加拿大市场个股详情

Postmedia Network Canada Corp (PNC.B)

添加自选
  • 0.950
  • 0.0000.00%
延时15分钟行情已收盘 04/14 16:00 (美东)
9409.10万总市值-1.76市盈率TTM

Postmedia Network Canada Corp (PNC.B) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2026/02/28
(Q1)2025/11/30
(FY)2025/08/31
(Q4)2025/08/31
(Q3)2025/05/31
(Q2)2025/02/28
(Q1)2024/11/30
(FY)2024/08/31
(Q4)2024/08/31
(Q3)2024/05/31
资产
流动资产
现金及现金等价物和短期投资
-13.89%505.4万
-14.07%533万
33.58%327.8万
33.58%327.8万
115.32%326万
6.98%586.9万
-13.93%620.3万
-60.36%245.4万
-60.36%245.4万
-84.59%151.4万
-现金和现金等价物
-13.89%505.4万
-14.07%533万
33.58%327.8万
33.58%327.8万
115.32%326万
6.98%586.9万
-13.93%620.3万
-60.36%245.4万
-60.36%245.4万
-84.59%151.4万
应收款项
3.82%5,759.6万
13.02%6,667.1万
9.71%5,916.9万
9.71%5,916.9万
44.58%5,787万
43.98%5,547.6万
9.18%5,899万
15.33%5,393.1万
15.33%5,393.1万
-19.68%4,002.7万
-应收账款
3.82%5,759.6万
13.02%6,667.1万
9.71%5,916.9万
9.71%5,916.9万
44.58%5,787万
43.98%5,547.6万
9.18%5,899万
15.33%5,393.1万
15.33%5,393.1万
-19.68%4,002.7万
存货
-28.64%129.3万
-24.13%149.7万
-30.33%161.5万
-30.33%161.5万
-34.85%164.7万
-34.30%181.2万
-35.54%197.3万
-31.98%231.8万
-31.98%231.8万
-39.30%252.8万
受限制现金
----
----
----
----
----
----
----
--0
--0
--0
持有待售资产
42.10%426.3万
----
--0
--0
--0
-42.02%300万
-50.52%256万
0.00%256万
0.00%256万
16.85%517.4万
其他流动资产
-9.04%721.5万
-12.08%643.9万
-24.33%644.9万
-24.33%644.9万
-3.54%756.7万
-12.68%793.2万
-17.41%732.4万
-3.56%852.2万
-3.56%852.2万
-15.40%784.5万
流动资产合计
1.80%7,542.1万
3.75%7,993.7万
1.04%7,051.1万
1.04%7,051.1万
23.22%7,034.4万
21.39%7,408.9万
-1.65%7,705万
-6.61%6,978.5万
-6.61%6,978.5万
-27.84%5,708.8万
非流动资产
固定资产净额
-36.76%2,769.7万
-31.70%3,503.9万
-31.61%3,752.9万
-31.61%3,752.9万
-32.51%4,061.3万
-31.02%4,379.7万
-24.26%5,129.9万
-26.91%5,487.2万
-26.91%5,487.2万
-24.83%6,018万
-固定资产
-36.76%2,769.7万
-31.70%3,503.9万
-6.10%1.59亿
-6.10%1.59亿
-32.51%4,061.3万
-31.02%4,379.7万
-24.26%5,129.9万
-9.47%1.69亿
-9.47%1.69亿
-24.83%6,018万
-累计折旧
----
----
-6.14%-1.21亿
-6.14%-1.21亿
----
----
----
-2.25%-1.14亿
-2.25%-1.14亿
----
金融资产
-8.53%387.3万
-11.88%410.3万
6.21%467.2万
6.21%467.2万
41.85%440.6万
110.02%423.4万
158.95%465.6万
31.90%439.9万
31.90%439.9万
-13.77%310.6万
商誉及其他无形资产
-34.50%1,646.5万
-31.40%1,510.1万
-22.93%1,531.3万
-22.93%1,531.3万
75.03%2,671.3万
63.58%2,513.6万
39.91%2,201.2万
22.37%1,986.8万
22.37%1,986.8万
-7.57%1,526.2万
-其他无形资产
----
----
-22.93%1,531.3万
-22.93%1,531.3万
----
----
----
22.37%1,986.8万
22.37%1,986.8万
----
非流动资产合计
-34.35%4,803.5万
-30.43%5,424.3万
-27.33%5,751.4万
-27.33%5,751.4万
-8.68%7,173.2万
-9.53%7,316.7万
-8.55%7,796.7万
-16.39%7,913.9万
-16.39%7,913.9万
-21.58%7,854.8万
总资产
-16.16%1.23亿
-13.44%1.34亿
-14.03%1.28亿
-14.03%1.28亿
4.75%1.42亿
3.77%1.47亿
-5.25%1.55亿
-12.08%1.49亿
-12.08%1.49亿
-24.35%1.36亿
负债
流动负债
短期借款与资本租赁负债
-78.86%766.6万
-78.05%775.3万
-0.40%774.2万
-0.40%774.2万
20.75%3,255.1万
53.50%3,625.9万
49.87%3,532.4万
-70.21%777.3万
-70.21%777.3万
-34.82%2,695.8万
-短期借款
----
----
----
----
31.06%2,494.7万
81.96%2,861.8万
79.83%2,767.6万
66.04%2,950.9万
66.04%2,950.9万
-42.44%1,903.5万
-短期资本租赁负债
0.33%766.6万
1.37%775.3万
-0.40%774.2万
-0.40%774.2万
-4.03%760.4万
-3.20%764.1万
-6.50%764.8万
-6.57%777.3万
-6.57%777.3万
-4.46%792.3万
应付款项
-1.39%2,004.2万
45.09%2,774.2万
74.77%2,428.1万
74.77%2,428.1万
104.53%1,824万
53.40%2,032.5万
28.51%1,912.1万
-14.52%1,389.3万
-14.52%1,389.3万
-49.34%891.8万
-应付账款
-1.39%2,004.2万
45.09%2,774.2万
74.77%2,428.1万
74.77%2,428.1万
104.53%1,824万
53.40%2,032.5万
28.51%1,912.1万
-14.52%1,389.3万
-14.52%1,389.3万
-49.34%891.8万
应计费用
8.68%2,977.3万
6.79%4,559.9万
17.94%2,903.1万
17.94%2,903.1万
20.72%4,412万
20.82%2,739.4万
35.06%4,270万
27.18%2,461.6万
27.18%2,461.6万
20.47%3,654.7万
现行拨备
5.66%97.1万
-4.66%112.4万
-17.24%125.3万
-17.24%125.3万
-61.04%94.2万
-80.38%91.9万
-82.40%117.9万
-85.16%151.4万
-85.16%151.4万
-81.76%241.8万
递延负债
-13.70%1,492.2万
-6.97%1,525.6万
-3.52%1,612.7万
-3.52%1,612.7万
2.37%1,578.6万
3.64%1,729.1万
-5.15%1,639.9万
-6.31%1,671.6万
-6.31%1,671.6万
-11.39%1,542万
流动负债总额
-28.20%7,337.4万
-15.04%9,747.4万
21.58%7,843.4万
21.58%7,843.4万
23.68%1.12亿
26.29%1.02亿
21.98%1.15亿
-28.11%6,451.2万
-28.11%6,451.2万
-24.76%9,026.1万
非流动负债
长期借款与租赁负债
11.14%4.16亿
16.25%4.1亿
8.00%4.02亿
8.00%4.02亿
6.94%3.54亿
13.46%3.74亿
11.01%3.53亿
17.42%3.72亿
17.42%3.72亿
15.75%3.31亿
-长期借款
13.13%4.05亿
18.97%3.98亿
10.30%3.89亿
10.30%3.89亿
9.39%3.39亿
16.07%3.58亿
13.56%3.35亿
20.55%3.53亿
20.55%3.53亿
19.39%3.1亿
-长期租赁负债
-32.31%1,106.5万
-34.63%1,167.2万
-33.96%1,277.5万
-33.96%1,277.5万
-29.55%1,465.9万
-23.98%1,634.7万
-21.84%1,785.6万
-20.35%1,934.5万
-20.35%1,934.5万
-20.37%2,080.7万
长期应付账款及其他应付款项
----
----
-15.58%562.3万
-15.58%562.3万
----
----
----
--666.1万
--666.1万
----
员工福利
--2,412.8万
-7.18%2,458万
-7.25%2,446.1万
-7.25%2,446.1万
-6.25%2,503.4万
----
--2,648.2万
--2,637.3万
--2,637.3万
--2,670.2万
其他非流动负债
-28.15%2,415.2万
176.62%2,139.9万
1,277.71%1,675.3万
1,277.71%1,675.3万
-11.93%608.5万
-2.88%3,361.6万
-77.68%773.6万
-96.54%121.6万
-96.54%121.6万
-80.53%690.9万
非流动负债总额
13.82%4.64亿
17.86%4.56亿
10.42%4.49亿
10.42%4.49亿
5.61%3.85亿
11.91%4.08亿
9.81%3.87亿
15.43%4.06亿
15.43%4.06亿
13.42%3.64亿
负债总额
5.40%5.37亿
10.34%5.54亿
11.95%5.27亿
11.95%5.27亿
9.20%4.96亿
14.52%5.1亿
12.37%5.02亿
6.58%4.71亿
6.58%4.71亿
3.04%4.54亿
所有者权益
股本
0.00%8.2亿
0.00%8.2亿
0.00%8.2亿
0.00%8.2亿
0.00%8.2亿
0.00%8.2亿
0.03%8.2亿
0.03%8.2亿
0.03%8.2亿
0.03%8.2亿
-普通股股本
0.00%8.2亿
0.00%8.2亿
0.00%8.2亿
0.00%8.2亿
0.00%8.2亿
0.00%8.2亿
0.03%8.2亿
0.03%8.2亿
0.03%8.2亿
0.03%8.2亿
资本公积
12.93%2,231.6万
3.72%2,041.1万
2.30%1,996万
2.30%1,996万
3.24%1,992.3万
3.59%1,976.1万
2.89%1,967.9万
3.11%1,951.1万
3.11%1,951.1万
2.87%1,929.7万
留存收益
-4.48%-12.57亿
-6.19%-12.6亿
-6.68%-12.39亿
-6.68%-12.39亿
-3.11%-11.95亿
-5.25%-12.03亿
-5.76%-11.87亿
-4.53%-11.62亿
-4.53%-11.62亿
-5.25%-11.59亿
股东权益总额
-14.15%-4.14亿
-20.97%-4.19亿
-23.98%-3.99亿
-23.98%-3.99亿
-11.10%-3.54亿
-19.55%-3.63亿
-22.56%-3.47亿
-18.18%-3.22亿
-18.18%-3.22亿
-21.79%-3.19亿
总权益
-14.15%-4.14亿
-20.97%-4.19亿
-23.98%-3.99亿
-23.98%-3.99亿
-11.10%-3.54亿
-19.55%-3.63亿
-22.56%-3.47亿
-18.18%-3.22亿
-18.18%-3.22亿
-21.79%-3.19亿
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
--
--
(Q2)2026/02/28(Q1)2025/11/30(FY)2025/08/31(Q4)2025/08/31(Q3)2025/05/31(Q2)2025/02/28(Q1)2024/11/30(FY)2024/08/31(Q4)2024/08/31(Q3)2024/05/31
资产
流动资产
现金及现金等价物和短期投资 -13.89%505.4万-14.07%533万33.58%327.8万33.58%327.8万115.32%326万6.98%586.9万-13.93%620.3万-60.36%245.4万-60.36%245.4万-84.59%151.4万
-现金和现金等价物 -13.89%505.4万-14.07%533万33.58%327.8万33.58%327.8万115.32%326万6.98%586.9万-13.93%620.3万-60.36%245.4万-60.36%245.4万-84.59%151.4万
应收款项 3.82%5,759.6万13.02%6,667.1万9.71%5,916.9万9.71%5,916.9万44.58%5,787万43.98%5,547.6万9.18%5,899万15.33%5,393.1万15.33%5,393.1万-19.68%4,002.7万
-应收账款 3.82%5,759.6万13.02%6,667.1万9.71%5,916.9万9.71%5,916.9万44.58%5,787万43.98%5,547.6万9.18%5,899万15.33%5,393.1万15.33%5,393.1万-19.68%4,002.7万
存货 -28.64%129.3万-24.13%149.7万-30.33%161.5万-30.33%161.5万-34.85%164.7万-34.30%181.2万-35.54%197.3万-31.98%231.8万-31.98%231.8万-39.30%252.8万
受限制现金 ------------------------------0--0--0
持有待售资产 42.10%426.3万------0--0--0-42.02%300万-50.52%256万0.00%256万0.00%256万16.85%517.4万
其他流动资产 -9.04%721.5万-12.08%643.9万-24.33%644.9万-24.33%644.9万-3.54%756.7万-12.68%793.2万-17.41%732.4万-3.56%852.2万-3.56%852.2万-15.40%784.5万
流动资产合计 1.80%7,542.1万3.75%7,993.7万1.04%7,051.1万1.04%7,051.1万23.22%7,034.4万21.39%7,408.9万-1.65%7,705万-6.61%6,978.5万-6.61%6,978.5万-27.84%5,708.8万
非流动资产
固定资产净额 -36.76%2,769.7万-31.70%3,503.9万-31.61%3,752.9万-31.61%3,752.9万-32.51%4,061.3万-31.02%4,379.7万-24.26%5,129.9万-26.91%5,487.2万-26.91%5,487.2万-24.83%6,018万
-固定资产 -36.76%2,769.7万-31.70%3,503.9万-6.10%1.59亿-6.10%1.59亿-32.51%4,061.3万-31.02%4,379.7万-24.26%5,129.9万-9.47%1.69亿-9.47%1.69亿-24.83%6,018万
-累计折旧 ---------6.14%-1.21亿-6.14%-1.21亿-------------2.25%-1.14亿-2.25%-1.14亿----
金融资产 -8.53%387.3万-11.88%410.3万6.21%467.2万6.21%467.2万41.85%440.6万110.02%423.4万158.95%465.6万31.90%439.9万31.90%439.9万-13.77%310.6万
商誉及其他无形资产 -34.50%1,646.5万-31.40%1,510.1万-22.93%1,531.3万-22.93%1,531.3万75.03%2,671.3万63.58%2,513.6万39.91%2,201.2万22.37%1,986.8万22.37%1,986.8万-7.57%1,526.2万
-其他无形资产 ---------22.93%1,531.3万-22.93%1,531.3万------------22.37%1,986.8万22.37%1,986.8万----
非流动资产合计 -34.35%4,803.5万-30.43%5,424.3万-27.33%5,751.4万-27.33%5,751.4万-8.68%7,173.2万-9.53%7,316.7万-8.55%7,796.7万-16.39%7,913.9万-16.39%7,913.9万-21.58%7,854.8万
总资产 -16.16%1.23亿-13.44%1.34亿-14.03%1.28亿-14.03%1.28亿4.75%1.42亿3.77%1.47亿-5.25%1.55亿-12.08%1.49亿-12.08%1.49亿-24.35%1.36亿
负债
流动负债
短期借款与资本租赁负债 -78.86%766.6万-78.05%775.3万-0.40%774.2万-0.40%774.2万20.75%3,255.1万53.50%3,625.9万49.87%3,532.4万-70.21%777.3万-70.21%777.3万-34.82%2,695.8万
-短期借款 ----------------31.06%2,494.7万81.96%2,861.8万79.83%2,767.6万66.04%2,950.9万66.04%2,950.9万-42.44%1,903.5万
-短期资本租赁负债 0.33%766.6万1.37%775.3万-0.40%774.2万-0.40%774.2万-4.03%760.4万-3.20%764.1万-6.50%764.8万-6.57%777.3万-6.57%777.3万-4.46%792.3万
应付款项 -1.39%2,004.2万45.09%2,774.2万74.77%2,428.1万74.77%2,428.1万104.53%1,824万53.40%2,032.5万28.51%1,912.1万-14.52%1,389.3万-14.52%1,389.3万-49.34%891.8万
-应付账款 -1.39%2,004.2万45.09%2,774.2万74.77%2,428.1万74.77%2,428.1万104.53%1,824万53.40%2,032.5万28.51%1,912.1万-14.52%1,389.3万-14.52%1,389.3万-49.34%891.8万
应计费用 8.68%2,977.3万6.79%4,559.9万17.94%2,903.1万17.94%2,903.1万20.72%4,412万20.82%2,739.4万35.06%4,270万27.18%2,461.6万27.18%2,461.6万20.47%3,654.7万
现行拨备 5.66%97.1万-4.66%112.4万-17.24%125.3万-17.24%125.3万-61.04%94.2万-80.38%91.9万-82.40%117.9万-85.16%151.4万-85.16%151.4万-81.76%241.8万
递延负债 -13.70%1,492.2万-6.97%1,525.6万-3.52%1,612.7万-3.52%1,612.7万2.37%1,578.6万3.64%1,729.1万-5.15%1,639.9万-6.31%1,671.6万-6.31%1,671.6万-11.39%1,542万
流动负债总额 -28.20%7,337.4万-15.04%9,747.4万21.58%7,843.4万21.58%7,843.4万23.68%1.12亿26.29%1.02亿21.98%1.15亿-28.11%6,451.2万-28.11%6,451.2万-24.76%9,026.1万
非流动负债
长期借款与租赁负债 11.14%4.16亿16.25%4.1亿8.00%4.02亿8.00%4.02亿6.94%3.54亿13.46%3.74亿11.01%3.53亿17.42%3.72亿17.42%3.72亿15.75%3.31亿
-长期借款 13.13%4.05亿18.97%3.98亿10.30%3.89亿10.30%3.89亿9.39%3.39亿16.07%3.58亿13.56%3.35亿20.55%3.53亿20.55%3.53亿19.39%3.1亿
-长期租赁负债 -32.31%1,106.5万-34.63%1,167.2万-33.96%1,277.5万-33.96%1,277.5万-29.55%1,465.9万-23.98%1,634.7万-21.84%1,785.6万-20.35%1,934.5万-20.35%1,934.5万-20.37%2,080.7万
长期应付账款及其他应付款项 ---------15.58%562.3万-15.58%562.3万--------------666.1万--666.1万----
员工福利 --2,412.8万-7.18%2,458万-7.25%2,446.1万-7.25%2,446.1万-6.25%2,503.4万------2,648.2万--2,637.3万--2,637.3万--2,670.2万
其他非流动负债 -28.15%2,415.2万176.62%2,139.9万1,277.71%1,675.3万1,277.71%1,675.3万-11.93%608.5万-2.88%3,361.6万-77.68%773.6万-96.54%121.6万-96.54%121.6万-80.53%690.9万
非流动负债总额 13.82%4.64亿17.86%4.56亿10.42%4.49亿10.42%4.49亿5.61%3.85亿11.91%4.08亿9.81%3.87亿15.43%4.06亿15.43%4.06亿13.42%3.64亿
负债总额 5.40%5.37亿10.34%5.54亿11.95%5.27亿11.95%5.27亿9.20%4.96亿14.52%5.1亿12.37%5.02亿6.58%4.71亿6.58%4.71亿3.04%4.54亿
所有者权益
股本 0.00%8.2亿0.00%8.2亿0.00%8.2亿0.00%8.2亿0.00%8.2亿0.00%8.2亿0.03%8.2亿0.03%8.2亿0.03%8.2亿0.03%8.2亿
-普通股股本 0.00%8.2亿0.00%8.2亿0.00%8.2亿0.00%8.2亿0.00%8.2亿0.00%8.2亿0.03%8.2亿0.03%8.2亿0.03%8.2亿0.03%8.2亿
资本公积 12.93%2,231.6万3.72%2,041.1万2.30%1,996万2.30%1,996万3.24%1,992.3万3.59%1,976.1万2.89%1,967.9万3.11%1,951.1万3.11%1,951.1万2.87%1,929.7万
留存收益 -4.48%-12.57亿-6.19%-12.6亿-6.68%-12.39亿-6.68%-12.39亿-3.11%-11.95亿-5.25%-12.03亿-5.76%-11.87亿-4.53%-11.62亿-4.53%-11.62亿-5.25%-11.59亿
股东权益总额 -14.15%-4.14亿-20.97%-4.19亿-23.98%-3.99亿-23.98%-3.99亿-11.10%-3.54亿-19.55%-3.63亿-22.56%-3.47亿-18.18%-3.22亿-18.18%-3.22亿-21.79%-3.19亿
总权益 -14.15%-4.14亿-20.97%-4.19亿-23.98%-3.99亿-23.98%-3.99亿-11.10%-3.54亿-19.55%-3.63亿-22.56%-3.47亿-18.18%-3.22亿-18.18%-3.22亿-21.79%-3.19亿
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。

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