加拿大市场个股详情

Avalon Advanced Materials Inc (AVL)

添加自选
  • 0.060
  • -0.010-14.29%
延时15分钟行情已收盘 06/03 16:00 (美东)
5009.96万总市值-2.31市盈率TTM

Avalon Advanced Materials Inc (AVL) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2026/02/28
(Q1)2025/11/30
(FY)2025/08/31
(Q4)2025/08/31
(Q3)2025/05/31
(Q2)2025/02/28
(Q1)2024/11/30
(FY)2024/08/31
(Q4)2024/08/31
(Q3)2024/05/31
资产
流动资产
现金及现金等价物和短期投资
639.61%1,193.6万
398.21%1,557.54万
104.11%145.39万
104.11%145.39万
-52.79%90.95万
114.25%161.38万
305.69%312.63万
-72.41%71.23万
-72.41%71.23万
159.85%192.65万
-现金和现金等价物
639.61%1,193.6万
398.21%1,557.54万
104.11%145.39万
104.11%145.39万
-52.79%90.95万
114.25%161.38万
305.69%312.63万
-72.41%71.23万
-72.41%71.23万
159.85%192.65万
应收款项
557.05%57.17万
206.24%23.59万
55.44%7.63万
55.44%7.63万
5.63%7.47万
-29.67%8.7万
-90.79%7.7万
-66.54%4.91万
-66.54%4.91万
-31.86%7.07万
-其他应收款
557.05%57.17万
206.24%23.59万
55.44%7.63万
55.44%7.63万
5.63%7.47万
-29.67%8.7万
-90.79%7.7万
-66.54%4.91万
-66.54%4.91万
-31.86%7.07万
预付费用
1,153.91%170.81万
56.85%19.91万
71.48%22.36万
71.48%22.36万
53.26%7.6万
22.33%13.62万
-64.61%12.69万
-63.79%13.04万
-63.79%13.04万
-86.95%4.96万
持有待售资产
--921.67万
----
----
----
----
----
----
--0
--0
--0
流动资产合计
1,175.55%2,343.25万
380.75%1,601.04万
96.66%175.38万
96.66%175.38万
-48.20%106.02万
85.88%183.71万
69.44%333.03万
-95.54%89.18万
-95.54%89.18万
67.04%204.67万
非流动资产
固定资产净额
0.77%1.13亿
0.42%1.12亿
0.15%1.12亿
0.15%1.12亿
0.06%1.12亿
-0.11%1.12亿
0.90%1.12亿
0.74%1.12亿
0.74%1.12亿
-5.77%1.12亿
-固定资产
1.00%1.14亿
0.65%1.14亿
0.38%1.13亿
0.38%1.13亿
0.30%1.13亿
0.10%1.13亿
0.18%1.13亿
-0.04%1.13亿
-0.04%1.13亿
-6.68%1.13亿
-累计折旧
-26.18%-126.98万
-28.14%-120.43万
-30.46%-113.94万
-30.46%-113.94万
-33.21%-107.29万
-30.42%-100.64万
45.76%-93.99万
49.83%-87.33万
49.83%-87.33万
60.30%-80.54万
投资和预付款
--0
-0.18%2,264.53万
-0.16%2,267.31万
-0.16%2,267.31万
-1.56%2,238.47万
-3.48%2,204.57万
-0.67%2,268.67万
--2,271.02万
--2,271.02万
--2,274.02万
-长期股权投资
--0
-0.18%2,264.53万
-0.16%2,267.31万
-0.16%2,267.31万
-1.56%2,238.47万
-3.48%2,204.57万
-0.67%2,268.67万
--2,271.02万
--2,271.02万
--2,274.02万
非流动递延资产
--0
--0
-18.18%72.61万
-18.18%72.61万
-54.55%46.7万
--60.72万
--74.73万
--88.74万
--88.74万
--102.75万
非流动资产合计
-16.19%1.13亿
-0.24%1.35亿
-0.03%1.35亿
-0.03%1.35亿
-0.63%1.35亿
-0.23%1.35亿
1.19%1.35亿
21.99%1.35亿
21.99%1.35亿
14.24%1.36亿
总资产
-0.14%1.36亿
8.92%1.51亿
0.61%1.37亿
0.61%1.37亿
-1.33%1.36亿
0.40%1.36亿
2.18%1.39亿
4.06%1.36亿
4.06%1.36亿
14.78%1.38亿
负债
流动负债
短期借款与资本租赁负债
255.18%762.42万
186.57%749.53万
-54.09%291.27万
-54.09%291.27万
1,156.17%167.82万
1,308.51%214.66万
55,632.71%261.55万
2,728.75%634.48万
2,728.75%634.48万
-93.36%13.36万
-短期借款
274.61%741.73万
194.67%729.31万
-56.26%271.5万
-56.26%271.5万
--148.5万
--198万
--247.5万
--620.77万
--620.77万
----
-短期资本租赁负债
24.23%20.69万
43.90%20.22万
44.24%19.77万
44.24%19.77万
44.59%19.32万
9.29%16.66万
2,894.59%14.05万
-38.90%13.7万
-38.90%13.7万
-39.55%13.36万
应付款项
377.23%223.67万
28.43%67.58万
0.48%46.07万
0.48%46.07万
-41.90%23万
-61.33%46.87万
-42.78%52.62万
-0.13%45.84万
-0.13%45.84万
-33.32%39.6万
-应付账款
377.23%223.67万
28.43%67.58万
0.48%46.07万
0.48%46.07万
-41.90%23万
-61.33%46.87万
-42.78%52.62万
-0.13%45.84万
-0.13%45.84万
-33.32%39.6万
应计费用
124.10%70.91万
8.75%96.57万
-11.91%91.67万
-11.91%91.67万
-14.11%60.24万
-49.94%31.64万
-19.93%88.79万
56.04%104.07万
56.04%104.07万
42.26%70.13万
递延负债
--61.54万
--61.54万
----
----
----
----
----
--0
--0
--0
其他流动负债
0.00%5
956,266.67%2.87万
-47.25%336
-47.25%336
--2
--5
--3
--637
--637
----
流动负债总额
281.54%1,118.54万
142.72%978.09万
-45.31%429.04万
-45.31%429.04万
103.97%251.06万
46.83%293.17万
98.19%402.97万
476.40%784.45万
476.40%784.45万
-61.71%123.09万
非流动负债
长期借款与租赁负债
-94.65%40.4万
-93.88%45.77万
986.42%768.42万
986.42%768.42万
5.32%761.65万
93.59%754.79万
144.00%748.07万
-76.98%70.73万
-76.98%70.73万
5,925.26%723.17万
-长期借款
----
----
141.57%717.45万
141.57%717.45万
8.92%705.58万
122.23%693.7万
122.48%682.08万
-1.33%297万
-1.33%297万
--647.78万
-长期租赁负债
-33.87%40.4万
-30.65%45.77万
-27.95%50.96万
-27.95%50.96万
-25.62%56.07万
-21.42%61.09万
--65.99万
1,027.74%70.73万
1,027.74%70.73万
528.11%75.39万
衍生品负债
----
----
----
----
----
----
----
-99.68%637
-99.68%637
-94.78%3,367
长期拨备
0.00%20.36万
0.00%20.36万
0.00%20.36万
0.00%20.36万
0.00%20.36万
0.00%20.36万
0.00%20.36万
-26.92%20.36万
-26.92%20.36万
-26.92%20.36万
非流动负债总额
-92.16%60.76万
-91.39%66.13万
765.94%788.78万
765.94%788.78万
5.13%782.01万
88.18%775.15万
131.77%768.43万
-74.34%91.09万
-74.34%91.09万
1,505.99%743.87万
负债总额
10.39%1,179.31万
-10.86%1,044.21万
39.09%1,217.82万
39.09%1,217.82万
19.16%1,033.07万
74.68%1,068.32万
119.00%1,171.4万
78.30%875.54万
78.30%875.54万
135.74%866.95万
所有者权益
股本
6.97%2.17亿
7.37%2.17亿
1.18%2.04亿
1.18%2.04亿
1.21%2.04亿
1.00%2.03亿
0.83%2.02亿
0.45%2.02亿
0.45%2.02亿
5.95%2.01亿
-普通股股本
6.97%2.17亿
7.37%2.17亿
1.18%2.04亿
1.18%2.04亿
1.21%2.04亿
1.00%2.03亿
0.83%2.02亿
0.45%2.02亿
0.45%2.02亿
5.95%2.01亿
留存收益
-19.53%-1.22亿
-5.50%-1.06亿
-5.28%-1.04亿
-5.28%-1.04亿
-6.19%-1.03亿
-6.95%-1.02亿
-6.79%-1亿
-0.65%-9,843.68万
-0.65%-9,843.68万
-0.05%-9,662.8万
其他股本权益
18.09%2,905.62万
17.10%2,900.84万
0.90%2,477.84万
0.90%2,477.84万
0.21%2,467.03万
2.45%2,460.47万
5.47%2,477.3万
5.16%2,455.85万
5.16%2,455.85万
6.48%2,461.91万
股东权益总额
-1.04%1.24亿
10.74%1.41亿
-2.03%1.25亿
-2.03%1.25亿
-2.71%1.26亿
-3.10%1.26亿
-2.62%1.27亿
1.17%1.28亿
1.17%1.28亿
10.96%1.29亿
总权益
-1.04%1.24亿
10.74%1.41亿
-2.03%1.25亿
-2.03%1.25亿
-2.71%1.26亿
-3.10%1.26亿
-2.62%1.27亿
1.17%1.28亿
1.17%1.28亿
10.96%1.29亿
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
--
--
(Q2)2026/02/28(Q1)2025/11/30(FY)2025/08/31(Q4)2025/08/31(Q3)2025/05/31(Q2)2025/02/28(Q1)2024/11/30(FY)2024/08/31(Q4)2024/08/31(Q3)2024/05/31
资产
流动资产
现金及现金等价物和短期投资 639.61%1,193.6万398.21%1,557.54万104.11%145.39万104.11%145.39万-52.79%90.95万114.25%161.38万305.69%312.63万-72.41%71.23万-72.41%71.23万159.85%192.65万
-现金和现金等价物 639.61%1,193.6万398.21%1,557.54万104.11%145.39万104.11%145.39万-52.79%90.95万114.25%161.38万305.69%312.63万-72.41%71.23万-72.41%71.23万159.85%192.65万
应收款项 557.05%57.17万206.24%23.59万55.44%7.63万55.44%7.63万5.63%7.47万-29.67%8.7万-90.79%7.7万-66.54%4.91万-66.54%4.91万-31.86%7.07万
-其他应收款 557.05%57.17万206.24%23.59万55.44%7.63万55.44%7.63万5.63%7.47万-29.67%8.7万-90.79%7.7万-66.54%4.91万-66.54%4.91万-31.86%7.07万
预付费用 1,153.91%170.81万56.85%19.91万71.48%22.36万71.48%22.36万53.26%7.6万22.33%13.62万-64.61%12.69万-63.79%13.04万-63.79%13.04万-86.95%4.96万
持有待售资产 --921.67万--------------------------0--0--0
流动资产合计 1,175.55%2,343.25万380.75%1,601.04万96.66%175.38万96.66%175.38万-48.20%106.02万85.88%183.71万69.44%333.03万-95.54%89.18万-95.54%89.18万67.04%204.67万
非流动资产
固定资产净额 0.77%1.13亿0.42%1.12亿0.15%1.12亿0.15%1.12亿0.06%1.12亿-0.11%1.12亿0.90%1.12亿0.74%1.12亿0.74%1.12亿-5.77%1.12亿
-固定资产 1.00%1.14亿0.65%1.14亿0.38%1.13亿0.38%1.13亿0.30%1.13亿0.10%1.13亿0.18%1.13亿-0.04%1.13亿-0.04%1.13亿-6.68%1.13亿
-累计折旧 -26.18%-126.98万-28.14%-120.43万-30.46%-113.94万-30.46%-113.94万-33.21%-107.29万-30.42%-100.64万45.76%-93.99万49.83%-87.33万49.83%-87.33万60.30%-80.54万
投资和预付款 --0-0.18%2,264.53万-0.16%2,267.31万-0.16%2,267.31万-1.56%2,238.47万-3.48%2,204.57万-0.67%2,268.67万--2,271.02万--2,271.02万--2,274.02万
-长期股权投资 --0-0.18%2,264.53万-0.16%2,267.31万-0.16%2,267.31万-1.56%2,238.47万-3.48%2,204.57万-0.67%2,268.67万--2,271.02万--2,271.02万--2,274.02万
非流动递延资产 --0--0-18.18%72.61万-18.18%72.61万-54.55%46.7万--60.72万--74.73万--88.74万--88.74万--102.75万
非流动资产合计 -16.19%1.13亿-0.24%1.35亿-0.03%1.35亿-0.03%1.35亿-0.63%1.35亿-0.23%1.35亿1.19%1.35亿21.99%1.35亿21.99%1.35亿14.24%1.36亿
总资产 -0.14%1.36亿8.92%1.51亿0.61%1.37亿0.61%1.37亿-1.33%1.36亿0.40%1.36亿2.18%1.39亿4.06%1.36亿4.06%1.36亿14.78%1.38亿
负债
流动负债
短期借款与资本租赁负债 255.18%762.42万186.57%749.53万-54.09%291.27万-54.09%291.27万1,156.17%167.82万1,308.51%214.66万55,632.71%261.55万2,728.75%634.48万2,728.75%634.48万-93.36%13.36万
-短期借款 274.61%741.73万194.67%729.31万-56.26%271.5万-56.26%271.5万--148.5万--198万--247.5万--620.77万--620.77万----
-短期资本租赁负债 24.23%20.69万43.90%20.22万44.24%19.77万44.24%19.77万44.59%19.32万9.29%16.66万2,894.59%14.05万-38.90%13.7万-38.90%13.7万-39.55%13.36万
应付款项 377.23%223.67万28.43%67.58万0.48%46.07万0.48%46.07万-41.90%23万-61.33%46.87万-42.78%52.62万-0.13%45.84万-0.13%45.84万-33.32%39.6万
-应付账款 377.23%223.67万28.43%67.58万0.48%46.07万0.48%46.07万-41.90%23万-61.33%46.87万-42.78%52.62万-0.13%45.84万-0.13%45.84万-33.32%39.6万
应计费用 124.10%70.91万8.75%96.57万-11.91%91.67万-11.91%91.67万-14.11%60.24万-49.94%31.64万-19.93%88.79万56.04%104.07万56.04%104.07万42.26%70.13万
递延负债 --61.54万--61.54万----------------------0--0--0
其他流动负债 0.00%5956,266.67%2.87万-47.25%336-47.25%336--2--5--3--637--637----
流动负债总额 281.54%1,118.54万142.72%978.09万-45.31%429.04万-45.31%429.04万103.97%251.06万46.83%293.17万98.19%402.97万476.40%784.45万476.40%784.45万-61.71%123.09万
非流动负债
长期借款与租赁负债 -94.65%40.4万-93.88%45.77万986.42%768.42万986.42%768.42万5.32%761.65万93.59%754.79万144.00%748.07万-76.98%70.73万-76.98%70.73万5,925.26%723.17万
-长期借款 --------141.57%717.45万141.57%717.45万8.92%705.58万122.23%693.7万122.48%682.08万-1.33%297万-1.33%297万--647.78万
-长期租赁负债 -33.87%40.4万-30.65%45.77万-27.95%50.96万-27.95%50.96万-25.62%56.07万-21.42%61.09万--65.99万1,027.74%70.73万1,027.74%70.73万528.11%75.39万
衍生品负债 -----------------------------99.68%637-99.68%637-94.78%3,367
长期拨备 0.00%20.36万0.00%20.36万0.00%20.36万0.00%20.36万0.00%20.36万0.00%20.36万0.00%20.36万-26.92%20.36万-26.92%20.36万-26.92%20.36万
非流动负债总额 -92.16%60.76万-91.39%66.13万765.94%788.78万765.94%788.78万5.13%782.01万88.18%775.15万131.77%768.43万-74.34%91.09万-74.34%91.09万1,505.99%743.87万
负债总额 10.39%1,179.31万-10.86%1,044.21万39.09%1,217.82万39.09%1,217.82万19.16%1,033.07万74.68%1,068.32万119.00%1,171.4万78.30%875.54万78.30%875.54万135.74%866.95万
所有者权益
股本 6.97%2.17亿7.37%2.17亿1.18%2.04亿1.18%2.04亿1.21%2.04亿1.00%2.03亿0.83%2.02亿0.45%2.02亿0.45%2.02亿5.95%2.01亿
-普通股股本 6.97%2.17亿7.37%2.17亿1.18%2.04亿1.18%2.04亿1.21%2.04亿1.00%2.03亿0.83%2.02亿0.45%2.02亿0.45%2.02亿5.95%2.01亿
留存收益 -19.53%-1.22亿-5.50%-1.06亿-5.28%-1.04亿-5.28%-1.04亿-6.19%-1.03亿-6.95%-1.02亿-6.79%-1亿-0.65%-9,843.68万-0.65%-9,843.68万-0.05%-9,662.8万
其他股本权益 18.09%2,905.62万17.10%2,900.84万0.90%2,477.84万0.90%2,477.84万0.21%2,467.03万2.45%2,460.47万5.47%2,477.3万5.16%2,455.85万5.16%2,455.85万6.48%2,461.91万
股东权益总额 -1.04%1.24亿10.74%1.41亿-2.03%1.25亿-2.03%1.25亿-2.71%1.26亿-3.10%1.26亿-2.62%1.27亿1.17%1.28亿1.17%1.28亿10.96%1.29亿
总权益 -1.04%1.24亿10.74%1.41亿-2.03%1.25亿-2.03%1.25亿-2.71%1.26亿-3.10%1.26亿-2.62%1.27亿1.17%1.28亿1.17%1.28亿10.96%1.29亿
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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