加拿大市场个股详情

MCR Macro Enterprises Inc

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延时15分钟行情已收盘 12/20 09:30 (美东)
0总市值0.00市盈率TTM

Macro Enterprises Inc关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2021/09/30
(Q2)2021/06/30
(Q1)2021/03/31
(FY)2020/12/31
(Q4)2020/12/31
(Q3)2020/09/30
(Q2)2020/06/30
(Q1)2020/03/31
(FY)2019/12/31
(Q4)2019/12/31
资产
流动资产
现金及现金等价物和短期投资
26.25%2,584.3万
46.51%4,251.4万
-15.61%3,590万
-11.94%4,604.5万
-11.94%4,604.5万
-59.82%2,046.9万
-13.96%2,901.8万
-7.79%4,253.9万
-27.80%5,228.6万
-27.80%5,228.6万
-现金和现金等价物
26.25%2,584.3万
46.51%4,251.4万
-15.61%3,590万
-11.94%4,604.5万
-11.94%4,604.5万
-59.82%2,046.9万
-13.96%2,901.8万
-7.79%4,253.9万
-27.80%5,228.6万
-27.80%5,228.6万
应收款项
-16.41%1.05亿
-24.92%6,403.1万
-14.33%5,607.9万
-33.17%4,595.4万
-33.17%4,595.4万
59.74%1.26亿
-2.87%8,528.6万
-33.73%6,545.7万
35.35%6,875.8万
35.35%6,875.8万
-应收账款
-26.32%5,655.2万
29.62%6,069.4万
65.45%5,220.9万
28.68%4,278.3万
28.68%4,278.3万
21.68%7,674.9万
-32.93%4,682.3万
-58.31%3,155.5万
-31.50%3,324.7万
-31.50%3,324.7万
-应收税费
----
----
----
----
----
--8.6万
--179.9万
--175.1万
----
----
-其他应收款
-0.84%4,889.4万
-90.90%333.7万
-87.96%387万
-91.07%317.1万
-91.07%317.1万
210.28%4,930.9万
103.81%3,666.4万
39.24%3,215.1万
1,471.28%3,551.1万
1,471.28%3,551.1万
存货
27.50%5.1万
33.33%4.8万
15.38%4.5万
15.38%4.5万
15.38%4.5万
11.11%4万
-96.95%3.6万
-96.69%3.9万
56.00%3.9万
56.00%3.9万
预付费用
-67.68%62.7万
63.24%88.8万
-38.54%22.8万
10.24%88.3万
10.24%88.3万
102.93%194万
-62.30%54.4万
-67.34%37.1万
-22.16%80.1万
-22.16%80.1万
递延资产
-79.05%22万
-72.67%28.7万
-69.52%32万
-69.52%32万
-69.52%32万
0.00%105万
0.48%105万
-29.81%105万
-38.52%105万
-38.52%105万
流动资产合计
-11.67%1.32亿
-7.04%1.08亿
-15.43%9,257.2万
-24.15%9,324.7万
-24.15%9,324.7万
13.41%1.5亿
-7.40%1.16亿
-26.40%1.09亿
-2.42%1.23亿
-2.42%1.23亿
非流动资产
固定资产净额
6.25%9,932.7万
-8.84%8,275.9万
-9.70%8,394.6万
-8.50%8,709.8万
-8.50%8,709.8万
-5.76%9,348.1万
-14.49%9,078.7万
-2.30%9,296.3万
58.62%9,519.4万
58.62%9,519.4万
-固定资产
12.90%2.02亿
4.00%1.81亿
4.01%1.78亿
4.67%1.78亿
4.67%1.78亿
4.26%1.79亿
-1.18%1.75亿
6.17%1.72亿
38.27%1.7亿
38.27%1.7亿
-累计折旧
-20.14%-1.03亿
-17.93%-9,873.6万
-20.24%-9,443.5万
-21.46%-9,077.8万
-21.46%-9,077.8万
-17.95%-8,570.2万
-18.89%-8,372.7万
-18.31%-7,854万
-18.85%-7,473.8万
-18.85%-7,473.8万
投资和预付款
0.00%153.7万
0.00%153.7万
0.00%153.7万
0.00%153.7万
0.00%153.7万
0.00%153.7万
0.00%153.7万
0.00%153.7万
0.00%153.7万
0.00%153.7万
非流动递延资产
89.04%260.5万
-30.44%113.8万
-44.37%119.5万
-46.68%128.5万
-46.68%128.5万
-45.51%137.8万
-60.82%163.6万
-32.26%214.8万
-28.08%241万
-28.08%241万
非流动资产合计
7.34%1.03亿
-9.07%8,543.4万
-10.32%8,667.8万
-9.30%8,992万
-9.30%8,992万
-6.65%9,639.6万
-16.02%9,396万
-3.21%9,664.8万
52.76%9,914.1万
52.76%9,914.1万
总资产
-4.22%2.36亿
-7.95%1.93亿
-13.03%1.79亿
-17.52%1.83亿
-17.52%1.83亿
4.60%2.46亿
-11.47%2.1亿
-17.09%2.06亿
16.34%2.22亿
16.34%2.22亿
负债
流动负债
短期借款与资本租赁负债
48.28%2,295.7万
-1.47%1,512.9万
16.81%1,522.8万
119.56%3,174.8万
119.56%3,174.8万
34.42%1,548.2万
-27.70%1,535.5万
-19.71%1,303.6万
119.72%1,446万
119.72%1,446万
-短期借款
----
----
----
--1,600万
--1,600万
----
----
----
----
----
-短期资本租赁负债
48.28%2,295.7万
-1.47%1,512.9万
16.81%1,522.8万
8.91%1,574.8万
8.91%1,574.8万
34.42%1,548.2万
-27.70%1,535.5万
-19.71%1,303.6万
119.72%1,446万
119.72%1,446万
应付款项
-19.19%5,344万
-23.22%3,722.6万
-23.51%3,308.8万
-36.60%919.8万
-36.60%919.8万
2.73%6,613.1万
-17.47%4,848.5万
-33.48%4,325.6万
-30.62%1,450.8万
-30.62%1,450.8万
-应付账款
-19.35%5,333.7万
-26.38%3,569.7万
-26.53%3,177.9万
-30.54%868.7万
-30.54%868.7万
31.12%6,613.1万
9.84%4,848.5万
-31.56%4,325.6万
-33.11%1,250.7万
-33.11%1,250.7万
-应付税费
--10.3万
--152.9万
--130.9万
-74.46%51.1万
-74.46%51.1万
--0
--0
----
-9.58%200.1万
-9.58%200.1万
应计费用
----
----
----
-76.12%991.3万
-76.12%991.3万
----
----
----
21.77%4,150.8万
21.77%4,150.8万
现行拨备
----
----
----
--212万
--212万
----
----
----
----
----
递延负债
-22.49%550万
----
----
--0
--0
70.49%709.6万
-97.09%19.5万
-99.39%13万
-99.53%6.8万
-99.53%6.8万
流动负债总额
-7.68%8,189.7万
-18.24%5,235.5万
-14.37%4,831.6万
-24.90%5,297.9万
-24.90%5,297.9万
10.81%8,870.9万
-26.13%6,403.5万
-44.99%5,642.2万
-7.09%7,054.4万
-7.09%7,054.4万
非流动负债
长期借款与租赁负债
-14.14%1,402.4万
-13.00%1,200.3万
-27.47%1,206.8万
-16.08%1,448.5万
-16.08%1,448.5万
-54.18%1,633.3万
-66.02%1,379.7万
-56.28%1,663.8万
12.89%1,726万
12.89%1,726万
-长期租赁负债
-14.14%1,402.4万
-13.00%1,200.3万
-27.47%1,206.8万
-16.08%1,448.5万
-16.08%1,448.5万
-54.18%1,633.3万
-66.02%1,379.7万
-56.28%1,663.8万
12.89%1,726万
12.89%1,726万
可转换优先证券
25.48%466.3万
6.60%452.5万
40.99%468.1万
-30.41%426.4万
-30.41%426.4万
-35.89%371.6万
-20.31%424.5万
-33.19%332万
48.50%612.7万
48.50%612.7万
递延负债
5.76%1,482.6万
-18.50%1,046.6万
-42.31%766.6万
-42.31%766.6万
-42.31%766.6万
783.86%1,401.8万
19,356.06%1,284.1万
88.99%1,328.8万
88.99%1,328.8万
88.99%1,328.8万
非流动负债总额
-1.63%3,351.3万
-12.59%2,699.4万
-26.56%2,441.5万
-27.98%2,641.5万
-27.98%2,641.5万
-20.82%3,406.7万
-32.86%3,088.3万
-33.58%3,324.6万
38.68%3,667.5万
38.68%3,667.5万
负债总额
-6.00%1.15亿
-16.40%7,934.9万
-18.89%7,273.1万
-25.95%7,939.4万
-25.95%7,939.4万
-0.25%1.23亿
-28.46%9,491.8万
-41.25%8,966.8万
4.73%1.07亿
4.73%1.07亿
所有者权益
股本
0.00%2,495.1万
5.54%2,495.1万
5.54%2,495.1万
5.54%2,495.1万
5.54%2,495.1万
11.08%2,495.1万
10.50%2,364.2万
12.35%2,364.2万
13.89%2,364.2万
13.89%2,364.2万
-普通股股本
0.00%2,495.1万
5.54%2,495.1万
5.54%2,495.1万
5.54%2,495.1万
5.54%2,495.1万
11.08%2,495.1万
10.50%2,364.2万
12.35%2,364.2万
13.89%2,364.2万
13.89%2,364.2万
资本公积
4.51%324.6万
-10.27%324.1万
-6.40%322万
-2.14%319.9万
-2.14%319.9万
-24.79%310.6万
-35.16%361.2万
-35.50%344万
-34.76%326.9万
-34.76%326.9万
留存收益
-3.32%9,204.9万
-2.35%8,566.1万
-12.32%7,835万
-14.01%7,562.3万
-14.01%7,562.3万
11.29%9,520.6万
13.29%8,772.2万
28.43%8,935.4万
40.18%8,794.5万
40.18%8,794.5万
股东权益总额
-2.45%1.2亿
-0.98%1.14亿
-8.52%1.07亿
-9.65%1.04亿
-9.65%1.04亿
9.92%1.23亿
10.13%1.15亿
21.35%1.16亿
29.77%1.15亿
29.77%1.15亿
总权益
-2.45%1.2亿
-0.98%1.14亿
-8.52%1.07亿
-9.65%1.04亿
-9.65%1.04亿
9.92%1.23亿
10.13%1.15亿
21.35%1.16亿
29.77%1.15亿
29.77%1.15亿
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
--
(Q3)2021/09/30(Q2)2021/06/30(Q1)2021/03/31(FY)2020/12/31(Q4)2020/12/31(Q3)2020/09/30(Q2)2020/06/30(Q1)2020/03/31(FY)2019/12/31(Q4)2019/12/31
资产
流动资产
现金及现金等价物和短期投资 26.25%2,584.3万46.51%4,251.4万-15.61%3,590万-11.94%4,604.5万-11.94%4,604.5万-59.82%2,046.9万-13.96%2,901.8万-7.79%4,253.9万-27.80%5,228.6万-27.80%5,228.6万
-现金和现金等价物 26.25%2,584.3万46.51%4,251.4万-15.61%3,590万-11.94%4,604.5万-11.94%4,604.5万-59.82%2,046.9万-13.96%2,901.8万-7.79%4,253.9万-27.80%5,228.6万-27.80%5,228.6万
应收款项 -16.41%1.05亿-24.92%6,403.1万-14.33%5,607.9万-33.17%4,595.4万-33.17%4,595.4万59.74%1.26亿-2.87%8,528.6万-33.73%6,545.7万35.35%6,875.8万35.35%6,875.8万
-应收账款 -26.32%5,655.2万29.62%6,069.4万65.45%5,220.9万28.68%4,278.3万28.68%4,278.3万21.68%7,674.9万-32.93%4,682.3万-58.31%3,155.5万-31.50%3,324.7万-31.50%3,324.7万
-应收税费 ----------------------8.6万--179.9万--175.1万--------
-其他应收款 -0.84%4,889.4万-90.90%333.7万-87.96%387万-91.07%317.1万-91.07%317.1万210.28%4,930.9万103.81%3,666.4万39.24%3,215.1万1,471.28%3,551.1万1,471.28%3,551.1万
存货 27.50%5.1万33.33%4.8万15.38%4.5万15.38%4.5万15.38%4.5万11.11%4万-96.95%3.6万-96.69%3.9万56.00%3.9万56.00%3.9万
预付费用 -67.68%62.7万63.24%88.8万-38.54%22.8万10.24%88.3万10.24%88.3万102.93%194万-62.30%54.4万-67.34%37.1万-22.16%80.1万-22.16%80.1万
递延资产 -79.05%22万-72.67%28.7万-69.52%32万-69.52%32万-69.52%32万0.00%105万0.48%105万-29.81%105万-38.52%105万-38.52%105万
流动资产合计 -11.67%1.32亿-7.04%1.08亿-15.43%9,257.2万-24.15%9,324.7万-24.15%9,324.7万13.41%1.5亿-7.40%1.16亿-26.40%1.09亿-2.42%1.23亿-2.42%1.23亿
非流动资产
固定资产净额 6.25%9,932.7万-8.84%8,275.9万-9.70%8,394.6万-8.50%8,709.8万-8.50%8,709.8万-5.76%9,348.1万-14.49%9,078.7万-2.30%9,296.3万58.62%9,519.4万58.62%9,519.4万
-固定资产 12.90%2.02亿4.00%1.81亿4.01%1.78亿4.67%1.78亿4.67%1.78亿4.26%1.79亿-1.18%1.75亿6.17%1.72亿38.27%1.7亿38.27%1.7亿
-累计折旧 -20.14%-1.03亿-17.93%-9,873.6万-20.24%-9,443.5万-21.46%-9,077.8万-21.46%-9,077.8万-17.95%-8,570.2万-18.89%-8,372.7万-18.31%-7,854万-18.85%-7,473.8万-18.85%-7,473.8万
投资和预付款 0.00%153.7万0.00%153.7万0.00%153.7万0.00%153.7万0.00%153.7万0.00%153.7万0.00%153.7万0.00%153.7万0.00%153.7万0.00%153.7万
非流动递延资产 89.04%260.5万-30.44%113.8万-44.37%119.5万-46.68%128.5万-46.68%128.5万-45.51%137.8万-60.82%163.6万-32.26%214.8万-28.08%241万-28.08%241万
非流动资产合计 7.34%1.03亿-9.07%8,543.4万-10.32%8,667.8万-9.30%8,992万-9.30%8,992万-6.65%9,639.6万-16.02%9,396万-3.21%9,664.8万52.76%9,914.1万52.76%9,914.1万
总资产 -4.22%2.36亿-7.95%1.93亿-13.03%1.79亿-17.52%1.83亿-17.52%1.83亿4.60%2.46亿-11.47%2.1亿-17.09%2.06亿16.34%2.22亿16.34%2.22亿
负债
流动负债
短期借款与资本租赁负债 48.28%2,295.7万-1.47%1,512.9万16.81%1,522.8万119.56%3,174.8万119.56%3,174.8万34.42%1,548.2万-27.70%1,535.5万-19.71%1,303.6万119.72%1,446万119.72%1,446万
-短期借款 --------------1,600万--1,600万--------------------
-短期资本租赁负债 48.28%2,295.7万-1.47%1,512.9万16.81%1,522.8万8.91%1,574.8万8.91%1,574.8万34.42%1,548.2万-27.70%1,535.5万-19.71%1,303.6万119.72%1,446万119.72%1,446万
应付款项 -19.19%5,344万-23.22%3,722.6万-23.51%3,308.8万-36.60%919.8万-36.60%919.8万2.73%6,613.1万-17.47%4,848.5万-33.48%4,325.6万-30.62%1,450.8万-30.62%1,450.8万
-应付账款 -19.35%5,333.7万-26.38%3,569.7万-26.53%3,177.9万-30.54%868.7万-30.54%868.7万31.12%6,613.1万9.84%4,848.5万-31.56%4,325.6万-33.11%1,250.7万-33.11%1,250.7万
-应付税费 --10.3万--152.9万--130.9万-74.46%51.1万-74.46%51.1万--0--0-----9.58%200.1万-9.58%200.1万
应计费用 -------------76.12%991.3万-76.12%991.3万------------21.77%4,150.8万21.77%4,150.8万
现行拨备 --------------212万--212万--------------------
递延负债 -22.49%550万----------0--070.49%709.6万-97.09%19.5万-99.39%13万-99.53%6.8万-99.53%6.8万
流动负债总额 -7.68%8,189.7万-18.24%5,235.5万-14.37%4,831.6万-24.90%5,297.9万-24.90%5,297.9万10.81%8,870.9万-26.13%6,403.5万-44.99%5,642.2万-7.09%7,054.4万-7.09%7,054.4万
非流动负债
长期借款与租赁负债 -14.14%1,402.4万-13.00%1,200.3万-27.47%1,206.8万-16.08%1,448.5万-16.08%1,448.5万-54.18%1,633.3万-66.02%1,379.7万-56.28%1,663.8万12.89%1,726万12.89%1,726万
-长期租赁负债 -14.14%1,402.4万-13.00%1,200.3万-27.47%1,206.8万-16.08%1,448.5万-16.08%1,448.5万-54.18%1,633.3万-66.02%1,379.7万-56.28%1,663.8万12.89%1,726万12.89%1,726万
可转换优先证券 25.48%466.3万6.60%452.5万40.99%468.1万-30.41%426.4万-30.41%426.4万-35.89%371.6万-20.31%424.5万-33.19%332万48.50%612.7万48.50%612.7万
递延负债 5.76%1,482.6万-18.50%1,046.6万-42.31%766.6万-42.31%766.6万-42.31%766.6万783.86%1,401.8万19,356.06%1,284.1万88.99%1,328.8万88.99%1,328.8万88.99%1,328.8万
非流动负债总额 -1.63%3,351.3万-12.59%2,699.4万-26.56%2,441.5万-27.98%2,641.5万-27.98%2,641.5万-20.82%3,406.7万-32.86%3,088.3万-33.58%3,324.6万38.68%3,667.5万38.68%3,667.5万
负债总额 -6.00%1.15亿-16.40%7,934.9万-18.89%7,273.1万-25.95%7,939.4万-25.95%7,939.4万-0.25%1.23亿-28.46%9,491.8万-41.25%8,966.8万4.73%1.07亿4.73%1.07亿
所有者权益
股本 0.00%2,495.1万5.54%2,495.1万5.54%2,495.1万5.54%2,495.1万5.54%2,495.1万11.08%2,495.1万10.50%2,364.2万12.35%2,364.2万13.89%2,364.2万13.89%2,364.2万
-普通股股本 0.00%2,495.1万5.54%2,495.1万5.54%2,495.1万5.54%2,495.1万5.54%2,495.1万11.08%2,495.1万10.50%2,364.2万12.35%2,364.2万13.89%2,364.2万13.89%2,364.2万
资本公积 4.51%324.6万-10.27%324.1万-6.40%322万-2.14%319.9万-2.14%319.9万-24.79%310.6万-35.16%361.2万-35.50%344万-34.76%326.9万-34.76%326.9万
留存收益 -3.32%9,204.9万-2.35%8,566.1万-12.32%7,835万-14.01%7,562.3万-14.01%7,562.3万11.29%9,520.6万13.29%8,772.2万28.43%8,935.4万40.18%8,794.5万40.18%8,794.5万
股东权益总额 -2.45%1.2亿-0.98%1.14亿-8.52%1.07亿-9.65%1.04亿-9.65%1.04亿9.92%1.23亿10.13%1.15亿21.35%1.16亿29.77%1.15亿29.77%1.15亿
总权益 -2.45%1.2亿-0.98%1.14亿-8.52%1.07亿-9.65%1.04亿-9.65%1.04亿9.92%1.23亿10.13%1.15亿21.35%1.16亿29.77%1.15亿29.77%1.15亿
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。

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。