加拿大市场个股详情

IME Imagin Medical Inc

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延时15分钟行情已收盘 04/12 09:30 (美东)
16.25万总市值-187市盈率TTM

Imagin Medical Inc关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2023/03/31
(Q1)2022/12/31
(FY)2022/09/30
(Q4)2022/09/30
(Q3)2022/06/30
(Q2)2022/03/31
(Q1)2021/12/31
(FY)2021/09/30
(Q4)2021/09/30
(Q3)2021/06/30
资产
流动资产
现金及现金等价物和短期投资
-99.45%4,570
-27.60%3.38万
-84.82%4.03万
-84.82%4.03万
-79.96%14.57万
-16.68%82.59万
-14.32%4.67万
861.92%26.57万
861.92%26.57万
170.06%72.7万
-现金和现金等价物
-99.45%4,570
-27.60%3.38万
-84.82%4.03万
-84.82%4.03万
-79.96%14.57万
-16.68%82.59万
-14.32%4.67万
861.92%26.57万
861.92%26.57万
170.06%72.7万
流动资产合计
-89.51%12.88万
-63.00%16.61万
-71.52%18.55万
-71.52%18.55万
-68.93%35.45万
-13.97%122.72万
0.25%44.88万
782.56%65.15万
782.56%65.15万
225.77%114.1万
非流动资产
-长期股权投资
----
----
----
----
----
----
----
----
----
--164.52万
-商誉
788.40%101.35万
748.57%103.3万
847.18%116.53万
847.18%116.53万
-18.37%10.64万
-17.17%11.41万
-11.94%12.17万
-15.49%12.3万
-15.49%12.3万
-18.74%13.04万
-其他无形资产
3.74%315.91万
3.45%315.02万
3.16%314.14万
3.16%314.14万
2.36%311.72万
0.48%304.53万
3.07%304.53万
3.07%304.53万
3.07%304.53万
2.85%304.53万
监管资产
-21.30%2,693
-38.87%2,573
53.11%1,923
53.11%1,923
-12.81%1,538
39.28%3,422
78.12%4,209
-45.98%1,256
-45.98%1,256
-52.62%1,764
总资产
-21.30%2,693
-38.87%2,573
53.11%1,923
53.11%1,923
-12.81%1,538
39.28%3,422
78.12%4,209
-45.98%1,256
-45.98%1,256
-51.82%1,764
负债
流动负债
短期借款与资本租赁负债
-6.28%1,355.04万
2.98%1,290.52万
14.80%1,345.56万
14.80%1,345.56万
--894.56万
--1,445.76万
--1,253.22万
--1,172.11万
--1,172.11万
----
-短期借款
-6.28%1,355.04万
2.98%1,290.52万
14.80%1,345.56万
14.80%1,345.56万
--894.56万
--1,445.76万
--1,253.22万
--1,172.11万
--1,172.11万
----
-应付账款
1,239.49%101.42万
586.60%100.67万
213.29%72.56万
213.29%72.56万
-82.32%5.31万
-76.31%7.57万
-54.55%14.66万
-16.58%23.16万
-16.58%23.16万
150.62%30.04万
-应付税费
--0
--0
--0
--0
--0
--0
--0
--0
--0
--407.32万
-应付关联方款项
113.20%70.69万
53.02%53.86万
25.04%41.73万
25.04%41.73万
-0.38%33.75万
22.11%33.15万
42.93%35.2万
40.85%33.37万
40.85%33.37万
2,723.53%33.88万
应计费用
-53.28%5.55万
74.09%5.87万
204.23%8.75万
204.23%8.75万
1,292.71%4.87万
367.77%11.87万
10.64%3.37万
-19.11%2.87万
-19.11%2.87万
-82.93%3,500
流动负债总额
2.22%1,531.7万
11.06%1,450.93万
19.25%1,468.59万
19.25%1,468.59万
1,360.11%938.5万
2,330.32%1,498.36万
2,079.85%1,306.46万
2,138.56%1,231.52万
2,138.56%1,231.52万
321.82%64.28万
非流动负债
衍生品负债
----
----
----
----
----
----
----
----
----
--242.8万
长期拨备
----
----
----
----
----
----
----
----
----
--164.52万
非流动负债总额
2.22%1,531.7万
11.06%1,450.93万
19.25%1,468.59万
19.25%1,468.59万
99.01%938.5万
224.46%1,498.36万
799.44%1,306.46万
2,138.56%1,231.52万
2,138.56%1,231.52万
2,994.92%471.6万
所有者权益
股本
1.30%1,814.13万
1.30%1,814.13万
3.43%1,814.13万
3.43%1,814.13万
2.50%1,790.87万
2.67%1,790.87万
2.96%1,790.87万
1.00%1,753.96万
1.00%1,753.96万
0.64%1,747.22万
-普通股股本
1.30%1,814.13万
1.30%1,814.13万
3.43%1,814.13万
3.43%1,814.13万
2.50%1,790.87万
2.67%1,790.87万
2.96%1,790.87万
1.00%1,753.96万
1.00%1,753.96万
0.64%1,747.22万
留存收益
--0
--0
0.00%1,700
0.00%1,700
0.00%1,700
0.00%1,700
54.55%1,700
--1,700
--1,700
--1,700
其他股本权益
----
----
----
----
----
----
----
----
----
---3
总权益
-14.84%114.22万
110.16%119.9万
74.41%135.08万
74.41%135.08万
-63.75%46.09万
-14.25%134.13万
-2.62%57.05万
253.02%77.45万
253.02%77.45万
148.96%127.14万
(Q2)2023/03/31(Q1)2022/12/31(FY)2022/09/30(Q4)2022/09/30(Q3)2022/06/30(Q2)2022/03/31(Q1)2021/12/31(FY)2021/09/30(Q4)2021/09/30(Q3)2021/06/30
资产
流动资产
现金及现金等价物和短期投资 -99.45%4,570-27.60%3.38万-84.82%4.03万-84.82%4.03万-79.96%14.57万-16.68%82.59万-14.32%4.67万861.92%26.57万861.92%26.57万170.06%72.7万
-现金和现金等价物 -99.45%4,570-27.60%3.38万-84.82%4.03万-84.82%4.03万-79.96%14.57万-16.68%82.59万-14.32%4.67万861.92%26.57万861.92%26.57万170.06%72.7万
流动资产合计 -89.51%12.88万-63.00%16.61万-71.52%18.55万-71.52%18.55万-68.93%35.45万-13.97%122.72万0.25%44.88万782.56%65.15万782.56%65.15万225.77%114.1万
非流动资产
-长期股权投资 --------------------------------------164.52万
-商誉 788.40%101.35万748.57%103.3万847.18%116.53万847.18%116.53万-18.37%10.64万-17.17%11.41万-11.94%12.17万-15.49%12.3万-15.49%12.3万-18.74%13.04万
-其他无形资产 3.74%315.91万3.45%315.02万3.16%314.14万3.16%314.14万2.36%311.72万0.48%304.53万3.07%304.53万3.07%304.53万3.07%304.53万2.85%304.53万
监管资产 -21.30%2,693-38.87%2,57353.11%1,92353.11%1,923-12.81%1,53839.28%3,42278.12%4,209-45.98%1,256-45.98%1,256-52.62%1,764
总资产 -21.30%2,693-38.87%2,57353.11%1,92353.11%1,923-12.81%1,53839.28%3,42278.12%4,209-45.98%1,256-45.98%1,256-51.82%1,764
负债
流动负债
短期借款与资本租赁负债 -6.28%1,355.04万2.98%1,290.52万14.80%1,345.56万14.80%1,345.56万--894.56万--1,445.76万--1,253.22万--1,172.11万--1,172.11万----
-短期借款 -6.28%1,355.04万2.98%1,290.52万14.80%1,345.56万14.80%1,345.56万--894.56万--1,445.76万--1,253.22万--1,172.11万--1,172.11万----
-应付账款 1,239.49%101.42万586.60%100.67万213.29%72.56万213.29%72.56万-82.32%5.31万-76.31%7.57万-54.55%14.66万-16.58%23.16万-16.58%23.16万150.62%30.04万
-应付税费 --0--0--0--0--0--0--0--0--0--407.32万
-应付关联方款项 113.20%70.69万53.02%53.86万25.04%41.73万25.04%41.73万-0.38%33.75万22.11%33.15万42.93%35.2万40.85%33.37万40.85%33.37万2,723.53%33.88万
应计费用 -53.28%5.55万74.09%5.87万204.23%8.75万204.23%8.75万1,292.71%4.87万367.77%11.87万10.64%3.37万-19.11%2.87万-19.11%2.87万-82.93%3,500
流动负债总额 2.22%1,531.7万11.06%1,450.93万19.25%1,468.59万19.25%1,468.59万1,360.11%938.5万2,330.32%1,498.36万2,079.85%1,306.46万2,138.56%1,231.52万2,138.56%1,231.52万321.82%64.28万
非流动负债
衍生品负债 --------------------------------------242.8万
长期拨备 --------------------------------------164.52万
非流动负债总额 2.22%1,531.7万11.06%1,450.93万19.25%1,468.59万19.25%1,468.59万99.01%938.5万224.46%1,498.36万799.44%1,306.46万2,138.56%1,231.52万2,138.56%1,231.52万2,994.92%471.6万
所有者权益
股本 1.30%1,814.13万1.30%1,814.13万3.43%1,814.13万3.43%1,814.13万2.50%1,790.87万2.67%1,790.87万2.96%1,790.87万1.00%1,753.96万1.00%1,753.96万0.64%1,747.22万
-普通股股本 1.30%1,814.13万1.30%1,814.13万3.43%1,814.13万3.43%1,814.13万2.50%1,790.87万2.67%1,790.87万2.96%1,790.87万1.00%1,753.96万1.00%1,753.96万0.64%1,747.22万
留存收益 --0--00.00%1,7000.00%1,7000.00%1,7000.00%1,70054.55%1,700--1,700--1,700--1,700
其他股本权益 ---------------------------------------3
总权益 -14.84%114.22万110.16%119.9万74.41%135.08万74.41%135.08万-63.75%46.09万-14.25%134.13万-2.62%57.05万253.02%77.45万253.02%77.45万148.96%127.14万

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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