加拿大市场个股详情

SSL Sandstorm Gold Ltd

添加自选
  • 7.890
  • -0.230-2.83%
延时15分钟行情已收盘 12/02 16:00 (美东)
23.42亿总市值48.70市盈率TTM

Sandstorm Gold 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
-15.96%1,158.7万
-46.51%1,334.7万
35.34%1,071.6万
77.97%1,477.3万
77.97%1,477.3万
9.82%1,378.8万
4.74%2,495.4万
-74.95%791.8万
-60.78%830.1万
-60.78%830.1万
-现金和现金等价物
35.58%471万
-48.30%469.2万
-43.08%306.5万
-28.82%500.3万
-28.82%500.3万
-51.25%347.4万
-51.04%907.6万
-82.97%538.5万
-56.52%702.9万
-56.52%702.9万
-短期投资
-33.32%687.7万
-45.49%865.5万
202.05%765.1万
668.08%977万
668.08%977万
89.98%1,031.4万
200.21%1,587.8万
--253.3万
-74.57%127.2万
-74.57%127.2万
应收款项
-15.98%2,395.3万
13.65%2,048万
-3.28%2,199.2万
45.20%3,469.5万
45.20%3,469.5万
17.12%2,851万
65.94%1,802.1万
49.19%2,273.7万
96.76%2,389.5万
96.76%2,389.5万
-应收账款
7.49%1,936.6万
-11.76%1,590.1万
-23.01%1,750.5万
-17.03%1,515.4万
-17.03%1,515.4万
-15.68%1,801.7万
65.94%1,802.1万
49.19%2,273.7万
55.31%1,826.5万
55.31%1,826.5万
-应收贷款
-56.29%458.7万
--457.9万
--448.7万
644.90%1,863万
644.90%1,863万
--1,049.3万
----
----
--250.1万
--250.1万
-其他应收款
----
----
----
-70.89%91.1万
-70.89%91.1万
----
----
----
714.84%312.9万
714.84%312.9万
其他流动资产
-79.83%46.3万
-67.12%62.5万
-43.55%238.5万
711.68%431万
711.68%431万
6.10%229.6万
216.83%190.1万
-26.50%422.5万
81.23%53.1万
81.23%53.1万
流动资产合计
-19.26%3,600.3万
-23.23%3,445.2万
0.61%3,509.3万
64.32%5,377.8万
64.32%5,377.8万
14.17%4,459.4万
27.18%4,487.6万
-33.69%3,488万
-2.61%3,272.7万
-2.61%3,272.7万
非流动资产
固定资产净额
-5.86%15.04亿
-6.04%15.14亿
-12.55%15.41亿
-12.40%15.6亿
-12.40%15.6亿
-7.74%15.98亿
249.91%16.11亿
279.17%17.62亿
276.07%17.81亿
276.07%17.81亿
-固定资产
-1.96%20.68亿
-2.01%20.64亿
-7.40%20.8亿
-6.79%20.9亿
-6.79%20.9亿
-3.00%21.09亿
138.42%21.06亿
156.16%22.46亿
156.63%22.42亿
156.63%22.42亿
-累计折旧
-10.25%-5.64亿
-11.12%-5.5亿
-11.36%-5.38亿
-14.90%-5.3亿
-14.90%-5.3亿
-15.52%-5.11亿
-16.99%-4.95亿
-17.37%-4.84亿
-15.22%-4.61亿
-15.22%-4.61亿
投资和预付款
19.83%3.08亿
15.72%3.09亿
95.48%3亿
89.30%2.86亿
89.30%2.86亿
71.36%2.57亿
116.08%2.67亿
54.08%1.54亿
41.42%1.51亿
41.42%1.51亿
-长期股权投资
158.70%7,566.2万
145.58%7,538.7万
114.34%5,820.5万
111.11%5,755.9万
111.11%5,755.9万
-0.30%2,924.7万
-57.00%3,069.7万
-61.89%2,715.5万
-67.77%2,726.5万
-67.77%2,726.5万
-金融资产投资
2.02%2.33亿
-1.14%2.34亿
91.43%2.42亿
84.51%2.29亿
84.51%2.29亿
88.75%2.28亿
352.65%2.36亿
344.21%1.26亿
453.95%1.24亿
453.95%1.24亿
-其中:以公允价值计量且其变动计入当期损益的金融资产总额
1.22%2.11亿
-1.35%2.14亿
107.77%2.24亿
101.10%2.11亿
101.10%2.11亿
98.95%2.09亿
515.94%2.17亿
11,373.94%1.08亿
11,515.49%1.05亿
11,515.49%1.05亿
-其中:可供出售证券
10.75%2,118.8万
1.15%1,986.4万
-3.09%1,806.8万
-7.06%1,768.2万
-7.06%1,768.2万
21.00%1,913.1万
15.29%1,963.9万
-32.29%1,864.4万
-11.45%1,902.5万
-11.45%1,902.5万
金融资产
87.18%252.5万
89.62%244.8万
-14.94%167.9万
-22.03%162.8万
-22.03%162.8万
-29.37%134.9万
-28.04%129.1万
9.42%197.4万
25.33%208.8万
25.33%208.8万
长期应收票据
----
----
----
----
----
--62.5万
-96.31%125万
--125万
----
----
其他非流动资产
88.34%2,854.6万
159.13%2,917.3万
227.63%2,940.8万
293.94%2,919.9万
293.94%2,919.9万
1,149.55%1,515.7万
47.49%1,125.8万
59.86%897.6万
49.50%741.2万
49.50%741.2万
非流动资产合计
-1.53%18.44亿
-1.98%18.55亿
-2.88%18.73亿
-3.32%18.78亿
-3.32%18.78亿
-0.90%18.72亿
201.59%18.92亿
237.13%19.28亿
230.70%19.42亿
230.70%19.42亿
总资产
-1.94%18.8亿
-2.47%18.89亿
-2.82%19.08亿
-2.20%19.31亿
-2.20%19.31亿
-0.59%19.17亿
192.30%19.37亿
214.32%19.63亿
218.07%19.75亿
218.07%19.75亿
负债
流动负债
应付款项
-32.99%1,571.9万
-25.75%1,733.8万
-20.57%1,556.1万
-14.96%1,619.3万
-14.96%1,619.3万
-25.65%2,345.8万
64.61%2,335万
163.69%1,959.2万
159.17%1,904.1万
159.17%1,904.1万
-应付账款
-32.99%1,571.9万
-25.75%1,733.8万
-20.57%1,556.1万
50.76%574.1万
50.76%574.1万
47.79%2,345.8万
64.61%2,335万
163.69%1,959.2万
70.46%380.8万
70.46%380.8万
-应付税费
----
----
----
-35.18%72.6万
-35.18%72.6万
----
----
----
7.59%112万
7.59%112万
-应付股利
----
----
----
2.05%453.7万
2.05%453.7万
----
----
----
45.53%444.6万
45.53%444.6万
-其他应付款
----
----
----
-46.32%518.9万
-46.32%518.9万
----
----
----
850.54%966.7万
850.54%966.7万
流动负债总额
-32.99%1,571.9万
-25.75%1,733.8万
-20.57%1,556.1万
-14.96%1,619.3万
-14.96%1,619.3万
-25.65%2,345.8万
64.61%2,335万
163.69%1,959.2万
159.17%1,904.1万
159.17%1,904.1万
非流动负债
长期借款与租赁负债
-17.19%3.79亿
-17.23%3.88亿
-12.98%4.15亿
-12.56%4.35亿
-12.56%4.35亿
-13.03%4.58亿
20,114.70%4.69亿
19,342.27%4.77亿
19,190.42%4.98亿
19,190.42%4.98亿
-长期借款
-16.89%3.79亿
-16.92%3.88亿
-12.63%4.15亿
-12.56%4.35亿
-12.56%4.35亿
-12.98%4.56亿
--4.67亿
--4.75亿
--4.98亿
--4.98亿
-长期租赁负债
----
----
----
----
----
-24.57%167.6万
-23.29%177.9万
-21.77%191.9万
----
----
递延负债
201.26%2,746.6万
211.34%2,680万
107.97%2,774.1万
55.97%2,625.2万
55.97%2,625.2万
-35.69%911.7万
-64.68%860.8万
-40.05%1,333.9万
-8.00%1,683.1万
-8.00%1,683.1万
非流动负债总额
-12.92%4.06亿
-13.11%4.15亿
-9.69%4.43亿
-10.32%4.61亿
-10.32%4.61亿
-13.62%4.67亿
1,688.64%4.77亿
1,884.45%4.9亿
2,364.10%5.14亿
2,364.10%5.14亿
负债总额
-13.88%4.22亿
-13.70%4.32亿
-10.11%4.58亿
-10.49%4.77亿
-10.49%4.77亿
-14.28%4.9亿
1,125.04%5.01亿
1,486.59%5.1亿
1,790.05%5.33亿
1,790.05%5.33亿
所有者权益
股本
0.24%13.08亿
0.51%13.11亿
-0.32%13.14亿
-0.48%13.12亿
-0.48%13.12亿
6.35%13.05亿
86.99%13.05亿
88.91%13.18亿
89.82%13.19亿
89.82%13.19亿
-普通股股本
0.24%13.08亿
0.51%13.11亿
-0.32%13.14亿
-0.48%13.12亿
-0.48%13.12亿
6.35%13.05亿
86.99%13.05亿
88.91%13.18亿
89.82%13.19亿
89.82%13.19亿
留存收益
17.33%1.21亿
11.37%1.2亿
3.76%1.14亿
24.26%1.23亿
24.26%1.23亿
-2.22%1.03亿
37.54%1.08亿
164.64%1.1亿
178.11%9,892.1万
178.11%9,892.1万
不影响留存收益的损益
167.93%452.5万
104.79%143.3万
-177.66%-329.3万
-120.47%-626.8万
-120.47%-626.8万
-146.25%-666.1万
80.58%-2,994.2万
99.19%-118.6万
97.93%-284.3万
97.93%-284.3万
其他股本权益
----
----
----
----
----
----
--2,811.9万
----
----
----
股东权益总额
2.29%14.33亿
1.57%14.33亿
-0.15%14.25亿
1.01%14.29亿
1.01%14.29亿
5.38%14.01亿
126.83%14.11亿
140.89%14.27亿
138.71%14.15亿
138.71%14.15亿
非控制性权益
-5.28%2,415.8万
-5.46%2,447.6万
-5.84%2,468.3万
-6.46%2,498万
-6.46%2,498万
-4.85%2,550.5万
--2,588.9万
--2,621.4万
--2,670.5万
--2,670.5万
总权益
2.16%14.57亿
1.44%14.57亿
-0.26%14.5亿
0.87%14.54亿
0.87%14.54亿
5.18%14.27亿
130.99%14.36亿
145.31%14.53亿
143.22%14.41亿
143.22%14.41亿
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
--
--
--
--
--
--
(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 -15.96%1,158.7万-46.51%1,334.7万35.34%1,071.6万77.97%1,477.3万77.97%1,477.3万9.82%1,378.8万4.74%2,495.4万-74.95%791.8万-60.78%830.1万-60.78%830.1万
-现金和现金等价物 35.58%471万-48.30%469.2万-43.08%306.5万-28.82%500.3万-28.82%500.3万-51.25%347.4万-51.04%907.6万-82.97%538.5万-56.52%702.9万-56.52%702.9万
-短期投资 -33.32%687.7万-45.49%865.5万202.05%765.1万668.08%977万668.08%977万89.98%1,031.4万200.21%1,587.8万--253.3万-74.57%127.2万-74.57%127.2万
应收款项 -15.98%2,395.3万13.65%2,048万-3.28%2,199.2万45.20%3,469.5万45.20%3,469.5万17.12%2,851万65.94%1,802.1万49.19%2,273.7万96.76%2,389.5万96.76%2,389.5万
-应收账款 7.49%1,936.6万-11.76%1,590.1万-23.01%1,750.5万-17.03%1,515.4万-17.03%1,515.4万-15.68%1,801.7万65.94%1,802.1万49.19%2,273.7万55.31%1,826.5万55.31%1,826.5万
-应收贷款 -56.29%458.7万--457.9万--448.7万644.90%1,863万644.90%1,863万--1,049.3万----------250.1万--250.1万
-其他应收款 -------------70.89%91.1万-70.89%91.1万------------714.84%312.9万714.84%312.9万
其他流动资产 -79.83%46.3万-67.12%62.5万-43.55%238.5万711.68%431万711.68%431万6.10%229.6万216.83%190.1万-26.50%422.5万81.23%53.1万81.23%53.1万
流动资产合计 -19.26%3,600.3万-23.23%3,445.2万0.61%3,509.3万64.32%5,377.8万64.32%5,377.8万14.17%4,459.4万27.18%4,487.6万-33.69%3,488万-2.61%3,272.7万-2.61%3,272.7万
非流动资产
固定资产净额 -5.86%15.04亿-6.04%15.14亿-12.55%15.41亿-12.40%15.6亿-12.40%15.6亿-7.74%15.98亿249.91%16.11亿279.17%17.62亿276.07%17.81亿276.07%17.81亿
-固定资产 -1.96%20.68亿-2.01%20.64亿-7.40%20.8亿-6.79%20.9亿-6.79%20.9亿-3.00%21.09亿138.42%21.06亿156.16%22.46亿156.63%22.42亿156.63%22.42亿
-累计折旧 -10.25%-5.64亿-11.12%-5.5亿-11.36%-5.38亿-14.90%-5.3亿-14.90%-5.3亿-15.52%-5.11亿-16.99%-4.95亿-17.37%-4.84亿-15.22%-4.61亿-15.22%-4.61亿
投资和预付款 19.83%3.08亿15.72%3.09亿95.48%3亿89.30%2.86亿89.30%2.86亿71.36%2.57亿116.08%2.67亿54.08%1.54亿41.42%1.51亿41.42%1.51亿
-长期股权投资 158.70%7,566.2万145.58%7,538.7万114.34%5,820.5万111.11%5,755.9万111.11%5,755.9万-0.30%2,924.7万-57.00%3,069.7万-61.89%2,715.5万-67.77%2,726.5万-67.77%2,726.5万
-金融资产投资 2.02%2.33亿-1.14%2.34亿91.43%2.42亿84.51%2.29亿84.51%2.29亿88.75%2.28亿352.65%2.36亿344.21%1.26亿453.95%1.24亿453.95%1.24亿
-其中:以公允价值计量且其变动计入当期损益的金融资产总额 1.22%2.11亿-1.35%2.14亿107.77%2.24亿101.10%2.11亿101.10%2.11亿98.95%2.09亿515.94%2.17亿11,373.94%1.08亿11,515.49%1.05亿11,515.49%1.05亿
-其中:可供出售证券 10.75%2,118.8万1.15%1,986.4万-3.09%1,806.8万-7.06%1,768.2万-7.06%1,768.2万21.00%1,913.1万15.29%1,963.9万-32.29%1,864.4万-11.45%1,902.5万-11.45%1,902.5万
金融资产 87.18%252.5万89.62%244.8万-14.94%167.9万-22.03%162.8万-22.03%162.8万-29.37%134.9万-28.04%129.1万9.42%197.4万25.33%208.8万25.33%208.8万
长期应收票据 ----------------------62.5万-96.31%125万--125万--------
其他非流动资产 88.34%2,854.6万159.13%2,917.3万227.63%2,940.8万293.94%2,919.9万293.94%2,919.9万1,149.55%1,515.7万47.49%1,125.8万59.86%897.6万49.50%741.2万49.50%741.2万
非流动资产合计 -1.53%18.44亿-1.98%18.55亿-2.88%18.73亿-3.32%18.78亿-3.32%18.78亿-0.90%18.72亿201.59%18.92亿237.13%19.28亿230.70%19.42亿230.70%19.42亿
总资产 -1.94%18.8亿-2.47%18.89亿-2.82%19.08亿-2.20%19.31亿-2.20%19.31亿-0.59%19.17亿192.30%19.37亿214.32%19.63亿218.07%19.75亿218.07%19.75亿
负债
流动负债
应付款项 -32.99%1,571.9万-25.75%1,733.8万-20.57%1,556.1万-14.96%1,619.3万-14.96%1,619.3万-25.65%2,345.8万64.61%2,335万163.69%1,959.2万159.17%1,904.1万159.17%1,904.1万
-应付账款 -32.99%1,571.9万-25.75%1,733.8万-20.57%1,556.1万50.76%574.1万50.76%574.1万47.79%2,345.8万64.61%2,335万163.69%1,959.2万70.46%380.8万70.46%380.8万
-应付税费 -------------35.18%72.6万-35.18%72.6万------------7.59%112万7.59%112万
-应付股利 ------------2.05%453.7万2.05%453.7万------------45.53%444.6万45.53%444.6万
-其他应付款 -------------46.32%518.9万-46.32%518.9万------------850.54%966.7万850.54%966.7万
流动负债总额 -32.99%1,571.9万-25.75%1,733.8万-20.57%1,556.1万-14.96%1,619.3万-14.96%1,619.3万-25.65%2,345.8万64.61%2,335万163.69%1,959.2万159.17%1,904.1万159.17%1,904.1万
非流动负债
长期借款与租赁负债 -17.19%3.79亿-17.23%3.88亿-12.98%4.15亿-12.56%4.35亿-12.56%4.35亿-13.03%4.58亿20,114.70%4.69亿19,342.27%4.77亿19,190.42%4.98亿19,190.42%4.98亿
-长期借款 -16.89%3.79亿-16.92%3.88亿-12.63%4.15亿-12.56%4.35亿-12.56%4.35亿-12.98%4.56亿--4.67亿--4.75亿--4.98亿--4.98亿
-长期租赁负债 ---------------------24.57%167.6万-23.29%177.9万-21.77%191.9万--------
递延负债 201.26%2,746.6万211.34%2,680万107.97%2,774.1万55.97%2,625.2万55.97%2,625.2万-35.69%911.7万-64.68%860.8万-40.05%1,333.9万-8.00%1,683.1万-8.00%1,683.1万
非流动负债总额 -12.92%4.06亿-13.11%4.15亿-9.69%4.43亿-10.32%4.61亿-10.32%4.61亿-13.62%4.67亿1,688.64%4.77亿1,884.45%4.9亿2,364.10%5.14亿2,364.10%5.14亿
负债总额 -13.88%4.22亿-13.70%4.32亿-10.11%4.58亿-10.49%4.77亿-10.49%4.77亿-14.28%4.9亿1,125.04%5.01亿1,486.59%5.1亿1,790.05%5.33亿1,790.05%5.33亿
所有者权益
股本 0.24%13.08亿0.51%13.11亿-0.32%13.14亿-0.48%13.12亿-0.48%13.12亿6.35%13.05亿86.99%13.05亿88.91%13.18亿89.82%13.19亿89.82%13.19亿
-普通股股本 0.24%13.08亿0.51%13.11亿-0.32%13.14亿-0.48%13.12亿-0.48%13.12亿6.35%13.05亿86.99%13.05亿88.91%13.18亿89.82%13.19亿89.82%13.19亿
留存收益 17.33%1.21亿11.37%1.2亿3.76%1.14亿24.26%1.23亿24.26%1.23亿-2.22%1.03亿37.54%1.08亿164.64%1.1亿178.11%9,892.1万178.11%9,892.1万
不影响留存收益的损益 167.93%452.5万104.79%143.3万-177.66%-329.3万-120.47%-626.8万-120.47%-626.8万-146.25%-666.1万80.58%-2,994.2万99.19%-118.6万97.93%-284.3万97.93%-284.3万
其他股本权益 --------------------------2,811.9万------------
股东权益总额 2.29%14.33亿1.57%14.33亿-0.15%14.25亿1.01%14.29亿1.01%14.29亿5.38%14.01亿126.83%14.11亿140.89%14.27亿138.71%14.15亿138.71%14.15亿
非控制性权益 -5.28%2,415.8万-5.46%2,447.6万-5.84%2,468.3万-6.46%2,498万-6.46%2,498万-4.85%2,550.5万--2,588.9万--2,621.4万--2,670.5万--2,670.5万
总权益 2.16%14.57亿1.44%14.57亿-0.26%14.5亿0.87%14.54亿0.87%14.54亿5.18%14.27亿130.99%14.36亿145.31%14.53亿143.22%14.41亿143.22%14.41亿
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ------无保留意见------------

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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