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CWYUF SMARTCENTRES REAL ESTATE INVESTMENT
22.390-0.172-0.76%
YOY
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(Q1)2022/03/31(FY)2021/12/31(Q4)2021/12/31(Q3)2021/09/30
Assets
Current assets
Cash, cash equivalents and short term investments
-86.6% 53.61M -92.17% 62.24M -92.17% 62.24M -83.82% 68.86M
-Cash and cash equivalents
-86.6% 53.61M -92.17% 62.24M -92.17% 62.24M -83.82% 68.86M
Receivables
-24.07% 137.12M -33.94% 121.49M -33.94% 121.49M -53.93% 117.97M
-Accounts receivable
-69.92% 16.08M -54.12% 17.35M -54.12% 17.35M -38.07% 44.11M
-Loans receivable
-28.82% 87.25M -42.56% 71.95M -42.56% 71.95M -58.6% 71.25M
-Related party accounts receivable
-2.03% 3.56M 475.67% 7.55M 475.67% 7.55M -51.18% 5.73M
-Other receivables
39.54% 30.23M 26.3% 24.64M 26.3% 24.64M -13.07% 18.3M
-Recievables adjustments allowances
-- -- -- -- -- -- -6.76% -21.42M
Inventory
8.43% 28.33M 6.22% 27.4M 6.22% 27.4M 5.16% 26.84M
Prepaid assets
87.2% 25.04M 51.6% 11.02M 51.6% 11.02M 26.9% 40.03M
Current deferred assets
-- -- 8.18% 1.27M 8.18% 1.27M -3.29% 1.3M
Total current assets
-60.71% 244.09M -77.94% 223.41M -77.94% 223.41M -53.62% 343.24M
Non current assets
Net PPE
-26.07% 4.36M -26.12% 4.9M -26.12% 4.9M 142.17% 5.3M
-Gross PPE
-26.07% 4.36M -26.12% 4.9M -26.12% 4.9M 142.17% 5.3M
Goodwill and other intangible assets
-2.88% 44.81M -2.86% 45.14M -2.86% 45.14M -2.84% 45.47M
-Goodwill
-- -- 0% 13.98M 0% 13.98M -- --
-Other intangible assets
-- -- -4.1% 31.16M -4.1% 31.16M -- --
Investments and advances
48.54% 643.63M 41.29% 654.44M 41.29% 654.44M 11.7% 486.97M
Long-term notes receivables
27.05% 348.34M 30.93% 345.09M 30.93% 345.09M 37.81% 309.57M
Non current accounts receivable
114.55% 91.45M 101.92% 90.43M 101.92% 90.43M 69.85% 75.38M
Related parties assets
-2.03% 3.56M 475.67% 7.55M 475.67% 7.55M -51.18% 5.73M
Financial assets
154.84% 16.35M -- -- -- -- -- --
Other non current assets
141.54% 84.78M 125.34% 82.76M 125.34% 82.76M -11.62% 33M
Total non current assets
18.33% 11.48B 13.98% 11.07B 13.98% 11.07B 2.32% 9.85B
Total assets
13.57% 11.72B 5.3% 11.29B 5.3% 11.29B -1.68% 10.19B
Liabilities
Current liabilities
Payables
5.98% 140.8M -4.03% 120.84M -4.03% 120.84M -13.08% 114.56M
-accounts payable
14.72% 84.65M 1.52% 78.52M 1.52% 78.52M -12.68% 68.68M
-Total tax payable
-13.58% 17.36M -35.68% 3.19M -35.68% 3.19M -40.89% 6.88M
-Dividends payable
0.03% 26.57M -11.37% 26.6M -11.37% 26.6M -11.5% 26.56M
-Other payable
-1.58% 12.21M -7.88% 12.53M -7.88% 12.53M 8.2% 12.44M
Current accrued expenses
-10.9% 25.42M -53.87% 13.41M -53.87% 13.41M -37.13% 25.71M
Current debt and capital lease obligation
-63.62% 173.5M -20.59% 678.41M -20.59% 678.41M -60.2% 306.47M
-Current debt
-63.62% 173.5M -20.59% 678.41M -20.59% 678.41M -60.2% 306.47M
Current deferred liabilities
55.56% 122.22M 35.78% 118.83M 35.78% 118.83M 8.93% 101.29M
Current liabilities
-35.56% 461.93M -15.07% 931.48M -15.07% 931.48M -47.08% 548.03M
Non current liabilities
Long term debt and capital lease obligation
10.26% 4.78B -4.13% 4.18B -4.13% 4.18B 4.48% 4.23B
-Long term debt
10.26% 4.78B -4.13% 4.18B -4.13% 4.18B 4.48% 4.23B
Non current deferred liabilities
48.5% 54.27M 80.6% 50.66M 80.6% 50.66M 102.99% 45.73M
Derivative product liabilities
-55.67% 3M 16.98% 10.13M 16.98% 10.13M -- 8.63M
Other non current liabilities
366.99% 274.05M 447.24% 265.3M 447.24% 265.3M 65.13% 69.37M
Total non current liabilities
15.1% 5.13B 1.34% 4.52B 1.34% 4.52B 5.87% 4.38B
Total liabilities
8.08% 5.59B -1.9% 5.45B -1.9% 5.45B -4.74% 4.92B
Shareholders'equity
Share capital
-0% 3.09B 0.01% 3.09B 0.01% 3.09B -- 3.09B
-common stock
-0% 3.09B 0.01% 3.09B 0.01% 3.09B -- 3.09B
Retained earnings
66.89% 2.02B 45.67% 1.79B 45.67% 1.79B -- 1.31B
Total stockholders'equity
18.83% 5.11B 12.98% 4.88B 12.98% 4.88B 1.26% 4.4B
Noncontrolling interests
20.39% 1.02B 13.39% 963.35M 13.39% 963.35M 1.91% 870M
Total equity
19.09% 6.13B 13.05% 5.84B 13.05% 5.84B 1.36% 5.27B
Currency Unit
CADCADCADCAD
Audit Opinions
--Unqualified Opinion----

FY: Financial Year Annual Report, which is equivalent to the 10-K file disclosed by the listed company to the SEC.

Q: Quarterly report, which is equivalent to the 10-Q file disclosed by the listed company to the SEC, where Q1, Q2, Q3, and Q4 are single quarterly reports with a span of 3 months; Q6 and Q9 are cumulative quarterly reports, and Q6 is 6 months , Q9 is 9 months.

The MOM data from the Quarterly report,MOM=(current period - last period)/last period *100%