加拿大市场个股详情

VVC VVC Exploration Corp

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  • 0.030
  • 0.0000.00%
延时15分钟行情已收盘 12/27 16:00 (美东)
1718.05万总市值-2.31市盈率TTM

VVC Exploration Corp关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2024/10/31
(Q2)2024/07/31
(Q1)2024/04/30
(FY)2024/01/31
(Q4)2024/01/31
(Q3)2023/10/31
(Q2)2023/07/31
(Q1)2023/04/30
(FY)2023/01/31
(Q4)2023/01/31
资产
流动资产
现金及现金等价物和短期投资
-90.39%48.1万
-89.94%64.92万
4,047.63%272.06万
6,443.30%326.39万
6,443.30%326.39万
560.23%500.41万
22,680.08%645.2万
-85.88%6.56万
-98.63%4.99万
-98.63%4.99万
-现金和现金等价物
-90.39%48.1万
-89.94%64.92万
4,047.63%272.06万
6,443.30%326.39万
6,443.30%326.39万
560.23%500.41万
22,680.08%645.2万
-85.88%6.56万
-98.63%4.99万
-98.63%4.99万
应收款项
18.19%4.76万
293.67%3.07万
3,057.27%4.1万
608.29%8.52万
608.29%8.52万
453.84%4.03万
-83.74%7,809
-87.55%1,299
-63.19%1.2万
-63.19%1.2万
-应收账款
--8,373
----
----
----
----
----
----
----
----
----
-应收税费
-2.59%3.92万
293.67%3.07万
879.37%1.27万
374.91%5.71万
374.91%5.71万
453.84%4.03万
-82.69%7,809
-87.55%1,299
-56.23%1.2万
-56.23%1.2万
-其他应收款
----
----
--2.83万
--2.81万
--2.81万
----
----
----
----
----
预付费用
-82.77%1.15万
0.01%1.72万
1,016.31%6.09万
-47.52%5,726
-47.52%5,726
509.16%6.65万
-2.95%1.72万
-74.99%5,456
1,469.78%1.09万
1,469.78%1.09万
流动资产合计
-89.43%54万
-89.24%69.71万
3,801.25%282.25万
4,506.77%335.49万
4,506.77%335.49万
558.52%511.08万
6,786.68%647.7万
-85.43%7.23万
-98.01%7.28万
-98.01%7.28万
非流动资产
固定资产净额
-4.45%165.85万
-1.54%166.02万
-3.84%167.29万
-3.27%168.37万
-3.27%168.37万
11.53%173.57万
8.16%168.63万
137.04%173.97万
557.30%174.07万
557.30%174.07万
-固定资产
1.68%184.23万
4.38%181.71万
2.10%181.07万
2.69%180.05万
2.69%180.05万
15.75%181.2万
11.20%174.08万
140.43%177.34万
559.80%175.33万
559.80%175.33万
-累计折旧
-140.99%-18.38万
-187.60%-15.69万
-308.53%-13.78万
-823.09%-11.68万
-823.09%-11.68万
-730.12%-7.63万
-747.99%-5.45万
-818.49%-3.37万
-1,282.73%-1.27万
-1,282.73%-1.27万
投资和预付款
27.63%5,011.23万
-65.46%1,356.05万
57,653.59%1,356.05万
57,653.59%1,356.05万
57,653.59%1,356.05万
167,121.61%3,926.36万
167,121.61%3,926.36万
0.00%2.35万
0.00%2.35万
0.00%2.35万
-金融资产投资
----
----
----
----
----
--3,926.36万
--3,926.36万
----
----
----
-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
----
----
----
----
----
--3,926.36万
--3,926.36万
----
----
----
非流动资产合计
26.27%5,177.07万
-62.83%1,522.08万
763.98%1,523.34万
764.11%1,524.42万
764.11%1,524.42万
2,495.35%4,099.93万
2,487.73%4,094.99万
132.79%176.32万
511.91%176.42万
511.91%176.42万
总资产
13.45%5,231.08万
-66.44%1,591.79万
883.69%1,805.6万
912.48%1,859.91万
912.48%1,859.91万
1,857.28%4,611.01万
2,728.90%4,742.69万
46.36%183.55万
-53.51%183.7万
-53.51%183.7万
负债
流动负债
短期借款与资本租赁负债
-4.23%206.33万
0.84%206.33万
3.25%213.08万
3.25%213.08万
3.25%213.08万
4.63%215.43万
27.77%204.6万
--206.38万
1,142.49%206.38万
1,142.49%206.38万
-短期借款
-4.23%206.33万
0.84%206.33万
3.25%213.08万
3.25%213.08万
3.25%213.08万
4.63%215.43万
27.77%204.6万
--206.38万
1,142.49%206.38万
1,142.49%206.38万
应付款项
5.99%186万
-15.08%176.07万
-1.07%179.39万
9.46%164.3万
9.46%164.3万
37.92%175.48万
72.42%207.34万
36.81%181.33万
-15.08%150.1万
-15.08%150.1万
-应付账款
-15.36%133.24万
-25.89%127.41万
-5.80%136.48万
5.84%139.06万
5.84%139.06万
43.78%157.41万
57.89%171.91万
18.97%144.89万
-25.02%131.39万
-25.02%131.39万
-应付关联方款项
191.98%52.76万
37.35%48.66万
17.75%42.91万
34.93%25.25万
34.93%25.25万
1.74%18.07万
211.48%35.43万
238.93%36.44万
1,125.21%18.71万
1,125.21%18.71万
递延负债
5.58%476.35万
7.78%462.74万
4.91%460.66万
5.71%457.26万
5.71%457.26万
8.37%451.17万
3.13%429.33万
5.47%439.09万
4.72%432.58万
4.72%432.58万
其他流动负债
0.93%62.82万
3.03%61.03万
0.29%60.76万
1.05%60.31万
1.05%60.31万
8.37%62.25万
3.12%59.23万
5.47%60.58万
-61.06%59.68万
-61.06%59.68万
流动负债总额
3.00%931.5万
0.63%906.17万
2.99%913.9万
5.44%894.95万
5.44%894.95万
12.07%904.34万
19.41%900.51万
46.36%887.38万
11.72%848.75万
11.72%848.75万
非流动负债
长期应付账款及其他应付款项
----
----
----
--0
--0
19.00%32.46万
19.00%31.08万
19.00%29.75万
19.00%28.49万
19.00%28.49万
长期拨备
2.42%29.68万
4.55%28.73万
1.77%28.5万
0.52%28.18万
0.52%28.18万
252.15%28.98万
235.20%27.48万
242.99%28万
253.10%28.03万
253.10%28.03万
非流动负债总额
-51.69%29.68万
-50.94%28.73万
-50.66%28.5万
-50.14%28.18万
-50.14%28.18万
73.04%61.44万
70.65%58.56万
74.13%57.76万
77.30%56.52万
77.30%56.52万
负债总额
-0.48%961.19万
-2.52%934.9万
-0.29%942.39万
1.97%923.13万
1.97%923.13万
14.64%965.78万
21.64%959.07万
47.80%945.14万
14.36%905.27万
14.36%905.27万
所有者权益
股本
0.00%4,728.63万
0.00%4,728.63万
0.00%4,728.63万
0.00%4,728.63万
0.00%4,728.63万
1.55%4,728.63万
4.25%4,728.63万
4.28%4,728.63万
5.32%4,728.63万
5.32%4,728.63万
-普通股股本
0.00%4,728.63万
0.00%4,728.63万
0.00%4,728.63万
0.00%4,728.63万
0.00%4,728.63万
1.55%4,728.63万
4.25%4,728.63万
4.28%4,728.63万
5.32%4,728.63万
5.32%4,728.63万
资本公积
9.84%1,508.55万
9.13%1,498.78万
8.24%1,486.57万
6.83%1,465.48万
6.83%1,465.48万
-0.60%1,373.35万
-2.16%1,373.35万
-0.99%1,373.35万
0.02%1,371.79万
0.02%1,371.79万
留存收益
-6.38%-6,755.72万
-8.01%-6,718.95万
4.78%-6,504.44万
5.55%-6,410.22万
5.55%-6,410.22万
4.50%-6,350.82万
5.30%-6,220.61万
-5.97%-6,830.73万
-8.85%-6,787.13万
-8.85%-6,787.13万
不影响留存收益的损益
22.97%4,788.42万
-70.57%1,148.43万
3,608.53%1,152.45万
3,407.20%1,152.89万
3,407.20%1,152.89万
72,229.34%3,894.07万
45,473.66%3,902.24万
-415.92%-32.85万
-54.90%-34.86万
-54.90%-34.86万
股东权益总额
17.14%4,269.89万
-82.64%656.89万
213.34%863.2万
229.82%936.78万
229.82%936.78万
700.70%3,645.24万
709.47%3,783.62万
-48.15%-761.58万
-82.01%-721.57万
-82.01%-721.57万
总权益
17.14%4,269.89万
-82.64%656.89万
213.34%863.2万
229.82%936.78万
229.82%936.78万
700.70%3,645.24万
709.47%3,783.62万
-48.15%-761.58万
-82.01%-721.57万
-82.01%-721.57万
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)2024/10/31(Q2)2024/07/31(Q1)2024/04/30(FY)2024/01/31(Q4)2024/01/31(Q3)2023/10/31(Q2)2023/07/31(Q1)2023/04/30(FY)2023/01/31(Q4)2023/01/31
资产
流动资产
现金及现金等价物和短期投资 -90.39%48.1万-89.94%64.92万4,047.63%272.06万6,443.30%326.39万6,443.30%326.39万560.23%500.41万22,680.08%645.2万-85.88%6.56万-98.63%4.99万-98.63%4.99万
-现金和现金等价物 -90.39%48.1万-89.94%64.92万4,047.63%272.06万6,443.30%326.39万6,443.30%326.39万560.23%500.41万22,680.08%645.2万-85.88%6.56万-98.63%4.99万-98.63%4.99万
应收款项 18.19%4.76万293.67%3.07万3,057.27%4.1万608.29%8.52万608.29%8.52万453.84%4.03万-83.74%7,809-87.55%1,299-63.19%1.2万-63.19%1.2万
-应收账款 --8,373------------------------------------
-应收税费 -2.59%3.92万293.67%3.07万879.37%1.27万374.91%5.71万374.91%5.71万453.84%4.03万-82.69%7,809-87.55%1,299-56.23%1.2万-56.23%1.2万
-其他应收款 ----------2.83万--2.81万--2.81万--------------------
预付费用 -82.77%1.15万0.01%1.72万1,016.31%6.09万-47.52%5,726-47.52%5,726509.16%6.65万-2.95%1.72万-74.99%5,4561,469.78%1.09万1,469.78%1.09万
流动资产合计 -89.43%54万-89.24%69.71万3,801.25%282.25万4,506.77%335.49万4,506.77%335.49万558.52%511.08万6,786.68%647.7万-85.43%7.23万-98.01%7.28万-98.01%7.28万
非流动资产
固定资产净额 -4.45%165.85万-1.54%166.02万-3.84%167.29万-3.27%168.37万-3.27%168.37万11.53%173.57万8.16%168.63万137.04%173.97万557.30%174.07万557.30%174.07万
-固定资产 1.68%184.23万4.38%181.71万2.10%181.07万2.69%180.05万2.69%180.05万15.75%181.2万11.20%174.08万140.43%177.34万559.80%175.33万559.80%175.33万
-累计折旧 -140.99%-18.38万-187.60%-15.69万-308.53%-13.78万-823.09%-11.68万-823.09%-11.68万-730.12%-7.63万-747.99%-5.45万-818.49%-3.37万-1,282.73%-1.27万-1,282.73%-1.27万
投资和预付款 27.63%5,011.23万-65.46%1,356.05万57,653.59%1,356.05万57,653.59%1,356.05万57,653.59%1,356.05万167,121.61%3,926.36万167,121.61%3,926.36万0.00%2.35万0.00%2.35万0.00%2.35万
-金融资产投资 ----------------------3,926.36万--3,926.36万------------
-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 ----------------------3,926.36万--3,926.36万------------
非流动资产合计 26.27%5,177.07万-62.83%1,522.08万763.98%1,523.34万764.11%1,524.42万764.11%1,524.42万2,495.35%4,099.93万2,487.73%4,094.99万132.79%176.32万511.91%176.42万511.91%176.42万
总资产 13.45%5,231.08万-66.44%1,591.79万883.69%1,805.6万912.48%1,859.91万912.48%1,859.91万1,857.28%4,611.01万2,728.90%4,742.69万46.36%183.55万-53.51%183.7万-53.51%183.7万
负债
流动负债
短期借款与资本租赁负债 -4.23%206.33万0.84%206.33万3.25%213.08万3.25%213.08万3.25%213.08万4.63%215.43万27.77%204.6万--206.38万1,142.49%206.38万1,142.49%206.38万
-短期借款 -4.23%206.33万0.84%206.33万3.25%213.08万3.25%213.08万3.25%213.08万4.63%215.43万27.77%204.6万--206.38万1,142.49%206.38万1,142.49%206.38万
应付款项 5.99%186万-15.08%176.07万-1.07%179.39万9.46%164.3万9.46%164.3万37.92%175.48万72.42%207.34万36.81%181.33万-15.08%150.1万-15.08%150.1万
-应付账款 -15.36%133.24万-25.89%127.41万-5.80%136.48万5.84%139.06万5.84%139.06万43.78%157.41万57.89%171.91万18.97%144.89万-25.02%131.39万-25.02%131.39万
-应付关联方款项 191.98%52.76万37.35%48.66万17.75%42.91万34.93%25.25万34.93%25.25万1.74%18.07万211.48%35.43万238.93%36.44万1,125.21%18.71万1,125.21%18.71万
递延负债 5.58%476.35万7.78%462.74万4.91%460.66万5.71%457.26万5.71%457.26万8.37%451.17万3.13%429.33万5.47%439.09万4.72%432.58万4.72%432.58万
其他流动负债 0.93%62.82万3.03%61.03万0.29%60.76万1.05%60.31万1.05%60.31万8.37%62.25万3.12%59.23万5.47%60.58万-61.06%59.68万-61.06%59.68万
流动负债总额 3.00%931.5万0.63%906.17万2.99%913.9万5.44%894.95万5.44%894.95万12.07%904.34万19.41%900.51万46.36%887.38万11.72%848.75万11.72%848.75万
非流动负债
长期应付账款及其他应付款项 --------------0--019.00%32.46万19.00%31.08万19.00%29.75万19.00%28.49万19.00%28.49万
长期拨备 2.42%29.68万4.55%28.73万1.77%28.5万0.52%28.18万0.52%28.18万252.15%28.98万235.20%27.48万242.99%28万253.10%28.03万253.10%28.03万
非流动负债总额 -51.69%29.68万-50.94%28.73万-50.66%28.5万-50.14%28.18万-50.14%28.18万73.04%61.44万70.65%58.56万74.13%57.76万77.30%56.52万77.30%56.52万
负债总额 -0.48%961.19万-2.52%934.9万-0.29%942.39万1.97%923.13万1.97%923.13万14.64%965.78万21.64%959.07万47.80%945.14万14.36%905.27万14.36%905.27万
所有者权益
股本 0.00%4,728.63万0.00%4,728.63万0.00%4,728.63万0.00%4,728.63万0.00%4,728.63万1.55%4,728.63万4.25%4,728.63万4.28%4,728.63万5.32%4,728.63万5.32%4,728.63万
-普通股股本 0.00%4,728.63万0.00%4,728.63万0.00%4,728.63万0.00%4,728.63万0.00%4,728.63万1.55%4,728.63万4.25%4,728.63万4.28%4,728.63万5.32%4,728.63万5.32%4,728.63万
资本公积 9.84%1,508.55万9.13%1,498.78万8.24%1,486.57万6.83%1,465.48万6.83%1,465.48万-0.60%1,373.35万-2.16%1,373.35万-0.99%1,373.35万0.02%1,371.79万0.02%1,371.79万
留存收益 -6.38%-6,755.72万-8.01%-6,718.95万4.78%-6,504.44万5.55%-6,410.22万5.55%-6,410.22万4.50%-6,350.82万5.30%-6,220.61万-5.97%-6,830.73万-8.85%-6,787.13万-8.85%-6,787.13万
不影响留存收益的损益 22.97%4,788.42万-70.57%1,148.43万3,608.53%1,152.45万3,407.20%1,152.89万3,407.20%1,152.89万72,229.34%3,894.07万45,473.66%3,902.24万-415.92%-32.85万-54.90%-34.86万-54.90%-34.86万
股东权益总额 17.14%4,269.89万-82.64%656.89万213.34%863.2万229.82%936.78万229.82%936.78万700.70%3,645.24万709.47%3,783.62万-48.15%-761.58万-82.01%-721.57万-82.01%-721.57万
总权益 17.14%4,269.89万-82.64%656.89万213.34%863.2万229.82%936.78万229.82%936.78万700.70%3,645.24万709.47%3,783.62万-48.15%-761.58万-82.01%-721.57万-82.01%-721.57万
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。

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