加拿大市場個股詳情

Visionstate Corp (VIS)

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延時15分鐘行情已收盤 01/15 16:00 (美東)
516.65萬總市值-4.00市盈率TTM

Visionstate Corp (VIS) 資產負債表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2025/06/30
(Q2)2025/03/31
(Q1)2024/12/31
(FY)2024/09/30
(Q4)2024/09/30
(Q3)2024/06/30
(Q2)2024/03/31
(Q1)2023/12/31
(FY)2023/09/30
(Q4)2023/09/30
資產
流動資產
現金及現金等價物和短期投資
94.40%30.74萬
11.21%35.95萬
101.64%38.94萬
408.53%45.65萬
408.53%45.65萬
118.83%15.81萬
26.43%32.32萬
12,583.26%19.31萬
353.43%8.98萬
353.43%8.98萬
-現金和現金等價物
94.40%30.74萬
11.21%35.95萬
101.64%38.94萬
408.53%45.65萬
408.53%45.65萬
118.83%15.81萬
26.43%32.32萬
12,583.26%19.31萬
353.43%8.98萬
353.43%8.98萬
應收款項
-16.76%11.54萬
25.69%26.65萬
-50.88%6.41萬
427.66%18.87萬
427.66%18.87萬
7.62%13.86萬
128.77%21.2萬
212.51%13.06萬
4.98%3.58萬
4.98%3.58萬
-應收賬款
-26.22%6.54萬
-34.28%10.65萬
-50.88%6.41萬
-0.28%1.37萬
-0.28%1.37萬
-31.20%8.86萬
74.82%16.2萬
212.51%13.06萬
-59.59%1.38萬
-59.59%1.38萬
-應收貸款
0.00%5萬
----
----
--0
--0
--5萬
--5萬
--0
--2.2萬
--2.2萬
-其他應收款
----
--16萬
----
--17.5萬
--17.5萬
----
----
----
----
----
預付費用
-37.13%11.28萬
-42.95%10.05萬
-51.24%8.59萬
-42.32%8.75萬
-42.32%8.75萬
295.18%17.94萬
374.19%17.61萬
1,266.43%17.61萬
1,473.99%15.17萬
1,473.99%15.17萬
流動資產合計
12.48%53.56萬
2.12%72.64萬
7.92%53.94萬
164.30%73.27萬
164.30%73.27萬
93.18%47.61萬
84.53%71.14萬
840.80%49.98萬
336.55%27.72萬
336.55%27.72萬
非流動資產
固定資產淨額
-21.15%3.48萬
-33.33%3.21萬
0.00%5.21萬
-28.57%4.01萬
-28.57%4.01萬
-26.67%4.41萬
-33.33%4.81萬
-31.58%5.21萬
-22.22%5.61萬
-22.22%5.61萬
-固定資產
-79.24%4.68萬
343.51%21.33萬
-77.67%5.21萬
-6.75%22.13萬
-6.75%22.13萬
274.81%22.53萬
-40.00%4.81萬
-10.73%23.33萬
-6.33%23.74萬
-6.33%23.74萬
-累計折舊
93.37%-1.2萬
---18.12萬
----
0.00%-18.12萬
0.00%-18.12萬
---18.12萬
----
2.16%-18.12萬
0.00%-18.12萬
0.00%-18.12萬
長期預付費用
0.00%5.33萬
0.00%5.33萬
0.00%5.33萬
0.00%5.33萬
0.00%5.33萬
-0.37%5.33萬
0.00%5.33萬
1.43%5.33萬
1.43%5.33萬
1.43%5.33萬
商譽及其他無形資產
280.43%7萬
536.36%7萬
--2萬
----
----
--1.84萬
--1.1萬
----
----
----
-其他無形資產
280.43%7萬
536.36%7萬
--2萬
----
----
--1.84萬
--1.1萬
----
----
----
非流動資產合計
36.52%15.8萬
38.24%15.53萬
18.98%12.54萬
-14.65%9.34萬
-14.65%9.34萬
-87.17%11.58萬
-87.70%11.24萬
-88.51%10.54萬
-88.02%10.94萬
-88.02%10.94萬
總資產
16.05%68.69萬
7.04%88.18萬
9.85%66.48萬
113.66%82.61萬
113.66%82.61萬
-48.47%59.19萬
-36.22%82.37萬
-37.11%60.52萬
-60.42%38.66萬
-60.42%38.66萬
負債
流動負債
短期借款與資本租賃負債
0.35%12.71萬
7.10%13.98萬
-27.47%14.41萬
-28.30%14.11萬
-28.30%14.11萬
-11.42%12.67萬
-55.70%13.06萬
48.89%19.87萬
46.25%19.68萬
46.25%19.68萬
-短期借款
0.00%12.27萬
0.00%12.27萬
-31.50%12.44萬
-31.70%12.4萬
-31.70%12.4萬
1.06%12.27萬
-56.40%12.27萬
49.53%18.15萬
49.53%18.15萬
49.53%18.15萬
-短期資本租賃負債
11.24%4,433
117.93%1.71萬
15.31%1.97萬
12.07%1.71萬
12.07%1.71萬
-81.55%3,985
-40.89%7,858
42.44%1.71萬
16.07%1.53萬
16.07%1.53萬
應付款項
171.09%12.46萬
-67.27%5.45萬
-37.18%10.33萬
-65.85%4.96萬
-65.85%4.96萬
-78.09%4.6萬
46.14%16.64萬
-0.48%16.44萬
-5.33%14.54萬
-5.33%14.54萬
-應付帳款
194.06%11.96萬
-65.33%5.45萬
-36.33%9.83萬
-76.91%3.14萬
-76.91%3.14萬
-49.92%4.07萬
45.64%15.71萬
88.08%15.43萬
-5.41%13.58萬
-5.41%13.58萬
-應付稅費
-5.46%5,004
--0
-50.25%5,007
90.95%1.83萬
90.95%1.83萬
71.68%5,293
77.41%9,305
374.99%1.01萬
3.66%9,581
3.66%9,581
應計費用
11.36%25.19萬
-1.04%20.99萬
-5.39%20.83萬
2.90%24.73萬
2.90%24.73萬
-7.92%22.62萬
16.72%21.21萬
8.03%22.01萬
9.15%24.03萬
9.15%24.03萬
遞延負債
--0
--0
--0
312.51%4.94萬
312.51%4.94萬
--22.75萬
-6.88%29.8萬
--31.5萬
-87.36%1.2萬
-87.36%1.2萬
流動負債總額
-19.59%50.36萬
-49.92%40.42萬
-49.27%45.56萬
-18.00%48.75萬
-18.00%48.75萬
2.26%62.63萬
-11.34%80.71萬
78.79%89.82萬
-1.44%59.45萬
-1.44%59.45萬
非流動負債
長期借款與租賃負債
-35.70%3.26萬
-60.97%2.13萬
-76.02%9,895
-36.62%2.96萬
-36.62%2.96萬
-51.76%5.08萬
-53.25%5.46萬
-63.47%4.13萬
-60.02%4.68萬
-60.02%4.68萬
-長期租賃負債
-35.70%3.26萬
-60.97%2.13萬
-76.02%9,895
-36.62%2.96萬
-36.62%2.96萬
0.00%5.08萬
-12.44%5.46萬
-29.47%4.13萬
-25.19%4.68萬
-25.19%4.68萬
非流動負債總額
-35.70%3.26萬
-60.97%2.13萬
-76.02%9,895
-36.62%2.96萬
-36.62%2.96萬
-51.76%5.08萬
-53.25%5.46萬
-63.47%4.13萬
-60.02%4.68萬
-60.02%4.68萬
負債總額
-20.80%53.62萬
-50.62%42.55萬
-50.45%46.55萬
-19.36%51.71萬
-19.36%51.71萬
-5.66%67.71萬
-16.11%86.17萬
52.67%93.94萬
-10.95%64.13萬
-10.95%64.13萬
所有者權益
股本
5.00%1,224.19萬
6.63%1,224.19萬
7.46%1,193.31萬
7.46%1,193.31萬
7.46%1,193.31萬
5.84%1,165.93萬
8.24%1,148.04萬
5.22%1,110.47萬
7.12%1,110.47萬
7.12%1,110.47萬
-普通股股本
5.00%1,224.19萬
6.63%1,224.19萬
7.46%1,193.31萬
7.46%1,193.31萬
7.46%1,193.31萬
5.84%1,165.93萬
8.24%1,148.04萬
5.22%1,110.47萬
7.12%1,110.47萬
7.12%1,110.47萬
資本公積
15.21%383.34萬
43.76%383.34萬
46.78%391.41萬
43.76%383.34萬
43.76%383.34萬
24.78%332.73萬
0.00%266.66萬
0.00%266.66萬
0.00%266.66萬
0.00%266.66萬
留存收益
-7.00%-1,711.81萬
-6.38%-1,681.26萬
-6.12%-1,671.37萬
-5.95%-1,660.41萬
-5.95%-1,660.41萬
-10.44%-1,599.81萬
-11.35%-1,580.39萬
-12.07%-1,575.05萬
-12.39%-1,567.09萬
-12.39%-1,567.09萬
其他股本權益
28.84%119.35萬
-26.28%119.35萬
-35.21%106.58萬
-30.30%114.65萬
-30.30%114.65萬
-24.92%92.64萬
36.82%161.89萬
39.41%164.49萬
40.97%164.49萬
40.97%164.49萬
股東權益總額
276.97%15.07萬
1,301.39%45.62萬
159.61%19.93萬
221.32%30.89萬
221.32%30.89萬
-119.76%-8.52萬
-114.37%-3.8萬
-196.32%-33.43萬
-199.23%-25.46萬
-199.23%-25.46萬
總權益
276.97%15.07萬
1,301.39%45.62萬
159.61%19.93萬
221.32%30.89萬
221.32%30.89萬
-119.76%-8.52萬
-114.37%-3.8萬
-196.32%-33.43萬
-199.23%-25.46萬
-199.23%-25.46萬
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
--
--
--
--
帶解釋段的無保留意見
--
(Q3)2025/06/30(Q2)2025/03/31(Q1)2024/12/31(FY)2024/09/30(Q4)2024/09/30(Q3)2024/06/30(Q2)2024/03/31(Q1)2023/12/31(FY)2023/09/30(Q4)2023/09/30
資產
流動資產
現金及現金等價物和短期投資 94.40%30.74萬11.21%35.95萬101.64%38.94萬408.53%45.65萬408.53%45.65萬118.83%15.81萬26.43%32.32萬12,583.26%19.31萬353.43%8.98萬353.43%8.98萬
-現金和現金等價物 94.40%30.74萬11.21%35.95萬101.64%38.94萬408.53%45.65萬408.53%45.65萬118.83%15.81萬26.43%32.32萬12,583.26%19.31萬353.43%8.98萬353.43%8.98萬
應收款項 -16.76%11.54萬25.69%26.65萬-50.88%6.41萬427.66%18.87萬427.66%18.87萬7.62%13.86萬128.77%21.2萬212.51%13.06萬4.98%3.58萬4.98%3.58萬
-應收賬款 -26.22%6.54萬-34.28%10.65萬-50.88%6.41萬-0.28%1.37萬-0.28%1.37萬-31.20%8.86萬74.82%16.2萬212.51%13.06萬-59.59%1.38萬-59.59%1.38萬
-應收貸款 0.00%5萬----------0--0--5萬--5萬--0--2.2萬--2.2萬
-其他應收款 ------16萬------17.5萬--17.5萬--------------------
預付費用 -37.13%11.28萬-42.95%10.05萬-51.24%8.59萬-42.32%8.75萬-42.32%8.75萬295.18%17.94萬374.19%17.61萬1,266.43%17.61萬1,473.99%15.17萬1,473.99%15.17萬
流動資產合計 12.48%53.56萬2.12%72.64萬7.92%53.94萬164.30%73.27萬164.30%73.27萬93.18%47.61萬84.53%71.14萬840.80%49.98萬336.55%27.72萬336.55%27.72萬
非流動資產
固定資產淨額 -21.15%3.48萬-33.33%3.21萬0.00%5.21萬-28.57%4.01萬-28.57%4.01萬-26.67%4.41萬-33.33%4.81萬-31.58%5.21萬-22.22%5.61萬-22.22%5.61萬
-固定資產 -79.24%4.68萬343.51%21.33萬-77.67%5.21萬-6.75%22.13萬-6.75%22.13萬274.81%22.53萬-40.00%4.81萬-10.73%23.33萬-6.33%23.74萬-6.33%23.74萬
-累計折舊 93.37%-1.2萬---18.12萬----0.00%-18.12萬0.00%-18.12萬---18.12萬----2.16%-18.12萬0.00%-18.12萬0.00%-18.12萬
長期預付費用 0.00%5.33萬0.00%5.33萬0.00%5.33萬0.00%5.33萬0.00%5.33萬-0.37%5.33萬0.00%5.33萬1.43%5.33萬1.43%5.33萬1.43%5.33萬
商譽及其他無形資產 280.43%7萬536.36%7萬--2萬----------1.84萬--1.1萬------------
-其他無形資產 280.43%7萬536.36%7萬--2萬----------1.84萬--1.1萬------------
非流動資產合計 36.52%15.8萬38.24%15.53萬18.98%12.54萬-14.65%9.34萬-14.65%9.34萬-87.17%11.58萬-87.70%11.24萬-88.51%10.54萬-88.02%10.94萬-88.02%10.94萬
總資產 16.05%68.69萬7.04%88.18萬9.85%66.48萬113.66%82.61萬113.66%82.61萬-48.47%59.19萬-36.22%82.37萬-37.11%60.52萬-60.42%38.66萬-60.42%38.66萬
負債
流動負債
短期借款與資本租賃負債 0.35%12.71萬7.10%13.98萬-27.47%14.41萬-28.30%14.11萬-28.30%14.11萬-11.42%12.67萬-55.70%13.06萬48.89%19.87萬46.25%19.68萬46.25%19.68萬
-短期借款 0.00%12.27萬0.00%12.27萬-31.50%12.44萬-31.70%12.4萬-31.70%12.4萬1.06%12.27萬-56.40%12.27萬49.53%18.15萬49.53%18.15萬49.53%18.15萬
-短期資本租賃負債 11.24%4,433117.93%1.71萬15.31%1.97萬12.07%1.71萬12.07%1.71萬-81.55%3,985-40.89%7,85842.44%1.71萬16.07%1.53萬16.07%1.53萬
應付款項 171.09%12.46萬-67.27%5.45萬-37.18%10.33萬-65.85%4.96萬-65.85%4.96萬-78.09%4.6萬46.14%16.64萬-0.48%16.44萬-5.33%14.54萬-5.33%14.54萬
-應付帳款 194.06%11.96萬-65.33%5.45萬-36.33%9.83萬-76.91%3.14萬-76.91%3.14萬-49.92%4.07萬45.64%15.71萬88.08%15.43萬-5.41%13.58萬-5.41%13.58萬
-應付稅費 -5.46%5,004--0-50.25%5,00790.95%1.83萬90.95%1.83萬71.68%5,29377.41%9,305374.99%1.01萬3.66%9,5813.66%9,581
應計費用 11.36%25.19萬-1.04%20.99萬-5.39%20.83萬2.90%24.73萬2.90%24.73萬-7.92%22.62萬16.72%21.21萬8.03%22.01萬9.15%24.03萬9.15%24.03萬
遞延負債 --0--0--0312.51%4.94萬312.51%4.94萬--22.75萬-6.88%29.8萬--31.5萬-87.36%1.2萬-87.36%1.2萬
流動負債總額 -19.59%50.36萬-49.92%40.42萬-49.27%45.56萬-18.00%48.75萬-18.00%48.75萬2.26%62.63萬-11.34%80.71萬78.79%89.82萬-1.44%59.45萬-1.44%59.45萬
非流動負債
長期借款與租賃負債 -35.70%3.26萬-60.97%2.13萬-76.02%9,895-36.62%2.96萬-36.62%2.96萬-51.76%5.08萬-53.25%5.46萬-63.47%4.13萬-60.02%4.68萬-60.02%4.68萬
-長期租賃負債 -35.70%3.26萬-60.97%2.13萬-76.02%9,895-36.62%2.96萬-36.62%2.96萬0.00%5.08萬-12.44%5.46萬-29.47%4.13萬-25.19%4.68萬-25.19%4.68萬
非流動負債總額 -35.70%3.26萬-60.97%2.13萬-76.02%9,895-36.62%2.96萬-36.62%2.96萬-51.76%5.08萬-53.25%5.46萬-63.47%4.13萬-60.02%4.68萬-60.02%4.68萬
負債總額 -20.80%53.62萬-50.62%42.55萬-50.45%46.55萬-19.36%51.71萬-19.36%51.71萬-5.66%67.71萬-16.11%86.17萬52.67%93.94萬-10.95%64.13萬-10.95%64.13萬
所有者權益
股本 5.00%1,224.19萬6.63%1,224.19萬7.46%1,193.31萬7.46%1,193.31萬7.46%1,193.31萬5.84%1,165.93萬8.24%1,148.04萬5.22%1,110.47萬7.12%1,110.47萬7.12%1,110.47萬
-普通股股本 5.00%1,224.19萬6.63%1,224.19萬7.46%1,193.31萬7.46%1,193.31萬7.46%1,193.31萬5.84%1,165.93萬8.24%1,148.04萬5.22%1,110.47萬7.12%1,110.47萬7.12%1,110.47萬
資本公積 15.21%383.34萬43.76%383.34萬46.78%391.41萬43.76%383.34萬43.76%383.34萬24.78%332.73萬0.00%266.66萬0.00%266.66萬0.00%266.66萬0.00%266.66萬
留存收益 -7.00%-1,711.81萬-6.38%-1,681.26萬-6.12%-1,671.37萬-5.95%-1,660.41萬-5.95%-1,660.41萬-10.44%-1,599.81萬-11.35%-1,580.39萬-12.07%-1,575.05萬-12.39%-1,567.09萬-12.39%-1,567.09萬
其他股本權益 28.84%119.35萬-26.28%119.35萬-35.21%106.58萬-30.30%114.65萬-30.30%114.65萬-24.92%92.64萬36.82%161.89萬39.41%164.49萬40.97%164.49萬40.97%164.49萬
股東權益總額 276.97%15.07萬1,301.39%45.62萬159.61%19.93萬221.32%30.89萬221.32%30.89萬-119.76%-8.52萬-114.37%-3.8萬-196.32%-33.43萬-199.23%-25.46萬-199.23%-25.46萬
總權益 276.97%15.07萬1,301.39%45.62萬159.61%19.93萬221.32%30.89萬221.32%30.89萬-119.76%-8.52萬-114.37%-3.8萬-196.32%-33.43萬-199.23%-25.46萬-199.23%-25.46萬
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--------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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