加拿大市场个股详情

EBM Eastwood Bio-Medical Canada Inc

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  • 0.600
  • 0.0000.00%
延时15分钟行情已收盘 06/21 16:00 (美东)
4133.16万总市值-60000市盈率TTM

Eastwood Bio-Medical Canada Inc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
-48.55%6,024
-53.69%1.84万
-53.69%1.84万
-50.28%1.99万
-10.61%3.05万
19.31%1.17万
90.91%3.98万
90.91%3.98万
-65.86%4.01万
-64.64%3.41万
-现金和现金等价物
-48.55%6,024
-53.69%1.84万
-53.69%1.84万
-50.28%1.99万
-10.61%3.05万
19.31%1.17万
90.91%3.98万
90.91%3.98万
-65.86%4.01万
-64.64%3.41万
-应收账款
7,961.24%3.76万
-0.85%1.45万
-0.85%1.45万
-71.09%2.48万
-85.95%9,249
-97.65%467
142.24%1.46万
142.24%1.46万
2,508.82%8.58万
532.54%6.58万
-应收关联方款项
--0
--6.83万
--6.83万
----
----
----
--0
--0
----
----
流动资产合计
42.16%8.49万
48.81%15.1万
48.81%15.1万
-35.95%10.88万
-26.70%10.28万
-1.64%5.97万
75.32%10.15万
75.32%10.15万
10.24%16.98万
-1.84%14.02万
非流动资产
-累计折旧
-30.50%-52.4万
-27.69%-49.74万
-27.69%-49.74万
-29.66%-47.04万
-31.94%-44.34万
-29.79%-40.15万
-37.80%-38.95万
-37.80%-38.95万
-41.66%-36.28万
-46.22%-33.61万
-长期股权投资
----
----
----
10.84%3.47万
10.84%3.47万
10.84%3.47万
10.84%3.47万
10.84%3.47万
-27.45%3.14万
-27.45%3.14万
监管资产
7,961.24%3.76万
467.52%8.28万
467.52%8.28万
-72.28%2.48万
-85.95%9,249
-97.65%467
142.24%1.46万
142.24%1.46万
2,620.92%8.95万
512.08%6.58万
总资产
----
----
----
----
----
----
----
----
--3,686
----
负债
流动负债
短期借款与资本租赁负债
420.81%5.19万
125.31%6.2万
125.31%6.2万
121.45%2.71万
--3.48万
--9,964
--2.75万
--2.75万
--1.22万
----
-短期借款
420.81%5.19万
125.31%6.2万
125.31%6.2万
121.45%2.71万
--3.48万
--9,964
--2.75万
--2.75万
--1.22万
----
-应付账款
35.04%9.14万
68.69%10.17万
68.69%10.17万
-57.36%11.05万
-46.03%10.34万
7.07%6.77万
13.81%6.03万
13.81%6.03万
431.54%25.91万
207.38%19.16万
-应付税费
--0
--0
--0
10.84%3.47万
10.84%3.47万
10.84%3.47万
10.84%3.47万
10.84%3.47万
-27.45%3.14万
-27.45%3.14万
-应付关联方款项
53.60%113.74万
49.53%109.4万
49.53%109.4万
53.59%95.33万
36.24%86.04万
6.53%74.05万
0.64%73.16万
0.64%73.16万
-25.93%62.07万
-6.51%63.15万
递延负债
-37.19%1.08万
194.01%7.23万
194.01%7.23万
-55.63%1.41万
-9.90%1.92万
-25.62%1.71万
1.87%2.46万
1.87%2.46万
31.99%3.17万
12.61%2.13万
流动负债总额
54.62%129.14万
57.58%132.99万
57.58%132.99万
19.62%110.5万
20.49%101.79万
6.91%83.52万
4.96%84.4万
4.96%84.4万
1.40%92.37万
11.63%84.48万
非流动负债
长期应计费用
-28.22%31.15万
-24.18%33.82万
-24.18%33.82万
-22.27%36.51万
-21.02%39.21万
-17.04%43.4万
-18.89%44.6万
-18.89%44.6万
-17.71%46.97万
-16.86%49.64万
长期拨备
----
----
----
10.84%3.47万
10.84%3.47万
10.84%3.47万
10.84%3.47万
10.84%3.47万
-27.45%3.14万
-27.45%3.14万
非流动负债总额
48.44%129.14万
51.35%132.99万
51.35%132.99万
19.33%113.97万
20.15%105.27万
7.06%87万
5.18%87.87万
5.18%87.87万
0.10%95.51万
9.52%87.61万
所有者权益
股本
0.00%468.74万
0.00%468.74万
0.00%468.74万
0.00%468.74万
0.00%468.74万
0.00%468.74万
0.00%468.74万
0.00%468.74万
0.00%468.74万
0.00%468.74万
-普通股股本
0.00%468.74万
0.00%468.74万
0.00%468.74万
0.00%468.74万
0.00%468.74万
0.00%468.74万
0.00%468.74万
0.00%468.74万
0.00%468.74万
0.00%468.74万
不影响留存收益的损益
0.00%9,514
0.00%9,514
0.00%9,514
0.00%9,514
0.00%9,514
0.00%9,514
0.00%9,514
0.00%9,514
0.00%9,514
0.00%9,514
总权益
-21.75%39.64万
-16.32%48.91万
-16.32%48.91万
-29.56%48.32万
-25.84%51.34万
-23.01%50.66万
-15.42%58.45万
-15.42%58.45万
-15.87%68.59万
-17.32%69.22万
(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 -48.55%6,024-53.69%1.84万-53.69%1.84万-50.28%1.99万-10.61%3.05万19.31%1.17万90.91%3.98万90.91%3.98万-65.86%4.01万-64.64%3.41万
-现金和现金等价物 -48.55%6,024-53.69%1.84万-53.69%1.84万-50.28%1.99万-10.61%3.05万19.31%1.17万90.91%3.98万90.91%3.98万-65.86%4.01万-64.64%3.41万
-应收账款 7,961.24%3.76万-0.85%1.45万-0.85%1.45万-71.09%2.48万-85.95%9,249-97.65%467142.24%1.46万142.24%1.46万2,508.82%8.58万532.54%6.58万
-应收关联方款项 --0--6.83万--6.83万--------------0--0--------
流动资产合计 42.16%8.49万48.81%15.1万48.81%15.1万-35.95%10.88万-26.70%10.28万-1.64%5.97万75.32%10.15万75.32%10.15万10.24%16.98万-1.84%14.02万
非流动资产
-累计折旧 -30.50%-52.4万-27.69%-49.74万-27.69%-49.74万-29.66%-47.04万-31.94%-44.34万-29.79%-40.15万-37.80%-38.95万-37.80%-38.95万-41.66%-36.28万-46.22%-33.61万
-长期股权投资 ------------10.84%3.47万10.84%3.47万10.84%3.47万10.84%3.47万10.84%3.47万-27.45%3.14万-27.45%3.14万
监管资产 7,961.24%3.76万467.52%8.28万467.52%8.28万-72.28%2.48万-85.95%9,249-97.65%467142.24%1.46万142.24%1.46万2,620.92%8.95万512.08%6.58万
总资产 ----------------------------------3,686----
负债
流动负债
短期借款与资本租赁负债 420.81%5.19万125.31%6.2万125.31%6.2万121.45%2.71万--3.48万--9,964--2.75万--2.75万--1.22万----
-短期借款 420.81%5.19万125.31%6.2万125.31%6.2万121.45%2.71万--3.48万--9,964--2.75万--2.75万--1.22万----
-应付账款 35.04%9.14万68.69%10.17万68.69%10.17万-57.36%11.05万-46.03%10.34万7.07%6.77万13.81%6.03万13.81%6.03万431.54%25.91万207.38%19.16万
-应付税费 --0--0--010.84%3.47万10.84%3.47万10.84%3.47万10.84%3.47万10.84%3.47万-27.45%3.14万-27.45%3.14万
-应付关联方款项 53.60%113.74万49.53%109.4万49.53%109.4万53.59%95.33万36.24%86.04万6.53%74.05万0.64%73.16万0.64%73.16万-25.93%62.07万-6.51%63.15万
递延负债 -37.19%1.08万194.01%7.23万194.01%7.23万-55.63%1.41万-9.90%1.92万-25.62%1.71万1.87%2.46万1.87%2.46万31.99%3.17万12.61%2.13万
流动负债总额 54.62%129.14万57.58%132.99万57.58%132.99万19.62%110.5万20.49%101.79万6.91%83.52万4.96%84.4万4.96%84.4万1.40%92.37万11.63%84.48万
非流动负债
长期应计费用 -28.22%31.15万-24.18%33.82万-24.18%33.82万-22.27%36.51万-21.02%39.21万-17.04%43.4万-18.89%44.6万-18.89%44.6万-17.71%46.97万-16.86%49.64万
长期拨备 ------------10.84%3.47万10.84%3.47万10.84%3.47万10.84%3.47万10.84%3.47万-27.45%3.14万-27.45%3.14万
非流动负债总额 48.44%129.14万51.35%132.99万51.35%132.99万19.33%113.97万20.15%105.27万7.06%87万5.18%87.87万5.18%87.87万0.10%95.51万9.52%87.61万
所有者权益
股本 0.00%468.74万0.00%468.74万0.00%468.74万0.00%468.74万0.00%468.74万0.00%468.74万0.00%468.74万0.00%468.74万0.00%468.74万0.00%468.74万
-普通股股本 0.00%468.74万0.00%468.74万0.00%468.74万0.00%468.74万0.00%468.74万0.00%468.74万0.00%468.74万0.00%468.74万0.00%468.74万0.00%468.74万
不影响留存收益的损益 0.00%9,5140.00%9,5140.00%9,5140.00%9,5140.00%9,5140.00%9,5140.00%9,5140.00%9,5140.00%9,5140.00%9,514
总权益 -21.75%39.64万-16.32%48.91万-16.32%48.91万-29.56%48.32万-25.84%51.34万-23.01%50.66万-15.42%58.45万-15.42%58.45万-15.87%68.59万-17.32%69.22万

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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