加拿大市场个股详情

BQE BQE Water Inc

添加自选
  • 61.350
  • 0.0000.00%
延时15分钟行情已收盘 12/12 16:00 (美东)
7867.53万总市值19.41市盈率TTM

BQE Water Inc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
68.37%1,098.75万
64.65%779.07万
42.50%823.24万
27.16%792.76万
27.16%792.76万
1.35%652.57万
63.24%473.17万
53.82%577.73万
58.08%623.44万
58.08%623.44万
-现金和现金等价物
68.37%1,098.75万
64.65%779.07万
42.50%823.24万
27.16%792.76万
27.16%792.76万
1.35%652.57万
63.24%473.17万
53.82%577.73万
58.08%623.44万
58.08%623.44万
应收款项
-9.35%500.29万
6.97%393.17万
5.06%325.99万
36.40%437.43万
36.40%437.43万
74.85%551.87万
36.51%367.55万
31.96%310.28万
59.61%320.69万
59.61%320.69万
-应收账款
-16.01%377.49万
-5.01%279.92万
-9.36%222.28万
53.16%378.13万
53.16%378.13万
73.38%449.43万
66.50%294.69万
58.42%245.22万
72.97%246.89万
72.97%246.89万
-其他应收款
19.86%122.79万
55.45%113.25万
59.41%103.71万
-19.64%59.3万
-19.64%59.3万
81.59%102.44万
-21.02%72.86万
-19.01%65.06万
26.84%73.79万
26.84%73.79万
预付费用
-65.30%16.19万
10.53%27.11万
22.22%35.48万
20.68%40.77万
20.68%40.77万
425.89%46.64万
87.17%24.53万
81.46%29.03万
44.99%33.79万
44.99%33.79万
受限制现金
----
----
----
--0
--0
7.03%17.28万
18.53%18.72万
7.88%19.42万
116.88%18.03万
116.88%18.03万
流动资产合计
27.35%1,615.22万
35.68%1,199.36万
26.51%1,184.71万
27.61%1,270.96万
27.61%1,270.96万
28.83%1,268.36万
50.33%883.97万
45.25%936.45万
58.87%995.94万
58.87%995.94万
非流动资产
固定资产净额
44.28%206万
16.45%172.58万
423.88%178.8万
359.43%181.68万
359.43%181.68万
284.38%142.77万
407.54%148.19万
31.07%34.13万
55.00%39.55万
55.00%39.55万
-固定资产
23.25%418.64万
12.11%376.53万
75.41%374.37万
73.51%369.16万
73.51%369.16万
66.28%339.66万
75.45%335.86万
15.62%213.43万
17.71%212.77万
17.71%212.77万
-累计折旧
-8.00%-212.65万
-8.68%-203.95万
-9.08%-195.57万
-8.23%-187.48万
-8.23%-187.48万
-17.80%-196.89万
-15.68%-187.67万
-13.08%-179.3万
-11.58%-173.22万
-11.58%-173.22万
投资和预付款
44.85%646.99万
2.92%555.11万
-18.46%440.39万
-23.67%404.67万
-23.67%404.67万
-18.06%446.68万
-33.05%539.37万
-23.96%540.09万
-22.67%530.12万
-22.67%530.12万
-长期股权投资
44.85%646.99万
2.92%555.11万
-18.46%440.39万
-23.67%404.67万
-23.67%404.67万
-18.06%446.68万
-33.05%539.37万
-23.96%540.09万
-22.67%530.12万
-22.67%530.12万
长期预付费用
0.00%5.22万
-23.93%5.22万
-43.63%5.22万
205.64%5.22万
205.64%5.22万
91.46%5.22万
83.01%6.86万
272.20%9.26万
-31.35%1.71万
-31.35%1.71万
商誉及其他无形资产
-33.33%16.79万
-30.77%18.89万
-28.57%20.99万
-26.67%23.08万
-26.67%23.08万
-25.00%25.18万
-23.53%27.28万
-22.22%29.38万
-21.05%31.48万
-21.05%31.48万
-其他无形资产
-33.33%16.79万
-30.77%18.89万
-28.57%20.99万
-26.67%23.08万
-26.67%23.08万
-25.00%25.18万
-23.53%27.28万
-22.22%29.38万
-21.05%31.48万
-21.05%31.48万
非流动资产合计
41.16%874.99万
4.17%751.79万
5.31%645.4万
1.96%614.65万
1.96%614.65万
0.20%619.85万
-17.45%721.71万
-21.08%612.86万
-19.98%602.85万
-19.98%602.85万
总资产
31.88%2,490.21万
21.52%1,951.15万
18.12%1,830.11万
17.94%1,885.61万
17.94%1,885.61万
17.78%1,888.21万
9.80%1,605.68万
9.01%1,549.31万
15.83%1,598.79万
15.83%1,598.79万
负债
流动负债
短期借款与资本租赁负债
3.99%22.7万
-38.27%14.48万
-38.63%16.59万
-31.53%18.79万
-31.53%18.79万
-7.06%21.83万
16.93%23.46万
31.82%27.03万
35.52%27.45万
35.52%27.45万
-短期借款
0.00%8.25万
0.00%8.25万
0.00%8.25万
0.00%8.25万
0.00%8.25万
0.00%8.25万
0.00%8.25万
0.00%8.25万
0.00%8.25万
0.00%8.25万
-短期资本租赁负债
6.42%14.45万
-59.04%6.23万
-55.59%8.34万
-45.08%10.54万
-45.08%10.54万
-10.89%13.58万
28.75%15.21万
53.24%18.78万
59.94%19.2万
59.94%19.2万
应付款项
-24.76%82.79万
-11.93%36.85万
-13.04%51.07万
1.70%68.61万
1.70%68.61万
62.43%110.04万
-13.17%41.84万
-10.49%58.72万
7.53%67.46万
7.53%67.46万
-应付账款
-31.90%68.63万
-11.58%35.49万
-12.91%49.43万
2.29%66.2万
2.29%66.2万
84.36%100.78万
-8.27%40.14万
-11.27%56.75万
9.40%64.72万
9.40%64.72万
-应付税费
52.85%14.16万
-20.33%1.35万
-16.86%1.64万
-12.17%2.41万
-12.17%2.41万
-29.18%9.27万
-61.60%1.7万
20.15%1.97万
-23.31%2.75万
-23.31%2.75万
应计费用
13.66%74.79万
5.31%68.06万
-11.29%54.71万
15.54%65.41万
15.54%65.41万
14.61%65.8万
20.38%64.62万
23.15%61.67万
36.61%56.62万
36.61%56.62万
递延负债
181.55%192.98万
34.66%94.13万
-32.20%72.14万
-42.66%65.2万
-42.66%65.2万
-38.05%68.54万
8.56%69.9万
63.35%106.4万
143.11%113.7万
143.11%113.7万
其他流动负债
----
----
----
----
----
----
----
--14.2万
--14.2万
--14.2万
流动负债总额
40.21%373.26万
6.85%213.52万
-27.43%194.51万
-21.98%218.01万
-21.98%218.01万
2.67%266.22万
7.25%199.82万
33.13%268.03万
63.21%279.43万
63.21%279.43万
非流动负债
长期借款与租赁负债
23.26%173.33万
32.90%184.85万
685.10%174.26万
537.35%172.99万
537.35%172.99万
345.94%140.62万
368.03%139.09万
-28.93%22.2万
-23.44%27.14万
-23.44%27.14万
-长期借款
110.92%26.1万
89.50%27.36万
25.23%20.66万
23.69%22.96万
23.69%22.96万
-40.00%12.38万
-36.36%14.44万
-33.33%16.5万
-30.77%18.56万
-30.77%18.56万
-长期租赁负债
14.80%147.23万
26.35%157.49万
2,596.48%153.6万
1,648.61%150.03万
1,648.61%150.03万
1,075.63%128.25万
1,673.11%124.65万
-12.10%5.7万
-0.71%8.58万
-0.71%8.58万
递延负债
-40.00%17.02万
-40.00%17.02万
-40.00%17.02万
-40.00%17.02万
-40.00%17.02万
0.00%28.37万
0.00%28.37万
0.00%28.37万
11.90%28.37万
11.90%28.37万
非流动负债总额
12.64%190.35万
20.55%201.87万
278.26%191.29万
242.27%190.02万
242.27%190.02万
119.83%169万
123.10%167.46万
-33.96%50.57万
-28.62%55.52万
-28.62%55.52万
负债总额
29.50%563.62万
13.10%415.39万
21.09%385.8万
21.82%408.03万
21.82%408.03万
29.46%435.21万
40.52%367.28万
14.65%318.6万
34.52%334.94万
34.52%334.94万
所有者权益
股本
0.67%5,675.33万
0.42%5,670.46万
-0.35%5,638.13万
-0.62%5,630.25万
-0.62%5,630.25万
-0.41%5,637.67万
-0.25%5,646.66万
-0.04%5,657.7万
0.14%5,665.41万
0.14%5,665.41万
-普通股股本
0.67%5,675.33万
0.42%5,670.46万
-0.35%5,638.13万
-0.62%5,630.25万
-0.62%5,630.25万
-0.41%5,637.67万
-0.25%5,646.66万
-0.04%5,657.7万
0.14%5,665.41万
0.14%5,665.41万
资本公积
0.86%1,116.98万
1.06%1,115.68万
1.31%1,113.91万
1.71%1,110.68万
1.71%1,110.68万
2.22%1,107.41万
2.72%1,103.94万
2.95%1,099.52万
2.35%1,091.96万
2.35%1,091.96万
留存收益
7.47%-5,006.89万
4.36%-5,379.25万
4.41%-5,435.18万
4.69%-5,386.48万
4.69%-5,386.48万
3.84%-5,411.34万
1.06%-5,624.38万
1.10%-5,685.79万
2.01%-5,651.8万
2.01%-5,651.8万
不影响留存收益的损益
18.37%141.17万
14.90%128.89万
-19.99%127.45万
-22.21%123.13万
-22.21%123.13万
-20.64%119.26万
-25.36%112.17万
-2.96%159.29万
-9.58%158.28万
-9.58%158.28万
股东权益总额
32.59%1,926.6万
24.01%1,535.77万
17.36%1,444.31万
16.91%1,477.58万
16.91%1,477.58万
14.69%1,453万
3.12%1,238.4万
7.64%1,230.71万
11.71%1,263.85万
11.71%1,263.85万
总权益
32.59%1,926.6万
24.01%1,535.77万
17.36%1,444.31万
16.91%1,477.58万
16.91%1,477.58万
14.69%1,453万
3.12%1,238.4万
7.64%1,230.71万
11.71%1,263.85万
11.71%1,263.85万
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
--
--
--
无保留意见
--
--
--
--
无保留意见
--
(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 68.37%1,098.75万64.65%779.07万42.50%823.24万27.16%792.76万27.16%792.76万1.35%652.57万63.24%473.17万53.82%577.73万58.08%623.44万58.08%623.44万
-现金和现金等价物 68.37%1,098.75万64.65%779.07万42.50%823.24万27.16%792.76万27.16%792.76万1.35%652.57万63.24%473.17万53.82%577.73万58.08%623.44万58.08%623.44万
应收款项 -9.35%500.29万6.97%393.17万5.06%325.99万36.40%437.43万36.40%437.43万74.85%551.87万36.51%367.55万31.96%310.28万59.61%320.69万59.61%320.69万
-应收账款 -16.01%377.49万-5.01%279.92万-9.36%222.28万53.16%378.13万53.16%378.13万73.38%449.43万66.50%294.69万58.42%245.22万72.97%246.89万72.97%246.89万
-其他应收款 19.86%122.79万55.45%113.25万59.41%103.71万-19.64%59.3万-19.64%59.3万81.59%102.44万-21.02%72.86万-19.01%65.06万26.84%73.79万26.84%73.79万
预付费用 -65.30%16.19万10.53%27.11万22.22%35.48万20.68%40.77万20.68%40.77万425.89%46.64万87.17%24.53万81.46%29.03万44.99%33.79万44.99%33.79万
受限制现金 --------------0--07.03%17.28万18.53%18.72万7.88%19.42万116.88%18.03万116.88%18.03万
流动资产合计 27.35%1,615.22万35.68%1,199.36万26.51%1,184.71万27.61%1,270.96万27.61%1,270.96万28.83%1,268.36万50.33%883.97万45.25%936.45万58.87%995.94万58.87%995.94万
非流动资产
固定资产净额 44.28%206万16.45%172.58万423.88%178.8万359.43%181.68万359.43%181.68万284.38%142.77万407.54%148.19万31.07%34.13万55.00%39.55万55.00%39.55万
-固定资产 23.25%418.64万12.11%376.53万75.41%374.37万73.51%369.16万73.51%369.16万66.28%339.66万75.45%335.86万15.62%213.43万17.71%212.77万17.71%212.77万
-累计折旧 -8.00%-212.65万-8.68%-203.95万-9.08%-195.57万-8.23%-187.48万-8.23%-187.48万-17.80%-196.89万-15.68%-187.67万-13.08%-179.3万-11.58%-173.22万-11.58%-173.22万
投资和预付款 44.85%646.99万2.92%555.11万-18.46%440.39万-23.67%404.67万-23.67%404.67万-18.06%446.68万-33.05%539.37万-23.96%540.09万-22.67%530.12万-22.67%530.12万
-长期股权投资 44.85%646.99万2.92%555.11万-18.46%440.39万-23.67%404.67万-23.67%404.67万-18.06%446.68万-33.05%539.37万-23.96%540.09万-22.67%530.12万-22.67%530.12万
长期预付费用 0.00%5.22万-23.93%5.22万-43.63%5.22万205.64%5.22万205.64%5.22万91.46%5.22万83.01%6.86万272.20%9.26万-31.35%1.71万-31.35%1.71万
商誉及其他无形资产 -33.33%16.79万-30.77%18.89万-28.57%20.99万-26.67%23.08万-26.67%23.08万-25.00%25.18万-23.53%27.28万-22.22%29.38万-21.05%31.48万-21.05%31.48万
-其他无形资产 -33.33%16.79万-30.77%18.89万-28.57%20.99万-26.67%23.08万-26.67%23.08万-25.00%25.18万-23.53%27.28万-22.22%29.38万-21.05%31.48万-21.05%31.48万
非流动资产合计 41.16%874.99万4.17%751.79万5.31%645.4万1.96%614.65万1.96%614.65万0.20%619.85万-17.45%721.71万-21.08%612.86万-19.98%602.85万-19.98%602.85万
总资产 31.88%2,490.21万21.52%1,951.15万18.12%1,830.11万17.94%1,885.61万17.94%1,885.61万17.78%1,888.21万9.80%1,605.68万9.01%1,549.31万15.83%1,598.79万15.83%1,598.79万
负债
流动负债
短期借款与资本租赁负债 3.99%22.7万-38.27%14.48万-38.63%16.59万-31.53%18.79万-31.53%18.79万-7.06%21.83万16.93%23.46万31.82%27.03万35.52%27.45万35.52%27.45万
-短期借款 0.00%8.25万0.00%8.25万0.00%8.25万0.00%8.25万0.00%8.25万0.00%8.25万0.00%8.25万0.00%8.25万0.00%8.25万0.00%8.25万
-短期资本租赁负债 6.42%14.45万-59.04%6.23万-55.59%8.34万-45.08%10.54万-45.08%10.54万-10.89%13.58万28.75%15.21万53.24%18.78万59.94%19.2万59.94%19.2万
应付款项 -24.76%82.79万-11.93%36.85万-13.04%51.07万1.70%68.61万1.70%68.61万62.43%110.04万-13.17%41.84万-10.49%58.72万7.53%67.46万7.53%67.46万
-应付账款 -31.90%68.63万-11.58%35.49万-12.91%49.43万2.29%66.2万2.29%66.2万84.36%100.78万-8.27%40.14万-11.27%56.75万9.40%64.72万9.40%64.72万
-应付税费 52.85%14.16万-20.33%1.35万-16.86%1.64万-12.17%2.41万-12.17%2.41万-29.18%9.27万-61.60%1.7万20.15%1.97万-23.31%2.75万-23.31%2.75万
应计费用 13.66%74.79万5.31%68.06万-11.29%54.71万15.54%65.41万15.54%65.41万14.61%65.8万20.38%64.62万23.15%61.67万36.61%56.62万36.61%56.62万
递延负债 181.55%192.98万34.66%94.13万-32.20%72.14万-42.66%65.2万-42.66%65.2万-38.05%68.54万8.56%69.9万63.35%106.4万143.11%113.7万143.11%113.7万
其他流动负债 ------------------------------14.2万--14.2万--14.2万
流动负债总额 40.21%373.26万6.85%213.52万-27.43%194.51万-21.98%218.01万-21.98%218.01万2.67%266.22万7.25%199.82万33.13%268.03万63.21%279.43万63.21%279.43万
非流动负债
长期借款与租赁负债 23.26%173.33万32.90%184.85万685.10%174.26万537.35%172.99万537.35%172.99万345.94%140.62万368.03%139.09万-28.93%22.2万-23.44%27.14万-23.44%27.14万
-长期借款 110.92%26.1万89.50%27.36万25.23%20.66万23.69%22.96万23.69%22.96万-40.00%12.38万-36.36%14.44万-33.33%16.5万-30.77%18.56万-30.77%18.56万
-长期租赁负债 14.80%147.23万26.35%157.49万2,596.48%153.6万1,648.61%150.03万1,648.61%150.03万1,075.63%128.25万1,673.11%124.65万-12.10%5.7万-0.71%8.58万-0.71%8.58万
递延负债 -40.00%17.02万-40.00%17.02万-40.00%17.02万-40.00%17.02万-40.00%17.02万0.00%28.37万0.00%28.37万0.00%28.37万11.90%28.37万11.90%28.37万
非流动负债总额 12.64%190.35万20.55%201.87万278.26%191.29万242.27%190.02万242.27%190.02万119.83%169万123.10%167.46万-33.96%50.57万-28.62%55.52万-28.62%55.52万
负债总额 29.50%563.62万13.10%415.39万21.09%385.8万21.82%408.03万21.82%408.03万29.46%435.21万40.52%367.28万14.65%318.6万34.52%334.94万34.52%334.94万
所有者权益
股本 0.67%5,675.33万0.42%5,670.46万-0.35%5,638.13万-0.62%5,630.25万-0.62%5,630.25万-0.41%5,637.67万-0.25%5,646.66万-0.04%5,657.7万0.14%5,665.41万0.14%5,665.41万
-普通股股本 0.67%5,675.33万0.42%5,670.46万-0.35%5,638.13万-0.62%5,630.25万-0.62%5,630.25万-0.41%5,637.67万-0.25%5,646.66万-0.04%5,657.7万0.14%5,665.41万0.14%5,665.41万
资本公积 0.86%1,116.98万1.06%1,115.68万1.31%1,113.91万1.71%1,110.68万1.71%1,110.68万2.22%1,107.41万2.72%1,103.94万2.95%1,099.52万2.35%1,091.96万2.35%1,091.96万
留存收益 7.47%-5,006.89万4.36%-5,379.25万4.41%-5,435.18万4.69%-5,386.48万4.69%-5,386.48万3.84%-5,411.34万1.06%-5,624.38万1.10%-5,685.79万2.01%-5,651.8万2.01%-5,651.8万
不影响留存收益的损益 18.37%141.17万14.90%128.89万-19.99%127.45万-22.21%123.13万-22.21%123.13万-20.64%119.26万-25.36%112.17万-2.96%159.29万-9.58%158.28万-9.58%158.28万
股东权益总额 32.59%1,926.6万24.01%1,535.77万17.36%1,444.31万16.91%1,477.58万16.91%1,477.58万14.69%1,453万3.12%1,238.4万7.64%1,230.71万11.71%1,263.85万11.71%1,263.85万
总权益 32.59%1,926.6万24.01%1,535.77万17.36%1,444.31万16.91%1,477.58万16.91%1,477.58万14.69%1,453万3.12%1,238.4万7.64%1,230.71万11.71%1,263.85万11.71%1,263.85万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ------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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