美股市场个股详情

LOMLF LION ONE METALS LIMITED

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  • 0.356800
  • +0.000800+0.22%
延时15分钟行情收盘价 05/03 16:00 (美东)
8226.03万总市值-9643市盈率TTM

LION ONE METALS LIMITED关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2023/12/31
(Q1)2023/09/30
(FY)2023/06/30
(Q4)2023/06/30
(Q3)2023/03/31
(Q2)2022/12/31
(Q1)2022/09/30
(FY)2022/06/30
(Q4)2022/06/30
(Q3)2022/03/31
资产
流动资产
现金及现金等价物和短期投资
-30.42%1,344.97万
-18.40%2,707.64万
26.98%4,539.44万
26.98%4,539.44万
-13.97%3,686.26万
-61.18%1,932.86万
-38.49%3,318.13万
-38.59%3,574.98万
-38.59%3,574.98万
-28.25%4,284.92万
-现金和现金等价物
-30.42%1,344.97万
-39.49%2,007.64万
18.04%3,039.44万
18.04%3,039.44万
-12.14%2,886.26万
-51.42%1,932.86万
-14.79%3,318.13万
-40.41%2,574.98万
-40.41%2,574.98万
-26.55%3,284.92万
-短期投资
--0
--700万
50.00%1,500万
50.00%1,500万
-20.00%800万
--0
--0
-33.33%1,000万
-33.33%1,000万
-33.33%1,000万
应收款项
119.57%537.89万
109.41%295.3万
301.99%374.12万
301.99%374.12万
353.32%336.8万
415.56%244.97万
166.62%141.01万
136.94%93.07万
136.94%93.07万
143.86%74.3万
-应收账款
119.57%537.89万
109.41%295.3万
301.99%374.12万
301.99%374.12万
353.32%336.8万
415.56%244.97万
166.62%141.01万
136.94%93.07万
136.94%93.07万
143.86%74.3万
存货
--639.79万
--512.23万
----
----
----
----
----
----
----
----
预付费用
-38.72%58.95万
111.77%174.97万
8.90%129.62万
8.90%129.62万
15.74%65.32万
356.46%96.2万
368.16%82.62万
753.83%119.02万
753.83%119.02万
235.05%56.43万
流动资产合计
13.53%2,581.6万
4.19%3,690.13万
33.17%5,043.17万
33.17%5,043.17万
-7.41%4,088.38万
-54.94%2,274.03万
-35.19%3,541.77万
-35.53%3,787.06万
-35.53%3,787.06万
-26.64%4,415.65万
非流动资产
固定资产净额
70.23%1.88亿
75.75%1.7亿
80.40%1.55亿
80.40%1.55亿
46.58%1.22亿
38.18%1.1亿
26.30%9,664.14万
17.94%8,581.92万
17.94%8,581.92万
16.71%8,348.4万
-固定资产
70.42%1.94亿
75.43%1.75亿
80.24%1.6亿
80.24%1.6亿
47.22%1.27亿
38.83%1.14亿
26.98%9,990.18万
18.54%8,855.27万
18.54%8,855.27万
17.35%8,603.42万
-累计折旧
-75.75%-671.32万
-65.80%-540.57万
-75.28%-479.13万
-75.28%-479.13万
-68.39%-429.41万
-60.90%-381.99万
-51.11%-326.04万
-40.87%-273.35万
-40.87%-273.35万
-43.02%-255.02万
长期预付费用
-82.86%242.04万
-83.94%234.89万
-66.31%239.6万
-66.31%239.6万
287.71%1,893.63万
576.28%1,412.09万
596.74%1,462.94万
258.71%711.22万
258.71%711.22万
58.36%488.41万
其他非流动资产
-0.13%47.4万
-0.11%47.31万
-0.05%47.34万
-0.05%47.34万
-5.77%47.42万
-40.57%47.46万
-40.41%47.36万
-40.78%47.37万
-40.78%47.37万
8.68%50.32万
非流动资产合计
52.66%1.91亿
54.52%1.73亿
68.82%1.58亿
68.82%1.58亿
59.53%1.42亿
51.00%1.25亿
40.71%1.12亿
23.64%9,340.5万
23.64%9,340.5万
18.37%8,887.14万
总资产
46.63%2.16亿
42.41%2.1亿
58.53%2.08亿
58.53%2.08亿
37.31%1.83亿
10.85%1.48亿
9.77%1.47亿
-2.25%1.31亿
-2.25%1.31亿
-1.66%1.33亿
负债
流动负债
应付款项
136.75%434.36万
90.98%571.54万
350.29%493.07万
350.29%493.07万
442.70%374.78万
476.37%183.47万
951.11%299.26万
152.01%109.5万
152.01%109.5万
251.89%69.06万
-应付账款
1,165.19%434.36万
10.87%7.98万
-58.29%6.4万
-58.29%6.4万
38.80%7.5万
970.27%34.33万
-3.76%7.19万
197.18%15.35万
197.18%15.35万
-9.76%5.4万
-其他应付款
----
92.96%563.57万
416.90%486.66万
416.90%486.66万
476.97%367.29万
421.02%149.13万
1,291.06%292.07万
145.91%94.15万
145.91%94.15万
366.73%63.66万
应计费用
--240.26万
----
----
----
----
----
----
----
----
----
短期借款与租赁负债
91.38%8.5万
-8.03%8.09万
-41.07%7.7万
-41.07%7.7万
----
-71.24%4.44万
-41.91%8.79万
-11.98%13.06万
-11.98%13.06万
8.30%15.75万
-短期租赁负债
91.38%8.5万
-8.03%8.09万
-41.07%7.7万
-41.07%7.7万
--0
-71.24%4.44万
-41.91%8.79万
-11.98%13.06万
-11.98%13.06万
8.30%15.75万
流动负债总额
263.54%683.12万
88.16%579.63万
308.59%500.76万
308.59%500.76万
341.90%374.78万
297.48%187.91万
600.24%308.05万
43.68%122.56万
43.68%122.56万
51.05%84.81万
非流动负债
长期拨备
--110.05万
--80.73万
--67.67万
--67.67万
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----
----
----
----
----
长期借款与租赁负债
--3,759.12万
--2,956.42万
--2,738.13万
--2,738.13万
173,515.78%2,587.05万
----
----
----
----
-92.00%1.49万
-长期借款
--3,716.36万
--2,911.37万
--2,690.91万
--2,690.91万
--2,532.28万
----
----
----
----
----
-长期租赁负债
--42.76万
--45.05万
--47.22万
--47.22万
3,575.46%54.77万
----
--0
--0
--0
-92.00%1.49万
非流动负债总额
--3,869.17万
--3,037.16万
--2,805.8万
--2,805.8万
173,515.78%2,587.05万
--0
--0
--0
--0
-93.91%1.49万
总负债
2,322.64%4,552.3万
1,074.07%3,616.79万
2,597.93%3,306.56万
2,597.93%3,306.56万
3,331.90%2,961.83万
253.37%187.91万
468.17%308.05万
22.85%122.56万
22.85%122.56万
7.06%86.3万
所有者权益
股本
13.35%2亿
13.30%1.99亿
21.34%1.99亿
21.34%1.99亿
8.81%1.79亿
7.17%1.76亿
7.17%1.76亿
0.03%1.64亿
0.03%1.64亿
0.57%1.64亿
-普通股股本
13.35%2亿
13.30%1.99亿
21.34%1.99亿
21.34%1.99亿
8.81%1.79亿
7.17%1.76亿
7.17%1.76亿
0.03%1.64亿
0.03%1.64亿
0.57%1.64亿
留存收益
-13.83%-7,001.2万
-4.83%-6,365.27万
-4.89%-6,239.12万
-4.89%-6,239.12万
-6.00%-6,247.2万
-5.81%-6,150.32万
-5.88%-6,072.05万
-4.40%-5,948.17万
-4.40%-5,948.17万
-6.92%-5,893.6万
不影响留存收益的损益
32.68%4,143.02万
30.73%3,759.78万
50.95%3,806.4万
50.95%3,806.4万
37.07%3,678.76万
17.76%3,122.67万
8.12%2,876.07万
-3.03%2,521.6万
-3.03%2,521.6万
2.20%2,683.81万
股东权益总额
17.29%1.71亿
20.35%1.73亿
34.60%1.75亿
34.60%1.75亿
15.80%1.53亿
9.88%1.46亿
7.91%1.44亿
-2.43%1.3亿
-2.43%1.3亿
-1.71%1.32亿
总权益
17.29%1.71亿
20.35%1.73亿
34.60%1.75亿
34.60%1.75亿
15.80%1.53亿
9.88%1.46亿
7.91%1.44亿
-2.43%1.3亿
-2.43%1.3亿
-1.71%1.32亿
货币单位
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
审计意见
--
--
无保留意见
--
--
--
--
无保留意见
--
--
(Q2)2023/12/31(Q1)2023/09/30(FY)2023/06/30(Q4)2023/06/30(Q3)2023/03/31(Q2)2022/12/31(Q1)2022/09/30(FY)2022/06/30(Q4)2022/06/30(Q3)2022/03/31
资产
流动资产
现金及现金等价物和短期投资 -30.42%1,344.97万-18.40%2,707.64万26.98%4,539.44万26.98%4,539.44万-13.97%3,686.26万-61.18%1,932.86万-38.49%3,318.13万-38.59%3,574.98万-38.59%3,574.98万-28.25%4,284.92万
-现金和现金等价物 -30.42%1,344.97万-39.49%2,007.64万18.04%3,039.44万18.04%3,039.44万-12.14%2,886.26万-51.42%1,932.86万-14.79%3,318.13万-40.41%2,574.98万-40.41%2,574.98万-26.55%3,284.92万
-短期投资 --0--700万50.00%1,500万50.00%1,500万-20.00%800万--0--0-33.33%1,000万-33.33%1,000万-33.33%1,000万
应收款项 119.57%537.89万109.41%295.3万301.99%374.12万301.99%374.12万353.32%336.8万415.56%244.97万166.62%141.01万136.94%93.07万136.94%93.07万143.86%74.3万
-应收账款 119.57%537.89万109.41%295.3万301.99%374.12万301.99%374.12万353.32%336.8万415.56%244.97万166.62%141.01万136.94%93.07万136.94%93.07万143.86%74.3万
存货 --639.79万--512.23万--------------------------------
预付费用 -38.72%58.95万111.77%174.97万8.90%129.62万8.90%129.62万15.74%65.32万356.46%96.2万368.16%82.62万753.83%119.02万753.83%119.02万235.05%56.43万
流动资产合计 13.53%2,581.6万4.19%3,690.13万33.17%5,043.17万33.17%5,043.17万-7.41%4,088.38万-54.94%2,274.03万-35.19%3,541.77万-35.53%3,787.06万-35.53%3,787.06万-26.64%4,415.65万
非流动资产
固定资产净额 70.23%1.88亿75.75%1.7亿80.40%1.55亿80.40%1.55亿46.58%1.22亿38.18%1.1亿26.30%9,664.14万17.94%8,581.92万17.94%8,581.92万16.71%8,348.4万
-固定资产 70.42%1.94亿75.43%1.75亿80.24%1.6亿80.24%1.6亿47.22%1.27亿38.83%1.14亿26.98%9,990.18万18.54%8,855.27万18.54%8,855.27万17.35%8,603.42万
-累计折旧 -75.75%-671.32万-65.80%-540.57万-75.28%-479.13万-75.28%-479.13万-68.39%-429.41万-60.90%-381.99万-51.11%-326.04万-40.87%-273.35万-40.87%-273.35万-43.02%-255.02万
长期预付费用 -82.86%242.04万-83.94%234.89万-66.31%239.6万-66.31%239.6万287.71%1,893.63万576.28%1,412.09万596.74%1,462.94万258.71%711.22万258.71%711.22万58.36%488.41万
其他非流动资产 -0.13%47.4万-0.11%47.31万-0.05%47.34万-0.05%47.34万-5.77%47.42万-40.57%47.46万-40.41%47.36万-40.78%47.37万-40.78%47.37万8.68%50.32万
非流动资产合计 52.66%1.91亿54.52%1.73亿68.82%1.58亿68.82%1.58亿59.53%1.42亿51.00%1.25亿40.71%1.12亿23.64%9,340.5万23.64%9,340.5万18.37%8,887.14万
总资产 46.63%2.16亿42.41%2.1亿58.53%2.08亿58.53%2.08亿37.31%1.83亿10.85%1.48亿9.77%1.47亿-2.25%1.31亿-2.25%1.31亿-1.66%1.33亿
负债
流动负债
应付款项 136.75%434.36万90.98%571.54万350.29%493.07万350.29%493.07万442.70%374.78万476.37%183.47万951.11%299.26万152.01%109.5万152.01%109.5万251.89%69.06万
-应付账款 1,165.19%434.36万10.87%7.98万-58.29%6.4万-58.29%6.4万38.80%7.5万970.27%34.33万-3.76%7.19万197.18%15.35万197.18%15.35万-9.76%5.4万
-其他应付款 ----92.96%563.57万416.90%486.66万416.90%486.66万476.97%367.29万421.02%149.13万1,291.06%292.07万145.91%94.15万145.91%94.15万366.73%63.66万
应计费用 --240.26万------------------------------------
短期借款与租赁负债 91.38%8.5万-8.03%8.09万-41.07%7.7万-41.07%7.7万-----71.24%4.44万-41.91%8.79万-11.98%13.06万-11.98%13.06万8.30%15.75万
-短期租赁负债 91.38%8.5万-8.03%8.09万-41.07%7.7万-41.07%7.7万--0-71.24%4.44万-41.91%8.79万-11.98%13.06万-11.98%13.06万8.30%15.75万
流动负债总额 263.54%683.12万88.16%579.63万308.59%500.76万308.59%500.76万341.90%374.78万297.48%187.91万600.24%308.05万43.68%122.56万43.68%122.56万51.05%84.81万
非流动负债
长期拨备 --110.05万--80.73万--67.67万--67.67万------------------------
长期借款与租赁负债 --3,759.12万--2,956.42万--2,738.13万--2,738.13万173,515.78%2,587.05万-----------------92.00%1.49万
-长期借款 --3,716.36万--2,911.37万--2,690.91万--2,690.91万--2,532.28万--------------------
-长期租赁负债 --42.76万--45.05万--47.22万--47.22万3,575.46%54.77万------0--0--0-92.00%1.49万
非流动负债总额 --3,869.17万--3,037.16万--2,805.8万--2,805.8万173,515.78%2,587.05万--0--0--0--0-93.91%1.49万
总负债 2,322.64%4,552.3万1,074.07%3,616.79万2,597.93%3,306.56万2,597.93%3,306.56万3,331.90%2,961.83万253.37%187.91万468.17%308.05万22.85%122.56万22.85%122.56万7.06%86.3万
所有者权益
股本 13.35%2亿13.30%1.99亿21.34%1.99亿21.34%1.99亿8.81%1.79亿7.17%1.76亿7.17%1.76亿0.03%1.64亿0.03%1.64亿0.57%1.64亿
-普通股股本 13.35%2亿13.30%1.99亿21.34%1.99亿21.34%1.99亿8.81%1.79亿7.17%1.76亿7.17%1.76亿0.03%1.64亿0.03%1.64亿0.57%1.64亿
留存收益 -13.83%-7,001.2万-4.83%-6,365.27万-4.89%-6,239.12万-4.89%-6,239.12万-6.00%-6,247.2万-5.81%-6,150.32万-5.88%-6,072.05万-4.40%-5,948.17万-4.40%-5,948.17万-6.92%-5,893.6万
不影响留存收益的损益 32.68%4,143.02万30.73%3,759.78万50.95%3,806.4万50.95%3,806.4万37.07%3,678.76万17.76%3,122.67万8.12%2,876.07万-3.03%2,521.6万-3.03%2,521.6万2.20%2,683.81万
股东权益总额 17.29%1.71亿20.35%1.73亿34.60%1.75亿34.60%1.75亿15.80%1.53亿9.88%1.46亿7.91%1.44亿-2.43%1.3亿-2.43%1.3亿-1.71%1.32亿
总权益 17.29%1.71亿20.35%1.73亿34.60%1.75亿34.60%1.75亿15.80%1.53亿9.88%1.46亿7.91%1.44亿-2.43%1.3亿-2.43%1.3亿-1.71%1.32亿
货币单位 加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元
审计意见 ----无保留意见--------无保留意见----

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