加拿大市场个股详情

LUX Newlox Gold Ventures Corp

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延时15分钟行情已收盘 08/02 13:44 (美东)
1561.50万总市值-2.63市盈率TTM

Newlox Gold Ventures Corp关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2024/09/30
(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
资产
流动资产
现金及现金等价物和短期投资
-36.88%6.87万
98.67%21.78万
-59.36%28.4万
-59.36%28.4万
-45.17%81.04万
-95.40%10.88万
-96.41%10.96万
-80.08%69.88万
-80.08%69.88万
-66.91%147.82万
-现金和现金等价物
-36.88%6.87万
98.67%21.78万
-59.36%28.4万
-59.36%28.4万
-78.68%31.52万
-95.40%10.88万
-96.41%10.96万
-80.08%69.88万
-80.08%69.88万
-66.91%147.82万
-短期投资
----
----
----
----
--49.52万
----
----
----
----
----
应收款项
-80.97%2.6万
-86.78%1.53万
--0
--0
-17.35%18.18万
-2.05%13.65万
25.95%11.53万
24.23%10.68万
24.23%10.68万
183.12%22万
-应收账款
----
----
----
----
-70.57%3.59万
----
----
----
----
--12.2万
-应收税费
-80.97%2.6万
-86.78%1.53万
--0
--0
48.95%14.59万
42.34%13.65万
25.95%11.53万
24.23%10.68万
24.23%10.68万
26.07%9.8万
存货
72.84%3.47万
23.84%3.11万
-10.89%2.85万
-10.89%2.85万
--2.07万
--2.01万
--2.51万
-0.95%3.19万
-0.95%3.19万
--0
预付费用
993.79%19.82万
346.92%19.83万
16.97%7.84万
16.97%7.84万
-86.59%3,308
-45.29%1.81万
-43.21%4.44万
-22.20%6.7万
-22.20%6.7万
-49.55%2.47万
流动资产合计
15.56%32.76万
57.05%46.23万
-56.80%39.08万
-56.80%39.08万
-41.01%101.63万
-88.83%28.35万
-90.86%29.44万
-75.64%90.45万
-75.64%90.45万
-62.50%172.28万
非流动资产
固定资产净额
-4.87%683.85万
5.96%718.12万
18.27%749.71万
18.27%749.71万
58.92%718.12万
92.39%718.87万
159.36%677.72万
129.89%633.92万
129.89%633.92万
142.00%451.86万
-固定资产
13.28%1,008.86万
22.51%1,015.18万
31.25%1,022.51万
31.25%1,022.51万
48.03%923.02万
71.84%890.61万
125.03%828.63万
138.82%779.07万
138.82%779.07万
124.04%623.52万
-累计折旧
-89.24%-325.01万
-96.83%-297.05万
-87.95%-272.8万
-87.95%-272.8万
-19.37%-204.9万
-18.75%-171.74万
-41.14%-150.92万
-187.64%-145.15万
-187.64%-145.15万
-87.41%-171.65万
投资和预付款
----
----
--0
--0
----
----
----
--0
--0
92.19%39.63万
-长期股权投资
----
----
--0
--0
----
----
----
--0
--0
92.19%39.63万
非流动递延资产
--26.81万
86.02%26.97万
14.92%27.67万
14.92%27.67万
----
----
--14.5万
--24.08万
--24.08万
----
其他非流动资产
----
--1
----
----
----
---1,841
----
----
----
----
非流动资产合计
-1.12%710.66万
7.64%745.1万
18.14%777.38万
18.14%777.38万
46.11%718.12万
77.90%718.69万
144.39%692.22万
127.78%658万
127.78%658万
137.05%491.5万
总资产
-0.48%743.41万
9.66%791.33万
9.09%816.46万
9.09%816.46万
23.50%819.75万
13.57%747.03万
19.23%721.65万
13.37%748.46万
13.37%748.46万
-0.45%663.78万
负债
流动负债
短期借款与资本租赁负债
20.48%293.25万
-12.62%214.34万
-24.06%182.25万
-24.06%182.25万
7,111.24%157.99万
11,009.47%243.4万
11,096.50%245.3万
-4.95%240万
-4.95%240万
--2.19万
-短期借款
20.23%290.7万
-11.98%214.11万
-23.54%181.29万
-23.54%181.29万
--156.77万
--241.8万
--243.25万
-5.27%237.11万
-5.27%237.11万
----
-短期资本租赁负债
59.35%2.55万
-88.78%2,301
-66.55%9,661
-66.55%9,661
-44.43%1.22万
-27.07%1.6万
-6.42%2.05万
31.82%2.89万
31.82%2.89万
--2.19万
应付款项
326.81%261.86万
255.09%249.44万
49.10%202.37万
49.10%202.37万
159.21%73.47万
60.95%61.35万
65.52%70.25万
195.99%135.73万
195.99%135.73万
11.93%28.34万
-应付账款
714.96%56.25万
748.93%53.47万
67.03%7.19万
67.03%7.19万
-40.64%2.15万
-7.70%6.9万
10.57%6.3万
-76.48%4.3万
-76.48%4.3万
-44.55%3.62万
-应付税费
963.90%132.19万
325.94%143.49万
36.49%147.28万
36.49%147.28万
--12.92万
--12.43万
--33.69万
--107.91万
--107.91万
----
-应付关联方款项
103.04%67.62万
109.38%48.06万
194.43%42.46万
194.43%42.46万
187.37%50.8万
34.57%33.31万
-28.00%22.95万
-36.49%14.42万
-36.49%14.42万
-5.89%17.68万
-其他应付款
-33.47%5.8万
-39.53%4.42万
-40.17%5.44万
-40.17%5.44万
7.82%7.59万
47.98%8.72万
50.25%7.31万
87.07%9.1万
87.07%9.1万
--7.04万
应计费用
--0
--0
100.00%10万
100.00%10万
19.91%6万
272.58%18.63万
-25.00%3.75万
0.00%5万
0.00%5万
66.67%5万
递延负债
-78.46%1.35万
-78.46%1.35万
-79.41%1.35万
-79.41%1.35万
-4.41%6.26万
-4.41%6.26万
-4.41%6.26万
0.00%6.55万
0.00%6.55万
0.00%6.55万
其他流动负债
44.12%50万
44.12%50万
4.99%50万
4.99%50万
--34.69万
--34.69万
--34.69万
-19.65%47.62万
-19.65%47.62万
----
流动负债总额
66.46%606.46万
42.99%515.13万
2.55%445.97万
2.55%445.97万
561.59%278.4万
602.55%364.33万
541.27%360.25万
17.81%434.9万
17.81%434.9万
20.68%42.08万
非流动负债
长期借款与租赁负债
4,709.81%121.27万
7,273.89%185.93万
6,097.30%185.93万
6,097.30%185.93万
-16.64%183.79万
-98.94%2.52万
-98.95%2.52万
0.15%3万
0.15%3万
-3.61%220.46万
-长期借款
--120.41万
--182万
--182万
--182万
-17.04%181.16万
----
----
----
----
-3.02%218.37万
-长期租赁负债
-65.78%8,627
55.68%3.93万
30.84%3.93万
30.84%3.93万
25.21%2.62万
-23.50%2.52万
-11.97%2.52万
0.15%3万
0.15%3万
-40.89%2.1万
递延负债
----
----
--0
--0
--0
--0
--0
-82.92%1.35万
-82.92%1.35万
-45.33%7.9万
其他非流动负债
----
--83
----
----
----
----
----
---70.83万
---70.83万
----
非流动负债总额
4,709.81%121.27万
7,274.22%185.93万
379.68%185.93万
379.68%185.93万
-19.52%183.79万
-98.97%2.52万
-98.98%2.52万
-710.32%-66.48万
-710.32%-66.48万
-6.08%228.36万
负债总额
98.37%727.74万
93.25%701.06万
71.52%631.89万
71.52%631.89万
70.90%462.19万
23.50%366.85万
19.63%362.78万
-3.06%368.42万
-3.06%368.42万
-2.73%270.44万
所有者权益
股本
8.61%1,538.37万
7.71%1,525.62万
8.22%1,525.62万
8.22%1,525.62万
8.98%1,489.21万
4.92%1,416.38万
7.12%1,416.38万
9.67%1,409.71万
9.67%1,409.71万
30.54%1,366.47万
-普通股股本
8.61%1,538.37万
7.71%1,525.62万
8.22%1,525.62万
8.22%1,525.62万
8.98%1,489.21万
4.92%1,416.38万
7.12%1,416.38万
9.67%1,409.71万
9.67%1,409.71万
30.54%1,366.47万
资本公积
80.81%179.84万
80.81%179.84万
72.00%175.07万
72.00%175.07万
162.82%142.68万
83.22%99.47万
83.22%99.47万
87.49%101.79万
87.49%101.79万
-75.87%54.29万
留存收益
-45.53%-1,956.98万
-44.17%-1,872.47万
-36.12%-1,789.04万
-36.12%-1,789.04万
-26.94%-1,465.58万
-17.83%-1,344.74万
-17.32%-1,298.83万
-20.89%-1,314.3万
-20.89%-1,314.3万
-18.82%-1,154.58万
不影响留存收益的损益
14.98%137.77万
44.05%140.6万
9.11%159.4万
9.11%159.4万
58.97%143.74万
96.54%119.82万
2,447.14%97.61万
2,131.76%146.09万
2,131.76%146.09万
198.96%90.42万
其他股本权益
30.71%116.67万
163.62%116.67万
208.84%113.52万
208.84%113.52万
29.31%47.5万
142.98%89.26万
20.48%44.26万
5.54%36.76万
5.54%36.76万
-37.19%36.73万
股东权益总额
-95.88%15.67万
-74.85%90.27万
-51.43%184.57万
-51.43%184.57万
-9.10%357.55万
5.40%380.18万
18.83%358.88万
35.67%380.04万
35.67%380.04万
1.18%393.33万
总权益
-95.88%15.67万
-74.85%90.27万
-51.43%184.57万
-51.43%184.57万
-9.10%357.55万
5.40%380.18万
18.83%358.88万
35.67%380.04万
35.67%380.04万
1.18%393.33万
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
--
--
带解释段的无保留意见
--
--
--
--
带解释段的无保留意见
--
--
(Q2)2024/09/30(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
资产
流动资产
现金及现金等价物和短期投资 -36.88%6.87万98.67%21.78万-59.36%28.4万-59.36%28.4万-45.17%81.04万-95.40%10.88万-96.41%10.96万-80.08%69.88万-80.08%69.88万-66.91%147.82万
-现金和现金等价物 -36.88%6.87万98.67%21.78万-59.36%28.4万-59.36%28.4万-78.68%31.52万-95.40%10.88万-96.41%10.96万-80.08%69.88万-80.08%69.88万-66.91%147.82万
-短期投资 ------------------49.52万--------------------
应收款项 -80.97%2.6万-86.78%1.53万--0--0-17.35%18.18万-2.05%13.65万25.95%11.53万24.23%10.68万24.23%10.68万183.12%22万
-应收账款 -----------------70.57%3.59万------------------12.2万
-应收税费 -80.97%2.6万-86.78%1.53万--0--048.95%14.59万42.34%13.65万25.95%11.53万24.23%10.68万24.23%10.68万26.07%9.8万
存货 72.84%3.47万23.84%3.11万-10.89%2.85万-10.89%2.85万--2.07万--2.01万--2.51万-0.95%3.19万-0.95%3.19万--0
预付费用 993.79%19.82万346.92%19.83万16.97%7.84万16.97%7.84万-86.59%3,308-45.29%1.81万-43.21%4.44万-22.20%6.7万-22.20%6.7万-49.55%2.47万
流动资产合计 15.56%32.76万57.05%46.23万-56.80%39.08万-56.80%39.08万-41.01%101.63万-88.83%28.35万-90.86%29.44万-75.64%90.45万-75.64%90.45万-62.50%172.28万
非流动资产
固定资产净额 -4.87%683.85万5.96%718.12万18.27%749.71万18.27%749.71万58.92%718.12万92.39%718.87万159.36%677.72万129.89%633.92万129.89%633.92万142.00%451.86万
-固定资产 13.28%1,008.86万22.51%1,015.18万31.25%1,022.51万31.25%1,022.51万48.03%923.02万71.84%890.61万125.03%828.63万138.82%779.07万138.82%779.07万124.04%623.52万
-累计折旧 -89.24%-325.01万-96.83%-297.05万-87.95%-272.8万-87.95%-272.8万-19.37%-204.9万-18.75%-171.74万-41.14%-150.92万-187.64%-145.15万-187.64%-145.15万-87.41%-171.65万
投资和预付款 ----------0--0--------------0--092.19%39.63万
-长期股权投资 ----------0--0--------------0--092.19%39.63万
非流动递延资产 --26.81万86.02%26.97万14.92%27.67万14.92%27.67万----------14.5万--24.08万--24.08万----
其他非流动资产 ------1---------------1,841----------------
非流动资产合计 -1.12%710.66万7.64%745.1万18.14%777.38万18.14%777.38万46.11%718.12万77.90%718.69万144.39%692.22万127.78%658万127.78%658万137.05%491.5万
总资产 -0.48%743.41万9.66%791.33万9.09%816.46万9.09%816.46万23.50%819.75万13.57%747.03万19.23%721.65万13.37%748.46万13.37%748.46万-0.45%663.78万
负债
流动负债
短期借款与资本租赁负债 20.48%293.25万-12.62%214.34万-24.06%182.25万-24.06%182.25万7,111.24%157.99万11,009.47%243.4万11,096.50%245.3万-4.95%240万-4.95%240万--2.19万
-短期借款 20.23%290.7万-11.98%214.11万-23.54%181.29万-23.54%181.29万--156.77万--241.8万--243.25万-5.27%237.11万-5.27%237.11万----
-短期资本租赁负债 59.35%2.55万-88.78%2,301-66.55%9,661-66.55%9,661-44.43%1.22万-27.07%1.6万-6.42%2.05万31.82%2.89万31.82%2.89万--2.19万
应付款项 326.81%261.86万255.09%249.44万49.10%202.37万49.10%202.37万159.21%73.47万60.95%61.35万65.52%70.25万195.99%135.73万195.99%135.73万11.93%28.34万
-应付账款 714.96%56.25万748.93%53.47万67.03%7.19万67.03%7.19万-40.64%2.15万-7.70%6.9万10.57%6.3万-76.48%4.3万-76.48%4.3万-44.55%3.62万
-应付税费 963.90%132.19万325.94%143.49万36.49%147.28万36.49%147.28万--12.92万--12.43万--33.69万--107.91万--107.91万----
-应付关联方款项 103.04%67.62万109.38%48.06万194.43%42.46万194.43%42.46万187.37%50.8万34.57%33.31万-28.00%22.95万-36.49%14.42万-36.49%14.42万-5.89%17.68万
-其他应付款 -33.47%5.8万-39.53%4.42万-40.17%5.44万-40.17%5.44万7.82%7.59万47.98%8.72万50.25%7.31万87.07%9.1万87.07%9.1万--7.04万
应计费用 --0--0100.00%10万100.00%10万19.91%6万272.58%18.63万-25.00%3.75万0.00%5万0.00%5万66.67%5万
递延负债 -78.46%1.35万-78.46%1.35万-79.41%1.35万-79.41%1.35万-4.41%6.26万-4.41%6.26万-4.41%6.26万0.00%6.55万0.00%6.55万0.00%6.55万
其他流动负债 44.12%50万44.12%50万4.99%50万4.99%50万--34.69万--34.69万--34.69万-19.65%47.62万-19.65%47.62万----
流动负债总额 66.46%606.46万42.99%515.13万2.55%445.97万2.55%445.97万561.59%278.4万602.55%364.33万541.27%360.25万17.81%434.9万17.81%434.9万20.68%42.08万
非流动负债
长期借款与租赁负债 4,709.81%121.27万7,273.89%185.93万6,097.30%185.93万6,097.30%185.93万-16.64%183.79万-98.94%2.52万-98.95%2.52万0.15%3万0.15%3万-3.61%220.46万
-长期借款 --120.41万--182万--182万--182万-17.04%181.16万-----------------3.02%218.37万
-长期租赁负债 -65.78%8,62755.68%3.93万30.84%3.93万30.84%3.93万25.21%2.62万-23.50%2.52万-11.97%2.52万0.15%3万0.15%3万-40.89%2.1万
递延负债 ----------0--0--0--0--0-82.92%1.35万-82.92%1.35万-45.33%7.9万
其他非流动负债 ------83-----------------------70.83万---70.83万----
非流动负债总额 4,709.81%121.27万7,274.22%185.93万379.68%185.93万379.68%185.93万-19.52%183.79万-98.97%2.52万-98.98%2.52万-710.32%-66.48万-710.32%-66.48万-6.08%228.36万
负债总额 98.37%727.74万93.25%701.06万71.52%631.89万71.52%631.89万70.90%462.19万23.50%366.85万19.63%362.78万-3.06%368.42万-3.06%368.42万-2.73%270.44万
所有者权益
股本 8.61%1,538.37万7.71%1,525.62万8.22%1,525.62万8.22%1,525.62万8.98%1,489.21万4.92%1,416.38万7.12%1,416.38万9.67%1,409.71万9.67%1,409.71万30.54%1,366.47万
-普通股股本 8.61%1,538.37万7.71%1,525.62万8.22%1,525.62万8.22%1,525.62万8.98%1,489.21万4.92%1,416.38万7.12%1,416.38万9.67%1,409.71万9.67%1,409.71万30.54%1,366.47万
资本公积 80.81%179.84万80.81%179.84万72.00%175.07万72.00%175.07万162.82%142.68万83.22%99.47万83.22%99.47万87.49%101.79万87.49%101.79万-75.87%54.29万
留存收益 -45.53%-1,956.98万-44.17%-1,872.47万-36.12%-1,789.04万-36.12%-1,789.04万-26.94%-1,465.58万-17.83%-1,344.74万-17.32%-1,298.83万-20.89%-1,314.3万-20.89%-1,314.3万-18.82%-1,154.58万
不影响留存收益的损益 14.98%137.77万44.05%140.6万9.11%159.4万9.11%159.4万58.97%143.74万96.54%119.82万2,447.14%97.61万2,131.76%146.09万2,131.76%146.09万198.96%90.42万
其他股本权益 30.71%116.67万163.62%116.67万208.84%113.52万208.84%113.52万29.31%47.5万142.98%89.26万20.48%44.26万5.54%36.76万5.54%36.76万-37.19%36.73万
股东权益总额 -95.88%15.67万-74.85%90.27万-51.43%184.57万-51.43%184.57万-9.10%357.55万5.40%380.18万18.83%358.88万35.67%380.04万35.67%380.04万1.18%393.33万
总权益 -95.88%15.67万-74.85%90.27万-51.43%184.57万-51.43%184.57万-9.10%357.55万5.40%380.18万18.83%358.88万35.67%380.04万35.67%380.04万1.18%393.33万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ----带解释段的无保留意见--------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。

加拿大市场投资机会
股息之王 股息之王

加拿大的股息之王是指那些连续多年增加股息的公司,这不仅反映了其强大的商业模式和稳健的财务状况,也表明它们在市场中可能表现优于平均水平,并且波动性较小。 加拿大的股息之王是指那些连续多年增加股息的公司,这不仅反映了其强大的商业模式和稳健的财务状况,也表明它们在市场中可能表现优于平均水平,并且波动性较小。