加拿大市场个股详情

The Canadian Chrome Co (CACR)

添加自选
  • 0.015
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延时15分钟行情已收盘 01/16 14:50 (美东)
4526.46万总市值0.00市盈率TTM

The Canadian Chrome Co (CACR) 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
53.73%17.8万
220.25%43.35万
150.54%35.83万
-73.90%8.1万
-73.90%8.1万
-59.64%11.58万
-80.65%13.54万
-65.35%14.3万
-66.31%31.05万
-66.31%31.05万
-现金和现金等价物
53.73%17.8万
220.25%43.35万
150.54%35.83万
-73.90%8.1万
-73.90%8.1万
-59.64%11.58万
-80.65%13.54万
-65.35%14.3万
-66.31%31.05万
-66.31%31.05万
应收款项
179.21%15.22万
4,270.00%17.71万
198.53%7.26万
255.26%21.65万
255.26%21.65万
-87.52%5.45万
-98.99%4,053
-94.26%2.43万
-85.61%6.09万
-85.61%6.09万
-应收税费
672.30%13.87万
3,814.16%14.65万
8.01%2.59万
187.92%15.33万
187.92%15.33万
-93.71%1.8万
-98.59%3,743
-90.14%2.4万
-71.17%5.33万
-71.17%5.33万
-其他应收款
-62.92%1.36万
9,773.87%3.06万
14,943.55%4.66万
722.83%6.31万
722.83%6.31万
-75.84%3.66万
-99.77%310
-99.83%310
-96.79%7,670
-96.79%7,670
预付费用
1,379.39%9.12万
224.11%4.49万
-62.94%1.36万
-85.18%6,565
-85.18%6,565
-90.76%6,163
-18.66%1.39万
95.25%3.66万
196.98%4.43万
196.98%4.43万
流动资产合计
138.80%42.14万
327.67%65.56万
117.96%44.44万
-26.86%30.41万
-26.86%30.41万
-77.67%17.65万
-86.27%15.33万
-76.39%20.39万
-69.43%41.57万
-69.43%41.57万
非流动资产
固定资产净额
-49.60%1.19万
-83.55%5,075
-67.70%1.23万
-0.16%1.95万
-0.16%1.95万
-4.10%2.36万
23.45%3.08万
28.31%3.81万
-43.08%1.96万
-43.08%1.96万
-固定资产
0.00%8.67万
0.00%8.67万
0.00%8.67万
42.23%8.67万
42.23%8.67万
-39.88%8.67万
--8.67万
-37.85%8.67万
-56.30%6.09万
-56.30%6.09万
-累计折旧
-18.58%-7.48万
-46.15%-8.16万
-53.01%-7.44万
-62.26%-6.72万
-62.26%-6.72万
47.26%-6.31万
---5.58万
55.72%-4.86万
60.62%-4.14万
60.62%-4.14万
其他非流动资产
-57.20%6.42万
-57.44%6.16万
-62.15%4.93万
-67.17%3.82万
-67.17%3.82万
41.99%14.99万
45.40%14.47万
38.48%13.01万
69.58%11.65万
69.58%11.65万
非流动资产合计
-56.16%7.61万
-62.03%6.67万
-63.40%6.16万
-57.53%5.78万
-57.53%5.78万
33.27%17.35万
41.00%17.56万
36.04%16.82万
32.01%13.6万
32.01%13.6万
总资产
42.14%49.74万
119.63%72.22万
35.98%50.6万
-34.42%36.18万
-34.42%36.18万
-61.98%35万
-73.50%32.88万
-61.93%37.21万
-62.29%55.17万
-62.29%55.17万
负债
流动负债
短期借款与资本租赁负债
12.55%128.95万
12.55%125.16万
12.55%121.52万
12.59%118.03万
12.59%118.03万
12.59%114.57万
12.59%111.2万
12.59%107.97万
12.55%104.84万
12.55%104.84万
-短期借款
12.55%128.95万
12.55%125.16万
12.55%121.52万
12.59%118.03万
12.59%118.03万
12.59%114.57万
12.59%111.2万
12.59%107.97万
12.55%104.84万
12.55%104.84万
应付款项
1,933.18%93.04万
35.03%73.37万
51.03%82.02万
43.91%78.15万
43.91%78.15万
-79.50%4.58万
141.19%54.34万
86.53%54.3万
235.00%54.3万
235.00%54.3万
-应付账款
1,933.18%93.04万
35.03%73.37万
51.03%82.02万
37.92%74.89万
37.92%74.89万
-79.50%4.58万
141.19%54.34万
86.53%54.3万
235.00%54.3万
235.00%54.3万
-其他应付款
----
----
----
--3.26万
--3.26万
----
----
----
----
----
应计费用
-1.16%429.01万
-10.84%403.64万
10.94%464.82万
13.20%449.38万
13.20%449.38万
8.55%434.05万
25.76%452.73万
17.20%418.97万
17.34%396.97万
17.34%396.97万
流动负债总额
17.68%651万
-2.60%602.18万
14.99%668.36万
16.09%645.56万
16.09%645.56万
5.58%553.19万
28.46%618.28万
20.47%581.24万
24.22%556.1万
24.22%556.1万
非流动负债
长期借款与租赁负债
8.68%3,201.84万
15.37%3,223.27万
15.75%3,132.14万
15.40%3,046.11万
15.40%3,046.11万
15.81%2,946.21万
14.17%2,793.76万
14.02%2,705.91万
13.75%2,639.51万
13.75%2,639.51万
-长期借款
8.68%3,201.84万
15.37%3,223.27万
15.75%3,132.14万
15.40%3,046.11万
15.40%3,046.11万
15.81%2,946.21万
14.17%2,793.76万
14.02%2,705.91万
13.75%2,639.51万
13.75%2,639.51万
非流动负债总额
8.68%3,201.84万
15.37%3,223.27万
15.75%3,132.14万
15.40%3,046.11万
15.40%3,046.11万
15.81%2,946.21万
14.17%2,793.76万
14.02%2,705.91万
13.75%2,639.51万
13.75%2,639.51万
负债总额
10.10%3,852.84万
12.12%3,825.45万
15.62%3,800.5万
15.52%3,691.67万
15.52%3,691.67万
14.06%3,499.4万
16.52%3,412.03万
15.11%3,287.15万
15.45%3,195.61万
15.45%3,195.61万
所有者权益
股本
18.01%6,420.47万
12.56%6,015.07万
5.28%5,563.33万
4.60%5,473.38万
4.60%5,473.38万
4.91%5,440.67万
4.21%5,343.81万
4.21%5,284.19万
4.38%5,232.58万
4.38%5,232.58万
-普通股股本
18.01%6,420.47万
12.56%6,015.07万
5.28%5,563.33万
4.60%5,473.38万
4.60%5,473.38万
4.91%5,440.67万
4.21%5,343.81万
4.21%5,284.19万
4.38%5,232.58万
4.38%5,232.58万
资本公积
-10.80%2,659.1万
5.31%2,974.66万
5.36%2,975.55万
5.74%2,981.13万
5.74%2,981.13万
5.34%2,981.13万
-0.32%2,824.79万
11.81%2,824.07万
31.05%2,819.17万
31.05%2,819.17万
留存收益
-12.41%-1.47亿
-12.76%-1.43亿
-8.04%-1.35亿
-7.78%-1.33亿
-7.78%-1.33亿
-7.26%-1.31亿
-5.96%-1.27亿
-8.92%-1.25亿
-13.12%-1.23亿
-13.12%-1.23亿
不影响留存收益的损益
0.00%-7.21万
0.00%-7.21万
0.00%-7.21万
0.00%-7.21万
0.00%-7.21万
0.00%-7.21万
0.00%-7.21万
0.00%-7.21万
0.00%-7.21万
0.00%-7.21万
其他股本权益
51.58%1,846.16万
36.66%1,583.99万
6.50%1,231.55万
3.72%1,204.47万
3.72%1,204.47万
-0.66%1,217.94万
-5.46%1,159.04万
1.86%1,156.35万
2.29%1,161.25万
2.29%1,161.25万
股东权益总额
-9.78%-3,803.1万
-11.07%-3,753.23万
-15.38%-3,749.9万
-16.40%-3,655.49万
-16.40%-3,655.49万
-16.42%-3,464.4万
-20.50%-3,379.15万
-17.84%-3,249.94万
-19.78%-3,140.44万
-19.78%-3,140.44万
总权益
-9.78%-3,803.1万
-11.07%-3,753.23万
-15.38%-3,749.9万
-16.40%-3,655.49万
-16.40%-3,655.49万
-16.42%-3,464.4万
-20.50%-3,379.15万
-17.84%-3,249.94万
-19.78%-3,140.44万
-19.78%-3,140.44万
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
--
--
--
--
--
--
(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 53.73%17.8万220.25%43.35万150.54%35.83万-73.90%8.1万-73.90%8.1万-59.64%11.58万-80.65%13.54万-65.35%14.3万-66.31%31.05万-66.31%31.05万
-现金和现金等价物 53.73%17.8万220.25%43.35万150.54%35.83万-73.90%8.1万-73.90%8.1万-59.64%11.58万-80.65%13.54万-65.35%14.3万-66.31%31.05万-66.31%31.05万
应收款项 179.21%15.22万4,270.00%17.71万198.53%7.26万255.26%21.65万255.26%21.65万-87.52%5.45万-98.99%4,053-94.26%2.43万-85.61%6.09万-85.61%6.09万
-应收税费 672.30%13.87万3,814.16%14.65万8.01%2.59万187.92%15.33万187.92%15.33万-93.71%1.8万-98.59%3,743-90.14%2.4万-71.17%5.33万-71.17%5.33万
-其他应收款 -62.92%1.36万9,773.87%3.06万14,943.55%4.66万722.83%6.31万722.83%6.31万-75.84%3.66万-99.77%310-99.83%310-96.79%7,670-96.79%7,670
预付费用 1,379.39%9.12万224.11%4.49万-62.94%1.36万-85.18%6,565-85.18%6,565-90.76%6,163-18.66%1.39万95.25%3.66万196.98%4.43万196.98%4.43万
流动资产合计 138.80%42.14万327.67%65.56万117.96%44.44万-26.86%30.41万-26.86%30.41万-77.67%17.65万-86.27%15.33万-76.39%20.39万-69.43%41.57万-69.43%41.57万
非流动资产
固定资产净额 -49.60%1.19万-83.55%5,075-67.70%1.23万-0.16%1.95万-0.16%1.95万-4.10%2.36万23.45%3.08万28.31%3.81万-43.08%1.96万-43.08%1.96万
-固定资产 0.00%8.67万0.00%8.67万0.00%8.67万42.23%8.67万42.23%8.67万-39.88%8.67万--8.67万-37.85%8.67万-56.30%6.09万-56.30%6.09万
-累计折旧 -18.58%-7.48万-46.15%-8.16万-53.01%-7.44万-62.26%-6.72万-62.26%-6.72万47.26%-6.31万---5.58万55.72%-4.86万60.62%-4.14万60.62%-4.14万
其他非流动资产 -57.20%6.42万-57.44%6.16万-62.15%4.93万-67.17%3.82万-67.17%3.82万41.99%14.99万45.40%14.47万38.48%13.01万69.58%11.65万69.58%11.65万
非流动资产合计 -56.16%7.61万-62.03%6.67万-63.40%6.16万-57.53%5.78万-57.53%5.78万33.27%17.35万41.00%17.56万36.04%16.82万32.01%13.6万32.01%13.6万
总资产 42.14%49.74万119.63%72.22万35.98%50.6万-34.42%36.18万-34.42%36.18万-61.98%35万-73.50%32.88万-61.93%37.21万-62.29%55.17万-62.29%55.17万
负债
流动负债
短期借款与资本租赁负债 12.55%128.95万12.55%125.16万12.55%121.52万12.59%118.03万12.59%118.03万12.59%114.57万12.59%111.2万12.59%107.97万12.55%104.84万12.55%104.84万
-短期借款 12.55%128.95万12.55%125.16万12.55%121.52万12.59%118.03万12.59%118.03万12.59%114.57万12.59%111.2万12.59%107.97万12.55%104.84万12.55%104.84万
应付款项 1,933.18%93.04万35.03%73.37万51.03%82.02万43.91%78.15万43.91%78.15万-79.50%4.58万141.19%54.34万86.53%54.3万235.00%54.3万235.00%54.3万
-应付账款 1,933.18%93.04万35.03%73.37万51.03%82.02万37.92%74.89万37.92%74.89万-79.50%4.58万141.19%54.34万86.53%54.3万235.00%54.3万235.00%54.3万
-其他应付款 --------------3.26万--3.26万--------------------
应计费用 -1.16%429.01万-10.84%403.64万10.94%464.82万13.20%449.38万13.20%449.38万8.55%434.05万25.76%452.73万17.20%418.97万17.34%396.97万17.34%396.97万
流动负债总额 17.68%651万-2.60%602.18万14.99%668.36万16.09%645.56万16.09%645.56万5.58%553.19万28.46%618.28万20.47%581.24万24.22%556.1万24.22%556.1万
非流动负债
长期借款与租赁负债 8.68%3,201.84万15.37%3,223.27万15.75%3,132.14万15.40%3,046.11万15.40%3,046.11万15.81%2,946.21万14.17%2,793.76万14.02%2,705.91万13.75%2,639.51万13.75%2,639.51万
-长期借款 8.68%3,201.84万15.37%3,223.27万15.75%3,132.14万15.40%3,046.11万15.40%3,046.11万15.81%2,946.21万14.17%2,793.76万14.02%2,705.91万13.75%2,639.51万13.75%2,639.51万
非流动负债总额 8.68%3,201.84万15.37%3,223.27万15.75%3,132.14万15.40%3,046.11万15.40%3,046.11万15.81%2,946.21万14.17%2,793.76万14.02%2,705.91万13.75%2,639.51万13.75%2,639.51万
负债总额 10.10%3,852.84万12.12%3,825.45万15.62%3,800.5万15.52%3,691.67万15.52%3,691.67万14.06%3,499.4万16.52%3,412.03万15.11%3,287.15万15.45%3,195.61万15.45%3,195.61万
所有者权益
股本 18.01%6,420.47万12.56%6,015.07万5.28%5,563.33万4.60%5,473.38万4.60%5,473.38万4.91%5,440.67万4.21%5,343.81万4.21%5,284.19万4.38%5,232.58万4.38%5,232.58万
-普通股股本 18.01%6,420.47万12.56%6,015.07万5.28%5,563.33万4.60%5,473.38万4.60%5,473.38万4.91%5,440.67万4.21%5,343.81万4.21%5,284.19万4.38%5,232.58万4.38%5,232.58万
资本公积 -10.80%2,659.1万5.31%2,974.66万5.36%2,975.55万5.74%2,981.13万5.74%2,981.13万5.34%2,981.13万-0.32%2,824.79万11.81%2,824.07万31.05%2,819.17万31.05%2,819.17万
留存收益 -12.41%-1.47亿-12.76%-1.43亿-8.04%-1.35亿-7.78%-1.33亿-7.78%-1.33亿-7.26%-1.31亿-5.96%-1.27亿-8.92%-1.25亿-13.12%-1.23亿-13.12%-1.23亿
不影响留存收益的损益 0.00%-7.21万0.00%-7.21万0.00%-7.21万0.00%-7.21万0.00%-7.21万0.00%-7.21万0.00%-7.21万0.00%-7.21万0.00%-7.21万0.00%-7.21万
其他股本权益 51.58%1,846.16万36.66%1,583.99万6.50%1,231.55万3.72%1,204.47万3.72%1,204.47万-0.66%1,217.94万-5.46%1,159.04万1.86%1,156.35万2.29%1,161.25万2.29%1,161.25万
股东权益总额 -9.78%-3,803.1万-11.07%-3,753.23万-15.38%-3,749.9万-16.40%-3,655.49万-16.40%-3,655.49万-16.42%-3,464.4万-20.50%-3,379.15万-17.84%-3,249.94万-19.78%-3,140.44万-19.78%-3,140.44万
总权益 -9.78%-3,803.1万-11.07%-3,753.23万-15.38%-3,749.9万-16.40%-3,655.49万-16.40%-3,655.49万-16.42%-3,464.4万-20.50%-3,379.15万-17.84%-3,249.94万-19.78%-3,140.44万-19.78%-3,140.44万
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------------

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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