加拿大市场个股详情

Granite Real Estate Investment Trust (GRT.UN)

添加自选
  • 91.130
  • -0.990-1.07%
延时15分钟行情已收盘 04/24 16:00 (美东)
55.23亿总市值16.13市盈率TTM

Granite Real Estate Investment Trust (GRT.UN) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q1)2024/03/31
资产
流动资产
现金及现金等价物和短期投资
10.63%1.4亿
10.63%1.4亿
-4.17%1.28亿
-14.65%8,642.3万
-12.07%1.23亿
8.65%1.26亿
8.65%1.26亿
-15.68%1.33亿
-15.03%1.01亿
19.42%1.4亿
-现金和现金等价物
10.63%1.4亿
10.63%1.4亿
-4.17%1.28亿
-14.65%8,642.3万
-12.07%1.23亿
8.65%1.26亿
8.65%1.26亿
-15.68%1.33亿
-15.03%1.01亿
19.42%1.4亿
应收款项
-51.45%916.7万
-51.45%916.7万
-18.30%743.9万
-7.69%1,158万
-24.30%1,151.7万
48.03%1,888.1万
48.03%1,888.1万
-21.00%910.5万
29.81%1,254.5万
3.79%1,521.5万
-应收账款
-52.17%877.5万
-52.17%877.5万
-16.99%711.4万
-8.57%1,097.1万
-24.65%1,104.8万
50.81%1,834.7万
50.81%1,834.7万
-19.29%857万
46.88%1,199.9万
6.88%1,466.3万
-应收税费
-26.59%39.2万
-26.59%39.2万
-39.25%32.5万
11.54%60.9万
-15.04%46.9万
-9.34%53.4万
-9.34%53.4万
-41.01%53.5万
-63.48%54.6万
-41.34%55.2万
套期保值资产
----
----
----
----
----
--0
--0
--142.3万
--1,224.2万
--1,309.8万
持有待售资产
--8,102.6万
--8,102.6万
--3.71亿
--3.11亿
----
--0
--0
----
----
----
其他流动资产
-12.33%1,135.1万
-12.33%1,135.1万
-12.18%1,076.2万
-10.00%1,041.1万
8.51%1,525.5万
-5.96%1,294.7万
-5.96%1,294.7万
-1.46%1,225.5万
-6.76%1,156.8万
-3.90%1,405.9万
流动资产合计
52.61%2.41亿
52.61%2.41亿
230.73%5.17亿
204.45%4.19亿
-17.82%1.5亿
4.16%1.58亿
4.16%1.58亿
-14.26%1.56亿
-14.92%1.38亿
11.18%1.82亿
非流动资产
固定资产净额
-13.54%338.4万
-13.54%338.4万
-21.81%330.1万
-21.51%348.9万
-23.07%368.9万
24.41%391.4万
24.41%391.4万
25.54%422.2万
24.23%444.5万
27.09%479.5万
投资物业
0.86%94.78亿
0.86%94.78亿
0.09%91.03亿
-0.14%90.23亿
5.46%94.41亿
6.69%93.97亿
6.69%93.97亿
2.20%90.94亿
2.29%90.36亿
0.00%89.52亿
金融资产
-85.66%822.6万
-85.66%822.6万
-90.02%592.6万
-80.16%1,797.3万
-59.94%3,419.3万
-42.74%5,737.5万
-42.74%5,737.5万
-53.76%5,935.5万
-37.97%9,061.2万
-38.46%8,535.1万
长期应收款
-20.83%20.9万
-20.83%20.9万
-14.52%21.2万
-17.13%20.8万
-11.69%21.9万
-6.71%26.4万
-6.71%26.4万
-6.06%24.8万
-5.28%25.1万
-11.74%24.8万
非流动递延资产
-3.51%280.1万
-3.51%280.1万
0.50%301.6万
0.22%312.1万
0.60%320.8万
-0.27%290.3万
-0.27%290.3万
-0.86%300.1万
-1.55%311.4万
-2.18%318.9万
非流动资产合计
0.33%94.93亿
0.33%94.93亿
-0.51%91.15亿
-0.95%90.48亿
4.83%94.83亿
6.14%94.62亿
6.14%94.62亿
1.41%91.61亿
1.65%91.34亿
-0.57%90.46亿
总资产
1.19%97.34亿
1.19%97.34亿
3.37%96.32亿
2.10%94.67亿
4.38%96.32亿
6.10%96.2亿
6.10%96.2亿
1.10%93.18亿
1.35%92.72亿
-0.36%92.28亿
负债
流动负债
短期借款与资本租赁负债
40,221.59%3.81亿
40,221.59%3.81亿
-87.50%9,895.9万
-99.62%97.1万
-99.62%96万
-99.61%94.5万
-99.61%94.5万
97.50%7.91亿
-36.58%2.54亿
-44.95%2.51亿
-短期借款
--3.8亿
--3.8亿
-87.60%9,798.9万
----
----
----
----
97.65%7.9亿
-36.69%2.53亿
-45.06%2.5亿
-短期资本租赁负债
14.18%107.9万
14.18%107.9万
3.19%97万
5.54%97.1万
4.23%96万
23.53%94.5万
23.53%94.5万
21.92%94万
21.53%92万
21.99%92.1万
应付款项
14.64%6,531.7万
14.64%6,531.7万
12.65%5,501.3万
22.59%5,250.7万
6.70%4,910.9万
12.34%5,697.8万
12.34%5,697.8万
9.10%4,883.7万
-1.19%4,283.3万
-20.52%4,602.5万
-应付账款
30.42%1,765.9万
30.42%1,765.9万
-13.31%603.8万
72.16%578.3万
-37.64%419.6万
18.77%1,354万
18.77%1,354万
82.95%696.5万
68.20%335.9万
-57.54%672.9万
-应付税费
5.38%2,000.9万
5.38%2,000.9万
18.48%2,255.1万
26.60%2,101万
33.35%2,052.6万
20.09%1,898.7万
20.09%1,898.7万
12.25%1,903.4万
-4.94%1,659.6万
-13.73%1,539.3万
-应付股利
0.88%1,791.8万
0.88%1,791.8万
-0.51%1,715.7万
-0.51%1,715.7万
0.47%1,750.5万
1.99%1,776.2万
1.99%1,776.2万
1.49%1,724.5万
1.49%1,724.5万
2.49%1,742.3万
-其他应付款
45.48%973.1万
45.48%973.1万
65.69%926.7万
51.91%855.7万
6.20%688.2万
9.78%668.9万
9.78%668.9万
-20.20%559.3万
-18.39%563.3万
-10.21%648万
应计费用
36.43%6,129.4万
36.43%6,129.4万
26.48%7,817万
12.85%6,140.8万
22.38%7,455万
-0.88%4,492.6万
-0.88%4,492.6万
-0.12%6,180.2万
10.94%5,441.5万
-10.64%6,091.5万
养老金及其他退休福利计划
47.97%2,637.1万
47.97%2,637.1万
16.50%2,327.1万
-45.67%822.4万
-54.88%713万
4.12%1,782.2万
4.12%1,782.2万
24.08%1,997.5万
-3.56%1,513.8万
5.69%1,580.3万
递延负债
39.28%2,602.5万
39.28%2,602.5万
16.39%2,157.7万
4.49%2,227.2万
25.24%2,459.4万
4.91%1,868.5万
4.91%1,868.5万
2.45%1,853.8万
5.06%2,131.5万
-2.71%1,963.8万
其他流动负债
283.34%2,940.6万
283.34%2,940.6万
1.46%632.7万
-32.59%382.6万
-30.21%544.4万
-11.02%767.1万
-11.02%767.1万
-25.19%623.6万
-46.91%567.6万
-45.86%780万
流动负债总额
300.91%5.89亿
300.91%5.89亿
-70.08%2.83亿
-62.08%1.49亿
-59.69%1.62亿
-61.76%1.47亿
-61.76%1.47亿
72.18%9.47亿
-27.10%3.93亿
-36.48%4.01亿
非流动负债
长期借款与租赁负债
-5.84%29.3亿
-5.84%29.3亿
33.02%31.02亿
11.63%32.11亿
8.93%31.26亿
9.03%31.12亿
9.03%31.12亿
-14.19%23.32亿
6.91%28.76亿
9.65%28.69亿
-长期借款
-5.91%28.97亿
-5.91%28.97亿
33.50%30.68亿
11.77%31.77亿
9.05%30.92亿
9.09%30.78亿
9.09%30.78亿
-14.41%22.98亿
6.95%28.42亿
9.74%28.36亿
-长期租赁负债
0.60%3,364.4万
0.60%3,364.4万
0.18%3,385.3万
0.41%3,385.6万
-0.65%3,369.6万
3.17%3,344.2万
3.17%3,344.2万
4.27%3,379.2万
3.36%3,371.9万
2.92%3,391.6万
衍生品负债
194.50%9,511.6万
194.50%9,511.6万
697.81%1.39亿
1,144.05%1.09亿
462.07%6,951.7万
283.18%3,229.8万
283.18%3,229.8万
113.65%1,738.9万
109.69%874.4万
95.36%1,236.8万
递延负债
1.57%6.01亿
1.57%6.01亿
4.21%5.92亿
7.16%5.97亿
9.68%6亿
10.52%5.92亿
10.52%5.92亿
5.58%5.68亿
2.59%5.57亿
-0.21%5.47亿
非流动负债总额
-2.93%36.27亿
-2.93%36.27亿
31.37%38.33亿
13.79%39.17亿
10.69%37.96亿
9.94%37.36亿
9.94%37.36亿
-10.61%29.18亿
6.32%34.42亿
8.12%34.29亿
负债总额
8.57%42.16亿
8.57%42.16亿
6.52%41.17亿
6.00%40.66亿
3.31%39.58亿
2.65%38.83亿
2.65%38.83亿
1.33%38.65亿
1.54%38.36亿
0.71%38.31亿
所有者权益
股本
-4.41%31.47亿
-4.41%31.47亿
-4.46%31.46亿
-4.61%31.46亿
-3.13%32.28亿
-1.16%32.92亿
-1.16%32.92亿
-1.73%32.93亿
-1.58%32.98亿
-0.54%33.33亿
-普通股股本
-4.41%31.47亿
-4.41%31.47亿
-4.46%31.46亿
-4.61%31.46亿
-3.13%32.28亿
-1.16%32.92亿
-1.16%32.92亿
-1.73%32.93亿
-1.58%32.98亿
-0.54%33.33亿
资本公积
--0
--0
--0
--0
--0
--0
--0
--0
-143.91%-509.4万
-54.75%525万
留存收益
7.50%19.21亿
7.50%19.21亿
4.69%18.38亿
7.41%18.21亿
6.38%17.78亿
9.32%17.87亿
9.32%17.87亿
6.10%17.56亿
1.39%16.96亿
0.63%16.72亿
不影响留存收益的损益
-32.06%4.41亿
-32.06%4.41亿
31.56%5.23亿
-3.53%4.25亿
72.80%6.59亿
111.91%6.49亿
111.91%6.49亿
5.00%3.97亿
33.30%4.41亿
-10.78%3.82亿
股东权益总额
-3.83%55.09亿
-3.83%55.09亿
1.12%55.06亿
-0.68%53.92亿
5.10%56.66亿
8.55%57.28亿
8.55%57.28亿
0.93%54.46亿
1.19%54.29亿
-1.11%53.91亿
非控制性权益
8.97%914.6万
8.97%914.6万
22.39%869.6万
20.98%838.6万
31.77%880.2万
25.46%839.3万
25.46%839.3万
14.67%710.5万
36.24%693.2万
-5.25%668万
总权益
-3.81%55.18亿
-3.81%55.18亿
1.14%55.15亿
-0.65%54.01亿
5.13%56.75亿
8.57%57.37亿
8.57%57.37亿
0.95%54.53亿
1.22%54.36亿
-1.11%53.98亿
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
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无保留意见
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(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(Q1)2024/03/31
资产
流动资产
现金及现金等价物和短期投资 10.63%1.4亿10.63%1.4亿-4.17%1.28亿-14.65%8,642.3万-12.07%1.23亿8.65%1.26亿8.65%1.26亿-15.68%1.33亿-15.03%1.01亿19.42%1.4亿
-现金和现金等价物 10.63%1.4亿10.63%1.4亿-4.17%1.28亿-14.65%8,642.3万-12.07%1.23亿8.65%1.26亿8.65%1.26亿-15.68%1.33亿-15.03%1.01亿19.42%1.4亿
应收款项 -51.45%916.7万-51.45%916.7万-18.30%743.9万-7.69%1,158万-24.30%1,151.7万48.03%1,888.1万48.03%1,888.1万-21.00%910.5万29.81%1,254.5万3.79%1,521.5万
-应收账款 -52.17%877.5万-52.17%877.5万-16.99%711.4万-8.57%1,097.1万-24.65%1,104.8万50.81%1,834.7万50.81%1,834.7万-19.29%857万46.88%1,199.9万6.88%1,466.3万
-应收税费 -26.59%39.2万-26.59%39.2万-39.25%32.5万11.54%60.9万-15.04%46.9万-9.34%53.4万-9.34%53.4万-41.01%53.5万-63.48%54.6万-41.34%55.2万
套期保值资产 ----------------------0--0--142.3万--1,224.2万--1,309.8万
持有待售资产 --8,102.6万--8,102.6万--3.71亿--3.11亿------0--0------------
其他流动资产 -12.33%1,135.1万-12.33%1,135.1万-12.18%1,076.2万-10.00%1,041.1万8.51%1,525.5万-5.96%1,294.7万-5.96%1,294.7万-1.46%1,225.5万-6.76%1,156.8万-3.90%1,405.9万
流动资产合计 52.61%2.41亿52.61%2.41亿230.73%5.17亿204.45%4.19亿-17.82%1.5亿4.16%1.58亿4.16%1.58亿-14.26%1.56亿-14.92%1.38亿11.18%1.82亿
非流动资产
固定资产净额 -13.54%338.4万-13.54%338.4万-21.81%330.1万-21.51%348.9万-23.07%368.9万24.41%391.4万24.41%391.4万25.54%422.2万24.23%444.5万27.09%479.5万
投资物业 0.86%94.78亿0.86%94.78亿0.09%91.03亿-0.14%90.23亿5.46%94.41亿6.69%93.97亿6.69%93.97亿2.20%90.94亿2.29%90.36亿0.00%89.52亿
金融资产 -85.66%822.6万-85.66%822.6万-90.02%592.6万-80.16%1,797.3万-59.94%3,419.3万-42.74%5,737.5万-42.74%5,737.5万-53.76%5,935.5万-37.97%9,061.2万-38.46%8,535.1万
长期应收款 -20.83%20.9万-20.83%20.9万-14.52%21.2万-17.13%20.8万-11.69%21.9万-6.71%26.4万-6.71%26.4万-6.06%24.8万-5.28%25.1万-11.74%24.8万
非流动递延资产 -3.51%280.1万-3.51%280.1万0.50%301.6万0.22%312.1万0.60%320.8万-0.27%290.3万-0.27%290.3万-0.86%300.1万-1.55%311.4万-2.18%318.9万
非流动资产合计 0.33%94.93亿0.33%94.93亿-0.51%91.15亿-0.95%90.48亿4.83%94.83亿6.14%94.62亿6.14%94.62亿1.41%91.61亿1.65%91.34亿-0.57%90.46亿
总资产 1.19%97.34亿1.19%97.34亿3.37%96.32亿2.10%94.67亿4.38%96.32亿6.10%96.2亿6.10%96.2亿1.10%93.18亿1.35%92.72亿-0.36%92.28亿
负债
流动负债
短期借款与资本租赁负债 40,221.59%3.81亿40,221.59%3.81亿-87.50%9,895.9万-99.62%97.1万-99.62%96万-99.61%94.5万-99.61%94.5万97.50%7.91亿-36.58%2.54亿-44.95%2.51亿
-短期借款 --3.8亿--3.8亿-87.60%9,798.9万----------------97.65%7.9亿-36.69%2.53亿-45.06%2.5亿
-短期资本租赁负债 14.18%107.9万14.18%107.9万3.19%97万5.54%97.1万4.23%96万23.53%94.5万23.53%94.5万21.92%94万21.53%92万21.99%92.1万
应付款项 14.64%6,531.7万14.64%6,531.7万12.65%5,501.3万22.59%5,250.7万6.70%4,910.9万12.34%5,697.8万12.34%5,697.8万9.10%4,883.7万-1.19%4,283.3万-20.52%4,602.5万
-应付账款 30.42%1,765.9万30.42%1,765.9万-13.31%603.8万72.16%578.3万-37.64%419.6万18.77%1,354万18.77%1,354万82.95%696.5万68.20%335.9万-57.54%672.9万
-应付税费 5.38%2,000.9万5.38%2,000.9万18.48%2,255.1万26.60%2,101万33.35%2,052.6万20.09%1,898.7万20.09%1,898.7万12.25%1,903.4万-4.94%1,659.6万-13.73%1,539.3万
-应付股利 0.88%1,791.8万0.88%1,791.8万-0.51%1,715.7万-0.51%1,715.7万0.47%1,750.5万1.99%1,776.2万1.99%1,776.2万1.49%1,724.5万1.49%1,724.5万2.49%1,742.3万
-其他应付款 45.48%973.1万45.48%973.1万65.69%926.7万51.91%855.7万6.20%688.2万9.78%668.9万9.78%668.9万-20.20%559.3万-18.39%563.3万-10.21%648万
应计费用 36.43%6,129.4万36.43%6,129.4万26.48%7,817万12.85%6,140.8万22.38%7,455万-0.88%4,492.6万-0.88%4,492.6万-0.12%6,180.2万10.94%5,441.5万-10.64%6,091.5万
养老金及其他退休福利计划 47.97%2,637.1万47.97%2,637.1万16.50%2,327.1万-45.67%822.4万-54.88%713万4.12%1,782.2万4.12%1,782.2万24.08%1,997.5万-3.56%1,513.8万5.69%1,580.3万
递延负债 39.28%2,602.5万39.28%2,602.5万16.39%2,157.7万4.49%2,227.2万25.24%2,459.4万4.91%1,868.5万4.91%1,868.5万2.45%1,853.8万5.06%2,131.5万-2.71%1,963.8万
其他流动负债 283.34%2,940.6万283.34%2,940.6万1.46%632.7万-32.59%382.6万-30.21%544.4万-11.02%767.1万-11.02%767.1万-25.19%623.6万-46.91%567.6万-45.86%780万
流动负债总额 300.91%5.89亿300.91%5.89亿-70.08%2.83亿-62.08%1.49亿-59.69%1.62亿-61.76%1.47亿-61.76%1.47亿72.18%9.47亿-27.10%3.93亿-36.48%4.01亿
非流动负债
长期借款与租赁负债 -5.84%29.3亿-5.84%29.3亿33.02%31.02亿11.63%32.11亿8.93%31.26亿9.03%31.12亿9.03%31.12亿-14.19%23.32亿6.91%28.76亿9.65%28.69亿
-长期借款 -5.91%28.97亿-5.91%28.97亿33.50%30.68亿11.77%31.77亿9.05%30.92亿9.09%30.78亿9.09%30.78亿-14.41%22.98亿6.95%28.42亿9.74%28.36亿
-长期租赁负债 0.60%3,364.4万0.60%3,364.4万0.18%3,385.3万0.41%3,385.6万-0.65%3,369.6万3.17%3,344.2万3.17%3,344.2万4.27%3,379.2万3.36%3,371.9万2.92%3,391.6万
衍生品负债 194.50%9,511.6万194.50%9,511.6万697.81%1.39亿1,144.05%1.09亿462.07%6,951.7万283.18%3,229.8万283.18%3,229.8万113.65%1,738.9万109.69%874.4万95.36%1,236.8万
递延负债 1.57%6.01亿1.57%6.01亿4.21%5.92亿7.16%5.97亿9.68%6亿10.52%5.92亿10.52%5.92亿5.58%5.68亿2.59%5.57亿-0.21%5.47亿
非流动负债总额 -2.93%36.27亿-2.93%36.27亿31.37%38.33亿13.79%39.17亿10.69%37.96亿9.94%37.36亿9.94%37.36亿-10.61%29.18亿6.32%34.42亿8.12%34.29亿
负债总额 8.57%42.16亿8.57%42.16亿6.52%41.17亿6.00%40.66亿3.31%39.58亿2.65%38.83亿2.65%38.83亿1.33%38.65亿1.54%38.36亿0.71%38.31亿
所有者权益
股本 -4.41%31.47亿-4.41%31.47亿-4.46%31.46亿-4.61%31.46亿-3.13%32.28亿-1.16%32.92亿-1.16%32.92亿-1.73%32.93亿-1.58%32.98亿-0.54%33.33亿
-普通股股本 -4.41%31.47亿-4.41%31.47亿-4.46%31.46亿-4.61%31.46亿-3.13%32.28亿-1.16%32.92亿-1.16%32.92亿-1.73%32.93亿-1.58%32.98亿-0.54%33.33亿
资本公积 --0--0--0--0--0--0--0--0-143.91%-509.4万-54.75%525万
留存收益 7.50%19.21亿7.50%19.21亿4.69%18.38亿7.41%18.21亿6.38%17.78亿9.32%17.87亿9.32%17.87亿6.10%17.56亿1.39%16.96亿0.63%16.72亿
不影响留存收益的损益 -32.06%4.41亿-32.06%4.41亿31.56%5.23亿-3.53%4.25亿72.80%6.59亿111.91%6.49亿111.91%6.49亿5.00%3.97亿33.30%4.41亿-10.78%3.82亿
股东权益总额 -3.83%55.09亿-3.83%55.09亿1.12%55.06亿-0.68%53.92亿5.10%56.66亿8.55%57.28亿8.55%57.28亿0.93%54.46亿1.19%54.29亿-1.11%53.91亿
非控制性权益 8.97%914.6万8.97%914.6万22.39%869.6万20.98%838.6万31.77%880.2万25.46%839.3万25.46%839.3万14.67%710.5万36.24%693.2万-5.25%668万
总权益 -3.81%55.18亿-3.81%55.18亿1.14%55.15亿-0.65%54.01亿5.13%56.75亿8.57%57.37亿8.57%57.37亿0.95%54.53亿1.22%54.36亿-1.11%53.98亿
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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