美股市場個股詳情

MAXIM POWER CORPORATION (MXGFF)

添加自選
  • 3.180
  • 0.0000.00%
延時15分鐘行情收盤價 04/15 09:40 (美東)
  • 3.250
  • +0.070+2.20%
盤後 17:09 (美東)
2.02億總市值16.74市盈率TTM

MAXIM POWER CORPORATION (MXGFF) 資產負債表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2025/12/31
(Q4)2025/12/31
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
資產
流動資產
現金及現金等價物和短期投資
89.29%5,691.7萬
89.29%5,691.7萬
-46.44%5,303.2萬
-53.88%4,038.2萬
-63.05%3,148.6萬
-6.79%3,006.8萬
-6.79%3,006.8萬
125.51%9,901.3萬
90.82%8,755.7萬
65.98%8,520.7萬
-現金和現金等價物
89.29%5,691.7萬
89.29%5,691.7萬
-46.44%5,303.2萬
-53.88%4,038.2萬
-63.05%3,148.6萬
-6.79%3,006.8萬
-6.79%3,006.8萬
125.51%9,901.3萬
90.82%8,755.7萬
65.98%8,520.7萬
應收款項
28.17%800.3萬
28.17%800.3萬
-21.56%1,276.1萬
-10.04%1,205.8萬
-19.75%981.6萬
-88.12%624.4萬
-88.12%624.4萬
93.36%1,626.9萬
-30.66%1,340.4萬
-11.65%1,223.2萬
-應收賬款
72.29%755.3萬
72.29%755.3萬
-6.72%1,276.1萬
234.39%1,199.8萬
35.53%975.3萬
-84.55%438.4萬
-84.55%438.4萬
246.77%1,368萬
-81.01%358.8萬
-48.02%719.6萬
-應收稅費
--4.5萬
--4.5萬
----
-98.76%6萬
-98.39%6.3萬
--0
--0
--0
1,015.70%483.1萬
--391.5萬
-其他應收款
-78.23%40.5萬
-78.23%40.5萬
----
----
----
-90.44%186萬
-90.44%186萬
--258.9萬
--498.5萬
--112.1萬
預付費用
-13.58%406.1萬
-13.58%406.1萬
89.92%96.1萬
12.62%289.1萬
-17.63%331.8萬
-20.61%469.9萬
-20.61%469.9萬
-51.86%50.6萬
3.76%256.7萬
12.58%402.8萬
流動資產合計
69.68%7,037萬
69.68%7,037萬
-43.42%6,675.4萬
-47.08%5,535.3萬
-44.13%5,791.8萬
-55.08%4,147.3萬
-55.08%4,147.3萬
121.05%1.18億
53.46%1.05億
50.77%1.04億
非流動資產
固定資產淨額
-2.33%2.99億
-2.33%2.99億
-3.54%2.95億
-4.66%2.94億
-4.35%2.97億
-2.37%3.06億
-2.37%3.06億
-3.16%3.06億
0.33%3.08億
3.73%3.1億
-固定資產
0.17%4.24億
0.17%4.24億
1.04%4.24億
0.15%4.18億
0.23%4.17億
1.72%4.23億
1.72%4.23億
1.21%4.19億
3.50%4.18億
5.71%4.16億
-累計折舊
-6.68%-1.25億
-6.68%-1.25億
-13.38%-1.29億
-13.63%-1.25億
-13.58%-1.21億
-14.20%-1.17億
-14.20%-1.17億
-15.23%-1.13億
-13.56%-1.1億
-11.93%-1.06億
投資和預付款
--477.1萬
--477.1萬
--396.1萬
--169.5萬
----
--0
--0
----
----
----
長期預付費用
----
----
-35.29%203.9萬
-35.29%203.9萬
-32.97%211.2萬
----
----
--315.1萬
--315.1萬
--315.1萬
其他非流動資產
-19.17%936.8萬
-19.17%936.8萬
-60.36%734.1萬
-60.36%734.1萬
-60.36%734.1萬
-42.21%1,159萬
-42.21%1,159萬
-7.67%1,851.8萬
24.12%1,851.8萬
24.12%1,851.8萬
非流動資產合計
-1.44%3.13億
-1.44%3.13億
-5.85%3.09億
-7.57%3.05億
-7.74%3.06億
-4.76%3.18億
-4.76%3.18億
-2.49%3.28億
2.41%3.3億
5.71%3.32億
總資產
6.77%3.83億
6.77%3.83億
-15.79%3.75億
-17.09%3.6億
-16.41%3.64億
-15.67%3.59億
-15.67%3.59億
14.44%4.46億
11.33%4.34億
13.80%4.35億
負債
流動負債
應付款項
14.31%303.5萬
14.31%303.5萬
-10.44%1,222.6萬
-46.84%572.4萬
-17.04%1,145.8萬
-20.22%265.5萬
-20.22%265.5萬
38.28%1,365.1萬
79.95%1,076.8萬
92.02%1,381.2萬
-應付賬款
14.31%303.5萬
14.31%303.5萬
-12.66%1,153.1萬
-46.84%572.4萬
-17.04%1,145.8萬
-20.22%265.5萬
-20.22%265.5萬
33.74%1,320.3萬
79.95%1,076.8萬
125.02%1,381.2萬
-應付稅費
----
----
55.13%69.5萬
----
----
----
----
--44.8萬
----
----
應計費用
2.80%850.3萬
2.80%850.3萬
----
----
----
-9.82%827.1萬
-9.82%827.1萬
----
----
----
短期借款與租賃負債
----
----
----
----
----
----
----
30.52%813.5萬
40.65%652.9萬
110.45%642.7萬
-短期借款
----
----
----
----
----
----
----
30.52%813.5萬
40.65%652.9萬
110.45%642.7萬
遞延負債
----
----
--53.6萬
--107.2萬
----
----
----
----
----
----
其他流動負債
334.60%252.5萬
334.60%252.5萬
-92.63%13.4萬
-75.26%155.3萬
-95.24%28.7萬
-93.68%58.1萬
-93.68%58.1萬
43.30%181.7萬
--627.7萬
--603.2萬
流動負債總額
22.21%1,406.3萬
22.21%1,406.3萬
-45.36%1,289.6萬
-64.58%834.9萬
-55.29%1,174.5萬
-56.61%1,150.7萬
-56.61%1,150.7萬
35.86%2,360.3萬
121.85%2,357.4萬
156.38%2,627.1萬
非流動負債
長期撥備
26.89%1,402.4萬
26.89%1,402.4萬
-3.16%1,066萬
-0.49%1,065.5萬
5.77%1,116.2萬
2.71%1,105.2萬
2.71%1,105.2萬
22.43%1,100.8萬
4.73%1,070.7萬
2.91%1,055.3萬
長期借款與租賃負債
270.13%28.5萬
270.13%28.5萬
----
----
-99.91%6.6萬
-99.90%7.7萬
-99.90%7.7萬
-4.86%7,182萬
-4.60%7,390.4萬
-6.19%7,445.9萬
-長期借款
----
----
----
----
----
----
----
-4.82%7,173.4萬
-4.56%7,380.9萬
-6.17%7,435.5萬
-長期租賃負債
270.13%28.5萬
270.13%28.5萬
----
----
-36.54%6.6萬
-30.63%7.7萬
-30.63%7.7萬
-28.93%8.6萬
-26.36%9.5萬
-20.61%10.4萬
遞延負債
7.17%2,190.8萬
7.17%2,190.8萬
3.65%2,057.6萬
18.47%2,042.1萬
31.78%2,148.7萬
42.66%2,044.2萬
42.66%2,044.2萬
116.52%1,985.1萬
111.91%1,723.7萬
163.20%1,630.5萬
其他非流動負債
----
----
--29.5萬
--30.6萬
----
----
----
----
----
----
非流動負債總額
14.72%3,621.7萬
14.72%3,621.7萬
-69.29%3,153.1萬
-69.19%3,138.2萬
-67.71%3,271.5萬
-68.92%3,157.1萬
-68.92%3,157.1萬
9.47%1.03億
5.67%1.02億
5.73%1.01億
總負債
16.72%5,028萬
16.72%5,028萬
-64.82%4,442.7萬
-68.32%3,973.1萬
-65.15%4,446萬
-66.37%4,307.8萬
-66.37%4,307.8萬
13.60%1.26億
17.21%1.25億
20.29%1.28億
所有者權益
股本
-0.04%1.72億
-0.04%1.72億
20.32%1.72億
20.28%1.73億
20.03%1.72億
19.81%1.72億
19.81%1.72億
-0.50%1.43億
-0.33%1.44億
0.10%1.44億
-普通股股本
-0.04%1.72億
-0.04%1.72億
20.32%1.72億
20.28%1.73億
20.03%1.72億
19.81%1.72億
19.81%1.72億
-0.50%1.43億
-0.33%1.44億
0.10%1.44億
留存收益
12.55%1.47億
12.55%1.47億
-11.15%1.44億
-11.82%1.34億
-11.51%1.34億
-7.35%1.3億
-7.35%1.3億
34.08%1.62億
20.45%1.52億
25.65%1.51億
資本公積
6.42%1,413.9萬
6.42%1,413.9萬
3.42%1,407.5萬
2.54%1,376萬
2.10%1,354萬
0.70%1,328.6萬
0.70%1,328.6萬
4.07%1,360.9萬
3.66%1,341.9萬
2.74%1,326.1萬
股東權益總額
5.42%3.33億
5.42%3.33億
3.59%3.31億
3.72%3.2億
3.80%3.2億
6.14%3.16億
6.14%3.16億
14.78%3.19億
9.11%3.09億
11.32%3.08億
總權益
5.42%3.33億
5.42%3.33億
3.59%3.31億
3.72%3.2億
3.80%3.2億
6.14%3.16億
6.14%3.16億
14.78%3.19億
9.11%3.09億
11.32%3.08億
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
無保留意見
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--
--
無保留意見
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--
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(FY)2025/12/31(Q4)2025/12/31(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31
資產
流動資產
現金及現金等價物和短期投資 89.29%5,691.7萬89.29%5,691.7萬-46.44%5,303.2萬-53.88%4,038.2萬-63.05%3,148.6萬-6.79%3,006.8萬-6.79%3,006.8萬125.51%9,901.3萬90.82%8,755.7萬65.98%8,520.7萬
-現金和現金等價物 89.29%5,691.7萬89.29%5,691.7萬-46.44%5,303.2萬-53.88%4,038.2萬-63.05%3,148.6萬-6.79%3,006.8萬-6.79%3,006.8萬125.51%9,901.3萬90.82%8,755.7萬65.98%8,520.7萬
應收款項 28.17%800.3萬28.17%800.3萬-21.56%1,276.1萬-10.04%1,205.8萬-19.75%981.6萬-88.12%624.4萬-88.12%624.4萬93.36%1,626.9萬-30.66%1,340.4萬-11.65%1,223.2萬
-應收賬款 72.29%755.3萬72.29%755.3萬-6.72%1,276.1萬234.39%1,199.8萬35.53%975.3萬-84.55%438.4萬-84.55%438.4萬246.77%1,368萬-81.01%358.8萬-48.02%719.6萬
-應收稅費 --4.5萬--4.5萬-----98.76%6萬-98.39%6.3萬--0--0--01,015.70%483.1萬--391.5萬
-其他應收款 -78.23%40.5萬-78.23%40.5萬-------------90.44%186萬-90.44%186萬--258.9萬--498.5萬--112.1萬
預付費用 -13.58%406.1萬-13.58%406.1萬89.92%96.1萬12.62%289.1萬-17.63%331.8萬-20.61%469.9萬-20.61%469.9萬-51.86%50.6萬3.76%256.7萬12.58%402.8萬
流動資產合計 69.68%7,037萬69.68%7,037萬-43.42%6,675.4萬-47.08%5,535.3萬-44.13%5,791.8萬-55.08%4,147.3萬-55.08%4,147.3萬121.05%1.18億53.46%1.05億50.77%1.04億
非流動資產
固定資產淨額 -2.33%2.99億-2.33%2.99億-3.54%2.95億-4.66%2.94億-4.35%2.97億-2.37%3.06億-2.37%3.06億-3.16%3.06億0.33%3.08億3.73%3.1億
-固定資產 0.17%4.24億0.17%4.24億1.04%4.24億0.15%4.18億0.23%4.17億1.72%4.23億1.72%4.23億1.21%4.19億3.50%4.18億5.71%4.16億
-累計折舊 -6.68%-1.25億-6.68%-1.25億-13.38%-1.29億-13.63%-1.25億-13.58%-1.21億-14.20%-1.17億-14.20%-1.17億-15.23%-1.13億-13.56%-1.1億-11.93%-1.06億
投資和預付款 --477.1萬--477.1萬--396.1萬--169.5萬------0--0------------
長期預付費用 ---------35.29%203.9萬-35.29%203.9萬-32.97%211.2萬----------315.1萬--315.1萬--315.1萬
其他非流動資產 -19.17%936.8萬-19.17%936.8萬-60.36%734.1萬-60.36%734.1萬-60.36%734.1萬-42.21%1,159萬-42.21%1,159萬-7.67%1,851.8萬24.12%1,851.8萬24.12%1,851.8萬
非流動資產合計 -1.44%3.13億-1.44%3.13億-5.85%3.09億-7.57%3.05億-7.74%3.06億-4.76%3.18億-4.76%3.18億-2.49%3.28億2.41%3.3億5.71%3.32億
總資產 6.77%3.83億6.77%3.83億-15.79%3.75億-17.09%3.6億-16.41%3.64億-15.67%3.59億-15.67%3.59億14.44%4.46億11.33%4.34億13.80%4.35億
負債
流動負債
應付款項 14.31%303.5萬14.31%303.5萬-10.44%1,222.6萬-46.84%572.4萬-17.04%1,145.8萬-20.22%265.5萬-20.22%265.5萬38.28%1,365.1萬79.95%1,076.8萬92.02%1,381.2萬
-應付賬款 14.31%303.5萬14.31%303.5萬-12.66%1,153.1萬-46.84%572.4萬-17.04%1,145.8萬-20.22%265.5萬-20.22%265.5萬33.74%1,320.3萬79.95%1,076.8萬125.02%1,381.2萬
-應付稅費 --------55.13%69.5萬------------------44.8萬--------
應計費用 2.80%850.3萬2.80%850.3萬-------------9.82%827.1萬-9.82%827.1萬------------
短期借款與租賃負債 ----------------------------30.52%813.5萬40.65%652.9萬110.45%642.7萬
-短期借款 ----------------------------30.52%813.5萬40.65%652.9萬110.45%642.7萬
遞延負債 ----------53.6萬--107.2萬------------------------
其他流動負債 334.60%252.5萬334.60%252.5萬-92.63%13.4萬-75.26%155.3萬-95.24%28.7萬-93.68%58.1萬-93.68%58.1萬43.30%181.7萬--627.7萬--603.2萬
流動負債總額 22.21%1,406.3萬22.21%1,406.3萬-45.36%1,289.6萬-64.58%834.9萬-55.29%1,174.5萬-56.61%1,150.7萬-56.61%1,150.7萬35.86%2,360.3萬121.85%2,357.4萬156.38%2,627.1萬
非流動負債
長期撥備 26.89%1,402.4萬26.89%1,402.4萬-3.16%1,066萬-0.49%1,065.5萬5.77%1,116.2萬2.71%1,105.2萬2.71%1,105.2萬22.43%1,100.8萬4.73%1,070.7萬2.91%1,055.3萬
長期借款與租賃負債 270.13%28.5萬270.13%28.5萬---------99.91%6.6萬-99.90%7.7萬-99.90%7.7萬-4.86%7,182萬-4.60%7,390.4萬-6.19%7,445.9萬
-長期借款 -----------------------------4.82%7,173.4萬-4.56%7,380.9萬-6.17%7,435.5萬
-長期租賃負債 270.13%28.5萬270.13%28.5萬---------36.54%6.6萬-30.63%7.7萬-30.63%7.7萬-28.93%8.6萬-26.36%9.5萬-20.61%10.4萬
遞延負債 7.17%2,190.8萬7.17%2,190.8萬3.65%2,057.6萬18.47%2,042.1萬31.78%2,148.7萬42.66%2,044.2萬42.66%2,044.2萬116.52%1,985.1萬111.91%1,723.7萬163.20%1,630.5萬
其他非流動負債 ----------29.5萬--30.6萬------------------------
非流動負債總額 14.72%3,621.7萬14.72%3,621.7萬-69.29%3,153.1萬-69.19%3,138.2萬-67.71%3,271.5萬-68.92%3,157.1萬-68.92%3,157.1萬9.47%1.03億5.67%1.02億5.73%1.01億
總負債 16.72%5,028萬16.72%5,028萬-64.82%4,442.7萬-68.32%3,973.1萬-65.15%4,446萬-66.37%4,307.8萬-66.37%4,307.8萬13.60%1.26億17.21%1.25億20.29%1.28億
所有者權益
股本 -0.04%1.72億-0.04%1.72億20.32%1.72億20.28%1.73億20.03%1.72億19.81%1.72億19.81%1.72億-0.50%1.43億-0.33%1.44億0.10%1.44億
-普通股股本 -0.04%1.72億-0.04%1.72億20.32%1.72億20.28%1.73億20.03%1.72億19.81%1.72億19.81%1.72億-0.50%1.43億-0.33%1.44億0.10%1.44億
留存收益 12.55%1.47億12.55%1.47億-11.15%1.44億-11.82%1.34億-11.51%1.34億-7.35%1.3億-7.35%1.3億34.08%1.62億20.45%1.52億25.65%1.51億
資本公積 6.42%1,413.9萬6.42%1,413.9萬3.42%1,407.5萬2.54%1,376萬2.10%1,354萬0.70%1,328.6萬0.70%1,328.6萬4.07%1,360.9萬3.66%1,341.9萬2.74%1,326.1萬
股東權益總額 5.42%3.33億5.42%3.33億3.59%3.31億3.72%3.2億3.80%3.2億6.14%3.16億6.14%3.16億14.78%3.19億9.11%3.09億11.32%3.08億
總權益 5.42%3.33億5.42%3.33億3.59%3.31億3.72%3.2億3.80%3.2億6.14%3.16億6.14%3.16億14.78%3.19億9.11%3.09億11.32%3.08億
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