加拿大市場個股詳情

Spanish Mountain Gold Ltd (SPA)

添加自選
  • 0.385
  • +0.015+4.05%
延時15分鐘行情已收盤 05/15 16:00 (美東)
1.97億總市值-38.50市盈率TTM

Spanish Mountain Gold Ltd (SPA) 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
-44.18%383.71萬
-44.18%383.71萬
294.13%554.71萬
-85.08%62.22萬
149.27%456.74萬
102.54%687.37萬
102.54%687.37萬
-71.15%140.74萬
-34.66%417.14萬
38.07%183.23萬
-現金和現金等價物
-44.18%383.71萬
-44.18%383.71萬
294.13%554.71萬
-85.08%62.22萬
149.27%456.74萬
102.54%687.37萬
102.54%687.37萬
-71.15%140.74萬
-34.66%417.14萬
38.07%183.23萬
應收款項
155.57%34.97萬
155.57%34.97萬
-57.30%11.56萬
13.78%17.62萬
9.13%20.9萬
115.25%13.68萬
115.25%13.68萬
274.87%27.07萬
291.62%15.49萬
239.55%19.15萬
-應收利息
----
----
----
----
----
----
----
--12.67萬
--10.05萬
1,270.26%7.86萬
-應收稅費
24.02%16.97萬
24.02%16.97萬
3.19%11.56萬
224.06%17.62萬
85.02%20.9萬
115.25%13.68萬
115.25%13.68萬
--11.2萬
--5.44萬
122.92%11.29萬
-其他應收款
--18萬
--18萬
----
----
----
----
----
--3.19萬
----
----
預付費用
8.57%21萬
8.57%21萬
527.74%59.03萬
877.34%66.42萬
397.43%24.94萬
51.44%19.34萬
51.44%19.34萬
-44.58%9.4萬
-16.67%6.8萬
-29.19%5.01萬
流動資產合計
-38.97%439.68萬
-38.97%439.68萬
252.85%625.3萬
-66.71%146.26萬
142.33%502.57萬
100.95%720.39萬
100.95%720.39萬
-65.39%177.21萬
-32.45%439.42萬
42.61%207.39萬
非流動資產
固定資產淨額
9.60%1.09億
9.60%1.09億
7.95%1.06億
9.14%1.04億
7.28%1.01億
6.11%9,928.23萬
6.11%9,928.23萬
5.42%9,775.1萬
3.64%9,546.11萬
2.97%9,444.79萬
-固定資產
9.59%1.1億
9.59%1.1億
7.96%1.07億
9.14%1.05億
7.31%1.03億
6.15%1億
6.15%1億
5.48%9,890.41萬
3.72%9,658.69萬
3.05%9,554.65萬
-累計折舊
-9.11%-128.81萬
-9.11%-128.81萬
-9.19%-125.91萬
-9.49%-123.27萬
-9.82%-120.66萬
-10.18%-118.06萬
-10.18%-118.06萬
-10.51%-115.31萬
-10.77%-112.58萬
-11.03%-109.86萬
長期預付費用
1,184.74%13.42萬
1,184.74%13.42萬
0.00%1.04萬
0.00%1.04萬
6,158.25%65.36萬
0.00%1.04萬
0.00%1.04萬
0.00%1.04萬
0.00%1.04萬
0.00%1.04萬
其他非流動資產
0.00%9.1萬
0.00%9.1萬
0.00%9.1萬
0.00%9.1萬
0.00%9.1萬
0.00%9.1萬
0.00%9.1萬
0.00%9.1萬
0.00%9.1萬
0.00%9.1萬
非流動資產合計
9.71%1.09億
9.71%1.09億
7.94%1.06億
9.13%1.04億
7.96%1.02億
6.10%9,938.37萬
6.10%9,938.37萬
5.42%9,785.24萬
3.64%9,556.25萬
2.96%9,454.93萬
總資產
6.42%1.13億
6.42%1.13億
12.30%1.12億
5.80%1.06億
10.84%1.07億
9.60%1.07億
9.60%1.07億
1.72%9,962.45萬
1.26%9,995.68萬
3.58%9,662.33萬
負債
流動負債
短期借款與資本租賃負債
8.73%7.1萬
8.73%7.1萬
8.81%6.96萬
8.89%6.81萬
8.97%6.67萬
9.05%6.53萬
9.05%6.53萬
-35.15%6.39萬
-35.68%6.26萬
-36.23%6.12萬
-短期資本租賃負債
8.73%7.1萬
8.73%7.1萬
8.81%6.96萬
8.89%6.81萬
8.97%6.67萬
9.05%6.53萬
9.05%6.53萬
9.14%6.39萬
9.23%6.26萬
9.33%6.12萬
應付款項
-41.41%41.83萬
-41.41%41.83萬
183.45%86.12萬
53.78%103.26萬
--173.01萬
83.17%71.39萬
83.17%71.39萬
--30.38萬
80.34%67.15萬
----
-應付帳款
-38.98%40.16萬
-38.98%40.16萬
193.01%75.48萬
47.26%94.18萬
--164.58萬
74.22%65.81萬
74.22%65.81萬
--25.76萬
80.12%63.95萬
----
-其他應付款
-70.07%1.67萬
-70.07%1.67萬
130.21%10.64萬
184.43%9.08萬
--8.42萬
364.14%5.59萬
364.14%5.59萬
--4.62萬
--3.19萬
----
應計費用
-24.28%7.47萬
-24.28%7.47萬
-87.14%5.18萬
--5萬
--11.03萬
557.81%9.87萬
557.81%9.87萬
--40.27萬
--0
----
流動負債總額
-35.75%56.4萬
-35.75%56.4萬
27.52%98.25萬
56.76%115.07萬
444.14%190.7萬
88.94%87.79萬
88.94%87.79萬
261.36%77.05萬
56.31%73.4萬
-62.25%35.05萬
非流動負債
長期借款與租賃負債
-42.86%9.46萬
-42.86%9.46萬
-38.13%11.29萬
-34.23%13.09萬
-30.97%14.87萬
-28.28%16.57萬
-28.28%16.57萬
-25.95%18.24萬
-23.92%19.9萬
-22.13%21.54萬
-長期租賃負債
-42.86%9.46萬
-42.86%9.46萬
-38.13%11.29萬
-34.23%13.09萬
-30.97%14.87萬
-28.28%16.57萬
-28.28%16.57萬
-25.95%18.24萬
-23.92%19.9萬
-22.13%21.54萬
遞延負債
--53.88萬
--53.88萬
----
----
----
--0
--0
----
----
----
其他非流動負債
-70.93%16.24萬
-70.93%16.24萬
--50.64萬
----
--25.62萬
--55.86萬
--55.86萬
----
--21.28萬
----
非流動負債總額
9.88%79.59萬
9.88%79.59萬
239.43%61.92萬
-68.22%13.09萬
88.00%40.49萬
213.60%72.43萬
213.60%72.43萬
-25.95%18.24萬
57.45%41.18萬
-22.94%21.54萬
負債總額
-15.12%135.99萬
-15.12%135.99萬
68.09%160.18萬
11.84%128.16萬
308.59%231.19萬
130.33%160.22萬
130.33%160.22萬
107.34%95.29萬
56.72%114.59萬
-53.15%56.58萬
所有者權益
股本
6.52%1.3億
6.52%1.3億
9.46%1.27億
5.37%1.22億
8.04%1.22億
8.04%1.22億
8.04%1.22億
2.80%1.16億
2.64%1.15億
5.97%1.13億
-普通股股本
6.52%1.3億
6.52%1.3億
9.46%1.27億
5.37%1.22億
8.04%1.22億
8.04%1.22億
8.04%1.22億
2.80%1.16億
2.64%1.15億
5.97%1.13億
留存收益
-12.96%-2,143.41萬
-12.96%-2,143.41萬
-12.27%-2,050.86萬
-11.55%-1,974.69萬
-12.85%-1,923.42萬
-13.91%-1,897.55萬
-13.91%-1,897.55萬
-14.26%-1,826.7萬
-11.77%-1,770.23萬
-9.52%-1,704.46萬
不影響留存收益的損益
70.97%389.36萬
70.97%389.36萬
249.48%405.33萬
146.44%253.2萬
389.65%233.71萬
284.30%227.74萬
284.30%227.74萬
36.99%115.98萬
-14.73%102.74萬
--47.73萬
股東權益總額
6.75%1.12億
6.75%1.12億
11.76%1.1億
5.73%1.04億
9.09%1.05億
8.73%1.05億
8.73%1.05億
1.22%9,867.16萬
0.85%9,881.09萬
4.32%9,605.74萬
總權益
6.75%1.12億
6.75%1.12億
11.76%1.1億
5.73%1.04億
9.09%1.05億
8.73%1.05億
8.73%1.05億
1.22%9,867.16萬
0.85%9,881.09萬
4.32%9,605.74萬
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
帶解釋段的無保留意見
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--
帶解釋段的無保留意見
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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 -44.18%383.71萬-44.18%383.71萬294.13%554.71萬-85.08%62.22萬149.27%456.74萬102.54%687.37萬102.54%687.37萬-71.15%140.74萬-34.66%417.14萬38.07%183.23萬
-現金和現金等價物 -44.18%383.71萬-44.18%383.71萬294.13%554.71萬-85.08%62.22萬149.27%456.74萬102.54%687.37萬102.54%687.37萬-71.15%140.74萬-34.66%417.14萬38.07%183.23萬
應收款項 155.57%34.97萬155.57%34.97萬-57.30%11.56萬13.78%17.62萬9.13%20.9萬115.25%13.68萬115.25%13.68萬274.87%27.07萬291.62%15.49萬239.55%19.15萬
-應收利息 ------------------------------12.67萬--10.05萬1,270.26%7.86萬
-應收稅費 24.02%16.97萬24.02%16.97萬3.19%11.56萬224.06%17.62萬85.02%20.9萬115.25%13.68萬115.25%13.68萬--11.2萬--5.44萬122.92%11.29萬
-其他應收款 --18萬--18萬----------------------3.19萬--------
預付費用 8.57%21萬8.57%21萬527.74%59.03萬877.34%66.42萬397.43%24.94萬51.44%19.34萬51.44%19.34萬-44.58%9.4萬-16.67%6.8萬-29.19%5.01萬
流動資產合計 -38.97%439.68萬-38.97%439.68萬252.85%625.3萬-66.71%146.26萬142.33%502.57萬100.95%720.39萬100.95%720.39萬-65.39%177.21萬-32.45%439.42萬42.61%207.39萬
非流動資產
固定資產淨額 9.60%1.09億9.60%1.09億7.95%1.06億9.14%1.04億7.28%1.01億6.11%9,928.23萬6.11%9,928.23萬5.42%9,775.1萬3.64%9,546.11萬2.97%9,444.79萬
-固定資產 9.59%1.1億9.59%1.1億7.96%1.07億9.14%1.05億7.31%1.03億6.15%1億6.15%1億5.48%9,890.41萬3.72%9,658.69萬3.05%9,554.65萬
-累計折舊 -9.11%-128.81萬-9.11%-128.81萬-9.19%-125.91萬-9.49%-123.27萬-9.82%-120.66萬-10.18%-118.06萬-10.18%-118.06萬-10.51%-115.31萬-10.77%-112.58萬-11.03%-109.86萬
長期預付費用 1,184.74%13.42萬1,184.74%13.42萬0.00%1.04萬0.00%1.04萬6,158.25%65.36萬0.00%1.04萬0.00%1.04萬0.00%1.04萬0.00%1.04萬0.00%1.04萬
其他非流動資產 0.00%9.1萬0.00%9.1萬0.00%9.1萬0.00%9.1萬0.00%9.1萬0.00%9.1萬0.00%9.1萬0.00%9.1萬0.00%9.1萬0.00%9.1萬
非流動資產合計 9.71%1.09億9.71%1.09億7.94%1.06億9.13%1.04億7.96%1.02億6.10%9,938.37萬6.10%9,938.37萬5.42%9,785.24萬3.64%9,556.25萬2.96%9,454.93萬
總資產 6.42%1.13億6.42%1.13億12.30%1.12億5.80%1.06億10.84%1.07億9.60%1.07億9.60%1.07億1.72%9,962.45萬1.26%9,995.68萬3.58%9,662.33萬
負債
流動負債
短期借款與資本租賃負債 8.73%7.1萬8.73%7.1萬8.81%6.96萬8.89%6.81萬8.97%6.67萬9.05%6.53萬9.05%6.53萬-35.15%6.39萬-35.68%6.26萬-36.23%6.12萬
-短期資本租賃負債 8.73%7.1萬8.73%7.1萬8.81%6.96萬8.89%6.81萬8.97%6.67萬9.05%6.53萬9.05%6.53萬9.14%6.39萬9.23%6.26萬9.33%6.12萬
應付款項 -41.41%41.83萬-41.41%41.83萬183.45%86.12萬53.78%103.26萬--173.01萬83.17%71.39萬83.17%71.39萬--30.38萬80.34%67.15萬----
-應付帳款 -38.98%40.16萬-38.98%40.16萬193.01%75.48萬47.26%94.18萬--164.58萬74.22%65.81萬74.22%65.81萬--25.76萬80.12%63.95萬----
-其他應付款 -70.07%1.67萬-70.07%1.67萬130.21%10.64萬184.43%9.08萬--8.42萬364.14%5.59萬364.14%5.59萬--4.62萬--3.19萬----
應計費用 -24.28%7.47萬-24.28%7.47萬-87.14%5.18萬--5萬--11.03萬557.81%9.87萬557.81%9.87萬--40.27萬--0----
流動負債總額 -35.75%56.4萬-35.75%56.4萬27.52%98.25萬56.76%115.07萬444.14%190.7萬88.94%87.79萬88.94%87.79萬261.36%77.05萬56.31%73.4萬-62.25%35.05萬
非流動負債
長期借款與租賃負債 -42.86%9.46萬-42.86%9.46萬-38.13%11.29萬-34.23%13.09萬-30.97%14.87萬-28.28%16.57萬-28.28%16.57萬-25.95%18.24萬-23.92%19.9萬-22.13%21.54萬
-長期租賃負債 -42.86%9.46萬-42.86%9.46萬-38.13%11.29萬-34.23%13.09萬-30.97%14.87萬-28.28%16.57萬-28.28%16.57萬-25.95%18.24萬-23.92%19.9萬-22.13%21.54萬
遞延負債 --53.88萬--53.88萬--------------0--0------------
其他非流動負債 -70.93%16.24萬-70.93%16.24萬--50.64萬------25.62萬--55.86萬--55.86萬------21.28萬----
非流動負債總額 9.88%79.59萬9.88%79.59萬239.43%61.92萬-68.22%13.09萬88.00%40.49萬213.60%72.43萬213.60%72.43萬-25.95%18.24萬57.45%41.18萬-22.94%21.54萬
負債總額 -15.12%135.99萬-15.12%135.99萬68.09%160.18萬11.84%128.16萬308.59%231.19萬130.33%160.22萬130.33%160.22萬107.34%95.29萬56.72%114.59萬-53.15%56.58萬
所有者權益
股本 6.52%1.3億6.52%1.3億9.46%1.27億5.37%1.22億8.04%1.22億8.04%1.22億8.04%1.22億2.80%1.16億2.64%1.15億5.97%1.13億
-普通股股本 6.52%1.3億6.52%1.3億9.46%1.27億5.37%1.22億8.04%1.22億8.04%1.22億8.04%1.22億2.80%1.16億2.64%1.15億5.97%1.13億
留存收益 -12.96%-2,143.41萬-12.96%-2,143.41萬-12.27%-2,050.86萬-11.55%-1,974.69萬-12.85%-1,923.42萬-13.91%-1,897.55萬-13.91%-1,897.55萬-14.26%-1,826.7萬-11.77%-1,770.23萬-9.52%-1,704.46萬
不影響留存收益的損益 70.97%389.36萬70.97%389.36萬249.48%405.33萬146.44%253.2萬389.65%233.71萬284.30%227.74萬284.30%227.74萬36.99%115.98萬-14.73%102.74萬--47.73萬
股東權益總額 6.75%1.12億6.75%1.12億11.76%1.1億5.73%1.04億9.09%1.05億8.73%1.05億8.73%1.05億1.22%9,867.16萬0.85%9,881.09萬4.32%9,605.74萬
總權益 6.75%1.12億6.75%1.12億11.76%1.1億5.73%1.04億9.09%1.05億8.73%1.05億8.73%1.05億1.22%9,867.16萬0.85%9,881.09萬4.32%9,605.74萬
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 帶解釋段的無保留意見--------帶解釋段的無保留意見--------

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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