加拿大市场个股详情

SGLD Sabre Gold Mines Corp

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  • 0.095
  • +0.005+5.56%
延时15分钟行情已收盘 10/11 16:00 (美东)
756.68万总市值-2375市盈率TTM

Sabre Gold Mines Corp关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2024/06/30
(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
资产
流动资产
现金及现金等价物和短期投资
-15.66%124.75万
-25.68%206.38万
491.02%285.7万
491.02%285.7万
532.14%897.6万
-54.49%147.91万
-55.61%277.7万
-95.70%48.34万
-92.89%48.34万
-85.03%142万
-现金和现金等价物
-26.06%105.18万
-27.94%192.24万
675.14%270.04万
675.14%270.04万
5,028.14%892.7万
74.90%142.25万
-7.39%266.78万
-88.80%34.84万
-94.87%34.84万
-98.16%17.41万
-应收账款
--293.62万
--281.24万
--277.65万
--277.65万
1,333.21%286.64万
----
----
--0
--0
--20万
流动资产合计
156.66%424.25万
67.55%493.89万
977.15%593.14万
977.15%593.14万
583.19%1,192.23万
-53.81%165.3万
-55.56%294.77万
-95.31%55.07万
-92.23%55.07万
-82.78%174.51万
非流动资产
-累计折旧
38.54%-85.74万
37.13%-84.88万
34.84%-82.85万
34.84%-82.85万
29.57%-84.69万
-31.34%-139.5万
-43.64%-135万
-48.60%-127.14万
-8.49%-127.14万
-7.02%-120.24万
-长期股权投资
-99.98%2,287
-59.50%507.29万
8,387.06%475.73万
8,387.06%475.73万
-13.29%1,317.97万
41.72%1,269.16万
-9.11%1,252.71万
-99.58%5.61万
-99.56%5.61万
26.94%1,519.92万
-其他无形资产
-36.15%153.4万
-9.66%234.46万
-19.67%236.28万
-19.67%236.28万
-16.94%244.29万
-45.21%240.27万
-47.23%259.53万
-47.83%294.12万
-39.79%294.12万
-59.55%294.12万
监管资产
2,085.67%296.05万
2,274.44%283万
12,242.65%303.18万
12,242.65%303.18万
1,070.51%289.16万
-43.37%13.55万
-51.75%11.92万
-91.54%2.46万
32.75%2.46万
199.64%24.7万
非流动递延资产
--179.72万
--173.66万
--171.31万
--171.31万
554.39%182.59万
----
----
----
----
--27.9万
总资产
-91.00%1.22万
-85.21%1.76万
64.29%4.04万
64.29%4.04万
-46.49%2.52万
245.80%13.55万
153.35%11.92万
-72.77%2.46万
32.75%2.46万
-40.90%4.7万
负债
流动负债
短期借款与资本租赁负债
6,275.00%640.06万
923.71%109.02万
-92.43%117.73万
-92.43%117.73万
-24.90%7.59万
3.18%10.04万
757.52%10.65万
7,104.18%1,555.69万
6,912.30%1,555.69万
258.59%10.1万
-短期借款
--639.41万
--106.59万
-92.71%112.69万
-92.71%112.69万
----
----
----
7,703.61%1,545.35万
7,882.42%1,545.35万
----
-短期资本租赁负债
-93.48%6,549
-77.15%2.43万
-51.33%5.03万
-51.33%5.03万
-24.90%7.59万
3.18%10.04万
757.52%10.65万
477.46%10.34万
266.06%10.34万
258.59%10.1万
-应付税费
-63.84%1,062.52万
-48.07%1,534.14万
-13.84%1,452.71万
-13.84%1,452.71万
-17.96%3,028.1万
-14.62%2,937.98万
-10.16%2,954.37万
-48.25%1,686.11万
-44.84%1,686.11万
23.96%3,691.06万
-其他应付款
-40.64%85.95万
-42.48%85.1万
-43.83%83.09万
-43.83%83.09万
-43.28%84.91万
2.83%144.78万
8.34%147.96万
37.15%147.93万
41.81%147.93万
41.45%149.69万
流动负债总额
676.10%784.59万
81.23%270.42万
-84.17%283.44万
-84.17%283.44万
-61.70%85.17万
-40.70%101.09万
-36.21%149.22万
251.53%1,790.68万
2,088.47%1,790.68万
99.48%222.39万
非流动负债
-长期借款
-73.24%2,287
-86.10%3,927
-90.31%5,429
-90.31%5,429
-91.35%7,153
-92.13%8,547
88.59%2.82万
214.33%5.61万
--5.61万
1,024.58%8.27万
长期应计费用
-28.10%3,997.27万
-29.76%3,887.7万
-27.36%3,739.7万
-27.36%3,739.7万
-29.86%3,774.66万
10.01%5,559.32万
14.20%5,535万
6.91%5,148.3万
119.10%5,148.3万
151.82%5,381.61万
衍生品负债
--0
-76.07%3.25万
--4.99万
--4.99万
299.00%5.79万
179.49%8.46万
59.13%13.57万
--0
--0
-89.53%1.45万
长期拨备
----
-59.44%506.9万
--475.19万
--475.19万
-12.86%1,317.26万
43.36%1,268.31万
-9.22%1,249.89万
----
----
26.33%1,511.65万
非流动负债总额
-39.22%1,847.1万
-41.86%1,804.56万
-50.06%1,736.15万
-50.06%1,736.15万
-20.45%3,113.28万
-15.85%3,039.07万
-11.89%3,103.59万
-7.72%3,476.78万
10.77%3,476.78万
26.69%3,913.45万
所有者权益
股本
0.32%1.79亿
0.32%1.79亿
1.30%1.79亿
1.30%1.79亿
0.82%1.78亿
0.97%1.78亿
0.98%1.78亿
-0.00%1.77亿
18.47%1.77亿
18.52%1.77亿
-普通股股本
0.32%1.79亿
0.32%1.79亿
1.30%1.79亿
1.30%1.79亿
0.82%1.78亿
0.97%1.78亿
0.98%1.78亿
-0.00%1.77亿
18.47%1.77亿
18.52%1.77亿
资本公积
----
----
----
----
--1,934.57万
--1,934.57万
----
----
----
----
不影响留存收益的损益
3,026.36%2,203.28万
3.15%2,092.28万
1.92%2,017.65万
1.92%2,017.65万
-92.79%144.12万
-95.75%70.47万
32.11%2,028.34万
31.54%1,979.62万
27.66%1,979.62万
1,599.35%1,999.11万
其他股本权益
----
----
----
----
---1
----
----
----
----
----
总权益
-20.34%4,687.19万
-22.56%4,640.33万
-14.51%4,587.24万
-14.51%4,587.24万
-8.94%5,234.38万
5.17%5,883.81万
5.33%5,992.13万
-12.60%5,365.7万
69.64%5,365.7万
76.51%5,748.12万
(Q2)2024/06/30(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
资产
流动资产
现金及现金等价物和短期投资 -15.66%124.75万-25.68%206.38万491.02%285.7万491.02%285.7万532.14%897.6万-54.49%147.91万-55.61%277.7万-95.70%48.34万-92.89%48.34万-85.03%142万
-现金和现金等价物 -26.06%105.18万-27.94%192.24万675.14%270.04万675.14%270.04万5,028.14%892.7万74.90%142.25万-7.39%266.78万-88.80%34.84万-94.87%34.84万-98.16%17.41万
-应收账款 --293.62万--281.24万--277.65万--277.65万1,333.21%286.64万----------0--0--20万
流动资产合计 156.66%424.25万67.55%493.89万977.15%593.14万977.15%593.14万583.19%1,192.23万-53.81%165.3万-55.56%294.77万-95.31%55.07万-92.23%55.07万-82.78%174.51万
非流动资产
-累计折旧 38.54%-85.74万37.13%-84.88万34.84%-82.85万34.84%-82.85万29.57%-84.69万-31.34%-139.5万-43.64%-135万-48.60%-127.14万-8.49%-127.14万-7.02%-120.24万
-长期股权投资 -99.98%2,287-59.50%507.29万8,387.06%475.73万8,387.06%475.73万-13.29%1,317.97万41.72%1,269.16万-9.11%1,252.71万-99.58%5.61万-99.56%5.61万26.94%1,519.92万
-其他无形资产 -36.15%153.4万-9.66%234.46万-19.67%236.28万-19.67%236.28万-16.94%244.29万-45.21%240.27万-47.23%259.53万-47.83%294.12万-39.79%294.12万-59.55%294.12万
监管资产 2,085.67%296.05万2,274.44%283万12,242.65%303.18万12,242.65%303.18万1,070.51%289.16万-43.37%13.55万-51.75%11.92万-91.54%2.46万32.75%2.46万199.64%24.7万
非流动递延资产 --179.72万--173.66万--171.31万--171.31万554.39%182.59万------------------27.9万
总资产 -91.00%1.22万-85.21%1.76万64.29%4.04万64.29%4.04万-46.49%2.52万245.80%13.55万153.35%11.92万-72.77%2.46万32.75%2.46万-40.90%4.7万
负债
流动负债
短期借款与资本租赁负债 6,275.00%640.06万923.71%109.02万-92.43%117.73万-92.43%117.73万-24.90%7.59万3.18%10.04万757.52%10.65万7,104.18%1,555.69万6,912.30%1,555.69万258.59%10.1万
-短期借款 --639.41万--106.59万-92.71%112.69万-92.71%112.69万------------7,703.61%1,545.35万7,882.42%1,545.35万----
-短期资本租赁负债 -93.48%6,549-77.15%2.43万-51.33%5.03万-51.33%5.03万-24.90%7.59万3.18%10.04万757.52%10.65万477.46%10.34万266.06%10.34万258.59%10.1万
-应付税费 -63.84%1,062.52万-48.07%1,534.14万-13.84%1,452.71万-13.84%1,452.71万-17.96%3,028.1万-14.62%2,937.98万-10.16%2,954.37万-48.25%1,686.11万-44.84%1,686.11万23.96%3,691.06万
-其他应付款 -40.64%85.95万-42.48%85.1万-43.83%83.09万-43.83%83.09万-43.28%84.91万2.83%144.78万8.34%147.96万37.15%147.93万41.81%147.93万41.45%149.69万
流动负债总额 676.10%784.59万81.23%270.42万-84.17%283.44万-84.17%283.44万-61.70%85.17万-40.70%101.09万-36.21%149.22万251.53%1,790.68万2,088.47%1,790.68万99.48%222.39万
非流动负债
-长期借款 -73.24%2,287-86.10%3,927-90.31%5,429-90.31%5,429-91.35%7,153-92.13%8,54788.59%2.82万214.33%5.61万--5.61万1,024.58%8.27万
长期应计费用 -28.10%3,997.27万-29.76%3,887.7万-27.36%3,739.7万-27.36%3,739.7万-29.86%3,774.66万10.01%5,559.32万14.20%5,535万6.91%5,148.3万119.10%5,148.3万151.82%5,381.61万
衍生品负债 --0-76.07%3.25万--4.99万--4.99万299.00%5.79万179.49%8.46万59.13%13.57万--0--0-89.53%1.45万
长期拨备 -----59.44%506.9万--475.19万--475.19万-12.86%1,317.26万43.36%1,268.31万-9.22%1,249.89万--------26.33%1,511.65万
非流动负债总额 -39.22%1,847.1万-41.86%1,804.56万-50.06%1,736.15万-50.06%1,736.15万-20.45%3,113.28万-15.85%3,039.07万-11.89%3,103.59万-7.72%3,476.78万10.77%3,476.78万26.69%3,913.45万
所有者权益
股本 0.32%1.79亿0.32%1.79亿1.30%1.79亿1.30%1.79亿0.82%1.78亿0.97%1.78亿0.98%1.78亿-0.00%1.77亿18.47%1.77亿18.52%1.77亿
-普通股股本 0.32%1.79亿0.32%1.79亿1.30%1.79亿1.30%1.79亿0.82%1.78亿0.97%1.78亿0.98%1.78亿-0.00%1.77亿18.47%1.77亿18.52%1.77亿
资本公积 ------------------1,934.57万--1,934.57万----------------
不影响留存收益的损益 3,026.36%2,203.28万3.15%2,092.28万1.92%2,017.65万1.92%2,017.65万-92.79%144.12万-95.75%70.47万32.11%2,028.34万31.54%1,979.62万27.66%1,979.62万1,599.35%1,999.11万
其他股本权益 -------------------1--------------------
总权益 -20.34%4,687.19万-22.56%4,640.33万-14.51%4,587.24万-14.51%4,587.24万-8.94%5,234.38万5.17%5,883.81万5.33%5,992.13万-12.60%5,365.7万69.64%5,365.7万76.51%5,748.12万

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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