加拿大市場個股詳情

MAH Marksmen Energy Inc

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延時15分鐘行情已收盤 10/15 16:00 (美東)
211.40萬總市值-370市盈率TTM

Marksmen Energy 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
-87.07%2.89萬
-92.41%2.77萬
-73.71%8.89萬
-73.71%8.89萬
-67.03%25.62萬
-68.39%22.36萬
-36.78%36.49萬
-45.56%33.83萬
-45.56%33.83萬
55.06%77.7萬
-現金和現金等價物
-87.07%2.89萬
-92.41%2.77萬
-73.71%8.89萬
-73.71%8.89萬
-67.03%25.62萬
-68.39%22.36萬
-36.78%36.49萬
-45.56%33.83萬
-45.56%33.83萬
55.06%77.7萬
-應收賬款
-41.77%7.97萬
-56.54%7.74萬
-65.06%5.8萬
-65.06%5.8萬
-63.43%7.25萬
-3.73%13.69萬
5.98%17.82萬
-26.09%16.59萬
-26.09%16.59萬
77.56%19.83萬
持有待售資產
--0
--0
--9.04萬
--9.04萬
----
----
----
--0
--0
----
流動資產合計
-53.58%19.74萬
-71.67%17.22萬
-46.66%30.33萬
-46.66%30.33萬
-62.05%39.45萬
-53.38%42.53萬
-24.71%60.78萬
-37.39%56.85萬
-37.39%56.85萬
53.99%103.94萬
非流動資產
-累計折舊
-91.88%-590.69萬
-90.40%-584.39萬
-90.22%-569.35萬
-90.22%-569.35萬
-6.81%-317.12萬
-13.18%-307.84萬
-19.36%-306.92萬
-18.01%-299.31萬
-18.01%-299.31萬
3.31%-296.89萬
-長期股權投資
-95.04%6萬
-95.01%6萬
-94.99%6萬
-94.99%6萬
--121.53萬
--120.9萬
--120.3萬
--119.72萬
--119.72萬
----
-其他無形資產
-82.53%12.11萬
-82.53%12.11萬
-87.94%12.11萬
-87.94%12.11萬
-42.91%60.48萬
-45.30%69.32萬
-47.80%69.32萬
-27.15%100.46萬
-27.15%100.46萬
11.50%105.94萬
監管資產
-41.77%7.97萬
-56.54%7.74萬
-65.06%5.8萬
-65.06%5.8萬
-63.43%7.25萬
-3.73%13.69萬
5.98%17.82萬
-26.09%16.59萬
-26.09%16.59萬
77.56%19.83萬
負債
流動負債
短期借款與資本租賃負債
3,190.88%123.54萬
3,283.72%122.84萬
3,383.78%122.17萬
3,383.78%122.17萬
-96.98%3.88萬
-97.06%3.75萬
-97.14%3.63萬
-97.22%3.51萬
-97.22%3.51萬
1,634.71%128.37萬
-短期借款
3,190.88%123.54萬
3,283.72%122.84萬
3,383.78%122.17萬
3,383.78%122.17萬
-96.98%3.88萬
-97.06%3.75萬
-97.14%3.63萬
-97.22%3.51萬
-97.22%3.51萬
1,634.71%128.37萬
-應付稅費
-75.46%37.76萬
-76.12%36.85萬
-77.62%34.02萬
-77.62%34.02萬
361.74%154.17萬
470.61%153.86萬
491.72%154.34萬
458.02%151.98萬
458.02%151.98萬
-77.42%33.39萬
現行撥備
16.42%29.38萬
15.13%29.29萬
15.00%29萬
15.00%29萬
0.41%25.43萬
57.01%25.24萬
58.27%25.44萬
56.88%25.22萬
56.88%25.22萬
67.45%25.33萬
流動負債總額
212.17%209.73萬
192.56%196.15萬
55.83%199.69萬
55.83%199.69萬
-75.83%65.45萬
-61.09%67.19萬
-62.47%67.05萬
-32.14%128.15萬
-32.14%128.15萬
297.10%270.79萬
非流動負債
長期應計費用
-67.57%170.41萬
-68.21%170.76萬
-69.21%166.31萬
-69.21%166.31萬
6.46%530.54萬
48.56%525.4萬
55.56%537.07萬
52.40%540.18萬
52.40%540.18萬
70.59%498.35萬
長期撥備
-95.04%6萬
-95.01%6萬
-94.99%6萬
-94.99%6萬
--121.53萬
--120.9萬
--120.3萬
--119.72萬
--119.72萬
----
非流動負債總額
11.96%247.49萬
5.25%233.01萬
-16.57%233.71萬
-16.57%233.71萬
-27.80%219.62萬
10.72%221.05萬
8.13%221.39萬
29.64%280.13萬
29.64%280.13萬
40.77%304.18萬
所有者權益
股本
0.09%2,319.37萬
1.16%2,319.37萬
6.06%2,319.37萬
6.06%2,319.37萬
9.05%2,320.98萬
12.54%2,317.25萬
12.86%2,292.76萬
7.64%2,186.75萬
7.64%2,186.75萬
6.52%2,128.3萬
-普通股股本
0.09%2,319.37萬
1.16%2,319.37萬
6.06%2,319.37萬
6.06%2,319.37萬
9.05%2,320.98萬
12.54%2,317.25萬
12.86%2,292.76萬
7.64%2,186.75萬
7.64%2,186.75萬
6.52%2,128.3萬
資本公積
9.30%815.29萬
7.89%815.29萬
12.51%815.29萬
12.51%815.29萬
4.71%763.79萬
3.17%745.94萬
4.67%755.7萬
1.45%724.64萬
1.45%724.64萬
5.69%729.4萬
不影響留存收益的損益
17.06%83.22萬
-0.80%82.1萬
-5.33%78.26萬
-5.33%78.26萬
-6.15%82.38萬
11.11%71.1萬
54.01%82.75萬
41.64%82.66萬
41.64%82.66萬
46.34%87.79萬
總權益
-66.52%190.15萬
-68.56%187.97萬
-67.07%196.63萬
-67.07%196.63萬
-5.36%569.99萬
27.66%567.93萬
40.35%597.85萬
34.09%597.04萬
34.09%597.04萬
67.48%602.29萬
(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 -87.07%2.89萬-92.41%2.77萬-73.71%8.89萬-73.71%8.89萬-67.03%25.62萬-68.39%22.36萬-36.78%36.49萬-45.56%33.83萬-45.56%33.83萬55.06%77.7萬
-現金和現金等價物 -87.07%2.89萬-92.41%2.77萬-73.71%8.89萬-73.71%8.89萬-67.03%25.62萬-68.39%22.36萬-36.78%36.49萬-45.56%33.83萬-45.56%33.83萬55.06%77.7萬
-應收賬款 -41.77%7.97萬-56.54%7.74萬-65.06%5.8萬-65.06%5.8萬-63.43%7.25萬-3.73%13.69萬5.98%17.82萬-26.09%16.59萬-26.09%16.59萬77.56%19.83萬
持有待售資產 --0--0--9.04萬--9.04萬--------------0--0----
流動資產合計 -53.58%19.74萬-71.67%17.22萬-46.66%30.33萬-46.66%30.33萬-62.05%39.45萬-53.38%42.53萬-24.71%60.78萬-37.39%56.85萬-37.39%56.85萬53.99%103.94萬
非流動資產
-累計折舊 -91.88%-590.69萬-90.40%-584.39萬-90.22%-569.35萬-90.22%-569.35萬-6.81%-317.12萬-13.18%-307.84萬-19.36%-306.92萬-18.01%-299.31萬-18.01%-299.31萬3.31%-296.89萬
-長期股權投資 -95.04%6萬-95.01%6萬-94.99%6萬-94.99%6萬--121.53萬--120.9萬--120.3萬--119.72萬--119.72萬----
-其他無形資產 -82.53%12.11萬-82.53%12.11萬-87.94%12.11萬-87.94%12.11萬-42.91%60.48萬-45.30%69.32萬-47.80%69.32萬-27.15%100.46萬-27.15%100.46萬11.50%105.94萬
監管資產 -41.77%7.97萬-56.54%7.74萬-65.06%5.8萬-65.06%5.8萬-63.43%7.25萬-3.73%13.69萬5.98%17.82萬-26.09%16.59萬-26.09%16.59萬77.56%19.83萬
負債
流動負債
短期借款與資本租賃負債 3,190.88%123.54萬3,283.72%122.84萬3,383.78%122.17萬3,383.78%122.17萬-96.98%3.88萬-97.06%3.75萬-97.14%3.63萬-97.22%3.51萬-97.22%3.51萬1,634.71%128.37萬
-短期借款 3,190.88%123.54萬3,283.72%122.84萬3,383.78%122.17萬3,383.78%122.17萬-96.98%3.88萬-97.06%3.75萬-97.14%3.63萬-97.22%3.51萬-97.22%3.51萬1,634.71%128.37萬
-應付稅費 -75.46%37.76萬-76.12%36.85萬-77.62%34.02萬-77.62%34.02萬361.74%154.17萬470.61%153.86萬491.72%154.34萬458.02%151.98萬458.02%151.98萬-77.42%33.39萬
現行撥備 16.42%29.38萬15.13%29.29萬15.00%29萬15.00%29萬0.41%25.43萬57.01%25.24萬58.27%25.44萬56.88%25.22萬56.88%25.22萬67.45%25.33萬
流動負債總額 212.17%209.73萬192.56%196.15萬55.83%199.69萬55.83%199.69萬-75.83%65.45萬-61.09%67.19萬-62.47%67.05萬-32.14%128.15萬-32.14%128.15萬297.10%270.79萬
非流動負債
長期應計費用 -67.57%170.41萬-68.21%170.76萬-69.21%166.31萬-69.21%166.31萬6.46%530.54萬48.56%525.4萬55.56%537.07萬52.40%540.18萬52.40%540.18萬70.59%498.35萬
長期撥備 -95.04%6萬-95.01%6萬-94.99%6萬-94.99%6萬--121.53萬--120.9萬--120.3萬--119.72萬--119.72萬----
非流動負債總額 11.96%247.49萬5.25%233.01萬-16.57%233.71萬-16.57%233.71萬-27.80%219.62萬10.72%221.05萬8.13%221.39萬29.64%280.13萬29.64%280.13萬40.77%304.18萬
所有者權益
股本 0.09%2,319.37萬1.16%2,319.37萬6.06%2,319.37萬6.06%2,319.37萬9.05%2,320.98萬12.54%2,317.25萬12.86%2,292.76萬7.64%2,186.75萬7.64%2,186.75萬6.52%2,128.3萬
-普通股股本 0.09%2,319.37萬1.16%2,319.37萬6.06%2,319.37萬6.06%2,319.37萬9.05%2,320.98萬12.54%2,317.25萬12.86%2,292.76萬7.64%2,186.75萬7.64%2,186.75萬6.52%2,128.3萬
資本公積 9.30%815.29萬7.89%815.29萬12.51%815.29萬12.51%815.29萬4.71%763.79萬3.17%745.94萬4.67%755.7萬1.45%724.64萬1.45%724.64萬5.69%729.4萬
不影響留存收益的損益 17.06%83.22萬-0.80%82.1萬-5.33%78.26萬-5.33%78.26萬-6.15%82.38萬11.11%71.1萬54.01%82.75萬41.64%82.66萬41.64%82.66萬46.34%87.79萬
總權益 -66.52%190.15萬-68.56%187.97萬-67.07%196.63萬-67.07%196.63萬-5.36%569.99萬27.66%567.93萬40.35%597.85萬34.09%597.04萬34.09%597.04萬67.48%602.29萬

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。

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最新價
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