加拿大市场个股详情

DeFi Technologies Inc (DEFI)

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  • 1.530
  • -0.030-1.92%
延时15分钟行情交易中 01/16 14:48 (美东)
5.90亿总市值117.69市盈率TTM

DeFi Technologies Inc (DEFI) 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
-44.36%2.31亿
5.23%2.8亿
4.83%2.91亿
1,267.93%3.84亿
1,267.93%3.84亿
3,583.84%4.15亿
1,077.97%2.66亿
1,468.73%2.78亿
673.93%2,807.51万
673.93%2,807.51万
-现金和现金等价物
680.16%1.2亿
84.97%2,637.39万
100.58%1,397.28万
214.97%1,597.27万
214.97%1,597.27万
871.25%1,532.27万
413.34%1,425.82万
114.02%696.63万
40.29%507.12万
40.29%507.12万
-短期投资
-72.12%1.11亿
0.71%2.54亿
2.37%2.78亿
1,500.06%3.68亿
1,500.06%3.68亿
4,025.36%4亿
1,171.19%2.52亿
1,773.49%2.71亿
181,131.82%2,300.38万
181,131.82%2,300.38万
应收款项
455.68%1.63亿
26.07%7,278.58万
-37.66%6,108.32万
-81.00%3,871.86万
-81.00%3,871.86万
-34.33%2,941.47万
91.51%5,773.26万
133.31%9,799.05万
412,106.79%2.04亿
412,106.79%2.04亿
-应收贷款
471.22%1.63亿
26.29%7,278.58万
-36.55%6,108.32万
-81.00%3,871.86万
-81.00%3,871.86万
-36.11%2,861.46万
92.11%5,763.47万
129.57%9,626.59万
--2.04亿
--2.04亿
-其他应收款
----
----
----
----
----
17,657.59%80.02万
-32.79%9.79万
2,460.59%172.46万
----
----
预付费用
58.87%478.2万
6.21%350.55万
-18.87%128.94万
22.14%139.01万
22.14%139.01万
880.51%300.99万
144.00%330.06万
451.22%158.93万
173.51%113.81万
173.51%113.81万
受限制现金
--538.77万
--965.46万
--1,237.61万
--1,069.27万
--1,069.27万
----
----
----
--0
--0
其他流动资产
164.92%4.46亿
-18.16%2.07亿
-24.59%2.11亿
97.39%2.8亿
97.39%2.8亿
118.61%1.68亿
184.93%2.52亿
230.03%2.79亿
85.06%1.42亿
85.06%1.42亿
流动资产合计
38.08%8.5亿
-1.21%5.72亿
-12.19%5.77亿
90.70%7.15亿
90.70%7.15亿
361.91%6.16亿
306.15%5.79亿
354.20%6.57亿
363.97%3.75亿
363.97%3.75亿
非流动资产
固定资产净额
572,683.14%317.11万
815.76%1.57万
--0
-98.44%90.5803
-98.44%90.5803
-93.11%553.6312
-83.94%1,714.9741
-74.43%3,287.4482
-99.59%5,788.4818
-99.59%5,788.4818
-固定资产
572,683.14%317.11万
815.76%1.57万
--0
-98.44%90.5803
-98.44%90.5803
-93.11%553.6312
-83.94%1,714.9741
-74.43%3,287.4482
-99.59%5,788.4818
-99.59%5,788.4818
投资和预付款
624.85%2.38亿
700.37%2.4亿
260.09%1.11亿
414.58%1.69亿
414.58%1.69亿
8.02%3,282.66万
-9.29%2,992.92万
-4.61%3,093.1万
48.41%3,282.11万
48.41%3,282.11万
-金融资产投资
624.85%2.38亿
700.37%2.4亿
260.09%1.11亿
414.58%1.69亿
414.58%1.69亿
8.02%3,282.66万
-9.29%2,992.92万
-4.61%3,093.1万
48.41%3,282.11万
48.41%3,282.11万
-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
624.85%2.38亿
700.37%2.4亿
260.09%1.11亿
414.58%1.69亿
414.58%1.69亿
8.02%3,282.66万
-9.29%2,992.92万
-4.61%3,093.1万
48.41%3,282.11万
48.41%3,282.11万
长期应收票据
----
--2,058.54万
----
----
----
----
----
----
----
----
商誉及其他无形资产
7.22%4,109.13万
8.27%4,134.63万
-1.54%3,850.01万
-5.38%3,584.59万
-5.38%3,584.59万
2.62%3,832.59万
-1.30%3,818.79万
2.13%3,910.09万
-1.68%3,788.25万
-1.68%3,788.25万
-商誉
9.69%4,006.52万
11.20%4,006.52万
2.41%3,740.34万
-2.36%3,437.93万
-2.36%3,437.93万
6.29%3,652.52万
2.21%3,602.86万
5.75%3,652.19万
2.31%3,521.18万
2.31%3,521.18万
-其他无形资产
-43.02%102.61万
-40.67%128.1万
-57.48%109.67万
-45.09%146.66万
-45.09%146.66万
-39.60%180.08万
-37.27%215.93万
-31.22%257.89万
-35.06%267.07万
-35.06%267.07万
其他非流动资产
12,286.32%6,920.32万
-76.76%13.39万
-88.35%15.76万
-30.82%33.56万
-30.82%33.56万
1,629.17%55.87万
961.40%57.63万
1,998.72%135.35万
1,133.80%48.51万
1,133.80%48.51万
非流动资产合计
390.03%3.51亿
339.08%3.02亿
110.17%1.5亿
188.05%2.05亿
188.05%2.05亿
5.81%7,171.17万
-4.26%6,869.51万
0.85%7,138.86万
14.62%7,119.45万
14.62%7,119.45万
总资产
74.78%12.02亿
34.86%8.74亿
-0.19%7.27亿
106.23%9.2亿
106.23%9.2亿
241.90%6.88亿
202.28%6.48亿
238.07%7.28亿
212.17%4.46亿
212.17%4.46亿
负债
流动负债
短期借款与资本租赁负债
33.66%1,335.39万
-42.98%740.69万
-79.40%878.1万
-77.06%971.84万
-77.06%971.84万
-76.06%999.13万
-69.17%1,299.05万
0.95%4,261.95万
8.87%4,237.2万
8.87%4,237.2万
-短期借款
28.24%1,281.31万
-42.98%740.69万
-79.40%878.1万
-77.06%971.84万
-77.06%971.84万
-76.06%999.13万
-69.17%1,299.05万
0.95%4,261.95万
8.87%4,237.2万
8.87%4,237.2万
-短期资本租赁负债
--54.08万
----
----
----
----
----
----
----
----
----
应付款项
73.95%9.99亿
39.48%7.81亿
-4.54%6.48亿
124.88%8.77亿
124.88%8.77亿
319.93%5.74亿
292.03%5.6亿
363.35%6.79亿
374.38%3.9亿
374.38%3.9亿
-应付账款
73.89%9.98亿
39.41%7.8亿
-4.53%6.48亿
124.99%8.77亿
124.99%8.77亿
321.07%5.74亿
292.72%5.6亿
364.72%6.79亿
375.43%3.9亿
375.43%3.9亿
-应付关联方款项
614.17%44.18万
541.01%44.18万
-33.22%4.19万
-58.63%10.24万
-58.63%10.24万
-83.89%6.19万
-74.50%6.89万
-85.95%6.28万
6.07%24.75万
6.07%24.75万
递延负债
----
----
----
----
----
--40.58万
--16.13万
--19.93万
----
----
其他流动负债
--6,927.25万
--1,728.91万
--1,429.53万
--1,748.7万
--1,748.7万
----
----
----
----
----
流动负债总额
84.99%10.81亿
40.58%8.05亿
-7.00%6.71亿
109.13%9.04亿
109.13%9.04亿
227.57%5.85亿
209.79%5.73亿
282.39%7.22亿
256.93%4.32亿
256.93%4.32亿
非流动负债
长期借款与租赁负债
--269.12万
----
----
----
----
----
----
----
----
----
-长期租赁负债
--269.12万
----
----
----
----
----
----
----
----
----
非流动负债总额
--269.12万
--0
--0
--0
--0
--0
---0.7301
---0.7401
--0
--0
负债总额
85.45%10.84亿
40.58%8.05亿
-7.00%6.71亿
109.13%9.04亿
109.13%9.04亿
227.57%5.85亿
209.79%5.73亿
282.39%7.22亿
253.26%4.32亿
253.26%4.32亿
所有者权益
股本
61.30%2.23亿
28.12%1.74亿
10.63%1.5亿
8.70%1.43亿
8.70%1.43亿
9.38%1.38亿
4.97%1.36亿
7.72%1.36亿
5.03%1.32亿
5.03%1.32亿
-普通股股本
62.76%2.2亿
28.76%1.71亿
11.02%1.47亿
9.11%1.4亿
9.11%1.4亿
9.60%1.35亿
5.18%1.33亿
7.92%1.33亿
5.10%1.29亿
5.10%1.29亿
-优先股股本
-0.25%319.06万
1.13%319.06万
-5.58%301.96万
-7.57%301.1万
-7.57%301.1万
0.61%319.84万
-3.25%315.5万
0.10%319.82万
2.31%325.75万
2.31%325.75万
留存收益
-105.87%-1.31亿
-67.25%-1.35亿
16.31%-1.25亿
-11.69%-1.55亿
-11.69%-1.55亿
47.15%-6,349.07万
32.02%-8,056.06万
-27.43%-1.49亿
-12.12%-1.38亿
-12.12%-1.38亿
减:库存股
----
--0
----
----
----
----
----
----
----
----
不影响留存收益的损益
130.62%84.85万
187.28%179.14万
204.35%225.63万
282.06%226.79万
282.06%226.79万
-21.53%-277.08万
-114.21%-205.24万
1.27%-216.22万
43.57%-124.57万
43.57%-124.57万
其他股本权益
-25.78%2,290.57万
18.64%2,632.35万
20.32%2,654.43万
15.79%2,499.14万
15.79%2,499.14万
66.75%3,086.37万
13.13%2,218.8万
11.13%2,206.15万
4.95%2,158.29万
4.95%2,158.29万
股东权益总额
12.91%1.16亿
-10.63%6,736.8万
729.55%5,420.94万
15.99%1,613.13万
15.99%1,613.13万
354.78%1.03亿
155.24%7,537.86万
-75.50%653.48万
-32.37%1,390.69万
-32.37%1,390.69万
非控制性权益
494,589.95%139.08万
445,133.81%148.49万
4,820.25%148.91万
--0
--0
-132.43%-281.2565
---333.6497
--3.03万
---3,671.7926
---3,671.7926
总权益
14.26%1.18亿
-8.66%6,885.28万
748.41%5,569.85万
16.03%1,613.13万
16.03%1,613.13万
354.76%1.03亿
155.24%7,537.83万
-75.39%656.51万
-32.39%1,390.33万
-32.39%1,390.33万
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
--
--
--
--
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 -44.36%2.31亿5.23%2.8亿4.83%2.91亿1,267.93%3.84亿1,267.93%3.84亿3,583.84%4.15亿1,077.97%2.66亿1,468.73%2.78亿673.93%2,807.51万673.93%2,807.51万
-现金和现金等价物 680.16%1.2亿84.97%2,637.39万100.58%1,397.28万214.97%1,597.27万214.97%1,597.27万871.25%1,532.27万413.34%1,425.82万114.02%696.63万40.29%507.12万40.29%507.12万
-短期投资 -72.12%1.11亿0.71%2.54亿2.37%2.78亿1,500.06%3.68亿1,500.06%3.68亿4,025.36%4亿1,171.19%2.52亿1,773.49%2.71亿181,131.82%2,300.38万181,131.82%2,300.38万
应收款项 455.68%1.63亿26.07%7,278.58万-37.66%6,108.32万-81.00%3,871.86万-81.00%3,871.86万-34.33%2,941.47万91.51%5,773.26万133.31%9,799.05万412,106.79%2.04亿412,106.79%2.04亿
-应收贷款 471.22%1.63亿26.29%7,278.58万-36.55%6,108.32万-81.00%3,871.86万-81.00%3,871.86万-36.11%2,861.46万92.11%5,763.47万129.57%9,626.59万--2.04亿--2.04亿
-其他应收款 --------------------17,657.59%80.02万-32.79%9.79万2,460.59%172.46万--------
预付费用 58.87%478.2万6.21%350.55万-18.87%128.94万22.14%139.01万22.14%139.01万880.51%300.99万144.00%330.06万451.22%158.93万173.51%113.81万173.51%113.81万
受限制现金 --538.77万--965.46万--1,237.61万--1,069.27万--1,069.27万--------------0--0
其他流动资产 164.92%4.46亿-18.16%2.07亿-24.59%2.11亿97.39%2.8亿97.39%2.8亿118.61%1.68亿184.93%2.52亿230.03%2.79亿85.06%1.42亿85.06%1.42亿
流动资产合计 38.08%8.5亿-1.21%5.72亿-12.19%5.77亿90.70%7.15亿90.70%7.15亿361.91%6.16亿306.15%5.79亿354.20%6.57亿363.97%3.75亿363.97%3.75亿
非流动资产
固定资产净额 572,683.14%317.11万815.76%1.57万--0-98.44%90.5803-98.44%90.5803-93.11%553.6312-83.94%1,714.9741-74.43%3,287.4482-99.59%5,788.4818-99.59%5,788.4818
-固定资产 572,683.14%317.11万815.76%1.57万--0-98.44%90.5803-98.44%90.5803-93.11%553.6312-83.94%1,714.9741-74.43%3,287.4482-99.59%5,788.4818-99.59%5,788.4818
投资和预付款 624.85%2.38亿700.37%2.4亿260.09%1.11亿414.58%1.69亿414.58%1.69亿8.02%3,282.66万-9.29%2,992.92万-4.61%3,093.1万48.41%3,282.11万48.41%3,282.11万
-金融资产投资 624.85%2.38亿700.37%2.4亿260.09%1.11亿414.58%1.69亿414.58%1.69亿8.02%3,282.66万-9.29%2,992.92万-4.61%3,093.1万48.41%3,282.11万48.41%3,282.11万
-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 624.85%2.38亿700.37%2.4亿260.09%1.11亿414.58%1.69亿414.58%1.69亿8.02%3,282.66万-9.29%2,992.92万-4.61%3,093.1万48.41%3,282.11万48.41%3,282.11万
长期应收票据 ------2,058.54万--------------------------------
商誉及其他无形资产 7.22%4,109.13万8.27%4,134.63万-1.54%3,850.01万-5.38%3,584.59万-5.38%3,584.59万2.62%3,832.59万-1.30%3,818.79万2.13%3,910.09万-1.68%3,788.25万-1.68%3,788.25万
-商誉 9.69%4,006.52万11.20%4,006.52万2.41%3,740.34万-2.36%3,437.93万-2.36%3,437.93万6.29%3,652.52万2.21%3,602.86万5.75%3,652.19万2.31%3,521.18万2.31%3,521.18万
-其他无形资产 -43.02%102.61万-40.67%128.1万-57.48%109.67万-45.09%146.66万-45.09%146.66万-39.60%180.08万-37.27%215.93万-31.22%257.89万-35.06%267.07万-35.06%267.07万
其他非流动资产 12,286.32%6,920.32万-76.76%13.39万-88.35%15.76万-30.82%33.56万-30.82%33.56万1,629.17%55.87万961.40%57.63万1,998.72%135.35万1,133.80%48.51万1,133.80%48.51万
非流动资产合计 390.03%3.51亿339.08%3.02亿110.17%1.5亿188.05%2.05亿188.05%2.05亿5.81%7,171.17万-4.26%6,869.51万0.85%7,138.86万14.62%7,119.45万14.62%7,119.45万
总资产 74.78%12.02亿34.86%8.74亿-0.19%7.27亿106.23%9.2亿106.23%9.2亿241.90%6.88亿202.28%6.48亿238.07%7.28亿212.17%4.46亿212.17%4.46亿
负债
流动负债
短期借款与资本租赁负债 33.66%1,335.39万-42.98%740.69万-79.40%878.1万-77.06%971.84万-77.06%971.84万-76.06%999.13万-69.17%1,299.05万0.95%4,261.95万8.87%4,237.2万8.87%4,237.2万
-短期借款 28.24%1,281.31万-42.98%740.69万-79.40%878.1万-77.06%971.84万-77.06%971.84万-76.06%999.13万-69.17%1,299.05万0.95%4,261.95万8.87%4,237.2万8.87%4,237.2万
-短期资本租赁负债 --54.08万------------------------------------
应付款项 73.95%9.99亿39.48%7.81亿-4.54%6.48亿124.88%8.77亿124.88%8.77亿319.93%5.74亿292.03%5.6亿363.35%6.79亿374.38%3.9亿374.38%3.9亿
-应付账款 73.89%9.98亿39.41%7.8亿-4.53%6.48亿124.99%8.77亿124.99%8.77亿321.07%5.74亿292.72%5.6亿364.72%6.79亿375.43%3.9亿375.43%3.9亿
-应付关联方款项 614.17%44.18万541.01%44.18万-33.22%4.19万-58.63%10.24万-58.63%10.24万-83.89%6.19万-74.50%6.89万-85.95%6.28万6.07%24.75万6.07%24.75万
递延负债 ----------------------40.58万--16.13万--19.93万--------
其他流动负债 --6,927.25万--1,728.91万--1,429.53万--1,748.7万--1,748.7万--------------------
流动负债总额 84.99%10.81亿40.58%8.05亿-7.00%6.71亿109.13%9.04亿109.13%9.04亿227.57%5.85亿209.79%5.73亿282.39%7.22亿256.93%4.32亿256.93%4.32亿
非流动负债
长期借款与租赁负债 --269.12万------------------------------------
-长期租赁负债 --269.12万------------------------------------
非流动负债总额 --269.12万--0--0--0--0--0---0.7301---0.7401--0--0
负债总额 85.45%10.84亿40.58%8.05亿-7.00%6.71亿109.13%9.04亿109.13%9.04亿227.57%5.85亿209.79%5.73亿282.39%7.22亿253.26%4.32亿253.26%4.32亿
所有者权益
股本 61.30%2.23亿28.12%1.74亿10.63%1.5亿8.70%1.43亿8.70%1.43亿9.38%1.38亿4.97%1.36亿7.72%1.36亿5.03%1.32亿5.03%1.32亿
-普通股股本 62.76%2.2亿28.76%1.71亿11.02%1.47亿9.11%1.4亿9.11%1.4亿9.60%1.35亿5.18%1.33亿7.92%1.33亿5.10%1.29亿5.10%1.29亿
-优先股股本 -0.25%319.06万1.13%319.06万-5.58%301.96万-7.57%301.1万-7.57%301.1万0.61%319.84万-3.25%315.5万0.10%319.82万2.31%325.75万2.31%325.75万
留存收益 -105.87%-1.31亿-67.25%-1.35亿16.31%-1.25亿-11.69%-1.55亿-11.69%-1.55亿47.15%-6,349.07万32.02%-8,056.06万-27.43%-1.49亿-12.12%-1.38亿-12.12%-1.38亿
减:库存股 ------0--------------------------------
不影响留存收益的损益 130.62%84.85万187.28%179.14万204.35%225.63万282.06%226.79万282.06%226.79万-21.53%-277.08万-114.21%-205.24万1.27%-216.22万43.57%-124.57万43.57%-124.57万
其他股本权益 -25.78%2,290.57万18.64%2,632.35万20.32%2,654.43万15.79%2,499.14万15.79%2,499.14万66.75%3,086.37万13.13%2,218.8万11.13%2,206.15万4.95%2,158.29万4.95%2,158.29万
股东权益总额 12.91%1.16亿-10.63%6,736.8万729.55%5,420.94万15.99%1,613.13万15.99%1,613.13万354.78%1.03亿155.24%7,537.86万-75.50%653.48万-32.37%1,390.69万-32.37%1,390.69万
非控制性权益 494,589.95%139.08万445,133.81%148.49万4,820.25%148.91万--0--0-132.43%-281.2565---333.6497--3.03万---3,671.7926---3,671.7926
总权益 14.26%1.18亿-8.66%6,885.28万748.41%5,569.85万16.03%1,613.13万16.03%1,613.13万354.76%1.03亿155.24%7,537.83万-75.39%656.51万-32.39%1,390.33万-32.39%1,390.33万
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--------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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