加拿大市场个股详情

Orbit Garant Drilling Inc (OGD)

添加自选
  • 1.540
  • -0.110-6.67%
延时15分钟行情已收盘 05/15 16:00 (美东)
5842.05万总市值10.27市盈率TTM

Orbit Garant Drilling Inc (OGD) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2025/12/31
(Q1)2025/09/30
(FY)2025/06/30
(Q4)2025/06/30
(Q3)2025/03/31
(Q2)2024/12/31
(Q1)2024/09/30
(FY)2024/06/30
(Q4)2024/06/30
(Q3)2024/03/31
资产
流动资产
现金及现金等价物和短期投资
237.59%195.8万
74.63%141.8万
967.17%354.3万
967.17%354.3万
36.04%110.6万
-53.56%58万
-45.25%81.2万
-84.78%33.2万
-84.78%33.2万
-42.38%81.3万
-现金和现金等价物
270.83%195.8万
74.63%141.8万
950.60%348.8万
950.60%348.8万
29.40%105.2万
-57.73%52.8万
-45.25%81.2万
-84.78%33.2万
-84.78%33.2万
-42.38%81.3万
-短期投资
----
----
--5.5万
--5.5万
--5.4万
--5.2万
----
----
----
----
应收款项
-12.59%3,112万
7.25%3,806.5万
3.43%3,270.3万
3.43%3,270.3万
8.35%4,020.6万
18.71%3,560.3万
7.70%3,549.3万
1.61%3,161.9万
1.61%3,161.9万
-1.99%3,710.8万
-应收账款
-16.78%2,846.5万
2.67%3,518.2万
0.30%3,062.2万
0.30%3,062.2万
6.04%3,872.1万
16.37%3,420.4万
5.89%3,426.7万
-0.03%3,053万
-0.03%3,053万
-1.93%3,651.6万
-应收税费
194.34%78万
54.73%83.4万
31.66%70.7万
31.66%70.7万
-56.59%25.7万
-55.69%26.5万
-9.26%53.9万
-7.41%53.7万
-7.41%53.7万
-5.13%59.2万
-其他应收款
65.34%187.5万
198.25%204.9万
148.91%137.4万
148.91%137.4万
--122.8万
--113.4万
--68.7万
--55.2万
--55.2万
----
存货
13.55%5,233.1万
9.86%5,006.6万
6.92%4,593.7万
6.92%4,593.7万
-2.74%4,436.8万
-3.15%4,608.7万
-10.19%4,557.2万
-9.88%4,296.4万
-9.88%4,296.4万
-13.34%4,561.9万
预付费用
1.21%41.7万
-10.50%46.9万
-12.26%64.4万
-12.26%64.4万
-37.57%56.5万
-48.69%41.2万
-38.06%52.4万
-27.83%73.4万
-27.83%73.4万
-25.76%90.5万
流动资产合计
3.80%8,582.6万
9.24%9,001.8万
9.49%8,282.7万
9.49%8,282.7万
2.13%8,624.5万
3.83%8,268.2万
-4.22%8,240.1万
-7.73%7,564.9万
-7.73%7,564.9万
-10.25%8,444.5万
非流动资产
固定资产净额
12.86%4,560.3万
14.75%4,360.4万
15.45%4,226.1万
15.45%4,226.1万
-3.00%4,233万
-9.12%4,040.6万
-13.00%3,800万
-15.03%3,660.5万
-15.03%3,660.5万
0.51%4,363.8万
-固定资产
12.86%4,560.3万
14.75%4,360.4万
10.27%1.43亿
10.27%1.43亿
-3.00%4,233万
-9.12%4,040.6万
-13.00%3,800万
-8.02%1.29亿
-8.02%1.29亿
0.51%4,363.8万
-累计折旧
----
----
-8.23%-1亿
-8.23%-1亿
----
----
----
4.92%-9,267.7万
4.92%-9,267.7万
----
投资和预付款
-1.79%126.4万
-20.90%127.9万
-13.54%122万
-13.54%122万
1,333.33%124.7万
1,200.00%128.7万
576.57%161.7万
340.94%141.1万
340.94%141.1万
-83.33%8.7万
-金融资产投资
-1.79%126.4万
-20.90%127.9万
-13.54%122万
-13.54%122万
1,333.33%124.7万
1,200.00%128.7万
576.57%161.7万
340.94%141.1万
340.94%141.1万
-83.33%8.7万
-其中:以公允价值计量且其变动计入当期损益的金融资产总额
-1.79%126.4万
-20.90%127.9万
-13.54%122万
-13.54%122万
1,333.33%124.7万
1,200.00%128.7万
576.57%161.7万
340.94%141.1万
340.94%141.1万
-83.33%8.7万
-其中:可供出售证券
----
----
--7,000
--7,000
--2.2万
--3.6万
----
----
----
----
长期应收款
----
-99.58%6,000
-72.40%46.7万
-72.40%46.7万
--122.9万
--146.3万
--143.7万
--169.2万
--169.2万
----
商誉及其他无形资产
141.92%47.9万
111.71%43.4万
109.48%44.2万
109.48%44.2万
94.01%42.1万
-10.00%19.8万
-20.23%20.5万
-28.72%21.1万
-28.72%21.1万
-35.61%21.7万
-其他无形资产
141.92%47.9万
111.71%43.4万
109.48%44.2万
109.48%44.2万
----
--19.8万
--20.5万
-28.72%21.1万
-28.72%21.1万
----
非流动递延资产
-28.18%318.8万
-34.76%321万
-20.52%342.5万
-20.52%342.5万
36.15%388.3万
156.74%443.9万
182.43%492万
129.69%430.9万
129.69%430.9万
54.00%285.2万
非流动资产合计
5.74%5,053.4万
5.10%4,853.3万
8.11%4,781.5万
8.11%4,781.5万
4.95%4,911万
2.77%4,779.3万
0.57%4,617.9万
-2.95%4,422.8万
-2.95%4,422.8万
1.44%4,679.4万
总资产
4.51%1.36亿
7.75%1.39亿
8.98%1.31亿
8.98%1.31亿
3.14%1.35亿
3.44%1.3亿
-2.55%1.29亿
-6.03%1.2亿
-6.03%1.2亿
-6.41%1.31亿
负债
流动负债
短期借款与资本租赁负债
56.46%352.2万
72.58%300.8万
93.05%291.5万
93.05%291.5万
46.75%273.4万
-1.53%225.1万
-30.00%174.3万
-40.13%151万
-40.13%151万
-32.65%186.3万
-短期借款
34.99%119.6万
154.51%118.6万
159.33%116.7万
159.33%116.7万
30.72%108.5万
-27.08%88.6万
-71.18%46.6万
-77.43%45万
-77.43%45万
-61.84%83万
-短期资本租赁负债
70.40%232.6万
42.68%182.2万
64.91%174.8万
64.91%174.8万
59.63%164.9万
27.45%136.5万
46.28%127.7万
100.76%106万
100.76%106万
74.79%103.3万
应付款项
5.78%3,080.6万
5.67%3,193.6万
15.81%2,956.2万
15.81%2,956.2万
-5.99%3,062.5万
1.99%2,912.3万
-4.75%3,022.3万
-7.58%2,552.7万
-7.58%2,552.7万
2.53%3,257.5万
-应付账款
8.49%2,990.5万
7.25%3,111.7万
13.19%2,876.1万
13.19%2,876.1万
-10.68%2,909.2万
-1.40%2,756.5万
-7.18%2,901.3万
-8.00%2,541万
-8.00%2,541万
10.02%3,257万
-应付税费
-42.17%90.1万
-32.31%81.9万
584.62%80.1万
584.62%80.1万
30,560.00%153.3万
2,896.15%155.8万
3,566.67%121万
11,600.00%11.7万
11,600.00%11.7万
-99.77%5,000
其他流动负债
----
----
----
----
----
--213.3万
----
----
----
-65.69%125.1万
流动负债总额
2.45%3,432.8万
9.32%3,494.4万
20.12%3,247.7万
20.12%3,247.7万
-6.53%3,335.9万
8.64%3,350.7万
-6.59%3,196.6万
-14.42%2,703.7万
-14.42%2,703.7万
-6.53%3,568.9万
非流动负债
长期借款与租赁负债
-5.69%3,112.9万
5.02%3,465.7万
-8.80%2,974万
-8.80%2,974万
3.13%3,559.3万
-8.75%3,300.7万
-8.26%3,300.1万
-1.28%3,261.1万
-1.28%3,261.1万
-2.18%3,451.4万
-长期借款
-12.64%2,649.4万
-1.02%3,015.1万
-18.83%2,508.8万
-18.83%2,508.8万
-5.59%3,092.6万
-11.51%3,032.9万
-12.36%3,046.3万
-4.44%3,090.9万
-4.44%3,090.9万
-6.18%3,275.8万
-长期租赁负债
73.08%463.5万
77.54%450.6万
173.33%465.2万
173.33%465.2万
165.77%466.7万
41.02%267.8万
109.23%253.8万
146.31%170.2万
146.31%170.2万
381.10%175.6万
递延负债
----
----
----
----
----
----
----
--0
--0
--0
非流动负债总额
-5.69%3,112.9万
5.02%3,465.7万
-8.80%2,974万
-8.80%2,974万
3.13%3,559.3万
-8.75%3,300.7万
-10.76%3,300.1万
-5.00%3,261.1万
-5.00%3,261.1万
-5.24%3,451.4万
负债总额
-1.59%6,545.7万
7.13%6,960.1万
4.31%6,221.7万
4.31%6,221.7万
-1.78%6,895.2万
-0.75%6,651.4万
-8.76%6,496.7万
-9.51%5,964.8万
-9.51%5,964.8万
-5.90%7,020.3万
所有者权益
股本
0.90%5,970.2万
0.65%5,959.1万
0.34%5,940.3万
0.34%5,940.3万
-0.03%5,918.5万
-0.06%5,916.8万
0.00%5,920.4万
0.00%5,920.4万
0.00%5,920.4万
0.00%5,920.4万
-普通股股本
0.90%5,970.2万
0.65%5,959.1万
0.34%5,940.3万
0.34%5,940.3万
-0.03%5,918.5万
-0.06%5,916.8万
0.00%5,920.4万
0.00%5,920.4万
0.00%5,920.4万
0.00%5,920.4万
留存收益
26.77%1,200.1万
36.83%1,071.9万
275.86%1,037万
275.86%1,037万
107.27%1,211.9万
143.93%946.7万
46.38%783.4万
-52.32%275.9万
-52.32%275.9万
-39.20%584.7万
不影响留存收益的损益
82.88%-80万
60.29%-136万
22.26%-134.8万
22.26%-134.8万
-22.07%-490.1万
-17.94%-467.4万
10.18%-342.5万
48.18%-173.4万
48.18%-173.4万
-25.27%-401.5万
股东权益总额
10.85%7,090.3万
8.39%6,895万
13.61%6,842.5万
13.61%6,842.5万
8.79%6,640.3万
8.18%6,396.1万
4.72%6,361.3万
-2.30%6,022.9万
-2.30%6,022.9万
-6.98%6,103.6万
总权益
10.85%7,090.3万
8.39%6,895万
13.61%6,842.5万
13.61%6,842.5万
8.79%6,640.3万
8.18%6,396.1万
4.72%6,361.3万
-2.30%6,022.9万
-2.30%6,022.9万
-6.98%6,103.6万
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
--
--
无保留意见
--
--
--
--
无保留意见
--
--
(Q2)2025/12/31(Q1)2025/09/30(FY)2025/06/30(Q4)2025/06/30(Q3)2025/03/31(Q2)2024/12/31(Q1)2024/09/30(FY)2024/06/30(Q4)2024/06/30(Q3)2024/03/31
资产
流动资产
现金及现金等价物和短期投资 237.59%195.8万74.63%141.8万967.17%354.3万967.17%354.3万36.04%110.6万-53.56%58万-45.25%81.2万-84.78%33.2万-84.78%33.2万-42.38%81.3万
-现金和现金等价物 270.83%195.8万74.63%141.8万950.60%348.8万950.60%348.8万29.40%105.2万-57.73%52.8万-45.25%81.2万-84.78%33.2万-84.78%33.2万-42.38%81.3万
-短期投资 ----------5.5万--5.5万--5.4万--5.2万----------------
应收款项 -12.59%3,112万7.25%3,806.5万3.43%3,270.3万3.43%3,270.3万8.35%4,020.6万18.71%3,560.3万7.70%3,549.3万1.61%3,161.9万1.61%3,161.9万-1.99%3,710.8万
-应收账款 -16.78%2,846.5万2.67%3,518.2万0.30%3,062.2万0.30%3,062.2万6.04%3,872.1万16.37%3,420.4万5.89%3,426.7万-0.03%3,053万-0.03%3,053万-1.93%3,651.6万
-应收税费 194.34%78万54.73%83.4万31.66%70.7万31.66%70.7万-56.59%25.7万-55.69%26.5万-9.26%53.9万-7.41%53.7万-7.41%53.7万-5.13%59.2万
-其他应收款 65.34%187.5万198.25%204.9万148.91%137.4万148.91%137.4万--122.8万--113.4万--68.7万--55.2万--55.2万----
存货 13.55%5,233.1万9.86%5,006.6万6.92%4,593.7万6.92%4,593.7万-2.74%4,436.8万-3.15%4,608.7万-10.19%4,557.2万-9.88%4,296.4万-9.88%4,296.4万-13.34%4,561.9万
预付费用 1.21%41.7万-10.50%46.9万-12.26%64.4万-12.26%64.4万-37.57%56.5万-48.69%41.2万-38.06%52.4万-27.83%73.4万-27.83%73.4万-25.76%90.5万
流动资产合计 3.80%8,582.6万9.24%9,001.8万9.49%8,282.7万9.49%8,282.7万2.13%8,624.5万3.83%8,268.2万-4.22%8,240.1万-7.73%7,564.9万-7.73%7,564.9万-10.25%8,444.5万
非流动资产
固定资产净额 12.86%4,560.3万14.75%4,360.4万15.45%4,226.1万15.45%4,226.1万-3.00%4,233万-9.12%4,040.6万-13.00%3,800万-15.03%3,660.5万-15.03%3,660.5万0.51%4,363.8万
-固定资产 12.86%4,560.3万14.75%4,360.4万10.27%1.43亿10.27%1.43亿-3.00%4,233万-9.12%4,040.6万-13.00%3,800万-8.02%1.29亿-8.02%1.29亿0.51%4,363.8万
-累计折旧 ---------8.23%-1亿-8.23%-1亿------------4.92%-9,267.7万4.92%-9,267.7万----
投资和预付款 -1.79%126.4万-20.90%127.9万-13.54%122万-13.54%122万1,333.33%124.7万1,200.00%128.7万576.57%161.7万340.94%141.1万340.94%141.1万-83.33%8.7万
-金融资产投资 -1.79%126.4万-20.90%127.9万-13.54%122万-13.54%122万1,333.33%124.7万1,200.00%128.7万576.57%161.7万340.94%141.1万340.94%141.1万-83.33%8.7万
-其中:以公允价值计量且其变动计入当期损益的金融资产总额 -1.79%126.4万-20.90%127.9万-13.54%122万-13.54%122万1,333.33%124.7万1,200.00%128.7万576.57%161.7万340.94%141.1万340.94%141.1万-83.33%8.7万
-其中:可供出售证券 ----------7,000--7,000--2.2万--3.6万----------------
长期应收款 -----99.58%6,000-72.40%46.7万-72.40%46.7万--122.9万--146.3万--143.7万--169.2万--169.2万----
商誉及其他无形资产 141.92%47.9万111.71%43.4万109.48%44.2万109.48%44.2万94.01%42.1万-10.00%19.8万-20.23%20.5万-28.72%21.1万-28.72%21.1万-35.61%21.7万
-其他无形资产 141.92%47.9万111.71%43.4万109.48%44.2万109.48%44.2万------19.8万--20.5万-28.72%21.1万-28.72%21.1万----
非流动递延资产 -28.18%318.8万-34.76%321万-20.52%342.5万-20.52%342.5万36.15%388.3万156.74%443.9万182.43%492万129.69%430.9万129.69%430.9万54.00%285.2万
非流动资产合计 5.74%5,053.4万5.10%4,853.3万8.11%4,781.5万8.11%4,781.5万4.95%4,911万2.77%4,779.3万0.57%4,617.9万-2.95%4,422.8万-2.95%4,422.8万1.44%4,679.4万
总资产 4.51%1.36亿7.75%1.39亿8.98%1.31亿8.98%1.31亿3.14%1.35亿3.44%1.3亿-2.55%1.29亿-6.03%1.2亿-6.03%1.2亿-6.41%1.31亿
负债
流动负债
短期借款与资本租赁负债 56.46%352.2万72.58%300.8万93.05%291.5万93.05%291.5万46.75%273.4万-1.53%225.1万-30.00%174.3万-40.13%151万-40.13%151万-32.65%186.3万
-短期借款 34.99%119.6万154.51%118.6万159.33%116.7万159.33%116.7万30.72%108.5万-27.08%88.6万-71.18%46.6万-77.43%45万-77.43%45万-61.84%83万
-短期资本租赁负债 70.40%232.6万42.68%182.2万64.91%174.8万64.91%174.8万59.63%164.9万27.45%136.5万46.28%127.7万100.76%106万100.76%106万74.79%103.3万
应付款项 5.78%3,080.6万5.67%3,193.6万15.81%2,956.2万15.81%2,956.2万-5.99%3,062.5万1.99%2,912.3万-4.75%3,022.3万-7.58%2,552.7万-7.58%2,552.7万2.53%3,257.5万
-应付账款 8.49%2,990.5万7.25%3,111.7万13.19%2,876.1万13.19%2,876.1万-10.68%2,909.2万-1.40%2,756.5万-7.18%2,901.3万-8.00%2,541万-8.00%2,541万10.02%3,257万
-应付税费 -42.17%90.1万-32.31%81.9万584.62%80.1万584.62%80.1万30,560.00%153.3万2,896.15%155.8万3,566.67%121万11,600.00%11.7万11,600.00%11.7万-99.77%5,000
其他流动负债 ----------------------213.3万-------------65.69%125.1万
流动负债总额 2.45%3,432.8万9.32%3,494.4万20.12%3,247.7万20.12%3,247.7万-6.53%3,335.9万8.64%3,350.7万-6.59%3,196.6万-14.42%2,703.7万-14.42%2,703.7万-6.53%3,568.9万
非流动负债
长期借款与租赁负债 -5.69%3,112.9万5.02%3,465.7万-8.80%2,974万-8.80%2,974万3.13%3,559.3万-8.75%3,300.7万-8.26%3,300.1万-1.28%3,261.1万-1.28%3,261.1万-2.18%3,451.4万
-长期借款 -12.64%2,649.4万-1.02%3,015.1万-18.83%2,508.8万-18.83%2,508.8万-5.59%3,092.6万-11.51%3,032.9万-12.36%3,046.3万-4.44%3,090.9万-4.44%3,090.9万-6.18%3,275.8万
-长期租赁负债 73.08%463.5万77.54%450.6万173.33%465.2万173.33%465.2万165.77%466.7万41.02%267.8万109.23%253.8万146.31%170.2万146.31%170.2万381.10%175.6万
递延负债 ------------------------------0--0--0
非流动负债总额 -5.69%3,112.9万5.02%3,465.7万-8.80%2,974万-8.80%2,974万3.13%3,559.3万-8.75%3,300.7万-10.76%3,300.1万-5.00%3,261.1万-5.00%3,261.1万-5.24%3,451.4万
负债总额 -1.59%6,545.7万7.13%6,960.1万4.31%6,221.7万4.31%6,221.7万-1.78%6,895.2万-0.75%6,651.4万-8.76%6,496.7万-9.51%5,964.8万-9.51%5,964.8万-5.90%7,020.3万
所有者权益
股本 0.90%5,970.2万0.65%5,959.1万0.34%5,940.3万0.34%5,940.3万-0.03%5,918.5万-0.06%5,916.8万0.00%5,920.4万0.00%5,920.4万0.00%5,920.4万0.00%5,920.4万
-普通股股本 0.90%5,970.2万0.65%5,959.1万0.34%5,940.3万0.34%5,940.3万-0.03%5,918.5万-0.06%5,916.8万0.00%5,920.4万0.00%5,920.4万0.00%5,920.4万0.00%5,920.4万
留存收益 26.77%1,200.1万36.83%1,071.9万275.86%1,037万275.86%1,037万107.27%1,211.9万143.93%946.7万46.38%783.4万-52.32%275.9万-52.32%275.9万-39.20%584.7万
不影响留存收益的损益 82.88%-80万60.29%-136万22.26%-134.8万22.26%-134.8万-22.07%-490.1万-17.94%-467.4万10.18%-342.5万48.18%-173.4万48.18%-173.4万-25.27%-401.5万
股东权益总额 10.85%7,090.3万8.39%6,895万13.61%6,842.5万13.61%6,842.5万8.79%6,640.3万8.18%6,396.1万4.72%6,361.3万-2.30%6,022.9万-2.30%6,022.9万-6.98%6,103.6万
总权益 10.85%7,090.3万8.39%6,895万13.61%6,842.5万13.61%6,842.5万8.79%6,640.3万8.18%6,396.1万4.72%6,361.3万-2.30%6,022.9万-2.30%6,022.9万-6.98%6,103.6万
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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