加拿大市场个股详情

Capella Minerals Ltd (CMIL)

添加自选
  • 0.050
  • -0.025-33.33%
延时15分钟行情已收盘 06/12 16:00 (美东)
379.93万总市值-1.00市盈率TTM

Capella Minerals Ltd (CMIL) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2026/02/28
(Q2)2025/11/30
(Q1)2025/08/31
(FY)2025/05/31
(Q4)2025/05/31
(Q3)2025/02/28
(Q2)2024/11/30
(Q1)2024/08/31
(FY)2024/05/31
(Q4)2024/05/31
资产
流动资产
现金及现金等价物和短期投资
400.29%92.33万
2,285.21%150.5万
-86.50%4.01万
-45.24%3.36万
-45.24%3.36万
255.98%18.46万
-69.24%6.31万
293.93%29.69万
5.93%6.14万
5.93%6.14万
-现金和现金等价物
400.29%92.33万
2,285.21%150.5万
-86.50%4.01万
-45.24%3.36万
-45.24%3.36万
255.98%18.46万
-69.24%6.31万
293.93%29.69万
5.93%6.14万
5.93%6.14万
应收款项
795.47%15.01万
329.03%6.88万
51.40%2.06万
44.66%1.31万
44.66%1.31万
173.09%1.68万
-57.79%1.6万
-66.48%1.36万
-77.76%9,064
-77.76%9,064
-应收税费
527.94%10.51万
1.65%1.63万
44.16%1.96万
44.79%1.31万
44.79%1.31万
173.94%1.67万
-13.86%1.6万
-24.90%1.36万
-56.01%9,033
-56.01%9,033
-其他应收款
150,006.67%4.5万
175,006.67%5.25万
3,336.67%1,031
6.45%33
6.45%33
0.00%30
-99.85%30
-99.87%30
-99.85%31
-99.85%31
预付费用
762.00%35.73万
187.21%6.65万
-47.29%1.4万
-64.54%1.45万
-64.54%1.45万
42.95%4.14万
-49.56%2.32万
-32.26%2.65万
9.21%4.09万
9.21%4.09万
持有待售资产
----
----
----
--0
--0
--0
--0
--0
--4.74万
--4.74万
流动资产合计
489.33%143.07万
1,503.61%164.03万
-77.84%7.47万
-61.44%6.12万
-61.44%6.12万
179.11%24.28万
-64.60%10.23万
117.20%33.7万
16.64%15.88万
16.64%15.88万
非流动资产
固定资产净额
-51.92%65.03万
-54.02%60.06万
0.48%121.72万
-26.97%119.18万
-26.97%119.18万
-79.80%135.26万
-80.68%130.61万
-81.52%121.14万
-73.93%163.19万
-73.93%163.19万
-固定资产
----
----
----
----
----
----
--130.82万
--121.32万
----
----
-累计折旧
----
----
----
----
----
----
---2,065
---1,865
----
----
投资和预付款
-98.83%3,206
-92.83%2.25万
-69.42%21.33万
-55.06%20.18万
-55.06%20.18万
71.91%27.43万
110.42%31.37万
445.52%69.76万
161.79%44.92万
161.79%44.92万
-长期股权投资
----
----
----
----
----
----
----
----
--0
--0
-金融资产投资
-98.83%3,206
-92.83%2.25万
-69.42%21.33万
-55.06%20.18万
-55.06%20.18万
265.77%27.43万
422.80%31.37万
1,921.90%69.76万
498.87%44.92万
498.87%44.92万
-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
-98.83%3,206
-92.83%2.25万
-69.42%21.33万
-55.06%20.18万
-55.06%20.18万
265.77%27.43万
422.80%31.37万
1,921.90%69.76万
498.87%44.92万
498.87%44.92万
非流动资产合计
-59.83%65.35万
-61.54%62.3万
-25.06%143.05万
-33.04%139.36万
-33.04%139.36万
-76.26%162.69万
-76.56%161.98万
-71.43%190.89万
-67.65%208.11万
-67.65%208.11万
总资产
11.47%208.42万
31.43%226.33万
-32.98%150.52万
-35.05%145.48万
-35.05%145.48万
-73.06%186.97万
-76.08%172.21万
-67.15%224.6万
-65.90%223.99万
-65.90%223.99万
负债
流动负债
短期借款与资本租赁负债
-47.53%12.5万
-19.41%18.62万
7.21%23.26万
8.83%23.3万
8.83%23.3万
13.65%23.83万
10.58%23.11万
--21.69万
--21.41万
--21.41万
-短期借款
-47.53%12.5万
-19.41%18.62万
7.21%23.26万
8.83%23.3万
8.83%23.3万
13.65%23.83万
10.58%23.11万
--21.69万
--21.41万
--21.41万
应付款项
-17.18%55.81万
-9.05%50.36万
-9.35%71.92万
-13.26%72.75万
-13.26%72.75万
-15.12%67.4万
-17.99%55.38万
-12.26%79.34万
-13.74%83.88万
-13.74%83.88万
-应付账款
5.43%55.81万
21.70%50.36万
4.32%68.56万
24.66%65.88万
24.66%65.88万
-20.28%52.94万
-17.71%41.38万
-14.54%65.71万
-36.84%52.85万
-36.84%52.85万
-其他应付款
----
----
-75.29%3.37万
-77.86%6.87万
-77.86%6.87万
11.26%14.45万
-18.80%13.99万
0.72%13.63万
128.85%31.03万
128.85%31.03万
应计费用
-7.92%44.04万
34.48%60.73万
90.57%88.99万
75.68%77.76万
75.68%77.76万
48.51%47.83万
76.16%45.16万
135.70%46.7万
275.97%44.26万
275.97%44.26万
其他流动负债
--16.74万
--4.55万
----
--10.56万
--10.56万
----
----
-99.81%90
----
----
流动负债总额
-7.16%129.1万
8.60%134.27万
24.66%184.17万
23.29%184.37万
23.29%184.37万
4.89%139.05万
7.17%123.64万
28.36%147.74万
31.01%149.55万
31.01%149.55万
非流动负债
长期应付账款及其他应付款项
----
----
----
----
----
----
----
----
--0
--0
非流动负债总额
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
负债总额
-7.16%129.1万
8.60%134.27万
24.66%184.17万
23.29%184.37万
23.29%184.37万
-6.40%139.05万
-2.53%123.64万
5.46%147.74万
7.69%149.55万
7.69%149.55万
所有者权益
股本
8.45%2,578.45万
6.60%2,534.68万
0.36%2,386.1万
0.00%2,377.65万
0.00%2,377.65万
0.00%2,377.65万
0.00%2,377.65万
5.00%2,377.65万
5.00%2,377.65万
5.00%2,377.65万
-普通股股本
8.45%2,578.45万
6.60%2,534.68万
0.36%2,386.1万
0.00%2,377.65万
0.00%2,377.65万
0.00%2,377.65万
0.00%2,377.65万
5.00%2,377.65万
5.00%2,377.65万
5.00%2,377.65万
留存收益
-6.83%-2,782.66万
-5.08%-2,722.75万
-4.58%-2,680.55万
-4.37%-2,673.62万
-4.37%-2,673.62万
-24.54%-2,604.81万
-27.08%-2,591.17万
-27.48%-2,563.13万
-28.92%-2,561.63万
-28.92%-2,561.63万
不影响留存收益的损益
-65.33%-5.49万
-100.89%-7.9万
-94.86%-7.47万
-11.39%-8.62万
-11.39%-8.62万
50.94%-3.32万
66.31%-3.93万
68.86%-3.83万
58.47%-7.74万
58.47%-7.74万
其他股本权益
4.39%279.75万
8.70%278.1万
0.83%257.95万
0.00%255.84万
0.00%255.84万
4.75%268万
0.51%255.84万
-11.80%255.84万
3.74%255.84万
3.74%255.84万
股东权益总额
86.69%70.05万
113.97%82.13万
-166.09%-43.97万
-176.04%-48.75万
-176.04%-48.75万
-92.99%37.52万
-93.40%38.39万
-87.48%66.52万
-87.31%64.11万
-87.31%64.11万
非控制性权益
-10.78%9.27万
-2.45%9.93万
-0.14%10.31万
-4.48%9.86万
-4.48%9.86万
-0.38%10.39万
-10.88%10.18万
-15.32%10.33万
-18.11%10.32万
-18.11%10.32万
总权益
65.54%79.32万
89.56%92.07万
-143.79%-33.65万
-152.24%-38.89万
-152.24%-38.89万
-91.22%47.92万
-91.81%48.57万
-85.86%76.85万
-85.63%74.44万
-85.63%74.44万
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
--
--
--
--
无保留意见
--
(Q3)2026/02/28(Q2)2025/11/30(Q1)2025/08/31(FY)2025/05/31(Q4)2025/05/31(Q3)2025/02/28(Q2)2024/11/30(Q1)2024/08/31(FY)2024/05/31(Q4)2024/05/31
资产
流动资产
现金及现金等价物和短期投资 400.29%92.33万2,285.21%150.5万-86.50%4.01万-45.24%3.36万-45.24%3.36万255.98%18.46万-69.24%6.31万293.93%29.69万5.93%6.14万5.93%6.14万
-现金和现金等价物 400.29%92.33万2,285.21%150.5万-86.50%4.01万-45.24%3.36万-45.24%3.36万255.98%18.46万-69.24%6.31万293.93%29.69万5.93%6.14万5.93%6.14万
应收款项 795.47%15.01万329.03%6.88万51.40%2.06万44.66%1.31万44.66%1.31万173.09%1.68万-57.79%1.6万-66.48%1.36万-77.76%9,064-77.76%9,064
-应收税费 527.94%10.51万1.65%1.63万44.16%1.96万44.79%1.31万44.79%1.31万173.94%1.67万-13.86%1.6万-24.90%1.36万-56.01%9,033-56.01%9,033
-其他应收款 150,006.67%4.5万175,006.67%5.25万3,336.67%1,0316.45%336.45%330.00%30-99.85%30-99.87%30-99.85%31-99.85%31
预付费用 762.00%35.73万187.21%6.65万-47.29%1.4万-64.54%1.45万-64.54%1.45万42.95%4.14万-49.56%2.32万-32.26%2.65万9.21%4.09万9.21%4.09万
持有待售资产 --------------0--0--0--0--0--4.74万--4.74万
流动资产合计 489.33%143.07万1,503.61%164.03万-77.84%7.47万-61.44%6.12万-61.44%6.12万179.11%24.28万-64.60%10.23万117.20%33.7万16.64%15.88万16.64%15.88万
非流动资产
固定资产净额 -51.92%65.03万-54.02%60.06万0.48%121.72万-26.97%119.18万-26.97%119.18万-79.80%135.26万-80.68%130.61万-81.52%121.14万-73.93%163.19万-73.93%163.19万
-固定资产 --------------------------130.82万--121.32万--------
-累计折旧 ---------------------------2,065---1,865--------
投资和预付款 -98.83%3,206-92.83%2.25万-69.42%21.33万-55.06%20.18万-55.06%20.18万71.91%27.43万110.42%31.37万445.52%69.76万161.79%44.92万161.79%44.92万
-长期股权投资 ----------------------------------0--0
-金融资产投资 -98.83%3,206-92.83%2.25万-69.42%21.33万-55.06%20.18万-55.06%20.18万265.77%27.43万422.80%31.37万1,921.90%69.76万498.87%44.92万498.87%44.92万
-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 -98.83%3,206-92.83%2.25万-69.42%21.33万-55.06%20.18万-55.06%20.18万265.77%27.43万422.80%31.37万1,921.90%69.76万498.87%44.92万498.87%44.92万
非流动资产合计 -59.83%65.35万-61.54%62.3万-25.06%143.05万-33.04%139.36万-33.04%139.36万-76.26%162.69万-76.56%161.98万-71.43%190.89万-67.65%208.11万-67.65%208.11万
总资产 11.47%208.42万31.43%226.33万-32.98%150.52万-35.05%145.48万-35.05%145.48万-73.06%186.97万-76.08%172.21万-67.15%224.6万-65.90%223.99万-65.90%223.99万
负债
流动负债
短期借款与资本租赁负债 -47.53%12.5万-19.41%18.62万7.21%23.26万8.83%23.3万8.83%23.3万13.65%23.83万10.58%23.11万--21.69万--21.41万--21.41万
-短期借款 -47.53%12.5万-19.41%18.62万7.21%23.26万8.83%23.3万8.83%23.3万13.65%23.83万10.58%23.11万--21.69万--21.41万--21.41万
应付款项 -17.18%55.81万-9.05%50.36万-9.35%71.92万-13.26%72.75万-13.26%72.75万-15.12%67.4万-17.99%55.38万-12.26%79.34万-13.74%83.88万-13.74%83.88万
-应付账款 5.43%55.81万21.70%50.36万4.32%68.56万24.66%65.88万24.66%65.88万-20.28%52.94万-17.71%41.38万-14.54%65.71万-36.84%52.85万-36.84%52.85万
-其他应付款 ---------75.29%3.37万-77.86%6.87万-77.86%6.87万11.26%14.45万-18.80%13.99万0.72%13.63万128.85%31.03万128.85%31.03万
应计费用 -7.92%44.04万34.48%60.73万90.57%88.99万75.68%77.76万75.68%77.76万48.51%47.83万76.16%45.16万135.70%46.7万275.97%44.26万275.97%44.26万
其他流动负债 --16.74万--4.55万------10.56万--10.56万---------99.81%90--------
流动负债总额 -7.16%129.1万8.60%134.27万24.66%184.17万23.29%184.37万23.29%184.37万4.89%139.05万7.17%123.64万28.36%147.74万31.01%149.55万31.01%149.55万
非流动负债
长期应付账款及其他应付款项 ----------------------------------0--0
非流动负债总额 --0--0--0--0--0--0--0--0--0--0
负债总额 -7.16%129.1万8.60%134.27万24.66%184.17万23.29%184.37万23.29%184.37万-6.40%139.05万-2.53%123.64万5.46%147.74万7.69%149.55万7.69%149.55万
所有者权益
股本 8.45%2,578.45万6.60%2,534.68万0.36%2,386.1万0.00%2,377.65万0.00%2,377.65万0.00%2,377.65万0.00%2,377.65万5.00%2,377.65万5.00%2,377.65万5.00%2,377.65万
-普通股股本 8.45%2,578.45万6.60%2,534.68万0.36%2,386.1万0.00%2,377.65万0.00%2,377.65万0.00%2,377.65万0.00%2,377.65万5.00%2,377.65万5.00%2,377.65万5.00%2,377.65万
留存收益 -6.83%-2,782.66万-5.08%-2,722.75万-4.58%-2,680.55万-4.37%-2,673.62万-4.37%-2,673.62万-24.54%-2,604.81万-27.08%-2,591.17万-27.48%-2,563.13万-28.92%-2,561.63万-28.92%-2,561.63万
不影响留存收益的损益 -65.33%-5.49万-100.89%-7.9万-94.86%-7.47万-11.39%-8.62万-11.39%-8.62万50.94%-3.32万66.31%-3.93万68.86%-3.83万58.47%-7.74万58.47%-7.74万
其他股本权益 4.39%279.75万8.70%278.1万0.83%257.95万0.00%255.84万0.00%255.84万4.75%268万0.51%255.84万-11.80%255.84万3.74%255.84万3.74%255.84万
股东权益总额 86.69%70.05万113.97%82.13万-166.09%-43.97万-176.04%-48.75万-176.04%-48.75万-92.99%37.52万-93.40%38.39万-87.48%66.52万-87.31%64.11万-87.31%64.11万
非控制性权益 -10.78%9.27万-2.45%9.93万-0.14%10.31万-4.48%9.86万-4.48%9.86万-0.38%10.39万-10.88%10.18万-15.32%10.33万-18.11%10.32万-18.11%10.32万
总权益 65.54%79.32万89.56%92.07万-143.79%-33.65万-152.24%-38.89万-152.24%-38.89万-91.22%47.92万-91.81%48.57万-85.86%76.85万-85.63%74.44万-85.63%74.44万
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--------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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