加拿大市場個股詳情

Fortune Minerals Ltd (FT)

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  • 0.110
  • +0.005+4.76%
延時15分鐘行情交易中 01/23 11:36 (美東)
6434.47萬總市值-5.50市盈率TTM

Fortune Minerals Ltd (FT) 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
233.73%287.51萬
1,319.81%46.16萬
385.33%109.31萬
136.38%159.23萬
136.38%159.23萬
1,755.19%86.15萬
-92.65%3.25萬
64.60%22.52萬
756.50%67.36萬
756.50%67.36萬
-現金和現金等價物
233.73%287.51萬
1,319.81%46.16萬
385.33%109.31萬
136.38%159.23萬
136.38%159.23萬
1,755.19%86.15萬
-92.65%3.25萬
64.60%22.52萬
756.50%67.36萬
756.50%67.36萬
應收款項
491.22%70.74萬
-2.96%39.34萬
809.93%34.96萬
2,673.76%73.03萬
2,673.76%73.03萬
730.04%11.97萬
1,253.20%40.54萬
-50.03%3.84萬
-67.93%2.63萬
-67.93%2.63萬
-應收賬款
491.22%70.74萬
-2.96%39.34萬
809.93%34.96萬
2,673.76%73.03萬
2,673.76%73.03萬
730.04%11.97萬
1,253.20%40.54萬
-50.03%3.84萬
-67.93%2.63萬
-67.93%2.63萬
預付費用
111.26%19.51萬
68.88%11.1萬
107.03%13.31萬
157.75%15.41萬
157.75%15.41萬
-15.45%9.23萬
-46.69%6.57萬
-51.20%6.43萬
15.02%5.98萬
15.02%5.98萬
流動資產合計
251.89%377.76萬
91.81%96.59萬
380.51%157.58萬
225.99%247.67萬
225.99%247.67萬
446.45%107.35萬
-19.01%50.36萬
-11.68%32.8萬
257.19%75.97萬
257.19%75.97萬
非流動資產
固定資產淨額
61.36%298.84萬
63.68%270.5萬
284.03%242.17萬
255.34%213.84萬
255.34%213.84萬
-96.01%185.2萬
-96.42%165.27萬
-98.63%63.06萬
18.78%60.18萬
18.78%60.18萬
-固定資產
23.80%626.12萬
23.13%596.12萬
48.86%566.12萬
42.66%536.12萬
42.66%536.12萬
-89.28%505.73萬
-89.69%484.13萬
-91.88%380.31萬
4.59%375.81萬
4.59%375.81萬
-累計折舊
-2.11%-327.28萬
-2.12%-325.62萬
-2.11%-323.95萬
-2.11%-322.28萬
-2.11%-322.28萬
-327.41%-320.53萬
-333.25%-318.87萬
-339.37%-317.25萬
-2.26%-315.63萬
-2.26%-315.63萬
長期預付費用
----
----
459.38%223.75萬
445.77%193.75萬
445.77%193.75萬
--163.75萬
--143.75萬
--40萬
86.84%35.5萬
86.84%35.5萬
商譽及其他無形資產
----
-35.00%2,115
-34.98%2,340
-34.99%2,564
-34.99%2,564
-34.99%2,909
-34.99%3,254
-34.99%3,599
-34.99%3,944
-34.99%3,944
-其他無形資產
----
-35.00%2,115
-34.98%2,340
-34.99%2,564
-34.99%2,564
-34.99%2,909
-34.99%3,254
-34.99%3,599
-34.99%3,944
-34.99%3,944
其他非流動資產
2.73%20.36萬
3.20%20.25萬
-0.05%20.14萬
0.33%20萬
0.33%20萬
16.02%19.82萬
16.01%19.62萬
30.35%20.14萬
11.52%19.93萬
11.52%19.93萬
非流動資產合計
55.69%319.2萬
57.26%290.75萬
215.25%262.31萬
191.89%233.84萬
191.89%233.84萬
-95.60%205.02萬
-96.01%184.89萬
-98.20%83.21萬
16.89%80.11萬
16.89%80.11萬
總資產
123.12%696.96萬
64.66%387.35萬
261.97%419.89萬
208.49%481.5萬
208.49%481.5萬
-93.32%312.37萬
-94.99%235.25萬
-97.51%116萬
73.80%156.08萬
73.80%156.08萬
負債
流動負債
短期借款與資本租賃負債
1,475.98%1,505.78萬
23.25%1,250.07萬
31.32%1,254.13萬
35.34%1,262.41萬
35.34%1,262.41萬
-89.39%95.55萬
16.99%1,014.25萬
14.46%955.04萬
16.23%932.81萬
16.23%932.81萬
-短期借款
1,569.38%1,499.52萬
23.33%1,243.95萬
31.44%1,248.15萬
35.48%1,256.57萬
35.48%1,256.57萬
-89.96%89.83萬
17.04%1,008.66萬
14.49%949.57萬
16.27%927.47萬
16.27%927.47萬
-短期資本租賃負債
9.35%6.26萬
9.41%6.12萬
9.46%5.98萬
9.52%5.85萬
9.52%5.85萬
9.58%5.72萬
9.64%5.59萬
9.70%5.47萬
9.77%5.34萬
9.77%5.34萬
遞延負債
52.04%219.31萬
--252.49萬
--246.01萬
--273.59萬
--273.59萬
--144.24萬
----
----
--0
--0
其他流動負債
----
----
----
----
----
-68.76%7.72萬
-64.03%8.99萬
--18.56萬
--20.14萬
--20.14萬
流動負債總額
529.57%1,753.96萬
38.84%1,541.64萬
55.68%1,549.36萬
64.13%1,594.82萬
64.13%1,594.82萬
-70.29%278.59萬
21.33%1,110.37萬
15.53%995.24萬
17.56%971.69萬
17.56%971.69萬
非流動負債
長期借款與租賃負債
-99.38%6.31萬
-91.88%7.91萬
-38.67%9.49萬
-34.56%11.07萬
-34.56%11.07萬
4,064.29%1,011.43萬
280.38%97.47萬
-42.56%15.48萬
-40.13%16.92萬
-40.13%16.92萬
-長期借款
----
----
----
----
----
16,547.73%998.86萬
1,290.60%83.44萬
----
----
----
-長期租賃負債
-49.77%6.31萬
-43.62%7.91萬
-38.67%9.49萬
-34.56%11.07萬
-34.56%11.07萬
-31.28%12.57萬
-28.50%14.03萬
-26.10%15.48萬
-23.99%16.92萬
-23.99%16.92萬
長期撥備
13.15%16.05萬
13.06%15.92萬
12.98%15.79萬
12.89%15.66萬
12.89%15.66萬
475.63%14.18萬
483.97%14.08萬
435.53%13.97萬
443.47%13.87萬
443.47%13.87萬
非流動負債總額
-97.82%22.36萬
-78.64%23.83萬
-14.16%25.28萬
-13.19%26.73萬
-13.19%26.73萬
3,733.81%1,025.61萬
297.89%111.54萬
-0.35%29.45萬
-0.08%30.79萬
-0.08%30.79萬
負債總額
36.20%1,776.32萬
28.12%1,565.46萬
53.67%1,574.64萬
61.75%1,621.55萬
61.75%1,621.55萬
35.22%1,304.21萬
29.55%1,221.92萬
15.01%1,024.69萬
16.93%1,002.48萬
16.93%1,002.48萬
所有者權益
股本
1.89%1.86億
0.84%1.84億
0.56%1.83億
0.37%1.82億
0.37%1.82億
0.76%1.83億
0.47%1.82億
0.55%1.82億
0.57%1.82億
0.57%1.82億
-普通股股本
1.89%1.86億
0.84%1.84億
0.56%1.83億
0.37%1.82億
0.37%1.82億
0.76%1.83億
0.47%1.82億
0.55%1.82億
0.57%1.82億
0.57%1.82億
留存收益
-2.57%-2.15億
-2.23%-2.14億
-1.90%-2.12億
-1.74%-2.11億
-1.74%-2.11億
-29.96%-2.1億
-30.42%-2.09億
-30.26%-2.08億
-1.39%-2.08億
-1.39%-2.08億
不影響留存收益的損益
6.19%1,832.67萬
6.22%1,833.3萬
1.61%1,753.67萬
1.00%1,743.15萬
1.00%1,743.15萬
-0.35%1,725.87萬
3.38%1,725.87萬
3.38%1,725.87萬
3.38%1,725.87萬
3.38%1,725.87萬
其他股本權益
----
--15.02萬
--19.22萬
-36.75%29.74萬
-36.75%29.74萬
----
----
----
--47.02萬
--47.02萬
股東權益總額
-8.82%-1,079.36萬
-19.40%-1,178.11萬
-27.08%-1,154.75萬
-34.69%-1,140.05萬
-34.69%-1,140.05萬
-126.71%-991.83萬
-126.27%-986.67萬
-124.07%-908.69萬
-10.27%-846.4萬
-10.27%-846.4萬
總權益
-8.82%-1,079.36萬
-19.40%-1,178.11萬
-27.08%-1,154.75萬
-34.69%-1,140.05萬
-34.69%-1,140.05萬
-126.71%-991.83萬
-126.27%-986.67萬
-124.07%-908.69萬
-10.27%-846.4萬
-10.27%-846.4萬
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
--
--
--
--
--
--
(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 233.73%287.51萬1,319.81%46.16萬385.33%109.31萬136.38%159.23萬136.38%159.23萬1,755.19%86.15萬-92.65%3.25萬64.60%22.52萬756.50%67.36萬756.50%67.36萬
-現金和現金等價物 233.73%287.51萬1,319.81%46.16萬385.33%109.31萬136.38%159.23萬136.38%159.23萬1,755.19%86.15萬-92.65%3.25萬64.60%22.52萬756.50%67.36萬756.50%67.36萬
應收款項 491.22%70.74萬-2.96%39.34萬809.93%34.96萬2,673.76%73.03萬2,673.76%73.03萬730.04%11.97萬1,253.20%40.54萬-50.03%3.84萬-67.93%2.63萬-67.93%2.63萬
-應收賬款 491.22%70.74萬-2.96%39.34萬809.93%34.96萬2,673.76%73.03萬2,673.76%73.03萬730.04%11.97萬1,253.20%40.54萬-50.03%3.84萬-67.93%2.63萬-67.93%2.63萬
預付費用 111.26%19.51萬68.88%11.1萬107.03%13.31萬157.75%15.41萬157.75%15.41萬-15.45%9.23萬-46.69%6.57萬-51.20%6.43萬15.02%5.98萬15.02%5.98萬
流動資產合計 251.89%377.76萬91.81%96.59萬380.51%157.58萬225.99%247.67萬225.99%247.67萬446.45%107.35萬-19.01%50.36萬-11.68%32.8萬257.19%75.97萬257.19%75.97萬
非流動資產
固定資產淨額 61.36%298.84萬63.68%270.5萬284.03%242.17萬255.34%213.84萬255.34%213.84萬-96.01%185.2萬-96.42%165.27萬-98.63%63.06萬18.78%60.18萬18.78%60.18萬
-固定資產 23.80%626.12萬23.13%596.12萬48.86%566.12萬42.66%536.12萬42.66%536.12萬-89.28%505.73萬-89.69%484.13萬-91.88%380.31萬4.59%375.81萬4.59%375.81萬
-累計折舊 -2.11%-327.28萬-2.12%-325.62萬-2.11%-323.95萬-2.11%-322.28萬-2.11%-322.28萬-327.41%-320.53萬-333.25%-318.87萬-339.37%-317.25萬-2.26%-315.63萬-2.26%-315.63萬
長期預付費用 --------459.38%223.75萬445.77%193.75萬445.77%193.75萬--163.75萬--143.75萬--40萬86.84%35.5萬86.84%35.5萬
商譽及其他無形資產 -----35.00%2,115-34.98%2,340-34.99%2,564-34.99%2,564-34.99%2,909-34.99%3,254-34.99%3,599-34.99%3,944-34.99%3,944
-其他無形資產 -----35.00%2,115-34.98%2,340-34.99%2,564-34.99%2,564-34.99%2,909-34.99%3,254-34.99%3,599-34.99%3,944-34.99%3,944
其他非流動資產 2.73%20.36萬3.20%20.25萬-0.05%20.14萬0.33%20萬0.33%20萬16.02%19.82萬16.01%19.62萬30.35%20.14萬11.52%19.93萬11.52%19.93萬
非流動資產合計 55.69%319.2萬57.26%290.75萬215.25%262.31萬191.89%233.84萬191.89%233.84萬-95.60%205.02萬-96.01%184.89萬-98.20%83.21萬16.89%80.11萬16.89%80.11萬
總資產 123.12%696.96萬64.66%387.35萬261.97%419.89萬208.49%481.5萬208.49%481.5萬-93.32%312.37萬-94.99%235.25萬-97.51%116萬73.80%156.08萬73.80%156.08萬
負債
流動負債
短期借款與資本租賃負債 1,475.98%1,505.78萬23.25%1,250.07萬31.32%1,254.13萬35.34%1,262.41萬35.34%1,262.41萬-89.39%95.55萬16.99%1,014.25萬14.46%955.04萬16.23%932.81萬16.23%932.81萬
-短期借款 1,569.38%1,499.52萬23.33%1,243.95萬31.44%1,248.15萬35.48%1,256.57萬35.48%1,256.57萬-89.96%89.83萬17.04%1,008.66萬14.49%949.57萬16.27%927.47萬16.27%927.47萬
-短期資本租賃負債 9.35%6.26萬9.41%6.12萬9.46%5.98萬9.52%5.85萬9.52%5.85萬9.58%5.72萬9.64%5.59萬9.70%5.47萬9.77%5.34萬9.77%5.34萬
遞延負債 52.04%219.31萬--252.49萬--246.01萬--273.59萬--273.59萬--144.24萬----------0--0
其他流動負債 ---------------------68.76%7.72萬-64.03%8.99萬--18.56萬--20.14萬--20.14萬
流動負債總額 529.57%1,753.96萬38.84%1,541.64萬55.68%1,549.36萬64.13%1,594.82萬64.13%1,594.82萬-70.29%278.59萬21.33%1,110.37萬15.53%995.24萬17.56%971.69萬17.56%971.69萬
非流動負債
長期借款與租賃負債 -99.38%6.31萬-91.88%7.91萬-38.67%9.49萬-34.56%11.07萬-34.56%11.07萬4,064.29%1,011.43萬280.38%97.47萬-42.56%15.48萬-40.13%16.92萬-40.13%16.92萬
-長期借款 --------------------16,547.73%998.86萬1,290.60%83.44萬------------
-長期租賃負債 -49.77%6.31萬-43.62%7.91萬-38.67%9.49萬-34.56%11.07萬-34.56%11.07萬-31.28%12.57萬-28.50%14.03萬-26.10%15.48萬-23.99%16.92萬-23.99%16.92萬
長期撥備 13.15%16.05萬13.06%15.92萬12.98%15.79萬12.89%15.66萬12.89%15.66萬475.63%14.18萬483.97%14.08萬435.53%13.97萬443.47%13.87萬443.47%13.87萬
非流動負債總額 -97.82%22.36萬-78.64%23.83萬-14.16%25.28萬-13.19%26.73萬-13.19%26.73萬3,733.81%1,025.61萬297.89%111.54萬-0.35%29.45萬-0.08%30.79萬-0.08%30.79萬
負債總額 36.20%1,776.32萬28.12%1,565.46萬53.67%1,574.64萬61.75%1,621.55萬61.75%1,621.55萬35.22%1,304.21萬29.55%1,221.92萬15.01%1,024.69萬16.93%1,002.48萬16.93%1,002.48萬
所有者權益
股本 1.89%1.86億0.84%1.84億0.56%1.83億0.37%1.82億0.37%1.82億0.76%1.83億0.47%1.82億0.55%1.82億0.57%1.82億0.57%1.82億
-普通股股本 1.89%1.86億0.84%1.84億0.56%1.83億0.37%1.82億0.37%1.82億0.76%1.83億0.47%1.82億0.55%1.82億0.57%1.82億0.57%1.82億
留存收益 -2.57%-2.15億-2.23%-2.14億-1.90%-2.12億-1.74%-2.11億-1.74%-2.11億-29.96%-2.1億-30.42%-2.09億-30.26%-2.08億-1.39%-2.08億-1.39%-2.08億
不影響留存收益的損益 6.19%1,832.67萬6.22%1,833.3萬1.61%1,753.67萬1.00%1,743.15萬1.00%1,743.15萬-0.35%1,725.87萬3.38%1,725.87萬3.38%1,725.87萬3.38%1,725.87萬3.38%1,725.87萬
其他股本權益 ------15.02萬--19.22萬-36.75%29.74萬-36.75%29.74萬--------------47.02萬--47.02萬
股東權益總額 -8.82%-1,079.36萬-19.40%-1,178.11萬-27.08%-1,154.75萬-34.69%-1,140.05萬-34.69%-1,140.05萬-126.71%-991.83萬-126.27%-986.67萬-124.07%-908.69萬-10.27%-846.4萬-10.27%-846.4萬
總權益 -8.82%-1,079.36萬-19.40%-1,178.11萬-27.08%-1,154.75萬-34.69%-1,140.05萬-34.69%-1,140.05萬-126.71%-991.83萬-126.27%-986.67萬-124.07%-908.69萬-10.27%-846.4萬-10.27%-846.4萬
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------------

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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