加拿大市场个股详情

Cematrix Corp (CEMX)

添加自选
  • 0.560
  • +0.010+1.82%
延时15分钟行情已收盘 05/01 16:00 (美东)
8385.15万总市值21.54市盈率TTM

Cematrix Corp (CEMX) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q1)2024/03/31
资产
流动资产
现金及现金等价物和短期投资
16.00%1,194.2万
16.00%1,194.2万
0.16%994.8万
54.35%855.4万
7.64%847.9万
213.11%1,029.5万
213.11%1,029.5万
420.00%993.2万
57.49%554.2万
-17.93%787.7万
-现金和现金等价物
16.00%1,194.2万
16.00%1,194.2万
0.16%994.8万
54.35%855.4万
7.64%847.9万
213.11%1,029.5万
213.11%1,029.5万
420.00%993.2万
57.49%554.2万
-17.93%787.7万
应收款项
73.20%1,167.7万
73.20%1,167.7万
74.40%1,555.1万
77.05%1,124.6万
79.57%806.1万
-47.59%674.2万
-47.59%674.2万
-40.12%891.7万
28.40%635.2万
-21.38%448.9万
-应收账款
88.13%959.1万
88.13%959.1万
77.77%1,335.2万
80.73%949万
191.27%667.6万
-52.81%509.8万
-52.81%509.8万
-42.53%751.1万
31.90%525.1万
-52.03%229.2万
-其他应收款
32.48%232.5万
32.48%232.5万
55.07%225万
62.39%186.1万
-33.27%149.6万
-16.71%175.5万
-16.71%175.5万
-23.79%145.1万
9.56%114.6万
121.10%224.2万
-应收账款调整额
-115.32%-23.9万
-115.32%-23.9万
-13.33%-5.1万
-133.33%-10.5万
-146.67%-11.1万
-152.27%-11.1万
-152.27%-11.1万
45.12%-4.5万
43.75%-4.5万
45.12%-4.5万
存货
15.99%96.5万
15.99%96.5万
13.08%90.8万
-14.66%81.5万
-18.72%71.2万
-19.92%83.2万
-19.92%83.2万
-1.83%80.3万
2.14%95.5万
-11.25%87.6万
预付费用
-15.70%45.1万
-15.70%45.1万
----
----
----
--53.5万
--53.5万
16.00%17.4万
-13.58%26.1万
----
其他流动资产
----
----
--28万
--50.2万
6.74%57万
-13.09%59.1万
-13.09%59.1万
----
----
--53.4万
流动资产合计
36.03%2,503.5万
36.03%2,503.5万
34.61%2,668.7万
61.08%2,111.7万
29.37%1,782.2万
2.98%1,840.4万
2.98%1,840.4万
11.58%1,982.6万
35.11%1,311万
-17.60%1,377.6万
非流动资产
固定资产净额
-12.54%1,384.8万
-12.54%1,384.8万
6.30%1,452.1万
0.99%1,444.2万
13.77%1,560.8万
21.20%1,583.3万
21.20%1,583.3万
5.24%1,366.1万
11.45%1,430.1万
6.37%1,371.9万
-固定资产
-2.00%2,929.5万
-2.00%2,929.5万
6.30%1,452.1万
0.99%1,444.2万
13.77%1,560.8万
36.00%2,989.3万
36.00%2,989.3万
5.24%1,366.1万
11.45%1,430.1万
6.37%1,371.9万
-累计折旧
-9.86%-1,544.7万
-9.86%-1,544.7万
----
----
----
-57.68%-1,406万
-57.68%-1,406万
----
----
----
投资和预付款
-4.74%241.2万
-4.74%241.2万
-2.61%257.4万
-5.90%252.2万
6.24%256.9万
8.16%253.2万
8.16%253.2万
8.72%264.3万
13.42%268万
0.88%241.8万
-金融资产投资
-4.72%236.3万
-4.72%236.3万
-2.61%257.4万
-5.90%252.2万
--256.9万
5.94%248万
5.94%248万
--264.3万
--268万
----
-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
----
----
----
----
----
--9.1万
--9.1万
----
----
----
-其中:可供出售证券
-4.72%236.3万
-4.72%236.3万
----
----
----
77.65%248万
77.65%248万
--264.3万
--268万
----
-其中:持至到期证券
----
----
----
----
----
--0
--0
--0
--0
----
-其他投资
-5.77%4.9万
-5.77%4.9万
----
----
----
--5.2万
--5.2万
----
----
----
商誉及其他无形资产
-4.75%622.1万
-4.75%622.1万
3.13%631.9万
-0.32%619.2万
6.10%652.5万
8.80%653.1万
8.80%653.1万
-0.16%612.7万
3.36%621.2万
0.11%615万
-商誉
-4.75%622.1万
-4.75%622.1万
----
----
----
8.80%653.1万
8.80%653.1万
----
----
----
其他非流动资产
86.32%17.7万
86.32%17.7万
----
----
----
--9.5万
--9.5万
----
----
----
非流动资产合计
-9.34%2,265.8万
-9.34%2,265.8万
4.38%2,341.4万
-0.16%2,315.6万
10.84%2,470.2万
16.74%2,499.1万
16.74%2,499.1万
4.09%2,243.1万
9.38%2,319.3万
3.97%2,228.7万
总资产
9.90%4,769.3万
9.90%4,769.3万
18.56%5,010.1万
21.95%4,427.3万
17.92%4,252.4万
10.48%4,339.5万
10.48%4,339.5万
7.47%4,225.7万
17.46%3,630.3万
-5.49%3,606.3万
负债
流动负债
短期借款与资本租赁负债
-40.06%105.2万
-40.06%105.2万
-16.30%107.8万
-23.74%66.8万
-58.76%75.1万
6.75%175.5万
6.75%175.5万
-13.50%128.8万
-42.41%87.6万
-65.11%182.1万
-短期借款
-67.44%32.4万
-67.44%32.4万
-42.18%27万
--10.8万
-88.47%10.8万
8.74%99.5万
8.74%99.5万
-50.05%46.7万
----
-79.70%93.7万
-短期资本租赁负债
-4.21%72.8万
-4.21%72.8万
-1.58%80.8万
-36.07%56万
-27.26%64.3万
4.25%76万
4.25%76万
48.19%82.1万
44.79%87.6万
46.36%88.4万
应付款项
69.64%157.6万
69.64%157.6万
150.58%497.4万
38.58%296.7万
-23.80%76.5万
-79.35%92.9万
-79.35%92.9万
-72.61%198.5万
52.71%214.1万
-71.67%100.4万
-应付账款
69.64%157.6万
69.64%157.6万
161.09%461.6万
103.38%258.9万
28.14%76.5万
-79.35%92.9万
-79.35%92.9万
-73.81%176.8万
10.03%127.3万
-80.84%59.7万
-应付税费
----
----
--35.8万
--37.8万
----
----
----
----
----
----
-其他应付款
----
----
----
----
----
----
----
-56.34%21.7万
254.29%86.8万
-4.91%40.7万
应计费用
32.14%118万
32.14%118万
19.47%90.8万
-53.23%36.2万
10.32%66.3万
-58.90%89.3万
-58.90%89.3万
26.46%76万
103.15%77.4万
99.67%60.1万
其他流动负债
----
----
----
----
----
----
----
----
----
8,850.00%17.9万
流动负债总额
6.46%380.8万
6.46%380.8万
72.58%696万
5.43%399.7万
-39.56%217.9万
-56.98%357.7万
-56.98%357.7万
-56.81%403.3万
14.74%379.1万
-60.24%360.5万
非流动负债
长期借款与租赁负债
29.57%237.5万
29.57%237.5万
15.84%272.8万
-1.29%299.3万
42.48%311.6万
14.56%183.3万
14.56%183.3万
16.41%235.5万
16.98%303.2万
-14.40%218.7万
-长期借款
775.00%94.5万
775.00%94.5万
137.68%135万
44.14%151.2万
45.52%151.2万
-89.35%10.8万
-89.35%10.8万
-62.23%56.8万
-45.68%104.9万
-47.34%103.9万
-长期租赁负债
-17.10%143万
-17.10%143万
-22.89%137.8万
-25.32%148.1万
39.72%160.4万
194.37%172.5万
194.37%172.5万
244.32%178.7万
200.00%198.3万
97.25%114.8万
递延负债
64.16%100.3万
64.16%100.3万
123.26%112.3万
44.30%77.2万
-25.08%46.3万
-4.68%61.1万
-4.68%61.1万
-31.38%50.3万
390.83%53.5万
77.59%61.8万
非流动负债总额
38.22%337.8万
38.22%337.8万
34.74%385.1万
5.55%376.5万
27.59%357.9万
9.06%244.4万
9.06%244.4万
3.70%285.8万
32.06%356.7万
-3.38%280.5万
负债总额
19.35%718.6万
19.35%718.6万
56.89%1,081.1万
5.49%776.2万
-10.17%575.8万
-42.96%602.1万
-42.96%602.1万
-43.02%689.1万
22.53%735.8万
-46.44%641万
所有者权益
股本
-0.42%4,766.2万
-0.42%4,766.2万
-0.09%4,782.3万
11.63%4,782.3万
12.27%4,787.5万
12.25%4,786.5万
12.25%4,786.5万
12.66%4,786.4万
0.86%4,284万
0.52%4,264.1万
-普通股股本
-0.42%4,766.2万
-0.42%4,766.2万
-0.09%4,782.3万
11.63%4,782.3万
12.27%4,787.5万
12.25%4,786.5万
12.25%4,786.5万
12.66%4,786.4万
0.86%4,284万
0.52%4,264.1万
资本公积
3.68%1,021.1万
3.68%1,021.1万
4.15%1,015.4万
15.35%1,008.3万
22.74%1,015.8万
19.56%984.9万
19.56%984.9万
16.81%974.9万
4.65%874.1万
7.10%827.6万
留存收益
18.55%-1,780.7万
18.55%-1,780.7万
13.76%-1,951.3万
8.19%-2,142.3万
-4.52%-2,276.8万
1.22%-2,186.2万
1.22%-2,186.2万
6.39%-2,262.6万
10.25%-2,333.4万
13.00%-2,178.3万
不影响留存收益的损益
-71.02%44.1万
-71.02%44.1万
117.94%82.6万
-95.99%2.8万
189.21%150.1万
6,441.67%152.2万
6,441.67%152.2万
-32.80%37.9万
843.24%69.8万
-4.77%51.9万
股东权益总额
8.38%4,050.7万
8.38%4,050.7万
11.10%3,929万
26.14%3,651.1万
23.99%3,676.6万
30.12%3,737.4万
30.12%3,737.4万
29.91%3,536.6万
16.23%2,894.5万
13.24%2,965.3万
总权益
8.38%4,050.7万
8.38%4,050.7万
11.10%3,929万
26.14%3,651.1万
23.99%3,676.6万
30.12%3,737.4万
30.12%3,737.4万
29.91%3,536.6万
16.23%2,894.5万
13.24%2,965.3万
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
--
--
--
--
(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(Q1)2024/03/31
资产
流动资产
现金及现金等价物和短期投资 16.00%1,194.2万16.00%1,194.2万0.16%994.8万54.35%855.4万7.64%847.9万213.11%1,029.5万213.11%1,029.5万420.00%993.2万57.49%554.2万-17.93%787.7万
-现金和现金等价物 16.00%1,194.2万16.00%1,194.2万0.16%994.8万54.35%855.4万7.64%847.9万213.11%1,029.5万213.11%1,029.5万420.00%993.2万57.49%554.2万-17.93%787.7万
应收款项 73.20%1,167.7万73.20%1,167.7万74.40%1,555.1万77.05%1,124.6万79.57%806.1万-47.59%674.2万-47.59%674.2万-40.12%891.7万28.40%635.2万-21.38%448.9万
-应收账款 88.13%959.1万88.13%959.1万77.77%1,335.2万80.73%949万191.27%667.6万-52.81%509.8万-52.81%509.8万-42.53%751.1万31.90%525.1万-52.03%229.2万
-其他应收款 32.48%232.5万32.48%232.5万55.07%225万62.39%186.1万-33.27%149.6万-16.71%175.5万-16.71%175.5万-23.79%145.1万9.56%114.6万121.10%224.2万
-应收账款调整额 -115.32%-23.9万-115.32%-23.9万-13.33%-5.1万-133.33%-10.5万-146.67%-11.1万-152.27%-11.1万-152.27%-11.1万45.12%-4.5万43.75%-4.5万45.12%-4.5万
存货 15.99%96.5万15.99%96.5万13.08%90.8万-14.66%81.5万-18.72%71.2万-19.92%83.2万-19.92%83.2万-1.83%80.3万2.14%95.5万-11.25%87.6万
预付费用 -15.70%45.1万-15.70%45.1万--------------53.5万--53.5万16.00%17.4万-13.58%26.1万----
其他流动资产 ----------28万--50.2万6.74%57万-13.09%59.1万-13.09%59.1万----------53.4万
流动资产合计 36.03%2,503.5万36.03%2,503.5万34.61%2,668.7万61.08%2,111.7万29.37%1,782.2万2.98%1,840.4万2.98%1,840.4万11.58%1,982.6万35.11%1,311万-17.60%1,377.6万
非流动资产
固定资产净额 -12.54%1,384.8万-12.54%1,384.8万6.30%1,452.1万0.99%1,444.2万13.77%1,560.8万21.20%1,583.3万21.20%1,583.3万5.24%1,366.1万11.45%1,430.1万6.37%1,371.9万
-固定资产 -2.00%2,929.5万-2.00%2,929.5万6.30%1,452.1万0.99%1,444.2万13.77%1,560.8万36.00%2,989.3万36.00%2,989.3万5.24%1,366.1万11.45%1,430.1万6.37%1,371.9万
-累计折旧 -9.86%-1,544.7万-9.86%-1,544.7万-------------57.68%-1,406万-57.68%-1,406万------------
投资和预付款 -4.74%241.2万-4.74%241.2万-2.61%257.4万-5.90%252.2万6.24%256.9万8.16%253.2万8.16%253.2万8.72%264.3万13.42%268万0.88%241.8万
-金融资产投资 -4.72%236.3万-4.72%236.3万-2.61%257.4万-5.90%252.2万--256.9万5.94%248万5.94%248万--264.3万--268万----
-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 ----------------------9.1万--9.1万------------
-其中:可供出售证券 -4.72%236.3万-4.72%236.3万------------77.65%248万77.65%248万--264.3万--268万----
-其中:持至到期证券 ----------------------0--0--0--0----
-其他投资 -5.77%4.9万-5.77%4.9万--------------5.2万--5.2万------------
商誉及其他无形资产 -4.75%622.1万-4.75%622.1万3.13%631.9万-0.32%619.2万6.10%652.5万8.80%653.1万8.80%653.1万-0.16%612.7万3.36%621.2万0.11%615万
-商誉 -4.75%622.1万-4.75%622.1万------------8.80%653.1万8.80%653.1万------------
其他非流动资产 86.32%17.7万86.32%17.7万--------------9.5万--9.5万------------
非流动资产合计 -9.34%2,265.8万-9.34%2,265.8万4.38%2,341.4万-0.16%2,315.6万10.84%2,470.2万16.74%2,499.1万16.74%2,499.1万4.09%2,243.1万9.38%2,319.3万3.97%2,228.7万
总资产 9.90%4,769.3万9.90%4,769.3万18.56%5,010.1万21.95%4,427.3万17.92%4,252.4万10.48%4,339.5万10.48%4,339.5万7.47%4,225.7万17.46%3,630.3万-5.49%3,606.3万
负债
流动负债
短期借款与资本租赁负债 -40.06%105.2万-40.06%105.2万-16.30%107.8万-23.74%66.8万-58.76%75.1万6.75%175.5万6.75%175.5万-13.50%128.8万-42.41%87.6万-65.11%182.1万
-短期借款 -67.44%32.4万-67.44%32.4万-42.18%27万--10.8万-88.47%10.8万8.74%99.5万8.74%99.5万-50.05%46.7万-----79.70%93.7万
-短期资本租赁负债 -4.21%72.8万-4.21%72.8万-1.58%80.8万-36.07%56万-27.26%64.3万4.25%76万4.25%76万48.19%82.1万44.79%87.6万46.36%88.4万
应付款项 69.64%157.6万69.64%157.6万150.58%497.4万38.58%296.7万-23.80%76.5万-79.35%92.9万-79.35%92.9万-72.61%198.5万52.71%214.1万-71.67%100.4万
-应付账款 69.64%157.6万69.64%157.6万161.09%461.6万103.38%258.9万28.14%76.5万-79.35%92.9万-79.35%92.9万-73.81%176.8万10.03%127.3万-80.84%59.7万
-应付税费 ----------35.8万--37.8万------------------------
-其他应付款 -----------------------------56.34%21.7万254.29%86.8万-4.91%40.7万
应计费用 32.14%118万32.14%118万19.47%90.8万-53.23%36.2万10.32%66.3万-58.90%89.3万-58.90%89.3万26.46%76万103.15%77.4万99.67%60.1万
其他流动负债 ------------------------------------8,850.00%17.9万
流动负债总额 6.46%380.8万6.46%380.8万72.58%696万5.43%399.7万-39.56%217.9万-56.98%357.7万-56.98%357.7万-56.81%403.3万14.74%379.1万-60.24%360.5万
非流动负债
长期借款与租赁负债 29.57%237.5万29.57%237.5万15.84%272.8万-1.29%299.3万42.48%311.6万14.56%183.3万14.56%183.3万16.41%235.5万16.98%303.2万-14.40%218.7万
-长期借款 775.00%94.5万775.00%94.5万137.68%135万44.14%151.2万45.52%151.2万-89.35%10.8万-89.35%10.8万-62.23%56.8万-45.68%104.9万-47.34%103.9万
-长期租赁负债 -17.10%143万-17.10%143万-22.89%137.8万-25.32%148.1万39.72%160.4万194.37%172.5万194.37%172.5万244.32%178.7万200.00%198.3万97.25%114.8万
递延负债 64.16%100.3万64.16%100.3万123.26%112.3万44.30%77.2万-25.08%46.3万-4.68%61.1万-4.68%61.1万-31.38%50.3万390.83%53.5万77.59%61.8万
非流动负债总额 38.22%337.8万38.22%337.8万34.74%385.1万5.55%376.5万27.59%357.9万9.06%244.4万9.06%244.4万3.70%285.8万32.06%356.7万-3.38%280.5万
负债总额 19.35%718.6万19.35%718.6万56.89%1,081.1万5.49%776.2万-10.17%575.8万-42.96%602.1万-42.96%602.1万-43.02%689.1万22.53%735.8万-46.44%641万
所有者权益
股本 -0.42%4,766.2万-0.42%4,766.2万-0.09%4,782.3万11.63%4,782.3万12.27%4,787.5万12.25%4,786.5万12.25%4,786.5万12.66%4,786.4万0.86%4,284万0.52%4,264.1万
-普通股股本 -0.42%4,766.2万-0.42%4,766.2万-0.09%4,782.3万11.63%4,782.3万12.27%4,787.5万12.25%4,786.5万12.25%4,786.5万12.66%4,786.4万0.86%4,284万0.52%4,264.1万
资本公积 3.68%1,021.1万3.68%1,021.1万4.15%1,015.4万15.35%1,008.3万22.74%1,015.8万19.56%984.9万19.56%984.9万16.81%974.9万4.65%874.1万7.10%827.6万
留存收益 18.55%-1,780.7万18.55%-1,780.7万13.76%-1,951.3万8.19%-2,142.3万-4.52%-2,276.8万1.22%-2,186.2万1.22%-2,186.2万6.39%-2,262.6万10.25%-2,333.4万13.00%-2,178.3万
不影响留存收益的损益 -71.02%44.1万-71.02%44.1万117.94%82.6万-95.99%2.8万189.21%150.1万6,441.67%152.2万6,441.67%152.2万-32.80%37.9万843.24%69.8万-4.77%51.9万
股东权益总额 8.38%4,050.7万8.38%4,050.7万11.10%3,929万26.14%3,651.1万23.99%3,676.6万30.12%3,737.4万30.12%3,737.4万29.91%3,536.6万16.23%2,894.5万13.24%2,965.3万
总权益 8.38%4,050.7万8.38%4,050.7万11.10%3,929万26.14%3,651.1万23.99%3,676.6万30.12%3,737.4万30.12%3,737.4万29.91%3,536.6万16.23%2,894.5万13.24%2,965.3万
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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