美股市场个股详情

SA Seabridge Gold

添加自选
  • 15.460
  • +0.110+0.72%
收盘价 05/21 16:00 (美东)
  • 15.500
  • +0.040+0.26%
盘后 19:00 (美东)
13.56亿总市值-67807市盈率TTM

Seabridge Gold关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2024/03/31
(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
资产
流动资产
现金及现金等价物和短期投资
40.10%5,983.8万
-34.48%8,618.8万
-34.48%8,618.8万
-35.74%1.33亿
-25.00%2.06亿
-85.73%4,271.1万
198.04%1.32亿
198.04%1.32亿
254.61%2.06亿
260.21%2.75亿
-现金和现金等价物
48.25%5,569.3万
78.63%8,243.8万
78.63%8,243.8万
79.80%1.19亿
32.42%2.03亿
-87.30%3,756.6万
300.50%4,615万
300.50%4,615万
524.84%6,616.4万
187.56%1.53亿
-短期投资
-19.44%414.5万
-95.61%375万
-95.61%375万
-90.29%1,360.4万
-97.07%357.7万
45.30%514.5万
161.84%8,538.6万
161.84%8,538.6万
194.48%1.4亿
427.47%1.22亿
应收款项
-64.72%309.8万
-12.29%776.3万
-12.29%776.3万
195.26%1,115.2万
378.07%1,079万
555.79%878.1万
-11.72%885.1万
-11.72%885.1万
12.38%377.7万
-13.43%225.7万
-应收账款
----
----
----
----
----
----
----
----
-71.64%1.9万
-76.25%1.9万
-应收票据
----
--0
--0
--59.4万
--59.4万
--61.6万
--63.1万
--63.1万
----
----
-应收税费
-68.78%93.4万
5.79%449.3万
5.79%449.3万
8.04%406万
8.85%243.6万
126.67%299.2万
150.12%424.7万
150.12%424.7万
14.09%375.8万
-11.44%223.8万
-其他应收款
-58.17%216.4万
-17.69%327万
-17.69%327万
--649.8万
--776万
--517.3万
-52.29%397.3万
-52.29%397.3万
----
----
预付费用
----
----
----
----
----
----
----
----
188.14%714.3万
258.60%615万
流动资产合计
22.22%6,293.6万
-33.08%9,395.1万
-33.08%9,395.1万
-33.84%1.44亿
-23.42%2.17亿
-83.30%5,149.2万
159.21%1.4亿
159.21%1.4亿
239.32%2.17亿
251.33%2.83亿
非流动资产
固定资产净额
23.48%11.51亿
28.02%11.28亿
28.02%11.28亿
33.99%10.8亿
39.27%9.98亿
38.29%9.32亿
33.10%8.81亿
33.10%8.81亿
25.33%8.06亿
16.35%7.17亿
-固定资产
23.84%11.57亿
28.36%11.34亿
28.36%11.34亿
34.29%10.84亿
39.57%10.01亿
38.55%9.35亿
33.29%8.83亿
33.29%8.83亿
25.43%8.07亿
16.41%7.17亿
-累计折旧
-174.55%-604万
-216.00%-511.6万
-216.00%-511.6万
-336.95%-354.8万
-485.39%-284.5万
-521.47%-220万
-490.88%-161.9万
-490.88%-161.9万
-497.06%-81.2万
-322.61%-48.6万
投资和预付款
-6.15%126.6万
-10.22%124.7万
-10.22%124.7万
-12.94%126.5万
-13.26%128.9万
-43.89%134.9万
-42.82%138.9万
-42.82%138.9万
-41.20%145.3万
-40.56%148.6万
长期应收票据
----
----
----
----
----
----
----
----
4.02%64.7万
-2.29%59.8万
长期应收款
-86.13%1,322.7万
0.18%1,322.7万
0.18%1,322.7万
84.77%9,537.7万
85.01%9,535.3万
223.93%9,535.3万
1.27%1,320.3万
1.27%1,320.3万
544.28%5,162万
2,013.12%5,153.9万
长期预付费用
--9,272万
140.83%9,272万
140.83%9,272万
----
----
----
--3,850万
--3,850万
----
----
其他非流动资产
3.31%2,135万
3.42%2,135万
3.42%2,135万
1.64%2,098.2万
6.29%2,118.3万
5.81%2,066.5万
35.53%2,064.3万
35.53%2,064.3万
37.22%2,064.3万
40.19%1,992.9万
非流动资产合计
21.93%12.8亿
31.59%12.57亿
31.59%12.57亿
36.03%11.98亿
41.22%11.16亿
44.56%10.5亿
37.72%9.55亿
37.72%9.55亿
31.54%8.81亿
24.30%7.9亿
总资产
21.94%13.43亿
23.31%13.51亿
23.31%13.51亿
22.21%13.42亿
24.15%13.33亿
6.45%11.01亿
46.52%10.96亿
46.52%10.96亿
49.68%10.98亿
49.87%10.74亿
负债
流动负债
应付款项
-71.74%1,295.2万
-23.80%3,273.4万
-23.80%3,273.4万
-65.10%2,062.4万
-36.08%2,014万
399.87%4,582.8万
253.11%4,295.6万
253.11%4,295.6万
244.76%5,909.2万
193.85%3,150.7万
-应付账款
-37.15%840.6万
74.05%2,730.2万
74.05%2,730.2万
-21.58%1,896.4万
122.74%1,666.3万
120.29%1,337.4万
53.94%1,568.6万
53.94%1,568.6万
194.95%2,418.3万
109.49%748.1万
-其他应付款
-85.99%454.6万
-80.08%543.2万
-80.08%543.2万
-95.24%166万
-85.53%347.7万
947.92%3,245.4万
1,280.76%2,727万
1,280.76%2,727万
290.44%3,490.9万
235.98%2,402.6万
应计费用
----
----
----
--3,820万
--4,190万
----
----
----
----
----
现行拨备
-82.52%75.9万
-82.52%75.9万
-82.52%75.9万
50.80%434.3万
18.02%434.3万
18.02%434.3万
18.02%434.3万
18.02%434.3万
15.20%288万
47.20%368万
短期借款与租赁负债
88.32%74.2万
-27.01%37.3万
-27.01%37.3万
7.60%55.2万
-66.65%75万
418.42%39.4万
467.78%51.1万
467.78%51.1万
476.40%51.3万
2,426.97%224.9万
-短期租赁负债
88.32%74.2万
-27.01%37.3万
-27.01%37.3万
7.60%55.2万
-66.65%75万
418.42%39.4万
467.78%51.1万
467.78%51.1万
476.40%51.3万
2,426.97%224.9万
其他流动负债
31.13%529.5万
32.51%554.3万
32.51%554.3万
-82.25%7.1万
124.79%266.6万
218.71%403.8万
206.22%418.3万
206.22%418.3万
-85.14%40万
-65.17%118.6万
流动负债总额
-63.83%1,974.8万
-24.20%3,940.9万
-24.20%3,940.9万
1.44%6,379万
80.72%6,979.9万
284.77%5,460.3万
200.52%5,199.3万
200.52%5,199.3万
180.49%6,288.5万
131.05%3,862.2万
非流动负债
长期拨备
5.17%665.8万
2.66%667.6万
2.66%667.6万
43.17%389.7万
40.90%575.7万
43.95%633.1万
36.56%650.3万
36.56%650.3万
44.56%272.2万
22.04%408.6万
长期借款与租赁负债
110.89%5.98亿
117.24%5.75亿
117.24%5.75亿
120.80%4.9亿
94.26%4.57亿
0.75%2.83亿
145,315.38%2.65亿
145,315.38%2.65亿
109,703.47%2.22亿
105,964.86%2.35亿
-长期借款
111.54%5.97亿
117.76%5.74亿
117.76%5.74亿
121.45%4.89亿
94.75%4.56亿
0.42%2.82亿
--2.64亿
--2.64亿
--2.21亿
--2.34亿
-长期租赁负债
-55.61%49.1万
-4.66%106.3万
-4.66%106.3万
-4.72%108.9万
-4.44%109.8万
532.00%110.6万
512.64%111.5万
512.64%111.5万
465.84%114.3万
417.57%114.9万
递延负债
----
--0
--0
-22.94%3,372.2万
-12.68%3,106.8万
21.15%2,631万
37.86%3,193.4万
37.86%3,193.4万
84.84%4,376.2万
51.40%3,558.1万
非流动负债总额
91.21%6.04亿
91.90%5.82亿
91.90%5.82亿
96.57%5.27亿
79.64%4.94亿
2.81%3.16亿
978.32%3.03亿
978.32%3.03亿
941.45%2.68亿
916.33%2.75亿
总负债
68.38%6.24亿
74.90%6.21亿
74.90%6.21亿
78.50%5.91亿
79.77%5.64亿
15.25%3.71亿
681.97%3.55亿
681.97%3.55亿
587.35%3.31亿
616.54%3.14亿
所有者权益
股本
9.84%9.47亿
9.12%9.35亿
9.12%9.35亿
7.21%8.99亿
5.46%8.84亿
4.52%8.62亿
5.83%8.56亿
5.83%8.56亿
7.76%8.39亿
9.73%8.38亿
-普通股股本
9.84%9.47亿
9.12%9.35亿
9.12%9.35亿
7.21%8.99亿
5.46%8.84亿
4.52%8.62亿
5.83%8.56亿
5.83%8.56亿
7.76%8.39亿
9.73%8.38亿
留存收益
-15.85%-1.95亿
-18.60%-1.87亿
-18.60%-1.87亿
-24.47%-1.64亿
-16.04%-1.59亿
-7.61%-1.68亿
-4.93%-1.57亿
-4.93%-1.57亿
6.58%-1.32亿
2.45%-1.37亿
资本公积
9.19%3,948.4万
9.19%3,948.4万
9.19%3,948.4万
0.09%3,616万
0.09%3,616万
0.09%3,616万
0.09%3,616万
0.09%3,616万
0.00%3,612.6万
0.00%3,612.6万
不影响留存收益的损益
-1,491.50%-7,616.9万
-9,724.96%-6,092.6万
-9,724.96%-6,092.6万
-259.00%-2,710.8万
-91.19%135.4万
-194.34%-478.6万
135.64%63.3万
135.64%63.3万
1,054.59%1,704.9万
896.37%1,537万
其他权益
-35.56%355.9万
-26.96%340万
-26.96%340万
-3.18%651.8万
-10.82%627.1万
-45.26%552.3万
-46.48%465.5万
-46.48%465.5万
-51.60%673.2万
-52.69%703.2万
股东权益总额
-1.62%7.19亿
-1.43%7.3亿
-1.43%7.3亿
-2.12%7.5亿
1.18%7.69亿
2.48%7.31亿
5.44%7.41亿
5.44%7.41亿
11.87%7.67亿
12.97%7.6亿
总权益
-1.62%7.19亿
-1.43%7.3亿
-1.43%7.3亿
-2.12%7.5亿
1.18%7.69亿
2.48%7.31亿
5.44%7.41亿
5.44%7.41亿
11.87%7.67亿
12.97%7.6亿
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
(Q1)2024/03/31(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
资产
流动资产
现金及现金等价物和短期投资 40.10%5,983.8万-34.48%8,618.8万-34.48%8,618.8万-35.74%1.33亿-25.00%2.06亿-85.73%4,271.1万198.04%1.32亿198.04%1.32亿254.61%2.06亿260.21%2.75亿
-现金和现金等价物 48.25%5,569.3万78.63%8,243.8万78.63%8,243.8万79.80%1.19亿32.42%2.03亿-87.30%3,756.6万300.50%4,615万300.50%4,615万524.84%6,616.4万187.56%1.53亿
-短期投资 -19.44%414.5万-95.61%375万-95.61%375万-90.29%1,360.4万-97.07%357.7万45.30%514.5万161.84%8,538.6万161.84%8,538.6万194.48%1.4亿427.47%1.22亿
应收款项 -64.72%309.8万-12.29%776.3万-12.29%776.3万195.26%1,115.2万378.07%1,079万555.79%878.1万-11.72%885.1万-11.72%885.1万12.38%377.7万-13.43%225.7万
-应收账款 ---------------------------------71.64%1.9万-76.25%1.9万
-应收票据 ------0--0--59.4万--59.4万--61.6万--63.1万--63.1万--------
-应收税费 -68.78%93.4万5.79%449.3万5.79%449.3万8.04%406万8.85%243.6万126.67%299.2万150.12%424.7万150.12%424.7万14.09%375.8万-11.44%223.8万
-其他应收款 -58.17%216.4万-17.69%327万-17.69%327万--649.8万--776万--517.3万-52.29%397.3万-52.29%397.3万--------
预付费用 --------------------------------188.14%714.3万258.60%615万
流动资产合计 22.22%6,293.6万-33.08%9,395.1万-33.08%9,395.1万-33.84%1.44亿-23.42%2.17亿-83.30%5,149.2万159.21%1.4亿159.21%1.4亿239.32%2.17亿251.33%2.83亿
非流动资产
固定资产净额 23.48%11.51亿28.02%11.28亿28.02%11.28亿33.99%10.8亿39.27%9.98亿38.29%9.32亿33.10%8.81亿33.10%8.81亿25.33%8.06亿16.35%7.17亿
-固定资产 23.84%11.57亿28.36%11.34亿28.36%11.34亿34.29%10.84亿39.57%10.01亿38.55%9.35亿33.29%8.83亿33.29%8.83亿25.43%8.07亿16.41%7.17亿
-累计折旧 -174.55%-604万-216.00%-511.6万-216.00%-511.6万-336.95%-354.8万-485.39%-284.5万-521.47%-220万-490.88%-161.9万-490.88%-161.9万-497.06%-81.2万-322.61%-48.6万
投资和预付款 -6.15%126.6万-10.22%124.7万-10.22%124.7万-12.94%126.5万-13.26%128.9万-43.89%134.9万-42.82%138.9万-42.82%138.9万-41.20%145.3万-40.56%148.6万
长期应收票据 --------------------------------4.02%64.7万-2.29%59.8万
长期应收款 -86.13%1,322.7万0.18%1,322.7万0.18%1,322.7万84.77%9,537.7万85.01%9,535.3万223.93%9,535.3万1.27%1,320.3万1.27%1,320.3万544.28%5,162万2,013.12%5,153.9万
长期预付费用 --9,272万140.83%9,272万140.83%9,272万--------------3,850万--3,850万--------
其他非流动资产 3.31%2,135万3.42%2,135万3.42%2,135万1.64%2,098.2万6.29%2,118.3万5.81%2,066.5万35.53%2,064.3万35.53%2,064.3万37.22%2,064.3万40.19%1,992.9万
非流动资产合计 21.93%12.8亿31.59%12.57亿31.59%12.57亿36.03%11.98亿41.22%11.16亿44.56%10.5亿37.72%9.55亿37.72%9.55亿31.54%8.81亿24.30%7.9亿
总资产 21.94%13.43亿23.31%13.51亿23.31%13.51亿22.21%13.42亿24.15%13.33亿6.45%11.01亿46.52%10.96亿46.52%10.96亿49.68%10.98亿49.87%10.74亿
负债
流动负债
应付款项 -71.74%1,295.2万-23.80%3,273.4万-23.80%3,273.4万-65.10%2,062.4万-36.08%2,014万399.87%4,582.8万253.11%4,295.6万253.11%4,295.6万244.76%5,909.2万193.85%3,150.7万
-应付账款 -37.15%840.6万74.05%2,730.2万74.05%2,730.2万-21.58%1,896.4万122.74%1,666.3万120.29%1,337.4万53.94%1,568.6万53.94%1,568.6万194.95%2,418.3万109.49%748.1万
-其他应付款 -85.99%454.6万-80.08%543.2万-80.08%543.2万-95.24%166万-85.53%347.7万947.92%3,245.4万1,280.76%2,727万1,280.76%2,727万290.44%3,490.9万235.98%2,402.6万
应计费用 --------------3,820万--4,190万--------------------
现行拨备 -82.52%75.9万-82.52%75.9万-82.52%75.9万50.80%434.3万18.02%434.3万18.02%434.3万18.02%434.3万18.02%434.3万15.20%288万47.20%368万
短期借款与租赁负债 88.32%74.2万-27.01%37.3万-27.01%37.3万7.60%55.2万-66.65%75万418.42%39.4万467.78%51.1万467.78%51.1万476.40%51.3万2,426.97%224.9万
-短期租赁负债 88.32%74.2万-27.01%37.3万-27.01%37.3万7.60%55.2万-66.65%75万418.42%39.4万467.78%51.1万467.78%51.1万476.40%51.3万2,426.97%224.9万
其他流动负债 31.13%529.5万32.51%554.3万32.51%554.3万-82.25%7.1万124.79%266.6万218.71%403.8万206.22%418.3万206.22%418.3万-85.14%40万-65.17%118.6万
流动负债总额 -63.83%1,974.8万-24.20%3,940.9万-24.20%3,940.9万1.44%6,379万80.72%6,979.9万284.77%5,460.3万200.52%5,199.3万200.52%5,199.3万180.49%6,288.5万131.05%3,862.2万
非流动负债
长期拨备 5.17%665.8万2.66%667.6万2.66%667.6万43.17%389.7万40.90%575.7万43.95%633.1万36.56%650.3万36.56%650.3万44.56%272.2万22.04%408.6万
长期借款与租赁负债 110.89%5.98亿117.24%5.75亿117.24%5.75亿120.80%4.9亿94.26%4.57亿0.75%2.83亿145,315.38%2.65亿145,315.38%2.65亿109,703.47%2.22亿105,964.86%2.35亿
-长期借款 111.54%5.97亿117.76%5.74亿117.76%5.74亿121.45%4.89亿94.75%4.56亿0.42%2.82亿--2.64亿--2.64亿--2.21亿--2.34亿
-长期租赁负债 -55.61%49.1万-4.66%106.3万-4.66%106.3万-4.72%108.9万-4.44%109.8万532.00%110.6万512.64%111.5万512.64%111.5万465.84%114.3万417.57%114.9万
递延负债 ------0--0-22.94%3,372.2万-12.68%3,106.8万21.15%2,631万37.86%3,193.4万37.86%3,193.4万84.84%4,376.2万51.40%3,558.1万
非流动负债总额 91.21%6.04亿91.90%5.82亿91.90%5.82亿96.57%5.27亿79.64%4.94亿2.81%3.16亿978.32%3.03亿978.32%3.03亿941.45%2.68亿916.33%2.75亿
总负债 68.38%6.24亿74.90%6.21亿74.90%6.21亿78.50%5.91亿79.77%5.64亿15.25%3.71亿681.97%3.55亿681.97%3.55亿587.35%3.31亿616.54%3.14亿
所有者权益
股本 9.84%9.47亿9.12%9.35亿9.12%9.35亿7.21%8.99亿5.46%8.84亿4.52%8.62亿5.83%8.56亿5.83%8.56亿7.76%8.39亿9.73%8.38亿
-普通股股本 9.84%9.47亿9.12%9.35亿9.12%9.35亿7.21%8.99亿5.46%8.84亿4.52%8.62亿5.83%8.56亿5.83%8.56亿7.76%8.39亿9.73%8.38亿
留存收益 -15.85%-1.95亿-18.60%-1.87亿-18.60%-1.87亿-24.47%-1.64亿-16.04%-1.59亿-7.61%-1.68亿-4.93%-1.57亿-4.93%-1.57亿6.58%-1.32亿2.45%-1.37亿
资本公积 9.19%3,948.4万9.19%3,948.4万9.19%3,948.4万0.09%3,616万0.09%3,616万0.09%3,616万0.09%3,616万0.09%3,616万0.00%3,612.6万0.00%3,612.6万
不影响留存收益的损益 -1,491.50%-7,616.9万-9,724.96%-6,092.6万-9,724.96%-6,092.6万-259.00%-2,710.8万-91.19%135.4万-194.34%-478.6万135.64%63.3万135.64%63.3万1,054.59%1,704.9万896.37%1,537万
其他权益 -35.56%355.9万-26.96%340万-26.96%340万-3.18%651.8万-10.82%627.1万-45.26%552.3万-46.48%465.5万-46.48%465.5万-51.60%673.2万-52.69%703.2万
股东权益总额 -1.62%7.19亿-1.43%7.3亿-1.43%7.3亿-2.12%7.5亿1.18%7.69亿2.48%7.31亿5.44%7.41亿5.44%7.41亿11.87%7.67亿12.97%7.6亿
总权益 -1.62%7.19亿-1.43%7.3亿-1.43%7.3亿-2.12%7.5亿1.18%7.69亿2.48%7.31亿5.44%7.41亿5.44%7.41亿11.87%7.67亿12.97%7.6亿
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

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