加拿大市場個股詳情

DEFI DeFi Technologies Inc

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  • 2.120
  • -0.080-3.64%
延時15分鐘行情已收盤 08/02 15:59 (美東)
6.15億總市值-30285市盈率TTM

DeFi Technologies Inc關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 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
資產
流動資產
現金及現金等價物和短期投資
1,467.10%3.76億
656.48%3,724.44萬
656.48%3,724.44萬
227.59%1,531.98萬
427.78%2,992.41萬
186.16%2,397.33萬
-94.71%492.34萬
-94.71%492.34萬
-71.49%467.65萬
-80.23%566.98萬
-現金和現金等價物
113.80%941.29萬
37.12%672.75萬
37.12%672.75萬
-53.94%214.45萬
-34.12%368.08萬
-46.89%440.27萬
-46.45%490.62萬
-46.45%490.62萬
-56.32%465.59萬
-39.36%558.75萬
預付費用
0.00%432.14萬
0.00%432.14萬
0.00%432.14萬
0.00%432.14萬
0.00%432.14萬
0.00%432.14萬
0.00%432.14萬
0.00%432.14萬
0.00%432.14萬
0.00%432.14萬
流動資產合計
353.73%8.87億
353.51%4.98億
353.51%4.98億
18.53%1.81億
42.28%1.89億
-44.96%1.96億
-71.08%1.1億
-71.08%1.1億
-42.21%1.53億
-14.23%1.33億
非流動資產
投資物業
-4.71%4,179.39萬
45.06%4,354.05萬
45.06%4,354.05萬
-1.77%4,130.79萬
5.67%4,372.63萬
-1.91%4,385.99萬
192.61%3,001.54萬
192.61%3,001.54萬
291.03%4,205.42萬
293.15%4,137.99萬
-長期股權投資
----
--0
--0
--0
--0
--0
30,185.35%170.99萬
30,185.35%170.99萬
7,525.90%168.14萬
--0
-其中:以公允價值計量且其變動計入當期損益的金融資產總額
-4.71%4,179.39萬
45.06%4,354.05萬
45.06%4,354.05萬
-1.77%4,130.79萬
5.67%4,372.63萬
-1.91%4,385.99萬
192.61%3,001.54萬
192.61%3,001.54萬
291.03%4,205.42萬
293.15%4,137.99萬
金融資產
----
----
----
----
----
----
----
----
--0
--0
-商譽
2.03%5,283.31萬
-3.90%5,025.49萬
-3.90%5,025.49萬
-23.85%5,076.45萬
-23.90%5,127.41萬
-24.38%5,178.36萬
-23.59%5,229.32萬
-23.59%5,229.32萬
-28.97%6,666.81萬
-28.97%6,737.48萬
-其他無形資產
11.01%2,980.95萬
2.59%2,863.19萬
2.59%2,863.19萬
-21.51%2,515.89萬
-23.10%2,599.06萬
-17.84%2,685.19萬
7.77%2,791萬
7.77%2,791萬
132.36%3,205.33萬
271.75%3,379.79萬
監管資產
133.07%1.32億
402,893.53%2.7億
402,893.53%2.7億
47.23%6,088.34萬
2.77%3,994.95萬
-70.29%5,680.96萬
-99.94%6.71萬
-99.94%6.71萬
2,235.10%4,135.38萬
9,320.94%3,887.26萬
負債
流動負債
短期借款與資本租賃負債
0.85%5,758.75萬
6.42%5,621.07萬
6.42%5,621.07萬
4.06%5,671.81萬
11.12%5,584.52萬
23.50%5,710.22萬
--5,282.16萬
--5,282.16萬
--5,450.72萬
--5,025.54萬
-短期借款
0.85%5,758.75萬
6.42%5,621.07萬
6.42%5,621.07萬
4.06%5,671.81萬
11.12%5,584.52萬
23.50%5,710.22萬
--5,282.16萬
--5,282.16萬
--5,450.72萬
--5,025.54萬
-應付帳款
364.24%9.17億
364.71%5.17億
364.71%5.17億
22.01%1.85億
48.62%1.89億
-42.16%1.98億
-69.76%1.11億
-69.76%1.11億
5,066.70%1.52億
9,408.76%1.27億
-應付稅費
---1
--0
--0
--0
--0
--0
30,185.35%170.99萬
30,185.35%170.99萬
7,525.90%168.14萬
--0
-應付關聯方款項
-85.96%8.48萬
3.68%32.84萬
3.68%32.84萬
593.81%52.19萬
376.09%35.82萬
1,635.33%60.42萬
809.53%31.67萬
809.53%31.67萬
-99.97%7.52萬
-99.94%7.52萬
-其他應付款
1,996.54%182.89萬
1,105.98%64.35萬
1,105.98%64.35萬
-71.12%4.39萬
--7.19萬
--8.72萬
-95.94%5.34萬
-95.94%5.34萬
-94.28%15.21萬
----
遞延負債
--26.93萬
----
----
----
----
----
----
----
----
----
流動負債總額
281.99%9.75億
248.89%5.74億
248.89%5.74億
17.11%2.43億
37.82%2.45億
-34.25%2.55億
-55.32%1.64億
-55.32%1.64億
-16.08%2.07億
42.55%1.78億
非流動負債
長期借款與租賃負債
129.33%1.3億
--2.7億
--2.7億
47.72%6,087.72萬
2.40%3,975.65萬
-70.33%5,671.85萬
--0
--0
--4,121.02萬
--3,882.5萬
-長期借款
----
--0
--0
--0
--0
--0
30,185.35%170.99萬
30,185.35%170.99萬
7,525.90%168.14萬
--0
長期應計費用
-74.46%4,442
-99.60%7,679
-99.60%7,679
-99.43%1.09萬
-53.15%1.42萬
-45.10%1.74萬
4,841.47%193.78萬
4,841.47%193.78萬
3,138.35%190.59萬
-50.70%3.02萬
非流動負債總額
281.99%9.75億
245.29%5.74億
245.29%5.74億
16.17%2.43億
37.82%2.45億
-34.25%2.55億
-54.85%1.66億
-54.85%1.66億
-15.41%2.09億
42.50%1.78億
所有者權益
股本
7.61%1.84億
2.66%1.75億
2.66%1.75億
2.43%1.72億
2.08%1.71億
2.38%1.71億
1.72%1.7億
1.72%1.7億
5.29%1.68億
-1.18%1.68億
-普通股股本
7.81%1.79億
2.73%1.71億
2.73%1.71億
2.49%1.68億
2.14%1.67億
2.44%1.66億
1.77%1.66億
1.77%1.66億
5.44%1.64億
-1.21%1.64億
不影響留存收益的損益
1.37%-292.16萬
44.85%-165.25萬
44.85%-165.25萬
25.05%-309.91萬
-35.60%-126.97萬
-38,289.11%-296.23萬
-1,342.91%-299.62萬
-1,342.91%-299.62萬
-2,137.58%-413.5萬
-616.01%-93.64萬
其他股本權益
229.69%3.77億
80.84%1.88億
80.84%1.88億
-0.75%1.05億
36.43%1.17億
-25.45%1.14億
-41.36%1.04億
-41.36%1.04億
-57.10%1.05億
-30.77%8,604.86萬
總權益
237.72%9.84億
205.13%5.92億
205.13%5.92億
3.67%2.73億
17.58%2.84億
-37.83%2.91億
-57.80%1.94億
-57.80%1.94億
-29.13%2.64億
-7.68%2.42億
(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
資產
流動資產
現金及現金等價物和短期投資 1,467.10%3.76億656.48%3,724.44萬656.48%3,724.44萬227.59%1,531.98萬427.78%2,992.41萬186.16%2,397.33萬-94.71%492.34萬-94.71%492.34萬-71.49%467.65萬-80.23%566.98萬
-現金和現金等價物 113.80%941.29萬37.12%672.75萬37.12%672.75萬-53.94%214.45萬-34.12%368.08萬-46.89%440.27萬-46.45%490.62萬-46.45%490.62萬-56.32%465.59萬-39.36%558.75萬
預付費用 0.00%432.14萬0.00%432.14萬0.00%432.14萬0.00%432.14萬0.00%432.14萬0.00%432.14萬0.00%432.14萬0.00%432.14萬0.00%432.14萬0.00%432.14萬
流動資產合計 353.73%8.87億353.51%4.98億353.51%4.98億18.53%1.81億42.28%1.89億-44.96%1.96億-71.08%1.1億-71.08%1.1億-42.21%1.53億-14.23%1.33億
非流動資產
投資物業 -4.71%4,179.39萬45.06%4,354.05萬45.06%4,354.05萬-1.77%4,130.79萬5.67%4,372.63萬-1.91%4,385.99萬192.61%3,001.54萬192.61%3,001.54萬291.03%4,205.42萬293.15%4,137.99萬
-長期股權投資 ------0--0--0--0--030,185.35%170.99萬30,185.35%170.99萬7,525.90%168.14萬--0
-其中:以公允價值計量且其變動計入當期損益的金融資產總額 -4.71%4,179.39萬45.06%4,354.05萬45.06%4,354.05萬-1.77%4,130.79萬5.67%4,372.63萬-1.91%4,385.99萬192.61%3,001.54萬192.61%3,001.54萬291.03%4,205.42萬293.15%4,137.99萬
金融資產 ----------------------------------0--0
-商譽 2.03%5,283.31萬-3.90%5,025.49萬-3.90%5,025.49萬-23.85%5,076.45萬-23.90%5,127.41萬-24.38%5,178.36萬-23.59%5,229.32萬-23.59%5,229.32萬-28.97%6,666.81萬-28.97%6,737.48萬
-其他無形資產 11.01%2,980.95萬2.59%2,863.19萬2.59%2,863.19萬-21.51%2,515.89萬-23.10%2,599.06萬-17.84%2,685.19萬7.77%2,791萬7.77%2,791萬132.36%3,205.33萬271.75%3,379.79萬
監管資產 133.07%1.32億402,893.53%2.7億402,893.53%2.7億47.23%6,088.34萬2.77%3,994.95萬-70.29%5,680.96萬-99.94%6.71萬-99.94%6.71萬2,235.10%4,135.38萬9,320.94%3,887.26萬
負債
流動負債
短期借款與資本租賃負債 0.85%5,758.75萬6.42%5,621.07萬6.42%5,621.07萬4.06%5,671.81萬11.12%5,584.52萬23.50%5,710.22萬--5,282.16萬--5,282.16萬--5,450.72萬--5,025.54萬
-短期借款 0.85%5,758.75萬6.42%5,621.07萬6.42%5,621.07萬4.06%5,671.81萬11.12%5,584.52萬23.50%5,710.22萬--5,282.16萬--5,282.16萬--5,450.72萬--5,025.54萬
-應付帳款 364.24%9.17億364.71%5.17億364.71%5.17億22.01%1.85億48.62%1.89億-42.16%1.98億-69.76%1.11億-69.76%1.11億5,066.70%1.52億9,408.76%1.27億
-應付稅費 ---1--0--0--0--0--030,185.35%170.99萬30,185.35%170.99萬7,525.90%168.14萬--0
-應付關聯方款項 -85.96%8.48萬3.68%32.84萬3.68%32.84萬593.81%52.19萬376.09%35.82萬1,635.33%60.42萬809.53%31.67萬809.53%31.67萬-99.97%7.52萬-99.94%7.52萬
-其他應付款 1,996.54%182.89萬1,105.98%64.35萬1,105.98%64.35萬-71.12%4.39萬--7.19萬--8.72萬-95.94%5.34萬-95.94%5.34萬-94.28%15.21萬----
遞延負債 --26.93萬------------------------------------
流動負債總額 281.99%9.75億248.89%5.74億248.89%5.74億17.11%2.43億37.82%2.45億-34.25%2.55億-55.32%1.64億-55.32%1.64億-16.08%2.07億42.55%1.78億
非流動負債
長期借款與租賃負債 129.33%1.3億--2.7億--2.7億47.72%6,087.72萬2.40%3,975.65萬-70.33%5,671.85萬--0--0--4,121.02萬--3,882.5萬
-長期借款 ------0--0--0--0--030,185.35%170.99萬30,185.35%170.99萬7,525.90%168.14萬--0
長期應計費用 -74.46%4,442-99.60%7,679-99.60%7,679-99.43%1.09萬-53.15%1.42萬-45.10%1.74萬4,841.47%193.78萬4,841.47%193.78萬3,138.35%190.59萬-50.70%3.02萬
非流動負債總額 281.99%9.75億245.29%5.74億245.29%5.74億16.17%2.43億37.82%2.45億-34.25%2.55億-54.85%1.66億-54.85%1.66億-15.41%2.09億42.50%1.78億
所有者權益
股本 7.61%1.84億2.66%1.75億2.66%1.75億2.43%1.72億2.08%1.71億2.38%1.71億1.72%1.7億1.72%1.7億5.29%1.68億-1.18%1.68億
-普通股股本 7.81%1.79億2.73%1.71億2.73%1.71億2.49%1.68億2.14%1.67億2.44%1.66億1.77%1.66億1.77%1.66億5.44%1.64億-1.21%1.64億
不影響留存收益的損益 1.37%-292.16萬44.85%-165.25萬44.85%-165.25萬25.05%-309.91萬-35.60%-126.97萬-38,289.11%-296.23萬-1,342.91%-299.62萬-1,342.91%-299.62萬-2,137.58%-413.5萬-616.01%-93.64萬
其他股本權益 229.69%3.77億80.84%1.88億80.84%1.88億-0.75%1.05億36.43%1.17億-25.45%1.14億-41.36%1.04億-41.36%1.04億-57.10%1.05億-30.77%8,604.86萬
總權益 237.72%9.84億205.13%5.92億205.13%5.92億3.67%2.73億17.58%2.84億-37.83%2.91億-57.80%1.94億-57.80%1.94億-29.13%2.64億-7.68%2.42億

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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