加拿大市场个股详情

PHA Premier Health Of America Inc

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  • 0.350
  • 0.0000.00%
延时15分钟行情已收盘 06/27 16:00 (美东)
1943.00万总市值-6140市盈率TTM

Premier Health Of America Inc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
1,284.28%164.7万
345.71%78.5万
-77.58%114.9万
-77.58%114.9万
-94.24%52.39万
-98.13%11.9万
-96.05%17.61万
90.98%512.5万
90.98%512.5万
64.62%909.34万
-现金和现金等价物
1,284.28%164.7万
345.71%78.5万
-77.58%114.9万
-77.58%114.9万
-94.24%52.39万
-98.13%11.9万
-96.05%17.61万
90.98%512.5万
90.98%512.5万
64.62%909.34万
-应收账款
72.37%3,930.1万
97.82%4,714.9万
18.94%2,299.4万
18.94%2,299.4万
15.50%2,066.81万
143.37%2,280.1万
131.39%2,383.49万
79.63%1,933.3万
79.63%1,933.3万
73.73%1,789.43万
-其他应收款
--293.7万
48.98%535.7万
----
----
----
----
2,774.16%359.59万
1,623.93%182.6万
1,623.93%182.6万
580.31%692.49万
流动资产合计
75.99%4,346.8万
105.66%5,072.2万
0.33%2,606.3万
0.33%2,606.3万
-17.82%2,313.81万
45.16%2,469.95万
54.73%2,466.33万
78.28%2,597.6万
78.28%2,597.6万
67.30%2,815.66万
非流动资产
-累计折旧
----
----
-45.15%-350.4万
-45.15%-350.4万
74.07%-59.96万
69.97%-61.09万
----
-58.20%-241.4万
-58.20%-241.4万
-63.24%-231.28万
-长期股权投资
57.35%4,272.1万
98.98%4,994.5万
20.72%2,640.7万
20.72%2,640.7万
15.50%2,542.53万
141.66%2,714.98万
119.61%2,510.03万
88.03%2,187.5万
88.03%2,187.5万
378.23%2,201.31万
-商誉
54.50%4,070.7万
49.67%4,007.8万
-11.93%2,400.5万
-11.93%2,400.5万
-7.03%2,605.78万
41.13%2,634.78万
39.65%2,677.74万
38.57%2,725.8万
38.57%2,725.8万
44.42%2,802.96万
-其他无形资产
-12.34%73.6万
-34.01%72.4万
-37.21%69.7万
-37.21%69.7万
-32.02%69.69万
-3.98%83.97万
17.52%109.71万
31.86%111万
31.86%111万
23.45%102.52万
监管资产
66.38%3,947.7万
102.68%4,830.8万
18.28%2,414.5万
18.28%2,414.5万
17.50%2,178.68万
136.87%2,372.67万
123.00%2,383.49万
78.90%2,041.4万
78.90%2,041.4万
71.89%1,854.22万
总资产
-80.99%17.6万
--115.9万
6.48%115.1万
6.48%115.1万
72.65%111.87万
42.85%92.56万
--0
66.83%108.1万
66.83%108.1万
33.05%64.8万
负债
流动负债
短期借款与资本租赁负债
474.94%461.2万
278.90%351.4万
-10.70%86万
-10.70%86万
-6.02%86.42万
-5.83%80.22万
18.30%92.74万
44.23%96.3万
44.23%96.3万
-90.60%91.95万
-短期借款
727.52%427.4万
503.70%311.8万
-10.42%51.6万
-10.42%51.6万
0.00%51.65万
0.00%51.65万
16.99%51.65万
75.09%57.6万
75.09%57.6万
-94.54%51.65万
-短期资本租赁负债
18.31%33.8万
-3.64%39.6万
-11.11%34.4万
-11.11%34.4万
-13.73%34.77万
-14.80%28.57万
19.98%41.09万
14.26%38.7万
14.26%38.7万
22.71%40.31万
-应付账款
74.63%393.5万
422.63%414.3万
97.17%368.7万
97.17%368.7万
1.74%163.48万
19.79%225.33万
-40.85%79.27万
73.21%187万
73.21%187万
114.17%160.68万
-应付税费
67.57%5,056.8万
96.93%5,620.6万
11.24%2,898万
11.24%2,898万
9.33%2,873.16万
114.00%3,017.69万
98.15%2,854.05万
71.45%2,605.2万
71.45%2,605.2万
311.86%2,628.07万
-其他应付款
----
--8,000
----
----
----
----
----
----
----
----
应计费用
109.85%812.7万
--506.4万
-32.15%333.3万
-32.15%333.3万
-17.05%406.37万
11.88%387.28万
----
68.57%491.2万
68.57%491.2万
27.25%489.89万
流动负债总额
154.92%2,506万
176.50%2,493.8万
-14.09%1,129.5万
-14.09%1,129.5万
-45.01%899.95万
14.16%983.06万
15.55%901.91万
98.72%1,314.7万
98.72%1,314.7万
2.18%1,636.67万
非流动负债
-长期借款
0.77%353.2万
640.36%363.7万
469.56%348万
469.56%348万
483.17%364.95万
486.41%350.49万
-25.94%49.12万
-17.26%61.1万
-17.26%61.1万
-20.91%62.58万
长期应计费用
-9.98%619.9万
66.19%656.9万
58.91%663.6万
58.91%663.6万
49.15%689.78万
53.40%688.62万
-16.15%395.27万
-10.75%417.6万
-10.75%417.6万
21.39%462.47万
长期拨备
65.74%3,918.9万
88.17%4,630.8万
7.82%2,292.7万
7.82%2,292.7万
1.82%2,177.58万
122.29%2,364.5万
128.58%2,460.91万
95.17%2,126.4万
95.17%2,126.4万
461.08%2,138.73万
非流动负债总额
89.03%7,562.8万
116.04%8,114.4万
2.74%4,027.5万
2.74%4,027.5万
-11.53%3,773.11万
76.15%4,000.75万
69.12%3,755.95万
79.72%3,919.9万
79.72%3,919.9万
90.40%4,264.74万
所有者权益
股本
-0.48%1,431.4万
0.11%1,428.2万
-0.91%1,428.2万
-0.91%1,428.2万
-0.90%1,428.31万
0.53%1,438.37万
4.87%1,426.58万
6.90%1,441.3万
6.90%1,441.3万
8.59%1,441.25万
-普通股股本
-0.48%1,431.4万
0.11%1,428.2万
-0.91%1,428.2万
-0.91%1,428.2万
-0.90%1,428.31万
0.53%1,438.37万
4.87%1,426.58万
6.90%1,441.3万
6.90%1,441.3万
8.59%1,441.25万
资本公积
46.92%44.6万
422.60%44.6万
424.71%44.6万
424.71%44.6万
423.00%44.63万
1,168.55%30.36万
326.71%8.53万
325.00%8.5万
325.00%8.5万
--8.53万
总权益
55.97%9,037.4万
75.77%9,737.7万
-1.66%5,671.2万
-1.66%5,671.2万
-8.13%5,610.16万
43.31%5,794.14万
38.38%5,540.13万
47.38%5,766.8万
47.38%5,766.8万
52.08%6,106.87万
(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 1,284.28%164.7万345.71%78.5万-77.58%114.9万-77.58%114.9万-94.24%52.39万-98.13%11.9万-96.05%17.61万90.98%512.5万90.98%512.5万64.62%909.34万
-现金和现金等价物 1,284.28%164.7万345.71%78.5万-77.58%114.9万-77.58%114.9万-94.24%52.39万-98.13%11.9万-96.05%17.61万90.98%512.5万90.98%512.5万64.62%909.34万
-应收账款 72.37%3,930.1万97.82%4,714.9万18.94%2,299.4万18.94%2,299.4万15.50%2,066.81万143.37%2,280.1万131.39%2,383.49万79.63%1,933.3万79.63%1,933.3万73.73%1,789.43万
-其他应收款 --293.7万48.98%535.7万----------------2,774.16%359.59万1,623.93%182.6万1,623.93%182.6万580.31%692.49万
流动资产合计 75.99%4,346.8万105.66%5,072.2万0.33%2,606.3万0.33%2,606.3万-17.82%2,313.81万45.16%2,469.95万54.73%2,466.33万78.28%2,597.6万78.28%2,597.6万67.30%2,815.66万
非流动资产
-累计折旧 ---------45.15%-350.4万-45.15%-350.4万74.07%-59.96万69.97%-61.09万-----58.20%-241.4万-58.20%-241.4万-63.24%-231.28万
-长期股权投资 57.35%4,272.1万98.98%4,994.5万20.72%2,640.7万20.72%2,640.7万15.50%2,542.53万141.66%2,714.98万119.61%2,510.03万88.03%2,187.5万88.03%2,187.5万378.23%2,201.31万
-商誉 54.50%4,070.7万49.67%4,007.8万-11.93%2,400.5万-11.93%2,400.5万-7.03%2,605.78万41.13%2,634.78万39.65%2,677.74万38.57%2,725.8万38.57%2,725.8万44.42%2,802.96万
-其他无形资产 -12.34%73.6万-34.01%72.4万-37.21%69.7万-37.21%69.7万-32.02%69.69万-3.98%83.97万17.52%109.71万31.86%111万31.86%111万23.45%102.52万
监管资产 66.38%3,947.7万102.68%4,830.8万18.28%2,414.5万18.28%2,414.5万17.50%2,178.68万136.87%2,372.67万123.00%2,383.49万78.90%2,041.4万78.90%2,041.4万71.89%1,854.22万
总资产 -80.99%17.6万--115.9万6.48%115.1万6.48%115.1万72.65%111.87万42.85%92.56万--066.83%108.1万66.83%108.1万33.05%64.8万
负债
流动负债
短期借款与资本租赁负债 474.94%461.2万278.90%351.4万-10.70%86万-10.70%86万-6.02%86.42万-5.83%80.22万18.30%92.74万44.23%96.3万44.23%96.3万-90.60%91.95万
-短期借款 727.52%427.4万503.70%311.8万-10.42%51.6万-10.42%51.6万0.00%51.65万0.00%51.65万16.99%51.65万75.09%57.6万75.09%57.6万-94.54%51.65万
-短期资本租赁负债 18.31%33.8万-3.64%39.6万-11.11%34.4万-11.11%34.4万-13.73%34.77万-14.80%28.57万19.98%41.09万14.26%38.7万14.26%38.7万22.71%40.31万
-应付账款 74.63%393.5万422.63%414.3万97.17%368.7万97.17%368.7万1.74%163.48万19.79%225.33万-40.85%79.27万73.21%187万73.21%187万114.17%160.68万
-应付税费 67.57%5,056.8万96.93%5,620.6万11.24%2,898万11.24%2,898万9.33%2,873.16万114.00%3,017.69万98.15%2,854.05万71.45%2,605.2万71.45%2,605.2万311.86%2,628.07万
-其他应付款 ------8,000--------------------------------
应计费用 109.85%812.7万--506.4万-32.15%333.3万-32.15%333.3万-17.05%406.37万11.88%387.28万----68.57%491.2万68.57%491.2万27.25%489.89万
流动负债总额 154.92%2,506万176.50%2,493.8万-14.09%1,129.5万-14.09%1,129.5万-45.01%899.95万14.16%983.06万15.55%901.91万98.72%1,314.7万98.72%1,314.7万2.18%1,636.67万
非流动负债
-长期借款 0.77%353.2万640.36%363.7万469.56%348万469.56%348万483.17%364.95万486.41%350.49万-25.94%49.12万-17.26%61.1万-17.26%61.1万-20.91%62.58万
长期应计费用 -9.98%619.9万66.19%656.9万58.91%663.6万58.91%663.6万49.15%689.78万53.40%688.62万-16.15%395.27万-10.75%417.6万-10.75%417.6万21.39%462.47万
长期拨备 65.74%3,918.9万88.17%4,630.8万7.82%2,292.7万7.82%2,292.7万1.82%2,177.58万122.29%2,364.5万128.58%2,460.91万95.17%2,126.4万95.17%2,126.4万461.08%2,138.73万
非流动负债总额 89.03%7,562.8万116.04%8,114.4万2.74%4,027.5万2.74%4,027.5万-11.53%3,773.11万76.15%4,000.75万69.12%3,755.95万79.72%3,919.9万79.72%3,919.9万90.40%4,264.74万
所有者权益
股本 -0.48%1,431.4万0.11%1,428.2万-0.91%1,428.2万-0.91%1,428.2万-0.90%1,428.31万0.53%1,438.37万4.87%1,426.58万6.90%1,441.3万6.90%1,441.3万8.59%1,441.25万
-普通股股本 -0.48%1,431.4万0.11%1,428.2万-0.91%1,428.2万-0.91%1,428.2万-0.90%1,428.31万0.53%1,438.37万4.87%1,426.58万6.90%1,441.3万6.90%1,441.3万8.59%1,441.25万
资本公积 46.92%44.6万422.60%44.6万424.71%44.6万424.71%44.6万423.00%44.63万1,168.55%30.36万326.71%8.53万325.00%8.5万325.00%8.5万--8.53万
总权益 55.97%9,037.4万75.77%9,737.7万-1.66%5,671.2万-1.66%5,671.2万-8.13%5,610.16万43.31%5,794.14万38.38%5,540.13万47.38%5,766.8万47.38%5,766.8万52.08%6,106.87万

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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