加拿大市場個股詳情

Simply Solventless Concentrates Ltd (HASH)

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  • 0.170
  • +0.010+6.25%
延時15分鐘行情交易中 01/23 09:34 (美東)
1963.55萬總市值2.62市盈率TTM

Simply Solventless Concentrates Ltd (HASH) 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
68.93%89.95萬
1,283.49%151.57萬
703.50%108.83萬
2,230.73%188.51萬
2,230.73%188.51萬
167.51%53.25萬
-69.42%10.96萬
--13.55萬
-65.24%8.09萬
-65.24%8.09萬
-現金和現金等價物
68.93%89.95萬
1,283.49%151.57萬
703.50%108.83萬
2,230.73%188.51萬
2,230.73%188.51萬
167.51%53.25萬
-69.42%10.96萬
--13.55萬
-65.24%8.09萬
-65.24%8.09萬
應收款項
201.32%727.19萬
710.87%881.65萬
438.10%601.31萬
639.75%393.46萬
639.75%393.46萬
363.13%241.34萬
113.03%108.73萬
--111.75萬
15.11%53.19萬
15.11%53.19萬
-應收賬款
127.84%559.23萬
718.28%898.62萬
443.03%609.51萬
604.13%378萬
604.13%378萬
363.38%245.45萬
54.28%109.82萬
--112.24萬
-5.48%53.68萬
-5.48%53.68萬
-其他應收款
--190.04萬
--5.11萬
761.39%5.11萬
4,745.49%28.77萬
4,745.49%28.77萬
----
----
--5,937
-93.92%5,937
-93.92%5,937
-應收賬款調整額
-436.70%-22.09萬
-1,927.11%-22.09萬
-1,122.13%-13.32萬
-1,122.13%-13.32萬
-1,122.13%-13.32萬
-277.70%-4.12萬
94.65%-1.09萬
---1.09萬
94.65%-1.09萬
94.65%-1.09萬
存貨
37.15%2,217.46萬
70.00%2,108.16萬
123.11%2,128萬
108.47%1,609.62萬
108.47%1,609.62萬
272.43%1,616.77萬
254.14%1,240.07萬
--953.81萬
203.39%772.13萬
203.39%772.13萬
預付費用
63.70%142.4萬
365.86%139.39萬
1,145.64%117.63萬
1,527.96%138.51萬
1,527.96%138.51萬
161.74%86.98萬
-6.97%29.92萬
--9.44萬
-55.89%8.51萬
-55.89%8.51萬
其他流動資產
--101.18萬
----
----
----
----
----
----
----
----
----
流動資產合計
64.05%3,278.18萬
136.08%3,280.77萬
171.54%2,955.77萬
176.76%2,330.09萬
176.76%2,330.09萬
270.24%1,998.34萬
195.94%1,389.68萬
--1,088.54萬
142.80%841.91萬
142.80%841.91萬
非流動資產
固定資產淨額
652.82%1,535.52萬
837.31%1,596.21萬
1,284.44%2,324.8萬
97.46%347.59萬
97.46%347.59萬
8.84%203.97萬
-13.74%170.3萬
--167.92萬
-75.74%176.03萬
-75.74%176.03萬
-固定資產
656.48%1,904.83萬
808.54%1,935.14萬
2,026.90%4,386.61萬
202.59%636.48萬
202.59%636.48萬
15.51%251.8萬
-5.01%212.99萬
--206.24萬
-72.25%210.34萬
-72.25%210.34萬
-累計折舊
-672.07%-369.32萬
-693.80%-338.93萬
-5,280.37%-2,061.81萬
-742.06%-288.89萬
-742.06%-288.89萬
-56.38%-47.83萬
-59.29%-42.7萬
---38.32萬
-5.98%-34.31萬
-5.98%-34.31萬
商譽及其他無形資產
398.37%1,212.31萬
3,142.62%1,177.31萬
20,396.36%1,177.31萬
--1,177.31萬
--1,177.31萬
--243.26萬
--36.31萬
--5.74萬
--0
--0
-其他無形資產
398.37%1,212.31萬
3,142.62%1,177.31萬
20,396.36%1,177.31萬
--1,177.31萬
--1,177.31萬
--243.26萬
--36.31萬
--5.74萬
----
----
其他非流動資產
----
----
--5.63萬
0.00%6.4萬
0.00%6.4萬
----
----
----
--6.4萬
--6.4萬
非流動資產合計
514.42%2,747.83萬
1,242.43%2,773.52萬
1,919.80%3,507.73萬
739.38%1,531.3萬
739.38%1,531.3萬
138.64%447.22萬
4.65%206.6萬
--173.67萬
-74.86%182.43萬
-74.86%182.43萬
總資產
146.41%6,026.01萬
279.27%6,054.28萬
357.72%5,777.38萬
276.96%3,861.4萬
276.96%3,861.4萬
236.31%2,445.56萬
139.32%1,596.28萬
--1,262.21萬
-4.47%1,024.34萬
-4.47%1,024.34萬
負債
流動負債
短期借款與資本租賃負債
347.42%409.53萬
259.34%438.29萬
535.02%673.35萬
1,422.47%855.43萬
1,422.47%855.43萬
166.18%91.53萬
142.69%121.97萬
--106.03萬
1,663.57%56.19萬
1,663.57%56.19萬
-短期借款
351.16%260.25萬
202.99%292.46萬
551.04%528.01萬
2,475.87%807.99萬
2,475.87%807.99萬
516.02%57.68萬
273.14%96.52萬
--81.1萬
--31.37萬
--31.37萬
-短期資本租賃負債
341.04%149.29萬
473.02%145.84萬
482.92%145.34萬
91.14%47.44萬
91.14%47.44萬
35.27%33.85萬
4.34%25.45萬
--24.93萬
679.02%24.82萬
679.02%24.82萬
應付款項
232.69%812.92萬
227.76%739.21萬
422.32%1,170.6萬
186.85%1,194.25萬
186.85%1,194.25萬
58.94%244.35萬
-29.53%225.53萬
--224.11萬
95.03%416.34萬
95.03%416.34萬
-應付帳款
67.09%408.28萬
51.64%342.01萬
121.45%496.31萬
176.79%1,152.37萬
176.79%1,152.37萬
93.88%244.35萬
-23.02%225.53萬
--224.11萬
121.69%416.34萬
121.69%416.34萬
-應付稅費
--404.65萬
--397.2萬
--674.29萬
--41.88萬
--41.88萬
----
----
----
--0
--0
-應付關聯方款項
----
----
----
----
----
----
----
----
--0
--0
應計費用
-97.09%14.35萬
-97.60%10.61萬
-94.16%18.91萬
----
----
284.10%493.42萬
--442.25萬
--323.58萬
----
----
遞延負債
--0
--0
--11.94萬
--22.8萬
--22.8萬
----
----
----
--0
--0
其他流動負債
634.12%58.91萬
607.94%63.39萬
776.06%73.96萬
--95萬
--95萬
-83.08%8.02萬
--8.95萬
--8.44萬
----
----
流動負債總額
54.74%1,295.72萬
56.69%1,251.5萬
194.30%1,948.75萬
358.70%2,167.48萬
358.70%2,167.48萬
130.02%837.33萬
115.69%798.71萬
--662.17萬
83.76%472.53萬
83.76%472.53萬
非流動負債
長期借款與租賃負債
290.16%1,122.25萬
1,025.45%1,144.24萬
1,109.82%1,310.76萬
29.01%148.07萬
29.01%148.07萬
136.71%287.64萬
-56.95%101.67萬
--108.34萬
-83.38%114.77萬
-83.38%114.77萬
-長期借款
265.30%621萬
--617.93萬
--769.97萬
----
----
--170萬
----
----
----
----
-長期租賃負債
326.09%501.25萬
417.67%526.32萬
399.14%540.79萬
29.01%148.07萬
29.01%148.07萬
-3.19%117.64萬
-19.64%101.67萬
--108.34萬
4,884.10%114.77萬
4,884.10%114.77萬
長期應付帳款及其他應付款項
--414萬
--468萬
----
----
----
----
----
----
----
----
非流動負債總額
434.09%1,536.25萬
1,485.77%1,612.24萬
1,109.82%1,310.76萬
29.01%148.07萬
29.01%148.07萬
136.71%287.64萬
-56.95%101.67萬
--108.34萬
-85.13%114.77萬
-85.13%114.77萬
負債總額
151.74%2,831.97萬
218.06%2,863.75萬
323.03%3,259.5萬
294.27%2,315.55萬
294.27%2,315.55萬
131.70%1,124.97萬
48.47%900.38萬
--770.51萬
-42.92%587.3萬
-42.92%587.3萬
所有者權益
股本
97.49%2,573.21萬
243.29%2,573.21萬
232.96%2,256.15萬
230.17%2,237.27萬
230.17%2,237.27萬
123.38%1,302.93萬
82.86%749.57萬
--677.61萬
65.30%677.61萬
65.30%677.61萬
-普通股股本
97.49%2,573.21萬
243.29%2,573.21萬
232.96%2,256.15萬
230.17%2,237.27萬
230.17%2,237.27萬
123.38%1,302.93萬
82.86%749.57萬
--677.61萬
65.30%677.61萬
65.30%677.61萬
資本公積
174.81%293.15萬
234.17%259.93萬
261.14%244.18萬
108.52%131.82萬
108.52%131.82萬
124.76%106.67萬
84.35%77.78萬
--67.61萬
53.00%63.22萬
53.00%63.22萬
留存收益
468.16%327.68萬
371.88%357.4萬
106.92%17.55萬
-171.00%-823.25萬
-171.00%-823.25萬
77.13%-89萬
66.43%-131.46萬
---253.53萬
25.51%-303.78萬
25.51%-303.78萬
股東權益總額
141.86%3,194.03萬
358.48%3,190.54萬
412.08%2,517.88萬
253.70%1,545.85萬
253.70%1,545.85萬
446.51%1,320.6萬
1,048.99%695.9萬
--491.7萬
906.36%437.05萬
906.36%437.05萬
總權益
141.86%3,194.03萬
358.48%3,190.54萬
412.08%2,517.88萬
253.70%1,545.85萬
253.70%1,545.85萬
446.51%1,320.6萬
1,048.99%695.9萬
--491.7萬
906.36%437.05萬
906.36%437.05萬
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
--
(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 68.93%89.95萬1,283.49%151.57萬703.50%108.83萬2,230.73%188.51萬2,230.73%188.51萬167.51%53.25萬-69.42%10.96萬--13.55萬-65.24%8.09萬-65.24%8.09萬
-現金和現金等價物 68.93%89.95萬1,283.49%151.57萬703.50%108.83萬2,230.73%188.51萬2,230.73%188.51萬167.51%53.25萬-69.42%10.96萬--13.55萬-65.24%8.09萬-65.24%8.09萬
應收款項 201.32%727.19萬710.87%881.65萬438.10%601.31萬639.75%393.46萬639.75%393.46萬363.13%241.34萬113.03%108.73萬--111.75萬15.11%53.19萬15.11%53.19萬
-應收賬款 127.84%559.23萬718.28%898.62萬443.03%609.51萬604.13%378萬604.13%378萬363.38%245.45萬54.28%109.82萬--112.24萬-5.48%53.68萬-5.48%53.68萬
-其他應收款 --190.04萬--5.11萬761.39%5.11萬4,745.49%28.77萬4,745.49%28.77萬----------5,937-93.92%5,937-93.92%5,937
-應收賬款調整額 -436.70%-22.09萬-1,927.11%-22.09萬-1,122.13%-13.32萬-1,122.13%-13.32萬-1,122.13%-13.32萬-277.70%-4.12萬94.65%-1.09萬---1.09萬94.65%-1.09萬94.65%-1.09萬
存貨 37.15%2,217.46萬70.00%2,108.16萬123.11%2,128萬108.47%1,609.62萬108.47%1,609.62萬272.43%1,616.77萬254.14%1,240.07萬--953.81萬203.39%772.13萬203.39%772.13萬
預付費用 63.70%142.4萬365.86%139.39萬1,145.64%117.63萬1,527.96%138.51萬1,527.96%138.51萬161.74%86.98萬-6.97%29.92萬--9.44萬-55.89%8.51萬-55.89%8.51萬
其他流動資產 --101.18萬------------------------------------
流動資產合計 64.05%3,278.18萬136.08%3,280.77萬171.54%2,955.77萬176.76%2,330.09萬176.76%2,330.09萬270.24%1,998.34萬195.94%1,389.68萬--1,088.54萬142.80%841.91萬142.80%841.91萬
非流動資產
固定資產淨額 652.82%1,535.52萬837.31%1,596.21萬1,284.44%2,324.8萬97.46%347.59萬97.46%347.59萬8.84%203.97萬-13.74%170.3萬--167.92萬-75.74%176.03萬-75.74%176.03萬
-固定資產 656.48%1,904.83萬808.54%1,935.14萬2,026.90%4,386.61萬202.59%636.48萬202.59%636.48萬15.51%251.8萬-5.01%212.99萬--206.24萬-72.25%210.34萬-72.25%210.34萬
-累計折舊 -672.07%-369.32萬-693.80%-338.93萬-5,280.37%-2,061.81萬-742.06%-288.89萬-742.06%-288.89萬-56.38%-47.83萬-59.29%-42.7萬---38.32萬-5.98%-34.31萬-5.98%-34.31萬
商譽及其他無形資產 398.37%1,212.31萬3,142.62%1,177.31萬20,396.36%1,177.31萬--1,177.31萬--1,177.31萬--243.26萬--36.31萬--5.74萬--0--0
-其他無形資產 398.37%1,212.31萬3,142.62%1,177.31萬20,396.36%1,177.31萬--1,177.31萬--1,177.31萬--243.26萬--36.31萬--5.74萬--------
其他非流動資產 ----------5.63萬0.00%6.4萬0.00%6.4萬--------------6.4萬--6.4萬
非流動資產合計 514.42%2,747.83萬1,242.43%2,773.52萬1,919.80%3,507.73萬739.38%1,531.3萬739.38%1,531.3萬138.64%447.22萬4.65%206.6萬--173.67萬-74.86%182.43萬-74.86%182.43萬
總資產 146.41%6,026.01萬279.27%6,054.28萬357.72%5,777.38萬276.96%3,861.4萬276.96%3,861.4萬236.31%2,445.56萬139.32%1,596.28萬--1,262.21萬-4.47%1,024.34萬-4.47%1,024.34萬
負債
流動負債
短期借款與資本租賃負債 347.42%409.53萬259.34%438.29萬535.02%673.35萬1,422.47%855.43萬1,422.47%855.43萬166.18%91.53萬142.69%121.97萬--106.03萬1,663.57%56.19萬1,663.57%56.19萬
-短期借款 351.16%260.25萬202.99%292.46萬551.04%528.01萬2,475.87%807.99萬2,475.87%807.99萬516.02%57.68萬273.14%96.52萬--81.1萬--31.37萬--31.37萬
-短期資本租賃負債 341.04%149.29萬473.02%145.84萬482.92%145.34萬91.14%47.44萬91.14%47.44萬35.27%33.85萬4.34%25.45萬--24.93萬679.02%24.82萬679.02%24.82萬
應付款項 232.69%812.92萬227.76%739.21萬422.32%1,170.6萬186.85%1,194.25萬186.85%1,194.25萬58.94%244.35萬-29.53%225.53萬--224.11萬95.03%416.34萬95.03%416.34萬
-應付帳款 67.09%408.28萬51.64%342.01萬121.45%496.31萬176.79%1,152.37萬176.79%1,152.37萬93.88%244.35萬-23.02%225.53萬--224.11萬121.69%416.34萬121.69%416.34萬
-應付稅費 --404.65萬--397.2萬--674.29萬--41.88萬--41.88萬--------------0--0
-應付關聯方款項 ----------------------------------0--0
應計費用 -97.09%14.35萬-97.60%10.61萬-94.16%18.91萬--------284.10%493.42萬--442.25萬--323.58萬--------
遞延負債 --0--0--11.94萬--22.8萬--22.8萬--------------0--0
其他流動負債 634.12%58.91萬607.94%63.39萬776.06%73.96萬--95萬--95萬-83.08%8.02萬--8.95萬--8.44萬--------
流動負債總額 54.74%1,295.72萬56.69%1,251.5萬194.30%1,948.75萬358.70%2,167.48萬358.70%2,167.48萬130.02%837.33萬115.69%798.71萬--662.17萬83.76%472.53萬83.76%472.53萬
非流動負債
長期借款與租賃負債 290.16%1,122.25萬1,025.45%1,144.24萬1,109.82%1,310.76萬29.01%148.07萬29.01%148.07萬136.71%287.64萬-56.95%101.67萬--108.34萬-83.38%114.77萬-83.38%114.77萬
-長期借款 265.30%621萬--617.93萬--769.97萬----------170萬----------------
-長期租賃負債 326.09%501.25萬417.67%526.32萬399.14%540.79萬29.01%148.07萬29.01%148.07萬-3.19%117.64萬-19.64%101.67萬--108.34萬4,884.10%114.77萬4,884.10%114.77萬
長期應付帳款及其他應付款項 --414萬--468萬--------------------------------
非流動負債總額 434.09%1,536.25萬1,485.77%1,612.24萬1,109.82%1,310.76萬29.01%148.07萬29.01%148.07萬136.71%287.64萬-56.95%101.67萬--108.34萬-85.13%114.77萬-85.13%114.77萬
負債總額 151.74%2,831.97萬218.06%2,863.75萬323.03%3,259.5萬294.27%2,315.55萬294.27%2,315.55萬131.70%1,124.97萬48.47%900.38萬--770.51萬-42.92%587.3萬-42.92%587.3萬
所有者權益
股本 97.49%2,573.21萬243.29%2,573.21萬232.96%2,256.15萬230.17%2,237.27萬230.17%2,237.27萬123.38%1,302.93萬82.86%749.57萬--677.61萬65.30%677.61萬65.30%677.61萬
-普通股股本 97.49%2,573.21萬243.29%2,573.21萬232.96%2,256.15萬230.17%2,237.27萬230.17%2,237.27萬123.38%1,302.93萬82.86%749.57萬--677.61萬65.30%677.61萬65.30%677.61萬
資本公積 174.81%293.15萬234.17%259.93萬261.14%244.18萬108.52%131.82萬108.52%131.82萬124.76%106.67萬84.35%77.78萬--67.61萬53.00%63.22萬53.00%63.22萬
留存收益 468.16%327.68萬371.88%357.4萬106.92%17.55萬-171.00%-823.25萬-171.00%-823.25萬77.13%-89萬66.43%-131.46萬---253.53萬25.51%-303.78萬25.51%-303.78萬
股東權益總額 141.86%3,194.03萬358.48%3,190.54萬412.08%2,517.88萬253.70%1,545.85萬253.70%1,545.85萬446.51%1,320.6萬1,048.99%695.9萬--491.7萬906.36%437.05萬906.36%437.05萬
總權益 141.86%3,194.03萬358.48%3,190.54萬412.08%2,517.88萬253.70%1,545.85萬253.70%1,545.85萬446.51%1,320.6萬1,048.99%695.9萬--491.7萬906.36%437.05萬906.36%437.05萬
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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