加拿大市场个股详情

Minera Alamos Inc (MAI)

添加自选
  • 6.195
  • -0.025-0.40%
延时15分钟行情已收盘 05/22 16:00 (美东)
6.76亿总市值-10.07市盈率TTM

Minera Alamos Inc (MAI) 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
412.37%6,025.5万
412.37%6,025.5万
-72.27%165.48万
-57.55%365.41万
-36.56%751.39万
-14.50%1,176万
-14.50%1,176万
-9.23%596.66万
4.05%860.83万
16.12%1,184.45万
-现金和现金等价物
412.37%6,025.5万
412.37%6,025.5万
-78.59%127.77万
-60.09%343.54万
-38.41%729.52万
-14.50%1,176万
-14.50%1,176万
-9.23%596.66万
4.05%860.83万
16.12%1,184.45万
-短期投资
----
----
--37.72万
--21.87万
--21.87万
----
----
----
----
----
应收款项
38.40%630.7万
38.40%630.7万
26.45%153.9万
91.71%169.33万
24.68%251.5万
28.58%455.7万
28.58%455.7万
-81.16%121.71万
-85.97%88.33万
-30.17%201.71万
-应收账款
38.40%630.7万
38.40%630.7万
1.91%27.16万
-22.51%28.73万
18.83%84.8万
1,040.37%455.7万
1,040.37%455.7万
-31.26%26.65万
-26.86%37.07万
58.24%71.36万
-应收税费
----
----
33.33%126.74万
174.33%140.6万
27.88%166.7万
-50.69%155.07万
-50.69%155.07万
-84.35%95.06万
-91.14%51.25万
-46.53%130.35万
存货
983.14%1.12亿
983.14%1.12亿
39.47%1,244.22万
87.21%1,211.77万
69.90%1,143.04万
37.04%1,030.6万
37.04%1,030.6万
15.98%892.09万
-11.04%647.27万
-14.09%672.78万
受限制现金
115.63%6.9万
115.63%6.9万
426,748.72%1.35亿
5.23%3.33万
5.23%3.33万
1.15%3.2万
1.15%3.2万
0.81%3.16万
2.00%3.16万
2.52%3.16万
递延资产
----
----
--446.6万
----
----
----
----
----
----
----
其他流动资产
----
----
-22.33%227.54万
-17.77%240.79万
-41.76%160.44万
-100.03%-1,000
-100.03%-1,000
-0.90%292.94万
-2.97%292.83万
-11.37%275.46万
流动资产合计
568.79%1.78亿
568.79%1.78亿
725.62%1.57亿
5.19%1,990.63万
-1.19%2,309.69万
-4.69%2,665.4万
-4.69%2,665.4万
-19.60%1,906.57万
-23.98%1,892.42万
-2.84%2,337.56万
非流动资产
固定资产净额
652.46%1.47亿
652.46%1.47亿
51.09%2,957.4万
33.22%2,869.61万
23.91%2,869.95万
-12.23%1,955.7万
-12.23%1,955.7万
-2.20%1,957.44万
5.24%2,154.09万
15.74%2,316.17万
-固定资产
583.88%1.52亿
583.88%1.52亿
49.45%3,283.78万
33.14%3,173.83万
25.19%3,173.64万
-8.97%2,229.5万
-8.97%2,229.5万
-0.60%2,197.3万
6.61%2,383.91万
16.07%2,535.13万
-累计折旧
-94.01%-531.2万
-94.01%-531.2万
-36.06%-326.37万
-32.37%-304.22万
-38.70%-303.69万
-23.95%-273.8万
-23.95%-273.8万
-14.79%-239.87万
-21.44%-229.82万
-19.64%-218.96万
长期应收款
----
----
-46.86%66.46万
-53.45%66.46万
-53.64%66.2万
-51.73%66.2万
-51.73%66.2万
-1.45%125.06万
-61.14%142.78万
-77.75%142.78万
长期预付费用
--838.4万
--838.4万
--27.02万
--85.67万
--4.3万
--0
--0
----
----
----
非流动递延资产
----
----
----
--0
--0
--55.91万
--55.91万
----
----
----
其他非流动资产
20.88%147.6万
20.88%147.6万
--61.95万
----
--85.95万
--122.1万
--122.1万
----
----
----
非流动资产合计
655.70%1.57亿
655.70%1.57亿
49.48%3,112.84万
31.56%3,021.75万
23.08%3,026.39万
-12.16%2,077.8万
-12.16%2,077.8万
-2.16%2,082.49万
-4.86%2,296.87万
-6.96%2,458.95万
总资产
606.86%3.35亿
606.86%3.35亿
372.64%1.89亿
19.65%5,012.38万
11.25%5,336.08万
-8.11%4,743.2万
-8.11%4,743.2万
-11.35%3,989.06万
-14.57%4,189.29万
-5.00%4,796.51万
负债
流动负债
短期借款与资本租赁负债
274.00%1,567.8万
274.00%1,567.8万
5.17%689.41万
436.01%646.89万
507.44%654.63万
345.03%419.2万
345.03%419.2万
7,343.13%655.53万
1,298.78%120.69万
1,174.72%107.77万
-短期借款
280.72%1,557.9万
280.72%1,557.9万
5.03%678.24万
472.01%636万
553.61%643.9万
380.35%409.2万
380.35%409.2万
--645.78万
--111.19万
--98.52万
-短期资本租赁负债
-1.00%9.9万
-1.00%9.9万
14.57%11.17万
14.66%10.89万
15.87%10.72万
11.01%10万
11.01%10万
10.73%9.75万
10.10%9.5万
9.45%9.25万
递延负债
535.63%1,182.9万
535.63%1,182.9万
-77.99%76.02万
--87.9万
-37.45%82.56万
-23.08%186.1万
-23.08%186.1万
147.93%345.36万
--0
-46.36%131.99万
其他流动负债
----
----
--1.35亿
----
----
----
----
----
----
----
流动负债总额
494.65%6,626.2万
494.65%6,626.2万
1,062.78%1.58亿
158.94%1,150.59万
169.40%1,381.18万
39.31%1,114.3万
39.31%1,114.3万
235.03%1,355.5万
3.91%444.34万
23.00%512.69万
非流动负债
长期借款与租赁负债
771.18%1,910.5万
771.18%1,910.5万
-89.55%1.3万
-99.16%4.6万
-98.66%7.27万
-58.85%219.3万
-58.85%219.3万
-43.87%12.48万
2,128.42%545.87万
1,935.59%543.96万
-长期借款
812.37%1,910.5万
812.37%1,910.5万
----
----
----
-59.18%209.4万
-59.18%209.4万
----
--530.88万
--526.5万
-长期租赁负债
--0
--0
-89.55%1.3万
-69.34%4.6万
-58.36%7.27万
-50.24%9.9万
-50.24%9.9万
-43.87%12.48万
-38.78%15万
-34.63%17.47万
长期拨备
3,650.30%2,512.7万
3,650.30%2,512.7万
476.99%335.87万
426.26%323.61万
413.02%330.67万
10.98%67万
10.98%67万
-0.04%58.21万
8.41%61.49万
19.55%64.46万
递延负债
--2,996.8万
--2,996.8万
--884.59万
--836.85万
--815.82万
--0
--0
----
----
----
非流动负债总额
2,491.69%7,420万
2,491.69%7,420万
1,628.41%1,221.76万
91.82%1,165.06万
89.63%1,153.76万
-51.74%286.3万
-51.74%286.3万
-12.15%70.69万
647.80%607.37万
654.52%608.42万
负债总额
902.87%1.4亿
902.87%1.4亿
1,090.81%1.7亿
120.18%2,315.65万
126.11%2,534.93万
0.54%1,400.6万
0.54%1,400.6万
194.03%1,426.18万
106.69%1,051.71万
125.37%1,121.11万
所有者权益
股本
161.03%3亿
161.03%3亿
32.90%1.42亿
35.36%1.42亿
34.49%1.41亿
9.22%1.15亿
9.22%1.15亿
1.99%1.07亿
0.30%1.05亿
0.27%1.05亿
-普通股股本
161.03%3亿
161.03%3亿
32.90%1.42亿
35.36%1.42亿
34.49%1.41亿
9.22%1.15亿
9.22%1.15亿
1.99%1.07亿
0.30%1.05亿
0.27%1.05亿
资本公积
12.70%431.3万
12.70%431.3万
0.00%382.71万
0.47%382.71万
0.47%382.71万
0.47%382.7万
0.47%382.7万
1.52%382.71万
1.04%380.91万
1.04%380.91万
留存收益
-47.84%-1.3亿
-47.84%-1.3亿
-43.98%-1.29亿
-59.45%-1.22亿
-73.41%-1.21亿
-25.05%-8,770万
-25.05%-8,770万
-28.37%-8,939.43万
-18.52%-7,663.93万
-5.80%-6,960.41万
不影响留存收益的损益
-3,547.56%-775.7万
-3,547.56%-775.7万
-468.80%-183.08万
87.33%-62.89万
95.91%-26.02万
104.84%22.5万
104.84%22.5万
114.40%49.64万
-27.66%-496.48万
-894.95%-635.85万
其他股本权益
1,162.75%2,813.4万
1,162.75%2,813.4万
-14.49%305.74万
-9.74%360.54万
-0.65%373.15万
-36.50%222.8万
-36.50%222.8万
-19.26%357.56万
3.28%399.43万
13.49%375.6万
股东权益总额
482.83%1.95亿
482.83%1.95亿
-27.01%1,870.76万
-14.05%2,696.73万
-23.79%2,801.15万
-11.31%3,342.6万
-11.31%3,342.6万
-36.16%2,562.88万
-28.61%3,137.58万
-19.24%3,675.4万
总权益
482.83%1.95亿
482.83%1.95亿
-27.01%1,870.76万
-14.05%2,696.73万
-23.79%2,801.15万
-11.31%3,342.6万
-11.31%3,342.6万
-36.16%2,562.88万
-28.61%3,137.58万
-19.24%3,675.4万
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
--
--
--
--
带解释段的无保留意见
--
--
--
--
(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 412.37%6,025.5万412.37%6,025.5万-72.27%165.48万-57.55%365.41万-36.56%751.39万-14.50%1,176万-14.50%1,176万-9.23%596.66万4.05%860.83万16.12%1,184.45万
-现金和现金等价物 412.37%6,025.5万412.37%6,025.5万-78.59%127.77万-60.09%343.54万-38.41%729.52万-14.50%1,176万-14.50%1,176万-9.23%596.66万4.05%860.83万16.12%1,184.45万
-短期投资 ----------37.72万--21.87万--21.87万--------------------
应收款项 38.40%630.7万38.40%630.7万26.45%153.9万91.71%169.33万24.68%251.5万28.58%455.7万28.58%455.7万-81.16%121.71万-85.97%88.33万-30.17%201.71万
-应收账款 38.40%630.7万38.40%630.7万1.91%27.16万-22.51%28.73万18.83%84.8万1,040.37%455.7万1,040.37%455.7万-31.26%26.65万-26.86%37.07万58.24%71.36万
-应收税费 --------33.33%126.74万174.33%140.6万27.88%166.7万-50.69%155.07万-50.69%155.07万-84.35%95.06万-91.14%51.25万-46.53%130.35万
存货 983.14%1.12亿983.14%1.12亿39.47%1,244.22万87.21%1,211.77万69.90%1,143.04万37.04%1,030.6万37.04%1,030.6万15.98%892.09万-11.04%647.27万-14.09%672.78万
受限制现金 115.63%6.9万115.63%6.9万426,748.72%1.35亿5.23%3.33万5.23%3.33万1.15%3.2万1.15%3.2万0.81%3.16万2.00%3.16万2.52%3.16万
递延资产 ----------446.6万----------------------------
其他流动资产 ---------22.33%227.54万-17.77%240.79万-41.76%160.44万-100.03%-1,000-100.03%-1,000-0.90%292.94万-2.97%292.83万-11.37%275.46万
流动资产合计 568.79%1.78亿568.79%1.78亿725.62%1.57亿5.19%1,990.63万-1.19%2,309.69万-4.69%2,665.4万-4.69%2,665.4万-19.60%1,906.57万-23.98%1,892.42万-2.84%2,337.56万
非流动资产
固定资产净额 652.46%1.47亿652.46%1.47亿51.09%2,957.4万33.22%2,869.61万23.91%2,869.95万-12.23%1,955.7万-12.23%1,955.7万-2.20%1,957.44万5.24%2,154.09万15.74%2,316.17万
-固定资产 583.88%1.52亿583.88%1.52亿49.45%3,283.78万33.14%3,173.83万25.19%3,173.64万-8.97%2,229.5万-8.97%2,229.5万-0.60%2,197.3万6.61%2,383.91万16.07%2,535.13万
-累计折旧 -94.01%-531.2万-94.01%-531.2万-36.06%-326.37万-32.37%-304.22万-38.70%-303.69万-23.95%-273.8万-23.95%-273.8万-14.79%-239.87万-21.44%-229.82万-19.64%-218.96万
长期应收款 ---------46.86%66.46万-53.45%66.46万-53.64%66.2万-51.73%66.2万-51.73%66.2万-1.45%125.06万-61.14%142.78万-77.75%142.78万
长期预付费用 --838.4万--838.4万--27.02万--85.67万--4.3万--0--0------------
非流动递延资产 --------------0--0--55.91万--55.91万------------
其他非流动资产 20.88%147.6万20.88%147.6万--61.95万------85.95万--122.1万--122.1万------------
非流动资产合计 655.70%1.57亿655.70%1.57亿49.48%3,112.84万31.56%3,021.75万23.08%3,026.39万-12.16%2,077.8万-12.16%2,077.8万-2.16%2,082.49万-4.86%2,296.87万-6.96%2,458.95万
总资产 606.86%3.35亿606.86%3.35亿372.64%1.89亿19.65%5,012.38万11.25%5,336.08万-8.11%4,743.2万-8.11%4,743.2万-11.35%3,989.06万-14.57%4,189.29万-5.00%4,796.51万
负债
流动负债
短期借款与资本租赁负债 274.00%1,567.8万274.00%1,567.8万5.17%689.41万436.01%646.89万507.44%654.63万345.03%419.2万345.03%419.2万7,343.13%655.53万1,298.78%120.69万1,174.72%107.77万
-短期借款 280.72%1,557.9万280.72%1,557.9万5.03%678.24万472.01%636万553.61%643.9万380.35%409.2万380.35%409.2万--645.78万--111.19万--98.52万
-短期资本租赁负债 -1.00%9.9万-1.00%9.9万14.57%11.17万14.66%10.89万15.87%10.72万11.01%10万11.01%10万10.73%9.75万10.10%9.5万9.45%9.25万
递延负债 535.63%1,182.9万535.63%1,182.9万-77.99%76.02万--87.9万-37.45%82.56万-23.08%186.1万-23.08%186.1万147.93%345.36万--0-46.36%131.99万
其他流动负债 ----------1.35亿----------------------------
流动负债总额 494.65%6,626.2万494.65%6,626.2万1,062.78%1.58亿158.94%1,150.59万169.40%1,381.18万39.31%1,114.3万39.31%1,114.3万235.03%1,355.5万3.91%444.34万23.00%512.69万
非流动负债
长期借款与租赁负债 771.18%1,910.5万771.18%1,910.5万-89.55%1.3万-99.16%4.6万-98.66%7.27万-58.85%219.3万-58.85%219.3万-43.87%12.48万2,128.42%545.87万1,935.59%543.96万
-长期借款 812.37%1,910.5万812.37%1,910.5万-------------59.18%209.4万-59.18%209.4万------530.88万--526.5万
-长期租赁负债 --0--0-89.55%1.3万-69.34%4.6万-58.36%7.27万-50.24%9.9万-50.24%9.9万-43.87%12.48万-38.78%15万-34.63%17.47万
长期拨备 3,650.30%2,512.7万3,650.30%2,512.7万476.99%335.87万426.26%323.61万413.02%330.67万10.98%67万10.98%67万-0.04%58.21万8.41%61.49万19.55%64.46万
递延负债 --2,996.8万--2,996.8万--884.59万--836.85万--815.82万--0--0------------
非流动负债总额 2,491.69%7,420万2,491.69%7,420万1,628.41%1,221.76万91.82%1,165.06万89.63%1,153.76万-51.74%286.3万-51.74%286.3万-12.15%70.69万647.80%607.37万654.52%608.42万
负债总额 902.87%1.4亿902.87%1.4亿1,090.81%1.7亿120.18%2,315.65万126.11%2,534.93万0.54%1,400.6万0.54%1,400.6万194.03%1,426.18万106.69%1,051.71万125.37%1,121.11万
所有者权益
股本 161.03%3亿161.03%3亿32.90%1.42亿35.36%1.42亿34.49%1.41亿9.22%1.15亿9.22%1.15亿1.99%1.07亿0.30%1.05亿0.27%1.05亿
-普通股股本 161.03%3亿161.03%3亿32.90%1.42亿35.36%1.42亿34.49%1.41亿9.22%1.15亿9.22%1.15亿1.99%1.07亿0.30%1.05亿0.27%1.05亿
资本公积 12.70%431.3万12.70%431.3万0.00%382.71万0.47%382.71万0.47%382.71万0.47%382.7万0.47%382.7万1.52%382.71万1.04%380.91万1.04%380.91万
留存收益 -47.84%-1.3亿-47.84%-1.3亿-43.98%-1.29亿-59.45%-1.22亿-73.41%-1.21亿-25.05%-8,770万-25.05%-8,770万-28.37%-8,939.43万-18.52%-7,663.93万-5.80%-6,960.41万
不影响留存收益的损益 -3,547.56%-775.7万-3,547.56%-775.7万-468.80%-183.08万87.33%-62.89万95.91%-26.02万104.84%22.5万104.84%22.5万114.40%49.64万-27.66%-496.48万-894.95%-635.85万
其他股本权益 1,162.75%2,813.4万1,162.75%2,813.4万-14.49%305.74万-9.74%360.54万-0.65%373.15万-36.50%222.8万-36.50%222.8万-19.26%357.56万3.28%399.43万13.49%375.6万
股东权益总额 482.83%1.95亿482.83%1.95亿-27.01%1,870.76万-14.05%2,696.73万-23.79%2,801.15万-11.31%3,342.6万-11.31%3,342.6万-36.16%2,562.88万-28.61%3,137.58万-19.24%3,675.4万
总权益 482.83%1.95亿482.83%1.95亿-27.01%1,870.76万-14.05%2,696.73万-23.79%2,801.15万-11.31%3,342.6万-11.31%3,342.6万-36.16%2,562.88万-28.61%3,137.58万-19.24%3,675.4万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 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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