加拿大市场个股详情

Orogen Royalties Inc (OGN)

添加自选
  • 3.250
  • +0.050+1.56%
延时15分钟行情交易中 03/26 13:14 (美东)
1.93亿总市值40.63市盈率TTM

Orogen Royalties Inc (OGN) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
资产
流动资产
现金及现金等价物和短期投资
-4.87%2,032.68万
25.35%2,633.68万
49.28%2,606.25万
43.93%2,422.88万
43.93%2,422.88万
35.65%2,136.65万
--2,100.98万
9.87%1,745.91万
48.01%1,683.4万
48.01%1,683.4万
-现金和现金等价物
-41.99%656.04万
1.05%1,053.3万
116.77%1,447.28万
123.69%1,405.79万
123.69%1,405.79万
58.91%1,130.89万
--1,042.37万
-2.32%667.64万
71.87%628.45万
71.87%628.45万
-短期投资
36.88%1,376.63万
49.29%1,580.38万
7.48%1,158.97万
-3.59%1,017.08万
-3.59%1,017.08万
16.49%1,005.76万
--1,058.61万
19.07%1,078.27万
36.70%1,054.95万
36.70%1,054.95万
应收款项
6.68%302.04万
8.52%279.39万
50.15%334.11万
60.24%371.88万
60.24%371.88万
34.08%283.13万
--257.44万
36.17%222.51万
80.09%232.08万
80.09%232.08万
-应收账款
5.22%292.87万
6.43%269.77万
48.51%325.72万
57.78%363.93万
57.78%363.93万
37.71%278.35万
--253.47万
41.48%219.33万
90.83%230.67万
90.83%230.67万
-应收税费
91.73%9.17万
142.24%9.62万
163.67%8.39万
463.52%7.95万
463.52%7.95万
-47.08%4.78万
--3.97万
-62.08%3.18万
-82.35%1.41万
-82.35%1.41万
预付费用
27.29%13.79万
-6.52%15.5万
7.52%20.04万
-45.30%8.14万
-45.30%8.14万
-61.32%10.83万
--16.58万
48.69%18.64万
113.58%14.88万
113.58%14.88万
受限制现金
--0
----
-28.66%30.4万
173.42%27.08万
173.42%27.08万
--16.03万
--33.61万
--42.62万
--9.9万
--9.9万
流动资产合计
-4.01%2,348.5万
21.59%2,928.56万
47.35%2,990.8万
45.86%2,829.98万
45.86%2,829.98万
34.86%2,446.64万
--2,408.61万
14.99%2,029.68万
52.39%1,940.26万
52.39%1,940.26万
非流动资产
固定资产净额
-88.18%494.59万
-87.07%545.91万
-0.73%4,167.12万
-1.21%4,134.28万
-1.21%4,134.28万
-1.15%4,185.43万
--4,223.17万
6.14%4,197.66万
4.18%4,184.85万
4.18%4,184.85万
-固定资产
-85.66%616.35万
-84.64%665.87万
-0.53%4,284.4万
-1.00%4,249.67万
-1.00%4,249.67万
-0.82%4,299.04万
--4,334.67万
6.19%4,307.09万
4.29%4,292.44万
4.29%4,292.44万
-累计折旧
-7.17%-121.76万
-7.59%-119.96万
-7.17%-117.28万
-7.25%-115.39万
-7.25%-115.39万
-12.92%-113.61万
---111.5万
-8.16%-109.44万
-9.04%-107.59万
-9.04%-107.59万
非流动递延资产
----
----
----
--0
--0
--0
--32.16万
--122.72万
--122.72万
--122.72万
其他非流动资产
0.00%11.58万
0.00%11.58万
0.00%11.58万
0.00%11.58万
0.00%11.58万
0.00%11.58万
--11.58万
-39.84%11.58万
-43.93%11.58万
-43.93%11.58万
非流动资产合计
-87.94%506.17万
-86.93%557.49万
-3.54%4,178.71万
-4.01%4,145.87万
-4.01%4,145.87万
-1.14%4,197.01万
--4,266.91万
9.01%4,331.96万
6.97%4,319.15万
6.97%4,319.15万
总资产
-57.03%2,854.68万
-47.78%3,486.05万
12.70%7,169.51万
11.45%6,975.84万
11.45%6,975.84万
9.63%6,643.65万
--6,675.53万
10.85%6,361.63万
17.86%6,259.41万
17.86%6,259.41万
负债
流动负债
短期借款与资本租赁负债
47.61%6.81万
20.83%6.5万
6.17%6.45万
10.74%6.41万
10.74%6.41万
-9.86%4.62万
--5.38万
17.83%6.08万
14.67%5.79万
14.67%5.79万
-短期资本租赁负债
47.61%6.81万
20.83%6.5万
6.17%6.45万
10.74%6.41万
10.74%6.41万
-9.86%4.62万
--5.38万
17.83%6.08万
14.67%5.79万
14.67%5.79万
应付款项
134.80%147.83万
125.12%124.9万
131.55%143.66万
86.55%98.6万
86.55%98.6万
--62.96万
--55.48万
115.59%62.04万
75.15%52.86万
75.15%52.86万
-应付账款
89.63%83.58万
18.10%65.53万
17.53%72.92万
9.25%57.75万
9.25%57.75万
--44.08万
--55.48万
115.59%62.04万
75.15%52.86万
75.15%52.86万
-应付税费
240.23%64.25万
--59.37万
--70.74万
--40.85万
--40.85万
--18.88万
----
----
--0
--0
应计费用
-46.14%6.33万
--0
-55.23%6.57万
-39.70%9.22万
-39.70%9.22万
--11.76万
--10.5万
114.05%14.68万
23.04%15.3万
23.04%15.3万
其他流动负债
19.20%23.87万
-48.62%19.32万
-26.20%34.4万
123.53%31.08万
123.53%31.08万
64.07%20.03万
--37.61万
-70.10%46.62万
-19.19%13.9万
-19.19%13.9万
流动负债总额
86.03%184.85万
38.32%150.73万
47.65%191.08万
65.42%145.32万
65.42%145.32万
48.45%99.36万
--108.97万
-34.20%129.41万
35.43%87.85万
35.43%87.85万
非流动负债
长期借款与租赁负债
33.37%13.72万
38.85%15.36万
48.99%17.57万
44.42%19.26万
44.42%19.26万
-29.71%10.29万
--11.06万
-31.09%11.79万
-27.75%13.33万
-27.75%13.33万
-长期租赁负债
33.37%13.72万
38.85%15.36万
48.99%17.57万
44.42%19.26万
44.42%19.26万
-29.71%10.29万
--11.06万
-31.09%11.79万
-27.75%13.33万
-27.75%13.33万
非流动负债总额
33.37%13.72万
38.85%15.36万
48.99%17.57万
44.42%19.26万
44.42%19.26万
-29.71%10.29万
--11.06万
-31.09%11.79万
-27.75%13.33万
-27.75%13.33万
负债总额
81.09%198.56万
38.36%166.09万
47.77%208.65万
62.65%164.57万
62.65%164.57万
34.43%109.65万
--120.04万
-33.95%141.2万
21.44%101.18万
21.44%101.18万
所有者权益
股本
5.16%8,785.27万
-38.92%5,099.14万
4.87%8,355.76万
4.96%8,354.37万
4.96%8,354.37万
4.99%8,354.37万
--8,348.7万
5.79%7,968.01万
9.54%7,959.73万
9.54%7,959.73万
-普通股股本
5.16%8,785.27万
-38.92%5,099.14万
4.87%8,355.76万
4.96%8,354.37万
4.96%8,354.37万
4.99%8,354.37万
--8,348.7万
5.79%7,968.01万
9.54%7,959.73万
9.54%7,959.73万
资本公积
----
----
1.19%360.16万
-0.24%329.77万
-0.24%329.77万
-1.86%307.9万
--299.11万
-2.91%355.92万
-15.59%330.56万
-15.59%330.56万
留存收益
19.47%-1,713.84万
14.97%-1,779.17万
16.56%-1,755.06万
12.16%-1,872.87万
12.16%-1,872.87万
7.16%-2,128.27万
---2,092.31万
11.37%-2,103.5万
12.49%-2,132.06万
12.49%-2,132.06万
不影响留存收益的损益
---4,415.31万
----
----
----
----
----
----
----
----
----
股东权益总额
-59.35%2,656.11万
-49.36%3,319.97万
11.90%6,960.85万
10.60%6,811.27万
10.60%6,811.27万
9.30%6,534万
--6,555.49万
12.58%6,220.43万
17.80%6,158.23万
17.80%6,158.23万
总权益
-59.35%2,656.11万
-49.36%3,319.97万
11.90%6,960.85万
10.60%6,811.27万
10.60%6,811.27万
9.30%6,534万
--6,555.49万
12.58%6,220.43万
17.80%6,158.23万
17.80%6,158.23万
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
--
(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31
资产
流动资产
现金及现金等价物和短期投资 -4.87%2,032.68万25.35%2,633.68万49.28%2,606.25万43.93%2,422.88万43.93%2,422.88万35.65%2,136.65万--2,100.98万9.87%1,745.91万48.01%1,683.4万48.01%1,683.4万
-现金和现金等价物 -41.99%656.04万1.05%1,053.3万116.77%1,447.28万123.69%1,405.79万123.69%1,405.79万58.91%1,130.89万--1,042.37万-2.32%667.64万71.87%628.45万71.87%628.45万
-短期投资 36.88%1,376.63万49.29%1,580.38万7.48%1,158.97万-3.59%1,017.08万-3.59%1,017.08万16.49%1,005.76万--1,058.61万19.07%1,078.27万36.70%1,054.95万36.70%1,054.95万
应收款项 6.68%302.04万8.52%279.39万50.15%334.11万60.24%371.88万60.24%371.88万34.08%283.13万--257.44万36.17%222.51万80.09%232.08万80.09%232.08万
-应收账款 5.22%292.87万6.43%269.77万48.51%325.72万57.78%363.93万57.78%363.93万37.71%278.35万--253.47万41.48%219.33万90.83%230.67万90.83%230.67万
-应收税费 91.73%9.17万142.24%9.62万163.67%8.39万463.52%7.95万463.52%7.95万-47.08%4.78万--3.97万-62.08%3.18万-82.35%1.41万-82.35%1.41万
预付费用 27.29%13.79万-6.52%15.5万7.52%20.04万-45.30%8.14万-45.30%8.14万-61.32%10.83万--16.58万48.69%18.64万113.58%14.88万113.58%14.88万
受限制现金 --0-----28.66%30.4万173.42%27.08万173.42%27.08万--16.03万--33.61万--42.62万--9.9万--9.9万
流动资产合计 -4.01%2,348.5万21.59%2,928.56万47.35%2,990.8万45.86%2,829.98万45.86%2,829.98万34.86%2,446.64万--2,408.61万14.99%2,029.68万52.39%1,940.26万52.39%1,940.26万
非流动资产
固定资产净额 -88.18%494.59万-87.07%545.91万-0.73%4,167.12万-1.21%4,134.28万-1.21%4,134.28万-1.15%4,185.43万--4,223.17万6.14%4,197.66万4.18%4,184.85万4.18%4,184.85万
-固定资产 -85.66%616.35万-84.64%665.87万-0.53%4,284.4万-1.00%4,249.67万-1.00%4,249.67万-0.82%4,299.04万--4,334.67万6.19%4,307.09万4.29%4,292.44万4.29%4,292.44万
-累计折旧 -7.17%-121.76万-7.59%-119.96万-7.17%-117.28万-7.25%-115.39万-7.25%-115.39万-12.92%-113.61万---111.5万-8.16%-109.44万-9.04%-107.59万-9.04%-107.59万
非流动递延资产 --------------0--0--0--32.16万--122.72万--122.72万--122.72万
其他非流动资产 0.00%11.58万0.00%11.58万0.00%11.58万0.00%11.58万0.00%11.58万0.00%11.58万--11.58万-39.84%11.58万-43.93%11.58万-43.93%11.58万
非流动资产合计 -87.94%506.17万-86.93%557.49万-3.54%4,178.71万-4.01%4,145.87万-4.01%4,145.87万-1.14%4,197.01万--4,266.91万9.01%4,331.96万6.97%4,319.15万6.97%4,319.15万
总资产 -57.03%2,854.68万-47.78%3,486.05万12.70%7,169.51万11.45%6,975.84万11.45%6,975.84万9.63%6,643.65万--6,675.53万10.85%6,361.63万17.86%6,259.41万17.86%6,259.41万
负债
流动负债
短期借款与资本租赁负债 47.61%6.81万20.83%6.5万6.17%6.45万10.74%6.41万10.74%6.41万-9.86%4.62万--5.38万17.83%6.08万14.67%5.79万14.67%5.79万
-短期资本租赁负债 47.61%6.81万20.83%6.5万6.17%6.45万10.74%6.41万10.74%6.41万-9.86%4.62万--5.38万17.83%6.08万14.67%5.79万14.67%5.79万
应付款项 134.80%147.83万125.12%124.9万131.55%143.66万86.55%98.6万86.55%98.6万--62.96万--55.48万115.59%62.04万75.15%52.86万75.15%52.86万
-应付账款 89.63%83.58万18.10%65.53万17.53%72.92万9.25%57.75万9.25%57.75万--44.08万--55.48万115.59%62.04万75.15%52.86万75.15%52.86万
-应付税费 240.23%64.25万--59.37万--70.74万--40.85万--40.85万--18.88万----------0--0
应计费用 -46.14%6.33万--0-55.23%6.57万-39.70%9.22万-39.70%9.22万--11.76万--10.5万114.05%14.68万23.04%15.3万23.04%15.3万
其他流动负债 19.20%23.87万-48.62%19.32万-26.20%34.4万123.53%31.08万123.53%31.08万64.07%20.03万--37.61万-70.10%46.62万-19.19%13.9万-19.19%13.9万
流动负债总额 86.03%184.85万38.32%150.73万47.65%191.08万65.42%145.32万65.42%145.32万48.45%99.36万--108.97万-34.20%129.41万35.43%87.85万35.43%87.85万
非流动负债
长期借款与租赁负债 33.37%13.72万38.85%15.36万48.99%17.57万44.42%19.26万44.42%19.26万-29.71%10.29万--11.06万-31.09%11.79万-27.75%13.33万-27.75%13.33万
-长期租赁负债 33.37%13.72万38.85%15.36万48.99%17.57万44.42%19.26万44.42%19.26万-29.71%10.29万--11.06万-31.09%11.79万-27.75%13.33万-27.75%13.33万
非流动负债总额 33.37%13.72万38.85%15.36万48.99%17.57万44.42%19.26万44.42%19.26万-29.71%10.29万--11.06万-31.09%11.79万-27.75%13.33万-27.75%13.33万
负债总额 81.09%198.56万38.36%166.09万47.77%208.65万62.65%164.57万62.65%164.57万34.43%109.65万--120.04万-33.95%141.2万21.44%101.18万21.44%101.18万
所有者权益
股本 5.16%8,785.27万-38.92%5,099.14万4.87%8,355.76万4.96%8,354.37万4.96%8,354.37万4.99%8,354.37万--8,348.7万5.79%7,968.01万9.54%7,959.73万9.54%7,959.73万
-普通股股本 5.16%8,785.27万-38.92%5,099.14万4.87%8,355.76万4.96%8,354.37万4.96%8,354.37万4.99%8,354.37万--8,348.7万5.79%7,968.01万9.54%7,959.73万9.54%7,959.73万
资本公积 --------1.19%360.16万-0.24%329.77万-0.24%329.77万-1.86%307.9万--299.11万-2.91%355.92万-15.59%330.56万-15.59%330.56万
留存收益 19.47%-1,713.84万14.97%-1,779.17万16.56%-1,755.06万12.16%-1,872.87万12.16%-1,872.87万7.16%-2,128.27万---2,092.31万11.37%-2,103.5万12.49%-2,132.06万12.49%-2,132.06万
不影响留存收益的损益 ---4,415.31万------------------------------------
股东权益总额 -59.35%2,656.11万-49.36%3,319.97万11.90%6,960.85万10.60%6,811.27万10.60%6,811.27万9.30%6,534万--6,555.49万12.58%6,220.43万17.80%6,158.23万17.80%6,158.23万
总权益 -59.35%2,656.11万-49.36%3,319.97万11.90%6,960.85万10.60%6,811.27万10.60%6,811.27万9.30%6,534万--6,555.49万12.58%6,220.43万17.80%6,158.23万17.80%6,158.23万
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。

热门市场机会
中东战火燃至股市!投资者该如何应对?
近期,美伊停火谈判前景主导市场情绪。美东时间3月26日,美国总统特朗普在内阁会议上表示,我会宣布新的谈判“最后期限”;伊朗必须达成协议,否则将面临美国持续的猛烈攻势。而伊朗也正式回应了此前美国提出的“15点计划”,表示必须满足伊方核心条件,并指出美国的谈判声明纯属“第三次欺骗”, 展开