加拿大市场个股详情

SNV Sonoro Energy Ltd

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  • 0.140
  • +0.035+33.33%
延时15分钟行情已收盘 11/29 16:00 (美东)
3172.54万总市值-9333市盈率TTM

Sonoro Energy Ltd关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2024/09/30
(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
资产
流动资产
现金及现金等价物和短期投资
-78.24%34.23万
-22.28%34.79万
279.86%45.53万
786.14%103.78万
786.14%103.78万
1,291.02%157.34万
396.88%44.76万
7.05%11.99万
5.06%11.71万
5.06%11.71万
-现金和现金等价物
-78.24%34.23万
-22.28%34.79万
279.86%45.53万
786.14%103.78万
786.14%103.78万
1,291.02%157.34万
396.88%44.76万
7.05%11.99万
5.06%11.71万
5.06%11.71万
应收款项
819.57%26.07万
3,722.44%33.58万
66,203.85%31.03万
3,057.54%14.6万
3,057.54%14.6万
1,491.13%2.84万
6,000.00%8,784
--468
7.96%4,625
7.96%4,625
-应收账款
--26.07万
--33.58万
--31.03万
----
----
----
----
----
----
----
-应收税费
----
----
----
3,057.54%14.6万
3,057.54%14.6万
1,491.13%2.84万
6,000.00%8,784
--468
7.96%4,625
7.96%4,625
预付费用
--1.56万
--7.99万
--14.57万
--20.41万
--20.41万
----
----
----
--0
--0
流动资产合计
-61.38%61.86万
67.29%76.35万
657.33%91.12万
1,040.08%138.8万
1,040.08%138.8万
1,294.12%160.17万
405.82%45.64万
7.47%12.03万
5.17%12.17万
5.17%12.17万
非流动资产
固定资产净额
3,005.90%287.24万
--308.26万
--310.76万
--256.6万
--256.6万
1,498.39%9.25万
--0
--0
--0
--0
-固定资产
743.93%347万
1,010.76%353.99万
988.20%346.8万
805.17%288.47万
805.17%288.47万
29.02%41.12万
0.00%31.87万
0.00%31.87万
0.00%31.87万
0.00%31.87万
-累计折旧
-87.52%-59.76万
-43.50%-45.73万
-13.10%-36.04万
0.00%-31.87万
0.00%-31.87万
-1.85%-31.87万
-3.39%-31.87万
-4.99%-31.87万
-6.63%-31.87万
-6.63%-31.87万
长期预付费用
----
----
----
--0
--0
588.22%19.64万
-86.64%3,383
-90.71%2,351
-82.88%4,743
-82.88%4,743
非流动资产合计
894.38%287.24万
91,019.15%308.26万
132,080.52%310.76万
54,001.08%256.6万
54,001.08%256.6万
741.66%28.89万
-90.55%3,383
-94.19%2,351
-90.02%4,743
-90.02%4,743
总资产
84.66%349.1万
736.52%384.6万
3,176.03%401.88万
3,026.03%395.4万
3,026.03%395.4万
1,167.04%189.06万
264.84%45.98万
-19.50%12.27万
-22.54%12.65万
-22.54%12.65万
负债
流动负债
短期借款与资本租赁负债
----
----
----
----
----
----
----
1.86%199.34万
0.25%198.46万
0.25%198.46万
-短期借款
----
----
----
----
----
----
----
2.93%199.34万
1.56%198.46万
1.56%198.46万
其他流动负债
----
----
----
--10.91万
--10.91万
----
----
----
----
----
流动负债总额
33.11%71.16万
38.79%77.94万
-84.41%88.24万
-65.74%183.23万
-65.74%183.23万
-88.22%53.46万
-86.72%56.16万
34.03%565.88万
25.87%534.81万
25.87%534.81万
非流动负债
长期借款与租赁负债
1,748.82%70万
1,853.23%70万
1,962.34%70万
2,076.28%70万
2,076.28%70万
24.37%3.79万
24.37%3.58万
24.37%3.39万
0.01%3.22万
0.01%3.22万
-长期借款
1,748.82%70万
1,853.23%70万
1,962.34%70万
2,076.28%70万
2,076.28%70万
24.37%3.79万
24.37%3.58万
24.37%3.39万
0.01%3.22万
0.01%3.22万
持有待售负债
--6.11万
--6.07万
--6.02万
--5.98万
--5.98万
----
----
----
--0
--0
非流动负债总额
1,910.27%76.11万
2,022.54%76.07万
2,139.77%76.02万
2,262.11%75.98万
2,262.11%75.98万
24.37%3.79万
24.37%3.58万
24.37%3.39万
0.01%3.22万
0.01%3.22万
负债总额
157.27%147.27万
157.79%154万
-71.15%164.26万
-51.82%259.21万
-51.82%259.21万
-87.47%57.24万
-85.97%59.74万
33.97%569.28万
25.67%538.02万
25.67%538.02万
所有者权益
股本
3.25%7,836.3万
4.71%7,836.3万
4.82%7,796.98万
2.76%7,643.76万
2.76%7,643.76万
2.04%7,589.59万
0.62%7,484.11万
0.16%7,438.12万
0.16%7,438.12万
0.16%7,438.12万
-普通股股本
3.25%7,836.3万
4.71%7,836.3万
4.82%7,796.98万
2.76%7,643.76万
2.76%7,643.76万
2.04%7,589.59万
0.62%7,484.11万
0.16%7,438.12万
0.16%7,438.12万
0.16%7,438.12万
资本公积
1.72%1,301.21万
1.40%1,293.51万
6.70%1,284.92万
6.56%1,282.78万
6.56%1,282.78万
6.30%1,279.24万
6.11%1,275.71万
0.25%1,204.2万
0.38%1,203.83万
0.38%1,203.83万
留存收益
-1.37%-9,000.09万
-1.38%-8,963.62万
4.61%-8,921.71万
4.72%-8,885.6万
4.72%-8,885.6万
3.79%-8,878.47万
3.92%-8,841.36万
-1.73%-9,352.64万
-1.47%-9,325.46万
-1.47%-9,325.46万
不影响留存收益的损益
-143.26%-14.32万
-143.26%-14.32万
-143.14%-14.32万
-136.70%-14.32万
-136.70%-14.32万
1.55%33.11万
-18.21%33.11万
-13.94%33.2万
12.60%39.02万
12.60%39.02万
其他股本权益
-27.33%78.73万
127.02%78.73万
-23.61%91.75万
-8.01%109.58万
-8.01%109.58万
-3.15%108.34万
-67.85%34.68万
1.48%120.11万
0.63%119.11万
0.63%119.11万
股东权益总额
53.12%201.83万
1,775.53%230.6万
142.66%237.62万
125.92%136.19万
125.92%136.19万
129.83%131.81万
96.67%-13.76万
-35.96%-557.01万
-27.59%-525.38万
-27.59%-525.38万
总权益
53.12%201.83万
1,775.53%230.6万
142.66%237.62万
125.92%136.19万
125.92%136.19万
129.83%131.81万
96.67%-13.76万
-35.96%-557.01万
-27.59%-525.38万
-27.59%-525.38万
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)2024/09/30(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
资产
流动资产
现金及现金等价物和短期投资 -78.24%34.23万-22.28%34.79万279.86%45.53万786.14%103.78万786.14%103.78万1,291.02%157.34万396.88%44.76万7.05%11.99万5.06%11.71万5.06%11.71万
-现金和现金等价物 -78.24%34.23万-22.28%34.79万279.86%45.53万786.14%103.78万786.14%103.78万1,291.02%157.34万396.88%44.76万7.05%11.99万5.06%11.71万5.06%11.71万
应收款项 819.57%26.07万3,722.44%33.58万66,203.85%31.03万3,057.54%14.6万3,057.54%14.6万1,491.13%2.84万6,000.00%8,784--4687.96%4,6257.96%4,625
-应收账款 --26.07万--33.58万--31.03万----------------------------
-应收税费 ------------3,057.54%14.6万3,057.54%14.6万1,491.13%2.84万6,000.00%8,784--4687.96%4,6257.96%4,625
预付费用 --1.56万--7.99万--14.57万--20.41万--20.41万--------------0--0
流动资产合计 -61.38%61.86万67.29%76.35万657.33%91.12万1,040.08%138.8万1,040.08%138.8万1,294.12%160.17万405.82%45.64万7.47%12.03万5.17%12.17万5.17%12.17万
非流动资产
固定资产净额 3,005.90%287.24万--308.26万--310.76万--256.6万--256.6万1,498.39%9.25万--0--0--0--0
-固定资产 743.93%347万1,010.76%353.99万988.20%346.8万805.17%288.47万805.17%288.47万29.02%41.12万0.00%31.87万0.00%31.87万0.00%31.87万0.00%31.87万
-累计折旧 -87.52%-59.76万-43.50%-45.73万-13.10%-36.04万0.00%-31.87万0.00%-31.87万-1.85%-31.87万-3.39%-31.87万-4.99%-31.87万-6.63%-31.87万-6.63%-31.87万
长期预付费用 --------------0--0588.22%19.64万-86.64%3,383-90.71%2,351-82.88%4,743-82.88%4,743
非流动资产合计 894.38%287.24万91,019.15%308.26万132,080.52%310.76万54,001.08%256.6万54,001.08%256.6万741.66%28.89万-90.55%3,383-94.19%2,351-90.02%4,743-90.02%4,743
总资产 84.66%349.1万736.52%384.6万3,176.03%401.88万3,026.03%395.4万3,026.03%395.4万1,167.04%189.06万264.84%45.98万-19.50%12.27万-22.54%12.65万-22.54%12.65万
负债
流动负债
短期借款与资本租赁负债 ----------------------------1.86%199.34万0.25%198.46万0.25%198.46万
-短期借款 ----------------------------2.93%199.34万1.56%198.46万1.56%198.46万
其他流动负债 --------------10.91万--10.91万--------------------
流动负债总额 33.11%71.16万38.79%77.94万-84.41%88.24万-65.74%183.23万-65.74%183.23万-88.22%53.46万-86.72%56.16万34.03%565.88万25.87%534.81万25.87%534.81万
非流动负债
长期借款与租赁负债 1,748.82%70万1,853.23%70万1,962.34%70万2,076.28%70万2,076.28%70万24.37%3.79万24.37%3.58万24.37%3.39万0.01%3.22万0.01%3.22万
-长期借款 1,748.82%70万1,853.23%70万1,962.34%70万2,076.28%70万2,076.28%70万24.37%3.79万24.37%3.58万24.37%3.39万0.01%3.22万0.01%3.22万
持有待售负债 --6.11万--6.07万--6.02万--5.98万--5.98万--------------0--0
非流动负债总额 1,910.27%76.11万2,022.54%76.07万2,139.77%76.02万2,262.11%75.98万2,262.11%75.98万24.37%3.79万24.37%3.58万24.37%3.39万0.01%3.22万0.01%3.22万
负债总额 157.27%147.27万157.79%154万-71.15%164.26万-51.82%259.21万-51.82%259.21万-87.47%57.24万-85.97%59.74万33.97%569.28万25.67%538.02万25.67%538.02万
所有者权益
股本 3.25%7,836.3万4.71%7,836.3万4.82%7,796.98万2.76%7,643.76万2.76%7,643.76万2.04%7,589.59万0.62%7,484.11万0.16%7,438.12万0.16%7,438.12万0.16%7,438.12万
-普通股股本 3.25%7,836.3万4.71%7,836.3万4.82%7,796.98万2.76%7,643.76万2.76%7,643.76万2.04%7,589.59万0.62%7,484.11万0.16%7,438.12万0.16%7,438.12万0.16%7,438.12万
资本公积 1.72%1,301.21万1.40%1,293.51万6.70%1,284.92万6.56%1,282.78万6.56%1,282.78万6.30%1,279.24万6.11%1,275.71万0.25%1,204.2万0.38%1,203.83万0.38%1,203.83万
留存收益 -1.37%-9,000.09万-1.38%-8,963.62万4.61%-8,921.71万4.72%-8,885.6万4.72%-8,885.6万3.79%-8,878.47万3.92%-8,841.36万-1.73%-9,352.64万-1.47%-9,325.46万-1.47%-9,325.46万
不影响留存收益的损益 -143.26%-14.32万-143.26%-14.32万-143.14%-14.32万-136.70%-14.32万-136.70%-14.32万1.55%33.11万-18.21%33.11万-13.94%33.2万12.60%39.02万12.60%39.02万
其他股本权益 -27.33%78.73万127.02%78.73万-23.61%91.75万-8.01%109.58万-8.01%109.58万-3.15%108.34万-67.85%34.68万1.48%120.11万0.63%119.11万0.63%119.11万
股东权益总额 53.12%201.83万1,775.53%230.6万142.66%237.62万125.92%136.19万125.92%136.19万129.83%131.81万96.67%-13.76万-35.96%-557.01万-27.59%-525.38万-27.59%-525.38万
总权益 53.12%201.83万1,775.53%230.6万142.66%237.62万125.92%136.19万125.92%136.19万129.83%131.81万96.67%-13.76万-35.96%-557.01万-27.59%-525.38万-27.59%-525.38万
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。

热议
加拿大
综合热度
股票代码
最新价
涨跌幅

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