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nasdaq-cdtg
/
CDT Environmental Technology Investment Holdings Ltd
CDTG
0.700
USD
+0.019
+2.79%
Horarios del mercado (ET)
Cotizaciones retrasadas 15 min
USD
0.000
Pre-mercado (ET)
7.58M
Cap. mercado
--
P/E TTM
CDT Environmental Technology Investment Holdings Ltd
0.700
+0.019
+2.79%
Descripción general
Compañía
Finanzas
Informes
Cuenta de resultados
Balance general
Estado de flujo de efectivo
Descripción general
Compañía
Finanzas
Informes
Cuenta de resultados
Balance general
Estado de flujo de efectivo
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2024Q4
FY2024Q2
FY2023Q4
FY2023Q2
FY2022Q4
FY2022Q2
FY2021Q4
FY2021Q2
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
-53.61%
124.38K
-80.40%
96.32K
34.14%
268.10K
11.27%
491.46K
-81.71%
199.86K
67.26%
441.69K
--
1.09M
--
264.07K
Efectivo y equivalentes de efectivo
-53.61%
124.38K
-80.40%
96.32K
34.14%
268.10K
11.27%
491.46K
-81.71%
199.86K
67.26%
441.69K
--
1.09M
--
264.07K
Por cobrar
20.79%
77.17M
86.16%
71.39M
70.52%
63.89M
13.07%
38.35M
21.22%
37.47M
138.41%
33.92M
--
30.91M
--
14.23M
-Cuentas y pagarés por cobrar
55.41%
45.19M
115.93%
41.32M
44.73%
29.08M
58.17%
19.14M
36.94%
20.09M
37.43%
12.10M
--
14.67M
--
8.80M
-Préstamos por cobrar
--
--
--
--
-100.00%
0.00
-37.31%
37.37K
-8.46%
57.43K
-10.76%
59.60K
--
62.74K
--
66.78K
-Otros por cobrar
-8.12%
31.99M
56.82%
30.07M
101.01%
34.81M
-11.87%
19.18M
7.09%
17.32M
306.21%
21.76M
--
16.17M
--
5.36M
Gastos prepago
-30.41%
405.14K
-76.68%
461.75K
-75.28%
582.15K
-52.28%
1.98M
-37.39%
2.35M
-5.67%
4.15M
--
3.76M
--
4.40M
Otros activos corrientes
--
--
--
--
-100.00%
0.00
-99.65%
7.00K
-47.66%
945.39K
-40.80%
1.99M
--
1.81M
--
3.36M
Total de activos corrientes
20.02%
77.70M
76.22%
71.95M
58.03%
64.74M
0.81%
40.83M
9.05%
40.97M
81.99%
40.50M
--
37.57M
--
22.25M
Activos no corrientes
Activos fijos netos
-32.23%
1.29M
-29.61%
1.45M
-24.01%
1.91M
-23.29%
2.06M
-11.04%
2.51M
-9.20%
2.68M
--
2.82M
--
2.95M
-Activos fijos
-28.26%
3.13M
--
--
-14.09%
4.37M
-15.57%
4.35M
-4.46%
5.08M
-1.79%
5.15M
--
5.32M
--
5.24M
-Depreciación acumulada
-25.18%
1.84M
--
--
-4.43%
2.46M
-7.18%
2.29M
2.96%
2.57M
7.76%
2.47M
--
2.50M
--
2.29M
Fondo de comercio y otros activos intangibles
-65.68%
5.63K
-48.44%
10.99K
-41.78%
16.40K
18.72%
21.31K
171.25%
28.16K
16.04%
17.95K
--
10.38K
--
15.47K
Gastos prepago a largo plazo
-100.00%
0.00
--
--
18.69%
989.63K
--
944.90K
81.77%
833.82K
--
--
--
458.72K
--
476.00K
Otros activos no actuales
45.57%
1.81M
-73.06%
369.41K
9.16%
1.24M
20.13%
1.37M
37.73%
1.14M
3.64%
1.14M
--
826.46K
--
1.10M
Total de activos no actuales
44.80%
11.66M
-52.31%
7.31M
-37.80%
8.05M
299.32%
15.34M
251.17%
12.94M
-5.86%
3.84M
--
3.69M
--
4.08M
Total de activos
22.76%
89.36M
41.12%
79.26M
35.02%
72.79M
26.67%
56.17M
30.68%
53.91M
68.38%
44.34M
--
41.25M
--
26.33M
Pasivos
Pasivos corrientes
-Otros por pagar
-19.83%
1.64M
-87.53%
241.41K
8.19%
2.04M
13.39%
1.94M
5.90%
1.89M
2.60%
1.71M
--
1.78M
--
1.66M
Gastos acumulados
21.01%
839.09K
--
--
-14.23%
693.40K
-12.67%
622.38K
-1.37%
808.41K
0.71%
712.71K
--
819.64K
--
707.71K
Deuda a corto plazo y pasivos por arrendamiento
-35.37%
5.45M
-21.96%
5.36M
52.40%
8.43M
113.81%
6.86M
190.77%
5.53M
50.72%
3.21M
--
1.90M
--
2.13M
-Deuda a corto plazo
-35.37%
5.45M
-21.96%
5.36M
52.40%
8.43M
113.81%
6.86M
190.77%
5.53M
50.72%
3.21M
--
1.90M
--
2.13M
Pasivos diferidos
-1.42%
28.03K
3.97%
28.25K
-2.62%
28.43K
1.51%
27.18K
3.61%
29.20K
-9.47%
26.77K
--
28.18K
--
29.57K
Otros pasivos corrientes
-19.57%
1.67M
-86.26%
269.66K
8.02%
2.07M
13.21%
1.96M
5.86%
1.92M
2.39%
1.73M
--
1.81M
--
1.69M
Total pasivos corrientes
27.61%
51.71M
40.89%
41.68M
44.36%
40.52M
32.87%
29.58M
49.90%
28.07M
104.41%
22.27M
--
18.73M
--
10.89M
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
15.38%
213.97K
-63.82%
81.45K
-34.09%
185.44K
-10.88%
225.13K
107.66%
281.36K
--
252.63K
--
135.49K
--
0.00
-Deuda a largo plazo
169.27%
213.97K
17.23%
79.46K
66.03%
79.46K
-26.51%
67.78K
-64.68%
47.86K
--
92.24K
--
135.49K
--
--
-Pasivos por arrendamiento a largo plazo
-100.00%
0.00
-98.74%
1.99K
-54.61%
105.98K
-1.90%
157.35K
--
233.50K
--
160.39K
--
0.00
--
--
Total pasivos no corrientes
15.38%
213.97K
-63.82%
81.45K
-34.09%
185.44K
-10.88%
225.13K
107.66%
281.36K
--
252.63K
--
135.49K
--
--
Total pasivos
27.56%
51.92M
40.10%
41.76M
43.58%
40.71M
32.38%
29.81M
50.31%
28.35M
106.73%
22.52M
--
18.86M
--
10.89M
Capital de los accionistas
Capital ordinario
55.23%
11.61M
56.57%
11.71M
0.00%
7.48M
0.00%
7.48M
0.00%
7.48M
0.00%
7.48M
--
7.48M
--
7.48M
Ganancias retenidas
5.50%
27.89M
32.55%
27.90M
39.00%
26.44M
49.53%
21.05M
43.68%
19.02M
112.36%
14.08M
--
13.24M
--
6.63M
Reservas de capital
55.35%
11.58M
56.69%
11.68M
0.00%
7.45M
0.00%
7.45M
0.00%
7.45M
0.00%
7.45M
--
7.45M
--
7.45M
Pérdidas de ganancias que no afectan a las ganancias retenidas
-10.03%
-2.21M
9.96%
-2.26M
-34.80%
-2.01M
-356.53%
-2.51M
-366.30%
-1.49M
-252.17%
-548.88K
--
559.75K
--
360.70K
Intereses no controladores
-15.97%
154.28K
-56.37%
145.71K
-66.99%
183.60K
-59.08%
333.94K
-50.35%
556.17K
-16.29%
816.01K
--
1.12M
--
974.82K
Capital total
16.68%
37.44M
42.28%
37.50M
25.53%
32.09M
20.78%
26.36M
14.15%
25.56M
41.32%
21.82M
--
22.39M
--
15.44M
Unidad monetaria
USD
USD
USD
USD
USD
USD
USD
USD
Opiniones de evaluación
--
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