加拿大市场个股详情

RPP Regent Pacific Properties Inc

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延时15分钟行情已收盘 06/18 16:00 (美东)
80.08万总市值2.86市盈率TTM

Regent Pacific Properties Inc关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
资产
流动资产
-应收账款
-76.24%1.93万
130.57%1.43万
130.57%1.43万
2,350.60%4.73万
1,798.47%5.82万
42.18%8.13万
-91.60%6,221
-91.60%6,221
-52.31%1,931
-88.93%3,067
流动资产合计
-72.32%2.31万
70.05%2.37万
70.05%2.37万
487.90%5.49万
675.61%6.42万
43.87%8.33万
-83.68%1.39万
-83.68%1.39万
-28.87%9,331
-76.26%8,277
非流动资产
-累计折旧
-3.83%-7.21万
-3.92%-7.15万
-3.92%-7.15万
-4.66%-7.2万
-4.52%-7.01万
-4.83%-6.95万
-5.15%-6.88万
-5.15%-6.88万
-6.87%-6.88万
-5.99%-6.71万
投资和预付款
2.81%2,215.6万
1.86%2,195.1万
1.86%2,195.1万
-3.15%2,155万
-3.15%2,155万
-3.15%2,155万
-3.15%2,155万
-3.15%2,155万
-4.95%2,225万
-5.07%2,225万
-长期股权投资
--1,554.95万
--1,518.86万
--1,518.86万
----
----
----
----
----
-38.75%3.68万
-39.78%3.61万
监管资产
-72.32%2.31万
70.05%2.37万
70.05%2.37万
487.90%5.49万
675.61%6.42万
43.87%8.33万
-83.68%1.39万
-83.68%1.39万
-28.87%9,331
-76.26%8,277
总资产
88.55%3,739
21.07%9,307
21.07%9,307
1.84%7,536
14.61%5,971
180.88%1,983
-31.44%7,687
-31.44%7,687
-18.41%7,400
-27.07%5,210
负债
流动负债
短期借款与资本租赁负债
-92.66%123.96万
-91.57%143.48万
-91.57%143.48万
-3.72%1,660.41万
-3.20%1,685.97万
-4.02%1,689.77万
-4.17%1,701.92万
-4.17%1,701.92万
-3.76%1,724.52万
-3.73%1,741.68万
-短期借款
-92.66%123.96万
-91.57%143.48万
-91.57%143.48万
-3.72%1,660.41万
-3.20%1,685.97万
-4.02%1,689.77万
-4.17%1,701.92万
-4.17%1,701.92万
-3.76%1,724.52万
-3.73%1,741.68万
-应付账款
-11.30%20.8万
36.44%22.89万
36.44%22.89万
9.25%17.73万
16.06%14.71万
439.39%23.45万
43.10%16.78万
43.10%16.78万
-15.69%16.23万
-27.13%12.68万
-应付税费
859.66%1,751.9万
839.89%1,715.81万
839.89%1,715.81万
2.96%182.55万
2.04%182.55万
2.07%182.55万
2.11%182.55万
2.11%182.55万
1.13%177.3万
2.06%178.91万
应计费用
-25.16%3.65万
1.16%4.06万
1.16%4.06万
247.45%3.47万
101.20%2.01万
-63.37%4.88万
-27.52%4.01万
-27.52%4.01万
77.15%1万
77.15%1万
递延负债
--9,312
-76.36%8,631
-76.36%8,631
--0
--0
--0
-18.67%3.65万
-18.67%3.65万
--0
-32.34%2.93万
流动负债总额
-90.63%161.91万
-89.19%187.36万
-89.19%187.36万
-2.62%1,696.07万
-2.48%1,714.73万
-2.93%1,727.74万
-3.84%1,733.68万
-3.84%1,733.68万
-3.94%1,741.75万
-4.00%1,758.28万
非流动负债
长期应计费用
-20.79%1.01万
-20.00%1.08万
-20.00%1.08万
-23.75%1.03万
-20.00%1.21万
-20.00%1.28万
-20.00%1.35万
-20.00%1.35万
-24.70%1.35万
-20.00%1.52万
长期拨备
--1,554.95万
--1,518.86万
--1,518.86万
----
----
----
----
----
-38.75%3.68万
-39.78%3.61万
非流动负债总额
0.18%1,913.81万
-0.68%1,903.17万
-0.68%1,903.17万
-2.11%1,878.62万
-2.06%1,897.28万
-2.47%1,910.29万
-3.30%1,916.23万
-3.30%1,916.23万
-3.49%1,919.05万
-3.47%1,937.19万
所有者权益
股本
0.00%416.76万
0.00%416.76万
0.00%416.76万
0.00%416.76万
0.00%416.76万
0.00%416.76万
0.00%416.76万
0.00%416.76万
0.00%416.76万
0.00%416.76万
-普通股股本
0.00%416.76万
0.00%416.76万
0.00%416.76万
0.00%416.76万
0.00%416.76万
0.00%416.76万
0.00%416.76万
0.00%416.76万
0.00%416.76万
0.00%416.76万
资本公积
0.00%57.63万
2.81%57.63万
2.81%57.63万
2.81%57.63万
2.81%57.63万
2.81%57.63万
0.00%56.05万
0.00%56.05万
0.00%56.05万
0.00%56.05万
总权益
1.35%2,325.96万
1.03%2,311.73万
1.03%2,311.73万
-2.79%2,291.9万
-2.74%2,293.02万
-2.87%2,295万
-3.27%2,288.13万
-3.27%2,288.13万
-4.66%2,357.67万
-4.80%2,357.73万
(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30
资产
流动资产
-应收账款 -76.24%1.93万130.57%1.43万130.57%1.43万2,350.60%4.73万1,798.47%5.82万42.18%8.13万-91.60%6,221-91.60%6,221-52.31%1,931-88.93%3,067
流动资产合计 -72.32%2.31万70.05%2.37万70.05%2.37万487.90%5.49万675.61%6.42万43.87%8.33万-83.68%1.39万-83.68%1.39万-28.87%9,331-76.26%8,277
非流动资产
-累计折旧 -3.83%-7.21万-3.92%-7.15万-3.92%-7.15万-4.66%-7.2万-4.52%-7.01万-4.83%-6.95万-5.15%-6.88万-5.15%-6.88万-6.87%-6.88万-5.99%-6.71万
投资和预付款 2.81%2,215.6万1.86%2,195.1万1.86%2,195.1万-3.15%2,155万-3.15%2,155万-3.15%2,155万-3.15%2,155万-3.15%2,155万-4.95%2,225万-5.07%2,225万
-长期股权投资 --1,554.95万--1,518.86万--1,518.86万---------------------38.75%3.68万-39.78%3.61万
监管资产 -72.32%2.31万70.05%2.37万70.05%2.37万487.90%5.49万675.61%6.42万43.87%8.33万-83.68%1.39万-83.68%1.39万-28.87%9,331-76.26%8,277
总资产 88.55%3,73921.07%9,30721.07%9,3071.84%7,53614.61%5,971180.88%1,983-31.44%7,687-31.44%7,687-18.41%7,400-27.07%5,210
负债
流动负债
短期借款与资本租赁负债 -92.66%123.96万-91.57%143.48万-91.57%143.48万-3.72%1,660.41万-3.20%1,685.97万-4.02%1,689.77万-4.17%1,701.92万-4.17%1,701.92万-3.76%1,724.52万-3.73%1,741.68万
-短期借款 -92.66%123.96万-91.57%143.48万-91.57%143.48万-3.72%1,660.41万-3.20%1,685.97万-4.02%1,689.77万-4.17%1,701.92万-4.17%1,701.92万-3.76%1,724.52万-3.73%1,741.68万
-应付账款 -11.30%20.8万36.44%22.89万36.44%22.89万9.25%17.73万16.06%14.71万439.39%23.45万43.10%16.78万43.10%16.78万-15.69%16.23万-27.13%12.68万
-应付税费 859.66%1,751.9万839.89%1,715.81万839.89%1,715.81万2.96%182.55万2.04%182.55万2.07%182.55万2.11%182.55万2.11%182.55万1.13%177.3万2.06%178.91万
应计费用 -25.16%3.65万1.16%4.06万1.16%4.06万247.45%3.47万101.20%2.01万-63.37%4.88万-27.52%4.01万-27.52%4.01万77.15%1万77.15%1万
递延负债 --9,312-76.36%8,631-76.36%8,631--0--0--0-18.67%3.65万-18.67%3.65万--0-32.34%2.93万
流动负债总额 -90.63%161.91万-89.19%187.36万-89.19%187.36万-2.62%1,696.07万-2.48%1,714.73万-2.93%1,727.74万-3.84%1,733.68万-3.84%1,733.68万-3.94%1,741.75万-4.00%1,758.28万
非流动负债
长期应计费用 -20.79%1.01万-20.00%1.08万-20.00%1.08万-23.75%1.03万-20.00%1.21万-20.00%1.28万-20.00%1.35万-20.00%1.35万-24.70%1.35万-20.00%1.52万
长期拨备 --1,554.95万--1,518.86万--1,518.86万---------------------38.75%3.68万-39.78%3.61万
非流动负债总额 0.18%1,913.81万-0.68%1,903.17万-0.68%1,903.17万-2.11%1,878.62万-2.06%1,897.28万-2.47%1,910.29万-3.30%1,916.23万-3.30%1,916.23万-3.49%1,919.05万-3.47%1,937.19万
所有者权益
股本 0.00%416.76万0.00%416.76万0.00%416.76万0.00%416.76万0.00%416.76万0.00%416.76万0.00%416.76万0.00%416.76万0.00%416.76万0.00%416.76万
-普通股股本 0.00%416.76万0.00%416.76万0.00%416.76万0.00%416.76万0.00%416.76万0.00%416.76万0.00%416.76万0.00%416.76万0.00%416.76万0.00%416.76万
资本公积 0.00%57.63万2.81%57.63万2.81%57.63万2.81%57.63万2.81%57.63万2.81%57.63万0.00%56.05万0.00%56.05万0.00%56.05万0.00%56.05万
总权益 1.35%2,325.96万1.03%2,311.73万1.03%2,311.73万-2.79%2,291.9万-2.74%2,293.02万-2.87%2,295万-3.27%2,288.13万-3.27%2,288.13万-4.66%2,357.67万-4.80%2,357.73万

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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