美股市場個股詳情

MGMNF MAGNA MINING INC

添加自選
  • 0.960
  • -0.040-3.99%
延時15分鐘行情收盤價 12/27 16:00 (美東)
  • 0.964
  • +0.004+0.44%
盤後 16:28 (美東)
1.87億總市值-17.14市盈率TTM

MAGNA 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
-74.44%398.33萬
-75.92%446.05萬
-65.34%759.02萬
77.02%1,093.13萬
77.02%1,093.13萬
574.64%1,558.53萬
458.16%1,852.02萬
389.81%2,189.87萬
8.67%617.51萬
8.67%617.51萬
-現金和現金等價物
-74.71%394.1萬
-76.14%441.86萬
-65.53%754.87萬
76.36%1,089.03萬
76.36%1,089.03萬
574.64%1,558.53萬
458.16%1,852.02萬
389.81%2,189.87萬
8.67%617.51萬
8.67%617.51萬
-短期投資
--4.23萬
--4.19萬
--4.15萬
--4.1萬
--4.1萬
----
----
----
--0
--0
應收款項
151.05%240.66萬
97.35%122.13萬
110.31%118.52萬
43.09%89.01萬
43.09%89.01萬
232.22%95.86萬
122.05%61.89萬
87.52%56.36萬
23.69%62.21萬
23.69%62.21萬
-應收賬款
151.05%240.66萬
97.35%122.13萬
110.31%118.52萬
43.09%89.01萬
43.09%89.01萬
232.22%95.86萬
122.05%61.89萬
87.52%56.36萬
23.69%62.21萬
23.69%62.21萬
預付費用
89.03%28.37萬
-12.18%28.3萬
-36.98%17.75萬
3.12%11.13萬
3.12%11.13萬
38.52%15.01萬
313.82%32.22萬
558.52%28.16萬
137.13%10.79萬
137.13%10.79萬
流動資產合計
-60.02%667.36萬
-69.35%596.48萬
-60.64%895.29萬
72.81%1,193.27萬
72.81%1,193.27萬
-26.80%1,669.4萬
429.61%1,946.13萬
372.43%2,274.38萬
10.82%690.52萬
10.82%690.52萬
非流動資產
固定資產淨額
11,537.18%1,763.47萬
13,710.06%1,766萬
20.95%16.52萬
8.42%13.48萬
8.42%13.48萬
67.23%15.15萬
29.68%12.79萬
45.43%13.66萬
23.65%12.43萬
23.65%12.43萬
-固定資產
6,885.05%1,782.92萬
8,162.37%1,782.92萬
46.93%30.92萬
39.13%25.79萬
39.13%25.79萬
77.35%25.52萬
49.93%21.58萬
59.40%21.04萬
40.80%18.54萬
40.80%18.54萬
-累計折舊
-87.50%-19.45萬
-92.45%-16.92萬
-94.93%-14.4萬
-101.68%-12.31萬
-101.68%-12.31萬
-94.53%-10.37萬
-93.99%-8.79萬
-93.80%-7.39萬
-96.24%-6.11萬
-96.24%-6.11萬
投資和預付款
----
----
----
----
----
--4.06萬
----
----
----
----
其他非流動資產
29.41%89.38萬
29.61%88.46萬
5.49%70.8萬
5.00%69.97萬
5.00%69.97萬
4.98%69.07萬
3.75%68.25萬
2.05%67.12萬
1.34%66.64萬
1.34%66.64萬
非流動資產合計
1,998.85%1,852.86萬
2,188.32%1,854.46萬
8.10%87.32萬
5.53%83.45萬
5.53%83.45萬
17.93%88.28萬
7.13%81.04萬
7.47%80.77萬
4.30%79.08萬
4.30%79.08萬
總資產
43.38%2,520.22萬
20.90%2,450.95萬
-58.28%982.6萬
65.90%1,276.73萬
65.90%1,276.73萬
-25.38%1,757.68萬
357.49%2,027.17萬
323.15%2,355.15萬
10.12%769.59萬
10.12%769.59萬
負債
流動負債
應付款項
-28.42%285.51萬
-45.81%260.14萬
-41.54%350.89萬
285.23%377.14萬
285.23%377.14萬
-80.84%398.88萬
768.07%480.06萬
1,267.29%600.24萬
43.56%97.9萬
43.56%97.9萬
-應付賬款
250.52%192.68萬
166.15%111.66萬
41.98%135.19萬
-15.54%82.68萬
-15.54%82.68萬
-23.63%54.97萬
9.68%41.95萬
356.56%95.21萬
180.30%97.9萬
180.30%97.9萬
-其他應付款
-73.01%92.83萬
-66.11%148.48萬
-57.29%215.7萬
--294.46萬
--294.46萬
-82.89%343.91萬
2,469.27%438.11萬
2,091.45%505.02萬
----
----
應計費用
248.76%290.75萬
221.94%195.19萬
-11.16%94.66萬
17.01%78.7萬
17.01%78.7萬
21.15%83.36萬
-31.15%60.63萬
46.76%106.56萬
28.45%67.26萬
28.45%67.26萬
短期借款與租賃負債
-34.21%4萬
-20.79%4.05萬
-6.95%4.84萬
-44.42%2.85萬
-44.42%2.85萬
--6.09萬
--5.12萬
--5.2萬
8.21%5.12萬
8.21%5.12萬
-短期借款
----
----
----
----
----
--3.04萬
--3.04萬
--3萬
4.50%3萬
4.50%3萬
-短期租賃負債
31.66%4萬
95.35%4.05萬
119.93%4.84萬
34.24%2.85萬
34.24%2.85萬
--3.04萬
--2.08萬
--2.2萬
13.95%2.12萬
13.95%2.12萬
遞延負債
----
----
----
--0
--0
--295.74萬
--284.83萬
952.84%274.44萬
914.84%264.54萬
914.84%264.54萬
其他流動負債
----
---1
----
----
----
----
----
----
----
----
流動負債總額
-25.99%580.26萬
-44.70%459.38萬
-54.34%450.39萬
5.49%458.69萬
5.49%458.69萬
-63.55%784.07萬
479.40%830.65萬
591.87%986.44萬
187.28%434.82萬
187.28%434.82萬
非流動負債
長期撥備
16.90%85.25萬
16.68%84.57萬
16.46%83.88萬
16.23%83.2萬
16.23%83.2萬
2.52%72.93萬
2.52%72.48萬
2.52%72.03萬
2.52%71.58萬
2.52%71.58萬
長期借款與租賃負債
-27.11%1.6萬
6,090.44%2.53萬
588.00%2.69萬
40.66%1.36萬
40.66%1.36萬
-66.39%2.2萬
-99.42%408
-94.71%3,916
-68.67%9,670
-68.67%9,670
-長期借款
----
----
----
----
----
-98.99%301
-98.61%408
----
----
----
-長期租賃負債
-26.10%1.6萬
--2.53萬
588.00%2.69萬
40.66%1.36萬
40.66%1.36萬
-39.29%2.17萬
--0
-91.30%3,916
-68.67%9,670
-68.67%9,670
非流動負債總額
15.61%86.85萬
20.10%87.09萬
19.55%86.58萬
16.56%84.56萬
16.56%84.56萬
-3.28%75.13萬
-6.63%72.52萬
-6.74%72.42萬
-0.49%72.55萬
-0.49%72.55萬
總負債
-22.36%667.11萬
-39.49%546.47萬
-49.29%536.97萬
7.07%543.25萬
7.07%543.25萬
-61.45%859.19萬
308.62%903.16萬
380.79%1,058.86萬
126.24%507.36萬
126.24%507.36萬
所有者權益
股本
9.91%4,995.07萬
3.61%4,658.65萬
2.14%4,578.41萬
41.02%4,578.41萬
41.02%4,578.41萬
242.02%4,544.75萬
238.39%4,496.48萬
237.33%4,482.34萬
144.33%3,246.66萬
144.33%3,246.66萬
-普通股股本
9.91%4,995.07萬
3.61%4,658.65萬
2.14%4,578.41萬
41.02%4,578.41萬
41.02%4,578.41萬
242.02%4,544.75萬
238.39%4,496.48萬
237.33%4,482.34萬
144.33%3,246.66萬
144.33%3,246.66萬
留存收益
8.32%-3,689.89萬
12.87%-3,240.08萬
-30.89%-4,596.73萬
-29.87%-4,286.23萬
-29.87%-4,286.23萬
-175.55%-4,024.82萬
-172.79%-3,718.75萬
-181.95%-3,511.98萬
-199.11%-3,300.33萬
-199.11%-3,300.33萬
其他權益
44.74%547.93萬
40.32%485.9萬
42.34%463.95萬
39.70%441.3萬
39.70%441.3萬
46.28%378.56萬
35.00%346.28萬
28.75%325.94萬
26.75%315.89萬
26.75%315.89萬
股東權益總額
106.25%1,853.11萬
69.44%1,904.47萬
-65.62%445.63萬
179.71%733.48萬
179.71%733.48萬
607.94%898.48萬
406.13%1,124.01萬
285.41%1,296.3萬
-44.75%262.23萬
-44.75%262.23萬
總權益
106.25%1,853.11萬
69.44%1,904.47萬
-65.62%445.63萬
179.71%733.48萬
179.71%733.48萬
607.94%898.48萬
406.13%1,124.01萬
285.41%1,296.3萬
-44.75%262.23萬
-44.75%262.23萬
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
審計意見
--
--
--
帶解釋段的無保留意見
--
--
--
--
帶解釋段的無保留意見
--
(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 -74.44%398.33萬-75.92%446.05萬-65.34%759.02萬77.02%1,093.13萬77.02%1,093.13萬574.64%1,558.53萬458.16%1,852.02萬389.81%2,189.87萬8.67%617.51萬8.67%617.51萬
-現金和現金等價物 -74.71%394.1萬-76.14%441.86萬-65.53%754.87萬76.36%1,089.03萬76.36%1,089.03萬574.64%1,558.53萬458.16%1,852.02萬389.81%2,189.87萬8.67%617.51萬8.67%617.51萬
-短期投資 --4.23萬--4.19萬--4.15萬--4.1萬--4.1萬--------------0--0
應收款項 151.05%240.66萬97.35%122.13萬110.31%118.52萬43.09%89.01萬43.09%89.01萬232.22%95.86萬122.05%61.89萬87.52%56.36萬23.69%62.21萬23.69%62.21萬
-應收賬款 151.05%240.66萬97.35%122.13萬110.31%118.52萬43.09%89.01萬43.09%89.01萬232.22%95.86萬122.05%61.89萬87.52%56.36萬23.69%62.21萬23.69%62.21萬
預付費用 89.03%28.37萬-12.18%28.3萬-36.98%17.75萬3.12%11.13萬3.12%11.13萬38.52%15.01萬313.82%32.22萬558.52%28.16萬137.13%10.79萬137.13%10.79萬
流動資產合計 -60.02%667.36萬-69.35%596.48萬-60.64%895.29萬72.81%1,193.27萬72.81%1,193.27萬-26.80%1,669.4萬429.61%1,946.13萬372.43%2,274.38萬10.82%690.52萬10.82%690.52萬
非流動資產
固定資產淨額 11,537.18%1,763.47萬13,710.06%1,766萬20.95%16.52萬8.42%13.48萬8.42%13.48萬67.23%15.15萬29.68%12.79萬45.43%13.66萬23.65%12.43萬23.65%12.43萬
-固定資產 6,885.05%1,782.92萬8,162.37%1,782.92萬46.93%30.92萬39.13%25.79萬39.13%25.79萬77.35%25.52萬49.93%21.58萬59.40%21.04萬40.80%18.54萬40.80%18.54萬
-累計折舊 -87.50%-19.45萬-92.45%-16.92萬-94.93%-14.4萬-101.68%-12.31萬-101.68%-12.31萬-94.53%-10.37萬-93.99%-8.79萬-93.80%-7.39萬-96.24%-6.11萬-96.24%-6.11萬
投資和預付款 ----------------------4.06萬----------------
其他非流動資產 29.41%89.38萬29.61%88.46萬5.49%70.8萬5.00%69.97萬5.00%69.97萬4.98%69.07萬3.75%68.25萬2.05%67.12萬1.34%66.64萬1.34%66.64萬
非流動資產合計 1,998.85%1,852.86萬2,188.32%1,854.46萬8.10%87.32萬5.53%83.45萬5.53%83.45萬17.93%88.28萬7.13%81.04萬7.47%80.77萬4.30%79.08萬4.30%79.08萬
總資產 43.38%2,520.22萬20.90%2,450.95萬-58.28%982.6萬65.90%1,276.73萬65.90%1,276.73萬-25.38%1,757.68萬357.49%2,027.17萬323.15%2,355.15萬10.12%769.59萬10.12%769.59萬
負債
流動負債
應付款項 -28.42%285.51萬-45.81%260.14萬-41.54%350.89萬285.23%377.14萬285.23%377.14萬-80.84%398.88萬768.07%480.06萬1,267.29%600.24萬43.56%97.9萬43.56%97.9萬
-應付賬款 250.52%192.68萬166.15%111.66萬41.98%135.19萬-15.54%82.68萬-15.54%82.68萬-23.63%54.97萬9.68%41.95萬356.56%95.21萬180.30%97.9萬180.30%97.9萬
-其他應付款 -73.01%92.83萬-66.11%148.48萬-57.29%215.7萬--294.46萬--294.46萬-82.89%343.91萬2,469.27%438.11萬2,091.45%505.02萬--------
應計費用 248.76%290.75萬221.94%195.19萬-11.16%94.66萬17.01%78.7萬17.01%78.7萬21.15%83.36萬-31.15%60.63萬46.76%106.56萬28.45%67.26萬28.45%67.26萬
短期借款與租賃負債 -34.21%4萬-20.79%4.05萬-6.95%4.84萬-44.42%2.85萬-44.42%2.85萬--6.09萬--5.12萬--5.2萬8.21%5.12萬8.21%5.12萬
-短期借款 ----------------------3.04萬--3.04萬--3萬4.50%3萬4.50%3萬
-短期租賃負債 31.66%4萬95.35%4.05萬119.93%4.84萬34.24%2.85萬34.24%2.85萬--3.04萬--2.08萬--2.2萬13.95%2.12萬13.95%2.12萬
遞延負債 --------------0--0--295.74萬--284.83萬952.84%274.44萬914.84%264.54萬914.84%264.54萬
其他流動負債 -------1--------------------------------
流動負債總額 -25.99%580.26萬-44.70%459.38萬-54.34%450.39萬5.49%458.69萬5.49%458.69萬-63.55%784.07萬479.40%830.65萬591.87%986.44萬187.28%434.82萬187.28%434.82萬
非流動負債
長期撥備 16.90%85.25萬16.68%84.57萬16.46%83.88萬16.23%83.2萬16.23%83.2萬2.52%72.93萬2.52%72.48萬2.52%72.03萬2.52%71.58萬2.52%71.58萬
長期借款與租賃負債 -27.11%1.6萬6,090.44%2.53萬588.00%2.69萬40.66%1.36萬40.66%1.36萬-66.39%2.2萬-99.42%408-94.71%3,916-68.67%9,670-68.67%9,670
-長期借款 ---------------------98.99%301-98.61%408------------
-長期租賃負債 -26.10%1.6萬--2.53萬588.00%2.69萬40.66%1.36萬40.66%1.36萬-39.29%2.17萬--0-91.30%3,916-68.67%9,670-68.67%9,670
非流動負債總額 15.61%86.85萬20.10%87.09萬19.55%86.58萬16.56%84.56萬16.56%84.56萬-3.28%75.13萬-6.63%72.52萬-6.74%72.42萬-0.49%72.55萬-0.49%72.55萬
總負債 -22.36%667.11萬-39.49%546.47萬-49.29%536.97萬7.07%543.25萬7.07%543.25萬-61.45%859.19萬308.62%903.16萬380.79%1,058.86萬126.24%507.36萬126.24%507.36萬
所有者權益
股本 9.91%4,995.07萬3.61%4,658.65萬2.14%4,578.41萬41.02%4,578.41萬41.02%4,578.41萬242.02%4,544.75萬238.39%4,496.48萬237.33%4,482.34萬144.33%3,246.66萬144.33%3,246.66萬
-普通股股本 9.91%4,995.07萬3.61%4,658.65萬2.14%4,578.41萬41.02%4,578.41萬41.02%4,578.41萬242.02%4,544.75萬238.39%4,496.48萬237.33%4,482.34萬144.33%3,246.66萬144.33%3,246.66萬
留存收益 8.32%-3,689.89萬12.87%-3,240.08萬-30.89%-4,596.73萬-29.87%-4,286.23萬-29.87%-4,286.23萬-175.55%-4,024.82萬-172.79%-3,718.75萬-181.95%-3,511.98萬-199.11%-3,300.33萬-199.11%-3,300.33萬
其他權益 44.74%547.93萬40.32%485.9萬42.34%463.95萬39.70%441.3萬39.70%441.3萬46.28%378.56萬35.00%346.28萬28.75%325.94萬26.75%315.89萬26.75%315.89萬
股東權益總額 106.25%1,853.11萬69.44%1,904.47萬-65.62%445.63萬179.71%733.48萬179.71%733.48萬607.94%898.48萬406.13%1,124.01萬285.41%1,296.3萬-44.75%262.23萬-44.75%262.23萬
總權益 106.25%1,853.11萬69.44%1,904.47萬-65.62%445.63萬179.71%733.48萬179.71%733.48萬607.94%898.48萬406.13%1,124.01萬285.41%1,296.3萬-44.75%262.23萬-44.75%262.23萬
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
審計意見 ------帶解釋段的無保留意見--------帶解釋段的無保留意見--
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