加拿大市场个股详情

BTT Bitterroot Resources Ltd

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  • 0.025
  • -0.005-16.67%
延时15分钟行情交易中 07/03 09:30 (美东)
261.21万总市值-6250市盈率TTM

Bitterroot Resources Ltd关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2024/01/31
(FY)2023/10/31
(Q4)2023/10/31
(Q3)2023/07/31
(Q2)2023/04/30
(Q1)2023/01/31
(FY)2022/10/31
(Q4)2022/10/31
(Q3)2022/07/31
(Q2)2022/04/30
资产
流动资产
现金及现金等价物和短期投资
164.17%1.48万
-94.45%5,845
-94.45%5,845
-99.20%5,557
-98.22%1.67万
-99.19%5,585
-85.70%10.53万
-85.70%10.53万
-37.44%69.1万
129.75%93.72万
-现金和现金等价物
164.17%1.48万
-94.45%5,845
-94.45%5,845
-99.20%5,557
-98.22%1.67万
-99.19%5,585
-85.70%10.53万
-85.70%10.53万
-37.44%69.1万
129.75%93.72万
-应收账款
-95.91%5,730
----
----
----
----
--14万
----
----
----
----
流动资产合计
-86.23%2.05万
-93.02%7,578
-93.02%7,578
-98.33%1.18万
-97.41%2.47万
-78.70%14.88万
-85.47%10.85万
-85.47%10.85万
-38.39%70.34万
126.51%95.4万
非流动资产
投资物业
--76.54万
--76.54万
--76.54万
----
----
----
--0
--0
----
----
-长期股权投资
----
----
----
-90.34%4,149
-76.15%1.02万
-62.31%1.62万
-1.86%2.2万
-1.86%2.2万
91.69%4.3万
91.69%4.3万
-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
--76.54万
--76.54万
--76.54万
----
----
----
--0
--0
----
----
监管资产
-95.91%5,730
--1,733
--1,733
-67.34%3,004
-58.19%4,815
2,221.34%14万
--0
--0
123.34%9,197
14.59%1.15万
总资产
----
--1,733
--1,733
-67.34%3,004
-58.19%4,815
----
--0
--0
123.34%9,197
14.59%1.15万
负债
流动负债
短期借款与资本租赁负债
440.23%11.74万
361.96%9.68万
361.96%9.68万
1,824.22%9.21万
501.12%5.65万
56.45%2.17万
26.82%2.1万
26.82%2.1万
-77.30%4,786
-63.19%9,395
-短期借款
--11.74万
--9.68万
--9.68万
--6.88万
--3.39万
----
----
----
----
----
-短期资本租赁负债
----
--0
--0
387.63%2.33万
139.77%2.25万
56.45%2.17万
26.82%2.1万
26.82%2.1万
-77.30%4,786
-63.19%9,395
-应付账款
32.20%8.76万
136.26%12.39万
136.26%12.39万
176.55%6.8万
8,641.48%5.18万
-66.06%6.62万
-52.32%5.25万
-52.32%5.25万
-76.37%2.46万
-98.26%593
-应付税费
--0
--0
--0
-90.34%4,149
-76.15%1.02万
-62.31%1.62万
-1.86%2.2万
-1.86%2.2万
91.69%4.3万
91.69%4.3万
-应付关联方款项
407.08%16.23万
--12.77万
--12.77万
--10.07万
--6.48万
--3.2万
--0
--0
----
----
-其他应付款
-85.34%5,365
0.00%3.66万
0.00%3.66万
0.00%3.66万
0.00%3.66万
-10.29%3.66万
-20.09%3.66万
-20.09%3.66万
-19.92%3.66万
215.42%3.66万
流动负债总额
206.12%36.72万
374.56%34.84万
374.56%34.84万
787.65%26.09万
1,633.59%17.32万
-42.61%12万
-41.99%7.34万
-41.99%7.34万
-76.53%2.94万
-83.26%9,988
非流动负债
-长期借款
----
--0
--0
-90.34%4,149
-76.15%1.02万
-62.31%1.62万
-1.86%2.2万
-1.86%2.2万
91.69%4.3万
91.69%4.3万
长期应计费用
-10.91%476.76万
-9.62%476.17万
-9.62%476.17万
-9.72%551.15万
-7.06%548.32万
-5.20%535.17万
-4.50%526.86万
-4.50%526.86万
17.19%610.48万
23.21%589.94万
非流动负债总额
169.72%36.72万
265.18%34.84万
265.18%34.84万
266.34%26.5万
246.43%18.34万
-45.97%13.62万
-35.95%9.54万
-35.95%9.54万
-50.99%7.23万
-35.49%5.29万
所有者权益
股本
0.20%3,043.76万
0.66%3,043.76万
0.66%3,043.76万
0.66%3,043.76万
0.66%3,043.76万
3.18%3,037.67万
2.78%3,023.67万
2.78%3,023.67万
2.82%3,023.67万
7.21%3,023.77万
-普通股股本
0.20%3,043.76万
0.66%3,043.76万
0.66%3,043.76万
0.66%3,043.76万
0.66%3,043.76万
3.18%3,037.67万
2.78%3,023.67万
2.78%3,023.67万
2.82%3,023.67万
7.21%3,023.77万
不影响留存收益的损益
1.34%494.32万
1.34%494.32万
1.34%494.32万
1.34%494.32万
1.34%494.32万
2.89%487.76万
2.76%487.76万
2.76%487.76万
2.76%487.76万
7.98%487.76万
总权益
0.39%555.88万
2.91%557.13万
2.91%557.13万
-18.77%555.99万
-19.53%554.45万
-13.27%553.71万
-14.20%541.37万
-14.20%541.37万
7.01%684.48万
31.97%688.99万
(Q1)2024/01/31(FY)2023/10/31(Q4)2023/10/31(Q3)2023/07/31(Q2)2023/04/30(Q1)2023/01/31(FY)2022/10/31(Q4)2022/10/31(Q3)2022/07/31(Q2)2022/04/30
资产
流动资产
现金及现金等价物和短期投资 164.17%1.48万-94.45%5,845-94.45%5,845-99.20%5,557-98.22%1.67万-99.19%5,585-85.70%10.53万-85.70%10.53万-37.44%69.1万129.75%93.72万
-现金和现金等价物 164.17%1.48万-94.45%5,845-94.45%5,845-99.20%5,557-98.22%1.67万-99.19%5,585-85.70%10.53万-85.70%10.53万-37.44%69.1万129.75%93.72万
-应收账款 -95.91%5,730------------------14万----------------
流动资产合计 -86.23%2.05万-93.02%7,578-93.02%7,578-98.33%1.18万-97.41%2.47万-78.70%14.88万-85.47%10.85万-85.47%10.85万-38.39%70.34万126.51%95.4万
非流动资产
投资物业 --76.54万--76.54万--76.54万--------------0--0--------
-长期股权投资 -------------90.34%4,149-76.15%1.02万-62.31%1.62万-1.86%2.2万-1.86%2.2万91.69%4.3万91.69%4.3万
-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 --76.54万--76.54万--76.54万--------------0--0--------
监管资产 -95.91%5,730--1,733--1,733-67.34%3,004-58.19%4,8152,221.34%14万--0--0123.34%9,19714.59%1.15万
总资产 ------1,733--1,733-67.34%3,004-58.19%4,815------0--0123.34%9,19714.59%1.15万
负债
流动负债
短期借款与资本租赁负债 440.23%11.74万361.96%9.68万361.96%9.68万1,824.22%9.21万501.12%5.65万56.45%2.17万26.82%2.1万26.82%2.1万-77.30%4,786-63.19%9,395
-短期借款 --11.74万--9.68万--9.68万--6.88万--3.39万--------------------
-短期资本租赁负债 ------0--0387.63%2.33万139.77%2.25万56.45%2.17万26.82%2.1万26.82%2.1万-77.30%4,786-63.19%9,395
-应付账款 32.20%8.76万136.26%12.39万136.26%12.39万176.55%6.8万8,641.48%5.18万-66.06%6.62万-52.32%5.25万-52.32%5.25万-76.37%2.46万-98.26%593
-应付税费 --0--0--0-90.34%4,149-76.15%1.02万-62.31%1.62万-1.86%2.2万-1.86%2.2万91.69%4.3万91.69%4.3万
-应付关联方款项 407.08%16.23万--12.77万--12.77万--10.07万--6.48万--3.2万--0--0--------
-其他应付款 -85.34%5,3650.00%3.66万0.00%3.66万0.00%3.66万0.00%3.66万-10.29%3.66万-20.09%3.66万-20.09%3.66万-19.92%3.66万215.42%3.66万
流动负债总额 206.12%36.72万374.56%34.84万374.56%34.84万787.65%26.09万1,633.59%17.32万-42.61%12万-41.99%7.34万-41.99%7.34万-76.53%2.94万-83.26%9,988
非流动负债
-长期借款 ------0--0-90.34%4,149-76.15%1.02万-62.31%1.62万-1.86%2.2万-1.86%2.2万91.69%4.3万91.69%4.3万
长期应计费用 -10.91%476.76万-9.62%476.17万-9.62%476.17万-9.72%551.15万-7.06%548.32万-5.20%535.17万-4.50%526.86万-4.50%526.86万17.19%610.48万23.21%589.94万
非流动负债总额 169.72%36.72万265.18%34.84万265.18%34.84万266.34%26.5万246.43%18.34万-45.97%13.62万-35.95%9.54万-35.95%9.54万-50.99%7.23万-35.49%5.29万
所有者权益
股本 0.20%3,043.76万0.66%3,043.76万0.66%3,043.76万0.66%3,043.76万0.66%3,043.76万3.18%3,037.67万2.78%3,023.67万2.78%3,023.67万2.82%3,023.67万7.21%3,023.77万
-普通股股本 0.20%3,043.76万0.66%3,043.76万0.66%3,043.76万0.66%3,043.76万0.66%3,043.76万3.18%3,037.67万2.78%3,023.67万2.78%3,023.67万2.82%3,023.67万7.21%3,023.77万
不影响留存收益的损益 1.34%494.32万1.34%494.32万1.34%494.32万1.34%494.32万1.34%494.32万2.89%487.76万2.76%487.76万2.76%487.76万2.76%487.76万7.98%487.76万
总权益 0.39%555.88万2.91%557.13万2.91%557.13万-18.77%555.99万-19.53%554.45万-13.27%553.71万-14.20%541.37万-14.20%541.37万7.01%684.48万31.97%688.99万

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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