加拿大市場個股詳情

KO Kiaro Holdings Corp

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延時15分鐘行情已收盤 06/08 09:30 (美東)
22.11萬總市值-7市盈率TTM

Kiaro Holdings Corp關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2022/10/31
(Q2)2022/07/31
(Q1)2022/04/30
(FY)2022/01/31
(Q4)2022/01/31
(Q3)2021/10/31
(Q2)2021/07/31
(Q1)2021/04/30
(FY)2021/01/31
(Q4)2021/01/31
資產
流動資產
現金及現金等價物和短期投資
-76.56%128.31萬
-39.64%144.74萬
-29.31%196.03萬
74.63%255.27萬
74.63%255.27萬
146.71%547.44萬
104.20%239.8萬
--277.33萬
-67.77%146.17萬
--146.17萬
-現金和現金等價物
-76.19%125.78萬
-35.82%142.21萬
-30.83%179.93萬
80.23%235.18萬
80.23%235.18萬
160.76%528.31萬
123.28%221.59萬
--260.13萬
-8.03%130.48萬
--130.48萬
-應收賬款
-80.04%7.6萬
119.29%59.53萬
209.41%38.39萬
49.42%19.83萬
49.42%19.83萬
395.99%38.09萬
214.75%27.15萬
--12.41萬
342.51%13.27萬
--13.27萬
持有待售資產
--278.63萬
----
----
----
----
----
----
----
----
----
流動資產合計
-44.99%503.62萬
21.16%576.88萬
22.93%595.23萬
69.93%599.76萬
69.93%599.76萬
125.55%915.46萬
70.94%476.11萬
--484.2萬
-41.62%352.95萬
--352.95萬
非流動資產
-累計折舊
-3.02%-196.3萬
-52.38%-260.92萬
-55.15%-244.43萬
-58.10%-215.26萬
-58.10%-215.26萬
-74.72%-190.54萬
-87.19%-171.23萬
---157.54萬
-137.36%-136.16萬
---136.16萬
-長期股權投資
-30.10%708.08萬
372.39%756.09萬
232.53%753.14萬
249.37%771.17萬
249.37%771.17萬
328.80%1,012.92萬
-78.96%160.05萬
--226.48萬
-73.48%220.73萬
--220.73萬
-商譽
-65.30%220.27萬
-5.10%221.86萬
71.41%223.45萬
269.78%225.04萬
269.78%225.04萬
942.97%634.74萬
284.15%233.79萬
--130.36萬
0.00%60.86萬
--60.86萬
監管資產
-74.61%9.67萬
127.67%61.8萬
233.50%41.42萬
109.60%29.78萬
109.60%29.78萬
214.70%38.09萬
93.42%27.15萬
--12.42萬
-69.10%14.21萬
--14.21萬
總資產
--0
--0
--0
215.10%7,723
215.10%7,723
----
----
--0
-95.51%2,451
--2,451
負債
流動負債
短期借款與資本租賃負債
-12.94%185.2萬
7.70%166.78萬
105.77%183.28萬
120.97%186.54萬
120.97%186.54萬
193.79%212.73萬
71.51%154.85萬
--89.07萬
-38.74%84.42萬
--84.42萬
-短期借款
-2.43%80.46萬
13.91%80.25萬
531.58%78.88萬
613.55%85.83萬
613.55%85.83萬
2,394.16%82.47萬
210.80%70.45萬
--12.49萬
-82.67%12.03萬
--12.03萬
-短期資本租賃負債
-19.59%104.74萬
2.52%86.54萬
36.33%104.4萬
39.13%100.72萬
39.13%100.72萬
88.51%130.26萬
24.82%84.41萬
--76.58萬
5.84%72.39萬
--72.39萬
-應付帳款
-17.89%227.25萬
194.46%502.11萬
480.87%429.76萬
122.89%295.42萬
122.89%295.42萬
74.23%276.75萬
-14.67%170.52萬
--73.98萬
0.71%132.54萬
--132.54萬
-應付稅費
-27.52%748.61萬
342.58%796.62萬
220.92%793.63萬
237.02%814.13萬
237.02%814.13萬
301.84%1,032.82萬
-80.65%179.99萬
--247.3萬
-75.13%241.57萬
--241.57萬
-應付關聯方款項
671.37%2.5萬
-73.41%3.16萬
-79.00%2.5萬
-66.17%5萬
-66.17%5萬
--3,241
9,445.67%11.89萬
--11.9萬
683.72%14.78萬
--14.78萬
應計費用
----
----
----
----
----
--109.56萬
--34.31萬
--35.46萬
----
----
流動負債總額
19.72%729.97萬
75.68%672.06萬
177.82%615.54萬
101.17%486.97萬
101.17%486.97萬
142.49%609.73萬
19.59%382.54萬
--221.56萬
-25.05%242.07萬
--242.07萬
非流動負債
-長期借款
-43.72%423.3萬
206.94%475.39萬
196.86%482.17萬
220.87%509.23萬
220.87%509.23萬
345.92%752.17萬
-16.98%154.88萬
--162.42萬
-36.19%158.7萬
--158.7萬
長期應計費用
-60.10%577.96萬
116.77%1,089.06萬
133.82%1,155.2萬
135.25%1,226.93萬
135.25%1,226.93萬
151.71%1,448.55萬
-17.30%502.4萬
--494.06萬
-22.08%521.55萬
--521.55萬
衍生品負債
-12.03%17.5萬
-12.24%17.5萬
-16.11%17.46萬
-4.36%19.93萬
-4.36%19.93萬
-4.36%19.89萬
-88.24%19.94萬
--20.81萬
-83.78%20.84萬
--20.84萬
長期撥備
9.21%284.78萬
5,324.83%280.7萬
322.99%270.97萬
322.31%261.93萬
322.31%261.93萬
286.06%260.75萬
-99.10%5.17萬
--64.06萬
-89.37%62.02萬
--62.02萬
非流動負債總額
-9.98%1,478.58萬
161.08%1,468.67萬
200.55%1,409.16萬
169.03%1,301.09萬
169.03%1,301.09萬
223.04%1,642.54萬
-55.00%562.54萬
--468.85萬
-62.63%483.63萬
--483.63萬
所有者權益
股本
4.16%3,662.57萬
26.33%3,633.62萬
30.13%3,633.62萬
37.71%3,633.62萬
37.71%3,633.62萬
33.75%3,516.17萬
86.94%2,876.35萬
--2,792.24萬
76.06%2,638.69萬
--2,638.69萬
-普通股股本
4.16%3,662.57萬
26.33%3,633.62萬
30.13%3,633.62萬
37.71%3,633.62萬
37.71%3,633.62萬
33.75%3,516.17萬
86.94%2,876.35萬
--2,792.24萬
76.06%2,638.69萬
--2,638.69萬
不影響留存收益的損益
-16.54%521.74萬
12.43%500.93萬
19.41%499.41萬
72.25%499.79萬
72.25%499.79萬
128.74%625.13萬
83.07%445.56萬
--418.23萬
144.63%290.15萬
--290.15萬
總權益
-56.41%1,318.89萬
54.34%1,904.83萬
75.35%1,990.91萬
114.11%2,069.42萬
114.11%2,069.42萬
179.23%3,025.59萬
24.09%1,234.15萬
--1,135.39萬
-30.92%966.53萬
--966.53萬
(Q3)2022/10/31(Q2)2022/07/31(Q1)2022/04/30(FY)2022/01/31(Q4)2022/01/31(Q3)2021/10/31(Q2)2021/07/31(Q1)2021/04/30(FY)2021/01/31(Q4)2021/01/31
資產
流動資產
現金及現金等價物和短期投資 -76.56%128.31萬-39.64%144.74萬-29.31%196.03萬74.63%255.27萬74.63%255.27萬146.71%547.44萬104.20%239.8萬--277.33萬-67.77%146.17萬--146.17萬
-現金和現金等價物 -76.19%125.78萬-35.82%142.21萬-30.83%179.93萬80.23%235.18萬80.23%235.18萬160.76%528.31萬123.28%221.59萬--260.13萬-8.03%130.48萬--130.48萬
-應收賬款 -80.04%7.6萬119.29%59.53萬209.41%38.39萬49.42%19.83萬49.42%19.83萬395.99%38.09萬214.75%27.15萬--12.41萬342.51%13.27萬--13.27萬
持有待售資產 --278.63萬------------------------------------
流動資產合計 -44.99%503.62萬21.16%576.88萬22.93%595.23萬69.93%599.76萬69.93%599.76萬125.55%915.46萬70.94%476.11萬--484.2萬-41.62%352.95萬--352.95萬
非流動資產
-累計折舊 -3.02%-196.3萬-52.38%-260.92萬-55.15%-244.43萬-58.10%-215.26萬-58.10%-215.26萬-74.72%-190.54萬-87.19%-171.23萬---157.54萬-137.36%-136.16萬---136.16萬
-長期股權投資 -30.10%708.08萬372.39%756.09萬232.53%753.14萬249.37%771.17萬249.37%771.17萬328.80%1,012.92萬-78.96%160.05萬--226.48萬-73.48%220.73萬--220.73萬
-商譽 -65.30%220.27萬-5.10%221.86萬71.41%223.45萬269.78%225.04萬269.78%225.04萬942.97%634.74萬284.15%233.79萬--130.36萬0.00%60.86萬--60.86萬
監管資產 -74.61%9.67萬127.67%61.8萬233.50%41.42萬109.60%29.78萬109.60%29.78萬214.70%38.09萬93.42%27.15萬--12.42萬-69.10%14.21萬--14.21萬
總資產 --0--0--0215.10%7,723215.10%7,723----------0-95.51%2,451--2,451
負債
流動負債
短期借款與資本租賃負債 -12.94%185.2萬7.70%166.78萬105.77%183.28萬120.97%186.54萬120.97%186.54萬193.79%212.73萬71.51%154.85萬--89.07萬-38.74%84.42萬--84.42萬
-短期借款 -2.43%80.46萬13.91%80.25萬531.58%78.88萬613.55%85.83萬613.55%85.83萬2,394.16%82.47萬210.80%70.45萬--12.49萬-82.67%12.03萬--12.03萬
-短期資本租賃負債 -19.59%104.74萬2.52%86.54萬36.33%104.4萬39.13%100.72萬39.13%100.72萬88.51%130.26萬24.82%84.41萬--76.58萬5.84%72.39萬--72.39萬
-應付帳款 -17.89%227.25萬194.46%502.11萬480.87%429.76萬122.89%295.42萬122.89%295.42萬74.23%276.75萬-14.67%170.52萬--73.98萬0.71%132.54萬--132.54萬
-應付稅費 -27.52%748.61萬342.58%796.62萬220.92%793.63萬237.02%814.13萬237.02%814.13萬301.84%1,032.82萬-80.65%179.99萬--247.3萬-75.13%241.57萬--241.57萬
-應付關聯方款項 671.37%2.5萬-73.41%3.16萬-79.00%2.5萬-66.17%5萬-66.17%5萬--3,2419,445.67%11.89萬--11.9萬683.72%14.78萬--14.78萬
應計費用 ----------------------109.56萬--34.31萬--35.46萬--------
流動負債總額 19.72%729.97萬75.68%672.06萬177.82%615.54萬101.17%486.97萬101.17%486.97萬142.49%609.73萬19.59%382.54萬--221.56萬-25.05%242.07萬--242.07萬
非流動負債
-長期借款 -43.72%423.3萬206.94%475.39萬196.86%482.17萬220.87%509.23萬220.87%509.23萬345.92%752.17萬-16.98%154.88萬--162.42萬-36.19%158.7萬--158.7萬
長期應計費用 -60.10%577.96萬116.77%1,089.06萬133.82%1,155.2萬135.25%1,226.93萬135.25%1,226.93萬151.71%1,448.55萬-17.30%502.4萬--494.06萬-22.08%521.55萬--521.55萬
衍生品負債 -12.03%17.5萬-12.24%17.5萬-16.11%17.46萬-4.36%19.93萬-4.36%19.93萬-4.36%19.89萬-88.24%19.94萬--20.81萬-83.78%20.84萬--20.84萬
長期撥備 9.21%284.78萬5,324.83%280.7萬322.99%270.97萬322.31%261.93萬322.31%261.93萬286.06%260.75萬-99.10%5.17萬--64.06萬-89.37%62.02萬--62.02萬
非流動負債總額 -9.98%1,478.58萬161.08%1,468.67萬200.55%1,409.16萬169.03%1,301.09萬169.03%1,301.09萬223.04%1,642.54萬-55.00%562.54萬--468.85萬-62.63%483.63萬--483.63萬
所有者權益
股本 4.16%3,662.57萬26.33%3,633.62萬30.13%3,633.62萬37.71%3,633.62萬37.71%3,633.62萬33.75%3,516.17萬86.94%2,876.35萬--2,792.24萬76.06%2,638.69萬--2,638.69萬
-普通股股本 4.16%3,662.57萬26.33%3,633.62萬30.13%3,633.62萬37.71%3,633.62萬37.71%3,633.62萬33.75%3,516.17萬86.94%2,876.35萬--2,792.24萬76.06%2,638.69萬--2,638.69萬
不影響留存收益的損益 -16.54%521.74萬12.43%500.93萬19.41%499.41萬72.25%499.79萬72.25%499.79萬128.74%625.13萬83.07%445.56萬--418.23萬144.63%290.15萬--290.15萬
總權益 -56.41%1,318.89萬54.34%1,904.83萬75.35%1,990.91萬114.11%2,069.42萬114.11%2,069.42萬179.23%3,025.59萬24.09%1,234.15萬--1,135.39萬-30.92%966.53萬--966.53萬

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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