加拿大市場個股詳情

POPR PopReach Corp

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  • 0.180
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延時15分鐘行情已收盤 10/05 16:00 (美東)
5078.25萬總市值-4285市盈率TTM

PopReach Corp關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/09/30
(Q3)2022/06/30
(Q1)2022/03/31
(FY)2021/12/31
(Q4)2021/12/31
(Q3)2021/09/30
(Q2)2021/06/30
資產
流動資產
現金及現金等價物和短期投資
--842.4萬
-55.94%471.1萬
-29.69%779.5萬
-20.16%885.1萬
-10.86%1,037.4萬
-27.70%1,069.3萬
-38.91%1,108.61萬
-38.91%1,108.61萬
493.28%1,163.83萬
497.61%1,264.44萬
-現金和現金等價物
--842.4萬
-55.69%471.1萬
-29.32%779.5萬
-19.74%885.1萬
-10.44%1,037.4萬
-27.85%1,063.25萬
-39.06%1,102.84萬
-39.06%1,102.84萬
504.85%1,158.27萬
507.71%1,258.9萬
-短期投資
----
----
----
----
----
14.47%6.05萬
14.23%5.77萬
14.23%5.77萬
19.08%5.56萬
25.07%5.54萬
應收款項
--2,804.8萬
752.36%1,541.6萬
803.17%1,542.3萬
817.93%1,567.5萬
458.24%1,199.6萬
-11.68%180.86萬
4.52%170.76萬
4.52%170.76萬
23.41%214.89萬
-2.69%213.64萬
-應收賬款
--2,804.8萬
1,090.00%1,541.6萬
1,135.53%1,542.3萬
1,155.71%1,567.5萬
622.15%1,199.6萬
-18.05%129.55萬
14.88%124.83萬
14.88%124.83萬
23.39%166.12萬
8.54%166.85萬
-應收稅費
----
----
----
----
----
0.63%35.86萬
-24.25%35.34萬
-24.25%35.34萬
-0.05%35.17萬
-35.45%36.15萬
-其他應收款
----
----
----
----
----
39.71%15.46萬
31.55%10.59萬
31.55%10.59萬
215.62%13.6萬
8.39%10.63萬
預付費用
--145.8萬
86.57%68.6萬
89.08%73.6萬
73.41%67.5萬
80.92%62.1萬
-6.25%36.77萬
30.95%38.93萬
30.95%38.93萬
-7.91%34.32萬
-0.66%42.8萬
其他流動資產
--40.5萬
--53.8萬
--35.6萬
--53.7萬
--60.5萬
----
----
----
----
----
流動資產合計
--3,833.5萬
65.91%2,135.1萬
84.40%2,431萬
95.24%2,573.8萬
66.99%2,359.6萬
-25.30%1,286.94萬
-34.34%1,318.3萬
-34.34%1,318.3萬
246.71%1,413.05萬
220.72%1,520.88萬
非流動資產
固定資產淨額
--237.9萬
7.43%68.3萬
-5.69%70.2萬
-18.32%60.8萬
40.21%74.3萬
151.52%63.58萬
130.58%74.43萬
130.58%74.43萬
49.53%52.99萬
23.51%54萬
-固定資產
--259.2萬
-33.38%82.9萬
-32.11%81.1萬
-41.99%69.3萬
-5.25%79.3萬
36.36%124.44萬
33.97%119.46萬
33.97%119.46萬
0.55%83.69萬
-8.36%77.04萬
-累計折舊
---21.3萬
76.01%-14.6萬
75.79%-10.9萬
81.12%-8.5萬
83.71%-5萬
7.76%-60.86萬
20.85%-45.02萬
20.85%-45.02萬
35.77%-30.7萬
42.89%-23.04萬
投資和預付款
----
----
----
----
----
-68.47%2.76萬
-57.23%4.28萬
-57.23%4.28萬
-46.70%5.77萬
-37.00%7.43萬
-其他投資
----
----
----
----
----
-68.47%2.76萬
-57.23%4.28萬
-57.23%4.28萬
-46.70%5.77萬
-37.00%7.43萬
長期應收款
----
----
----
----
----
118.73%71.18萬
144.35%59.14萬
144.35%59.14萬
-6.37%50.37萬
-16.68%40.04萬
長期預付費用
--2萬
--2萬
--2萬
--7.2萬
--7.6萬
----
----
----
----
----
商譽及其他無形資產
--1.13億
690.61%9,434.2萬
705.58%9,683萬
922.58%1.23億
558.76%8,064.4萬
8.07%1,193.28萬
134.63%1,201.99萬
134.63%1,201.99萬
114.29%1,224.18萬
94.33%1,236.14萬
-商譽
--6,557.4萬
1,609.68%4,455.3萬
1,609.68%4,455.3萬
2,014.75%5,510.9萬
1,277.13%3,588.7萬
0.00%260.59萬
42,732.56%260.59萬
42,732.56%260.59萬
42,732.56%260.59萬
42,732.56%260.59萬
-其他無形資產
--4,714.3萬
433.82%4,978.9萬
455.32%5,227.7萬
620.25%6,780.4萬
364.48%4,475.7萬
10.56%932.69萬
83.98%941.39萬
83.98%941.39萬
68.85%963.59萬
53.51%975.55萬
非流動遞延資產
--153.4萬
293.30%153.4萬
336.40%153.4萬
-73.54%9.3萬
-70.73%9.5萬
303.29%39萬
422.00%35.15萬
422.00%35.15萬
8.36%32.46萬
-22.70%23.89萬
其他非流動資產
--99.6萬
--90.1萬
--109.5萬
--87.3萬
--95.5萬
----
----
----
----
----
非流動資產合計
--1.18億
611.63%9,748萬
628.59%1億
805.89%1.25億
504.15%8,251.3萬
16.04%1,369.8萬
134.83%1,374.99萬
134.83%1,374.99萬
94.75%1,365.78萬
76.69%1,361.5萬
總資產
--1.56億
347.28%1.19億
362.23%1.24億
458.04%1.5億
281.85%1.06億
-8.49%2,656.74萬
3.85%2,693.3萬
3.85%2,693.3萬
150.60%2,778.83萬
131.56%2,882.38萬
負債
流動負債
短期借款與資本租賃負債
--991.7萬
700.05%1,375.4萬
381.92%824.1萬
397.65%851萬
236.67%496.6萬
28.41%171.91萬
21.39%171.01萬
21.39%171.01萬
429.58%147.5萬
332.29%145.96萬
-短期借款
--918.3萬
1,030.34%1,336.1萬
569.33%785.2萬
591.06%810.7萬
266.74%445.2萬
-1.66%118.2萬
-2.27%117.31萬
-2.27%117.31萬
--121.39萬
--120.77萬
-短期資本租賃負債
--73.4萬
-26.83%39.3萬
-27.55%38.9萬
-24.94%40.3萬
96.86%51.4萬
292.42%53.71萬
157.77%53.69萬
157.77%53.69萬
-6.26%26.11萬
-25.42%25.18萬
應付款項
--2,238.6萬
554.51%1,016.5萬
646.15%1,030.5萬
639.12%1,020.8萬
435.51%690.8萬
-49.63%155.31萬
51.41%138.11萬
51.41%138.11萬
0.04%129萬
-9.93%145.76萬
-應付帳款
--1,950.2萬
424.75%792萬
462.31%760.6萬
593.46%938萬
439.13%654.8萬
45.11%150.93萬
55.64%135.26萬
55.64%135.26萬
-5.81%121.46萬
-8.09%140.61萬
-應付稅費
--288.4萬
5,029.20%224.5萬
9,385.15%269.9萬
2,809.86%82.8萬
377.25%36萬
1.45%4.38萬
-33.92%2.85萬
-33.92%2.85萬
--7.54萬
-41.77%5.15萬
應計費用
--1,108.5萬
--763.3萬
--843.8萬
--700.7萬
--423.3萬
----
----
----
----
----
現行撥備
----
----
----
----
----
--4.57萬
-96.96%3,044
-96.96%3,044
----
----
遞延負債
--332.8萬
5.89%252.9萬
-19.61%205.8萬
-3.76%246.4萬
-8.06%229.1萬
15.03%238.84萬
180.57%256.02萬
180.57%256.02萬
153.97%249.18萬
96.90%228.55萬
其他流動負債
--190萬
65.15%122.7萬
-93.72%6.8萬
18.31%128.2萬
3.58%125.8萬
-66.83%74.29萬
-76.17%108.36萬
-76.17%108.36萬
-29.01%121.45萬
-14.50%92.81萬
流動負債總額
--4,861.6萬
447.48%3,530.8萬
332.03%2,911萬
337.39%2,947.1萬
203.74%1,965.6萬
-26.19%644.92萬
-14.49%673.8萬
-14.49%673.8萬
48.42%647.13萬
39.52%613.08萬
非流動負債
長期借款與租賃負債
--5,638.4萬
824.75%3,223.3萬
921.08%3,970.7萬
906.52%3,914.1萬
369.57%2,038.4萬
-28.10%348.56萬
-21.37%388.87萬
-21.37%388.87萬
-30.59%434.1萬
-34.37%471.85萬
-長期借款
--5,546.2萬
835.91%3,213.4萬
959.90%3,955.9萬
946.72%3,906.7萬
388.99%2,024.9萬
-27.73%343.35萬
-22.77%373.23萬
-22.77%373.23萬
-32.50%414.1萬
-37.01%444.7萬
-長期租賃負債
--92.2萬
89.84%9.9萬
-5.37%14.8萬
-52.69%7.4萬
-32.49%13.5萬
-46.16%5.21萬
38.09%15.64萬
38.09%15.64萬
68.06%20萬
109.90%27.15萬
長期撥備
----
----
----
----
----
--136.9萬
--134.53萬
--134.53萬
--144.9萬
--137.9萬
員工福利
--38.2萬
0.39%34.3萬
-15.03%32.7萬
-15.29%32.6萬
-20.44%32.5萬
-32.24%34.17萬
-34.64%38.49萬
-34.64%38.49萬
-26.00%40.85萬
-17.82%46.46萬
遞延負債
--165.6萬
1,530.78%214.4萬
2,081.89%260.6萬
2,539.03%315.2萬
2,755.69%331.8萬
17.82%13.15萬
--11.94萬
--11.94萬
--11.62萬
--12.85萬
其他非流動負債
--56.2萬
--70.4萬
--83.7萬
--132.9萬
--137.7萬
----
----
----
----
----
非流動負債總額
--5,898.4萬
564.90%3,542.4萬
657.65%4,347.7萬
665.86%4,394.8萬
302.30%2,540.4萬
-2.49%532.77萬
3.68%573.84萬
3.68%573.84萬
-7.22%631.47萬
-13.72%669.06萬
負債總額
--1.08億
500.60%7,073.2萬
481.80%7,258.7萬
488.47%7,341.9萬
252.42%4,506萬
-17.07%1,177.69萬
-6.99%1,247.63萬
-6.99%1,247.63萬
14.51%1,278.6萬
5.54%1,282.14萬
所有者權益
股本
--7,825.2萬
198.37%7,371.5萬
198.37%7,371.5萬
203.20%7,490.8萬
159.54%6,396.4萬
0.31%2,470.62萬
0.53%2,470.62萬
0.53%2,470.62萬
176.56%2,464.47萬
179.22%2,464.47萬
-普通股股本
--7,825.2萬
198.37%7,371.5萬
198.37%7,371.5萬
203.20%7,490.8萬
159.54%6,396.4萬
0.31%2,470.62萬
0.53%2,470.62萬
0.53%2,470.62萬
176.56%2,464.47萬
179.22%2,464.47萬
資本公積
--328.2萬
--252.2萬
--212.2萬
--780.8萬
--109.5萬
----
----
----
----
----
留存收益
---3,316.3萬
-148.16%-2,818.4萬
-106.22%-2,398萬
48.35%-600.6萬
62.72%-412萬
-2.67%-1,135.73萬
12.06%-1,162.83萬
12.06%-1,162.83萬
-11.18%-1,105.09萬
-5.94%-998.12萬
不影響留存收益的損益
--1萬
545.00%4.6萬
313.34%4.7萬
862.56%16.8萬
742.45%11萬
66.19%-1.03萬
59.02%-2.2萬
59.02%-2.2萬
-197.53%-1.71萬
-69.68%-2.66萬
其他股本權益
----
----
----
----
----
12.23%145.19萬
14.75%140.08萬
14.75%140.08萬
52.68%142.56萬
50.05%136.55萬
股東權益總額
--4,838.1萬
225.20%4,809.9萬
259.03%5,190.4萬
431.78%7,687.8萬
306.93%6,104.9萬
-0.28%1,479.05萬
15.47%1,445.66萬
15.47%1,445.66萬
19,475.07%1,500.23萬
5,250.87%1,600.25萬
總權益
--4,838.1萬
225.20%4,809.9萬
259.03%5,190.4萬
431.78%7,687.8萬
306.93%6,104.9萬
-0.28%1,479.05萬
15.47%1,445.66萬
15.47%1,445.66萬
19,475.07%1,500.23萬
5,250.87%1,600.25萬
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
--
--
--
無保留意見
--
--
--
(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/09/30(Q3)2022/06/30(Q1)2022/03/31(FY)2021/12/31(Q4)2021/12/31(Q3)2021/09/30(Q2)2021/06/30
資產
流動資產
現金及現金等價物和短期投資 --842.4萬-55.94%471.1萬-29.69%779.5萬-20.16%885.1萬-10.86%1,037.4萬-27.70%1,069.3萬-38.91%1,108.61萬-38.91%1,108.61萬493.28%1,163.83萬497.61%1,264.44萬
-現金和現金等價物 --842.4萬-55.69%471.1萬-29.32%779.5萬-19.74%885.1萬-10.44%1,037.4萬-27.85%1,063.25萬-39.06%1,102.84萬-39.06%1,102.84萬504.85%1,158.27萬507.71%1,258.9萬
-短期投資 --------------------14.47%6.05萬14.23%5.77萬14.23%5.77萬19.08%5.56萬25.07%5.54萬
應收款項 --2,804.8萬752.36%1,541.6萬803.17%1,542.3萬817.93%1,567.5萬458.24%1,199.6萬-11.68%180.86萬4.52%170.76萬4.52%170.76萬23.41%214.89萬-2.69%213.64萬
-應收賬款 --2,804.8萬1,090.00%1,541.6萬1,135.53%1,542.3萬1,155.71%1,567.5萬622.15%1,199.6萬-18.05%129.55萬14.88%124.83萬14.88%124.83萬23.39%166.12萬8.54%166.85萬
-應收稅費 --------------------0.63%35.86萬-24.25%35.34萬-24.25%35.34萬-0.05%35.17萬-35.45%36.15萬
-其他應收款 --------------------39.71%15.46萬31.55%10.59萬31.55%10.59萬215.62%13.6萬8.39%10.63萬
預付費用 --145.8萬86.57%68.6萬89.08%73.6萬73.41%67.5萬80.92%62.1萬-6.25%36.77萬30.95%38.93萬30.95%38.93萬-7.91%34.32萬-0.66%42.8萬
其他流動資產 --40.5萬--53.8萬--35.6萬--53.7萬--60.5萬--------------------
流動資產合計 --3,833.5萬65.91%2,135.1萬84.40%2,431萬95.24%2,573.8萬66.99%2,359.6萬-25.30%1,286.94萬-34.34%1,318.3萬-34.34%1,318.3萬246.71%1,413.05萬220.72%1,520.88萬
非流動資產
固定資產淨額 --237.9萬7.43%68.3萬-5.69%70.2萬-18.32%60.8萬40.21%74.3萬151.52%63.58萬130.58%74.43萬130.58%74.43萬49.53%52.99萬23.51%54萬
-固定資產 --259.2萬-33.38%82.9萬-32.11%81.1萬-41.99%69.3萬-5.25%79.3萬36.36%124.44萬33.97%119.46萬33.97%119.46萬0.55%83.69萬-8.36%77.04萬
-累計折舊 ---21.3萬76.01%-14.6萬75.79%-10.9萬81.12%-8.5萬83.71%-5萬7.76%-60.86萬20.85%-45.02萬20.85%-45.02萬35.77%-30.7萬42.89%-23.04萬
投資和預付款 ---------------------68.47%2.76萬-57.23%4.28萬-57.23%4.28萬-46.70%5.77萬-37.00%7.43萬
-其他投資 ---------------------68.47%2.76萬-57.23%4.28萬-57.23%4.28萬-46.70%5.77萬-37.00%7.43萬
長期應收款 --------------------118.73%71.18萬144.35%59.14萬144.35%59.14萬-6.37%50.37萬-16.68%40.04萬
長期預付費用 --2萬--2萬--2萬--7.2萬--7.6萬--------------------
商譽及其他無形資產 --1.13億690.61%9,434.2萬705.58%9,683萬922.58%1.23億558.76%8,064.4萬8.07%1,193.28萬134.63%1,201.99萬134.63%1,201.99萬114.29%1,224.18萬94.33%1,236.14萬
-商譽 --6,557.4萬1,609.68%4,455.3萬1,609.68%4,455.3萬2,014.75%5,510.9萬1,277.13%3,588.7萬0.00%260.59萬42,732.56%260.59萬42,732.56%260.59萬42,732.56%260.59萬42,732.56%260.59萬
-其他無形資產 --4,714.3萬433.82%4,978.9萬455.32%5,227.7萬620.25%6,780.4萬364.48%4,475.7萬10.56%932.69萬83.98%941.39萬83.98%941.39萬68.85%963.59萬53.51%975.55萬
非流動遞延資產 --153.4萬293.30%153.4萬336.40%153.4萬-73.54%9.3萬-70.73%9.5萬303.29%39萬422.00%35.15萬422.00%35.15萬8.36%32.46萬-22.70%23.89萬
其他非流動資產 --99.6萬--90.1萬--109.5萬--87.3萬--95.5萬--------------------
非流動資產合計 --1.18億611.63%9,748萬628.59%1億805.89%1.25億504.15%8,251.3萬16.04%1,369.8萬134.83%1,374.99萬134.83%1,374.99萬94.75%1,365.78萬76.69%1,361.5萬
總資產 --1.56億347.28%1.19億362.23%1.24億458.04%1.5億281.85%1.06億-8.49%2,656.74萬3.85%2,693.3萬3.85%2,693.3萬150.60%2,778.83萬131.56%2,882.38萬
負債
流動負債
短期借款與資本租賃負債 --991.7萬700.05%1,375.4萬381.92%824.1萬397.65%851萬236.67%496.6萬28.41%171.91萬21.39%171.01萬21.39%171.01萬429.58%147.5萬332.29%145.96萬
-短期借款 --918.3萬1,030.34%1,336.1萬569.33%785.2萬591.06%810.7萬266.74%445.2萬-1.66%118.2萬-2.27%117.31萬-2.27%117.31萬--121.39萬--120.77萬
-短期資本租賃負債 --73.4萬-26.83%39.3萬-27.55%38.9萬-24.94%40.3萬96.86%51.4萬292.42%53.71萬157.77%53.69萬157.77%53.69萬-6.26%26.11萬-25.42%25.18萬
應付款項 --2,238.6萬554.51%1,016.5萬646.15%1,030.5萬639.12%1,020.8萬435.51%690.8萬-49.63%155.31萬51.41%138.11萬51.41%138.11萬0.04%129萬-9.93%145.76萬
-應付帳款 --1,950.2萬424.75%792萬462.31%760.6萬593.46%938萬439.13%654.8萬45.11%150.93萬55.64%135.26萬55.64%135.26萬-5.81%121.46萬-8.09%140.61萬
-應付稅費 --288.4萬5,029.20%224.5萬9,385.15%269.9萬2,809.86%82.8萬377.25%36萬1.45%4.38萬-33.92%2.85萬-33.92%2.85萬--7.54萬-41.77%5.15萬
應計費用 --1,108.5萬--763.3萬--843.8萬--700.7萬--423.3萬--------------------
現行撥備 ----------------------4.57萬-96.96%3,044-96.96%3,044--------
遞延負債 --332.8萬5.89%252.9萬-19.61%205.8萬-3.76%246.4萬-8.06%229.1萬15.03%238.84萬180.57%256.02萬180.57%256.02萬153.97%249.18萬96.90%228.55萬
其他流動負債 --190萬65.15%122.7萬-93.72%6.8萬18.31%128.2萬3.58%125.8萬-66.83%74.29萬-76.17%108.36萬-76.17%108.36萬-29.01%121.45萬-14.50%92.81萬
流動負債總額 --4,861.6萬447.48%3,530.8萬332.03%2,911萬337.39%2,947.1萬203.74%1,965.6萬-26.19%644.92萬-14.49%673.8萬-14.49%673.8萬48.42%647.13萬39.52%613.08萬
非流動負債
長期借款與租賃負債 --5,638.4萬824.75%3,223.3萬921.08%3,970.7萬906.52%3,914.1萬369.57%2,038.4萬-28.10%348.56萬-21.37%388.87萬-21.37%388.87萬-30.59%434.1萬-34.37%471.85萬
-長期借款 --5,546.2萬835.91%3,213.4萬959.90%3,955.9萬946.72%3,906.7萬388.99%2,024.9萬-27.73%343.35萬-22.77%373.23萬-22.77%373.23萬-32.50%414.1萬-37.01%444.7萬
-長期租賃負債 --92.2萬89.84%9.9萬-5.37%14.8萬-52.69%7.4萬-32.49%13.5萬-46.16%5.21萬38.09%15.64萬38.09%15.64萬68.06%20萬109.90%27.15萬
長期撥備 ----------------------136.9萬--134.53萬--134.53萬--144.9萬--137.9萬
員工福利 --38.2萬0.39%34.3萬-15.03%32.7萬-15.29%32.6萬-20.44%32.5萬-32.24%34.17萬-34.64%38.49萬-34.64%38.49萬-26.00%40.85萬-17.82%46.46萬
遞延負債 --165.6萬1,530.78%214.4萬2,081.89%260.6萬2,539.03%315.2萬2,755.69%331.8萬17.82%13.15萬--11.94萬--11.94萬--11.62萬--12.85萬
其他非流動負債 --56.2萬--70.4萬--83.7萬--132.9萬--137.7萬--------------------
非流動負債總額 --5,898.4萬564.90%3,542.4萬657.65%4,347.7萬665.86%4,394.8萬302.30%2,540.4萬-2.49%532.77萬3.68%573.84萬3.68%573.84萬-7.22%631.47萬-13.72%669.06萬
負債總額 --1.08億500.60%7,073.2萬481.80%7,258.7萬488.47%7,341.9萬252.42%4,506萬-17.07%1,177.69萬-6.99%1,247.63萬-6.99%1,247.63萬14.51%1,278.6萬5.54%1,282.14萬
所有者權益
股本 --7,825.2萬198.37%7,371.5萬198.37%7,371.5萬203.20%7,490.8萬159.54%6,396.4萬0.31%2,470.62萬0.53%2,470.62萬0.53%2,470.62萬176.56%2,464.47萬179.22%2,464.47萬
-普通股股本 --7,825.2萬198.37%7,371.5萬198.37%7,371.5萬203.20%7,490.8萬159.54%6,396.4萬0.31%2,470.62萬0.53%2,470.62萬0.53%2,470.62萬176.56%2,464.47萬179.22%2,464.47萬
資本公積 --328.2萬--252.2萬--212.2萬--780.8萬--109.5萬--------------------
留存收益 ---3,316.3萬-148.16%-2,818.4萬-106.22%-2,398萬48.35%-600.6萬62.72%-412萬-2.67%-1,135.73萬12.06%-1,162.83萬12.06%-1,162.83萬-11.18%-1,105.09萬-5.94%-998.12萬
不影響留存收益的損益 --1萬545.00%4.6萬313.34%4.7萬862.56%16.8萬742.45%11萬66.19%-1.03萬59.02%-2.2萬59.02%-2.2萬-197.53%-1.71萬-69.68%-2.66萬
其他股本權益 --------------------12.23%145.19萬14.75%140.08萬14.75%140.08萬52.68%142.56萬50.05%136.55萬
股東權益總額 --4,838.1萬225.20%4,809.9萬259.03%5,190.4萬431.78%7,687.8萬306.93%6,104.9萬-0.28%1,479.05萬15.47%1,445.66萬15.47%1,445.66萬19,475.07%1,500.23萬5,250.87%1,600.25萬
總權益 --4,838.1萬225.20%4,809.9萬259.03%5,190.4萬431.78%7,687.8萬306.93%6,104.9萬-0.28%1,479.05萬15.47%1,445.66萬15.47%1,445.66萬19,475.07%1,500.23萬5,250.87%1,600.25萬
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 ----無保留意見------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。

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