加拿大市場個股詳情

NowVertical Group Inc (NOW.WT.B)

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延時15分鐘行情盤後交易中 10/15 16:00 (美東)
38.24萬總市值0.00市盈率TTM

NowVertical Group Inc (NOW.WT.B) 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
0.04%332.63萬
35.61%544.42萬
55.54%396.57萬
46.35%459.95萬
46.35%459.95萬
-30.07%332.49萬
-17.62%401.47萬
-54.16%254.96萬
-26.77%314.29萬
-26.77%314.29萬
-現金和現金等價物
15.28%261萬
33.23%435.69萬
85.20%361.73萬
-7.09%257.77萬
-7.09%257.77萬
-37.69%226.42萬
-3.56%327.01萬
-59.68%195.32萬
-27.16%277.43萬
-27.16%277.43萬
-短期投資
-32.47%71.63萬
46.02%108.72萬
-41.59%34.84萬
448.62%202.18萬
448.62%202.18萬
-5.36%106.08萬
-49.79%74.46萬
-16.97%59.64萬
-23.64%36.85萬
-23.64%36.85萬
應收款項
41.30%1,680.83萬
35.07%1,569.27萬
35.03%1,430.11萬
25.55%1,402.44萬
25.55%1,402.44萬
16.91%1,189.52萬
0.05%1,161.84萬
-7.07%1,059.07萬
124.40%1,117.02萬
124.40%1,117.02萬
-應收賬款
-7.27%438.75萬
-14.99%439.6萬
-43.49%382.98萬
-45.17%399.29萬
-45.17%399.29萬
-13.58%473.17萬
-35.46%517.14萬
-22.93%677.73萬
92.71%728.2萬
92.71%728.2萬
-應收稅費
-10.14%159.51萬
-27.12%124.61萬
-12.30%136.27萬
-9.66%143.48萬
-9.66%143.48萬
--177.5萬
1,479.25%170.99萬
355.19%155.38萬
638.35%158.81萬
638.35%158.81萬
-其他應收款
100.90%1,082.58萬
112.17%1,005.06萬
303.09%910.86萬
273.76%859.67萬
273.76%859.67萬
14.67%538.86萬
35.70%473.71萬
-0.09%225.97萬
133.75%230.01萬
133.75%230.01萬
預付費用
-16.18%42.45萬
-22.40%41.7萬
-29.17%39.64萬
47.13%97.95萬
47.13%97.95萬
-88.17%50.65萬
-90.31%53.74萬
-90.63%55.97萬
104.82%66.57萬
104.82%66.57萬
持有待售資產
--48.73萬
--50.64萬
-94.31%47.4萬
--50.03萬
--50.03萬
----
----
--833.55萬
--0
--0
流動資產合計
33.83%2,104.66萬
36.42%2,206.03萬
-13.15%1,913.71萬
34.21%2,010.37萬
34.21%2,010.37萬
-18.13%1,572.66萬
-26.60%1,617.05萬
-3.91%2,203.56萬
1.60%1,497.87萬
1.60%1,497.87萬
非流動資產
固定資產淨額
-46.25%10.53萬
-35.36%12.99萬
-26.13%16.29萬
-42.61%16.1萬
-42.61%16.1萬
-51.33%19.59萬
-60.06%20.1萬
-59.43%22.06萬
-37.15%28.06萬
-37.15%28.06萬
-固定資產
-46.25%10.53萬
-35.36%12.99萬
-26.13%16.29萬
-42.61%16.1萬
-42.61%16.1萬
-51.33%19.59萬
-60.06%20.1萬
-59.43%22.06萬
-37.15%28.06萬
-37.15%28.06萬
投資和預付款
--0
--0
--0
-58.66%21.91萬
-58.66%21.91萬
0.00%53萬
0.00%53萬
--53萬
--53萬
--53萬
長期應收款
-64.34%149.32萬
-42.12%173.62萬
79.26%240.95萬
117.20%291.94萬
117.20%291.94萬
111.86%418.79萬
36.24%299.97萬
--134.41萬
--134.41萬
--134.41萬
商譽及其他無形資產
-8.45%1,974.59萬
-3.89%2,051.83萬
-6.01%2,037.67萬
-25.88%2,045.16萬
-25.88%2,045.16萬
-19.03%2,156.8萬
-21.60%2,134.79萬
-30.38%2,168.08萬
45.39%2,759.4萬
45.39%2,759.4萬
-商譽
-2.98%1,241.73萬
1.49%1,268.07萬
0.18%1,255.29萬
-21.43%1,253.13萬
-21.43%1,253.13萬
-20.18%1,279.82萬
-22.96%1,249.5萬
-33.00%1,252.98萬
45.81%1,594.94萬
45.81%1,594.94萬
-其他無形資產
-16.43%732.85萬
-11.47%783.76萬
-14.50%782.38萬
-31.98%792.03萬
-31.98%792.03萬
-17.29%876.98萬
-19.58%885.29萬
-26.45%915.1萬
44.83%1,164.46萬
44.83%1,164.46萬
非流動遞延資產
--4.93萬
--1.59萬
-87.00%1.54萬
-92.86%8,690
-92.86%8,690
--0
--0
--11.85萬
--12.17萬
--12.17萬
其他非流動資產
----
----
----
--1
--1
----
----
----
----
----
非流動資產合計
-19.21%2,139.36萬
-10.68%2,240.03萬
-3.89%2,296.46萬
-20.46%2,375.98萬
-20.46%2,375.98萬
-10.37%2,648.17萬
-17.68%2,507.86萬
-24.59%2,389.39萬
53.77%2,987.04萬
53.77%2,987.04萬
總資產
0.55%4,244.01萬
7.79%4,446.06萬
-8.33%4,210.17萬
-2.20%4,386.34萬
-2.20%4,386.34萬
-13.43%4,220.83萬
-21.42%4,124.91萬
-15.90%4,592.96萬
31.26%4,484.92萬
31.26%4,484.92萬
負債
流動負債
短期借款與資本租賃負債
94.93%539.84萬
70.30%490.71萬
104.08%592.4萬
45.07%574.92萬
45.07%574.92萬
-32.40%276.94萬
-28.20%288.14萬
-8.88%290.28萬
74.26%396.31萬
74.26%396.31萬
-短期借款
94.93%539.84萬
70.30%490.71萬
104.08%592.4萬
50.70%574.92萬
50.70%574.92萬
-29.87%276.94萬
-25.45%288.14萬
-4.43%290.28萬
79.34%381.51萬
79.34%381.51萬
-短期資本租賃負債
----
----
----
--0
--0
--0
--0
--0
0.68%14.81萬
0.68%14.81萬
應付款項
-38.32%843.28萬
-42.99%880.98萬
-42.06%1,037.35萬
-35.70%1,249.55萬
-35.70%1,249.55萬
2.80%1,367.27萬
22.26%1,545.26萬
27.90%1,790.53萬
160.64%1,943.2萬
160.64%1,943.2萬
-應付帳款
-36.39%426.62萬
-21.71%516.21萬
-13.89%643.6萬
-22.92%693.98萬
-22.92%693.98萬
-1.60%670.67萬
-0.86%659.38萬
-7.90%747.39萬
204.21%900.29萬
204.21%900.29萬
-應付稅費
-44.83%148.43萬
-59.74%99.09萬
-45.58%133.08萬
-38.07%138.04萬
-38.07%138.04萬
2,771.99%269.04萬
--246.1萬
--244.53萬
--222.88萬
--222.88萬
-其他應付款
-37.26%268.23萬
-58.47%265.69萬
-67.36%260.67萬
-49.08%417.53萬
-49.08%417.53萬
-33.09%427.56萬
6.84%639.79萬
35.70%798.61萬
82.39%820.03萬
82.39%820.03萬
應計費用
41.34%762.42萬
138.72%776.58萬
100.90%692.15萬
68.99%651.41萬
68.99%651.41萬
15.67%539.41萬
-38.50%325.31萬
-53.04%344.52萬
-2.54%385.48萬
-2.54%385.48萬
遞延負債
-36.47%80.65萬
9.83%108.96萬
-10.28%110.46萬
96.02%165.48萬
96.02%165.48萬
-74.63%126.94萬
-85.71%99.21萬
-78.71%123.11萬
-66.74%84.42萬
-66.74%84.42萬
其他流動負債
--160.58萬
--171.53萬
-67.33%202.38萬
--218.78萬
--218.78萬
----
----
--619.45萬
----
----
流動負債總額
3.30%2,386.77萬
7.57%2,428.75萬
-16.83%2,634.74萬
1.81%2,860.15萬
1.81%2,860.15萬
-14.62%2,310.56萬
-21.83%2,257.91萬
4.54%3,167.89萬
73.17%2,809.42萬
73.17%2,809.42萬
非流動負債
長期借款與租賃負債
-2.60%1,176.48萬
3.46%1,255.66萬
-42.01%741.01萬
-48.76%804.57萬
-48.76%804.57萬
-24.02%1,207.85萬
-28.27%1,213.7萬
-20.68%1,277.74萬
10.82%1,570.33萬
10.82%1,570.33萬
-長期借款
-2.60%1,176.48萬
3.46%1,255.66萬
-42.01%741.01萬
-48.76%804.57萬
-48.76%804.57萬
-24.02%1,207.85萬
-28.27%1,213.7萬
-20.68%1,277.74萬
10.82%1,570.33萬
10.82%1,570.33萬
長期應付帳款及其他應付款項
-83.69%42.92萬
-68.46%76.95萬
-10.58%95.26萬
45.57%157.86萬
45.57%157.86萬
305.87%263.24萬
153.33%243.98萬
12.93%106.54萬
0.18%108.45萬
0.18%108.45萬
衍生品負債
----
----
----
--0
--0
-4.77%36.95萬
-8.11%36.53萬
0.02%38.91萬
18.97%39.77萬
18.97%39.77萬
遞延負債
16.02%264.16萬
6.46%271.77萬
25.75%294.99萬
123.59%299.12萬
123.59%299.12萬
21.54%227.69萬
22.20%255.27萬
36.54%234.58萬
193.49%133.78萬
193.49%133.78萬
持有待售負債
--81.2萬
--83.1萬
--82.31萬
--78.88萬
--78.88萬
----
----
----
--0
--0
其他非流動負債
----
----
----
----
----
0.06%90.61萬
-44.91%86.46萬
-49.19%80.98萬
924.12%87.99萬
924.12%87.99萬
非流動負債總額
-14.32%1,564.77萬
-8.09%1,687.47萬
-30.20%1,213.58萬
-30.92%1,340.43萬
-30.92%1,340.43萬
-7.35%1,826.34萬
-16.32%1,835.95萬
-16.22%1,738.75萬
20.31%1,940.32萬
20.31%1,940.32萬
負債總額
-4.48%3,951.54萬
0.55%4,116.22萬
-21.57%3,848.31萬
-11.56%4,200.58萬
-11.56%4,200.58萬
-11.56%4,136.9萬
-19.45%4,093.86萬
-3.90%4,906.65萬
46.82%4,749.74萬
46.82%4,749.74萬
所有者權益
股本
9.84%3,203.5萬
8.35%3,158.52萬
13.53%3,154.69萬
4.96%2,916.58萬
4.96%2,916.58萬
4.96%2,916.58萬
5.42%2,915萬
0.94%2,778.71萬
14.88%2,778.71萬
14.88%2,778.71萬
-普通股股本
9.84%3,203.5萬
8.35%3,158.52萬
13.53%3,154.69萬
4.96%2,916.58萬
4.96%2,916.58萬
4.96%2,916.58萬
5.42%2,915萬
0.94%2,778.71萬
14.88%2,778.71萬
14.88%2,778.71萬
資本公積
16.97%601.96萬
7.76%545.54萬
6.44%533.15萬
5.43%522.26萬
5.43%522.26萬
6.09%514.64萬
9.82%506.25萬
10.97%500.88萬
11.57%495.35萬
11.57%495.35萬
留存收益
-4.58%-3,170.1萬
-0.49%-3,104.09萬
7.36%-3,041.64萬
5.07%-2,973.24萬
5.07%-2,973.24萬
-6.52%-3,031.35萬
-8.65%-3,088.86萬
-21.35%-3,283.13萬
-23.37%-3,132.1萬
-23.37%-3,132.1萬
不影響留存收益的損益
-8.53%-342.9萬
10.36%-270.13萬
8.32%-284.34萬
31.21%-279.84萬
31.21%-279.84萬
-43.58%-315.93萬
-39.48%-301.34萬
-117.07%-310.15萬
-185.72%-406.78萬
-185.72%-406.78萬
股東權益總額
248.44%292.47萬
962.29%329.84萬
215.35%361.85萬
170.14%185.76萬
170.14%185.76萬
-57.59%83.94萬
-81.42%31.05萬
-188.13%-313.69萬
-245.82%-264.83萬
-245.82%-264.83萬
總權益
248.44%292.47萬
962.29%329.84萬
215.35%361.85萬
170.14%185.76萬
170.14%185.76萬
-57.59%83.94萬
-81.42%31.05萬
-188.13%-313.69萬
-245.82%-264.83萬
-245.82%-264.83萬
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 0.04%332.63萬35.61%544.42萬55.54%396.57萬46.35%459.95萬46.35%459.95萬-30.07%332.49萬-17.62%401.47萬-54.16%254.96萬-26.77%314.29萬-26.77%314.29萬
-現金和現金等價物 15.28%261萬33.23%435.69萬85.20%361.73萬-7.09%257.77萬-7.09%257.77萬-37.69%226.42萬-3.56%327.01萬-59.68%195.32萬-27.16%277.43萬-27.16%277.43萬
-短期投資 -32.47%71.63萬46.02%108.72萬-41.59%34.84萬448.62%202.18萬448.62%202.18萬-5.36%106.08萬-49.79%74.46萬-16.97%59.64萬-23.64%36.85萬-23.64%36.85萬
應收款項 41.30%1,680.83萬35.07%1,569.27萬35.03%1,430.11萬25.55%1,402.44萬25.55%1,402.44萬16.91%1,189.52萬0.05%1,161.84萬-7.07%1,059.07萬124.40%1,117.02萬124.40%1,117.02萬
-應收賬款 -7.27%438.75萬-14.99%439.6萬-43.49%382.98萬-45.17%399.29萬-45.17%399.29萬-13.58%473.17萬-35.46%517.14萬-22.93%677.73萬92.71%728.2萬92.71%728.2萬
-應收稅費 -10.14%159.51萬-27.12%124.61萬-12.30%136.27萬-9.66%143.48萬-9.66%143.48萬--177.5萬1,479.25%170.99萬355.19%155.38萬638.35%158.81萬638.35%158.81萬
-其他應收款 100.90%1,082.58萬112.17%1,005.06萬303.09%910.86萬273.76%859.67萬273.76%859.67萬14.67%538.86萬35.70%473.71萬-0.09%225.97萬133.75%230.01萬133.75%230.01萬
預付費用 -16.18%42.45萬-22.40%41.7萬-29.17%39.64萬47.13%97.95萬47.13%97.95萬-88.17%50.65萬-90.31%53.74萬-90.63%55.97萬104.82%66.57萬104.82%66.57萬
持有待售資產 --48.73萬--50.64萬-94.31%47.4萬--50.03萬--50.03萬----------833.55萬--0--0
流動資產合計 33.83%2,104.66萬36.42%2,206.03萬-13.15%1,913.71萬34.21%2,010.37萬34.21%2,010.37萬-18.13%1,572.66萬-26.60%1,617.05萬-3.91%2,203.56萬1.60%1,497.87萬1.60%1,497.87萬
非流動資產
固定資產淨額 -46.25%10.53萬-35.36%12.99萬-26.13%16.29萬-42.61%16.1萬-42.61%16.1萬-51.33%19.59萬-60.06%20.1萬-59.43%22.06萬-37.15%28.06萬-37.15%28.06萬
-固定資產 -46.25%10.53萬-35.36%12.99萬-26.13%16.29萬-42.61%16.1萬-42.61%16.1萬-51.33%19.59萬-60.06%20.1萬-59.43%22.06萬-37.15%28.06萬-37.15%28.06萬
投資和預付款 --0--0--0-58.66%21.91萬-58.66%21.91萬0.00%53萬0.00%53萬--53萬--53萬--53萬
長期應收款 -64.34%149.32萬-42.12%173.62萬79.26%240.95萬117.20%291.94萬117.20%291.94萬111.86%418.79萬36.24%299.97萬--134.41萬--134.41萬--134.41萬
商譽及其他無形資產 -8.45%1,974.59萬-3.89%2,051.83萬-6.01%2,037.67萬-25.88%2,045.16萬-25.88%2,045.16萬-19.03%2,156.8萬-21.60%2,134.79萬-30.38%2,168.08萬45.39%2,759.4萬45.39%2,759.4萬
-商譽 -2.98%1,241.73萬1.49%1,268.07萬0.18%1,255.29萬-21.43%1,253.13萬-21.43%1,253.13萬-20.18%1,279.82萬-22.96%1,249.5萬-33.00%1,252.98萬45.81%1,594.94萬45.81%1,594.94萬
-其他無形資產 -16.43%732.85萬-11.47%783.76萬-14.50%782.38萬-31.98%792.03萬-31.98%792.03萬-17.29%876.98萬-19.58%885.29萬-26.45%915.1萬44.83%1,164.46萬44.83%1,164.46萬
非流動遞延資產 --4.93萬--1.59萬-87.00%1.54萬-92.86%8,690-92.86%8,690--0--0--11.85萬--12.17萬--12.17萬
其他非流動資產 --------------1--1--------------------
非流動資產合計 -19.21%2,139.36萬-10.68%2,240.03萬-3.89%2,296.46萬-20.46%2,375.98萬-20.46%2,375.98萬-10.37%2,648.17萬-17.68%2,507.86萬-24.59%2,389.39萬53.77%2,987.04萬53.77%2,987.04萬
總資產 0.55%4,244.01萬7.79%4,446.06萬-8.33%4,210.17萬-2.20%4,386.34萬-2.20%4,386.34萬-13.43%4,220.83萬-21.42%4,124.91萬-15.90%4,592.96萬31.26%4,484.92萬31.26%4,484.92萬
負債
流動負債
短期借款與資本租賃負債 94.93%539.84萬70.30%490.71萬104.08%592.4萬45.07%574.92萬45.07%574.92萬-32.40%276.94萬-28.20%288.14萬-8.88%290.28萬74.26%396.31萬74.26%396.31萬
-短期借款 94.93%539.84萬70.30%490.71萬104.08%592.4萬50.70%574.92萬50.70%574.92萬-29.87%276.94萬-25.45%288.14萬-4.43%290.28萬79.34%381.51萬79.34%381.51萬
-短期資本租賃負債 --------------0--0--0--0--00.68%14.81萬0.68%14.81萬
應付款項 -38.32%843.28萬-42.99%880.98萬-42.06%1,037.35萬-35.70%1,249.55萬-35.70%1,249.55萬2.80%1,367.27萬22.26%1,545.26萬27.90%1,790.53萬160.64%1,943.2萬160.64%1,943.2萬
-應付帳款 -36.39%426.62萬-21.71%516.21萬-13.89%643.6萬-22.92%693.98萬-22.92%693.98萬-1.60%670.67萬-0.86%659.38萬-7.90%747.39萬204.21%900.29萬204.21%900.29萬
-應付稅費 -44.83%148.43萬-59.74%99.09萬-45.58%133.08萬-38.07%138.04萬-38.07%138.04萬2,771.99%269.04萬--246.1萬--244.53萬--222.88萬--222.88萬
-其他應付款 -37.26%268.23萬-58.47%265.69萬-67.36%260.67萬-49.08%417.53萬-49.08%417.53萬-33.09%427.56萬6.84%639.79萬35.70%798.61萬82.39%820.03萬82.39%820.03萬
應計費用 41.34%762.42萬138.72%776.58萬100.90%692.15萬68.99%651.41萬68.99%651.41萬15.67%539.41萬-38.50%325.31萬-53.04%344.52萬-2.54%385.48萬-2.54%385.48萬
遞延負債 -36.47%80.65萬9.83%108.96萬-10.28%110.46萬96.02%165.48萬96.02%165.48萬-74.63%126.94萬-85.71%99.21萬-78.71%123.11萬-66.74%84.42萬-66.74%84.42萬
其他流動負債 --160.58萬--171.53萬-67.33%202.38萬--218.78萬--218.78萬----------619.45萬--------
流動負債總額 3.30%2,386.77萬7.57%2,428.75萬-16.83%2,634.74萬1.81%2,860.15萬1.81%2,860.15萬-14.62%2,310.56萬-21.83%2,257.91萬4.54%3,167.89萬73.17%2,809.42萬73.17%2,809.42萬
非流動負債
長期借款與租賃負債 -2.60%1,176.48萬3.46%1,255.66萬-42.01%741.01萬-48.76%804.57萬-48.76%804.57萬-24.02%1,207.85萬-28.27%1,213.7萬-20.68%1,277.74萬10.82%1,570.33萬10.82%1,570.33萬
-長期借款 -2.60%1,176.48萬3.46%1,255.66萬-42.01%741.01萬-48.76%804.57萬-48.76%804.57萬-24.02%1,207.85萬-28.27%1,213.7萬-20.68%1,277.74萬10.82%1,570.33萬10.82%1,570.33萬
長期應付帳款及其他應付款項 -83.69%42.92萬-68.46%76.95萬-10.58%95.26萬45.57%157.86萬45.57%157.86萬305.87%263.24萬153.33%243.98萬12.93%106.54萬0.18%108.45萬0.18%108.45萬
衍生品負債 --------------0--0-4.77%36.95萬-8.11%36.53萬0.02%38.91萬18.97%39.77萬18.97%39.77萬
遞延負債 16.02%264.16萬6.46%271.77萬25.75%294.99萬123.59%299.12萬123.59%299.12萬21.54%227.69萬22.20%255.27萬36.54%234.58萬193.49%133.78萬193.49%133.78萬
持有待售負債 --81.2萬--83.1萬--82.31萬--78.88萬--78.88萬--------------0--0
其他非流動負債 --------------------0.06%90.61萬-44.91%86.46萬-49.19%80.98萬924.12%87.99萬924.12%87.99萬
非流動負債總額 -14.32%1,564.77萬-8.09%1,687.47萬-30.20%1,213.58萬-30.92%1,340.43萬-30.92%1,340.43萬-7.35%1,826.34萬-16.32%1,835.95萬-16.22%1,738.75萬20.31%1,940.32萬20.31%1,940.32萬
負債總額 -4.48%3,951.54萬0.55%4,116.22萬-21.57%3,848.31萬-11.56%4,200.58萬-11.56%4,200.58萬-11.56%4,136.9萬-19.45%4,093.86萬-3.90%4,906.65萬46.82%4,749.74萬46.82%4,749.74萬
所有者權益
股本 9.84%3,203.5萬8.35%3,158.52萬13.53%3,154.69萬4.96%2,916.58萬4.96%2,916.58萬4.96%2,916.58萬5.42%2,915萬0.94%2,778.71萬14.88%2,778.71萬14.88%2,778.71萬
-普通股股本 9.84%3,203.5萬8.35%3,158.52萬13.53%3,154.69萬4.96%2,916.58萬4.96%2,916.58萬4.96%2,916.58萬5.42%2,915萬0.94%2,778.71萬14.88%2,778.71萬14.88%2,778.71萬
資本公積 16.97%601.96萬7.76%545.54萬6.44%533.15萬5.43%522.26萬5.43%522.26萬6.09%514.64萬9.82%506.25萬10.97%500.88萬11.57%495.35萬11.57%495.35萬
留存收益 -4.58%-3,170.1萬-0.49%-3,104.09萬7.36%-3,041.64萬5.07%-2,973.24萬5.07%-2,973.24萬-6.52%-3,031.35萬-8.65%-3,088.86萬-21.35%-3,283.13萬-23.37%-3,132.1萬-23.37%-3,132.1萬
不影響留存收益的損益 -8.53%-342.9萬10.36%-270.13萬8.32%-284.34萬31.21%-279.84萬31.21%-279.84萬-43.58%-315.93萬-39.48%-301.34萬-117.07%-310.15萬-185.72%-406.78萬-185.72%-406.78萬
股東權益總額 248.44%292.47萬962.29%329.84萬215.35%361.85萬170.14%185.76萬170.14%185.76萬-57.59%83.94萬-81.42%31.05萬-188.13%-313.69萬-245.82%-264.83萬-245.82%-264.83萬
總權益 248.44%292.47萬962.29%329.84萬215.35%361.85萬170.14%185.76萬170.14%185.76萬-57.59%83.94萬-81.42%31.05萬-188.13%-313.69萬-245.82%-264.83萬-245.82%-264.83萬
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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