加拿大市场个股详情

AIF Altus Group Ltd

添加自选
  • 56.340
  • +0.290+0.52%
延时15分钟行情未开盘 12/24 13:00 (美东)
25.86亿总市值939.00市盈率TTM

Altus Group Ltd关键统计数据

季报+年报
显示同比 yoy
隐藏空行 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
资产
流动资产
现金及现金等价物和短期投资
-11.27%3,963.8万
14.85%4,947.2万
3.30%4,427.7万
-24.20%4,189.2万
-24.20%4,189.2万
-4.22%4,467.4万
-35.83%4,307.5万
-8.50%4,286.1万
7.79%5,526.7万
7.79%5,526.7万
-现金和现金等价物
-11.27%3,963.8万
14.85%4,947.2万
3.30%4,427.7万
-24.20%4,189.2万
-24.20%4,189.2万
-4.22%4,467.4万
-35.83%4,307.5万
-8.50%4,286.1万
7.79%5,526.7万
7.79%5,526.7万
应收款项
-49.20%1.4亿
-17.03%2.59亿
-5.60%2.68亿
-1.11%2.6亿
-1.11%2.6亿
14.16%2.75亿
28.67%3.12亿
28.84%2.83亿
16.03%2.63亿
16.03%2.63亿
-应收账款
-49.79%1.35亿
-17.33%2.52亿
-5.77%2.58亿
-1.98%2.5亿
-1.98%2.5亿
15.54%2.69亿
28.98%3.05亿
28.77%2.74亿
14.42%2.56亿
14.42%2.56亿
-应收税费
-23.30%472万
-3.53%648.3万
-0.77%940.4万
28.83%953.2万
28.83%953.2万
-25.08%615.4万
16.06%672万
30.97%947.7万
125.58%739.9万
125.58%739.9万
套期保值资产
812.94%853.6万
715.21%701.9万
--0
-60.04%67.7万
-60.04%67.7万
-19.26%93.5万
-35.70%86.1万
-4.22%165.8万
-71.13%169.4万
-71.13%169.4万
持有待售资产
--2.88亿
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----
----
----
----
----
----
----
----
流动资产合计
48.30%4.76亿
-11.40%3.15亿
-4.91%3.12亿
-5.41%3.03亿
-5.41%3.03亿
11.06%3.21亿
14.47%3.56亿
22.11%3.28亿
12.74%3.2亿
12.74%3.2亿
非流动资产
固定资产净额
-26.54%3,433.3万
-13.87%4,247.5万
-15.77%4,745万
-25.48%4,505万
-25.48%4,505万
-24.86%4,673.5万
-28.34%4,931.6万
-23.87%5,633.1万
-25.93%6,045.5万
-25.93%6,045.5万
-固定资产
-26.54%3,433.3万
-13.87%4,247.5万
-15.77%4,745万
-1.90%1.5亿
-1.90%1.5亿
-24.86%4,673.5万
-28.34%4,931.6万
-23.87%5,633.1万
3.75%1.53亿
3.75%1.53亿
-累计折旧
----
----
----
-13.53%-1.05亿
-13.53%-1.05亿
----
----
----
-40.58%-9,243.4万
-40.58%-9,243.4万
投资和预付款
-3.05%3,809.1万
-0.03%3,734.8万
-8.13%3,731.7万
-4.27%3,716.4万
-4.27%3,716.4万
-2.95%3,928.8万
3.68%3,736万
10.72%4,062万
4.07%3,882.2万
4.07%3,882.2万
-长期股权投资
11.47%3,356.7万
10.08%3,127.2万
9.36%3,049.6万
13.06%3,048.9万
13.06%3,048.9万
15.40%3,011.4万
15.00%2,840.9万
17.85%2,788.7万
17.81%2,696.6万
17.81%2,696.6万
-金融资产投资
-50.69%452.4万
-32.12%607.6万
-46.43%682.1万
-43.70%667.5万
-43.70%667.5万
-36.24%917.4万
-21.00%895.1万
-2.23%1,273.3万
-17.74%1,185.6万
-17.74%1,185.6万
-其中:可供出售证券
-50.69%452.4万
-32.12%607.6万
-46.43%682.1万
-43.70%667.5万
-43.70%667.5万
-36.24%917.4万
-21.00%895.1万
-2.23%1,273.3万
-17.74%1,185.6万
-17.74%1,185.6万
金融资产
-39.47%890.1万
-47.18%803.7万
-15.74%1,623万
-56.08%813.4万
-56.08%813.4万
-13.71%1,470.6万
88.57%1,521.6万
106.57%1,926.1万
18.25%1,851.9万
18.25%1,851.9万
长期应收款
-12.39%978.4万
-12.51%1,051.4万
11.82%928万
50.83%1,051.1万
50.83%1,051.1万
62.47%1,116.8万
174.11%1,201.7万
228.41%829.9万
147.30%696.9万
147.30%696.9万
商誉及其他无形资产
-19.45%6.16亿
1.86%7.78亿
-0.53%7.8亿
-1.24%7.81亿
-1.24%7.81亿
-2.49%7.64亿
-0.10%7.64亿
7.48%7.85亿
4.83%7.9亿
4.83%7.9亿
-商誉
-19.74%3.99亿
5.35%5.19亿
3.10%5.15亿
2.49%5.1亿
2.49%5.1亿
1.23%4.98亿
3.18%4.93亿
8.87%5亿
6.48%4.98亿
6.48%4.98亿
-其他无形资产
-18.90%2.16亿
-4.48%2.59亿
-6.89%2.65亿
-7.57%2.71亿
-7.57%2.71亿
-8.76%2.67亿
-5.57%2.71亿
5.12%2.85亿
2.14%2.93亿
2.14%2.93亿
非流动递延资产
14.47%3,558.9万
25.43%3,306.7万
14.16%3,123.6万
6.22%3,065万
6.22%3,065万
10.78%3,108.9万
-4.06%2,636.2万
19.15%2,736.1万
19.78%2,885.5万
19.78%2,885.5万
非流动资产合计
-18.18%7.42亿
0.59%9.1亿
-1.55%9.22亿
-3.38%9.12亿
-3.38%9.12亿
-3.32%9.07亿
-0.58%9.04亿
6.96%9.36亿
3.12%9.44亿
3.12%9.44亿
总资产
-0.80%12.18亿
-2.79%12.25亿
-2.42%12.34亿
-3.89%12.15亿
-3.89%12.15亿
0.06%12.28亿
3.25%12.6亿
10.52%12.64亿
5.39%12.64亿
5.39%12.64亿
负债
流动负债
短期借款与资本租赁负债
-6.80%1,337万
-7.58%1,362.4万
-10.51%1,443.4万
-3.43%1,434.6万
-3.43%1,434.6万
-4.53%1,434.6万
10.96%1,474.1万
21.94%1,613万
6.77%1,485.6万
6.77%1,485.6万
-短期资本租赁负债
-6.80%1,337万
-7.58%1,362.4万
-10.51%1,443.4万
-3.43%1,434.6万
-3.43%1,434.6万
-4.53%1,434.6万
10.96%1,474.1万
21.94%1,613万
6.77%1,485.6万
6.77%1,485.6万
应付款项
-19.43%2,605.7万
-20.86%2,955.3万
-7.16%2,958.4万
47.87%3,100.6万
47.87%3,100.6万
31.62%3,234.2万
59.56%3,734.2万
-80.64%3,186.5万
-9.89%2,096.8万
-9.89%2,096.8万
-应付账款
-44.69%956.9万
-8.73%1,841.2万
-6.32%1,625.4万
138.72%1,754.1万
138.72%1,754.1万
40.68%1,730万
48.26%2,017.4万
-89.33%1,735.1万
-30.84%734.8万
-30.84%734.8万
-应付税费
47.77%937万
-27.18%401.9万
54.13%445.9万
128.31%471万
128.31%471万
155.48%634.1万
296.48%551.9万
45.52%289.3万
-21.53%206.3万
-21.53%206.3万
-应付股利
0.46%691.8万
0.58%692.2万
0.52%691.6万
0.95%688.1万
0.95%688.1万
1.35%688.6万
1.43%688.2万
--688万
1.37%681.6万
1.37%681.6万
-其他应付款
-88.98%20万
-95.80%20万
-58.76%195.5万
-60.47%187.4万
-60.47%187.4万
-39.50%181.5万
194.44%476.7万
--474.1万
47.88%474.1万
47.88%474.1万
应计费用
-25.99%6,968.1万
17.07%9,092万
19.14%7,622.7万
-3.48%9,358万
-3.48%9,358万
-5.59%9,415.3万
-22.41%7,766.4万
--6,398万
-1.50%9,695.4万
-1.50%9,695.4万
现行拨备
-45.47%456.7万
-15.10%669.3万
-32.60%702.4万
-60.20%677万
-60.20%677万
53.98%837.5万
156.19%788.3万
--1,042.2万
1,244.82%1,701.2万
1,244.82%1,701.2万
递延负债
-6.95%7,185.5万
-3.98%8,257.2万
-6.78%7,994.7万
-19.42%7,257.4万
-19.42%7,257.4万
-0.05%7,722.3万
10.18%8,599.7万
--8,576.5万
23.30%9,007万
23.30%9,007万
其他流动负债
--4,187.6万
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流动负债总额
0.43%2.27亿
-0.12%2.23亿
-0.45%2.07亿
-9.00%2.18亿
-9.00%2.18亿
1.99%2.26亿
2.62%2.24亿
17.07%2.08亿
14.26%2.4亿
14.26%2.4亿
非流动负债
长期借款与租赁负债
-5.19%3.31亿
-9.48%3.38亿
-6.91%3.64亿
-6.08%3.41亿
-6.08%3.41亿
-5.80%3.5亿
-5.19%3.74亿
8.60%3.92亿
5.56%3.63亿
5.56%3.63亿
-长期借款
-2.48%3.05亿
-8.70%3.05亿
-6.07%3.27亿
-3.26%3.07亿
-3.26%3.07亿
-2.82%3.13亿
-2.46%3.34亿
13.87%3.49亿
10.77%3.18亿
10.77%3.18亿
-长期租赁负债
-28.28%2,635.7万
-16.14%3,303.6万
-13.75%3,695.8万
-25.75%3,375.5万
-25.75%3,375.5万
-25.33%3,674.9万
-23.36%3,939.2万
-21.13%4,285.1万
-20.56%4,545.9万
-20.56%4,545.9万
长期应付账款及其他应付款项
----
----
----
--0
--0
--0
--0
-52.51%173.2万
-52.43%173.2万
-52.43%173.2万
长期应计费用
10.56%2,262.7万
16.68%1,919.1万
16.20%2,284.6万
1.39%2,089.5万
1.39%2,089.5万
28.59%2,046.5万
1.55%1,644.7万
36.20%1,966.1万
-0.81%2,060.9万
-0.81%2,060.9万
长期拨备
-74.08%47.4万
-90.10%41.7万
-80.63%83.6万
-63.08%163.5万
-63.08%163.5万
-14.17%182.9万
159.32%421.4万
1,388.28%431.6万
1,448.60%442.9万
1,448.60%442.9万
递延负债
-35.77%1,972.1万
-18.11%2,781.7万
-14.97%2,926.6万
-11.60%3,014.4万
-11.60%3,014.4万
-18.24%3,070.2万
-0.30%3,396.8万
23.99%3,441.7万
21.47%3,409.9万
21.47%3,409.9万
非流动负债总额
-7.03%3.74亿
-9.95%3.86亿
-7.58%4.17亿
-7.14%3.94亿
-7.14%3.94亿
-5.70%4.03亿
-4.95%4.28亿
10.29%4.52亿
6.06%4.24亿
6.06%4.24亿
负债总额
-4.35%6.02亿
-6.58%6.09亿
-5.33%6.25亿
-7.81%6.12亿
-7.81%6.12亿
-3.07%6.29亿
-2.48%6.52亿
12.34%6.6亿
8.88%6.64亿
8.88%6.64亿
所有者权益
股本
2.82%7.91亿
3.23%7.92亿
2.64%7.8亿
2.89%7.69亿
2.89%7.69亿
4.00%7.69亿
4.43%7.67亿
4.87%7.6亿
2.94%7.48亿
2.94%7.48亿
-普通股股本
2.82%7.91亿
3.23%7.92亿
2.64%7.8亿
2.89%7.69亿
2.89%7.69亿
4.00%7.69亿
4.43%7.67亿
4.87%7.6亿
2.94%7.48亿
2.94%7.48亿
资本公积
26.05%4,630.4万
-5.47%4,340.3万
2.88%4,724.5万
3.16%5,014.3万
3.16%5,014.3万
29.53%3,673.5万
100.05%4,591.4万
16.47%4,592.3万
14.74%4,860.8万
14.74%4,860.8万
留存收益
-9.90%-2.77亿
-10.02%-2.71亿
-5.36%-2.66亿
-6.47%-2.59亿
-6.47%-2.59亿
-9.72%-2.52亿
-7.11%-2.46亿
-7.29%-2.53亿
-12.04%-2.44亿
-12.04%-2.44亿
不影响留存收益的损益
24.62%5,693.1万
24.28%5,182.1万
-6.37%4,793.3万
-10.03%4,243.4万
-10.03%4,243.4万
12.55%4,568.2万
69.58%4,169.7万
81.38%5,119.2万
22.70%4,716.5万
22.70%4,716.5万
股东权益总额
2.93%6.17亿
1.26%6.16亿
0.76%6.09亿
0.44%6.03亿
0.44%6.03亿
3.58%5.99亿
10.20%6.08亿
8.58%6.05亿
1.76%6亿
1.76%6亿
非控制性权益
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----
----
--0
--0
----
----
--0
--0
--0
总权益
2.93%6.17亿
1.26%6.16亿
0.76%6.09亿
0.44%6.03亿
0.44%6.03亿
3.58%5.99亿
10.20%6.08亿
8.59%6.05亿
1.78%6亿
1.78%6亿
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(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
资产
流动资产
现金及现金等价物和短期投资 -11.27%3,963.8万14.85%4,947.2万3.30%4,427.7万-24.20%4,189.2万-24.20%4,189.2万-4.22%4,467.4万-35.83%4,307.5万-8.50%4,286.1万7.79%5,526.7万7.79%5,526.7万
-现金和现金等价物 -11.27%3,963.8万14.85%4,947.2万3.30%4,427.7万-24.20%4,189.2万-24.20%4,189.2万-4.22%4,467.4万-35.83%4,307.5万-8.50%4,286.1万7.79%5,526.7万7.79%5,526.7万
应收款项 -49.20%1.4亿-17.03%2.59亿-5.60%2.68亿-1.11%2.6亿-1.11%2.6亿14.16%2.75亿28.67%3.12亿28.84%2.83亿16.03%2.63亿16.03%2.63亿
-应收账款 -49.79%1.35亿-17.33%2.52亿-5.77%2.58亿-1.98%2.5亿-1.98%2.5亿15.54%2.69亿28.98%3.05亿28.77%2.74亿14.42%2.56亿14.42%2.56亿
-应收税费 -23.30%472万-3.53%648.3万-0.77%940.4万28.83%953.2万28.83%953.2万-25.08%615.4万16.06%672万30.97%947.7万125.58%739.9万125.58%739.9万
套期保值资产 812.94%853.6万715.21%701.9万--0-60.04%67.7万-60.04%67.7万-19.26%93.5万-35.70%86.1万-4.22%165.8万-71.13%169.4万-71.13%169.4万
持有待售资产 --2.88亿------------------------------------
流动资产合计 48.30%4.76亿-11.40%3.15亿-4.91%3.12亿-5.41%3.03亿-5.41%3.03亿11.06%3.21亿14.47%3.56亿22.11%3.28亿12.74%3.2亿12.74%3.2亿
非流动资产
固定资产净额 -26.54%3,433.3万-13.87%4,247.5万-15.77%4,745万-25.48%4,505万-25.48%4,505万-24.86%4,673.5万-28.34%4,931.6万-23.87%5,633.1万-25.93%6,045.5万-25.93%6,045.5万
-固定资产 -26.54%3,433.3万-13.87%4,247.5万-15.77%4,745万-1.90%1.5亿-1.90%1.5亿-24.86%4,673.5万-28.34%4,931.6万-23.87%5,633.1万3.75%1.53亿3.75%1.53亿
-累计折旧 -------------13.53%-1.05亿-13.53%-1.05亿-------------40.58%-9,243.4万-40.58%-9,243.4万
投资和预付款 -3.05%3,809.1万-0.03%3,734.8万-8.13%3,731.7万-4.27%3,716.4万-4.27%3,716.4万-2.95%3,928.8万3.68%3,736万10.72%4,062万4.07%3,882.2万4.07%3,882.2万
-长期股权投资 11.47%3,356.7万10.08%3,127.2万9.36%3,049.6万13.06%3,048.9万13.06%3,048.9万15.40%3,011.4万15.00%2,840.9万17.85%2,788.7万17.81%2,696.6万17.81%2,696.6万
-金融资产投资 -50.69%452.4万-32.12%607.6万-46.43%682.1万-43.70%667.5万-43.70%667.5万-36.24%917.4万-21.00%895.1万-2.23%1,273.3万-17.74%1,185.6万-17.74%1,185.6万
-其中:可供出售证券 -50.69%452.4万-32.12%607.6万-46.43%682.1万-43.70%667.5万-43.70%667.5万-36.24%917.4万-21.00%895.1万-2.23%1,273.3万-17.74%1,185.6万-17.74%1,185.6万
金融资产 -39.47%890.1万-47.18%803.7万-15.74%1,623万-56.08%813.4万-56.08%813.4万-13.71%1,470.6万88.57%1,521.6万106.57%1,926.1万18.25%1,851.9万18.25%1,851.9万
长期应收款 -12.39%978.4万-12.51%1,051.4万11.82%928万50.83%1,051.1万50.83%1,051.1万62.47%1,116.8万174.11%1,201.7万228.41%829.9万147.30%696.9万147.30%696.9万
商誉及其他无形资产 -19.45%6.16亿1.86%7.78亿-0.53%7.8亿-1.24%7.81亿-1.24%7.81亿-2.49%7.64亿-0.10%7.64亿7.48%7.85亿4.83%7.9亿4.83%7.9亿
-商誉 -19.74%3.99亿5.35%5.19亿3.10%5.15亿2.49%5.1亿2.49%5.1亿1.23%4.98亿3.18%4.93亿8.87%5亿6.48%4.98亿6.48%4.98亿
-其他无形资产 -18.90%2.16亿-4.48%2.59亿-6.89%2.65亿-7.57%2.71亿-7.57%2.71亿-8.76%2.67亿-5.57%2.71亿5.12%2.85亿2.14%2.93亿2.14%2.93亿
非流动递延资产 14.47%3,558.9万25.43%3,306.7万14.16%3,123.6万6.22%3,065万6.22%3,065万10.78%3,108.9万-4.06%2,636.2万19.15%2,736.1万19.78%2,885.5万19.78%2,885.5万
非流动资产合计 -18.18%7.42亿0.59%9.1亿-1.55%9.22亿-3.38%9.12亿-3.38%9.12亿-3.32%9.07亿-0.58%9.04亿6.96%9.36亿3.12%9.44亿3.12%9.44亿
总资产 -0.80%12.18亿-2.79%12.25亿-2.42%12.34亿-3.89%12.15亿-3.89%12.15亿0.06%12.28亿3.25%12.6亿10.52%12.64亿5.39%12.64亿5.39%12.64亿
负债
流动负债
短期借款与资本租赁负债 -6.80%1,337万-7.58%1,362.4万-10.51%1,443.4万-3.43%1,434.6万-3.43%1,434.6万-4.53%1,434.6万10.96%1,474.1万21.94%1,613万6.77%1,485.6万6.77%1,485.6万
-短期资本租赁负债 -6.80%1,337万-7.58%1,362.4万-10.51%1,443.4万-3.43%1,434.6万-3.43%1,434.6万-4.53%1,434.6万10.96%1,474.1万21.94%1,613万6.77%1,485.6万6.77%1,485.6万
应付款项 -19.43%2,605.7万-20.86%2,955.3万-7.16%2,958.4万47.87%3,100.6万47.87%3,100.6万31.62%3,234.2万59.56%3,734.2万-80.64%3,186.5万-9.89%2,096.8万-9.89%2,096.8万
-应付账款 -44.69%956.9万-8.73%1,841.2万-6.32%1,625.4万138.72%1,754.1万138.72%1,754.1万40.68%1,730万48.26%2,017.4万-89.33%1,735.1万-30.84%734.8万-30.84%734.8万
-应付税费 47.77%937万-27.18%401.9万54.13%445.9万128.31%471万128.31%471万155.48%634.1万296.48%551.9万45.52%289.3万-21.53%206.3万-21.53%206.3万
-应付股利 0.46%691.8万0.58%692.2万0.52%691.6万0.95%688.1万0.95%688.1万1.35%688.6万1.43%688.2万--688万1.37%681.6万1.37%681.6万
-其他应付款 -88.98%20万-95.80%20万-58.76%195.5万-60.47%187.4万-60.47%187.4万-39.50%181.5万194.44%476.7万--474.1万47.88%474.1万47.88%474.1万
应计费用 -25.99%6,968.1万17.07%9,092万19.14%7,622.7万-3.48%9,358万-3.48%9,358万-5.59%9,415.3万-22.41%7,766.4万--6,398万-1.50%9,695.4万-1.50%9,695.4万
现行拨备 -45.47%456.7万-15.10%669.3万-32.60%702.4万-60.20%677万-60.20%677万53.98%837.5万156.19%788.3万--1,042.2万1,244.82%1,701.2万1,244.82%1,701.2万
递延负债 -6.95%7,185.5万-3.98%8,257.2万-6.78%7,994.7万-19.42%7,257.4万-19.42%7,257.4万-0.05%7,722.3万10.18%8,599.7万--8,576.5万23.30%9,007万23.30%9,007万
其他流动负债 --4,187.6万------------------------------------
流动负债总额 0.43%2.27亿-0.12%2.23亿-0.45%2.07亿-9.00%2.18亿-9.00%2.18亿1.99%2.26亿2.62%2.24亿17.07%2.08亿14.26%2.4亿14.26%2.4亿
非流动负债
长期借款与租赁负债 -5.19%3.31亿-9.48%3.38亿-6.91%3.64亿-6.08%3.41亿-6.08%3.41亿-5.80%3.5亿-5.19%3.74亿8.60%3.92亿5.56%3.63亿5.56%3.63亿
-长期借款 -2.48%3.05亿-8.70%3.05亿-6.07%3.27亿-3.26%3.07亿-3.26%3.07亿-2.82%3.13亿-2.46%3.34亿13.87%3.49亿10.77%3.18亿10.77%3.18亿
-长期租赁负债 -28.28%2,635.7万-16.14%3,303.6万-13.75%3,695.8万-25.75%3,375.5万-25.75%3,375.5万-25.33%3,674.9万-23.36%3,939.2万-21.13%4,285.1万-20.56%4,545.9万-20.56%4,545.9万
长期应付账款及其他应付款项 --------------0--0--0--0-52.51%173.2万-52.43%173.2万-52.43%173.2万
长期应计费用 10.56%2,262.7万16.68%1,919.1万16.20%2,284.6万1.39%2,089.5万1.39%2,089.5万28.59%2,046.5万1.55%1,644.7万36.20%1,966.1万-0.81%2,060.9万-0.81%2,060.9万
长期拨备 -74.08%47.4万-90.10%41.7万-80.63%83.6万-63.08%163.5万-63.08%163.5万-14.17%182.9万159.32%421.4万1,388.28%431.6万1,448.60%442.9万1,448.60%442.9万
递延负债 -35.77%1,972.1万-18.11%2,781.7万-14.97%2,926.6万-11.60%3,014.4万-11.60%3,014.4万-18.24%3,070.2万-0.30%3,396.8万23.99%3,441.7万21.47%3,409.9万21.47%3,409.9万
非流动负债总额 -7.03%3.74亿-9.95%3.86亿-7.58%4.17亿-7.14%3.94亿-7.14%3.94亿-5.70%4.03亿-4.95%4.28亿10.29%4.52亿6.06%4.24亿6.06%4.24亿
负债总额 -4.35%6.02亿-6.58%6.09亿-5.33%6.25亿-7.81%6.12亿-7.81%6.12亿-3.07%6.29亿-2.48%6.52亿12.34%6.6亿8.88%6.64亿8.88%6.64亿
所有者权益
股本 2.82%7.91亿3.23%7.92亿2.64%7.8亿2.89%7.69亿2.89%7.69亿4.00%7.69亿4.43%7.67亿4.87%7.6亿2.94%7.48亿2.94%7.48亿
-普通股股本 2.82%7.91亿3.23%7.92亿2.64%7.8亿2.89%7.69亿2.89%7.69亿4.00%7.69亿4.43%7.67亿4.87%7.6亿2.94%7.48亿2.94%7.48亿
资本公积 26.05%4,630.4万-5.47%4,340.3万2.88%4,724.5万3.16%5,014.3万3.16%5,014.3万29.53%3,673.5万100.05%4,591.4万16.47%4,592.3万14.74%4,860.8万14.74%4,860.8万
留存收益 -9.90%-2.77亿-10.02%-2.71亿-5.36%-2.66亿-6.47%-2.59亿-6.47%-2.59亿-9.72%-2.52亿-7.11%-2.46亿-7.29%-2.53亿-12.04%-2.44亿-12.04%-2.44亿
不影响留存收益的损益 24.62%5,693.1万24.28%5,182.1万-6.37%4,793.3万-10.03%4,243.4万-10.03%4,243.4万12.55%4,568.2万69.58%4,169.7万81.38%5,119.2万22.70%4,716.5万22.70%4,716.5万
股东权益总额 2.93%6.17亿1.26%6.16亿0.76%6.09亿0.44%6.03亿0.44%6.03亿3.58%5.99亿10.20%6.08亿8.58%6.05亿1.76%6亿1.76%6亿
非控制性权益 --------------0--0----------0--0--0
总权益 2.93%6.17亿1.26%6.16亿0.76%6.09亿0.44%6.03亿0.44%6.03亿3.58%5.99亿10.20%6.08亿8.59%6.05亿1.78%6亿1.78%6亿
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

FY:Financial Year 年度报告,相当于上市公司向SEC披露的10-K文件。

Q:Quarter 季度报告,相当于上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4为单季报,跨度为3个月;Q6、Q9为累计季报,Q6为6个月,Q9为9个月。

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