加拿大市場個股詳情

Ostrom Climate Solutions Inc (COO)

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延時15分鐘行情已收盤 01/15 16:00 (美東)
342.27萬總市值-0.94市盈率TTM

Ostrom Climate Solutions Inc (COO) 資產負債表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
資產
流動資產
現金及現金等價物和短期投資
-43.39%29.24萬
-71.26%15.46萬
-73.96%19.4萬
-59.13%55.07萬
-59.13%55.07萬
1.94%51.66萬
3.80%53.79萬
-0.76%74.52萬
37.80%134.75萬
37.80%134.75萬
-現金和現金等價物
-43.39%29.24萬
-71.26%15.46萬
-73.96%19.4萬
-59.13%55.07萬
-59.13%55.07萬
1.94%51.66萬
3.80%53.79萬
-0.76%74.52萬
37.80%134.75萬
37.80%134.75萬
應收款項
-13.63%24.04萬
-24.72%37.77萬
-22.83%36.33萬
-43.93%25.57萬
-43.93%25.57萬
-72.12%27.84萬
-19.79%50.17萬
-17.81%47.08萬
102.13%45.6萬
102.13%45.6萬
-應收賬款
8.93%22.53萬
52.21%35.7萬
-10.47%32.14萬
-33.32%22.1萬
-33.32%22.1萬
-75.80%20.68萬
-58.28%23.46萬
-32.56%35.9萬
80.16%33.14萬
80.16%33.14萬
-其他應收款
-78.84%1.51萬
-92.27%2.06萬
-62.54%4.19萬
-72.17%3.47萬
-72.17%3.47萬
-50.26%7.16萬
350.66%26.71萬
176.05%11.18萬
199.15%12.46萬
199.15%12.46萬
存貨
9,610.04%696.68萬
-68.05%11.78萬
-68.32%12.16萬
-79.20%12.3萬
-79.20%12.3萬
-91.54%7.17萬
-65.27%36.88萬
-56.73%38.38萬
-14.18%59.15萬
-14.18%59.15萬
預付費用
-66.80%7.21萬
-79.43%4.73萬
-71.53%6.99萬
-47.90%10.41萬
-47.90%10.41萬
25.78%21.72萬
52.90%23萬
72.70%24.54萬
32.77%19.99萬
32.77%19.99萬
受限制現金
0.00%4.03萬
0.00%4.03萬
0.00%4.03萬
40.00%4.03萬
40.00%4.03萬
40.00%4.03萬
40.00%4.03萬
40.00%4.03萬
0.00%2.88萬
0.00%2.88萬
遞延資產
-73.65%11.81萬
-67.14%11.36萬
-78.27%5.85萬
-33.26%9.02萬
-33.26%9.02萬
42.53%44.81萬
36.21%34.58萬
5.92%26.89萬
-46.80%13.51萬
-46.80%13.51萬
流動資產合計
391.64%773萬
-57.95%85.13萬
-60.66%84.74萬
-57.81%116.39萬
-57.81%116.39萬
-45.20%157.23萬
-23.27%202.44萬
-18.25%215.43萬
18.61%275.87萬
18.61%275.87萬
非流動資產
固定資產淨額
-97.66%1.22萬
-29.56%38.75萬
-28.35%41.54萬
1,847.77%44.33萬
1,847.77%44.33萬
1,858.89%52.21萬
1,856.12%55.02萬
1,911.19%57.98萬
-6.53%2.28萬
-6.53%2.28萬
-固定資產
-97.66%1.22萬
-29.56%38.75萬
-28.35%41.54萬
390.22%54.2萬
390.22%54.2萬
1,858.89%52.21萬
1,856.12%55.02萬
--57.98萬
12.26%11.06萬
12.26%11.06萬
-累計折舊
----
----
----
-12.46%-9.87萬
-12.46%-9.87萬
----
----
----
-18.42%-8.78萬
-18.42%-8.78萬
其他非流動資產
----
----
----
--370
--370
----
----
----
----
----
非流動資產合計
-97.66%1.22萬
-29.56%38.75萬
-28.35%41.54萬
1,849.39%44.36萬
1,849.39%44.36萬
1,858.89%52.21萬
1,856.12%55.02萬
1,911.19%57.98萬
-6.53%2.28萬
-6.53%2.28萬
總資產
269.66%774.23萬
-51.88%123.88萬
-53.81%126.28萬
-42.22%160.72萬
-42.22%160.72萬
-27.67%209.44萬
-3.45%257.46萬
2.63%273.41萬
18.35%278.15萬
18.35%278.15萬
負債
流動負債
短期借款與資本租賃負債
27.34%88.53萬
52.11%108.86萬
58.97%109.2萬
17.01%69.64萬
17.01%69.64萬
4.51%69.52萬
8.09%71.56萬
4.73%68.69萬
-5.44%59.52萬
-5.44%59.52萬
-短期借款
27.11%74.56萬
66.51%97.67萬
70.42%98.13萬
-1.45%58.66萬
-1.45%58.66萬
-11.82%58.66萬
-11.40%58.66萬
-12.20%57.58萬
-5.44%59.52萬
-5.44%59.52萬
-短期資本租賃負債
28.59%13.97萬
-13.34%11.18萬
-0.37%11.06萬
--10.98萬
--10.98萬
--10.87萬
--12.9萬
--11.1萬
--0
--0
應付款項
-17.26%77.97萬
-16.56%96.25萬
-60.69%62.17萬
86.86%110.68萬
86.86%110.68萬
63.08%94.23萬
174.67%115.35萬
270.44%158.18萬
134.05%59.23萬
134.05%59.23萬
-應付帳款
-19.38%65.87萬
-23.87%85.83萬
-67.50%51.41萬
88.94%100.25萬
88.94%100.25萬
72.38%81.7萬
224.01%112.74萬
315.87%158.18萬
126.14%53.06萬
126.14%53.06萬
-應付稅費
-3.41%12.11萬
299.67%10.42萬
210,998.04%10.77萬
68.96%10.43萬
68.96%10.43萬
20.66%12.53萬
-63.77%2.61萬
-99.89%51
234.71%6.17萬
234.71%6.17萬
應計費用
6.35%51.42萬
27.64%61.16萬
27.51%48.51萬
-31.20%49.52萬
-31.20%49.52萬
48.50%48.35萬
38.12%47.92萬
-6.46%38.04萬
112.98%71.98萬
112.98%71.98萬
現行撥備
----
----
----
0.00%24.92萬
0.00%24.92萬
----
----
----
0.00%24.92萬
0.00%24.92萬
遞延負債
367.32%928.73萬
22.58%224.09萬
43.55%203.34萬
16.41%183.42萬
16.41%183.42萬
-22.45%198.74萬
-27.84%182.82萬
-26.20%141.65萬
15.26%157.56萬
15.26%157.56萬
其他流動負債
0.00%24.92萬
0.00%24.92萬
0.00%24.92萬
----
----
--24.92萬
--24.92萬
--24.92萬
--1
--1
流動負債總額
168.86%1,171.58萬
16.43%515.28萬
3.86%448.14萬
17.41%438.19萬
17.41%438.19萬
-0.98%435.76萬
4.57%442.56萬
17.29%431.49萬
31.57%373.22萬
31.57%373.22萬
非流動負債
長期借款與租賃負債
-14.58%55.97萬
6.70%71.23萬
13.96%78.23萬
150.14%59.11萬
150.14%59.11萬
129.14%65.53萬
135.96%66.76萬
145.23%68.65萬
-20.53%23.63萬
-20.53%23.63萬
-長期借款
1.71%25萬
58.68%38.5萬
80.98%45.28萬
5.37%24.9萬
5.37%24.9萬
-14.05%24.58萬
-14.25%24.26萬
-10.62%25.02萬
-20.53%23.63萬
-20.53%23.63萬
-長期租賃負債
-24.36%30.97萬
-22.98%32.73萬
-24.48%32.95萬
--34.21萬
--34.21萬
--40.95萬
--42.5萬
--43.63萬
--0
--0
長期撥備
-3.36%5.95萬
-3.36%5.95萬
-3.36%5.95萬
-3.36%5.95萬
-3.36%5.95萬
21.30%6.16萬
21.30%6.16萬
21.30%6.16萬
-13.59%6.16萬
-13.59%6.16萬
遞延負債
149.36%135.04萬
149.36%135.04萬
--135.04萬
--135.04萬
--135.04萬
--54.16萬
--54.16萬
----
--0
--0
非流動負債總額
56.52%196.97萬
67.01%212.23萬
193.05%219.22萬
571.73%200.1萬
571.73%200.1萬
273.71%125.84萬
280.80%127.08萬
126.21%74.81萬
-19.19%29.79萬
-19.19%29.79萬
負債總額
143.68%1,368.55萬
27.71%727.51萬
31.81%667.37萬
58.38%638.3萬
58.38%638.3萬
18.54%561.61萬
24.76%569.64萬
26.28%506.29萬
25.73%403.01萬
25.73%403.01萬
所有者權益
股本
0.00%1,804.79萬
4.76%1,804.79萬
4.76%1,804.79萬
4.76%1,804.79萬
4.76%1,804.79萬
13.41%1,804.79萬
8.26%1,722.81萬
8.26%1,722.81萬
8.26%1,722.81萬
8.26%1,722.81萬
-普通股股本
0.00%1,804.79萬
4.76%1,804.79萬
4.76%1,804.79萬
4.76%1,804.79萬
4.76%1,804.79萬
13.41%1,804.79萬
8.26%1,722.81萬
8.26%1,722.81萬
8.26%1,722.81萬
8.26%1,722.81萬
留存收益
-10.98%-2,752.09萬
-17.18%-2,757.17萬
-18.59%-2,688.86萬
-21.21%-2,617.22萬
-21.21%-2,617.22萬
-19.47%-2,479.84萬
-13.05%-2,352.97萬
-11.91%-2,267.28萬
-9.22%-2,159.25萬
-9.22%-2,159.25萬
不影響留存收益的損益
9.81%336.86萬
10.20%332.62萬
10.63%326.86萬
7.88%318.73萬
7.88%318.73萬
8.07%306.76萬
6.34%301.85萬
4.08%295.45萬
4.08%295.45萬
4.08%295.45萬
其他股本權益
0.00%16.13萬
0.00%16.13萬
0.00%16.13萬
0.00%16.13萬
0.00%16.13萬
0.00%16.13萬
0.00%16.13萬
0.00%16.13萬
0.00%16.13萬
0.00%16.13萬
股東權益總額
-68.76%-594.32萬
-93.36%-603.63萬
-132.34%-541.08萬
-282.48%-477.58萬
-282.48%-477.58萬
-91.17%-352.17萬
-64.38%-312.18萬
-73.12%-232.89萬
-46.03%-124.86萬
-46.03%-124.86萬
總權益
-68.76%-594.32萬
-93.36%-603.63萬
-132.34%-541.08萬
-282.48%-477.58萬
-282.48%-477.58萬
-91.17%-352.17萬
-64.38%-312.18萬
-73.12%-232.89萬
-46.03%-124.86萬
-46.03%-124.86萬
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
審計意見
--
--
--
帶解釋段的無保留意見
--
--
--
--
帶解釋段的無保留意見
--
(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31
資產
流動資產
現金及現金等價物和短期投資 -43.39%29.24萬-71.26%15.46萬-73.96%19.4萬-59.13%55.07萬-59.13%55.07萬1.94%51.66萬3.80%53.79萬-0.76%74.52萬37.80%134.75萬37.80%134.75萬
-現金和現金等價物 -43.39%29.24萬-71.26%15.46萬-73.96%19.4萬-59.13%55.07萬-59.13%55.07萬1.94%51.66萬3.80%53.79萬-0.76%74.52萬37.80%134.75萬37.80%134.75萬
應收款項 -13.63%24.04萬-24.72%37.77萬-22.83%36.33萬-43.93%25.57萬-43.93%25.57萬-72.12%27.84萬-19.79%50.17萬-17.81%47.08萬102.13%45.6萬102.13%45.6萬
-應收賬款 8.93%22.53萬52.21%35.7萬-10.47%32.14萬-33.32%22.1萬-33.32%22.1萬-75.80%20.68萬-58.28%23.46萬-32.56%35.9萬80.16%33.14萬80.16%33.14萬
-其他應收款 -78.84%1.51萬-92.27%2.06萬-62.54%4.19萬-72.17%3.47萬-72.17%3.47萬-50.26%7.16萬350.66%26.71萬176.05%11.18萬199.15%12.46萬199.15%12.46萬
存貨 9,610.04%696.68萬-68.05%11.78萬-68.32%12.16萬-79.20%12.3萬-79.20%12.3萬-91.54%7.17萬-65.27%36.88萬-56.73%38.38萬-14.18%59.15萬-14.18%59.15萬
預付費用 -66.80%7.21萬-79.43%4.73萬-71.53%6.99萬-47.90%10.41萬-47.90%10.41萬25.78%21.72萬52.90%23萬72.70%24.54萬32.77%19.99萬32.77%19.99萬
受限制現金 0.00%4.03萬0.00%4.03萬0.00%4.03萬40.00%4.03萬40.00%4.03萬40.00%4.03萬40.00%4.03萬40.00%4.03萬0.00%2.88萬0.00%2.88萬
遞延資產 -73.65%11.81萬-67.14%11.36萬-78.27%5.85萬-33.26%9.02萬-33.26%9.02萬42.53%44.81萬36.21%34.58萬5.92%26.89萬-46.80%13.51萬-46.80%13.51萬
流動資產合計 391.64%773萬-57.95%85.13萬-60.66%84.74萬-57.81%116.39萬-57.81%116.39萬-45.20%157.23萬-23.27%202.44萬-18.25%215.43萬18.61%275.87萬18.61%275.87萬
非流動資產
固定資產淨額 -97.66%1.22萬-29.56%38.75萬-28.35%41.54萬1,847.77%44.33萬1,847.77%44.33萬1,858.89%52.21萬1,856.12%55.02萬1,911.19%57.98萬-6.53%2.28萬-6.53%2.28萬
-固定資產 -97.66%1.22萬-29.56%38.75萬-28.35%41.54萬390.22%54.2萬390.22%54.2萬1,858.89%52.21萬1,856.12%55.02萬--57.98萬12.26%11.06萬12.26%11.06萬
-累計折舊 -------------12.46%-9.87萬-12.46%-9.87萬-------------18.42%-8.78萬-18.42%-8.78萬
其他非流動資產 --------------370--370--------------------
非流動資產合計 -97.66%1.22萬-29.56%38.75萬-28.35%41.54萬1,849.39%44.36萬1,849.39%44.36萬1,858.89%52.21萬1,856.12%55.02萬1,911.19%57.98萬-6.53%2.28萬-6.53%2.28萬
總資產 269.66%774.23萬-51.88%123.88萬-53.81%126.28萬-42.22%160.72萬-42.22%160.72萬-27.67%209.44萬-3.45%257.46萬2.63%273.41萬18.35%278.15萬18.35%278.15萬
負債
流動負債
短期借款與資本租賃負債 27.34%88.53萬52.11%108.86萬58.97%109.2萬17.01%69.64萬17.01%69.64萬4.51%69.52萬8.09%71.56萬4.73%68.69萬-5.44%59.52萬-5.44%59.52萬
-短期借款 27.11%74.56萬66.51%97.67萬70.42%98.13萬-1.45%58.66萬-1.45%58.66萬-11.82%58.66萬-11.40%58.66萬-12.20%57.58萬-5.44%59.52萬-5.44%59.52萬
-短期資本租賃負債 28.59%13.97萬-13.34%11.18萬-0.37%11.06萬--10.98萬--10.98萬--10.87萬--12.9萬--11.1萬--0--0
應付款項 -17.26%77.97萬-16.56%96.25萬-60.69%62.17萬86.86%110.68萬86.86%110.68萬63.08%94.23萬174.67%115.35萬270.44%158.18萬134.05%59.23萬134.05%59.23萬
-應付帳款 -19.38%65.87萬-23.87%85.83萬-67.50%51.41萬88.94%100.25萬88.94%100.25萬72.38%81.7萬224.01%112.74萬315.87%158.18萬126.14%53.06萬126.14%53.06萬
-應付稅費 -3.41%12.11萬299.67%10.42萬210,998.04%10.77萬68.96%10.43萬68.96%10.43萬20.66%12.53萬-63.77%2.61萬-99.89%51234.71%6.17萬234.71%6.17萬
應計費用 6.35%51.42萬27.64%61.16萬27.51%48.51萬-31.20%49.52萬-31.20%49.52萬48.50%48.35萬38.12%47.92萬-6.46%38.04萬112.98%71.98萬112.98%71.98萬
現行撥備 ------------0.00%24.92萬0.00%24.92萬------------0.00%24.92萬0.00%24.92萬
遞延負債 367.32%928.73萬22.58%224.09萬43.55%203.34萬16.41%183.42萬16.41%183.42萬-22.45%198.74萬-27.84%182.82萬-26.20%141.65萬15.26%157.56萬15.26%157.56萬
其他流動負債 0.00%24.92萬0.00%24.92萬0.00%24.92萬----------24.92萬--24.92萬--24.92萬--1--1
流動負債總額 168.86%1,171.58萬16.43%515.28萬3.86%448.14萬17.41%438.19萬17.41%438.19萬-0.98%435.76萬4.57%442.56萬17.29%431.49萬31.57%373.22萬31.57%373.22萬
非流動負債
長期借款與租賃負債 -14.58%55.97萬6.70%71.23萬13.96%78.23萬150.14%59.11萬150.14%59.11萬129.14%65.53萬135.96%66.76萬145.23%68.65萬-20.53%23.63萬-20.53%23.63萬
-長期借款 1.71%25萬58.68%38.5萬80.98%45.28萬5.37%24.9萬5.37%24.9萬-14.05%24.58萬-14.25%24.26萬-10.62%25.02萬-20.53%23.63萬-20.53%23.63萬
-長期租賃負債 -24.36%30.97萬-22.98%32.73萬-24.48%32.95萬--34.21萬--34.21萬--40.95萬--42.5萬--43.63萬--0--0
長期撥備 -3.36%5.95萬-3.36%5.95萬-3.36%5.95萬-3.36%5.95萬-3.36%5.95萬21.30%6.16萬21.30%6.16萬21.30%6.16萬-13.59%6.16萬-13.59%6.16萬
遞延負債 149.36%135.04萬149.36%135.04萬--135.04萬--135.04萬--135.04萬--54.16萬--54.16萬------0--0
非流動負債總額 56.52%196.97萬67.01%212.23萬193.05%219.22萬571.73%200.1萬571.73%200.1萬273.71%125.84萬280.80%127.08萬126.21%74.81萬-19.19%29.79萬-19.19%29.79萬
負債總額 143.68%1,368.55萬27.71%727.51萬31.81%667.37萬58.38%638.3萬58.38%638.3萬18.54%561.61萬24.76%569.64萬26.28%506.29萬25.73%403.01萬25.73%403.01萬
所有者權益
股本 0.00%1,804.79萬4.76%1,804.79萬4.76%1,804.79萬4.76%1,804.79萬4.76%1,804.79萬13.41%1,804.79萬8.26%1,722.81萬8.26%1,722.81萬8.26%1,722.81萬8.26%1,722.81萬
-普通股股本 0.00%1,804.79萬4.76%1,804.79萬4.76%1,804.79萬4.76%1,804.79萬4.76%1,804.79萬13.41%1,804.79萬8.26%1,722.81萬8.26%1,722.81萬8.26%1,722.81萬8.26%1,722.81萬
留存收益 -10.98%-2,752.09萬-17.18%-2,757.17萬-18.59%-2,688.86萬-21.21%-2,617.22萬-21.21%-2,617.22萬-19.47%-2,479.84萬-13.05%-2,352.97萬-11.91%-2,267.28萬-9.22%-2,159.25萬-9.22%-2,159.25萬
不影響留存收益的損益 9.81%336.86萬10.20%332.62萬10.63%326.86萬7.88%318.73萬7.88%318.73萬8.07%306.76萬6.34%301.85萬4.08%295.45萬4.08%295.45萬4.08%295.45萬
其他股本權益 0.00%16.13萬0.00%16.13萬0.00%16.13萬0.00%16.13萬0.00%16.13萬0.00%16.13萬0.00%16.13萬0.00%16.13萬0.00%16.13萬0.00%16.13萬
股東權益總額 -68.76%-594.32萬-93.36%-603.63萬-132.34%-541.08萬-282.48%-477.58萬-282.48%-477.58萬-91.17%-352.17萬-64.38%-312.18萬-73.12%-232.89萬-46.03%-124.86萬-46.03%-124.86萬
總權益 -68.76%-594.32萬-93.36%-603.63萬-132.34%-541.08萬-282.48%-477.58萬-282.48%-477.58萬-91.17%-352.17萬-64.38%-312.18萬-73.12%-232.89萬-46.03%-124.86萬-46.03%-124.86萬
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 ------帶解釋段的無保留意見--------帶解釋段的無保留意見--

FY:Financial Year 年度報告,相當於上市公司向SEC披露的10-K文件。

Q:Quarter 季度報告,相當於上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4為單季報,跨度為3個月;Q6、Q9為累計季報,Q6為6個月,Q9為9個月。

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