美股市場個股詳情

Iconic Minerals (ICMFF)

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  • 0.0624
  • +0.0036+6.19%
延時15分鐘行情收盤價 05/22 15:18 (美東)
1159.88萬總市值-8.92市盈率TTM

Iconic Minerals (ICMFF) 資產負債表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2026/02/28
(Q1)2025/11/30
(FY)2025/08/31
(Q4)2025/08/31
(Q3)2025/05/31
(Q2)2025/02/28
(Q1)2024/11/30
(FY)2024/08/31
(Q4)2024/08/31
(Q3)2024/05/31
資產
流動資產
現金及現金等價物和短期投資
441.38%264.93萬
-75.19%17.54萬
-21.50%31.69萬
-21.50%31.69萬
-71.50%19.67萬
-47.98%48.94萬
-64.91%70.71萬
-83.24%40.37萬
-83.24%40.37萬
2,251.66%69.02萬
-現金和現金等價物
5,821.69%250.56萬
-32.67%2.27萬
403.96%18.21萬
403.96%18.21萬
-52.47%1.74萬
8.70%4.23萬
-42.98%3.38萬
-88.68%3.61萬
-88.68%3.61萬
--3.66萬
-短期投資
-67.86%14.37萬
-77.33%15.27萬
-63.34%13.47萬
-63.34%13.47萬
-72.56%17.94萬
-50.43%44.71萬
-65.58%67.33萬
-82.40%36.75萬
-82.40%36.75萬
2,127.05%65.36萬
應收款項
-92.39%2.91萬
-93.66%2.35萬
-17.07%1.85萬
-17.07%1.85萬
0.44%36.06萬
7.27%38.26萬
3.60%37.07萬
-52.05%2.23萬
-52.05%2.23萬
772.35%35.91萬
-其他應收款
-92.39%2.91萬
-93.66%2.35萬
-17.07%1.85萬
-17.07%1.85萬
0.44%36.06萬
7.27%38.26萬
3.60%37.07萬
-52.05%2.23萬
-52.05%2.23萬
772.35%35.91萬
預付費用
337.82%7.57萬
259.49%3.15萬
2.83%1.44萬
2.83%1.44萬
-41.41%7.29萬
-84.69%1.73萬
-95.58%8,761
-93.09%1.4萬
-93.09%1.4萬
-15.46%12.44萬
流動資產合計
209.72%275.41萬
-78.80%23.04萬
-20.50%34.98萬
-20.50%34.98萬
-46.30%63.03萬
-36.95%88.92萬
-57.74%108.66萬
-83.44%44萬
-83.44%44萬
128.91%117.37萬
非流動資產
固定資產淨額
5.61%143.72萬
5.72%143.72萬
5.58%143.52萬
5.58%143.52萬
5.81%136.3萬
6.01%136.1萬
6.69%135.95萬
6.98%135.95萬
6.98%135.95萬
-72.97%128.81萬
非流動資產合計
5.61%143.72萬
5.72%143.72萬
5.58%143.52萬
5.58%143.52萬
5.81%136.3萬
6.01%136.1萬
6.69%135.95萬
6.98%135.95萬
6.98%135.95萬
-73.79%128.81萬
總資產
86.27%419.14萬
-31.83%166.76萬
-0.80%178.5萬
-0.80%178.5萬
-19.03%199.32萬
-16.48%225.02萬
-36.39%244.6萬
-54.19%179.94萬
-54.19%179.94萬
-54.64%246.18萬
負債
流動負債
應付款項
-74.12%25.44萬
3.13%116.69萬
-10.89%97.15萬
-10.89%97.15萬
-1.97%103.06萬
5.37%98.28萬
24.31%113.15萬
14.98%109.02萬
14.98%109.02萬
-45.44%105.14萬
-應付賬款
-25.17%25.44萬
-25.42%36.48萬
-38.35%33.23萬
-38.35%33.23萬
-36.28%34.43萬
-34.24%33.99萬
-13.79%48.91萬
-9.83%53.89萬
-9.83%53.89萬
-66.70%54.03萬
-應付關聯方款項
--0
24.86%80.21萬
15.95%63.92萬
15.95%63.92萬
34.29%68.63萬
54.63%64.29萬
87.35%64.24萬
57.29%55.13萬
57.29%55.13萬
67.81%51.11萬
應計費用
462.25%40.18萬
1.59%40.41萬
4.61%42.38萬
4.61%42.38萬
-78.97%7.69萬
-79.39%7.15萬
11.67%39.77萬
-2.47%40.52萬
-2.47%40.52萬
10.32%36.56萬
其他流動負債
----
----
----
----
----
----
----
--225
--225
----
流動負債總額
-37.76%65.62萬
2.73%157.1萬
-6.69%139.53萬
-6.69%139.53萬
-21.84%110.75萬
-17.60%105.43萬
20.75%152.93萬
9.67%149.54萬
9.67%149.54萬
-44.51%141.7萬
非流動負債
長期撥備
-5.04%2.73萬
-0.23%2.79萬
1.91%2.75萬
1.91%2.75萬
0.61%2.76萬
6.03%2.88萬
3.16%2.8萬
-0.47%2.7萬
-0.47%2.7萬
-49.61%2.74萬
非流動負債總額
-5.04%2.73萬
-0.23%2.79萬
1.91%2.75萬
1.91%2.75萬
0.61%2.76萬
6.03%2.88萬
3.16%2.8萬
-0.47%2.7萬
-0.47%2.7萬
-49.61%2.74萬
總負債
-36.89%68.35萬
2.67%159.89萬
-6.54%142.28萬
-6.54%142.28萬
-21.42%113.5萬
-17.11%108.3萬
20.38%155.73萬
9.47%152.24萬
9.47%152.24萬
-44.61%144.44萬
所有者權益
股本
16.12%3,311.06萬
3.40%2,948.36萬
3.42%2,949.12萬
3.42%2,949.12萬
0.00%2,851.48萬
0.00%2,851.48萬
0.00%2,851.48萬
0.00%2,851.48萬
0.00%2,851.48萬
-37.11%2,851.48萬
-普通股股本
16.12%3,311.06萬
3.40%2,948.36萬
3.42%2,949.12萬
3.42%2,949.12萬
0.00%2,851.48萬
0.00%2,851.48萬
0.00%2,851.48萬
0.00%2,851.48萬
0.00%2,851.48萬
-37.11%2,851.48萬
留存收益
-6.60%-3,536.96萬
-5.13%-3,517.25萬
-0.85%-3,435.81萬
-0.85%-3,435.81萬
-0.92%-3,366.53萬
-0.58%-3,317.87萬
-5.13%-3,345.61萬
-7.17%-3,406.7萬
-7.17%-3,406.7萬
35.00%-3,335.99萬
不影響留存收益的損益
4.39%584.99萬
2.74%575.75萬
-6.69%522.92萬
-6.69%522.92萬
3.15%578.05萬
0.00%560.39萬
0.00%560.39萬
0.79%560.39萬
0.79%560.39萬
0.79%560.39萬
其他權益
-136.55%-8.3萬
----
----
----
-11.75%22.82萬
-11.59%22.71萬
-11.30%22.62萬
-10.44%22.53萬
-10.44%22.53萬
-92.01%25.86萬
股東權益總額
200.54%350.79萬
-92.27%6.87萬
30.73%36.22萬
30.73%36.22萬
-15.65%85.82萬
-15.89%116.72萬
-65.17%88.88萬
-89.08%27.71萬
-89.08%27.71萬
-63.92%101.75萬
總權益
200.54%350.79萬
-92.27%6.87萬
30.73%36.22萬
30.73%36.22萬
-15.65%85.82萬
-15.89%116.72萬
-65.17%88.88萬
-89.08%27.71萬
-89.08%27.71萬
-63.92%101.75萬
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
--
--
帶解釋段的無保留意見
--
--
--
--
帶解釋段的無保留意見
--
--
(Q2)2026/02/28(Q1)2025/11/30(FY)2025/08/31(Q4)2025/08/31(Q3)2025/05/31(Q2)2025/02/28(Q1)2024/11/30(FY)2024/08/31(Q4)2024/08/31(Q3)2024/05/31
資產
流動資產
現金及現金等價物和短期投資 441.38%264.93萬-75.19%17.54萬-21.50%31.69萬-21.50%31.69萬-71.50%19.67萬-47.98%48.94萬-64.91%70.71萬-83.24%40.37萬-83.24%40.37萬2,251.66%69.02萬
-現金和現金等價物 5,821.69%250.56萬-32.67%2.27萬403.96%18.21萬403.96%18.21萬-52.47%1.74萬8.70%4.23萬-42.98%3.38萬-88.68%3.61萬-88.68%3.61萬--3.66萬
-短期投資 -67.86%14.37萬-77.33%15.27萬-63.34%13.47萬-63.34%13.47萬-72.56%17.94萬-50.43%44.71萬-65.58%67.33萬-82.40%36.75萬-82.40%36.75萬2,127.05%65.36萬
應收款項 -92.39%2.91萬-93.66%2.35萬-17.07%1.85萬-17.07%1.85萬0.44%36.06萬7.27%38.26萬3.60%37.07萬-52.05%2.23萬-52.05%2.23萬772.35%35.91萬
-其他應收款 -92.39%2.91萬-93.66%2.35萬-17.07%1.85萬-17.07%1.85萬0.44%36.06萬7.27%38.26萬3.60%37.07萬-52.05%2.23萬-52.05%2.23萬772.35%35.91萬
預付費用 337.82%7.57萬259.49%3.15萬2.83%1.44萬2.83%1.44萬-41.41%7.29萬-84.69%1.73萬-95.58%8,761-93.09%1.4萬-93.09%1.4萬-15.46%12.44萬
流動資產合計 209.72%275.41萬-78.80%23.04萬-20.50%34.98萬-20.50%34.98萬-46.30%63.03萬-36.95%88.92萬-57.74%108.66萬-83.44%44萬-83.44%44萬128.91%117.37萬
非流動資產
固定資產淨額 5.61%143.72萬5.72%143.72萬5.58%143.52萬5.58%143.52萬5.81%136.3萬6.01%136.1萬6.69%135.95萬6.98%135.95萬6.98%135.95萬-72.97%128.81萬
非流動資產合計 5.61%143.72萬5.72%143.72萬5.58%143.52萬5.58%143.52萬5.81%136.3萬6.01%136.1萬6.69%135.95萬6.98%135.95萬6.98%135.95萬-73.79%128.81萬
總資產 86.27%419.14萬-31.83%166.76萬-0.80%178.5萬-0.80%178.5萬-19.03%199.32萬-16.48%225.02萬-36.39%244.6萬-54.19%179.94萬-54.19%179.94萬-54.64%246.18萬
負債
流動負債
應付款項 -74.12%25.44萬3.13%116.69萬-10.89%97.15萬-10.89%97.15萬-1.97%103.06萬5.37%98.28萬24.31%113.15萬14.98%109.02萬14.98%109.02萬-45.44%105.14萬
-應付賬款 -25.17%25.44萬-25.42%36.48萬-38.35%33.23萬-38.35%33.23萬-36.28%34.43萬-34.24%33.99萬-13.79%48.91萬-9.83%53.89萬-9.83%53.89萬-66.70%54.03萬
-應付關聯方款項 --024.86%80.21萬15.95%63.92萬15.95%63.92萬34.29%68.63萬54.63%64.29萬87.35%64.24萬57.29%55.13萬57.29%55.13萬67.81%51.11萬
應計費用 462.25%40.18萬1.59%40.41萬4.61%42.38萬4.61%42.38萬-78.97%7.69萬-79.39%7.15萬11.67%39.77萬-2.47%40.52萬-2.47%40.52萬10.32%36.56萬
其他流動負債 ------------------------------225--225----
流動負債總額 -37.76%65.62萬2.73%157.1萬-6.69%139.53萬-6.69%139.53萬-21.84%110.75萬-17.60%105.43萬20.75%152.93萬9.67%149.54萬9.67%149.54萬-44.51%141.7萬
非流動負債
長期撥備 -5.04%2.73萬-0.23%2.79萬1.91%2.75萬1.91%2.75萬0.61%2.76萬6.03%2.88萬3.16%2.8萬-0.47%2.7萬-0.47%2.7萬-49.61%2.74萬
非流動負債總額 -5.04%2.73萬-0.23%2.79萬1.91%2.75萬1.91%2.75萬0.61%2.76萬6.03%2.88萬3.16%2.8萬-0.47%2.7萬-0.47%2.7萬-49.61%2.74萬
總負債 -36.89%68.35萬2.67%159.89萬-6.54%142.28萬-6.54%142.28萬-21.42%113.5萬-17.11%108.3萬20.38%155.73萬9.47%152.24萬9.47%152.24萬-44.61%144.44萬
所有者權益
股本 16.12%3,311.06萬3.40%2,948.36萬3.42%2,949.12萬3.42%2,949.12萬0.00%2,851.48萬0.00%2,851.48萬0.00%2,851.48萬0.00%2,851.48萬0.00%2,851.48萬-37.11%2,851.48萬
-普通股股本 16.12%3,311.06萬3.40%2,948.36萬3.42%2,949.12萬3.42%2,949.12萬0.00%2,851.48萬0.00%2,851.48萬0.00%2,851.48萬0.00%2,851.48萬0.00%2,851.48萬-37.11%2,851.48萬
留存收益 -6.60%-3,536.96萬-5.13%-3,517.25萬-0.85%-3,435.81萬-0.85%-3,435.81萬-0.92%-3,366.53萬-0.58%-3,317.87萬-5.13%-3,345.61萬-7.17%-3,406.7萬-7.17%-3,406.7萬35.00%-3,335.99萬
不影響留存收益的損益 4.39%584.99萬2.74%575.75萬-6.69%522.92萬-6.69%522.92萬3.15%578.05萬0.00%560.39萬0.00%560.39萬0.79%560.39萬0.79%560.39萬0.79%560.39萬
其他權益 -136.55%-8.3萬-------------11.75%22.82萬-11.59%22.71萬-11.30%22.62萬-10.44%22.53萬-10.44%22.53萬-92.01%25.86萬
股東權益總額 200.54%350.79萬-92.27%6.87萬30.73%36.22萬30.73%36.22萬-15.65%85.82萬-15.89%116.72萬-65.17%88.88萬-89.08%27.71萬-89.08%27.71萬-63.92%101.75萬
總權益 200.54%350.79萬-92.27%6.87萬30.73%36.22萬30.73%36.22萬-15.65%85.82萬-15.89%116.72萬-65.17%88.88萬-89.08%27.71萬-89.08%27.71萬-63.92%101.75萬
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 ----帶解釋段的無保留意見--------帶解釋段的無保留意見----
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