加拿大市场个股详情

BTB.UN BTB Real Estate Investment Trust

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  • 3.150
  • +0.020+0.64%
延时15分钟行情交易中 07/03 14:31 (美东)
2.75亿总市值7.88市盈率TTM

BTB Real Estate Investment Trust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
6.71%178.1万
-62.06%91.2万
-62.06%91.2万
-77.37%235.7万
23.97%374.4万
-95.90%166.9万
-66.57%240.4万
-66.57%240.4万
-45.67%1,041.7万
-88.07%302万
-现金和现金等价物
6.71%178.1万
-62.06%91.2万
-62.06%91.2万
-77.37%235.7万
23.97%374.4万
-95.90%166.9万
-66.57%240.4万
-66.57%240.4万
-45.67%1,041.7万
-88.07%302万
-应收账款
-1.68%373.5万
-39.26%147万
-39.26%147万
-20.28%243万
-21.28%307.8万
-20.00%379.9万
-31.89%242万
-31.89%242万
-47.15%304.8万
-38.00%391万
-其他应收款
1.68%218万
1.74%216.8万
1.74%216.8万
1.60%215.9万
2.88%217.9万
1.66%214.4万
15.00%213.1万
15.00%213.1万
15.18%212.5万
15.42%211.8万
流动资产合计
104.88%2,281.1万
65.29%1,716.2万
65.29%1,716.2万
2.58%2,340万
8.87%1,571万
-78.59%1,113.4万
-32.87%1,038.3万
-32.87%1,038.3万
-29.05%2,281.1万
-60.58%1,443万
非流动资产
-累计折旧
----
----
----
----
---116万
----
----
----
---108.2万
----
投资和预付款
0.39%12.03亿
3.66%12.08亿
3.66%12.08亿
2.31%12.07亿
3.58%12.09亿
6.30%11.98亿
4.85%11.65亿
4.85%11.65亿
27.74%11.8亿
26.59%11.67亿
-长期股权投资
-6.66%5.98亿
-6.95%5.64亿
-6.95%5.64亿
1.52%6.92亿
4.14%6.71亿
4.34%6.41亿
1.60%6.06亿
1.60%6.06亿
42.43%6.82亿
39.85%6.45亿
金融资产
-9.79%311.5万
-28.26%269.3万
-28.26%269.3万
26.45%480万
--422.9万
--345.3万
--375.4万
--375.4万
--379.6万
----
监管资产
213.37%1,574.7万
185.05%1,372.8万
185.05%1,372.8万
162.06%1,449.2万
-3.85%469.4万
-20.39%502.5万
-12.88%481.6万
-12.88%481.6万
-7.97%553万
-29.50%488.2万
负债
流动负债
短期借款与资本租赁负债
53.33%1.25亿
86.13%1.6亿
86.13%1.6亿
14.89%3,525.1万
7.65%5,823.4万
-3.95%8,149.1万
-5.58%8,611.3万
-5.58%8,611.3万
-54.53%3,068.3万
-39.82%5,409.5万
-短期借款
53.33%1.25亿
86.17%1.6亿
86.17%1.6亿
14.89%3,525.1万
7.65%5,823.4万
-3.95%8,149.1万
-5.58%8,609.4万
-5.58%8,609.4万
-54.53%3,068.3万
-39.82%5,409.5万
-短期资本租赁负债
----
-68.42%6,000
-68.42%6,000
----
----
----
18.75%1.9万
18.75%1.9万
----
----
-应付账款
-0.31%2,010.8万
-2.54%1,954.9万
-2.54%1,954.9万
-6.04%2,051.2万
9.61%2,185.7万
-4.75%2,017.1万
-7.70%2,005.8万
-7.70%2,005.8万
22.90%2,183万
9.21%1,994万
-应付税费
-6.35%6.02亿
-6.73%5.68亿
-6.73%5.68亿
1.42%6.96亿
3.99%6.75亿
2.29%6.43亿
-0.28%6.09亿
-0.28%6.09亿
40.17%6.86亿
36.85%6.49亿
-其他应付款
----
----
----
----
----
----
----
----
----
-49.99%301.8万
流动负债总额
41.84%1.47亿
68.05%1.82亿
68.05%1.82亿
6.01%5,792.2万
8.03%8,227万
-4.00%1.04亿
-5.65%1.08亿
-5.65%1.08亿
-37.26%5,463.8万
-30.76%7,615.3万
非流动负债
-长期借款
-0.05%733万
75.10%732.6万
75.10%732.6万
74.30%733.3万
74.16%733.4万
74.00%733.4万
-0.45%418.4万
-0.45%418.4万
-0.36%420.7万
-0.33%421.1万
长期应计费用
-19.40%24.1万
-15.84%27.1万
-15.84%27.1万
-39.77%26.5万
-39.51%27.4万
-31.74%29.9万
-27.80%32.2万
-27.80%32.2万
15.49%44万
19.84%45.3万
衍生品负债
--38.7万
148.28%28.8万
148.28%28.8万
--0
-99.42%1.3万
--0
-98.97%11.6万
-98.97%11.6万
-73.61%213万
-79.53%223.4万
长期拨备
-6.74%5.91亿
-7.52%5.57亿
-7.52%5.57亿
1.07%6.85亿
3.68%6.64亿
3.86%6.33亿
1.61%6.02亿
1.61%6.02亿
42.81%6.78亿
40.22%6.4亿
员工福利
-3.60%155.5万
11.22%171.5万
11.22%171.5万
44.73%164.7万
21.28%155万
28.94%161.3万
1.92%154.2万
1.92%154.2万
-15.58%113.8万
2.00%127.8万
非流动负债总额
0.35%7.49亿
4.56%7.5亿
4.56%7.5亿
1.76%7.54亿
4.41%7.58亿
1.37%7.47亿
-1.13%7.17亿
-1.13%7.17亿
28.48%7.41亿
24.13%7.26亿
所有者权益
股本
1.09%4.02亿
1.22%4.01亿
1.22%4.01亿
1.19%4亿
1.16%3.99亿
1.36%3.98亿
12.64%3.96亿
12.64%3.96亿
12.82%3.95亿
13.12%3.94亿
-普通股股本
1.09%4.02亿
1.22%4.01亿
1.22%4.01亿
1.19%4亿
1.16%3.99亿
1.36%3.98亿
12.64%3.96亿
12.64%3.96亿
12.82%3.95亿
13.12%3.94亿
不影响留存收益的损益
12.61%3.12亿
13.64%3.05亿
13.64%3.05亿
13.74%3.03亿
12.99%2.88亿
17.12%2.77亿
16.57%2.68亿
16.57%2.68亿
28.80%2.67亿
28.54%2.55亿
总权益
1.32%12.29亿
4.10%12.28亿
4.10%12.28亿
2.37%12.36亿
3.72%12.29亿
2.57%12.13亿
4.38%11.79亿
4.38%11.79亿
25.43%12.07亿
22.81%11.85亿
(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 6.71%178.1万-62.06%91.2万-62.06%91.2万-77.37%235.7万23.97%374.4万-95.90%166.9万-66.57%240.4万-66.57%240.4万-45.67%1,041.7万-88.07%302万
-现金和现金等价物 6.71%178.1万-62.06%91.2万-62.06%91.2万-77.37%235.7万23.97%374.4万-95.90%166.9万-66.57%240.4万-66.57%240.4万-45.67%1,041.7万-88.07%302万
-应收账款 -1.68%373.5万-39.26%147万-39.26%147万-20.28%243万-21.28%307.8万-20.00%379.9万-31.89%242万-31.89%242万-47.15%304.8万-38.00%391万
-其他应收款 1.68%218万1.74%216.8万1.74%216.8万1.60%215.9万2.88%217.9万1.66%214.4万15.00%213.1万15.00%213.1万15.18%212.5万15.42%211.8万
流动资产合计 104.88%2,281.1万65.29%1,716.2万65.29%1,716.2万2.58%2,340万8.87%1,571万-78.59%1,113.4万-32.87%1,038.3万-32.87%1,038.3万-29.05%2,281.1万-60.58%1,443万
非流动资产
-累计折旧 -------------------116万---------------108.2万----
投资和预付款 0.39%12.03亿3.66%12.08亿3.66%12.08亿2.31%12.07亿3.58%12.09亿6.30%11.98亿4.85%11.65亿4.85%11.65亿27.74%11.8亿26.59%11.67亿
-长期股权投资 -6.66%5.98亿-6.95%5.64亿-6.95%5.64亿1.52%6.92亿4.14%6.71亿4.34%6.41亿1.60%6.06亿1.60%6.06亿42.43%6.82亿39.85%6.45亿
金融资产 -9.79%311.5万-28.26%269.3万-28.26%269.3万26.45%480万--422.9万--345.3万--375.4万--375.4万--379.6万----
监管资产 213.37%1,574.7万185.05%1,372.8万185.05%1,372.8万162.06%1,449.2万-3.85%469.4万-20.39%502.5万-12.88%481.6万-12.88%481.6万-7.97%553万-29.50%488.2万
负债
流动负债
短期借款与资本租赁负债 53.33%1.25亿86.13%1.6亿86.13%1.6亿14.89%3,525.1万7.65%5,823.4万-3.95%8,149.1万-5.58%8,611.3万-5.58%8,611.3万-54.53%3,068.3万-39.82%5,409.5万
-短期借款 53.33%1.25亿86.17%1.6亿86.17%1.6亿14.89%3,525.1万7.65%5,823.4万-3.95%8,149.1万-5.58%8,609.4万-5.58%8,609.4万-54.53%3,068.3万-39.82%5,409.5万
-短期资本租赁负债 -----68.42%6,000-68.42%6,000------------18.75%1.9万18.75%1.9万--------
-应付账款 -0.31%2,010.8万-2.54%1,954.9万-2.54%1,954.9万-6.04%2,051.2万9.61%2,185.7万-4.75%2,017.1万-7.70%2,005.8万-7.70%2,005.8万22.90%2,183万9.21%1,994万
-应付税费 -6.35%6.02亿-6.73%5.68亿-6.73%5.68亿1.42%6.96亿3.99%6.75亿2.29%6.43亿-0.28%6.09亿-0.28%6.09亿40.17%6.86亿36.85%6.49亿
-其他应付款 -------------------------------------49.99%301.8万
流动负债总额 41.84%1.47亿68.05%1.82亿68.05%1.82亿6.01%5,792.2万8.03%8,227万-4.00%1.04亿-5.65%1.08亿-5.65%1.08亿-37.26%5,463.8万-30.76%7,615.3万
非流动负债
-长期借款 -0.05%733万75.10%732.6万75.10%732.6万74.30%733.3万74.16%733.4万74.00%733.4万-0.45%418.4万-0.45%418.4万-0.36%420.7万-0.33%421.1万
长期应计费用 -19.40%24.1万-15.84%27.1万-15.84%27.1万-39.77%26.5万-39.51%27.4万-31.74%29.9万-27.80%32.2万-27.80%32.2万15.49%44万19.84%45.3万
衍生品负债 --38.7万148.28%28.8万148.28%28.8万--0-99.42%1.3万--0-98.97%11.6万-98.97%11.6万-73.61%213万-79.53%223.4万
长期拨备 -6.74%5.91亿-7.52%5.57亿-7.52%5.57亿1.07%6.85亿3.68%6.64亿3.86%6.33亿1.61%6.02亿1.61%6.02亿42.81%6.78亿40.22%6.4亿
员工福利 -3.60%155.5万11.22%171.5万11.22%171.5万44.73%164.7万21.28%155万28.94%161.3万1.92%154.2万1.92%154.2万-15.58%113.8万2.00%127.8万
非流动负债总额 0.35%7.49亿4.56%7.5亿4.56%7.5亿1.76%7.54亿4.41%7.58亿1.37%7.47亿-1.13%7.17亿-1.13%7.17亿28.48%7.41亿24.13%7.26亿
所有者权益
股本 1.09%4.02亿1.22%4.01亿1.22%4.01亿1.19%4亿1.16%3.99亿1.36%3.98亿12.64%3.96亿12.64%3.96亿12.82%3.95亿13.12%3.94亿
-普通股股本 1.09%4.02亿1.22%4.01亿1.22%4.01亿1.19%4亿1.16%3.99亿1.36%3.98亿12.64%3.96亿12.64%3.96亿12.82%3.95亿13.12%3.94亿
不影响留存收益的损益 12.61%3.12亿13.64%3.05亿13.64%3.05亿13.74%3.03亿12.99%2.88亿17.12%2.77亿16.57%2.68亿16.57%2.68亿28.80%2.67亿28.54%2.55亿
总权益 1.32%12.29亿4.10%12.28亿4.10%12.28亿2.37%12.36亿3.72%12.29亿2.57%12.13亿4.38%11.79亿4.38%11.79亿25.43%12.07亿22.81%11.85亿

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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