加拿大市場個股詳情

DMGI DMG Blockchain Solutions Inc

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  • 0.395
  • +0.020+5.33%
延時15分鐘行情已收盤 12/20 16:00 (美東)
8022.63萬總市值-13.17市盈率TTM

DMG Blockchain Solutions Inc關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2024/09/30
(Q4)2024/09/30
(Q3)2024/06/30
(Q2)2024/03/31
(Q1)2023/12/31
(FY)2023/09/30
(Q4)2023/09/30
(Q3)2023/06/30
(Q2)2023/03/31
(Q1)2022/12/31
資產
流動資產
現金及現金等價物和短期投資
-8.32%199.59萬
-8.32%199.59萬
-43.24%128.57萬
-58.33%210.75萬
231.14%283.4萬
32.01%217.69萬
32.01%217.69萬
37.47%226.53萬
-31.57%505.79萬
-31.70%85.58萬
-現金和現金等價物
-6.19%167.91萬
-6.19%167.91萬
-50.71%87.71萬
-66.12%160.95萬
222.06%220.22萬
43.48%178.99萬
43.48%178.99萬
43.89%177.94萬
-24.55%475.12萬
-8.73%68.38萬
-短期投資
-18.14%31.68萬
-18.14%31.68萬
-15.92%40.86萬
62.37%49.8萬
267.25%63.17萬
-3.63%38.7萬
-3.63%38.7萬
18.17%48.59萬
-71.97%30.67萬
-65.86%17.2萬
應收款項
98.26%491.03萬
98.26%491.03萬
-24.06%322.44萬
-43.18%210.28萬
-56.81%302.15萬
-61.04%247.67萬
-61.04%247.67萬
-21.20%424.59萬
-72.45%370.1萬
-40.65%699.53萬
-應收賬款
-48.87%29.53萬
-48.87%29.53萬
-94.66%22.67萬
-70.38%19.61萬
43.47%111.74萬
-9.41%57.76萬
-9.41%57.76萬
1,645.77%424.59萬
-95.03%66.21萬
-93.31%77.89萬
-應收稅費
56.99%301.26萬
56.99%301.26萬
--301.26萬
-59.55%191.89萬
-68.92%191.89萬
-66.24%191.89萬
-66.24%191.89萬
----
--474.38萬
--617.44萬
-其他應收款
4,650.65%166.27萬
4,650.65%166.27萬
--3.76萬
119.64%3.76萬
-69.36%3.5萬
-20.14%3.5萬
-20.14%3.5萬
----
-84.38%1.71萬
-21.22%11.42萬
-應收賬款調整額
-10.10%-6.04萬
-10.10%-6.04萬
---5.25萬
97.11%-4.98萬
30.89%-4.99萬
-536.67%-5.49萬
-536.67%-5.49萬
----
---172.2萬
---7.22萬
持有待售資產
--0
--0
--0
--370.25萬
--373.86萬
--345.1萬
--345.1萬
----
----
----
其他流動資產
99.96%3,466.47萬
99.96%3,466.47萬
87.57%3,905.7萬
146.49%4,229.94萬
142.79%2,562.82萬
81.00%1,733.62萬
81.00%1,733.62萬
92.41%2,082.22萬
-23.20%1,716.06萬
-60.71%1,055.57萬
流動資產合計
63.40%4,157.09萬
63.40%4,157.09萬
59.39%4,356.72萬
93.72%5,021.21萬
91.35%3,522.22萬
44.68%2,544.08萬
44.68%2,544.08萬
53.06%2,733.34萬
-39.96%2,591.96萬
-53.88%1,840.69萬
非流動資產
固定資產淨額
13.50%5,379.9萬
13.50%5,379.9萬
16.54%5,868.11萬
-19.61%4,263.24萬
-24.65%4,371.48萬
-18.40%4,739.86萬
-18.40%4,739.86萬
-9.84%5,035.33萬
-1.14%5,303.38萬
36.93%5,801.34萬
-固定資產
26.96%1.19億
26.96%1.19億
--1.18億
8.22%9,711.61萬
6.29%9,444.84萬
13.22%9,379.38萬
13.22%9,379.38萬
----
34.09%8,973.6萬
74.84%8,886.09萬
-累計折舊
-40.71%-6,528.22萬
-40.71%-6,528.22萬
---5,952.1萬
-48.45%-5,448.37萬
-64.47%-5,073.36萬
-87.41%-4,639.53萬
-87.41%-4,639.53萬
----
-176.38%-3,670.22萬
-264.74%-3,084.75萬
投資和預付款
0.00%4.5萬
0.00%4.5萬
0.00%4.5萬
0.00%4.5萬
0.00%4.5萬
-40.00%4.5萬
-40.00%4.5萬
-99.22%4.5萬
-99.21%4.5萬
-99.21%4.5萬
-其他投資
0.00%4.5萬
0.00%4.5萬
--4.5萬
--4.5萬
--4.5萬
-40.00%4.5萬
-40.00%4.5萬
----
----
----
長期應收款
-0.62%640.65萬
-0.62%640.65萬
8.07%695.65萬
-1.25%678.21萬
-1.98%661.2萬
-2.81%644.63萬
-2.81%644.63萬
-1.91%643.7萬
--686.77萬
--674.56萬
長期預付費用
-37.12%204.77萬
-37.12%204.77萬
-70.08%210.54萬
120.29%1,868.76萬
-39.31%538.25萬
-77.58%325.63萬
-77.58%325.63萬
-65.72%703.76萬
-61.81%848.32萬
-71.36%886.83萬
非流動資產合計
9.02%6,229.81萬
9.02%6,229.81萬
6.13%6,778.8萬
-0.41%6,814.71萬
-24.32%5,575.43萬
-27.95%5,714.62萬
-27.95%5,714.62萬
-28.04%6,387.29萬
-16.15%6,842.97萬
-6.80%7,367.24萬
總資產
25.77%1.04億
25.77%1.04億
22.09%1.11億
25.45%1.18億
-1.20%9,097.66萬
-14.77%8,258.7萬
-14.77%8,258.7萬
-14.45%9,120.63萬
-24.39%9,434.93萬
-22.59%9,207.92萬
負債
流動負債
短期借款與資本租賃負債
956.12%1,397.19萬
956.12%1,397.19萬
3,506.92%1,388.32萬
2,982.27%1,218.47萬
250.47%134.55萬
212.39%132.3萬
212.39%132.3萬
-12.65%38.49萬
-16.31%39.53萬
-21.56%38.39萬
-短期借款
994.66%1,392.85萬
994.66%1,392.85萬
4,229.86%1,383.81萬
3,632.13%1,212.77萬
338.77%128.07萬
335.93%127.24萬
335.93%127.24萬
9.50%31.96萬
11.33%32.5萬
0.00%29.19萬
-短期資本租賃負債
-13.99%4.35萬
-13.99%4.35萬
-30.90%4.51萬
-18.97%5.7萬
-29.63%6.48萬
-61.59%5.06萬
-61.59%5.06萬
-56.10%6.53萬
-61.02%7.04萬
-53.41%9.2萬
應付款項
28.36%503.02萬
28.36%503.02萬
7.54%477.66萬
26.01%539.16萬
-11.66%485.29萬
4.10%391.87萬
4.10%391.87萬
2.87%444.17萬
7.31%427.86萬
18.10%549.38萬
-應付帳款
33.95%498.91萬
33.95%498.91萬
5.96%470.66萬
28.19%537.88萬
-11.66%485.29萬
6.59%372.45萬
6.59%372.45萬
16.65%444.17萬
7.68%419.59萬
18.10%549.38萬
-應付稅費
-78.83%4.11萬
-78.83%4.11萬
--7萬
-84.51%1.28萬
--0
-28.14%19.43萬
-28.14%19.43萬
----
-8.93%8.27萬
--0
應計費用
-0.14%14.58萬
-0.14%14.58萬
--9,658
4.44%9,979
7.92%9,979
7.08%14.6萬
7.08%14.6萬
----
--9,555
--9,247
遞延負債
-96.02%7,076
-96.02%7,076
286.30%4.61萬
-91.20%7.05萬
-49.27%8.54萬
-83.20%17.77萬
-83.20%17.77萬
-98.99%1.19萬
-84.93%80.12萬
-84.90%16.83萬
流動負債總額
244.18%1,915.51萬
244.18%1,915.51萬
286.80%1,871.55萬
221.93%1,765.68萬
3.94%629.38萬
3.41%556.54萬
3.41%556.54萬
-18.48%483.85萬
-43.53%548.47萬
-3.21%605.52萬
非流動負債
長期借款與租賃負債
25.82%5.18萬
25.82%5.18萬
-93.75%6.2萬
-92.77%7.19萬
-92.08%8.16萬
-55.61%4.12萬
-55.61%4.12萬
2,482.44%99.11萬
2,078.90%99.41萬
1,837.54%103.09萬
-長期借款
----
----
----
----
----
----
----
--94.46萬
--93.1萬
--95.6萬
-長期租賃負債
25.82%5.18萬
25.82%5.18萬
33.02%6.2萬
13.91%7.19萬
9.03%8.16萬
-55.61%4.12萬
-55.61%4.12萬
21.35%4.66萬
38.29%6.31萬
40.67%7.48萬
非流動負債總額
25.82%5.18萬
25.82%5.18萬
-93.75%6.2萬
-92.77%7.19萬
-92.08%8.16萬
-55.61%4.12萬
-55.61%4.12萬
2,482.44%99.11萬
2,078.90%99.41萬
1,837.54%103.09萬
負債總額
242.58%1,920.69萬
242.58%1,920.69萬
222.10%1,877.75萬
173.64%1,772.86萬
-10.03%637.54萬
2.41%560.66萬
2.41%560.66萬
-2.42%582.97萬
-33.61%647.88萬
12.32%708.61萬
所有者權益
股本
2.04%1.13億
2.04%1.13億
1.76%1.12億
1.22%1.12億
0.82%1.11億
0.40%1.11億
0.40%1.11億
0.09%1.1億
0.09%1.1億
0.20%1.1億
-普通股股本
2.04%1.13億
2.04%1.13億
1.76%1.12億
1.22%1.12億
0.82%1.11億
0.40%1.11億
0.40%1.11億
0.09%1.1億
0.09%1.1億
0.20%1.1億
留存收益
-6.58%-8,472.61萬
-6.58%-8,472.61萬
0.49%-7,635.98萬
-0.08%-7,252.18萬
-3.55%-7,252.4萬
-26.12%-7,949.65萬
-26.12%-7,949.65萬
-44.24%-7,673.55萬
-76.88%-7,246.19萬
-70.73%-7,003.82萬
不影響留存收益的損益
6,910.42%1,044.86萬
6,910.42%1,044.86萬
-79.07%1,080.71萬
23.02%6,133.17萬
-99.64%15.91萬
22.55%14.9萬
22.55%14.9萬
18.81%5,163.38萬
9.30%4,985.42萬
2.62%4,455.31萬
其他股本權益
0.76%4,585.31萬
0.76%4,585.31萬
--4,570.51萬
----
--4,558.5萬
3.52%4,550.73萬
3.52%4,550.73萬
----
----
----
股東權益總額
9.98%8,466.21萬
9.98%8,466.21萬
8.43%9,257.78萬
14.52%1.01億
-0.46%8,460.12萬
-15.80%7,698.03萬
-15.80%7,698.03萬
-15.17%8,537.66萬
-23.60%8,787.05萬
-24.55%8,499.31萬
總權益
9.98%8,466.21萬
9.98%8,466.21萬
8.43%9,257.78萬
14.52%1.01億
-0.46%8,460.12萬
-15.80%7,698.03萬
-15.80%7,698.03萬
-15.17%8,537.66萬
-23.60%8,787.05萬
-24.55%8,499.31萬
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
審計意見
無保留意見
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--
--
--
無保留意見
--
--
--
--
(FY)2024/09/30(Q4)2024/09/30(Q3)2024/06/30(Q2)2024/03/31(Q1)2023/12/31(FY)2023/09/30(Q4)2023/09/30(Q3)2023/06/30(Q2)2023/03/31(Q1)2022/12/31
資產
流動資產
現金及現金等價物和短期投資 -8.32%199.59萬-8.32%199.59萬-43.24%128.57萬-58.33%210.75萬231.14%283.4萬32.01%217.69萬32.01%217.69萬37.47%226.53萬-31.57%505.79萬-31.70%85.58萬
-現金和現金等價物 -6.19%167.91萬-6.19%167.91萬-50.71%87.71萬-66.12%160.95萬222.06%220.22萬43.48%178.99萬43.48%178.99萬43.89%177.94萬-24.55%475.12萬-8.73%68.38萬
-短期投資 -18.14%31.68萬-18.14%31.68萬-15.92%40.86萬62.37%49.8萬267.25%63.17萬-3.63%38.7萬-3.63%38.7萬18.17%48.59萬-71.97%30.67萬-65.86%17.2萬
應收款項 98.26%491.03萬98.26%491.03萬-24.06%322.44萬-43.18%210.28萬-56.81%302.15萬-61.04%247.67萬-61.04%247.67萬-21.20%424.59萬-72.45%370.1萬-40.65%699.53萬
-應收賬款 -48.87%29.53萬-48.87%29.53萬-94.66%22.67萬-70.38%19.61萬43.47%111.74萬-9.41%57.76萬-9.41%57.76萬1,645.77%424.59萬-95.03%66.21萬-93.31%77.89萬
-應收稅費 56.99%301.26萬56.99%301.26萬--301.26萬-59.55%191.89萬-68.92%191.89萬-66.24%191.89萬-66.24%191.89萬------474.38萬--617.44萬
-其他應收款 4,650.65%166.27萬4,650.65%166.27萬--3.76萬119.64%3.76萬-69.36%3.5萬-20.14%3.5萬-20.14%3.5萬-----84.38%1.71萬-21.22%11.42萬
-應收賬款調整額 -10.10%-6.04萬-10.10%-6.04萬---5.25萬97.11%-4.98萬30.89%-4.99萬-536.67%-5.49萬-536.67%-5.49萬-------172.2萬---7.22萬
持有待售資產 --0--0--0--370.25萬--373.86萬--345.1萬--345.1萬------------
其他流動資產 99.96%3,466.47萬99.96%3,466.47萬87.57%3,905.7萬146.49%4,229.94萬142.79%2,562.82萬81.00%1,733.62萬81.00%1,733.62萬92.41%2,082.22萬-23.20%1,716.06萬-60.71%1,055.57萬
流動資產合計 63.40%4,157.09萬63.40%4,157.09萬59.39%4,356.72萬93.72%5,021.21萬91.35%3,522.22萬44.68%2,544.08萬44.68%2,544.08萬53.06%2,733.34萬-39.96%2,591.96萬-53.88%1,840.69萬
非流動資產
固定資產淨額 13.50%5,379.9萬13.50%5,379.9萬16.54%5,868.11萬-19.61%4,263.24萬-24.65%4,371.48萬-18.40%4,739.86萬-18.40%4,739.86萬-9.84%5,035.33萬-1.14%5,303.38萬36.93%5,801.34萬
-固定資產 26.96%1.19億26.96%1.19億--1.18億8.22%9,711.61萬6.29%9,444.84萬13.22%9,379.38萬13.22%9,379.38萬----34.09%8,973.6萬74.84%8,886.09萬
-累計折舊 -40.71%-6,528.22萬-40.71%-6,528.22萬---5,952.1萬-48.45%-5,448.37萬-64.47%-5,073.36萬-87.41%-4,639.53萬-87.41%-4,639.53萬-----176.38%-3,670.22萬-264.74%-3,084.75萬
投資和預付款 0.00%4.5萬0.00%4.5萬0.00%4.5萬0.00%4.5萬0.00%4.5萬-40.00%4.5萬-40.00%4.5萬-99.22%4.5萬-99.21%4.5萬-99.21%4.5萬
-其他投資 0.00%4.5萬0.00%4.5萬--4.5萬--4.5萬--4.5萬-40.00%4.5萬-40.00%4.5萬------------
長期應收款 -0.62%640.65萬-0.62%640.65萬8.07%695.65萬-1.25%678.21萬-1.98%661.2萬-2.81%644.63萬-2.81%644.63萬-1.91%643.7萬--686.77萬--674.56萬
長期預付費用 -37.12%204.77萬-37.12%204.77萬-70.08%210.54萬120.29%1,868.76萬-39.31%538.25萬-77.58%325.63萬-77.58%325.63萬-65.72%703.76萬-61.81%848.32萬-71.36%886.83萬
非流動資產合計 9.02%6,229.81萬9.02%6,229.81萬6.13%6,778.8萬-0.41%6,814.71萬-24.32%5,575.43萬-27.95%5,714.62萬-27.95%5,714.62萬-28.04%6,387.29萬-16.15%6,842.97萬-6.80%7,367.24萬
總資產 25.77%1.04億25.77%1.04億22.09%1.11億25.45%1.18億-1.20%9,097.66萬-14.77%8,258.7萬-14.77%8,258.7萬-14.45%9,120.63萬-24.39%9,434.93萬-22.59%9,207.92萬
負債
流動負債
短期借款與資本租賃負債 956.12%1,397.19萬956.12%1,397.19萬3,506.92%1,388.32萬2,982.27%1,218.47萬250.47%134.55萬212.39%132.3萬212.39%132.3萬-12.65%38.49萬-16.31%39.53萬-21.56%38.39萬
-短期借款 994.66%1,392.85萬994.66%1,392.85萬4,229.86%1,383.81萬3,632.13%1,212.77萬338.77%128.07萬335.93%127.24萬335.93%127.24萬9.50%31.96萬11.33%32.5萬0.00%29.19萬
-短期資本租賃負債 -13.99%4.35萬-13.99%4.35萬-30.90%4.51萬-18.97%5.7萬-29.63%6.48萬-61.59%5.06萬-61.59%5.06萬-56.10%6.53萬-61.02%7.04萬-53.41%9.2萬
應付款項 28.36%503.02萬28.36%503.02萬7.54%477.66萬26.01%539.16萬-11.66%485.29萬4.10%391.87萬4.10%391.87萬2.87%444.17萬7.31%427.86萬18.10%549.38萬
-應付帳款 33.95%498.91萬33.95%498.91萬5.96%470.66萬28.19%537.88萬-11.66%485.29萬6.59%372.45萬6.59%372.45萬16.65%444.17萬7.68%419.59萬18.10%549.38萬
-應付稅費 -78.83%4.11萬-78.83%4.11萬--7萬-84.51%1.28萬--0-28.14%19.43萬-28.14%19.43萬-----8.93%8.27萬--0
應計費用 -0.14%14.58萬-0.14%14.58萬--9,6584.44%9,9797.92%9,9797.08%14.6萬7.08%14.6萬------9,555--9,247
遞延負債 -96.02%7,076-96.02%7,076286.30%4.61萬-91.20%7.05萬-49.27%8.54萬-83.20%17.77萬-83.20%17.77萬-98.99%1.19萬-84.93%80.12萬-84.90%16.83萬
流動負債總額 244.18%1,915.51萬244.18%1,915.51萬286.80%1,871.55萬221.93%1,765.68萬3.94%629.38萬3.41%556.54萬3.41%556.54萬-18.48%483.85萬-43.53%548.47萬-3.21%605.52萬
非流動負債
長期借款與租賃負債 25.82%5.18萬25.82%5.18萬-93.75%6.2萬-92.77%7.19萬-92.08%8.16萬-55.61%4.12萬-55.61%4.12萬2,482.44%99.11萬2,078.90%99.41萬1,837.54%103.09萬
-長期借款 ------------------------------94.46萬--93.1萬--95.6萬
-長期租賃負債 25.82%5.18萬25.82%5.18萬33.02%6.2萬13.91%7.19萬9.03%8.16萬-55.61%4.12萬-55.61%4.12萬21.35%4.66萬38.29%6.31萬40.67%7.48萬
非流動負債總額 25.82%5.18萬25.82%5.18萬-93.75%6.2萬-92.77%7.19萬-92.08%8.16萬-55.61%4.12萬-55.61%4.12萬2,482.44%99.11萬2,078.90%99.41萬1,837.54%103.09萬
負債總額 242.58%1,920.69萬242.58%1,920.69萬222.10%1,877.75萬173.64%1,772.86萬-10.03%637.54萬2.41%560.66萬2.41%560.66萬-2.42%582.97萬-33.61%647.88萬12.32%708.61萬
所有者權益
股本 2.04%1.13億2.04%1.13億1.76%1.12億1.22%1.12億0.82%1.11億0.40%1.11億0.40%1.11億0.09%1.1億0.09%1.1億0.20%1.1億
-普通股股本 2.04%1.13億2.04%1.13億1.76%1.12億1.22%1.12億0.82%1.11億0.40%1.11億0.40%1.11億0.09%1.1億0.09%1.1億0.20%1.1億
留存收益 -6.58%-8,472.61萬-6.58%-8,472.61萬0.49%-7,635.98萬-0.08%-7,252.18萬-3.55%-7,252.4萬-26.12%-7,949.65萬-26.12%-7,949.65萬-44.24%-7,673.55萬-76.88%-7,246.19萬-70.73%-7,003.82萬
不影響留存收益的損益 6,910.42%1,044.86萬6,910.42%1,044.86萬-79.07%1,080.71萬23.02%6,133.17萬-99.64%15.91萬22.55%14.9萬22.55%14.9萬18.81%5,163.38萬9.30%4,985.42萬2.62%4,455.31萬
其他股本權益 0.76%4,585.31萬0.76%4,585.31萬--4,570.51萬------4,558.5萬3.52%4,550.73萬3.52%4,550.73萬------------
股東權益總額 9.98%8,466.21萬9.98%8,466.21萬8.43%9,257.78萬14.52%1.01億-0.46%8,460.12萬-15.80%7,698.03萬-15.80%7,698.03萬-15.17%8,537.66萬-23.60%8,787.05萬-24.55%8,499.31萬
總權益 9.98%8,466.21萬9.98%8,466.21萬8.43%9,257.78萬14.52%1.01億-0.46%8,460.12萬-15.80%7,698.03萬-15.80%7,698.03萬-15.17%8,537.66萬-23.60%8,787.05萬-24.55%8,499.31萬
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 無保留意見--------無保留意見--------

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。

加拿大市場投資機會
股息之王 股息之王

加拿大的股息之王是指那些連續多年增加股息的公司,這不僅反映了其強大的商業模式和穩健的財務狀況,也表明它們在市場中可能表現優於平均水平,且波動性較小。 加拿大的股息之王是指那些連續多年增加股息的公司,這不僅反映了其強大的商業模式和穩健的財務狀況,也表明它們在市場中可能表現優於平均水平,且波動性較小。