加拿大市场个股详情

GGX GGX Gold Corp

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延时15分钟行情已收盘 06/25 16:00 (美东)
72.79万总市值-6666市盈率TTM

GGX Gold Corp关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2024/03/31
(Q2)2023/12/31
(Q1)2023/09/30
(FY)2023/06/30
(Q4)2023/06/30
(Q3)2023/03/31
(Q2)2022/12/31
(Q1)2022/09/30
(FY)2022/06/30
(Q4)2022/06/30
资产
流动资产
现金及现金等价物和短期投资
3,182.68%2.18万
58,118.33%6.99万
-93.97%26
-99.23%44
-99.23%44
-87.87%664
-98.65%120
-95.50%431
-87.20%5,728
-87.20%5,728
-现金和现金等价物
-70.33%197
38,993.33%4.69万
-93.97%26
-98.57%44
-98.57%44
-73.26%664
-97.34%120
-88.73%431
-63.41%3,083
-63.41%3,083
流动资产合计
290.77%2.18万
1,844.93%6.99万
285.37%5,137
-75.01%3,361
-75.01%3,361
-53.72%5,578
-80.16%3,592
-97.02%1,333
-78.03%1.35万
-78.03%1.35万
非流动资产
-累计折旧
33.33%-1.73万
30.35%-1.71万
27.02%-1.69万
-25.46%-2.73万
-25.46%-2.73万
-27.21%-2.59万
-29.20%-2.45万
-31.50%-2.32万
-34.19%-2.18万
-34.19%-2.18万
投资物业
95.50%2.31万
106.89%2.7万
45.52%2.94万
2.58%2.18万
2.58%2.18万
-55.57%1.18万
-72.91%1.31万
-60.42%2.02万
--2.12万
--2.12万
-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
95.50%2.31万
106.89%2.7万
45.52%2.94万
2.58%2.18万
2.58%2.18万
-55.57%1.18万
-72.91%1.31万
-60.42%2.02万
--2.12万
--2.12万
-其他无形资产
-11.45%45.21万
-4.78%48.62万
-21.64%48.64万
0.83%51.06万
0.83%51.06万
-26.48%51.06万
-10.46%51.06万
-14.37%62.06万
-30.13%50.64万
-30.13%50.64万
监管资产
--0
--0
466.63%5,111
-57.05%3,317
-57.05%3,317
-25.31%4,914
-62.32%3,472
-97.43%902
-53.17%7,723
-53.17%7,723
总资产
--0
--0
466.63%5,111
-57.05%3,317
-57.05%3,317
-25.31%4,914
-62.32%3,472
-97.43%902
-53.17%7,723
-53.17%7,723
负债
流动负债
短期借款与资本租赁负债
9.54%63.46万
-1.51%58.02万
2.61%55.58万
19.20%60.21万
19.20%60.21万
66.73%57.93万
78.11%58.91万
--54.17万
--50.51万
--50.51万
-短期借款
9.54%63.46万
-1.51%58.02万
2.61%55.58万
19.20%60.21万
19.20%60.21万
66.73%57.93万
78.11%58.91万
--54.17万
--50.51万
--50.51万
-应付账款
27.80%127.28万
60.92%125.16万
86.70%122.1万
38.82%117.4万
38.82%117.4万
-2.80%99.6万
-21.34%77.78万
-43.29%65.4万
9.34%84.57万
9.34%84.57万
-应付税费
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
-应付关联方款项
-4.30%8.91万
-4.42%9.09万
4.49%9.31万
5.61%9.41万
5.61%9.41万
4.49%9.31万
6.74%9.51万
0.00%8.91万
0.00%8.91万
0.00%8.91万
-其他应付款
0.00%2.15万
0.00%2.15万
0.00%2.15万
0.00%2.15万
0.00%2.15万
0.00%2.15万
0.00%2.15万
0.00%2.15万
0.00%2.15万
0.00%2.15万
流动负债总额
17.38%199.68万
28.73%192.43万
45.55%186.99万
29.88%187.02万
29.88%187.02万
16.42%170.12万
6.12%149.48万
3.42%128.48万
66.93%143.99万
66.93%143.99万
非流动负债
长期应计费用
-71.18%3,009
-72.91%3,204
-74.29%3,398
-37.96%9,059
-37.96%9,059
-34.70%1.04万
-31.93%1.18万
-29.57%1.32万
-27.53%1.46万
-27.53%1.46万
非流动负债总额
17.38%199.68万
28.73%192.43万
45.55%186.99万
29.88%187.02万
29.88%187.02万
16.42%170.12万
6.12%149.48万
3.42%128.48万
66.93%143.99万
66.93%143.99万
所有者权益
股本
0.30%1,100.4万
-0.02%1,096.99万
0.61%1,096.99万
0.61%1,096.99万
0.61%1,096.99万
2.63%1,097.11万
2.63%1,097.16万
2.00%1,090.36万
2.00%1,090.36万
2.00%1,090.36万
-普通股股本
0.30%1,100.4万
-0.02%1,096.99万
0.61%1,096.99万
0.61%1,096.99万
0.61%1,096.99万
2.63%1,097.11万
2.63%1,097.16万
2.00%1,090.36万
2.00%1,090.36万
2.00%1,090.36万
总权益
40.66%6.94万
143.26%12.16万
5.66%5.94万
-21.32%5.57万
-21.32%5.57万
-35.19%4.93万
-52.49%5万
-58.63%5.63万
-90.00%7.08万
-90.00%7.08万
(Q3)2024/03/31(Q2)2023/12/31(Q1)2023/09/30(FY)2023/06/30(Q4)2023/06/30(Q3)2023/03/31(Q2)2022/12/31(Q1)2022/09/30(FY)2022/06/30(Q4)2022/06/30
资产
流动资产
现金及现金等价物和短期投资 3,182.68%2.18万58,118.33%6.99万-93.97%26-99.23%44-99.23%44-87.87%664-98.65%120-95.50%431-87.20%5,728-87.20%5,728
-现金和现金等价物 -70.33%19738,993.33%4.69万-93.97%26-98.57%44-98.57%44-73.26%664-97.34%120-88.73%431-63.41%3,083-63.41%3,083
流动资产合计 290.77%2.18万1,844.93%6.99万285.37%5,137-75.01%3,361-75.01%3,361-53.72%5,578-80.16%3,592-97.02%1,333-78.03%1.35万-78.03%1.35万
非流动资产
-累计折旧 33.33%-1.73万30.35%-1.71万27.02%-1.69万-25.46%-2.73万-25.46%-2.73万-27.21%-2.59万-29.20%-2.45万-31.50%-2.32万-34.19%-2.18万-34.19%-2.18万
投资物业 95.50%2.31万106.89%2.7万45.52%2.94万2.58%2.18万2.58%2.18万-55.57%1.18万-72.91%1.31万-60.42%2.02万--2.12万--2.12万
-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 95.50%2.31万106.89%2.7万45.52%2.94万2.58%2.18万2.58%2.18万-55.57%1.18万-72.91%1.31万-60.42%2.02万--2.12万--2.12万
-其他无形资产 -11.45%45.21万-4.78%48.62万-21.64%48.64万0.83%51.06万0.83%51.06万-26.48%51.06万-10.46%51.06万-14.37%62.06万-30.13%50.64万-30.13%50.64万
监管资产 --0--0466.63%5,111-57.05%3,317-57.05%3,317-25.31%4,914-62.32%3,472-97.43%902-53.17%7,723-53.17%7,723
总资产 --0--0466.63%5,111-57.05%3,317-57.05%3,317-25.31%4,914-62.32%3,472-97.43%902-53.17%7,723-53.17%7,723
负债
流动负债
短期借款与资本租赁负债 9.54%63.46万-1.51%58.02万2.61%55.58万19.20%60.21万19.20%60.21万66.73%57.93万78.11%58.91万--54.17万--50.51万--50.51万
-短期借款 9.54%63.46万-1.51%58.02万2.61%55.58万19.20%60.21万19.20%60.21万66.73%57.93万78.11%58.91万--54.17万--50.51万--50.51万
-应付账款 27.80%127.28万60.92%125.16万86.70%122.1万38.82%117.4万38.82%117.4万-2.80%99.6万-21.34%77.78万-43.29%65.4万9.34%84.57万9.34%84.57万
-应付税费 --0--0--0--0--0--0--0--0--0--0
-应付关联方款项 -4.30%8.91万-4.42%9.09万4.49%9.31万5.61%9.41万5.61%9.41万4.49%9.31万6.74%9.51万0.00%8.91万0.00%8.91万0.00%8.91万
-其他应付款 0.00%2.15万0.00%2.15万0.00%2.15万0.00%2.15万0.00%2.15万0.00%2.15万0.00%2.15万0.00%2.15万0.00%2.15万0.00%2.15万
流动负债总额 17.38%199.68万28.73%192.43万45.55%186.99万29.88%187.02万29.88%187.02万16.42%170.12万6.12%149.48万3.42%128.48万66.93%143.99万66.93%143.99万
非流动负债
长期应计费用 -71.18%3,009-72.91%3,204-74.29%3,398-37.96%9,059-37.96%9,059-34.70%1.04万-31.93%1.18万-29.57%1.32万-27.53%1.46万-27.53%1.46万
非流动负债总额 17.38%199.68万28.73%192.43万45.55%186.99万29.88%187.02万29.88%187.02万16.42%170.12万6.12%149.48万3.42%128.48万66.93%143.99万66.93%143.99万
所有者权益
股本 0.30%1,100.4万-0.02%1,096.99万0.61%1,096.99万0.61%1,096.99万0.61%1,096.99万2.63%1,097.11万2.63%1,097.16万2.00%1,090.36万2.00%1,090.36万2.00%1,090.36万
-普通股股本 0.30%1,100.4万-0.02%1,096.99万0.61%1,096.99万0.61%1,096.99万0.61%1,096.99万2.63%1,097.11万2.63%1,097.16万2.00%1,090.36万2.00%1,090.36万2.00%1,090.36万
总权益 40.66%6.94万143.26%12.16万5.66%5.94万-21.32%5.57万-21.32%5.57万-35.19%4.93万-52.49%5万-58.63%5.63万-90.00%7.08万-90.00%7.08万

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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