加拿大市場個股詳情

DCOP District Copper Corp

添加自選
  • 0.040
  • 0.0000.00%
延時15分鐘行情已收盤 08/22 16:00 (美東)
87.18萬總市值-1333市盈率TTM

District Copper Corp關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(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
(Q3)2022/07/31
資產
流動資產
現金及現金等價物和短期投資
-10.21%46.83萬
-31.28%24.56萬
-21.89%34.96萬
-21.89%34.96萬
41.64%43.07萬
29.03%52.16萬
-42.70%35.74萬
134.92%44.76萬
134.92%44.76萬
-14.72%30.41萬
-現金和現金等價物
-5.34%44.69萬
-8.88%22.36萬
-12.37%32.21萬
-12.37%32.21萬
30.69%39.74萬
16.78%47.21萬
-40.63%24.54萬
110.32%36.76萬
110.32%36.76萬
-7.42%30.41萬
流動資產合計
-57.53%47.47萬
-44.83%58.09萬
-39.66%74.83萬
-39.66%74.83萬
45.46%92.78萬
50.34%111.78萬
8.13%105.29萬
131.39%124.01萬
131.39%124.01萬
78.85%63.78萬
非流動資產
-其他無形資產
0.00%19.64萬
0.00%19.64萬
0.00%19.64萬
0.00%19.64萬
--19.64萬
--19.64萬
--19.64萬
--19.64萬
--19.64萬
----
監管資產
-98.08%6,430
-0.08%33.53萬
-0.33%33.33萬
-0.33%33.33萬
-0.09%33.34萬
-1.44%33.43萬
-4.13%33.55萬
-3.21%33.44萬
-3.21%33.44萬
--33.37萬
總資產
47.88%6,430
-4.56%5,277
-25.10%3,261
-25.10%3,261
-7.89%3,398
-52.86%4,348
-44.53%5,529
-19.80%4,354
-19.80%4,354
--3,689
負債
流動負債
-應付稅費
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
流動負債總額
104.89%2.57萬
-48.50%2.41萬
-46.84%4.68萬
-46.84%4.68萬
-63.94%1.18萬
-72.13%1.25萬
-7.55%4.68萬
-32.48%8.8萬
-32.48%8.8萬
-79.21%3.26萬
非流動負債
長期應計費用
5.51%118.75萬
4.01%115.9萬
3.48%114.67萬
3.48%114.67萬
-15.64%112.8萬
-9.91%112.55萬
-5.60%111.43萬
-11.78%110.81萬
-11.78%110.81萬
8.09%133.71萬
非流動負債總額
104.89%2.57萬
-48.50%2.41萬
-46.84%4.68萬
-46.84%4.68萬
-63.94%1.18萬
-72.13%1.25萬
-7.55%4.68萬
-32.48%8.8萬
-32.48%8.8萬
-79.21%3.26萬
所有者權益
股本
0.11%2,123.78萬
0.00%2,121.53萬
0.00%2,121.53萬
0.00%2,121.53萬
0.21%2,121.53萬
1.62%2,121.53萬
2.58%2,121.53萬
4.38%2,121.53萬
4.38%2,121.53萬
4.16%2,117.03萬
-普通股股本
0.11%2,123.78萬
0.00%2,121.53萬
0.00%2,121.53萬
0.00%2,121.53萬
0.21%2,121.53萬
1.62%2,121.53萬
2.58%2,121.53萬
4.38%2,121.53萬
4.38%2,121.53萬
4.16%2,117.03萬
資本公積
----
----
----
----
----
----
----
----
----
--17.65萬
總權益
-25.90%166.23萬
-30.33%173.99萬
-29.24%189.5萬
-29.24%189.5萬
-10.81%205.58萬
-3.42%224.32萬
-11.26%249.73萬
9.22%267.82萬
9.22%267.82萬
-11.13%230.49萬
(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(Q3)2022/07/31
資產
流動資產
現金及現金等價物和短期投資 -10.21%46.83萬-31.28%24.56萬-21.89%34.96萬-21.89%34.96萬41.64%43.07萬29.03%52.16萬-42.70%35.74萬134.92%44.76萬134.92%44.76萬-14.72%30.41萬
-現金和現金等價物 -5.34%44.69萬-8.88%22.36萬-12.37%32.21萬-12.37%32.21萬30.69%39.74萬16.78%47.21萬-40.63%24.54萬110.32%36.76萬110.32%36.76萬-7.42%30.41萬
流動資產合計 -57.53%47.47萬-44.83%58.09萬-39.66%74.83萬-39.66%74.83萬45.46%92.78萬50.34%111.78萬8.13%105.29萬131.39%124.01萬131.39%124.01萬78.85%63.78萬
非流動資產
-其他無形資產 0.00%19.64萬0.00%19.64萬0.00%19.64萬0.00%19.64萬--19.64萬--19.64萬--19.64萬--19.64萬--19.64萬----
監管資產 -98.08%6,430-0.08%33.53萬-0.33%33.33萬-0.33%33.33萬-0.09%33.34萬-1.44%33.43萬-4.13%33.55萬-3.21%33.44萬-3.21%33.44萬--33.37萬
總資產 47.88%6,430-4.56%5,277-25.10%3,261-25.10%3,261-7.89%3,398-52.86%4,348-44.53%5,529-19.80%4,354-19.80%4,354--3,689
負債
流動負債
-應付稅費 --0--0--0--0--0--0--0--0--0--0
流動負債總額 104.89%2.57萬-48.50%2.41萬-46.84%4.68萬-46.84%4.68萬-63.94%1.18萬-72.13%1.25萬-7.55%4.68萬-32.48%8.8萬-32.48%8.8萬-79.21%3.26萬
非流動負債
長期應計費用 5.51%118.75萬4.01%115.9萬3.48%114.67萬3.48%114.67萬-15.64%112.8萬-9.91%112.55萬-5.60%111.43萬-11.78%110.81萬-11.78%110.81萬8.09%133.71萬
非流動負債總額 104.89%2.57萬-48.50%2.41萬-46.84%4.68萬-46.84%4.68萬-63.94%1.18萬-72.13%1.25萬-7.55%4.68萬-32.48%8.8萬-32.48%8.8萬-79.21%3.26萬
所有者權益
股本 0.11%2,123.78萬0.00%2,121.53萬0.00%2,121.53萬0.00%2,121.53萬0.21%2,121.53萬1.62%2,121.53萬2.58%2,121.53萬4.38%2,121.53萬4.38%2,121.53萬4.16%2,117.03萬
-普通股股本 0.11%2,123.78萬0.00%2,121.53萬0.00%2,121.53萬0.00%2,121.53萬0.21%2,121.53萬1.62%2,121.53萬2.58%2,121.53萬4.38%2,121.53萬4.38%2,121.53萬4.16%2,117.03萬
資本公積 --------------------------------------17.65萬
總權益 -25.90%166.23萬-30.33%173.99萬-29.24%189.5萬-29.24%189.5萬-10.81%205.58萬-3.42%224.32萬-11.26%249.73萬9.22%267.82萬9.22%267.82萬-11.13%230.49萬

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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