加拿大市場個股詳情

JAG Jaguar Mining Inc

添加自選
  • 2.250
  • -0.020-0.88%
延時15分鐘行情已收盤 01/10 16:00 (美東)
1.78億總市值4.50市盈率TTM

Jaguar Mining Inc關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2024/09/30
(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
資產
流動資產
現金及現金等價物和短期投資
108.09%4,159.9萬
56.76%3,741萬
2.58%2,647.5萬
-12.56%2,204.1萬
-12.56%2,204.1萬
-33.25%1,999.1萬
-21.74%2,386.5萬
-25.76%2,580.9萬
-37.56%2,520.8萬
-37.56%2,520.8萬
-現金和現金等價物
108.09%4,159.9萬
56.76%3,741萬
2.58%2,647.5萬
-12.56%2,204.1萬
-12.56%2,204.1萬
-33.25%1,999.1萬
-21.74%2,386.5萬
-25.76%2,580.9萬
-37.56%2,520.8萬
-37.56%2,520.8萬
應收款項
-41.72%480.2萬
-43.67%454.9萬
-26.38%563.3萬
-33.69%589.4萬
-33.69%589.4萬
91.58%824萬
21.06%807.5萬
23.42%765.1萬
69.78%888.8萬
69.78%888.8萬
-應收稅費
-34.36%450.4萬
-44.91%421.2萬
-23.14%503.8萬
-34.65%558.4萬
-34.65%558.4萬
66.19%686.2萬
103.49%764.5萬
8.03%655.5萬
66.15%854.5萬
66.15%854.5萬
-其他應收款
-78.37%29.8萬
-21.63%33.7萬
-45.71%59.5萬
-9.62%31萬
-9.62%31萬
701.16%137.8萬
-85.24%43萬
736.64%109.6萬
272.83%34.3萬
272.83%34.3萬
存貨
3.24%1,640.2萬
-1.13%1,455萬
23.98%1,749.3萬
-3.69%1,563.9萬
-3.69%1,563.9萬
3.97%1,588.7萬
-13.28%1,471.7萬
-8.89%1,411萬
11.64%1,623.9萬
11.64%1,623.9萬
預付費用
-21.80%208.4萬
-40.24%198萬
-55.19%210萬
-56.96%155.6萬
-56.96%155.6萬
-12.85%266.5萬
34.18%331.3萬
76.30%468.6萬
66.13%361.5萬
66.13%361.5萬
受限制現金
16.57%97.8萬
3.93%95.3萬
50.45%101.1萬
45.15%89.7萬
45.15%89.7萬
91.55%83.9萬
84.14%91.7萬
22.85%67.2萬
23.35%61.8萬
23.35%61.8萬
流動資產合計
38.31%6,586.5萬
16.81%5,944.2萬
-0.41%5,271.2萬
-15.65%4,602.7萬
-15.65%4,602.7萬
-10.19%4,762.2萬
-10.89%5,088.7萬
-11.28%5,292.8萬
-13.15%5,456.8萬
-13.15%5,456.8萬
非流動資產
固定資產淨額
6.53%2.57億
7.39%2.5億
8.17%2.47億
11.10%2.51億
11.10%2.51億
13.56%2.42億
13.64%2.33億
14.43%2.29億
21.28%2.26億
21.28%2.26億
-固定資產
-70.14%2.57億
4.53%8.86億
4.82%8.77億
5.59%8.74億
5.59%8.74億
6.42%8.62億
6.27%8.47億
6.33%8.37億
5.87%8.28億
5.87%8.28億
-累計折舊
----
-3.45%-6.35億
-3.56%-6.29億
-3.52%-6.23億
-3.52%-6.23億
-3.87%-6.2億
-3.71%-6.14億
-3.56%-6.08億
-1.05%-6.02億
-1.05%-6.02億
長期應收款
-56.74%298.9萬
-59.09%273.6萬
-64.27%243.9萬
-20.39%576.8萬
-20.39%576.8萬
-33.50%690.9萬
-35.63%668.8萬
-39.14%682.7萬
-29.51%724.5萬
-29.51%724.5萬
非流動遞延資產
--523.7萬
--580萬
--580萬
--580萬
--580萬
----
----
----
--0
--0
其他非流動資產
22.64%74.2萬
13.04%70.2萬
21.42%65.2萬
27.47%65.9萬
27.47%65.9萬
-1.63%60.5萬
3.33%62.1萬
-20.44%53.7萬
-11.77%51.7萬
-11.77%51.7萬
非流動資產合計
6.92%2.66億
7.97%2.6億
8.56%2.56億
12.64%2.63億
12.64%2.63億
11.33%2.49億
11.24%2.41億
11.49%2.36億
18.53%2.34億
18.53%2.34億
總資產
11.96%3.32億
9.51%3.19億
6.92%3.09億
7.28%3.09億
7.28%3.09億
7.21%2.97億
6.62%2.91億
6.48%2.89億
10.87%2.88億
10.87%2.88億
負債
流動負債
短期借款與資本租賃負債
-17.57%447.5萬
-30.25%388.7萬
-18.42%451.8萬
-3.78%524.8萬
-3.78%524.8萬
1.19%542.9萬
23.95%557.3萬
29.91%553.8萬
22.34%545.4萬
22.34%545.4萬
-短期借款
-10.69%304.1萬
-0.68%304.6萬
2.89%312.8萬
8.39%329.5萬
8.39%329.5萬
12.52%340.5萬
1.15%306.7萬
0.07%304萬
0.43%304萬
0.43%304萬
-短期資本租賃負債
-29.15%143.4萬
-66.44%84.1萬
-44.36%139萬
-19.10%195.3萬
-19.10%195.3萬
-13.47%202.4萬
71.17%250.6萬
103.92%249.8萬
68.69%241.4萬
68.69%241.4萬
應付款項
-0.13%1,953.1萬
-6.15%1,917.7萬
-6.02%1,808.5萬
-22.15%1,338.2萬
-22.15%1,338.2萬
-0.86%1,955.7萬
0.42%2,043.3萬
-13.72%1,924.3萬
51.77%1,718.9萬
51.77%1,718.9萬
-應付帳款
-11.80%1,601.2萬
-16.21%1,503萬
-3.49%1,569.9萬
-25.21%1,063.5萬
-25.21%1,063.5萬
2.61%1,815.4萬
-6.28%1,793.7萬
-14.31%1,626.6萬
36.87%1,421.9萬
36.87%1,421.9萬
-應付稅費
150.82%351.9萬
66.15%414.7萬
-19.85%238.6萬
-7.56%271.5萬
-7.56%271.5萬
-31.02%140.3萬
106.45%249.6萬
-10.36%297.7萬
214.12%293.7萬
214.12%293.7萬
-其他應付款
----
----
----
-3.03%3.2萬
-3.03%3.2萬
----
----
----
1,550.00%3.3萬
1,550.00%3.3萬
應計費用
----
----
----
-2.08%541.5萬
-2.08%541.5萬
----
----
----
4.95%553萬
4.95%553萬
現行撥備
112.48%1,210.3萬
8.54%796萬
17.43%867.9萬
35.60%936.6萬
35.60%936.6萬
-31.83%569.6萬
-25.95%733.4萬
-30.97%739.1萬
-29.43%690.7萬
-29.43%690.7萬
流動負債總額
17.69%3,610.9萬
-6.95%3,102.4萬
-2.77%3,128.2萬
-4.76%3,341.1萬
-4.76%3,341.1萬
-8.27%3,068.2萬
-4.05%3,334萬
-13.69%3,217.2萬
13.74%3,508萬
13.74%3,508萬
非流動負債
長期借款與租賃負債
481.70%349.6萬
-54.18%46.6萬
-65.79%54.9萬
-61.81%59.2萬
-61.81%59.2萬
-70.28%60.1萬
-24.50%101.7萬
-24.75%160.5萬
-36.32%155萬
-36.32%155萬
-長期租賃負債
481.70%349.6萬
-54.18%46.6萬
-65.79%54.9萬
-61.81%59.2萬
-61.81%59.2萬
-70.28%60.1萬
-24.50%101.7萬
-24.75%160.5萬
-36.32%155萬
-36.32%155萬
長期應付帳款及其他應付款項
-3.68%813.9萬
-10.82%815.3萬
-8.96%831.3萬
-9.88%837.5萬
-9.88%837.5萬
-10.23%845萬
-4.95%914.2萬
-10.45%913.1萬
-6.04%929.3萬
-6.04%929.3萬
長期撥備
-8.81%2,506.4萬
-21.35%2,250.3萬
-1.48%2,580.7萬
5.08%2,646.8萬
5.08%2,646.8萬
68.21%2,748.4萬
74.94%2,861萬
43.51%2,619.6萬
63.40%2,518.9萬
63.40%2,518.9萬
非流動負債總額
0.45%3,669.9萬
-19.72%3,112.2萬
-6.13%3,466.9萬
-1.66%3,543.5萬
-1.66%3,543.5萬
31.54%3,653.5萬
41.91%3,876.9萬
20.76%3,693.2萬
29.89%3,603.2萬
29.89%3,603.2萬
負債總額
8.32%7,280.8萬
-13.82%6,214.6萬
-4.56%6,595.1萬
-3.19%6,884.6萬
-3.19%6,884.6萬
9.79%6,721.7萬
16.18%7,210.9萬
1.84%6,910.4萬
21.39%7,111.2萬
21.39%7,111.2萬
所有者權益
股本
0.11%5.75億
1.15%5.74億
1.19%5.74億
1.29%5.74億
1.29%5.74億
1.29%5.74億
0.12%5.68億
0.07%5.67億
-0.03%5.67億
-0.03%5.67億
-普通股股本
0.11%5.75億
1.15%5.74億
1.19%5.74億
1.29%5.74億
1.29%5.74億
1.29%5.74億
0.12%5.68億
0.07%5.67億
-0.03%5.67億
-0.03%5.67億
資本公積
0.52%2,388.3萬
0.52%2,388.3萬
0.52%2,388.3萬
0.52%2,388.3萬
0.52%2,388.3萬
0.06%2,376萬
0.79%2,376萬
0.99%2,376萬
0.99%2,376萬
0.99%2,376萬
留存收益
7.87%-3.43億
8.18%-3.45億
4.32%-3.59億
4.20%-3.62億
4.20%-3.62億
1.73%-3.72億
1.82%-3.76億
3.92%-3.75億
3.73%-3.78億
3.73%-3.78億
其他股本權益
-3.92%407.3萬
5.79%444.3萬
2.30%417.5萬
-0.22%416.6萬
-0.22%416.6萬
3.09%423.9萬
4.74%420萬
11.87%408.1萬
32.33%417.5萬
32.33%417.5萬
股東權益總額
13.02%2.59億
17.18%2.57億
10.53%2.43億
10.71%2.4億
10.71%2.4億
6.48%2.3億
3.81%2.19億
8.03%2.2億
7.81%2.17億
7.81%2.17億
總權益
13.02%2.59億
17.18%2.57億
10.53%2.43億
10.71%2.4億
10.71%2.4億
6.48%2.3億
3.81%2.19億
8.03%2.2億
7.81%2.17億
7.81%2.17億
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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(Q3)2024/09/30(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
資產
流動資產
現金及現金等價物和短期投資 108.09%4,159.9萬56.76%3,741萬2.58%2,647.5萬-12.56%2,204.1萬-12.56%2,204.1萬-33.25%1,999.1萬-21.74%2,386.5萬-25.76%2,580.9萬-37.56%2,520.8萬-37.56%2,520.8萬
-現金和現金等價物 108.09%4,159.9萬56.76%3,741萬2.58%2,647.5萬-12.56%2,204.1萬-12.56%2,204.1萬-33.25%1,999.1萬-21.74%2,386.5萬-25.76%2,580.9萬-37.56%2,520.8萬-37.56%2,520.8萬
應收款項 -41.72%480.2萬-43.67%454.9萬-26.38%563.3萬-33.69%589.4萬-33.69%589.4萬91.58%824萬21.06%807.5萬23.42%765.1萬69.78%888.8萬69.78%888.8萬
-應收稅費 -34.36%450.4萬-44.91%421.2萬-23.14%503.8萬-34.65%558.4萬-34.65%558.4萬66.19%686.2萬103.49%764.5萬8.03%655.5萬66.15%854.5萬66.15%854.5萬
-其他應收款 -78.37%29.8萬-21.63%33.7萬-45.71%59.5萬-9.62%31萬-9.62%31萬701.16%137.8萬-85.24%43萬736.64%109.6萬272.83%34.3萬272.83%34.3萬
存貨 3.24%1,640.2萬-1.13%1,455萬23.98%1,749.3萬-3.69%1,563.9萬-3.69%1,563.9萬3.97%1,588.7萬-13.28%1,471.7萬-8.89%1,411萬11.64%1,623.9萬11.64%1,623.9萬
預付費用 -21.80%208.4萬-40.24%198萬-55.19%210萬-56.96%155.6萬-56.96%155.6萬-12.85%266.5萬34.18%331.3萬76.30%468.6萬66.13%361.5萬66.13%361.5萬
受限制現金 16.57%97.8萬3.93%95.3萬50.45%101.1萬45.15%89.7萬45.15%89.7萬91.55%83.9萬84.14%91.7萬22.85%67.2萬23.35%61.8萬23.35%61.8萬
流動資產合計 38.31%6,586.5萬16.81%5,944.2萬-0.41%5,271.2萬-15.65%4,602.7萬-15.65%4,602.7萬-10.19%4,762.2萬-10.89%5,088.7萬-11.28%5,292.8萬-13.15%5,456.8萬-13.15%5,456.8萬
非流動資產
固定資產淨額 6.53%2.57億7.39%2.5億8.17%2.47億11.10%2.51億11.10%2.51億13.56%2.42億13.64%2.33億14.43%2.29億21.28%2.26億21.28%2.26億
-固定資產 -70.14%2.57億4.53%8.86億4.82%8.77億5.59%8.74億5.59%8.74億6.42%8.62億6.27%8.47億6.33%8.37億5.87%8.28億5.87%8.28億
-累計折舊 -----3.45%-6.35億-3.56%-6.29億-3.52%-6.23億-3.52%-6.23億-3.87%-6.2億-3.71%-6.14億-3.56%-6.08億-1.05%-6.02億-1.05%-6.02億
長期應收款 -56.74%298.9萬-59.09%273.6萬-64.27%243.9萬-20.39%576.8萬-20.39%576.8萬-33.50%690.9萬-35.63%668.8萬-39.14%682.7萬-29.51%724.5萬-29.51%724.5萬
非流動遞延資產 --523.7萬--580萬--580萬--580萬--580萬--------------0--0
其他非流動資產 22.64%74.2萬13.04%70.2萬21.42%65.2萬27.47%65.9萬27.47%65.9萬-1.63%60.5萬3.33%62.1萬-20.44%53.7萬-11.77%51.7萬-11.77%51.7萬
非流動資產合計 6.92%2.66億7.97%2.6億8.56%2.56億12.64%2.63億12.64%2.63億11.33%2.49億11.24%2.41億11.49%2.36億18.53%2.34億18.53%2.34億
總資產 11.96%3.32億9.51%3.19億6.92%3.09億7.28%3.09億7.28%3.09億7.21%2.97億6.62%2.91億6.48%2.89億10.87%2.88億10.87%2.88億
負債
流動負債
短期借款與資本租賃負債 -17.57%447.5萬-30.25%388.7萬-18.42%451.8萬-3.78%524.8萬-3.78%524.8萬1.19%542.9萬23.95%557.3萬29.91%553.8萬22.34%545.4萬22.34%545.4萬
-短期借款 -10.69%304.1萬-0.68%304.6萬2.89%312.8萬8.39%329.5萬8.39%329.5萬12.52%340.5萬1.15%306.7萬0.07%304萬0.43%304萬0.43%304萬
-短期資本租賃負債 -29.15%143.4萬-66.44%84.1萬-44.36%139萬-19.10%195.3萬-19.10%195.3萬-13.47%202.4萬71.17%250.6萬103.92%249.8萬68.69%241.4萬68.69%241.4萬
應付款項 -0.13%1,953.1萬-6.15%1,917.7萬-6.02%1,808.5萬-22.15%1,338.2萬-22.15%1,338.2萬-0.86%1,955.7萬0.42%2,043.3萬-13.72%1,924.3萬51.77%1,718.9萬51.77%1,718.9萬
-應付帳款 -11.80%1,601.2萬-16.21%1,503萬-3.49%1,569.9萬-25.21%1,063.5萬-25.21%1,063.5萬2.61%1,815.4萬-6.28%1,793.7萬-14.31%1,626.6萬36.87%1,421.9萬36.87%1,421.9萬
-應付稅費 150.82%351.9萬66.15%414.7萬-19.85%238.6萬-7.56%271.5萬-7.56%271.5萬-31.02%140.3萬106.45%249.6萬-10.36%297.7萬214.12%293.7萬214.12%293.7萬
-其他應付款 -------------3.03%3.2萬-3.03%3.2萬------------1,550.00%3.3萬1,550.00%3.3萬
應計費用 -------------2.08%541.5萬-2.08%541.5萬------------4.95%553萬4.95%553萬
現行撥備 112.48%1,210.3萬8.54%796萬17.43%867.9萬35.60%936.6萬35.60%936.6萬-31.83%569.6萬-25.95%733.4萬-30.97%739.1萬-29.43%690.7萬-29.43%690.7萬
流動負債總額 17.69%3,610.9萬-6.95%3,102.4萬-2.77%3,128.2萬-4.76%3,341.1萬-4.76%3,341.1萬-8.27%3,068.2萬-4.05%3,334萬-13.69%3,217.2萬13.74%3,508萬13.74%3,508萬
非流動負債
長期借款與租賃負債 481.70%349.6萬-54.18%46.6萬-65.79%54.9萬-61.81%59.2萬-61.81%59.2萬-70.28%60.1萬-24.50%101.7萬-24.75%160.5萬-36.32%155萬-36.32%155萬
-長期租賃負債 481.70%349.6萬-54.18%46.6萬-65.79%54.9萬-61.81%59.2萬-61.81%59.2萬-70.28%60.1萬-24.50%101.7萬-24.75%160.5萬-36.32%155萬-36.32%155萬
長期應付帳款及其他應付款項 -3.68%813.9萬-10.82%815.3萬-8.96%831.3萬-9.88%837.5萬-9.88%837.5萬-10.23%845萬-4.95%914.2萬-10.45%913.1萬-6.04%929.3萬-6.04%929.3萬
長期撥備 -8.81%2,506.4萬-21.35%2,250.3萬-1.48%2,580.7萬5.08%2,646.8萬5.08%2,646.8萬68.21%2,748.4萬74.94%2,861萬43.51%2,619.6萬63.40%2,518.9萬63.40%2,518.9萬
非流動負債總額 0.45%3,669.9萬-19.72%3,112.2萬-6.13%3,466.9萬-1.66%3,543.5萬-1.66%3,543.5萬31.54%3,653.5萬41.91%3,876.9萬20.76%3,693.2萬29.89%3,603.2萬29.89%3,603.2萬
負債總額 8.32%7,280.8萬-13.82%6,214.6萬-4.56%6,595.1萬-3.19%6,884.6萬-3.19%6,884.6萬9.79%6,721.7萬16.18%7,210.9萬1.84%6,910.4萬21.39%7,111.2萬21.39%7,111.2萬
所有者權益
股本 0.11%5.75億1.15%5.74億1.19%5.74億1.29%5.74億1.29%5.74億1.29%5.74億0.12%5.68億0.07%5.67億-0.03%5.67億-0.03%5.67億
-普通股股本 0.11%5.75億1.15%5.74億1.19%5.74億1.29%5.74億1.29%5.74億1.29%5.74億0.12%5.68億0.07%5.67億-0.03%5.67億-0.03%5.67億
資本公積 0.52%2,388.3萬0.52%2,388.3萬0.52%2,388.3萬0.52%2,388.3萬0.52%2,388.3萬0.06%2,376萬0.79%2,376萬0.99%2,376萬0.99%2,376萬0.99%2,376萬
留存收益 7.87%-3.43億8.18%-3.45億4.32%-3.59億4.20%-3.62億4.20%-3.62億1.73%-3.72億1.82%-3.76億3.92%-3.75億3.73%-3.78億3.73%-3.78億
其他股本權益 -3.92%407.3萬5.79%444.3萬2.30%417.5萬-0.22%416.6萬-0.22%416.6萬3.09%423.9萬4.74%420萬11.87%408.1萬32.33%417.5萬32.33%417.5萬
股東權益總額 13.02%2.59億17.18%2.57億10.53%2.43億10.71%2.4億10.71%2.4億6.48%2.3億3.81%2.19億8.03%2.2億7.81%2.17億7.81%2.17億
總權益 13.02%2.59億17.18%2.57億10.53%2.43億10.71%2.4億10.71%2.4億6.48%2.3億3.81%2.19億8.03%2.2億7.81%2.17億7.81%2.17億
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 ------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。