美股市場個股詳情

Draganfly (DPRO)

添加自選
  • 5.340
  • -0.290-5.15%
收盤價 05/15 16:00 (美東)
  • 5.300
  • -0.040-0.75%
盤後 19:55 (美東)
1.95億總市值-7.33市盈率TTM

Draganfly (DPRO) 資產負債表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2026/03/31
(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
資產
流動資產
現金及現金等價物和短期投資
6,830.04%1.47億
1,341.95%9,015.68萬
1,341.95%9,015.68萬
1,648.09%6,988.13萬
326.63%2,257.11萬
-51.01%212.61萬
102.11%625.24萬
102.11%625.24萬
62.70%399.76萬
-21.28%529.05萬
-現金和現金等價物
6,830.04%1.47億
1,341.95%9,015.68萬
1,341.95%9,015.68萬
1,648.09%6,988.13萬
326.63%2,257.11萬
-51.01%212.61萬
102.11%625.24萬
102.11%625.24萬
62.70%399.76萬
-21.28%529.05萬
應收款項
100.27%115.69萬
81.65%104.16萬
81.65%104.16萬
46.29%124.96萬
28.64%113萬
17.75%57.77萬
-11.73%57.34萬
-11.73%57.34萬
-25.55%85.42萬
-21.86%87.84萬
-應收賬款
42.41%82.27萬
65.32%94.79萬
65.32%94.79萬
32.97%113.58萬
16.99%102.76萬
17.75%57.77萬
-6.07%57.34萬
-6.07%57.34萬
-18.66%85.42萬
-9.70%87.84萬
-應收稅費
--33.43萬
--9.36萬
--9.36萬
--11.38萬
--10.24萬
----
----
----
----
----
存貨
291.75%771.18萬
154.73%390.31萬
154.73%390.31萬
94.03%293.06萬
63.46%257.63萬
34.87%196.85萬
-4.03%153.23萬
-4.03%153.23萬
-17.98%151.04萬
-4.13%157.61萬
預付費用
184.61%335.65萬
556.59%475.71萬
556.59%475.71萬
96.78%191.36萬
105.16%132.45萬
9.81%117.93萬
-46.02%72.45萬
-46.02%72.45萬
-46.72%97.25萬
-52.12%64.56萬
流動資產合計
2,626.85%1.6億
999.45%9,985.86萬
999.45%9,985.86萬
935.85%7,597.51萬
228.96%2,760.18萬
-20.54%585.16萬
35.93%908.26萬
35.93%908.26萬
0.87%733.46萬
-22.58%839.07萬
非流動資產
固定資產淨額
78.06%150.8萬
57.64%142.17萬
57.64%142.17萬
7.22%104.61萬
-30.40%78.17萬
-31.62%84.69萬
-35.69%90.19萬
-35.69%90.19萬
-35.27%97.57萬
-18.24%112.31萬
-固定資產
118.84%360.23萬
28.20%350.23萬
28.20%350.23萬
9.59%183.2萬
-9.72%161.62萬
-12.71%164.61萬
-0.43%273.2萬
-0.43%273.2萬
-20.68%167.17萬
-7.59%179.02萬
-累計折舊
-162.06%-209.42萬
-13.69%-208.06萬
-13.69%-208.06萬
-12.91%-78.59萬
-25.09%-83.45萬
-23.49%-79.91萬
-36.44%-183.01萬
-36.44%-183.01萬
-15.96%-69.6萬
-18.39%-66.71萬
商譽及其他無形資產
-20.00%3.43萬
-20.00%3.61萬
-20.00%3.61萬
-20.00%3.84萬
-20.00%4.06萬
-20.00%4.29萬
-20.00%4.51萬
-20.00%4.51萬
-68.62%4.8萬
-68.62%5.08萬
-其他無形資產
-20.00%3.43萬
-20.00%3.61萬
-20.00%3.61萬
--3.84萬
-20.00%4.06萬
-20.00%4.29萬
-20.00%4.51萬
-20.00%4.51萬
----
-68.62%5.08萬
投資和預付款
33.14%2.86萬
399.99%7.14萬
399.99%7.14萬
49.99%2.14萬
-84.10%2.86萬
-87.97%2.15萬
-92.46%1.43萬
-92.46%1.43萬
-93.09%1.43萬
-37.93%17.97萬
長期應收票據
----
----
----
----
--0
----
----
----
----
----
長期應收款
----
----
----
----
----
----
----
----
--15.62萬
--15.62萬
長期預付費用
----
--0
--0
----
----
--15.62萬
--15.62萬
--15.62萬
----
----
非流動資產合計
47.16%157.09萬
36.84%152.92萬
36.84%152.92萬
-7.39%110.59萬
-43.64%85.09萬
-34.38%106.75萬
-32.20%111.75萬
-32.20%111.75萬
-36.03%119.41萬
-17.27%150.99萬
總資產
2,228.86%1.61億
893.99%1.01億
893.99%1.01億
803.78%7,708.11萬
187.39%2,845.27萬
-23.04%691.91萬
22.45%1,020.01萬
22.45%1,020.01萬
-6.67%852.87萬
-21.81%990.05萬
負債
流動負債
應付款項
158.90%113.87萬
9.43%66.74萬
9.43%66.74萬
-63.78%80.16萬
-10.26%121.29萬
-63.14%43.98萬
-52.85%60.99萬
-52.85%60.99萬
108.63%221.34萬
255.89%135.16萬
-應付賬款
158.90%113.87萬
9.43%66.74萬
9.43%66.74萬
-63.61%80.16萬
-7.97%121.29萬
-62.07%43.98萬
-51.58%60.99萬
-51.58%60.99萬
114.42%220.26萬
280.82%131.79萬
-應付關聯方款項
----
----
----
----
----
----
----
----
--1.09萬
----
-其他應付款
----
----
----
----
----
----
----
----
----
0.00%3.37萬
應計費用
52.68%312.16萬
52.57%272.99萬
52.57%272.99萬
--219.61萬
41.20%135.71萬
69.85%204.45萬
32.97%178.93萬
32.97%178.93萬
----
-56.82%96.11萬
短期借款與租賃負債
-20.30%12.59萬
-6.83%14.36萬
-6.83%14.36萬
-28.08%15.1萬
-40.45%15.83萬
-50.67%15.8萬
-65.52%15.41萬
-65.52%15.41萬
-53.48%21萬
-54.02%26.57萬
-短期借款
----
----
----
----
----
----
----
----
----
-97.99%1,686
-短期租賃負債
-20.30%12.59萬
-6.83%14.36萬
-6.83%14.36萬
-28.08%15.1萬
-40.06%15.83萬
-50.15%15.8萬
-57.42%15.41萬
-57.42%15.41萬
-42.63%21萬
-46.54%26.4萬
遞延負債
6.46%49.37萬
20.22%58.29萬
20.22%58.29萬
127.78%25.01萬
123.34%26.85萬
488.27%46.37萬
315.00%48.48萬
315.00%48.48萬
4.93%10.98萬
-6.28%12.02萬
其他流動負債
-83.87%32.91萬
-77.60%49.25萬
-77.60%49.25萬
142.58%303.71萬
-76.33%222.06萬
-49.42%204.03萬
-47.62%219.81萬
-47.62%219.81萬
--125.2萬
--938.3萬
流動負債總額
1.22%520.9萬
-11.84%461.63萬
-11.84%461.63萬
70.03%643.59萬
-56.82%521.74萬
-24.65%514.64萬
-29.23%523.63萬
-29.23%523.63萬
-17.80%378.52萬
264.82%1,208.16萬
非流動負債
長期借款與租賃負債
-54.07%10.7萬
-52.44%13.03萬
-52.44%13.03萬
-48.12%16.28萬
-45.10%19.46萬
-40.42%23.29萬
-36.01%27.39萬
-36.01%27.39萬
-40.10%31.38萬
-41.17%35.45萬
-長期租賃負債
-54.07%10.7萬
-52.44%13.03萬
-52.44%13.03萬
-48.12%16.28萬
-45.10%19.46萬
-40.42%23.29萬
-36.01%27.39萬
-36.01%27.39萬
-40.10%31.38萬
-41.00%35.45萬
遞延負債
-40.74%3.74萬
-34.67%4.45萬
-34.67%4.45萬
-27.32%4.99萬
-36.23%5.52萬
-30.94%6.32萬
-28.70%6.81萬
-28.70%6.81萬
-16.39%6.87萬
--8.66萬
非流動負債總額
-51.23%14.44萬
-48.90%17.48萬
-48.90%17.48萬
-44.39%21.27萬
-43.36%24.98萬
-38.62%29.61萬
-34.68%34.2萬
-34.68%34.2萬
-36.89%38.25萬
-26.80%44.11萬
總負債
-1.64%535.34萬
-14.11%479.11萬
-14.11%479.11萬
59.53%664.86萬
-56.34%546.72萬
-25.57%544.24萬
-29.59%557.83萬
-29.59%557.83萬
-20.02%416.78萬
219.93%1,252.27萬
所有者權益
股本
161.97%2.91億
107.42%2.3億
107.42%2.3億
77.42%1.88億
32.54%1.36億
11.20%1.11億
14.08%1.11億
14.08%1.11億
11.17%1.06億
8.04%1.02億
-普通股股本
161.97%2.91億
107.42%2.3億
107.42%2.3億
77.42%1.88億
32.54%1.36億
11.20%1.11億
14.08%1.11億
14.08%1.11億
11.17%1.06億
8.04%1.02億
留存收益
-20.83%-1.46億
-19.56%-1.4億
-19.56%-1.4億
-16.04%-1.31億
-11.65%-1.26億
-14.64%-1.21億
-13.40%-1.17億
-13.40%-1.17億
-13.42%-1.13億
-19.79%-1.13億
不影響留存收益的損益
-51.96%-21.12萬
1.01%-12.88萬
1.01%-12.88萬
-180.44%-38.17萬
-547.50%-12.65萬
-504.64%-13.9萬
-336.74%-13.01萬
-336.74%-13.01萬
-332.97%-13.61萬
-80.07%2.83萬
其他權益
-5.22%1,069.46萬
-34.87%747.4萬
-34.87%747.4萬
19.79%1,323.6萬
74.29%1,297.5萬
59.54%1,128.35萬
67.02%1,147.47萬
67.02%1,147.47萬
42.59%1,104.95萬
-3.80%744.44萬
股東權益總額
10,449.73%1.56億
1,990.03%9,659.68萬
1,990.03%9,659.68萬
1,515.07%7,043.24萬
976.60%2,298.55萬
-12.03%147.66萬
1,033.58%462.18萬
1,033.58%462.18萬
11.05%436.1萬
-129.97%-262.21萬
總權益
10,449.73%1.56億
1,990.03%9,659.68萬
1,990.03%9,659.68萬
1,515.07%7,043.24萬
976.60%2,298.55萬
-12.03%147.66萬
1,033.58%462.18萬
1,033.58%462.18萬
11.05%436.1萬
-129.97%-262.21萬
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
--
--
--
--
帶解釋段的無保留意見
--
--
--
(Q1)2026/03/31(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
資產
流動資產
現金及現金等價物和短期投資 6,830.04%1.47億1,341.95%9,015.68萬1,341.95%9,015.68萬1,648.09%6,988.13萬326.63%2,257.11萬-51.01%212.61萬102.11%625.24萬102.11%625.24萬62.70%399.76萬-21.28%529.05萬
-現金和現金等價物 6,830.04%1.47億1,341.95%9,015.68萬1,341.95%9,015.68萬1,648.09%6,988.13萬326.63%2,257.11萬-51.01%212.61萬102.11%625.24萬102.11%625.24萬62.70%399.76萬-21.28%529.05萬
應收款項 100.27%115.69萬81.65%104.16萬81.65%104.16萬46.29%124.96萬28.64%113萬17.75%57.77萬-11.73%57.34萬-11.73%57.34萬-25.55%85.42萬-21.86%87.84萬
-應收賬款 42.41%82.27萬65.32%94.79萬65.32%94.79萬32.97%113.58萬16.99%102.76萬17.75%57.77萬-6.07%57.34萬-6.07%57.34萬-18.66%85.42萬-9.70%87.84萬
-應收稅費 --33.43萬--9.36萬--9.36萬--11.38萬--10.24萬--------------------
存貨 291.75%771.18萬154.73%390.31萬154.73%390.31萬94.03%293.06萬63.46%257.63萬34.87%196.85萬-4.03%153.23萬-4.03%153.23萬-17.98%151.04萬-4.13%157.61萬
預付費用 184.61%335.65萬556.59%475.71萬556.59%475.71萬96.78%191.36萬105.16%132.45萬9.81%117.93萬-46.02%72.45萬-46.02%72.45萬-46.72%97.25萬-52.12%64.56萬
流動資產合計 2,626.85%1.6億999.45%9,985.86萬999.45%9,985.86萬935.85%7,597.51萬228.96%2,760.18萬-20.54%585.16萬35.93%908.26萬35.93%908.26萬0.87%733.46萬-22.58%839.07萬
非流動資產
固定資產淨額 78.06%150.8萬57.64%142.17萬57.64%142.17萬7.22%104.61萬-30.40%78.17萬-31.62%84.69萬-35.69%90.19萬-35.69%90.19萬-35.27%97.57萬-18.24%112.31萬
-固定資產 118.84%360.23萬28.20%350.23萬28.20%350.23萬9.59%183.2萬-9.72%161.62萬-12.71%164.61萬-0.43%273.2萬-0.43%273.2萬-20.68%167.17萬-7.59%179.02萬
-累計折舊 -162.06%-209.42萬-13.69%-208.06萬-13.69%-208.06萬-12.91%-78.59萬-25.09%-83.45萬-23.49%-79.91萬-36.44%-183.01萬-36.44%-183.01萬-15.96%-69.6萬-18.39%-66.71萬
商譽及其他無形資產 -20.00%3.43萬-20.00%3.61萬-20.00%3.61萬-20.00%3.84萬-20.00%4.06萬-20.00%4.29萬-20.00%4.51萬-20.00%4.51萬-68.62%4.8萬-68.62%5.08萬
-其他無形資產 -20.00%3.43萬-20.00%3.61萬-20.00%3.61萬--3.84萬-20.00%4.06萬-20.00%4.29萬-20.00%4.51萬-20.00%4.51萬-----68.62%5.08萬
投資和預付款 33.14%2.86萬399.99%7.14萬399.99%7.14萬49.99%2.14萬-84.10%2.86萬-87.97%2.15萬-92.46%1.43萬-92.46%1.43萬-93.09%1.43萬-37.93%17.97萬
長期應收票據 ------------------0--------------------
長期應收款 ----------------------------------15.62萬--15.62萬
長期預付費用 ------0--0----------15.62萬--15.62萬--15.62萬--------
非流動資產合計 47.16%157.09萬36.84%152.92萬36.84%152.92萬-7.39%110.59萬-43.64%85.09萬-34.38%106.75萬-32.20%111.75萬-32.20%111.75萬-36.03%119.41萬-17.27%150.99萬
總資產 2,228.86%1.61億893.99%1.01億893.99%1.01億803.78%7,708.11萬187.39%2,845.27萬-23.04%691.91萬22.45%1,020.01萬22.45%1,020.01萬-6.67%852.87萬-21.81%990.05萬
負債
流動負債
應付款項 158.90%113.87萬9.43%66.74萬9.43%66.74萬-63.78%80.16萬-10.26%121.29萬-63.14%43.98萬-52.85%60.99萬-52.85%60.99萬108.63%221.34萬255.89%135.16萬
-應付賬款 158.90%113.87萬9.43%66.74萬9.43%66.74萬-63.61%80.16萬-7.97%121.29萬-62.07%43.98萬-51.58%60.99萬-51.58%60.99萬114.42%220.26萬280.82%131.79萬
-應付關聯方款項 ----------------------------------1.09萬----
-其他應付款 ------------------------------------0.00%3.37萬
應計費用 52.68%312.16萬52.57%272.99萬52.57%272.99萬--219.61萬41.20%135.71萬69.85%204.45萬32.97%178.93萬32.97%178.93萬-----56.82%96.11萬
短期借款與租賃負債 -20.30%12.59萬-6.83%14.36萬-6.83%14.36萬-28.08%15.1萬-40.45%15.83萬-50.67%15.8萬-65.52%15.41萬-65.52%15.41萬-53.48%21萬-54.02%26.57萬
-短期借款 -------------------------------------97.99%1,686
-短期租賃負債 -20.30%12.59萬-6.83%14.36萬-6.83%14.36萬-28.08%15.1萬-40.06%15.83萬-50.15%15.8萬-57.42%15.41萬-57.42%15.41萬-42.63%21萬-46.54%26.4萬
遞延負債 6.46%49.37萬20.22%58.29萬20.22%58.29萬127.78%25.01萬123.34%26.85萬488.27%46.37萬315.00%48.48萬315.00%48.48萬4.93%10.98萬-6.28%12.02萬
其他流動負債 -83.87%32.91萬-77.60%49.25萬-77.60%49.25萬142.58%303.71萬-76.33%222.06萬-49.42%204.03萬-47.62%219.81萬-47.62%219.81萬--125.2萬--938.3萬
流動負債總額 1.22%520.9萬-11.84%461.63萬-11.84%461.63萬70.03%643.59萬-56.82%521.74萬-24.65%514.64萬-29.23%523.63萬-29.23%523.63萬-17.80%378.52萬264.82%1,208.16萬
非流動負債
長期借款與租賃負債 -54.07%10.7萬-52.44%13.03萬-52.44%13.03萬-48.12%16.28萬-45.10%19.46萬-40.42%23.29萬-36.01%27.39萬-36.01%27.39萬-40.10%31.38萬-41.17%35.45萬
-長期租賃負債 -54.07%10.7萬-52.44%13.03萬-52.44%13.03萬-48.12%16.28萬-45.10%19.46萬-40.42%23.29萬-36.01%27.39萬-36.01%27.39萬-40.10%31.38萬-41.00%35.45萬
遞延負債 -40.74%3.74萬-34.67%4.45萬-34.67%4.45萬-27.32%4.99萬-36.23%5.52萬-30.94%6.32萬-28.70%6.81萬-28.70%6.81萬-16.39%6.87萬--8.66萬
非流動負債總額 -51.23%14.44萬-48.90%17.48萬-48.90%17.48萬-44.39%21.27萬-43.36%24.98萬-38.62%29.61萬-34.68%34.2萬-34.68%34.2萬-36.89%38.25萬-26.80%44.11萬
總負債 -1.64%535.34萬-14.11%479.11萬-14.11%479.11萬59.53%664.86萬-56.34%546.72萬-25.57%544.24萬-29.59%557.83萬-29.59%557.83萬-20.02%416.78萬219.93%1,252.27萬
所有者權益
股本 161.97%2.91億107.42%2.3億107.42%2.3億77.42%1.88億32.54%1.36億11.20%1.11億14.08%1.11億14.08%1.11億11.17%1.06億8.04%1.02億
-普通股股本 161.97%2.91億107.42%2.3億107.42%2.3億77.42%1.88億32.54%1.36億11.20%1.11億14.08%1.11億14.08%1.11億11.17%1.06億8.04%1.02億
留存收益 -20.83%-1.46億-19.56%-1.4億-19.56%-1.4億-16.04%-1.31億-11.65%-1.26億-14.64%-1.21億-13.40%-1.17億-13.40%-1.17億-13.42%-1.13億-19.79%-1.13億
不影響留存收益的損益 -51.96%-21.12萬1.01%-12.88萬1.01%-12.88萬-180.44%-38.17萬-547.50%-12.65萬-504.64%-13.9萬-336.74%-13.01萬-336.74%-13.01萬-332.97%-13.61萬-80.07%2.83萬
其他權益 -5.22%1,069.46萬-34.87%747.4萬-34.87%747.4萬19.79%1,323.6萬74.29%1,297.5萬59.54%1,128.35萬67.02%1,147.47萬67.02%1,147.47萬42.59%1,104.95萬-3.80%744.44萬
股東權益總額 10,449.73%1.56億1,990.03%9,659.68萬1,990.03%9,659.68萬1,515.07%7,043.24萬976.60%2,298.55萬-12.03%147.66萬1,033.58%462.18萬1,033.58%462.18萬11.05%436.1萬-129.97%-262.21萬
總權益 10,449.73%1.56億1,990.03%9,659.68萬1,990.03%9,659.68萬1,515.07%7,043.24萬976.60%2,298.55萬-12.03%147.66萬1,033.58%462.18萬1,033.58%462.18萬11.05%436.1萬-129.97%-262.21萬
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--------帶解釋段的無保留意見------
熱門市場機會
熱門中概股
查看更多
中東戰火燃至股市!投資者該如何應對?
據Axios報道,當地時間週日,特朗普拒絕伊朗最新停火提案,伊朗隨即回擊:沒人會爲了取悅特朗普而草擬方案,以色列總理稱軍事行動尚未結束。週二,伊朗與伊拉克、巴基斯坦據悉已達成祕密協議,允許海灣石油和LNG經霍爾木茲海峽運輸,標誌着伊朗從全面封鎖轉向系統性管控,多國正排隊洽談通航。 展开