美股市場個股詳情

DTEAF DAVIDsTEA

添加自選
  • 0.325000
  • -0.001100-0.34%
延時15分鐘行情收盤價 12/20 16:00 (美東)
875.83萬總市值-1.19市盈率TTM

DAVIDsTEA關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2022/10/29
(Q2)2022/07/30
(Q1)2022/04/30
(FY)2022/01/29
(Q4)2022/01/29
(Q3)2021/10/30
(Q2)2021/07/31
(Q1)2021/05/01
(FY)2021/01/30
(Q4)2021/01/30
資產
流動資產
現金及現金等價物和短期投資
20.68%1,613.1萬
58.06%1,904.8萬
-27.59%2,268萬
-16.86%2,510.7萬
-16.86%2,510.7萬
-39.03%1,336.7萬
-64.85%1,205.1萬
-20.39%3,132.1萬
-34.83%3,019.7萬
-34.83%3,019.7萬
-現金和現金等價物
20.68%1,613.1萬
58.06%1,904.8萬
-27.59%2,268萬
-16.86%2,510.7萬
-16.86%2,510.7萬
-39.03%1,336.7萬
-64.85%1,205.1萬
-20.39%3,132.1萬
-34.83%3,019.7萬
-34.83%3,019.7萬
應收款項
-14.45%393.7萬
-64.54%249.7萬
-51.74%319.7萬
-48.34%320.9萬
-48.34%320.9萬
-41.68%460.2萬
0.87%704.1萬
28.24%662.5萬
-14.41%621.2萬
-14.41%621.2萬
-應收賬款
-14.45%393.7萬
-64.26%249.7萬
-51.34%319.7萬
45.77%282.5萬
45.77%282.5萬
-39.99%460.2萬
3.39%698.6萬
50.31%657萬
-33.65%193.8萬
-33.65%193.8萬
-應收稅費
----
----
----
----
----
----
-75.34%5.5萬
-93.08%5.5萬
----
----
-其他應收款
----
----
----
-91.02%38.4萬
-91.02%38.4萬
----
----
----
283.32%427.4萬
283.32%427.4萬
存貨
-24.66%2,998.5萬
-20.55%3,023.4萬
-3.07%2,835.9萬
32.30%3,104.8萬
32.30%3,104.8萬
52.06%3,980.2萬
56.26%3,805.5萬
24.77%2,925.8萬
4.94%2,346.8萬
4.94%2,346.8萬
預付費用
26.93%613.7萬
-7.31%517.2萬
-61.31%447.9萬
-71.38%414.2萬
-71.38%414.2萬
-63.92%483.5萬
-34.17%558萬
134.94%1,157.8萬
218.58%1,447萬
218.58%1,447萬
流動資產合計
-10.25%5,619萬
-9.21%5,695.1萬
-25.47%5,871.5萬
-14.58%6,350.6萬
-14.58%6,350.6萬
-9.78%6,260.6萬
-15.34%6,272.7萬
8.09%7,878.2萬
-7.64%7,434.7萬
-7.64%7,434.7萬
非流動資產
固定資產淨額
134.07%1,056.6萬
124.49%1,156.8萬
401.49%1,213.6萬
333.65%1,286.2萬
333.65%1,286.2萬
21.31%451.4萬
-50.35%515.3萬
-77.58%242萬
-94.38%296.6萬
-94.38%296.6萬
-固定資產
134.07%1,056.6萬
124.49%1,156.8萬
401.49%1,213.6萬
89.82%2,426.6萬
89.82%2,426.6萬
21.31%451.4萬
-50.35%515.3萬
-77.58%242萬
-90.88%1,278.4萬
-90.88%1,278.4萬
-累計折舊
----
----
----
-16.15%-1,140.4萬
-16.15%-1,140.4萬
----
----
----
88.77%-981.8萬
88.77%-981.8萬
商譽及其他無形資產
-31.08%181.8萬
-35.65%195.7萬
-40.60%209.4萬
-43.14%223.4萬
-43.14%223.4萬
-38.81%263.8萬
-35.20%304.1萬
-42.67%352.5萬
-38.02%392.9萬
-38.02%392.9萬
-其他無形資產
----
----
----
-43.14%223.4萬
-43.14%223.4萬
----
----
----
-38.02%392.9萬
-38.02%392.9萬
非流動資產合計
73.15%1,238.4萬
65.06%1,352.5萬
139.36%1,423萬
118.94%1,509.6萬
118.94%1,509.6萬
-10.96%715.2萬
-45.63%819.4萬
-64.92%594.5萬
-88.34%689.5萬
-88.34%689.5萬
總資產
-1.70%6,857.4萬
-0.63%7,047.6萬
-13.91%7,294.5萬
-3.25%7,860.2萬
-3.25%7,860.2萬
-9.90%6,975.8萬
-20.46%7,092.1萬
-5.68%8,472.7萬
-41.83%8,124.2萬
-41.83%8,124.2萬
負債
流動負債
應付款項
3.49%1,444.5萬
-6.64%1,170.1萬
45.69%896.6萬
196.24%1,230萬
196.24%1,230萬
285.47%1,395.8萬
-52.96%1,253.3萬
-65.81%615.4萬
-80.03%415.2萬
-80.03%415.2萬
-應付賬款
3.49%1,444.5萬
-6.64%1,170.1萬
45.69%896.6萬
486.36%1,108.8萬
486.36%1,108.8萬
285.47%1,395.8萬
-52.96%1,253.3萬
-65.81%615.4萬
-88.60%189.1萬
-88.60%189.1萬
-應付稅費
----
----
----
-96.46%4.4萬
-96.46%4.4萬
----
----
----
0.00%124.4萬
0.00%124.4萬
-其他應付款
----
----
----
14.85%116.8萬
14.85%116.8萬
----
----
----
-65.73%101.7萬
-65.73%101.7萬
短期借款與租賃負債
225.64%254萬
223.44%248.4萬
790.41%241.3萬
496.97%236.4萬
496.97%236.4萬
50.29%78萬
-88.27%76.8萬
-98.53%27.1萬
-97.59%39.6萬
-97.59%39.6萬
-短期租賃負債
225.64%254萬
223.44%248.4萬
790.41%241.3萬
496.97%236.4萬
496.97%236.4萬
50.29%78萬
-88.27%76.8萬
-98.53%27.1萬
-97.59%39.6萬
-97.59%39.6萬
遞延負債
-1.57%547.2萬
-16.15%543萬
-20.87%535.3萬
-23.25%543.4萬
-23.25%543.4萬
-3.59%555.9萬
3.32%647.6萬
3.13%676.5萬
3.33%708萬
3.33%708萬
其他流動負債
----
----
----
----
----
----
----
--9,840.2萬
--1.01億
--1.01億
流動負債總額
10.64%2,245.7萬
-0.82%1,961.5萬
-85.01%1,673.2萬
-82.08%2,009.8萬
-82.08%2,009.8萬
-75.11%2,029.7萬
-77.34%1,977.7萬
159.67%1.12億
154.49%1.12億
154.49%1.12億
非流動負債
長期借款與租賃負債
204.78%829萬
206.44%894.5萬
3,013.36%955.8萬
2,770.14%1,018.9萬
2,770.14%1,018.9萬
574.94%272萬
-86.27%291.9萬
-99.56%30.7萬
-99.51%35.5萬
-99.51%35.5萬
-長期租賃負債
204.78%829萬
206.44%894.5萬
3,013.36%955.8萬
2,770.14%1,018.9萬
2,770.14%1,018.9萬
574.94%272萬
-86.27%291.9萬
-99.56%30.7萬
-99.51%35.5萬
-99.51%35.5萬
非流動負債總額
204.78%829萬
206.44%894.5萬
3,013.36%955.8萬
2,770.14%1,018.9萬
2,770.14%1,018.9萬
574.94%272萬
-86.27%291.9萬
-99.56%30.7萬
-99.51%35.5萬
-99.51%35.5萬
總負債
33.58%3,074.7萬
25.84%2,856萬
-76.51%2,629萬
-73.09%3,028.7萬
-73.09%3,028.7萬
-71.92%2,301.7萬
-79.09%2,269.6萬
-1.36%1.12億
-3.25%1.13億
-3.25%1.13億
所有者權益
股本
0.43%1.14億
0.40%1.14億
0.27%1.14億
0.32%1.14億
0.32%1.14億
0.24%1.13億
0.25%1.13億
0.28%1.13億
0.29%1.13億
0.29%1.13億
-普通股股本
0.43%1.14億
0.40%1.14億
0.27%1.14億
0.32%1.14億
0.32%1.14億
0.24%1.13億
0.25%1.13億
0.28%1.13億
0.29%1.13億
0.29%1.13億
留存收益
-14.55%-8,216.4萬
-10.88%-7,746.6萬
49.85%-7,265.3萬
52.27%-7,067.1萬
52.27%-7,067.1萬
40.64%-7,172.6萬
48.36%-6,986.2萬
-4.98%-1.45億
-60.46%-1.48億
-60.46%-1.48億
資本公積
29.06%283.8萬
40.92%254.5萬
56.97%280.5萬
43.50%250.7萬
43.50%250.7萬
24.87%219.9萬
12.73%180.6萬
3.06%178.7萬
10.78%174.7萬
10.78%174.7萬
不影響留存收益的損益
13.94%326.1萬
3.48%297.5萬
10.77%296.3萬
58.08%294.5萬
58.08%294.5萬
104.72%286.2萬
141.80%287.5萬
1,124.90%267.5萬
54.35%186.3萬
54.35%186.3萬
股東權益總額
-19.07%3,782.7萬
-13.08%4,191.6萬
271.70%4,665.5萬
254.41%4,831.5萬
254.41%4,831.5萬
1,129.99%4,674.1萬
348.94%4,822.5萬
-15.10%-2,717.2萬
-234.01%-3,129.1萬
-234.01%-3,129.1萬
總權益
-19.07%3,782.7萬
-13.08%4,191.6萬
271.70%4,665.5萬
254.41%4,831.5萬
254.41%4,831.5萬
1,129.99%4,674.1萬
348.94%4,822.5萬
-15.10%-2,717.2萬
-234.01%-3,129.1萬
-234.01%-3,129.1萬
貨幣單位
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(Q3)2022/10/29(Q2)2022/07/30(Q1)2022/04/30(FY)2022/01/29(Q4)2022/01/29(Q3)2021/10/30(Q2)2021/07/31(Q1)2021/05/01(FY)2021/01/30(Q4)2021/01/30
資產
流動資產
現金及現金等價物和短期投資 20.68%1,613.1萬58.06%1,904.8萬-27.59%2,268萬-16.86%2,510.7萬-16.86%2,510.7萬-39.03%1,336.7萬-64.85%1,205.1萬-20.39%3,132.1萬-34.83%3,019.7萬-34.83%3,019.7萬
-現金和現金等價物 20.68%1,613.1萬58.06%1,904.8萬-27.59%2,268萬-16.86%2,510.7萬-16.86%2,510.7萬-39.03%1,336.7萬-64.85%1,205.1萬-20.39%3,132.1萬-34.83%3,019.7萬-34.83%3,019.7萬
應收款項 -14.45%393.7萬-64.54%249.7萬-51.74%319.7萬-48.34%320.9萬-48.34%320.9萬-41.68%460.2萬0.87%704.1萬28.24%662.5萬-14.41%621.2萬-14.41%621.2萬
-應收賬款 -14.45%393.7萬-64.26%249.7萬-51.34%319.7萬45.77%282.5萬45.77%282.5萬-39.99%460.2萬3.39%698.6萬50.31%657萬-33.65%193.8萬-33.65%193.8萬
-應收稅費 -------------------------75.34%5.5萬-93.08%5.5萬--------
-其他應收款 -------------91.02%38.4萬-91.02%38.4萬------------283.32%427.4萬283.32%427.4萬
存貨 -24.66%2,998.5萬-20.55%3,023.4萬-3.07%2,835.9萬32.30%3,104.8萬32.30%3,104.8萬52.06%3,980.2萬56.26%3,805.5萬24.77%2,925.8萬4.94%2,346.8萬4.94%2,346.8萬
預付費用 26.93%613.7萬-7.31%517.2萬-61.31%447.9萬-71.38%414.2萬-71.38%414.2萬-63.92%483.5萬-34.17%558萬134.94%1,157.8萬218.58%1,447萬218.58%1,447萬
流動資產合計 -10.25%5,619萬-9.21%5,695.1萬-25.47%5,871.5萬-14.58%6,350.6萬-14.58%6,350.6萬-9.78%6,260.6萬-15.34%6,272.7萬8.09%7,878.2萬-7.64%7,434.7萬-7.64%7,434.7萬
非流動資產
固定資產淨額 134.07%1,056.6萬124.49%1,156.8萬401.49%1,213.6萬333.65%1,286.2萬333.65%1,286.2萬21.31%451.4萬-50.35%515.3萬-77.58%242萬-94.38%296.6萬-94.38%296.6萬
-固定資產 134.07%1,056.6萬124.49%1,156.8萬401.49%1,213.6萬89.82%2,426.6萬89.82%2,426.6萬21.31%451.4萬-50.35%515.3萬-77.58%242萬-90.88%1,278.4萬-90.88%1,278.4萬
-累計折舊 -------------16.15%-1,140.4萬-16.15%-1,140.4萬------------88.77%-981.8萬88.77%-981.8萬
商譽及其他無形資產 -31.08%181.8萬-35.65%195.7萬-40.60%209.4萬-43.14%223.4萬-43.14%223.4萬-38.81%263.8萬-35.20%304.1萬-42.67%352.5萬-38.02%392.9萬-38.02%392.9萬
-其他無形資產 -------------43.14%223.4萬-43.14%223.4萬-------------38.02%392.9萬-38.02%392.9萬
非流動資產合計 73.15%1,238.4萬65.06%1,352.5萬139.36%1,423萬118.94%1,509.6萬118.94%1,509.6萬-10.96%715.2萬-45.63%819.4萬-64.92%594.5萬-88.34%689.5萬-88.34%689.5萬
總資產 -1.70%6,857.4萬-0.63%7,047.6萬-13.91%7,294.5萬-3.25%7,860.2萬-3.25%7,860.2萬-9.90%6,975.8萬-20.46%7,092.1萬-5.68%8,472.7萬-41.83%8,124.2萬-41.83%8,124.2萬
負債
流動負債
應付款項 3.49%1,444.5萬-6.64%1,170.1萬45.69%896.6萬196.24%1,230萬196.24%1,230萬285.47%1,395.8萬-52.96%1,253.3萬-65.81%615.4萬-80.03%415.2萬-80.03%415.2萬
-應付賬款 3.49%1,444.5萬-6.64%1,170.1萬45.69%896.6萬486.36%1,108.8萬486.36%1,108.8萬285.47%1,395.8萬-52.96%1,253.3萬-65.81%615.4萬-88.60%189.1萬-88.60%189.1萬
-應付稅費 -------------96.46%4.4萬-96.46%4.4萬------------0.00%124.4萬0.00%124.4萬
-其他應付款 ------------14.85%116.8萬14.85%116.8萬-------------65.73%101.7萬-65.73%101.7萬
短期借款與租賃負債 225.64%254萬223.44%248.4萬790.41%241.3萬496.97%236.4萬496.97%236.4萬50.29%78萬-88.27%76.8萬-98.53%27.1萬-97.59%39.6萬-97.59%39.6萬
-短期租賃負債 225.64%254萬223.44%248.4萬790.41%241.3萬496.97%236.4萬496.97%236.4萬50.29%78萬-88.27%76.8萬-98.53%27.1萬-97.59%39.6萬-97.59%39.6萬
遞延負債 -1.57%547.2萬-16.15%543萬-20.87%535.3萬-23.25%543.4萬-23.25%543.4萬-3.59%555.9萬3.32%647.6萬3.13%676.5萬3.33%708萬3.33%708萬
其他流動負債 ------------------------------9,840.2萬--1.01億--1.01億
流動負債總額 10.64%2,245.7萬-0.82%1,961.5萬-85.01%1,673.2萬-82.08%2,009.8萬-82.08%2,009.8萬-75.11%2,029.7萬-77.34%1,977.7萬159.67%1.12億154.49%1.12億154.49%1.12億
非流動負債
長期借款與租賃負債 204.78%829萬206.44%894.5萬3,013.36%955.8萬2,770.14%1,018.9萬2,770.14%1,018.9萬574.94%272萬-86.27%291.9萬-99.56%30.7萬-99.51%35.5萬-99.51%35.5萬
-長期租賃負債 204.78%829萬206.44%894.5萬3,013.36%955.8萬2,770.14%1,018.9萬2,770.14%1,018.9萬574.94%272萬-86.27%291.9萬-99.56%30.7萬-99.51%35.5萬-99.51%35.5萬
非流動負債總額 204.78%829萬206.44%894.5萬3,013.36%955.8萬2,770.14%1,018.9萬2,770.14%1,018.9萬574.94%272萬-86.27%291.9萬-99.56%30.7萬-99.51%35.5萬-99.51%35.5萬
總負債 33.58%3,074.7萬25.84%2,856萬-76.51%2,629萬-73.09%3,028.7萬-73.09%3,028.7萬-71.92%2,301.7萬-79.09%2,269.6萬-1.36%1.12億-3.25%1.13億-3.25%1.13億
所有者權益
股本 0.43%1.14億0.40%1.14億0.27%1.14億0.32%1.14億0.32%1.14億0.24%1.13億0.25%1.13億0.28%1.13億0.29%1.13億0.29%1.13億
-普通股股本 0.43%1.14億0.40%1.14億0.27%1.14億0.32%1.14億0.32%1.14億0.24%1.13億0.25%1.13億0.28%1.13億0.29%1.13億0.29%1.13億
留存收益 -14.55%-8,216.4萬-10.88%-7,746.6萬49.85%-7,265.3萬52.27%-7,067.1萬52.27%-7,067.1萬40.64%-7,172.6萬48.36%-6,986.2萬-4.98%-1.45億-60.46%-1.48億-60.46%-1.48億
資本公積 29.06%283.8萬40.92%254.5萬56.97%280.5萬43.50%250.7萬43.50%250.7萬24.87%219.9萬12.73%180.6萬3.06%178.7萬10.78%174.7萬10.78%174.7萬
不影響留存收益的損益 13.94%326.1萬3.48%297.5萬10.77%296.3萬58.08%294.5萬58.08%294.5萬104.72%286.2萬141.80%287.5萬1,124.90%267.5萬54.35%186.3萬54.35%186.3萬
股東權益總額 -19.07%3,782.7萬-13.08%4,191.6萬271.70%4,665.5萬254.41%4,831.5萬254.41%4,831.5萬1,129.99%4,674.1萬348.94%4,822.5萬-15.10%-2,717.2萬-234.01%-3,129.1萬-234.01%-3,129.1萬
總權益 -19.07%3,782.7萬-13.08%4,191.6萬271.70%4,665.5萬254.41%4,831.5萬254.41%4,831.5萬1,129.99%4,674.1萬348.94%4,822.5萬-15.10%-2,717.2萬-234.01%-3,129.1萬-234.01%-3,129.1萬
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會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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