加拿大市场个股详情

GoldMoney Inc (XAU)

添加自选
  • 16.300
  • -0.340-2.04%
延时15分钟行情已收盘 04/17 16:00 (美东)
2.03亿总市值4.89市盈率TTM

GoldMoney Inc (XAU) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2025/12/31
(Q2)2025/09/30
(Q1)2025/06/30
(FY)2025/03/31
(Q4)2025/03/31
(Q3)2024/12/31
(Q2)2024/09/30
(Q1)2024/06/30
(FY)2024/03/31
(Q4)2024/03/31
资产
流动资产
现金及现金等价物和短期投资
43.93%1,339.79万
1.37%920.78万
-54.80%579.74万
-4.47%1,273.1万
-4.47%1,273.1万
-37.43%930.85万
-58.10%908.33万
-52.12%1,282.66万
-69.21%1,332.63万
-69.21%1,332.63万
-现金和现金等价物
43.93%1,339.79万
1.37%920.78万
-54.80%579.74万
-4.47%1,273.1万
-4.47%1,273.1万
-36.29%930.85万
-57.51%908.33万
-50.67%1,282.66万
-67.57%1,332.63万
-67.57%1,332.63万
-短期投资
----
----
----
----
----
----
----
----
--0
--0
应收款项
62.49%249.91万
20.86%184.33万
16.12%178.27万
-15.20%169.22万
-15.20%169.22万
-23.97%153.8万
-87.58%152.51万
-86.36%153.52万
-85.52%199.54万
-85.52%199.54万
-应收账款
97.27%139.63万
43.60%100.64万
18.00%82.75万
-18.72%85.41万
-18.72%85.41万
-7.60%70.78万
-62.84%70.08万
-5.60%70.13万
47.05%105.09万
47.05%105.09万
-应收贷款
----
----
----
----
----
----
----
----
--0
--0
-应收票据
1.18%64.88万
3.22%64.83万
3.00%64.65万
2.47%64.13万
2.47%64.13万
--64.13万
--62.81万
--62.77万
--62.58万
--62.58万
-应收利息
----
----
----
----
----
----
----
----
-99.83%273
-99.83%273
-应收税费
461.10%26.2万
-58.91%2.35万
-93.33%6,515
-13.37%6.14万
-13.37%6.14万
-71.34%4.67万
-76.74%5.72万
-60.55%9.76万
17.99%7.09万
17.99%7.09万
-应收关联方款项
-45.41%2.31万
-0.20%2.04万
82.98%3.27万
5.18%1.44万
5.18%1.44万
6.42%4.24万
-26.90%2.04万
-88.91%1.79万
-84.91%1.37万
-84.91%1.37万
-其他应收款
69.12%16.89万
22.03%14.47万
197.02%26.95万
-48.35%12.09万
-48.35%12.09万
-89.97%9.99万
--11.86万
--9.07万
--23.41万
--23.41万
存货
-35.53%172万
37.70%465.23万
103.03%572.19万
113.61%455.81万
113.61%455.81万
42.09%266.81万
-74.57%337.87万
-79.16%281.83万
-96.00%213.38万
-96.00%213.38万
预付费用
95.26%74.57万
84.49%56.7万
109.38%27.23万
128.07%21.36万
128.07%21.36万
401.10%38.19万
-90.37%30.73万
-45.13%13.01万
-64.49%9.37万
-64.49%9.37万
受限制现金
28.36%9,155.11万
--7,257.32万
--6,729.91万
42.14%8,331.44万
42.14%8,331.44万
--7,132.61万
----
----
--5,861.32万
--5,861.32万
套期保值资产
--0
--0
--0
3,076.84%24.95万
3,076.84%24.95万
--20.54万
--10.54万
--15.51万
--7,853
--7,853
其他流动资产
87.26%13.15万
564.44%11.33万
26.65%2.16万
26.12%7.23万
26.12%7.23万
-15.62%7.02万
--1.71万
--1.71万
--5.73万
--5.73万
流动资产合计
28.71%1.1亿
517.03%8,895.69万
362.72%8,089.5万
34.90%1.03亿
34.90%1.03亿
351.51%8,549.81万
-73.44%1,441.69万
-66.25%1,748.23万
-31.11%7,622.76万
-31.11%7,622.76万
非流动资产
固定资产净额
-5.68%65.75万
-5.39%68.09万
-11.75%65.51万
-11.83%67.63万
-11.83%67.63万
-12.24%69.72万
-13.45%71.97万
-30.39%74.23万
-13.09%76.7万
-13.09%76.7万
-固定资产
4.19%128.44万
3.66%128.41万
0.05%123.72万
0.05%123.71万
0.05%123.71万
-16.97%123.28万
-17.25%123.87万
-27.17%123.65万
-16.93%123.65万
-16.93%123.65万
-累计折旧
-17.04%-62.69万
-16.22%-60.32万
-17.76%-58.2万
-19.44%-56.08万
-19.44%-56.08万
22.42%-53.56万
21.99%-51.9万
21.74%-49.42万
22.53%-46.96万
22.53%-46.96万
投资物业
21.97%2.44亿
49.27%2.25亿
61.88%2.23亿
61.81%2.09亿
61.81%2.09亿
45.40%2亿
161.25%1.51亿
134.05%1.38亿
--1.29亿
--1.29亿
投资和预付款
-0.10%1,265.49万
0.04%1,267.25万
-38.37%1,267.25万
-38.64%1,266.76万
-38.64%1,266.76万
-62.76%1,266.76万
-63.41%1,266.76万
-40.77%2,056.34万
-40.34%2,064.34万
-40.34%2,064.34万
-长期股权投资
-0.10%1,265.49万
0.04%1,267.25万
-38.37%1,267.25万
-38.64%1,266.76万
-38.64%1,266.76万
-62.76%1,266.76万
-63.41%1,266.76万
-40.77%2,056.34万
-40.34%2,064.34万
-40.34%2,064.34万
商誉及其他无形资产
-2.30%1,621.28万
-3.23%1,621.97万
-3.94%1,626.06万
-3.90%1,642.74万
-3.90%1,642.74万
-37.81%1,659.43万
-37.58%1,676.11万
-43.10%1,692.8万
-42.86%1,709.48万
-42.86%1,709.48万
-商誉
----
----
----
----
----
----
----
----
--0
--0
-其他无形资产
-2.30%1,621.28万
-3.23%1,621.97万
-3.94%1,626.06万
-3.90%1,642.74万
-3.90%1,642.74万
-3.86%1,659.43万
-3.84%1,676.11万
-5.93%1,692.8万
-5.89%1,709.48万
-5.89%1,709.48万
非流动资产合计
18.92%2.74亿
40.75%2.55亿
43.52%2.53亿
42.43%2.39亿
42.43%2.39亿
15.55%2.3亿
50.81%1.81亿
41.49%1.76亿
156.65%1.68亿
156.65%1.68亿
总资产
21.57%3.84亿
75.86%3.44亿
72.36%3.33亿
40.08%3.42亿
40.08%3.42亿
44.71%3.16亿
12.13%1.96亿
9.81%1.93亿
38.65%2.44亿
38.65%2.44亿
负债
流动负债
短期借款与资本租赁负债
8.60%257.99万
-3.46%261.81万
-1.01%256.89万
-2.12%251.26万
-2.12%251.26万
-5.94%237.56万
--271.2万
16,248.43%259.52万
--256.71万
--256.71万
-银行债务
8.60%257.99万
-3.46%261.81万
-1.01%256.89万
-2.12%251.26万
-2.12%251.26万
-5.94%237.56万
--271.2万
--259.52万
--256.71万
--256.71万
应付款项
-46.80%258.54万
-40.06%278.31万
21.83%503.54万
60.95%554.84万
60.95%554.84万
110.26%485.93万
387.43%464.33万
50.04%413.3万
-12.24%344.72万
-12.24%344.72万
-应付账款
4.24%235.93万
5.65%201.8万
-16.81%254.42万
26.20%346.76万
26.20%346.76万
-2.06%226.34万
138.58%191.01万
68.67%305.84万
-17.84%274.77万
-17.84%274.77万
-应付税费
-91.29%22.6万
-72.01%76.51万
131.81%249.12万
197.44%208.08万
197.44%208.08万
--259.59万
1,698.16%273.32万
14.17%107.47万
19.86%69.96万
19.86%69.96万
递延负债
9.28%321.23万
7.60%326.44万
23.48%336.35万
71.29%345.55万
71.29%345.55万
--293.96万
--303.38万
--272.4万
--201.73万
--201.73万
其他流动负债
28.98%9,199.59万
--7,275.24万
--6,770.87万
42.14%8,331.44万
42.14%8,331.44万
--7,132.61万
----
----
--5,861.32万
--5,861.32万
流动负债总额
23.16%1亿
683.68%8,141.81万
732.37%7,867.64万
42.29%9,483.09万
42.29%9,483.09万
1,585.07%8,150.06万
483.94%1,038.92万
241.18%945.21万
1,596.63%6,664.48万
1,596.63%6,664.48万
非流动负债
长期借款与租赁负债
10.74%9,045.44万
130.82%8,337.73万
133.11%8,403.37万
131.90%8,410.84万
131.90%8,410.84万
106.60%8,168.02万
--3,612.29万
17,629.73%3,604.84万
--3,626.89万
--3,626.89万
-长期借款
10.74%9,045.44万
130.82%8,337.73万
133.11%8,403.37万
131.90%8,410.84万
131.90%8,410.84万
106.60%8,168.02万
--3,612.29万
--3,604.84万
--3,626.89万
--3,626.89万
非流动负债总额
10.74%9,045.44万
130.82%8,337.73万
133.11%8,403.37万
131.90%8,410.84万
131.90%8,410.84万
106.60%8,168.02万
--3,612.29万
17,629.82%3,604.84万
--3,626.89万
--3,626.89万
负债总额
16.94%1.91亿
254.31%1.65亿
257.60%1.63亿
73.87%1.79亿
73.87%1.79亿
267.76%1.63亿
2,514.29%4,651.21万
1,430.08%4,550.06万
2,519.95%1.03亿
2,519.95%1.03亿
所有者权益
股本
-5.34%1.43亿
-2.89%1.45亿
-2.73%1.44亿
-1.38%1.47亿
-1.38%1.47亿
-0.66%1.51亿
-3.17%1.49亿
-4.61%1.49亿
-4.53%1.49亿
-4.53%1.49亿
-普通股股本
-5.34%1.43亿
-2.89%1.45亿
-2.73%1.44亿
-1.38%1.47亿
-1.38%1.47亿
-0.66%1.51亿
-3.17%1.49亿
-4.61%1.49亿
-4.53%1.49亿
-4.53%1.49亿
资本公积
11.03%1,416.81万
3.61%1,358.09万
-7.32%1,276.1万
2.85%1,276.1万
2.85%1,276.1万
2.89%1,276.1万
2.25%1,310.76万
7.46%1,376.88万
-7.33%1,240.79万
-7.33%1,240.79万
留存收益
250.53%2,677.22万
143.15%892.24万
112.83%215.31万
66.49%-734.27万
66.49%-734.27万
-275.04%-1,778.52万
-385.06%-2,067.67万
-427.96%-1,678.02万
-955.23%-2,191.23万
-955.23%-2,191.23万
不影响留存收益的损益
36.79%941.52万
60.26%1,145.27万
363.51%1,139.12万
590.88%1,045.3万
590.88%1,045.3万
80,169.32%688.31万
618.96%714.62万
57,133.56%245.76万
334.88%151.3万
334.88%151.3万
股东权益总额
26.53%1.93亿
20.17%1.79亿
15.41%1.71亿
15.44%1.63亿
15.44%1.63亿
-12.47%1.52亿
-13.88%1.49亿
-14.78%1.48亿
-18.18%1.41亿
-18.18%1.41亿
非控制性权益
----
----
----
----
----
----
--0
--0
--0
--0
总权益
26.53%1.93亿
20.17%1.79亿
15.41%1.71亿
15.44%1.63亿
15.44%1.63亿
-12.24%1.52亿
-13.66%1.49亿
-14.57%1.48亿
-17.98%1.41亿
-17.98%1.41亿
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
--
--
--
--
无保留意见
--
(Q3)2025/12/31(Q2)2025/09/30(Q1)2025/06/30(FY)2025/03/31(Q4)2025/03/31(Q3)2024/12/31(Q2)2024/09/30(Q1)2024/06/30(FY)2024/03/31(Q4)2024/03/31
资产
流动资产
现金及现金等价物和短期投资 43.93%1,339.79万1.37%920.78万-54.80%579.74万-4.47%1,273.1万-4.47%1,273.1万-37.43%930.85万-58.10%908.33万-52.12%1,282.66万-69.21%1,332.63万-69.21%1,332.63万
-现金和现金等价物 43.93%1,339.79万1.37%920.78万-54.80%579.74万-4.47%1,273.1万-4.47%1,273.1万-36.29%930.85万-57.51%908.33万-50.67%1,282.66万-67.57%1,332.63万-67.57%1,332.63万
-短期投资 ----------------------------------0--0
应收款项 62.49%249.91万20.86%184.33万16.12%178.27万-15.20%169.22万-15.20%169.22万-23.97%153.8万-87.58%152.51万-86.36%153.52万-85.52%199.54万-85.52%199.54万
-应收账款 97.27%139.63万43.60%100.64万18.00%82.75万-18.72%85.41万-18.72%85.41万-7.60%70.78万-62.84%70.08万-5.60%70.13万47.05%105.09万47.05%105.09万
-应收贷款 ----------------------------------0--0
-应收票据 1.18%64.88万3.22%64.83万3.00%64.65万2.47%64.13万2.47%64.13万--64.13万--62.81万--62.77万--62.58万--62.58万
-应收利息 ---------------------------------99.83%273-99.83%273
-应收税费 461.10%26.2万-58.91%2.35万-93.33%6,515-13.37%6.14万-13.37%6.14万-71.34%4.67万-76.74%5.72万-60.55%9.76万17.99%7.09万17.99%7.09万
-应收关联方款项 -45.41%2.31万-0.20%2.04万82.98%3.27万5.18%1.44万5.18%1.44万6.42%4.24万-26.90%2.04万-88.91%1.79万-84.91%1.37万-84.91%1.37万
-其他应收款 69.12%16.89万22.03%14.47万197.02%26.95万-48.35%12.09万-48.35%12.09万-89.97%9.99万--11.86万--9.07万--23.41万--23.41万
存货 -35.53%172万37.70%465.23万103.03%572.19万113.61%455.81万113.61%455.81万42.09%266.81万-74.57%337.87万-79.16%281.83万-96.00%213.38万-96.00%213.38万
预付费用 95.26%74.57万84.49%56.7万109.38%27.23万128.07%21.36万128.07%21.36万401.10%38.19万-90.37%30.73万-45.13%13.01万-64.49%9.37万-64.49%9.37万
受限制现金 28.36%9,155.11万--7,257.32万--6,729.91万42.14%8,331.44万42.14%8,331.44万--7,132.61万----------5,861.32万--5,861.32万
套期保值资产 --0--0--03,076.84%24.95万3,076.84%24.95万--20.54万--10.54万--15.51万--7,853--7,853
其他流动资产 87.26%13.15万564.44%11.33万26.65%2.16万26.12%7.23万26.12%7.23万-15.62%7.02万--1.71万--1.71万--5.73万--5.73万
流动资产合计 28.71%1.1亿517.03%8,895.69万362.72%8,089.5万34.90%1.03亿34.90%1.03亿351.51%8,549.81万-73.44%1,441.69万-66.25%1,748.23万-31.11%7,622.76万-31.11%7,622.76万
非流动资产
固定资产净额 -5.68%65.75万-5.39%68.09万-11.75%65.51万-11.83%67.63万-11.83%67.63万-12.24%69.72万-13.45%71.97万-30.39%74.23万-13.09%76.7万-13.09%76.7万
-固定资产 4.19%128.44万3.66%128.41万0.05%123.72万0.05%123.71万0.05%123.71万-16.97%123.28万-17.25%123.87万-27.17%123.65万-16.93%123.65万-16.93%123.65万
-累计折旧 -17.04%-62.69万-16.22%-60.32万-17.76%-58.2万-19.44%-56.08万-19.44%-56.08万22.42%-53.56万21.99%-51.9万21.74%-49.42万22.53%-46.96万22.53%-46.96万
投资物业 21.97%2.44亿49.27%2.25亿61.88%2.23亿61.81%2.09亿61.81%2.09亿45.40%2亿161.25%1.51亿134.05%1.38亿--1.29亿--1.29亿
投资和预付款 -0.10%1,265.49万0.04%1,267.25万-38.37%1,267.25万-38.64%1,266.76万-38.64%1,266.76万-62.76%1,266.76万-63.41%1,266.76万-40.77%2,056.34万-40.34%2,064.34万-40.34%2,064.34万
-长期股权投资 -0.10%1,265.49万0.04%1,267.25万-38.37%1,267.25万-38.64%1,266.76万-38.64%1,266.76万-62.76%1,266.76万-63.41%1,266.76万-40.77%2,056.34万-40.34%2,064.34万-40.34%2,064.34万
商誉及其他无形资产 -2.30%1,621.28万-3.23%1,621.97万-3.94%1,626.06万-3.90%1,642.74万-3.90%1,642.74万-37.81%1,659.43万-37.58%1,676.11万-43.10%1,692.8万-42.86%1,709.48万-42.86%1,709.48万
-商誉 ----------------------------------0--0
-其他无形资产 -2.30%1,621.28万-3.23%1,621.97万-3.94%1,626.06万-3.90%1,642.74万-3.90%1,642.74万-3.86%1,659.43万-3.84%1,676.11万-5.93%1,692.8万-5.89%1,709.48万-5.89%1,709.48万
非流动资产合计 18.92%2.74亿40.75%2.55亿43.52%2.53亿42.43%2.39亿42.43%2.39亿15.55%2.3亿50.81%1.81亿41.49%1.76亿156.65%1.68亿156.65%1.68亿
总资产 21.57%3.84亿75.86%3.44亿72.36%3.33亿40.08%3.42亿40.08%3.42亿44.71%3.16亿12.13%1.96亿9.81%1.93亿38.65%2.44亿38.65%2.44亿
负债
流动负债
短期借款与资本租赁负债 8.60%257.99万-3.46%261.81万-1.01%256.89万-2.12%251.26万-2.12%251.26万-5.94%237.56万--271.2万16,248.43%259.52万--256.71万--256.71万
-银行债务 8.60%257.99万-3.46%261.81万-1.01%256.89万-2.12%251.26万-2.12%251.26万-5.94%237.56万--271.2万--259.52万--256.71万--256.71万
应付款项 -46.80%258.54万-40.06%278.31万21.83%503.54万60.95%554.84万60.95%554.84万110.26%485.93万387.43%464.33万50.04%413.3万-12.24%344.72万-12.24%344.72万
-应付账款 4.24%235.93万5.65%201.8万-16.81%254.42万26.20%346.76万26.20%346.76万-2.06%226.34万138.58%191.01万68.67%305.84万-17.84%274.77万-17.84%274.77万
-应付税费 -91.29%22.6万-72.01%76.51万131.81%249.12万197.44%208.08万197.44%208.08万--259.59万1,698.16%273.32万14.17%107.47万19.86%69.96万19.86%69.96万
递延负债 9.28%321.23万7.60%326.44万23.48%336.35万71.29%345.55万71.29%345.55万--293.96万--303.38万--272.4万--201.73万--201.73万
其他流动负债 28.98%9,199.59万--7,275.24万--6,770.87万42.14%8,331.44万42.14%8,331.44万--7,132.61万----------5,861.32万--5,861.32万
流动负债总额 23.16%1亿683.68%8,141.81万732.37%7,867.64万42.29%9,483.09万42.29%9,483.09万1,585.07%8,150.06万483.94%1,038.92万241.18%945.21万1,596.63%6,664.48万1,596.63%6,664.48万
非流动负债
长期借款与租赁负债 10.74%9,045.44万130.82%8,337.73万133.11%8,403.37万131.90%8,410.84万131.90%8,410.84万106.60%8,168.02万--3,612.29万17,629.73%3,604.84万--3,626.89万--3,626.89万
-长期借款 10.74%9,045.44万130.82%8,337.73万133.11%8,403.37万131.90%8,410.84万131.90%8,410.84万106.60%8,168.02万--3,612.29万--3,604.84万--3,626.89万--3,626.89万
非流动负债总额 10.74%9,045.44万130.82%8,337.73万133.11%8,403.37万131.90%8,410.84万131.90%8,410.84万106.60%8,168.02万--3,612.29万17,629.82%3,604.84万--3,626.89万--3,626.89万
负债总额 16.94%1.91亿254.31%1.65亿257.60%1.63亿73.87%1.79亿73.87%1.79亿267.76%1.63亿2,514.29%4,651.21万1,430.08%4,550.06万2,519.95%1.03亿2,519.95%1.03亿
所有者权益
股本 -5.34%1.43亿-2.89%1.45亿-2.73%1.44亿-1.38%1.47亿-1.38%1.47亿-0.66%1.51亿-3.17%1.49亿-4.61%1.49亿-4.53%1.49亿-4.53%1.49亿
-普通股股本 -5.34%1.43亿-2.89%1.45亿-2.73%1.44亿-1.38%1.47亿-1.38%1.47亿-0.66%1.51亿-3.17%1.49亿-4.61%1.49亿-4.53%1.49亿-4.53%1.49亿
资本公积 11.03%1,416.81万3.61%1,358.09万-7.32%1,276.1万2.85%1,276.1万2.85%1,276.1万2.89%1,276.1万2.25%1,310.76万7.46%1,376.88万-7.33%1,240.79万-7.33%1,240.79万
留存收益 250.53%2,677.22万143.15%892.24万112.83%215.31万66.49%-734.27万66.49%-734.27万-275.04%-1,778.52万-385.06%-2,067.67万-427.96%-1,678.02万-955.23%-2,191.23万-955.23%-2,191.23万
不影响留存收益的损益 36.79%941.52万60.26%1,145.27万363.51%1,139.12万590.88%1,045.3万590.88%1,045.3万80,169.32%688.31万618.96%714.62万57,133.56%245.76万334.88%151.3万334.88%151.3万
股东权益总额 26.53%1.93亿20.17%1.79亿15.41%1.71亿15.44%1.63亿15.44%1.63亿-12.47%1.52亿-13.88%1.49亿-14.78%1.48亿-18.18%1.41亿-18.18%1.41亿
非控制性权益 --------------------------0--0--0--0
总权益 26.53%1.93亿20.17%1.79亿15.41%1.71亿15.44%1.63亿15.44%1.63亿-12.24%1.52亿-13.66%1.49亿-14.57%1.48亿-17.98%1.41亿-17.98%1.41亿
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ------无保留意见--------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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