(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 | (Q2)2022/06/30 | (Q1)2022/03/31 | |
---|---|---|---|---|---|---|---|---|---|---|
资产 | ||||||||||
流动资产 | ||||||||||
现金及现金等价物和短期投资 | -20.10%222.57万 | -20.10%222.57万 | 7.88%391.49万 | 3.81%260.88万 | 18.59%282.43万 | 12.31%278.57万 | 12.31%278.57万 | 39.81%362.91万 | -25.75%251.3万 | -66.44%238.15万 |
-现金和现金等价物 | -20.10%222.57万 | -20.10%222.57万 | 7.88%391.49万 | 3.81%260.88万 | 18.59%282.43万 | 12.31%278.57万 | 12.31%278.57万 | 39.81%362.91万 | -25.75%251.3万 | -66.44%238.15万 |
应收款项 | 35.17%558.79万 | 35.17%558.79万 | 21.99%495.74万 | 2.07%403.58万 | -21.87%453.63万 | -29.58%413.4万 | -29.58%413.4万 | -12.35%406.37万 | -41.13%395.38万 | -2.54%580.59万 |
-应收账款 | 19.51%482.34万 | 19.51%482.34万 | -9.72%358.55万 | -30.36%267.98万 | -22.88%438.92万 | -26.89%403.58万 | -26.89%403.58万 | -1.49%397.15万 | -40.42%384.84万 | 4.40%569.14万 |
-应收税费 | -26.88%7.18万 | -26.88%7.18万 | 32.15%12.19万 | 0.50%10.6万 | 28.43%14.7万 | -71.99%9.82万 | -71.99%9.82万 | -84.75%9.23万 | -58.84%10.55万 | -77.35%11.45万 |
-其他应收款 | --69.28万 | --69.28万 | --125万 | --125万 | ---- | ---- | ---- | ---- | ---- | ---- |
存货 | 17.13%484.68万 | 17.13%484.68万 | -12.92%379.8万 | -23.57%374.68万 | -30.39%377.89万 | -35.77%413.8万 | -35.77%413.8万 | -49.91%436.16万 | -25.89%490.23万 | -7.88%542.87万 |
预付费用 | -19.40%39.83万 | -19.40%39.83万 | -39.35%38.06万 | -10.34%44.39万 | -34.82%49.94万 | -31.49%49.42万 | -31.49%49.42万 | -21.76%62.76万 | 40.43%49.51万 | 65.07%76.62万 |
其他流动资产 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --2.14万 | ---- | ---- |
流动资产合计 | 11.78%1,305.88万 | 11.78%1,305.88万 | 1.69%1,305.09万 | -9.67%1,083.53万 | -17.17%1,202.2万 | -24.70%1,168.21万 | -24.70%1,168.21万 | -23.34%1,283.36万 | -31.64%1,199.58万 | -25.23%1,451.42万 |
非流动资产 | ||||||||||
固定资产净额 | -5.30%2,136.91万 | -5.30%2,136.91万 | -4.99%2,159.55万 | -4.69%2,174.29万 | -3.53%2,197.69万 | -2.67%2,256.4万 | -2.67%2,256.4万 | -1.72%2,273.03万 | -0.68%2,281.34万 | -1.95%2,278.04万 |
-固定资产 | -0.75%2,721.28万 | -0.75%2,721.28万 | -0.54%2,708.77万 | -0.37%2,688.58万 | 0.69%2,681.25万 | 2.21%2,741.94万 | 2.21%2,741.94万 | 3.03%2,723.38万 | 2.94%2,698.68万 | 1.89%2,663万 |
-累计折旧 | -20.36%-584.37万 | -20.36%-584.37万 | -21.95%-549.22万 | -23.23%-514.3万 | -25.61%-483.56万 | -33.27%-485.53万 | -33.27%-485.53万 | -36.28%-450.35万 | -28.55%-417.34万 | -32.54%-384.96万 |
商誉及其他无形资产 | -12.51%145.12万 | -12.51%145.12万 | -12.13%150.31万 | -11.77%155.5万 | -11.43%160.68万 | -11.12%165.87万 | -11.12%165.87万 | -11.20%171.06万 | -10.91%176.24万 | -10.63%181.43万 |
-其他无形资产 | -12.51%145.12万 | -12.51%145.12万 | -12.13%150.31万 | -11.77%155.5万 | -11.43%160.68万 | -11.12%165.87万 | -11.12%165.87万 | -11.20%171.06万 | -10.91%176.24万 | -10.63%181.43万 |
长期预付费用 | 0.04%194.5万 | 0.04%194.5万 | 0.74%194.5万 | 0.85%194.5万 | 4.04%194.41万 | 3.54%194.42万 | 3.54%194.42万 | -0.94%193.07万 | -1.04%192.86万 | -4.12%186.86万 |
非流动资产合计 | -5.36%2,476.53万 | -5.36%2,476.53万 | -5.04%2,504.35万 | -4.76%2,524.28万 | -3.53%2,552.78万 | -2.82%2,616.7万 | -2.82%2,616.7万 | -2.34%2,637.16万 | -1.45%2,650.44万 | -2.75%2,646.33万 |
总资产 | -0.07%3,782.41万 | -0.07%3,782.41万 | -2.83%3,809.45万 | -6.29%3,607.81万 | -8.36%3,754.98万 | -10.82%3,784.91万 | -10.82%3,784.91万 | -10.38%3,920.52万 | -13.37%3,850.02万 | -12.11%4,097.74万 |
负债 | ||||||||||
流动负债 | ||||||||||
应付款项 | 20.42%1,523.87万 | 20.42%1,523.87万 | 27.50%1,483.89万 | 32.30%1,170.23万 | 66.45%1,468.31万 | 60.62%1,265.43万 | 60.62%1,265.43万 | 58.40%1,163.86万 | 19.48%884.52万 | 22.26%882.12万 |
-应付账款 | 20.42%1,523.87万 | 20.42%1,523.87万 | 27.50%1,483.89万 | 32.30%1,170.23万 | 112.37%1,468.31万 | 60.62%1,265.43万 | 60.62%1,265.43万 | 69.79%1,163.86万 | 36.76%884.52万 | 3.92%691.39万 |
-应付税费 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 239.54%190.72万 |
短期借款与租赁负债 | 537.20%263万 | 537.20%263万 | -94.46%16.73万 | 566.52%1,944.07万 | 581.20%1,926.56万 | -51.53%41.27万 | -51.53%41.27万 | 2,200.23%301.88万 | 339.24%291.68万 | 328.18%282.82万 |
-短期借款 | 883.59%245.9万 | 883.59%245.9万 | ---- | 596.56%1,927.69万 | 612.69%1,910.83万 | -64.34%25万 | -64.34%25万 | --285.87万 | --276.74万 | --268.12万 |
-短期租赁负债 | 5.10%17.1万 | 5.10%17.1万 | 4.51%16.73万 | 9.70%16.38万 | 6.98%15.73万 | 8.17%16.27万 | 8.17%16.27万 | 21.96%16.01万 | -77.51%14.93万 | -77.74%14.7万 |
递延负债 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 | --0 | --0 |
其他流动负债 | -26.94%23.06万 | -26.94%23.06万 | 63.67%26.9万 | 74.87%29.4万 | 45.87%25.03万 | 101.32%31.56万 | 101.32%31.56万 | -98.33%16.43万 | -12.15%16.81万 | -12.47%17.16万 |
流动负债总额 | 35.24%1,809.94万 | 35.24%1,809.94万 | 3.06%1,527.52万 | 163.51%3,143.69万 | 189.31%3,419.9万 | 50.52%1,338.27万 | 50.52%1,338.27万 | -15.12%1,482.17万 | -3.27%1,193.01万 | -11.40%1,182.1万 |
非流动负债 | ||||||||||
长期借款与租赁负债 | -10.43%1,934.53万 | -10.43%1,934.53万 | 13.00%2,172.65万 | -85.97%268.33万 | -85.98%266.54万 | 3.88%2,159.7万 | 3.88%2,159.7万 | 51.85%1,922.72万 | 54.20%1,911.9万 | 57.50%1,900.64万 |
-长期借款 | -9.86%1,910.58万 | -9.86%1,910.58万 | 14.13%2,143.91万 | -87.39%234.96万 | -87.56%229.87万 | 4.79%2,119.57万 | 4.79%2,119.57万 | 55.84%1,878.42万 | 58.32%1,862.72万 | 62.09%1,847.51万 |
-长期租赁负债 | -40.31%23.95万 | -40.31%23.95万 | -35.12%28.74万 | -32.15%33.37万 | -30.98%36.67万 | -28.86%40.13万 | -28.86%40.13万 | -27.22%44.3万 | -22.39%49.18万 | -20.64%53.13万 |
其他非流动负债 | 0.20%72.23万 | 0.20%72.23万 | 0.42%72.17万 | 0.64%72.13万 | 0.84%72.1万 | -1.44%72.08万 | -1.44%72.08万 | 0.59%71.87万 | -3.87%71.67万 | -3.26%71.49万 |
非流动负债总额 | -10.08%2,006.76万 | -10.08%2,006.76万 | 12.55%2,244.82万 | -82.84%340.46万 | -82.83%338.64万 | 3.70%2,231.78万 | 3.70%2,231.78万 | 49.11%1,994.58万 | 50.90%1,983.57万 | 54.00%1,972.13万 |
总负债 | 6.91%3,816.69万 | 6.91%3,816.69万 | 8.50%3,772.34万 | 9.68%3,484.15万 | 19.16%3,758.54万 | 17.39%3,570.05万 | 17.39%3,570.05万 | 12.74%3,476.75万 | 24.68%3,176.58万 | 20.63%3,154.23万 |
所有者权益 | ||||||||||
股本 | 4.40%5,991.82万 | 4.40%5,991.82万 | 4.41%5,990.26万 | 4.67%5,990.26万 | 0.91%5,775.02万 | 0.28%5,739.11万 | 0.28%5,739.11万 | 4.91%5,737.15万 | 5.14%5,722.98万 | 4.63%5,722.98万 |
-普通股股本 | 4.40%5,991.82万 | 4.40%5,991.82万 | 4.41%5,990.26万 | 4.67%5,990.26万 | 0.91%5,775.02万 | 0.28%5,739.11万 | 0.28%5,739.11万 | 4.91%5,737.15万 | 5.14%5,722.98万 | 4.63%5,722.98万 |
留存收益 | -7.29%-7,239.78万 | -7.29%-7,239.78万 | -10.73%-7,162.91万 | -13.85%-7,072.68万 | -17.65%-6,973.2万 | -19.33%-6,747.96万 | -19.33%-6,747.96万 | -24.13%-6,468.9万 | -35.99%-6,212.34万 | -33.90%-5,927.21万 |
资本公积 | 19.01%715.44万 | 19.01%715.44万 | 20.79%715.09万 | 3.54%605.33万 | -1.88%566.85万 | 4.79%601.17万 | 4.79%601.17万 | 18.02%592.03万 | 18.83%584.64万 | 22.32%577.71万 |
不影响留存收益的损益 | -19.97%498.24万 | -19.97%498.24万 | -15.22%494.67万 | 3.91%600.76万 | 10.13%627.77万 | 10.98%622.54万 | 10.98%622.54万 | 9.85%583.48万 | 9.13%578.16万 | 7.15%570.03万 |
股东权益总额 | -115.96%-34.29万 | -115.96%-34.29万 | -91.64%37.11万 | -81.64%123.66万 | -100.38%-3.56万 | -82.14%214.85万 | -82.14%214.85万 | -65.61%443.77万 | -64.49%673.44万 | -53.92%943.51万 |
总权益 | -115.96%-34.29万 | -115.96%-34.29万 | -91.64%37.11万 | -81.64%123.66万 | -100.38%-3.56万 | -82.14%214.85万 | -82.14%214.85万 | -65.61%443.77万 | -64.49%673.44万 | -53.92%943.51万 |
货币单位 | 加拿大元 | 加拿大元 | 加拿大元 | 加拿大元 | 加拿大元 | 加拿大元 | 加拿大元 | 加拿大元 | 加拿大元 | 加拿大元 |
审计意见 | -- | -- | -- | -- | -- | 带解释段的无保留意见 | -- | -- | -- | -- |
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