美股市场个股详情

NMG Nouveau Monde Graphite

添加自选
  • 2.010
  • -0.040-1.95%
收盘价 05/08 16:00 (美东)
2.26亿总市值-2964市盈率TTM

Nouveau Monde Graphite关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
资产
流动资产
现金及现金等价物和短期投资
-39.37%3,633.2万
-39.37%3,633.2万
246.25%4,859.3万
86.38%5,984.8万
12.21%4,879.8万
-3.90%5,992.4万
-3.90%5,992.4万
-82.74%1,403.4万
-62.86%3,211万
27.63%4,348.7万
-现金和现金等价物
-39.37%3,633.2万
-39.37%3,633.2万
246.25%4,859.3万
86.38%5,984.8万
12.21%4,879.8万
-3.90%5,992.4万
-3.90%5,992.4万
-82.74%1,403.4万
-62.86%3,211万
27.63%4,348.7万
应收款项
-63.07%381万
-63.07%381万
-21.59%655.7万
-20.63%644.4万
-9.58%787.9万
13.92%1,031.7万
13.92%1,031.7万
-13.70%836.2万
4.79%811.9万
37.88%871.4万
-应收税费
-59.54%256.3万
-59.54%256.3万
8.85%541.4万
-3.41%534.7万
0.50%581.5万
6.28%633.4万
6.28%633.4万
-10.96%497.4万
3.67%553.6万
0.36%578.6万
-其他应收款
-68.69%124.7万
-68.69%124.7万
-66.26%114.3万
-57.53%109.7万
-29.51%206.4万
28.65%398.3万
28.65%398.3万
-17.43%338.8万
7.27%258.3万
427.57%292.8万
预付费用
-11.92%269.7万
-11.92%269.7万
-41.10%253.2万
469.78%158.4万
17.55%154.7万
10.62%306.2万
10.62%306.2万
-6.85%429.9万
-77.63%27.8万
18.67%131.6万
受限制现金
--0
--0
--0
--0
--62.1万
--62.1万
--62.1万
----
----
----
递延资产
--8.7万
--8.7万
----
----
----
--0
--0
----
----
----
流动资产合计
-41.93%4,292.6万
-41.93%4,292.6万
116.08%5,768.2万
67.57%6,787.6万
9.96%5,884.5万
-0.34%7,392.4万
-0.34%7,392.4万
-72.07%2,669.5万
-57.56%4,050.7万
28.46%5,351.7万
非流动资产
固定资产净额
2.56%6,850.3万
2.56%6,850.3万
11.96%6,861.5万
17.58%6,846.1万
37.70%6,830.4万
50.58%6,679.1万
50.58%6,679.1万
93.50%6,128.8万
208.29%5,822.6万
294.75%4,960.4万
-固定资产
13.54%8,149.3万
13.54%8,149.3万
20.70%7,780.8万
24.41%7,517.2万
44.55%7,345.3万
58.16%7,177.5万
58.16%7,177.5万
97.92%6,446.6万
207.25%6,042.4万
285.20%5,081.6万
-累计折旧
-160.63%-1,299万
-160.63%-1,299万
-189.27%-919.3万
-205.32%-671.1万
-324.83%-514.9万
-386.24%-498.4万
-386.24%-498.4万
-254.29%-317.8万
-182.16%-219.8万
-93.61%-121.2万
商誉及其他无形资产
-67.58%5.9万
-67.58%5.9万
-69.26%7.9万
-67.77%10.7万
-66.50%13.6万
-62.16%18.2万
-62.16%18.2万
-54.67%25.7万
-50.81%33.2万
-48.15%40.6万
-其他无形资产
-67.58%5.9万
-67.58%5.9万
----
----
----
-62.16%18.2万
-62.16%18.2万
----
----
----
投资和预付款
34.38%107.5万
34.38%107.5万
-18.33%122.5万
--110万
--147.5万
--80万
--80万
--150万
----
----
长期应收款
62.07%884.6万
62.07%884.6万
2.75%615.5万
0.70%591.1万
-2.93%553.3万
-0.93%545.8万
-0.93%545.8万
39.72%599万
44.19%587万
43.72%570万
长期预付费用
-13.33%253万
-13.33%253万
----
----
----
--291.9万
--291.9万
----
----
----
其他非流动资产
----
----
60.71%259.7万
66.77%272.5万
66.16%284.3万
----
----
-18.22%161.6万
-31.49%163.4万
123.08%171.1万
非流动资产合计
6.39%8,101.3万
6.39%8,101.3万
11.35%7,867.1万
18.53%7,830.4万
36.35%7,829.1万
45.97%7,615万
45.97%7,615万
83.49%7,065.1万
153.91%6,606.2万
217.56%5,742.1万
总资产
-17.41%1.24亿
-17.41%1.24亿
40.07%1.36亿
37.17%1.46亿
23.61%1.37亿
18.78%1.5亿
18.78%1.5亿
-27.41%9,734.6万
-12.26%1.07亿
85.70%1.11亿
负债
流动负债
应付款项
-45.39%704.7万
-45.39%704.7万
----
----
----
-3.84%1,290.5万
-3.84%1,290.5万
----
----
----
-应付账款
-46.05%691.9万
-46.05%691.9万
----
----
----
-3.46%1,282.5万
-3.46%1,282.5万
----
----
----
-其他应付款
60.00%12.8万
60.00%12.8万
----
----
----
-41.61%8万
-41.61%8万
----
----
----
应计费用
8.99%275.1万
8.99%275.1万
----
----
----
42.44%252.4万
42.44%252.4万
----
----
----
短期借款与租赁负债
41.92%93.1万
41.92%93.1万
41.87%92.5万
33.28%85.7万
29.51%79万
22.16%65.6万
22.16%65.6万
16.85%65.2万
10.86%64.3万
-75.04%61万
-短期借款
113.33%48万
113.33%48万
114.55%47.2万
88.89%40.8万
62.74%34.5万
8.17%22.5万
8.17%22.5万
7.84%22万
8.00%21.6万
-89.64%21.2万
-短期租赁负债
4.64%45.1万
4.64%45.1万
4.86%45.3万
5.15%44.9万
11.81%44.5万
31.00%43.1万
31.00%43.1万
22.03%43.2万
12.37%42.7万
0.00%39.8万
递延负债
6,175.00%125.5万
6,175.00%125.5万
--143.2万
--108.2万
--88.3万
--2万
--2万
----
----
----
流动负债总额
-25.59%1,198.4万
-25.59%1,198.4万
-39.52%1,053.4万
-42.20%917.8万
17.13%1,474.5万
2.38%1,610.5万
2.38%1,610.5万
7.95%1,741.6万
16.84%1,588万
5.09%1,258.9万
非流动负债
长期拨备
3.68%98.7万
3.68%98.7万
-7.44%92.1万
0.63%96.1万
-6.51%97.6万
-5.65%95.2万
-5.65%95.2万
8.51%99.5万
12.22%95.5万
68.12%104.4万
长期借款与租赁负债
-6.85%5,653.8万
-6.85%5,653.8万
1,213.83%5,660万
1,132.97%5,496.6万
1,629.52%7,187.9万
1,450.27%6,069.3万
1,450.27%6,069.3万
-76.68%430.8万
-76.02%445.8万
-77.73%415.6万
-长期借款
-5.84%5,490.2万
-5.84%5,490.2万
2,940.74%5,485.5万
2,781.55%5,310.7万
3,598.62%6,960.8万
2,935.24%5,830.7万
2,935.24%5,830.7万
-89.04%180.4万
-88.82%184.3万
-88.58%188.2万
-长期租赁负债
-31.43%163.6万
-31.43%163.6万
-30.31%174.5万
-28.91%185.9万
-0.13%227.1万
19.66%238.6万
19.66%238.6万
24.08%250.4万
24.05%261.5万
4.60%227.4万
非流动负债总额
-6.68%5,752.5万
-6.68%5,752.5万
984.69%5,752.1万
933.20%5,592.7万
1,301.06%7,285.5万
1,151.93%6,164.5万
1,151.93%6,164.5万
-72.65%530.3万
-72.16%541.3万
-73.03%520万
总负债
-10.60%6,950.9万
-10.60%6,950.9万
199.55%6,805.5万
205.76%6,510.5万
392.44%8,760万
276.44%7,775万
276.44%7,775万
-36.05%2,271.9万
-35.54%2,129.3万
-43.09%1,778.9万
所有者权益
股本
13.30%2.39亿
13.30%2.39亿
13.36%2.39亿
13.59%2.39亿
1.89%2.11亿
2.08%2.11亿
2.08%2.11亿
11.95%2.11亿
24.11%2.1亿
102.97%2.07亿
-普通股股本
13.30%2.39亿
13.30%2.39亿
13.36%2.39亿
13.59%2.39亿
1.89%2.11亿
2.08%2.11亿
2.08%2.11亿
11.95%2.11亿
24.11%2.1亿
102.97%2.07亿
留存收益
-34.01%-2.21亿
-34.01%-2.21亿
-27.69%-2.04亿
-28.22%-1.88亿
-42.71%-1.9亿
-40.82%-1.65亿
-40.82%-1.65亿
-50.35%-1.6亿
-51.05%-1.47亿
-57.45%-1.33亿
资本公积
12.60%2,850.2万
12.60%2,850.2万
16.41%2,760.2万
20.80%2,661.3万
35.47%2,605.4万
57.20%2,531.3万
57.20%2,531.3万
45.70%2,371.2万
37.82%2,203万
92.50%1,923.3万
不影响留存收益的损益
827.86%769.2万
827.86%769.2万
--588.3万
--412.5万
--244.6万
--82.9万
--82.9万
----
----
----
股东权益总额
-24.74%5,443万
-24.74%5,443万
-8.48%6,829.8万
-4.93%8,107.5万
-46.82%4,953.6万
-31.57%7,232.4万
-31.57%7,232.4万
-24.29%7,462.7万
-3.57%8,527.6万
227.03%9,314.9万
总权益
-24.74%5,443万
-24.74%5,443万
-8.48%6,829.8万
-4.93%8,107.5万
-46.82%4,953.6万
-31.57%7,232.4万
-31.57%7,232.4万
-24.29%7,462.7万
-3.57%8,527.6万
227.03%9,314.9万
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
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
带解释段的无保留意见
--
--
--
--
带解释段的无保留意见
--
--
--
--
(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31
资产
流动资产
现金及现金等价物和短期投资 -39.37%3,633.2万-39.37%3,633.2万246.25%4,859.3万86.38%5,984.8万12.21%4,879.8万-3.90%5,992.4万-3.90%5,992.4万-82.74%1,403.4万-62.86%3,211万27.63%4,348.7万
-现金和现金等价物 -39.37%3,633.2万-39.37%3,633.2万246.25%4,859.3万86.38%5,984.8万12.21%4,879.8万-3.90%5,992.4万-3.90%5,992.4万-82.74%1,403.4万-62.86%3,211万27.63%4,348.7万
应收款项 -63.07%381万-63.07%381万-21.59%655.7万-20.63%644.4万-9.58%787.9万13.92%1,031.7万13.92%1,031.7万-13.70%836.2万4.79%811.9万37.88%871.4万
-应收税费 -59.54%256.3万-59.54%256.3万8.85%541.4万-3.41%534.7万0.50%581.5万6.28%633.4万6.28%633.4万-10.96%497.4万3.67%553.6万0.36%578.6万
-其他应收款 -68.69%124.7万-68.69%124.7万-66.26%114.3万-57.53%109.7万-29.51%206.4万28.65%398.3万28.65%398.3万-17.43%338.8万7.27%258.3万427.57%292.8万
预付费用 -11.92%269.7万-11.92%269.7万-41.10%253.2万469.78%158.4万17.55%154.7万10.62%306.2万10.62%306.2万-6.85%429.9万-77.63%27.8万18.67%131.6万
受限制现金 --0--0--0--0--62.1万--62.1万--62.1万------------
递延资产 --8.7万--8.7万--------------0--0------------
流动资产合计 -41.93%4,292.6万-41.93%4,292.6万116.08%5,768.2万67.57%6,787.6万9.96%5,884.5万-0.34%7,392.4万-0.34%7,392.4万-72.07%2,669.5万-57.56%4,050.7万28.46%5,351.7万
非流动资产
固定资产净额 2.56%6,850.3万2.56%6,850.3万11.96%6,861.5万17.58%6,846.1万37.70%6,830.4万50.58%6,679.1万50.58%6,679.1万93.50%6,128.8万208.29%5,822.6万294.75%4,960.4万
-固定资产 13.54%8,149.3万13.54%8,149.3万20.70%7,780.8万24.41%7,517.2万44.55%7,345.3万58.16%7,177.5万58.16%7,177.5万97.92%6,446.6万207.25%6,042.4万285.20%5,081.6万
-累计折旧 -160.63%-1,299万-160.63%-1,299万-189.27%-919.3万-205.32%-671.1万-324.83%-514.9万-386.24%-498.4万-386.24%-498.4万-254.29%-317.8万-182.16%-219.8万-93.61%-121.2万
商誉及其他无形资产 -67.58%5.9万-67.58%5.9万-69.26%7.9万-67.77%10.7万-66.50%13.6万-62.16%18.2万-62.16%18.2万-54.67%25.7万-50.81%33.2万-48.15%40.6万
-其他无形资产 -67.58%5.9万-67.58%5.9万-------------62.16%18.2万-62.16%18.2万------------
投资和预付款 34.38%107.5万34.38%107.5万-18.33%122.5万--110万--147.5万--80万--80万--150万--------
长期应收款 62.07%884.6万62.07%884.6万2.75%615.5万0.70%591.1万-2.93%553.3万-0.93%545.8万-0.93%545.8万39.72%599万44.19%587万43.72%570万
长期预付费用 -13.33%253万-13.33%253万--------------291.9万--291.9万------------
其他非流动资产 --------60.71%259.7万66.77%272.5万66.16%284.3万---------18.22%161.6万-31.49%163.4万123.08%171.1万
非流动资产合计 6.39%8,101.3万6.39%8,101.3万11.35%7,867.1万18.53%7,830.4万36.35%7,829.1万45.97%7,615万45.97%7,615万83.49%7,065.1万153.91%6,606.2万217.56%5,742.1万
总资产 -17.41%1.24亿-17.41%1.24亿40.07%1.36亿37.17%1.46亿23.61%1.37亿18.78%1.5亿18.78%1.5亿-27.41%9,734.6万-12.26%1.07亿85.70%1.11亿
负债
流动负债
应付款项 -45.39%704.7万-45.39%704.7万-------------3.84%1,290.5万-3.84%1,290.5万------------
-应付账款 -46.05%691.9万-46.05%691.9万-------------3.46%1,282.5万-3.46%1,282.5万------------
-其他应付款 60.00%12.8万60.00%12.8万-------------41.61%8万-41.61%8万------------
应计费用 8.99%275.1万8.99%275.1万------------42.44%252.4万42.44%252.4万------------
短期借款与租赁负债 41.92%93.1万41.92%93.1万41.87%92.5万33.28%85.7万29.51%79万22.16%65.6万22.16%65.6万16.85%65.2万10.86%64.3万-75.04%61万
-短期借款 113.33%48万113.33%48万114.55%47.2万88.89%40.8万62.74%34.5万8.17%22.5万8.17%22.5万7.84%22万8.00%21.6万-89.64%21.2万
-短期租赁负债 4.64%45.1万4.64%45.1万4.86%45.3万5.15%44.9万11.81%44.5万31.00%43.1万31.00%43.1万22.03%43.2万12.37%42.7万0.00%39.8万
递延负债 6,175.00%125.5万6,175.00%125.5万--143.2万--108.2万--88.3万--2万--2万------------
流动负债总额 -25.59%1,198.4万-25.59%1,198.4万-39.52%1,053.4万-42.20%917.8万17.13%1,474.5万2.38%1,610.5万2.38%1,610.5万7.95%1,741.6万16.84%1,588万5.09%1,258.9万
非流动负债
长期拨备 3.68%98.7万3.68%98.7万-7.44%92.1万0.63%96.1万-6.51%97.6万-5.65%95.2万-5.65%95.2万8.51%99.5万12.22%95.5万68.12%104.4万
长期借款与租赁负债 -6.85%5,653.8万-6.85%5,653.8万1,213.83%5,660万1,132.97%5,496.6万1,629.52%7,187.9万1,450.27%6,069.3万1,450.27%6,069.3万-76.68%430.8万-76.02%445.8万-77.73%415.6万
-长期借款 -5.84%5,490.2万-5.84%5,490.2万2,940.74%5,485.5万2,781.55%5,310.7万3,598.62%6,960.8万2,935.24%5,830.7万2,935.24%5,830.7万-89.04%180.4万-88.82%184.3万-88.58%188.2万
-长期租赁负债 -31.43%163.6万-31.43%163.6万-30.31%174.5万-28.91%185.9万-0.13%227.1万19.66%238.6万19.66%238.6万24.08%250.4万24.05%261.5万4.60%227.4万
非流动负债总额 -6.68%5,752.5万-6.68%5,752.5万984.69%5,752.1万933.20%5,592.7万1,301.06%7,285.5万1,151.93%6,164.5万1,151.93%6,164.5万-72.65%530.3万-72.16%541.3万-73.03%520万
总负债 -10.60%6,950.9万-10.60%6,950.9万199.55%6,805.5万205.76%6,510.5万392.44%8,760万276.44%7,775万276.44%7,775万-36.05%2,271.9万-35.54%2,129.3万-43.09%1,778.9万
所有者权益
股本 13.30%2.39亿13.30%2.39亿13.36%2.39亿13.59%2.39亿1.89%2.11亿2.08%2.11亿2.08%2.11亿11.95%2.11亿24.11%2.1亿102.97%2.07亿
-普通股股本 13.30%2.39亿13.30%2.39亿13.36%2.39亿13.59%2.39亿1.89%2.11亿2.08%2.11亿2.08%2.11亿11.95%2.11亿24.11%2.1亿102.97%2.07亿
留存收益 -34.01%-2.21亿-34.01%-2.21亿-27.69%-2.04亿-28.22%-1.88亿-42.71%-1.9亿-40.82%-1.65亿-40.82%-1.65亿-50.35%-1.6亿-51.05%-1.47亿-57.45%-1.33亿
资本公积 12.60%2,850.2万12.60%2,850.2万16.41%2,760.2万20.80%2,661.3万35.47%2,605.4万57.20%2,531.3万57.20%2,531.3万45.70%2,371.2万37.82%2,203万92.50%1,923.3万
不影响留存收益的损益 827.86%769.2万827.86%769.2万--588.3万--412.5万--244.6万--82.9万--82.9万------------
股东权益总额 -24.74%5,443万-24.74%5,443万-8.48%6,829.8万-4.93%8,107.5万-46.82%4,953.6万-31.57%7,232.4万-31.57%7,232.4万-24.29%7,462.7万-3.57%8,527.6万227.03%9,314.9万
总权益 -24.74%5,443万-24.74%5,443万-8.48%6,829.8万-4.93%8,107.5万-46.82%4,953.6万-31.57%7,232.4万-31.57%7,232.4万-24.29%7,462.7万-3.57%8,527.6万227.03%9,314.9万
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
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 带解释段的无保留意见--------带解释段的无保留意见--------

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