加拿大市场个股详情

Seabridge Gold Inc (SEA)

添加自选
  • 49.340
  • -1.630-3.20%
延时15分钟行情交易中 01/23 14:37 (美东)
52.57亿总市值-89.71市盈率TTM

Seabridge Gold Inc (SEA) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(FY)2023/12/31
(Q4)2023/12/31
资产
流动资产
现金及现金等价物和短期投资
97.91%1.11亿
68.91%1.28亿
173.03%1.63亿
-35.93%5,521.8万
-35.93%5,521.8万
-57.58%5,623.1万
-63.24%7,581.1万
40.10%5,983.8万
-34.48%8,618.8万
-34.48%8,618.8万
-现金和现金等价物
101.52%1.03亿
70.22%1.21亿
181.47%1.57亿
-39.57%4,981.5万
-39.57%4,981.5万
-56.99%5,116.2万
-64.81%7,130.9万
48.25%5,569.3万
78.63%8,243.8万
78.63%8,243.8万
-短期投资
61.39%818.1万
48.20%667.2万
59.64%661.7万
44.08%540.3万
44.08%540.3万
-62.74%506.9万
25.86%450.2万
-19.44%414.5万
-95.61%375万
-95.61%375万
应收款项
73.41%1,363.5万
-31.71%685.4万
-12.56%270.9万
-62.28%292.8万
-62.28%292.8万
-29.49%786.3万
-6.98%1,003.7万
-64.72%309.8万
-12.29%776.3万
-12.29%776.3万
-应收税费
292.13%682.7万
-16.35%158.1万
27.30%118.9万
-70.80%131.2万
-70.80%131.2万
-57.12%174.1万
-22.41%189万
-68.78%93.4万
5.79%449.3万
5.79%449.3万
-其他应收款
11.21%680.8万
-35.28%527.3万
-29.76%152万
-50.58%161.6万
-50.58%161.6万
-5.79%612.2万
4.99%814.7万
-58.17%216.4万
-17.69%327万
-17.69%327万
流动资产合计
94.90%1.25亿
57.15%1.35亿
163.90%1.66亿
-38.11%5,814.6万
-38.11%5,814.6万
-55.40%6,409.4万
-60.44%8,584.8万
22.22%6,293.6万
-33.08%9,395.1万
-33.08%9,395.1万
非流动资产
固定资产净额
13.74%13.88亿
11.11%13.12亿
10.53%12.73亿
10.90%12.51亿
10.90%12.51亿
12.98%12.2亿
18.30%11.81亿
23.48%11.51亿
28.02%11.28亿
28.02%11.28亿
-固定资产
13.91%13.98亿
11.23%13.21亿
10.68%12.81亿
11.07%12.59亿
11.07%12.59亿
13.24%12.27亿
18.66%11.88亿
23.84%11.57亿
28.36%11.34亿
28.36%11.34亿
-累计折旧
-44.68%-982.8万
-31.71%-917.5万
-39.14%-840.4万
-48.46%-759.5万
-48.46%-759.5万
-91.46%-679.3万
-144.85%-696.6万
-174.55%-604万
-216.00%-511.6万
-216.00%-511.6万
投资和预付款
33.95%130.2万
14.39%139.9万
-34.52%82.9万
-26.78%91.3万
-26.78%91.3万
-23.16%97.2万
-5.12%122.3万
-6.15%126.6万
-10.22%124.7万
-10.22%124.7万
-长期股权投资
33.95%130.2万
14.39%139.9万
-34.52%82.9万
-26.78%91.3万
-26.78%91.3万
-23.16%97.2万
-5.12%122.3万
-6.15%126.6万
-10.22%124.7万
-10.22%124.7万
长期应收款
-29.23%936.1万
-51.42%1,322.7万
0.00%1,322.7万
0.00%1,322.7万
0.00%1,322.7万
--1,322.7万
--2,722.7万
-86.13%1,322.7万
0.18%1,322.7万
0.18%1,322.7万
长期预付费用
50.95%1.61亿
73.74%1.61亿
31.92%1.22亿
15.10%1.07亿
15.10%1.07亿
--1.07亿
--9,272万
--9,272万
140.83%9,272万
140.83%9,272万
其他非流动资产
-0.81%2,208.9万
-0.81%2,208.9万
3.46%2,208.9万
4.48%2,230.7万
4.48%2,230.7万
-80.86%2,226.9万
-80.89%2,226.9万
3.31%2,135万
3.42%2,135万
3.42%2,135万
非流动资产合计
16.02%15.82亿
14.01%15.1亿
11.81%14.31亿
10.95%13.95亿
10.95%13.95亿
13.84%13.64亿
18.66%13.24亿
21.93%12.8亿
31.59%12.57亿
31.59%12.57亿
总资产
19.56%17.07亿
16.64%16.44亿
18.94%15.97亿
7.53%14.53亿
7.53%14.53亿
6.43%14.28亿
5.78%14.1亿
21.94%13.43亿
23.31%13.51亿
23.31%13.51亿
负债
流动负债
短期借款与资本租赁负债
-2.01%34.2万
-36.88%39.7万
-63.48%27.1万
-6.70%34.8万
-6.70%34.8万
-36.78%34.9万
-16.13%62.9万
88.32%74.2万
-27.01%37.3万
-27.01%37.3万
-短期资本租赁负债
-2.01%34.2万
-36.88%39.7万
-63.48%27.1万
-6.70%34.8万
-6.70%34.8万
-36.78%34.9万
-16.13%62.9万
88.32%74.2万
-27.01%37.3万
-27.01%37.3万
应付款项
97.46%3,629.9万
-25.35%2,222.8万
-32.31%876.7万
-65.54%1,128.1万
-65.54%1,128.1万
-10.87%1,838.3万
47.85%2,977.7万
-71.74%1,295.2万
-23.80%3,273.4万
-23.80%3,273.4万
-应付账款
-33.61%772.2万
-77.67%498.1万
-64.45%298.8万
-68.78%852.5万
-68.78%852.5万
-38.67%1,163.1万
33.85%2,230.4万
-37.15%840.6万
74.05%2,730.2万
74.05%2,730.2万
-其他应付款
323.24%2,857.7万
130.79%1,724.7万
27.12%577.9万
-49.26%275.6万
-49.26%275.6万
306.75%675.2万
114.93%747.3万
-85.99%454.6万
-80.08%543.2万
-80.08%543.2万
现行拨备
40.81%511万
204.35%231万
130.57%175万
130.57%175万
130.57%175万
-16.44%362.9万
-82.52%75.9万
-82.52%75.9万
-82.52%75.9万
-82.52%75.9万
其他流动负债
----
-27.84%689.3万
25.50%664.5万
25.20%694万
25.20%694万
7,940.85%570.9万
258.33%955.3万
31.13%529.5万
32.51%554.3万
32.51%554.3万
流动负债总额
48.74%4,175.1万
-21.83%3,182.8万
-11.72%1,743.3万
-48.44%2,031.9万
-48.44%2,031.9万
-56.00%2,807万
-41.66%4,071.8万
-63.83%1,974.8万
-24.20%3,940.9万
-24.20%3,940.9万
非流动负债
长期借款与租赁负债
15.15%5.84亿
19.31%5.77亿
-6.76%5.57亿
-1.98%5.64亿
-1.98%5.64亿
3.57%5.07亿
5.70%4.84亿
110.89%5.98亿
117.24%5.75亿
117.24%5.75亿
-长期借款
15.04%5.83亿
19.22%5.76亿
-6.85%5.56亿
-1.98%5.63亿
-1.98%5.63亿
3.73%5.07亿
5.85%4.83亿
111.54%5.97亿
117.76%5.74亿
117.76%5.74亿
-长期租赁负债
163.19%95.8万
111.83%102.1万
93.28%94.9万
-5.74%100.2万
-5.74%100.2万
-66.57%36.4万
-56.10%48.2万
-55.61%49.1万
-4.66%106.3万
-4.66%106.3万
长期拨备
-71.43%99.8万
-27.73%479.1万
-16.97%552.8万
-16.99%554.2万
-16.99%554.2万
-10.37%349.3万
15.15%662.9万
5.17%665.8万
2.66%667.6万
2.66%667.6万
递延负债
-10.46%2,332.4万
-61.25%1,182.2万
--2,117.2万
--2,030.4万
--2,030.4万
-22.76%2,604.8万
-1.79%3,051.1万
----
--0
--0
非流动负债总额
13.34%6.08亿
13.99%5.93亿
-3.37%5.84亿
1.34%5.89亿
1.34%5.89亿
1.79%5.37亿
5.34%5.21亿
91.21%6.04亿
91.90%5.82亿
91.90%5.82亿
负债总额
15.10%6.5亿
11.39%6.25亿
-3.64%6.01亿
-1.82%6.1亿
-1.82%6.1亿
-4.45%5.65亿
-0.48%5.61亿
68.38%6.24亿
74.90%6.21亿
74.90%6.21亿
所有者权益
股本
24.99%12.75亿
23.90%12.27亿
26.44%11.97亿
12.53%10.52亿
12.53%10.52亿
13.46%10.2亿
11.97%9.9亿
9.84%9.47亿
9.12%9.35亿
9.12%9.35亿
-普通股股本
24.99%12.75亿
23.90%12.27亿
26.44%11.97亿
12.53%10.52亿
12.53%10.52亿
13.46%10.2亿
11.97%9.9亿
9.84%9.47亿
9.12%9.35亿
9.12%9.35亿
资本公积
0.00%3,948.4万
0.00%3,948.4万
0.00%3,948.4万
0.00%3,948.4万
0.00%3,948.4万
9.19%3,948.4万
9.19%3,948.4万
9.19%3,948.4万
9.19%3,948.4万
9.19%3,948.4万
留存收益
-28.32%-2.27亿
-30.38%-1.95亿
-6.43%-2.07亿
-16.74%-2.18亿
-16.74%-2.18亿
-7.70%-1.77亿
6.03%-1.5亿
-15.85%-1.95亿
-18.60%-1.87亿
-18.60%-1.87亿
不影响留存收益的损益
-60.36%-3,780.4万
-63.90%-5,801.3万
49.24%-3,866.2万
43.33%-3,452.9万
43.33%-3,452.9万
13.03%-2,357.5万
-2,714.18%-3,539.6万
-1,491.50%-7,616.9万
-9,724.96%-6,092.6万
-9,724.96%-6,092.6万
其他股本权益
87.70%714万
52.28%609.1万
47.79%526万
23.47%419.8万
23.47%419.8万
-41.64%380.4万
-36.21%400万
-35.56%355.9万
-26.96%340万
-26.96%340万
股东权益总额
22.47%10.57亿
20.11%10.19亿
38.54%9.96亿
15.49%8.43亿
15.49%8.43亿
14.99%8.63亿
10.38%8.49亿
-1.62%7.19亿
-1.43%7.3亿
-1.43%7.3亿
总权益
22.47%10.57亿
20.11%10.19亿
38.54%9.96亿
15.49%8.43亿
15.49%8.43亿
14.99%8.63亿
10.38%8.49亿
-1.62%7.19亿
-1.43%7.3亿
-1.43%7.3亿
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
--
--
--
--
--
--
(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(FY)2023/12/31(Q4)2023/12/31
资产
流动资产
现金及现金等价物和短期投资 97.91%1.11亿68.91%1.28亿173.03%1.63亿-35.93%5,521.8万-35.93%5,521.8万-57.58%5,623.1万-63.24%7,581.1万40.10%5,983.8万-34.48%8,618.8万-34.48%8,618.8万
-现金和现金等价物 101.52%1.03亿70.22%1.21亿181.47%1.57亿-39.57%4,981.5万-39.57%4,981.5万-56.99%5,116.2万-64.81%7,130.9万48.25%5,569.3万78.63%8,243.8万78.63%8,243.8万
-短期投资 61.39%818.1万48.20%667.2万59.64%661.7万44.08%540.3万44.08%540.3万-62.74%506.9万25.86%450.2万-19.44%414.5万-95.61%375万-95.61%375万
应收款项 73.41%1,363.5万-31.71%685.4万-12.56%270.9万-62.28%292.8万-62.28%292.8万-29.49%786.3万-6.98%1,003.7万-64.72%309.8万-12.29%776.3万-12.29%776.3万
-应收税费 292.13%682.7万-16.35%158.1万27.30%118.9万-70.80%131.2万-70.80%131.2万-57.12%174.1万-22.41%189万-68.78%93.4万5.79%449.3万5.79%449.3万
-其他应收款 11.21%680.8万-35.28%527.3万-29.76%152万-50.58%161.6万-50.58%161.6万-5.79%612.2万4.99%814.7万-58.17%216.4万-17.69%327万-17.69%327万
流动资产合计 94.90%1.25亿57.15%1.35亿163.90%1.66亿-38.11%5,814.6万-38.11%5,814.6万-55.40%6,409.4万-60.44%8,584.8万22.22%6,293.6万-33.08%9,395.1万-33.08%9,395.1万
非流动资产
固定资产净额 13.74%13.88亿11.11%13.12亿10.53%12.73亿10.90%12.51亿10.90%12.51亿12.98%12.2亿18.30%11.81亿23.48%11.51亿28.02%11.28亿28.02%11.28亿
-固定资产 13.91%13.98亿11.23%13.21亿10.68%12.81亿11.07%12.59亿11.07%12.59亿13.24%12.27亿18.66%11.88亿23.84%11.57亿28.36%11.34亿28.36%11.34亿
-累计折旧 -44.68%-982.8万-31.71%-917.5万-39.14%-840.4万-48.46%-759.5万-48.46%-759.5万-91.46%-679.3万-144.85%-696.6万-174.55%-604万-216.00%-511.6万-216.00%-511.6万
投资和预付款 33.95%130.2万14.39%139.9万-34.52%82.9万-26.78%91.3万-26.78%91.3万-23.16%97.2万-5.12%122.3万-6.15%126.6万-10.22%124.7万-10.22%124.7万
-长期股权投资 33.95%130.2万14.39%139.9万-34.52%82.9万-26.78%91.3万-26.78%91.3万-23.16%97.2万-5.12%122.3万-6.15%126.6万-10.22%124.7万-10.22%124.7万
长期应收款 -29.23%936.1万-51.42%1,322.7万0.00%1,322.7万0.00%1,322.7万0.00%1,322.7万--1,322.7万--2,722.7万-86.13%1,322.7万0.18%1,322.7万0.18%1,322.7万
长期预付费用 50.95%1.61亿73.74%1.61亿31.92%1.22亿15.10%1.07亿15.10%1.07亿--1.07亿--9,272万--9,272万140.83%9,272万140.83%9,272万
其他非流动资产 -0.81%2,208.9万-0.81%2,208.9万3.46%2,208.9万4.48%2,230.7万4.48%2,230.7万-80.86%2,226.9万-80.89%2,226.9万3.31%2,135万3.42%2,135万3.42%2,135万
非流动资产合计 16.02%15.82亿14.01%15.1亿11.81%14.31亿10.95%13.95亿10.95%13.95亿13.84%13.64亿18.66%13.24亿21.93%12.8亿31.59%12.57亿31.59%12.57亿
总资产 19.56%17.07亿16.64%16.44亿18.94%15.97亿7.53%14.53亿7.53%14.53亿6.43%14.28亿5.78%14.1亿21.94%13.43亿23.31%13.51亿23.31%13.51亿
负债
流动负债
短期借款与资本租赁负债 -2.01%34.2万-36.88%39.7万-63.48%27.1万-6.70%34.8万-6.70%34.8万-36.78%34.9万-16.13%62.9万88.32%74.2万-27.01%37.3万-27.01%37.3万
-短期资本租赁负债 -2.01%34.2万-36.88%39.7万-63.48%27.1万-6.70%34.8万-6.70%34.8万-36.78%34.9万-16.13%62.9万88.32%74.2万-27.01%37.3万-27.01%37.3万
应付款项 97.46%3,629.9万-25.35%2,222.8万-32.31%876.7万-65.54%1,128.1万-65.54%1,128.1万-10.87%1,838.3万47.85%2,977.7万-71.74%1,295.2万-23.80%3,273.4万-23.80%3,273.4万
-应付账款 -33.61%772.2万-77.67%498.1万-64.45%298.8万-68.78%852.5万-68.78%852.5万-38.67%1,163.1万33.85%2,230.4万-37.15%840.6万74.05%2,730.2万74.05%2,730.2万
-其他应付款 323.24%2,857.7万130.79%1,724.7万27.12%577.9万-49.26%275.6万-49.26%275.6万306.75%675.2万114.93%747.3万-85.99%454.6万-80.08%543.2万-80.08%543.2万
现行拨备 40.81%511万204.35%231万130.57%175万130.57%175万130.57%175万-16.44%362.9万-82.52%75.9万-82.52%75.9万-82.52%75.9万-82.52%75.9万
其他流动负债 -----27.84%689.3万25.50%664.5万25.20%694万25.20%694万7,940.85%570.9万258.33%955.3万31.13%529.5万32.51%554.3万32.51%554.3万
流动负债总额 48.74%4,175.1万-21.83%3,182.8万-11.72%1,743.3万-48.44%2,031.9万-48.44%2,031.9万-56.00%2,807万-41.66%4,071.8万-63.83%1,974.8万-24.20%3,940.9万-24.20%3,940.9万
非流动负债
长期借款与租赁负债 15.15%5.84亿19.31%5.77亿-6.76%5.57亿-1.98%5.64亿-1.98%5.64亿3.57%5.07亿5.70%4.84亿110.89%5.98亿117.24%5.75亿117.24%5.75亿
-长期借款 15.04%5.83亿19.22%5.76亿-6.85%5.56亿-1.98%5.63亿-1.98%5.63亿3.73%5.07亿5.85%4.83亿111.54%5.97亿117.76%5.74亿117.76%5.74亿
-长期租赁负债 163.19%95.8万111.83%102.1万93.28%94.9万-5.74%100.2万-5.74%100.2万-66.57%36.4万-56.10%48.2万-55.61%49.1万-4.66%106.3万-4.66%106.3万
长期拨备 -71.43%99.8万-27.73%479.1万-16.97%552.8万-16.99%554.2万-16.99%554.2万-10.37%349.3万15.15%662.9万5.17%665.8万2.66%667.6万2.66%667.6万
递延负债 -10.46%2,332.4万-61.25%1,182.2万--2,117.2万--2,030.4万--2,030.4万-22.76%2,604.8万-1.79%3,051.1万------0--0
非流动负债总额 13.34%6.08亿13.99%5.93亿-3.37%5.84亿1.34%5.89亿1.34%5.89亿1.79%5.37亿5.34%5.21亿91.21%6.04亿91.90%5.82亿91.90%5.82亿
负债总额 15.10%6.5亿11.39%6.25亿-3.64%6.01亿-1.82%6.1亿-1.82%6.1亿-4.45%5.65亿-0.48%5.61亿68.38%6.24亿74.90%6.21亿74.90%6.21亿
所有者权益
股本 24.99%12.75亿23.90%12.27亿26.44%11.97亿12.53%10.52亿12.53%10.52亿13.46%10.2亿11.97%9.9亿9.84%9.47亿9.12%9.35亿9.12%9.35亿
-普通股股本 24.99%12.75亿23.90%12.27亿26.44%11.97亿12.53%10.52亿12.53%10.52亿13.46%10.2亿11.97%9.9亿9.84%9.47亿9.12%9.35亿9.12%9.35亿
资本公积 0.00%3,948.4万0.00%3,948.4万0.00%3,948.4万0.00%3,948.4万0.00%3,948.4万9.19%3,948.4万9.19%3,948.4万9.19%3,948.4万9.19%3,948.4万9.19%3,948.4万
留存收益 -28.32%-2.27亿-30.38%-1.95亿-6.43%-2.07亿-16.74%-2.18亿-16.74%-2.18亿-7.70%-1.77亿6.03%-1.5亿-15.85%-1.95亿-18.60%-1.87亿-18.60%-1.87亿
不影响留存收益的损益 -60.36%-3,780.4万-63.90%-5,801.3万49.24%-3,866.2万43.33%-3,452.9万43.33%-3,452.9万13.03%-2,357.5万-2,714.18%-3,539.6万-1,491.50%-7,616.9万-9,724.96%-6,092.6万-9,724.96%-6,092.6万
其他股本权益 87.70%714万52.28%609.1万47.79%526万23.47%419.8万23.47%419.8万-41.64%380.4万-36.21%400万-35.56%355.9万-26.96%340万-26.96%340万
股东权益总额 22.47%10.57亿20.11%10.19亿38.54%9.96亿15.49%8.43亿15.49%8.43亿14.99%8.63亿10.38%8.49亿-1.62%7.19亿-1.43%7.3亿-1.43%7.3亿
总权益 22.47%10.57亿20.11%10.19亿38.54%9.96亿15.49%8.43亿15.49%8.43亿14.99%8.63亿10.38%8.49亿-1.62%7.19亿-1.43%7.3亿-1.43%7.3亿
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ------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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