加拿大市场个股详情

RET Reitmans (Canada) Ltd

添加自选
  • 2.850
  • +0.340+13.55%
延时15分钟行情已收盘 01/02 16:00 (美东)
1.41亿总市值8.64市盈率TTM

Reitmans (Canada) Ltd关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2024/11/02
(Q2)2024/08/03
(Q1)2024/05/04
(FY)2024/02/03
(Q4)2024/02/03
(Q3)2023/10/28
(Q2)2023/07/29
(Q1)2023/04/29
(FY)2023/01/28
(Q4)2023/01/28
资产
流动资产
现金及现金等价物和短期投资
21.52%1.23亿
28.30%1.24亿
42.54%9,891.7万
13.25%1.17亿
13.25%1.17亿
57.51%1.01亿
153.27%9,668.1万
72.58%6,939.4万
303.91%1.03亿
303.91%1.03亿
-现金和现金等价物
21.52%1.23亿
28.30%1.24亿
42.54%9,891.7万
13.25%1.17亿
13.25%1.17亿
57.51%1.01亿
153.27%9,668.1万
72.58%6,939.4万
303.91%1.03亿
303.91%1.03亿
应收款项
76.58%656.7万
72.57%614.7万
51.65%584.9万
9.29%354.2万
9.29%354.2万
-1.74%371.9万
-28.00%356.2万
-21.65%385.7万
-57.39%324.1万
-57.39%324.1万
-应收账款
76.58%656.7万
72.57%614.7万
51.65%584.9万
9.29%354.2万
9.29%354.2万
-1.74%371.9万
-28.00%356.2万
-21.65%385.7万
-57.39%324.1万
-57.39%324.1万
存货
-4.46%1.41亿
-7.58%1.38亿
-8.22%1.28亿
-14.25%1.22亿
-14.25%1.22亿
-7.41%1.48亿
-3.21%1.49亿
1.13%1.39亿
19.61%1.42亿
19.61%1.42亿
受限制现金
----
----
--0
--0
--0
--0
--0
--283.8万
--280.8万
--280.8万
套期保值资产
54.94%595.6万
472.51%212.4万
--222.3万
--138.2万
--138.2万
--384.4万
--37.1万
----
--0
--0
其他流动资产
17.88%1,867.1万
12.78%1,949.7万
-0.57%1,846万
12.68%1,634.1万
12.68%1,634.1万
-30.42%1,583.9万
--1,728.7万
--1,856.5万
-65.95%1,450.2万
-65.95%1,450.2万
流动资产合计
8.43%2.96亿
8.48%2.89亿
8.28%2.53亿
-2.22%2.6亿
-2.22%2.6亿
7.58%2.73亿
15.54%2.67亿
6.56%2.34亿
36.57%2.66亿
36.57%2.66亿
非流动资产
固定资产净额
25.53%2.16亿
34.40%2.06亿
32.04%2亿
39.89%2.01亿
39.89%2.01亿
31.65%1.72亿
14.74%1.53亿
31.86%1.52亿
29.54%1.44亿
29.54%1.44亿
-固定资产
25.53%2.16亿
34.40%2.06亿
32.04%2亿
28.49%2.66亿
28.49%2.66亿
31.65%1.72亿
14.74%1.53亿
31.86%1.52亿
11.52%2.07亿
11.52%2.07亿
-累计折旧
----
----
----
-2.61%-6,496.1万
-2.61%-6,496.1万
----
----
----
15.24%-6,330.6万
15.24%-6,330.6万
商誉及其他无形资产
25.25%202.9万
-10.05%170.1万
-37.50%140万
-40.64%156.6万
-40.64%156.6万
-47.42%162万
-45.49%189.1万
-45.30%224万
-53.00%263.8万
-53.00%263.8万
-其他无形资产
----
----
----
-40.64%156.6万
-40.64%156.6万
----
----
-45.30%224万
-53.00%263.8万
-53.00%263.8万
确认的养老福利金
--0
-63.50%77.3万
-37.91%80.1万
--114.9万
--114.9万
52.71%188.6万
218.98%211.8万
208.61%129万
--0
--0
非流动递延资产
-20.76%2,049.6万
-23.30%2,197.1万
-16.48%2,761.6万
-16.35%2,702.6万
-16.35%2,702.6万
13,806.45%2,586.6万
15,301.08%2,864.6万
17,303.68%3,306.7万
17,269.89%3,230.8万
17,269.89%3,230.8万
非流动资产合计
18.41%2.38亿
23.92%2.3亿
22.22%2.3亿
29.18%2.31亿
29.18%2.31亿
49.00%2.01亿
34.87%1.86亿
53.68%1.88亿
49.39%1.79亿
49.39%1.79亿
总资产
12.67%5.34亿
14.82%5.19亿
14.50%4.83亿
10.40%4.91亿
10.40%4.91亿
21.99%4.74亿
22.76%4.52亿
23.46%4.22亿
41.45%4.45亿
41.45%4.45亿
负债
流动负债
短期借款与资本租赁负债
24.70%3,348.3万
26.08%3,406.8万
19.63%3,304.4万
17.16%3,132.9万
17.16%3,132.9万
5.22%2,685.1万
-1.01%2,702.2万
-51.02%2,762.2万
-47.07%2,674.1万
-47.07%2,674.1万
-短期资本租赁负债
24.70%3,348.3万
26.08%3,406.8万
19.63%3,304.4万
17.16%3,132.9万
17.16%3,132.9万
5.22%2,685.1万
-1.01%2,702.2万
25.82%2,762.2万
28.02%2,674.1万
28.02%2,674.1万
应付款项
-9.05%5,346.5万
17.09%7,340.8万
6.28%5,065.6万
-9.32%3,722.9万
-9.32%3,722.9万
-11.42%5,878.4万
17.54%6,269.5万
0.24%4,766.1万
118.55%4,105.4万
118.55%4,105.4万
-应付账款
106.58%2,910.5万
23.23%3,036.5万
-23.27%985.1万
24.95%2,284.4万
24.95%2,284.4万
-78.45%1,408.9万
88.73%2,464.1万
107.99%1,283.9万
1,328.28%1,828.2万
1,328.28%1,828.2万
-应付税费
-26.24%58.2万
-32.28%45.1万
-8.10%42万
-56.29%44.5万
-56.29%44.5万
-20.94%78.9万
-18.38%66.6万
-14.58%45.7万
89.57%101.8万
89.57%101.8万
-其他应付款
-45.84%2,377.8万
13.92%4,259.2万
17.52%4,038.5万
-35.92%1,394万
-35.92%1,394万
--4,390.6万
-5.27%3,738.8万
-15.86%3,436.5万
28.21%2,175.4万
28.21%2,175.4万
现行拨备
42.12%746.4万
-11.97%374.2万
-8.46%593.2万
-19.23%325万
-19.23%325万
--525.2万
-7.08%425.1万
1.04%648万
26.50%402.4万
26.50%402.4万
养老金及其他退休福利计划
--1,838.5万
----
----
-41.34%2,172万
-41.34%2,172万
----
----
----
183.75%3,702.7万
183.75%3,702.7万
递延负债
-14.50%991.6万
-24.07%964.7万
-17.70%1,005.9万
-15.33%1,193.9万
-15.33%1,193.9万
6.94%1,159.7万
6.22%1,270.5万
0.60%1,222.3万
4.52%1,410万
4.52%1,410万
流动负债总额
19.74%1.23亿
13.30%1.21亿
6.07%9,969.1万
-14.22%1.05亿
-14.22%1.05亿
-0.24%1.02亿
9.78%1.07亿
-23.28%9,398.6万
24.15%1.23亿
24.15%1.23亿
非流动负债
长期借款与租赁负债
27.19%1.15亿
48.35%1.07亿
53.44%1.06亿
74.90%1.06亿
74.90%1.06亿
75.29%9,015.3万
39.03%7,200.5万
89.11%6,885.9万
93.38%6,075.8万
93.38%6,075.8万
-长期租赁负债
27.19%1.15亿
48.35%1.07亿
53.44%1.06亿
74.90%1.06亿
74.90%1.06亿
75.29%9,015.3万
39.03%7,200.5万
89.11%6,885.9万
93.38%6,075.8万
93.38%6,075.8万
非流动负债总额
27.19%1.15亿
48.35%1.07亿
53.44%1.06亿
74.90%1.06亿
74.90%1.06亿
75.29%9,015.3万
39.03%7,200.5万
89.11%6,885.9万
93.38%6,075.8万
93.38%6,075.8万
负债总额
23.23%2.37亿
27.43%2.28亿
26.10%2.05亿
15.26%2.12亿
15.26%2.12亿
24.96%1.93亿
19.95%1.79亿
2.47%1.63亿
40.83%1.84亿
40.83%1.84亿
所有者权益
股本
1.75%2,878.7万
0.43%2,841.5万
3.31%2,831.2万
3.23%2,829.2万
3.23%2,829.2万
3.23%2,829.2万
3.23%2,829.2万
0.00%2,740.6万
0.00%2,740.6万
0.00%2,740.6万
-普通股股本
1.75%2,878.7万
0.43%2,841.5万
3.31%2,831.2万
3.23%2,829.2万
3.23%2,829.2万
3.23%2,829.2万
3.23%2,829.2万
0.00%2,740.6万
0.00%2,740.6万
0.00%2,740.6万
资本公积
2.98%1,143.5万
3.64%1,140.4万
1.23%1,131.8万
3.09%1,120.7万
3.09%1,120.7万
4.11%1,110.4万
4.94%1,100.3万
8.60%1,118万
5.59%1,087.1万
5.59%1,087.1万
留存收益
5.49%2.52亿
7.03%2.5亿
7.35%2.37亿
6.74%2.39亿
6.74%2.39亿
21.15%2.39亿
28.27%2.34亿
50.99%2.21亿
52.12%2.24亿
52.12%2.24亿
不影响留存收益的损益
49.74%407.3万
378.75%130.7万
--147.2万
181.51%85.1万
181.51%85.1万
338.39%272万
131.34%27.3万
--0
-22.39%-104.4万
-22.39%-104.4万
股东权益总额
5.44%2.97亿
6.58%2.92亿
7.22%2.78亿
6.97%2.79亿
6.97%2.79亿
20.03%2.81亿
24.66%2.74亿
41.68%2.59亿
41.89%2.61亿
41.89%2.61亿
总权益
5.44%2.97亿
6.58%2.92亿
7.22%2.78亿
6.97%2.79亿
6.97%2.79亿
20.03%2.81亿
24.66%2.74亿
41.68%2.59亿
41.89%2.61亿
41.89%2.61亿
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
--
--
--
--
--
--
(Q3)2024/11/02(Q2)2024/08/03(Q1)2024/05/04(FY)2024/02/03(Q4)2024/02/03(Q3)2023/10/28(Q2)2023/07/29(Q1)2023/04/29(FY)2023/01/28(Q4)2023/01/28
资产
流动资产
现金及现金等价物和短期投资 21.52%1.23亿28.30%1.24亿42.54%9,891.7万13.25%1.17亿13.25%1.17亿57.51%1.01亿153.27%9,668.1万72.58%6,939.4万303.91%1.03亿303.91%1.03亿
-现金和现金等价物 21.52%1.23亿28.30%1.24亿42.54%9,891.7万13.25%1.17亿13.25%1.17亿57.51%1.01亿153.27%9,668.1万72.58%6,939.4万303.91%1.03亿303.91%1.03亿
应收款项 76.58%656.7万72.57%614.7万51.65%584.9万9.29%354.2万9.29%354.2万-1.74%371.9万-28.00%356.2万-21.65%385.7万-57.39%324.1万-57.39%324.1万
-应收账款 76.58%656.7万72.57%614.7万51.65%584.9万9.29%354.2万9.29%354.2万-1.74%371.9万-28.00%356.2万-21.65%385.7万-57.39%324.1万-57.39%324.1万
存货 -4.46%1.41亿-7.58%1.38亿-8.22%1.28亿-14.25%1.22亿-14.25%1.22亿-7.41%1.48亿-3.21%1.49亿1.13%1.39亿19.61%1.42亿19.61%1.42亿
受限制现金 ----------0--0--0--0--0--283.8万--280.8万--280.8万
套期保值资产 54.94%595.6万472.51%212.4万--222.3万--138.2万--138.2万--384.4万--37.1万------0--0
其他流动资产 17.88%1,867.1万12.78%1,949.7万-0.57%1,846万12.68%1,634.1万12.68%1,634.1万-30.42%1,583.9万--1,728.7万--1,856.5万-65.95%1,450.2万-65.95%1,450.2万
流动资产合计 8.43%2.96亿8.48%2.89亿8.28%2.53亿-2.22%2.6亿-2.22%2.6亿7.58%2.73亿15.54%2.67亿6.56%2.34亿36.57%2.66亿36.57%2.66亿
非流动资产
固定资产净额 25.53%2.16亿34.40%2.06亿32.04%2亿39.89%2.01亿39.89%2.01亿31.65%1.72亿14.74%1.53亿31.86%1.52亿29.54%1.44亿29.54%1.44亿
-固定资产 25.53%2.16亿34.40%2.06亿32.04%2亿28.49%2.66亿28.49%2.66亿31.65%1.72亿14.74%1.53亿31.86%1.52亿11.52%2.07亿11.52%2.07亿
-累计折旧 -------------2.61%-6,496.1万-2.61%-6,496.1万------------15.24%-6,330.6万15.24%-6,330.6万
商誉及其他无形资产 25.25%202.9万-10.05%170.1万-37.50%140万-40.64%156.6万-40.64%156.6万-47.42%162万-45.49%189.1万-45.30%224万-53.00%263.8万-53.00%263.8万
-其他无形资产 -------------40.64%156.6万-40.64%156.6万---------45.30%224万-53.00%263.8万-53.00%263.8万
确认的养老福利金 --0-63.50%77.3万-37.91%80.1万--114.9万--114.9万52.71%188.6万218.98%211.8万208.61%129万--0--0
非流动递延资产 -20.76%2,049.6万-23.30%2,197.1万-16.48%2,761.6万-16.35%2,702.6万-16.35%2,702.6万13,806.45%2,586.6万15,301.08%2,864.6万17,303.68%3,306.7万17,269.89%3,230.8万17,269.89%3,230.8万
非流动资产合计 18.41%2.38亿23.92%2.3亿22.22%2.3亿29.18%2.31亿29.18%2.31亿49.00%2.01亿34.87%1.86亿53.68%1.88亿49.39%1.79亿49.39%1.79亿
总资产 12.67%5.34亿14.82%5.19亿14.50%4.83亿10.40%4.91亿10.40%4.91亿21.99%4.74亿22.76%4.52亿23.46%4.22亿41.45%4.45亿41.45%4.45亿
负债
流动负债
短期借款与资本租赁负债 24.70%3,348.3万26.08%3,406.8万19.63%3,304.4万17.16%3,132.9万17.16%3,132.9万5.22%2,685.1万-1.01%2,702.2万-51.02%2,762.2万-47.07%2,674.1万-47.07%2,674.1万
-短期资本租赁负债 24.70%3,348.3万26.08%3,406.8万19.63%3,304.4万17.16%3,132.9万17.16%3,132.9万5.22%2,685.1万-1.01%2,702.2万25.82%2,762.2万28.02%2,674.1万28.02%2,674.1万
应付款项 -9.05%5,346.5万17.09%7,340.8万6.28%5,065.6万-9.32%3,722.9万-9.32%3,722.9万-11.42%5,878.4万17.54%6,269.5万0.24%4,766.1万118.55%4,105.4万118.55%4,105.4万
-应付账款 106.58%2,910.5万23.23%3,036.5万-23.27%985.1万24.95%2,284.4万24.95%2,284.4万-78.45%1,408.9万88.73%2,464.1万107.99%1,283.9万1,328.28%1,828.2万1,328.28%1,828.2万
-应付税费 -26.24%58.2万-32.28%45.1万-8.10%42万-56.29%44.5万-56.29%44.5万-20.94%78.9万-18.38%66.6万-14.58%45.7万89.57%101.8万89.57%101.8万
-其他应付款 -45.84%2,377.8万13.92%4,259.2万17.52%4,038.5万-35.92%1,394万-35.92%1,394万--4,390.6万-5.27%3,738.8万-15.86%3,436.5万28.21%2,175.4万28.21%2,175.4万
现行拨备 42.12%746.4万-11.97%374.2万-8.46%593.2万-19.23%325万-19.23%325万--525.2万-7.08%425.1万1.04%648万26.50%402.4万26.50%402.4万
养老金及其他退休福利计划 --1,838.5万---------41.34%2,172万-41.34%2,172万------------183.75%3,702.7万183.75%3,702.7万
递延负债 -14.50%991.6万-24.07%964.7万-17.70%1,005.9万-15.33%1,193.9万-15.33%1,193.9万6.94%1,159.7万6.22%1,270.5万0.60%1,222.3万4.52%1,410万4.52%1,410万
流动负债总额 19.74%1.23亿13.30%1.21亿6.07%9,969.1万-14.22%1.05亿-14.22%1.05亿-0.24%1.02亿9.78%1.07亿-23.28%9,398.6万24.15%1.23亿24.15%1.23亿
非流动负债
长期借款与租赁负债 27.19%1.15亿48.35%1.07亿53.44%1.06亿74.90%1.06亿74.90%1.06亿75.29%9,015.3万39.03%7,200.5万89.11%6,885.9万93.38%6,075.8万93.38%6,075.8万
-长期租赁负债 27.19%1.15亿48.35%1.07亿53.44%1.06亿74.90%1.06亿74.90%1.06亿75.29%9,015.3万39.03%7,200.5万89.11%6,885.9万93.38%6,075.8万93.38%6,075.8万
非流动负债总额 27.19%1.15亿48.35%1.07亿53.44%1.06亿74.90%1.06亿74.90%1.06亿75.29%9,015.3万39.03%7,200.5万89.11%6,885.9万93.38%6,075.8万93.38%6,075.8万
负债总额 23.23%2.37亿27.43%2.28亿26.10%2.05亿15.26%2.12亿15.26%2.12亿24.96%1.93亿19.95%1.79亿2.47%1.63亿40.83%1.84亿40.83%1.84亿
所有者权益
股本 1.75%2,878.7万0.43%2,841.5万3.31%2,831.2万3.23%2,829.2万3.23%2,829.2万3.23%2,829.2万3.23%2,829.2万0.00%2,740.6万0.00%2,740.6万0.00%2,740.6万
-普通股股本 1.75%2,878.7万0.43%2,841.5万3.31%2,831.2万3.23%2,829.2万3.23%2,829.2万3.23%2,829.2万3.23%2,829.2万0.00%2,740.6万0.00%2,740.6万0.00%2,740.6万
资本公积 2.98%1,143.5万3.64%1,140.4万1.23%1,131.8万3.09%1,120.7万3.09%1,120.7万4.11%1,110.4万4.94%1,100.3万8.60%1,118万5.59%1,087.1万5.59%1,087.1万
留存收益 5.49%2.52亿7.03%2.5亿7.35%2.37亿6.74%2.39亿6.74%2.39亿21.15%2.39亿28.27%2.34亿50.99%2.21亿52.12%2.24亿52.12%2.24亿
不影响留存收益的损益 49.74%407.3万378.75%130.7万--147.2万181.51%85.1万181.51%85.1万338.39%272万131.34%27.3万--0-22.39%-104.4万-22.39%-104.4万
股东权益总额 5.44%2.97亿6.58%2.92亿7.22%2.78亿6.97%2.79亿6.97%2.79亿20.03%2.81亿24.66%2.74亿41.68%2.59亿41.89%2.61亿41.89%2.61亿
总权益 5.44%2.97亿6.58%2.92亿7.22%2.78亿6.97%2.79亿6.97%2.79亿20.03%2.81亿24.66%2.74亿41.68%2.59亿41.89%2.61亿41.89%2.61亿
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ------无保留意见------------

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。

加拿大市场投资机会
股息之王 股息之王

加拿大的股息之王是指那些连续多年增加股息的公司,这不仅反映了其强大的商业模式和稳健的财务状况,也表明它们在市场中可能表现优于平均水平,并且波动性较小。 加拿大的股息之王是指那些连续多年增加股息的公司,这不仅反映了其强大的商业模式和稳健的财务状况,也表明它们在市场中可能表现优于平均水平,并且波动性较小。