加拿大市場個股詳情

GRN Greenlane Renewables Inc

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延時15分鐘行情已收盤 09/27 16:00 (美東)
1079.09萬總市值-437市盈率TTM

Greenlane Renewables Inc關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2024/06/30
(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
資產
流動資產
現金及現金等價物和短期投資
-43.94%904.7萬
-55.71%721.8萬
-44.86%1,179萬
-44.86%1,179萬
-20.75%1,690.7萬
-30.32%1,613.9萬
-29.52%1,629.8萬
-32.06%2,138.1萬
-32.06%2,138.1萬
-40.02%2,133.5萬
-現金和現金等價物
-43.94%904.7萬
-55.71%721.8萬
-44.86%1,179萬
-44.86%1,179萬
-20.75%1,690.7萬
-30.32%1,613.9萬
-29.52%1,629.8萬
-32.06%2,138.1萬
-32.06%2,138.1萬
-40.02%2,133.5萬
-應收賬款
31.56%1,808.5萬
65.61%2,358.5萬
-20.20%980.4萬
-20.20%980.4萬
-27.70%879.4萬
-2.85%1,374.7萬
28.91%1,424.1萬
-24.95%1,228.5萬
-24.95%1,228.5萬
117.47%1,216.3萬
持有待售資產
----
--85.3萬
----
----
----
----
----
----
----
----
流動資產合計
-12.62%4,308.7萬
-3.39%4,657.5萬
-21.98%4,137萬
-21.98%4,137萬
-23.36%4,150.7萬
-6.72%4,931.2萬
-12.65%4,821萬
-13.20%5,302.4萬
-13.20%5,302.4萬
-2.96%5,415.8萬
非流動資產
-累計折舊
-5.86%-186.2萬
-5.99%-170萬
-40.28%-202.7萬
-40.28%-202.7萬
---187.1萬
---175.9萬
---160.4萬
-92.67%-144.5萬
-92.67%-144.5萬
----
-長期股權投資
8.04%189.4萬
104.28%195.7萬
77.77%171.9萬
77.77%171.9萬
87.88%173.6萬
70.03%175.3萬
-12.59%95.8萬
345.62%96.7萬
345.62%96.7萬
228.83%92.4萬
長期應收票據
----
----
--0
--0
254.05%39.3萬
281.98%42.4萬
352.25%50.2萬
303.60%44.8萬
303.60%44.8萬
--11.1萬
-商譽
-59.63%1,034萬
-60.34%1,041.7萬
-59.86%1,061萬
-59.86%1,061萬
-3.66%2,495.4萬
-4.19%2,561.4萬
-5.44%2,626.5萬
56.39%2,643.1萬
56.39%2,643.1萬
50.61%2,590.2萬
監管資產
5.45%2,934.1萬
23.54%3,344.1萬
-11.99%2,424.9萬
-11.99%2,424.9萬
-35.59%1,875萬
2.03%2,782.4萬
-8.62%2,707萬
5.15%2,755.4萬
5.15%2,755.4萬
65.53%2,911萬
負債
流動負債
短期借款與資本租賃負債
15.99%31.2萬
30.00%29.9萬
-13.43%23.2萬
-13.43%23.2萬
-14.18%23.6萬
-6.27%26.9萬
-26.28%23萬
10.74%26.8萬
10.74%26.8萬
15.55%27.5萬
-短期資本租賃負債
15.99%31.2萬
30.00%29.9萬
-13.43%23.2萬
-13.43%23.2萬
-14.18%23.6萬
-6.27%26.9萬
-26.28%23萬
10.74%26.8萬
10.74%26.8萬
15.55%27.5萬
-應付帳款
10.94%515萬
30.22%422.3萬
-23.76%300.7萬
-23.76%300.7萬
--403.5萬
--464.2萬
--324.3萬
558.43%394.4萬
558.43%394.4萬
----
-應付稅費
-36.50%268.8萬
-25.81%277.7萬
5.87%436.5萬
5.87%436.5萬
-1.38%421.5萬
0.17%423.3萬
-7.76%374.3萬
1,023.43%412.3萬
1,023.43%412.3萬
891.65%427.4萬
應計費用
9.89%1,810.6萬
31.89%2,136.5萬
-10.64%1,655.7萬
-10.64%1,655.7萬
--1,370.5萬
--1,647.6萬
--1,619.9萬
-4.98%1,852.8萬
-4.98%1,852.8萬
----
現行撥備
-18.55%105.4萬
-29.09%98.5萬
12.05%119萬
12.05%119萬
55.52%109.8萬
108.37%129.4萬
434.23%138.9萬
941.18%106.2萬
941.18%106.2萬
592.16%70.6萬
遞延負債
27.62%429.3萬
305.99%488萬
146.09%361.5萬
146.09%361.5萬
132.26%344.9萬
52.98%336.4萬
-70.99%120.2萬
0.48%146.9萬
0.48%146.9萬
69.33%148.5萬
流動負債總額
10.28%2,914.2萬
43.08%3,258萬
-4.24%2,468.8萬
-4.24%2,468.8萬
-6.15%2,309.2萬
9.83%2,642.6萬
-12.48%2,277萬
17.52%2,578.1萬
17.52%2,578.1萬
52.85%2,460.5萬
非流動負債
-長期借款
8.04%189.4萬
104.28%195.7萬
77.77%171.9萬
77.77%171.9萬
87.88%173.6萬
70.03%175.3萬
-12.59%95.8萬
345.62%96.7萬
345.62%96.7萬
228.83%92.4萬
長期應計費用
1.19%247.1萬
55.33%259.4萬
37.12%237.5萬
37.12%237.5萬
41.58%238.7萬
38.51%244.2萬
-10.46%167萬
151.74%173.2萬
151.74%173.2萬
157.01%168.6萬
非流動負債總額
3.82%3,183萬
33.36%3,535.7萬
-2.85%2,905.3萬
-2.85%2,905.3萬
-5.44%2,730.7萬
8.39%3,065.9萬
-11.84%2,651.3萬
34.07%2,990.4萬
34.07%2,990.4萬
74.72%2,887.9萬
所有者權益
股本
0.23%6,586萬
0.25%6,584.5萬
0.86%6,581.4萬
0.86%6,581.4萬
1.47%6,573.2萬
1.97%6,570.9萬
2.50%6,567.8萬
1.84%6,525.3萬
1.84%6,525.3萬
1.37%6,477.7萬
-普通股股本
0.23%6,586萬
0.25%6,584.5萬
0.86%6,581.4萬
0.86%6,581.4萬
1.47%6,573.2萬
1.97%6,570.9萬
2.50%6,567.8萬
1.84%6,525.3萬
1.84%6,525.3萬
1.37%6,477.7萬
資本公積
11.75%529.7萬
10.31%506.2萬
14.32%489.3萬
14.32%489.3萬
21.33%477.9萬
32.59%474萬
55.88%458.9萬
78.71%428萬
78.71%428萬
86.51%393.9萬
留存收益
-0.12%165.5萬
-3.25%163.8萬
-5.37%160.3萬
-5.37%160.3萬
-4.50%163.6萬
2.54%165.7萬
8.04%169.3萬
2.36%169.4萬
2.36%169.4萬
7.13%171.3萬
不影響留存收益的損益
27.84%-7萬
25.99%-13.1萬
59.52%-15.3萬
59.52%-15.3萬
60.41%-28.7萬
71.30%-9.7萬
-204.12%-17.7萬
-311.17%-37.8萬
-311.17%-37.8萬
-879.57%-72.5萬
其他股本權益
-9.13%134.3萬
7.88%169.7萬
31.52%166.5萬
31.52%166.5萬
--158.4萬
--147.8萬
--157.3萬
30.52%126.6萬
30.52%126.6萬
----
總權益
-28.88%5,589.8萬
-24.20%5,958.6萬
-34.82%5,435.5萬
-34.82%5,435.5萬
-15.59%7,009.2萬
-3.52%7,860.1萬
-7.46%7,861.2萬
5.84%8,338.7萬
5.84%8,338.7萬
12.72%8,303.5萬
(Q2)2024/06/30(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
資產
流動資產
現金及現金等價物和短期投資 -43.94%904.7萬-55.71%721.8萬-44.86%1,179萬-44.86%1,179萬-20.75%1,690.7萬-30.32%1,613.9萬-29.52%1,629.8萬-32.06%2,138.1萬-32.06%2,138.1萬-40.02%2,133.5萬
-現金和現金等價物 -43.94%904.7萬-55.71%721.8萬-44.86%1,179萬-44.86%1,179萬-20.75%1,690.7萬-30.32%1,613.9萬-29.52%1,629.8萬-32.06%2,138.1萬-32.06%2,138.1萬-40.02%2,133.5萬
-應收賬款 31.56%1,808.5萬65.61%2,358.5萬-20.20%980.4萬-20.20%980.4萬-27.70%879.4萬-2.85%1,374.7萬28.91%1,424.1萬-24.95%1,228.5萬-24.95%1,228.5萬117.47%1,216.3萬
持有待售資產 ------85.3萬--------------------------------
流動資產合計 -12.62%4,308.7萬-3.39%4,657.5萬-21.98%4,137萬-21.98%4,137萬-23.36%4,150.7萬-6.72%4,931.2萬-12.65%4,821萬-13.20%5,302.4萬-13.20%5,302.4萬-2.96%5,415.8萬
非流動資產
-累計折舊 -5.86%-186.2萬-5.99%-170萬-40.28%-202.7萬-40.28%-202.7萬---187.1萬---175.9萬---160.4萬-92.67%-144.5萬-92.67%-144.5萬----
-長期股權投資 8.04%189.4萬104.28%195.7萬77.77%171.9萬77.77%171.9萬87.88%173.6萬70.03%175.3萬-12.59%95.8萬345.62%96.7萬345.62%96.7萬228.83%92.4萬
長期應收票據 ----------0--0254.05%39.3萬281.98%42.4萬352.25%50.2萬303.60%44.8萬303.60%44.8萬--11.1萬
-商譽 -59.63%1,034萬-60.34%1,041.7萬-59.86%1,061萬-59.86%1,061萬-3.66%2,495.4萬-4.19%2,561.4萬-5.44%2,626.5萬56.39%2,643.1萬56.39%2,643.1萬50.61%2,590.2萬
監管資產 5.45%2,934.1萬23.54%3,344.1萬-11.99%2,424.9萬-11.99%2,424.9萬-35.59%1,875萬2.03%2,782.4萬-8.62%2,707萬5.15%2,755.4萬5.15%2,755.4萬65.53%2,911萬
負債
流動負債
短期借款與資本租賃負債 15.99%31.2萬30.00%29.9萬-13.43%23.2萬-13.43%23.2萬-14.18%23.6萬-6.27%26.9萬-26.28%23萬10.74%26.8萬10.74%26.8萬15.55%27.5萬
-短期資本租賃負債 15.99%31.2萬30.00%29.9萬-13.43%23.2萬-13.43%23.2萬-14.18%23.6萬-6.27%26.9萬-26.28%23萬10.74%26.8萬10.74%26.8萬15.55%27.5萬
-應付帳款 10.94%515萬30.22%422.3萬-23.76%300.7萬-23.76%300.7萬--403.5萬--464.2萬--324.3萬558.43%394.4萬558.43%394.4萬----
-應付稅費 -36.50%268.8萬-25.81%277.7萬5.87%436.5萬5.87%436.5萬-1.38%421.5萬0.17%423.3萬-7.76%374.3萬1,023.43%412.3萬1,023.43%412.3萬891.65%427.4萬
應計費用 9.89%1,810.6萬31.89%2,136.5萬-10.64%1,655.7萬-10.64%1,655.7萬--1,370.5萬--1,647.6萬--1,619.9萬-4.98%1,852.8萬-4.98%1,852.8萬----
現行撥備 -18.55%105.4萬-29.09%98.5萬12.05%119萬12.05%119萬55.52%109.8萬108.37%129.4萬434.23%138.9萬941.18%106.2萬941.18%106.2萬592.16%70.6萬
遞延負債 27.62%429.3萬305.99%488萬146.09%361.5萬146.09%361.5萬132.26%344.9萬52.98%336.4萬-70.99%120.2萬0.48%146.9萬0.48%146.9萬69.33%148.5萬
流動負債總額 10.28%2,914.2萬43.08%3,258萬-4.24%2,468.8萬-4.24%2,468.8萬-6.15%2,309.2萬9.83%2,642.6萬-12.48%2,277萬17.52%2,578.1萬17.52%2,578.1萬52.85%2,460.5萬
非流動負債
-長期借款 8.04%189.4萬104.28%195.7萬77.77%171.9萬77.77%171.9萬87.88%173.6萬70.03%175.3萬-12.59%95.8萬345.62%96.7萬345.62%96.7萬228.83%92.4萬
長期應計費用 1.19%247.1萬55.33%259.4萬37.12%237.5萬37.12%237.5萬41.58%238.7萬38.51%244.2萬-10.46%167萬151.74%173.2萬151.74%173.2萬157.01%168.6萬
非流動負債總額 3.82%3,183萬33.36%3,535.7萬-2.85%2,905.3萬-2.85%2,905.3萬-5.44%2,730.7萬8.39%3,065.9萬-11.84%2,651.3萬34.07%2,990.4萬34.07%2,990.4萬74.72%2,887.9萬
所有者權益
股本 0.23%6,586萬0.25%6,584.5萬0.86%6,581.4萬0.86%6,581.4萬1.47%6,573.2萬1.97%6,570.9萬2.50%6,567.8萬1.84%6,525.3萬1.84%6,525.3萬1.37%6,477.7萬
-普通股股本 0.23%6,586萬0.25%6,584.5萬0.86%6,581.4萬0.86%6,581.4萬1.47%6,573.2萬1.97%6,570.9萬2.50%6,567.8萬1.84%6,525.3萬1.84%6,525.3萬1.37%6,477.7萬
資本公積 11.75%529.7萬10.31%506.2萬14.32%489.3萬14.32%489.3萬21.33%477.9萬32.59%474萬55.88%458.9萬78.71%428萬78.71%428萬86.51%393.9萬
留存收益 -0.12%165.5萬-3.25%163.8萬-5.37%160.3萬-5.37%160.3萬-4.50%163.6萬2.54%165.7萬8.04%169.3萬2.36%169.4萬2.36%169.4萬7.13%171.3萬
不影響留存收益的損益 27.84%-7萬25.99%-13.1萬59.52%-15.3萬59.52%-15.3萬60.41%-28.7萬71.30%-9.7萬-204.12%-17.7萬-311.17%-37.8萬-311.17%-37.8萬-879.57%-72.5萬
其他股本權益 -9.13%134.3萬7.88%169.7萬31.52%166.5萬31.52%166.5萬--158.4萬--147.8萬--157.3萬30.52%126.6萬30.52%126.6萬----
總權益 -28.88%5,589.8萬-24.20%5,958.6萬-34.82%5,435.5萬-34.82%5,435.5萬-15.59%7,009.2萬-3.52%7,860.1萬-7.46%7,861.2萬5.84%8,338.7萬5.84%8,338.7萬12.72%8,303.5萬

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。

熱議
加拿大
綜合熱度
股票代碼
最新價
升跌幅

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