加拿大市场个股详情

Intermap Technologies Corp (IMP)

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  • 1.700
  • 0.0000.00%
延时15分钟行情交易中 05/21 10:50 (美东)
1.25亿总市值-9.39市盈率TTM

Intermap Technologies Corp (IMP) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2026/03/31
(FY)2025/12/31
(Q4)2025/12/31
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
资产
流动资产
现金及现金等价物和短期投资
153.48%1,876.5万
4,960.90%2,252.1万
4,960.90%2,252.1万
14,353.85%2,630.6万
1,367.04%779万
253.03%740.3万
-34.27%44.5万
-34.27%44.5万
-31.58%18.2万
6.20%53.1万
-现金和现金等价物
153.48%1,876.5万
4,960.90%2,252.1万
4,960.90%2,252.1万
14,353.85%2,630.6万
1,367.04%779万
253.03%740.3万
-34.27%44.5万
-34.27%44.5万
-31.58%18.2万
6.20%53.1万
应收款项
-67.96%207.1万
-65.24%208.8万
-65.24%208.8万
-73.01%93.6万
67.23%98.5万
1,320.66%646.4万
1,825.32%600.7万
1,825.32%600.7万
510.56%346.8万
25.85%58.9万
-应收账款
-70.23%189.7万
-40.28%195万
-40.28%195万
-65.51%44.7万
24.59%67.9万
1,406.38%637.2万
1,053.71%326.5万
1,053.71%326.5万
146.86%129.6万
26.45%54.5万
-其他应收款
89.13%17.4万
-94.97%13.8万
-94.97%13.8万
-77.49%48.9万
595.45%30.6万
187.50%9.2万
9,355.17%274.2万
9,355.17%274.2万
4,951.16%217.2万
18.92%4.4万
预付费用
121.18%112.8万
97.01%105.6万
97.01%105.6万
29.09%67万
-1.72%45.8万
15.91%51万
72.35%53.6万
72.35%53.6万
51.75%51.9万
32.76%46.6万
流动资产合计
52.77%2,196.4万
267.27%2,566.5万
267.27%2,566.5万
569.51%2,791.2万
482.16%923.3万
380.51%1,437.7万
437.54%698.8万
437.54%698.8万
254.51%416.9万
20.24%158.6万
非流动资产
固定资产净额
3.32%336.4万
8.64%359.8万
8.64%359.8万
2.89%303万
16.81%303.7万
133.91%325.6万
143.53%331.2万
143.53%331.2万
101.85%294.5万
73.56%260万
-固定资产
2.17%4,094.1万
2.51%4,095.4万
2.51%4,095.4万
2.04%4,023.3万
2.66%4,004.3万
6.16%4,007.1万
6.24%3,995.3万
6.24%3,995.3万
4.94%3,942.7万
-14.91%3,900.7万
-累计折旧
-2.07%-3,757.7万
-1.95%-3,735.6万
-1.95%-3,735.6万
-1.98%-3,720.3万
-1.65%-3,700.6万
-1.27%-3,681.5万
-1.09%-3,664.1万
-1.09%-3,664.1万
-1.02%-3,648.2万
17.89%-3,640.7万
投资和预付款
11.08%86.2万
11.08%86.2万
11.08%86.2万
-8.60%77.6万
-8.60%77.6万
-8.60%77.6万
-8.60%77.6万
-8.60%77.6万
-16.02%84.9万
-16.02%84.9万
-长期股权投资
11.08%86.2万
11.08%86.2万
11.08%86.2万
-8.60%77.6万
-8.60%77.6万
-8.60%77.6万
-8.60%77.6万
-8.60%77.6万
-16.02%84.9万
-16.02%84.9万
长期预付费用
4,833.33%44.4万
2,711.76%47.8万
2,711.76%47.8万
-70.37%8,000
-60.61%1.3万
-79.07%9,000
-66.00%1.7万
-66.00%1.7万
-54.24%2.7万
-68.57%3.3万
商誉及其他无形资产
48.12%121.9万
32.59%112.3万
32.59%112.3万
-17.22%75万
-19.31%77.7万
-14.80%82.3万
-13.31%84.7万
-13.31%84.7万
-9.49%90.6万
-3.99%96.3万
-其他无形资产
48.12%121.9万
32.59%112.3万
32.59%112.3万
-17.22%75万
-19.31%77.7万
-14.80%82.3万
-13.31%84.7万
-13.31%84.7万
-9.49%90.6万
-3.99%96.3万
非流动资产合计
21.07%588.9万
22.39%606.1万
22.39%606.1万
-3.45%456.4万
3.55%460.3万
49.66%486.4万
53.03%495.2万
53.03%495.2万
33.91%472.7万
22.89%444.5万
总资产
44.76%2,785.3万
165.71%3,172.6万
165.71%3,172.6万
265.06%3,247.6万
129.41%1,383.6万
208.25%1,924.1万
163.23%1,194万
163.23%1,194万
89.04%889.6万
22.18%603.1万
负债
流动负债
短期借款与资本租赁负债
15.78%54.3万
-3.66%57.9万
-3.66%57.9万
-35.53%44.1万
-21.94%40.2万
28.14%46.9万
45.87%60.1万
45.87%60.1万
63.25%68.4万
50.58%51.5万
-短期借款
45.71%30.6万
14.56%29.9万
14.56%29.9万
-30.63%15.4万
17.65%18万
38.16%21万
68.39%26.1万
68.39%26.1万
48.00%22.2万
0.00%15.3万
-短期资本租赁负债
-8.49%23.7万
-17.65%28万
-17.65%28万
-37.88%28.7万
-38.67%22.2万
21.03%25.9万
32.30%34万
32.30%34万
71.75%46.2万
91.53%36.2万
应付款项
-23.83%160.8万
-40.55%158.6万
-40.55%158.6万
-42.45%142.5万
-53.31%139万
-9.24%211.1万
7.28%266.8万
7.28%266.8万
13.37%247.6万
56.11%297.7万
-应付账款
-35.03%135.6万
-44.91%144万
-44.91%144万
-41.89%138.6万
-52.42%137.6万
-7.29%208.7万
7.57%261.4万
7.57%261.4万
10.72%238.5万
51.73%289.2万
-应付税费
950.00%25.2万
170.37%14.6万
170.37%14.6万
-57.14%3.9万
-83.53%1.4万
-68.00%2.4万
-5.26%5.4万
-5.26%5.4万
203.33%9.1万
8,400.00%8.5万
应计费用
-61.12%69.6万
-66.45%73.2万
-66.45%73.2万
-42.07%127.8万
-27.84%121.3万
-0.67%179万
11.21%218.2万
11.21%218.2万
28.55%220.6万
7.76%168.1万
递延负债
-26.23%278.2万
8.11%218.6万
8.11%218.6万
-33.40%173.3万
-29.30%237.9万
-27.68%377.1万
-20.80%202.2万
-20.80%202.2万
-17.79%260.2万
-4.76%336.5万
流动负债总额
-30.86%562.9万
-31.98%508.3万
-31.98%508.3万
-38.79%487.7万
-36.94%538.4万
-16.14%814.1万
0.80%747.3万
0.80%747.3万
6.47%796.8万
16.29%853.8万
非流动负债
长期借款与租赁负债
120.94%126.6万
135.47%139.4万
135.47%139.4万
-22.06%53万
-36.36%50.4万
-2.88%57.3万
-13.83%59.2万
-13.83%59.2万
-4.36%68万
1.80%79.2万
-长期借款
126.21%102.7万
131.04%110.9万
131.04%110.9万
7.49%40.2万
5.85%43.4万
2.95%45.4万
-1.84%48万
-1.84%48万
-28.49%37.4万
-27.82%41万
-长期租赁负债
100.84%23.9万
154.46%28.5万
154.46%28.5万
-58.17%12.8万
-81.68%7万
-20.13%11.9万
-43.43%11.2万
-43.43%11.2万
62.77%30.6万
81.90%38.2万
员工福利
--30万
--28.9万
--28.9万
----
----
----
--0
--0
----
----
递延负债
342.31%46万
195.59%40.2万
195.59%40.2万
--14.7万
--8.1万
--10.4万
--13.6万
--13.6万
----
----
非流动负债总额
199.26%202.6万
186.40%208.5万
186.40%208.5万
-0.44%67.7万
-26.14%58.5万
14.75%67.7万
5.97%72.8万
5.97%72.8万
-4.36%68万
1.80%79.2万
负债总额
-13.19%765.5万
-12.60%716.8万
-12.60%716.8万
-35.78%555.4万
-36.02%596.9万
-14.37%881.8万
1.23%820.1万
1.23%820.1万
5.53%864.8万
14.90%933万
所有者权益
股本
9.65%2.42亿
13.54%2.42亿
13.54%2.42亿
14.04%2.42亿
5.61%2.21亿
5.58%2.21亿
2.02%2.14亿
2.02%2.14亿
1.52%2.12亿
0.51%2.09亿
-普通股股本
9.65%2.42亿
13.54%2.42亿
13.54%2.42亿
14.04%2.42亿
5.61%2.21亿
5.58%2.21亿
2.02%2.14亿
2.02%2.14亿
1.52%2.12亿
0.51%2.09亿
资本公积
-11.33%2,508.2万
-5.38%2,650.2万
-5.38%2,650.2万
-3.88%2,637.5万
-3.82%2,630.1万
4.00%2,828.8万
3.79%2,800.9万
3.79%2,800.9万
2.03%2,744万
2.26%2,734.7万
留存收益
-3.57%-2.48亿
-2.82%-2.45亿
-2.82%-2.45亿
-0.79%-2.42亿
0.28%-2.4亿
0.87%-2.39亿
1.02%-2.38亿
1.02%-2.38亿
-0.05%-2.4亿
-0.86%-2.41亿
不影响留存收益的损益
-16.18%-20.1万
-74.15%-25.6万
-74.15%-25.6万
-55.28%-25万
-51.61%-23.5万
-13.07%-17.3万
5.77%-14.7万
5.77%-14.7万
5.85%-16.1万
-3.33%-15.5万
其他股本权益
54.12%59.8万
62.94%59.8万
62.94%59.8万
-1.36%72.5万
-17.35%62.4万
-48.61%38.8万
-53.60%36.7万
-53.60%36.7万
23.53%73.5万
62.02%75.5万
股东权益总额
93.78%2,019.8万
556.81%2,455.8万
556.81%2,455.8万
10,755.65%2,692.2万
338.47%786.7万
356.98%1,042.3万
204.88%373.9万
204.88%373.9万
107.11%24.8万
-3.61%-329.9万
总权益
93.78%2,019.8万
556.81%2,455.8万
556.81%2,455.8万
10,755.65%2,692.2万
338.47%786.7万
356.98%1,042.3万
204.88%373.9万
204.88%373.9万
107.11%24.8万
-3.61%-329.9万
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
--
无保留意见
--
--
--
--
带解释段的无保留意见
--
--
--
(Q1)2026/03/31(FY)2025/12/31(Q4)2025/12/31(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30
资产
流动资产
现金及现金等价物和短期投资 153.48%1,876.5万4,960.90%2,252.1万4,960.90%2,252.1万14,353.85%2,630.6万1,367.04%779万253.03%740.3万-34.27%44.5万-34.27%44.5万-31.58%18.2万6.20%53.1万
-现金和现金等价物 153.48%1,876.5万4,960.90%2,252.1万4,960.90%2,252.1万14,353.85%2,630.6万1,367.04%779万253.03%740.3万-34.27%44.5万-34.27%44.5万-31.58%18.2万6.20%53.1万
应收款项 -67.96%207.1万-65.24%208.8万-65.24%208.8万-73.01%93.6万67.23%98.5万1,320.66%646.4万1,825.32%600.7万1,825.32%600.7万510.56%346.8万25.85%58.9万
-应收账款 -70.23%189.7万-40.28%195万-40.28%195万-65.51%44.7万24.59%67.9万1,406.38%637.2万1,053.71%326.5万1,053.71%326.5万146.86%129.6万26.45%54.5万
-其他应收款 89.13%17.4万-94.97%13.8万-94.97%13.8万-77.49%48.9万595.45%30.6万187.50%9.2万9,355.17%274.2万9,355.17%274.2万4,951.16%217.2万18.92%4.4万
预付费用 121.18%112.8万97.01%105.6万97.01%105.6万29.09%67万-1.72%45.8万15.91%51万72.35%53.6万72.35%53.6万51.75%51.9万32.76%46.6万
流动资产合计 52.77%2,196.4万267.27%2,566.5万267.27%2,566.5万569.51%2,791.2万482.16%923.3万380.51%1,437.7万437.54%698.8万437.54%698.8万254.51%416.9万20.24%158.6万
非流动资产
固定资产净额 3.32%336.4万8.64%359.8万8.64%359.8万2.89%303万16.81%303.7万133.91%325.6万143.53%331.2万143.53%331.2万101.85%294.5万73.56%260万
-固定资产 2.17%4,094.1万2.51%4,095.4万2.51%4,095.4万2.04%4,023.3万2.66%4,004.3万6.16%4,007.1万6.24%3,995.3万6.24%3,995.3万4.94%3,942.7万-14.91%3,900.7万
-累计折旧 -2.07%-3,757.7万-1.95%-3,735.6万-1.95%-3,735.6万-1.98%-3,720.3万-1.65%-3,700.6万-1.27%-3,681.5万-1.09%-3,664.1万-1.09%-3,664.1万-1.02%-3,648.2万17.89%-3,640.7万
投资和预付款 11.08%86.2万11.08%86.2万11.08%86.2万-8.60%77.6万-8.60%77.6万-8.60%77.6万-8.60%77.6万-8.60%77.6万-16.02%84.9万-16.02%84.9万
-长期股权投资 11.08%86.2万11.08%86.2万11.08%86.2万-8.60%77.6万-8.60%77.6万-8.60%77.6万-8.60%77.6万-8.60%77.6万-16.02%84.9万-16.02%84.9万
长期预付费用 4,833.33%44.4万2,711.76%47.8万2,711.76%47.8万-70.37%8,000-60.61%1.3万-79.07%9,000-66.00%1.7万-66.00%1.7万-54.24%2.7万-68.57%3.3万
商誉及其他无形资产 48.12%121.9万32.59%112.3万32.59%112.3万-17.22%75万-19.31%77.7万-14.80%82.3万-13.31%84.7万-13.31%84.7万-9.49%90.6万-3.99%96.3万
-其他无形资产 48.12%121.9万32.59%112.3万32.59%112.3万-17.22%75万-19.31%77.7万-14.80%82.3万-13.31%84.7万-13.31%84.7万-9.49%90.6万-3.99%96.3万
非流动资产合计 21.07%588.9万22.39%606.1万22.39%606.1万-3.45%456.4万3.55%460.3万49.66%486.4万53.03%495.2万53.03%495.2万33.91%472.7万22.89%444.5万
总资产 44.76%2,785.3万165.71%3,172.6万165.71%3,172.6万265.06%3,247.6万129.41%1,383.6万208.25%1,924.1万163.23%1,194万163.23%1,194万89.04%889.6万22.18%603.1万
负债
流动负债
短期借款与资本租赁负债 15.78%54.3万-3.66%57.9万-3.66%57.9万-35.53%44.1万-21.94%40.2万28.14%46.9万45.87%60.1万45.87%60.1万63.25%68.4万50.58%51.5万
-短期借款 45.71%30.6万14.56%29.9万14.56%29.9万-30.63%15.4万17.65%18万38.16%21万68.39%26.1万68.39%26.1万48.00%22.2万0.00%15.3万
-短期资本租赁负债 -8.49%23.7万-17.65%28万-17.65%28万-37.88%28.7万-38.67%22.2万21.03%25.9万32.30%34万32.30%34万71.75%46.2万91.53%36.2万
应付款项 -23.83%160.8万-40.55%158.6万-40.55%158.6万-42.45%142.5万-53.31%139万-9.24%211.1万7.28%266.8万7.28%266.8万13.37%247.6万56.11%297.7万
-应付账款 -35.03%135.6万-44.91%144万-44.91%144万-41.89%138.6万-52.42%137.6万-7.29%208.7万7.57%261.4万7.57%261.4万10.72%238.5万51.73%289.2万
-应付税费 950.00%25.2万170.37%14.6万170.37%14.6万-57.14%3.9万-83.53%1.4万-68.00%2.4万-5.26%5.4万-5.26%5.4万203.33%9.1万8,400.00%8.5万
应计费用 -61.12%69.6万-66.45%73.2万-66.45%73.2万-42.07%127.8万-27.84%121.3万-0.67%179万11.21%218.2万11.21%218.2万28.55%220.6万7.76%168.1万
递延负债 -26.23%278.2万8.11%218.6万8.11%218.6万-33.40%173.3万-29.30%237.9万-27.68%377.1万-20.80%202.2万-20.80%202.2万-17.79%260.2万-4.76%336.5万
流动负债总额 -30.86%562.9万-31.98%508.3万-31.98%508.3万-38.79%487.7万-36.94%538.4万-16.14%814.1万0.80%747.3万0.80%747.3万6.47%796.8万16.29%853.8万
非流动负债
长期借款与租赁负债 120.94%126.6万135.47%139.4万135.47%139.4万-22.06%53万-36.36%50.4万-2.88%57.3万-13.83%59.2万-13.83%59.2万-4.36%68万1.80%79.2万
-长期借款 126.21%102.7万131.04%110.9万131.04%110.9万7.49%40.2万5.85%43.4万2.95%45.4万-1.84%48万-1.84%48万-28.49%37.4万-27.82%41万
-长期租赁负债 100.84%23.9万154.46%28.5万154.46%28.5万-58.17%12.8万-81.68%7万-20.13%11.9万-43.43%11.2万-43.43%11.2万62.77%30.6万81.90%38.2万
员工福利 --30万--28.9万--28.9万--------------0--0--------
递延负债 342.31%46万195.59%40.2万195.59%40.2万--14.7万--8.1万--10.4万--13.6万--13.6万--------
非流动负债总额 199.26%202.6万186.40%208.5万186.40%208.5万-0.44%67.7万-26.14%58.5万14.75%67.7万5.97%72.8万5.97%72.8万-4.36%68万1.80%79.2万
负债总额 -13.19%765.5万-12.60%716.8万-12.60%716.8万-35.78%555.4万-36.02%596.9万-14.37%881.8万1.23%820.1万1.23%820.1万5.53%864.8万14.90%933万
所有者权益
股本 9.65%2.42亿13.54%2.42亿13.54%2.42亿14.04%2.42亿5.61%2.21亿5.58%2.21亿2.02%2.14亿2.02%2.14亿1.52%2.12亿0.51%2.09亿
-普通股股本 9.65%2.42亿13.54%2.42亿13.54%2.42亿14.04%2.42亿5.61%2.21亿5.58%2.21亿2.02%2.14亿2.02%2.14亿1.52%2.12亿0.51%2.09亿
资本公积 -11.33%2,508.2万-5.38%2,650.2万-5.38%2,650.2万-3.88%2,637.5万-3.82%2,630.1万4.00%2,828.8万3.79%2,800.9万3.79%2,800.9万2.03%2,744万2.26%2,734.7万
留存收益 -3.57%-2.48亿-2.82%-2.45亿-2.82%-2.45亿-0.79%-2.42亿0.28%-2.4亿0.87%-2.39亿1.02%-2.38亿1.02%-2.38亿-0.05%-2.4亿-0.86%-2.41亿
不影响留存收益的损益 -16.18%-20.1万-74.15%-25.6万-74.15%-25.6万-55.28%-25万-51.61%-23.5万-13.07%-17.3万5.77%-14.7万5.77%-14.7万5.85%-16.1万-3.33%-15.5万
其他股本权益 54.12%59.8万62.94%59.8万62.94%59.8万-1.36%72.5万-17.35%62.4万-48.61%38.8万-53.60%36.7万-53.60%36.7万23.53%73.5万62.02%75.5万
股东权益总额 93.78%2,019.8万556.81%2,455.8万556.81%2,455.8万10,755.65%2,692.2万338.47%786.7万356.98%1,042.3万204.88%373.9万204.88%373.9万107.11%24.8万-3.61%-329.9万
总权益 93.78%2,019.8万556.81%2,455.8万556.81%2,455.8万10,755.65%2,692.2万338.47%786.7万356.98%1,042.3万204.88%373.9万204.88%373.9万107.11%24.8万-3.61%-329.9万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 --无保留意见--------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。

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