加拿大市场个股详情

K92 Mining Inc (KNT)

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  • 23.980
  • +0.240+1.01%
延时15分钟行情交易中 05/28 13:00 (美东)
58.78亿总市值13.36市盈率TTM

K92 Mining Inc (KNT) 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
57.61%2.87亿
63.41%2.31亿
63.41%2.31亿
54.10%1.85亿
157.39%1.83亿
148.18%1.82亿
78.58%1.41亿
78.58%1.41亿
50.57%1.2亿
-25.62%7,107.3万
-现金和现金等价物
58.36%2.87亿
64.83%2.31亿
64.83%2.31亿
54.10%1.85亿
157.39%1.83亿
171.23%1.81亿
92.80%1.4亿
92.80%1.4亿
50.57%1.2亿
-25.62%7,107.3万
-短期投资
----
--0
--0
--0
--0
-86.84%86.2万
-81.23%121.3万
-81.23%121.3万
--0
--0
应收款项
9.61%6,096.7万
176.26%6,777.2万
176.26%6,777.2万
150.57%8,327万
73.78%4,424.5万
92.17%5,562.1万
-11.91%2,453.2万
-11.91%2,453.2万
48.08%3,323.2万
-7.64%2,546.1万
-应收账款
6.37%5,117.3万
202.26%6,108.1万
202.26%6,108.1万
201.66%7,740万
209.94%3,887.9万
240.11%4,810.8万
34.45%2,020.8万
34.45%2,020.8万
743.46%2,565.8万
26.67%1,254.4万
-应收税费
27.49%852.8万
46.66%540万
46.66%540万
-29.80%491.2万
-64.46%446.3万
-52.85%668.9万
-70.44%368.2万
-70.44%368.2万
-62.93%699.7万
-27.52%1,255.6万
-其他应收款
53.64%126.6万
101.09%129.1万
101.09%129.1万
66.03%95.8万
150.14%90.3万
34.86%82.4万
77.35%64.2万
77.35%64.2万
9.90%57.7万
5.87%36.1万
存货
74.39%6,941.2万
74.61%6,789.8万
74.61%6,789.8万
45.22%4,971.8万
18.11%4,464.9万
24.04%3,980.2万
7.95%3,888.6万
7.95%3,888.6万
-9.61%3,423.7万
15.84%3,780.4万
预付费用
156.64%1,265万
141.61%868.6万
141.61%868.6万
304.98%895万
86.45%785.5万
8.09%492.9万
-8.13%359.5万
-8.13%359.5万
-43.64%221万
-17.38%421.3万
套期保值资产
----
----
----
----
----
----
----
----
----
-5.80%13万
其他流动资产
1,192.73%213.3万
125.80%217.9万
125.80%217.9万
--17.2万
--156.5万
--16.5万
61.64%96.5万
61.64%96.5万
----
----
流动资产合计
52.92%4.32亿
80.35%3.77亿
80.35%3.77亿
72.38%3.28亿
102.80%2.81亿
103.37%2.83亿
41.88%2.09亿
41.88%2.09亿
31.63%1.9亿
-13.86%1.39亿
非流动资产
固定资产净额
40.56%6.13亿
45.70%5.77亿
45.70%5.77亿
55.06%5.31亿
53.40%4.76亿
54.19%4.36亿
49.26%3.96亿
49.26%3.96亿
40.50%3.43亿
36.74%3.11亿
-固定资产
37.04%7.55亿
40.21%7.07亿
40.21%7.07亿
47.03%6.61亿
46.54%5.99亿
48.08%5.51亿
45.50%5.05亿
45.50%5.05亿
38.97%4.5亿
36.53%4.09亿
-累计折旧
-23.68%-1.42亿
-20.17%-1.3亿
-20.17%-1.3亿
-21.34%-1.3亿
-24.80%-1.22亿
-28.75%-1.15亿
-33.25%-1.08亿
-33.25%-1.08亿
-34.27%-1.07亿
-35.89%-9,806.6万
长期预付费用
44.86%369.1万
39.87%338.9万
39.87%338.9万
406.24%275.9万
--292.7万
--254.8万
--242.3万
--242.3万
--54.5万
----
其他非流动资产
----
----
----
----
----
----
--2,054万
--2,054万
--2,027.1万
--2,000.3万
非流动资产合计
40.59%6.16亿
38.52%5.8亿
38.52%5.8亿
46.94%5.34亿
45.00%4.79亿
55.09%4.38亿
57.92%4.19亿
57.92%4.19亿
49.04%3.64亿
45.55%3.31亿
总资产
45.42%10.49亿
52.45%9.58亿
52.45%9.58亿
55.67%8.62亿
62.09%7.61亿
71.00%7.21亿
52.19%6.28亿
52.19%6.28亿
42.57%5.54亿
20.90%4.69亿
负债
流动负债
短期借款与资本租赁负债
29.61%2,148.9万
-24.34%2,147万
-24.34%2,147万
150.58%2,145万
1,366.89%2,149万
493.20%1,658万
582.80%2,837.7万
582.80%2,837.7万
54.76%856万
-73.74%146.5万
-短期借款
----
----
----
--1,972.1万
----
----
----
----
----
----
-银行债务
33.95%1,972万
-25.36%1,972.1万
-25.36%1,972.1万
----
--1,972.1万
--1,472.2万
--2,642.3万
--2,642.3万
--807.5万
----
-短期资本租赁负债
-4.79%176.9万
-10.49%174.9万
-10.49%174.9万
256.49%172.9万
20.75%176.9万
-33.52%185.8万
-52.98%195.4万
-52.98%195.4万
-91.23%48.5万
-73.74%146.5万
应付款项
-38.86%3,100.1万
52.33%5,405万
52.33%5,405万
60.07%4,497.5万
115.55%4,168.7万
119.61%5,070.4万
61.83%3,548.3万
61.83%3,548.3万
22.30%2,809.7万
-20.83%1,934万
-应付账款
23.76%808.4万
105.00%1,845.4万
105.00%1,845.4万
-38.74%1,092.2万
-49.55%635.5万
-47.45%653.2万
-34.46%900.2万
-34.46%900.2万
38.81%1,782.8万
-0.65%1,259.6万
-应付税费
--0
13.38%1,349.4万
13.38%1,349.4万
--1,244.9万
--1,840.5万
4,918.49%2,850.5万
--1,190.2万
--1,190.2万
----
----
-其他应付款
46.28%2,291.7万
51.60%2,210.2万
51.60%2,210.2万
110.38%2,160.4万
150.99%1,692.7万
55.29%1,566.7万
77.99%1,457.9万
77.99%1,457.9万
69.76%1,026.9万
2.45%674.4万
应计费用
42.74%2,534.2万
34.86%2,362.3万
34.86%2,362.3万
43.59%2,203.9万
47.08%1,933.4万
41.47%1,775.4万
47.84%1,751.7万
47.84%1,751.7万
41.35%1,534.9万
22.63%1,314.5万
养老金及其他退休福利计划
10.93%1,098.7万
4.41%996.6万
4.41%996.6万
9.26%1,123.6万
-3.44%940.2万
12.53%990.4万
9.25%954.5万
9.25%954.5万
34.40%1,028.4万
35.75%973.7万
递延负债
--0
--602.1万
--602.1万
----
----
----
--0
--0
----
----
其他流动负债
----
----
----
----
----
----
13.93%137.4万
13.93%137.4万
--488.7万
454.33%326.5万
流动负债总额
-6.45%8,881.9万
24.74%1.15亿
24.74%1.15亿
48.41%9,970万
95.76%9,191.3万
91.13%9,494.2万
92.79%9,229.6万
92.79%9,229.6万
42.88%6,717.7万
-3.17%4,695.2万
非流动负债
长期借款与租赁负债
-43.18%2,765.3万
-12.00%3,306.4万
-12.00%3,306.4万
-25.93%3,848万
9.67%4,325.4万
8,796.71%4,866.5万
6,120.53%3,757.2万
6,120.53%3,757.2万
8,211.68%5,194.8万
1,709.96%3,943.9万
-长期借款
-44.44%2,465.7万
-9.76%2,958.8万
-9.76%2,958.8万
-32.22%3,451.7万
1.31%3,944.7万
--4,437.7万
--3,278.8万
--3,278.8万
--5,092.6万
--3,893.7万
-长期租赁负债
-30.13%299.6万
-27.34%347.6万
-27.34%347.6万
287.77%396.3万
658.37%380.7万
683.91%428.8万
692.05%478.4万
692.05%478.4万
63.52%102.2万
-76.96%50.2万
长期拨备
22.80%882.1万
22.04%839.9万
22.04%839.9万
-19.62%732.3万
-12.69%746.7万
-19.74%718.3万
-22.53%688.2万
-22.53%688.2万
3.28%911.1万
-9.11%855.2万
递延负债
82.70%3,523.8万
100.66%3,366.9万
100.66%3,366.9万
148.08%2,751.7万
151.80%2,215.3万
182.26%1,928.7万
266.51%1,677.9万
266.51%1,677.9万
238.58%1,109.2万
781.56%879.8万
非流动负债总额
-4.56%7,171.2万
22.70%7,513.2万
22.70%7,513.2万
1.62%7,332万
28.32%7,287.4万
360.10%7,513.5万
335.33%6,123.3万
335.33%6,123.3万
467.09%7,215.1万
351.21%5,678.9万
负债总额
-5.61%1.61亿
23.93%1.9亿
23.93%1.9亿
24.18%1.73亿
58.84%1.65亿
157.67%1.7亿
147.87%1.54亿
147.87%1.54亿
133.23%1.39亿
69.86%1.04亿
所有者权益
股本
17.22%1.98亿
19.66%1.92亿
19.66%1.92亿
23.82%1.91亿
17.02%1.77亿
14.36%1.69亿
9.66%1.6亿
9.66%1.6亿
6.73%1.54亿
5.03%1.52亿
-普通股股本
17.22%1.98亿
19.66%1.92亿
19.66%1.92亿
23.82%1.91亿
17.02%1.77亿
14.36%1.69亿
9.66%1.6亿
9.66%1.6亿
6.73%1.54亿
5.03%1.52亿
资本公积
-32.65%1,788.4万
-30.15%2,058.7万
-30.15%2,058.7万
-41.85%1,785.1万
-22.66%2,387.5万
-14.02%2,655.2万
-4.83%2,947.5万
-4.83%2,947.5万
0.95%3,069.7万
9.31%3,087.2万
留存收益
89.06%6.72亿
94.72%5.55亿
94.72%5.55亿
109.11%4.8亿
115.41%3.95亿
100.74%3.55亿
63.92%2.85亿
63.92%2.85亿
49.13%2.3亿
18.47%1.83亿
不影响留存收益的损益
0.00%-25.7万
0.00%-25.7万
0.00%-25.7万
0.00%-25.7万
0.00%-25.7万
0.00%-25.7万
0.00%-25.7万
0.00%-25.7万
0.00%-25.7万
0.00%-25.7万
股东权益总额
61.17%8.88亿
61.68%7.68亿
61.68%7.68亿
66.27%6.89亿
63.01%5.96亿
54.92%5.51亿
35.30%4.75亿
35.30%4.75亿
26.08%4.14亿
11.76%3.65亿
总权益
61.17%8.88亿
61.68%7.68亿
61.68%7.68亿
66.27%6.89亿
63.01%5.96亿
54.92%5.51亿
35.30%4.75亿
35.30%4.75亿
26.08%4.14亿
11.76%3.65亿
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 57.61%2.87亿63.41%2.31亿63.41%2.31亿54.10%1.85亿157.39%1.83亿148.18%1.82亿78.58%1.41亿78.58%1.41亿50.57%1.2亿-25.62%7,107.3万
-现金和现金等价物 58.36%2.87亿64.83%2.31亿64.83%2.31亿54.10%1.85亿157.39%1.83亿171.23%1.81亿92.80%1.4亿92.80%1.4亿50.57%1.2亿-25.62%7,107.3万
-短期投资 ------0--0--0--0-86.84%86.2万-81.23%121.3万-81.23%121.3万--0--0
应收款项 9.61%6,096.7万176.26%6,777.2万176.26%6,777.2万150.57%8,327万73.78%4,424.5万92.17%5,562.1万-11.91%2,453.2万-11.91%2,453.2万48.08%3,323.2万-7.64%2,546.1万
-应收账款 6.37%5,117.3万202.26%6,108.1万202.26%6,108.1万201.66%7,740万209.94%3,887.9万240.11%4,810.8万34.45%2,020.8万34.45%2,020.8万743.46%2,565.8万26.67%1,254.4万
-应收税费 27.49%852.8万46.66%540万46.66%540万-29.80%491.2万-64.46%446.3万-52.85%668.9万-70.44%368.2万-70.44%368.2万-62.93%699.7万-27.52%1,255.6万
-其他应收款 53.64%126.6万101.09%129.1万101.09%129.1万66.03%95.8万150.14%90.3万34.86%82.4万77.35%64.2万77.35%64.2万9.90%57.7万5.87%36.1万
存货 74.39%6,941.2万74.61%6,789.8万74.61%6,789.8万45.22%4,971.8万18.11%4,464.9万24.04%3,980.2万7.95%3,888.6万7.95%3,888.6万-9.61%3,423.7万15.84%3,780.4万
预付费用 156.64%1,265万141.61%868.6万141.61%868.6万304.98%895万86.45%785.5万8.09%492.9万-8.13%359.5万-8.13%359.5万-43.64%221万-17.38%421.3万
套期保值资产 -------------------------------------5.80%13万
其他流动资产 1,192.73%213.3万125.80%217.9万125.80%217.9万--17.2万--156.5万--16.5万61.64%96.5万61.64%96.5万--------
流动资产合计 52.92%4.32亿80.35%3.77亿80.35%3.77亿72.38%3.28亿102.80%2.81亿103.37%2.83亿41.88%2.09亿41.88%2.09亿31.63%1.9亿-13.86%1.39亿
非流动资产
固定资产净额 40.56%6.13亿45.70%5.77亿45.70%5.77亿55.06%5.31亿53.40%4.76亿54.19%4.36亿49.26%3.96亿49.26%3.96亿40.50%3.43亿36.74%3.11亿
-固定资产 37.04%7.55亿40.21%7.07亿40.21%7.07亿47.03%6.61亿46.54%5.99亿48.08%5.51亿45.50%5.05亿45.50%5.05亿38.97%4.5亿36.53%4.09亿
-累计折旧 -23.68%-1.42亿-20.17%-1.3亿-20.17%-1.3亿-21.34%-1.3亿-24.80%-1.22亿-28.75%-1.15亿-33.25%-1.08亿-33.25%-1.08亿-34.27%-1.07亿-35.89%-9,806.6万
长期预付费用 44.86%369.1万39.87%338.9万39.87%338.9万406.24%275.9万--292.7万--254.8万--242.3万--242.3万--54.5万----
其他非流动资产 --------------------------2,054万--2,054万--2,027.1万--2,000.3万
非流动资产合计 40.59%6.16亿38.52%5.8亿38.52%5.8亿46.94%5.34亿45.00%4.79亿55.09%4.38亿57.92%4.19亿57.92%4.19亿49.04%3.64亿45.55%3.31亿
总资产 45.42%10.49亿52.45%9.58亿52.45%9.58亿55.67%8.62亿62.09%7.61亿71.00%7.21亿52.19%6.28亿52.19%6.28亿42.57%5.54亿20.90%4.69亿
负债
流动负债
短期借款与资本租赁负债 29.61%2,148.9万-24.34%2,147万-24.34%2,147万150.58%2,145万1,366.89%2,149万493.20%1,658万582.80%2,837.7万582.80%2,837.7万54.76%856万-73.74%146.5万
-短期借款 --------------1,972.1万------------------------
-银行债务 33.95%1,972万-25.36%1,972.1万-25.36%1,972.1万------1,972.1万--1,472.2万--2,642.3万--2,642.3万--807.5万----
-短期资本租赁负债 -4.79%176.9万-10.49%174.9万-10.49%174.9万256.49%172.9万20.75%176.9万-33.52%185.8万-52.98%195.4万-52.98%195.4万-91.23%48.5万-73.74%146.5万
应付款项 -38.86%3,100.1万52.33%5,405万52.33%5,405万60.07%4,497.5万115.55%4,168.7万119.61%5,070.4万61.83%3,548.3万61.83%3,548.3万22.30%2,809.7万-20.83%1,934万
-应付账款 23.76%808.4万105.00%1,845.4万105.00%1,845.4万-38.74%1,092.2万-49.55%635.5万-47.45%653.2万-34.46%900.2万-34.46%900.2万38.81%1,782.8万-0.65%1,259.6万
-应付税费 --013.38%1,349.4万13.38%1,349.4万--1,244.9万--1,840.5万4,918.49%2,850.5万--1,190.2万--1,190.2万--------
-其他应付款 46.28%2,291.7万51.60%2,210.2万51.60%2,210.2万110.38%2,160.4万150.99%1,692.7万55.29%1,566.7万77.99%1,457.9万77.99%1,457.9万69.76%1,026.9万2.45%674.4万
应计费用 42.74%2,534.2万34.86%2,362.3万34.86%2,362.3万43.59%2,203.9万47.08%1,933.4万41.47%1,775.4万47.84%1,751.7万47.84%1,751.7万41.35%1,534.9万22.63%1,314.5万
养老金及其他退休福利计划 10.93%1,098.7万4.41%996.6万4.41%996.6万9.26%1,123.6万-3.44%940.2万12.53%990.4万9.25%954.5万9.25%954.5万34.40%1,028.4万35.75%973.7万
递延负债 --0--602.1万--602.1万--------------0--0--------
其他流动负债 ------------------------13.93%137.4万13.93%137.4万--488.7万454.33%326.5万
流动负债总额 -6.45%8,881.9万24.74%1.15亿24.74%1.15亿48.41%9,970万95.76%9,191.3万91.13%9,494.2万92.79%9,229.6万92.79%9,229.6万42.88%6,717.7万-3.17%4,695.2万
非流动负债
长期借款与租赁负债 -43.18%2,765.3万-12.00%3,306.4万-12.00%3,306.4万-25.93%3,848万9.67%4,325.4万8,796.71%4,866.5万6,120.53%3,757.2万6,120.53%3,757.2万8,211.68%5,194.8万1,709.96%3,943.9万
-长期借款 -44.44%2,465.7万-9.76%2,958.8万-9.76%2,958.8万-32.22%3,451.7万1.31%3,944.7万--4,437.7万--3,278.8万--3,278.8万--5,092.6万--3,893.7万
-长期租赁负债 -30.13%299.6万-27.34%347.6万-27.34%347.6万287.77%396.3万658.37%380.7万683.91%428.8万692.05%478.4万692.05%478.4万63.52%102.2万-76.96%50.2万
长期拨备 22.80%882.1万22.04%839.9万22.04%839.9万-19.62%732.3万-12.69%746.7万-19.74%718.3万-22.53%688.2万-22.53%688.2万3.28%911.1万-9.11%855.2万
递延负债 82.70%3,523.8万100.66%3,366.9万100.66%3,366.9万148.08%2,751.7万151.80%2,215.3万182.26%1,928.7万266.51%1,677.9万266.51%1,677.9万238.58%1,109.2万781.56%879.8万
非流动负债总额 -4.56%7,171.2万22.70%7,513.2万22.70%7,513.2万1.62%7,332万28.32%7,287.4万360.10%7,513.5万335.33%6,123.3万335.33%6,123.3万467.09%7,215.1万351.21%5,678.9万
负债总额 -5.61%1.61亿23.93%1.9亿23.93%1.9亿24.18%1.73亿58.84%1.65亿157.67%1.7亿147.87%1.54亿147.87%1.54亿133.23%1.39亿69.86%1.04亿
所有者权益
股本 17.22%1.98亿19.66%1.92亿19.66%1.92亿23.82%1.91亿17.02%1.77亿14.36%1.69亿9.66%1.6亿9.66%1.6亿6.73%1.54亿5.03%1.52亿
-普通股股本 17.22%1.98亿19.66%1.92亿19.66%1.92亿23.82%1.91亿17.02%1.77亿14.36%1.69亿9.66%1.6亿9.66%1.6亿6.73%1.54亿5.03%1.52亿
资本公积 -32.65%1,788.4万-30.15%2,058.7万-30.15%2,058.7万-41.85%1,785.1万-22.66%2,387.5万-14.02%2,655.2万-4.83%2,947.5万-4.83%2,947.5万0.95%3,069.7万9.31%3,087.2万
留存收益 89.06%6.72亿94.72%5.55亿94.72%5.55亿109.11%4.8亿115.41%3.95亿100.74%3.55亿63.92%2.85亿63.92%2.85亿49.13%2.3亿18.47%1.83亿
不影响留存收益的损益 0.00%-25.7万0.00%-25.7万0.00%-25.7万0.00%-25.7万0.00%-25.7万0.00%-25.7万0.00%-25.7万0.00%-25.7万0.00%-25.7万0.00%-25.7万
股东权益总额 61.17%8.88亿61.68%7.68亿61.68%7.68亿66.27%6.89亿63.01%5.96亿54.92%5.51亿35.30%4.75亿35.30%4.75亿26.08%4.14亿11.76%3.65亿
总权益 61.17%8.88亿61.68%7.68亿61.68%7.68亿66.27%6.89亿63.01%5.96亿54.92%5.51亿35.30%4.75亿35.30%4.75亿26.08%4.14亿11.76%3.65亿
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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