美股市场个股详情

科尔黛伦矿业 (CDE)

添加自选
  • 17.065
  • +0.695+4.25%
交易中 06/08 14:44 (美东)
175.86亿总市值13.76市盈率TTM

科尔黛伦矿业 (CDE) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2026/03/31
(FY)2025/12/31
(Q4)2025/12/31
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
资产
流动资产
现金及现金等价物和短期投资
986.92%8.43亿
904.95%5.54亿
904.95%5.54亿
246.28%2.66亿
50.60%1.12亿
14.94%7,757.4万
-10.62%5,508.7万
-10.62%5,508.7万
27.23%7,691.6万
12.18%7,413.6万
-现金和现金等价物
986.92%8.43亿
904.95%5.54亿
904.95%5.54亿
246.28%2.66亿
50.60%1.12亿
14.94%7,757.4万
-10.62%5,508.7万
-10.62%5,508.7万
44.52%7,691.6万
30.42%7,413.6万
应收款项
59.10%8,736.1万
128.29%6,832.6万
128.29%6,832.6万
124.48%6,771.5万
88.99%6,064万
50.46%5,490.8万
-1.61%2,993万
-1.61%2,993万
7.18%3,016.5万
10.04%3,208.7万
-应收账款
141.91%2,288.2万
132.55%1,818.1万
132.55%1,818.1万
116.27%1,512.4万
81.93%1,347万
131.21%945.9万
102.64%781.8万
102.64%781.8万
165.19%699.3万
162.74%740.4万
-应收税费
57.17%5,762.4万
131.35%4,903.1万
131.35%4,903.1万
104.32%4,607.8万
66.60%4,046.3万
15.26%3,666.3万
-17.99%2,119.3万
-17.99%2,119.3万
-9.46%2,255.2万
-6.03%2,428.7万
-其他应收款
-21.98%685.5万
21.22%111.4万
21.22%111.4万
950.48%651.3万
1,593.69%670.7万
1,381.62%878.6万
27.46%91.9万
27.46%91.9万
3.51%62万
-20.16%39.6万
存货
113.39%7.28亿
87.22%3.21亿
87.22%3.21亿
34.40%3亿
70.88%3.31亿
111.11%3.41亿
9.79%1.71亿
9.79%1.71亿
23.22%2.23亿
11.83%1.94亿
其他流动资产
76.93%5,043万
74.00%2,912.9万
74.00%2,912.9万
110.45%3,332.1万
89.36%2,287.5万
50.46%2,850.2万
-9.64%1,674.1万
-9.64%1,674.1万
-38.05%1,583.3万
-40.18%1,208万
流动资产合计
240.45%17.1亿
256.16%9.73亿
256.16%9.73亿
92.84%6.67亿
68.64%5.26亿
76.49%5.02亿
2.19%2.73亿
2.19%2.73亿
16.42%3.46亿
7.92%3.12亿
非流动资产
固定资产净额
340.63%123.37亿
51.02%27.45亿
51.02%27.45亿
57.56%27.72亿
64.79%27.95亿
64.89%28亿
7.66%18.18亿
7.66%18.18亿
7.33%17.59亿
9.15%16.96亿
-固定资产
195.57%149.3亿
30.29%52.22亿
30.29%52.22亿
32.30%51.76亿
34.39%51.22亿
33.81%50.51亿
7.26%40.08亿
7.26%40.08亿
--39.12亿
--38.12亿
-累计折旧
-15.19%-25.94亿
-13.10%-24.77亿
-13.10%-24.77亿
-11.65%-24.03亿
-10.02%-23.28亿
-8.41%-22.52亿
-6.93%-21.9亿
-6.93%-21.9亿
---21.53亿
---21.16亿
商誉及其他无形资产
10.36%6.26亿
--6.26亿
--6.26亿
--6.32亿
--6.13亿
--5.67亿
--0
--0
----
----
-商誉
10.36%6.26亿
--6.26亿
--6.26亿
--6.32亿
--6.13亿
--5.67亿
--0
--0
----
----
长期应收款
41.54%1,985.7万
4.98%1,968.3万
4.98%1,968.3万
-33.38%1,343.2万
-38.97%1,361.3万
-37.11%1,402.9万
-15.95%1,874.9万
-15.95%1,874.9万
-10.65%2,016.1万
6.79%2,230.6万
非流动递延资产
--1.45亿
3,047.18%1.41亿
3,047.18%1.41亿
--2.4亿
0.00%83.4万
----
435.49%446.6万
435.49%446.6万
----
--83.4万
其他非流动资产
130.93%4.24亿
2.27%1.92亿
2.27%1.92亿
82.82%1.87亿
80.72%2.02亿
60.63%1.84亿
83.84%1.88亿
83.84%1.88亿
-7.73%1.02亿
3.29%1.12亿
非流动资产合计
280.16%135.51亿
83.52%37.23亿
83.52%37.23亿
104.32%38.45亿
97.96%36.25亿
94.21%35.65亿
11.86%20.29亿
11.86%20.29亿
6.16%18.82亿
8.80%18.31亿
总资产
275.26%152.61亿
104.01%46.96亿
104.01%46.96亿
102.54%45.12亿
93.69%41.51亿
91.83%40.67亿
10.62%23.02亿
10.62%23.02亿
7.64%22.28亿
8.67%21.43亿
负债
流动负债
应付款项
124.81%3.47亿
68.34%2.83亿
68.34%2.83亿
36.92%2.19亿
70.18%2.13亿
18.91%1.55亿
26.98%1.68亿
26.98%1.68亿
6.56%1.6亿
-17.73%1.25亿
-应付账款
106.65%2.58亿
18.27%1.49亿
18.27%1.49亿
8.20%1.37亿
31.86%1.42亿
3.99%1.25亿
9.35%1.26亿
9.35%1.26亿
-9.06%1.26亿
-25.03%1.07亿
-应付税费
201.48%8,922.2万
218.47%1.34亿
218.47%1.34亿
145.37%8,212.9万
302.50%7,126.2万
201.74%2,959.5万
145.69%4,198.1万
145.69%4,198.1万
203.40%3,347.1万
100.49%1,770.5万
应计费用
69.14%5,886.8万
22.82%6,092万
22.82%6,092万
11.19%5,447.7万
2.37%5,003.8万
-24.74%3,480.4万
-2.29%4,960万
-2.29%4,960万
16.98%4,899.3万
24.82%4,887.8万
现行拨备
14.02%1,933.1万
-11.15%1,506.3万
-11.15%1,506.3万
54.77%1,695.4万
56.37%1,712.9万
54.77%1,695.4万
54.77%1,695.4万
54.77%1,695.4万
88.99%1,095.4万
88.99%1,095.4万
短期借款与租赁负债
-40.71%2,591.8万
-32.62%2,895.8万
-32.62%2,895.8万
19.34%3,792.8万
27.12%3,681万
38.68%4,371.7万
31.79%4,297.8万
31.79%4,297.8万
-3.78%3,178.2万
-10.57%2,895.6万
-短期租赁负债
-40.71%2,591.8万
-32.62%2,895.8万
-32.62%2,895.8万
19.34%3,792.8万
27.12%3,681万
38.68%4,371.7万
31.79%4,297.8万
31.79%4,297.8万
-3.78%3,178.2万
-10.57%2,895.6万
递延负债
-46.73%562.4万
-89.50%551.2万
-89.50%551.2万
-91.63%545.2万
-75.45%1,075万
-81.01%1,055.8万
-5.47%5,250.7万
-5.47%5,250.7万
45.25%6,513.5万
-3.87%4,378.4万
其他流动负债
301.92%125.4万
-86.57%12.4万
-86.57%12.4万
-95.52%6.1万
-93.55%17.4万
-97.38%31.2万
-87.77%92.3万
-87.77%92.3万
-82.76%136.2万
-51.62%269.8万
流动负债总额
75.71%4.58亿
18.84%3.93亿
18.84%3.93亿
4.93%3.34亿
25.88%3.28亿
-8.84%2.61亿
14.23%3.31亿
14.23%3.31亿
12.21%3.18亿
-7.18%2.6亿
非流动负债
长期拨备
56.80%4.01亿
7.76%2.62亿
7.76%2.62亿
22.80%2.59亿
23.42%2.58亿
24.04%2.56亿
19.93%2.44亿
19.93%2.44亿
4.41%2.11亿
3.36%2.09亿
长期借款与租赁负债
60.19%7.47亿
-42.09%3.24亿
-42.09%3.24亿
-41.38%3.39亿
-42.21%3.51亿
-17.03%4.67亿
6.89%5.59亿
6.89%5.59亿
17.88%5.78亿
35.43%6.07亿
-长期借款
78.89%7.16亿
-40.05%2.91亿
-40.05%2.91亿
-43.56%2.91亿
-48.57%2.9亿
-22.21%4亿
3.18%4.85亿
3.18%4.85亿
16.22%5.15亿
40.52%5.65亿
-长期租赁负债
-52.74%3,132.1万
-55.52%3,274.5万
-55.52%3,274.5万
-23.55%4,804.9万
42.39%6,040.8万
38.66%6,628万
40.07%7,362万
40.07%7,362万
33.43%6,285.1万
-8.58%4,242.3万
递延负债
1,030.21%31.59亿
4,350.03%3.23亿
4,350.03%3.23亿
6,124.10%4.2亿
4,208.85%3.26亿
1,564.82%2.79亿
-41.28%725.8万
-41.28%725.8万
-56.11%675.5万
-60.69%757.1万
其他非流动负债
50.02%8,394.9万
110.78%8,051.9万
110.78%8,051.9万
114.09%6,626.1万
119.56%5,993万
82.72%5,596万
30.65%3,820.1万
30.65%3,820.1万
2.53%3,095万
-17.79%2,729.5万
非流动负债总额
315.18%43.91亿
16.73%9.89亿
16.73%9.89亿
31.22%10.85亿
16.92%9.95亿
29.64%10.58亿
10.47%8.48亿
10.47%8.48亿
12.01%8.27亿
21.06%8.51亿
总负债
267.80%48.49亿
17.32%13.83亿
17.32%13.83亿
23.91%14.18亿
19.02%13.23亿
19.64%13.18亿
11.50%11.78亿
11.50%11.78亿
12.07%11.45亿
13.01%11.11亿
所有者权益
股本
61.89%1,034.5万
60.85%642.1万
60.85%642.1万
60.83%642.2万
60.97%642.6万
60.31%639万
3.34%399.2万
3.34%399.2万
4.34%399.3万
13.99%399.2万
-普通股股本
61.89%1,034.5万
60.85%642.1万
60.85%642.1万
60.83%642.2万
60.97%642.6万
60.31%639万
3.34%399.2万
3.34%399.2万
4.34%399.3万
13.99%399.2万
留存收益
26.39%-22.3亿
19.13%-24.76亿
19.13%-24.76亿
13.19%-26.91亿
6.06%-29.58亿
3.85%-30.29亿
1.89%-30.62亿
1.89%-30.62亿
-0.14%-31亿
-2.42%-31.49亿
资本公积
118.88%126.32亿
38.30%57.83亿
38.30%57.83亿
38.27%57.79亿
38.39%57.8亿
38.38%57.71亿
1.01%41.82亿
1.01%41.82亿
1.23%41.79亿
3.12%41.77亿
不影响留存收益的损益
----
----
----
----
----
----
--0
--0
--0
--0
股东权益总额
278.83%104.12亿
194.95%33.13亿
194.95%33.13亿
185.63%30.94亿
174.12%28.28亿
169.96%27.49亿
9.70%11.23亿
9.70%11.23亿
3.32%10.83亿
4.35%10.32亿
总权益
278.83%104.12亿
194.95%33.13亿
194.95%33.13亿
185.63%30.94亿
174.12%28.28亿
169.96%27.49亿
9.70%11.23亿
9.70%11.23亿
3.32%10.83亿
4.35%10.32亿
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
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
--
--
--
(Q1)2026/03/31(FY)2025/12/31(Q4)2025/12/31(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30
资产
流动资产
现金及现金等价物和短期投资 986.92%8.43亿904.95%5.54亿904.95%5.54亿246.28%2.66亿50.60%1.12亿14.94%7,757.4万-10.62%5,508.7万-10.62%5,508.7万27.23%7,691.6万12.18%7,413.6万
-现金和现金等价物 986.92%8.43亿904.95%5.54亿904.95%5.54亿246.28%2.66亿50.60%1.12亿14.94%7,757.4万-10.62%5,508.7万-10.62%5,508.7万44.52%7,691.6万30.42%7,413.6万
应收款项 59.10%8,736.1万128.29%6,832.6万128.29%6,832.6万124.48%6,771.5万88.99%6,064万50.46%5,490.8万-1.61%2,993万-1.61%2,993万7.18%3,016.5万10.04%3,208.7万
-应收账款 141.91%2,288.2万132.55%1,818.1万132.55%1,818.1万116.27%1,512.4万81.93%1,347万131.21%945.9万102.64%781.8万102.64%781.8万165.19%699.3万162.74%740.4万
-应收税费 57.17%5,762.4万131.35%4,903.1万131.35%4,903.1万104.32%4,607.8万66.60%4,046.3万15.26%3,666.3万-17.99%2,119.3万-17.99%2,119.3万-9.46%2,255.2万-6.03%2,428.7万
-其他应收款 -21.98%685.5万21.22%111.4万21.22%111.4万950.48%651.3万1,593.69%670.7万1,381.62%878.6万27.46%91.9万27.46%91.9万3.51%62万-20.16%39.6万
存货 113.39%7.28亿87.22%3.21亿87.22%3.21亿34.40%3亿70.88%3.31亿111.11%3.41亿9.79%1.71亿9.79%1.71亿23.22%2.23亿11.83%1.94亿
其他流动资产 76.93%5,043万74.00%2,912.9万74.00%2,912.9万110.45%3,332.1万89.36%2,287.5万50.46%2,850.2万-9.64%1,674.1万-9.64%1,674.1万-38.05%1,583.3万-40.18%1,208万
流动资产合计 240.45%17.1亿256.16%9.73亿256.16%9.73亿92.84%6.67亿68.64%5.26亿76.49%5.02亿2.19%2.73亿2.19%2.73亿16.42%3.46亿7.92%3.12亿
非流动资产
固定资产净额 340.63%123.37亿51.02%27.45亿51.02%27.45亿57.56%27.72亿64.79%27.95亿64.89%28亿7.66%18.18亿7.66%18.18亿7.33%17.59亿9.15%16.96亿
-固定资产 195.57%149.3亿30.29%52.22亿30.29%52.22亿32.30%51.76亿34.39%51.22亿33.81%50.51亿7.26%40.08亿7.26%40.08亿--39.12亿--38.12亿
-累计折旧 -15.19%-25.94亿-13.10%-24.77亿-13.10%-24.77亿-11.65%-24.03亿-10.02%-23.28亿-8.41%-22.52亿-6.93%-21.9亿-6.93%-21.9亿---21.53亿---21.16亿
商誉及其他无形资产 10.36%6.26亿--6.26亿--6.26亿--6.32亿--6.13亿--5.67亿--0--0--------
-商誉 10.36%6.26亿--6.26亿--6.26亿--6.32亿--6.13亿--5.67亿--0--0--------
长期应收款 41.54%1,985.7万4.98%1,968.3万4.98%1,968.3万-33.38%1,343.2万-38.97%1,361.3万-37.11%1,402.9万-15.95%1,874.9万-15.95%1,874.9万-10.65%2,016.1万6.79%2,230.6万
非流动递延资产 --1.45亿3,047.18%1.41亿3,047.18%1.41亿--2.4亿0.00%83.4万----435.49%446.6万435.49%446.6万------83.4万
其他非流动资产 130.93%4.24亿2.27%1.92亿2.27%1.92亿82.82%1.87亿80.72%2.02亿60.63%1.84亿83.84%1.88亿83.84%1.88亿-7.73%1.02亿3.29%1.12亿
非流动资产合计 280.16%135.51亿83.52%37.23亿83.52%37.23亿104.32%38.45亿97.96%36.25亿94.21%35.65亿11.86%20.29亿11.86%20.29亿6.16%18.82亿8.80%18.31亿
总资产 275.26%152.61亿104.01%46.96亿104.01%46.96亿102.54%45.12亿93.69%41.51亿91.83%40.67亿10.62%23.02亿10.62%23.02亿7.64%22.28亿8.67%21.43亿
负债
流动负债
应付款项 124.81%3.47亿68.34%2.83亿68.34%2.83亿36.92%2.19亿70.18%2.13亿18.91%1.55亿26.98%1.68亿26.98%1.68亿6.56%1.6亿-17.73%1.25亿
-应付账款 106.65%2.58亿18.27%1.49亿18.27%1.49亿8.20%1.37亿31.86%1.42亿3.99%1.25亿9.35%1.26亿9.35%1.26亿-9.06%1.26亿-25.03%1.07亿
-应付税费 201.48%8,922.2万218.47%1.34亿218.47%1.34亿145.37%8,212.9万302.50%7,126.2万201.74%2,959.5万145.69%4,198.1万145.69%4,198.1万203.40%3,347.1万100.49%1,770.5万
应计费用 69.14%5,886.8万22.82%6,092万22.82%6,092万11.19%5,447.7万2.37%5,003.8万-24.74%3,480.4万-2.29%4,960万-2.29%4,960万16.98%4,899.3万24.82%4,887.8万
现行拨备 14.02%1,933.1万-11.15%1,506.3万-11.15%1,506.3万54.77%1,695.4万56.37%1,712.9万54.77%1,695.4万54.77%1,695.4万54.77%1,695.4万88.99%1,095.4万88.99%1,095.4万
短期借款与租赁负债 -40.71%2,591.8万-32.62%2,895.8万-32.62%2,895.8万19.34%3,792.8万27.12%3,681万38.68%4,371.7万31.79%4,297.8万31.79%4,297.8万-3.78%3,178.2万-10.57%2,895.6万
-短期租赁负债 -40.71%2,591.8万-32.62%2,895.8万-32.62%2,895.8万19.34%3,792.8万27.12%3,681万38.68%4,371.7万31.79%4,297.8万31.79%4,297.8万-3.78%3,178.2万-10.57%2,895.6万
递延负债 -46.73%562.4万-89.50%551.2万-89.50%551.2万-91.63%545.2万-75.45%1,075万-81.01%1,055.8万-5.47%5,250.7万-5.47%5,250.7万45.25%6,513.5万-3.87%4,378.4万
其他流动负债 301.92%125.4万-86.57%12.4万-86.57%12.4万-95.52%6.1万-93.55%17.4万-97.38%31.2万-87.77%92.3万-87.77%92.3万-82.76%136.2万-51.62%269.8万
流动负债总额 75.71%4.58亿18.84%3.93亿18.84%3.93亿4.93%3.34亿25.88%3.28亿-8.84%2.61亿14.23%3.31亿14.23%3.31亿12.21%3.18亿-7.18%2.6亿
非流动负债
长期拨备 56.80%4.01亿7.76%2.62亿7.76%2.62亿22.80%2.59亿23.42%2.58亿24.04%2.56亿19.93%2.44亿19.93%2.44亿4.41%2.11亿3.36%2.09亿
长期借款与租赁负债 60.19%7.47亿-42.09%3.24亿-42.09%3.24亿-41.38%3.39亿-42.21%3.51亿-17.03%4.67亿6.89%5.59亿6.89%5.59亿17.88%5.78亿35.43%6.07亿
-长期借款 78.89%7.16亿-40.05%2.91亿-40.05%2.91亿-43.56%2.91亿-48.57%2.9亿-22.21%4亿3.18%4.85亿3.18%4.85亿16.22%5.15亿40.52%5.65亿
-长期租赁负债 -52.74%3,132.1万-55.52%3,274.5万-55.52%3,274.5万-23.55%4,804.9万42.39%6,040.8万38.66%6,628万40.07%7,362万40.07%7,362万33.43%6,285.1万-8.58%4,242.3万
递延负债 1,030.21%31.59亿4,350.03%3.23亿4,350.03%3.23亿6,124.10%4.2亿4,208.85%3.26亿1,564.82%2.79亿-41.28%725.8万-41.28%725.8万-56.11%675.5万-60.69%757.1万
其他非流动负债 50.02%8,394.9万110.78%8,051.9万110.78%8,051.9万114.09%6,626.1万119.56%5,993万82.72%5,596万30.65%3,820.1万30.65%3,820.1万2.53%3,095万-17.79%2,729.5万
非流动负债总额 315.18%43.91亿16.73%9.89亿16.73%9.89亿31.22%10.85亿16.92%9.95亿29.64%10.58亿10.47%8.48亿10.47%8.48亿12.01%8.27亿21.06%8.51亿
总负债 267.80%48.49亿17.32%13.83亿17.32%13.83亿23.91%14.18亿19.02%13.23亿19.64%13.18亿11.50%11.78亿11.50%11.78亿12.07%11.45亿13.01%11.11亿
所有者权益
股本 61.89%1,034.5万60.85%642.1万60.85%642.1万60.83%642.2万60.97%642.6万60.31%639万3.34%399.2万3.34%399.2万4.34%399.3万13.99%399.2万
-普通股股本 61.89%1,034.5万60.85%642.1万60.85%642.1万60.83%642.2万60.97%642.6万60.31%639万3.34%399.2万3.34%399.2万4.34%399.3万13.99%399.2万
留存收益 26.39%-22.3亿19.13%-24.76亿19.13%-24.76亿13.19%-26.91亿6.06%-29.58亿3.85%-30.29亿1.89%-30.62亿1.89%-30.62亿-0.14%-31亿-2.42%-31.49亿
资本公积 118.88%126.32亿38.30%57.83亿38.30%57.83亿38.27%57.79亿38.39%57.8亿38.38%57.71亿1.01%41.82亿1.01%41.82亿1.23%41.79亿3.12%41.77亿
不影响留存收益的损益 --------------------------0--0--0--0
股东权益总额 278.83%104.12亿194.95%33.13亿194.95%33.13亿185.63%30.94亿174.12%28.28亿169.96%27.49亿9.70%11.23亿9.70%11.23亿3.32%10.83亿4.35%10.32亿
总权益 278.83%104.12亿194.95%33.13亿194.95%33.13亿185.63%30.94亿174.12%28.28亿169.96%27.49亿9.70%11.23亿9.70%11.23亿3.32%10.83亿4.35%10.32亿
货币单位 美元美元美元美元美元美元美元美元美元美元
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------
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