加拿大市场个股详情

GUD Knight Therapeutics Inc

添加自选
  • 5.340
  • +0.090+1.71%
延时15分钟行情已收盘 12/27 16:00 (美东)
5.38亿总市值-18.41市盈率TTM

Knight Therapeutics Inc关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2024/09/30
(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
资产
流动资产
现金及现金等价物和短期投资
-5.81%1.72亿
-3.54%1.57亿
4.84%1.92亿
-11.01%1.7亿
-11.01%1.7亿
12.71%1.83亿
8.88%1.63亿
7.62%1.83亿
17.32%1.91亿
17.32%1.91亿
-现金和现金等价物
-4.73%7,375.5万
60.68%6,080.7万
11.77%6,283.5万
-18.02%5,876.1万
-18.02%5,876.1万
-23.97%7,741.8万
-59.36%3,784.4万
-50.45%5,621.8万
-16.62%7,167.9万
-16.62%7,167.9万
-短期投资
-6.60%9,856.3万
-22.92%9,665.9万
1.78%1.29亿
-6.80%1.11亿
-6.80%1.11亿
74.45%1.06亿
120.73%1.25亿
123.32%1.27亿
55.19%1.2亿
55.19%1.2亿
应收款项
-0.32%1.03亿
-21.99%9,489.8万
-19.76%9,554万
-9.52%9,822.9万
-9.52%9,822.9万
10.41%1.03亿
32.20%1.22亿
46.39%1.19亿
61.04%1.09亿
61.04%1.09亿
-应收账款
10.98%9,125万
-18.03%8,497.6万
-17.00%8,596.3万
-6.50%8,872.2万
-6.50%8,872.2万
2.71%8,222.2万
32.25%1.04亿
54.89%1.04亿
71.32%9,489万
71.32%9,489万
-应收利息
----
----
----
-77.54%101.3万
-77.54%101.3万
69.80%432.3万
204.19%559.4万
250.89%472.3万
191.91%451万
191.91%451万
-应收税费
-30.50%445.8万
-39.06%408.7万
-33.97%345万
-11.63%459.5万
-11.63%459.5万
13.02%641.4万
-9.01%670.7万
-24.07%522.5万
-36.53%520万
-36.53%520万
-其他应收款
-29.72%729.4万
2.73%583.5万
10.32%612.7万
-1.66%389.9万
-1.66%389.9万
95.19%1,037.8万
28.54%568万
-11.11%555.4万
73.30%396.5万
73.30%396.5万
存货
2.23%1.15亿
5.03%1.04亿
-3.62%9,540万
-0.71%9,183.4万
-0.71%9,183.4万
32.38%1.12亿
29.16%9,868.2万
29.14%9,898.8万
27.75%9,248.9万
27.75%9,248.9万
预付费用
183.87%728.7万
156.75%460.1万
196.16%525.1万
45.96%488.1万
45.96%488.1万
28.35%256.7万
-10.58%179.2万
-32.30%177.3万
54.46%334.4万
54.46%334.4万
持有待售资产
----
----
----
----
----
----
-21.68%142.7万
----
----
----
流动资产合计
-0.93%3.98亿
-6.77%3.61亿
-3.66%3.88亿
-7.71%3.65亿
-7.71%3.65亿
16.44%4.01亿
20.06%3.87亿
21.12%4.03亿
28.73%3.96亿
28.73%3.96亿
非流动资产
固定资产净额
5.81%2,164.4万
7.01%2,148.7万
-3.22%2,154.7万
-21.09%1,785.9万
-21.09%1,785.9万
-42.50%2,045.5万
-38.09%2,007.9万
-28.82%2,226.5万
-24.40%2,263.3万
-24.40%2,263.3万
-固定资产
5.81%2,164.4万
7.01%2,148.7万
-3.22%2,154.7万
-29.60%3,946.2万
-29.60%3,946.2万
-42.50%2,045.5万
-38.09%2,007.9万
-28.82%2,226.5万
36.71%5,605.5万
36.71%5,605.5万
-累计折旧
----
----
----
35.36%-2,160.3万
35.36%-2,160.3万
----
----
----
-201.97%-3,342.2万
-201.97%-3,342.2万
投资和预付款
-18.32%1.06亿
-20.34%1.11亿
-25.43%1.06亿
-24.04%1.2亿
-24.04%1.2亿
-13.62%1.29亿
-6.29%1.39亿
-8.68%1.42亿
-11.70%1.58亿
-11.70%1.58亿
-金融资产投资
-18.32%1.06亿
-20.34%1.11亿
-25.43%1.06亿
-24.04%1.2亿
-24.04%1.2亿
-13.62%1.29亿
-6.29%1.39亿
-8.68%1.42亿
-11.70%1.58亿
-11.70%1.58亿
-其中:可供出售证券
-18.32%1.06亿
-20.34%1.11亿
-25.43%1.06亿
-24.04%1.2亿
-24.04%1.2亿
-13.62%1.29亿
-6.29%1.39亿
-8.68%1.42亿
-11.70%1.58亿
-11.70%1.58亿
长期应收款
1,266.54%4,439.9万
2,040.41%4,439.2万
2,056.57%4,449万
17.79%395.3万
17.79%395.3万
-26.64%324.9万
-30.36%207.4万
-95.27%206.3万
81.50%335.6万
81.50%335.6万
长期预付费用
-81.99%768.2万
-84.21%728.3万
-82.84%781.1万
10.04%4,934.9万
10.04%4,934.9万
-5.97%4,265.1万
3.19%4,611.1万
1,279.90%4,550.9万
0.49%4,484.8万
0.49%4,484.8万
商誉及其他无形资产
-8.21%3.64亿
-5.99%3.8亿
-9.63%3.76亿
-12.17%3.7亿
-12.17%3.7亿
-12.59%3.97亿
-9.12%4.04亿
-1.87%4.16亿
-1.09%4.21亿
-1.09%4.21亿
-商誉
-1.28%8,478.3万
-1.32%8,460.4万
0.83%8,550.5万
-2.95%7,984.4万
-2.95%7,984.4万
2.96%8,588.3万
7.42%8,573.8万
5.01%8,479.7万
9.11%8,227.4万
9.11%8,227.4万
-其他无形资产
-10.13%2.8亿
-7.25%2.96亿
-12.30%2.91亿
-14.41%2.9亿
-14.41%2.9亿
-16.09%3.11亿
-12.73%3.19亿
-3.48%3.32亿
-3.29%3.39亿
-3.29%3.39亿
非流动递延资产
22.41%2,090万
36.27%2,051万
76.58%2,385.4万
108.27%1,939万
108.27%1,939万
1,205.35%1,707.4万
291.55%1,505.1万
330.77%1,350.9万
354.59%931万
354.59%931万
非流动资产合计
-7.40%5.65亿
-6.73%5.85亿
-9.63%5.8亿
-11.96%5.8亿
-11.96%5.8亿
-11.71%6.1亿
-7.66%6.27亿
-3.16%6.42亿
-3.70%6.59亿
-3.70%6.59亿
总资产
-4.83%9.62亿
-6.75%9.45亿
-7.33%9.68亿
-10.37%9.45亿
-10.37%9.45亿
-2.34%10.11亿
1.26%10.14亿
4.96%10.45亿
6.35%10.55亿
6.35%10.55亿
负债
流动负债
短期借款与资本租赁负债
-21.14%2,170.6万
-15.11%1,955.7万
-1.46%2,209.8万
-3.33%1,957.8万
-3.33%1,957.8万
0.30%2,752.4万
-12.58%2,303.9万
-31.67%2,242.5万
-28.38%2,025.2万
-28.38%2,025.2万
-短期借款
-27.23%1,869.1万
-19.48%1,698.8万
-4.81%1,931.6万
1.00%1,785万
1.00%1,785万
2.13%2,568.4万
-13.31%2,109.7万
-34.83%2,029.3万
-33.71%1,767.4万
-33.71%1,767.4万
-短期资本租赁负债
63.86%301.5万
32.29%256.9万
30.49%278.2万
-32.97%172.8万
-32.97%172.8万
-19.76%184万
-3.77%194.2万
27.13%213.2万
59.73%257.8万
59.73%257.8万
应付款项
9.55%9,425.3万
-13.28%8,447.1万
-16.70%9,274.1万
-18.97%9,340.5万
-18.97%9,340.5万
-18.56%8,603.8万
1.13%9,741.1万
28.91%1.11亿
53.63%1.15亿
53.63%1.15亿
-应付账款
4.64%8,662万
-16.82%7,780.8万
-20.33%8,603.4万
-19.51%8,536.6万
-19.51%8,536.6万
-8.90%8,278.2万
13.51%9,353.7万
38.55%1.08亿
62.40%1.06亿
62.40%1.06亿
-应付税费
32.47%249.3万
-44.43%91.8万
-29.57%158.6万
-48.02%118.2万
-48.02%118.2万
-31.01%188.2万
-51.96%165.2万
-58.35%225.2万
-67.85%227.4万
-67.85%227.4万
-其他应付款
274.09%514万
158.55%574.5万
365.97%512.1万
-1.21%685.7万
-1.21%685.7万
-88.60%137.4万
-78.80%222.2万
-63.56%109.9万
161.43%694.1万
161.43%694.1万
其他流动负债
44.75%219.3万
16.57%180.1万
-2.43%164.6万
-81.94%104.6万
-81.94%104.6万
-76.50%151.5万
-54.03%154.5万
-20.91%168.7万
191.25%579.3万
191.25%579.3万
流动负债总额
2.67%1.18亿
-13.25%1.06亿
-14.00%1.16亿
-19.31%1.14亿
-19.31%1.14亿
-17.53%1.15亿
-3.20%1.22亿
11.65%1.35亿
34.21%1.41亿
34.21%1.41亿
非流动负债
长期借款与租赁负债
-33.00%3,651.1万
-31.36%3,855.1万
-20.29%4,799.6万
-13.81%4,951.3万
-13.81%4,951.3万
368.88%5,449.3万
373.49%5,616.1万
330.98%6,021.2万
352.99%5,744.8万
352.99%5,744.8万
-长期借款
-33.66%3,296万
-33.88%3,396.4万
-22.01%4,292.5万
-16.00%4,401.6万
-16.00%4,401.6万
515.46%4,968万
530.39%5,136.4万
456.80%5,504万
465.55%5,239.8万
465.55%5,239.8万
-长期租赁负债
-26.22%355.1万
-4.38%458.7万
-1.95%507.1万
8.85%549.7万
8.85%549.7万
35.58%481.3万
29.19%479.7万
26.58%517.2万
47.79%505万
47.79%505万
长期应付账款及其他应付款项
34.26%2,945.9万
41.19%3,323.5万
49.84%3,732.2万
24.83%3,226.3万
24.83%3,226.3万
-10.77%2,194.1万
-4.07%2,353.9万
26.53%2,490.8万
32.43%2,584.5万
32.43%2,584.5万
递延负债
-14.28%426.3万
2.04%494.8万
-15.38%451.3万
-35.46%281.7万
-35.46%281.7万
-2.16%497.3万
-46.20%484.9万
-50.93%533.3万
-64.72%436.5万
-64.72%436.5万
非流动负债总额
-13.73%7,023.3万
-9.24%7,673.4万
-0.69%8,983.1万
-3.50%8,459.3万
-3.50%8,459.3万
97.14%8,140.7万
86.19%8,454.9万
103.15%9,045.3万
96.67%8,765.8万
96.67%8,765.8万
负债总额
-4.12%1.88亿
-11.61%1.83亿
-8.67%2.06亿
-13.26%1.99亿
-13.26%1.99亿
8.66%1.96亿
20.47%2.07亿
36.22%2.26亿
52.78%2.29亿
52.78%2.29亿
所有者权益
股本
-3.78%5.39亿
-5.42%5.41亿
-8.01%5.4亿
-9.85%5.4亿
-9.85%5.4亿
-7.78%5.61亿
-6.54%5.72亿
-5.25%5.87亿
-4.74%5.99亿
-4.74%5.99亿
-普通股股本
-3.78%5.39亿
-5.42%5.41亿
-8.01%5.4亿
-9.85%5.4亿
-9.85%5.4亿
-7.78%5.61亿
-6.54%5.72亿
-5.25%5.87亿
-4.74%5.99亿
-4.74%5.99亿
资本公积
2.31%2,621.5万
1.53%2,566.2万
8.40%2,650.1万
9.83%2,599.1万
9.83%2,599.1万
10.47%2,562.4万
10.20%2,527.5万
10.32%2,444.7万
8.67%2,366.4万
8.67%2,366.4万
留存收益
-17.01%1.44亿
-11.20%1.44亿
-7.95%1.46亿
-6.72%1.51亿
-6.72%1.51亿
-1.79%1.74亿
-7.44%1.62亿
-8.06%1.59亿
-15.60%1.62亿
-15.60%1.62亿
不影响留存收益的损益
17.17%6,407.7万
9.26%5,182万
1.33%4,879.5万
-27.72%2,982.9万
-27.72%2,982.9万
17.54%5,468.9万
147.47%4,743万
227.44%4,815.4万
11,075.00%4,126.6万
11,075.00%4,126.6万
其他股本权益
0.00%11.7万
0.00%11.7万
0.00%11.7万
0.00%11.7万
0.00%11.7万
0.00%11.7万
0.00%11.7万
0.00%11.7万
0.00%11.7万
0.00%11.7万
股东权益总额
-5.00%7.74亿
-5.50%7.63亿
-6.96%7.62亿
-9.56%7.47亿
-9.56%7.47亿
-4.66%8.15亿
-2.71%8.07亿
-1.29%8.19亿
-1.92%8.26亿
-1.92%8.26亿
总权益
-5.00%7.74亿
-5.50%7.63亿
-6.96%7.62亿
-9.56%7.47亿
-9.56%7.47亿
-4.66%8.15亿
-2.71%8.07亿
-1.29%8.19亿
-1.92%8.26亿
-1.92%8.26亿
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
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无保留意见
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(Q3)2024/09/30(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
资产
流动资产
现金及现金等价物和短期投资 -5.81%1.72亿-3.54%1.57亿4.84%1.92亿-11.01%1.7亿-11.01%1.7亿12.71%1.83亿8.88%1.63亿7.62%1.83亿17.32%1.91亿17.32%1.91亿
-现金和现金等价物 -4.73%7,375.5万60.68%6,080.7万11.77%6,283.5万-18.02%5,876.1万-18.02%5,876.1万-23.97%7,741.8万-59.36%3,784.4万-50.45%5,621.8万-16.62%7,167.9万-16.62%7,167.9万
-短期投资 -6.60%9,856.3万-22.92%9,665.9万1.78%1.29亿-6.80%1.11亿-6.80%1.11亿74.45%1.06亿120.73%1.25亿123.32%1.27亿55.19%1.2亿55.19%1.2亿
应收款项 -0.32%1.03亿-21.99%9,489.8万-19.76%9,554万-9.52%9,822.9万-9.52%9,822.9万10.41%1.03亿32.20%1.22亿46.39%1.19亿61.04%1.09亿61.04%1.09亿
-应收账款 10.98%9,125万-18.03%8,497.6万-17.00%8,596.3万-6.50%8,872.2万-6.50%8,872.2万2.71%8,222.2万32.25%1.04亿54.89%1.04亿71.32%9,489万71.32%9,489万
-应收利息 -------------77.54%101.3万-77.54%101.3万69.80%432.3万204.19%559.4万250.89%472.3万191.91%451万191.91%451万
-应收税费 -30.50%445.8万-39.06%408.7万-33.97%345万-11.63%459.5万-11.63%459.5万13.02%641.4万-9.01%670.7万-24.07%522.5万-36.53%520万-36.53%520万
-其他应收款 -29.72%729.4万2.73%583.5万10.32%612.7万-1.66%389.9万-1.66%389.9万95.19%1,037.8万28.54%568万-11.11%555.4万73.30%396.5万73.30%396.5万
存货 2.23%1.15亿5.03%1.04亿-3.62%9,540万-0.71%9,183.4万-0.71%9,183.4万32.38%1.12亿29.16%9,868.2万29.14%9,898.8万27.75%9,248.9万27.75%9,248.9万
预付费用 183.87%728.7万156.75%460.1万196.16%525.1万45.96%488.1万45.96%488.1万28.35%256.7万-10.58%179.2万-32.30%177.3万54.46%334.4万54.46%334.4万
持有待售资产 -------------------------21.68%142.7万------------
流动资产合计 -0.93%3.98亿-6.77%3.61亿-3.66%3.88亿-7.71%3.65亿-7.71%3.65亿16.44%4.01亿20.06%3.87亿21.12%4.03亿28.73%3.96亿28.73%3.96亿
非流动资产
固定资产净额 5.81%2,164.4万7.01%2,148.7万-3.22%2,154.7万-21.09%1,785.9万-21.09%1,785.9万-42.50%2,045.5万-38.09%2,007.9万-28.82%2,226.5万-24.40%2,263.3万-24.40%2,263.3万
-固定资产 5.81%2,164.4万7.01%2,148.7万-3.22%2,154.7万-29.60%3,946.2万-29.60%3,946.2万-42.50%2,045.5万-38.09%2,007.9万-28.82%2,226.5万36.71%5,605.5万36.71%5,605.5万
-累计折旧 ------------35.36%-2,160.3万35.36%-2,160.3万-------------201.97%-3,342.2万-201.97%-3,342.2万
投资和预付款 -18.32%1.06亿-20.34%1.11亿-25.43%1.06亿-24.04%1.2亿-24.04%1.2亿-13.62%1.29亿-6.29%1.39亿-8.68%1.42亿-11.70%1.58亿-11.70%1.58亿
-金融资产投资 -18.32%1.06亿-20.34%1.11亿-25.43%1.06亿-24.04%1.2亿-24.04%1.2亿-13.62%1.29亿-6.29%1.39亿-8.68%1.42亿-11.70%1.58亿-11.70%1.58亿
-其中:可供出售证券 -18.32%1.06亿-20.34%1.11亿-25.43%1.06亿-24.04%1.2亿-24.04%1.2亿-13.62%1.29亿-6.29%1.39亿-8.68%1.42亿-11.70%1.58亿-11.70%1.58亿
长期应收款 1,266.54%4,439.9万2,040.41%4,439.2万2,056.57%4,449万17.79%395.3万17.79%395.3万-26.64%324.9万-30.36%207.4万-95.27%206.3万81.50%335.6万81.50%335.6万
长期预付费用 -81.99%768.2万-84.21%728.3万-82.84%781.1万10.04%4,934.9万10.04%4,934.9万-5.97%4,265.1万3.19%4,611.1万1,279.90%4,550.9万0.49%4,484.8万0.49%4,484.8万
商誉及其他无形资产 -8.21%3.64亿-5.99%3.8亿-9.63%3.76亿-12.17%3.7亿-12.17%3.7亿-12.59%3.97亿-9.12%4.04亿-1.87%4.16亿-1.09%4.21亿-1.09%4.21亿
-商誉 -1.28%8,478.3万-1.32%8,460.4万0.83%8,550.5万-2.95%7,984.4万-2.95%7,984.4万2.96%8,588.3万7.42%8,573.8万5.01%8,479.7万9.11%8,227.4万9.11%8,227.4万
-其他无形资产 -10.13%2.8亿-7.25%2.96亿-12.30%2.91亿-14.41%2.9亿-14.41%2.9亿-16.09%3.11亿-12.73%3.19亿-3.48%3.32亿-3.29%3.39亿-3.29%3.39亿
非流动递延资产 22.41%2,090万36.27%2,051万76.58%2,385.4万108.27%1,939万108.27%1,939万1,205.35%1,707.4万291.55%1,505.1万330.77%1,350.9万354.59%931万354.59%931万
非流动资产合计 -7.40%5.65亿-6.73%5.85亿-9.63%5.8亿-11.96%5.8亿-11.96%5.8亿-11.71%6.1亿-7.66%6.27亿-3.16%6.42亿-3.70%6.59亿-3.70%6.59亿
总资产 -4.83%9.62亿-6.75%9.45亿-7.33%9.68亿-10.37%9.45亿-10.37%9.45亿-2.34%10.11亿1.26%10.14亿4.96%10.45亿6.35%10.55亿6.35%10.55亿
负债
流动负债
短期借款与资本租赁负债 -21.14%2,170.6万-15.11%1,955.7万-1.46%2,209.8万-3.33%1,957.8万-3.33%1,957.8万0.30%2,752.4万-12.58%2,303.9万-31.67%2,242.5万-28.38%2,025.2万-28.38%2,025.2万
-短期借款 -27.23%1,869.1万-19.48%1,698.8万-4.81%1,931.6万1.00%1,785万1.00%1,785万2.13%2,568.4万-13.31%2,109.7万-34.83%2,029.3万-33.71%1,767.4万-33.71%1,767.4万
-短期资本租赁负债 63.86%301.5万32.29%256.9万30.49%278.2万-32.97%172.8万-32.97%172.8万-19.76%184万-3.77%194.2万27.13%213.2万59.73%257.8万59.73%257.8万
应付款项 9.55%9,425.3万-13.28%8,447.1万-16.70%9,274.1万-18.97%9,340.5万-18.97%9,340.5万-18.56%8,603.8万1.13%9,741.1万28.91%1.11亿53.63%1.15亿53.63%1.15亿
-应付账款 4.64%8,662万-16.82%7,780.8万-20.33%8,603.4万-19.51%8,536.6万-19.51%8,536.6万-8.90%8,278.2万13.51%9,353.7万38.55%1.08亿62.40%1.06亿62.40%1.06亿
-应付税费 32.47%249.3万-44.43%91.8万-29.57%158.6万-48.02%118.2万-48.02%118.2万-31.01%188.2万-51.96%165.2万-58.35%225.2万-67.85%227.4万-67.85%227.4万
-其他应付款 274.09%514万158.55%574.5万365.97%512.1万-1.21%685.7万-1.21%685.7万-88.60%137.4万-78.80%222.2万-63.56%109.9万161.43%694.1万161.43%694.1万
其他流动负债 44.75%219.3万16.57%180.1万-2.43%164.6万-81.94%104.6万-81.94%104.6万-76.50%151.5万-54.03%154.5万-20.91%168.7万191.25%579.3万191.25%579.3万
流动负债总额 2.67%1.18亿-13.25%1.06亿-14.00%1.16亿-19.31%1.14亿-19.31%1.14亿-17.53%1.15亿-3.20%1.22亿11.65%1.35亿34.21%1.41亿34.21%1.41亿
非流动负债
长期借款与租赁负债 -33.00%3,651.1万-31.36%3,855.1万-20.29%4,799.6万-13.81%4,951.3万-13.81%4,951.3万368.88%5,449.3万373.49%5,616.1万330.98%6,021.2万352.99%5,744.8万352.99%5,744.8万
-长期借款 -33.66%3,296万-33.88%3,396.4万-22.01%4,292.5万-16.00%4,401.6万-16.00%4,401.6万515.46%4,968万530.39%5,136.4万456.80%5,504万465.55%5,239.8万465.55%5,239.8万
-长期租赁负债 -26.22%355.1万-4.38%458.7万-1.95%507.1万8.85%549.7万8.85%549.7万35.58%481.3万29.19%479.7万26.58%517.2万47.79%505万47.79%505万
长期应付账款及其他应付款项 34.26%2,945.9万41.19%3,323.5万49.84%3,732.2万24.83%3,226.3万24.83%3,226.3万-10.77%2,194.1万-4.07%2,353.9万26.53%2,490.8万32.43%2,584.5万32.43%2,584.5万
递延负债 -14.28%426.3万2.04%494.8万-15.38%451.3万-35.46%281.7万-35.46%281.7万-2.16%497.3万-46.20%484.9万-50.93%533.3万-64.72%436.5万-64.72%436.5万
非流动负债总额 -13.73%7,023.3万-9.24%7,673.4万-0.69%8,983.1万-3.50%8,459.3万-3.50%8,459.3万97.14%8,140.7万86.19%8,454.9万103.15%9,045.3万96.67%8,765.8万96.67%8,765.8万
负债总额 -4.12%1.88亿-11.61%1.83亿-8.67%2.06亿-13.26%1.99亿-13.26%1.99亿8.66%1.96亿20.47%2.07亿36.22%2.26亿52.78%2.29亿52.78%2.29亿
所有者权益
股本 -3.78%5.39亿-5.42%5.41亿-8.01%5.4亿-9.85%5.4亿-9.85%5.4亿-7.78%5.61亿-6.54%5.72亿-5.25%5.87亿-4.74%5.99亿-4.74%5.99亿
-普通股股本 -3.78%5.39亿-5.42%5.41亿-8.01%5.4亿-9.85%5.4亿-9.85%5.4亿-7.78%5.61亿-6.54%5.72亿-5.25%5.87亿-4.74%5.99亿-4.74%5.99亿
资本公积 2.31%2,621.5万1.53%2,566.2万8.40%2,650.1万9.83%2,599.1万9.83%2,599.1万10.47%2,562.4万10.20%2,527.5万10.32%2,444.7万8.67%2,366.4万8.67%2,366.4万
留存收益 -17.01%1.44亿-11.20%1.44亿-7.95%1.46亿-6.72%1.51亿-6.72%1.51亿-1.79%1.74亿-7.44%1.62亿-8.06%1.59亿-15.60%1.62亿-15.60%1.62亿
不影响留存收益的损益 17.17%6,407.7万9.26%5,182万1.33%4,879.5万-27.72%2,982.9万-27.72%2,982.9万17.54%5,468.9万147.47%4,743万227.44%4,815.4万11,075.00%4,126.6万11,075.00%4,126.6万
其他股本权益 0.00%11.7万0.00%11.7万0.00%11.7万0.00%11.7万0.00%11.7万0.00%11.7万0.00%11.7万0.00%11.7万0.00%11.7万0.00%11.7万
股东权益总额 -5.00%7.74亿-5.50%7.63亿-6.96%7.62亿-9.56%7.47亿-9.56%7.47亿-4.66%8.15亿-2.71%8.07亿-1.29%8.19亿-1.92%8.26亿-1.92%8.26亿
总权益 -5.00%7.74亿-5.50%7.63亿-6.96%7.62亿-9.56%7.47亿-9.56%7.47亿-4.66%8.15亿-2.71%8.07亿-1.29%8.19亿-1.92%8.26亿-1.92%8.26亿
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ------无保留意见------------

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。