加拿大市场个股详情

RGG.H React Gaming Group Inc

添加自选
  • 0.035
  • 0.0000.00%
延时15分钟行情已收盘 11/29 09:30 (美东)
608.54万总市值-564市盈率TTM

React Gaming Group Inc关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
(FY)2021/12/31
(Q4)2021/12/31
(Q3)2021/09/30
(Q2)2021/06/30
(Q1)2021/03/31
(FY)2020/12/31
(Q4)2020/12/31
资产
流动资产
现金及现金等价物和短期投资
-85.51%35.11万
-52.75%153.69万
-61.33%185.32万
879.65%294.96万
879.65%294.96万
7,968.47%242.39万
19,861.77%325.24万
20,087.70%479.2万
-40.01%30.11万
-40.01%30.11万
-现金和现金等价物
-85.51%35.11万
-52.75%153.69万
-61.33%185.32万
879.65%294.96万
879.65%294.96万
7,968.47%242.39万
19,861.77%325.24万
20,087.70%479.2万
-40.01%30.11万
-40.01%30.11万
应收款项
129.08%44.99万
-39.71%48.97万
117.89%25.93万
103.45%116.88万
103.45%116.88万
122.36%19.64万
652.03%81.22万
-10.66%11.9万
345.43%57.45万
345.43%57.45万
-应收账款
645.38%9.35万
922.60%14.59万
308.06%1.5万
43.51%3.48万
43.51%3.48万
228.87%1.25万
-39.25%1.43万
-92.45%3,674
-45.42%2.43万
-45.42%2.43万
-应收税费
93.86%35.64万
1,021.56%34.38万
697.04%24.43万
38.42%11.01万
38.42%11.01万
117.55%18.39万
-63.73%3.07万
-63.73%3.07万
-5.89%7.95万
-5.89%7.95万
-其他应收款
----
----
----
117.52%102.39万
117.52%102.39万
----
--76.73万
--8.47万
--47.07万
--47.07万
存货
--9,035
--1.13万
--9,714
----
----
----
----
----
----
----
预付费用
202.67%29.39万
186.59%44.71万
8,228.30%49.97万
516.69%13.99万
516.69%13.99万
1,162.52%9.71万
1,928.61%15.6万
-81.35%6,000
-5.26%2.27万
-5.26%2.27万
受限制现金
18.02%83.88万
--0
--1,000.7万
--898.31万
--898.31万
--71.07万
----
----
--0
--0
流动资产合计
-43.33%194.27万
-41.12%248.49万
156.84%1,262.89万
1,374.08%1,324.14万
1,374.08%1,324.14万
2,619.46%342.8万
3,097.85%422.05万
2,500.01%491.7万
37.18%89.83万
37.18%89.83万
非流动资产
固定资产净额
-11.98%7.23万
114.60%25.18万
129.60%25.42万
74.22%20.45万
74.22%20.45万
-60.44%8.22万
-50.74%11.73万
242.98%11.07万
-30.44%11.74万
-30.44%11.74万
-固定资产
-48.86%8.98万
-0.68%29.39万
2.42%29.21万
-35.92%21.56万
-35.92%21.56万
-59.36%17.56万
-33.04%29.6万
42.04%28.52万
2.60%33.64万
2.60%33.64万
-累计折旧
81.30%-1.75万
76.39%-4.22万
78.24%-3.8万
94.93%-1.11万
94.93%-1.11万
58.36%-9.34万
12.35%-17.86万
-3.56%-17.45万
-37.61%-21.9万
-37.61%-21.9万
投资和预付款
----
----
----
----
----
----
--11万
211.41%7.5万
----
----
-长期股权投资
----
----
----
----
----
----
--11万
--7.5万
----
----
长期应收票据
----
----
----
----
----
----
--15.28万
--4.51万
----
----
长期预付费用
-20.36%7,028
-20.36%7,028
149.61%2.2万
69.97%1.5万
69.97%1.5万
-40.47%8,825
-40.47%8,825
-40.47%8,825
-40.47%8,825
-40.47%8,825
商誉及其他无形资产
1,071.69%1,556.06万
25,090.69%1,670.34万
24,698.18%1,754.92万
999.57%82.6万
999.57%82.6万
1,572.34%132.81万
-28.50%6.63万
-33.28%7.08万
-37.06%7.51万
-37.06%7.51万
-商誉
2,815.68%1,278.83万
--1,357.94万
--1,394.04万
--52.53万
--52.53万
--43.86万
----
----
--0
--0
-其他无形资产
211.69%277.23万
4,611.48%312.41万
4,999.50%360.88万
300.30%30.07万
300.30%30.07万
1,020.03%88.94万
-28.50%6.63万
-33.28%7.08万
-37.06%7.51万
-37.06%7.51万
其他非流动资产
----
----
----
----
----
----
100.00%-3
--2,689
----
----
非流动资产合计
1,002.13%1,564万
3,626.30%1,696.22万
5,594.02%1,782.54万
419.36%104.54万
419.36%104.54万
589.60%141.91万
91.00%45.52万
5.88%31.31万
-38.31%20.13万
-38.31%20.13万
总资产
262.75%1,758.27万
315.92%1,944.72万
482.30%3,045.43万
1,199.30%1,428.69万
1,199.30%1,428.69万
1,360.69%484.71万
1,162.65%467.58万
978.82%523万
12.07%109.96万
12.07%109.96万
负债
流动负债
短期借款与资本租赁负债
693.58%263万
13.80%35.24万
402.33%166.48万
-32.74%22.29万
-32.74%22.29万
318.17%33.14万
290.74%30.97万
--33.14万
744.29%33.14万
744.29%33.14万
-短期借款
693.58%263万
13.80%35.24万
402.33%166.48万
-32.74%22.29万
-32.74%22.29万
318.17%33.14万
290.74%30.97万
--33.14万
744.29%33.14万
744.29%33.14万
应付款项
544.42%328.09万
3,291.50%332.06万
2,179.65%1,093.09万
212.55%60.34万
212.55%60.34万
27.72%50.91万
-60.02%9.79万
207.20%47.95万
14.94%19.31万
14.94%19.31万
-应付账款
184.69%142.53万
702.65%145.89万
75.27%32.44万
214.99%60.34万
214.99%60.34万
15.98%50.07万
-33.67%18.18万
18.20%18.51万
14.72%19.16万
14.72%19.16万
-应付税费
21,821.11%185.56万
2,320.27%186.17万
785.29%260.65万
--0
--0
125.61%8,465
-187.76%-8.39万
59,700.00%29.44万
50.25%1,498
50.25%1,498
-应付关联方款项
----
----
--800万
----
----
----
----
----
----
----
应计费用
1,595.14%8.9万
--8.9万
--38.45万
----
----
--5,250
----
----
----
----
养老金及其他退休福利计划
48.95%21.7万
74.07%23.67万
63.26%29.1万
-63.68%10.9万
-63.68%10.9万
2.48%14.57万
46.75%13.6万
197.12%17.82万
501.52%30.02万
501.52%30.02万
其他流动负债
--43.05万
41,355,500.00%41.36万
--33.14万
--1,000.7万
--1,000.7万
----
---1
----
----
----
流动负债总额
570.47%664.74万
711.74%441.22万
1,275.21%1,360.26万
1,226.91%1,094.23万
1,226.91%1,094.23万
107.47%99.15万
30.41%54.36万
533.71%98.91万
215.98%82.46万
215.98%82.46万
非流动负债
长期借款与租赁负债
-83.96%8,529
2,389.64%214.6万
4,298.90%331.96万
61.89%13.95万
61.89%13.95万
-86.02%5.32万
-69.95%8.62万
-53.34%7.55万
-65.88%8.62万
-65.88%8.62万
-长期借款
-83.96%8,529
2,389.64%214.6万
4,298.90%331.96万
61.89%13.95万
61.89%13.95万
-86.02%5.32万
-50.02%8.62万
-53.34%7.55万
-65.88%8.62万
-65.88%8.62万
其他非流动负债
--115.42万
--115.42万
----
----
----
----
----
----
----
----
非流动负债总额
2,086.28%116.27万
3,728.69%330.02万
4,298.90%331.96万
61.89%13.95万
61.89%13.95万
-86.02%5.32万
-69.95%8.62万
-73.28%7.55万
-65.88%8.62万
-65.88%8.62万
负债总额
647.64%781.01万
1,124.69%771.24万
1,489.54%1,692.22万
1,116.66%1,108.19万
1,116.66%1,108.19万
21.70%104.46万
-10.50%62.97万
142.77%106.46万
77.35%91.08万
77.35%91.08万
所有者权益
股本
124.19%2,727.3万
105.01%2,728.36万
114.56%2,728.36万
71.01%1,438.01万
71.01%1,438.01万
59.54%1,216.52万
74.54%1,330.86万
66.76%1,271.59万
10.28%840.91万
10.28%840.91万
-普通股股本
124.19%2,727.3万
105.01%2,728.36万
114.56%2,728.36万
71.01%1,438.01万
71.01%1,438.01万
59.54%1,216.52万
74.54%1,330.86万
66.76%1,271.59万
10.28%840.91万
10.28%840.91万
资本公积
52.35%388.34万
91.66%372.62万
92.79%374.8万
24.33%241.71万
24.33%241.71万
128.96%254.89万
74.64%194.41万
74.64%194.41万
74.64%194.41万
74.64%194.41万
留存收益
-68.83%-2,239.51万
-80.45%-2,030.01万
-78.10%-1,876.77万
-50.78%-1,539.07万
-50.78%-1,539.07万
-31.39%-1,326.53万
-13.60%-1,124.98万
-10.65%-1,053.77万
-12.15%-1,020.75万
-12.15%-1,020.75万
不影响留存收益的损益
---75.64万
---73.2万
---48.9万
----
----
----
----
----
----
----
其他股本权益
-24.89%176.77万
3,983.76%175.71万
3,983.76%175.71万
4,080.04%179.85万
4,080.04%179.85万
183.26%235.35万
-94.82%4.3万
-94.82%4.3万
-94.82%4.3万
-94.82%4.3万
股东权益总额
157.01%977.26万
190.03%1,173.48万
224.87%1,353.21万
1,598.12%320.5万
1,598.12%320.5万
822.13%380.25万
1,313.92%404.6万
8,902.43%416.54万
-59.63%18.87万
-59.63%18.87万
总权益
157.01%977.26万
190.03%1,173.48万
224.87%1,353.21万
1,598.12%320.5万
1,598.12%320.5万
822.13%380.25万
1,313.92%404.6万
8,902.43%416.54万
-59.63%18.87万
-59.63%18.87万
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
--
--
--
带解释段的无保留意见
--
--
--
--
带解释段的无保留意见
--
(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31(FY)2021/12/31(Q4)2021/12/31(Q3)2021/09/30(Q2)2021/06/30(Q1)2021/03/31(FY)2020/12/31(Q4)2020/12/31
资产
流动资产
现金及现金等价物和短期投资 -85.51%35.11万-52.75%153.69万-61.33%185.32万879.65%294.96万879.65%294.96万7,968.47%242.39万19,861.77%325.24万20,087.70%479.2万-40.01%30.11万-40.01%30.11万
-现金和现金等价物 -85.51%35.11万-52.75%153.69万-61.33%185.32万879.65%294.96万879.65%294.96万7,968.47%242.39万19,861.77%325.24万20,087.70%479.2万-40.01%30.11万-40.01%30.11万
应收款项 129.08%44.99万-39.71%48.97万117.89%25.93万103.45%116.88万103.45%116.88万122.36%19.64万652.03%81.22万-10.66%11.9万345.43%57.45万345.43%57.45万
-应收账款 645.38%9.35万922.60%14.59万308.06%1.5万43.51%3.48万43.51%3.48万228.87%1.25万-39.25%1.43万-92.45%3,674-45.42%2.43万-45.42%2.43万
-应收税费 93.86%35.64万1,021.56%34.38万697.04%24.43万38.42%11.01万38.42%11.01万117.55%18.39万-63.73%3.07万-63.73%3.07万-5.89%7.95万-5.89%7.95万
-其他应收款 ------------117.52%102.39万117.52%102.39万------76.73万--8.47万--47.07万--47.07万
存货 --9,035--1.13万--9,714----------------------------
预付费用 202.67%29.39万186.59%44.71万8,228.30%49.97万516.69%13.99万516.69%13.99万1,162.52%9.71万1,928.61%15.6万-81.35%6,000-5.26%2.27万-5.26%2.27万
受限制现金 18.02%83.88万--0--1,000.7万--898.31万--898.31万--71.07万----------0--0
流动资产合计 -43.33%194.27万-41.12%248.49万156.84%1,262.89万1,374.08%1,324.14万1,374.08%1,324.14万2,619.46%342.8万3,097.85%422.05万2,500.01%491.7万37.18%89.83万37.18%89.83万
非流动资产
固定资产净额 -11.98%7.23万114.60%25.18万129.60%25.42万74.22%20.45万74.22%20.45万-60.44%8.22万-50.74%11.73万242.98%11.07万-30.44%11.74万-30.44%11.74万
-固定资产 -48.86%8.98万-0.68%29.39万2.42%29.21万-35.92%21.56万-35.92%21.56万-59.36%17.56万-33.04%29.6万42.04%28.52万2.60%33.64万2.60%33.64万
-累计折旧 81.30%-1.75万76.39%-4.22万78.24%-3.8万94.93%-1.11万94.93%-1.11万58.36%-9.34万12.35%-17.86万-3.56%-17.45万-37.61%-21.9万-37.61%-21.9万
投资和预付款 --------------------------11万211.41%7.5万--------
-长期股权投资 --------------------------11万--7.5万--------
长期应收票据 --------------------------15.28万--4.51万--------
长期预付费用 -20.36%7,028-20.36%7,028149.61%2.2万69.97%1.5万69.97%1.5万-40.47%8,825-40.47%8,825-40.47%8,825-40.47%8,825-40.47%8,825
商誉及其他无形资产 1,071.69%1,556.06万25,090.69%1,670.34万24,698.18%1,754.92万999.57%82.6万999.57%82.6万1,572.34%132.81万-28.50%6.63万-33.28%7.08万-37.06%7.51万-37.06%7.51万
-商誉 2,815.68%1,278.83万--1,357.94万--1,394.04万--52.53万--52.53万--43.86万----------0--0
-其他无形资产 211.69%277.23万4,611.48%312.41万4,999.50%360.88万300.30%30.07万300.30%30.07万1,020.03%88.94万-28.50%6.63万-33.28%7.08万-37.06%7.51万-37.06%7.51万
其他非流动资产 ------------------------100.00%-3--2,689--------
非流动资产合计 1,002.13%1,564万3,626.30%1,696.22万5,594.02%1,782.54万419.36%104.54万419.36%104.54万589.60%141.91万91.00%45.52万5.88%31.31万-38.31%20.13万-38.31%20.13万
总资产 262.75%1,758.27万315.92%1,944.72万482.30%3,045.43万1,199.30%1,428.69万1,199.30%1,428.69万1,360.69%484.71万1,162.65%467.58万978.82%523万12.07%109.96万12.07%109.96万
负债
流动负债
短期借款与资本租赁负债 693.58%263万13.80%35.24万402.33%166.48万-32.74%22.29万-32.74%22.29万318.17%33.14万290.74%30.97万--33.14万744.29%33.14万744.29%33.14万
-短期借款 693.58%263万13.80%35.24万402.33%166.48万-32.74%22.29万-32.74%22.29万318.17%33.14万290.74%30.97万--33.14万744.29%33.14万744.29%33.14万
应付款项 544.42%328.09万3,291.50%332.06万2,179.65%1,093.09万212.55%60.34万212.55%60.34万27.72%50.91万-60.02%9.79万207.20%47.95万14.94%19.31万14.94%19.31万
-应付账款 184.69%142.53万702.65%145.89万75.27%32.44万214.99%60.34万214.99%60.34万15.98%50.07万-33.67%18.18万18.20%18.51万14.72%19.16万14.72%19.16万
-应付税费 21,821.11%185.56万2,320.27%186.17万785.29%260.65万--0--0125.61%8,465-187.76%-8.39万59,700.00%29.44万50.25%1,49850.25%1,498
-应付关联方款项 ----------800万----------------------------
应计费用 1,595.14%8.9万--8.9万--38.45万----------5,250----------------
养老金及其他退休福利计划 48.95%21.7万74.07%23.67万63.26%29.1万-63.68%10.9万-63.68%10.9万2.48%14.57万46.75%13.6万197.12%17.82万501.52%30.02万501.52%30.02万
其他流动负债 --43.05万41,355,500.00%41.36万--33.14万--1,000.7万--1,000.7万-------1------------
流动负债总额 570.47%664.74万711.74%441.22万1,275.21%1,360.26万1,226.91%1,094.23万1,226.91%1,094.23万107.47%99.15万30.41%54.36万533.71%98.91万215.98%82.46万215.98%82.46万
非流动负债
长期借款与租赁负债 -83.96%8,5292,389.64%214.6万4,298.90%331.96万61.89%13.95万61.89%13.95万-86.02%5.32万-69.95%8.62万-53.34%7.55万-65.88%8.62万-65.88%8.62万
-长期借款 -83.96%8,5292,389.64%214.6万4,298.90%331.96万61.89%13.95万61.89%13.95万-86.02%5.32万-50.02%8.62万-53.34%7.55万-65.88%8.62万-65.88%8.62万
其他非流动负债 --115.42万--115.42万--------------------------------
非流动负债总额 2,086.28%116.27万3,728.69%330.02万4,298.90%331.96万61.89%13.95万61.89%13.95万-86.02%5.32万-69.95%8.62万-73.28%7.55万-65.88%8.62万-65.88%8.62万
负债总额 647.64%781.01万1,124.69%771.24万1,489.54%1,692.22万1,116.66%1,108.19万1,116.66%1,108.19万21.70%104.46万-10.50%62.97万142.77%106.46万77.35%91.08万77.35%91.08万
所有者权益
股本 124.19%2,727.3万105.01%2,728.36万114.56%2,728.36万71.01%1,438.01万71.01%1,438.01万59.54%1,216.52万74.54%1,330.86万66.76%1,271.59万10.28%840.91万10.28%840.91万
-普通股股本 124.19%2,727.3万105.01%2,728.36万114.56%2,728.36万71.01%1,438.01万71.01%1,438.01万59.54%1,216.52万74.54%1,330.86万66.76%1,271.59万10.28%840.91万10.28%840.91万
资本公积 52.35%388.34万91.66%372.62万92.79%374.8万24.33%241.71万24.33%241.71万128.96%254.89万74.64%194.41万74.64%194.41万74.64%194.41万74.64%194.41万
留存收益 -68.83%-2,239.51万-80.45%-2,030.01万-78.10%-1,876.77万-50.78%-1,539.07万-50.78%-1,539.07万-31.39%-1,326.53万-13.60%-1,124.98万-10.65%-1,053.77万-12.15%-1,020.75万-12.15%-1,020.75万
不影响留存收益的损益 ---75.64万---73.2万---48.9万----------------------------
其他股本权益 -24.89%176.77万3,983.76%175.71万3,983.76%175.71万4,080.04%179.85万4,080.04%179.85万183.26%235.35万-94.82%4.3万-94.82%4.3万-94.82%4.3万-94.82%4.3万
股东权益总额 157.01%977.26万190.03%1,173.48万224.87%1,353.21万1,598.12%320.5万1,598.12%320.5万822.13%380.25万1,313.92%404.6万8,902.43%416.54万-59.63%18.87万-59.63%18.87万
总权益 157.01%977.26万190.03%1,173.48万224.87%1,353.21万1,598.12%320.5万1,598.12%320.5万822.13%380.25万1,313.92%404.6万8,902.43%416.54万-59.63%18.87万-59.63%18.87万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ------带解释段的无保留意见--------带解释段的无保留意见--

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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