美股市场个股详情

Integra Resources (ITRG)

添加自选
  • 4.460
  • +0.290+6.95%
收盘价 01/22 16:00 (美东)
  • 4.500
  • +0.040+0.90%
盘后 19:30 (美东)
8.10亿总市值29.73市盈率TTM

Integra Resources (ITRG) 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
771.41%8,157.2万
487.46%6,325.5万
268.97%6,147.9万
496.18%5,255.3万
496.18%5,255.3万
-37.23%936.1万
-54.00%1,076.76万
87.63%1,666.23万
-44.63%881.5万
-44.63%881.5万
-现金和现金等价物
784.53%8,119.2万
495.45%6,303.3万
266.79%6,111.6万
492.06%5,219万
492.06%5,219万
-38.45%917.91万
-54.77%1,058.57万
87.63%1,666.23万
-44.63%881.5万
-44.63%881.5万
-短期投资
108.94%38万
22.06%22.2万
--36.3万
--36.3万
--36.3万
--18.19万
--18.19万
----
--0
--0
应收款项
30.09%39.8万
-91.30%44.7万
-88.66%57万
375.97%73.3万
375.97%73.3万
82.27%30.6万
2,136.48%513.85万
5,927.96%502.55万
56.92%15.4万
56.92%15.4万
-应收账款
----
-99.82%9,000
----
----
----
-25.91%12.44万
2,057.44%495.69万
5,927.96%502.55万
----
----
-其他应收款
119.17%39.8万
141.20%43.8万
--57万
375.97%73.3万
375.97%73.3万
--18.16万
--18.16万
----
--15.4万
--15.4万
存货
--4,228.3万
--4,715.9万
--4,854万
--5,802万
--5,802万
----
----
----
--0
--0
预付费用
264.81%319.1万
213.03%346.6万
469.83%435.6万
199.33%268.8万
199.33%268.8万
8.25%87.47万
9.68%110.72万
-11.23%76.44万
-8.01%89.8万
-8.01%89.8万
受限制现金
----
----
----
----
----
--1,490.11万
----
----
----
----
递延资产
----
----
----
----
----
--46.86万
----
----
----
----
流动资产合计
391.85%1.27亿
571.99%1.14亿
412.22%1.15亿
1,060.89%1.15亿
1,060.89%1.15亿
63.08%2,591.13万
-30.97%1,701.33万
-39.29%2,245.22万
-41.94%986.7万
-41.94%986.7万
非流动资产
固定资产净额
120.52%1.4亿
102.77%1.24亿
73.59%1.08亿
47.17%1.05亿
47.17%1.05亿
-6.42%6,333.46万
-14.89%6,132.22万
36.40%6,236.59万
62.92%7,142.6万
62.92%7,142.6万
-固定资产
135.18%1.54亿
112.26%1.35亿
79.06%1.16亿
48.33%1.1亿
48.33%1.1亿
-5.69%6,566.19万
-13.83%6,362.72万
36.30%6,456.16万
63.01%7,391.7万
63.01%7,391.7万
-累计折旧
-534.27%-1,476.1万
-364.78%-1,071.3万
-234.57%-734.6万
-81.41%-451.9万
-81.41%-451.9万
-20.04%-232.73万
-28.86%-230.49万
-33.70%-219.57万
-65.66%-249.1万
-65.66%-249.1万
长期应收款
----
----
----
----
----
-41.37%10.95万
-35.17%12.82万
--14.71万
----
----
非流动递延资产
-71.54%26.5万
222.02%279.6万
88.95%156.2万
--156.9万
--156.9万
27.78%93.11万
25.30%86.83万
47.34%82.67万
--0
--0
长期预付费用
----
----
----
----
----
-16.46%6.95万
-3.73%7.28万
96.06%7.3万
----
----
其他非流动资产
17,931.43%1,633.9万
17,864.14%1,613万
25,480.04%1,582.1万
1,347.58%1,585.1万
1,347.58%1,585.1万
47.91%9.06万
-48.33%8.98万
33.90%6.18万
2,280.38%109.5万
2,280.38%109.5万
非流动资产合计
142.14%1.56亿
129.30%1.43亿
97.94%1.26亿
68.97%1.23亿
68.97%1.23亿
-6.12%6,453.54万
-14.63%6,248.14万
36.89%6,347.46万
63.23%7,252.1万
63.23%7,252.1万
总资产
213.68%2.84亿
224.04%2.58亿
180.06%2.41亿
187.77%2.37亿
187.77%2.37亿
6.87%9,044.67万
-18.75%7,949.47万
3.09%8,592.68万
34.13%8,238.8万
34.13%8,238.8万
负债
流动负债
应付款项
912.33%2,115.7万
542.12%1,424.6万
717.97%1,940.8万
438.58%1,930.8万
438.58%1,930.8万
-26.19%208.99万
-30.34%221.86万
-17.03%237.27万
33.27%358.5万
33.27%358.5万
-应付账款
799.05%1,388.6万
334.32%793.5万
262.67%774.1万
291.84%951万
291.84%951万
-29.19%154.45万
-32.53%182.7万
3.14%213.44万
18.19%242.7万
18.19%242.7万
-应付税费
--727.1万
--631.1万
--1,143.5万
--912.4万
--912.4万
----
----
----
--0
--0
-应付关联方款项
----
----
-2.63%23.2万
-41.80%67.4万
-41.80%67.4万
-16.13%54.54万
-17.87%39.16万
-69.84%23.83万
81.92%115.8万
81.92%115.8万
应计费用
1,031.76%1,228.7万
1,176.07%1,111.9万
968.36%673.5万
697.86%709.3万
697.86%709.3万
-11.74%108.57万
-26.36%87.13万
-50.84%63.04万
53.15%88.9万
53.15%88.9万
现行拨备
103.88%215.3万
79.73%189.8万
75.28%185.1万
52.94%161.5万
52.94%161.5万
-34.96%105.6万
-34.96%105.6万
-34.96%105.6万
-34.96%105.6万
-34.96%105.6万
短期借款与租赁负债
77.34%2,097.5万
137.13%2,695.3万
111.26%2,311.2万
96.97%2,194.4万
96.97%2,194.4万
15.89%1,182.76万
15.29%1,136.62万
17.39%1,093.99万
25.02%1,114.1万
25.02%1,114.1万
-短期借款
30.45%1,494.9万
91.84%2,107.8万
80.69%1,908万
55.00%1,670.7万
55.00%1,670.7万
17.17%1,145.99万
16.71%1,098.71万
16.95%1,055.94万
24.18%1,077.9万
24.18%1,077.9万
-短期租赁负债
1,538.64%602.6万
1,449.85%587.5万
959.57%403.2万
1,346.69%523.7万
1,346.69%523.7万
-13.50%36.77万
-14.65%37.91万
30.91%38.05万
56.35%36.2万
56.35%36.2万
其他流动负债
58.28%2,432.4万
----
-32.09%9.1万
--18.2万
--18.2万
3,741.93%1,536.77万
-39.85%59.55万
-99.50%13.4万
----
----
流动负债总额
157.41%8,089.6万
236.59%5,421.6万
238.31%5,119.7万
200.77%5,014.2万
200.77%5,014.2万
92.91%3,142.69万
-4.35%1,610.76万
-63.89%1,513.31万
8.32%1,667.1万
8.32%1,667.1万
非流动负债
长期拨备
141.68%5,742万
155.29%5,520.4万
144.12%5,504万
116.53%5,291.2万
116.53%5,291.2万
18.07%2,375.86万
-12.24%2,162.37万
-12.41%2,254.62万
2.21%2,443.6万
2.21%2,443.6万
长期借款与租赁负债
338.00%227.4万
388.65%289.5万
264.51%254.2万
357.24%347.5万
357.24%347.5万
-42.61%51.92万
-42.34%59.25万
-7.31%69.74万
-5.10%76万
-5.10%76万
-长期借款
----
----
----
----
----
----
-92.06%6,155
-79.90%2.44万
-76.41%4.2万
-76.41%4.2万
-长期租赁负债
338.00%227.4万
393.78%289.5万
277.74%254.2万
383.98%347.5万
383.98%347.5万
-38.53%51.92万
-38.29%58.63万
6.66%67.29万
15.29%71.8万
15.29%71.8万
递延负债
--739.9万
--204.1万
----
----
----
----
----
----
----
----
非流动负债总额
176.36%6,709.3万
170.70%6,014万
147.73%5,758.2万
123.79%5,638.7万
123.79%5,638.7万
15.46%2,427.78万
-13.45%2,221.61万
-12.27%2,324.36万
1.97%2,519.6万
1.97%2,519.6万
总负债
165.67%1.48亿
198.39%1.14亿
183.45%1.09亿
154.45%1.07亿
154.45%1.07亿
49.27%5,570.47万
-9.84%3,832.38万
-43.90%3,837.67万
4.41%4,186.7万
4.41%4,186.7万
所有者权益
股本
39.09%2.58亿
40.96%2.58亿
39.40%2.57亿
45.52%2.57亿
45.52%2.57亿
7.50%1.85亿
3.83%1.83亿
47.55%1.85亿
41.46%1.77亿
41.46%1.77亿
-普通股股本
39.09%2.58亿
40.96%2.58亿
39.40%2.57亿
45.52%2.57亿
45.52%2.57亿
7.50%1.85亿
3.83%1.83亿
47.55%1.85亿
41.46%1.77亿
41.46%1.77亿
留存收益
7.71%-1.55亿
8.92%-1.47亿
-1.96%-1.58亿
-6.37%-1.59亿
-6.37%-1.59亿
-18.32%-1.68亿
-20.40%-1.61亿
-21.99%-1.55亿
-24.16%-1.49亿
-24.16%-1.49亿
资本公积
--1,123.3万
--1,083.8万
--1,021.7万
11.76%989.5万
11.76%989.5万
----
----
----
--885.4万
--885.4万
不影响留存收益的损益
24.66%2,179.1万
9.84%2,163.4万
24.93%2,177.5万
470.03%2,177.5万
470.03%2,177.5万
3.07%1,748.1万
48.59%1,969.59万
5.68%1,743.03万
-76.60%382万
-76.60%382万
股东权益总额
290.66%1.36亿
247.92%1.43亿
177.33%1.32亿
222.19%1.31亿
222.19%1.31亿
-26.57%3,474.2万
-25.59%4,117.09万
218.02%4,755.01万
90.03%4,052.1万
90.03%4,052.1万
总权益
290.66%1.36亿
247.92%1.43亿
177.33%1.32亿
222.19%1.31亿
222.19%1.31亿
-26.57%3,474.2万
-25.59%4,117.09万
218.02%4,755.01万
90.03%4,052.1万
90.03%4,052.1万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
审计意见
--
--
--
无保留意见
--
--
--
--
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 771.41%8,157.2万487.46%6,325.5万268.97%6,147.9万496.18%5,255.3万496.18%5,255.3万-37.23%936.1万-54.00%1,076.76万87.63%1,666.23万-44.63%881.5万-44.63%881.5万
-现金和现金等价物 784.53%8,119.2万495.45%6,303.3万266.79%6,111.6万492.06%5,219万492.06%5,219万-38.45%917.91万-54.77%1,058.57万87.63%1,666.23万-44.63%881.5万-44.63%881.5万
-短期投资 108.94%38万22.06%22.2万--36.3万--36.3万--36.3万--18.19万--18.19万------0--0
应收款项 30.09%39.8万-91.30%44.7万-88.66%57万375.97%73.3万375.97%73.3万82.27%30.6万2,136.48%513.85万5,927.96%502.55万56.92%15.4万56.92%15.4万
-应收账款 -----99.82%9,000-------------25.91%12.44万2,057.44%495.69万5,927.96%502.55万--------
-其他应收款 119.17%39.8万141.20%43.8万--57万375.97%73.3万375.97%73.3万--18.16万--18.16万------15.4万--15.4万
存货 --4,228.3万--4,715.9万--4,854万--5,802万--5,802万--------------0--0
预付费用 264.81%319.1万213.03%346.6万469.83%435.6万199.33%268.8万199.33%268.8万8.25%87.47万9.68%110.72万-11.23%76.44万-8.01%89.8万-8.01%89.8万
受限制现金 ----------------------1,490.11万----------------
递延资产 ----------------------46.86万----------------
流动资产合计 391.85%1.27亿571.99%1.14亿412.22%1.15亿1,060.89%1.15亿1,060.89%1.15亿63.08%2,591.13万-30.97%1,701.33万-39.29%2,245.22万-41.94%986.7万-41.94%986.7万
非流动资产
固定资产净额 120.52%1.4亿102.77%1.24亿73.59%1.08亿47.17%1.05亿47.17%1.05亿-6.42%6,333.46万-14.89%6,132.22万36.40%6,236.59万62.92%7,142.6万62.92%7,142.6万
-固定资产 135.18%1.54亿112.26%1.35亿79.06%1.16亿48.33%1.1亿48.33%1.1亿-5.69%6,566.19万-13.83%6,362.72万36.30%6,456.16万63.01%7,391.7万63.01%7,391.7万
-累计折旧 -534.27%-1,476.1万-364.78%-1,071.3万-234.57%-734.6万-81.41%-451.9万-81.41%-451.9万-20.04%-232.73万-28.86%-230.49万-33.70%-219.57万-65.66%-249.1万-65.66%-249.1万
长期应收款 ---------------------41.37%10.95万-35.17%12.82万--14.71万--------
非流动递延资产 -71.54%26.5万222.02%279.6万88.95%156.2万--156.9万--156.9万27.78%93.11万25.30%86.83万47.34%82.67万--0--0
长期预付费用 ---------------------16.46%6.95万-3.73%7.28万96.06%7.3万--------
其他非流动资产 17,931.43%1,633.9万17,864.14%1,613万25,480.04%1,582.1万1,347.58%1,585.1万1,347.58%1,585.1万47.91%9.06万-48.33%8.98万33.90%6.18万2,280.38%109.5万2,280.38%109.5万
非流动资产合计 142.14%1.56亿129.30%1.43亿97.94%1.26亿68.97%1.23亿68.97%1.23亿-6.12%6,453.54万-14.63%6,248.14万36.89%6,347.46万63.23%7,252.1万63.23%7,252.1万
总资产 213.68%2.84亿224.04%2.58亿180.06%2.41亿187.77%2.37亿187.77%2.37亿6.87%9,044.67万-18.75%7,949.47万3.09%8,592.68万34.13%8,238.8万34.13%8,238.8万
负债
流动负债
应付款项 912.33%2,115.7万542.12%1,424.6万717.97%1,940.8万438.58%1,930.8万438.58%1,930.8万-26.19%208.99万-30.34%221.86万-17.03%237.27万33.27%358.5万33.27%358.5万
-应付账款 799.05%1,388.6万334.32%793.5万262.67%774.1万291.84%951万291.84%951万-29.19%154.45万-32.53%182.7万3.14%213.44万18.19%242.7万18.19%242.7万
-应付税费 --727.1万--631.1万--1,143.5万--912.4万--912.4万--------------0--0
-应付关联方款项 ---------2.63%23.2万-41.80%67.4万-41.80%67.4万-16.13%54.54万-17.87%39.16万-69.84%23.83万81.92%115.8万81.92%115.8万
应计费用 1,031.76%1,228.7万1,176.07%1,111.9万968.36%673.5万697.86%709.3万697.86%709.3万-11.74%108.57万-26.36%87.13万-50.84%63.04万53.15%88.9万53.15%88.9万
现行拨备 103.88%215.3万79.73%189.8万75.28%185.1万52.94%161.5万52.94%161.5万-34.96%105.6万-34.96%105.6万-34.96%105.6万-34.96%105.6万-34.96%105.6万
短期借款与租赁负债 77.34%2,097.5万137.13%2,695.3万111.26%2,311.2万96.97%2,194.4万96.97%2,194.4万15.89%1,182.76万15.29%1,136.62万17.39%1,093.99万25.02%1,114.1万25.02%1,114.1万
-短期借款 30.45%1,494.9万91.84%2,107.8万80.69%1,908万55.00%1,670.7万55.00%1,670.7万17.17%1,145.99万16.71%1,098.71万16.95%1,055.94万24.18%1,077.9万24.18%1,077.9万
-短期租赁负债 1,538.64%602.6万1,449.85%587.5万959.57%403.2万1,346.69%523.7万1,346.69%523.7万-13.50%36.77万-14.65%37.91万30.91%38.05万56.35%36.2万56.35%36.2万
其他流动负债 58.28%2,432.4万-----32.09%9.1万--18.2万--18.2万3,741.93%1,536.77万-39.85%59.55万-99.50%13.4万--------
流动负债总额 157.41%8,089.6万236.59%5,421.6万238.31%5,119.7万200.77%5,014.2万200.77%5,014.2万92.91%3,142.69万-4.35%1,610.76万-63.89%1,513.31万8.32%1,667.1万8.32%1,667.1万
非流动负债
长期拨备 141.68%5,742万155.29%5,520.4万144.12%5,504万116.53%5,291.2万116.53%5,291.2万18.07%2,375.86万-12.24%2,162.37万-12.41%2,254.62万2.21%2,443.6万2.21%2,443.6万
长期借款与租赁负债 338.00%227.4万388.65%289.5万264.51%254.2万357.24%347.5万357.24%347.5万-42.61%51.92万-42.34%59.25万-7.31%69.74万-5.10%76万-5.10%76万
-长期借款 -------------------------92.06%6,155-79.90%2.44万-76.41%4.2万-76.41%4.2万
-长期租赁负债 338.00%227.4万393.78%289.5万277.74%254.2万383.98%347.5万383.98%347.5万-38.53%51.92万-38.29%58.63万6.66%67.29万15.29%71.8万15.29%71.8万
递延负债 --739.9万--204.1万--------------------------------
非流动负债总额 176.36%6,709.3万170.70%6,014万147.73%5,758.2万123.79%5,638.7万123.79%5,638.7万15.46%2,427.78万-13.45%2,221.61万-12.27%2,324.36万1.97%2,519.6万1.97%2,519.6万
总负债 165.67%1.48亿198.39%1.14亿183.45%1.09亿154.45%1.07亿154.45%1.07亿49.27%5,570.47万-9.84%3,832.38万-43.90%3,837.67万4.41%4,186.7万4.41%4,186.7万
所有者权益
股本 39.09%2.58亿40.96%2.58亿39.40%2.57亿45.52%2.57亿45.52%2.57亿7.50%1.85亿3.83%1.83亿47.55%1.85亿41.46%1.77亿41.46%1.77亿
-普通股股本 39.09%2.58亿40.96%2.58亿39.40%2.57亿45.52%2.57亿45.52%2.57亿7.50%1.85亿3.83%1.83亿47.55%1.85亿41.46%1.77亿41.46%1.77亿
留存收益 7.71%-1.55亿8.92%-1.47亿-1.96%-1.58亿-6.37%-1.59亿-6.37%-1.59亿-18.32%-1.68亿-20.40%-1.61亿-21.99%-1.55亿-24.16%-1.49亿-24.16%-1.49亿
资本公积 --1,123.3万--1,083.8万--1,021.7万11.76%989.5万11.76%989.5万--------------885.4万--885.4万
不影响留存收益的损益 24.66%2,179.1万9.84%2,163.4万24.93%2,177.5万470.03%2,177.5万470.03%2,177.5万3.07%1,748.1万48.59%1,969.59万5.68%1,743.03万-76.60%382万-76.60%382万
股东权益总额 290.66%1.36亿247.92%1.43亿177.33%1.32亿222.19%1.31亿222.19%1.31亿-26.57%3,474.2万-25.59%4,117.09万218.02%4,755.01万90.03%4,052.1万90.03%4,052.1万
总权益 290.66%1.36亿247.92%1.43亿177.33%1.32亿222.19%1.31亿222.19%1.31亿-26.57%3,474.2万-25.59%4,117.09万218.02%4,755.01万90.03%4,052.1万90.03%4,052.1万
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