加拿大市场个股详情

Kits Eyecare Ltd (KITS)

添加自选
  • 13.710
  • -0.340-2.42%
延时15分钟行情已收盘 06/05 16:00 (美东)
4.66亿总市值137.10市盈率TTM

Kits Eyecare Ltd (KITS) 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
24.37%2,198.3万
74.74%3,367.4万
74.74%3,367.4万
2.84%1,969.2万
-6.19%1,811.5万
-3.91%1,767.5万
20.14%1,927.1万
20.14%1,927.1万
-0.78%1,914.8万
-2.60%1,931万
-现金和现金等价物
7.26%1,895.8万
54.71%2,981.5万
54.71%2,981.5万
2.84%1,969.2万
-6.19%1,811.5万
-3.91%1,767.5万
20.14%1,927.1万
20.14%1,927.1万
-0.78%1,914.8万
-2.60%1,931万
-短期投资
--302.5万
--385.9万
--385.9万
----
----
----
--0
--0
----
----
应收款项
176.82%531.5万
-6.60%236.3万
-6.60%236.3万
31.32%267.9万
17.31%203.3万
25.08%192万
40.32%253万
40.32%253万
101.58%204万
108.29%173.3万
-应收账款
181.66%531.5万
0.86%221.7万
0.86%221.7万
31.91%267.9万
16.01%200万
23.66%188.7万
30.21%219.8万
30.21%219.8万
102.49%203.1万
109.48%172.4万
-应收税费
--0
-56.02%14.6万
-56.02%14.6万
--0
266.67%3.3万
266.67%3.3万
188.70%33.2万
188.70%33.2万
0.00%9,000
0.00%9,000
存货
13.10%2,734.9万
5.26%2,367万
5.26%2,367万
29.50%2,213.1万
25.15%2,043万
54.45%2,418.2万
45.93%2,248.7万
45.93%2,248.7万
10.80%1,708.9万
13.17%1,632.5万
其他流动资产
44.25%118万
24.52%98万
24.52%98万
55.77%105.3万
-59.17%73.7万
-9.51%81.8万
8.10%78.7万
8.10%78.7万
22.24%67.6万
242.50%180.5万
流动资产合计
25.19%5,582.7万
34.64%6,068.7万
34.64%6,068.7万
16.95%4,555.5万
5.47%4,131.5万
22.21%4,459.5万
32.65%4,507.5万
32.65%4,507.5万
7.35%3,895.3万
10.01%3,917.3万
非流动资产
固定资产净额
-13.90%880.6万
-16.01%912万
-16.01%912万
-12.91%928.3万
-9.86%911.3万
-2.73%1,022.8万
25.51%1,085.9万
25.51%1,085.9万
16.72%1,065.9万
9.06%1,011万
-固定资产
-13.90%880.6万
0.83%1,870.6万
0.83%1,870.6万
-12.91%928.3万
-9.86%911.3万
-2.73%1,022.8万
36.89%1,855.2万
36.89%1,855.2万
16.72%1,065.9万
9.06%1,011万
-累计折旧
----
-24.61%-958.6万
-24.61%-958.6万
----
----
----
-57.00%-769.3万
-57.00%-769.3万
----
----
商誉及其他无形资产
-2.98%4,103.7万
-4.65%4,036.6万
-4.65%4,036.6万
3.06%4,098.5万
-0.32%4,018.4万
5.92%4,229.6万
7.65%4,233.3万
7.65%4,233.3万
-1.85%3,977万
0.71%4,031.1万
-商誉
-3.04%3,990万
-4.75%3,923.3万
-4.75%3,923.3万
3.13%3,984.9万
-0.32%3,905.3万
6.09%4,115.1万
8.79%4,118.8万
8.79%4,118.8万
-0.16%3,864.1万
3.38%3,917.9万
-其他无形资产
-0.70%113.7万
-1.05%113.3万
-1.05%113.3万
0.62%113.6万
-0.09%113.1万
0.09%114.5万
-21.95%114.5万
-21.95%114.5万
-37.86%112.9万
-46.80%113.2万
非流动递延资产
-53.93%186.5万
-41.41%278.7万
-41.41%278.7万
-45.16%302.8万
-36.22%365.2万
-30.15%404.8万
-16.29%475.7万
-16.29%475.7万
-1.29%552.2万
2.89%572.6万
非流动资产合计
-8.60%5,170.8万
-9.79%5,227.3万
-9.79%5,227.3万
-4.75%5,329.6万
-5.70%5,294.9万
0.59%5,657.2万
7.99%5,794.9万
7.99%5,794.9万
1.28%5,595.1万
2.34%5,614.7万
总资产
6.29%1.08亿
9.64%1.13亿
9.64%1.13亿
4.16%9,885.1万
-1.11%9,426.4万
9.10%1.01亿
17.55%1.03亿
17.55%1.03亿
3.69%9,490.4万
5.36%9,532万
负债
流动负债
短期借款与资本租赁负债
-71.96%114万
78.53%1,110.3万
78.53%1,110.3万
-27.73%275.8万
-8.90%349.1万
5.83%406.6万
67.04%621.9万
67.04%621.9万
2.44%381.6万
2.84%383.2万
-短期借款
-91.09%29万
91.11%1,027.8万
91.11%1,027.8万
-34.88%196.6万
-11.11%270.3万
6.27%325.4万
77.37%537.8万
77.37%537.8万
-1.08%301.9万
-0.94%304.1万
-短期资本租赁负债
4.68%85万
-1.90%82.5万
-1.90%82.5万
-0.63%79.2万
-0.38%78.8万
4.10%81.2万
21.71%84.1万
21.71%84.1万
18.42%79.7万
20.58%79.1万
应付款项
-1.66%2,418.3万
1.63%2,264.3万
1.63%2,264.3万
0.99%2,324.4万
-4.96%2,146.6万
17.88%2,459.1万
67.46%2,227.9万
67.46%2,227.9万
26.72%2,301.6万
26.90%2,258.7万
-应付账款
-1.80%2,370.9万
1.76%2,221.6万
1.76%2,221.6万
1.18%2,281万
-4.80%2,104.1万
18.13%2,414.3万
69.34%2,183.1万
69.34%2,183.1万
27.06%2,254.3万
27.13%2,210.2万
-应付税费
5.80%47.4万
-4.69%42.7万
-4.69%42.7万
-8.25%43.4万
-12.37%42.5万
5.66%44.8万
8.74%44.8万
8.74%44.8万
12.35%47.3万
17.43%48.5万
应计费用
----
25.09%428.3万
25.09%428.3万
----
----
----
11.46%342.4万
11.46%342.4万
----
----
递延负债
18.93%728.9万
7.52%734.5万
7.52%734.5万
13.95%639.7万
8.51%590.4万
31.64%612.9万
54.37%683.1万
54.37%683.1万
31.44%561.4万
49.03%544.1万
流动负债总额
-6.25%3,261.2万
17.09%4,537.4万
17.09%4,537.4万
-0.14%3,239.9万
-3.14%3,086.1万
18.48%3,478.6万
58.02%3,875.3万
58.02%3,875.3万
24.03%3,244.6万
26.55%3,186万
非流动负债
长期借款与租赁负债
-17.74%449.3万
-26.05%471.9万
-26.05%471.9万
-51.25%445.4万
-57.86%423.2万
-50.15%546.2万
-45.33%638.1万
-45.33%638.1万
-29.83%913.7万
-27.83%1,004.3万
-长期借款
----
----
----
----
----
-82.36%104.4万
-73.40%177.9万
-73.40%177.9万
-42.76%450.1万
-39.33%520.6万
-长期租赁负债
1.70%449.3万
2.54%471.9万
2.54%471.9万
-3.93%445.4万
-12.51%423.2万
-12.27%441.8万
-7.65%460.2万
-7.65%460.2万
-10.10%463.6万
-9.32%483.7万
其他非流动负债
--51.7万
--55.3万
--55.3万
----
----
----
----
----
----
----
非流动负债总额
-8.28%501万
-17.38%527.2万
-17.38%527.2万
-51.25%445.4万
-57.86%423.2万
-50.15%546.2万
-45.33%638.1万
-45.33%638.1万
-29.83%913.7万
-27.83%1,004.3万
负债总额
-6.52%3,762.2万
12.21%5,064.6万
12.21%5,064.6万
-11.37%3,685.3万
-16.25%3,509.3万
-0.17%4,024.8万
24.70%4,513.4万
24.70%4,513.4万
6.13%4,158.3万
7.19%4,190.3万
所有者权益
股本
9.15%8,696.4万
4.63%8,177.2万
4.63%8,177.2万
3.24%8,077.8万
3.08%8,049.8万
2.88%7,967.4万
1.00%7,815.7万
1.00%7,815.7万
1.26%7,824.1万
1.19%7,809.4万
-普通股股本
9.15%8,696.4万
4.63%8,177.2万
4.63%8,177.2万
3.24%8,077.8万
3.08%8,049.8万
2.88%7,967.4万
1.00%7,815.7万
1.00%7,815.7万
1.26%7,824.1万
1.19%7,809.4万
资本公积
-27.26%223.1万
-21.90%244.6万
-21.90%244.6万
-9.95%283.3万
-8.09%288.7万
-5.75%306.7万
3.03%313.2万
3.03%313.2万
4.90%314.6万
-1.44%314.1万
留存收益
15.01%-1,971.3万
12.54%-2,168.8万
12.54%-2,168.8万
20.26%-2,195.2万
13.64%-2,388.9万
16.71%-2,319.5万
11.16%-2,479.8万
11.16%-2,479.8万
-0.39%-2,753.1万
0.86%-2,766.3万
不影响留存收益的损益
-68.61%43.1万
-115.44%-21.6万
-115.44%-21.6万
163.36%33.9万
-109.68%-32.5万
419.30%137.3万
231.24%139.9万
231.24%139.9万
-9.18%-53.5万
85.61%-15.5万
股东权益总额
14.76%6,991.3万
7.64%6,231.4万
7.64%6,231.4万
16.27%6,199.8万
10.77%5,917.1万
16.22%6,091.9万
12.53%5,789万
12.53%5,789万
1.85%5,332.1万
3.96%5,341.7万
总权益
14.76%6,991.3万
7.64%6,231.4万
7.64%6,231.4万
16.27%6,199.8万
10.77%5,917.1万
16.22%6,091.9万
12.53%5,789万
12.53%5,789万
1.85%5,332.1万
3.96%5,341.7万
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
--
--
--
--
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 24.37%2,198.3万74.74%3,367.4万74.74%3,367.4万2.84%1,969.2万-6.19%1,811.5万-3.91%1,767.5万20.14%1,927.1万20.14%1,927.1万-0.78%1,914.8万-2.60%1,931万
-现金和现金等价物 7.26%1,895.8万54.71%2,981.5万54.71%2,981.5万2.84%1,969.2万-6.19%1,811.5万-3.91%1,767.5万20.14%1,927.1万20.14%1,927.1万-0.78%1,914.8万-2.60%1,931万
-短期投资 --302.5万--385.9万--385.9万--------------0--0--------
应收款项 176.82%531.5万-6.60%236.3万-6.60%236.3万31.32%267.9万17.31%203.3万25.08%192万40.32%253万40.32%253万101.58%204万108.29%173.3万
-应收账款 181.66%531.5万0.86%221.7万0.86%221.7万31.91%267.9万16.01%200万23.66%188.7万30.21%219.8万30.21%219.8万102.49%203.1万109.48%172.4万
-应收税费 --0-56.02%14.6万-56.02%14.6万--0266.67%3.3万266.67%3.3万188.70%33.2万188.70%33.2万0.00%9,0000.00%9,000
存货 13.10%2,734.9万5.26%2,367万5.26%2,367万29.50%2,213.1万25.15%2,043万54.45%2,418.2万45.93%2,248.7万45.93%2,248.7万10.80%1,708.9万13.17%1,632.5万
其他流动资产 44.25%118万24.52%98万24.52%98万55.77%105.3万-59.17%73.7万-9.51%81.8万8.10%78.7万8.10%78.7万22.24%67.6万242.50%180.5万
流动资产合计 25.19%5,582.7万34.64%6,068.7万34.64%6,068.7万16.95%4,555.5万5.47%4,131.5万22.21%4,459.5万32.65%4,507.5万32.65%4,507.5万7.35%3,895.3万10.01%3,917.3万
非流动资产
固定资产净额 -13.90%880.6万-16.01%912万-16.01%912万-12.91%928.3万-9.86%911.3万-2.73%1,022.8万25.51%1,085.9万25.51%1,085.9万16.72%1,065.9万9.06%1,011万
-固定资产 -13.90%880.6万0.83%1,870.6万0.83%1,870.6万-12.91%928.3万-9.86%911.3万-2.73%1,022.8万36.89%1,855.2万36.89%1,855.2万16.72%1,065.9万9.06%1,011万
-累计折旧 -----24.61%-958.6万-24.61%-958.6万-------------57.00%-769.3万-57.00%-769.3万--------
商誉及其他无形资产 -2.98%4,103.7万-4.65%4,036.6万-4.65%4,036.6万3.06%4,098.5万-0.32%4,018.4万5.92%4,229.6万7.65%4,233.3万7.65%4,233.3万-1.85%3,977万0.71%4,031.1万
-商誉 -3.04%3,990万-4.75%3,923.3万-4.75%3,923.3万3.13%3,984.9万-0.32%3,905.3万6.09%4,115.1万8.79%4,118.8万8.79%4,118.8万-0.16%3,864.1万3.38%3,917.9万
-其他无形资产 -0.70%113.7万-1.05%113.3万-1.05%113.3万0.62%113.6万-0.09%113.1万0.09%114.5万-21.95%114.5万-21.95%114.5万-37.86%112.9万-46.80%113.2万
非流动递延资产 -53.93%186.5万-41.41%278.7万-41.41%278.7万-45.16%302.8万-36.22%365.2万-30.15%404.8万-16.29%475.7万-16.29%475.7万-1.29%552.2万2.89%572.6万
非流动资产合计 -8.60%5,170.8万-9.79%5,227.3万-9.79%5,227.3万-4.75%5,329.6万-5.70%5,294.9万0.59%5,657.2万7.99%5,794.9万7.99%5,794.9万1.28%5,595.1万2.34%5,614.7万
总资产 6.29%1.08亿9.64%1.13亿9.64%1.13亿4.16%9,885.1万-1.11%9,426.4万9.10%1.01亿17.55%1.03亿17.55%1.03亿3.69%9,490.4万5.36%9,532万
负债
流动负债
短期借款与资本租赁负债 -71.96%114万78.53%1,110.3万78.53%1,110.3万-27.73%275.8万-8.90%349.1万5.83%406.6万67.04%621.9万67.04%621.9万2.44%381.6万2.84%383.2万
-短期借款 -91.09%29万91.11%1,027.8万91.11%1,027.8万-34.88%196.6万-11.11%270.3万6.27%325.4万77.37%537.8万77.37%537.8万-1.08%301.9万-0.94%304.1万
-短期资本租赁负债 4.68%85万-1.90%82.5万-1.90%82.5万-0.63%79.2万-0.38%78.8万4.10%81.2万21.71%84.1万21.71%84.1万18.42%79.7万20.58%79.1万
应付款项 -1.66%2,418.3万1.63%2,264.3万1.63%2,264.3万0.99%2,324.4万-4.96%2,146.6万17.88%2,459.1万67.46%2,227.9万67.46%2,227.9万26.72%2,301.6万26.90%2,258.7万
-应付账款 -1.80%2,370.9万1.76%2,221.6万1.76%2,221.6万1.18%2,281万-4.80%2,104.1万18.13%2,414.3万69.34%2,183.1万69.34%2,183.1万27.06%2,254.3万27.13%2,210.2万
-应付税费 5.80%47.4万-4.69%42.7万-4.69%42.7万-8.25%43.4万-12.37%42.5万5.66%44.8万8.74%44.8万8.74%44.8万12.35%47.3万17.43%48.5万
应计费用 ----25.09%428.3万25.09%428.3万------------11.46%342.4万11.46%342.4万--------
递延负债 18.93%728.9万7.52%734.5万7.52%734.5万13.95%639.7万8.51%590.4万31.64%612.9万54.37%683.1万54.37%683.1万31.44%561.4万49.03%544.1万
流动负债总额 -6.25%3,261.2万17.09%4,537.4万17.09%4,537.4万-0.14%3,239.9万-3.14%3,086.1万18.48%3,478.6万58.02%3,875.3万58.02%3,875.3万24.03%3,244.6万26.55%3,186万
非流动负债
长期借款与租赁负债 -17.74%449.3万-26.05%471.9万-26.05%471.9万-51.25%445.4万-57.86%423.2万-50.15%546.2万-45.33%638.1万-45.33%638.1万-29.83%913.7万-27.83%1,004.3万
-长期借款 ---------------------82.36%104.4万-73.40%177.9万-73.40%177.9万-42.76%450.1万-39.33%520.6万
-长期租赁负债 1.70%449.3万2.54%471.9万2.54%471.9万-3.93%445.4万-12.51%423.2万-12.27%441.8万-7.65%460.2万-7.65%460.2万-10.10%463.6万-9.32%483.7万
其他非流动负债 --51.7万--55.3万--55.3万----------------------------
非流动负债总额 -8.28%501万-17.38%527.2万-17.38%527.2万-51.25%445.4万-57.86%423.2万-50.15%546.2万-45.33%638.1万-45.33%638.1万-29.83%913.7万-27.83%1,004.3万
负债总额 -6.52%3,762.2万12.21%5,064.6万12.21%5,064.6万-11.37%3,685.3万-16.25%3,509.3万-0.17%4,024.8万24.70%4,513.4万24.70%4,513.4万6.13%4,158.3万7.19%4,190.3万
所有者权益
股本 9.15%8,696.4万4.63%8,177.2万4.63%8,177.2万3.24%8,077.8万3.08%8,049.8万2.88%7,967.4万1.00%7,815.7万1.00%7,815.7万1.26%7,824.1万1.19%7,809.4万
-普通股股本 9.15%8,696.4万4.63%8,177.2万4.63%8,177.2万3.24%8,077.8万3.08%8,049.8万2.88%7,967.4万1.00%7,815.7万1.00%7,815.7万1.26%7,824.1万1.19%7,809.4万
资本公积 -27.26%223.1万-21.90%244.6万-21.90%244.6万-9.95%283.3万-8.09%288.7万-5.75%306.7万3.03%313.2万3.03%313.2万4.90%314.6万-1.44%314.1万
留存收益 15.01%-1,971.3万12.54%-2,168.8万12.54%-2,168.8万20.26%-2,195.2万13.64%-2,388.9万16.71%-2,319.5万11.16%-2,479.8万11.16%-2,479.8万-0.39%-2,753.1万0.86%-2,766.3万
不影响留存收益的损益 -68.61%43.1万-115.44%-21.6万-115.44%-21.6万163.36%33.9万-109.68%-32.5万419.30%137.3万231.24%139.9万231.24%139.9万-9.18%-53.5万85.61%-15.5万
股东权益总额 14.76%6,991.3万7.64%6,231.4万7.64%6,231.4万16.27%6,199.8万10.77%5,917.1万16.22%6,091.9万12.53%5,789万12.53%5,789万1.85%5,332.1万3.96%5,341.7万
总权益 14.76%6,991.3万7.64%6,231.4万7.64%6,231.4万16.27%6,199.8万10.77%5,917.1万16.22%6,091.9万12.53%5,789万12.53%5,789万1.85%5,332.1万3.96%5,341.7万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 --无保留意见--------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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