加拿大市场个股详情

GBT BMTC Group Inc

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  • 13.120
  • 0.0000.00%
延时15分钟行情交易中 09/09 16:00 (美东)
4.27亿总市值39.76市盈率TTM

BMTC Group Inc关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2024/04/30
(FY)2024/01/31
(Q4)2024/01/31
(Q3)2023/10/31
(Q2)2023/07/31
(Q1)2023/04/30
(FY)2023/01/31
(Q4)2023/01/31
(Q3)2022/10/31
(Q2)2022/07/31
资产
流动资产
现金及现金等价物和短期投资
-79.10%394.5万
-58.85%125.5万
-58.85%125.5万
-95.56%67.6万
-82.86%536.8万
-53.49%1,887.9万
-83.93%305万
-83.93%305万
-60.32%1,521万
-29.63%3,131.9万
-现金和现金等价物
-79.10%394.5万
-58.85%125.5万
-58.85%125.5万
-95.56%67.6万
-82.86%536.8万
-53.49%1,887.9万
-83.93%305万
-83.93%305万
-60.32%1,521万
-29.63%3,131.9万
-应收账款
165.45%1,015.6万
-5.18%830.6万
-5.18%830.6万
19.15%737.4万
240.18%690.9万
46.20%382.6万
64.23%876万
64.23%876万
61.42%618.9万
-41.65%203.1万
持有待售资产
--186.2万
--186.2万
--186.2万
----
----
----
--0
--0
----
----
流动资产合计
-8.10%1.31亿
-11.18%1.19亿
-11.18%1.19亿
-23.15%1.14亿
-29.97%1.15亿
-19.11%1.43亿
-3.83%1.34亿
-3.83%1.34亿
-5.62%1.49亿
8.80%1.64亿
非流动资产
-累计折旧
2.54%-1.12亿
10.73%-1.11亿
10.73%-1.11亿
4.12%-1.16亿
3.98%-1.14亿
0.86%-1.15亿
-8.74%-1.24亿
-8.74%-1.24亿
-3.97%-1.21亿
-4.25%-1.19亿
投资物业
-35.94%1.77亿
25.11%2.85亿
25.11%2.85亿
24.61%2.69亿
30.87%2.79亿
27.50%2.76亿
4.25%2.28亿
4.25%2.28亿
1.60%2.16亿
4.45%2.13亿
投资和预付款
--1.05亿
740.88%1,470.7万
740.88%1,470.7万
----
----
----
--174.9万
--174.9万
----
----
-长期股权投资
-7.44%441.6万
-11.08%483万
-11.08%483万
-12.24%537万
-41.04%405.7万
-38.36%477.1万
-37.75%543.2万
-37.75%543.2万
-36.92%611.9万
-29.44%688.1万
-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
-35.94%1.77亿
25.11%2.85亿
25.11%2.85亿
24.61%2.69亿
30.87%2.79亿
27.50%2.76亿
4.25%2.28亿
4.25%2.28亿
1.60%2.16亿
4.45%2.13亿
确认的养老福利金
14.15%8,637万
13.02%8,659.5万
13.02%8,659.5万
87.88%7,496.7万
84.76%7,529.2万
83.39%7,566.2万
83.47%7,661.7万
83.47%7,661.7万
--3,990.1万
--4,075.2万
监管资产
98.43%2,099.6万
-5.63%1,489.4万
-5.63%1,489.4万
41.88%1,515.8万
136.30%1,472.4万
43.49%1,058.1万
195.89%1,578.3万
195.89%1,578.3万
178.66%1,068.4万
70.06%623.1万
总资产
60.47%1,084万
-6.19%658.8万
-6.19%658.8万
73.17%778.4万
86.07%781.5万
42.00%675.5万
--702.3万
--702.3万
--449.5万
2,195.08%420万
负债
流动负债
短期借款与资本租赁负债
-14.32%259万
79.11%2,566.3万
79.11%2,566.3万
-9.83%324.8万
-25.31%287.4万
-24.33%302.3万
257.57%1,432.8万
257.57%1,432.8万
-9.66%360.2万
6.56%384.8万
-短期借款
----
105.49%2,267.4万
105.49%2,267.4万
----
----
----
--1,103.4万
--1,103.4万
----
----
-短期资本租赁负债
-14.32%259万
-9.26%298.9万
-9.26%298.9万
-9.83%324.8万
-25.31%287.4万
-24.33%302.3万
-17.79%329.4万
-17.79%329.4万
-9.66%360.2万
6.56%384.8万
-应付账款
16.43%3,670.4万
0.88%3,273.6万
0.88%3,273.6万
0.74%3,332.1万
-42.93%2,392.9万
-24.07%3,152.5万
11.87%3,245.1万
11.87%3,245.1万
-19.14%3,307.6万
-7.52%4,192.7万
-应付税费
12.85%3,462.6万
17.26%3,377.7万
17.26%3,377.7万
55.64%2,964.6万
53.29%3,004.7万
45.22%3,068.3万
27.83%2,880.5万
27.83%2,880.5万
-50.70%1,904.8万
-48.80%1,960.2万
-其他应付款
----
----
----
0.00%174.9万
0.00%174.9万
0.00%174.9万
----
----
--174.9万
--174.9万
应计费用
-8.86%1,087.6万
-26.57%773.1万
-26.57%773.1万
-49.30%1,144.6万
-29.07%1,322.5万
-29.31%1,193.3万
-27.20%1,052.8万
-27.20%1,052.8万
-17.19%2,257.5万
-19.89%1,864.4万
递延负债
1.71%6,241.1万
-25.79%3,343.6万
-25.79%3,343.6万
-20.19%4,254.1万
-32.58%4,851.1万
-36.91%6,136.2万
-38.18%4,505.8万
-38.18%4,505.8万
-35.13%5,330.1万
-18.21%7,195.1万
流动负债总额
1.04%1.23亿
-1.70%1.1亿
-1.70%1.1亿
-18.27%1.02亿
-33.60%1亿
-30.33%1.22亿
-19.54%1.12亿
-19.54%1.12亿
-26.40%1.24亿
-13.55%1.51亿
非流动负债
-长期借款
-7.44%441.6万
-11.08%483万
-11.08%483万
-12.24%537万
-41.04%405.7万
-38.36%477.1万
-37.75%543.2万
-37.75%543.2万
-36.92%611.9万
-29.44%688.1万
长期应计费用
0.35%1.34亿
-18.33%1.16亿
-18.33%1.16亿
-6.99%1.34亿
-8.29%1.33亿
-8.89%1.34亿
-4.54%1.42亿
-4.54%1.42亿
-5.88%1.44亿
-5.91%1.45亿
可转换优先证券
-25.32%1,022.7万
9.03%1,078.9万
9.03%1,078.9万
-6.14%1,110.7万
-19.52%1,152.9万
-7.45%1,369.5万
-31.68%989.5万
-31.68%989.5万
-10.21%1,183.4万
1.32%1,432.5万
非流动负债总额
3.42%1.57亿
2.17%1.44亿
2.17%1.44亿
-8.45%1.31亿
-23.60%1.3亿
-22.17%1.52亿
-12.96%1.41亿
-12.96%1.41亿
-30.92%1.43亿
-19.90%1.7亿
所有者权益
股本
-1.34%257.8万
-1.15%258.8万
-1.15%258.8万
-1.41%259.1万
-1.14%260.1万
-1.06%261.3万
-1.10%261.8万
-1.10%261.8万
-1.35%262.8万
-1.35%263.1万
-普通股股本
-1.34%257.8万
-1.15%258.8万
-1.15%258.8万
-1.41%259.1万
-1.14%260.1万
-1.06%261.3万
-1.10%261.8万
-1.10%261.8万
-1.35%262.8万
-1.35%263.1万
总权益
0.62%6.34亿
6.71%6.21亿
6.71%6.21亿
7.96%5.94亿
6.96%6.03亿
8.08%6.3亿
5.83%5.82亿
5.83%5.82亿
4.11%5.51亿
9.71%5.64亿
(Q1)2024/04/30(FY)2024/01/31(Q4)2024/01/31(Q3)2023/10/31(Q2)2023/07/31(Q1)2023/04/30(FY)2023/01/31(Q4)2023/01/31(Q3)2022/10/31(Q2)2022/07/31
资产
流动资产
现金及现金等价物和短期投资 -79.10%394.5万-58.85%125.5万-58.85%125.5万-95.56%67.6万-82.86%536.8万-53.49%1,887.9万-83.93%305万-83.93%305万-60.32%1,521万-29.63%3,131.9万
-现金和现金等价物 -79.10%394.5万-58.85%125.5万-58.85%125.5万-95.56%67.6万-82.86%536.8万-53.49%1,887.9万-83.93%305万-83.93%305万-60.32%1,521万-29.63%3,131.9万
-应收账款 165.45%1,015.6万-5.18%830.6万-5.18%830.6万19.15%737.4万240.18%690.9万46.20%382.6万64.23%876万64.23%876万61.42%618.9万-41.65%203.1万
持有待售资产 --186.2万--186.2万--186.2万--------------0--0--------
流动资产合计 -8.10%1.31亿-11.18%1.19亿-11.18%1.19亿-23.15%1.14亿-29.97%1.15亿-19.11%1.43亿-3.83%1.34亿-3.83%1.34亿-5.62%1.49亿8.80%1.64亿
非流动资产
-累计折旧 2.54%-1.12亿10.73%-1.11亿10.73%-1.11亿4.12%-1.16亿3.98%-1.14亿0.86%-1.15亿-8.74%-1.24亿-8.74%-1.24亿-3.97%-1.21亿-4.25%-1.19亿
投资物业 -35.94%1.77亿25.11%2.85亿25.11%2.85亿24.61%2.69亿30.87%2.79亿27.50%2.76亿4.25%2.28亿4.25%2.28亿1.60%2.16亿4.45%2.13亿
投资和预付款 --1.05亿740.88%1,470.7万740.88%1,470.7万--------------174.9万--174.9万--------
-长期股权投资 -7.44%441.6万-11.08%483万-11.08%483万-12.24%537万-41.04%405.7万-38.36%477.1万-37.75%543.2万-37.75%543.2万-36.92%611.9万-29.44%688.1万
-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 -35.94%1.77亿25.11%2.85亿25.11%2.85亿24.61%2.69亿30.87%2.79亿27.50%2.76亿4.25%2.28亿4.25%2.28亿1.60%2.16亿4.45%2.13亿
确认的养老福利金 14.15%8,637万13.02%8,659.5万13.02%8,659.5万87.88%7,496.7万84.76%7,529.2万83.39%7,566.2万83.47%7,661.7万83.47%7,661.7万--3,990.1万--4,075.2万
监管资产 98.43%2,099.6万-5.63%1,489.4万-5.63%1,489.4万41.88%1,515.8万136.30%1,472.4万43.49%1,058.1万195.89%1,578.3万195.89%1,578.3万178.66%1,068.4万70.06%623.1万
总资产 60.47%1,084万-6.19%658.8万-6.19%658.8万73.17%778.4万86.07%781.5万42.00%675.5万--702.3万--702.3万--449.5万2,195.08%420万
负债
流动负债
短期借款与资本租赁负债 -14.32%259万79.11%2,566.3万79.11%2,566.3万-9.83%324.8万-25.31%287.4万-24.33%302.3万257.57%1,432.8万257.57%1,432.8万-9.66%360.2万6.56%384.8万
-短期借款 ----105.49%2,267.4万105.49%2,267.4万--------------1,103.4万--1,103.4万--------
-短期资本租赁负债 -14.32%259万-9.26%298.9万-9.26%298.9万-9.83%324.8万-25.31%287.4万-24.33%302.3万-17.79%329.4万-17.79%329.4万-9.66%360.2万6.56%384.8万
-应付账款 16.43%3,670.4万0.88%3,273.6万0.88%3,273.6万0.74%3,332.1万-42.93%2,392.9万-24.07%3,152.5万11.87%3,245.1万11.87%3,245.1万-19.14%3,307.6万-7.52%4,192.7万
-应付税费 12.85%3,462.6万17.26%3,377.7万17.26%3,377.7万55.64%2,964.6万53.29%3,004.7万45.22%3,068.3万27.83%2,880.5万27.83%2,880.5万-50.70%1,904.8万-48.80%1,960.2万
-其他应付款 ------------0.00%174.9万0.00%174.9万0.00%174.9万----------174.9万--174.9万
应计费用 -8.86%1,087.6万-26.57%773.1万-26.57%773.1万-49.30%1,144.6万-29.07%1,322.5万-29.31%1,193.3万-27.20%1,052.8万-27.20%1,052.8万-17.19%2,257.5万-19.89%1,864.4万
递延负债 1.71%6,241.1万-25.79%3,343.6万-25.79%3,343.6万-20.19%4,254.1万-32.58%4,851.1万-36.91%6,136.2万-38.18%4,505.8万-38.18%4,505.8万-35.13%5,330.1万-18.21%7,195.1万
流动负债总额 1.04%1.23亿-1.70%1.1亿-1.70%1.1亿-18.27%1.02亿-33.60%1亿-30.33%1.22亿-19.54%1.12亿-19.54%1.12亿-26.40%1.24亿-13.55%1.51亿
非流动负债
-长期借款 -7.44%441.6万-11.08%483万-11.08%483万-12.24%537万-41.04%405.7万-38.36%477.1万-37.75%543.2万-37.75%543.2万-36.92%611.9万-29.44%688.1万
长期应计费用 0.35%1.34亿-18.33%1.16亿-18.33%1.16亿-6.99%1.34亿-8.29%1.33亿-8.89%1.34亿-4.54%1.42亿-4.54%1.42亿-5.88%1.44亿-5.91%1.45亿
可转换优先证券 -25.32%1,022.7万9.03%1,078.9万9.03%1,078.9万-6.14%1,110.7万-19.52%1,152.9万-7.45%1,369.5万-31.68%989.5万-31.68%989.5万-10.21%1,183.4万1.32%1,432.5万
非流动负债总额 3.42%1.57亿2.17%1.44亿2.17%1.44亿-8.45%1.31亿-23.60%1.3亿-22.17%1.52亿-12.96%1.41亿-12.96%1.41亿-30.92%1.43亿-19.90%1.7亿
所有者权益
股本 -1.34%257.8万-1.15%258.8万-1.15%258.8万-1.41%259.1万-1.14%260.1万-1.06%261.3万-1.10%261.8万-1.10%261.8万-1.35%262.8万-1.35%263.1万
-普通股股本 -1.34%257.8万-1.15%258.8万-1.15%258.8万-1.41%259.1万-1.14%260.1万-1.06%261.3万-1.10%261.8万-1.10%261.8万-1.35%262.8万-1.35%263.1万
总权益 0.62%6.34亿6.71%6.21亿6.71%6.21亿7.96%5.94亿6.96%6.03亿8.08%6.3亿5.83%5.82亿5.83%5.82亿4.11%5.51亿9.71%5.64亿

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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