加拿大市場個股詳情

Cosciens Biopharma Inc (CSCI)

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延時15分鐘行情已收盤 05/12 16:00 (美東)
840.62萬總市值-0.59市盈率TTM

Cosciens Biopharma Inc (CSCI) 資產負債表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2025/12/31
(Q4)2025/12/31
(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
資產
流動資產
現金及現金等價物和短期投資
-55.43%730.7萬
-55.43%730.7萬
-57.38%852.4萬
-66.43%933.3萬
291.62%1,375.8萬
145.48%1,639.3萬
145.48%1,639.3萬
139.38%1,999.8萬
225.89%2,780.4萬
-62.18%351.31萬
-現金和現金等價物
-55.43%730.7萬
-55.43%730.7萬
-57.38%852.4萬
-66.43%933.3萬
291.62%1,375.8萬
145.48%1,639.3萬
145.48%1,639.3萬
139.38%1,999.8萬
225.89%2,780.4萬
-62.18%351.31萬
應收款項
-48.97%126.1萬
-48.97%126.1萬
-20.35%160.5萬
105.39%278.3萬
33.41%185.9萬
752.07%247.1萬
752.07%247.1萬
157.25%201.5萬
9.46%135.5萬
-36.45%139.35萬
-應收賬款
-42.62%108.1萬
-42.62%108.1萬
-15.17%160.5萬
124.80%278.3萬
49.70%185.9萬
549.66%188.4萬
549.66%188.4萬
161.66%189.2萬
4.94%123.8萬
-42.30%124.18萬
-應收稅費
-85.71%7.1萬
-85.71%7.1萬
--0
--0
--0
--49.7萬
--49.7萬
--12.3萬
--11.7萬
----
-其他應收款
21.11%10.9萬
21.11%10.9萬
----
----
----
--9萬
--9萬
----
----
276.93%15.17萬
存貨
-51.43%130.7萬
-51.43%130.7萬
-46.79%175.9萬
-40.39%182.1萬
-30.58%245.5萬
-32.88%269.1萬
-32.88%269.1萬
-16.33%330.6萬
-21.31%305.5萬
12.68%353.66萬
預付費用
-36.64%140.4萬
-36.64%140.4萬
-41.89%150.5萬
228.03%224.7萬
444.29%195.7萬
1,144.94%221.6萬
1,144.94%221.6萬
1,542.29%259萬
530.57%68.5萬
160.14%35.96萬
持有待售資產
--3.7萬
--3.7萬
--28.6萬
----
----
--0
--0
----
----
----
其他流動資產
-12.38%18.4萬
-12.38%18.4萬
-50.00%15.6萬
3.24%31.9萬
--32.5萬
87.50%21萬
87.50%21萬
--31.2萬
--30.9萬
----
流動資產合計
-52.05%1,150萬
-52.05%1,150萬
-50.98%1,383.5萬
-50.30%1,650.3萬
131.22%2,035.4萬
112.84%2,398.1萬
112.84%2,398.1萬
113.05%2,822.1萬
141.33%3,320.8萬
-40.35%880.27萬
非流動資產
固定資產淨額
-10.58%980.6萬
-10.58%980.6萬
-16.22%989.2萬
-5.01%1,092.3萬
-8.75%1,065.9萬
-5.83%1,096.6萬
-5.83%1,096.6萬
7.02%1,180.7萬
-0.43%1,149.9萬
0.37%1,168.08萬
-固定資產
1.62%2,042.5萬
1.62%2,042.5萬
-11.17%2,005.7萬
-3.55%2,092.1萬
-8.16%1,988萬
-6.29%2,009.9萬
-6.29%2,009.9萬
9.27%2,257.8萬
3.00%2,169.2萬
5.09%2,164.68萬
-累計折舊
-16.27%-1,061.9萬
-16.27%-1,061.9萬
5.63%-1,016.5萬
1.91%-999.8萬
7.48%-922.1萬
6.84%-913.3萬
6.84%-913.3萬
-11.84%-1,077.1萬
-7.17%-1,019.3萬
-11.23%-996.6萬
長期應收款
----
----
----
----
----
----
----
15.91%72.9萬
11.46%71.9萬
15.24%72.84萬
長期預付費用
----
----
----
----
----
----
----
----
----
-3.26%5.5萬
商譽及其他無形資產
----
----
----
----
----
--0
--0
23,595.30%180.7萬
39,694.48%333.5萬
-24.93%6,574.8964
-其他無形資產
----
----
----
----
----
----
----
23,595.30%180.7萬
39,694.48%333.5萬
-24.93%6,574.8964
非流動遞延資產
----
----
----
----
----
--0
--0
--107.9萬
--95.2萬
--48.46萬
其他非流動資產
1.63%12.5萬
1.63%12.5萬
4.76%13.2萬
-60.24%13.2萬
1,629.54%12.8萬
1,437.50%12.3萬
1,437.50%12.3萬
--12.6萬
--33.2萬
--7,400.8289
非流動資產合計
-10.44%993.1萬
-10.44%993.1萬
-35.53%1,002.4萬
-34.34%1,105.5萬
-16.79%1,078.7萬
-11.13%1,108.9萬
-11.13%1,108.9萬
32.60%1,554.8萬
37.33%1,683.7萬
5.08%1,296.28萬
總資產
-38.89%2,143.1萬
-38.89%2,143.1萬
-45.49%2,385.9萬
-44.93%2,755.8萬
43.07%3,114.1萬
47.69%3,507萬
47.69%3,507萬
75.27%4,376.9萬
92.33%5,004.5萬
-19.67%2,176.56萬
負債
流動負債
短期借款與資本租賃負債
-20.66%21.5萬
-20.66%21.5萬
-47.65%21.2萬
-48.65%20.9萬
-14.81%25.3萬
-9.36%27.1萬
-9.36%27.1萬
40.71%40.5萬
39.62%40.7萬
5.31%29.7萬
-短期資本租賃負債
-20.66%21.5萬
-20.66%21.5萬
-47.65%21.2萬
-48.65%20.9萬
-14.81%25.3萬
-9.36%27.1萬
-9.36%27.1萬
40.71%40.5萬
39.62%40.7萬
5.31%29.7萬
應付款項
-66.34%85.4萬
-66.34%85.4萬
-56.09%112.8萬
-55.86%163.3萬
--301.5萬
802.85%253.7萬
802.85%253.7萬
--256.9萬
--370萬
----
-應付帳款
-69.05%74.5萬
-69.05%74.5萬
-57.01%103萬
-57.18%153.5萬
--285.6萬
756.58%240.7萬
756.58%240.7萬
--239.6萬
--358.5萬
----
-應付稅費
-16.15%10.9萬
-16.15%10.9萬
-43.35%9.8萬
-14.78%9.8萬
--15.9萬
--13萬
--13萬
--17.3萬
--11.5萬
----
應計費用
-59.79%68萬
-59.79%68萬
-66.30%65萬
-45.58%96.7萬
--104.7萬
181.36%169.1萬
181.36%169.1萬
--192.9萬
--177.7萬
----
現行撥備
-30.13%26.9萬
-30.13%26.9萬
-34.72%32.9萬
-47.22%22.8萬
--24萬
--38.5萬
--38.5萬
--50.4萬
--43.2萬
----
養老金及其他退休福利計劃
-22.41%47.1萬
-22.41%47.1萬
-33.33%28.8萬
21.61%57.4萬
--75.8萬
366.92%60.7萬
366.92%60.7萬
--43.2萬
--47.2萬
----
遞延負債
--0
--0
-87.03%2.4萬
-89.81%3.2萬
--17萬
--16.8萬
--16.8萬
--18.5萬
--31.4萬
----
其他流動負債
-28.09%112.4萬
-28.09%112.4萬
-36.91%135.2萬
-32.44%188.9萬
--157.6萬
--156.3萬
--156.3萬
--214.3萬
--279.6萬
----
流動負債總額
-49.97%361.3萬
-49.97%361.3萬
-51.23%398.3萬
-44.11%553.2萬
469.35%705.9萬
450.88%722.2萬
450.88%722.2萬
577.97%816.7萬
1,518.18%989.8萬
14.47%123.98萬
非流動負債
長期借款與租賃負債
-5.15%193.4萬
-5.15%193.4萬
61.77%195.9萬
60.08%204.9萬
52.33%197.3萬
45.75%203.9萬
45.75%203.9萬
-15.73%121.1萬
-17.37%128萬
-18.57%129.52萬
-長期租賃負債
-5.15%193.4萬
-5.15%193.4萬
61.77%195.9萬
60.08%204.9萬
52.33%197.3萬
45.75%203.9萬
45.75%203.9萬
-15.73%121.1萬
-17.37%128萬
-18.57%129.52萬
長期撥備
----
----
----
--4.6萬
----
----
----
----
----
----
員工福利
-6.39%1,098.4萬
-6.39%1,098.4萬
-5.19%1,180.7萬
7.06%1,180.6萬
--1,103.5萬
--1,173.4萬
--1,173.4萬
--1,245.3萬
--1,102.7萬
----
遞延負債
15.75%105.8萬
15.75%105.8萬
-46.47%103萬
-36.27%102.8萬
--93萬
--91.4萬
--91.4萬
570.40%192.4萬
216.78%161.3萬
----
非流動負債總額
-4.84%1,397.6萬
-4.84%1,397.6萬
-5.08%1,479.6萬
7.25%1,492.9萬
976.11%1,393.8萬
949.82%1,468.7萬
949.82%1,468.7萬
804.19%1,558.8萬
576.27%1,392萬
-44.24%129.52萬
負債總額
-19.72%1,758.9萬
-19.72%1,758.9萬
-20.95%1,877.9萬
-14.09%2,046.1萬
728.27%2,099.7萬
708.45%2,190.9萬
708.45%2,190.9萬
711.14%2,375.5萬
792.05%2,381.8萬
-25.57%253.5萬
所有者權益
股本
0.61%2,262.4萬
0.61%2,262.4萬
1.05%2,262.2萬
2.72%2,260萬
81.83%2,250.3萬
66.35%2,248.6萬
66.35%2,248.6萬
81.99%2,238.8萬
74.62%2,200.2萬
0.25%1,237.56萬
-普通股股本
0.61%2,262.4萬
0.61%2,262.4萬
1.05%2,262.2萬
2.72%2,260萬
81.83%2,250.3萬
66.35%2,248.6萬
66.35%2,248.6萬
81.99%2,238.8萬
74.62%2,200.2萬
0.25%1,237.56萬
資本公積
-2.30%417萬
-2.30%417萬
-3.90%416.8萬
7.16%419萬
15.93%427.5萬
10.17%426.8萬
10.17%426.8萬
19.30%433.7萬
5.62%391萬
2.89%368.74萬
留存收益
-69.35%-2,050.8萬
-69.35%-2,050.8萬
-269.29%-1,904.8萬
-1,223.74%-1,722.7萬
-562.66%-1,465.5萬
-378.01%-1,211萬
-378.01%-1,211萬
-184.47%-515.8萬
-78.25%153.3萬
-59.18%316.75萬
不影響留存收益的損益
-64.80%-244.4萬
-64.80%-244.4萬
-71.41%-266.2萬
-102.46%-246.6萬
---197.9萬
-108.29%-148.3萬
-108.29%-148.3萬
---155.3萬
---121.8萬
----
股東權益總額
-70.81%384.2萬
-70.81%384.2萬
-74.62%508萬
-72.94%709.7萬
-47.25%1,014.4萬
-37.43%1,316.1萬
-37.43%1,316.1萬
-9.21%2,001.4萬
12.32%2,622.7萬
-18.82%1,923.05萬
總權益
-70.81%384.2萬
-70.81%384.2萬
-74.62%508萬
-72.94%709.7萬
-47.25%1,014.4萬
-37.43%1,316.1萬
-37.43%1,316.1萬
-9.21%2,001.4萬
12.32%2,622.7萬
-18.82%1,923.05萬
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
--
--
--
--
(FY)2025/12/31(Q4)2025/12/31(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
資產
流動資產
現金及現金等價物和短期投資 -55.43%730.7萬-55.43%730.7萬-57.38%852.4萬-66.43%933.3萬291.62%1,375.8萬145.48%1,639.3萬145.48%1,639.3萬139.38%1,999.8萬225.89%2,780.4萬-62.18%351.31萬
-現金和現金等價物 -55.43%730.7萬-55.43%730.7萬-57.38%852.4萬-66.43%933.3萬291.62%1,375.8萬145.48%1,639.3萬145.48%1,639.3萬139.38%1,999.8萬225.89%2,780.4萬-62.18%351.31萬
應收款項 -48.97%126.1萬-48.97%126.1萬-20.35%160.5萬105.39%278.3萬33.41%185.9萬752.07%247.1萬752.07%247.1萬157.25%201.5萬9.46%135.5萬-36.45%139.35萬
-應收賬款 -42.62%108.1萬-42.62%108.1萬-15.17%160.5萬124.80%278.3萬49.70%185.9萬549.66%188.4萬549.66%188.4萬161.66%189.2萬4.94%123.8萬-42.30%124.18萬
-應收稅費 -85.71%7.1萬-85.71%7.1萬--0--0--0--49.7萬--49.7萬--12.3萬--11.7萬----
-其他應收款 21.11%10.9萬21.11%10.9萬--------------9萬--9萬--------276.93%15.17萬
存貨 -51.43%130.7萬-51.43%130.7萬-46.79%175.9萬-40.39%182.1萬-30.58%245.5萬-32.88%269.1萬-32.88%269.1萬-16.33%330.6萬-21.31%305.5萬12.68%353.66萬
預付費用 -36.64%140.4萬-36.64%140.4萬-41.89%150.5萬228.03%224.7萬444.29%195.7萬1,144.94%221.6萬1,144.94%221.6萬1,542.29%259萬530.57%68.5萬160.14%35.96萬
持有待售資產 --3.7萬--3.7萬--28.6萬----------0--0------------
其他流動資產 -12.38%18.4萬-12.38%18.4萬-50.00%15.6萬3.24%31.9萬--32.5萬87.50%21萬87.50%21萬--31.2萬--30.9萬----
流動資產合計 -52.05%1,150萬-52.05%1,150萬-50.98%1,383.5萬-50.30%1,650.3萬131.22%2,035.4萬112.84%2,398.1萬112.84%2,398.1萬113.05%2,822.1萬141.33%3,320.8萬-40.35%880.27萬
非流動資產
固定資產淨額 -10.58%980.6萬-10.58%980.6萬-16.22%989.2萬-5.01%1,092.3萬-8.75%1,065.9萬-5.83%1,096.6萬-5.83%1,096.6萬7.02%1,180.7萬-0.43%1,149.9萬0.37%1,168.08萬
-固定資產 1.62%2,042.5萬1.62%2,042.5萬-11.17%2,005.7萬-3.55%2,092.1萬-8.16%1,988萬-6.29%2,009.9萬-6.29%2,009.9萬9.27%2,257.8萬3.00%2,169.2萬5.09%2,164.68萬
-累計折舊 -16.27%-1,061.9萬-16.27%-1,061.9萬5.63%-1,016.5萬1.91%-999.8萬7.48%-922.1萬6.84%-913.3萬6.84%-913.3萬-11.84%-1,077.1萬-7.17%-1,019.3萬-11.23%-996.6萬
長期應收款 ----------------------------15.91%72.9萬11.46%71.9萬15.24%72.84萬
長期預付費用 -------------------------------------3.26%5.5萬
商譽及其他無形資產 ----------------------0--023,595.30%180.7萬39,694.48%333.5萬-24.93%6,574.8964
-其他無形資產 ----------------------------23,595.30%180.7萬39,694.48%333.5萬-24.93%6,574.8964
非流動遞延資產 ----------------------0--0--107.9萬--95.2萬--48.46萬
其他非流動資產 1.63%12.5萬1.63%12.5萬4.76%13.2萬-60.24%13.2萬1,629.54%12.8萬1,437.50%12.3萬1,437.50%12.3萬--12.6萬--33.2萬--7,400.8289
非流動資產合計 -10.44%993.1萬-10.44%993.1萬-35.53%1,002.4萬-34.34%1,105.5萬-16.79%1,078.7萬-11.13%1,108.9萬-11.13%1,108.9萬32.60%1,554.8萬37.33%1,683.7萬5.08%1,296.28萬
總資產 -38.89%2,143.1萬-38.89%2,143.1萬-45.49%2,385.9萬-44.93%2,755.8萬43.07%3,114.1萬47.69%3,507萬47.69%3,507萬75.27%4,376.9萬92.33%5,004.5萬-19.67%2,176.56萬
負債
流動負債
短期借款與資本租賃負債 -20.66%21.5萬-20.66%21.5萬-47.65%21.2萬-48.65%20.9萬-14.81%25.3萬-9.36%27.1萬-9.36%27.1萬40.71%40.5萬39.62%40.7萬5.31%29.7萬
-短期資本租賃負債 -20.66%21.5萬-20.66%21.5萬-47.65%21.2萬-48.65%20.9萬-14.81%25.3萬-9.36%27.1萬-9.36%27.1萬40.71%40.5萬39.62%40.7萬5.31%29.7萬
應付款項 -66.34%85.4萬-66.34%85.4萬-56.09%112.8萬-55.86%163.3萬--301.5萬802.85%253.7萬802.85%253.7萬--256.9萬--370萬----
-應付帳款 -69.05%74.5萬-69.05%74.5萬-57.01%103萬-57.18%153.5萬--285.6萬756.58%240.7萬756.58%240.7萬--239.6萬--358.5萬----
-應付稅費 -16.15%10.9萬-16.15%10.9萬-43.35%9.8萬-14.78%9.8萬--15.9萬--13萬--13萬--17.3萬--11.5萬----
應計費用 -59.79%68萬-59.79%68萬-66.30%65萬-45.58%96.7萬--104.7萬181.36%169.1萬181.36%169.1萬--192.9萬--177.7萬----
現行撥備 -30.13%26.9萬-30.13%26.9萬-34.72%32.9萬-47.22%22.8萬--24萬--38.5萬--38.5萬--50.4萬--43.2萬----
養老金及其他退休福利計劃 -22.41%47.1萬-22.41%47.1萬-33.33%28.8萬21.61%57.4萬--75.8萬366.92%60.7萬366.92%60.7萬--43.2萬--47.2萬----
遞延負債 --0--0-87.03%2.4萬-89.81%3.2萬--17萬--16.8萬--16.8萬--18.5萬--31.4萬----
其他流動負債 -28.09%112.4萬-28.09%112.4萬-36.91%135.2萬-32.44%188.9萬--157.6萬--156.3萬--156.3萬--214.3萬--279.6萬----
流動負債總額 -49.97%361.3萬-49.97%361.3萬-51.23%398.3萬-44.11%553.2萬469.35%705.9萬450.88%722.2萬450.88%722.2萬577.97%816.7萬1,518.18%989.8萬14.47%123.98萬
非流動負債
長期借款與租賃負債 -5.15%193.4萬-5.15%193.4萬61.77%195.9萬60.08%204.9萬52.33%197.3萬45.75%203.9萬45.75%203.9萬-15.73%121.1萬-17.37%128萬-18.57%129.52萬
-長期租賃負債 -5.15%193.4萬-5.15%193.4萬61.77%195.9萬60.08%204.9萬52.33%197.3萬45.75%203.9萬45.75%203.9萬-15.73%121.1萬-17.37%128萬-18.57%129.52萬
長期撥備 --------------4.6萬------------------------
員工福利 -6.39%1,098.4萬-6.39%1,098.4萬-5.19%1,180.7萬7.06%1,180.6萬--1,103.5萬--1,173.4萬--1,173.4萬--1,245.3萬--1,102.7萬----
遞延負債 15.75%105.8萬15.75%105.8萬-46.47%103萬-36.27%102.8萬--93萬--91.4萬--91.4萬570.40%192.4萬216.78%161.3萬----
非流動負債總額 -4.84%1,397.6萬-4.84%1,397.6萬-5.08%1,479.6萬7.25%1,492.9萬976.11%1,393.8萬949.82%1,468.7萬949.82%1,468.7萬804.19%1,558.8萬576.27%1,392萬-44.24%129.52萬
負債總額 -19.72%1,758.9萬-19.72%1,758.9萬-20.95%1,877.9萬-14.09%2,046.1萬728.27%2,099.7萬708.45%2,190.9萬708.45%2,190.9萬711.14%2,375.5萬792.05%2,381.8萬-25.57%253.5萬
所有者權益
股本 0.61%2,262.4萬0.61%2,262.4萬1.05%2,262.2萬2.72%2,260萬81.83%2,250.3萬66.35%2,248.6萬66.35%2,248.6萬81.99%2,238.8萬74.62%2,200.2萬0.25%1,237.56萬
-普通股股本 0.61%2,262.4萬0.61%2,262.4萬1.05%2,262.2萬2.72%2,260萬81.83%2,250.3萬66.35%2,248.6萬66.35%2,248.6萬81.99%2,238.8萬74.62%2,200.2萬0.25%1,237.56萬
資本公積 -2.30%417萬-2.30%417萬-3.90%416.8萬7.16%419萬15.93%427.5萬10.17%426.8萬10.17%426.8萬19.30%433.7萬5.62%391萬2.89%368.74萬
留存收益 -69.35%-2,050.8萬-69.35%-2,050.8萬-269.29%-1,904.8萬-1,223.74%-1,722.7萬-562.66%-1,465.5萬-378.01%-1,211萬-378.01%-1,211萬-184.47%-515.8萬-78.25%153.3萬-59.18%316.75萬
不影響留存收益的損益 -64.80%-244.4萬-64.80%-244.4萬-71.41%-266.2萬-102.46%-246.6萬---197.9萬-108.29%-148.3萬-108.29%-148.3萬---155.3萬---121.8萬----
股東權益總額 -70.81%384.2萬-70.81%384.2萬-74.62%508萬-72.94%709.7萬-47.25%1,014.4萬-37.43%1,316.1萬-37.43%1,316.1萬-9.21%2,001.4萬12.32%2,622.7萬-18.82%1,923.05萬
總權益 -70.81%384.2萬-70.81%384.2萬-74.62%508萬-72.94%709.7萬-47.25%1,014.4萬-37.43%1,316.1萬-37.43%1,316.1萬-9.21%2,001.4萬12.32%2,622.7萬-18.82%1,923.05萬
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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