加拿大市场个股详情

MATR Mattr Corp

添加自选
  • 13.160
  • -0.290-2.16%
延时15分钟行情已收盘 11/25 16:00 (美东)
8.47亿总市值-73111市盈率TTM

Mattr Corp关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
资产
流动资产
现金及现金等价物和短期投资
89.86%1.86亿
103.66%2.54亿
95.04%3.16亿
26.54%3.34亿
26.54%3.34亿
-21.11%9,797.7万
7.51%1.25亿
88.86%1.62亿
112.13%2.64亿
112.13%2.64亿
-现金和现金等价物
89.86%1.86亿
103.66%2.54亿
95.04%3.16亿
26.54%3.34亿
26.54%3.34亿
-21.11%9,797.7万
7.51%1.25亿
88.86%1.62亿
112.13%2.64亿
112.13%2.64亿
应收款项
12.76%2.07亿
-38.29%2.17亿
-37.24%2.03亿
-37.23%1.73亿
-37.23%1.73亿
-29.83%1.83亿
27.76%3.52亿
30.70%3.24亿
16.81%2.75亿
16.81%2.75亿
-应收账款
12.21%1.97亿
-24.35%1.99亿
-25.19%1.91亿
-29.08%1.39亿
-29.08%1.39亿
-19.27%1.75亿
14.41%2.63亿
25.12%2.55亿
19.82%1.96亿
19.82%1.96亿
-应收税费
89.41%645.9万
60.93%780.5万
11.28%470.6万
-41.53%451万
-41.53%451万
-53.99%341万
-61.86%485万
-64.63%422.9万
-36.18%771.4万
-36.18%771.4万
-其他应收款
-22.16%367.5万
-88.14%988.7万
-88.17%761.9万
-59.10%2,925万
-59.10%2,925万
-87.19%472.1万
158.32%8,335.4万
102.12%6,438.6万
19.27%7,152.4万
19.27%7,152.4万
存货
0.41%1.37亿
-43.96%1.36亿
-39.40%1.26亿
-32.66%1.23亿
-32.66%1.23亿
-16.86%1.36亿
46.82%2.43亿
44.29%2.09亿
48.25%1.82亿
48.25%1.82亿
预付费用
17.56%1,165.6万
-73.60%975万
----
-62.96%654.4万
-62.96%654.4万
-36.70%991.5万
217.74%3,693.4万
279.44%4,201.2万
91.20%1,766.9万
91.20%1,766.9万
套期保值资产
--0
--0
--0
-37.96%89.4万
-37.96%89.4万
-67.71%3.1万
--9,000
--8.8万
860.67%144.1万
860.67%144.1万
持有待售资产
-94.37%3,528万
----
----
----
----
1,369.33%6.26亿
----
----
----
----
其他流动资产
----
----
--1,182.2万
----
----
----
----
----
----
----
流动资产合计
-45.30%5.76亿
-18.46%6.17亿
-10.73%6.57亿
-13.98%6.37亿
-13.98%6.37亿
73.40%10.54亿
33.07%7.56亿
50.57%7.36亿
50.40%7.4亿
50.40%7.4亿
非流动资产
固定资产净额
79.48%4.1亿
-3.58%4.01亿
-18.93%3.01亿
-19.29%2.8亿
-19.29%2.8亿
-33.20%2.29亿
30.32%4.16亿
3.93%3.71亿
-3.92%3.47亿
-3.92%3.47亿
-固定资产
79.48%4.1亿
-3.58%4.01亿
-18.93%3.01亿
-50.72%5亿
-50.72%5亿
-33.20%2.29亿
30.32%4.16亿
3.93%3.71亿
-6.12%10.15亿
-6.12%10.15亿
-累计折旧
----
----
----
67.07%-2.2亿
67.07%-2.2亿
----
----
----
7.22%-6.68亿
7.22%-6.68亿
长期应收款
----
----
----
--104.4万
--104.4万
----
----
----
----
----
长期应收票据
----
----
----
105.98%106.7万
105.98%106.7万
----
----
----
-41.86%51.8万
-41.86%51.8万
长期预付费用
----
----
----
715.77%212.1万
715.77%212.1万
----
----
----
-23.08%26万
-23.08%26万
商誉及其他无形资产
-8.16%3.03亿
-20.92%3.06亿
-22.00%3.07亿
-20.67%3.08亿
-20.67%3.08亿
-14.39%3.3亿
1.54%3.86亿
3.07%3.94亿
-0.03%3.88亿
-0.03%3.88亿
-商誉
0.54%1.64亿
-25.49%1.63亿
-26.16%1.63亿
-24.83%1.63亿
-24.83%1.63亿
-24.45%1.63亿
2.58%2.19亿
3.02%2.21亿
0.69%2.17亿
0.69%2.17亿
-其他无形资产
-16.64%1.39亿
-14.96%1.43亿
-16.70%1.44亿
-15.39%1.45亿
-15.39%1.45亿
-1.63%1.67亿
0.21%1.68亿
3.14%1.73亿
-0.93%1.71亿
-0.93%1.71亿
确认的养老福利金
----
----
----
-65.09%401.3万
-65.09%401.3万
----
----
----
195.83%1,149.6万
195.83%1,149.6万
非流动递延资产
-7.36%3,658.9万
-42.97%4,256.5万
-36.22%4,477.4万
-26.23%4,516.3万
-26.23%4,516.3万
-9.27%3,949.6万
271.13%7,464.1万
235.48%7,020.2万
193.80%6,122.4万
193.80%6,122.4万
其他非流动资产
-55.32%710万
-41.79%739.9万
-34.29%830.8万
----
----
282.25%1,589万
185.04%1,271万
152.32%1,264.4万
----
----
非流动资产合计
23.31%7.57亿
-14.96%7.57亿
-22.02%6.61亿
-20.68%6.41亿
-20.68%6.41亿
-20.81%6.14亿
22.84%8.9亿
10.81%8.48亿
4.29%8.09亿
4.29%8.09亿
总资产
-20.05%13.33亿
-16.57%13.73亿
-16.77%13.18亿
-17.48%12.78亿
-17.48%12.78亿
20.60%16.67亿
27.34%16.46亿
26.31%15.84亿
22.19%15.49亿
22.19%15.49亿
负债
流动负债
短期借款与资本租赁负债
0.16%1,019.5万
-61.99%1,059.7万
-65.41%1,042.2万
-56.09%1,133万
-56.09%1,133万
-49.88%1,017.9万
94.25%2,788.3万
116.59%3,012.7万
92.70%2,580.4万
92.70%2,580.4万
-短期资本租赁负债
0.16%1,019.5万
-61.99%1,059.7万
-65.41%1,042.2万
-56.09%1,133万
-56.09%1,133万
-49.88%1,017.9万
94.25%2,788.3万
116.59%3,012.7万
92.70%2,580.4万
92.70%2,580.4万
应付款项
-5.78%1.75亿
-36.84%1.94亿
-17.35%2.17亿
-40.42%6,337.2万
-40.42%6,337.2万
-23.04%1.85亿
39.28%3.08亿
23.28%2.63亿
9.79%1.06亿
9.79%1.06亿
-应付账款
-3.38%1.64亿
-35.20%1.85亿
-16.10%2.1亿
-45.31%5,450.7万
-45.31%5,450.7万
-26.16%1.7亿
39.91%2.85亿
25.96%2.5亿
20.87%9,966.7万
20.87%9,966.7万
-应付税费
-32.60%1,024.9万
-57.55%962.2万
-41.89%738.9万
32.47%886.5万
32.47%886.5万
45.87%1,520.7万
31.83%2,266.5万
-13.11%1,271.6万
-53.57%669.2万
-53.57%669.2万
应计费用
----
----
----
-9.75%1.24亿
-9.75%1.24亿
----
----
----
34.76%1.38亿
34.76%1.38亿
现行拨备
-0.36%1,450.2万
-29.88%1,531.7万
-32.34%1,491.8万
-23.12%1,215.7万
-23.12%1,215.7万
-1.90%1,455.4万
45.18%2,184.3万
67.58%2,204.9万
5.86%1,581.3万
5.86%1,581.3万
养老金及其他退休福利计划
----
----
----
2.20%2,810万
2.20%2,810万
----
----
----
546.20%2,749.6万
546.20%2,749.6万
递延负债
-62.16%1,205.6万
-87.50%3,277万
-81.50%4,427.6万
-79.44%3,949.4万
-79.44%3,949.4万
-59.83%3,185.7万
499.55%2.62亿
686.47%2.39亿
595.23%1.92亿
595.23%1.92亿
其他流动负债
-89.34%3,952.1万
-34.87%2,297万
38.44%2,296.6万
-33.01%55.6万
-33.01%55.6万
1,095.15%3.71亿
310.68%3,526.9万
140.00%1,658.9万
6.82%83万
6.82%83万
流动负债总额
-59.04%2.51亿
-57.86%2.76亿
-45.72%3.1亿
-44.81%2.79亿
-44.81%2.79亿
58.58%6.13亿
116.37%6.55亿
105.61%5.71亿
94.61%5.06亿
94.61%5.06亿
非流动负债
长期借款与租赁负债
44.28%3.22亿
49.20%3.22亿
2.33%2.24亿
-9.54%2.21亿
-9.54%2.21亿
-16.50%2.23亿
-30.12%2.16亿
-31.11%2.19亿
-26.63%2.44亿
-26.63%2.44亿
-长期借款
-4.27%1.66亿
-8.89%1.66亿
-22.34%1.45亿
-31.60%1.44亿
-31.60%1.44亿
-24.32%1.74亿
-34.75%1.82亿
-33.11%1.86亿
-27.83%2.11亿
-27.83%2.11亿
-长期租赁负债
214.81%1.56亿
363.10%1.56亿
144.77%7,899.7万
128.73%7,693.3万
128.73%7,693.3万
31.06%4,941.7万
13.42%3,367.8万
-16.79%3,227.4万
-18.06%3,363.5万
-18.06%3,363.5万
长期拨备
183.33%1,172.7万
-7.57%1,226.3万
-12.85%1,206.9万
-15.77%1,190.3万
-15.77%1,190.3万
-68.49%413.9万
-1.32%1,326.7万
-12.79%1,384.9万
-8.72%1,413.2万
-8.72%1,413.2万
员工福利
-17.65%639.7万
-34.79%633.4万
-36.45%623万
-37.04%1,053.4万
-37.04%1,053.4万
-29.50%776.8万
-7.32%971.3万
-7.11%980.3万
33.55%1,673.1万
33.55%1,673.1万
递延负债
-69.20%1,066.6万
-61.88%1,317.3万
-49.47%2,009.9万
-69.60%2,066.6万
-69.60%2,066.6万
80.79%3,463万
497.37%3,455.8万
832.57%3,977.4万
1,846.79%6,798.2万
1,846.79%6,798.2万
其他非流动负债
-13.25%857万
-14.86%897万
3.45%844.7万
--507.4万
--507.4万
106.16%987.9万
253.44%1,053.6万
243.07%816.5万
----
----
非流动负债总额
28.52%3.59亿
27.76%3.62亿
-6.77%2.71亿
-21.56%2.69亿
-21.56%2.69亿
-11.35%2.79亿
-16.86%2.84亿
-17.19%2.9亿
-6.10%3.43亿
-6.10%3.43亿
负债总额
-31.62%6.1亿
-31.98%6.39亿
-32.60%5.81亿
-35.41%5.49亿
-35.41%5.49亿
27.17%8.92亿
45.77%9.39亿
37.10%8.61亿
35.76%8.49亿
35.76%8.49亿
所有者权益
股本
-5.04%6.54亿
-3.73%6.7亿
-3.50%6.83亿
-3.61%6.82亿
-3.61%6.82亿
-3.21%6.89亿
-3.55%6.96亿
-1.91%7.08亿
-1.89%7.07亿
-1.89%7.07亿
-普通股股本
-5.04%6.54亿
-3.73%6.7亿
-3.50%6.83亿
-3.61%6.82亿
-3.61%6.82亿
-3.21%6.89亿
-3.55%6.96亿
-1.91%7.08亿
-1.89%7.07亿
-1.89%7.07亿
资本公积
0.85%2,328.6万
0.57%2,306.8万
-7.13%2,307.6万
-8.82%2,345万
-8.82%2,345万
-19.63%2,308.9万
-19.84%2,293.8万
-11.84%2,484.7万
-7.87%2,571.7万
-7.87%2,571.7万
留存收益
-57.58%-9,138.3万
22.70%-9,678.6万
28.10%-9,868.3万
42.41%-9,284.1万
42.41%-9,284.1万
38.55%-5,799.3万
-6.67%-1.25亿
0.36%-1.37亿
-23.25%-1.61亿
-23.25%-1.61亿
不影响留存收益的损益
12.66%1.37亿
21.67%1.39亿
2.91%1.31亿
-7.68%1.18亿
-7.68%1.18亿
272.72%1.22亿
739.94%1.14亿
1,018.84%1.27亿
502.28%1.27亿
502.28%1.27亿
股东权益总额
-6.76%7.23亿
3.85%7.35亿
2.18%7.38亿
4.40%7.3亿
4.40%7.3亿
14.31%7.76亿
9.48%7.08亿
15.91%7.22亿
9.40%6.99亿
9.40%6.99亿
非控制性权益
40.24%-30.3万
44.58%-30.7万
-175.26%-28.6万
-274.91%-48.1万
-274.91%-48.1万
-120.99%-50.7万
-125.46%-55.4万
-85.79%38万
-90.17%27.5万
-90.17%27.5万
总权益
-6.74%7.23亿
3.89%7.35亿
2.09%7.38亿
4.29%7.3亿
4.29%7.3亿
13.83%7.75亿
9.03%7.07亿
15.48%7.23亿
8.97%7亿
8.97%7亿
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
--
--
--
--
--
--
(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31
资产
流动资产
现金及现金等价物和短期投资 89.86%1.86亿103.66%2.54亿95.04%3.16亿26.54%3.34亿26.54%3.34亿-21.11%9,797.7万7.51%1.25亿88.86%1.62亿112.13%2.64亿112.13%2.64亿
-现金和现金等价物 89.86%1.86亿103.66%2.54亿95.04%3.16亿26.54%3.34亿26.54%3.34亿-21.11%9,797.7万7.51%1.25亿88.86%1.62亿112.13%2.64亿112.13%2.64亿
应收款项 12.76%2.07亿-38.29%2.17亿-37.24%2.03亿-37.23%1.73亿-37.23%1.73亿-29.83%1.83亿27.76%3.52亿30.70%3.24亿16.81%2.75亿16.81%2.75亿
-应收账款 12.21%1.97亿-24.35%1.99亿-25.19%1.91亿-29.08%1.39亿-29.08%1.39亿-19.27%1.75亿14.41%2.63亿25.12%2.55亿19.82%1.96亿19.82%1.96亿
-应收税费 89.41%645.9万60.93%780.5万11.28%470.6万-41.53%451万-41.53%451万-53.99%341万-61.86%485万-64.63%422.9万-36.18%771.4万-36.18%771.4万
-其他应收款 -22.16%367.5万-88.14%988.7万-88.17%761.9万-59.10%2,925万-59.10%2,925万-87.19%472.1万158.32%8,335.4万102.12%6,438.6万19.27%7,152.4万19.27%7,152.4万
存货 0.41%1.37亿-43.96%1.36亿-39.40%1.26亿-32.66%1.23亿-32.66%1.23亿-16.86%1.36亿46.82%2.43亿44.29%2.09亿48.25%1.82亿48.25%1.82亿
预付费用 17.56%1,165.6万-73.60%975万-----62.96%654.4万-62.96%654.4万-36.70%991.5万217.74%3,693.4万279.44%4,201.2万91.20%1,766.9万91.20%1,766.9万
套期保值资产 --0--0--0-37.96%89.4万-37.96%89.4万-67.71%3.1万--9,000--8.8万860.67%144.1万860.67%144.1万
持有待售资产 -94.37%3,528万----------------1,369.33%6.26亿----------------
其他流动资产 ----------1,182.2万----------------------------
流动资产合计 -45.30%5.76亿-18.46%6.17亿-10.73%6.57亿-13.98%6.37亿-13.98%6.37亿73.40%10.54亿33.07%7.56亿50.57%7.36亿50.40%7.4亿50.40%7.4亿
非流动资产
固定资产净额 79.48%4.1亿-3.58%4.01亿-18.93%3.01亿-19.29%2.8亿-19.29%2.8亿-33.20%2.29亿30.32%4.16亿3.93%3.71亿-3.92%3.47亿-3.92%3.47亿
-固定资产 79.48%4.1亿-3.58%4.01亿-18.93%3.01亿-50.72%5亿-50.72%5亿-33.20%2.29亿30.32%4.16亿3.93%3.71亿-6.12%10.15亿-6.12%10.15亿
-累计折旧 ------------67.07%-2.2亿67.07%-2.2亿------------7.22%-6.68亿7.22%-6.68亿
长期应收款 --------------104.4万--104.4万--------------------
长期应收票据 ------------105.98%106.7万105.98%106.7万-------------41.86%51.8万-41.86%51.8万
长期预付费用 ------------715.77%212.1万715.77%212.1万-------------23.08%26万-23.08%26万
商誉及其他无形资产 -8.16%3.03亿-20.92%3.06亿-22.00%3.07亿-20.67%3.08亿-20.67%3.08亿-14.39%3.3亿1.54%3.86亿3.07%3.94亿-0.03%3.88亿-0.03%3.88亿
-商誉 0.54%1.64亿-25.49%1.63亿-26.16%1.63亿-24.83%1.63亿-24.83%1.63亿-24.45%1.63亿2.58%2.19亿3.02%2.21亿0.69%2.17亿0.69%2.17亿
-其他无形资产 -16.64%1.39亿-14.96%1.43亿-16.70%1.44亿-15.39%1.45亿-15.39%1.45亿-1.63%1.67亿0.21%1.68亿3.14%1.73亿-0.93%1.71亿-0.93%1.71亿
确认的养老福利金 -------------65.09%401.3万-65.09%401.3万------------195.83%1,149.6万195.83%1,149.6万
非流动递延资产 -7.36%3,658.9万-42.97%4,256.5万-36.22%4,477.4万-26.23%4,516.3万-26.23%4,516.3万-9.27%3,949.6万271.13%7,464.1万235.48%7,020.2万193.80%6,122.4万193.80%6,122.4万
其他非流动资产 -55.32%710万-41.79%739.9万-34.29%830.8万--------282.25%1,589万185.04%1,271万152.32%1,264.4万--------
非流动资产合计 23.31%7.57亿-14.96%7.57亿-22.02%6.61亿-20.68%6.41亿-20.68%6.41亿-20.81%6.14亿22.84%8.9亿10.81%8.48亿4.29%8.09亿4.29%8.09亿
总资产 -20.05%13.33亿-16.57%13.73亿-16.77%13.18亿-17.48%12.78亿-17.48%12.78亿20.60%16.67亿27.34%16.46亿26.31%15.84亿22.19%15.49亿22.19%15.49亿
负债
流动负债
短期借款与资本租赁负债 0.16%1,019.5万-61.99%1,059.7万-65.41%1,042.2万-56.09%1,133万-56.09%1,133万-49.88%1,017.9万94.25%2,788.3万116.59%3,012.7万92.70%2,580.4万92.70%2,580.4万
-短期资本租赁负债 0.16%1,019.5万-61.99%1,059.7万-65.41%1,042.2万-56.09%1,133万-56.09%1,133万-49.88%1,017.9万94.25%2,788.3万116.59%3,012.7万92.70%2,580.4万92.70%2,580.4万
应付款项 -5.78%1.75亿-36.84%1.94亿-17.35%2.17亿-40.42%6,337.2万-40.42%6,337.2万-23.04%1.85亿39.28%3.08亿23.28%2.63亿9.79%1.06亿9.79%1.06亿
-应付账款 -3.38%1.64亿-35.20%1.85亿-16.10%2.1亿-45.31%5,450.7万-45.31%5,450.7万-26.16%1.7亿39.91%2.85亿25.96%2.5亿20.87%9,966.7万20.87%9,966.7万
-应付税费 -32.60%1,024.9万-57.55%962.2万-41.89%738.9万32.47%886.5万32.47%886.5万45.87%1,520.7万31.83%2,266.5万-13.11%1,271.6万-53.57%669.2万-53.57%669.2万
应计费用 -------------9.75%1.24亿-9.75%1.24亿------------34.76%1.38亿34.76%1.38亿
现行拨备 -0.36%1,450.2万-29.88%1,531.7万-32.34%1,491.8万-23.12%1,215.7万-23.12%1,215.7万-1.90%1,455.4万45.18%2,184.3万67.58%2,204.9万5.86%1,581.3万5.86%1,581.3万
养老金及其他退休福利计划 ------------2.20%2,810万2.20%2,810万------------546.20%2,749.6万546.20%2,749.6万
递延负债 -62.16%1,205.6万-87.50%3,277万-81.50%4,427.6万-79.44%3,949.4万-79.44%3,949.4万-59.83%3,185.7万499.55%2.62亿686.47%2.39亿595.23%1.92亿595.23%1.92亿
其他流动负债 -89.34%3,952.1万-34.87%2,297万38.44%2,296.6万-33.01%55.6万-33.01%55.6万1,095.15%3.71亿310.68%3,526.9万140.00%1,658.9万6.82%83万6.82%83万
流动负债总额 -59.04%2.51亿-57.86%2.76亿-45.72%3.1亿-44.81%2.79亿-44.81%2.79亿58.58%6.13亿116.37%6.55亿105.61%5.71亿94.61%5.06亿94.61%5.06亿
非流动负债
长期借款与租赁负债 44.28%3.22亿49.20%3.22亿2.33%2.24亿-9.54%2.21亿-9.54%2.21亿-16.50%2.23亿-30.12%2.16亿-31.11%2.19亿-26.63%2.44亿-26.63%2.44亿
-长期借款 -4.27%1.66亿-8.89%1.66亿-22.34%1.45亿-31.60%1.44亿-31.60%1.44亿-24.32%1.74亿-34.75%1.82亿-33.11%1.86亿-27.83%2.11亿-27.83%2.11亿
-长期租赁负债 214.81%1.56亿363.10%1.56亿144.77%7,899.7万128.73%7,693.3万128.73%7,693.3万31.06%4,941.7万13.42%3,367.8万-16.79%3,227.4万-18.06%3,363.5万-18.06%3,363.5万
长期拨备 183.33%1,172.7万-7.57%1,226.3万-12.85%1,206.9万-15.77%1,190.3万-15.77%1,190.3万-68.49%413.9万-1.32%1,326.7万-12.79%1,384.9万-8.72%1,413.2万-8.72%1,413.2万
员工福利 -17.65%639.7万-34.79%633.4万-36.45%623万-37.04%1,053.4万-37.04%1,053.4万-29.50%776.8万-7.32%971.3万-7.11%980.3万33.55%1,673.1万33.55%1,673.1万
递延负债 -69.20%1,066.6万-61.88%1,317.3万-49.47%2,009.9万-69.60%2,066.6万-69.60%2,066.6万80.79%3,463万497.37%3,455.8万832.57%3,977.4万1,846.79%6,798.2万1,846.79%6,798.2万
其他非流动负债 -13.25%857万-14.86%897万3.45%844.7万--507.4万--507.4万106.16%987.9万253.44%1,053.6万243.07%816.5万--------
非流动负债总额 28.52%3.59亿27.76%3.62亿-6.77%2.71亿-21.56%2.69亿-21.56%2.69亿-11.35%2.79亿-16.86%2.84亿-17.19%2.9亿-6.10%3.43亿-6.10%3.43亿
负债总额 -31.62%6.1亿-31.98%6.39亿-32.60%5.81亿-35.41%5.49亿-35.41%5.49亿27.17%8.92亿45.77%9.39亿37.10%8.61亿35.76%8.49亿35.76%8.49亿
所有者权益
股本 -5.04%6.54亿-3.73%6.7亿-3.50%6.83亿-3.61%6.82亿-3.61%6.82亿-3.21%6.89亿-3.55%6.96亿-1.91%7.08亿-1.89%7.07亿-1.89%7.07亿
-普通股股本 -5.04%6.54亿-3.73%6.7亿-3.50%6.83亿-3.61%6.82亿-3.61%6.82亿-3.21%6.89亿-3.55%6.96亿-1.91%7.08亿-1.89%7.07亿-1.89%7.07亿
资本公积 0.85%2,328.6万0.57%2,306.8万-7.13%2,307.6万-8.82%2,345万-8.82%2,345万-19.63%2,308.9万-19.84%2,293.8万-11.84%2,484.7万-7.87%2,571.7万-7.87%2,571.7万
留存收益 -57.58%-9,138.3万22.70%-9,678.6万28.10%-9,868.3万42.41%-9,284.1万42.41%-9,284.1万38.55%-5,799.3万-6.67%-1.25亿0.36%-1.37亿-23.25%-1.61亿-23.25%-1.61亿
不影响留存收益的损益 12.66%1.37亿21.67%1.39亿2.91%1.31亿-7.68%1.18亿-7.68%1.18亿272.72%1.22亿739.94%1.14亿1,018.84%1.27亿502.28%1.27亿502.28%1.27亿
股东权益总额 -6.76%7.23亿3.85%7.35亿2.18%7.38亿4.40%7.3亿4.40%7.3亿14.31%7.76亿9.48%7.08亿15.91%7.22亿9.40%6.99亿9.40%6.99亿
非控制性权益 40.24%-30.3万44.58%-30.7万-175.26%-28.6万-274.91%-48.1万-274.91%-48.1万-120.99%-50.7万-125.46%-55.4万-85.79%38万-90.17%27.5万-90.17%27.5万
总权益 -6.74%7.23亿3.89%7.35亿2.09%7.38亿4.29%7.3亿4.29%7.3亿13.83%7.75亿9.03%7.07亿15.48%7.23亿8.97%7亿8.97%7亿
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ------无保留意见------------

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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