加拿大市场个股详情

CF Canaccord Genuity Group Inc

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  • 8.800
  • -0.040-0.45%
延时15分钟行情已收盘 07/05 16:00 (美东)
8.10亿总市值-32592市盈率TTM

Canaccord Genuity Group Inc关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2024/03/31
(Q4)2024/03/31
(Q3)2023/12/31
(Q2)2023/09/30
(Q1)2023/06/30
(FY)2023/03/31
(Q4)2023/03/31
(Q3)2022/12/31
(Q2)2022/09/30
(Q1)2022/06/30
资产
流动资产
现金及现金等价物和短期投资
-16.99%14.31亿
-16.99%14.31亿
-26.46%12.29亿
-35.46%10.85亿
-37.50%10.76亿
-39.30%17.24亿
-39.30%17.24亿
-43.34%16.71亿
-41.28%16.81亿
-31.30%17.22亿
-现金和现金等价物
-15.16%8.56亿
-15.16%8.56亿
-25.85%6.62亿
-50.37%4.7亿
-41.46%6.06亿
-43.61%10.08亿
-43.61%10.08亿
-50.11%8.93亿
-45.13%9.47亿
-24.19%10.35亿
-应收账款
-8.64%7.95亿
-8.64%7.95亿
-30.22%6.64亿
-19.89%8.54亿
-23.29%7.97亿
-14.73%8.7亿
-14.73%8.7亿
4.04%9.52亿
-17.42%10.67亿
-1.40%10.39亿
-其他应收款
3.82%14.14亿
3.82%14.14亿
-36.64%7.45亿
18.28%13.64亿
-21.77%8.82亿
2.07%13.62亿
2.07%13.62亿
5.31%11.76亿
-24.80%11.53亿
-29.60%11.28亿
预付费用
0.00%2.06亿
0.00%2.06亿
0.00%2.06亿
0.00%2.06亿
0.00%2.06亿
0.00%2.06亿
0.00%2.06亿
0.00%2.06亿
0.00%2.06亿
0.00%2.06亿
流动资产合计
-4.35%48.9亿
-4.35%48.9亿
-25.13%36.73亿
-14.25%43.01亿
-20.93%38.8亿
-18.59%51.13亿
-18.59%51.13亿
-19.53%49.06亿
-29.96%50.16亿
-23.15%49.08亿
非流动资产
-累计折旧
-16.53%-2.47亿
-16.53%-2.47亿
----
----
----
-18.58%-2.12亿
-18.58%-2.12亿
----
----
----
投资物业
-25.25%864.8万
-25.25%864.8万
-1.53%1,140.8万
-1.69%1,153.7万
1.84%1,140.8万
5.27%1,156.9万
5.27%1,156.9万
4.87%1,158.5万
66.27%1,173.5万
26.16%1,120.2万
-长期股权投资
44.70%5.59亿
44.70%5.59亿
11.08%4.34亿
-75.39%9,558万
-3.12%3.83亿
56.34%3.86亿
56.34%3.86亿
79.39%3.91亿
82.07%3.88亿
225.90%3.95亿
-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
-25.25%864.8万
-25.25%864.8万
-1.53%1,140.8万
-1.69%1,153.7万
1.84%1,140.8万
5.27%1,156.9万
5.27%1,156.9万
4.87%1,158.5万
66.27%1,173.5万
26.16%1,120.2万
长期应收票据
-21.74%7,100.4万
-21.74%7,100.4万
-6.72%6,618.2万
4.39%6,882.3万
-6.36%7,365.7万
-7.63%9,073.3万
-7.63%9,073.3万
-20.45%7,095万
-21.21%6,592.8万
1.81%7,866.1万
-商誉
-2.68%9.04亿
-2.68%9.04亿
-0.90%9.16亿
-8.53%9.15亿
-3.70%9.28亿
33.20%9.29亿
33.20%9.29亿
27.36%9.24亿
91.52%10.01亿
83.58%9.64亿
-其他无形资产
-33.94%561.2万
-33.94%561.2万
-35.66%520.1万
-25.34%849.5万
-25.34%849.5万
-25.34%849.5万
-25.34%849.5万
-28.95%808.4万
--1,137.8万
--1,137.8万
监管资产
4.37%31.91亿
4.37%31.91亿
-23.36%21.76亿
2.62%29.34亿
-5.68%25.11亿
4.40%30.57亿
4.40%30.57亿
6.44%28.4亿
-24.24%28.59亿
-20.74%26.62亿
总资产
-1.33%3,375.3万
-1.33%3,375.3万
-19.30%4,036.1万
3.63%5,786.5万
73.21%5,504万
1,639.15%3,420.9万
1,639.15%3,420.9万
422.69%5,001.1万
596.95%5,584万
83.24%3,177.7万
负债
流动负债
短期借款与资本租赁负债
-3.79%4,575.1万
-3.79%4,575.1万
-30.60%4.73亿
22.33%7.05亿
-11.32%4.24亿
25.14%4,755.4万
25.14%4,755.4万
-25.48%6.82亿
-54.25%5.76亿
-51.24%4.78亿
-短期借款
1.58%2,117.2万
1.58%2,117.2万
-31.67%4.48亿
23.35%6.79亿
-12.63%3.97亿
48.09%2,084.2万
48.09%2,084.2万
-26.44%6.55亿
-55.39%5.5亿
-52.45%4.54亿
-短期资本租赁负债
-7.99%2,457.9万
-7.99%2,457.9万
-4.35%2,552万
0.56%2,582.3万
14.31%2,655.8万
11.63%2,671.2万
11.63%2,671.2万
9.14%2,668.1万
0.56%2,567.9万
-2.78%2,323.3万
-应付账款
-10.73%15.52亿
-10.73%15.52亿
-26.23%12.88亿
-31.20%14.15亿
-32.24%14.28亿
-34.45%17.39亿
-34.45%17.39亿
-28.52%17.46亿
-26.71%20.56亿
-20.29%21.07亿
-应付税费
35.95%7.35亿
35.95%7.35亿
7.36%5.87亿
-53.85%2.48亿
0.33%5.37亿
55.42%5.4亿
55.42%5.4亿
68.54%5.47亿
98.47%5.37亿
234.72%5.35亿
应计费用
-19.73%4.98亿
-19.73%4.98亿
-24.53%4.16亿
-26.42%3.68亿
-13.26%3.81亿
-27.84%6.2亿
-27.84%6.2亿
-36.71%5.51亿
-22.17%4.99亿
-16.82%4.39亿
现行拨备
6.85%2,100.7万
6.85%2,100.7万
133.44%2,036.1万
217.47%2,526.1万
142.92%2,204.3万
139.11%1,966万
139.11%1,966万
30.32%872.2万
5.31%795.7万
17.22%907.4万
流动负债总额
-7.46%40.38亿
-7.46%40.38亿
-29.38%29.53亿
-10.06%38.88亿
-24.46%31.55亿
-20.46%43.63亿
-20.46%43.63亿
-22.10%41.82亿
-30.91%43.22亿
-28.10%41.77亿
非流动负债
-长期借款
105.53%1.9亿
105.53%1.9亿
49.72%1.44亿
-6.05%9,558万
-15.89%8,554.8万
-8.95%9,252.6万
-8.95%9,252.6万
51.53%9,588.7万
71.61%1.02亿
58.68%1.02亿
长期应计费用
67.39%2.54亿
67.39%2.54亿
33.51%2.14亿
-4.02%1.59亿
-8.98%1.44亿
0.13%1.52亿
0.13%1.52亿
55.58%1.6亿
69.17%1.66亿
55.49%1.58亿
衍生品负债
78.28%1.1亿
78.28%1.1亿
----
----
----
--6,170.5万
--6,170.5万
----
----
----
长期拨备
25.55%3.69亿
25.55%3.69亿
-1.49%2.9亿
----
1.31%2.97亿
101.96%2.94亿
101.96%2.94亿
90.80%2.95亿
86.10%2.87亿
413.61%2.93亿
非流动负债总额
-2.68%47.72亿
-2.68%47.72亿
-25.14%35.4亿
-14.90%41.35亿
-21.65%36.92亿
-15.94%49.04亿
-15.94%49.04亿
-16.93%47.29亿
-25.55%48.59亿
-21.06%47.12亿
所有者权益
股本
6.50%8.22亿
6.50%8.22亿
7.39%8.27亿
8.95%8.28亿
6.59%8.28亿
-1.26%7.72亿
-1.26%7.72亿
-2.21%7.7亿
-8.52%7.6亿
-9.03%7.76亿
-普通股股本
8.86%6.17亿
8.86%6.17亿
10.08%6.22亿
12.27%6.22亿
8.97%6.22亿
-1.70%5.66亿
-1.70%5.66亿
-2.99%5.65亿
-11.32%5.54亿
-11.90%5.71亿
资本公积
--0
--0
--0
--0
-125.36%-529.5万
-23.10%4,940万
-23.10%4,940万
--1,518万
-38.76%1,979.2万
-45.17%2,088万
留存收益
-19.05%2.69亿
-19.05%2.69亿
-32.15%2.68亿
-40.71%2.82亿
-44.02%2.93亿
-35.16%3.32亿
-35.16%3.32亿
-17.52%3.95亿
-9.37%4.76亿
0.40%5.24亿
不影响留存收益的损益
3.90%1.09亿
3.90%1.09亿
23.89%9,228.7万
56.59%7,967万
50.53%7,635.4万
52.25%1.05亿
52.25%1.05亿
-29.62%7,449.2万
-52.30%5,087.9万
-47.46%5,072.4万
非控制性权益
-34.71%426.5万
-34.71%426.5万
-40.73%426.5万
-53.81%426.5万
-29.47%648.9万
-45.28%653.2万
-45.28%653.2万
-47.73%719.6万
-30.95%923.4万
--920万
总权益
-2.70%61.32亿
-2.70%61.32亿
-19.66%48.85亿
-12.91%54.6亿
-17.70%50.43亿
-13.07%63.02亿
-13.07%63.02亿
-13.63%60.8亿
-20.50%62.69亿
-13.68%61.28亿
(FY)2024/03/31(Q4)2024/03/31(Q3)2023/12/31(Q2)2023/09/30(Q1)2023/06/30(FY)2023/03/31(Q4)2023/03/31(Q3)2022/12/31(Q2)2022/09/30(Q1)2022/06/30
资产
流动资产
现金及现金等价物和短期投资 -16.99%14.31亿-16.99%14.31亿-26.46%12.29亿-35.46%10.85亿-37.50%10.76亿-39.30%17.24亿-39.30%17.24亿-43.34%16.71亿-41.28%16.81亿-31.30%17.22亿
-现金和现金等价物 -15.16%8.56亿-15.16%8.56亿-25.85%6.62亿-50.37%4.7亿-41.46%6.06亿-43.61%10.08亿-43.61%10.08亿-50.11%8.93亿-45.13%9.47亿-24.19%10.35亿
-应收账款 -8.64%7.95亿-8.64%7.95亿-30.22%6.64亿-19.89%8.54亿-23.29%7.97亿-14.73%8.7亿-14.73%8.7亿4.04%9.52亿-17.42%10.67亿-1.40%10.39亿
-其他应收款 3.82%14.14亿3.82%14.14亿-36.64%7.45亿18.28%13.64亿-21.77%8.82亿2.07%13.62亿2.07%13.62亿5.31%11.76亿-24.80%11.53亿-29.60%11.28亿
预付费用 0.00%2.06亿0.00%2.06亿0.00%2.06亿0.00%2.06亿0.00%2.06亿0.00%2.06亿0.00%2.06亿0.00%2.06亿0.00%2.06亿0.00%2.06亿
流动资产合计 -4.35%48.9亿-4.35%48.9亿-25.13%36.73亿-14.25%43.01亿-20.93%38.8亿-18.59%51.13亿-18.59%51.13亿-19.53%49.06亿-29.96%50.16亿-23.15%49.08亿
非流动资产
-累计折旧 -16.53%-2.47亿-16.53%-2.47亿-------------18.58%-2.12亿-18.58%-2.12亿------------
投资物业 -25.25%864.8万-25.25%864.8万-1.53%1,140.8万-1.69%1,153.7万1.84%1,140.8万5.27%1,156.9万5.27%1,156.9万4.87%1,158.5万66.27%1,173.5万26.16%1,120.2万
-长期股权投资 44.70%5.59亿44.70%5.59亿11.08%4.34亿-75.39%9,558万-3.12%3.83亿56.34%3.86亿56.34%3.86亿79.39%3.91亿82.07%3.88亿225.90%3.95亿
-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 -25.25%864.8万-25.25%864.8万-1.53%1,140.8万-1.69%1,153.7万1.84%1,140.8万5.27%1,156.9万5.27%1,156.9万4.87%1,158.5万66.27%1,173.5万26.16%1,120.2万
长期应收票据 -21.74%7,100.4万-21.74%7,100.4万-6.72%6,618.2万4.39%6,882.3万-6.36%7,365.7万-7.63%9,073.3万-7.63%9,073.3万-20.45%7,095万-21.21%6,592.8万1.81%7,866.1万
-商誉 -2.68%9.04亿-2.68%9.04亿-0.90%9.16亿-8.53%9.15亿-3.70%9.28亿33.20%9.29亿33.20%9.29亿27.36%9.24亿91.52%10.01亿83.58%9.64亿
-其他无形资产 -33.94%561.2万-33.94%561.2万-35.66%520.1万-25.34%849.5万-25.34%849.5万-25.34%849.5万-25.34%849.5万-28.95%808.4万--1,137.8万--1,137.8万
监管资产 4.37%31.91亿4.37%31.91亿-23.36%21.76亿2.62%29.34亿-5.68%25.11亿4.40%30.57亿4.40%30.57亿6.44%28.4亿-24.24%28.59亿-20.74%26.62亿
总资产 -1.33%3,375.3万-1.33%3,375.3万-19.30%4,036.1万3.63%5,786.5万73.21%5,504万1,639.15%3,420.9万1,639.15%3,420.9万422.69%5,001.1万596.95%5,584万83.24%3,177.7万
负债
流动负债
短期借款与资本租赁负债 -3.79%4,575.1万-3.79%4,575.1万-30.60%4.73亿22.33%7.05亿-11.32%4.24亿25.14%4,755.4万25.14%4,755.4万-25.48%6.82亿-54.25%5.76亿-51.24%4.78亿
-短期借款 1.58%2,117.2万1.58%2,117.2万-31.67%4.48亿23.35%6.79亿-12.63%3.97亿48.09%2,084.2万48.09%2,084.2万-26.44%6.55亿-55.39%5.5亿-52.45%4.54亿
-短期资本租赁负债 -7.99%2,457.9万-7.99%2,457.9万-4.35%2,552万0.56%2,582.3万14.31%2,655.8万11.63%2,671.2万11.63%2,671.2万9.14%2,668.1万0.56%2,567.9万-2.78%2,323.3万
-应付账款 -10.73%15.52亿-10.73%15.52亿-26.23%12.88亿-31.20%14.15亿-32.24%14.28亿-34.45%17.39亿-34.45%17.39亿-28.52%17.46亿-26.71%20.56亿-20.29%21.07亿
-应付税费 35.95%7.35亿35.95%7.35亿7.36%5.87亿-53.85%2.48亿0.33%5.37亿55.42%5.4亿55.42%5.4亿68.54%5.47亿98.47%5.37亿234.72%5.35亿
应计费用 -19.73%4.98亿-19.73%4.98亿-24.53%4.16亿-26.42%3.68亿-13.26%3.81亿-27.84%6.2亿-27.84%6.2亿-36.71%5.51亿-22.17%4.99亿-16.82%4.39亿
现行拨备 6.85%2,100.7万6.85%2,100.7万133.44%2,036.1万217.47%2,526.1万142.92%2,204.3万139.11%1,966万139.11%1,966万30.32%872.2万5.31%795.7万17.22%907.4万
流动负债总额 -7.46%40.38亿-7.46%40.38亿-29.38%29.53亿-10.06%38.88亿-24.46%31.55亿-20.46%43.63亿-20.46%43.63亿-22.10%41.82亿-30.91%43.22亿-28.10%41.77亿
非流动负债
-长期借款 105.53%1.9亿105.53%1.9亿49.72%1.44亿-6.05%9,558万-15.89%8,554.8万-8.95%9,252.6万-8.95%9,252.6万51.53%9,588.7万71.61%1.02亿58.68%1.02亿
长期应计费用 67.39%2.54亿67.39%2.54亿33.51%2.14亿-4.02%1.59亿-8.98%1.44亿0.13%1.52亿0.13%1.52亿55.58%1.6亿69.17%1.66亿55.49%1.58亿
衍生品负债 78.28%1.1亿78.28%1.1亿--------------6,170.5万--6,170.5万------------
长期拨备 25.55%3.69亿25.55%3.69亿-1.49%2.9亿----1.31%2.97亿101.96%2.94亿101.96%2.94亿90.80%2.95亿86.10%2.87亿413.61%2.93亿
非流动负债总额 -2.68%47.72亿-2.68%47.72亿-25.14%35.4亿-14.90%41.35亿-21.65%36.92亿-15.94%49.04亿-15.94%49.04亿-16.93%47.29亿-25.55%48.59亿-21.06%47.12亿
所有者权益
股本 6.50%8.22亿6.50%8.22亿7.39%8.27亿8.95%8.28亿6.59%8.28亿-1.26%7.72亿-1.26%7.72亿-2.21%7.7亿-8.52%7.6亿-9.03%7.76亿
-普通股股本 8.86%6.17亿8.86%6.17亿10.08%6.22亿12.27%6.22亿8.97%6.22亿-1.70%5.66亿-1.70%5.66亿-2.99%5.65亿-11.32%5.54亿-11.90%5.71亿
资本公积 --0--0--0--0-125.36%-529.5万-23.10%4,940万-23.10%4,940万--1,518万-38.76%1,979.2万-45.17%2,088万
留存收益 -19.05%2.69亿-19.05%2.69亿-32.15%2.68亿-40.71%2.82亿-44.02%2.93亿-35.16%3.32亿-35.16%3.32亿-17.52%3.95亿-9.37%4.76亿0.40%5.24亿
不影响留存收益的损益 3.90%1.09亿3.90%1.09亿23.89%9,228.7万56.59%7,967万50.53%7,635.4万52.25%1.05亿52.25%1.05亿-29.62%7,449.2万-52.30%5,087.9万-47.46%5,072.4万
非控制性权益 -34.71%426.5万-34.71%426.5万-40.73%426.5万-53.81%426.5万-29.47%648.9万-45.28%653.2万-45.28%653.2万-47.73%719.6万-30.95%923.4万--920万
总权益 -2.70%61.32亿-2.70%61.32亿-19.66%48.85亿-12.91%54.6亿-17.70%50.43亿-13.07%63.02亿-13.07%63.02亿-13.63%60.8亿-20.50%62.69亿-13.68%61.28亿

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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