加拿大市場個股詳情

SHWZ Medicine Man Technologies Inc

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延時15分鐘行情交易中 08/20 14:36 (美東)
2326.93萬總市值-225市盈率TTM

Medicine Man Technologies 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
-39.07%1,238.7萬
-62.78%1,325.99萬
-49.99%1,970.5萬
-49.99%1,970.5萬
-48.74%2,008.07萬
-39.97%2,032.82萬
-25.30%3,562.27萬
-63.14%3,940.35萬
-63.14%3,940.35萬
85.07%3,917.64萬
-現金和現金等價物
-38.27%1,226.65萬
-62.60%1,315.13萬
-50.58%1,924.89萬
-50.58%1,924.89萬
-49.32%1,962.46萬
-41.32%1,987.21萬
-26.26%3,516.66萬
-63.39%3,894.93萬
-63.39%3,894.93萬
82.94%3,872.52萬
-應收賬款
-42.90%352.87萬
-26.89%335.6萬
-4.71%426.12萬
-4.71%426.12萬
-2.44%504.99萬
7.40%617.97萬
9.38%459.02萬
15.65%447.2萬
15.65%447.2萬
46.61%517.62萬
預付費用
-5.75%82
-5.75%82
-1.15%86
-1.15%86
0.00%87
0.00%87
0.00%87
0.00%87
0.00%87
0.00%87
流動資產合計
-30.46%4,626.45萬
-37.26%4,650.04萬
-25.19%5,366.8萬
-25.19%5,366.8萬
-10.07%6,438.43萬
-0.41%6,653.22萬
3.84%7,412.05萬
-42.34%7,173.5萬
-42.34%7,173.5萬
88.61%7,159.04萬
非流動資產
-累計折舊
-64.73%-1,154.43萬
-71.10%-1,006.17萬
-78.40%-874.18萬
-78.40%-874.18萬
-101.09%-806.58萬
-118.13%-700.79萬
-145.95%-588.05萬
-146.36%-490萬
-146.36%-490萬
-145.91%-401.1萬
投資物業
--100萬
--0
--20.21萬
--20.21萬
----
----
----
--0
--0
----
-長期股權投資
-4.35%1.64億
9.21%1.61億
28.40%1.83億
28.40%1.83億
24.00%1.74億
28.91%1.71億
11.63%1.47億
34.50%1.43億
34.50%1.43億
123.07%1.41億
-其中:可供出售證券
--100萬
----
--20.21萬
--20.21萬
----
----
----
----
----
----
長期應收票據
--193.96萬
634.08%99.21萬
--199.65萬
--199.65萬
--5.05萬
----
--13.52萬
--0
--0
----
-商譽
-9.06%2.23億
16.78%2.3億
15.49%2.34億
15.49%2.34億
16.49%2.45億
14.74%2.45億
-10.25%1.97億
43.60%2.02億
43.60%2.02億
50.30%2.11億
監管資產
-42.90%352.87萬
-26.89%335.6萬
-4.97%426.12萬
-4.97%426.12萬
-3.33%504.99萬
6.08%617.97萬
6.65%459.02萬
15.96%448.39萬
15.96%448.39萬
47.97%522.4萬
非流動遞延資產
----
----
----
----
----
----
----
----
----
-90.51%29.06萬
負債
流動負債
短期借款與資本租賃負債
226.79%3,467.19萬
422.92%3,476.6萬
57.16%846.97萬
57.16%846.97萬
99.70%897.17萬
179.52%1,060.99萬
4,843.12%664.84萬
3,906.97%538.93萬
3,906.97%538.93萬
3,240.23%449.25萬
-短期借款
349.42%2,958.7萬
885.99%2,957.97萬
57.64%354.7萬
57.64%354.7萬
183.33%425萬
--658.33萬
2,130.52%300萬
1,572.89%225萬
1,572.89%225萬
1,015.26%150萬
-短期資本租賃負債
26.28%508.5萬
42.15%518.63萬
56.81%492.27萬
56.81%492.27萬
57.78%472.17萬
6.08%402.66萬
--364.84萬
--313.93萬
--313.93萬
--299.25萬
-應付帳款
-37.82%753.05萬
119.26%944.32萬
24.41%1,334.16萬
24.41%1,334.16萬
101.14%1,168.76萬
267.42%1,211.13萬
34.31%430.68萬
314.73%1,072.37萬
314.73%1,072.37萬
458.38%581.06萬
-應付稅費
-4.45%1.64億
9.21%1.61億
27.95%1.83億
27.95%1.83億
24.00%1.74億
29.05%1.71億
11.63%1.47億
34.97%1.43億
34.97%1.43億
123.07%1.41億
-其他應付款
8.62%132.82萬
13.85%132.82萬
-17.25%126.38萬
-17.25%126.38萬
-10.89%129.9萬
--122.28萬
130.58%116.66萬
196.58%152.73萬
196.58%152.73萬
--145.76萬
應計費用
52.96%978.63萬
-22.16%810.66萬
4.19%777.47萬
4.19%777.47萬
1.06%943.09萬
-23.21%639.81萬
-29.67%1,041.45萬
33.44%746.23萬
33.44%746.23萬
53.61%933.24萬
流動負債總額
71.39%8,530.39萬
95.05%8,187.08萬
17.04%5,545.68萬
17.04%5,545.68萬
67.75%5,039.62萬
74.28%4,977.13萬
-40.28%4,197.35萬
4.68%4,738.13萬
4.68%4,738.13萬
115.44%3,004.19萬
非流動負債
-長期借款
34.44%2,970.58萬
60.84%3,073.51萬
74.04%3,013.35萬
74.04%3,013.35萬
32.44%2,352.56萬
91.60%2,209.62萬
35.69%1,910.87萬
98.66%1,731.45萬
98.66%1,731.45萬
366.56%1,776.32萬
長期應計費用
18.49%6,439.19萬
34.18%6,590.18萬
44.29%6,534.68萬
44.29%6,534.68萬
26.06%5,745.43萬
52.17%5,434.19萬
61.98%4,911.54萬
141.35%4,528.84萬
141.35%4,528.84萬
266.60%4,557.55萬
長期撥備
-10.11%1.34億
1.51%1.3億
22.10%1.53億
22.10%1.53億
22.78%1.51億
22.94%1.49億
8.76%1.28億
28.76%1.26億
28.76%1.26億
107.42%1.23億
非流動負債總額
12.64%2.49億
28.25%2.43億
25.24%2.39億
25.24%2.39億
31.70%2.25億
37.06%2.21億
-6.41%1.89億
25.92%1.91億
25.92%1.91億
121.69%1.71億
所有者權益
股本
13.01%8.12萬
40.42%7.93萬
32.84%7.5萬
32.84%7.5萬
29.45%7.27萬
28.05%7.18萬
5.35%5.64萬
23.85%5.64萬
23.85%5.64萬
24.16%5.62萬
-普通股股本
13.03%8.11萬
40.49%7.92萬
32.89%7.49萬
32.89%7.49萬
29.50%7.26萬
28.10%7.17萬
5.36%5.64萬
23.89%5.64萬
23.89%5.64萬
24.21%5.61萬
資本公積
1.19%2.04億
12.23%2.03億
12.01%2.02億
12.01%2.02億
10.82%1.99億
11.97%2.01億
5.12%1.81億
10.79%1.8億
10.79%1.8億
8.66%1.8億
其他股本權益
-11.64%548.09萬
-57.96%350.23萬
-26.06%391.41萬
-26.06%391.41萬
9.91%648.59萬
--620.31萬
--833.02萬
109.79%529.34萬
109.79%529.34萬
--590.11萬
總權益
-7.95%3.4億
7.18%3.47億
10.92%3.58億
10.92%3.58億
12.44%3.71億
15.97%3.69億
1.69%3.23億
13.28%3.23億
13.28%3.23億
69.25%3.3億
(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 -39.07%1,238.7萬-62.78%1,325.99萬-49.99%1,970.5萬-49.99%1,970.5萬-48.74%2,008.07萬-39.97%2,032.82萬-25.30%3,562.27萬-63.14%3,940.35萬-63.14%3,940.35萬85.07%3,917.64萬
-現金和現金等價物 -38.27%1,226.65萬-62.60%1,315.13萬-50.58%1,924.89萬-50.58%1,924.89萬-49.32%1,962.46萬-41.32%1,987.21萬-26.26%3,516.66萬-63.39%3,894.93萬-63.39%3,894.93萬82.94%3,872.52萬
-應收賬款 -42.90%352.87萬-26.89%335.6萬-4.71%426.12萬-4.71%426.12萬-2.44%504.99萬7.40%617.97萬9.38%459.02萬15.65%447.2萬15.65%447.2萬46.61%517.62萬
預付費用 -5.75%82-5.75%82-1.15%86-1.15%860.00%870.00%870.00%870.00%870.00%870.00%87
流動資產合計 -30.46%4,626.45萬-37.26%4,650.04萬-25.19%5,366.8萬-25.19%5,366.8萬-10.07%6,438.43萬-0.41%6,653.22萬3.84%7,412.05萬-42.34%7,173.5萬-42.34%7,173.5萬88.61%7,159.04萬
非流動資產
-累計折舊 -64.73%-1,154.43萬-71.10%-1,006.17萬-78.40%-874.18萬-78.40%-874.18萬-101.09%-806.58萬-118.13%-700.79萬-145.95%-588.05萬-146.36%-490萬-146.36%-490萬-145.91%-401.1萬
投資物業 --100萬--0--20.21萬--20.21萬--------------0--0----
-長期股權投資 -4.35%1.64億9.21%1.61億28.40%1.83億28.40%1.83億24.00%1.74億28.91%1.71億11.63%1.47億34.50%1.43億34.50%1.43億123.07%1.41億
-其中:可供出售證券 --100萬------20.21萬--20.21萬------------------------
長期應收票據 --193.96萬634.08%99.21萬--199.65萬--199.65萬--5.05萬------13.52萬--0--0----
-商譽 -9.06%2.23億16.78%2.3億15.49%2.34億15.49%2.34億16.49%2.45億14.74%2.45億-10.25%1.97億43.60%2.02億43.60%2.02億50.30%2.11億
監管資產 -42.90%352.87萬-26.89%335.6萬-4.97%426.12萬-4.97%426.12萬-3.33%504.99萬6.08%617.97萬6.65%459.02萬15.96%448.39萬15.96%448.39萬47.97%522.4萬
非流動遞延資產 -------------------------------------90.51%29.06萬
負債
流動負債
短期借款與資本租賃負債 226.79%3,467.19萬422.92%3,476.6萬57.16%846.97萬57.16%846.97萬99.70%897.17萬179.52%1,060.99萬4,843.12%664.84萬3,906.97%538.93萬3,906.97%538.93萬3,240.23%449.25萬
-短期借款 349.42%2,958.7萬885.99%2,957.97萬57.64%354.7萬57.64%354.7萬183.33%425萬--658.33萬2,130.52%300萬1,572.89%225萬1,572.89%225萬1,015.26%150萬
-短期資本租賃負債 26.28%508.5萬42.15%518.63萬56.81%492.27萬56.81%492.27萬57.78%472.17萬6.08%402.66萬--364.84萬--313.93萬--313.93萬--299.25萬
-應付帳款 -37.82%753.05萬119.26%944.32萬24.41%1,334.16萬24.41%1,334.16萬101.14%1,168.76萬267.42%1,211.13萬34.31%430.68萬314.73%1,072.37萬314.73%1,072.37萬458.38%581.06萬
-應付稅費 -4.45%1.64億9.21%1.61億27.95%1.83億27.95%1.83億24.00%1.74億29.05%1.71億11.63%1.47億34.97%1.43億34.97%1.43億123.07%1.41億
-其他應付款 8.62%132.82萬13.85%132.82萬-17.25%126.38萬-17.25%126.38萬-10.89%129.9萬--122.28萬130.58%116.66萬196.58%152.73萬196.58%152.73萬--145.76萬
應計費用 52.96%978.63萬-22.16%810.66萬4.19%777.47萬4.19%777.47萬1.06%943.09萬-23.21%639.81萬-29.67%1,041.45萬33.44%746.23萬33.44%746.23萬53.61%933.24萬
流動負債總額 71.39%8,530.39萬95.05%8,187.08萬17.04%5,545.68萬17.04%5,545.68萬67.75%5,039.62萬74.28%4,977.13萬-40.28%4,197.35萬4.68%4,738.13萬4.68%4,738.13萬115.44%3,004.19萬
非流動負債
-長期借款 34.44%2,970.58萬60.84%3,073.51萬74.04%3,013.35萬74.04%3,013.35萬32.44%2,352.56萬91.60%2,209.62萬35.69%1,910.87萬98.66%1,731.45萬98.66%1,731.45萬366.56%1,776.32萬
長期應計費用 18.49%6,439.19萬34.18%6,590.18萬44.29%6,534.68萬44.29%6,534.68萬26.06%5,745.43萬52.17%5,434.19萬61.98%4,911.54萬141.35%4,528.84萬141.35%4,528.84萬266.60%4,557.55萬
長期撥備 -10.11%1.34億1.51%1.3億22.10%1.53億22.10%1.53億22.78%1.51億22.94%1.49億8.76%1.28億28.76%1.26億28.76%1.26億107.42%1.23億
非流動負債總額 12.64%2.49億28.25%2.43億25.24%2.39億25.24%2.39億31.70%2.25億37.06%2.21億-6.41%1.89億25.92%1.91億25.92%1.91億121.69%1.71億
所有者權益
股本 13.01%8.12萬40.42%7.93萬32.84%7.5萬32.84%7.5萬29.45%7.27萬28.05%7.18萬5.35%5.64萬23.85%5.64萬23.85%5.64萬24.16%5.62萬
-普通股股本 13.03%8.11萬40.49%7.92萬32.89%7.49萬32.89%7.49萬29.50%7.26萬28.10%7.17萬5.36%5.64萬23.89%5.64萬23.89%5.64萬24.21%5.61萬
資本公積 1.19%2.04億12.23%2.03億12.01%2.02億12.01%2.02億10.82%1.99億11.97%2.01億5.12%1.81億10.79%1.8億10.79%1.8億8.66%1.8億
其他股本權益 -11.64%548.09萬-57.96%350.23萬-26.06%391.41萬-26.06%391.41萬9.91%648.59萬--620.31萬--833.02萬109.79%529.34萬109.79%529.34萬--590.11萬
總權益 -7.95%3.4億7.18%3.47億10.92%3.58億10.92%3.58億12.44%3.71億15.97%3.69億1.69%3.23億13.28%3.23億13.28%3.23億69.25%3.3億

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。

熱議
加拿大
綜合熱度
股票代碼
最新價
升跌幅

暫無數據