加拿大市场个股详情

SCL Shawcor Ltd

添加自选
  • 16.570
  • 0.0000.00%
延时15分钟行情已收盘 06/06 16:00 (美东)
11.51亿总市值552.33市盈率TTM

Shawcor Ltd关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(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
资产
流动资产
现金及现金等价物和短期投资
88.86%1.62亿
112.13%2.64亿
112.13%2.64亿
6.23%1.24亿
-17.26%1.16亿
-55.85%8,578.1万
-41.99%1.24亿
-41.99%1.24亿
9.44%1.17亿
34.97%1.4亿
-现金和现金等价物
88.86%1.62亿
112.13%2.64亿
112.13%2.64亿
6.23%1.24亿
-17.26%1.16亿
-55.85%8,578.1万
-41.99%1.24亿
-41.99%1.24亿
9.44%1.17亿
34.97%1.4亿
应收款项
30.70%3.24亿
16.81%2.75亿
16.81%2.75亿
-4.49%2.61亿
3.16%2.75亿
-3.16%2.48亿
-11.30%2.36亿
-11.30%2.36亿
0.71%2.74亿
-2.85%2.67亿
-应收账款
25.12%2.55亿
19.82%1.96亿
19.82%1.96亿
-4.95%2.17亿
9.35%2.3亿
0.30%2.04亿
-2.60%1.64亿
-2.60%1.64亿
7.45%2.28亿
1.10%2.11亿
-应收税费
-64.63%422.9万
-36.18%771.4万
-36.18%771.4万
-36.40%741.2万
17.78%1,271.6万
4.54%1,195.7万
-1.76%1,208.8万
-1.76%1,208.8万
-36.45%1,165.5万
-40.24%1,079.6万
-其他应收款
102.12%6,438.6万
19.27%7,152.4万
19.27%7,152.4万
9.71%3,686.2万
-28.98%3,226.8万
-22.41%3,185.5万
-29.80%5,997万
-29.80%5,997万
-17.70%3,360.1万
-5.87%4,543.5万
存货
44.29%2.09亿
48.25%1.82亿
48.25%1.82亿
27.08%1.64亿
31.47%1.66亿
10.32%1.45亿
-2.84%1.23亿
-2.84%1.23亿
-24.94%1.29亿
-27.88%1.26亿
预付费用
279.44%4,201.2万
91.20%1,766.9万
91.20%1,766.9万
4.55%1,566.3万
23.20%1,162.4万
-12.18%1,107.2万
-25.75%924.1万
-25.75%924.1万
-23.39%1,498.1万
-31.84%943.5万
套期保值资产
--8.8万
860.67%144.1万
860.67%144.1万
--9.6万
--0
--0
-78.29%15万
-78.29%15万
--0
--0
持有待售资产
----
----
----
--4,262.7万
----
----
----
----
----
----
流动资产合计
50.57%7.36亿
50.40%7.4亿
50.40%7.4亿
13.71%6.08亿
4.81%5.68亿
-17.62%4.89亿
-20.56%4.92亿
-20.56%4.92亿
-6.23%5.34亿
-4.35%5.42亿
非流动资产
固定资产净额
3.93%3.71亿
-3.92%3.47亿
-3.92%3.47亿
-10.90%3.42亿
-19.71%3.19亿
-13.09%3.57亿
-15.46%3.62亿
-15.46%3.62亿
-16.43%3.84亿
-18.31%3.98亿
-固定资产
3.93%3.71亿
-6.12%10.15亿
-6.12%10.15亿
-10.90%3.42亿
-19.71%3.19亿
-13.09%3.57亿
-12.01%10.81亿
-12.01%10.81亿
-16.43%3.84亿
-18.31%3.98亿
-累计折旧
----
7.22%-6.68亿
7.22%-6.68亿
----
----
----
10.17%-7.2亿
10.17%-7.2亿
----
----
投资和预付款
----
----
----
----
----
----
----
----
-73.01%393.8万
-22.58%511.8万
-长期股权投资
----
----
----
----
----
----
----
----
-73.01%393.8万
-22.58%511.8万
长期应收票据
----
-41.86%51.8万
-41.86%51.8万
----
----
----
--89.1万
--89.1万
----
----
长期预付费用
----
-23.08%26万
-23.08%26万
----
----
----
-88.16%33.8万
-88.16%33.8万
----
----
商誉及其他无形资产
3.07%3.94亿
-0.03%3.88亿
-0.03%3.88亿
-6.88%3.85亿
-9.04%3.81亿
-9.96%3.82亿
-10.14%3.88亿
-10.14%3.88亿
-10.65%4.14亿
-10.94%4.18亿
-商誉
3.02%2.21亿
0.69%2.17亿
0.69%2.17亿
-6.30%2.15亿
-6.63%2.13亿
-6.56%2.14亿
-6.92%2.16亿
-6.92%2.16亿
-6.40%2.3亿
-7.06%2.28亿
-其他无形资产
3.14%1.73亿
-0.93%1.71亿
-0.93%1.71亿
-7.60%1.7亿
-11.93%1.67亿
-13.96%1.68亿
-13.86%1.72亿
-13.86%1.72亿
-15.46%1.84亿
-15.19%1.9亿
确认的养老福利金
----
195.83%1,149.6万
195.83%1,149.6万
----
----
----
843.20%388.6万
843.20%388.6万
----
----
非流动递延资产
235.48%7,020.2万
193.80%6,122.4万
193.80%6,122.4万
58.76%4,353.1万
-29.19%2,011.2万
-32.93%2,092.6万
-34.12%2,083.9万
-34.12%2,083.9万
-17.83%2,741.9万
-13.76%2,840.4万
其他非流动资产
152.32%1,264.4万
----
----
635.75%415.7万
358.27%445.9万
191.17%501.1万
----
----
-87.48%56.5万
-80.19%97.3万
非流动资产合计
10.81%8.48亿
4.29%8.09亿
4.29%8.09亿
-6.57%7.75亿
-14.83%7.24亿
-12.37%7.65亿
-14.40%7.75亿
-14.40%7.75亿
-14.91%8.29亿
-15.03%8.5亿
总资产
26.31%15.84亿
22.19%15.49亿
22.19%15.49亿
1.38%13.83亿
-7.18%12.93亿
-14.50%12.54亿
-16.90%12.68亿
-16.90%12.68亿
-11.71%13.64亿
-11.17%13.93亿
负债
流动负债
短期借款与资本租赁负债
116.59%3,012.7万
92.70%2,580.4万
92.70%2,580.4万
31.58%2,031.1万
-15.14%1,435.4万
-23.72%1,391万
-27.97%1,339.1万
-27.97%1,339.1万
-23.89%1,543.6万
-96.30%1,691.5万
-短期资本租赁负债
116.59%3,012.7万
92.70%2,580.4万
92.70%2,580.4万
31.58%2,031.1万
-15.14%1,435.4万
-23.72%1,391万
-27.97%1,339.1万
-27.97%1,339.1万
-23.89%1,543.6万
-22.66%1,691.5万
应付款项
23.28%2.63亿
9.79%1.06亿
9.79%1.06亿
26.09%2.41亿
17.94%2.21亿
16.91%2.13亿
-0.04%9,687.3万
-0.04%9,687.3万
-10.67%1.91亿
-4.71%1.87亿
-应付账款
25.96%2.5亿
20.87%9,966.7万
20.87%9,966.7万
31.46%2.3亿
19.41%2.04亿
20.57%1.99亿
4.40%8,245.9万
4.40%8,245.9万
-11.16%1.75亿
-5.64%1.71亿
-应付税费
-13.11%1,271.6万
-53.57%669.2万
-53.57%669.2万
-33.71%1,042.5万
2.93%1,719.2万
-17.20%1,463.5万
-19.58%1,441.4万
-19.58%1,441.4万
-4.88%1,572.6万
5.90%1,670.2万
应计费用
----
34.76%1.38亿
34.76%1.38亿
----
----
----
4.13%1.02亿
4.13%1.02亿
----
----
现行拨备
67.58%2,204.9万
5.86%1,581.3万
5.86%1,581.3万
-9.46%1,483.6万
-16.69%1,504.5万
-27.60%1,315.7万
-18.79%1,493.8万
-18.79%1,493.8万
-14.60%1,638.6万
-11.80%1,806万
养老金及其他退休福利计划
----
546.20%2,749.6万
546.20%2,749.6万
----
----
----
14.11%425.5万
14.11%425.5万
----
----
递延负债
686.47%2.39亿
595.23%1.92亿
595.23%1.92亿
218.30%7,929.7万
95.31%4,374.1万
49.09%3,042.7万
-14.66%2,763万
-14.66%2,763万
-52.99%2,491.3万
-60.71%2,239.6万
其他流动负债
140.00%1,658.9万
6.82%83万
6.82%83万
369.59%3,102.1万
48.86%858.8万
24.45%691.2万
-45.78%77.7万
-45.78%77.7万
91.15%660.6万
14.76%576.9万
流动负债总额
105.61%5.71亿
94.61%5.06亿
94.61%5.06亿
51.88%3.86亿
20.84%3.03亿
13.44%2.78亿
-3.53%2.6亿
-3.53%2.6亿
-17.88%2.54亿
-65.96%2.51亿
非流动负债
长期借款与租赁负债
-31.11%2.19亿
-26.63%2.44亿
-26.63%2.44亿
-27.41%2.67亿
-23.70%3.09亿
-34.34%3.17亿
-31.58%3.33亿
-31.58%3.33亿
-25.96%3.68亿
493.80%4.04亿
-长期借款
-33.11%1.86亿
-27.83%2.11亿
-27.83%2.11亿
-29.38%2.29亿
-22.36%2.79亿
-35.76%2.79亿
-32.59%2.92亿
-32.59%2.92亿
-25.26%3.25亿
--3.59亿
-长期租赁负债
-16.79%3,227.4万
-18.06%3,363.5万
-18.06%3,363.5万
-12.59%3,770.6万
-34.35%2,969.3万
-21.90%3,878.8万
-23.38%4,104.8万
-23.38%4,104.8万
-30.84%4,313.5万
-33.60%4,522.7万
长期拨备
-12.79%1,384.9万
-8.72%1,413.2万
-8.72%1,413.2万
-22.19%1,313.4万
-18.58%1,344.4万
-5.01%1,588万
-13.30%1,548.2万
-13.30%1,548.2万
-18.62%1,687.9万
-20.46%1,651.1万
员工福利
-7.11%980.3万
33.55%1,673.1万
33.55%1,673.1万
-43.38%1,101.9万
-44.98%1,048万
-45.92%1,055.3万
-45.53%1,252.8万
-45.53%1,252.8万
15.62%1,946万
13.56%1,904.9万
递延负债
832.57%3,977.4万
1,846.79%6,798.2万
1,846.79%6,798.2万
299.31%1,915.5万
170.71%578.5万
-31.74%426.5万
-49.20%349.2万
-49.20%349.2万
-52.84%479.7万
-81.79%213.7万
其他非流动负债
243.07%816.5万
----
----
-7.83%479.2万
-73.96%298.1万
-49.51%238万
-80.10%92万
-80.10%92万
-0.31%519.9万
218.35%1,144.8万
非流动负债总额
-17.19%2.9亿
-6.10%3.43亿
-6.10%3.43亿
-23.92%3.15亿
-24.76%3.41亿
-33.95%3.5亿
-32.21%3.66亿
-32.21%3.66亿
-24.67%4.14亿
274.93%4.54亿
负债总额
37.10%8.61亿
35.76%8.49亿
35.76%8.49亿
4.92%7.02亿
-8.53%6.44亿
-18.98%6.28亿
-22.65%6.26亿
-22.65%6.26亿
-22.22%6.69亿
-17.85%7.04亿
所有者权益
股本
-1.91%7.08亿
-1.89%7.07亿
-1.89%7.07亿
-1.30%7.12亿
0.09%7.22亿
0.18%7.21亿
0.19%7.21亿
0.19%7.21亿
0.25%7.21亿
0.28%7.21亿
-普通股股本
-1.91%7.08亿
-1.89%7.07亿
-1.89%7.07亿
-1.30%7.12亿
0.09%7.22亿
0.18%7.21亿
0.19%7.21亿
0.19%7.21亿
0.25%7.21亿
0.28%7.21亿
资本公积
-11.84%2,484.7万
-7.87%2,571.7万
-7.87%2,571.7万
4.98%2,872.7万
7.35%2,861.5万
5.87%2,818.4万
5.36%2,791.4万
5.36%2,791.4万
4.15%2,736.3万
3.00%2,665.7万
留存收益
0.36%-1.37亿
-23.25%-1.61亿
-23.25%-1.61亿
-29.82%-9,437.3万
-82.25%-1.17亿
-105.40%-1.38亿
-153.06%-1.31亿
-153.06%-1.31亿
32.38%-7,269.5万
27.79%-6,441.1万
不影响留存收益的损益
1,018.84%1.27亿
502.28%1.27亿
502.28%1.27亿
104.43%3,271.9万
683.82%1,356.8万
38.95%1,137万
15.81%2,116.5万
15.81%2,116.5万
-62.72%1,600.5万
-96.58%173.1万
股东权益总额
15.91%7.22亿
9.40%6.99亿
9.40%6.99亿
-1.87%6.79亿
-5.62%6.46亿
-9.40%6.23亿
-10.30%6.39亿
-10.30%6.39亿
1.58%6.92亿
-3.01%6.85亿
非控制性权益
-85.79%38万
-90.17%27.5万
-90.17%27.5万
-32.95%241.5万
-38.76%217.6万
-23.25%267.4万
-29.96%279.8万
-29.96%279.8万
-14.18%360.2万
-19.16%355.3万
总权益
15.48%7.23亿
8.97%7亿
8.97%7亿
-2.03%6.81亿
-5.79%6.49亿
-9.47%6.26亿
-10.41%6.42亿
-10.41%6.42亿
1.48%6.95亿
-3.11%6.88亿
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
--
--
--
(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(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
资产
流动资产
现金及现金等价物和短期投资 88.86%1.62亿112.13%2.64亿112.13%2.64亿6.23%1.24亿-17.26%1.16亿-55.85%8,578.1万-41.99%1.24亿-41.99%1.24亿9.44%1.17亿34.97%1.4亿
-现金和现金等价物 88.86%1.62亿112.13%2.64亿112.13%2.64亿6.23%1.24亿-17.26%1.16亿-55.85%8,578.1万-41.99%1.24亿-41.99%1.24亿9.44%1.17亿34.97%1.4亿
应收款项 30.70%3.24亿16.81%2.75亿16.81%2.75亿-4.49%2.61亿3.16%2.75亿-3.16%2.48亿-11.30%2.36亿-11.30%2.36亿0.71%2.74亿-2.85%2.67亿
-应收账款 25.12%2.55亿19.82%1.96亿19.82%1.96亿-4.95%2.17亿9.35%2.3亿0.30%2.04亿-2.60%1.64亿-2.60%1.64亿7.45%2.28亿1.10%2.11亿
-应收税费 -64.63%422.9万-36.18%771.4万-36.18%771.4万-36.40%741.2万17.78%1,271.6万4.54%1,195.7万-1.76%1,208.8万-1.76%1,208.8万-36.45%1,165.5万-40.24%1,079.6万
-其他应收款 102.12%6,438.6万19.27%7,152.4万19.27%7,152.4万9.71%3,686.2万-28.98%3,226.8万-22.41%3,185.5万-29.80%5,997万-29.80%5,997万-17.70%3,360.1万-5.87%4,543.5万
存货 44.29%2.09亿48.25%1.82亿48.25%1.82亿27.08%1.64亿31.47%1.66亿10.32%1.45亿-2.84%1.23亿-2.84%1.23亿-24.94%1.29亿-27.88%1.26亿
预付费用 279.44%4,201.2万91.20%1,766.9万91.20%1,766.9万4.55%1,566.3万23.20%1,162.4万-12.18%1,107.2万-25.75%924.1万-25.75%924.1万-23.39%1,498.1万-31.84%943.5万
套期保值资产 --8.8万860.67%144.1万860.67%144.1万--9.6万--0--0-78.29%15万-78.29%15万--0--0
持有待售资产 --------------4,262.7万------------------------
流动资产合计 50.57%7.36亿50.40%7.4亿50.40%7.4亿13.71%6.08亿4.81%5.68亿-17.62%4.89亿-20.56%4.92亿-20.56%4.92亿-6.23%5.34亿-4.35%5.42亿
非流动资产
固定资产净额 3.93%3.71亿-3.92%3.47亿-3.92%3.47亿-10.90%3.42亿-19.71%3.19亿-13.09%3.57亿-15.46%3.62亿-15.46%3.62亿-16.43%3.84亿-18.31%3.98亿
-固定资产 3.93%3.71亿-6.12%10.15亿-6.12%10.15亿-10.90%3.42亿-19.71%3.19亿-13.09%3.57亿-12.01%10.81亿-12.01%10.81亿-16.43%3.84亿-18.31%3.98亿
-累计折旧 ----7.22%-6.68亿7.22%-6.68亿------------10.17%-7.2亿10.17%-7.2亿--------
投资和预付款 ---------------------------------73.01%393.8万-22.58%511.8万
-长期股权投资 ---------------------------------73.01%393.8万-22.58%511.8万
长期应收票据 -----41.86%51.8万-41.86%51.8万--------------89.1万--89.1万--------
长期预付费用 -----23.08%26万-23.08%26万-------------88.16%33.8万-88.16%33.8万--------
商誉及其他无形资产 3.07%3.94亿-0.03%3.88亿-0.03%3.88亿-6.88%3.85亿-9.04%3.81亿-9.96%3.82亿-10.14%3.88亿-10.14%3.88亿-10.65%4.14亿-10.94%4.18亿
-商誉 3.02%2.21亿0.69%2.17亿0.69%2.17亿-6.30%2.15亿-6.63%2.13亿-6.56%2.14亿-6.92%2.16亿-6.92%2.16亿-6.40%2.3亿-7.06%2.28亿
-其他无形资产 3.14%1.73亿-0.93%1.71亿-0.93%1.71亿-7.60%1.7亿-11.93%1.67亿-13.96%1.68亿-13.86%1.72亿-13.86%1.72亿-15.46%1.84亿-15.19%1.9亿
确认的养老福利金 ----195.83%1,149.6万195.83%1,149.6万------------843.20%388.6万843.20%388.6万--------
非流动递延资产 235.48%7,020.2万193.80%6,122.4万193.80%6,122.4万58.76%4,353.1万-29.19%2,011.2万-32.93%2,092.6万-34.12%2,083.9万-34.12%2,083.9万-17.83%2,741.9万-13.76%2,840.4万
其他非流动资产 152.32%1,264.4万--------635.75%415.7万358.27%445.9万191.17%501.1万---------87.48%56.5万-80.19%97.3万
非流动资产合计 10.81%8.48亿4.29%8.09亿4.29%8.09亿-6.57%7.75亿-14.83%7.24亿-12.37%7.65亿-14.40%7.75亿-14.40%7.75亿-14.91%8.29亿-15.03%8.5亿
总资产 26.31%15.84亿22.19%15.49亿22.19%15.49亿1.38%13.83亿-7.18%12.93亿-14.50%12.54亿-16.90%12.68亿-16.90%12.68亿-11.71%13.64亿-11.17%13.93亿
负债
流动负债
短期借款与资本租赁负债 116.59%3,012.7万92.70%2,580.4万92.70%2,580.4万31.58%2,031.1万-15.14%1,435.4万-23.72%1,391万-27.97%1,339.1万-27.97%1,339.1万-23.89%1,543.6万-96.30%1,691.5万
-短期资本租赁负债 116.59%3,012.7万92.70%2,580.4万92.70%2,580.4万31.58%2,031.1万-15.14%1,435.4万-23.72%1,391万-27.97%1,339.1万-27.97%1,339.1万-23.89%1,543.6万-22.66%1,691.5万
应付款项 23.28%2.63亿9.79%1.06亿9.79%1.06亿26.09%2.41亿17.94%2.21亿16.91%2.13亿-0.04%9,687.3万-0.04%9,687.3万-10.67%1.91亿-4.71%1.87亿
-应付账款 25.96%2.5亿20.87%9,966.7万20.87%9,966.7万31.46%2.3亿19.41%2.04亿20.57%1.99亿4.40%8,245.9万4.40%8,245.9万-11.16%1.75亿-5.64%1.71亿
-应付税费 -13.11%1,271.6万-53.57%669.2万-53.57%669.2万-33.71%1,042.5万2.93%1,719.2万-17.20%1,463.5万-19.58%1,441.4万-19.58%1,441.4万-4.88%1,572.6万5.90%1,670.2万
应计费用 ----34.76%1.38亿34.76%1.38亿------------4.13%1.02亿4.13%1.02亿--------
现行拨备 67.58%2,204.9万5.86%1,581.3万5.86%1,581.3万-9.46%1,483.6万-16.69%1,504.5万-27.60%1,315.7万-18.79%1,493.8万-18.79%1,493.8万-14.60%1,638.6万-11.80%1,806万
养老金及其他退休福利计划 ----546.20%2,749.6万546.20%2,749.6万------------14.11%425.5万14.11%425.5万--------
递延负债 686.47%2.39亿595.23%1.92亿595.23%1.92亿218.30%7,929.7万95.31%4,374.1万49.09%3,042.7万-14.66%2,763万-14.66%2,763万-52.99%2,491.3万-60.71%2,239.6万
其他流动负债 140.00%1,658.9万6.82%83万6.82%83万369.59%3,102.1万48.86%858.8万24.45%691.2万-45.78%77.7万-45.78%77.7万91.15%660.6万14.76%576.9万
流动负债总额 105.61%5.71亿94.61%5.06亿94.61%5.06亿51.88%3.86亿20.84%3.03亿13.44%2.78亿-3.53%2.6亿-3.53%2.6亿-17.88%2.54亿-65.96%2.51亿
非流动负债
长期借款与租赁负债 -31.11%2.19亿-26.63%2.44亿-26.63%2.44亿-27.41%2.67亿-23.70%3.09亿-34.34%3.17亿-31.58%3.33亿-31.58%3.33亿-25.96%3.68亿493.80%4.04亿
-长期借款 -33.11%1.86亿-27.83%2.11亿-27.83%2.11亿-29.38%2.29亿-22.36%2.79亿-35.76%2.79亿-32.59%2.92亿-32.59%2.92亿-25.26%3.25亿--3.59亿
-长期租赁负债 -16.79%3,227.4万-18.06%3,363.5万-18.06%3,363.5万-12.59%3,770.6万-34.35%2,969.3万-21.90%3,878.8万-23.38%4,104.8万-23.38%4,104.8万-30.84%4,313.5万-33.60%4,522.7万
长期拨备 -12.79%1,384.9万-8.72%1,413.2万-8.72%1,413.2万-22.19%1,313.4万-18.58%1,344.4万-5.01%1,588万-13.30%1,548.2万-13.30%1,548.2万-18.62%1,687.9万-20.46%1,651.1万
员工福利 -7.11%980.3万33.55%1,673.1万33.55%1,673.1万-43.38%1,101.9万-44.98%1,048万-45.92%1,055.3万-45.53%1,252.8万-45.53%1,252.8万15.62%1,946万13.56%1,904.9万
递延负债 832.57%3,977.4万1,846.79%6,798.2万1,846.79%6,798.2万299.31%1,915.5万170.71%578.5万-31.74%426.5万-49.20%349.2万-49.20%349.2万-52.84%479.7万-81.79%213.7万
其他非流动负债 243.07%816.5万---------7.83%479.2万-73.96%298.1万-49.51%238万-80.10%92万-80.10%92万-0.31%519.9万218.35%1,144.8万
非流动负债总额 -17.19%2.9亿-6.10%3.43亿-6.10%3.43亿-23.92%3.15亿-24.76%3.41亿-33.95%3.5亿-32.21%3.66亿-32.21%3.66亿-24.67%4.14亿274.93%4.54亿
负债总额 37.10%8.61亿35.76%8.49亿35.76%8.49亿4.92%7.02亿-8.53%6.44亿-18.98%6.28亿-22.65%6.26亿-22.65%6.26亿-22.22%6.69亿-17.85%7.04亿
所有者权益
股本 -1.91%7.08亿-1.89%7.07亿-1.89%7.07亿-1.30%7.12亿0.09%7.22亿0.18%7.21亿0.19%7.21亿0.19%7.21亿0.25%7.21亿0.28%7.21亿
-普通股股本 -1.91%7.08亿-1.89%7.07亿-1.89%7.07亿-1.30%7.12亿0.09%7.22亿0.18%7.21亿0.19%7.21亿0.19%7.21亿0.25%7.21亿0.28%7.21亿
资本公积 -11.84%2,484.7万-7.87%2,571.7万-7.87%2,571.7万4.98%2,872.7万7.35%2,861.5万5.87%2,818.4万5.36%2,791.4万5.36%2,791.4万4.15%2,736.3万3.00%2,665.7万
留存收益 0.36%-1.37亿-23.25%-1.61亿-23.25%-1.61亿-29.82%-9,437.3万-82.25%-1.17亿-105.40%-1.38亿-153.06%-1.31亿-153.06%-1.31亿32.38%-7,269.5万27.79%-6,441.1万
不影响留存收益的损益 1,018.84%1.27亿502.28%1.27亿502.28%1.27亿104.43%3,271.9万683.82%1,356.8万38.95%1,137万15.81%2,116.5万15.81%2,116.5万-62.72%1,600.5万-96.58%173.1万
股东权益总额 15.91%7.22亿9.40%6.99亿9.40%6.99亿-1.87%6.79亿-5.62%6.46亿-9.40%6.23亿-10.30%6.39亿-10.30%6.39亿1.58%6.92亿-3.01%6.85亿
非控制性权益 -85.79%38万-90.17%27.5万-90.17%27.5万-32.95%241.5万-38.76%217.6万-23.25%267.4万-29.96%279.8万-29.96%279.8万-14.18%360.2万-19.16%355.3万
总权益 15.48%7.23亿8.97%7亿8.97%7亿-2.03%6.81亿-5.79%6.49亿-9.47%6.26亿-10.41%6.42亿-10.41%6.42亿1.48%6.95亿-3.11%6.88亿
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。

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。