加拿大市场个股详情

LSPD Lightspeed Commerce Inc

添加自选
  • 23.500
  • +1.540+7.01%
延时15分钟行情已收盘 11/07 16:00 (美东)
35.60亿总市值-17524市盈率TTM

Lightspeed Commerce Inc关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2024/06/30
(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
资产
流动资产
现金及现金等价物和短期投资
-13.63%6.74亿
-9.75%7.22亿
-9.75%7.22亿
-10.58%7.49亿
-11.72%7.61亿
-14.70%7.8亿
-16.10%8亿
-16.10%8亿
-13.30%8.38亿
-26.91%8.63亿
-现金和现金等价物
-13.63%6.74亿
-9.75%7.22亿
-9.75%7.22亿
-10.58%7.49亿
-11.72%7.61亿
-14.70%7.8亿
-16.10%8亿
-16.10%8亿
-13.30%8.38亿
-26.91%8.63亿
应收款项
15.11%6,044.9万
16.23%7,458.5万
16.23%7,458.5万
4.27%7,150万
7.59%6,145.5万
25.88%5,251.5万
45.74%6,417.2万
45.74%6,417.2万
35.23%6,857.5万
108.46%5,711.9万
-应收账款
26.36%3,208.3万
30.39%4,307.6万
30.39%4,307.6万
-38.89%4,190.3万
-42.87%3,263.3万
19.25%2,539万
66.42%3,303.6万
66.42%3,303.6万
35.23%6,857.5万
269.73%5,711.9万
-应收利息
-27.08%334.4万
-14.56%382.6万
-14.56%382.6万
--330.3万
--474万
--458.6万
--447.8万
--447.8万
----
----
-应收税费
2.07%1,095.7万
15.78%1,538.2万
15.78%1,538.2万
--1,249.4万
--1,177.9万
-3.08%1,073.5万
26.32%1,328.6万
26.32%1,328.6万
----
----
-其他应收款
19.15%1,406.5万
-8.01%1,230.1万
-8.01%1,230.1万
--1,380万
--1,230.3万
26.23%1,180.4万
-2.14%1,337.2万
-2.14%1,337.2万
----
----
存货
24.62%1,825.6万
28.45%1,649.2万
28.45%1,649.2万
83.32%1,859.4万
80.36%1,805.9万
70.83%1,464.9万
70.28%1,283.9万
70.28%1,283.9万
127.57%1,014.3万
242.21%1,001.3万
预付费用
91.14%1.04亿
102.41%8,833.3万
102.41%8,833.3万
--7,054万
--6,305万
130.87%5,453.7万
62.97%4,364.1万
62.97%4,364.1万
----
----
受限制现金
22.51%161.1万
15.81%158.2万
15.81%158.2万
--121.8万
--115.3万
-6.80%131.5万
-10.78%136.6万
-10.78%136.6万
----
----
其他流动资产
16.34%1,501.2万
21.76%1,480.6万
21.76%1,480.6万
-58.32%1,414.4万
-57.63%1,335.7万
-10.39%1,290.4万
35.73%1,216万
35.73%1,216万
-3.38%3,393.4万
283.45%3,152.7万
流动资产合计
-4.66%8.74亿
-1.76%9.18亿
-1.76%9.18亿
-2.67%9.25亿
-4.44%9.19亿
-8.79%9.16亿
-10.38%9.34亿
-10.38%9.34亿
-10.05%9.51亿
-22.13%9.61亿
非流动资产
固定资产净额
-3.19%3,687万
-7.15%3,757.1万
-7.15%3,757.1万
-11.30%3,715.9万
-10.56%3,730.1万
-8.37%3,808.5万
-3.65%4,046.4万
-3.65%4,046.4万
-3.06%4,189.2万
12.47%4,170.6万
-固定资产
-3.19%3,687万
5.52%7,144万
5.52%7,144万
-11.30%3,715.9万
-10.56%3,730.1万
-8.37%3,808.5万
5.72%6,770.4万
5.72%6,770.4万
-3.06%4,189.2万
12.47%4,170.6万
-累计折旧
----
-24.34%-3,386.9万
-24.34%-3,386.9万
----
----
----
-23.57%-2,724万
-23.57%-2,724万
----
----
投资和预付款
----
--0
--0
--150.9万
--147.3万
-2.13%151.9万
--151.9万
--151.9万
----
----
长期应收款
52.96%1,982.1万
97.40%2,110.4万
97.40%2,110.4万
--1,899.4万
--1,696万
69.59%1,295.8万
91.22%1,069.1万
91.22%1,069.1万
----
----
长期预付费用
-29.54%278.9万
-14.46%322.9万
-14.46%322.9万
--349.8万
--376.2万
-30.30%395.8万
-36.50%377.5万
-36.50%377.5万
----
----
商誉及其他无形资产
-5.03%15.57亿
-5.16%15.76亿
-5.16%15.76亿
-5.06%15.99亿
-34.02%16.15亿
-33.90%16.39亿
-33.88%16.62亿
-33.88%16.62亿
-33.66%16.85亿
25.29%24.48亿
-商誉
-0.05%13.49亿
-0.10%13.49亿
-0.10%13.49亿
0.16%13.52亿
-35.56%13.47亿
-35.62%13.5亿
-35.82%13.51亿
-35.82%13.51亿
-35.82%13.5亿
34.28%20.91亿
-其他无形资产
-28.28%2.07亿
-27.11%2.27亿
-27.11%2.27亿
-26.15%2.47亿
-25.01%2.68亿
-24.46%2.89亿
-23.96%3.11亿
-23.96%3.11亿
-23.24%3.35亿
-9.98%3.57亿
非流动递延资产
-14.25%31.9万
83.39%55.2万
83.39%55.2万
393.06%71万
27.86%17.9万
144.74%37.2万
95.45%30.1万
95.45%30.1万
136.07%14.4万
174.51%14万
其他非流动资产
13.04%1,852.6万
19.14%1,853.2万
19.14%1,853.2万
-38.44%1,799.7万
-34.35%1,736.7万
41.27%1,638.9万
57.69%1,555.5万
57.69%1,555.5万
39.50%2,923.3万
106.35%2,645.2万
非流动资产合计
-4.52%16.35亿
-4.45%16.57亿
-4.45%16.57亿
-4.37%16.79亿
-32.75%16.92亿
-32.79%17.13亿
-32.71%17.34亿
-32.71%17.34亿
-32.56%17.56亿
25.31%25.17亿
总资产
-4.57%25.09亿
-3.51%25.75亿
-3.51%25.75亿
-3.77%26.05亿
-24.93%26.11亿
-26.01%26.29亿
-26.28%26.69亿
-26.28%26.69亿
-26.06%27.07亿
7.25%34.78亿
负债
流动负债
短期借款与资本租赁负债
4.42%706.9万
4.91%694.2万
4.91%694.2万
-0.87%686.4万
-1.59%670.1万
-81.80%677万
-13.31%661.7万
-13.31%661.7万
-7.66%692.4万
-3.94%680.9万
-短期资本租赁负债
4.42%706.9万
4.91%694.2万
4.91%694.2万
-0.87%686.4万
-1.59%670.1万
-7.64%677万
-13.31%661.7万
-13.31%661.7万
-7.66%692.4万
-3.94%680.9万
应付款项
-14.50%3,888万
-14.03%4,366.7万
-14.03%4,366.7万
-34.45%5,006.5万
-33.91%5,296.4万
-11.53%4,547.2万
-7.79%5,079.4万
-7.79%5,079.4万
0.51%7,637.5万
49.20%8,013.4万
-应付账款
-16.43%2,918.1万
-9.36%3,349.9万
-9.36%3,349.9万
-43.74%3,924.1万
-42.25%4,242.1万
-5.19%3,492万
-5.83%3,695.8万
-5.83%3,695.8万
-0.21%6,974.8万
99.26%7,346.2万
-应付税费
-3.55%969.9万
-24.71%1,016.8万
-24.71%1,016.8万
63.33%1,082.4万
48.10%988.1万
2.98%1,005.6万
30.96%1,350.5万
30.96%1,350.5万
8.78%662.7万
-36.21%667.2万
-其他应付款
----
----
----
----
--66.2万
-89.67%49.6万
-94.01%33.1万
-94.01%33.1万
----
----
应计费用
597.65%950.2万
29.76%312.6万
29.76%312.6万
--535.6万
--94.3万
-75.36%136.2万
-48.78%240.9万
-48.78%240.9万
----
----
养老金及其他退休福利计划
7.87%1,835.1万
4.67%2,359.5万
4.67%2,359.5万
--2,349.9万
--1,960.4万
-20.07%1,701.2万
-10.68%2,254.3万
-10.68%2,254.3万
----
----
递延负债
-0.37%6,722.5万
-1.11%6,733.6万
-1.11%6,733.6万
2.41%6,312.1万
0.16%6,302.9万
2.78%6,747.4万
4.45%6,809.4万
4.45%6,809.4万
-0.80%6,163.6万
7.71%6,293.1万
流动负债总额
2.13%1.41亿
-3.85%1.45亿
-3.85%1.45亿
2.74%1.49亿
-4.43%1.43亿
-23.73%1.38亿
-4.68%1.5亿
-4.68%1.5亿
-0.47%1.45亿
3.69%1.5亿
非流动负债
长期借款与租赁负债
-8.42%1,620.4万
-12.41%1,626.9万
-12.41%1,626.9万
-14.82%1,659.2万
-12.37%1,695.2万
-15.13%1,769.3万
-64.87%1,857.4万
-64.87%1,857.4万
-64.42%1,947.9万
-63.36%1,934.6万
-长期租赁负债
-8.42%1,620.4万
-12.41%1,626.9万
-12.41%1,626.9万
-14.82%1,659.2万
-12.37%1,695.2万
-15.13%1,769.3万
-19.37%1,857.4万
-19.37%1,857.4万
-21.82%1,947.9万
-15.88%1,934.6万
长期应付账款及其他应付款项
----
----
----
----
----
----
----
----
-32.83%85.1万
-80.65%92.4万
递延负债
-40.37%76.5万
-30.59%85.1万
-30.59%85.1万
-51.99%89.4万
-59.73%129.1万
-79.77%128.3万
-86.31%122.6万
-86.31%122.6万
-70.39%186.2万
-63.47%320.6万
其他非流动负债
-32.14%79.4万
-5.75%96.7万
-5.75%96.7万
--197.4万
--112.3万
--117万
1.89%102.6万
1.89%102.6万
----
----
非流动负债总额
-11.83%1,776.3万
-13.15%1,808.7万
-13.15%1,808.7万
-12.31%1,946万
-17.51%1,936.6万
-28.48%2,014.6万
-66.86%2,082.6万
-66.86%2,082.6万
-64.38%2,219.2万
-64.62%2,347.6万
负债总额
0.35%1.59亿
-4.98%1.63亿
-4.98%1.63亿
0.74%1.68亿
-6.20%1.63亿
-24.37%1.58亿
-22.39%1.71亿
-22.39%1.71亿
-19.62%1.67亿
-17.80%1.73亿
所有者权益
股本
-0.45%43.01亿
1.49%43.63亿
1.49%43.63亿
1.90%43.55亿
1.90%43.37亿
2.16%43.21亿
2.37%42.99亿
2.37%42.99亿
2.38%42.74亿
14.74%42.56亿
-普通股股本
-0.45%43.01亿
1.49%43.63亿
1.49%43.63亿
1.90%43.55亿
1.90%43.37亿
2.16%43.21亿
2.37%42.99亿
2.37%42.99亿
2.38%42.74亿
14.74%42.56亿
资本公积
7.55%2.12亿
8.03%2.14亿
8.03%2.14亿
8.79%2.09亿
19.97%2.06亿
33.61%1.97亿
59.98%1.98亿
59.98%1.98亿
121.87%1.92亿
165.01%1.71亿
留存收益
-5.59%-21.59亿
-8.21%-21.6亿
-8.21%-21.6亿
-10.71%-21.28亿
-88.58%-20.87亿
-99.12%-20.45亿
-115.53%-19.96亿
-115.53%-19.96亿
-136.76%-19.22亿
-48.35%-11.07亿
不影响留存收益的损益
-61.22%-431.9万
-32.32%-404.5万
-32.32%-404.5万
93.29%-33.7万
57.67%-661.3万
61.03%-267.9万
-214.19%-305.7万
-214.19%-305.7万
-278.68%-501.9万
-436.34%-1,562.3万
股东权益总额
-4.88%23.5亿
-3.41%24.12亿
-3.41%24.12亿
-4.07%24.36亿
-25.91%24.48亿
-26.11%24.71亿
-26.53%24.97亿
-26.53%24.97亿
-26.44%25.4亿
8.99%33.04亿
总权益
-4.88%23.5亿
-3.41%24.12亿
-3.41%24.12亿
-4.07%24.36亿
-25.91%24.48亿
-26.11%24.71亿
-26.53%24.97亿
-26.53%24.97亿
-26.44%25.4亿
8.99%33.04亿
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
--
无保留意见
--
--
--
--
无保留意见
--
--
--
(Q1)2024/06/30(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
资产
流动资产
现金及现金等价物和短期投资 -13.63%6.74亿-9.75%7.22亿-9.75%7.22亿-10.58%7.49亿-11.72%7.61亿-14.70%7.8亿-16.10%8亿-16.10%8亿-13.30%8.38亿-26.91%8.63亿
-现金和现金等价物 -13.63%6.74亿-9.75%7.22亿-9.75%7.22亿-10.58%7.49亿-11.72%7.61亿-14.70%7.8亿-16.10%8亿-16.10%8亿-13.30%8.38亿-26.91%8.63亿
应收款项 15.11%6,044.9万16.23%7,458.5万16.23%7,458.5万4.27%7,150万7.59%6,145.5万25.88%5,251.5万45.74%6,417.2万45.74%6,417.2万35.23%6,857.5万108.46%5,711.9万
-应收账款 26.36%3,208.3万30.39%4,307.6万30.39%4,307.6万-38.89%4,190.3万-42.87%3,263.3万19.25%2,539万66.42%3,303.6万66.42%3,303.6万35.23%6,857.5万269.73%5,711.9万
-应收利息 -27.08%334.4万-14.56%382.6万-14.56%382.6万--330.3万--474万--458.6万--447.8万--447.8万--------
-应收税费 2.07%1,095.7万15.78%1,538.2万15.78%1,538.2万--1,249.4万--1,177.9万-3.08%1,073.5万26.32%1,328.6万26.32%1,328.6万--------
-其他应收款 19.15%1,406.5万-8.01%1,230.1万-8.01%1,230.1万--1,380万--1,230.3万26.23%1,180.4万-2.14%1,337.2万-2.14%1,337.2万--------
存货 24.62%1,825.6万28.45%1,649.2万28.45%1,649.2万83.32%1,859.4万80.36%1,805.9万70.83%1,464.9万70.28%1,283.9万70.28%1,283.9万127.57%1,014.3万242.21%1,001.3万
预付费用 91.14%1.04亿102.41%8,833.3万102.41%8,833.3万--7,054万--6,305万130.87%5,453.7万62.97%4,364.1万62.97%4,364.1万--------
受限制现金 22.51%161.1万15.81%158.2万15.81%158.2万--121.8万--115.3万-6.80%131.5万-10.78%136.6万-10.78%136.6万--------
其他流动资产 16.34%1,501.2万21.76%1,480.6万21.76%1,480.6万-58.32%1,414.4万-57.63%1,335.7万-10.39%1,290.4万35.73%1,216万35.73%1,216万-3.38%3,393.4万283.45%3,152.7万
流动资产合计 -4.66%8.74亿-1.76%9.18亿-1.76%9.18亿-2.67%9.25亿-4.44%9.19亿-8.79%9.16亿-10.38%9.34亿-10.38%9.34亿-10.05%9.51亿-22.13%9.61亿
非流动资产
固定资产净额 -3.19%3,687万-7.15%3,757.1万-7.15%3,757.1万-11.30%3,715.9万-10.56%3,730.1万-8.37%3,808.5万-3.65%4,046.4万-3.65%4,046.4万-3.06%4,189.2万12.47%4,170.6万
-固定资产 -3.19%3,687万5.52%7,144万5.52%7,144万-11.30%3,715.9万-10.56%3,730.1万-8.37%3,808.5万5.72%6,770.4万5.72%6,770.4万-3.06%4,189.2万12.47%4,170.6万
-累计折旧 -----24.34%-3,386.9万-24.34%-3,386.9万-------------23.57%-2,724万-23.57%-2,724万--------
投资和预付款 ------0--0--150.9万--147.3万-2.13%151.9万--151.9万--151.9万--------
长期应收款 52.96%1,982.1万97.40%2,110.4万97.40%2,110.4万--1,899.4万--1,696万69.59%1,295.8万91.22%1,069.1万91.22%1,069.1万--------
长期预付费用 -29.54%278.9万-14.46%322.9万-14.46%322.9万--349.8万--376.2万-30.30%395.8万-36.50%377.5万-36.50%377.5万--------
商誉及其他无形资产 -5.03%15.57亿-5.16%15.76亿-5.16%15.76亿-5.06%15.99亿-34.02%16.15亿-33.90%16.39亿-33.88%16.62亿-33.88%16.62亿-33.66%16.85亿25.29%24.48亿
-商誉 -0.05%13.49亿-0.10%13.49亿-0.10%13.49亿0.16%13.52亿-35.56%13.47亿-35.62%13.5亿-35.82%13.51亿-35.82%13.51亿-35.82%13.5亿34.28%20.91亿
-其他无形资产 -28.28%2.07亿-27.11%2.27亿-27.11%2.27亿-26.15%2.47亿-25.01%2.68亿-24.46%2.89亿-23.96%3.11亿-23.96%3.11亿-23.24%3.35亿-9.98%3.57亿
非流动递延资产 -14.25%31.9万83.39%55.2万83.39%55.2万393.06%71万27.86%17.9万144.74%37.2万95.45%30.1万95.45%30.1万136.07%14.4万174.51%14万
其他非流动资产 13.04%1,852.6万19.14%1,853.2万19.14%1,853.2万-38.44%1,799.7万-34.35%1,736.7万41.27%1,638.9万57.69%1,555.5万57.69%1,555.5万39.50%2,923.3万106.35%2,645.2万
非流动资产合计 -4.52%16.35亿-4.45%16.57亿-4.45%16.57亿-4.37%16.79亿-32.75%16.92亿-32.79%17.13亿-32.71%17.34亿-32.71%17.34亿-32.56%17.56亿25.31%25.17亿
总资产 -4.57%25.09亿-3.51%25.75亿-3.51%25.75亿-3.77%26.05亿-24.93%26.11亿-26.01%26.29亿-26.28%26.69亿-26.28%26.69亿-26.06%27.07亿7.25%34.78亿
负债
流动负债
短期借款与资本租赁负债 4.42%706.9万4.91%694.2万4.91%694.2万-0.87%686.4万-1.59%670.1万-81.80%677万-13.31%661.7万-13.31%661.7万-7.66%692.4万-3.94%680.9万
-短期资本租赁负债 4.42%706.9万4.91%694.2万4.91%694.2万-0.87%686.4万-1.59%670.1万-7.64%677万-13.31%661.7万-13.31%661.7万-7.66%692.4万-3.94%680.9万
应付款项 -14.50%3,888万-14.03%4,366.7万-14.03%4,366.7万-34.45%5,006.5万-33.91%5,296.4万-11.53%4,547.2万-7.79%5,079.4万-7.79%5,079.4万0.51%7,637.5万49.20%8,013.4万
-应付账款 -16.43%2,918.1万-9.36%3,349.9万-9.36%3,349.9万-43.74%3,924.1万-42.25%4,242.1万-5.19%3,492万-5.83%3,695.8万-5.83%3,695.8万-0.21%6,974.8万99.26%7,346.2万
-应付税费 -3.55%969.9万-24.71%1,016.8万-24.71%1,016.8万63.33%1,082.4万48.10%988.1万2.98%1,005.6万30.96%1,350.5万30.96%1,350.5万8.78%662.7万-36.21%667.2万
-其他应付款 ------------------66.2万-89.67%49.6万-94.01%33.1万-94.01%33.1万--------
应计费用 597.65%950.2万29.76%312.6万29.76%312.6万--535.6万--94.3万-75.36%136.2万-48.78%240.9万-48.78%240.9万--------
养老金及其他退休福利计划 7.87%1,835.1万4.67%2,359.5万4.67%2,359.5万--2,349.9万--1,960.4万-20.07%1,701.2万-10.68%2,254.3万-10.68%2,254.3万--------
递延负债 -0.37%6,722.5万-1.11%6,733.6万-1.11%6,733.6万2.41%6,312.1万0.16%6,302.9万2.78%6,747.4万4.45%6,809.4万4.45%6,809.4万-0.80%6,163.6万7.71%6,293.1万
流动负债总额 2.13%1.41亿-3.85%1.45亿-3.85%1.45亿2.74%1.49亿-4.43%1.43亿-23.73%1.38亿-4.68%1.5亿-4.68%1.5亿-0.47%1.45亿3.69%1.5亿
非流动负债
长期借款与租赁负债 -8.42%1,620.4万-12.41%1,626.9万-12.41%1,626.9万-14.82%1,659.2万-12.37%1,695.2万-15.13%1,769.3万-64.87%1,857.4万-64.87%1,857.4万-64.42%1,947.9万-63.36%1,934.6万
-长期租赁负债 -8.42%1,620.4万-12.41%1,626.9万-12.41%1,626.9万-14.82%1,659.2万-12.37%1,695.2万-15.13%1,769.3万-19.37%1,857.4万-19.37%1,857.4万-21.82%1,947.9万-15.88%1,934.6万
长期应付账款及其他应付款项 ---------------------------------32.83%85.1万-80.65%92.4万
递延负债 -40.37%76.5万-30.59%85.1万-30.59%85.1万-51.99%89.4万-59.73%129.1万-79.77%128.3万-86.31%122.6万-86.31%122.6万-70.39%186.2万-63.47%320.6万
其他非流动负债 -32.14%79.4万-5.75%96.7万-5.75%96.7万--197.4万--112.3万--117万1.89%102.6万1.89%102.6万--------
非流动负债总额 -11.83%1,776.3万-13.15%1,808.7万-13.15%1,808.7万-12.31%1,946万-17.51%1,936.6万-28.48%2,014.6万-66.86%2,082.6万-66.86%2,082.6万-64.38%2,219.2万-64.62%2,347.6万
负债总额 0.35%1.59亿-4.98%1.63亿-4.98%1.63亿0.74%1.68亿-6.20%1.63亿-24.37%1.58亿-22.39%1.71亿-22.39%1.71亿-19.62%1.67亿-17.80%1.73亿
所有者权益
股本 -0.45%43.01亿1.49%43.63亿1.49%43.63亿1.90%43.55亿1.90%43.37亿2.16%43.21亿2.37%42.99亿2.37%42.99亿2.38%42.74亿14.74%42.56亿
-普通股股本 -0.45%43.01亿1.49%43.63亿1.49%43.63亿1.90%43.55亿1.90%43.37亿2.16%43.21亿2.37%42.99亿2.37%42.99亿2.38%42.74亿14.74%42.56亿
资本公积 7.55%2.12亿8.03%2.14亿8.03%2.14亿8.79%2.09亿19.97%2.06亿33.61%1.97亿59.98%1.98亿59.98%1.98亿121.87%1.92亿165.01%1.71亿
留存收益 -5.59%-21.59亿-8.21%-21.6亿-8.21%-21.6亿-10.71%-21.28亿-88.58%-20.87亿-99.12%-20.45亿-115.53%-19.96亿-115.53%-19.96亿-136.76%-19.22亿-48.35%-11.07亿
不影响留存收益的损益 -61.22%-431.9万-32.32%-404.5万-32.32%-404.5万93.29%-33.7万57.67%-661.3万61.03%-267.9万-214.19%-305.7万-214.19%-305.7万-278.68%-501.9万-436.34%-1,562.3万
股东权益总额 -4.88%23.5亿-3.41%24.12亿-3.41%24.12亿-4.07%24.36亿-25.91%24.48亿-26.11%24.71亿-26.53%24.97亿-26.53%24.97亿-26.44%25.4亿8.99%33.04亿
总权益 -4.88%23.5亿-3.41%24.12亿-3.41%24.12亿-4.07%24.36亿-25.91%24.48亿-26.11%24.71亿-26.53%24.97亿-26.53%24.97亿-26.44%25.4亿8.99%33.04亿
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 --无保留意见--------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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