加拿大市场个股详情

Sigma Lithium Corp (SGML)

添加自选
  • 19.250
  • -4.030-17.31%
延时15分钟行情交易中 05/19 09:31 (美东)
21.45亿总市值-35.45市盈率TTM

Sigma Lithium Corp (SGML) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2026/03/31
(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
资产
流动资产
现金及现金等价物和短期投资
-87.62%385.2万
-86.47%621.4万
-86.47%621.4万
-90.69%610.8万
-79.92%1,511.3万
-71.28%3,111.1万
-5.49%4,591.8万
-5.49%4,591.8万
133.82%6,561.05万
118.65%7,526.47万
-现金和现金等价物
-87.62%385.2万
-86.47%621.4万
-86.47%621.4万
-90.69%610.8万
-79.92%1,511.3万
-71.28%3,111.1万
-5.49%4,591.8万
-5.49%4,591.8万
133.82%6,561.05万
118.65%7,526.47万
应收款项
-26.12%2,668.8万
-60.58%707.6万
-60.58%707.6万
16.30%2,681.3万
-69.35%2,278万
-18.09%3,612.4万
-49.78%1,795.2万
-49.78%1,795.2万
-59.36%2,305.56万
3,097.14%7,433.09万
-应收账款
-19.06%2,188.3万
-92.27%139.2万
-92.27%139.2万
-24.94%1,117.2万
-84.39%1,275.6万
-48.75%2,703.5万
-19.58%1,801.3万
-19.58%1,801.3万
-72.47%1,488.36万
--8,170.48万
-应收税费
-47.13%480.5万
-10.74%568.4万
-10.74%568.4万
-12.72%712.5万
-31.07%601.5万
-38.99%908.9万
-52.26%636.8万
-52.26%636.8万
241.21%816.31万
329.44%872.67万
-应收关联方款项
----
--0
--0
--0
--0
--0
--0
--0
-96.74%8,881.7835
-97.01%8,761.0426
-其他应收款
----
----
----
--851.6万
124.89%400.9万
----
87.12%-642.9万
87.12%-642.9万
----
---1,610.94万
存货
-21.66%1,663.3万
28.24%2,069.8万
28.24%2,069.8万
34.63%2,231.4万
74.60%2,456.6万
47.33%2,123.2万
10.04%1,614万
10.04%1,614万
3.36%1,657.49万
-22.65%1,407.02万
预付费用
-10.26%640.2万
-65.05%340万
-65.05%340万
-18.60%682.2万
9.77%586.4万
14.67%713.4万
82.60%972.7万
82.60%972.7万
-30.15%838.07万
-57.76%534.2万
受限制现金
--1,125.3万
--1,125.3万
--1,125.3万
----
----
----
--0
--0
----
----
其他流动资产
92.36%435.5万
-79.96%60.8万
-79.96%60.8万
-60.57%73.9万
54.27%142.7万
4.87%226.4万
-8.17%303.4万
-8.17%303.4万
--187.41万
--92.5万
流动资产合计
-29.31%6,918.3万
-46.91%4,924.9万
-46.91%4,924.9万
-45.63%6,279.6万
-58.95%6,975万
-44.15%9,786.5万
-13.81%9,277.1万
-13.81%9,277.1万
2.37%1.15亿
151.44%1.7亿
非流动资产
固定资产净额
11.35%1.7亿
14.42%1.61亿
14.42%1.61亿
2.92%1.71亿
-0.85%1.62亿
-12.97%1.53亿
-22.02%1.41亿
-22.02%1.41亿
-6.01%1.66亿
-7.17%1.63亿
-固定资产
-0.24%2.03亿
19.76%1.91亿
19.76%1.91亿
11.54%2.04亿
8.20%1.9亿
9.11%2.04亿
-15.79%1.6亿
-15.79%1.6亿
0.71%1.83亿
-1.26%1.76亿
-累计折旧
---3,354.5万
-60.31%-2,977万
-60.31%-2,977万
-101.03%-3,224.4万
-124.43%-2,848.3万
----
-111.06%-1,857万
-111.06%-1,857万
-290.03%-1,603.98万
-439.92%-1,269.11万
长期应收款
49.18%290.6万
102.59%265.8万
102.59%265.8万
75.40%272.5万
--241.2万
--194.8万
--131.2万
--131.2万
-73.48%155.36万
----
长期应收票据
28.06%2,035.8万
43.15%1,854.2万
43.15%1,854.2万
49.06%1,849.1万
86.72%1,737.6万
59.57%1,589.7万
30.47%1,295.3万
30.47%1,295.3万
--1,240.49万
--930.57万
非流动递延资产
-7.78%6,213.7万
-8.03%6,104.2万
-8.03%6,104.2万
20.21%7,387.7万
19.39%7,150.1万
15.97%6,737.8万
15.27%6,637.1万
15.27%6,637.1万
4,654.71%6,145.82万
--5,988.76万
其他非流动资产
-92.75%92万
-92.98%89.1万
-92.98%89.1万
17.89%1,358万
17.15%1,354.5万
9.57%1,269.2万
9.66%1,268.6万
9.66%1,268.6万
--1,151.97万
--1,156.24万
非流动资产合计
2.28%2.56亿
4.33%2.44亿
4.33%2.44亿
10.49%2.8亿
9.31%2.66亿
-1.75%2.5亿
-9.84%2.34亿
-9.84%2.34亿
14.20%2.53亿
10.66%2.44亿
总资产
-6.59%3.25亿
-10.20%2.94亿
-10.20%2.94亿
-7.08%3.43亿
-18.73%3.36亿
-19.03%3.48亿
-11.00%3.27亿
-11.00%3.27亿
10.21%3.69亿
43.71%4.14亿
负债
流动负债
短期借款与资本租赁负债
111.06%1.22亿
102.92%1.29亿
102.92%1.29亿
-28.56%5,088.6万
-49.13%5,598.2万
-39.48%5,768.3万
170.54%6,334.9万
170.54%6,334.9万
225.64%7,122.52万
830.53%1.1亿
-短期借款
116.17%1.21亿
106.72%1.27亿
106.72%1.27亿
-30.60%4,857.8万
-50.63%5,365.5万
-40.72%5,578.6万
182.46%6,159.6万
182.46%6,159.6万
244.22%6,999.81万
938.23%1.09亿
-短期资本租赁负债
-39.11%115.5万
-30.75%121.4万
-30.75%121.4万
88.08%230.8万
68.73%232.7万
56.87%189.7万
8.95%175.3万
8.95%175.3万
-20.15%122.72万
1.42%137.91万
应付款项
60.73%7,166.3万
58.32%5,983.1万
58.32%5,983.1万
18.86%6,249.3万
6.82%4,975.3万
-30.30%4,458.5万
-40.87%3,779万
-40.87%3,779万
18.68%5,257.79万
136.09%4,657.44万
-应付账款
53.02%5,901.8万
51.79%4,952.4万
51.79%4,952.4万
55.60%5,487.3万
37.47%4,432.5万
-17.17%3,856.9万
-39.21%3,262.7万
-39.21%3,262.7万
28.08%3,526.44万
114.41%3,224.36万
-应付税费
46.28%880万
84.99%725.7万
84.99%725.7万
-23.40%762万
-38.20%542.8万
-47.32%601.6万
-61.67%392.3万
-61.67%392.3万
0.96%994.83万
248.82%878.37万
-应付关联方款项
--384.5万
145.97%305万
145.97%305万
----
----
----
--124万
--124万
6.52%736.52万
155.52%554.72万
应计费用
-18.86%285.7万
16.79%228.8万
16.79%228.8万
-43.39%327.6万
-31.23%294.5万
-5.11%352.1万
2.73%195.9万
2.73%195.9万
19.41%578.72万
65.80%428.27万
递延负债
566.90%1,253.1万
234.35%506.2万
234.35%506.2万
-31.55%417.8万
--22.5万
--187.9万
-6.83%151.4万
-6.83%151.4万
290.09%610.4万
--0
其他流动负债
-29.16%491.3万
14.02%474.2万
14.02%474.2万
427.39%748.3万
319.45%643.4万
396.59%693.5万
185.06%415.9万
185.06%415.9万
73.44%141.89万
--153.39万
流动负债总额
86.48%2.14亿
84.31%2亿
84.31%2亿
-6.42%1.28亿
-29.00%1.15亿
-30.28%1.15亿
17.82%1.09亿
17.82%1.09亿
86.80%1.37亿
179.61%1.62亿
非流动负债
长期借款与租赁负债
-86.74%1,512.7万
-86.97%1,478.6万
-86.97%1,478.6万
2.14%1.16亿
2.77%1.16亿
3.63%1.14亿
3.28%1.13亿
3.28%1.13亿
21.16%1.13亿
23.54%1.13亿
-长期借款
-88.23%1,328.8万
-88.22%1,319.9万
-88.22%1,319.9万
1.87%1.13亿
2.40%1.13亿
4.84%1.13亿
4.56%1.12亿
4.56%1.12亿
23.15%1.11亿
23.36%1.11亿
-长期租赁负债
49.51%183.9万
10.59%158.7万
10.59%158.7万
18.17%222.6万
23.24%241.5万
-49.67%123万
-47.09%143.5万
-47.09%143.5万
-38.02%188.37万
34.62%195.96万
长期应付账款及其他应付款项
14.34%391.4万
16.98%371.3万
16.98%371.3万
8.15%433.7万
-29.93%263.6万
6,150.21%342.3万
2,951.92%317.4万
2,951.92%317.4万
3,908.06%401.01万
--376.21万
应付关联方款项
--730.4万
--565.3万
--565.3万
----
----
----
--0
--0
----
----
长期拨备
10.56%753万
15.53%707.5万
15.53%707.5万
180.75%754.3万
175.17%713.4万
139.04%681.1万
67.46%612.4万
67.46%612.4万
-49.39%268.67万
-52.75%259.25万
员工福利
----
----
----
----
----
----
322.84%322.88万
322.84%322.88万
--86.45万
----
其他非流动负债
64.09%536.9万
65.70%542万
65.70%542万
98.11%332.7万
36.38%345.4万
295.45%327.2万
--327.1万
--327.1万
--167.94万
--253.27万
非流动负债总额
-69.25%3,924.4万
-70.92%3,664.7万
-70.92%3,664.7万
6.85%1.31亿
6.13%1.29亿
12.09%1.28亿
10.93%1.26亿
10.93%1.26亿
21.74%1.22亿
23.89%1.21亿
负债总额
4.43%2.53亿
1.00%2.37亿
1.00%2.37亿
-0.16%2.59亿
-13.97%2.44亿
-12.94%2.42亿
14.02%2.35亿
14.02%2.35亿
49.20%2.59亿
81.83%2.84亿
所有者权益
股本
0.51%3.29亿
0.55%3.29亿
0.55%3.29亿
4.67%3.28亿
7.36%3.27亿
7.92%3.27亿
12.23%3.27亿
12.23%3.27亿
14.22%3.13亿
30.33%3.05亿
-普通股股本
0.51%3.29亿
0.55%3.29亿
0.55%3.29亿
4.67%3.28亿
7.36%3.27亿
7.92%3.27亿
12.23%3.27亿
12.23%3.27亿
14.22%3.13亿
30.33%3.05亿
留存收益
-19.70%-2.66亿
-22.11%-2.77亿
-22.11%-2.77亿
-17.30%-2.53亿
-28.60%-2.41亿
-24.04%-2.22亿
-29.27%-2.27亿
-29.27%-2.27亿
-33.09%-2.15亿
7.60%-1.87亿
不影响留存收益的损益
49.92%-928.6万
46.18%-1,399万
46.18%-1,399万
9.54%-1,144.2万
-3.59%-1,373.2万
-11,831.74%-1,854.4万
-1,795.69%-2,599.5万
-1,795.69%-2,599.5万
-1,962.84%-1,264.91万
-537.87%-1,325.62万
其他股本权益
-4.17%1,909.7万
3.69%1,916.7万
3.69%1,916.7万
-17.78%1,980.3万
-23.76%1,976.2万
-29.55%1,992.7万
-58.45%1,848.5万
-58.45%1,848.5万
--2,408.59万
--2,592.25万
股东权益总额
-31.76%7,239.6万
-38.67%5,663万
-38.67%5,663万
-23.47%8,377万
-29.16%9,192.3万
-30.17%1.06亿
-42.88%9,234万
-42.88%9,234万
-31.94%1.09亿
-1.48%1.3亿
总权益
-31.76%7,239.6万
-38.67%5,663万
-38.67%5,663万
-23.47%8,377万
-29.16%9,192.3万
-30.17%1.06亿
-42.88%9,234万
-42.88%9,234万
-31.94%1.09亿
-1.48%1.3亿
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
--
--
--
--
无保留意见
--
--
--
(Q1)2026/03/31(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
资产
流动资产
现金及现金等价物和短期投资 -87.62%385.2万-86.47%621.4万-86.47%621.4万-90.69%610.8万-79.92%1,511.3万-71.28%3,111.1万-5.49%4,591.8万-5.49%4,591.8万133.82%6,561.05万118.65%7,526.47万
-现金和现金等价物 -87.62%385.2万-86.47%621.4万-86.47%621.4万-90.69%610.8万-79.92%1,511.3万-71.28%3,111.1万-5.49%4,591.8万-5.49%4,591.8万133.82%6,561.05万118.65%7,526.47万
应收款项 -26.12%2,668.8万-60.58%707.6万-60.58%707.6万16.30%2,681.3万-69.35%2,278万-18.09%3,612.4万-49.78%1,795.2万-49.78%1,795.2万-59.36%2,305.56万3,097.14%7,433.09万
-应收账款 -19.06%2,188.3万-92.27%139.2万-92.27%139.2万-24.94%1,117.2万-84.39%1,275.6万-48.75%2,703.5万-19.58%1,801.3万-19.58%1,801.3万-72.47%1,488.36万--8,170.48万
-应收税费 -47.13%480.5万-10.74%568.4万-10.74%568.4万-12.72%712.5万-31.07%601.5万-38.99%908.9万-52.26%636.8万-52.26%636.8万241.21%816.31万329.44%872.67万
-应收关联方款项 ------0--0--0--0--0--0--0-96.74%8,881.7835-97.01%8,761.0426
-其他应收款 --------------851.6万124.89%400.9万----87.12%-642.9万87.12%-642.9万-------1,610.94万
存货 -21.66%1,663.3万28.24%2,069.8万28.24%2,069.8万34.63%2,231.4万74.60%2,456.6万47.33%2,123.2万10.04%1,614万10.04%1,614万3.36%1,657.49万-22.65%1,407.02万
预付费用 -10.26%640.2万-65.05%340万-65.05%340万-18.60%682.2万9.77%586.4万14.67%713.4万82.60%972.7万82.60%972.7万-30.15%838.07万-57.76%534.2万
受限制现金 --1,125.3万--1,125.3万--1,125.3万--------------0--0--------
其他流动资产 92.36%435.5万-79.96%60.8万-79.96%60.8万-60.57%73.9万54.27%142.7万4.87%226.4万-8.17%303.4万-8.17%303.4万--187.41万--92.5万
流动资产合计 -29.31%6,918.3万-46.91%4,924.9万-46.91%4,924.9万-45.63%6,279.6万-58.95%6,975万-44.15%9,786.5万-13.81%9,277.1万-13.81%9,277.1万2.37%1.15亿151.44%1.7亿
非流动资产
固定资产净额 11.35%1.7亿14.42%1.61亿14.42%1.61亿2.92%1.71亿-0.85%1.62亿-12.97%1.53亿-22.02%1.41亿-22.02%1.41亿-6.01%1.66亿-7.17%1.63亿
-固定资产 -0.24%2.03亿19.76%1.91亿19.76%1.91亿11.54%2.04亿8.20%1.9亿9.11%2.04亿-15.79%1.6亿-15.79%1.6亿0.71%1.83亿-1.26%1.76亿
-累计折旧 ---3,354.5万-60.31%-2,977万-60.31%-2,977万-101.03%-3,224.4万-124.43%-2,848.3万-----111.06%-1,857万-111.06%-1,857万-290.03%-1,603.98万-439.92%-1,269.11万
长期应收款 49.18%290.6万102.59%265.8万102.59%265.8万75.40%272.5万--241.2万--194.8万--131.2万--131.2万-73.48%155.36万----
长期应收票据 28.06%2,035.8万43.15%1,854.2万43.15%1,854.2万49.06%1,849.1万86.72%1,737.6万59.57%1,589.7万30.47%1,295.3万30.47%1,295.3万--1,240.49万--930.57万
非流动递延资产 -7.78%6,213.7万-8.03%6,104.2万-8.03%6,104.2万20.21%7,387.7万19.39%7,150.1万15.97%6,737.8万15.27%6,637.1万15.27%6,637.1万4,654.71%6,145.82万--5,988.76万
其他非流动资产 -92.75%92万-92.98%89.1万-92.98%89.1万17.89%1,358万17.15%1,354.5万9.57%1,269.2万9.66%1,268.6万9.66%1,268.6万--1,151.97万--1,156.24万
非流动资产合计 2.28%2.56亿4.33%2.44亿4.33%2.44亿10.49%2.8亿9.31%2.66亿-1.75%2.5亿-9.84%2.34亿-9.84%2.34亿14.20%2.53亿10.66%2.44亿
总资产 -6.59%3.25亿-10.20%2.94亿-10.20%2.94亿-7.08%3.43亿-18.73%3.36亿-19.03%3.48亿-11.00%3.27亿-11.00%3.27亿10.21%3.69亿43.71%4.14亿
负债
流动负债
短期借款与资本租赁负债 111.06%1.22亿102.92%1.29亿102.92%1.29亿-28.56%5,088.6万-49.13%5,598.2万-39.48%5,768.3万170.54%6,334.9万170.54%6,334.9万225.64%7,122.52万830.53%1.1亿
-短期借款 116.17%1.21亿106.72%1.27亿106.72%1.27亿-30.60%4,857.8万-50.63%5,365.5万-40.72%5,578.6万182.46%6,159.6万182.46%6,159.6万244.22%6,999.81万938.23%1.09亿
-短期资本租赁负债 -39.11%115.5万-30.75%121.4万-30.75%121.4万88.08%230.8万68.73%232.7万56.87%189.7万8.95%175.3万8.95%175.3万-20.15%122.72万1.42%137.91万
应付款项 60.73%7,166.3万58.32%5,983.1万58.32%5,983.1万18.86%6,249.3万6.82%4,975.3万-30.30%4,458.5万-40.87%3,779万-40.87%3,779万18.68%5,257.79万136.09%4,657.44万
-应付账款 53.02%5,901.8万51.79%4,952.4万51.79%4,952.4万55.60%5,487.3万37.47%4,432.5万-17.17%3,856.9万-39.21%3,262.7万-39.21%3,262.7万28.08%3,526.44万114.41%3,224.36万
-应付税费 46.28%880万84.99%725.7万84.99%725.7万-23.40%762万-38.20%542.8万-47.32%601.6万-61.67%392.3万-61.67%392.3万0.96%994.83万248.82%878.37万
-应付关联方款项 --384.5万145.97%305万145.97%305万--------------124万--124万6.52%736.52万155.52%554.72万
应计费用 -18.86%285.7万16.79%228.8万16.79%228.8万-43.39%327.6万-31.23%294.5万-5.11%352.1万2.73%195.9万2.73%195.9万19.41%578.72万65.80%428.27万
递延负债 566.90%1,253.1万234.35%506.2万234.35%506.2万-31.55%417.8万--22.5万--187.9万-6.83%151.4万-6.83%151.4万290.09%610.4万--0
其他流动负债 -29.16%491.3万14.02%474.2万14.02%474.2万427.39%748.3万319.45%643.4万396.59%693.5万185.06%415.9万185.06%415.9万73.44%141.89万--153.39万
流动负债总额 86.48%2.14亿84.31%2亿84.31%2亿-6.42%1.28亿-29.00%1.15亿-30.28%1.15亿17.82%1.09亿17.82%1.09亿86.80%1.37亿179.61%1.62亿
非流动负债
长期借款与租赁负债 -86.74%1,512.7万-86.97%1,478.6万-86.97%1,478.6万2.14%1.16亿2.77%1.16亿3.63%1.14亿3.28%1.13亿3.28%1.13亿21.16%1.13亿23.54%1.13亿
-长期借款 -88.23%1,328.8万-88.22%1,319.9万-88.22%1,319.9万1.87%1.13亿2.40%1.13亿4.84%1.13亿4.56%1.12亿4.56%1.12亿23.15%1.11亿23.36%1.11亿
-长期租赁负债 49.51%183.9万10.59%158.7万10.59%158.7万18.17%222.6万23.24%241.5万-49.67%123万-47.09%143.5万-47.09%143.5万-38.02%188.37万34.62%195.96万
长期应付账款及其他应付款项 14.34%391.4万16.98%371.3万16.98%371.3万8.15%433.7万-29.93%263.6万6,150.21%342.3万2,951.92%317.4万2,951.92%317.4万3,908.06%401.01万--376.21万
应付关联方款项 --730.4万--565.3万--565.3万--------------0--0--------
长期拨备 10.56%753万15.53%707.5万15.53%707.5万180.75%754.3万175.17%713.4万139.04%681.1万67.46%612.4万67.46%612.4万-49.39%268.67万-52.75%259.25万
员工福利 ------------------------322.84%322.88万322.84%322.88万--86.45万----
其他非流动负债 64.09%536.9万65.70%542万65.70%542万98.11%332.7万36.38%345.4万295.45%327.2万--327.1万--327.1万--167.94万--253.27万
非流动负债总额 -69.25%3,924.4万-70.92%3,664.7万-70.92%3,664.7万6.85%1.31亿6.13%1.29亿12.09%1.28亿10.93%1.26亿10.93%1.26亿21.74%1.22亿23.89%1.21亿
负债总额 4.43%2.53亿1.00%2.37亿1.00%2.37亿-0.16%2.59亿-13.97%2.44亿-12.94%2.42亿14.02%2.35亿14.02%2.35亿49.20%2.59亿81.83%2.84亿
所有者权益
股本 0.51%3.29亿0.55%3.29亿0.55%3.29亿4.67%3.28亿7.36%3.27亿7.92%3.27亿12.23%3.27亿12.23%3.27亿14.22%3.13亿30.33%3.05亿
-普通股股本 0.51%3.29亿0.55%3.29亿0.55%3.29亿4.67%3.28亿7.36%3.27亿7.92%3.27亿12.23%3.27亿12.23%3.27亿14.22%3.13亿30.33%3.05亿
留存收益 -19.70%-2.66亿-22.11%-2.77亿-22.11%-2.77亿-17.30%-2.53亿-28.60%-2.41亿-24.04%-2.22亿-29.27%-2.27亿-29.27%-2.27亿-33.09%-2.15亿7.60%-1.87亿
不影响留存收益的损益 49.92%-928.6万46.18%-1,399万46.18%-1,399万9.54%-1,144.2万-3.59%-1,373.2万-11,831.74%-1,854.4万-1,795.69%-2,599.5万-1,795.69%-2,599.5万-1,962.84%-1,264.91万-537.87%-1,325.62万
其他股本权益 -4.17%1,909.7万3.69%1,916.7万3.69%1,916.7万-17.78%1,980.3万-23.76%1,976.2万-29.55%1,992.7万-58.45%1,848.5万-58.45%1,848.5万--2,408.59万--2,592.25万
股东权益总额 -31.76%7,239.6万-38.67%5,663万-38.67%5,663万-23.47%8,377万-29.16%9,192.3万-30.17%1.06亿-42.88%9,234万-42.88%9,234万-31.94%1.09亿-1.48%1.3亿
总权益 -31.76%7,239.6万-38.67%5,663万-38.67%5,663万-23.47%8,377万-29.16%9,192.3万-30.17%1.06亿-42.88%9,234万-42.88%9,234万-31.94%1.09亿-1.48%1.3亿
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 --无保留意见--------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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