加拿大市场个股详情

Enthusiast Gaming Holdings Inc (EGLX)

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  • 0.060
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延时15分钟行情已收盘 05/29 16:00 (美东)
955.01万总市值-0.24市盈率TTM

Enthusiast Gaming Holdings Inc (EGLX) 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
120.72%429.31万
-31.54%326.25万
-31.54%326.25万
-68.84%214.33万
-83.25%36.19万
13.14%194.5万
-30.45%476.54万
-30.45%476.54万
140.74%687.91万
-24.64%216.05万
-现金和现金等价物
120.72%429.31万
-31.54%326.25万
-31.54%326.25万
-68.84%214.33万
-83.25%36.19万
13.14%194.5万
-30.45%476.54万
-30.45%476.54万
145.03%687.91万
-21.20%216.05万
应收款项
-60.07%312.04万
-60.51%488.22万
-60.51%488.22万
-33.52%735.48万
-57.64%533.64万
-46.59%781.44万
-60.79%1,236.39万
-60.79%1,236.39万
-59.46%1,106.3万
-56.98%1,259.66万
-应收账款
-68.50%224.37万
-65.97%393.03万
-65.97%393.03万
-23.66%713.77万
-55.59%474.7万
-49.12%712.2万
-62.48%1,155万
-62.48%1,155万
-63.95%935.03万
-59.20%1,068.84万
-应收税费
--0
2.87%12.94万
2.87%12.94万
--0
-86.98%1.83万
--0
-10.77%12.58万
-10.77%12.58万
46.42%6.98万
50.33%14.09万
-其他应收款
26.63%87.67万
19.52%82.25万
19.52%82.25万
-86.78%21.71万
-67.69%57.11万
11.61%69.23万
12.54%68.81万
12.54%68.81万
25.86%164.29万
6.35%176.72万
-应收账款调整额
----
-1.73%-12.82万
----
----
----
----
62.57%-12.6万
----
----
----
预付费用
-45.54%33.13万
-62.55%75.3万
-62.55%75.3万
-76.03%64.31万
-23.51%86.42万
-32.16%60.84万
10.47%201.08万
10.47%201.08万
-51.44%268.32万
-75.70%112.98万
流动资产合计
-25.30%774.48万
-53.51%889.77万
-53.51%889.77万
-50.83%1,014.13万
-58.69%656.25万
-50.73%1,036.78万
-52.40%1,914.01万
-52.40%1,914.01万
-42.18%2,062.53万
-56.82%1,588.69万
非流动资产
固定资产净额
-99.21%6,478
-99.11%8,755
-99.11%8,755
-95.63%4.76万
-49.58%62.33万
-39.99%82.16万
-36.88%98.84万
-36.88%98.84万
-29.68%108.88万
-29.87%123.63万
-固定资产
-99.21%6,478
-99.11%8,755
-99.11%8,755
-95.63%4.76万
-49.58%62.33万
-39.99%82.16万
-36.88%98.84万
-36.88%98.84万
-44.85%108.88万
-42.81%123.63万
投资和预付款
----
----
----
----
----
----
----
----
--0
-99.99%278
-长期股权投资
----
----
----
----
----
----
----
----
--0
-99.99%278
长期预付费用
----
--0
--0
--0
-25.26%14.08万
-20.45%14.84万
-18.43%14.85万
-18.43%14.85万
-25.14%13.94万
-31.10%18.85万
商誉及其他无形资产
-48.03%5,603.95万
-48.20%5,603.5万
-48.20%5,603.5万
-67.28%6,130.39万
-67.50%6,119.52万
-42.72%1.08亿
-43.45%1.08亿
-43.45%1.08亿
-18.09%1.87亿
-32.90%1.88亿
-商誉
-13.48%3,154.59万
-13.23%3,154.34万
-13.23%3,154.34万
-65.89%3,637.92万
-66.02%3,631.28万
-65.78%3,646.07万
-65.66%3,635.32万
-65.66%3,635.32万
-15.82%1.07亿
-37.20%1.07亿
-其他无形资产
-65.68%2,449.37万
-65.90%2,449.16万
-65.90%2,449.16万
-69.12%2,492.46万
-69.44%2,488.23万
-12.64%7,136.45万
-15.93%7,181.55万
-15.93%7,181.55万
-20.90%8,071.47万
-26.28%8,143.16万
非流动资产合计
-48.48%5,604.6万
-48.73%5,604.38万
-48.73%5,604.38万
-67.47%6,135.15万
-67.34%6,195.93万
-43.55%1.09亿
-44.21%1.09亿
-44.21%1.09亿
-19.06%1.89亿
-33.44%1.9亿
总资产
-46.47%6,379.09万
-49.44%6,494.15万
-49.44%6,494.15万
-65.83%7,149.27万
-66.67%6,852.18万
-44.25%1.19亿
-45.60%1.28亿
-45.60%1.28亿
-22.13%2.09亿
-36.11%2.06亿
负债
流动负债
短期借款与资本租赁负债
20.14%4,603.03万
15.07%4,570.19万
15.07%4,570.19万
108.31%4,247.85万
68.81%3,810.58万
71.30%3,831.48万
75.44%3,971.79万
75.44%3,971.79万
298.33%2,039.17万
331.36%2,257.35万
-短期借款
22.05%4,591.03万
16.91%4,558.38万
16.91%4,558.38万
114.88%4,235.69万
70.44%3,734.06万
73.87%3,761.7万
78.05%3,899.03万
78.05%3,899.03万
351.82%1,971.2万
402.17%2,190.77万
-短期资本租赁负债
-82.79%12.01万
-83.77%11.81万
-83.77%11.81万
-82.11%12.16万
14.93%76.52万
-4.63%69.78万
-1.71%72.75万
-1.71%72.75万
-10.15%67.97万
-23.51%66.58万
应付款项
-51.71%473.06万
-46.41%494.77万
-46.41%494.77万
-34.31%618.48万
-50.91%987.38万
-55.36%979.61万
-74.01%923.18万
-74.01%923.18万
-68.96%941.57万
-23.87%2,011.31万
-应付账款
-53.33%444.46万
-45.63%494.77万
-45.63%494.77万
-35.69%604.84万
-50.98%982.15万
-55.44%952.41万
-74.18%910.04万
-74.18%910.04万
-68.57%940.47万
-23.46%2,003.61万
-应付税费
5.14%28.6万
--0
--0
1,135.47%13.63万
-32.13%5.23万
-52.63%27.2万
-52.19%13.14万
-52.19%13.14万
-97.28%1.1万
-68.28%7.7万
应计费用
7.13%466.57万
-35.35%382.88万
-35.35%382.88万
-14.77%449.12万
-2.05%552万
-50.22%435.51万
-50.04%592.23万
-50.04%592.23万
-50.49%526.95万
-41.43%563.53万
递延负债
-22.08%561.85万
-16.10%676.04万
-16.10%676.04万
16.49%838.46万
98.81%688.88万
81.42%721.06万
30.78%805.75万
30.78%805.75万
46.95%719.79万
-30.44%346.51万
流动负债总额
2.29%6,104.52万
-2.69%6,123.88万
-2.69%6,123.88万
45.57%6,153.9万
16.61%6,038.84万
4.63%5,967.67万
-17.39%6,292.95万
-17.39%6,292.95万
-17.09%4,227.49万
11.96%5,178.7万
非流动负债
长期借款与租赁负债
----
--0
--0
--0
--0
-84.15%14.89万
-72.58%29.6万
-72.58%29.6万
78.60%2,038.83万
-93.54%77.98万
-长期借款
----
----
----
----
----
----
----
----
90.17%1,993.3万
-98.69%14.5万
-长期租赁负债
----
--0
--0
--0
--0
-81.29%14.89万
-68.47%29.6万
-68.47%29.6万
-51.24%45.53万
-38.95%63.48万
递延负债
-83.67%223.07万
-85.74%192.1万
-85.74%192.1万
-85.63%199.97万
-86.07%225.62万
-16.61%1,366.19万
-16.64%1,347.09万
-16.64%1,347.09万
-41.98%1,391.72万
-36.08%1,619.88万
非流动负债总额
-83.85%223.07万
-86.05%192.1万
-86.05%192.1万
-94.17%199.97万
-86.71%225.62万
-20.28%1,381.08万
-20.14%1,376.69万
-20.14%1,376.69万
-3.10%3,430.55万
-54.62%1,697.86万
负债总额
-13.90%6,327.59万
-17.65%6,315.98万
-17.65%6,315.98万
-17.03%6,353.87万
-8.90%6,264.46万
-1.17%7,348.75万
-17.90%7,669.64万
-17.90%7,669.64万
-11.36%7,658.03万
-17.81%6,876.56万
所有者权益
股本
0.00%4.62亿
0.00%4.62亿
0.00%4.62亿
1.85%4.62亿
1.90%4.62亿
1.90%4.62亿
3.85%4.62亿
3.85%4.62亿
1.96%4.53亿
1.92%4.53亿
-普通股股本
0.00%4.62亿
0.00%4.62亿
0.00%4.62亿
1.85%4.62亿
1.90%4.62亿
1.90%4.62亿
3.85%4.62亿
3.85%4.62亿
1.96%4.53亿
1.92%4.53亿
资本公积
0.76%1,778.48万
1.01%1,777.41万
1.01%1,777.41万
-30.77%1,772.9万
-31.25%1,769.32万
-30.39%1,765.14万
-50.95%1,759.62万
-50.95%1,759.62万
-26.17%2,560.95万
-22.76%2,573.62万
留存收益
-8.87%-4.86亿
-10.01%-4.85亿
-10.01%-4.85亿
-34.08%-4.79亿
-38.64%-4.86亿
-28.73%-4.47亿
-27.83%-4.41亿
-27.83%-4.41亿
-17.06%-3.57亿
-42.43%-3.51亿
不影响留存收益的损益
-55.98%504.33万
-58.61%477.73万
-58.61%477.73万
-37.16%504.48万
23.99%1,074.75万
39.92%1,145.69万
60.26%1,154.22万
60.26%1,154.22万
-3.39%802.81万
33.46%866.77万
其他股本权益
40.48%256.12万
40.48%256.12万
40.48%256.12万
-16.15%256.12万
--182.32万
--182.32万
--182.32万
--182.32万
--305.45万
----
股东权益总额
-98.87%51.5万
-96.56%178.16万
-96.56%178.16万
-94.00%795.4万
-95.71%587.72万
-67.23%4,567.55万
-63.74%5,174.94万
-63.74%5,174.94万
-27.23%1.33亿
-42.54%1.37亿
总权益
-98.87%51.5万
-96.56%178.16万
-96.56%178.16万
-94.00%795.4万
-95.71%587.72万
-67.23%4,567.55万
-63.74%5,174.94万
-63.74%5,174.94万
-27.23%1.33亿
-42.54%1.37亿
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
--
--
--
--
带解释段的无保留意见
--
--
--
(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 120.72%429.31万-31.54%326.25万-31.54%326.25万-68.84%214.33万-83.25%36.19万13.14%194.5万-30.45%476.54万-30.45%476.54万140.74%687.91万-24.64%216.05万
-现金和现金等价物 120.72%429.31万-31.54%326.25万-31.54%326.25万-68.84%214.33万-83.25%36.19万13.14%194.5万-30.45%476.54万-30.45%476.54万145.03%687.91万-21.20%216.05万
应收款项 -60.07%312.04万-60.51%488.22万-60.51%488.22万-33.52%735.48万-57.64%533.64万-46.59%781.44万-60.79%1,236.39万-60.79%1,236.39万-59.46%1,106.3万-56.98%1,259.66万
-应收账款 -68.50%224.37万-65.97%393.03万-65.97%393.03万-23.66%713.77万-55.59%474.7万-49.12%712.2万-62.48%1,155万-62.48%1,155万-63.95%935.03万-59.20%1,068.84万
-应收税费 --02.87%12.94万2.87%12.94万--0-86.98%1.83万--0-10.77%12.58万-10.77%12.58万46.42%6.98万50.33%14.09万
-其他应收款 26.63%87.67万19.52%82.25万19.52%82.25万-86.78%21.71万-67.69%57.11万11.61%69.23万12.54%68.81万12.54%68.81万25.86%164.29万6.35%176.72万
-应收账款调整额 -----1.73%-12.82万----------------62.57%-12.6万------------
预付费用 -45.54%33.13万-62.55%75.3万-62.55%75.3万-76.03%64.31万-23.51%86.42万-32.16%60.84万10.47%201.08万10.47%201.08万-51.44%268.32万-75.70%112.98万
流动资产合计 -25.30%774.48万-53.51%889.77万-53.51%889.77万-50.83%1,014.13万-58.69%656.25万-50.73%1,036.78万-52.40%1,914.01万-52.40%1,914.01万-42.18%2,062.53万-56.82%1,588.69万
非流动资产
固定资产净额 -99.21%6,478-99.11%8,755-99.11%8,755-95.63%4.76万-49.58%62.33万-39.99%82.16万-36.88%98.84万-36.88%98.84万-29.68%108.88万-29.87%123.63万
-固定资产 -99.21%6,478-99.11%8,755-99.11%8,755-95.63%4.76万-49.58%62.33万-39.99%82.16万-36.88%98.84万-36.88%98.84万-44.85%108.88万-42.81%123.63万
投资和预付款 ----------------------------------0-99.99%278
-长期股权投资 ----------------------------------0-99.99%278
长期预付费用 ------0--0--0-25.26%14.08万-20.45%14.84万-18.43%14.85万-18.43%14.85万-25.14%13.94万-31.10%18.85万
商誉及其他无形资产 -48.03%5,603.95万-48.20%5,603.5万-48.20%5,603.5万-67.28%6,130.39万-67.50%6,119.52万-42.72%1.08亿-43.45%1.08亿-43.45%1.08亿-18.09%1.87亿-32.90%1.88亿
-商誉 -13.48%3,154.59万-13.23%3,154.34万-13.23%3,154.34万-65.89%3,637.92万-66.02%3,631.28万-65.78%3,646.07万-65.66%3,635.32万-65.66%3,635.32万-15.82%1.07亿-37.20%1.07亿
-其他无形资产 -65.68%2,449.37万-65.90%2,449.16万-65.90%2,449.16万-69.12%2,492.46万-69.44%2,488.23万-12.64%7,136.45万-15.93%7,181.55万-15.93%7,181.55万-20.90%8,071.47万-26.28%8,143.16万
非流动资产合计 -48.48%5,604.6万-48.73%5,604.38万-48.73%5,604.38万-67.47%6,135.15万-67.34%6,195.93万-43.55%1.09亿-44.21%1.09亿-44.21%1.09亿-19.06%1.89亿-33.44%1.9亿
总资产 -46.47%6,379.09万-49.44%6,494.15万-49.44%6,494.15万-65.83%7,149.27万-66.67%6,852.18万-44.25%1.19亿-45.60%1.28亿-45.60%1.28亿-22.13%2.09亿-36.11%2.06亿
负债
流动负债
短期借款与资本租赁负债 20.14%4,603.03万15.07%4,570.19万15.07%4,570.19万108.31%4,247.85万68.81%3,810.58万71.30%3,831.48万75.44%3,971.79万75.44%3,971.79万298.33%2,039.17万331.36%2,257.35万
-短期借款 22.05%4,591.03万16.91%4,558.38万16.91%4,558.38万114.88%4,235.69万70.44%3,734.06万73.87%3,761.7万78.05%3,899.03万78.05%3,899.03万351.82%1,971.2万402.17%2,190.77万
-短期资本租赁负债 -82.79%12.01万-83.77%11.81万-83.77%11.81万-82.11%12.16万14.93%76.52万-4.63%69.78万-1.71%72.75万-1.71%72.75万-10.15%67.97万-23.51%66.58万
应付款项 -51.71%473.06万-46.41%494.77万-46.41%494.77万-34.31%618.48万-50.91%987.38万-55.36%979.61万-74.01%923.18万-74.01%923.18万-68.96%941.57万-23.87%2,011.31万
-应付账款 -53.33%444.46万-45.63%494.77万-45.63%494.77万-35.69%604.84万-50.98%982.15万-55.44%952.41万-74.18%910.04万-74.18%910.04万-68.57%940.47万-23.46%2,003.61万
-应付税费 5.14%28.6万--0--01,135.47%13.63万-32.13%5.23万-52.63%27.2万-52.19%13.14万-52.19%13.14万-97.28%1.1万-68.28%7.7万
应计费用 7.13%466.57万-35.35%382.88万-35.35%382.88万-14.77%449.12万-2.05%552万-50.22%435.51万-50.04%592.23万-50.04%592.23万-50.49%526.95万-41.43%563.53万
递延负债 -22.08%561.85万-16.10%676.04万-16.10%676.04万16.49%838.46万98.81%688.88万81.42%721.06万30.78%805.75万30.78%805.75万46.95%719.79万-30.44%346.51万
流动负债总额 2.29%6,104.52万-2.69%6,123.88万-2.69%6,123.88万45.57%6,153.9万16.61%6,038.84万4.63%5,967.67万-17.39%6,292.95万-17.39%6,292.95万-17.09%4,227.49万11.96%5,178.7万
非流动负债
长期借款与租赁负债 ------0--0--0--0-84.15%14.89万-72.58%29.6万-72.58%29.6万78.60%2,038.83万-93.54%77.98万
-长期借款 --------------------------------90.17%1,993.3万-98.69%14.5万
-长期租赁负债 ------0--0--0--0-81.29%14.89万-68.47%29.6万-68.47%29.6万-51.24%45.53万-38.95%63.48万
递延负债 -83.67%223.07万-85.74%192.1万-85.74%192.1万-85.63%199.97万-86.07%225.62万-16.61%1,366.19万-16.64%1,347.09万-16.64%1,347.09万-41.98%1,391.72万-36.08%1,619.88万
非流动负债总额 -83.85%223.07万-86.05%192.1万-86.05%192.1万-94.17%199.97万-86.71%225.62万-20.28%1,381.08万-20.14%1,376.69万-20.14%1,376.69万-3.10%3,430.55万-54.62%1,697.86万
负债总额 -13.90%6,327.59万-17.65%6,315.98万-17.65%6,315.98万-17.03%6,353.87万-8.90%6,264.46万-1.17%7,348.75万-17.90%7,669.64万-17.90%7,669.64万-11.36%7,658.03万-17.81%6,876.56万
所有者权益
股本 0.00%4.62亿0.00%4.62亿0.00%4.62亿1.85%4.62亿1.90%4.62亿1.90%4.62亿3.85%4.62亿3.85%4.62亿1.96%4.53亿1.92%4.53亿
-普通股股本 0.00%4.62亿0.00%4.62亿0.00%4.62亿1.85%4.62亿1.90%4.62亿1.90%4.62亿3.85%4.62亿3.85%4.62亿1.96%4.53亿1.92%4.53亿
资本公积 0.76%1,778.48万1.01%1,777.41万1.01%1,777.41万-30.77%1,772.9万-31.25%1,769.32万-30.39%1,765.14万-50.95%1,759.62万-50.95%1,759.62万-26.17%2,560.95万-22.76%2,573.62万
留存收益 -8.87%-4.86亿-10.01%-4.85亿-10.01%-4.85亿-34.08%-4.79亿-38.64%-4.86亿-28.73%-4.47亿-27.83%-4.41亿-27.83%-4.41亿-17.06%-3.57亿-42.43%-3.51亿
不影响留存收益的损益 -55.98%504.33万-58.61%477.73万-58.61%477.73万-37.16%504.48万23.99%1,074.75万39.92%1,145.69万60.26%1,154.22万60.26%1,154.22万-3.39%802.81万33.46%866.77万
其他股本权益 40.48%256.12万40.48%256.12万40.48%256.12万-16.15%256.12万--182.32万--182.32万--182.32万--182.32万--305.45万----
股东权益总额 -98.87%51.5万-96.56%178.16万-96.56%178.16万-94.00%795.4万-95.71%587.72万-67.23%4,567.55万-63.74%5,174.94万-63.74%5,174.94万-27.23%1.33亿-42.54%1.37亿
总权益 -98.87%51.5万-96.56%178.16万-96.56%178.16万-94.00%795.4万-95.71%587.72万-67.23%4,567.55万-63.74%5,174.94万-63.74%5,174.94万-27.23%1.33亿-42.54%1.37亿
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--------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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