加拿大市场个股详情

DPM Metals Inc (DPM)

添加自选
  • 44.840
  • -1.460-3.15%
延时15分钟行情已收盘 06/01 16:00 (美东)
99.12亿总市值12.64市盈率TTM

DPM Metals Inc (DPM) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2026/03/31
(FY)2025/12/31
(Q4)2025/12/31
(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
资产
流动资产
现金及现金等价物和短期投资
-24.58%5.75亿
-21.59%4.98亿
-21.59%4.98亿
-37.16%4.14亿
-52.73%3.32亿
25.50%7.63亿
6.64%6.35亿
6.64%6.35亿
16.98%6.58亿
29.47%7.02亿
-现金和现金等价物
-24.58%5.75亿
-21.59%4.98亿
-21.59%4.98亿
-37.16%4.14亿
-52.73%3.32亿
25.50%7.63亿
6.64%6.35亿
6.64%6.35亿
16.98%6.58亿
29.47%7.02亿
应收款项
42.31%2.74亿
-24.39%2.43亿
-24.39%2.43亿
44.01%2.09亿
75.78%2亿
41.90%1.92亿
239.68%3.21亿
239.68%3.21亿
17.87%1.45亿
-16.61%1.14亿
-应收账款
42.31%2.74亿
-27.01%2.25亿
-27.01%2.25亿
44.01%2.09亿
75.78%2亿
41.90%1.92亿
238.02%3.09亿
238.02%3.09亿
17.87%1.45亿
-16.61%1.14亿
-应收税费
----
38.91%1,777.9万
38.91%1,777.9万
----
----
----
285.51%1,279.9万
285.51%1,279.9万
----
----
存货
66.55%5,490.6万
67.59%5,521.4万
67.59%5,521.4万
-67.79%6,980.4万
-14.34%3,098.7万
-12.43%3,296.7万
-14.41%3,294.5万
-14.41%3,294.5万
385.44%2.17亿
-18.53%3,617.3万
预付费用
----
149.86%1,075.9万
149.86%1,075.9万
----
----
----
-6.53%430.6万
-6.53%430.6万
----
----
持有待售资产
----
----
----
----
----
----
--0
--0
--0
--6,988.8万
其他流动资产
580.40%909.7万
-64.42%266.3万
-64.42%266.3万
-73.01%179.4万
20,583.93%4.68亿
39.13%133.7万
579.22%748.5万
579.22%748.5万
143.89%664.6万
21.32%226.5万
流动资产合计
-7.72%9.13亿
-19.13%8.09亿
-19.13%8.09亿
-32.37%6.94亿
11.61%10.31亿
14.17%9.9亿
22.53%10.01亿
22.53%10.01亿
40.03%10.27亿
27.49%9.24亿
非流动资产
固定资产净额
479.93%22.56亿
478.67%22.41亿
478.67%22.41亿
452.73%22.11亿
-3.39%3.91亿
-6.78%3.89亿
-9.73%3.87亿
-9.73%3.87亿
-12.52%4亿
-12.24%4.05亿
-固定资产
----
176.77%30.6亿
176.77%30.6亿
----
----
----
3.89%11.06亿
3.89%11.06亿
----
----
-累计折旧
----
-13.99%-8.19亿
-13.99%-8.19亿
----
----
----
-13.09%-7.18亿
-13.09%-7.18亿
----
----
投资和预付款
21.82%436.1万
20.44%332.3万
20.44%332.3万
17.81%332.8万
-84.51%286.1万
-80.87%358万
-76.82%275.9万
-76.82%275.9万
-47.87%282.5万
208.31%1,846.8万
-金融资产投资
21.82%436.1万
20.44%332.3万
20.44%332.3万
17.81%332.8万
-84.51%286.1万
-80.87%358万
-76.82%275.9万
-76.82%275.9万
-47.87%282.5万
208.31%1,846.8万
-其中:可供出售证券
21.82%436.1万
----
----
17.81%332.8万
-84.51%286.1万
-80.87%358万
----
----
--282.5万
--1,846.8万
金融资产
812.77%42.9万
----
----
111.54%5.5万
-19.05%3.4万
-56.48%4.7万
----
----
--2.6万
--4.2万
商誉及其他无形资产
-24.48%1,170.2万
-22.58%1,261.6万
-22.58%1,261.6万
-19.65%1,358.9万
-13.58%1,476.7万
-1.81%1,549.5万
9.74%1,629.5万
9.74%1,629.5万
9.24%1,691.2万
12.86%1,708.8万
-其他无形资产
----
-22.58%1,261.6万
-22.58%1,261.6万
----
----
----
9.74%1,629.5万
9.74%1,629.5万
----
----
非流动递延资产
-13.30%642.9万
-18.62%694.1万
-18.62%694.1万
-45.90%731.1万
-38.40%749.9万
-42.25%741.5万
-34.47%852.9万
-34.47%852.9万
15.09%1,351.3万
4.93%1,217.3万
其他非流动资产
78.00%964.2万
43.32%759万
43.32%759万
40.34%727.5万
10.96%548.8万
15.23%541.7万
19.33%529.6万
19.33%529.6万
-25.84%518.4万
-24.58%494.6万
非流动资产合计
443.65%22.89亿
440.65%22.72亿
440.65%22.72亿
411.44%22.42亿
-7.82%4.21亿
-10.32%4.21亿
-11.22%4.2亿
-11.22%4.2亿
-11.75%4.38亿
-8.59%4.57亿
总资产
126.98%32.02亿
116.81%30.81亿
116.81%30.81亿
100.42%29.37亿
5.18%14.52亿
5.56%14.11亿
10.15%14.21亿
10.15%14.21亿
19.11%14.65亿
12.75%13.81亿
负债
流动负债
短期借款与资本租赁负债
----
25.81%578.2万
25.81%578.2万
----
----
----
48.45%459.6万
48.45%459.6万
----
----
-短期资本租赁负债
----
25.81%578.2万
25.81%578.2万
----
----
----
48.45%459.6万
48.45%459.6万
----
----
应付款项
72.52%1.95亿
184.42%7,769.6万
184.42%7,769.6万
32.80%2.37亿
36.53%1.17亿
34.66%1.13亿
15.10%2,731.7万
15.10%2,731.7万
88.98%1.78亿
4.22%8,536.9万
-应付账款
67.16%1.72亿
588.55%5,688.1万
588.55%5,688.1万
38.71%2.28亿
37.86%1.07亿
33.22%1.03亿
-33.06%826.1万
-33.06%826.1万
97.30%1.64亿
2.96%7,781.8万
-应付税费
124.89%2,364.7万
-0.43%1,193.6万
-0.43%1,193.6万
-35.41%917.5万
22.82%927.4万
50.56%1,051.5万
191.30%1,198.7万
191.30%1,198.7万
27.07%1,420.5万
19.21%755.1万
-应付股利
----
25.60%887.9万
25.60%887.9万
----
----
----
-2.89%706.9万
-2.89%706.9万
----
----
-其他应付款
----
----
----
----
----
----
-1.81%647万
-1.81%647万
----
----
应计费用
----
97.59%8,407.4万
97.59%8,407.4万
----
----
----
-10.14%4,254.9万
-10.14%4,254.9万
----
----
养老金及其他退休福利计划
----
594.82%4,495.5万
594.82%4,495.5万
----
----
----
-1.81%647万
-1.81%647万
----
----
其他流动负债
104.96%1,513.2万
423.84%1,337.9万
423.84%1,337.9万
71.22%1,363.9万
-82.17%798.7万
-82.12%738.3万
-93.79%255.4万
-93.79%255.4万
21.10%796.6万
448.57%4,480.2万
流动负债总额
74.51%2.1亿
170.57%2.26亿
170.57%2.26亿
34.44%2.5亿
-4.32%1.25亿
-3.82%1.21亿
-31.49%8,348.6万
-31.49%8,348.6万
84.55%1.86亿
44.50%1.3亿
非流动负债
长期借款与租赁负债
----
-25.60%664万
-25.60%664万
----
----
----
-5.44%892.5万
-5.44%892.5万
----
----
-长期租赁负债
----
-25.60%664万
-25.60%664万
----
----
----
-5.44%892.5万
-5.44%892.5万
----
----
长期拨备
47.74%3,603.6万
59.21%3,707.6万
59.21%3,707.6万
49.62%3,759.7万
14.04%2,643.3万
2.27%2,439.1万
-8.46%2,328.8万
-8.46%2,328.8万
-41.61%2,512.9万
-48.15%2,317.9万
员工福利
86.31%4,526万
115.30%4,021.4万
115.30%4,021.4万
59.82%2,590.4万
51.25%1,693.7万
97.78%2,429.3万
44.31%1,867.8万
44.31%1,867.8万
55.55%1,620.8万
11.53%1,119.8万
递延负债
--1.54亿
--1.54亿
--1.54亿
--1.53亿
----
----
--0
--0
----
----
其他非流动负债
349.19%5,107.7万
--4,511.2万
--4,511.2万
267.50%4,678.7万
-13.10%1,160.8万
-18.66%1,137.1万
----
----
24.70%1,273.1万
15.76%1,335.8万
非流动负债总额
377.41%2.87亿
456.84%2.83亿
456.84%2.83亿
386.34%2.63亿
15.17%5,497.8万
19.84%6,005.5万
6.42%5,089.1万
6.42%5,089.1万
-15.07%5,406.8万
-27.98%4,773.5万
负债总额
175.24%4.97亿
278.98%5.09亿
278.98%5.09亿
113.62%5.13亿
0.91%1.8亿
2.94%1.81亿
-20.81%1.34亿
-20.81%1.34亿
46.02%2.4亿
13.78%1.78亿
所有者权益
股本
200.43%15.77亿
188.71%15.81亿
188.71%15.81亿
184.83%15.8亿
-7.08%5.18亿
-6.19%5.25亿
-2.04%5.48亿
-2.04%5.48亿
-0.54%5.55亿
-2.12%5.57亿
-普通股股本
200.43%15.77亿
188.71%15.81亿
188.71%15.81亿
184.83%15.8亿
-7.08%5.18亿
-6.19%5.25亿
-2.04%5.48亿
-2.04%5.48亿
-0.54%5.55亿
-2.12%5.57亿
资本公积
4.27%610万
5.56%616.9万
5.56%616.9万
9.69%615.6万
15.93%594.6万
-4.40%585万
-7.30%584.4万
-7.30%584.4万
3.66%561.2万
-3.95%512.9万
留存收益
60.28%11.22亿
34.15%9.86亿
34.15%9.86亿
25.75%8.37亿
17.34%7.5亿
17.80%7亿
31.97%7.35亿
31.97%7.35亿
31.30%6.66亿
28.08%6.39亿
不影响留存收益的损益
101.39%8,000
37.42%-89.3万
37.42%-89.3万
75.69%-30.9万
-237.22%-135.3万
-155.11%-57.7万
10.25%-142.7万
10.25%-142.7万
73.16%-127.1万
117.07%98.6万
股东权益总额
119.90%27.05亿
99.88%25.72亿
99.88%25.72亿
97.83%24.23亿
5.81%12.73亿
5.96%12.3亿
14.84%12.87亿
14.84%12.87亿
14.96%12.25亿
12.61%12.03亿
总权益
119.90%27.05亿
99.88%25.72亿
99.88%25.72亿
97.83%24.23亿
5.81%12.73亿
5.96%12.3亿
14.84%12.87亿
14.84%12.87亿
14.96%12.25亿
12.61%12.03亿
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
--
无保留意见
--
--
--
--
无保留意见
--
--
--
(Q1)2026/03/31(FY)2025/12/31(Q4)2025/12/31(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
资产
流动资产
现金及现金等价物和短期投资 -24.58%5.75亿-21.59%4.98亿-21.59%4.98亿-37.16%4.14亿-52.73%3.32亿25.50%7.63亿6.64%6.35亿6.64%6.35亿16.98%6.58亿29.47%7.02亿
-现金和现金等价物 -24.58%5.75亿-21.59%4.98亿-21.59%4.98亿-37.16%4.14亿-52.73%3.32亿25.50%7.63亿6.64%6.35亿6.64%6.35亿16.98%6.58亿29.47%7.02亿
应收款项 42.31%2.74亿-24.39%2.43亿-24.39%2.43亿44.01%2.09亿75.78%2亿41.90%1.92亿239.68%3.21亿239.68%3.21亿17.87%1.45亿-16.61%1.14亿
-应收账款 42.31%2.74亿-27.01%2.25亿-27.01%2.25亿44.01%2.09亿75.78%2亿41.90%1.92亿238.02%3.09亿238.02%3.09亿17.87%1.45亿-16.61%1.14亿
-应收税费 ----38.91%1,777.9万38.91%1,777.9万------------285.51%1,279.9万285.51%1,279.9万--------
存货 66.55%5,490.6万67.59%5,521.4万67.59%5,521.4万-67.79%6,980.4万-14.34%3,098.7万-12.43%3,296.7万-14.41%3,294.5万-14.41%3,294.5万385.44%2.17亿-18.53%3,617.3万
预付费用 ----149.86%1,075.9万149.86%1,075.9万-------------6.53%430.6万-6.53%430.6万--------
持有待售资产 --------------------------0--0--0--6,988.8万
其他流动资产 580.40%909.7万-64.42%266.3万-64.42%266.3万-73.01%179.4万20,583.93%4.68亿39.13%133.7万579.22%748.5万579.22%748.5万143.89%664.6万21.32%226.5万
流动资产合计 -7.72%9.13亿-19.13%8.09亿-19.13%8.09亿-32.37%6.94亿11.61%10.31亿14.17%9.9亿22.53%10.01亿22.53%10.01亿40.03%10.27亿27.49%9.24亿
非流动资产
固定资产净额 479.93%22.56亿478.67%22.41亿478.67%22.41亿452.73%22.11亿-3.39%3.91亿-6.78%3.89亿-9.73%3.87亿-9.73%3.87亿-12.52%4亿-12.24%4.05亿
-固定资产 ----176.77%30.6亿176.77%30.6亿------------3.89%11.06亿3.89%11.06亿--------
-累计折旧 -----13.99%-8.19亿-13.99%-8.19亿-------------13.09%-7.18亿-13.09%-7.18亿--------
投资和预付款 21.82%436.1万20.44%332.3万20.44%332.3万17.81%332.8万-84.51%286.1万-80.87%358万-76.82%275.9万-76.82%275.9万-47.87%282.5万208.31%1,846.8万
-金融资产投资 21.82%436.1万20.44%332.3万20.44%332.3万17.81%332.8万-84.51%286.1万-80.87%358万-76.82%275.9万-76.82%275.9万-47.87%282.5万208.31%1,846.8万
-其中:可供出售证券 21.82%436.1万--------17.81%332.8万-84.51%286.1万-80.87%358万----------282.5万--1,846.8万
金融资产 812.77%42.9万--------111.54%5.5万-19.05%3.4万-56.48%4.7万----------2.6万--4.2万
商誉及其他无形资产 -24.48%1,170.2万-22.58%1,261.6万-22.58%1,261.6万-19.65%1,358.9万-13.58%1,476.7万-1.81%1,549.5万9.74%1,629.5万9.74%1,629.5万9.24%1,691.2万12.86%1,708.8万
-其他无形资产 -----22.58%1,261.6万-22.58%1,261.6万------------9.74%1,629.5万9.74%1,629.5万--------
非流动递延资产 -13.30%642.9万-18.62%694.1万-18.62%694.1万-45.90%731.1万-38.40%749.9万-42.25%741.5万-34.47%852.9万-34.47%852.9万15.09%1,351.3万4.93%1,217.3万
其他非流动资产 78.00%964.2万43.32%759万43.32%759万40.34%727.5万10.96%548.8万15.23%541.7万19.33%529.6万19.33%529.6万-25.84%518.4万-24.58%494.6万
非流动资产合计 443.65%22.89亿440.65%22.72亿440.65%22.72亿411.44%22.42亿-7.82%4.21亿-10.32%4.21亿-11.22%4.2亿-11.22%4.2亿-11.75%4.38亿-8.59%4.57亿
总资产 126.98%32.02亿116.81%30.81亿116.81%30.81亿100.42%29.37亿5.18%14.52亿5.56%14.11亿10.15%14.21亿10.15%14.21亿19.11%14.65亿12.75%13.81亿
负债
流动负债
短期借款与资本租赁负债 ----25.81%578.2万25.81%578.2万------------48.45%459.6万48.45%459.6万--------
-短期资本租赁负债 ----25.81%578.2万25.81%578.2万------------48.45%459.6万48.45%459.6万--------
应付款项 72.52%1.95亿184.42%7,769.6万184.42%7,769.6万32.80%2.37亿36.53%1.17亿34.66%1.13亿15.10%2,731.7万15.10%2,731.7万88.98%1.78亿4.22%8,536.9万
-应付账款 67.16%1.72亿588.55%5,688.1万588.55%5,688.1万38.71%2.28亿37.86%1.07亿33.22%1.03亿-33.06%826.1万-33.06%826.1万97.30%1.64亿2.96%7,781.8万
-应付税费 124.89%2,364.7万-0.43%1,193.6万-0.43%1,193.6万-35.41%917.5万22.82%927.4万50.56%1,051.5万191.30%1,198.7万191.30%1,198.7万27.07%1,420.5万19.21%755.1万
-应付股利 ----25.60%887.9万25.60%887.9万-------------2.89%706.9万-2.89%706.9万--------
-其他应付款 -------------------------1.81%647万-1.81%647万--------
应计费用 ----97.59%8,407.4万97.59%8,407.4万-------------10.14%4,254.9万-10.14%4,254.9万--------
养老金及其他退休福利计划 ----594.82%4,495.5万594.82%4,495.5万-------------1.81%647万-1.81%647万--------
其他流动负债 104.96%1,513.2万423.84%1,337.9万423.84%1,337.9万71.22%1,363.9万-82.17%798.7万-82.12%738.3万-93.79%255.4万-93.79%255.4万21.10%796.6万448.57%4,480.2万
流动负债总额 74.51%2.1亿170.57%2.26亿170.57%2.26亿34.44%2.5亿-4.32%1.25亿-3.82%1.21亿-31.49%8,348.6万-31.49%8,348.6万84.55%1.86亿44.50%1.3亿
非流动负债
长期借款与租赁负债 -----25.60%664万-25.60%664万-------------5.44%892.5万-5.44%892.5万--------
-长期租赁负债 -----25.60%664万-25.60%664万-------------5.44%892.5万-5.44%892.5万--------
长期拨备 47.74%3,603.6万59.21%3,707.6万59.21%3,707.6万49.62%3,759.7万14.04%2,643.3万2.27%2,439.1万-8.46%2,328.8万-8.46%2,328.8万-41.61%2,512.9万-48.15%2,317.9万
员工福利 86.31%4,526万115.30%4,021.4万115.30%4,021.4万59.82%2,590.4万51.25%1,693.7万97.78%2,429.3万44.31%1,867.8万44.31%1,867.8万55.55%1,620.8万11.53%1,119.8万
递延负债 --1.54亿--1.54亿--1.54亿--1.53亿----------0--0--------
其他非流动负债 349.19%5,107.7万--4,511.2万--4,511.2万267.50%4,678.7万-13.10%1,160.8万-18.66%1,137.1万--------24.70%1,273.1万15.76%1,335.8万
非流动负债总额 377.41%2.87亿456.84%2.83亿456.84%2.83亿386.34%2.63亿15.17%5,497.8万19.84%6,005.5万6.42%5,089.1万6.42%5,089.1万-15.07%5,406.8万-27.98%4,773.5万
负债总额 175.24%4.97亿278.98%5.09亿278.98%5.09亿113.62%5.13亿0.91%1.8亿2.94%1.81亿-20.81%1.34亿-20.81%1.34亿46.02%2.4亿13.78%1.78亿
所有者权益
股本 200.43%15.77亿188.71%15.81亿188.71%15.81亿184.83%15.8亿-7.08%5.18亿-6.19%5.25亿-2.04%5.48亿-2.04%5.48亿-0.54%5.55亿-2.12%5.57亿
-普通股股本 200.43%15.77亿188.71%15.81亿188.71%15.81亿184.83%15.8亿-7.08%5.18亿-6.19%5.25亿-2.04%5.48亿-2.04%5.48亿-0.54%5.55亿-2.12%5.57亿
资本公积 4.27%610万5.56%616.9万5.56%616.9万9.69%615.6万15.93%594.6万-4.40%585万-7.30%584.4万-7.30%584.4万3.66%561.2万-3.95%512.9万
留存收益 60.28%11.22亿34.15%9.86亿34.15%9.86亿25.75%8.37亿17.34%7.5亿17.80%7亿31.97%7.35亿31.97%7.35亿31.30%6.66亿28.08%6.39亿
不影响留存收益的损益 101.39%8,00037.42%-89.3万37.42%-89.3万75.69%-30.9万-237.22%-135.3万-155.11%-57.7万10.25%-142.7万10.25%-142.7万73.16%-127.1万117.07%98.6万
股东权益总额 119.90%27.05亿99.88%25.72亿99.88%25.72亿97.83%24.23亿5.81%12.73亿5.96%12.3亿14.84%12.87亿14.84%12.87亿14.96%12.25亿12.61%12.03亿
总权益 119.90%27.05亿99.88%25.72亿99.88%25.72亿97.83%24.23亿5.81%12.73亿5.96%12.3亿14.84%12.87亿14.84%12.87亿14.96%12.25亿12.61%12.03亿
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 --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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