加拿大市场个股详情

Rockland Resources Ltd (RKL)

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  • 0.180
  • +0.020+12.50%
延时15分钟行情已收盘 06/12 15:57 (美东)
1405.07万总市值-2.00市盈率TTM

Rockland Resources Ltd (RKL) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2026/03/31
(Q1)2025/12/31
(FY)2025/09/30
(Q4)2025/09/30
(Q3)2025/06/30
(Q2)2025/03/31
(Q1)2024/12/31
(FY)2024/09/30
(Q4)2024/09/30
(Q3)2024/06/30
资产
流动资产
现金及现金等价物和短期投资
443.01%60.96万
48.83%18.29万
-78.21%2.31万
-78.21%2.31万
154.66%40.14万
-47.05%11.23万
-69.77%12.29万
-87.87%10.61万
-87.87%10.61万
-91.91%15.76万
-现金和现金等价物
810.86%60.96万
191.75%18.29万
338.54%2.31万
338.54%2.31万
516.49%36.24万
31.41%6.69万
1,460.52%6.27万
-95.70%5,273
-95.70%5,273
-82.90%5.88万
-短期投资
----
----
--0
--0
-60.53%3.9万
-71.85%4.53万
-85.05%6.02万
-86.59%10.08万
-86.59%10.08万
-93.84%9.88万
应收款项
1,976.08%32.47万
144.56%2.14万
58.86%8,669
58.86%8,669
-44.13%4,608
103.22%1.56万
-42.76%8,761
-69.88%5,457
-69.88%5,457
26.85%8,248
-应收账款
1,976.08%32.47万
144.56%2.14万
58.86%8,669
58.86%8,669
-44.13%4,608
103.22%1.56万
-42.76%8,761
-69.88%5,457
-69.88%5,457
26.85%8,248
预付费用
802.36%19.16万
497,979.71%34.37万
62,008.70%4.29万
62,008.70%4.29万
2,298.55%9.45万
156.83%2.12万
-99.88%69
-99.95%69
-99.95%69
-87.56%3,938
流动资产合计
654.92%112.59万
316.04%54.8万
-33.14%7.46万
-33.14%7.46万
194.72%50.05万
-34.58%14.91万
-72.39%13.17万
-89.09%11.16万
-89.09%11.16万
-91.45%16.98万
非流动资产
固定资产净额
43.82%425.86万
-32.88%190.21万
-34.51%184.61万
-34.51%184.61万
-14.96%298.97万
-15.49%296.11万
-18.88%283.37万
-18.97%281.87万
-18.97%281.87万
6.37%351.57万
其他非流动资产
794.73%8.95万
780.58%8.81万
41.33%8.92万
41.33%8.92万
0.00%1万
-84.04%1万
-83.74%1万
1.01%6.31万
1.01%6.31万
0.00%1万
非流动资产合计
46.34%434.81万
-30.01%199.02万
-32.85%193.53万
-32.85%193.53万
-14.92%299.97万
-16.70%297.11万
-20.00%284.37万
-18.62%288.18万
-18.62%288.18万
6.35%352.57万
总资产
75.43%547.4万
-14.70%253.82万
-32.86%200.99万
-32.86%200.99万
-5.29%350.02万
-17.77%312.03万
-26.20%297.54万
-34.42%299.35万
-34.42%299.35万
-30.30%369.55万
负债
流动负债
短期借款与资本租赁负债
----
----
----
----
----
----
----
--1.2万
--1.2万
----
-短期借款
----
----
----
----
----
----
----
--1.2万
--1.2万
----
应付款项
717.36%132.89万
-74.64%9.81万
-43.06%16.73万
-43.06%16.73万
13.58%21.22万
27.54%16.26万
329.64%38.69万
60.03%29.39万
60.03%29.39万
505.35%18.68万
-应付账款
1,126.07%131.85万
-58.79%9.29万
-45.57%8.38万
-45.57%8.38万
38.16%13.32万
42.99%10.75万
261.74%22.54万
-11.19%15.39万
-11.19%15.39万
212.42%9.64万
-应付关联方款项
-81.06%1.04万
-96.75%5,250
-40.30%8.36万
-40.30%8.36万
-12.64%7.9万
5.31%5.51万
482.17%16.15万
1,256.37%14万
1,256.37%14万
--9.04万
流动负债总额
717.36%132.89万
-74.64%9.81万
-45.29%16.73万
-45.29%16.73万
13.58%21.22万
27.54%16.26万
329.64%38.69万
66.57%30.59万
66.57%30.59万
505.35%18.68万
非流动负债
长期拨备
-2.80%2.44万
1.30%2.4万
3.01%2.44万
3.01%2.44万
--2.4万
--2.51万
--2.37万
--2.37万
--2.37万
----
非流动负债总额
-2.80%2.44万
1.30%2.4万
3.01%2.44万
3.01%2.44万
--2.4万
--2.51万
--2.37万
--2.37万
--2.37万
--0
负债总额
620.94%135.34万
-70.25%12.22万
-41.82%19.18万
-41.82%19.18万
26.44%23.62万
47.25%18.77万
355.99%41.07万
79.49%32.96万
79.49%32.96万
505.35%18.68万
所有者权益
股本
44.92%1,142.5万
27.83%924.88万
16.30%841.41万
16.30%841.41万
15.93%838.74万
8.96%788.35万
1.57%723.51万
3.73%723.51万
3.73%723.51万
3.82%723.51万
-普通股股本
44.92%1,142.5万
27.83%924.88万
16.30%841.41万
16.30%841.41万
15.93%838.74万
8.96%788.35万
1.57%723.51万
3.73%723.51万
3.73%723.51万
3.82%723.51万
留存收益
-46.69%-916.44万
-42.09%-830.06万
-41.11%-801.06万
-41.11%-801.06万
-33.85%-645.02万
-34.05%-624.73万
-38.07%-584.2万
-54.02%-567.68万
-54.02%-567.68万
-85.36%-481.88万
不影响留存收益的损益
43.48%186万
32.75%146.78万
27.95%141.47万
27.95%141.47万
24.74%136.28万
18.66%129.63万
5.32%110.57万
1.28%110.57万
1.28%110.57万
21.13%109.25万
其他股本权益
----
----
----
----
---3.6万
----
--6.6万
----
----
----
股东权益总额
40.51%412.06万
-5.80%241.6万
-31.75%181.82万
-31.75%181.82万
-6.97%326.4万
-20.03%293.26万
-34.93%256.47万
-39.19%266.39万
-39.19%266.39万
-33.43%350.87万
总权益
40.51%412.06万
-5.80%241.6万
-31.75%181.82万
-31.75%181.82万
-6.97%326.4万
-20.03%293.26万
-34.93%256.47万
-39.19%266.39万
-39.19%266.39万
-33.43%350.87万
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
--
--
带解释段的无保留意见
--
--
--
--
带解释段的无保留意见
--
--
(Q2)2026/03/31(Q1)2025/12/31(FY)2025/09/30(Q4)2025/09/30(Q3)2025/06/30(Q2)2025/03/31(Q1)2024/12/31(FY)2024/09/30(Q4)2024/09/30(Q3)2024/06/30
资产
流动资产
现金及现金等价物和短期投资 443.01%60.96万48.83%18.29万-78.21%2.31万-78.21%2.31万154.66%40.14万-47.05%11.23万-69.77%12.29万-87.87%10.61万-87.87%10.61万-91.91%15.76万
-现金和现金等价物 810.86%60.96万191.75%18.29万338.54%2.31万338.54%2.31万516.49%36.24万31.41%6.69万1,460.52%6.27万-95.70%5,273-95.70%5,273-82.90%5.88万
-短期投资 ----------0--0-60.53%3.9万-71.85%4.53万-85.05%6.02万-86.59%10.08万-86.59%10.08万-93.84%9.88万
应收款项 1,976.08%32.47万144.56%2.14万58.86%8,66958.86%8,669-44.13%4,608103.22%1.56万-42.76%8,761-69.88%5,457-69.88%5,45726.85%8,248
-应收账款 1,976.08%32.47万144.56%2.14万58.86%8,66958.86%8,669-44.13%4,608103.22%1.56万-42.76%8,761-69.88%5,457-69.88%5,45726.85%8,248
预付费用 802.36%19.16万497,979.71%34.37万62,008.70%4.29万62,008.70%4.29万2,298.55%9.45万156.83%2.12万-99.88%69-99.95%69-99.95%69-87.56%3,938
流动资产合计 654.92%112.59万316.04%54.8万-33.14%7.46万-33.14%7.46万194.72%50.05万-34.58%14.91万-72.39%13.17万-89.09%11.16万-89.09%11.16万-91.45%16.98万
非流动资产
固定资产净额 43.82%425.86万-32.88%190.21万-34.51%184.61万-34.51%184.61万-14.96%298.97万-15.49%296.11万-18.88%283.37万-18.97%281.87万-18.97%281.87万6.37%351.57万
其他非流动资产 794.73%8.95万780.58%8.81万41.33%8.92万41.33%8.92万0.00%1万-84.04%1万-83.74%1万1.01%6.31万1.01%6.31万0.00%1万
非流动资产合计 46.34%434.81万-30.01%199.02万-32.85%193.53万-32.85%193.53万-14.92%299.97万-16.70%297.11万-20.00%284.37万-18.62%288.18万-18.62%288.18万6.35%352.57万
总资产 75.43%547.4万-14.70%253.82万-32.86%200.99万-32.86%200.99万-5.29%350.02万-17.77%312.03万-26.20%297.54万-34.42%299.35万-34.42%299.35万-30.30%369.55万
负债
流动负债
短期借款与资本租赁负债 ------------------------------1.2万--1.2万----
-短期借款 ------------------------------1.2万--1.2万----
应付款项 717.36%132.89万-74.64%9.81万-43.06%16.73万-43.06%16.73万13.58%21.22万27.54%16.26万329.64%38.69万60.03%29.39万60.03%29.39万505.35%18.68万
-应付账款 1,126.07%131.85万-58.79%9.29万-45.57%8.38万-45.57%8.38万38.16%13.32万42.99%10.75万261.74%22.54万-11.19%15.39万-11.19%15.39万212.42%9.64万
-应付关联方款项 -81.06%1.04万-96.75%5,250-40.30%8.36万-40.30%8.36万-12.64%7.9万5.31%5.51万482.17%16.15万1,256.37%14万1,256.37%14万--9.04万
流动负债总额 717.36%132.89万-74.64%9.81万-45.29%16.73万-45.29%16.73万13.58%21.22万27.54%16.26万329.64%38.69万66.57%30.59万66.57%30.59万505.35%18.68万
非流动负债
长期拨备 -2.80%2.44万1.30%2.4万3.01%2.44万3.01%2.44万--2.4万--2.51万--2.37万--2.37万--2.37万----
非流动负债总额 -2.80%2.44万1.30%2.4万3.01%2.44万3.01%2.44万--2.4万--2.51万--2.37万--2.37万--2.37万--0
负债总额 620.94%135.34万-70.25%12.22万-41.82%19.18万-41.82%19.18万26.44%23.62万47.25%18.77万355.99%41.07万79.49%32.96万79.49%32.96万505.35%18.68万
所有者权益
股本 44.92%1,142.5万27.83%924.88万16.30%841.41万16.30%841.41万15.93%838.74万8.96%788.35万1.57%723.51万3.73%723.51万3.73%723.51万3.82%723.51万
-普通股股本 44.92%1,142.5万27.83%924.88万16.30%841.41万16.30%841.41万15.93%838.74万8.96%788.35万1.57%723.51万3.73%723.51万3.73%723.51万3.82%723.51万
留存收益 -46.69%-916.44万-42.09%-830.06万-41.11%-801.06万-41.11%-801.06万-33.85%-645.02万-34.05%-624.73万-38.07%-584.2万-54.02%-567.68万-54.02%-567.68万-85.36%-481.88万
不影响留存收益的损益 43.48%186万32.75%146.78万27.95%141.47万27.95%141.47万24.74%136.28万18.66%129.63万5.32%110.57万1.28%110.57万1.28%110.57万21.13%109.25万
其他股本权益 -------------------3.6万------6.6万------------
股东权益总额 40.51%412.06万-5.80%241.6万-31.75%181.82万-31.75%181.82万-6.97%326.4万-20.03%293.26万-34.93%256.47万-39.19%266.39万-39.19%266.39万-33.43%350.87万
总权益 40.51%412.06万-5.80%241.6万-31.75%181.82万-31.75%181.82万-6.97%326.4万-20.03%293.26万-34.93%256.47万-39.19%266.39万-39.19%266.39万-33.43%350.87万
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----

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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