加拿大市场个股详情

WELL WELL Health Technologies Corp

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  • 4.400
  • +0.010+0.23%
延时15分钟行情已收盘 11/04 16:00 (美东)
10.95亿总市值7.72市盈率TTM

WELL Health Technologies 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
30.64%4,655万
15.68%4,822.7万
-11.21%4,342.3万
-11.21%4,342.3万
-19.96%4,197.1万
-37.62%3,563.3万
15.63%4,169万
-21.01%4,890.8万
-21.01%4,890.8万
35.40%5,243.5万
-现金和现金等价物
30.64%4,655万
15.68%4,822.7万
-11.21%4,342.3万
-11.21%4,342.3万
-19.96%4,197.1万
-37.62%3,563.3万
15.63%4,169万
-21.01%4,890.8万
-21.01%4,890.8万
35.40%5,243.5万
应收款项
139.09%1.82亿
25.83%1.31亿
14.99%1.1亿
14.99%1.1亿
-21.27%8,868.4万
-23.27%7,631.7万
38.84%1.04亿
28.09%9,584.6万
28.09%9,584.6万
67.92%1.13亿
-应收账款
140.66%1.81亿
57.08%1.3亿
20.37%9,499.1万
20.37%9,499.1万
-11.84%8,777.8万
-12.91%7,541.1万
11.14%8,263.2万
19.53%7,891.4万
19.53%7,891.4万
59.50%9,956.9万
-应收税费
----
----
-41.00%695.5万
-41.00%695.5万
----
----
--2,075.1万
150.19%1,178.9万
150.19%1,178.9万
194.07%1,248.9万
-其他应收款
8.50%98.3万
78.49%97.1万
60.68%826.4万
60.68%826.4万
54.61%90.6万
48.28%90.6万
8.15%54.4万
25.59%514.3万
25.59%514.3万
42.93%58.6万
存货
55.79%184.3万
-16.02%117.4万
-13.87%118万
-13.87%118万
-4.34%134.4万
18.30%118.3万
54.99%139.8万
72.76%137万
72.76%137万
9.94%140.5万
预付费用
----
----
51.07%639.5万
51.07%639.5万
----
----
----
-9.71%423.3万
-9.71%423.3万
----
受限制现金
----
----
----
----
--329.2万
----
----
----
----
----
持有待售资产
--0
--0
--1,420.8万
--1,420.8万
----
----
----
--0
--0
----
其他流动资产
45.88%2,917.8万
--2,432.8万
88.46%98万
88.46%98万
--2,748.8万
--2,000.1万
----
377.06%52万
377.06%52万
----
流动资产合计
95.32%2.6亿
39.10%2.05亿
16.91%1.76亿
16.91%1.76亿
-2.23%1.63亿
-15.52%1.33亿
21.51%1.47亿
6.00%1.51亿
6.00%1.51亿
14.26%1.66亿
非流动资产
固定资产净额
18.85%1.02亿
19.61%1.02亿
24.24%1.03亿
24.24%1.03亿
2.74%8,395.1万
7.59%8,541.9万
-1.72%8,494.1万
-0.63%8,253.5万
-0.63%8,253.5万
-8.44%8,171.6万
-固定资产
----
----
--1.45亿
--1.45亿
----
----
----
----
----
----
-累计折旧
----
----
---4,204.2万
---4,204.2万
----
----
----
----
----
----
投资和预付款
1,792.52%2.06亿
738.23%8,889.4万
508.30%6,086万
508.30%6,086万
1.18%1,084.4万
3.65%1,086.2万
1.38%1,060.5万
-7.75%1,000.5万
-7.75%1,000.5万
21.24%1,071.8万
-长期股权投资
348.82%1,876.5万
335.19%1,858.7万
7.35%469万
7.35%469万
-15.39%407.8万
-16.63%418.1万
-16.35%427.1万
-19.88%436.9万
-19.88%436.9万
-2.39%482万
-金融资产投资
2,696.00%1.87亿
1,009.99%7,030.7万
896.63%5,617万
896.63%5,617万
14.72%676.6万
22.27%668.1万
18.28%633.4万
4.53%563.6万
4.53%563.6万
51.15%589.8万
-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
2,696.00%1.87亿
1,009.99%7,030.7万
896.63%5,617万
896.63%5,617万
14.72%676.6万
22.27%668.1万
18.28%633.4万
4.53%563.6万
4.53%563.6万
51.15%589.8万
长期应收款
-14.22%162.9万
3.44%180.3万
-1.49%185.2万
-1.49%185.2万
-12.84%175.1万
-11.34%189.9万
-16.72%174.3万
-14.93%188万
-14.93%188万
24.71%200.9万
长期预付费用
----
----
----
----
----
----
----
----
----
--68.7万
商誉及其他无形资产
2.92%10.66亿
-0.32%10.69亿
-0.68%10.63亿
-0.68%10.63亿
1.37%10.96亿
-1.13%10.36亿
5.37%10.72亿
2.13%10.71亿
2.13%10.71亿
24.37%10.81亿
-商誉
5.05%5.2亿
3.58%5.16亿
1.76%5.08亿
1.76%5.08亿
5.15%5.2亿
0.94%4.95亿
-17.96%4.98亿
5.88%4.99亿
5.88%4.99亿
-21.43%4.95亿
-其他无形资产
0.98%5.47亿
-3.70%5.53亿
-2.81%5.55亿
-2.81%5.55亿
-1.82%5.76亿
-2.94%5.41亿
39.90%5.74亿
-0.94%5.71亿
-0.94%5.71亿
144.80%5.86亿
其他非流动资产
-27.64%277万
-16.95%274.3万
38.28%439.3万
38.28%439.3万
--339.8万
--382.8万
596.84%330.3万
393.32%317.7万
393.32%317.7万
----
非流动资产合计
21.07%13.78亿
7.76%12.64亿
5.54%12.33亿
5.54%12.33亿
1.67%11.96亿
-0.23%11.38亿
4.99%11.73亿
2.02%11.68亿
2.02%11.68亿
18.01%11.77亿
总资产
28.85%16.38亿
11.25%14.68亿
6.84%14.09亿
6.84%14.09亿
1.19%13.59亿
-2.08%12.71亿
6.61%13.2亿
2.46%13.19亿
2.46%13.19亿
17.53%13.43亿
负债
流动负债
短期借款与资本租赁负债
-40.83%2,360.1万
-37.89%2,397.1万
40.95%6,097.7万
40.95%6,097.7万
34.86%4,990.6万
6.39%3,988.6万
-18.53%3,859.7万
-24.59%4,326万
-24.59%4,326万
-51.59%3,700.5万
-短期借款
-72.43%803.4万
-70.69%854.1万
35.00%4,610.8万
35.00%4,610.8万
38.62%4,027万
-3.48%2,913.8万
-26.36%2,913.6万
-31.90%3,415.3万
-31.90%3,415.3万
-58.22%2,905万
-短期资本租赁负债
44.84%1,556.7万
63.09%1,543万
63.27%1,486.9万
63.27%1,486.9万
21.13%963.6万
47.21%1,074.8万
21.11%946.1万
26.19%910.7万
26.19%910.7万
15.16%795.5万
应付款项
212.95%1.43亿
31.48%7,348.8万
-11.27%4,873.9万
-11.27%4,873.9万
-15.04%4,824.7万
-10.33%4,558.3万
--5,589.3万
30.78%5,492.9万
30.78%5,492.9万
62.32%5,678.8万
-应付账款
41.67%6,175.1万
2.21%5,517.8万
-5.62%4,787.7万
-5.62%4,787.7万
-7.60%4,788.3万
-2.28%4,358.8万
--5,398.5万
31.04%5,072.8万
31.04%5,072.8万
48.12%5,182.1万
-应付税费
-21.05%157.5万
-54.72%86.4万
-79.48%86.2万
-79.48%86.2万
-92.67%36.4万
-67.98%199.5万
--190.8万
27.77%420.1万
27.77%420.1万
--496.7万
-其他应付款
--7,932.5万
--1,744.6万
----
----
----
----
----
----
----
----
应计费用
123.08%1,556.9万
129.53%1,531.4万
123.83%1,245.4万
123.83%1,245.4万
23.58%822.2万
-4.23%697.9万
--667.2万
-13.86%556.4万
-13.86%556.4万
-53.88%665.3万
递延负债
-14.21%1,914.2万
-15.82%1,842.4万
-15.52%2,114.1万
-15.52%2,114.1万
-44.57%2,370.1万
-39.18%2,231.2万
-59.75%2,188.6万
-12.45%2,502.6万
-12.45%2,502.6万
227.28%4,276.2万
其他流动负债
7.74%745.9万
17.52%706.9万
24.83%964.2万
24.83%964.2万
15.45%750.9万
13.29%692.3万
-36.24%601.5万
163.80%772.4万
163.80%772.4万
96.02%650.4万
流动负债总额
71.28%2.08亿
7.13%1.38亿
12.05%1.53亿
12.05%1.53亿
-8.10%1.38亿
-12.09%1.22亿
-13.70%1.29亿
-0.61%1.37亿
-0.61%1.37亿
5.26%1.5亿
非流动负债
长期借款与租赁负债
30.22%3.95亿
26.21%4.08亿
15.91%3.65亿
15.91%3.65亿
7.03%3.54亿
-7.27%3.04亿
-0.63%3.23亿
-8.54%3.15亿
-8.54%3.15亿
11.61%3.31亿
-长期借款
32.65%3.31亿
27.63%3.44亿
13.66%2.99亿
13.66%2.99亿
8.08%3.01亿
-9.68%2.5亿
-1.65%2.69亿
-9.50%2.63亿
-9.50%2.63亿
14.95%2.78亿
-长期租赁负债
18.99%6,432.3万
19.14%6,442.7万
27.30%6,639.2万
27.30%6,639.2万
1.49%5,327.2万
5.77%5,405.7万
4.81%5,407.5万
-3.36%5,215.6万
-3.36%5,215.6万
-3.29%5,248.8万
递延负债
-44.17%2,416.8万
-35.40%3,089万
-19.57%4,132万
-19.57%4,132万
-32.65%4,576.7万
-37.88%4,328.8万
-22.68%4,782.1万
-47.35%5,137.7万
-47.35%5,137.7万
23.51%6,795万
其他非流动负债
12.49%202.6万
193.54%218.1万
380.78%357.7万
380.78%357.7万
52.23%208.4万
35.72%180.1万
877.63%74.3万
878.95%74.4万
878.95%74.4万
--136.9万
非流动负债总额
20.89%4.22亿
18.62%4.41亿
11.69%4.1亿
11.69%4.1亿
0.45%4.02亿
-12.48%3.49亿
-3.97%3.72亿
-16.95%3.67亿
-16.95%3.67亿
13.86%4亿
负债总额
33.93%6.3亿
15.66%5.79亿
11.79%5.63亿
11.79%5.63亿
-1.88%5.39亿
-12.38%4.7亿
-6.68%5.01亿
-13.08%5.04亿
-13.08%5.04亿
11.38%5.5亿
所有者权益
股本
6.74%7.79亿
6.67%7.69亿
6.57%7.52亿
6.57%7.52亿
6.63%7.41亿
6.94%7.29亿
13.21%7.21亿
11.31%7.05亿
11.31%7.05亿
13.56%6.95亿
-普通股股本
6.74%7.79亿
6.67%7.69亿
6.57%7.52亿
6.57%7.52亿
6.63%7.41亿
6.94%7.29亿
13.21%7.21亿
11.31%7.05亿
11.31%7.05亿
13.56%6.95亿
资本公积
-4.79%4,894.8万
-1.03%5,122.2万
4.41%5,404.8万
4.41%5,404.8万
3.56%5,228.5万
-1.57%5,141.2万
12.90%5,175.7万
17.68%5,176.5万
17.68%5,176.5万
160.55%5,048.7万
留存收益
175.45%6,322万
37.84%-4,849.7万
0.13%-6,358.4万
0.13%-6,358.4万
-8.43%-9,139.7万
-6.58%-8,379.1万
-7.38%-7,802.4万
2.11%-6,366.6万
2.11%-6,366.6万
-51.05%-8,429.4万
不影响留存收益的损益
67.15%4,426.8万
1.11%3,885.5万
-34.32%2,565.2万
-34.32%2,565.2万
-14.30%3,809.8万
108.42%2,648.4万
1,980.96%3,842.8万
625.60%3,905.9万
625.60%3,905.9万
4,341.16%4,445.6万
股东权益总额
29.23%9.35亿
10.57%8.11亿
4.82%7.68亿
4.82%7.68亿
4.88%7.4亿
8.25%7.24亿
20.59%7.33亿
18.53%7.32亿
18.53%7.32亿
22.38%7.06亿
非控制性权益
-5.74%7,272万
-8.74%7,793.2万
-5.34%7,848万
-5.34%7,848万
-9.29%7,923.3万
-16.93%7,715万
-8.11%8,539.5万
-7.79%8,290.7万
-7.79%8,290.7万
20.86%8,735万
总权益
25.86%10.08亿
8.55%8.89亿
3.79%8.46亿
3.79%8.46亿
3.32%8.2亿
5.17%8.01亿
16.78%8.19亿
15.19%8.15亿
15.19%8.15亿
22.21%7.93亿
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
--
--
(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 30.64%4,655万15.68%4,822.7万-11.21%4,342.3万-11.21%4,342.3万-19.96%4,197.1万-37.62%3,563.3万15.63%4,169万-21.01%4,890.8万-21.01%4,890.8万35.40%5,243.5万
-现金和现金等价物 30.64%4,655万15.68%4,822.7万-11.21%4,342.3万-11.21%4,342.3万-19.96%4,197.1万-37.62%3,563.3万15.63%4,169万-21.01%4,890.8万-21.01%4,890.8万35.40%5,243.5万
应收款项 139.09%1.82亿25.83%1.31亿14.99%1.1亿14.99%1.1亿-21.27%8,868.4万-23.27%7,631.7万38.84%1.04亿28.09%9,584.6万28.09%9,584.6万67.92%1.13亿
-应收账款 140.66%1.81亿57.08%1.3亿20.37%9,499.1万20.37%9,499.1万-11.84%8,777.8万-12.91%7,541.1万11.14%8,263.2万19.53%7,891.4万19.53%7,891.4万59.50%9,956.9万
-应收税费 ---------41.00%695.5万-41.00%695.5万----------2,075.1万150.19%1,178.9万150.19%1,178.9万194.07%1,248.9万
-其他应收款 8.50%98.3万78.49%97.1万60.68%826.4万60.68%826.4万54.61%90.6万48.28%90.6万8.15%54.4万25.59%514.3万25.59%514.3万42.93%58.6万
存货 55.79%184.3万-16.02%117.4万-13.87%118万-13.87%118万-4.34%134.4万18.30%118.3万54.99%139.8万72.76%137万72.76%137万9.94%140.5万
预付费用 --------51.07%639.5万51.07%639.5万-------------9.71%423.3万-9.71%423.3万----
受限制现金 ------------------329.2万--------------------
持有待售资产 --0--0--1,420.8万--1,420.8万--------------0--0----
其他流动资产 45.88%2,917.8万--2,432.8万88.46%98万88.46%98万--2,748.8万--2,000.1万----377.06%52万377.06%52万----
流动资产合计 95.32%2.6亿39.10%2.05亿16.91%1.76亿16.91%1.76亿-2.23%1.63亿-15.52%1.33亿21.51%1.47亿6.00%1.51亿6.00%1.51亿14.26%1.66亿
非流动资产
固定资产净额 18.85%1.02亿19.61%1.02亿24.24%1.03亿24.24%1.03亿2.74%8,395.1万7.59%8,541.9万-1.72%8,494.1万-0.63%8,253.5万-0.63%8,253.5万-8.44%8,171.6万
-固定资产 ----------1.45亿--1.45亿------------------------
-累计折旧 -----------4,204.2万---4,204.2万------------------------
投资和预付款 1,792.52%2.06亿738.23%8,889.4万508.30%6,086万508.30%6,086万1.18%1,084.4万3.65%1,086.2万1.38%1,060.5万-7.75%1,000.5万-7.75%1,000.5万21.24%1,071.8万
-长期股权投资 348.82%1,876.5万335.19%1,858.7万7.35%469万7.35%469万-15.39%407.8万-16.63%418.1万-16.35%427.1万-19.88%436.9万-19.88%436.9万-2.39%482万
-金融资产投资 2,696.00%1.87亿1,009.99%7,030.7万896.63%5,617万896.63%5,617万14.72%676.6万22.27%668.1万18.28%633.4万4.53%563.6万4.53%563.6万51.15%589.8万
-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 2,696.00%1.87亿1,009.99%7,030.7万896.63%5,617万896.63%5,617万14.72%676.6万22.27%668.1万18.28%633.4万4.53%563.6万4.53%563.6万51.15%589.8万
长期应收款 -14.22%162.9万3.44%180.3万-1.49%185.2万-1.49%185.2万-12.84%175.1万-11.34%189.9万-16.72%174.3万-14.93%188万-14.93%188万24.71%200.9万
长期预付费用 --------------------------------------68.7万
商誉及其他无形资产 2.92%10.66亿-0.32%10.69亿-0.68%10.63亿-0.68%10.63亿1.37%10.96亿-1.13%10.36亿5.37%10.72亿2.13%10.71亿2.13%10.71亿24.37%10.81亿
-商誉 5.05%5.2亿3.58%5.16亿1.76%5.08亿1.76%5.08亿5.15%5.2亿0.94%4.95亿-17.96%4.98亿5.88%4.99亿5.88%4.99亿-21.43%4.95亿
-其他无形资产 0.98%5.47亿-3.70%5.53亿-2.81%5.55亿-2.81%5.55亿-1.82%5.76亿-2.94%5.41亿39.90%5.74亿-0.94%5.71亿-0.94%5.71亿144.80%5.86亿
其他非流动资产 -27.64%277万-16.95%274.3万38.28%439.3万38.28%439.3万--339.8万--382.8万596.84%330.3万393.32%317.7万393.32%317.7万----
非流动资产合计 21.07%13.78亿7.76%12.64亿5.54%12.33亿5.54%12.33亿1.67%11.96亿-0.23%11.38亿4.99%11.73亿2.02%11.68亿2.02%11.68亿18.01%11.77亿
总资产 28.85%16.38亿11.25%14.68亿6.84%14.09亿6.84%14.09亿1.19%13.59亿-2.08%12.71亿6.61%13.2亿2.46%13.19亿2.46%13.19亿17.53%13.43亿
负债
流动负债
短期借款与资本租赁负债 -40.83%2,360.1万-37.89%2,397.1万40.95%6,097.7万40.95%6,097.7万34.86%4,990.6万6.39%3,988.6万-18.53%3,859.7万-24.59%4,326万-24.59%4,326万-51.59%3,700.5万
-短期借款 -72.43%803.4万-70.69%854.1万35.00%4,610.8万35.00%4,610.8万38.62%4,027万-3.48%2,913.8万-26.36%2,913.6万-31.90%3,415.3万-31.90%3,415.3万-58.22%2,905万
-短期资本租赁负债 44.84%1,556.7万63.09%1,543万63.27%1,486.9万63.27%1,486.9万21.13%963.6万47.21%1,074.8万21.11%946.1万26.19%910.7万26.19%910.7万15.16%795.5万
应付款项 212.95%1.43亿31.48%7,348.8万-11.27%4,873.9万-11.27%4,873.9万-15.04%4,824.7万-10.33%4,558.3万--5,589.3万30.78%5,492.9万30.78%5,492.9万62.32%5,678.8万
-应付账款 41.67%6,175.1万2.21%5,517.8万-5.62%4,787.7万-5.62%4,787.7万-7.60%4,788.3万-2.28%4,358.8万--5,398.5万31.04%5,072.8万31.04%5,072.8万48.12%5,182.1万
-应付税费 -21.05%157.5万-54.72%86.4万-79.48%86.2万-79.48%86.2万-92.67%36.4万-67.98%199.5万--190.8万27.77%420.1万27.77%420.1万--496.7万
-其他应付款 --7,932.5万--1,744.6万--------------------------------
应计费用 123.08%1,556.9万129.53%1,531.4万123.83%1,245.4万123.83%1,245.4万23.58%822.2万-4.23%697.9万--667.2万-13.86%556.4万-13.86%556.4万-53.88%665.3万
递延负债 -14.21%1,914.2万-15.82%1,842.4万-15.52%2,114.1万-15.52%2,114.1万-44.57%2,370.1万-39.18%2,231.2万-59.75%2,188.6万-12.45%2,502.6万-12.45%2,502.6万227.28%4,276.2万
其他流动负债 7.74%745.9万17.52%706.9万24.83%964.2万24.83%964.2万15.45%750.9万13.29%692.3万-36.24%601.5万163.80%772.4万163.80%772.4万96.02%650.4万
流动负债总额 71.28%2.08亿7.13%1.38亿12.05%1.53亿12.05%1.53亿-8.10%1.38亿-12.09%1.22亿-13.70%1.29亿-0.61%1.37亿-0.61%1.37亿5.26%1.5亿
非流动负债
长期借款与租赁负债 30.22%3.95亿26.21%4.08亿15.91%3.65亿15.91%3.65亿7.03%3.54亿-7.27%3.04亿-0.63%3.23亿-8.54%3.15亿-8.54%3.15亿11.61%3.31亿
-长期借款 32.65%3.31亿27.63%3.44亿13.66%2.99亿13.66%2.99亿8.08%3.01亿-9.68%2.5亿-1.65%2.69亿-9.50%2.63亿-9.50%2.63亿14.95%2.78亿
-长期租赁负债 18.99%6,432.3万19.14%6,442.7万27.30%6,639.2万27.30%6,639.2万1.49%5,327.2万5.77%5,405.7万4.81%5,407.5万-3.36%5,215.6万-3.36%5,215.6万-3.29%5,248.8万
递延负债 -44.17%2,416.8万-35.40%3,089万-19.57%4,132万-19.57%4,132万-32.65%4,576.7万-37.88%4,328.8万-22.68%4,782.1万-47.35%5,137.7万-47.35%5,137.7万23.51%6,795万
其他非流动负债 12.49%202.6万193.54%218.1万380.78%357.7万380.78%357.7万52.23%208.4万35.72%180.1万877.63%74.3万878.95%74.4万878.95%74.4万--136.9万
非流动负债总额 20.89%4.22亿18.62%4.41亿11.69%4.1亿11.69%4.1亿0.45%4.02亿-12.48%3.49亿-3.97%3.72亿-16.95%3.67亿-16.95%3.67亿13.86%4亿
负债总额 33.93%6.3亿15.66%5.79亿11.79%5.63亿11.79%5.63亿-1.88%5.39亿-12.38%4.7亿-6.68%5.01亿-13.08%5.04亿-13.08%5.04亿11.38%5.5亿
所有者权益
股本 6.74%7.79亿6.67%7.69亿6.57%7.52亿6.57%7.52亿6.63%7.41亿6.94%7.29亿13.21%7.21亿11.31%7.05亿11.31%7.05亿13.56%6.95亿
-普通股股本 6.74%7.79亿6.67%7.69亿6.57%7.52亿6.57%7.52亿6.63%7.41亿6.94%7.29亿13.21%7.21亿11.31%7.05亿11.31%7.05亿13.56%6.95亿
资本公积 -4.79%4,894.8万-1.03%5,122.2万4.41%5,404.8万4.41%5,404.8万3.56%5,228.5万-1.57%5,141.2万12.90%5,175.7万17.68%5,176.5万17.68%5,176.5万160.55%5,048.7万
留存收益 175.45%6,322万37.84%-4,849.7万0.13%-6,358.4万0.13%-6,358.4万-8.43%-9,139.7万-6.58%-8,379.1万-7.38%-7,802.4万2.11%-6,366.6万2.11%-6,366.6万-51.05%-8,429.4万
不影响留存收益的损益 67.15%4,426.8万1.11%3,885.5万-34.32%2,565.2万-34.32%2,565.2万-14.30%3,809.8万108.42%2,648.4万1,980.96%3,842.8万625.60%3,905.9万625.60%3,905.9万4,341.16%4,445.6万
股东权益总额 29.23%9.35亿10.57%8.11亿4.82%7.68亿4.82%7.68亿4.88%7.4亿8.25%7.24亿20.59%7.33亿18.53%7.32亿18.53%7.32亿22.38%7.06亿
非控制性权益 -5.74%7,272万-8.74%7,793.2万-5.34%7,848万-5.34%7,848万-9.29%7,923.3万-16.93%7,715万-8.11%8,539.5万-7.79%8,290.7万-7.79%8,290.7万20.86%8,735万
总权益 25.86%10.08亿8.55%8.89亿3.79%8.46亿3.79%8.46亿3.32%8.2亿5.17%8.01亿16.78%8.19亿15.19%8.15亿15.19%8.15亿22.21%7.93亿
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。

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