加拿大市场个股详情

PPX PPX Mining Corp

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  • 0.055
  • -0.005-8.33%
延时15分钟行情已收盘 06/28 16:00 (美东)
3740.80万总市值-6875市盈率TTM

PPX Mining 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
-70.86%55.86万
-79.88%36.8万
-40.25%80.38万
-40.25%80.38万
-65.49%153.25万
623.83%191.67万
482.25%182.87万
300.07%134.52万
300.07%134.52万
522.91%444.15万
-现金和现金等价物
-70.86%55.86万
-79.88%36.8万
-40.25%80.38万
-40.25%80.38万
-65.49%153.25万
623.83%191.67万
482.25%182.87万
300.07%134.52万
300.07%134.52万
522.91%444.15万
-应收账款
-99.89%5,748
-32.58%122.84万
530.10%149.26万
530.10%149.26万
--0
1,510.09%536.58万
24,275.42%182.21万
180.10%23.69万
180.10%23.69万
--46.43万
-其他应收款
----
----
----
----
----
----
6.83%19.06万
7.58%19.29万
7.58%19.29万
3.97%18.13万
流动资产合计
-88.26%86.57万
-54.47%168.97万
-12.27%235.66万
-12.27%235.66万
-46.15%266.66万
1,049.65%737.42万
977.85%371.11万
391.75%268.63万
391.75%268.63万
556.16%495.16万
非流动资产
-累计折旧
-4.52%-16.66万
-1.87%-16.12万
-2.63%-16.28万
-2.63%-16.28万
-6.71%-15.78万
-11.47%-15.94万
-8.74%-15.82万
-8.52%-15.87万
-8.52%-15.87万
-3.81%-14.79万
-长期股权投资
-2.18%700.59万
--626.95万
--582.93万
--582.93万
--514.66万
1,691.84%716.17万
----
----
----
----
-其他无形资产
-85.28%13.33万
----
----
----
--107.75万
--90.56万
1,820.56%296.75万
----
----
----
监管资产
-94.73%28.73万
-32.78%126.17万
453.80%152.29万
453.80%152.29万
-92.23%3.92万
1,352.07%545.09万
6,372.91%187.71万
31.30%27.5万
31.30%27.5万
1,644.45%50.49万
总资产
253.38%28.16万
-32.93%3.33万
-7.27%3.02万
-7.27%3.02万
10.46%3.92万
114.60%7.97万
201.48%4.96万
-72.76%3.26万
-72.76%3.26万
48.01%3.55万
负债
流动负债
短期借款与资本租赁负债
-78.68%19.51万
-92.44%69.73万
-93.24%77.24万
-93.24%77.24万
-89.54%100.41万
-89.78%91.53万
18.79%922.86万
58.55%1,143.34万
58.55%1,143.34万
44.17%960.03万
-短期借款
-78.68%19.51万
-92.44%69.73万
-93.24%77.24万
-93.24%77.24万
-89.54%100.41万
-89.78%91.53万
18.79%922.86万
58.55%1,143.34万
58.55%1,143.34万
44.17%960.03万
-应付账款
65.29%67.79万
----
-42.75%56.11万
-42.75%56.11万
----
-81.86%41.01万
-63.03%96.5万
-63.98%98.01万
-63.98%98.01万
-60.08%104.39万
-应付税费
44.83%1,143.03万
1,807.03%803.82万
1,916.74%850.72万
1,916.74%850.72万
1,188.11%563.42万
865.82%789.21万
-68.00%42.15万
-77.26%42.18万
-77.26%42.18万
-79.24%43.74万
-应付关联方款项
--0
----
-95.46%1.74万
-95.46%1.74万
----
----
----
--38.38万
--38.38万
----
应计费用
-76.36%42.28万
----
-70.08%20.66万
-70.08%20.66万
----
-18.03%178.87万
-58.66%84.04万
-62.72%69.06万
-62.72%69.06万
37.05%280.41万
现行拨备
37.46%35.35万
35.34%34.45万
38.24%35.21万
38.24%35.21万
--25.44万
--25.72万
--25.45万
--25.47万
--25.47万
----
流动负债总额
-46.22%164.94万
-78.93%241.87万
-82.15%248.78万
-82.15%248.78万
-85.91%194.25万
-77.41%306.68万
-8.83%1,147.91万
16.48%1,393.55万
16.48%1,393.55万
17.18%1,378.71万
非流动负债
长期借款与租赁负债
----
----
--0
--0
--0
8.30%5,414
6.82%5,418
7.57%5,483
7.57%5,483
3.97%5,155
长期应计费用
13.20%1,068.51万
15.78%1,063.13万
13.11%1,026.44万
13.11%1,026.44万
156.93%996.3万
6.86%943.93万
-2.24%918.19万
-7.57%907.51万
-7.57%907.51万
-64.40%387.77万
衍生品负债
--386.47万
--123万
--213.39万
--213.39万
----
----
----
--0
--0
----
长期拨备
-2.18%700.59万
--626.95万
--582.93万
--582.93万
--514.66万
1,691.84%716.17万
----
----
----
----
非流动负债总额
19.35%1,307.97万
-12.13%1,045.69万
-23.42%1,099.51万
-23.42%1,099.51万
-46.73%757.67万
-23.86%1,095.89万
-14.43%1,190.06万
3.90%1,435.73万
3.90%1,435.73万
2.54%1,422.45万
所有者权益
股本
0.56%6,585.33万
5.74%6,585.33万
5.74%6,585.33万
5.74%6,585.33万
5.14%6,548.37万
5.14%6,548.37万
0.32%6,228.06万
0.32%6,228.06万
0.32%6,228.06万
0.99%6,228.06万
-普通股股本
0.56%6,585.33万
5.74%6,585.33万
5.74%6,585.33万
5.74%6,585.33万
5.14%6,548.37万
5.14%6,548.37万
0.32%6,228.06万
0.32%6,228.06万
0.32%6,228.06万
0.99%6,228.06万
留存收益
--5,124
--4.03万
-99.73%2,010
-99.73%2,010
----
----
----
--74.55万
--74.55万
----
不影响留存收益的损益
-4.50%772.1万
4.46%802.58万
5.37%786.81万
5.37%786.81万
14.42%805.16万
17.58%808.48万
10.42%768.34万
7.42%746.69万
7.42%746.69万
-2.57%703.71万
总权益
-31.30%1,155.08万
-4.44%1,232.09万
7.31%1,262.09万
7.31%1,262.09万
43.04%1,262.96万
77.45%1,681.34万
32.42%1,289.31万
13.48%1,176.13万
13.48%1,176.13万
-24.19%882.93万
(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 -70.86%55.86万-79.88%36.8万-40.25%80.38万-40.25%80.38万-65.49%153.25万623.83%191.67万482.25%182.87万300.07%134.52万300.07%134.52万522.91%444.15万
-现金和现金等价物 -70.86%55.86万-79.88%36.8万-40.25%80.38万-40.25%80.38万-65.49%153.25万623.83%191.67万482.25%182.87万300.07%134.52万300.07%134.52万522.91%444.15万
-应收账款 -99.89%5,748-32.58%122.84万530.10%149.26万530.10%149.26万--01,510.09%536.58万24,275.42%182.21万180.10%23.69万180.10%23.69万--46.43万
-其他应收款 ------------------------6.83%19.06万7.58%19.29万7.58%19.29万3.97%18.13万
流动资产合计 -88.26%86.57万-54.47%168.97万-12.27%235.66万-12.27%235.66万-46.15%266.66万1,049.65%737.42万977.85%371.11万391.75%268.63万391.75%268.63万556.16%495.16万
非流动资产
-累计折旧 -4.52%-16.66万-1.87%-16.12万-2.63%-16.28万-2.63%-16.28万-6.71%-15.78万-11.47%-15.94万-8.74%-15.82万-8.52%-15.87万-8.52%-15.87万-3.81%-14.79万
-长期股权投资 -2.18%700.59万--626.95万--582.93万--582.93万--514.66万1,691.84%716.17万----------------
-其他无形资产 -85.28%13.33万--------------107.75万--90.56万1,820.56%296.75万------------
监管资产 -94.73%28.73万-32.78%126.17万453.80%152.29万453.80%152.29万-92.23%3.92万1,352.07%545.09万6,372.91%187.71万31.30%27.5万31.30%27.5万1,644.45%50.49万
总资产 253.38%28.16万-32.93%3.33万-7.27%3.02万-7.27%3.02万10.46%3.92万114.60%7.97万201.48%4.96万-72.76%3.26万-72.76%3.26万48.01%3.55万
负债
流动负债
短期借款与资本租赁负债 -78.68%19.51万-92.44%69.73万-93.24%77.24万-93.24%77.24万-89.54%100.41万-89.78%91.53万18.79%922.86万58.55%1,143.34万58.55%1,143.34万44.17%960.03万
-短期借款 -78.68%19.51万-92.44%69.73万-93.24%77.24万-93.24%77.24万-89.54%100.41万-89.78%91.53万18.79%922.86万58.55%1,143.34万58.55%1,143.34万44.17%960.03万
-应付账款 65.29%67.79万-----42.75%56.11万-42.75%56.11万-----81.86%41.01万-63.03%96.5万-63.98%98.01万-63.98%98.01万-60.08%104.39万
-应付税费 44.83%1,143.03万1,807.03%803.82万1,916.74%850.72万1,916.74%850.72万1,188.11%563.42万865.82%789.21万-68.00%42.15万-77.26%42.18万-77.26%42.18万-79.24%43.74万
-应付关联方款项 --0-----95.46%1.74万-95.46%1.74万--------------38.38万--38.38万----
应计费用 -76.36%42.28万-----70.08%20.66万-70.08%20.66万-----18.03%178.87万-58.66%84.04万-62.72%69.06万-62.72%69.06万37.05%280.41万
现行拨备 37.46%35.35万35.34%34.45万38.24%35.21万38.24%35.21万--25.44万--25.72万--25.45万--25.47万--25.47万----
流动负债总额 -46.22%164.94万-78.93%241.87万-82.15%248.78万-82.15%248.78万-85.91%194.25万-77.41%306.68万-8.83%1,147.91万16.48%1,393.55万16.48%1,393.55万17.18%1,378.71万
非流动负债
长期借款与租赁负债 ----------0--0--08.30%5,4146.82%5,4187.57%5,4837.57%5,4833.97%5,155
长期应计费用 13.20%1,068.51万15.78%1,063.13万13.11%1,026.44万13.11%1,026.44万156.93%996.3万6.86%943.93万-2.24%918.19万-7.57%907.51万-7.57%907.51万-64.40%387.77万
衍生品负债 --386.47万--123万--213.39万--213.39万--------------0--0----
长期拨备 -2.18%700.59万--626.95万--582.93万--582.93万--514.66万1,691.84%716.17万----------------
非流动负债总额 19.35%1,307.97万-12.13%1,045.69万-23.42%1,099.51万-23.42%1,099.51万-46.73%757.67万-23.86%1,095.89万-14.43%1,190.06万3.90%1,435.73万3.90%1,435.73万2.54%1,422.45万
所有者权益
股本 0.56%6,585.33万5.74%6,585.33万5.74%6,585.33万5.74%6,585.33万5.14%6,548.37万5.14%6,548.37万0.32%6,228.06万0.32%6,228.06万0.32%6,228.06万0.99%6,228.06万
-普通股股本 0.56%6,585.33万5.74%6,585.33万5.74%6,585.33万5.74%6,585.33万5.14%6,548.37万5.14%6,548.37万0.32%6,228.06万0.32%6,228.06万0.32%6,228.06万0.99%6,228.06万
留存收益 --5,124--4.03万-99.73%2,010-99.73%2,010--------------74.55万--74.55万----
不影响留存收益的损益 -4.50%772.1万4.46%802.58万5.37%786.81万5.37%786.81万14.42%805.16万17.58%808.48万10.42%768.34万7.42%746.69万7.42%746.69万-2.57%703.71万
总权益 -31.30%1,155.08万-4.44%1,232.09万7.31%1,262.09万7.31%1,262.09万43.04%1,262.96万77.45%1,681.34万32.42%1,289.31万13.48%1,176.13万13.48%1,176.13万-24.19%882.93万

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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