加拿大市场个股详情

ODD Odd Burger Corp

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  • 0.155
  • +0.005+3.33%
延时15分钟行情已收盘 07/05 16:00 (美东)
1436.76万总市值-5166市盈率TTM

Odd Burger Corp关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2024/03/31
(Q1)2023/12/31
(FY)2023/09/30
(Q4)2023/09/30
(Q3)2023/06/30
(Q2)2023/03/31
(Q1)2022/12/31
(FY)2022/09/30
(Q4)2022/09/30
(Q3)2022/06/30
资产
流动资产
现金及现金等价物和短期投资
-56.71%7.38万
-65.62%5.45万
-72.37%12.05万
-72.37%12.05万
-77.60%10.26万
-78.57%17.05万
-86.05%15.84万
-84.16%43.61万
-84.16%43.61万
-88.21%45.83万
-现金和现金等价物
-56.71%7.38万
-65.62%5.45万
-72.37%12.05万
-72.37%12.05万
-77.60%10.26万
-78.57%17.05万
-86.05%15.84万
-84.16%43.61万
-84.16%43.61万
-88.21%45.83万
-应收账款
-83.19%2.65万
-16.43%3.44万
-8.40%5.62万
-8.40%5.62万
1.23%7.24万
152.39%15.74万
-64.23%4.11万
-43.12%6.13万
-43.12%6.13万
103.48%7.15万
递延资产
-91.48%1.36万
-84.70%1.36万
-82.84%1.36万
-82.84%1.36万
--1.34万
--15.93万
--8.87万
--7.91万
--7.91万
----
持有待售资产
--0
--0
--42.18万
--42.18万
----
----
----
--0
--0
--32.92万
流动资产合计
-42.32%64.45万
-16.41%52.26万
-0.57%99.05万
-0.57%99.05万
-47.74%70.01万
-9.66%111.73万
-64.51%62.52万
-71.24%99.61万
-71.24%99.61万
-68.86%133.97万
非流动资产
-累计折旧
-33.38%-179.58万
-37.46%-163.8万
-44.76%-149.22万
-44.76%-149.22万
-67.50%-146.94万
-87.43%-134.64万
-105.60%-119.16万
-138.16%-103.08万
-138.16%-103.08万
-194.60%-87.73万
-长期股权投资
6.05%237.98万
19.49%248.09万
23.53%238.54万
23.53%238.54万
25.48%227.62万
14.27%224.4万
28.54%207.63万
38.35%193.1万
38.35%193.1万
116.06%181.4万
-其他无形资产
----
----
----
----
----
----
--10万
--18.3万
--18.3万
----
监管资产
-14.92%25.28万
91.79%22.1万
5.01%16.4万
5.01%16.4万
-21.32%18.36万
52.69%29.71万
-72.44%11.52万
-67.03%15.62万
-67.03%15.62万
-13.80%23.34万
非流动递延资产
21.00%101.11万
152.49%102.21万
51.76%60.98万
51.76%60.98万
--81.05万
--83.57万
--40.48万
--40.18万
--40.18万
----
总资产
58.82%14.74万
102.55%11.31万
5.52%7.9万
5.52%7.9万
-61.82%5.64万
-22.36%9.28万
-78.08%5.58万
-67.12%7.48万
-67.12%7.48万
-4.99%14.78万
负债
流动负债
短期借款与资本租赁负债
86.63%78.22万
99.70%77.36万
43.46%50.32万
43.46%50.32万
-4.90%48.06万
14.72%41.91万
-5.81%38.74万
-12.40%35.07万
-12.40%35.07万
83.10%50.53万
-短期借款
373.25%38.43万
238.97%37.95万
148.23%12.89万
148.23%12.89万
109.77%11.01万
55.62%8.12万
105.52%11.19万
-51.11%5.19万
-51.11%5.19万
-20.40%5.25万
-短期资本租赁负债
17.76%39.8万
43.10%39.41万
25.25%37.42万
25.25%37.42万
-18.19%37.05万
7.90%33.79万
-22.80%27.54万
1.57%29.88万
1.57%29.88万
115.58%45.29万
-应付账款
53.18%110.62万
-6.85%84.32万
61.83%98.63万
61.83%98.63万
41.06%88.04万
65.12%72.22万
155.12%90.52万
-46.88%60.95万
-46.88%60.95万
81.30%62.42万
-应付税费
26.23%283.25万
38.74%288.07万
20.60%273.67万
20.60%273.67万
25.48%227.62万
14.27%224.4万
28.54%207.63万
62.58%226.92万
62.58%226.92万
116.06%181.4万
应计费用
50.62%179.02万
76.88%174.14万
90.40%170.69万
90.40%170.69万
369.14%131.63万
370.83%118.85万
52.42%98.45万
105.03%89.65万
105.03%89.65万
298.37%28.06万
递延负债
-42.77%26.1万
-35.44%29.28万
492.01%28.03万
492.01%28.03万
29.49%44.15万
155.26%45.6万
240.25%45.35万
3.28%4.74万
3.28%4.74万
2,815.23%34.1万
流动负债总额
41.42%393.96万
33.71%365.1万
82.60%347.67万
82.60%347.67万
78.11%311.88万
125.79%278.58万
76.70%273.06万
-6.25%190.4万
-6.25%190.4万
149.30%175.1万
非流动负债
-长期借款
9.81%236.6万
22.57%245.71万
31.45%234.97万
31.45%234.97万
34.32%222.87万
19.91%215.46万
39.33%200.47万
41.96%178.76万
41.96%178.76万
158.84%165.93万
长期应计费用
-18.95%270.04万
-29.97%265.44万
-30.17%258.03万
-30.17%258.03万
-17.97%334.07万
-20.34%333.19万
-2.66%379.02万
6.03%369.5万
6.03%369.5万
279.64%407.23万
长期拨备
-84.51%1.38万
-66.78%2.38万
-75.14%3.56万
-75.14%3.56万
-69.29%4.75万
-46.43%8.94万
-59.41%7.16万
5.02%14.34万
5.02%14.34万
-22.09%15.47万
非流动负债总额
34.64%677.21万
35.88%653.18万
48.89%621.34万
48.89%621.34万
51.33%539.5万
57.30%502.98万
52.09%480.69万
21.79%417.33万
21.79%417.33万
131.20%356.5万
所有者权益
股本
1.36%1,391.25万
8.66%1,373.12万
11.14%1,373.12万
11.14%1,373.12万
11.10%1,372.64万
14.33%1,372.64万
8.81%1,263.69万
6.39%1,235.51万
6.39%1,235.51万
7.12%1,235.51万
-普通股股本
1.36%1,391.25万
8.66%1,373.12万
11.14%1,373.12万
11.14%1,373.12万
11.10%1,372.64万
14.33%1,372.64万
8.81%1,263.69万
6.39%1,235.51万
6.39%1,235.51万
7.12%1,235.51万
资本公积
11.43%199.67万
25.67%187.96万
42.50%189.48万
42.50%189.48万
47.97%184.57万
73.49%179.18万
109.01%149.57万
157.25%132.97万
157.25%132.97万
346.57%124.73万
总权益
-16.33%460.26万
-10.41%444.77万
-15.38%442.04万
-15.38%442.04万
-7.45%507.75万
0.13%550.05万
-13.66%496.45万
-25.64%522.41万
-25.64%522.41万
-7.59%548.63万
(Q2)2024/03/31(Q1)2023/12/31(FY)2023/09/30(Q4)2023/09/30(Q3)2023/06/30(Q2)2023/03/31(Q1)2022/12/31(FY)2022/09/30(Q4)2022/09/30(Q3)2022/06/30
资产
流动资产
现金及现金等价物和短期投资 -56.71%7.38万-65.62%5.45万-72.37%12.05万-72.37%12.05万-77.60%10.26万-78.57%17.05万-86.05%15.84万-84.16%43.61万-84.16%43.61万-88.21%45.83万
-现金和现金等价物 -56.71%7.38万-65.62%5.45万-72.37%12.05万-72.37%12.05万-77.60%10.26万-78.57%17.05万-86.05%15.84万-84.16%43.61万-84.16%43.61万-88.21%45.83万
-应收账款 -83.19%2.65万-16.43%3.44万-8.40%5.62万-8.40%5.62万1.23%7.24万152.39%15.74万-64.23%4.11万-43.12%6.13万-43.12%6.13万103.48%7.15万
递延资产 -91.48%1.36万-84.70%1.36万-82.84%1.36万-82.84%1.36万--1.34万--15.93万--8.87万--7.91万--7.91万----
持有待售资产 --0--0--42.18万--42.18万--------------0--0--32.92万
流动资产合计 -42.32%64.45万-16.41%52.26万-0.57%99.05万-0.57%99.05万-47.74%70.01万-9.66%111.73万-64.51%62.52万-71.24%99.61万-71.24%99.61万-68.86%133.97万
非流动资产
-累计折旧 -33.38%-179.58万-37.46%-163.8万-44.76%-149.22万-44.76%-149.22万-67.50%-146.94万-87.43%-134.64万-105.60%-119.16万-138.16%-103.08万-138.16%-103.08万-194.60%-87.73万
-长期股权投资 6.05%237.98万19.49%248.09万23.53%238.54万23.53%238.54万25.48%227.62万14.27%224.4万28.54%207.63万38.35%193.1万38.35%193.1万116.06%181.4万
-其他无形资产 --------------------------10万--18.3万--18.3万----
监管资产 -14.92%25.28万91.79%22.1万5.01%16.4万5.01%16.4万-21.32%18.36万52.69%29.71万-72.44%11.52万-67.03%15.62万-67.03%15.62万-13.80%23.34万
非流动递延资产 21.00%101.11万152.49%102.21万51.76%60.98万51.76%60.98万--81.05万--83.57万--40.48万--40.18万--40.18万----
总资产 58.82%14.74万102.55%11.31万5.52%7.9万5.52%7.9万-61.82%5.64万-22.36%9.28万-78.08%5.58万-67.12%7.48万-67.12%7.48万-4.99%14.78万
负债
流动负债
短期借款与资本租赁负债 86.63%78.22万99.70%77.36万43.46%50.32万43.46%50.32万-4.90%48.06万14.72%41.91万-5.81%38.74万-12.40%35.07万-12.40%35.07万83.10%50.53万
-短期借款 373.25%38.43万238.97%37.95万148.23%12.89万148.23%12.89万109.77%11.01万55.62%8.12万105.52%11.19万-51.11%5.19万-51.11%5.19万-20.40%5.25万
-短期资本租赁负债 17.76%39.8万43.10%39.41万25.25%37.42万25.25%37.42万-18.19%37.05万7.90%33.79万-22.80%27.54万1.57%29.88万1.57%29.88万115.58%45.29万
-应付账款 53.18%110.62万-6.85%84.32万61.83%98.63万61.83%98.63万41.06%88.04万65.12%72.22万155.12%90.52万-46.88%60.95万-46.88%60.95万81.30%62.42万
-应付税费 26.23%283.25万38.74%288.07万20.60%273.67万20.60%273.67万25.48%227.62万14.27%224.4万28.54%207.63万62.58%226.92万62.58%226.92万116.06%181.4万
应计费用 50.62%179.02万76.88%174.14万90.40%170.69万90.40%170.69万369.14%131.63万370.83%118.85万52.42%98.45万105.03%89.65万105.03%89.65万298.37%28.06万
递延负债 -42.77%26.1万-35.44%29.28万492.01%28.03万492.01%28.03万29.49%44.15万155.26%45.6万240.25%45.35万3.28%4.74万3.28%4.74万2,815.23%34.1万
流动负债总额 41.42%393.96万33.71%365.1万82.60%347.67万82.60%347.67万78.11%311.88万125.79%278.58万76.70%273.06万-6.25%190.4万-6.25%190.4万149.30%175.1万
非流动负债
-长期借款 9.81%236.6万22.57%245.71万31.45%234.97万31.45%234.97万34.32%222.87万19.91%215.46万39.33%200.47万41.96%178.76万41.96%178.76万158.84%165.93万
长期应计费用 -18.95%270.04万-29.97%265.44万-30.17%258.03万-30.17%258.03万-17.97%334.07万-20.34%333.19万-2.66%379.02万6.03%369.5万6.03%369.5万279.64%407.23万
长期拨备 -84.51%1.38万-66.78%2.38万-75.14%3.56万-75.14%3.56万-69.29%4.75万-46.43%8.94万-59.41%7.16万5.02%14.34万5.02%14.34万-22.09%15.47万
非流动负债总额 34.64%677.21万35.88%653.18万48.89%621.34万48.89%621.34万51.33%539.5万57.30%502.98万52.09%480.69万21.79%417.33万21.79%417.33万131.20%356.5万
所有者权益
股本 1.36%1,391.25万8.66%1,373.12万11.14%1,373.12万11.14%1,373.12万11.10%1,372.64万14.33%1,372.64万8.81%1,263.69万6.39%1,235.51万6.39%1,235.51万7.12%1,235.51万
-普通股股本 1.36%1,391.25万8.66%1,373.12万11.14%1,373.12万11.14%1,373.12万11.10%1,372.64万14.33%1,372.64万8.81%1,263.69万6.39%1,235.51万6.39%1,235.51万7.12%1,235.51万
资本公积 11.43%199.67万25.67%187.96万42.50%189.48万42.50%189.48万47.97%184.57万73.49%179.18万109.01%149.57万157.25%132.97万157.25%132.97万346.57%124.73万
总权益 -16.33%460.26万-10.41%444.77万-15.38%442.04万-15.38%442.04万-7.45%507.75万0.13%550.05万-13.66%496.45万-25.64%522.41万-25.64%522.41万-7.59%548.63万

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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