加拿大市场个股详情

ANRG Anaergia Inc

添加自选
  • 1.020
  • -0.030-2.86%
延时15分钟行情已收盘 11/08 16:00 (美东)
1.71亿总市值-1073市盈率TTM

Anaergia Inc关键统计数据

季报+年报
显示同比 yoy
隐藏空行 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
资产
流动资产
现金及现金等价物和短期投资
5.93%3,957万
-42.34%3,774.2万
-60.07%2,211.3万
-60.07%2,211.3万
-74.36%2,824万
-41.42%3,735.5万
31.36%6,545.2万
-30.18%5,537.8万
-30.18%5,537.8万
-18.51%1.1亿
-现金和现金等价物
5.93%3,957万
-42.34%3,774.2万
-60.07%2,211.3万
-60.07%2,211.3万
-74.36%2,824万
-41.42%3,735.5万
31.36%6,545.2万
-30.18%5,537.8万
-30.18%5,537.8万
-18.51%1.1亿
应收款项
-52.89%4,688.3万
-53.59%4,291.3万
-3.56%8,789.3万
-3.56%8,789.3万
-31.06%7,166.4万
-8.09%9,952.1万
3.93%9,246.8万
15.32%9,113.5万
15.32%9,113.5万
65.36%1.04亿
-应收账款
-38.43%3,097.5万
-46.36%2,557.2万
-0.35%3,931.4万
-0.35%3,931.4万
-3.08%3,458.6万
39.61%5,031.1万
51.34%4,767万
13.27%3,945.2万
13.27%3,945.2万
14.66%3,568.6万
-应收税费
----
----
--2,062.8万
--2,062.8万
----
----
----
--0
--0
----
-其他应收款
-67.67%1,590.8万
-61.29%1,734.1万
-45.92%2,795.1万
-45.92%2,795.1万
-45.68%3,707.8万
-31.89%4,921万
-22.05%4,479.8万
16.93%5,168.3万
16.93%5,168.3万
115.08%6,826.2万
存货
7.11%834.5万
-0.11%804.1万
-24.31%762万
-24.31%762万
7.20%857.7万
26.46%779.1万
48.63%805万
82.76%1,006.8万
82.76%1,006.8万
46.57%800.1万
预付费用
-59.78%81.8万
-9.90%191.2万
-4.75%238.4万
-4.75%238.4万
-51.57%263.9万
-58.11%203.4万
-53.42%212.2万
-52.94%250.3万
-52.94%250.3万
127.80%544.9万
受限制现金
-2.92%1,621.8万
-33.67%1,878万
-8.26%2,146.9万
-8.26%2,146.9万
-23.95%2,377.4万
-31.80%1,670.5万
5.50%2,831.2万
4.86%2,340.2万
4.86%2,340.2万
354.59%3,126.2万
套期保值资产
----
----
-98.05%16.9万
-98.05%16.9万
----
----
-79.24%350.3万
-64.49%866.9万
-64.49%866.9万
-73.51%581.4万
其他流动资产
-43.25%819.4万
-69.13%747.3万
-50.30%666.6万
-50.30%666.6万
-37.28%950.7万
40.91%1,443.9万
103.92%2,420.5万
27.72%1,341.2万
27.72%1,341.2万
73.45%1,515.8万
流动资产合计
-32.51%1.2亿
-47.86%1.17亿
-27.50%1.48亿
-27.50%1.48亿
-48.39%1.44亿
-20.01%1.78亿
9.67%2.24亿
-9.65%2.05亿
-9.65%2.05亿
14.93%2.8亿
非流动资产
固定资产净额
-26.25%1.04亿
-78.30%1.02亿
-79.73%1.02亿
-79.73%1.02亿
-67.14%1.52亿
-64.99%1.41亿
25.55%4.69亿
46.92%5.02亿
46.92%5.02亿
47.14%4.62亿
-固定资产
-2.35%1.63亿
--1.02亿
-70.25%1.56亿
-70.25%1.56亿
-61.38%1.78亿
-60.17%1.67亿
----
45.56%5.25亿
45.56%5.25亿
47.14%4.62亿
-累计折旧
-126.68%-5,921.3万
----
-141.45%-5,425.8万
-141.45%-5,425.8万
---2,656.9万
-54.96%-2,612.2万
----
-20.62%-2,247.2万
-20.62%-2,247.2万
----
投资和预付款
-65.18%698.1万
-55.04%941.2万
-53.90%1,051.6万
-53.90%1,051.6万
-41.89%1,336.9万
-25.93%2,004.7万
-18.24%2,093.6万
-21.74%2,281.2万
-21.74%2,281.2万
-21.39%2,300.5万
-长期股权投资
-65.18%698.1万
-55.04%941.2万
-54.57%989万
-54.57%989万
-47.15%1,215.8万
-25.93%2,004.7万
-18.24%2,093.6万
-25.31%2,177.1万
-25.31%2,177.1万
-21.39%2,300.5万
-金融资产投资
----
----
-39.87%62.6万
-39.87%62.6万
--121.1万
----
----
--104.1万
--104.1万
----
-其中:以公允价值计量且其变动计入当期损益的金融资产总额
----
----
-39.87%62.6万
-39.87%62.6万
--121.1万
----
----
--104.1万
--104.1万
----
长期应收款
----
----
----
----
----
710.44%4,524.7万
449.37%3,974.7万
--3,370.7万
--3,370.7万
--2,689.1万
长期应收票据
----
----
-95.16%642.7万
-95.16%642.7万
-93.99%539.7万
34.49%1.08亿
99.13%1.57亿
89.88%1.33亿
89.88%1.33亿
--8,978.8万
长期预付费用
----
----
--100.4万
--100.4万
--221.2万
----
----
--0
--0
----
商誉及其他无形资产
-85.78%259.1万
-87.15%262.9万
-86.30%266.1万
-86.30%266.1万
-76.71%259.5万
281.77%1,821.8万
314.07%2,045.5万
276.73%1,942.8万
276.73%1,942.8万
138.40%1,114.3万
-商誉
----
----
--0
--0
--0
30.17%282.6万
----
50.86%368.7万
50.86%368.7万
279.50%668.3万
-其他无形资产
-83.17%259.1万
----
-83.10%266.1万
-83.10%266.1万
-41.82%259.5万
491.77%1,539.2万
----
480.21%1,574.1万
480.21%1,574.1万
53.11%446万
非流动递延资产
--373.6万
--321.8万
--655万
--655万
-29.53%378.2万
----
----
--0
--0
--536.7万
其他非流动资产
--1,342.8万
-14.51%1,302万
-91.30%143.3万
-91.30%143.3万
-91.20%145.8万
----
7.98%1,523万
14.16%1,646.9万
14.16%1,646.9万
-73.87%1,656.6万
非流动资产合计
-60.69%1.31亿
-81.99%1.3亿
-82.07%1.3亿
-82.07%1.3亿
-71.55%1.8亿
-38.36%3.33亿
43.24%7.23亿
55.71%7.27亿
55.71%7.27亿
54.33%6.34亿
总资产
-50.87%2.51亿
-73.91%2.47亿
-70.09%2.79亿
-70.09%2.79亿
-64.46%3.25亿
-33.01%5.1亿
33.56%9.47亿
34.37%9.32亿
34.37%9.32亿
39.68%9.14亿
负债
流动负债
短期借款与资本租赁负债
0.78%669.1万
-60.43%598.7万
-69.70%558.2万
-69.70%558.2万
-72.80%500.5万
-49.57%663.9万
7.82%1,513.1万
61.51%1,842.5万
61.51%1,842.5万
110.28%1,840.4万
-短期借款
-9.87%489.7万
-69.49%423.3万
-78.78%366.5万
-78.78%366.5万
-79.16%364.3万
-55.16%543.3万
7.10%1,387.5万
66.42%1,726.8万
66.42%1,726.8万
122.84%1,747.7万
-短期资本租赁负债
48.76%179.4万
39.65%175.4万
65.69%191.7万
65.69%191.7万
46.93%136.2万
14.86%120.6万
16.51%125.6万
12.11%115.7万
12.11%115.7万
1.98%92.7万
应付款项
-46.82%3,622.8万
-34.84%3,829.9万
-35.17%5,118.7万
-35.17%5,118.7万
-17.97%5,160.3万
42.99%6,812.4万
65.62%5,878.1万
105.73%7,895.5万
105.73%7,895.5万
94.13%6,291.1万
-应付账款
-50.79%2,965.7万
-37.52%3,176.5万
-36.83%4,485.1万
-36.83%4,485.1万
-14.52%4,540.1万
58.07%6,027.2万
88.06%5,084.1万
133.92%7,100.6万
133.92%7,100.6万
77.30%5,311.3万
-应付税费
-16.31%657.1万
-17.71%653.4万
-20.29%633.6万
-20.29%633.6万
-36.70%620.2万
-17.44%785.2万
-6.10%794万
-0.92%794.9万
-0.92%794.9万
299.92%979.8万
应计费用
-48.47%3,434.5万
-53.99%3,512.2万
-22.37%4,796.5万
-22.37%4,796.5万
-9.39%5,363.9万
3.95%6,664.5万
39.28%7,633.4万
16.30%6,178.3万
16.30%6,178.3万
62.46%5,919.5万
递延负债
53.09%2,700.5万
74.93%2,258.5万
52.71%2,331.4万
52.71%2,331.4万
79.50%1,809.7万
57.14%1,764万
-41.82%1,291.1万
87.95%1,526.7万
87.95%1,526.7万
-34.85%1,008.2万
流动负债总额
-34.44%1.04亿
-37.49%1.02亿
-26.59%1.28亿
-26.59%1.28亿
-14.77%1.28亿
16.82%1.59亿
28.95%1.63亿
57.09%1.74亿
57.09%1.74亿
61.81%1.51亿
非流动负债
长期借款与租赁负债
-65.75%6,513.1万
-82.57%6,530.6万
-81.82%6,530.5万
-81.82%6,530.5万
-80.65%6,855.4万
-20.91%1.9亿
69.61%3.75亿
71.02%3.59亿
71.02%3.59亿
104.42%3.54亿
-长期借款
-69.25%5,552.8万
-84.32%5,653.1万
-83.56%5,660.4万
-83.56%5,660.4万
-82.44%5,928.5万
-19.80%1.81亿
74.92%3.61亿
75.60%3.44亿
75.60%3.44亿
111.59%3.38亿
-长期租赁负债
0.50%960.3万
-37.35%877.5万
-41.66%870.1万
-41.66%870.1万
-44.30%926.9万
-37.37%955.5万
-4.77%1,400.6万
6.72%1,491.4万
6.72%1,491.4万
21.12%1,664万
长期应付账款及其他应付款项
----
----
----
----
----
----
----
----
----
--0
应付关联方款项
----
----
----
----
----
----
----
----
----
--0
衍生品负债
----
----
--107.3万
--107.3万
----
----
----
--0
--0
----
长期拨备
7.23%244.7万
-58.03%239.8万
-60.03%232.6万
-60.03%232.6万
-8.27%236.2万
-6.05%228.2万
142.02%571.4万
141.45%581.9万
141.45%581.9万
1,029.39%257.5万
递延负债
-46.68%570.5万
-89.01%668.4万
-90.85%514.2万
-90.85%514.2万
-80.58%972.1万
-78.27%1,069.9万
44.67%6,083.7万
27.03%5,618.2万
27.03%5,618.2万
25.91%5,004.8万
其他非流动负债
--368.2万
--251.7万
--318.3万
--318.3万
----
----
----
----
----
----
非流动负债总额
-62.11%7,696.5万
-82.57%7,690.5万
-81.72%7,702.9万
-81.72%7,702.9万
-80.18%8,063.7万
-30.46%2.03亿
63.77%4.41亿
61.54%4.21亿
61.54%4.21亿
87.50%4.07亿
负债总额
-49.96%1.81亿
-70.40%1.79亿
-65.58%2.05亿
-65.58%2.05亿
-62.51%2.09亿
-15.43%3.62亿
52.64%6.04亿
60.21%5.96亿
60.21%5.96亿
79.79%5.57亿
所有者权益
股本
-8.94%4.22亿
-9.57%4.1亿
0.15%3.98亿
0.15%3.98亿
6.71%4.65亿
9.76%4.63亿
24.29%4.54亿
16.64%3.97亿
16.64%3.97亿
19.69%4.35亿
-普通股股本
6.13%4.22亿
3.31%4.1亿
0.15%3.98亿
0.15%3.98亿
0.00%3.97亿
0.00%3.97亿
16.64%3.97亿
16.64%3.97亿
16.64%3.97亿
16.30%3.97亿
-优先股股本
----
----
----
----
76.43%6,738.9万
167.55%6,573万
130.28%5,657.2万
----
----
71.88%3,819.5万
资本公积
43.39%1,068.4万
22.18%858.7万
20.39%806.6万
20.39%806.6万
29.94%804.6万
25.31%745.1万
25.37%702.8万
24.88%670万
24.88%670万
18.37%619.2万
留存收益
-18.25%-4.86亿
-70.24%-4.72亿
-81.60%-4.79亿
-81.60%-4.79亿
-111.83%-4.41亿
-108.76%-4.11亿
-60.10%-2.77亿
-48.51%-2.64亿
-48.51%-2.64亿
-46.54%-2.08亿
不影响留存收益的损益
-31.88%1,203.3万
-16.31%1,386.9万
19.50%1,794.2万
19.50%1,794.2万
422.15%1,379万
1,020.16%1,766.5万
524.89%1,657.2万
53.20%1,501.4万
53.20%1,501.4万
-73.88%264.1万
股东权益总额
-153.54%-4,140.5万
-119.41%-3,888.4万
-135.72%-5,538.3万
-135.72%-5,538.3万
-80.79%4,535万
-66.75%7,733.6万
0.00%2亿
-12.90%1.55亿
-12.90%1.55亿
-0.42%2.36亿
非控制性权益
56.53%1.11亿
-24.65%1.07亿
-28.74%1.29亿
-28.74%1.29亿
-41.48%7,054.4万
-29.87%7,085.7万
26.17%1.42亿
26.08%1.81亿
26.08%1.81亿
12.34%1.21亿
总权益
-53.10%6,950.7万
-80.11%6,806.5万
-78.10%7,359万
-78.10%7,359万
-67.50%1.16亿
-55.58%1.48亿
9.41%3.42亿
4.50%3.36亿
4.50%3.36亿
3.55%3.57亿
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
审计意见
--
--
带解释段的无保留意见
--
--
--
--
无保留意见
--
--
(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
资产
流动资产
现金及现金等价物和短期投资 5.93%3,957万-42.34%3,774.2万-60.07%2,211.3万-60.07%2,211.3万-74.36%2,824万-41.42%3,735.5万31.36%6,545.2万-30.18%5,537.8万-30.18%5,537.8万-18.51%1.1亿
-现金和现金等价物 5.93%3,957万-42.34%3,774.2万-60.07%2,211.3万-60.07%2,211.3万-74.36%2,824万-41.42%3,735.5万31.36%6,545.2万-30.18%5,537.8万-30.18%5,537.8万-18.51%1.1亿
应收款项 -52.89%4,688.3万-53.59%4,291.3万-3.56%8,789.3万-3.56%8,789.3万-31.06%7,166.4万-8.09%9,952.1万3.93%9,246.8万15.32%9,113.5万15.32%9,113.5万65.36%1.04亿
-应收账款 -38.43%3,097.5万-46.36%2,557.2万-0.35%3,931.4万-0.35%3,931.4万-3.08%3,458.6万39.61%5,031.1万51.34%4,767万13.27%3,945.2万13.27%3,945.2万14.66%3,568.6万
-应收税费 ----------2,062.8万--2,062.8万--------------0--0----
-其他应收款 -67.67%1,590.8万-61.29%1,734.1万-45.92%2,795.1万-45.92%2,795.1万-45.68%3,707.8万-31.89%4,921万-22.05%4,479.8万16.93%5,168.3万16.93%5,168.3万115.08%6,826.2万
存货 7.11%834.5万-0.11%804.1万-24.31%762万-24.31%762万7.20%857.7万26.46%779.1万48.63%805万82.76%1,006.8万82.76%1,006.8万46.57%800.1万
预付费用 -59.78%81.8万-9.90%191.2万-4.75%238.4万-4.75%238.4万-51.57%263.9万-58.11%203.4万-53.42%212.2万-52.94%250.3万-52.94%250.3万127.80%544.9万
受限制现金 -2.92%1,621.8万-33.67%1,878万-8.26%2,146.9万-8.26%2,146.9万-23.95%2,377.4万-31.80%1,670.5万5.50%2,831.2万4.86%2,340.2万4.86%2,340.2万354.59%3,126.2万
套期保值资产 ---------98.05%16.9万-98.05%16.9万---------79.24%350.3万-64.49%866.9万-64.49%866.9万-73.51%581.4万
其他流动资产 -43.25%819.4万-69.13%747.3万-50.30%666.6万-50.30%666.6万-37.28%950.7万40.91%1,443.9万103.92%2,420.5万27.72%1,341.2万27.72%1,341.2万73.45%1,515.8万
流动资产合计 -32.51%1.2亿-47.86%1.17亿-27.50%1.48亿-27.50%1.48亿-48.39%1.44亿-20.01%1.78亿9.67%2.24亿-9.65%2.05亿-9.65%2.05亿14.93%2.8亿
非流动资产
固定资产净额 -26.25%1.04亿-78.30%1.02亿-79.73%1.02亿-79.73%1.02亿-67.14%1.52亿-64.99%1.41亿25.55%4.69亿46.92%5.02亿46.92%5.02亿47.14%4.62亿
-固定资产 -2.35%1.63亿--1.02亿-70.25%1.56亿-70.25%1.56亿-61.38%1.78亿-60.17%1.67亿----45.56%5.25亿45.56%5.25亿47.14%4.62亿
-累计折旧 -126.68%-5,921.3万-----141.45%-5,425.8万-141.45%-5,425.8万---2,656.9万-54.96%-2,612.2万-----20.62%-2,247.2万-20.62%-2,247.2万----
投资和预付款 -65.18%698.1万-55.04%941.2万-53.90%1,051.6万-53.90%1,051.6万-41.89%1,336.9万-25.93%2,004.7万-18.24%2,093.6万-21.74%2,281.2万-21.74%2,281.2万-21.39%2,300.5万
-长期股权投资 -65.18%698.1万-55.04%941.2万-54.57%989万-54.57%989万-47.15%1,215.8万-25.93%2,004.7万-18.24%2,093.6万-25.31%2,177.1万-25.31%2,177.1万-21.39%2,300.5万
-金融资产投资 ---------39.87%62.6万-39.87%62.6万--121.1万----------104.1万--104.1万----
-其中:以公允价值计量且其变动计入当期损益的金融资产总额 ---------39.87%62.6万-39.87%62.6万--121.1万----------104.1万--104.1万----
长期应收款 --------------------710.44%4,524.7万449.37%3,974.7万--3,370.7万--3,370.7万--2,689.1万
长期应收票据 ---------95.16%642.7万-95.16%642.7万-93.99%539.7万34.49%1.08亿99.13%1.57亿89.88%1.33亿89.88%1.33亿--8,978.8万
长期预付费用 ----------100.4万--100.4万--221.2万----------0--0----
商誉及其他无形资产 -85.78%259.1万-87.15%262.9万-86.30%266.1万-86.30%266.1万-76.71%259.5万281.77%1,821.8万314.07%2,045.5万276.73%1,942.8万276.73%1,942.8万138.40%1,114.3万
-商誉 ----------0--0--030.17%282.6万----50.86%368.7万50.86%368.7万279.50%668.3万
-其他无形资产 -83.17%259.1万-----83.10%266.1万-83.10%266.1万-41.82%259.5万491.77%1,539.2万----480.21%1,574.1万480.21%1,574.1万53.11%446万
非流动递延资产 --373.6万--321.8万--655万--655万-29.53%378.2万----------0--0--536.7万
其他非流动资产 --1,342.8万-14.51%1,302万-91.30%143.3万-91.30%143.3万-91.20%145.8万----7.98%1,523万14.16%1,646.9万14.16%1,646.9万-73.87%1,656.6万
非流动资产合计 -60.69%1.31亿-81.99%1.3亿-82.07%1.3亿-82.07%1.3亿-71.55%1.8亿-38.36%3.33亿43.24%7.23亿55.71%7.27亿55.71%7.27亿54.33%6.34亿
总资产 -50.87%2.51亿-73.91%2.47亿-70.09%2.79亿-70.09%2.79亿-64.46%3.25亿-33.01%5.1亿33.56%9.47亿34.37%9.32亿34.37%9.32亿39.68%9.14亿
负债
流动负债
短期借款与资本租赁负债 0.78%669.1万-60.43%598.7万-69.70%558.2万-69.70%558.2万-72.80%500.5万-49.57%663.9万7.82%1,513.1万61.51%1,842.5万61.51%1,842.5万110.28%1,840.4万
-短期借款 -9.87%489.7万-69.49%423.3万-78.78%366.5万-78.78%366.5万-79.16%364.3万-55.16%543.3万7.10%1,387.5万66.42%1,726.8万66.42%1,726.8万122.84%1,747.7万
-短期资本租赁负债 48.76%179.4万39.65%175.4万65.69%191.7万65.69%191.7万46.93%136.2万14.86%120.6万16.51%125.6万12.11%115.7万12.11%115.7万1.98%92.7万
应付款项 -46.82%3,622.8万-34.84%3,829.9万-35.17%5,118.7万-35.17%5,118.7万-17.97%5,160.3万42.99%6,812.4万65.62%5,878.1万105.73%7,895.5万105.73%7,895.5万94.13%6,291.1万
-应付账款 -50.79%2,965.7万-37.52%3,176.5万-36.83%4,485.1万-36.83%4,485.1万-14.52%4,540.1万58.07%6,027.2万88.06%5,084.1万133.92%7,100.6万133.92%7,100.6万77.30%5,311.3万
-应付税费 -16.31%657.1万-17.71%653.4万-20.29%633.6万-20.29%633.6万-36.70%620.2万-17.44%785.2万-6.10%794万-0.92%794.9万-0.92%794.9万299.92%979.8万
应计费用 -48.47%3,434.5万-53.99%3,512.2万-22.37%4,796.5万-22.37%4,796.5万-9.39%5,363.9万3.95%6,664.5万39.28%7,633.4万16.30%6,178.3万16.30%6,178.3万62.46%5,919.5万
递延负债 53.09%2,700.5万74.93%2,258.5万52.71%2,331.4万52.71%2,331.4万79.50%1,809.7万57.14%1,764万-41.82%1,291.1万87.95%1,526.7万87.95%1,526.7万-34.85%1,008.2万
流动负债总额 -34.44%1.04亿-37.49%1.02亿-26.59%1.28亿-26.59%1.28亿-14.77%1.28亿16.82%1.59亿28.95%1.63亿57.09%1.74亿57.09%1.74亿61.81%1.51亿
非流动负债
长期借款与租赁负债 -65.75%6,513.1万-82.57%6,530.6万-81.82%6,530.5万-81.82%6,530.5万-80.65%6,855.4万-20.91%1.9亿69.61%3.75亿71.02%3.59亿71.02%3.59亿104.42%3.54亿
-长期借款 -69.25%5,552.8万-84.32%5,653.1万-83.56%5,660.4万-83.56%5,660.4万-82.44%5,928.5万-19.80%1.81亿74.92%3.61亿75.60%3.44亿75.60%3.44亿111.59%3.38亿
-长期租赁负债 0.50%960.3万-37.35%877.5万-41.66%870.1万-41.66%870.1万-44.30%926.9万-37.37%955.5万-4.77%1,400.6万6.72%1,491.4万6.72%1,491.4万21.12%1,664万
长期应付账款及其他应付款项 --------------------------------------0
应付关联方款项 --------------------------------------0
衍生品负债 ----------107.3万--107.3万--------------0--0----
长期拨备 7.23%244.7万-58.03%239.8万-60.03%232.6万-60.03%232.6万-8.27%236.2万-6.05%228.2万142.02%571.4万141.45%581.9万141.45%581.9万1,029.39%257.5万
递延负债 -46.68%570.5万-89.01%668.4万-90.85%514.2万-90.85%514.2万-80.58%972.1万-78.27%1,069.9万44.67%6,083.7万27.03%5,618.2万27.03%5,618.2万25.91%5,004.8万
其他非流动负债 --368.2万--251.7万--318.3万--318.3万------------------------
非流动负债总额 -62.11%7,696.5万-82.57%7,690.5万-81.72%7,702.9万-81.72%7,702.9万-80.18%8,063.7万-30.46%2.03亿63.77%4.41亿61.54%4.21亿61.54%4.21亿87.50%4.07亿
负债总额 -49.96%1.81亿-70.40%1.79亿-65.58%2.05亿-65.58%2.05亿-62.51%2.09亿-15.43%3.62亿52.64%6.04亿60.21%5.96亿60.21%5.96亿79.79%5.57亿
所有者权益
股本 -8.94%4.22亿-9.57%4.1亿0.15%3.98亿0.15%3.98亿6.71%4.65亿9.76%4.63亿24.29%4.54亿16.64%3.97亿16.64%3.97亿19.69%4.35亿
-普通股股本 6.13%4.22亿3.31%4.1亿0.15%3.98亿0.15%3.98亿0.00%3.97亿0.00%3.97亿16.64%3.97亿16.64%3.97亿16.64%3.97亿16.30%3.97亿
-优先股股本 ----------------76.43%6,738.9万167.55%6,573万130.28%5,657.2万--------71.88%3,819.5万
资本公积 43.39%1,068.4万22.18%858.7万20.39%806.6万20.39%806.6万29.94%804.6万25.31%745.1万25.37%702.8万24.88%670万24.88%670万18.37%619.2万
留存收益 -18.25%-4.86亿-70.24%-4.72亿-81.60%-4.79亿-81.60%-4.79亿-111.83%-4.41亿-108.76%-4.11亿-60.10%-2.77亿-48.51%-2.64亿-48.51%-2.64亿-46.54%-2.08亿
不影响留存收益的损益 -31.88%1,203.3万-16.31%1,386.9万19.50%1,794.2万19.50%1,794.2万422.15%1,379万1,020.16%1,766.5万524.89%1,657.2万53.20%1,501.4万53.20%1,501.4万-73.88%264.1万
股东权益总额 -153.54%-4,140.5万-119.41%-3,888.4万-135.72%-5,538.3万-135.72%-5,538.3万-80.79%4,535万-66.75%7,733.6万0.00%2亿-12.90%1.55亿-12.90%1.55亿-0.42%2.36亿
非控制性权益 56.53%1.11亿-24.65%1.07亿-28.74%1.29亿-28.74%1.29亿-41.48%7,054.4万-29.87%7,085.7万26.17%1.42亿26.08%1.81亿26.08%1.81亿12.34%1.21亿
总权益 -53.10%6,950.7万-80.11%6,806.5万-78.10%7,359万-78.10%7,359万-67.50%1.16亿-55.58%1.48亿9.41%3.42亿4.50%3.36亿4.50%3.36亿3.55%3.57亿
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ----带解释段的无保留意见--------无保留意见----

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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