美股市場個股詳情

GreenFirst Forest Products (ICLTF)

添加自選
  • 1.500
  • -0.050-3.23%
延時15分鐘行情收盤價 04/24 13:45 (美東)
3472.05萬總市值-0.47市盈率TTM

GreenFirst Forest Products (ICLTF) 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)2025/09/27
(Q2)2025/06/28
(Q1)2025/03/29
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/29
(Q1)2024/03/30
資產
流動資產
現金及現金等價物和短期投資
-87.47%347.9萬
-87.47%347.9萬
756.76%348.7萬
-15.89%437.2萬
65.66%246.5萬
1,044.58%2,775.6萬
1,044.58%2,775.6萬
-83.37%40.7萬
-46.98%519.8萬
-94.02%148.8萬
-現金和現金等價物
-87.47%347.9萬
-87.47%347.9萬
756.76%348.7萬
-15.89%437.2萬
65.66%246.5萬
1,044.58%2,775.6萬
1,044.58%2,775.6萬
-83.37%40.7萬
-46.98%519.8萬
-94.02%148.8萬
應收款項
23.02%1,997.3萬
23.02%1,997.3萬
13.04%1,960.2萬
-24.33%1,984.5萬
-11.09%2,921.2萬
-37.13%1,623.6萬
-37.13%1,623.6萬
-46.08%1,734.1萬
-27.91%2,622.4萬
-25.71%3,285.4萬
-應收賬款
81.83%1,332.3萬
81.83%1,332.3萬
-32.76%1,166萬
-46.78%1,395.6萬
-44.89%1,810.7萬
-52.11%732.7萬
-52.11%732.7萬
-46.08%1,734.1萬
-27.91%2,622.4萬
-25.71%3,285.4萬
-應收稅費
-31.81%173.2萬
-31.81%173.2萬
--159.1萬
--179.8萬
--615.3萬
-0.27%254萬
-0.27%254萬
----
----
----
-其他應收款
-22.23%507.6萬
-22.23%507.6萬
--650.9萬
--424.9萬
--511萬
-21.01%652.7萬
-21.01%652.7萬
----
----
----
-應收賬款調整額
0.00%-15.8萬
0.00%-15.8萬
---15.8萬
---15.8萬
---15.8萬
44.56%-15.8萬
44.56%-15.8萬
----
----
----
存貨
-19.97%5,633.3萬
-19.97%5,633.3萬
3.71%7,430.6萬
-3.22%8,332.5萬
0.97%1.04億
-8.70%7,038.8萬
-8.70%7,038.8萬
-19.17%7,164.8萬
-0.61%8,609.9萬
-2.06%1.03億
其他流動資產
-9.46%232.6萬
-9.46%232.6萬
141.44%104.3萬
-38.31%183.9萬
-24.72%250.9萬
-2.95%256.9萬
-2.95%256.9萬
-82.97%43.2萬
69.47%298.1萬
105.49%333.3萬
流動資產合計
-29.79%8,211.1萬
-29.79%8,211.1萬
-33.17%9,843.8萬
-9.23%1.09億
-1.78%1.38億
8.29%1.17億
8.29%1.17億
17.11%1.47億
-10.45%1.21億
-20.07%1.4億
非流動資產
固定資產淨額
8.52%9,506.4萬
8.52%9,506.4萬
4.14%9,690.8萬
-22.97%9,224.7萬
-25.92%9,074.8萬
-29.42%8,760.1萬
-29.42%8,760.1萬
-23.30%9,305.7萬
-0.05%1.2億
2.52%1.22億
-固定資產
8.46%1.41億
8.46%1.41億
4.14%9,690.8萬
-22.97%9,224.7萬
-25.92%9,074.8萬
-17.71%1.3億
-17.71%1.3億
-23.30%9,305.7萬
-0.05%1.2億
2.52%1.22億
-累計折舊
-8.33%-4,613.2萬
-8.33%-4,613.2萬
----
----
----
-24.96%-4,258.6萬
-24.96%-4,258.6萬
----
----
----
商譽及其他無形資產
-2.73%1,053.4萬
-2.73%1,053.4萬
-2.71%1,060.8萬
-2.69%1,068.2萬
-2.67%1,075.6萬
-2.65%1,083萬
-2.65%1,083萬
-2.85%1,090.3萬
-2.63%1,097.7萬
-2.60%1,105.1萬
-其他無形資產
-2.73%1,053.4萬
-2.73%1,053.4萬
-2.71%1,060.8萬
-2.69%1,068.2萬
-2.67%1,075.6萬
-2.65%1,083萬
-2.65%1,083萬
-2.85%1,090.3萬
-2.63%1,097.7萬
-2.60%1,105.1萬
投資和預付款
0.00%142.9萬
0.00%142.9萬
0.00%142.9萬
0.00%142.9萬
0.00%142.9萬
0.00%142.9萬
0.00%142.9萬
0.00%142.9萬
0.00%142.9萬
0.00%142.9萬
長期應收款
----
----
--86.7萬
--110.4萬
--140.4萬
--140.4萬
--140.4萬
----
----
----
長期預付費用
----
----
----
----
----
--0
--0
227.86%3,299.6萬
--1,077.5萬
--1,048.3萬
確認的養老福利金
-69.49%68.7萬
-69.49%68.7萬
-96.39%78萬
-93.23%123.7萬
-91.45%146.8萬
-90.29%225.2萬
-90.29%225.2萬
50.03%2,161萬
10.23%1,827.3萬
-4.75%1,716.5萬
非流動資產合計
4.06%1.08億
4.06%1.08億
-30.88%1.11億
-33.82%1.07億
-34.94%1.06億
-39.09%1.04億
-39.09%1.04億
0.97%1.6億
8.13%1.61億
8.22%1.63億
總資產
-13.90%1.9億
-13.90%1.9億
-31.98%2.09億
-23.30%2.16億
-19.59%2.44億
-20.68%2.2億
-20.68%2.2億
8.12%3.07億
-0.68%2.82億
-7.02%3.03億
負債
流動負債
應付款項
13.14%3,904.1萬
13.14%3,904.1萬
9.48%3,204.4萬
-29.63%2,712.3萬
0.32%3,988.4萬
6.00%3,450.7萬
6.00%3,450.7萬
-6.24%2,927萬
51.14%3,854.3萬
-1.67%3,975.6萬
-應付賬款
13.14%3,904.1萬
13.14%3,904.1萬
9.48%3,204.4萬
-29.63%2,712.3萬
0.32%3,988.4萬
6.00%3,450.7萬
6.00%3,450.7萬
-6.24%2,927萬
51.14%3,854.3萬
-0.15%3,975.6萬
應計費用
-29.52%503.1萬
-29.52%503.1萬
----
----
----
-45.16%713.8萬
-45.16%713.8萬
----
----
----
短期借款與租賃負債
4.92%593.4萬
4.92%593.4萬
-84.19%446萬
60.11%433.9萬
217.24%287.1萬
143.16%565.6萬
143.16%565.6萬
--2,821.1萬
--271萬
--90.5萬
-短期借款
3.53%455.1萬
3.53%455.1萬
-89.43%298.3萬
7.97%292.6萬
217.24%287.1萬
178.23%439.6萬
178.23%439.6萬
--2,821.1萬
--271萬
--90.5萬
-短期租賃負債
9.76%138.3萬
9.76%138.3萬
--147.7萬
--141.3萬
----
68.90%126萬
68.90%126萬
----
----
----
遞延負債
106.18%250.3萬
106.18%250.3萬
----
----
----
14.42%121.4萬
14.42%121.4萬
----
--51.5萬
----
其他流動負債
-37.16%254.2萬
-37.16%254.2萬
-78.05%1,358.5萬
-26.94%1,296.9萬
-27.44%2,013.7萬
-27.82%404.5萬
-27.82%404.5萬
165.34%6,190.1萬
-14.60%1,775萬
1.61%2,775.3萬
流動負債總額
4.74%5,505.1萬
4.74%5,505.1萬
-58.04%5,008.9萬
-25.35%4,443.1萬
-8.07%6,289.2萬
-3.66%5,256萬
-3.66%5,256萬
118.86%1.19億
28.58%5,951.8萬
0.99%6,841.4萬
非流動負債
長期撥備
0.00%20萬
0.00%20萬
----
----
----
-87.50%20萬
-87.50%20萬
----
----
----
長期借款與租賃負債
76.81%3,069.8萬
76.81%3,069.8萬
155.43%3,270.8萬
-45.28%2,652.1萬
-44.59%2,693萬
-32.97%1,736.2萬
-32.97%1,736.2萬
-28.84%1,280.5萬
88.39%4,846.8萬
35.15%4,859.8萬
-長期借款
111.78%2,581.2萬
111.78%2,581.2萬
136.58%2,755.4萬
-53.64%2,185.3萬
-53.45%2,210.5萬
-51.73%1,218.8萬
-51.73%1,218.8萬
-33.83%1,164.7萬
92.08%4,714萬
37.68%4,748.7萬
-長期租賃負債
-5.57%488.6萬
-5.57%488.6萬
345.08%515.4萬
251.51%466.8萬
334.29%482.5萬
692.34%517.4萬
692.34%517.4萬
195.41%115.8萬
11.97%132.8萬
-24.22%111.1萬
遞延負債
----
----
----
----
----
----
----
----
--465.8萬
--338.5萬
員工福利
-38.74%288.4萬
-38.74%288.4萬
-38.56%474.3萬
-39.16%471萬
-40.23%472.2萬
-41.87%470.8萬
-41.87%470.8萬
9.04%772萬
5.15%774.1萬
5.33%790萬
其他非流動負債
-50.00%1萬
-50.00%1萬
-93.03%10.7萬
-76.32%164.4萬
-76.84%158.2萬
-99.21%2萬
-99.21%2萬
-62.78%153.5萬
22.89%694.2萬
23.06%683萬
非流動負債總額
232.67%7,415.3萬
232.67%7,415.3萬
250.22%7,725.8萬
-51.52%3,287.5萬
-50.18%3,323.4萬
-41.57%2,229萬
-41.57%2,229萬
-24.45%2,206萬
75.04%6,780.9萬
36.13%6,671.3萬
總負債
72.62%1.29億
72.62%1.29億
-9.97%1.27億
-39.29%7,730.6萬
-28.86%9,612.6萬
-19.26%7,485萬
-19.26%7,485萬
68.90%1.41億
49.75%1.27億
15.74%1.35億
所有者權益
股本
0.48%2.75億
0.48%2.75億
7.58%2.74億
7.56%2.74億
7.56%2.74億
7.56%2.74億
7.56%2.74億
0.00%2.55億
0.00%2.55億
0.00%2.55億
-普通股股本
0.48%2.75億
0.48%2.75億
7.58%2.74億
7.56%2.74億
7.56%2.74億
7.56%2.74億
7.56%2.74億
0.00%2.55億
0.00%2.55億
0.00%2.55億
留存收益
-76.06%-2.29億
-76.06%-2.29億
-92.74%-1.96億
-25.41%-1.39億
-34.40%-1.29億
-57.23%-1.3億
-57.23%-1.3億
-66.54%-1.02億
-73.46%-1.11億
-77.62%-9,600.2萬
不影響留存收益的損益
796.38%1,410.9萬
796.38%1,410.9萬
-71.49%365.7萬
-66.59%340.5萬
-72.95%243萬
-88.04%157.4萬
-88.04%157.4萬
87.95%1,282.6萬
33.67%1,019.2萬
8.74%898.5萬
股東權益總額
-58.37%6,062.1萬
-58.37%6,062.1萬
-50.75%8,168.3萬
-10.11%1.39億
-12.12%1.47億
-21.39%1.46億
-21.39%1.46億
-17.27%1.66億
-22.27%1.54億
-19.73%1.68億
總權益
-58.37%6,062.1萬
-58.37%6,062.1萬
-50.75%8,168.3萬
-10.11%1.39億
-12.12%1.47億
-21.39%1.46億
-21.39%1.46億
-17.27%1.66億
-22.27%1.54億
-19.73%1.68億
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
帶解釋段的無保留意見
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帶解釋段的無保留意見
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(FY)2025/12/31(Q4)2025/12/31(Q3)2025/09/27(Q2)2025/06/28(Q1)2025/03/29(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/29(Q1)2024/03/30
資產
流動資產
現金及現金等價物和短期投資 -87.47%347.9萬-87.47%347.9萬756.76%348.7萬-15.89%437.2萬65.66%246.5萬1,044.58%2,775.6萬1,044.58%2,775.6萬-83.37%40.7萬-46.98%519.8萬-94.02%148.8萬
-現金和現金等價物 -87.47%347.9萬-87.47%347.9萬756.76%348.7萬-15.89%437.2萬65.66%246.5萬1,044.58%2,775.6萬1,044.58%2,775.6萬-83.37%40.7萬-46.98%519.8萬-94.02%148.8萬
應收款項 23.02%1,997.3萬23.02%1,997.3萬13.04%1,960.2萬-24.33%1,984.5萬-11.09%2,921.2萬-37.13%1,623.6萬-37.13%1,623.6萬-46.08%1,734.1萬-27.91%2,622.4萬-25.71%3,285.4萬
-應收賬款 81.83%1,332.3萬81.83%1,332.3萬-32.76%1,166萬-46.78%1,395.6萬-44.89%1,810.7萬-52.11%732.7萬-52.11%732.7萬-46.08%1,734.1萬-27.91%2,622.4萬-25.71%3,285.4萬
-應收稅費 -31.81%173.2萬-31.81%173.2萬--159.1萬--179.8萬--615.3萬-0.27%254萬-0.27%254萬------------
-其他應收款 -22.23%507.6萬-22.23%507.6萬--650.9萬--424.9萬--511萬-21.01%652.7萬-21.01%652.7萬------------
-應收賬款調整額 0.00%-15.8萬0.00%-15.8萬---15.8萬---15.8萬---15.8萬44.56%-15.8萬44.56%-15.8萬------------
存貨 -19.97%5,633.3萬-19.97%5,633.3萬3.71%7,430.6萬-3.22%8,332.5萬0.97%1.04億-8.70%7,038.8萬-8.70%7,038.8萬-19.17%7,164.8萬-0.61%8,609.9萬-2.06%1.03億
其他流動資產 -9.46%232.6萬-9.46%232.6萬141.44%104.3萬-38.31%183.9萬-24.72%250.9萬-2.95%256.9萬-2.95%256.9萬-82.97%43.2萬69.47%298.1萬105.49%333.3萬
流動資產合計 -29.79%8,211.1萬-29.79%8,211.1萬-33.17%9,843.8萬-9.23%1.09億-1.78%1.38億8.29%1.17億8.29%1.17億17.11%1.47億-10.45%1.21億-20.07%1.4億
非流動資產
固定資產淨額 8.52%9,506.4萬8.52%9,506.4萬4.14%9,690.8萬-22.97%9,224.7萬-25.92%9,074.8萬-29.42%8,760.1萬-29.42%8,760.1萬-23.30%9,305.7萬-0.05%1.2億2.52%1.22億
-固定資產 8.46%1.41億8.46%1.41億4.14%9,690.8萬-22.97%9,224.7萬-25.92%9,074.8萬-17.71%1.3億-17.71%1.3億-23.30%9,305.7萬-0.05%1.2億2.52%1.22億
-累計折舊 -8.33%-4,613.2萬-8.33%-4,613.2萬-------------24.96%-4,258.6萬-24.96%-4,258.6萬------------
商譽及其他無形資產 -2.73%1,053.4萬-2.73%1,053.4萬-2.71%1,060.8萬-2.69%1,068.2萬-2.67%1,075.6萬-2.65%1,083萬-2.65%1,083萬-2.85%1,090.3萬-2.63%1,097.7萬-2.60%1,105.1萬
-其他無形資產 -2.73%1,053.4萬-2.73%1,053.4萬-2.71%1,060.8萬-2.69%1,068.2萬-2.67%1,075.6萬-2.65%1,083萬-2.65%1,083萬-2.85%1,090.3萬-2.63%1,097.7萬-2.60%1,105.1萬
投資和預付款 0.00%142.9萬0.00%142.9萬0.00%142.9萬0.00%142.9萬0.00%142.9萬0.00%142.9萬0.00%142.9萬0.00%142.9萬0.00%142.9萬0.00%142.9萬
長期應收款 ----------86.7萬--110.4萬--140.4萬--140.4萬--140.4萬------------
長期預付費用 ----------------------0--0227.86%3,299.6萬--1,077.5萬--1,048.3萬
確認的養老福利金 -69.49%68.7萬-69.49%68.7萬-96.39%78萬-93.23%123.7萬-91.45%146.8萬-90.29%225.2萬-90.29%225.2萬50.03%2,161萬10.23%1,827.3萬-4.75%1,716.5萬
非流動資產合計 4.06%1.08億4.06%1.08億-30.88%1.11億-33.82%1.07億-34.94%1.06億-39.09%1.04億-39.09%1.04億0.97%1.6億8.13%1.61億8.22%1.63億
總資產 -13.90%1.9億-13.90%1.9億-31.98%2.09億-23.30%2.16億-19.59%2.44億-20.68%2.2億-20.68%2.2億8.12%3.07億-0.68%2.82億-7.02%3.03億
負債
流動負債
應付款項 13.14%3,904.1萬13.14%3,904.1萬9.48%3,204.4萬-29.63%2,712.3萬0.32%3,988.4萬6.00%3,450.7萬6.00%3,450.7萬-6.24%2,927萬51.14%3,854.3萬-1.67%3,975.6萬
-應付賬款 13.14%3,904.1萬13.14%3,904.1萬9.48%3,204.4萬-29.63%2,712.3萬0.32%3,988.4萬6.00%3,450.7萬6.00%3,450.7萬-6.24%2,927萬51.14%3,854.3萬-0.15%3,975.6萬
應計費用 -29.52%503.1萬-29.52%503.1萬-------------45.16%713.8萬-45.16%713.8萬------------
短期借款與租賃負債 4.92%593.4萬4.92%593.4萬-84.19%446萬60.11%433.9萬217.24%287.1萬143.16%565.6萬143.16%565.6萬--2,821.1萬--271萬--90.5萬
-短期借款 3.53%455.1萬3.53%455.1萬-89.43%298.3萬7.97%292.6萬217.24%287.1萬178.23%439.6萬178.23%439.6萬--2,821.1萬--271萬--90.5萬
-短期租賃負債 9.76%138.3萬9.76%138.3萬--147.7萬--141.3萬----68.90%126萬68.90%126萬------------
遞延負債 106.18%250.3萬106.18%250.3萬------------14.42%121.4萬14.42%121.4萬------51.5萬----
其他流動負債 -37.16%254.2萬-37.16%254.2萬-78.05%1,358.5萬-26.94%1,296.9萬-27.44%2,013.7萬-27.82%404.5萬-27.82%404.5萬165.34%6,190.1萬-14.60%1,775萬1.61%2,775.3萬
流動負債總額 4.74%5,505.1萬4.74%5,505.1萬-58.04%5,008.9萬-25.35%4,443.1萬-8.07%6,289.2萬-3.66%5,256萬-3.66%5,256萬118.86%1.19億28.58%5,951.8萬0.99%6,841.4萬
非流動負債
長期撥備 0.00%20萬0.00%20萬-------------87.50%20萬-87.50%20萬------------
長期借款與租賃負債 76.81%3,069.8萬76.81%3,069.8萬155.43%3,270.8萬-45.28%2,652.1萬-44.59%2,693萬-32.97%1,736.2萬-32.97%1,736.2萬-28.84%1,280.5萬88.39%4,846.8萬35.15%4,859.8萬
-長期借款 111.78%2,581.2萬111.78%2,581.2萬136.58%2,755.4萬-53.64%2,185.3萬-53.45%2,210.5萬-51.73%1,218.8萬-51.73%1,218.8萬-33.83%1,164.7萬92.08%4,714萬37.68%4,748.7萬
-長期租賃負債 -5.57%488.6萬-5.57%488.6萬345.08%515.4萬251.51%466.8萬334.29%482.5萬692.34%517.4萬692.34%517.4萬195.41%115.8萬11.97%132.8萬-24.22%111.1萬
遞延負債 ----------------------------------465.8萬--338.5萬
員工福利 -38.74%288.4萬-38.74%288.4萬-38.56%474.3萬-39.16%471萬-40.23%472.2萬-41.87%470.8萬-41.87%470.8萬9.04%772萬5.15%774.1萬5.33%790萬
其他非流動負債 -50.00%1萬-50.00%1萬-93.03%10.7萬-76.32%164.4萬-76.84%158.2萬-99.21%2萬-99.21%2萬-62.78%153.5萬22.89%694.2萬23.06%683萬
非流動負債總額 232.67%7,415.3萬232.67%7,415.3萬250.22%7,725.8萬-51.52%3,287.5萬-50.18%3,323.4萬-41.57%2,229萬-41.57%2,229萬-24.45%2,206萬75.04%6,780.9萬36.13%6,671.3萬
總負債 72.62%1.29億72.62%1.29億-9.97%1.27億-39.29%7,730.6萬-28.86%9,612.6萬-19.26%7,485萬-19.26%7,485萬68.90%1.41億49.75%1.27億15.74%1.35億
所有者權益
股本 0.48%2.75億0.48%2.75億7.58%2.74億7.56%2.74億7.56%2.74億7.56%2.74億7.56%2.74億0.00%2.55億0.00%2.55億0.00%2.55億
-普通股股本 0.48%2.75億0.48%2.75億7.58%2.74億7.56%2.74億7.56%2.74億7.56%2.74億7.56%2.74億0.00%2.55億0.00%2.55億0.00%2.55億
留存收益 -76.06%-2.29億-76.06%-2.29億-92.74%-1.96億-25.41%-1.39億-34.40%-1.29億-57.23%-1.3億-57.23%-1.3億-66.54%-1.02億-73.46%-1.11億-77.62%-9,600.2萬
不影響留存收益的損益 796.38%1,410.9萬796.38%1,410.9萬-71.49%365.7萬-66.59%340.5萬-72.95%243萬-88.04%157.4萬-88.04%157.4萬87.95%1,282.6萬33.67%1,019.2萬8.74%898.5萬
股東權益總額 -58.37%6,062.1萬-58.37%6,062.1萬-50.75%8,168.3萬-10.11%1.39億-12.12%1.47億-21.39%1.46億-21.39%1.46億-17.27%1.66億-22.27%1.54億-19.73%1.68億
總權益 -58.37%6,062.1萬-58.37%6,062.1萬-50.75%8,168.3萬-10.11%1.39億-12.12%1.47億-21.39%1.46億-21.39%1.46億-17.27%1.66億-22.27%1.54億-19.73%1.68億
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