加拿大市场个股详情

GET GameOn Entertainment Technologies Inc

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延时15分钟行情已收盘 12/05 15:14 (美东)
106.90万总市值-0.75市盈率TTM

GameOn Entertainment Technologies Inc关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
资产
流动资产
现金及现金等价物和短期投资
-92.76%3.39万
-99.42%1,207
1,550.79%35.37万
1,550.79%35.37万
-50.00%3.54万
9,809.97%46.79万
-64.95%20.7万
-98.67%2.14万
-98.67%2.14万
-98.01%7.09万
-现金和现金等价物
-92.76%3.39万
-99.42%1,207
1,550.79%35.37万
1,550.79%35.37万
-50.00%3.54万
9,809.97%46.79万
-64.95%20.7万
-98.67%2.14万
-98.67%2.14万
-98.01%7.09万
应收款项
124.40%87.38万
106.01%86.49万
-83.84%7.84万
-83.84%7.84万
-74.48%3.31万
340.32%38.94万
607.01%41.98万
949.02%48.49万
949.02%48.49万
186.14%12.99万
-应收账款
1,763.31%85.68万
147.69%11.82万
4.92%4.76万
4.92%4.76万
-75.89%1.57万
96.02%4.6万
720.49%4.77万
1,656.95%4.54万
1,656.95%4.54万
--6.5万
-应收税费
-73.35%8,001
-78.44%5,447
-55.62%2.18万
-55.62%2.18万
-73.06%1.75万
-53.79%3万
-52.84%2.53万
12.59%4.91万
12.59%4.91万
42.98%6.49万
-其他应收款
-97.15%8,945
113.71%74.12万
-97.71%8,945
-97.71%8,945
----
--31.34万
--34.68万
--39.03万
--39.03万
----
预付费用
-84.04%3,500
17.90%7,727
4.66%1.2万
4.66%1.2万
-99.02%2.1万
-99.07%2.19万
-99.75%6,554
-91.68%1.15万
-91.68%1.15万
1,331.09%214.91万
流动资产合计
3.62%91.11万
37.96%87.38万
-14.24%44.4万
-14.24%44.4万
-96.19%8.96万
-63.97%87.92万
-80.64%63.34万
-71.15%51.77万
-71.15%51.77万
-37.35%234.98万
非流动资产
长期预付费用
----
----
----
----
----
----
----
----
----
0.00%500
商誉及其他无形资产
-3.77%478.02万
-3.60%482.35万
-3.43%486.67万
-3.43%486.67万
0.74%491万
1.93%496.77万
2.67%500.37万
15.23%503.98万
15.23%503.98万
11.43%487.38万
-商誉
0.00%343.28万
0.00%343.28万
0.00%343.28万
0.00%343.28万
0.00%343.28万
0.00%343.28万
0.00%343.28万
0.00%343.28万
0.00%343.28万
0.00%343.28万
-其他无形资产
-12.21%134.75万
-11.47%139.07万
-10.77%143.4万
-10.77%143.4万
2.51%147.72万
6.52%153.49万
9.02%157.1万
70.77%160.7万
70.77%160.7万
53.13%144.1万
非流动资产合计
-3.77%478.02万
-3.60%482.35万
-3.43%486.67万
-3.43%486.67万
0.73%491万
1.92%496.77万
2.66%500.37万
15.21%503.98万
15.21%503.98万
-8.30%487.43万
总资产
-2.66%569.14万
1.07%569.73万
-4.44%531.08万
-4.44%531.08万
-30.79%499.96万
-20.06%584.7万
-30.80%563.72万
-9.91%555.75万
-9.91%555.75万
-20.32%722.41万
负债
流动负债
短期借款与资本租赁负债
-4.82%97.98万
-5.18%95.06万
771.11%94.53万
771.11%94.53万
-61.12%120.63万
-57.46%102.94万
-56.67%100.25万
14.22%10.85万
14.22%10.85万
386.84%310.31万
-短期借款
-4.82%97.98万
-5.18%95.06万
771.11%94.53万
771.11%94.53万
-61.12%120.63万
-57.46%102.94万
-56.67%100.25万
14.22%10.85万
14.22%10.85万
386.84%310.31万
应付款项
18.70%105.27万
9.17%107.9万
-4.47%90.67万
-4.47%90.67万
76.73%99.72万
44.95%88.69万
256.31%98.83万
618.05%94.91万
618.05%94.91万
208.66%56.42万
-应付账款
76.00%95.77万
52.41%98.4万
33.86%81.17万
33.86%81.17万
40.18%65.44万
0.69%54.42万
152.22%64.56万
447.41%60.64万
447.41%60.64万
189.25%46.68万
-应付税费
----
----
----
----
----
----
----
----
----
-0.00%2.14万
-应付关联方款项
----
----
----
----
----
----
----
----
----
--7.6万
-其他应付款
-72.28%9.5万
-72.28%9.5万
-72.28%9.5万
-72.28%9.5万
--34.27万
--34.27万
--34.27万
--34.27万
--34.27万
----
应计费用
215.74%70.69万
183.33%56.99万
274.99%54.91万
274.99%54.91万
3,544.45%29.91万
1,411.76%22.39万
210.84%20.12万
-7.02%14.64万
-7.02%14.64万
-6.94%8,207
递延负债
8.25%12.57万
-7.16%35.18万
115.18%95.29万
115.18%95.29万
--0
--11.61万
--37.89万
--44.28万
--44.28万
----
流动负债总额
26.98%286.51万
14.79%295.13万
103.65%335.4万
103.65%335.4万
-31.91%250.26万
-25.93%225.63万
-3.19%257.1万
328.13%164.69万
328.13%164.69万
343.36%367.55万
非流动负债
长期借款与租赁负债
2.52%113.29万
1,995.34%108.16万
66.02%103.16万
66.02%103.16万
1,988.53%98.02万
2,370.45%110.51万
21.02%5.16万
1,426.98%62.14万
1,426.98%62.14万
21.02%4.69万
-长期借款
2.52%113.29万
1,995.34%108.16万
66.02%103.16万
66.02%103.16万
1,988.53%98.02万
2,370.45%110.51万
21.02%5.16万
1,426.98%62.14万
1,426.98%62.14万
21.02%4.69万
非流动负债总额
2.52%113.29万
1,995.34%108.16万
66.02%103.16万
66.02%103.16万
1,988.53%98.02万
2,370.45%110.51万
21.02%5.16万
1,426.98%62.14万
1,426.98%62.14万
21.02%4.69万
负债总额
18.94%399.8万
53.77%403.29万
93.34%438.56万
93.34%438.56万
-6.44%348.28万
8.75%336.14万
-2.81%262.26万
433.26%226.83万
433.26%226.83万
328.96%372.24万
所有者权益
股本
3.91%1,198.39万
3.90%1,197.82万
3.51%1,192.58万
3.51%1,192.58万
5.91%1,204.89万
1.38%1,153.35万
1.34%1,152.84万
4.02%1,152.16万
4.02%1,152.16万
2.71%1,137.63万
-普通股股本
3.91%1,198.39万
3.90%1,197.82万
3.51%1,192.58万
3.51%1,192.58万
5.91%1,204.89万
1.38%1,153.35万
1.34%1,152.84万
4.02%1,152.16万
4.02%1,152.16万
2.71%1,137.63万
资本公积
----
----
----
----
--397.41万
34.84%410.37万
----
----
----
----
留存收益
-7.97%-1,725.18万
-13.78%-1,725.85万
-21.38%-1,793.81万
-21.38%-1,793.81万
-27.29%-1,733.36万
-27.44%-1,597.9万
-34.19%-1,516.81万
-40.26%-1,477.84万
-40.26%-1,477.84万
-89.67%-1,361.75万
不影响留存收益的损益
--639.24万
2.40%637.6万
4.09%636.86万
4.09%636.86万
----
----
25.87%622.65万
28.11%611.83万
28.11%611.83万
37.21%531.51万
其他股本权益
-79.88%56.88万
32.96%56.88万
32.96%56.88万
32.96%56.88万
560.94%282.74万
20.72%282.74万
0.00%42.78万
0.00%42.78万
0.00%42.78万
0.00%42.78万
股东权益总额
-31.88%169.33万
-44.79%166.45万
-71.87%92.52万
-71.87%92.52万
-56.69%151.67万
-41.15%248.56万
-44.66%301.46万
-42.73%328.92万
-42.73%328.92万
-57.29%350.17万
总权益
-31.88%169.33万
-44.79%166.45万
-71.87%92.52万
-71.87%92.52万
-56.69%151.67万
-41.15%248.56万
-44.66%301.46万
-42.73%328.92万
-42.73%328.92万
-57.29%350.17万
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
--
--
--
--
--
--
--
带解释段的无保留意见
--
--
(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30
资产
流动资产
现金及现金等价物和短期投资 -92.76%3.39万-99.42%1,2071,550.79%35.37万1,550.79%35.37万-50.00%3.54万9,809.97%46.79万-64.95%20.7万-98.67%2.14万-98.67%2.14万-98.01%7.09万
-现金和现金等价物 -92.76%3.39万-99.42%1,2071,550.79%35.37万1,550.79%35.37万-50.00%3.54万9,809.97%46.79万-64.95%20.7万-98.67%2.14万-98.67%2.14万-98.01%7.09万
应收款项 124.40%87.38万106.01%86.49万-83.84%7.84万-83.84%7.84万-74.48%3.31万340.32%38.94万607.01%41.98万949.02%48.49万949.02%48.49万186.14%12.99万
-应收账款 1,763.31%85.68万147.69%11.82万4.92%4.76万4.92%4.76万-75.89%1.57万96.02%4.6万720.49%4.77万1,656.95%4.54万1,656.95%4.54万--6.5万
-应收税费 -73.35%8,001-78.44%5,447-55.62%2.18万-55.62%2.18万-73.06%1.75万-53.79%3万-52.84%2.53万12.59%4.91万12.59%4.91万42.98%6.49万
-其他应收款 -97.15%8,945113.71%74.12万-97.71%8,945-97.71%8,945------31.34万--34.68万--39.03万--39.03万----
预付费用 -84.04%3,50017.90%7,7274.66%1.2万4.66%1.2万-99.02%2.1万-99.07%2.19万-99.75%6,554-91.68%1.15万-91.68%1.15万1,331.09%214.91万
流动资产合计 3.62%91.11万37.96%87.38万-14.24%44.4万-14.24%44.4万-96.19%8.96万-63.97%87.92万-80.64%63.34万-71.15%51.77万-71.15%51.77万-37.35%234.98万
非流动资产
长期预付费用 ------------------------------------0.00%500
商誉及其他无形资产 -3.77%478.02万-3.60%482.35万-3.43%486.67万-3.43%486.67万0.74%491万1.93%496.77万2.67%500.37万15.23%503.98万15.23%503.98万11.43%487.38万
-商誉 0.00%343.28万0.00%343.28万0.00%343.28万0.00%343.28万0.00%343.28万0.00%343.28万0.00%343.28万0.00%343.28万0.00%343.28万0.00%343.28万
-其他无形资产 -12.21%134.75万-11.47%139.07万-10.77%143.4万-10.77%143.4万2.51%147.72万6.52%153.49万9.02%157.1万70.77%160.7万70.77%160.7万53.13%144.1万
非流动资产合计 -3.77%478.02万-3.60%482.35万-3.43%486.67万-3.43%486.67万0.73%491万1.92%496.77万2.66%500.37万15.21%503.98万15.21%503.98万-8.30%487.43万
总资产 -2.66%569.14万1.07%569.73万-4.44%531.08万-4.44%531.08万-30.79%499.96万-20.06%584.7万-30.80%563.72万-9.91%555.75万-9.91%555.75万-20.32%722.41万
负债
流动负债
短期借款与资本租赁负债 -4.82%97.98万-5.18%95.06万771.11%94.53万771.11%94.53万-61.12%120.63万-57.46%102.94万-56.67%100.25万14.22%10.85万14.22%10.85万386.84%310.31万
-短期借款 -4.82%97.98万-5.18%95.06万771.11%94.53万771.11%94.53万-61.12%120.63万-57.46%102.94万-56.67%100.25万14.22%10.85万14.22%10.85万386.84%310.31万
应付款项 18.70%105.27万9.17%107.9万-4.47%90.67万-4.47%90.67万76.73%99.72万44.95%88.69万256.31%98.83万618.05%94.91万618.05%94.91万208.66%56.42万
-应付账款 76.00%95.77万52.41%98.4万33.86%81.17万33.86%81.17万40.18%65.44万0.69%54.42万152.22%64.56万447.41%60.64万447.41%60.64万189.25%46.68万
-应付税费 -------------------------------------0.00%2.14万
-应付关联方款项 --------------------------------------7.6万
-其他应付款 -72.28%9.5万-72.28%9.5万-72.28%9.5万-72.28%9.5万--34.27万--34.27万--34.27万--34.27万--34.27万----
应计费用 215.74%70.69万183.33%56.99万274.99%54.91万274.99%54.91万3,544.45%29.91万1,411.76%22.39万210.84%20.12万-7.02%14.64万-7.02%14.64万-6.94%8,207
递延负债 8.25%12.57万-7.16%35.18万115.18%95.29万115.18%95.29万--0--11.61万--37.89万--44.28万--44.28万----
流动负债总额 26.98%286.51万14.79%295.13万103.65%335.4万103.65%335.4万-31.91%250.26万-25.93%225.63万-3.19%257.1万328.13%164.69万328.13%164.69万343.36%367.55万
非流动负债
长期借款与租赁负债 2.52%113.29万1,995.34%108.16万66.02%103.16万66.02%103.16万1,988.53%98.02万2,370.45%110.51万21.02%5.16万1,426.98%62.14万1,426.98%62.14万21.02%4.69万
-长期借款 2.52%113.29万1,995.34%108.16万66.02%103.16万66.02%103.16万1,988.53%98.02万2,370.45%110.51万21.02%5.16万1,426.98%62.14万1,426.98%62.14万21.02%4.69万
非流动负债总额 2.52%113.29万1,995.34%108.16万66.02%103.16万66.02%103.16万1,988.53%98.02万2,370.45%110.51万21.02%5.16万1,426.98%62.14万1,426.98%62.14万21.02%4.69万
负债总额 18.94%399.8万53.77%403.29万93.34%438.56万93.34%438.56万-6.44%348.28万8.75%336.14万-2.81%262.26万433.26%226.83万433.26%226.83万328.96%372.24万
所有者权益
股本 3.91%1,198.39万3.90%1,197.82万3.51%1,192.58万3.51%1,192.58万5.91%1,204.89万1.38%1,153.35万1.34%1,152.84万4.02%1,152.16万4.02%1,152.16万2.71%1,137.63万
-普通股股本 3.91%1,198.39万3.90%1,197.82万3.51%1,192.58万3.51%1,192.58万5.91%1,204.89万1.38%1,153.35万1.34%1,152.84万4.02%1,152.16万4.02%1,152.16万2.71%1,137.63万
资本公积 ------------------397.41万34.84%410.37万----------------
留存收益 -7.97%-1,725.18万-13.78%-1,725.85万-21.38%-1,793.81万-21.38%-1,793.81万-27.29%-1,733.36万-27.44%-1,597.9万-34.19%-1,516.81万-40.26%-1,477.84万-40.26%-1,477.84万-89.67%-1,361.75万
不影响留存收益的损益 --639.24万2.40%637.6万4.09%636.86万4.09%636.86万--------25.87%622.65万28.11%611.83万28.11%611.83万37.21%531.51万
其他股本权益 -79.88%56.88万32.96%56.88万32.96%56.88万32.96%56.88万560.94%282.74万20.72%282.74万0.00%42.78万0.00%42.78万0.00%42.78万0.00%42.78万
股东权益总额 -31.88%169.33万-44.79%166.45万-71.87%92.52万-71.87%92.52万-56.69%151.67万-41.15%248.56万-44.66%301.46万-42.73%328.92万-42.73%328.92万-57.29%350.17万
总权益 -31.88%169.33万-44.79%166.45万-71.87%92.52万-71.87%92.52万-56.69%151.67万-41.15%248.56万-44.66%301.46万-42.73%328.92万-42.73%328.92万-57.29%350.17万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 --------------带解释段的无保留意见----

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。

加拿大市场投资机会
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。