美股市場個股詳情

XEBEQ XEBEC ADSORPTION INC

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延時15分鐘行情收盤價 05/09 16:00 (美東)
8509.81總市值0.00市盈率TTM

XEBEC ADSORPTION INC關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2022/06/30
(Q1)2022/03/31
(FY)2021/12/31
(Q4)2021/12/31
(Q3)2021/09/30
(Q2)2021/06/30
(Q1)2021/03/31
(FY)2020/12/31
(Q4)2020/12/31
(Q3)2020/09/30
資產
流動資產
現金及現金等價物和短期投資
-43.57%3,965.2萬
-75.82%2,415.9萬
-75.20%3,990.5萬
-75.20%3,990.5萬
0.63%5,196.7萬
17.08%7,026.2萬
321.94%9,991.2萬
619.81%1.61億
619.81%1.61億
404.21%5,164.22萬
-現金和現金等價物
-43.57%3,965.2萬
-75.82%2,415.9萬
-75.20%3,990.5萬
-75.20%3,990.5萬
0.63%5,196.7萬
17.08%7,026.2萬
321.94%9,991.2萬
619.81%1.61億
619.81%1.61億
404.21%5,164.22萬
應收款項
79.66%5,720.6萬
55.82%5,246.9萬
92.71%5,487.6萬
92.71%5,487.6萬
27.89%4,383.6萬
11.39%3,184.1萬
51.65%3,367.3萬
33.39%2,847.6萬
33.39%2,847.6萬
91.29%3,427.58萬
-應收賬款
142.35%4,792.4萬
106.81%5,204.6萬
107.37%3,847.7萬
107.37%3,847.7萬
172.39%4,358.4萬
68.67%1,977.5萬
69.15%2,516.6萬
39.78%1,855.5萬
39.78%1,855.5萬
40.94%1,600.03萬
-應收稅費
----
----
88.24%510.5萬
88.24%510.5萬
--0
14,062.96%225.8萬
22,725.06%363.9萬
102.51%271.2萬
102.51%271.2萬
-96.08%1.59萬
-應收關聯方款項
----
----
--114.1萬
--114.1萬
----
----
----
----
----
----
-其他應收款
-16.01%928.2萬
-93.34%42.3萬
35.60%1,168.9萬
35.60%1,168.9萬
-98.70%25.2萬
-38.13%1,105.1萬
-19.32%635.3萬
18.60%862萬
18.60%862萬
189.12%1,938.16萬
-應收賬款調整額
----
----
-8.86%-153.6萬
-8.86%-153.6萬
----
-22.16%-124.3萬
-163.00%-148.5萬
-164.20%-141.1萬
-164.20%-141.1萬
-105.88%-112.2萬
存貨
84.32%6,549萬
90.69%5,876.6萬
152.54%5,269.3萬
152.54%5,269.3萬
248.26%4,605.7萬
224.30%3,553萬
205.44%3,081.8萬
234.14%2,086.5萬
234.14%2,086.5萬
225.50%1,322.47萬
預付費用
805.52%1,739.5萬
-78.99%130.1萬
7.91%855萬
7.91%855萬
-82.87%85.6萬
-36.19%192.1萬
32.12%619.2萬
106.24%792.3萬
106.24%792.3萬
534.17%499.8萬
受限制現金
10.38%1,063萬
23.21%1,054.7萬
46.74%1,121.4萬
46.74%1,121.4萬
701.11%988.3萬
2,726.53%963萬
2,313.48%856萬
2,253.56%764.2萬
2,253.56%764.2萬
--123.37萬
流動資產合計
27.61%1.9億
-17.81%1.47億
-25.95%1.67億
-25.95%1.67億
44.82%1.53億
44.98%1.49億
193.63%1.79億
317.33%2.26億
317.33%2.26億
217.04%1.05億
非流動資產
固定資產淨額
11.88%3,778.6萬
12.69%4,098.6萬
15.45%4,268.7萬
15.45%4,268.7萬
697.94%3,556.5萬
979.36%3,377.5萬
1,019.88%3,637.2萬
1,121.53%3,697.3萬
1,121.53%3,697.3萬
93.73%445.71萬
-固定資產
----
----
29.05%5,122.7萬
29.05%5,122.7萬
----
629.93%3,802.6萬
681.26%3,998.2萬
760.40%3,969.6萬
760.40%3,969.6萬
83.74%684.24萬
-累計折舊
----
----
-213.62%-854萬
-213.62%-854萬
----
-104.34%-425.1萬
-93.07%-361萬
-71.60%-272.3萬
-71.60%-272.3萬
-67.59%-238.53萬
商譽及其他無形資產
5.39%2.37億
21.21%2.42億
36.04%2.52億
36.04%2.52億
1,637.38%2.36億
2,922.06%2.25億
2,491.40%2億
1,917.15%1.85億
1,917.15%1.85億
388.13%1,358.37萬
-商譽
-28.23%1.51億
-14.72%1.58億
38.71%1.63億
38.71%1.63億
1,840.43%2.22億
3,818.92%2.11億
3,168.56%1.85億
3,262.80%1.18億
3,262.80%1.18億
790.98%1,141.95萬
-其他無形資產
501.55%8,595萬
478.58%8,420.6萬
31.39%8,882萬
31.39%8,882萬
565.93%1,441.2萬
590.36%1,428.8萬
612.56%1,455.4萬
1,088.28%6,760.2萬
1,088.28%6,760.2萬
44.17%216.42萬
投資和預付款
1,157.08%2,202.4萬
5,204.95%2,143.2萬
18,575.00%2,166.3萬
18,575.00%2,166.3萬
--167.7萬
--175.2萬
--40.4萬
--11.6萬
--11.6萬
----
長期應收款
27.18%1,229.1萬
202.61%858.2萬
200.17%905.3萬
200.17%905.3萬
--956.3萬
--966.4萬
--283.6萬
--301.6萬
--301.6萬
----
關聯方資產
----
----
--114.1萬
--114.1萬
----
----
----
----
----
----
非流動遞延資產
487.97%361.6萬
352.00%361.6萬
267.11%361.6萬
267.11%361.6萬
--43.1萬
--61.5萬
--80萬
--98.5萬
--98.5萬
----
其他非流動資產
----
0.00%4.6萬
-13.21%4.6萬
-13.21%4.6萬
--4.7萬
--4.5萬
--4.6萬
--5.3萬
--5.3萬
----
非流動資產合計
15.50%3.13億
31.88%3.17億
45.35%3.29億
45.35%3.29億
1,470.24%2.83億
2,461.60%2.71億
2,092.53%2.4億
1,754.21%2.27億
1,754.21%2.27億
254.89%1,804.08萬
總資產
19.80%5.03億
10.65%4.64億
9.76%4.97億
9.76%4.97億
253.18%4.36億
270.27%4.2億
482.73%4.19億
582.02%4.52億
582.02%4.52億
222.06%1.23億
負債
流動負債
應付款項
98.28%4,810.3萬
64.12%3,714.4萬
28.18%2,633.5萬
28.18%2,633.5萬
150.49%3,796.1萬
122.77%2,426萬
95.02%2,263.2萬
108.76%2,054.6萬
108.76%2,054.6萬
72.79%1,515.44萬
-應付賬款
101.11%4,717.1萬
61.48%3,623.6萬
19.72%2,401.6萬
19.72%2,401.6萬
145.43%3,714.3萬
123.52%2,345.5萬
101.31%2,244萬
116.76%2,006萬
116.76%2,006萬
72.56%1,513.36萬
-應付稅費
15.78%93.2萬
372.92%90.8萬
940.29%214.3萬
940.29%214.3萬
3,818.00%81.8萬
102.89%80.5萬
-58.05%19.2萬
-60.84%20.6萬
-60.84%20.6萬
--2.09萬
-應付關聯方款項
----
----
2,066.67%6.5萬
2,066.67%6.5萬
----
----
----
9.85%3,000
9.85%3,000
----
-其他應付款
----
----
-59.93%11.1萬
-59.93%11.1萬
----
----
----
370.59%27.7萬
370.59%27.7萬
----
應計費用
----
----
18.69%834.9萬
18.69%834.9萬
----
----
----
129.80%703.4萬
129.80%703.4萬
----
現行撥備
17.42%310.7萬
-15.55%182萬
15.51%178萬
15.51%178萬
614.00%196.3萬
926.77%264.6萬
814.68%215.5萬
3,234.99%154.1萬
3,234.99%154.1萬
414.80%27.49萬
短期借款與租賃負債
56.20%2,254.1萬
43.04%1,758.7萬
24.68%1,873.5萬
24.68%1,873.5萬
470.90%2,771萬
747.51%1,443.1萬
829.95%1,229.5萬
1,461.15%1,502.7萬
1,461.15%1,502.7萬
163.29%485.37萬
-短期借款
56.20%2,254.1萬
43.04%1,758.7萬
24.68%1,873.5萬
24.68%1,873.5萬
470.90%2,771萬
747.51%1,443.1萬
829.95%1,229.5萬
1,461.15%1,502.7萬
1,461.15%1,502.7萬
163.29%485.37萬
遞延負債
689.45%8,061.1萬
168.81%2,566.1萬
286.66%2,973萬
286.66%2,973萬
324.29%1,354.9萬
335.44%1,021.1萬
25.96%954.6萬
222.63%768.9萬
222.63%768.9萬
-2.73%319.33萬
其他流動負債
-36.32%12.1萬
-94.81%16.4萬
-94.24%20.7萬
-94.24%20.7萬
-66.25%19萬
-64.90%19萬
483.81%316.2萬
621.26%359.1萬
621.26%359.1萬
85.08%56.3萬
流動負債總額
198.59%1.54億
65.45%8,237.6萬
53.60%8,513.6萬
53.60%8,513.6萬
238.50%8,137.3萬
228.77%5,173.8萬
133.94%4,979萬
230.07%5,542.8萬
230.07%5,542.8萬
68.65%2,403.95萬
非流動負債
長期撥備
1,279.07%355.8萬
906.91%364.5萬
776.15%304.9萬
776.15%304.9萬
411.45%31.1萬
807.20%25.8萬
177.12%36.2萬
171.92%34.8萬
171.92%34.8萬
-9.98%6.08萬
長期借款與租賃負債
33.94%6,200.4萬
53.57%6,519.7萬
62.15%6,935.6萬
62.15%6,935.6萬
326.88%3,756.1萬
250.24%4,629.1萬
910.42%4,245.4萬
729.00%4,277.4萬
729.00%4,277.4萬
114.65%879.9萬
-長期借款
33.94%6,200.4萬
53.57%6,519.7萬
62.15%6,935.6萬
62.15%6,935.6萬
326.88%3,756.1萬
250.24%4,629.1萬
910.42%4,245.4萬
729.00%4,277.4萬
729.00%4,277.4萬
114.65%879.9萬
遞延負債
857.84%2,308.4萬
832.39%2,308.6萬
47.69%2,423.6萬
47.69%2,423.6萬
1,232.06%239.3萬
1,202.06%241萬
1,199.50%247.6萬
1,326.80%1,641萬
1,326.80%1,641萬
119.11%17.96萬
其他非流動負債
----
----
----
----
-98.68%5.9萬
-97.68%10.1萬
-96.82%14.2萬
-95.59%18.3萬
-95.59%18.3萬
4.77%446.33萬
非流動負債總額
80.69%8,864.6萬
102.33%9,192.8萬
61.84%9,664.1萬
61.84%9,664.1萬
198.63%4,032.4萬
175.91%4,906萬
405.31%4,543.4萬
464.07%5,971.5萬
464.07%5,971.5萬
58.69%1,350.28萬
總負債
141.20%2.43億
83.05%1.74億
57.87%1.82億
57.87%1.82億
224.16%1.22億
200.72%1.01億
214.54%9,522.4萬
320.55%1.15億
320.55%1.15億
64.93%3,754.22萬
所有者權益
股本
-0.83%3.99億
0.37%3.99億
2.23%3.99億
2.23%3.99億
265.84%4.03億
297.19%4.02億
503.99%3.97億
514.11%3.9億
514.11%3.9億
177.59%1.1億
-普通股股本
-0.83%3.99億
0.37%3.99億
2.23%3.99億
2.23%3.99億
265.84%4.03億
297.19%4.02億
503.99%3.97億
514.11%3.9億
514.11%3.9億
177.59%1.1億
留存收益
-63.94%-1.25億
-47.36%-1.02億
-39.21%-8,325.8萬
-39.21%-8,325.8萬
-171.64%-8,568萬
-160.62%-7,651.1萬
-141.38%-6,901.6萬
-114.75%-5,980.7萬
-114.75%-5,980.7萬
-15.20%-3,154.22萬
資本公積
105.35%1,557.8萬
96.60%1,559.6萬
88.30%1,533.7萬
88.30%1,533.7萬
-5.78%721.1萬
-10.61%758.6萬
76.85%793.3萬
78.24%814.5萬
78.24%814.5萬
78.88%765.36萬
不影響留存收益的損益
-109.21%-2,852.2萬
-91.49%-2,269.3萬
-1,632.49%-1,583.5萬
-1,632.49%-1,583.5萬
-2,103.47%-1,067.5萬
-3,634.98%-1,363.3萬
-21,250.79%-1,185.1萬
26.72%-91.4萬
26.72%-91.4萬
60.31%-48.45萬
股東權益總額
-18.52%2.6億
-10.61%2.9億
-6.66%3.15億
-6.66%3.15億
265.87%3.14億
299.42%3.19億
677.46%3.24億
765.79%3.37億
765.79%3.37億
451.98%8,587.3萬
總權益
-18.52%2.6億
-10.61%2.9億
-6.66%3.15億
-6.66%3.15億
265.87%3.14億
299.42%3.19億
677.46%3.24億
765.79%3.37億
765.79%3.37億
451.98%8,587.3萬
貨幣單位
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
審計意見
--
--
無保留意見
--
--
--
--
無保留意見
--
--
(Q2)2022/06/30(Q1)2022/03/31(FY)2021/12/31(Q4)2021/12/31(Q3)2021/09/30(Q2)2021/06/30(Q1)2021/03/31(FY)2020/12/31(Q4)2020/12/31(Q3)2020/09/30
資產
流動資產
現金及現金等價物和短期投資 -43.57%3,965.2萬-75.82%2,415.9萬-75.20%3,990.5萬-75.20%3,990.5萬0.63%5,196.7萬17.08%7,026.2萬321.94%9,991.2萬619.81%1.61億619.81%1.61億404.21%5,164.22萬
-現金和現金等價物 -43.57%3,965.2萬-75.82%2,415.9萬-75.20%3,990.5萬-75.20%3,990.5萬0.63%5,196.7萬17.08%7,026.2萬321.94%9,991.2萬619.81%1.61億619.81%1.61億404.21%5,164.22萬
應收款項 79.66%5,720.6萬55.82%5,246.9萬92.71%5,487.6萬92.71%5,487.6萬27.89%4,383.6萬11.39%3,184.1萬51.65%3,367.3萬33.39%2,847.6萬33.39%2,847.6萬91.29%3,427.58萬
-應收賬款 142.35%4,792.4萬106.81%5,204.6萬107.37%3,847.7萬107.37%3,847.7萬172.39%4,358.4萬68.67%1,977.5萬69.15%2,516.6萬39.78%1,855.5萬39.78%1,855.5萬40.94%1,600.03萬
-應收稅費 --------88.24%510.5萬88.24%510.5萬--014,062.96%225.8萬22,725.06%363.9萬102.51%271.2萬102.51%271.2萬-96.08%1.59萬
-應收關聯方款項 ----------114.1萬--114.1萬------------------------
-其他應收款 -16.01%928.2萬-93.34%42.3萬35.60%1,168.9萬35.60%1,168.9萬-98.70%25.2萬-38.13%1,105.1萬-19.32%635.3萬18.60%862萬18.60%862萬189.12%1,938.16萬
-應收賬款調整額 ---------8.86%-153.6萬-8.86%-153.6萬-----22.16%-124.3萬-163.00%-148.5萬-164.20%-141.1萬-164.20%-141.1萬-105.88%-112.2萬
存貨 84.32%6,549萬90.69%5,876.6萬152.54%5,269.3萬152.54%5,269.3萬248.26%4,605.7萬224.30%3,553萬205.44%3,081.8萬234.14%2,086.5萬234.14%2,086.5萬225.50%1,322.47萬
預付費用 805.52%1,739.5萬-78.99%130.1萬7.91%855萬7.91%855萬-82.87%85.6萬-36.19%192.1萬32.12%619.2萬106.24%792.3萬106.24%792.3萬534.17%499.8萬
受限制現金 10.38%1,063萬23.21%1,054.7萬46.74%1,121.4萬46.74%1,121.4萬701.11%988.3萬2,726.53%963萬2,313.48%856萬2,253.56%764.2萬2,253.56%764.2萬--123.37萬
流動資產合計 27.61%1.9億-17.81%1.47億-25.95%1.67億-25.95%1.67億44.82%1.53億44.98%1.49億193.63%1.79億317.33%2.26億317.33%2.26億217.04%1.05億
非流動資產
固定資產淨額 11.88%3,778.6萬12.69%4,098.6萬15.45%4,268.7萬15.45%4,268.7萬697.94%3,556.5萬979.36%3,377.5萬1,019.88%3,637.2萬1,121.53%3,697.3萬1,121.53%3,697.3萬93.73%445.71萬
-固定資產 --------29.05%5,122.7萬29.05%5,122.7萬----629.93%3,802.6萬681.26%3,998.2萬760.40%3,969.6萬760.40%3,969.6萬83.74%684.24萬
-累計折舊 ---------213.62%-854萬-213.62%-854萬-----104.34%-425.1萬-93.07%-361萬-71.60%-272.3萬-71.60%-272.3萬-67.59%-238.53萬
商譽及其他無形資產 5.39%2.37億21.21%2.42億36.04%2.52億36.04%2.52億1,637.38%2.36億2,922.06%2.25億2,491.40%2億1,917.15%1.85億1,917.15%1.85億388.13%1,358.37萬
-商譽 -28.23%1.51億-14.72%1.58億38.71%1.63億38.71%1.63億1,840.43%2.22億3,818.92%2.11億3,168.56%1.85億3,262.80%1.18億3,262.80%1.18億790.98%1,141.95萬
-其他無形資產 501.55%8,595萬478.58%8,420.6萬31.39%8,882萬31.39%8,882萬565.93%1,441.2萬590.36%1,428.8萬612.56%1,455.4萬1,088.28%6,760.2萬1,088.28%6,760.2萬44.17%216.42萬
投資和預付款 1,157.08%2,202.4萬5,204.95%2,143.2萬18,575.00%2,166.3萬18,575.00%2,166.3萬--167.7萬--175.2萬--40.4萬--11.6萬--11.6萬----
長期應收款 27.18%1,229.1萬202.61%858.2萬200.17%905.3萬200.17%905.3萬--956.3萬--966.4萬--283.6萬--301.6萬--301.6萬----
關聯方資產 ----------114.1萬--114.1萬------------------------
非流動遞延資產 487.97%361.6萬352.00%361.6萬267.11%361.6萬267.11%361.6萬--43.1萬--61.5萬--80萬--98.5萬--98.5萬----
其他非流動資產 ----0.00%4.6萬-13.21%4.6萬-13.21%4.6萬--4.7萬--4.5萬--4.6萬--5.3萬--5.3萬----
非流動資產合計 15.50%3.13億31.88%3.17億45.35%3.29億45.35%3.29億1,470.24%2.83億2,461.60%2.71億2,092.53%2.4億1,754.21%2.27億1,754.21%2.27億254.89%1,804.08萬
總資產 19.80%5.03億10.65%4.64億9.76%4.97億9.76%4.97億253.18%4.36億270.27%4.2億482.73%4.19億582.02%4.52億582.02%4.52億222.06%1.23億
負債
流動負債
應付款項 98.28%4,810.3萬64.12%3,714.4萬28.18%2,633.5萬28.18%2,633.5萬150.49%3,796.1萬122.77%2,426萬95.02%2,263.2萬108.76%2,054.6萬108.76%2,054.6萬72.79%1,515.44萬
-應付賬款 101.11%4,717.1萬61.48%3,623.6萬19.72%2,401.6萬19.72%2,401.6萬145.43%3,714.3萬123.52%2,345.5萬101.31%2,244萬116.76%2,006萬116.76%2,006萬72.56%1,513.36萬
-應付稅費 15.78%93.2萬372.92%90.8萬940.29%214.3萬940.29%214.3萬3,818.00%81.8萬102.89%80.5萬-58.05%19.2萬-60.84%20.6萬-60.84%20.6萬--2.09萬
-應付關聯方款項 --------2,066.67%6.5萬2,066.67%6.5萬------------9.85%3,0009.85%3,000----
-其他應付款 ---------59.93%11.1萬-59.93%11.1萬------------370.59%27.7萬370.59%27.7萬----
應計費用 --------18.69%834.9萬18.69%834.9萬------------129.80%703.4萬129.80%703.4萬----
現行撥備 17.42%310.7萬-15.55%182萬15.51%178萬15.51%178萬614.00%196.3萬926.77%264.6萬814.68%215.5萬3,234.99%154.1萬3,234.99%154.1萬414.80%27.49萬
短期借款與租賃負債 56.20%2,254.1萬43.04%1,758.7萬24.68%1,873.5萬24.68%1,873.5萬470.90%2,771萬747.51%1,443.1萬829.95%1,229.5萬1,461.15%1,502.7萬1,461.15%1,502.7萬163.29%485.37萬
-短期借款 56.20%2,254.1萬43.04%1,758.7萬24.68%1,873.5萬24.68%1,873.5萬470.90%2,771萬747.51%1,443.1萬829.95%1,229.5萬1,461.15%1,502.7萬1,461.15%1,502.7萬163.29%485.37萬
遞延負債 689.45%8,061.1萬168.81%2,566.1萬286.66%2,973萬286.66%2,973萬324.29%1,354.9萬335.44%1,021.1萬25.96%954.6萬222.63%768.9萬222.63%768.9萬-2.73%319.33萬
其他流動負債 -36.32%12.1萬-94.81%16.4萬-94.24%20.7萬-94.24%20.7萬-66.25%19萬-64.90%19萬483.81%316.2萬621.26%359.1萬621.26%359.1萬85.08%56.3萬
流動負債總額 198.59%1.54億65.45%8,237.6萬53.60%8,513.6萬53.60%8,513.6萬238.50%8,137.3萬228.77%5,173.8萬133.94%4,979萬230.07%5,542.8萬230.07%5,542.8萬68.65%2,403.95萬
非流動負債
長期撥備 1,279.07%355.8萬906.91%364.5萬776.15%304.9萬776.15%304.9萬411.45%31.1萬807.20%25.8萬177.12%36.2萬171.92%34.8萬171.92%34.8萬-9.98%6.08萬
長期借款與租賃負債 33.94%6,200.4萬53.57%6,519.7萬62.15%6,935.6萬62.15%6,935.6萬326.88%3,756.1萬250.24%4,629.1萬910.42%4,245.4萬729.00%4,277.4萬729.00%4,277.4萬114.65%879.9萬
-長期借款 33.94%6,200.4萬53.57%6,519.7萬62.15%6,935.6萬62.15%6,935.6萬326.88%3,756.1萬250.24%4,629.1萬910.42%4,245.4萬729.00%4,277.4萬729.00%4,277.4萬114.65%879.9萬
遞延負債 857.84%2,308.4萬832.39%2,308.6萬47.69%2,423.6萬47.69%2,423.6萬1,232.06%239.3萬1,202.06%241萬1,199.50%247.6萬1,326.80%1,641萬1,326.80%1,641萬119.11%17.96萬
其他非流動負債 -----------------98.68%5.9萬-97.68%10.1萬-96.82%14.2萬-95.59%18.3萬-95.59%18.3萬4.77%446.33萬
非流動負債總額 80.69%8,864.6萬102.33%9,192.8萬61.84%9,664.1萬61.84%9,664.1萬198.63%4,032.4萬175.91%4,906萬405.31%4,543.4萬464.07%5,971.5萬464.07%5,971.5萬58.69%1,350.28萬
總負債 141.20%2.43億83.05%1.74億57.87%1.82億57.87%1.82億224.16%1.22億200.72%1.01億214.54%9,522.4萬320.55%1.15億320.55%1.15億64.93%3,754.22萬
所有者權益
股本 -0.83%3.99億0.37%3.99億2.23%3.99億2.23%3.99億265.84%4.03億297.19%4.02億503.99%3.97億514.11%3.9億514.11%3.9億177.59%1.1億
-普通股股本 -0.83%3.99億0.37%3.99億2.23%3.99億2.23%3.99億265.84%4.03億297.19%4.02億503.99%3.97億514.11%3.9億514.11%3.9億177.59%1.1億
留存收益 -63.94%-1.25億-47.36%-1.02億-39.21%-8,325.8萬-39.21%-8,325.8萬-171.64%-8,568萬-160.62%-7,651.1萬-141.38%-6,901.6萬-114.75%-5,980.7萬-114.75%-5,980.7萬-15.20%-3,154.22萬
資本公積 105.35%1,557.8萬96.60%1,559.6萬88.30%1,533.7萬88.30%1,533.7萬-5.78%721.1萬-10.61%758.6萬76.85%793.3萬78.24%814.5萬78.24%814.5萬78.88%765.36萬
不影響留存收益的損益 -109.21%-2,852.2萬-91.49%-2,269.3萬-1,632.49%-1,583.5萬-1,632.49%-1,583.5萬-2,103.47%-1,067.5萬-3,634.98%-1,363.3萬-21,250.79%-1,185.1萬26.72%-91.4萬26.72%-91.4萬60.31%-48.45萬
股東權益總額 -18.52%2.6億-10.61%2.9億-6.66%3.15億-6.66%3.15億265.87%3.14億299.42%3.19億677.46%3.24億765.79%3.37億765.79%3.37億451.98%8,587.3萬
總權益 -18.52%2.6億-10.61%2.9億-6.66%3.15億-6.66%3.15億265.87%3.14億299.42%3.19億677.46%3.24億765.79%3.37億765.79%3.37億451.98%8,587.3萬
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分析

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目標價預測

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熱議
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