美股市場個股詳情

TOBAF Taat Lifestyle & Wellness Ltd.

添加自選
  • 0.180000
  • -0.008000-4.26%
延時15分鐘行情收盤價 05/17 12:23 (美東)
213.47萬總市值-175市盈率TTM

Taat Lifestyle & Wellness Ltd.關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2023/07/31
(Q2)2023/04/30
(Q1)2023/01/31
(FY)2022/10/31
(Q4)2022/10/31
(Q3)2022/07/31
(Q2)2022/04/30
(Q1)2022/01/31
(FY)2021/10/31
(Q4)2021/10/31
資產
流動資產
現金及現金等價物和短期投資
-79.55%53.7萬
-92.14%43.76萬
-96.64%29.48萬
-94.27%67.68萬
-94.27%67.68萬
-61.95%262.58萬
-60.96%557.02萬
-53.90%877.08萬
-1.04%1,181.09萬
-1.04%1,181.09萬
-現金和現金等價物
-79.55%53.7萬
-92.14%43.76萬
-96.64%29.48萬
-94.27%67.68萬
-94.27%67.68萬
-61.95%262.58萬
-60.96%557.02萬
-53.90%877.08萬
-1.04%1,181.09萬
-1.04%1,181.09萬
應收款項
-22.86%479.62萬
174.82%473.75萬
136.54%504.33萬
128.77%453.65萬
128.77%453.65萬
187.47%621.77萬
57.59%172.39萬
459.21%213.22萬
758.59%198.3萬
758.59%198.3萬
-應收賬款
-12.62%473.79萬
185.18%426.44萬
137.05%465.23萬
122.94%414.61萬
122.94%414.61萬
187.96%542.24萬
140.62%149.53萬
43,367.35%196.26萬
3,978.39%185.97萬
3,978.39%185.97萬
-應收貸款
-94.33%2.94萬
835.32%12.06萬
321.35%5.36萬
472.27%7.09萬
472.27%7.09萬
108.15%51.88萬
-94.75%1.29萬
-95.02%1.27萬
--1.24萬
--1.24萬
-應收稅費
-89.57%2.88萬
63.44%35.24萬
115.07%33.74萬
188.15%31.95萬
188.15%31.95萬
802.29%27.65萬
-4.91%21.56萬
29.48%15.69萬
-40.19%11.09萬
-40.19%11.09萬
存貨
-5.64%483.1萬
105.90%455.92萬
167.17%531.24萬
508.17%510.01萬
508.17%510.01萬
594.30%511.99萬
333.56%221.43萬
282.66%198.83萬
164.21%83.86萬
164.21%83.86萬
預付費用
7.22%54.18萬
432.64%63.46萬
78.18%34.97萬
-21.02%36.86萬
-21.02%36.86萬
-76.94%50.53萬
-93.91%11.91萬
-82.11%19.63萬
-15.14%46.67萬
-15.14%46.67萬
流動資產合計
-26.01%1,070.59萬
7.70%1,036.89萬
-15.95%1,100.02萬
-29.25%1,068.2萬
-29.25%1,068.2萬
20.65%1,446.87萬
-46.01%962.75萬
-37.75%1,308.76萬
15.85%1,509.91萬
15.85%1,509.91萬
非流動資產
固定資產淨額
-27.42%335.11萬
-8.22%410.88萬
-10.32%430.67萬
-4.32%468.29萬
-4.32%468.29萬
-9.18%461.73萬
805.81%447.69萬
825.12%480.2萬
894.34%489.45萬
894.34%489.45萬
-固定資產
-11.55%507.48萬
11.19%595.8萬
4.78%595.77萬
5.82%593.17萬
5.82%593.17萬
5.75%573.74萬
636.83%535.83萬
724.56%568.58萬
824.67%560.56萬
824.67%560.56萬
-累計折舊
-53.89%-172.37萬
-109.82%-184.92萬
-86.81%-165.1萬
-75.61%-124.88萬
-75.61%-124.88萬
-228.35%-112.01萬
-278.33%-88.13萬
-418.40%-88.38萬
-523.82%-71.11萬
-523.82%-71.11萬
商譽及其他無形資產
-47.80%198.67萬
99.79%214.97萬
114.95%231.27萬
130.10%247.58萬
130.10%247.58萬
253.75%380.62萬
0.00%107.6萬
0.00%107.6萬
0.00%107.6萬
0.00%107.6萬
-商譽
-87.03%49.38萬
-54.11%49.38萬
-54.11%49.38萬
-54.11%49.38萬
-54.11%49.38萬
253.75%380.62萬
0.00%107.6萬
0.00%107.6萬
0.00%107.6萬
0.00%107.6萬
-其他無形資產
--149.29萬
--165.59萬
--181.9萬
--198.2萬
--198.2萬
----
----
----
----
----
長期應收票據
--24.74萬
--23.08萬
--24.23萬
--24.77萬
--24.77萬
----
----
----
--0
--0
長期預付費用
3.70%50.99萬
-2.65%52.33萬
-13.13%48.65萬
-8.78%49.74萬
-8.78%49.74萬
--49.17萬
--53.75萬
--56萬
--54.52萬
--54.52萬
非流動資產合計
-31.63%609.51萬
15.14%701.26萬
14.14%734.81萬
21.30%790.37萬
21.30%790.37萬
44.72%891.52萬
287.87%609.04萬
303.63%643.79萬
315.49%651.57萬
315.49%651.57萬
總資產
-28.15%1,680.1萬
10.58%1,738.14萬
-6.03%1,834.83萬
-14.01%1,858.57萬
-14.01%1,858.57萬
28.82%2,338.39萬
-18.98%1,571.79萬
-13.68%1,952.55萬
48.04%2,161.48萬
48.04%2,161.48萬
負債
流動負債
應付款項
31.39%349.52萬
157.71%110.32萬
41.27%219.85萬
76.61%170.63萬
76.61%170.63萬
312.47%266.01萬
-37.42%42.81萬
109.61%155.62萬
92.99%96.61萬
92.99%96.61萬
-應付賬款
31.42%349.25萬
158.70%110.05萬
41.35%219.58萬
76.84%170.36萬
76.84%170.36萬
318.95%265.74萬
-36.81%42.54萬
112.25%155.35萬
176.80%96.34萬
176.80%96.34萬
-應付稅費
0.00%2,670
0.00%2,670
0.00%2,670
-3.40%2,670
-3.40%2,670
-74.83%2,670
-75.33%2,670
-74.49%2,670
-72.84%2,764
-72.84%2,764
應計費用
312.63%223.84萬
82.48%112.22萬
-10.10%68.23萬
-37.37%77.28萬
-37.37%77.28萬
-9.28%54.25萬
9.72%61.5萬
28.00%75.9萬
98.77%123.4萬
98.77%123.4萬
短期借款與租賃負債
659.61%543.43萬
746.52%555.21萬
700.79%562.28萬
437.40%355.07萬
437.40%355.07萬
24.25%71.54萬
656.87%65.59萬
703.22%70.22萬
524.13%66.07萬
524.13%66.07萬
-短期借款
--445.38萬
--457.65萬
--469.17萬
--277.14萬
--277.14萬
----
----
----
----
----
-短期租賃負債
37.05%98.05萬
48.74%97.56萬
32.61%93.11萬
17.94%77.93萬
17.94%77.93萬
24.25%71.54萬
656.87%65.59萬
703.22%70.22萬
524.13%66.07萬
524.13%66.07萬
流動負債總額
185.04%1,116.78萬
357.79%777.75萬
181.83%850.36萬
110.77%602.98萬
110.77%602.98萬
115.43%391.8萬
27.63%169.89萬
112.07%301.73萬
133.10%286.08萬
133.10%286.08萬
非流動負債
長期借款與租賃負債
-59.48%274.56萬
-12.16%310.62萬
-11.72%327.77萬
-1.80%375.93萬
-1.80%375.93萬
63.66%677.56萬
2,922.08%353.61萬
2,376.40%371.26萬
2,086.83%382.83萬
2,086.83%382.83萬
-長期借款
-95.81%13.55萬
--15.98萬
--12.35萬
--13.34萬
--13.34萬
--323.68萬
----
----
----
----
-長期租賃負債
-26.24%261.01萬
-16.68%294.64萬
-15.04%315.41萬
-5.29%362.6萬
-5.29%362.6萬
-14.52%353.88萬
2,922.08%353.61萬
2,376.40%371.26萬
2,086.83%382.83萬
2,086.83%382.83萬
非流動負債總額
-59.48%274.56萬
-12.16%310.62萬
-11.72%327.77萬
-1.80%375.93萬
-1.80%375.93萬
63.66%677.56萬
2,922.08%353.61萬
2,376.40%371.26萬
2,086.83%382.83萬
2,086.83%382.83萬
總負債
30.11%1,391.34萬
107.90%1,088.37萬
75.06%1,178.13萬
46.34%978.91萬
46.34%978.91萬
79.46%1,069.36萬
261.50%523.5萬
327.92%673萬
377.00%668.91萬
377.00%668.91萬
所有者權益
股本
8.02%9,583.76萬
11.94%9,455.24萬
12.21%9,455.24萬
7.81%8,848.74萬
7.81%8,848.74萬
22.06%8,871.97萬
17.43%8,446.43萬
19.96%8,426.43萬
38.44%8,207.99萬
38.44%8,207.99萬
-普通股股本
8.02%9,583.76萬
11.94%9,455.24萬
12.21%9,455.24萬
7.81%8,848.74萬
7.81%8,848.74萬
22.06%8,871.97萬
17.43%8,446.43萬
19.96%8,426.43萬
38.44%8,207.99萬
38.44%8,207.99萬
留存收益
-14.13%-1.21億
-17.11%-1.16億
-21.62%-1.15億
-28.10%-1.12億
-28.10%-1.12億
-33.83%-1.06億
-37.93%-9,863.9萬
-57.64%-9,479.62萬
-61.43%-8,767.61萬
-61.43%-8,767.61萬
不影響留存收益的損益
-6.44%2,810.26萬
11.39%2,746.6萬
17.04%2,730.2萬
60.51%3,261.86萬
60.51%3,261.86萬
60.07%3,003.84萬
40.55%2,465.75萬
113.24%2,332.74萬
147.16%2,032.18萬
147.16%2,032.18萬
其他權益
----
----
----
----
----
----
----
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--20萬
--20萬
股東權益總額
-77.25%288.76萬
-38.02%649.77萬
-48.68%656.7萬
-41.06%879.66萬
-41.06%879.66萬
4.07%1,269.03萬
-41.61%1,048.29萬
-39.20%1,279.56萬
13.08%1,492.57萬
13.08%1,492.57萬
總權益
-77.25%288.76萬
-38.02%649.77萬
-48.68%656.7萬
-41.06%879.66萬
-41.06%879.66萬
4.07%1,269.03萬
-41.61%1,048.29萬
-39.20%1,279.56萬
13.08%1,492.57萬
13.08%1,492.57萬
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
--
(Q3)2023/07/31(Q2)2023/04/30(Q1)2023/01/31(FY)2022/10/31(Q4)2022/10/31(Q3)2022/07/31(Q2)2022/04/30(Q1)2022/01/31(FY)2021/10/31(Q4)2021/10/31
資產
流動資產
現金及現金等價物和短期投資 -79.55%53.7萬-92.14%43.76萬-96.64%29.48萬-94.27%67.68萬-94.27%67.68萬-61.95%262.58萬-60.96%557.02萬-53.90%877.08萬-1.04%1,181.09萬-1.04%1,181.09萬
-現金和現金等價物 -79.55%53.7萬-92.14%43.76萬-96.64%29.48萬-94.27%67.68萬-94.27%67.68萬-61.95%262.58萬-60.96%557.02萬-53.90%877.08萬-1.04%1,181.09萬-1.04%1,181.09萬
應收款項 -22.86%479.62萬174.82%473.75萬136.54%504.33萬128.77%453.65萬128.77%453.65萬187.47%621.77萬57.59%172.39萬459.21%213.22萬758.59%198.3萬758.59%198.3萬
-應收賬款 -12.62%473.79萬185.18%426.44萬137.05%465.23萬122.94%414.61萬122.94%414.61萬187.96%542.24萬140.62%149.53萬43,367.35%196.26萬3,978.39%185.97萬3,978.39%185.97萬
-應收貸款 -94.33%2.94萬835.32%12.06萬321.35%5.36萬472.27%7.09萬472.27%7.09萬108.15%51.88萬-94.75%1.29萬-95.02%1.27萬--1.24萬--1.24萬
-應收稅費 -89.57%2.88萬63.44%35.24萬115.07%33.74萬188.15%31.95萬188.15%31.95萬802.29%27.65萬-4.91%21.56萬29.48%15.69萬-40.19%11.09萬-40.19%11.09萬
存貨 -5.64%483.1萬105.90%455.92萬167.17%531.24萬508.17%510.01萬508.17%510.01萬594.30%511.99萬333.56%221.43萬282.66%198.83萬164.21%83.86萬164.21%83.86萬
預付費用 7.22%54.18萬432.64%63.46萬78.18%34.97萬-21.02%36.86萬-21.02%36.86萬-76.94%50.53萬-93.91%11.91萬-82.11%19.63萬-15.14%46.67萬-15.14%46.67萬
流動資產合計 -26.01%1,070.59萬7.70%1,036.89萬-15.95%1,100.02萬-29.25%1,068.2萬-29.25%1,068.2萬20.65%1,446.87萬-46.01%962.75萬-37.75%1,308.76萬15.85%1,509.91萬15.85%1,509.91萬
非流動資產
固定資產淨額 -27.42%335.11萬-8.22%410.88萬-10.32%430.67萬-4.32%468.29萬-4.32%468.29萬-9.18%461.73萬805.81%447.69萬825.12%480.2萬894.34%489.45萬894.34%489.45萬
-固定資產 -11.55%507.48萬11.19%595.8萬4.78%595.77萬5.82%593.17萬5.82%593.17萬5.75%573.74萬636.83%535.83萬724.56%568.58萬824.67%560.56萬824.67%560.56萬
-累計折舊 -53.89%-172.37萬-109.82%-184.92萬-86.81%-165.1萬-75.61%-124.88萬-75.61%-124.88萬-228.35%-112.01萬-278.33%-88.13萬-418.40%-88.38萬-523.82%-71.11萬-523.82%-71.11萬
商譽及其他無形資產 -47.80%198.67萬99.79%214.97萬114.95%231.27萬130.10%247.58萬130.10%247.58萬253.75%380.62萬0.00%107.6萬0.00%107.6萬0.00%107.6萬0.00%107.6萬
-商譽 -87.03%49.38萬-54.11%49.38萬-54.11%49.38萬-54.11%49.38萬-54.11%49.38萬253.75%380.62萬0.00%107.6萬0.00%107.6萬0.00%107.6萬0.00%107.6萬
-其他無形資產 --149.29萬--165.59萬--181.9萬--198.2萬--198.2萬--------------------
長期應收票據 --24.74萬--23.08萬--24.23萬--24.77萬--24.77萬--------------0--0
長期預付費用 3.70%50.99萬-2.65%52.33萬-13.13%48.65萬-8.78%49.74萬-8.78%49.74萬--49.17萬--53.75萬--56萬--54.52萬--54.52萬
非流動資產合計 -31.63%609.51萬15.14%701.26萬14.14%734.81萬21.30%790.37萬21.30%790.37萬44.72%891.52萬287.87%609.04萬303.63%643.79萬315.49%651.57萬315.49%651.57萬
總資產 -28.15%1,680.1萬10.58%1,738.14萬-6.03%1,834.83萬-14.01%1,858.57萬-14.01%1,858.57萬28.82%2,338.39萬-18.98%1,571.79萬-13.68%1,952.55萬48.04%2,161.48萬48.04%2,161.48萬
負債
流動負債
應付款項 31.39%349.52萬157.71%110.32萬41.27%219.85萬76.61%170.63萬76.61%170.63萬312.47%266.01萬-37.42%42.81萬109.61%155.62萬92.99%96.61萬92.99%96.61萬
-應付賬款 31.42%349.25萬158.70%110.05萬41.35%219.58萬76.84%170.36萬76.84%170.36萬318.95%265.74萬-36.81%42.54萬112.25%155.35萬176.80%96.34萬176.80%96.34萬
-應付稅費 0.00%2,6700.00%2,6700.00%2,670-3.40%2,670-3.40%2,670-74.83%2,670-75.33%2,670-74.49%2,670-72.84%2,764-72.84%2,764
應計費用 312.63%223.84萬82.48%112.22萬-10.10%68.23萬-37.37%77.28萬-37.37%77.28萬-9.28%54.25萬9.72%61.5萬28.00%75.9萬98.77%123.4萬98.77%123.4萬
短期借款與租賃負債 659.61%543.43萬746.52%555.21萬700.79%562.28萬437.40%355.07萬437.40%355.07萬24.25%71.54萬656.87%65.59萬703.22%70.22萬524.13%66.07萬524.13%66.07萬
-短期借款 --445.38萬--457.65萬--469.17萬--277.14萬--277.14萬--------------------
-短期租賃負債 37.05%98.05萬48.74%97.56萬32.61%93.11萬17.94%77.93萬17.94%77.93萬24.25%71.54萬656.87%65.59萬703.22%70.22萬524.13%66.07萬524.13%66.07萬
流動負債總額 185.04%1,116.78萬357.79%777.75萬181.83%850.36萬110.77%602.98萬110.77%602.98萬115.43%391.8萬27.63%169.89萬112.07%301.73萬133.10%286.08萬133.10%286.08萬
非流動負債
長期借款與租賃負債 -59.48%274.56萬-12.16%310.62萬-11.72%327.77萬-1.80%375.93萬-1.80%375.93萬63.66%677.56萬2,922.08%353.61萬2,376.40%371.26萬2,086.83%382.83萬2,086.83%382.83萬
-長期借款 -95.81%13.55萬--15.98萬--12.35萬--13.34萬--13.34萬--323.68萬----------------
-長期租賃負債 -26.24%261.01萬-16.68%294.64萬-15.04%315.41萬-5.29%362.6萬-5.29%362.6萬-14.52%353.88萬2,922.08%353.61萬2,376.40%371.26萬2,086.83%382.83萬2,086.83%382.83萬
非流動負債總額 -59.48%274.56萬-12.16%310.62萬-11.72%327.77萬-1.80%375.93萬-1.80%375.93萬63.66%677.56萬2,922.08%353.61萬2,376.40%371.26萬2,086.83%382.83萬2,086.83%382.83萬
總負債 30.11%1,391.34萬107.90%1,088.37萬75.06%1,178.13萬46.34%978.91萬46.34%978.91萬79.46%1,069.36萬261.50%523.5萬327.92%673萬377.00%668.91萬377.00%668.91萬
所有者權益
股本 8.02%9,583.76萬11.94%9,455.24萬12.21%9,455.24萬7.81%8,848.74萬7.81%8,848.74萬22.06%8,871.97萬17.43%8,446.43萬19.96%8,426.43萬38.44%8,207.99萬38.44%8,207.99萬
-普通股股本 8.02%9,583.76萬11.94%9,455.24萬12.21%9,455.24萬7.81%8,848.74萬7.81%8,848.74萬22.06%8,871.97萬17.43%8,446.43萬19.96%8,426.43萬38.44%8,207.99萬38.44%8,207.99萬
留存收益 -14.13%-1.21億-17.11%-1.16億-21.62%-1.15億-28.10%-1.12億-28.10%-1.12億-33.83%-1.06億-37.93%-9,863.9萬-57.64%-9,479.62萬-61.43%-8,767.61萬-61.43%-8,767.61萬
不影響留存收益的損益 -6.44%2,810.26萬11.39%2,746.6萬17.04%2,730.2萬60.51%3,261.86萬60.51%3,261.86萬60.07%3,003.84萬40.55%2,465.75萬113.24%2,332.74萬147.16%2,032.18萬147.16%2,032.18萬
其他權益 ----------------------------------20萬--20萬
股東權益總額 -77.25%288.76萬-38.02%649.77萬-48.68%656.7萬-41.06%879.66萬-41.06%879.66萬4.07%1,269.03萬-41.61%1,048.29萬-39.20%1,279.56萬13.08%1,492.57萬13.08%1,492.57萬
總權益 -77.25%288.76萬-38.02%649.77萬-48.68%656.7萬-41.06%879.66萬-41.06%879.66萬4.07%1,269.03萬-41.61%1,048.29萬-39.20%1,279.56萬13.08%1,492.57萬13.08%1,492.57萬
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--

分析

分析師評級

暫無數據

目標價預測

暫無數據

熱議
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