加拿大市场个股详情

ASM Avino Silver & Gold Mines Ltd

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  • 1.210
  • -0.030-2.42%
延时15分钟行情已收盘 06/28 16:00 (美东)
1.61亿总市值75.63市盈率TTM

Avino Silver & Gold Mines Ltd关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q2)2022/06/30
资产
流动资产
现金及现金等价物和短期投资
28.81%347.4万
-76.10%268.8万
-76.10%268.8万
-83.00%185.6万
-90.56%120.7万
-76.92%269.7万
-54.59%1,124.5万
-54.59%1,124.5万
-51.12%1,092万
-52.30%1,279.1万
-现金和现金等价物
28.81%347.4万
-76.10%268.8万
-76.10%268.8万
-83.00%185.6万
-90.56%120.7万
-76.92%269.7万
-54.59%1,124.5万
-54.59%1,124.5万
-51.12%1,092万
-52.30%1,279.1万
-应收账款
-7.89%185.6万
23.62%330.3万
23.62%330.3万
276.98%247.3万
3.54%84.9万
-22.56%201.5万
121.19%267.2万
121.19%267.2万
-56.64%65.6万
55.60%82万
-应收关联方款项
--19.4万
--16.7万
--16.7万
--3.1万
----
----
--0
--0
----
----
流动资产合计
21.74%2,244.1万
-8.01%2,353.5万
-8.01%2,353.5万
-14.50%2,110.8万
-28.15%1,846.9万
-25.26%1,843.4万
-27.88%2,558.5万
-27.88%2,558.5万
-24.01%2,468.7万
-23.79%2,570.5万
非流动资产
-累计折旧
-8.75%-2,803.9万
-8.65%-2,725.4万
-8.65%-2,725.4万
-2.73%-2,660.3万
-4.23%-2,641.9万
-8.51%-2,578.2万
-9.43%-2,508.5万
-9.43%-2,508.5万
-14.97%-2,589.5万
-15.74%-2,534.6万
投资物业
-28.85%104.3万
-46.51%93.4万
-46.51%93.4万
-34.15%89.1万
-54.63%121万
-56.00%146.6万
-55.67%174.6万
-55.67%174.6万
-58.55%135.3万
-39.50%266.7万
-长期股权投资
-19.24%131万
120.13%164万
120.13%164万
65.49%164万
93.46%201.2万
44.43%162.2万
9.56%74.5万
9.56%74.5万
35.20%99.1万
317.67%104万
-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
-28.85%104.3万
-46.51%93.4万
-46.51%93.4万
-34.15%89.1万
-54.63%121万
-56.00%146.6万
-55.67%174.6万
-55.67%174.6万
-58.55%135.3万
-39.50%266.7万
监管资产
34.09%855.2万
56.81%1,005万
56.81%1,005万
62.14%831.6万
23.43%628.9万
-6.86%637.8万
40.18%640.9万
40.18%640.9万
6.57%512.9万
30.81%509.5万
总资产
49.03%650.2万
76.08%658万
76.08%658万
29.94%581.2万
27.25%544万
2.76%436.3万
11.09%373.7万
11.09%373.7万
35.55%447.3万
26.93%427.5万
负债
流动负债
短期借款与资本租赁负债
14.12%175.4万
-69.24%181.4万
-69.24%181.4万
-67.16%190.3万
-66.22%187.2万
-71.38%153.7万
1,415.94%589.7万
1,415.94%589.7万
1,688.58%579.5万
509.01%554.2万
-短期借款
-0.61%16.4万
-96.67%16.4万
-96.67%16.4万
-96.59%16.5万
-96.53%16.5万
-96.47%16.5万
--492.6万
--492.6万
--484.2万
--475.7万
-短期资本租赁负债
15.89%159万
69.93%165万
69.93%165万
82.37%173.8万
117.45%170.7万
96.84%137.2万
149.61%97.1万
149.61%97.1万
194.14%95.3万
946.67%78.5万
-应付账款
-1.91%1,071.3万
25.32%1,186.7万
25.32%1,186.7万
108.07%1,167.5万
133.01%1,190万
136.97%1,092.2万
190.46%946.9万
190.46%946.9万
82.23%561.1万
129.63%510.7万
-应付税费
11.64%818.8万
33.07%853.1万
33.07%853.1万
11.76%712.5万
8.48%680.6万
-7.01%733.4万
63.21%641.1万
63.21%641.1万
137.52%637.5万
132.54%627.4万
-应付关联方款项
----
--0
--0
--0
-72.00%3.5万
-55.63%6.7万
-82.82%2.8万
-82.82%2.8万
-58.86%7.2万
-30.17%12.5万
-其他应付款
17,375.00%69.9万
13,720.00%69.1万
13,720.00%69.1万
0.00%4,000
0.00%4,000
-33.33%4,000
-96.24%5,000
-96.24%5,000
0.00%4,000
0.00%4,000
流动负债总额
-5.02%1,265.6万
-17.63%1,380.8万
-17.63%1,380.8万
10.06%1,366.3万
22.45%1,388.6万
31.48%1,332.5万
336.22%1,676.4万
336.22%1,676.4万
246.47%1,241.4万
242.29%1,134万
非流动负债
-长期借款
-11.26%115.9万
93.96%144.5万
93.96%144.5万
41.88%140.6万
67.02%173.7万
16.30%130.6万
9.56%74.5万
9.56%74.5万
35.20%99.1万
317.67%104万
长期应计费用
5.83%1.04亿
9.93%1.03亿
9.93%1.03亿
13.69%1.01亿
16.35%1.01亿
18.33%9,870.2万
100.86%9,386万
100.86%9,386万
92.74%8,926.6万
93.43%8,662.2万
衍生品负债
----
----
----
----
----
----
----
----
--0
-73.45%34.7万
长期拨备
-52.22%15.1万
--19.5万
--19.5万
--23.4万
--27.5万
--31.6万
----
----
----
----
非流动负债总额
0.90%2,084.4万
-3.61%2,233.9万
-3.61%2,233.9万
10.64%2,078.8万
17.47%2,069.2万
14.63%2,065.9万
198.22%2,317.5万
198.22%2,317.5万
199.81%1,878.9万
193.03%1,761.4万
所有者权益
股本
4.69%1.53亿
4.24%1.52亿
4.24%1.52亿
2.93%1.5亿
1.23%1.46亿
1.80%1.46亿
11.98%1.46亿
11.98%1.46亿
11.96%1.46亿
12.38%1.45亿
-普通股股本
4.69%1.53亿
4.24%1.52亿
4.24%1.52亿
2.93%1.5亿
1.23%1.46亿
1.80%1.46亿
11.98%1.46亿
11.98%1.46亿
11.96%1.46亿
12.38%1.45亿
不影响留存收益的损益
34.34%563.3万
26.01%583.3万
26.01%583.3万
13.27%501.2万
-19.80%472.3万
-18.52%419.3万
0.54%462.9万
0.54%462.9万
-2.88%442.5万
-18.60%588.9万
其他股本权益
22.97%207.7万
17.95%197.1万
17.95%197.1万
40.82%206.3万
86.30%223万
30.22%168.9万
73.70%167.1万
73.70%167.1万
88.06%146.5万
25.21%119.7万
总权益
8.46%1.29亿
5.89%1.28亿
5.89%1.28亿
7.10%1.23亿
4.76%1.2亿
6.46%1.19亿
40.47%1.21亿
40.47%1.21亿
40.44%1.15亿
38.51%1.15亿
(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(Q2)2022/06/30
资产
流动资产
现金及现金等价物和短期投资 28.81%347.4万-76.10%268.8万-76.10%268.8万-83.00%185.6万-90.56%120.7万-76.92%269.7万-54.59%1,124.5万-54.59%1,124.5万-51.12%1,092万-52.30%1,279.1万
-现金和现金等价物 28.81%347.4万-76.10%268.8万-76.10%268.8万-83.00%185.6万-90.56%120.7万-76.92%269.7万-54.59%1,124.5万-54.59%1,124.5万-51.12%1,092万-52.30%1,279.1万
-应收账款 -7.89%185.6万23.62%330.3万23.62%330.3万276.98%247.3万3.54%84.9万-22.56%201.5万121.19%267.2万121.19%267.2万-56.64%65.6万55.60%82万
-应收关联方款项 --19.4万--16.7万--16.7万--3.1万----------0--0--------
流动资产合计 21.74%2,244.1万-8.01%2,353.5万-8.01%2,353.5万-14.50%2,110.8万-28.15%1,846.9万-25.26%1,843.4万-27.88%2,558.5万-27.88%2,558.5万-24.01%2,468.7万-23.79%2,570.5万
非流动资产
-累计折旧 -8.75%-2,803.9万-8.65%-2,725.4万-8.65%-2,725.4万-2.73%-2,660.3万-4.23%-2,641.9万-8.51%-2,578.2万-9.43%-2,508.5万-9.43%-2,508.5万-14.97%-2,589.5万-15.74%-2,534.6万
投资物业 -28.85%104.3万-46.51%93.4万-46.51%93.4万-34.15%89.1万-54.63%121万-56.00%146.6万-55.67%174.6万-55.67%174.6万-58.55%135.3万-39.50%266.7万
-长期股权投资 -19.24%131万120.13%164万120.13%164万65.49%164万93.46%201.2万44.43%162.2万9.56%74.5万9.56%74.5万35.20%99.1万317.67%104万
-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 -28.85%104.3万-46.51%93.4万-46.51%93.4万-34.15%89.1万-54.63%121万-56.00%146.6万-55.67%174.6万-55.67%174.6万-58.55%135.3万-39.50%266.7万
监管资产 34.09%855.2万56.81%1,005万56.81%1,005万62.14%831.6万23.43%628.9万-6.86%637.8万40.18%640.9万40.18%640.9万6.57%512.9万30.81%509.5万
总资产 49.03%650.2万76.08%658万76.08%658万29.94%581.2万27.25%544万2.76%436.3万11.09%373.7万11.09%373.7万35.55%447.3万26.93%427.5万
负债
流动负债
短期借款与资本租赁负债 14.12%175.4万-69.24%181.4万-69.24%181.4万-67.16%190.3万-66.22%187.2万-71.38%153.7万1,415.94%589.7万1,415.94%589.7万1,688.58%579.5万509.01%554.2万
-短期借款 -0.61%16.4万-96.67%16.4万-96.67%16.4万-96.59%16.5万-96.53%16.5万-96.47%16.5万--492.6万--492.6万--484.2万--475.7万
-短期资本租赁负债 15.89%159万69.93%165万69.93%165万82.37%173.8万117.45%170.7万96.84%137.2万149.61%97.1万149.61%97.1万194.14%95.3万946.67%78.5万
-应付账款 -1.91%1,071.3万25.32%1,186.7万25.32%1,186.7万108.07%1,167.5万133.01%1,190万136.97%1,092.2万190.46%946.9万190.46%946.9万82.23%561.1万129.63%510.7万
-应付税费 11.64%818.8万33.07%853.1万33.07%853.1万11.76%712.5万8.48%680.6万-7.01%733.4万63.21%641.1万63.21%641.1万137.52%637.5万132.54%627.4万
-应付关联方款项 ------0--0--0-72.00%3.5万-55.63%6.7万-82.82%2.8万-82.82%2.8万-58.86%7.2万-30.17%12.5万
-其他应付款 17,375.00%69.9万13,720.00%69.1万13,720.00%69.1万0.00%4,0000.00%4,000-33.33%4,000-96.24%5,000-96.24%5,0000.00%4,0000.00%4,000
流动负债总额 -5.02%1,265.6万-17.63%1,380.8万-17.63%1,380.8万10.06%1,366.3万22.45%1,388.6万31.48%1,332.5万336.22%1,676.4万336.22%1,676.4万246.47%1,241.4万242.29%1,134万
非流动负债
-长期借款 -11.26%115.9万93.96%144.5万93.96%144.5万41.88%140.6万67.02%173.7万16.30%130.6万9.56%74.5万9.56%74.5万35.20%99.1万317.67%104万
长期应计费用 5.83%1.04亿9.93%1.03亿9.93%1.03亿13.69%1.01亿16.35%1.01亿18.33%9,870.2万100.86%9,386万100.86%9,386万92.74%8,926.6万93.43%8,662.2万
衍生品负债 ----------------------------------0-73.45%34.7万
长期拨备 -52.22%15.1万--19.5万--19.5万--23.4万--27.5万--31.6万----------------
非流动负债总额 0.90%2,084.4万-3.61%2,233.9万-3.61%2,233.9万10.64%2,078.8万17.47%2,069.2万14.63%2,065.9万198.22%2,317.5万198.22%2,317.5万199.81%1,878.9万193.03%1,761.4万
所有者权益
股本 4.69%1.53亿4.24%1.52亿4.24%1.52亿2.93%1.5亿1.23%1.46亿1.80%1.46亿11.98%1.46亿11.98%1.46亿11.96%1.46亿12.38%1.45亿
-普通股股本 4.69%1.53亿4.24%1.52亿4.24%1.52亿2.93%1.5亿1.23%1.46亿1.80%1.46亿11.98%1.46亿11.98%1.46亿11.96%1.46亿12.38%1.45亿
不影响留存收益的损益 34.34%563.3万26.01%583.3万26.01%583.3万13.27%501.2万-19.80%472.3万-18.52%419.3万0.54%462.9万0.54%462.9万-2.88%442.5万-18.60%588.9万
其他股本权益 22.97%207.7万17.95%197.1万17.95%197.1万40.82%206.3万86.30%223万30.22%168.9万73.70%167.1万73.70%167.1万88.06%146.5万25.21%119.7万
总权益 8.46%1.29亿5.89%1.28亿5.89%1.28亿7.10%1.23亿4.76%1.2亿6.46%1.19亿40.47%1.21亿40.47%1.21亿40.44%1.15亿38.51%1.15亿

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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