美股市场个股详情

NEWCORE GOLD LTD (NCAUF)

添加自选
  • 0.4450
  • +0.0078+1.78%
延时15分钟行情收盘价 04/24 15:59 (美东)
  • 0.4390
  • -0.0060-1.35%
盘后 17:10 (美东)
1.27亿总市值-29.67市盈率TTM

NEWCORE GOLD LTD (NCAUF) 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
-18.90%417.6万
-18.90%417.6万
32.04%1,086.83万
130.32%1,081.73万
471.47%1,479.78万
37.42%514.94万
37.42%514.94万
69.45%823.11万
-17.21%469.66万
13.87%258.94万
-现金和现金等价物
-18.90%417.6万
-18.90%417.6万
32.04%1,086.83万
130.32%1,081.73万
471.47%1,479.78万
37.42%514.94万
37.42%514.94万
69.45%823.11万
-17.21%469.66万
214.25%258.94万
-短期投资
----
----
----
----
----
--0
--0
----
----
----
应收款项
80.09%30.05万
80.09%30.05万
62.17%31.58万
44.02%30.68万
32.51%23.41万
481.52%16.69万
481.52%16.69万
1,710.36%19.47万
564.15%21.3万
1,313.77%17.67万
-应收税费
80.09%30.05万
80.09%30.05万
62.17%31.58万
44.02%30.68万
32.51%23.41万
481.52%16.69万
481.52%16.69万
1,710.36%19.47万
564.15%21.3万
1,313.77%17.67万
预付费用
23.28%30.36万
23.28%30.36万
-4.84%26.81万
28.90%27.6万
7.87%29.64万
-16.11%24.63万
-16.11%24.63万
27.43%28.17万
-31.20%21.42万
-11.15%27.48万
流动资产合计
-14.07%478.01万
-14.07%478.01万
31.52%1,145.22万
122.49%1,140.01万
404.08%1,532.82万
36.69%556.26万
36.69%556.26万
71.09%870.75万
-14.83%512.38万
17.15%304.08万
非流动资产
固定资产净额
26.11%6,454.73万
26.11%6,454.73万
30.57%6,038.97万
21.57%5,463.81万
23.10%5,394.37万
21.40%5,118.37万
21.40%5,118.37万
8.41%4,624.95万
9.57%4,494.56万
6.22%4,382.01万
非流动资产合计
26.11%6,454.73万
26.11%6,454.73万
30.57%6,038.97万
21.57%5,463.81万
23.10%5,394.37万
21.40%5,118.37万
21.40%5,118.37万
8.41%4,624.95万
9.57%4,494.56万
6.22%4,382.01万
总资产
22.17%6,932.74万
22.17%6,932.74万
30.72%7,184.18万
31.89%6,603.82万
47.82%6,927.2万
22.75%5,674.63万
22.75%5,674.63万
15.09%5,495.7万
6.45%5,006.93万
6.87%4,686.09万
负债
流动负债
应付款项
76.15%227.37万
76.15%227.37万
186.72%240.88万
-46.40%11.23万
13.20%30.93万
1,102.93%129.08万
1,102.93%129.08万
505.05%84.01万
210.32%20.95万
31.46%27.32万
-应付账款
494.83%132.52万
494.83%132.52万
186.72%240.88万
-46.40%11.23万
13.20%30.93万
107.62%22.28万
107.62%22.28万
505.05%84.01万
210.32%20.95万
31.46%27.32万
-其他应付款
-11.19%94.85万
-11.19%94.85万
----
----
----
--106.8万
--106.8万
----
----
----
应计费用
-88.56%6.43万
-88.56%6.43万
--5.73万
--93.23万
--61.25万
792.81%56.2万
792.81%56.2万
----
----
----
流动负债总额
26.19%233.79万
26.19%233.79万
193.54%246.6万
398.55%104.46万
237.37%92.19万
988.28%185.27万
988.28%185.27万
505.05%84.01万
210.32%20.95万
31.46%27.32万
非流动负债
递延负债
-74.23%129.88万
-74.23%129.88万
--356.85万
--134.03万
--500.2万
44.91%504.02万
44.91%504.02万
----
----
----
员工福利
----
----
----
----
----
--0
--0
----
----
----
非流动负债总额
-74.23%129.88万
-74.23%129.88万
--356.85万
--134.03万
--500.2万
44.91%504.02万
44.91%504.02万
--0
--0
--0
总负债
-47.24%363.67万
-47.24%363.67万
618.31%603.46万
1,038.26%238.49万
2,067.97%592.38万
88.93%689.3万
88.93%689.3万
234.29%84.01万
16.42%20.95万
-14.69%27.32万
所有者权益
股本
30.12%7,903.82万
30.12%7,903.82万
31.23%7,856.85万
34.30%7,468.56万
41.94%7,357.39万
17.19%6,074.46万
17.19%6,074.46万
17.40%5,987.12万
8.97%5,561.18万
11.42%5,183.4万
-普通股股本
30.12%7,903.82万
30.12%7,903.82万
31.23%7,856.85万
34.30%7,468.56万
41.94%7,357.39万
17.19%6,074.46万
17.19%6,074.46万
17.40%5,987.12万
8.97%5,561.18万
11.42%5,183.4万
留存收益
-7.21%-2,637.54万
-7.21%-2,637.54万
-43.62%-2,605.28万
-38.18%-2,319.89万
-53.76%-2,495.88万
-27.28%-2,460.24万
-27.28%-2,460.24万
-18.39%-1,814.07万
-12.79%-1,678.9万
-16.15%-1,623.27万
不影响留存收益的损益
-39.22%399.86万
-39.22%399.86万
8.16%494.4万
-12.60%389.31万
51.85%610万
107.73%657.88万
107.73%657.88万
10.47%457.08万
42.87%445.43万
1.02%401.7万
其他权益
26.60%902.93万
26.60%902.93万
6.81%834.76万
25.68%827.35万
23.87%863.3万
3.20%713.24万
3.20%713.24万
1.65%781.56万
-13.27%658.28万
-0.52%696.93万
股东权益总额
31.77%6,569.07万
31.77%6,569.07万
21.60%6,580.72万
27.66%6,365.34万
35.98%6,334.81万
17.08%4,985.33万
17.08%4,985.33万
13.93%5,411.69万
6.41%4,985.98万
7.03%4,658.77万
总权益
31.77%6,569.07万
31.77%6,569.07万
21.60%6,580.72万
27.66%6,365.34万
35.98%6,334.81万
17.08%4,985.33万
17.08%4,985.33万
13.93%5,411.69万
6.41%4,985.98万
7.03%4,658.77万
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
--
--
--
--
(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 -18.90%417.6万-18.90%417.6万32.04%1,086.83万130.32%1,081.73万471.47%1,479.78万37.42%514.94万37.42%514.94万69.45%823.11万-17.21%469.66万13.87%258.94万
-现金和现金等价物 -18.90%417.6万-18.90%417.6万32.04%1,086.83万130.32%1,081.73万471.47%1,479.78万37.42%514.94万37.42%514.94万69.45%823.11万-17.21%469.66万214.25%258.94万
-短期投资 ----------------------0--0------------
应收款项 80.09%30.05万80.09%30.05万62.17%31.58万44.02%30.68万32.51%23.41万481.52%16.69万481.52%16.69万1,710.36%19.47万564.15%21.3万1,313.77%17.67万
-应收税费 80.09%30.05万80.09%30.05万62.17%31.58万44.02%30.68万32.51%23.41万481.52%16.69万481.52%16.69万1,710.36%19.47万564.15%21.3万1,313.77%17.67万
预付费用 23.28%30.36万23.28%30.36万-4.84%26.81万28.90%27.6万7.87%29.64万-16.11%24.63万-16.11%24.63万27.43%28.17万-31.20%21.42万-11.15%27.48万
流动资产合计 -14.07%478.01万-14.07%478.01万31.52%1,145.22万122.49%1,140.01万404.08%1,532.82万36.69%556.26万36.69%556.26万71.09%870.75万-14.83%512.38万17.15%304.08万
非流动资产
固定资产净额 26.11%6,454.73万26.11%6,454.73万30.57%6,038.97万21.57%5,463.81万23.10%5,394.37万21.40%5,118.37万21.40%5,118.37万8.41%4,624.95万9.57%4,494.56万6.22%4,382.01万
非流动资产合计 26.11%6,454.73万26.11%6,454.73万30.57%6,038.97万21.57%5,463.81万23.10%5,394.37万21.40%5,118.37万21.40%5,118.37万8.41%4,624.95万9.57%4,494.56万6.22%4,382.01万
总资产 22.17%6,932.74万22.17%6,932.74万30.72%7,184.18万31.89%6,603.82万47.82%6,927.2万22.75%5,674.63万22.75%5,674.63万15.09%5,495.7万6.45%5,006.93万6.87%4,686.09万
负债
流动负债
应付款项 76.15%227.37万76.15%227.37万186.72%240.88万-46.40%11.23万13.20%30.93万1,102.93%129.08万1,102.93%129.08万505.05%84.01万210.32%20.95万31.46%27.32万
-应付账款 494.83%132.52万494.83%132.52万186.72%240.88万-46.40%11.23万13.20%30.93万107.62%22.28万107.62%22.28万505.05%84.01万210.32%20.95万31.46%27.32万
-其他应付款 -11.19%94.85万-11.19%94.85万--------------106.8万--106.8万------------
应计费用 -88.56%6.43万-88.56%6.43万--5.73万--93.23万--61.25万792.81%56.2万792.81%56.2万------------
流动负债总额 26.19%233.79万26.19%233.79万193.54%246.6万398.55%104.46万237.37%92.19万988.28%185.27万988.28%185.27万505.05%84.01万210.32%20.95万31.46%27.32万
非流动负债
递延负债 -74.23%129.88万-74.23%129.88万--356.85万--134.03万--500.2万44.91%504.02万44.91%504.02万------------
员工福利 ----------------------0--0------------
非流动负债总额 -74.23%129.88万-74.23%129.88万--356.85万--134.03万--500.2万44.91%504.02万44.91%504.02万--0--0--0
总负债 -47.24%363.67万-47.24%363.67万618.31%603.46万1,038.26%238.49万2,067.97%592.38万88.93%689.3万88.93%689.3万234.29%84.01万16.42%20.95万-14.69%27.32万
所有者权益
股本 30.12%7,903.82万30.12%7,903.82万31.23%7,856.85万34.30%7,468.56万41.94%7,357.39万17.19%6,074.46万17.19%6,074.46万17.40%5,987.12万8.97%5,561.18万11.42%5,183.4万
-普通股股本 30.12%7,903.82万30.12%7,903.82万31.23%7,856.85万34.30%7,468.56万41.94%7,357.39万17.19%6,074.46万17.19%6,074.46万17.40%5,987.12万8.97%5,561.18万11.42%5,183.4万
留存收益 -7.21%-2,637.54万-7.21%-2,637.54万-43.62%-2,605.28万-38.18%-2,319.89万-53.76%-2,495.88万-27.28%-2,460.24万-27.28%-2,460.24万-18.39%-1,814.07万-12.79%-1,678.9万-16.15%-1,623.27万
不影响留存收益的损益 -39.22%399.86万-39.22%399.86万8.16%494.4万-12.60%389.31万51.85%610万107.73%657.88万107.73%657.88万10.47%457.08万42.87%445.43万1.02%401.7万
其他权益 26.60%902.93万26.60%902.93万6.81%834.76万25.68%827.35万23.87%863.3万3.20%713.24万3.20%713.24万1.65%781.56万-13.27%658.28万-0.52%696.93万
股东权益总额 31.77%6,569.07万31.77%6,569.07万21.60%6,580.72万27.66%6,365.34万35.98%6,334.81万17.08%4,985.33万17.08%4,985.33万13.93%5,411.69万6.41%4,985.98万7.03%4,658.77万
总权益 31.77%6,569.07万31.77%6,569.07万21.60%6,580.72万27.66%6,365.34万35.98%6,334.81万17.08%4,985.33万17.08%4,985.33万13.93%5,411.69万6.41%4,985.98万7.03%4,658.77万
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--------
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