加拿大市场个股详情

CVO Coveo Solutions Inc

添加自选
  • 6.790
  • -0.360-5.03%
延时15分钟行情已收盘 02/25 16:00 (美东)
6.51亿总市值-42.97市盈率TTM

Coveo Solutions Inc关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2024/12/31
(Q2)2024/09/30
(Q1)2024/06/30
(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
资产
流动资产
现金及现金等价物和短期投资
-26.98%1.19亿
-23.63%1.28亿
-16.61%1.68亿
-16.06%1.67亿
-16.06%1.67亿
-21.41%1.63亿
-18.07%1.68亿
-7.58%2.01亿
-11.04%1.98亿
-11.04%1.98亿
-现金和现金等价物
-26.98%1.19亿
-23.63%1.28亿
-16.61%1.68亿
-16.06%1.67亿
-16.06%1.67亿
-21.41%1.63亿
-18.07%1.68亿
-7.58%2.01亿
-11.04%1.98亿
-11.04%1.98亿
应收款项
14.34%3,850.6万
10.28%2,731.2万
16.33%3,073.3万
23.58%2,994.7万
23.58%2,994.7万
22.51%3,367.8万
-20.75%2,476.7万
1.94%2,641.9万
-4.88%2,423.3万
-4.88%2,423.3万
-应收账款
15.41%3,745.4万
14.37%2,634.4万
15.98%2,952.9万
25.71%2,840万
25.71%2,840万
68.16%3,245.2万
-6.43%2,303.5万
33.87%2,546.1万
-8.24%2,259.2万
-8.24%2,259.2万
-应收税费
-17.70%58.6万
-61.42%46.3万
3.07%77.1万
-0.23%130.3万
-0.23%130.3万
-90.69%71.2万
-81.68%120万
-89.04%74.8万
48.07%130.6万
48.07%130.6万
-其他应收款
-11.15%52.6万
-6.89%56.8万
-3.68%49.8万
-26.43%30.9万
-26.43%30.9万
8.62%59.2万
643.90%61万
608.22%51.7万
431.65%42万
431.65%42万
-应收账款调整额
23.08%-6万
19.23%-6.3万
78.83%-6.5万
23.53%-6.5万
23.53%-6.5万
---7.8万
---7.8万
---30.7万
19.81%-8.5万
19.81%-8.5万
预付费用
-2.86%675.8万
44.23%962.6万
23.72%841.2万
-0.98%862.2万
-0.98%862.2万
52.13%695.7万
35.10%667.4万
22.28%679.9万
48.56%870.7万
48.56%870.7万
其他流动资产
-19.88%914.4万
-19.63%708.9万
-45.25%522.6万
39.83%998.7万
39.83%998.7万
--1,141.3万
--882.1万
--954.5万
-31.61%714.2万
-31.61%714.2万
流动资产合计
-19.36%1.74亿
-17.25%1.72亿
-13.04%2.12亿
-9.81%2.15亿
-9.81%2.15亿
-10.21%2.15亿
-13.66%2.08亿
-2.09%2.44亿
-9.94%2.39亿
-9.94%2.39亿
非流动资产
固定资产净额
-30.97%878.5万
-23.32%1,006.4万
-24.19%1,061万
-19.67%1,164万
-19.67%1,164万
-15.17%1,272.7万
-13.06%1,312.4万
-16.52%1,399.6万
-19.31%1,449.1万
-19.31%1,449.1万
-固定资产
-30.97%878.5万
-23.32%1,006.4万
-24.19%1,061万
-4.25%2,305.7万
-4.25%2,305.7万
-15.17%1,272.7万
-13.06%1,312.4万
-16.52%1,399.6万
-11.45%2,408.1万
-11.45%2,408.1万
-累计折旧
----
----
----
-19.05%-1,141.7万
-19.05%-1,141.7万
----
----
----
-3.82%-959万
-3.82%-959万
商誉及其他无形资产
-9.15%3,233.7万
-2.22%3,453.8万
-16.03%3,398.4万
-14.92%3,467万
-14.92%3,467万
-13.77%3,559.4万
-11.97%3,532.2万
-7.28%4,047.1万
-13.69%4,074.9万
-13.69%4,074.9万
-商誉
-1.00%2,583.1万
5.81%2,691.1万
-0.30%2,598.5万
1.24%2,596万
1.24%2,596万
3.07%2,609.2万
5.47%2,543.4万
2.66%2,606.2万
-3.64%2,564.2万
-3.64%2,564.2万
-其他无形资产
-31.53%650.6万
-22.87%762.7万
-44.49%799.9万
-42.34%871万
-42.34%871万
-40.49%950.2万
-38.25%988.8万
-21.10%1,440.9万
-26.68%1,510.7万
-26.68%1,510.7万
非流动递延资产
-7.79%1,324万
-8.97%1,290.6万
-10.32%1,320.5万
-4.06%1,443.3万
-4.06%1,443.3万
-3.54%1,435.8万
-3.24%1,417.7万
-2.59%1,472.5万
-2.78%1,504.4万
-2.78%1,504.4万
非流动资产合计
-13.27%5,436.2万
-8.17%5,750.8万
-16.47%5,779.9万
-13.57%6,074.3万
-13.57%6,074.3万
-11.93%6,267.9万
-10.38%6,262.3万
-8.39%6,919.2万
-12.85%7,028.4万
-12.85%7,028.4万
总资产
-17.98%2.28亿
-15.15%2.3亿
-13.80%2.7亿
-10.66%2.76亿
-10.66%2.76亿
-10.60%2.78亿
-12.92%2.71亿
-3.56%3.13亿
-10.62%3.09亿
-10.62%3.09亿
负债
流动负债
短期借款与资本租赁负债
-16.13%174.7万
0.48%208.2万
0.34%208.9万
11.61%215.3万
11.61%215.3万
9.52%208.3万
14.92%207.2万
11.46%208.2万
0.68%192.9万
0.68%192.9万
-短期资本租赁负债
-16.13%174.7万
0.48%208.2万
0.34%208.9万
11.61%215.3万
11.61%215.3万
9.52%208.3万
14.92%207.2万
11.46%208.2万
0.68%192.9万
0.68%192.9万
应付款项
7.14%324万
-22.01%294.5万
3.22%297.7万
13.98%408.5万
13.98%408.5万
10.00%302.4万
0.99%377.6万
4.12%288.4万
11.62%358.4万
11.62%358.4万
-应付账款
22.41%290万
-46.82%194.7万
-8.95%207.5万
-5.90%288.9万
-5.90%288.9万
1.85%236.9万
19.41%366.1万
1.65%227.9万
21.15%307万
21.15%307万
-应付税费
-48.09%34万
767.83%99.8万
49.09%90.2万
132.68%119.6万
132.68%119.6万
54.85%65.5万
-82.91%11.5万
14.58%60.5万
-24.08%51.4万
-24.08%51.4万
应计费用
13.76%648.2万
114.52%1,170万
19.74%4,234.6万
-4.79%485.2万
-4.79%485.2万
-4.36%569.8万
-4.70%545.4万
558.08%3,536.5万
-19.82%509.6万
-19.82%509.6万
养老金及其他退休福利计划
-13.18%1,145.6万
-14.63%1,112.6万
-7.80%1,205.8万
1.02%1,288.5万
1.02%1,288.5万
3.79%1,319.5万
20.39%1,303.2万
5.12%1,307.8万
-4.41%1,275.5万
-4.41%1,275.5万
递延负债
10.72%7,102.2万
14.82%6,322.8万
8.03%6,481.8万
17.14%6,473.1万
17.14%6,473.1万
21.82%6,414.5万
3.81%5,506.7万
25.76%6,000万
10.79%5,526万
10.79%5,526万
流动负债总额
6.58%9,394.7万
14.71%9,108.1万
9.59%1.24亿
12.82%8,870.6万
12.82%8,870.6万
16.01%8,814.5万
5.67%7,940.1万
61.64%1.13亿
5.25%7,862.4万
5.25%7,862.4万
非流动负债
长期借款与租赁负债
-32.15%515.9万
-25.72%585万
-27.45%624.3万
-22.99%688.5万
-22.99%688.5万
-19.47%760.4万
-16.68%787.6万
-18.51%860.5万
-19.96%894万
-19.96%894万
-长期租赁负债
-32.15%515.9万
-25.72%585万
-27.45%624.3万
-22.99%688.5万
-22.99%688.5万
-19.47%760.4万
-16.68%787.6万
-18.51%860.5万
-19.96%894万
-19.96%894万
递延负债
--0
-14.05%155.4万
-37.67%162万
-34.91%177.1万
-34.91%177.1万
-45.28%172.3万
-43.57%180.8万
-26.81%259.9万
-35.06%272.1万
-35.06%272.1万
非流动负债总额
-44.69%515.9万
-23.54%740.4万
-29.82%786.3万
-25.77%865.6万
-25.77%865.6万
-25.93%932.7万
-23.49%968.4万
-20.60%1,120.4万
-24.08%1,166.1万
-24.08%1,166.1万
负债总额
1.68%9,910.6万
10.55%9,848.5万
6.05%1.32亿
7.84%9,736.2万
7.84%9,736.2万
10.05%9,747.2万
1.47%8,908.5万
47.87%1.25亿
0.25%9,028.5万
0.25%9,028.5万
所有者权益
股本
-7.99%7.68亿
-7.15%7.77亿
-3.62%8.38亿
-3.70%8.36亿
-3.70%8.36亿
-3.64%8.34亿
-2.96%8.37亿
1.04%8.7亿
0.98%8.68亿
0.98%8.68亿
-普通股股本
-7.99%7.68亿
-7.15%7.77亿
-3.62%8.38亿
-3.70%8.36亿
-3.70%8.36亿
-3.64%8.34亿
-2.96%8.37亿
1.04%8.7亿
0.98%8.68亿
0.98%8.68亿
资本公积
96.02%7,373万
97.20%6,707.4万
54.07%4,244.7万
56.01%4,048.4万
56.01%4,048.4万
44.95%3,761.3万
35.18%3,401.4万
34.05%2,755万
69.66%2,594.9万
69.66%2,594.9万
留存收益
-1.76%-6.63亿
-4.18%-6.72亿
-4.58%-6.99亿
-3.74%-6.56亿
-3.74%-6.56亿
-4.29%-6.52亿
-4.99%-6.45亿
-10.52%-6.68亿
-6.71%-6.32亿
-6.71%-6.32亿
不影响留存收益的损益
-23.83%-4,960.7万
7.61%-4,083.2万
-8.89%-4,400.2万
2.74%-4,263.4万
2.74%-4,263.4万
10.63%-4,006.2万
11.81%-4,419.3万
-11.78%-4,040.9万
-59.14%-4,383.7万
-59.14%-4,383.7万
股东权益总额
-28.61%1.29亿
-27.75%1.31亿
-26.92%1.38亿
-18.31%1.79亿
-18.31%1.79亿
-18.83%1.8亿
-18.59%1.82亿
-21.59%1.89亿
-14.45%2.19亿
-14.45%2.19亿
总权益
-28.61%1.29亿
-27.75%1.31亿
-26.92%1.38亿
-18.31%1.79亿
-18.31%1.79亿
-18.83%1.8亿
-18.59%1.82亿
-21.59%1.89亿
-14.45%2.19亿
-14.45%2.19亿
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
--
(Q3)2024/12/31(Q2)2024/09/30(Q1)2024/06/30(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
资产
流动资产
现金及现金等价物和短期投资 -26.98%1.19亿-23.63%1.28亿-16.61%1.68亿-16.06%1.67亿-16.06%1.67亿-21.41%1.63亿-18.07%1.68亿-7.58%2.01亿-11.04%1.98亿-11.04%1.98亿
-现金和现金等价物 -26.98%1.19亿-23.63%1.28亿-16.61%1.68亿-16.06%1.67亿-16.06%1.67亿-21.41%1.63亿-18.07%1.68亿-7.58%2.01亿-11.04%1.98亿-11.04%1.98亿
应收款项 14.34%3,850.6万10.28%2,731.2万16.33%3,073.3万23.58%2,994.7万23.58%2,994.7万22.51%3,367.8万-20.75%2,476.7万1.94%2,641.9万-4.88%2,423.3万-4.88%2,423.3万
-应收账款 15.41%3,745.4万14.37%2,634.4万15.98%2,952.9万25.71%2,840万25.71%2,840万68.16%3,245.2万-6.43%2,303.5万33.87%2,546.1万-8.24%2,259.2万-8.24%2,259.2万
-应收税费 -17.70%58.6万-61.42%46.3万3.07%77.1万-0.23%130.3万-0.23%130.3万-90.69%71.2万-81.68%120万-89.04%74.8万48.07%130.6万48.07%130.6万
-其他应收款 -11.15%52.6万-6.89%56.8万-3.68%49.8万-26.43%30.9万-26.43%30.9万8.62%59.2万643.90%61万608.22%51.7万431.65%42万431.65%42万
-应收账款调整额 23.08%-6万19.23%-6.3万78.83%-6.5万23.53%-6.5万23.53%-6.5万---7.8万---7.8万---30.7万19.81%-8.5万19.81%-8.5万
预付费用 -2.86%675.8万44.23%962.6万23.72%841.2万-0.98%862.2万-0.98%862.2万52.13%695.7万35.10%667.4万22.28%679.9万48.56%870.7万48.56%870.7万
其他流动资产 -19.88%914.4万-19.63%708.9万-45.25%522.6万39.83%998.7万39.83%998.7万--1,141.3万--882.1万--954.5万-31.61%714.2万-31.61%714.2万
流动资产合计 -19.36%1.74亿-17.25%1.72亿-13.04%2.12亿-9.81%2.15亿-9.81%2.15亿-10.21%2.15亿-13.66%2.08亿-2.09%2.44亿-9.94%2.39亿-9.94%2.39亿
非流动资产
固定资产净额 -30.97%878.5万-23.32%1,006.4万-24.19%1,061万-19.67%1,164万-19.67%1,164万-15.17%1,272.7万-13.06%1,312.4万-16.52%1,399.6万-19.31%1,449.1万-19.31%1,449.1万
-固定资产 -30.97%878.5万-23.32%1,006.4万-24.19%1,061万-4.25%2,305.7万-4.25%2,305.7万-15.17%1,272.7万-13.06%1,312.4万-16.52%1,399.6万-11.45%2,408.1万-11.45%2,408.1万
-累计折旧 -------------19.05%-1,141.7万-19.05%-1,141.7万-------------3.82%-959万-3.82%-959万
商誉及其他无形资产 -9.15%3,233.7万-2.22%3,453.8万-16.03%3,398.4万-14.92%3,467万-14.92%3,467万-13.77%3,559.4万-11.97%3,532.2万-7.28%4,047.1万-13.69%4,074.9万-13.69%4,074.9万
-商誉 -1.00%2,583.1万5.81%2,691.1万-0.30%2,598.5万1.24%2,596万1.24%2,596万3.07%2,609.2万5.47%2,543.4万2.66%2,606.2万-3.64%2,564.2万-3.64%2,564.2万
-其他无形资产 -31.53%650.6万-22.87%762.7万-44.49%799.9万-42.34%871万-42.34%871万-40.49%950.2万-38.25%988.8万-21.10%1,440.9万-26.68%1,510.7万-26.68%1,510.7万
非流动递延资产 -7.79%1,324万-8.97%1,290.6万-10.32%1,320.5万-4.06%1,443.3万-4.06%1,443.3万-3.54%1,435.8万-3.24%1,417.7万-2.59%1,472.5万-2.78%1,504.4万-2.78%1,504.4万
非流动资产合计 -13.27%5,436.2万-8.17%5,750.8万-16.47%5,779.9万-13.57%6,074.3万-13.57%6,074.3万-11.93%6,267.9万-10.38%6,262.3万-8.39%6,919.2万-12.85%7,028.4万-12.85%7,028.4万
总资产 -17.98%2.28亿-15.15%2.3亿-13.80%2.7亿-10.66%2.76亿-10.66%2.76亿-10.60%2.78亿-12.92%2.71亿-3.56%3.13亿-10.62%3.09亿-10.62%3.09亿
负债
流动负债
短期借款与资本租赁负债 -16.13%174.7万0.48%208.2万0.34%208.9万11.61%215.3万11.61%215.3万9.52%208.3万14.92%207.2万11.46%208.2万0.68%192.9万0.68%192.9万
-短期资本租赁负债 -16.13%174.7万0.48%208.2万0.34%208.9万11.61%215.3万11.61%215.3万9.52%208.3万14.92%207.2万11.46%208.2万0.68%192.9万0.68%192.9万
应付款项 7.14%324万-22.01%294.5万3.22%297.7万13.98%408.5万13.98%408.5万10.00%302.4万0.99%377.6万4.12%288.4万11.62%358.4万11.62%358.4万
-应付账款 22.41%290万-46.82%194.7万-8.95%207.5万-5.90%288.9万-5.90%288.9万1.85%236.9万19.41%366.1万1.65%227.9万21.15%307万21.15%307万
-应付税费 -48.09%34万767.83%99.8万49.09%90.2万132.68%119.6万132.68%119.6万54.85%65.5万-82.91%11.5万14.58%60.5万-24.08%51.4万-24.08%51.4万
应计费用 13.76%648.2万114.52%1,170万19.74%4,234.6万-4.79%485.2万-4.79%485.2万-4.36%569.8万-4.70%545.4万558.08%3,536.5万-19.82%509.6万-19.82%509.6万
养老金及其他退休福利计划 -13.18%1,145.6万-14.63%1,112.6万-7.80%1,205.8万1.02%1,288.5万1.02%1,288.5万3.79%1,319.5万20.39%1,303.2万5.12%1,307.8万-4.41%1,275.5万-4.41%1,275.5万
递延负债 10.72%7,102.2万14.82%6,322.8万8.03%6,481.8万17.14%6,473.1万17.14%6,473.1万21.82%6,414.5万3.81%5,506.7万25.76%6,000万10.79%5,526万10.79%5,526万
流动负债总额 6.58%9,394.7万14.71%9,108.1万9.59%1.24亿12.82%8,870.6万12.82%8,870.6万16.01%8,814.5万5.67%7,940.1万61.64%1.13亿5.25%7,862.4万5.25%7,862.4万
非流动负债
长期借款与租赁负债 -32.15%515.9万-25.72%585万-27.45%624.3万-22.99%688.5万-22.99%688.5万-19.47%760.4万-16.68%787.6万-18.51%860.5万-19.96%894万-19.96%894万
-长期租赁负债 -32.15%515.9万-25.72%585万-27.45%624.3万-22.99%688.5万-22.99%688.5万-19.47%760.4万-16.68%787.6万-18.51%860.5万-19.96%894万-19.96%894万
递延负债 --0-14.05%155.4万-37.67%162万-34.91%177.1万-34.91%177.1万-45.28%172.3万-43.57%180.8万-26.81%259.9万-35.06%272.1万-35.06%272.1万
非流动负债总额 -44.69%515.9万-23.54%740.4万-29.82%786.3万-25.77%865.6万-25.77%865.6万-25.93%932.7万-23.49%968.4万-20.60%1,120.4万-24.08%1,166.1万-24.08%1,166.1万
负债总额 1.68%9,910.6万10.55%9,848.5万6.05%1.32亿7.84%9,736.2万7.84%9,736.2万10.05%9,747.2万1.47%8,908.5万47.87%1.25亿0.25%9,028.5万0.25%9,028.5万
所有者权益
股本 -7.99%7.68亿-7.15%7.77亿-3.62%8.38亿-3.70%8.36亿-3.70%8.36亿-3.64%8.34亿-2.96%8.37亿1.04%8.7亿0.98%8.68亿0.98%8.68亿
-普通股股本 -7.99%7.68亿-7.15%7.77亿-3.62%8.38亿-3.70%8.36亿-3.70%8.36亿-3.64%8.34亿-2.96%8.37亿1.04%8.7亿0.98%8.68亿0.98%8.68亿
资本公积 96.02%7,373万97.20%6,707.4万54.07%4,244.7万56.01%4,048.4万56.01%4,048.4万44.95%3,761.3万35.18%3,401.4万34.05%2,755万69.66%2,594.9万69.66%2,594.9万
留存收益 -1.76%-6.63亿-4.18%-6.72亿-4.58%-6.99亿-3.74%-6.56亿-3.74%-6.56亿-4.29%-6.52亿-4.99%-6.45亿-10.52%-6.68亿-6.71%-6.32亿-6.71%-6.32亿
不影响留存收益的损益 -23.83%-4,960.7万7.61%-4,083.2万-8.89%-4,400.2万2.74%-4,263.4万2.74%-4,263.4万10.63%-4,006.2万11.81%-4,419.3万-11.78%-4,040.9万-59.14%-4,383.7万-59.14%-4,383.7万
股东权益总额 -28.61%1.29亿-27.75%1.31亿-26.92%1.38亿-18.31%1.79亿-18.31%1.79亿-18.83%1.8亿-18.59%1.82亿-21.59%1.89亿-14.45%2.19亿-14.45%2.19亿
总权益 -28.61%1.29亿-27.75%1.31亿-26.92%1.38亿-18.31%1.79亿-18.31%1.79亿-18.83%1.8亿-18.59%1.82亿-21.59%1.89亿-14.45%2.19亿-14.45%2.19亿
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。

市场投资机会

股息之王 股息之王

加拿大的股息之王是指那些连续多年增加股息的公司,这不仅反映了其强大的商业模式和稳健的财务状况,也表明它们在市场中可能表现优于平均水平,并且波动性较小。 加拿大的股息之王是指那些连续多年增加股息的公司,这不仅反映了其强大的商业模式和稳健的财务状况,也表明它们在市场中可能表现优于平均水平,并且波动性较小。

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