加拿大市场个股详情

Argo Corp (ARGH)

添加自选
  • 0.370
  • 0.0000.00%
延时15分钟行情已收盘 01/22 16:00 (美东)
7312.05万总市值-4.63市盈率TTM

Argo Corp (ARGH) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 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
资产
流动资产
现金及现金等价物和短期投资
2,012.93%218.16万
933.37%725.67万
-60.12%71.24万
-54.69%6.62万
-54.69%6.62万
-60.28%10.33万
105.14%70.22万
-53.50%178.61万
-92.92%14.62万
-92.92%14.62万
-现金和现金等价物
2,012.93%218.16万
933.37%725.67万
-60.12%71.24万
-54.69%6.62万
-54.69%6.62万
-60.28%10.33万
105.14%70.22万
-53.50%178.61万
-92.92%14.62万
-92.92%14.62万
应收款项
111.19%138.89万
105.03%127.51万
36.43%87.14万
123.64%75.93万
123.64%75.93万
-43.68%65.77万
-63.24%62.19万
-39.56%63.87万
-49.07%33.95万
-49.07%33.95万
-应收账款
61.73%32.85万
12.79%32.18万
-52.33%20.41万
-26.94%21.15万
-26.94%21.15万
-29.68%20.31万
-14.85%28.53万
-0.50%42.81万
-24.07%28.95万
-24.07%28.95万
-应收税费
158.37%103.77万
234.80%95.33万
292.72%66.73万
--54.77万
--54.77万
-40.24%40.16万
-73.59%28.47万
-72.88%16.99万
--0
--0
-其他应收款
-57.03%2.27万
----
----
----
----
-37.23%5.29万
-66.75%5.19万
--4.07万
--5万
--5万
存货
----
----
----
----
----
----
----
----
--0
--0
预付费用
164.74%14.86万
1,403.44%16.83万
198.83%16.07万
--2.9万
--2.9万
-83.40%5.61万
-96.56%1.12万
-85.30%5.38万
--0
--0
持有待售资产
----
----
----
----
----
--15.22万
----
----
----
----
流动资产合计
283.71%371.91万
551.53%870.01万
-29.62%174.45万
75.94%85.45万
75.94%85.45万
-47.56%96.93万
-45.33%133.53万
-53.64%247.86万
-91.92%48.57万
-91.92%48.57万
非流动资产
固定资产净额
1,008.32%433.04万
135.56%49.39万
43.69%52.09万
-25.98%40.99万
-25.98%40.99万
-97.14%39.07万
-98.59%20.97万
-97.74%36.25万
-97.22%55.38万
-97.22%55.38万
-固定资产
808.80%451.56万
118.77%66.65万
39.13%66.65万
-19.99%52.95万
-19.99%52.95万
-96.38%49.69万
-97.96%30.47万
-97.02%47.91万
-96.71%66.18万
-96.71%66.18万
-累计折旧
-74.50%-18.53万
-81.73%-17.26万
-24.94%-14.56万
-10.72%-11.96万
-10.72%-11.96万
-13.33%-10.62万
-11.85%-9.5万
-59.11%-11.65万
43.98%-10.8万
43.98%-10.8万
投资和预付款
-17.12%1,677万
-24.50%1,608.7万
-17.43%1,906.5万
-20.39%1,923.3万
-20.39%1,923.3万
-27.57%2,023.43万
-30.75%2,130.85万
-25.04%2,308.82万
1,668.10%2,416.03万
1,668.10%2,416.03万
-长期股权投资
----
----
----
----
----
-23.94%2,023.43万
-29.19%2,086.37万
-23.15%2,264.3万
--2,372.65万
--2,372.65万
-金融资产投资
--1,677万
3,516.45%1,608.7万
4,182.10%1,906.5万
-20.39%1,923.3万
-20.39%1,923.3万
--0
-65.93%44.48万
-66.64%44.52万
1,668.10%2,416.03万
1,668.10%2,416.03万
-其中:以公允价值计量且其变动计入当期损益的金融资产总额
--1,677万
3,516.45%1,608.7万
4,182.10%1,906.5万
-20.39%1,923.3万
-20.39%1,923.3万
--0
-65.93%44.48万
-66.64%44.52万
1,668.10%2,416.03万
1,668.10%2,416.03万
长期预付费用
--70.74万
3,317.92%250万
----
----
----
----
-90.27%7.31万
----
--0
--0
商誉及其他无形资产
320.42%55.97万
122.61%54.75万
69.59%47.6万
-14.63%26.93万
-14.63%26.93万
-94.79%13.31万
-91.07%24.59万
-90.48%28.07万
-89.97%31.54万
-89.97%31.54万
-商誉
----
----
----
----
----
----
----
----
--0
--0
-其他无形资产
320.42%55.97万
122.61%54.75万
69.59%47.6万
-14.63%26.93万
-14.63%26.93万
-91.15%13.31万
-85.55%24.59万
-85.22%28.07万
-84.95%31.54万
-84.95%31.54万
非流动递延资产
----
----
----
--0
--0
118.51%12.78万
126.15%12.95万
119.45%12.84万
113.64%12.51万
113.64%12.51万
其他非流动资产
0.00%4.52万
-27.35%4.52万
-27.26%4.52万
-27.11%4.52万
-27.11%4.52万
-92.11%4.52万
-90.01%6.22万
-90.22%6.21万
-90.17%6.2万
-90.17%6.2万
非流动资产合计
7.08%2,241.26万
-10.69%1,967.35万
-15.95%2,010.71万
-20.86%1,995.73万
-20.86%1,995.73万
-54.03%2,093.11万
-55.75%2,202.89万
-53.31%2,392.2万
-3.09%2,521.66万
-3.09%2,521.66万
总资产
19.32%2,613.18万
21.44%2,837.36万
-17.23%2,185.16万
-19.03%2,081.18万
-19.03%2,081.18万
-53.78%2,190.03万
-55.26%2,336.43万
-53.34%2,640.06万
-19.76%2,570.23万
-19.76%2,570.23万
负债
流动负债
短期借款与资本租赁负债
-87.10%8.4万
185.75%363.34万
-8.94%388.17万
13.60%397.22万
13.60%397.22万
-74.94%65.12万
-47.48%127.16万
91.98%426.28万
-6.08%349.65万
-6.08%349.65万
-短期借款
----
--333.8万
98.70%359.28万
--368.97万
--368.97万
240.91%37.5万
----
1,543.73%180.81万
----
----
-短期资本租赁负债
-69.59%8.4万
-76.77%29.54万
-88.23%28.89万
-91.92%28.25万
-91.92%28.25万
-88.90%27.62万
-44.98%127.16万
16.31%245.47万
-3.22%349.65万
-3.22%349.65万
应付款项
142.10%925.54万
32.66%1,067.58万
53.77%924.06万
71.35%867.37万
71.35%867.37万
-6.45%382.29万
26.57%804.73万
-1.65%600.93万
-43.75%506.2万
-43.75%506.2万
-应付账款
55.27%553.35万
-8.54%694.24万
-4.59%528.99万
8.24%455.46万
8.24%455.46万
-1.64%356.38万
28.68%759.09万
-2.11%554.42万
-48.23%420.79万
-48.23%420.79万
-应付税费
736.57%103.6万
718.84%102.78万
743.05%104.95万
765.54%104.99万
765.54%104.99万
-21.22%12.38万
-18.47%12.55万
-20.89%12.45万
-22.98%12.13万
-22.98%12.13万
-应付关联方款项
1,663.26%238.59万
627.03%240.55万
663.79%260.13万
539.84%276.92万
539.84%276.92万
-55.77%13.53万
8.43%33.09万
17.91%34.06万
-39.32%43.28万
-39.32%43.28万
-其他应付款
--30万
--30万
--30万
0.00%30万
0.00%30万
----
----
----
--30万
--30万
应计费用
-32.15%235.05万
39.37%544.66万
-12.94%408.76万
-10.23%430.36万
-10.23%430.36万
-16.16%346.45万
436.01%390.79万
449.55%469.53万
348.66%479.4万
348.66%479.4万
递延负债
3,252.23%1,096.05万
1,230.34%1,100.64万
414.42%16.19万
-74.33%12.87万
-74.33%12.87万
-64.44%32.7万
-15.61%82.73万
-96.33%3.15万
-34.99%50.13万
-34.99%50.13万
其他流动负债
-96.83%26.85万
--26.35万
-64.63%27.66万
--27.69万
--27.69万
--847.69万
----
--78.2万
----
----
流动负债总额
36.89%2,291.9万
120.76%3,102.58万
11.83%1,764.85万
25.27%1,735.51万
25.27%1,735.51万
42.64%1,674.25万
34.00%1,405.41万
57.16%1,578.09万
-4.86%1,385.38万
-4.86%1,385.38万
非流动负债
长期借款与租赁负债
-93.14%34.66万
-75.30%210.87万
-74.81%218.51万
-76.69%225.97万
-76.69%225.97万
-62.39%505.52万
-40.81%853.73万
-44.04%867.51万
-43.00%969.62万
-43.00%969.62万
-长期借款
-94.34%16.3万
-93.61%16万
0.00%16万
0.00%16万
0.00%16万
--288.24万
--250.28万
--16万
--16万
--16万
-长期租赁负债
-91.55%18.36万
-67.71%194.87万
-76.22%202.51万
-77.98%209.97万
-77.98%209.97万
-83.83%217.27万
-58.16%603.45万
-45.07%851.51万
-43.94%953.62万
-43.94%953.62万
其他非流动负债
----
----
----
----
----
---1
----
----
----
----
非流动负债总额
-93.14%34.66万
-75.30%210.87万
-74.81%218.51万
-76.69%225.97万
-76.69%225.97万
-62.39%505.52万
-40.81%853.73万
-44.04%867.51万
-43.00%969.62万
-43.00%969.62万
负债总额
6.73%2,326.56万
46.67%3,313.45万
-18.90%1,983.35万
-16.71%1,961.48万
-16.71%1,961.48万
-13.43%2,179.77万
-9.32%2,259.14万
-4.26%2,445.59万
-25.41%2,355万
-25.41%2,355万
所有者权益
股本
5.64%8,286.28万
4.04%7,900.5万
4.04%7,900.5万
4.04%7,900.5万
4.04%7,900.5万
3.30%7,844.05万
0.00%7,593.78万
0.00%7,593.78万
0.00%7,593.78万
0.00%7,593.78万
-普通股股本
5.64%8,286.28万
4.04%7,900.5万
4.04%7,900.5万
4.04%7,900.5万
4.04%7,900.5万
3.30%7,844.05万
0.00%7,593.78万
0.00%7,593.78万
0.00%7,593.78万
0.00%7,593.78万
资本公积
74.34%2,257.33万
39.82%2,160.3万
3.37%1,744.57万
-3.15%1,490万
-3.15%1,490万
-15.41%1,294.77万
1.62%1,545.04万
12.36%1,687.78万
4.53%1,538.44万
4.53%1,538.44万
留存收益
-11.30%-1.03亿
-15.19%-1.05亿
-4.34%-9,457.66万
-4.19%-9,285.23万
-4.19%-9,285.23万
-34.29%-9,227.76万
-43.80%-9,158.09万
-51.75%-9,064.52万
1.02%-8,911.82万
1.02%-8,911.82万
不影响留存收益的损益
198.48%13.11万
177.32%12.33万
163.75%14.39万
378.81%14.42万
378.81%14.42万
58.95%-13.31万
-6.26%-15.95万
-21.82%-22.57万
67.94%-5.17万
67.94%-5.17万
其他股本权益
----
----
----
----
----
--112.51万
--112.51万
----
----
----
股东权益总额
2,693.49%286.62万
-716.01%-476.09万
3.77%201.8万
-44.39%119.7万
-44.39%119.7万
-99.54%10.26万
-97.17%77.29万
-93.73%194.46万
367.70%215.23万
367.70%215.23万
总权益
2,693.49%286.62万
-716.01%-476.09万
3.77%201.8万
-44.39%119.7万
-44.39%119.7万
-99.54%10.26万
-97.17%77.29万
-93.73%194.46万
367.70%215.23万
367.70%215.23万
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
审计意见
--
--
--
带解释段的无保留意见
--
--
--
--
无保留意见
--
(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
资产
流动资产
现金及现金等价物和短期投资 2,012.93%218.16万933.37%725.67万-60.12%71.24万-54.69%6.62万-54.69%6.62万-60.28%10.33万105.14%70.22万-53.50%178.61万-92.92%14.62万-92.92%14.62万
-现金和现金等价物 2,012.93%218.16万933.37%725.67万-60.12%71.24万-54.69%6.62万-54.69%6.62万-60.28%10.33万105.14%70.22万-53.50%178.61万-92.92%14.62万-92.92%14.62万
应收款项 111.19%138.89万105.03%127.51万36.43%87.14万123.64%75.93万123.64%75.93万-43.68%65.77万-63.24%62.19万-39.56%63.87万-49.07%33.95万-49.07%33.95万
-应收账款 61.73%32.85万12.79%32.18万-52.33%20.41万-26.94%21.15万-26.94%21.15万-29.68%20.31万-14.85%28.53万-0.50%42.81万-24.07%28.95万-24.07%28.95万
-应收税费 158.37%103.77万234.80%95.33万292.72%66.73万--54.77万--54.77万-40.24%40.16万-73.59%28.47万-72.88%16.99万--0--0
-其他应收款 -57.03%2.27万-----------------37.23%5.29万-66.75%5.19万--4.07万--5万--5万
存货 ----------------------------------0--0
预付费用 164.74%14.86万1,403.44%16.83万198.83%16.07万--2.9万--2.9万-83.40%5.61万-96.56%1.12万-85.30%5.38万--0--0
持有待售资产 ----------------------15.22万----------------
流动资产合计 283.71%371.91万551.53%870.01万-29.62%174.45万75.94%85.45万75.94%85.45万-47.56%96.93万-45.33%133.53万-53.64%247.86万-91.92%48.57万-91.92%48.57万
非流动资产
固定资产净额 1,008.32%433.04万135.56%49.39万43.69%52.09万-25.98%40.99万-25.98%40.99万-97.14%39.07万-98.59%20.97万-97.74%36.25万-97.22%55.38万-97.22%55.38万
-固定资产 808.80%451.56万118.77%66.65万39.13%66.65万-19.99%52.95万-19.99%52.95万-96.38%49.69万-97.96%30.47万-97.02%47.91万-96.71%66.18万-96.71%66.18万
-累计折旧 -74.50%-18.53万-81.73%-17.26万-24.94%-14.56万-10.72%-11.96万-10.72%-11.96万-13.33%-10.62万-11.85%-9.5万-59.11%-11.65万43.98%-10.8万43.98%-10.8万
投资和预付款 -17.12%1,677万-24.50%1,608.7万-17.43%1,906.5万-20.39%1,923.3万-20.39%1,923.3万-27.57%2,023.43万-30.75%2,130.85万-25.04%2,308.82万1,668.10%2,416.03万1,668.10%2,416.03万
-长期股权投资 ---------------------23.94%2,023.43万-29.19%2,086.37万-23.15%2,264.3万--2,372.65万--2,372.65万
-金融资产投资 --1,677万3,516.45%1,608.7万4,182.10%1,906.5万-20.39%1,923.3万-20.39%1,923.3万--0-65.93%44.48万-66.64%44.52万1,668.10%2,416.03万1,668.10%2,416.03万
-其中:以公允价值计量且其变动计入当期损益的金融资产总额 --1,677万3,516.45%1,608.7万4,182.10%1,906.5万-20.39%1,923.3万-20.39%1,923.3万--0-65.93%44.48万-66.64%44.52万1,668.10%2,416.03万1,668.10%2,416.03万
长期预付费用 --70.74万3,317.92%250万-----------------90.27%7.31万------0--0
商誉及其他无形资产 320.42%55.97万122.61%54.75万69.59%47.6万-14.63%26.93万-14.63%26.93万-94.79%13.31万-91.07%24.59万-90.48%28.07万-89.97%31.54万-89.97%31.54万
-商誉 ----------------------------------0--0
-其他无形资产 320.42%55.97万122.61%54.75万69.59%47.6万-14.63%26.93万-14.63%26.93万-91.15%13.31万-85.55%24.59万-85.22%28.07万-84.95%31.54万-84.95%31.54万
非流动递延资产 --------------0--0118.51%12.78万126.15%12.95万119.45%12.84万113.64%12.51万113.64%12.51万
其他非流动资产 0.00%4.52万-27.35%4.52万-27.26%4.52万-27.11%4.52万-27.11%4.52万-92.11%4.52万-90.01%6.22万-90.22%6.21万-90.17%6.2万-90.17%6.2万
非流动资产合计 7.08%2,241.26万-10.69%1,967.35万-15.95%2,010.71万-20.86%1,995.73万-20.86%1,995.73万-54.03%2,093.11万-55.75%2,202.89万-53.31%2,392.2万-3.09%2,521.66万-3.09%2,521.66万
总资产 19.32%2,613.18万21.44%2,837.36万-17.23%2,185.16万-19.03%2,081.18万-19.03%2,081.18万-53.78%2,190.03万-55.26%2,336.43万-53.34%2,640.06万-19.76%2,570.23万-19.76%2,570.23万
负债
流动负债
短期借款与资本租赁负债 -87.10%8.4万185.75%363.34万-8.94%388.17万13.60%397.22万13.60%397.22万-74.94%65.12万-47.48%127.16万91.98%426.28万-6.08%349.65万-6.08%349.65万
-短期借款 ------333.8万98.70%359.28万--368.97万--368.97万240.91%37.5万----1,543.73%180.81万--------
-短期资本租赁负债 -69.59%8.4万-76.77%29.54万-88.23%28.89万-91.92%28.25万-91.92%28.25万-88.90%27.62万-44.98%127.16万16.31%245.47万-3.22%349.65万-3.22%349.65万
应付款项 142.10%925.54万32.66%1,067.58万53.77%924.06万71.35%867.37万71.35%867.37万-6.45%382.29万26.57%804.73万-1.65%600.93万-43.75%506.2万-43.75%506.2万
-应付账款 55.27%553.35万-8.54%694.24万-4.59%528.99万8.24%455.46万8.24%455.46万-1.64%356.38万28.68%759.09万-2.11%554.42万-48.23%420.79万-48.23%420.79万
-应付税费 736.57%103.6万718.84%102.78万743.05%104.95万765.54%104.99万765.54%104.99万-21.22%12.38万-18.47%12.55万-20.89%12.45万-22.98%12.13万-22.98%12.13万
-应付关联方款项 1,663.26%238.59万627.03%240.55万663.79%260.13万539.84%276.92万539.84%276.92万-55.77%13.53万8.43%33.09万17.91%34.06万-39.32%43.28万-39.32%43.28万
-其他应付款 --30万--30万--30万0.00%30万0.00%30万--------------30万--30万
应计费用 -32.15%235.05万39.37%544.66万-12.94%408.76万-10.23%430.36万-10.23%430.36万-16.16%346.45万436.01%390.79万449.55%469.53万348.66%479.4万348.66%479.4万
递延负债 3,252.23%1,096.05万1,230.34%1,100.64万414.42%16.19万-74.33%12.87万-74.33%12.87万-64.44%32.7万-15.61%82.73万-96.33%3.15万-34.99%50.13万-34.99%50.13万
其他流动负债 -96.83%26.85万--26.35万-64.63%27.66万--27.69万--27.69万--847.69万------78.2万--------
流动负债总额 36.89%2,291.9万120.76%3,102.58万11.83%1,764.85万25.27%1,735.51万25.27%1,735.51万42.64%1,674.25万34.00%1,405.41万57.16%1,578.09万-4.86%1,385.38万-4.86%1,385.38万
非流动负债
长期借款与租赁负债 -93.14%34.66万-75.30%210.87万-74.81%218.51万-76.69%225.97万-76.69%225.97万-62.39%505.52万-40.81%853.73万-44.04%867.51万-43.00%969.62万-43.00%969.62万
-长期借款 -94.34%16.3万-93.61%16万0.00%16万0.00%16万0.00%16万--288.24万--250.28万--16万--16万--16万
-长期租赁负债 -91.55%18.36万-67.71%194.87万-76.22%202.51万-77.98%209.97万-77.98%209.97万-83.83%217.27万-58.16%603.45万-45.07%851.51万-43.94%953.62万-43.94%953.62万
其他非流动负债 -----------------------1----------------
非流动负债总额 -93.14%34.66万-75.30%210.87万-74.81%218.51万-76.69%225.97万-76.69%225.97万-62.39%505.52万-40.81%853.73万-44.04%867.51万-43.00%969.62万-43.00%969.62万
负债总额 6.73%2,326.56万46.67%3,313.45万-18.90%1,983.35万-16.71%1,961.48万-16.71%1,961.48万-13.43%2,179.77万-9.32%2,259.14万-4.26%2,445.59万-25.41%2,355万-25.41%2,355万
所有者权益
股本 5.64%8,286.28万4.04%7,900.5万4.04%7,900.5万4.04%7,900.5万4.04%7,900.5万3.30%7,844.05万0.00%7,593.78万0.00%7,593.78万0.00%7,593.78万0.00%7,593.78万
-普通股股本 5.64%8,286.28万4.04%7,900.5万4.04%7,900.5万4.04%7,900.5万4.04%7,900.5万3.30%7,844.05万0.00%7,593.78万0.00%7,593.78万0.00%7,593.78万0.00%7,593.78万
资本公积 74.34%2,257.33万39.82%2,160.3万3.37%1,744.57万-3.15%1,490万-3.15%1,490万-15.41%1,294.77万1.62%1,545.04万12.36%1,687.78万4.53%1,538.44万4.53%1,538.44万
留存收益 -11.30%-1.03亿-15.19%-1.05亿-4.34%-9,457.66万-4.19%-9,285.23万-4.19%-9,285.23万-34.29%-9,227.76万-43.80%-9,158.09万-51.75%-9,064.52万1.02%-8,911.82万1.02%-8,911.82万
不影响留存收益的损益 198.48%13.11万177.32%12.33万163.75%14.39万378.81%14.42万378.81%14.42万58.95%-13.31万-6.26%-15.95万-21.82%-22.57万67.94%-5.17万67.94%-5.17万
其他股本权益 ----------------------112.51万--112.51万------------
股东权益总额 2,693.49%286.62万-716.01%-476.09万3.77%201.8万-44.39%119.7万-44.39%119.7万-99.54%10.26万-97.17%77.29万-93.73%194.46万367.70%215.23万367.70%215.23万
总权益 2,693.49%286.62万-716.01%-476.09万3.77%201.8万-44.39%119.7万-44.39%119.7万-99.54%10.26万-97.17%77.29万-93.73%194.46万367.70%215.23万367.70%215.23万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ------带解释段的无保留意见--------无保留意见--

FY:Financial Year 年度报告,相当于上市公司向SEC披露的10-K文件。

Q:Quarter 季度报告,相当于上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4为单季报,跨度为3个月;Q6、Q9为累计季报,Q6为6个月,Q9为9个月。

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