加拿大市场个股详情

TFII TFI International Inc

添加自选
  • 199.540
  • +0.600+0.30%
延时15分钟行情已收盘 12/23 16:00 (美东)
168.88亿总市值26.87市盈率TTM

TFI International Inc关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2024/09/30
(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
-37.44%5,521.8万
561.76%9.02亿
128.09%3.36亿
128.09%3.36亿
-33.71%8,826.4万
1,092.33%1.78亿
561.75%1.36亿
662.58%1.47亿
662.58%1.47亿
111.45%1.33亿
-现金和现金等价物
-37.44%5,521.8万
561.76%9.02亿
128.09%3.36亿
128.09%3.36亿
-33.71%8,826.4万
1,092.33%1.78亿
561.75%1.36亿
662.58%1.47亿
662.58%1.47亿
111.45%1.33亿
应收款项
4.71%10.39亿
-2.56%9.39亿
-11.99%9.18亿
-11.99%9.18亿
-12.80%9.93亿
-25.79%9.28亿
-18.11%9.64亿
-1.75%10.44亿
-1.75%10.44亿
11.05%11.38亿
-应收账款
5.48%10.29亿
-3.05%9.2亿
-12.39%8.47亿
-12.39%8.47亿
-14.31%9.75亿
-28.13%8.98亿
-19.17%9.49亿
-2.06%9.66亿
-2.06%9.66亿
11.61%11.38亿
-应收税费
-38.52%1,073.7万
29.50%1,885.8万
84.84%2,363.7万
84.84%2,363.7万
6,616.54%1,746.3万
2,910.63%3,001.6万
443.97%1,456.2万
110.33%1,278.8万
110.33%1,278.8万
-95.13%26万
-其他应收款
----
----
-25.21%4,809万
-25.21%4,809万
----
----
----
-7.14%6,429.8万
-7.14%6,429.8万
----
存货
-7.60%2,517.7万
6.28%2,291.3万
-0.90%2,396.4万
-0.90%2,396.4万
15.85%2,724.7万
-13.06%2,365.3万
-16.24%2,156万
-0.91%2,418.1万
-0.91%2,418.1万
-11.40%2,352万
预付费用
33.39%8,443.3万
23.72%6,300.6万
46.15%5,626.9万
46.15%5,626.9万
14.32%6,329.9万
-2.49%6,146.5万
-19.36%5,092.8万
-29.38%3,850.1万
-29.38%3,850.1万
-8.09%5,536.9万
持有待售资产
415.40%2,152.3万
17.36%1,299.8万
-82.42%180.2万
-82.42%180.2万
-80.97%417.6万
101.36%904.5万
-63.35%1,107.5万
427.53%1,025万
427.53%1,025万
612.34%2,194万
流动资产合计
4.26%12.26亿
63.92%19.41亿
5.73%13.36亿
5.73%13.36亿
-14.33%11.76亿
-11.76%12亿
-10.10%11.84亿
8.72%12.64亿
8.72%12.64亿
16.51%13.72亿
非流动资产
固定资产净额
28.88%35.95亿
12.28%28.31亿
13.03%28.41亿
13.03%28.41亿
15.13%27.89亿
-8.27%25.6亿
-6.36%25.22亿
-11.92%25.14亿
-11.92%25.14亿
-3.59%24.23亿
-固定资产
26.27%51.28亿
15.36%42.28亿
15.29%42.17亿
15.29%42.17亿
16.56%40.61亿
-5.38%37.87亿
-5.26%36.65亿
-7.50%36.58亿
-7.50%36.58亿
-2.16%34.84亿
-累计折旧
-20.55%-15.33亿
-22.13%-13.97亿
-20.24%-13.76亿
-20.24%-13.76亿
-19.81%-12.72亿
-1.30%-12.27亿
2.74%-11.44亿
-3.97%-11.44亿
-3.97%-11.44亿
-1.27%-10.62亿
投资和预付款
28.14%2,345万
-78.23%2,282.9万
-41.59%5,020.9万
-41.59%5,020.9万
-81.01%1,830万
-78.90%1,847.1万
99.48%1.05亿
173.85%8,596.4万
173.85%8,596.4万
77.64%9,636万
-金融资产投资
28.14%2,345万
-78.23%2,282.9万
-41.59%5,020.9万
-41.59%5,020.9万
-81.01%1,830万
-78.90%1,847.1万
99.48%1.05亿
173.85%8,596.4万
173.85%8,596.4万
77.64%9,636万
-其中:可供出售证券
28.14%2,345万
-78.23%2,282.9万
-41.59%5,020.9万
-41.59%5,020.9万
-81.01%1,830万
-78.90%1,847.1万
99.48%1.05亿
173.85%8,596.4万
173.85%8,596.4万
77.64%9,636万
长期预付费用
----
----
----
----
----
----
----
----
----
4.50%343.4万
商誉及其他无形资产
29.84%26.19亿
25.37%20.76亿
26.83%20.19亿
26.83%20.19亿
28.60%20.17亿
-7.01%16.75亿
-9.72%16.56亿
-11.20%15.92亿
-11.20%15.92亿
-11.41%15.69亿
-商誉
42.32%20.27亿
15.15%15.22亿
15.74%14.83亿
15.74%14.83亿
14.01%14.24亿
-6.12%13.49亿
-9.24%13.22亿
-10.07%12.81亿
-10.07%12.81亿
-10.92%12.49亿
-其他无形资产
-0.12%5.92亿
65.79%5.54亿
72.54%5.36亿
72.54%5.36亿
85.63%5.93亿
-10.56%3.26亿
-11.54%3.34亿
-15.57%3.11亿
-15.57%3.11亿
-13.29%3.2亿
确认的养老福利金
----
----
--0
--0
--0
--0
--0
--435.9万
--435.9万
----
非流动递延资产
-34.07%1,463.4万
-20.83%1,512.6万
-23.78%2,061.5万
-23.78%2,061.5万
-7.84%2,219.5万
-17.06%1,885.4万
-36.13%1,910.6万
-8.92%2,704.7万
-8.92%2,704.7万
59.12%2,408.3万
其他非流动资产
-33.25%2,187.6万
-20.46%1,545.4万
-14.58%1,639.4万
-14.58%1,639.4万
149.74%3,277.4万
37.65%1,806.3万
375.71%1,942.8万
39.84%1,919.2万
39.84%1,919.2万
549.33%1,312.3万
非流动资产合计
28.57%62.74亿
14.81%49.6亿
16.63%49.48亿
16.63%49.48亿
18.20%48.8亿
-9.09%42.91亿
-6.42%43.21亿
-10.15%42.42亿
-10.15%42.42亿
-5.28%41.28亿
总资产
23.85%75亿
25.37%69.01亿
14.13%62.84亿
14.13%62.84亿
10.09%60.56亿
-9.69%54.91亿
-7.24%55.04亿
-6.42%55.06亿
-6.42%55.06亿
-0.64%55.01亿
负债
流动负债
短期借款与资本租赁负债
170.15%4.09亿
169.09%3.97亿
97.19%3.02亿
97.19%3.02亿
5.52%1.51亿
-3.08%1.49亿
-4.74%1.47亿
-68.05%1.53亿
-68.05%1.53亿
-69.95%1.44亿
-短期借款
855.23%2.5亿
712.69%2.68亿
370.11%1.74亿
370.11%1.74亿
-25.83%2,613.2万
-20.37%3,056.5万
-19.14%3,299.8万
-89.80%3,708.7万
-89.80%3,708.7万
-90.29%3,523.4万
-短期资本租赁负债
27.34%1.6亿
12.37%1.29亿
9.89%1.27亿
9.89%1.27亿
15.72%1.25亿
2.69%1.18亿
0.42%1.14亿
0.51%1.16亿
0.51%1.16亿
-5.77%1.08亿
应付款项
2.17%7.39亿
-0.62%6.82亿
-14.70%4.87亿
-14.70%4.87亿
-14.86%7.23亿
-27.36%6.42亿
-21.74%6.86亿
-12.66%5.71亿
-12.66%5.71亿
-1.75%8.49亿
-应付账款
1.89%7.33亿
-1.49%6.73亿
-9.65%4.51亿
-9.65%4.51亿
-9.42%7.2亿
-23.52%6.39亿
-19.30%6.83亿
-18.51%4.99亿
-18.51%4.99亿
-6.58%7.95亿
-应付税费
64.94%519.9万
215.19%865.5万
-94.15%244.2万
-94.15%244.2万
-94.21%315.2万
-94.35%271.2万
-90.82%274.6万
152.02%4,171.4万
152.02%4,171.4万
300.92%5,447.7万
-应付股利
----
----
11.51%3,377.6万
11.51%3,377.6万
----
----
----
21.74%3,028.9万
21.74%3,028.9万
----
应计费用
----
----
4.35%1.88亿
4.35%1.88亿
----
----
----
-20.11%1.8亿
-20.11%1.8亿
----
现行拨备
54.26%8,495.4万
54.60%6,652.1万
51.62%6,656.5万
51.62%6,656.5万
8.11%5,507.2万
-6.07%4,449.5万
-0.91%4,302.9万
12.54%4,390.3万
12.54%4,390.3万
47.70%5,093.9万
其他流动负债
-41.60%1,534万
44.48%2,515.9万
21.50%2,342万
21.50%2,342万
-30.76%2,626.8万
-46.69%1,858.7万
-50.03%1,741.3万
82.42%1,927.5万
82.42%1,927.5万
311.58%3,793.5万
流动负债总额
30.59%12.48亿
30.91%11.7亿
10.29%10.66亿
10.29%10.66亿
-11.63%9.56亿
-23.73%8.54亿
-19.44%8.94亿
-31.29%9.67亿
-31.29%9.67亿
-21.95%10.81亿
非流动负债
长期借款与租赁负债
47.28%27.6亿
63.76%25.48亿
29.62%20.43亿
29.62%20.43亿
20.77%18.74亿
-19.18%15.88亿
-20.65%15.56亿
1.12%15.76亿
1.12%15.76亿
4.37%15.52亿
-长期借款
45.77%23.09亿
74.70%22.19亿
33.72%17.1亿
33.72%17.1亿
24.30%15.84亿
-22.20%13.06亿
-23.52%12.7亿
2.75%12.79亿
2.75%12.79亿
8.70%12.75亿
-长期租赁负债
55.48%4.51亿
15.07%3.29亿
12.00%3.33亿
12.00%3.33亿
4.56%2.9亿
-1.47%2.82亿
-4.71%2.85亿
-5.34%2.97亿
-5.34%2.97亿
-11.78%2.77亿
长期拨备
23.46%1.41亿
-22.86%9,619万
-29.15%9,333.5万
-29.15%9,333.5万
-14.28%1.14亿
-18.33%1.01亿
34.75%1.25亿
21.81%1.32亿
21.81%1.32亿
56.57%1.34亿
员工福利
105.66%8,341.6万
388.74%6,412.8万
--5,323.1万
--5,323.1万
-51.15%4,056.1万
-67.55%2,580.5万
-82.28%1,312.1万
--0
--0
-8.85%8,302.7万
递延负债
14.78%5.1亿
15.49%4.32亿
17.67%4.33亿
17.67%4.33亿
37.86%4.44亿
-11.47%3.63亿
-9.70%3.74亿
-13.11%3.68亿
-13.11%3.68亿
-9.61%3.22亿
其他非流动负债
40.24%512.3万
-72.55%304.3万
868.32%369.9万
868.32%369.9万
284.93%365.3万
225.37%1,280万
178.07%1,108.4万
-95.24%38.2万
-95.24%38.2万
-93.55%94.9万
非流动负债总额
41.29%35亿
51.20%31.43亿
26.49%26.26亿
26.49%26.26亿
18.43%24.77亿
-19.04%20.91亿
-18.33%20.79亿
-4.17%20.76亿
-4.17%20.76亿
2.81%20.92亿
负债总额
38.31%47.48亿
45.10%43.13亿
21.34%36.92亿
21.34%36.92亿
8.18%34.33亿
-20.46%29.45亿
-18.67%29.73亿
-14.85%30.43亿
-14.85%30.43亿
-7.22%31.73亿
所有者权益
股本
1.17%11.36亿
0.13%11.28亿
1.66%11.07亿
1.66%11.07亿
2.91%11.23亿
1.00%11.18亿
-0.41%11.26亿
-3.88%10.89亿
-3.88%10.89亿
-3.29%10.91亿
-普通股股本
1.17%11.36亿
0.13%11.28亿
1.66%11.07亿
1.66%11.07亿
2.91%11.23亿
1.00%11.18亿
-0.41%11.26亿
-3.88%10.89亿
-3.88%10.89亿
-3.29%10.91亿
资本公积
-13.06%2,917万
-5.15%2,659.5万
-9.18%3,768.4万
-9.18%3,768.4万
-12.50%3,355.2万
-18.69%2,938万
-32.51%2,803.9万
5.98%4,149.1万
5.98%4,149.1万
54.35%3,834.6万
留存收益
6.78%18.16亿
5.06%16.69亿
5.19%16.47亿
5.19%16.47亿
17.02%17亿
13.35%15.97亿
27.09%15.88亿
22.06%15.66亿
22.06%15.66亿
30.55%14.53亿
不影响留存收益的损益
2.16%-2.29亿
-11.67%-2.35亿
14.05%-2.01亿
14.05%-2.01亿
8.17%-2.34亿
-13.85%-1.98亿
-46.84%-2.11亿
-61.28%-2.33亿
-61.28%-2.33亿
-69.99%-2.55亿
股东权益总额
4.92%27.52亿
2.20%25.87亿
5.21%25.91亿
5.21%25.91亿
12.68%26.23亿
7.08%25.47亿
11.11%25.32亿
6.61%24.63亿
6.61%24.63亿
9.99%23.28亿
总权益
4.92%27.52亿
2.20%25.87亿
5.21%25.91亿
5.21%25.91亿
12.68%26.23亿
7.08%25.47亿
11.11%25.32亿
6.61%24.63亿
6.61%24.63亿
9.99%23.28亿
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
--
--
(Q3)2024/09/30(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 -37.44%5,521.8万561.76%9.02亿128.09%3.36亿128.09%3.36亿-33.71%8,826.4万1,092.33%1.78亿561.75%1.36亿662.58%1.47亿662.58%1.47亿111.45%1.33亿
-现金和现金等价物 -37.44%5,521.8万561.76%9.02亿128.09%3.36亿128.09%3.36亿-33.71%8,826.4万1,092.33%1.78亿561.75%1.36亿662.58%1.47亿662.58%1.47亿111.45%1.33亿
应收款项 4.71%10.39亿-2.56%9.39亿-11.99%9.18亿-11.99%9.18亿-12.80%9.93亿-25.79%9.28亿-18.11%9.64亿-1.75%10.44亿-1.75%10.44亿11.05%11.38亿
-应收账款 5.48%10.29亿-3.05%9.2亿-12.39%8.47亿-12.39%8.47亿-14.31%9.75亿-28.13%8.98亿-19.17%9.49亿-2.06%9.66亿-2.06%9.66亿11.61%11.38亿
-应收税费 -38.52%1,073.7万29.50%1,885.8万84.84%2,363.7万84.84%2,363.7万6,616.54%1,746.3万2,910.63%3,001.6万443.97%1,456.2万110.33%1,278.8万110.33%1,278.8万-95.13%26万
-其他应收款 ---------25.21%4,809万-25.21%4,809万-------------7.14%6,429.8万-7.14%6,429.8万----
存货 -7.60%2,517.7万6.28%2,291.3万-0.90%2,396.4万-0.90%2,396.4万15.85%2,724.7万-13.06%2,365.3万-16.24%2,156万-0.91%2,418.1万-0.91%2,418.1万-11.40%2,352万
预付费用 33.39%8,443.3万23.72%6,300.6万46.15%5,626.9万46.15%5,626.9万14.32%6,329.9万-2.49%6,146.5万-19.36%5,092.8万-29.38%3,850.1万-29.38%3,850.1万-8.09%5,536.9万
持有待售资产 415.40%2,152.3万17.36%1,299.8万-82.42%180.2万-82.42%180.2万-80.97%417.6万101.36%904.5万-63.35%1,107.5万427.53%1,025万427.53%1,025万612.34%2,194万
流动资产合计 4.26%12.26亿63.92%19.41亿5.73%13.36亿5.73%13.36亿-14.33%11.76亿-11.76%12亿-10.10%11.84亿8.72%12.64亿8.72%12.64亿16.51%13.72亿
非流动资产
固定资产净额 28.88%35.95亿12.28%28.31亿13.03%28.41亿13.03%28.41亿15.13%27.89亿-8.27%25.6亿-6.36%25.22亿-11.92%25.14亿-11.92%25.14亿-3.59%24.23亿
-固定资产 26.27%51.28亿15.36%42.28亿15.29%42.17亿15.29%42.17亿16.56%40.61亿-5.38%37.87亿-5.26%36.65亿-7.50%36.58亿-7.50%36.58亿-2.16%34.84亿
-累计折旧 -20.55%-15.33亿-22.13%-13.97亿-20.24%-13.76亿-20.24%-13.76亿-19.81%-12.72亿-1.30%-12.27亿2.74%-11.44亿-3.97%-11.44亿-3.97%-11.44亿-1.27%-10.62亿
投资和预付款 28.14%2,345万-78.23%2,282.9万-41.59%5,020.9万-41.59%5,020.9万-81.01%1,830万-78.90%1,847.1万99.48%1.05亿173.85%8,596.4万173.85%8,596.4万77.64%9,636万
-金融资产投资 28.14%2,345万-78.23%2,282.9万-41.59%5,020.9万-41.59%5,020.9万-81.01%1,830万-78.90%1,847.1万99.48%1.05亿173.85%8,596.4万173.85%8,596.4万77.64%9,636万
-其中:可供出售证券 28.14%2,345万-78.23%2,282.9万-41.59%5,020.9万-41.59%5,020.9万-81.01%1,830万-78.90%1,847.1万99.48%1.05亿173.85%8,596.4万173.85%8,596.4万77.64%9,636万
长期预付费用 ------------------------------------4.50%343.4万
商誉及其他无形资产 29.84%26.19亿25.37%20.76亿26.83%20.19亿26.83%20.19亿28.60%20.17亿-7.01%16.75亿-9.72%16.56亿-11.20%15.92亿-11.20%15.92亿-11.41%15.69亿
-商誉 42.32%20.27亿15.15%15.22亿15.74%14.83亿15.74%14.83亿14.01%14.24亿-6.12%13.49亿-9.24%13.22亿-10.07%12.81亿-10.07%12.81亿-10.92%12.49亿
-其他无形资产 -0.12%5.92亿65.79%5.54亿72.54%5.36亿72.54%5.36亿85.63%5.93亿-10.56%3.26亿-11.54%3.34亿-15.57%3.11亿-15.57%3.11亿-13.29%3.2亿
确认的养老福利金 ----------0--0--0--0--0--435.9万--435.9万----
非流动递延资产 -34.07%1,463.4万-20.83%1,512.6万-23.78%2,061.5万-23.78%2,061.5万-7.84%2,219.5万-17.06%1,885.4万-36.13%1,910.6万-8.92%2,704.7万-8.92%2,704.7万59.12%2,408.3万
其他非流动资产 -33.25%2,187.6万-20.46%1,545.4万-14.58%1,639.4万-14.58%1,639.4万149.74%3,277.4万37.65%1,806.3万375.71%1,942.8万39.84%1,919.2万39.84%1,919.2万549.33%1,312.3万
非流动资产合计 28.57%62.74亿14.81%49.6亿16.63%49.48亿16.63%49.48亿18.20%48.8亿-9.09%42.91亿-6.42%43.21亿-10.15%42.42亿-10.15%42.42亿-5.28%41.28亿
总资产 23.85%75亿25.37%69.01亿14.13%62.84亿14.13%62.84亿10.09%60.56亿-9.69%54.91亿-7.24%55.04亿-6.42%55.06亿-6.42%55.06亿-0.64%55.01亿
负债
流动负债
短期借款与资本租赁负债 170.15%4.09亿169.09%3.97亿97.19%3.02亿97.19%3.02亿5.52%1.51亿-3.08%1.49亿-4.74%1.47亿-68.05%1.53亿-68.05%1.53亿-69.95%1.44亿
-短期借款 855.23%2.5亿712.69%2.68亿370.11%1.74亿370.11%1.74亿-25.83%2,613.2万-20.37%3,056.5万-19.14%3,299.8万-89.80%3,708.7万-89.80%3,708.7万-90.29%3,523.4万
-短期资本租赁负债 27.34%1.6亿12.37%1.29亿9.89%1.27亿9.89%1.27亿15.72%1.25亿2.69%1.18亿0.42%1.14亿0.51%1.16亿0.51%1.16亿-5.77%1.08亿
应付款项 2.17%7.39亿-0.62%6.82亿-14.70%4.87亿-14.70%4.87亿-14.86%7.23亿-27.36%6.42亿-21.74%6.86亿-12.66%5.71亿-12.66%5.71亿-1.75%8.49亿
-应付账款 1.89%7.33亿-1.49%6.73亿-9.65%4.51亿-9.65%4.51亿-9.42%7.2亿-23.52%6.39亿-19.30%6.83亿-18.51%4.99亿-18.51%4.99亿-6.58%7.95亿
-应付税费 64.94%519.9万215.19%865.5万-94.15%244.2万-94.15%244.2万-94.21%315.2万-94.35%271.2万-90.82%274.6万152.02%4,171.4万152.02%4,171.4万300.92%5,447.7万
-应付股利 --------11.51%3,377.6万11.51%3,377.6万------------21.74%3,028.9万21.74%3,028.9万----
应计费用 --------4.35%1.88亿4.35%1.88亿-------------20.11%1.8亿-20.11%1.8亿----
现行拨备 54.26%8,495.4万54.60%6,652.1万51.62%6,656.5万51.62%6,656.5万8.11%5,507.2万-6.07%4,449.5万-0.91%4,302.9万12.54%4,390.3万12.54%4,390.3万47.70%5,093.9万
其他流动负债 -41.60%1,534万44.48%2,515.9万21.50%2,342万21.50%2,342万-30.76%2,626.8万-46.69%1,858.7万-50.03%1,741.3万82.42%1,927.5万82.42%1,927.5万311.58%3,793.5万
流动负债总额 30.59%12.48亿30.91%11.7亿10.29%10.66亿10.29%10.66亿-11.63%9.56亿-23.73%8.54亿-19.44%8.94亿-31.29%9.67亿-31.29%9.67亿-21.95%10.81亿
非流动负债
长期借款与租赁负债 47.28%27.6亿63.76%25.48亿29.62%20.43亿29.62%20.43亿20.77%18.74亿-19.18%15.88亿-20.65%15.56亿1.12%15.76亿1.12%15.76亿4.37%15.52亿
-长期借款 45.77%23.09亿74.70%22.19亿33.72%17.1亿33.72%17.1亿24.30%15.84亿-22.20%13.06亿-23.52%12.7亿2.75%12.79亿2.75%12.79亿8.70%12.75亿
-长期租赁负债 55.48%4.51亿15.07%3.29亿12.00%3.33亿12.00%3.33亿4.56%2.9亿-1.47%2.82亿-4.71%2.85亿-5.34%2.97亿-5.34%2.97亿-11.78%2.77亿
长期拨备 23.46%1.41亿-22.86%9,619万-29.15%9,333.5万-29.15%9,333.5万-14.28%1.14亿-18.33%1.01亿34.75%1.25亿21.81%1.32亿21.81%1.32亿56.57%1.34亿
员工福利 105.66%8,341.6万388.74%6,412.8万--5,323.1万--5,323.1万-51.15%4,056.1万-67.55%2,580.5万-82.28%1,312.1万--0--0-8.85%8,302.7万
递延负债 14.78%5.1亿15.49%4.32亿17.67%4.33亿17.67%4.33亿37.86%4.44亿-11.47%3.63亿-9.70%3.74亿-13.11%3.68亿-13.11%3.68亿-9.61%3.22亿
其他非流动负债 40.24%512.3万-72.55%304.3万868.32%369.9万868.32%369.9万284.93%365.3万225.37%1,280万178.07%1,108.4万-95.24%38.2万-95.24%38.2万-93.55%94.9万
非流动负债总额 41.29%35亿51.20%31.43亿26.49%26.26亿26.49%26.26亿18.43%24.77亿-19.04%20.91亿-18.33%20.79亿-4.17%20.76亿-4.17%20.76亿2.81%20.92亿
负债总额 38.31%47.48亿45.10%43.13亿21.34%36.92亿21.34%36.92亿8.18%34.33亿-20.46%29.45亿-18.67%29.73亿-14.85%30.43亿-14.85%30.43亿-7.22%31.73亿
所有者权益
股本 1.17%11.36亿0.13%11.28亿1.66%11.07亿1.66%11.07亿2.91%11.23亿1.00%11.18亿-0.41%11.26亿-3.88%10.89亿-3.88%10.89亿-3.29%10.91亿
-普通股股本 1.17%11.36亿0.13%11.28亿1.66%11.07亿1.66%11.07亿2.91%11.23亿1.00%11.18亿-0.41%11.26亿-3.88%10.89亿-3.88%10.89亿-3.29%10.91亿
资本公积 -13.06%2,917万-5.15%2,659.5万-9.18%3,768.4万-9.18%3,768.4万-12.50%3,355.2万-18.69%2,938万-32.51%2,803.9万5.98%4,149.1万5.98%4,149.1万54.35%3,834.6万
留存收益 6.78%18.16亿5.06%16.69亿5.19%16.47亿5.19%16.47亿17.02%17亿13.35%15.97亿27.09%15.88亿22.06%15.66亿22.06%15.66亿30.55%14.53亿
不影响留存收益的损益 2.16%-2.29亿-11.67%-2.35亿14.05%-2.01亿14.05%-2.01亿8.17%-2.34亿-13.85%-1.98亿-46.84%-2.11亿-61.28%-2.33亿-61.28%-2.33亿-69.99%-2.55亿
股东权益总额 4.92%27.52亿2.20%25.87亿5.21%25.91亿5.21%25.91亿12.68%26.23亿7.08%25.47亿11.11%25.32亿6.61%24.63亿6.61%24.63亿9.99%23.28亿
总权益 4.92%27.52亿2.20%25.87亿5.21%25.91亿5.21%25.91亿12.68%26.23亿7.08%25.47亿11.11%25.32亿6.61%24.63亿6.61%24.63亿9.99%23.28亿
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。