
533.36%204.68万
-54.58%225.97万
-94.82%25.35万
-94.03%28.79万
-94.31%32.32万
-94.31%32.32万
-10.26%497.47万
869.64%489.76万
796.81%482.13万
-のれん
-99.19%41.32万
-99.19%41.32万
-99.65%42.62万
-99.65%43.92万
-59.67%5,057.58万
-59.59%5,105.83万
-59.59%5,105.83万
-23.11%1.24億
-22.92%1.24億
-22.66%1.25億
-その他の無形資産
0.00%284.62万
0.00%284.62万
-7.48%284.62万
-7.48%284.62万
-7.48%284.62万
113.06%284.62万
113.06%284.62万
130.28%307.63万
2,423.83%307.63万
2,423.83%307.63万
規制資産
-20.64%340.51万
-20.64%340.51万
16.93%444.77万
15.31%419.28万
68.75%480.12万
70.02%429.06万
70.02%429.06万
-14.62%380.39万
-27.80%363.62万
-54.50%284.52万
負債
流動負債
短期借入金及び資本リース債務
-71.75%139.56万
-71.75%139.56万
2,163.50%309.95万
3,703.21%516.51万
3,620.99%505.34万
3,537.65%494.03万
3,537.65%494.03万
-9.02%13.69万
-99.46%13.58万
-99.60%13.58万
-短期借入金
-73.88%124.75万
-73.88%124.75万
--294.6万
--500.84万
--489.12万
--477.53万
--477.53万
----
----
----
-資本リース債務
-10.22%14.81万
-10.22%14.81万
12.07%15.35万
15.41%15.67万
19.49%16.23万
21.49%16.5万
21.49%16.5万
-9.02%13.69万
-9.76%13.58万
-12.26%13.58万
-買掛金
-15.72%400.49万
-15.72%400.49万
----
----
----
-32.66%475.19万
-32.66%475.19万
----
----
----
-未払い法人所得税
-90.98%204.68万
-90.98%204.68万
-74.50%1,194.8万
-79.46%959.31万
-52.71%2,225.19万
-52.41%2,269.26万
-52.41%2,269.26万
-1.54%4,685.19万
9.46%4,669.94万
9.16%4,705.47万
流動負債合計
-44.28%540.05万
-44.28%540.05万
70.55%844.44万
48.71%942.18万
54.74%840.01万
34.75%969.21万
34.75%969.21万
-22.43%495.14万
-81.25%633.57万
-87.24%542.86万
非流動負債
-長期借入金
-38.24%19.96万
-38.24%19.96万
-30.45%21.49万
-25.77%25.35万
-24.00%28.79万
-21.97%32.32万
-21.97%32.32万
-33.44%30.89万
-32.40%34.14万
-29.54%37.88万
長期前払費用
-27.86%2,799.23万
-27.86%2,799.23万
-11.80%3,560.17万
-11.66%3,669.85万
-12.87%3,773.86万
-12.00%3,880.48万
-12.00%3,880.48万
-11.18%4,036.27万
-9.28%4,154.04万
-2.70%4,331.39万
長期積立金
--184.72万
--184.72万
-56.17%204.48万
----
----
----
----
-8.14%466.57万
--455.62万
--444.25万
非流動負債合計
-77.00%744.74万
-77.00%744.74万
-60.63%2,039.25万
-64.15%1,901.49万
-41.60%3,065.19万
-40.98%3,238.47万
-40.98%3,238.47万
-4.01%5,180.33万
-30.63%5,303.51万
-38.73%5,248.34万
資本
資本金
0.00%2.89億
0.00%2.89億
0.08%2.89億
0.08%2.89億
0.07%2.89億
2.38%2.89億
2.38%2.89億
2.40%2.89億
4.85%2.89億
4.86%2.89億
-普通株式
0.00%2.89億
0.00%2.89億
0.08%2.89億
0.08%2.89億
0.07%2.89億
2.38%2.89億
2.38%2.89億
2.40%2.89億
4.85%2.89億
4.86%2.89億
資本剰余金
1.57%2,193.31万
1.57%2,193.31万
3.02%2,186.75万
2.69%2,179.71万
2.74%2,170.73万
1.90%2,159.37万
1.90%2,159.37万
0.72%2,122.61万
-2.37%2,122.61万
-2.94%2,112.86万
利益剰余金に影響しない損益
42.35%-2.37万
42.35%-2.37万
49.77%-11.05万
-1,837.70%-25.52万
155.01%2.22万
-162.30%-4.11万
-162.30%-4.11万
-227.11%-22万
-113.03%-1.32万
-60.63%-4.04万
その他の資本の構成要素
----
----
----
---1
----
--1
--1
--6.34万
----
----
資本合計
-61.64%4,541.96万
-61.64%4,541.96万
-70.63%5,780.62万
-69.82%6,015.96万
-44.87%1.13億
-41.38%1.18億
-41.38%1.18億
-16.55%1.97億
-22.16%1.99億
-24.33%2.04億
(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31(FY)2021/12/31(Q4)2021/12/31(Q3)2021/09/30(Q2)2021/06/30(Q1)2021/03/31
資産
流動資産
現金及び現金同等物、短期投資 -78.28%245.48万-78.28%245.48万-67.39%418.59万-72.29%451.79万-56.91%753.85万-11.36%1,130.29万-11.36%1,130.29万96.57%1,283.43万-34.97%1,630.36万-53.20%1,749.32万
-現金及び現金同等物 -78.28%245.48万-78.28%245.48万-66.18%418.59万-71.25%451.79万-55.48%753.85万98.19%1,130.29万98.19%1,130.29万278.47%1,237.55万-29.34%1,571.51万-51.86%1,693.17万
-売掛金 -25.32%303.53万-25.32%303.53万8.76%413.72万11.05%403.81万64.56%468.2万61.05%406.42万61.05%406.42万-1.24%380.39万1.33%363.62万-38.02%284.52万
流動資産合計 -40.41%1,701.41万-40.41%1,701.41万-33.86%2,177.83万-30.98%2,302.19万-31.62%2,424.48万-9.61%2,855.05万-9.61%2,855.05万10.64%3,292.8万-31.70%3,335.69万-43.86%3,545.85万
非流動資産
-減価償却累計额 -64.36%-2,816.29万-64.36%-2,816.29万-28.49%-1,998.21万-31.22%-1,881.71万-34.27%-1,763.25万-36.11%-1,713.51万-36.11%-1,713.51万-45.15%-1,555.13万-48.17%-1,434.06万-52.06%-1,313.17万
-投資有価証券 533.36%204.68万533.36%204.68万-54.58%225.97万-94.82%25.35万-94.03%28.79万-94.31%32.32万-94.31%32.32万-10.26%497.47万869.64%489.76万796.81%482.13万
-のれん -99.19%41.32万-99.19%41.32万-99.65%42.62万-99.65%43.92万-59.67%5,057.58万-59.59%5,105.83万-59.59%5,105.83万-23.11%1.24億-22.92%1.24億-22.66%1.25億
-その他の無形資産 0.00%284.62万0.00%284.62万-7.48%284.62万-7.48%284.62万-7.48%284.62万113.06%284.62万113.06%284.62万130.28%307.63万2,423.83%307.63万2,423.83%307.63万
規制資産 -20.64%340.51万-20.64%340.51万16.93%444.77万15.31%419.28万68.75%480.12万70.02%429.06万70.02%429.06万-14.62%380.39万-27.80%363.62万-54.50%284.52万
負債
流動負債
短期借入金及び資本リース債務 -71.75%139.56万-71.75%139.56万2,163.50%309.95万3,703.21%516.51万3,620.99%505.34万3,537.65%494.03万3,537.65%494.03万-9.02%13.69万-99.46%13.58万-99.60%13.58万
-短期借入金 -73.88%124.75万-73.88%124.75万--294.6万--500.84万--489.12万--477.53万--477.53万------------
-資本リース債務 -10.22%14.81万-10.22%14.81万12.07%15.35万15.41%15.67万19.49%16.23万21.49%16.5万21.49%16.5万-9.02%13.69万-9.76%13.58万-12.26%13.58万
-買掛金 -15.72%400.49万-15.72%400.49万-------------32.66%475.19万-32.66%475.19万------------
-未払い法人所得税 -90.98%204.68万-90.98%204.68万-74.50%1,194.8万-79.46%959.31万-52.71%2,225.19万-52.41%2,269.26万-52.41%2,269.26万-1.54%4,685.19万9.46%4,669.94万9.16%4,705.47万
流動負債合計 -44.28%540.05万-44.28%540.05万70.55%844.44万48.71%942.18万54.74%840.01万34.75%969.21万34.75%969.21万-22.43%495.14万-81.25%633.57万-87.24%542.86万
非流動負債
-長期借入金 -38.24%19.96万-38.24%19.96万-30.45%21.49万-25.77%25.35万-24.00%28.79万-21.97%32.32万-21.97%32.32万-33.44%30.89万-32.40%34.14万-29.54%37.88万
長期前払費用 -27.86%2,799.23万-27.86%2,799.23万-11.80%3,560.17万-11.66%3,669.85万-12.87%3,773.86万-12.00%3,880.48万-12.00%3,880.48万-11.18%4,036.27万-9.28%4,154.04万-2.70%4,331.39万
長期積立金 --184.72万--184.72万-56.17%204.48万-----------------8.14%466.57万--455.62万--444.25万
非流動負債合計 -77.00%744.74万-77.00%744.74万-60.63%2,039.25万-64.15%1,901.49万-41.60%3,065.19万-40.98%3,238.47万-40.98%3,238.47万-4.01%5,180.33万-30.63%5,303.51万-38.73%5,248.34万
資本
資本金 0.00%2.89億0.00%2.89億0.08%2.89億0.08%2.89億0.07%2.89億2.38%2.89億2.38%2.89億2.40%2.89億4.85%2.89億4.86%2.89億
-普通株式 0.00%2.89億0.00%2.89億0.08%2.89億0.08%2.89億0.07%2.89億2.38%2.89億2.38%2.89億2.40%2.89億4.85%2.89億4.86%2.89億
資本剰余金 1.57%2,193.31万1.57%2,193.31万3.02%2,186.75万2.69%2,179.71万2.74%2,170.73万1.90%2,159.37万1.90%2,159.37万0.72%2,122.61万-2.37%2,122.61万-2.94%2,112.86万
利益剰余金に影響しない損益 42.35%-2.37万42.35%-2.37万49.77%-11.05万-1,837.70%-25.52万155.01%2.22万-162.30%-4.11万-162.30%-4.11万-227.11%-22万-113.03%-1.32万-60.63%-4.04万
その他の資本の構成要素 ---------------1------1--1--6.34万--------
資本合計 -61.64%4,541.96万-61.64%4,541.96万-70.63%5,780.62万-69.82%6,015.96万-44.87%1.13億-41.38%1.18億-41.38%1.18億-16.55%1.97億-22.16%1.99億-24.33%2.04億

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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