加拿大市场个股详情

HIVE HIVE Digital Technologies Ltd

添加自选
  • 4.160
  • -0.110-2.58%
延时15分钟行情交易中 07/03 14:39 (美东)
4.87亿总市值-5388市盈率TTM

HIVE Digital Technologies Ltd关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2024/03/31
(Q4)2024/03/31
(Q3)2023/12/31
(Q2)2023/09/30
(Q1)2023/06/30
(FY)2023/03/31
(Q4)2023/03/31
(Q3)2022/12/31
(Q2)2022/09/30
(Q1)2022/06/30
资产
流动资产
现金及现金等价物和短期投资
130.03%1,665.2万
130.03%1,665.2万
74.74%2,472.4万
-51.89%703.6万
-43.42%675.17万
-67.57%723.9万
-67.57%723.9万
-84.34%1,414.94万
-24.09%1,462.58万
-66.43%1,193.37万
-现金和现金等价物
121.31%967.8万
121.31%967.8万
106.98%1,782.4万
-44.19%454.4万
12.45%451.99万
-17.78%437.3万
-17.78%437.3万
-86.47%861.14万
70.80%814.24万
-85.06%401.95万
-应收账款
-25.92%692.9万
-25.92%692.9万
-23.83%819.4万
--1,002.8万
--896.73万
38.41%935.4万
38.41%935.4万
--1,075.77万
----
----
-其他应收款
847.37%126万
847.37%126万
--115.3万
--59.2万
--1.86万
-79.41%13.3万
-79.41%13.3万
----
----
----
流动资产合计
124.54%1.85亿
124.54%1.85亿
64.13%1.05亿
-27.91%6,395.4万
-17.28%7,526.64万
-58.56%8,249.2万
-58.56%8,249.2万
-76.22%6,386万
-41.57%8,871.41万
-25.14%9,098.84万
非流动资产
-累计折旧
-34.45%-2.36亿
-34.45%-2.36亿
-32.53%-2.23亿
-12.89%-2.05亿
-8.79%-1.91亿
-14.97%-1.75亿
-14.97%-1.75亿
-42.83%-1.68亿
-76.35%-1.82亿
-87.73%-1.76亿
-长期股权投资
-24.58%1,812.3万
-24.58%1,812.3万
-23.12%2,014.7万
-19.62%2,107.1万
-20.36%2,266.9万
-32.39%2,402.8万
-32.39%2,402.8万
-34.10%2,620.42万
-36.78%2,621.37万
-34.02%2,846.47万
-商誉
--0
--0
--0
--0
--0
-80.04%6.7万
-80.04%6.7万
-99.08%13.42万
-98.64%20.14万
-98.20%26.85万
-其他无形资产
----
----
--1,895.9万
----
----
----
----
----
----
----
监管资产
-25.92%692.9万
-25.92%692.9万
-23.83%819.4万
83.47%1,002.8万
77.30%896.73万
38.41%935.4万
38.41%935.4万
32.37%1,075.77万
-30.44%546.59万
-23.05%505.77万
非流动递延资产
-55.37%259.5万
-55.37%259.5万
-49.23%236.6万
211.68%566万
228.93%597.33万
91.52%581.5万
91.52%581.5万
--466万
--181.6万
--181.6万
总资产
----
----
----
----
----
----
----
----
-15.20%512.35万
6.33%505.77万
负债
流动负债
短期借款与资本租赁负债
6.17%1,260万
6.17%1,260万
20.25%1,306.4万
4.57%1,152.3万
-1.84%1,182.51万
-7.02%1,186.8万
-7.02%1,186.8万
146.63%1,086.38万
148.14%1,101.94万
140.49%1,204.68万
-短期借款
5.63%1,007.5万
5.63%1,007.5万
20.04%1,053.6万
0.72%917.6万
-5.35%948.03万
-10.01%953.8万
-10.01%953.8万
150.96%877.68万
160.51%911.07万
186.42%1,001.6万
-短期资本租赁负债
8.37%252.5万
8.37%252.5万
21.13%252.8万
22.96%234.7万
15.46%234.49万
7.64%233万
7.64%233万
129.95%208.7万
102.31%190.87万
34.28%203.08万
-应付账款
8.85%746.6万
8.85%746.6万
-14.85%815.8万
-33.94%684.4万
-59.85%654.62万
-11.68%685.9万
-11.68%685.9万
-12.63%958.04万
80.32%1,035.97万
257.50%1,630.6万
-应付税费
-15.25%2,053.8万
-15.25%2,053.8万
-18.61%2,132.8万
-17.41%2,164.9万
-24.42%2,266.9万
-34.62%2,423.4万
-34.62%2,423.4万
-34.10%2,620.42万
-36.78%2,621.37万
-30.47%2,999.37万
应计费用
-20.49%187.8万
-20.49%187.8万
--250.2万
--179.9万
--205.27万
-40.43%236.2万
-40.43%236.2万
----
----
----
流动负债总额
18.57%2,735.2万
18.57%2,735.2万
33.77%2,985.4万
7.36%2,540.5万
-17.51%2,412.1万
-11.80%2,306.8万
-11.80%2,306.8万
45.20%2,231.82万
132.32%2,366.41万
205.52%2,923.98万
非流动负债
-长期借款
-29.61%572.8万
-29.61%572.8万
-21.34%645.4万
-17.65%673.7万
-20.29%745.02万
-22.38%813.8万
-22.38%813.8万
1,581.32%820.45万
879.65%818.09万
891.45%934.61万
长期应计费用
5.75%1.04亿
5.75%1.04亿
-3.79%1.01亿
-48.29%9,633.3万
-47.15%9,643.36万
-48.35%9,820.1万
-48.35%9,820.1万
-3.26%1.05亿
127.08%1.86亿
285.82%1.82亿
长期拨备
-21.99%1,239.5万
-21.99%1,239.5万
-23.93%1,369.3万
-20.51%1,433.4万
-20.40%1,521.89万
-36.58%1,589万
-36.58%1,589万
-54.17%1,799.97万
-55.62%1,803.28万
-54.69%1,911.86万
非流动负债总额
1.24%4,789万
1.24%4,789万
5.48%5,118.2万
-5.66%4,705.4万
-21.01%4,679.01万
-25.18%4,730.2万
-25.18%4,730.2万
-11.99%4,852.24万
-3.43%4,987.78万
12.38%5,923.35万
所有者权益
股本
19.08%4.99亿
19.08%4.99亿
7.83%4.51亿
3.22%4.28亿
1.80%4.21亿
1.34%4.19亿
1.34%4.19亿
27.33%4.19亿
31.96%4.15亿
38.25%4.14亿
-普通股股本
19.08%4.99亿
19.08%4.99亿
7.83%4.51亿
3.22%4.28亿
1.80%4.21亿
1.34%4.19亿
1.34%4.19亿
27.33%4.19亿
31.96%4.15亿
38.25%4.14亿
不影响留存收益的损益
312.50%1.08亿
312.50%1.08亿
100.74%5,416.7万
28.94%3,245.7万
38.86%3,337.14万
-26.29%2,626.8万
-26.29%2,626.8万
128.65%2,698.4万
150.28%2,517.14万
218.81%2,403.31万
总权益
56.84%3.08亿
56.84%3.08亿
22.09%2.31亿
-38.95%1.7亿
-40.99%1.88亿
-56.64%1.96亿
-56.64%1.96亿
-61.12%1.89亿
-12.62%2.78亿
31.71%3.19亿
(FY)2024/03/31(Q4)2024/03/31(Q3)2023/12/31(Q2)2023/09/30(Q1)2023/06/30(FY)2023/03/31(Q4)2023/03/31(Q3)2022/12/31(Q2)2022/09/30(Q1)2022/06/30
资产
流动资产
现金及现金等价物和短期投资 130.03%1,665.2万130.03%1,665.2万74.74%2,472.4万-51.89%703.6万-43.42%675.17万-67.57%723.9万-67.57%723.9万-84.34%1,414.94万-24.09%1,462.58万-66.43%1,193.37万
-现金和现金等价物 121.31%967.8万121.31%967.8万106.98%1,782.4万-44.19%454.4万12.45%451.99万-17.78%437.3万-17.78%437.3万-86.47%861.14万70.80%814.24万-85.06%401.95万
-应收账款 -25.92%692.9万-25.92%692.9万-23.83%819.4万--1,002.8万--896.73万38.41%935.4万38.41%935.4万--1,075.77万--------
-其他应收款 847.37%126万847.37%126万--115.3万--59.2万--1.86万-79.41%13.3万-79.41%13.3万------------
流动资产合计 124.54%1.85亿124.54%1.85亿64.13%1.05亿-27.91%6,395.4万-17.28%7,526.64万-58.56%8,249.2万-58.56%8,249.2万-76.22%6,386万-41.57%8,871.41万-25.14%9,098.84万
非流动资产
-累计折旧 -34.45%-2.36亿-34.45%-2.36亿-32.53%-2.23亿-12.89%-2.05亿-8.79%-1.91亿-14.97%-1.75亿-14.97%-1.75亿-42.83%-1.68亿-76.35%-1.82亿-87.73%-1.76亿
-长期股权投资 -24.58%1,812.3万-24.58%1,812.3万-23.12%2,014.7万-19.62%2,107.1万-20.36%2,266.9万-32.39%2,402.8万-32.39%2,402.8万-34.10%2,620.42万-36.78%2,621.37万-34.02%2,846.47万
-商誉 --0--0--0--0--0-80.04%6.7万-80.04%6.7万-99.08%13.42万-98.64%20.14万-98.20%26.85万
-其他无形资产 ----------1,895.9万----------------------------
监管资产 -25.92%692.9万-25.92%692.9万-23.83%819.4万83.47%1,002.8万77.30%896.73万38.41%935.4万38.41%935.4万32.37%1,075.77万-30.44%546.59万-23.05%505.77万
非流动递延资产 -55.37%259.5万-55.37%259.5万-49.23%236.6万211.68%566万228.93%597.33万91.52%581.5万91.52%581.5万--466万--181.6万--181.6万
总资产 ---------------------------------15.20%512.35万6.33%505.77万
负债
流动负债
短期借款与资本租赁负债 6.17%1,260万6.17%1,260万20.25%1,306.4万4.57%1,152.3万-1.84%1,182.51万-7.02%1,186.8万-7.02%1,186.8万146.63%1,086.38万148.14%1,101.94万140.49%1,204.68万
-短期借款 5.63%1,007.5万5.63%1,007.5万20.04%1,053.6万0.72%917.6万-5.35%948.03万-10.01%953.8万-10.01%953.8万150.96%877.68万160.51%911.07万186.42%1,001.6万
-短期资本租赁负债 8.37%252.5万8.37%252.5万21.13%252.8万22.96%234.7万15.46%234.49万7.64%233万7.64%233万129.95%208.7万102.31%190.87万34.28%203.08万
-应付账款 8.85%746.6万8.85%746.6万-14.85%815.8万-33.94%684.4万-59.85%654.62万-11.68%685.9万-11.68%685.9万-12.63%958.04万80.32%1,035.97万257.50%1,630.6万
-应付税费 -15.25%2,053.8万-15.25%2,053.8万-18.61%2,132.8万-17.41%2,164.9万-24.42%2,266.9万-34.62%2,423.4万-34.62%2,423.4万-34.10%2,620.42万-36.78%2,621.37万-30.47%2,999.37万
应计费用 -20.49%187.8万-20.49%187.8万--250.2万--179.9万--205.27万-40.43%236.2万-40.43%236.2万------------
流动负债总额 18.57%2,735.2万18.57%2,735.2万33.77%2,985.4万7.36%2,540.5万-17.51%2,412.1万-11.80%2,306.8万-11.80%2,306.8万45.20%2,231.82万132.32%2,366.41万205.52%2,923.98万
非流动负债
-长期借款 -29.61%572.8万-29.61%572.8万-21.34%645.4万-17.65%673.7万-20.29%745.02万-22.38%813.8万-22.38%813.8万1,581.32%820.45万879.65%818.09万891.45%934.61万
长期应计费用 5.75%1.04亿5.75%1.04亿-3.79%1.01亿-48.29%9,633.3万-47.15%9,643.36万-48.35%9,820.1万-48.35%9,820.1万-3.26%1.05亿127.08%1.86亿285.82%1.82亿
长期拨备 -21.99%1,239.5万-21.99%1,239.5万-23.93%1,369.3万-20.51%1,433.4万-20.40%1,521.89万-36.58%1,589万-36.58%1,589万-54.17%1,799.97万-55.62%1,803.28万-54.69%1,911.86万
非流动负债总额 1.24%4,789万1.24%4,789万5.48%5,118.2万-5.66%4,705.4万-21.01%4,679.01万-25.18%4,730.2万-25.18%4,730.2万-11.99%4,852.24万-3.43%4,987.78万12.38%5,923.35万
所有者权益
股本 19.08%4.99亿19.08%4.99亿7.83%4.51亿3.22%4.28亿1.80%4.21亿1.34%4.19亿1.34%4.19亿27.33%4.19亿31.96%4.15亿38.25%4.14亿
-普通股股本 19.08%4.99亿19.08%4.99亿7.83%4.51亿3.22%4.28亿1.80%4.21亿1.34%4.19亿1.34%4.19亿27.33%4.19亿31.96%4.15亿38.25%4.14亿
不影响留存收益的损益 312.50%1.08亿312.50%1.08亿100.74%5,416.7万28.94%3,245.7万38.86%3,337.14万-26.29%2,626.8万-26.29%2,626.8万128.65%2,698.4万150.28%2,517.14万218.81%2,403.31万
总权益 56.84%3.08亿56.84%3.08亿22.09%2.31亿-38.95%1.7亿-40.99%1.88亿-56.64%1.96亿-56.64%1.96亿-61.12%1.89亿-12.62%2.78亿31.71%3.19亿

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。

热议
加拿大
综合热度
股票代码
最新价
涨跌幅