KDOZF 最新10-Q变化
将 KDOZF 最新的定期申报(10-K/10-Q)与上一份同类型申报逐章节对比:每个章节新增/删除的段落数与原文摘录。全部为确定性文本对比——无相似度评分、无方向判断、非投资建议。
对比:10-Q · 2022-11-14 与上一份 10-Q · 2022-08-15
| 章节 | 结果 | 新增 | 删除 | 微调 | 未变 |
|---|---|---|---|---|---|
| 管理层讨论与分析 | 文字有新增/删除 | +4 | −3 | ~16 | 47 |
| 控制与程序 | 文字有新增/删除 | 0 | 0 | ~1 | 2 |
| 法律诉讼 | 文字有新增/删除 | 0 | 0 | ~1 | 0 |
计数单位为段落;"新增/删除"指相对上一份文件新增/删除的文字,不含方向或好坏判断。
未列出(无法可靠提取或缺失):市场风险(第3项)、风险因素、其他信息
代表性摘录
每个章节最多 5 条、每条约 300 字符的原文摘录,直接来自两份 SEC 文件。
管理层讨论与分析
相对上期新增的文字 · 来源:10-Q · 2022-11-14
Furthermore, while the focus of the Company is the development and expansion of the Kidoz Safe Ad Network, we are developing our technology to expand into new markets, increase the scope of our market to include teens and families in a safe and secure manner either through new connections to the wid…
The net loss after taxation for the quarter ended September 30, 2022, amounted to ($313,774), a loss of ($0.00) per share, compared to a net loss of ($75,040) or ($0.00) per share in the third quarter of fiscal 2021 and compared to a net loss of ($721,677) or ($0.01) per share in the second quarter …
During the nine months ended September 30, 2022, we used cash in investing activities of ($12,991) compared to cash used in investing activities of ($78) in the same period in the prior year.
Net cash used in financing activities was ($27,556) in the nine months ended September 30, 2022. This compares to cash provided by financing activities of $9,288 in the same period in the prior year.
相对上期删除的文字 · 来源:10-Q · 2022-08-15
Furthermore, while the focus of the Company is the development and expansion of the Kidoz Safe Ad Network, we are developing our technology to expand into new markets, increase the scope of our market to include teens and families in a safe and secure manner either through new connections to the wid…
The net loss after taxation for the quarter ended June 30, 2022, amounted to ($721,677), a loss of ($0.01) per share, compared to a net loss of ($545,077) or ($0.00) per share in the second quarter of fiscal 2021 and compared to a net loss of ($731,042) or ($0.01) per share in the first quarter of f…
Net cash used in financing activities was ($16,815) in the six months ended June 30, 2022. This compares to cash provided by financing activities of $19,331 in the same period in the prior year.
如何读 10-Q 的风险因素(第 1A 项)
10-Q 的风险因素章节有三种常见形态,本页按其一分类展示:
- 指向(pointer) — 公司仅声明"无重大变化"并指向年度 10-K 的完整风险因素;本季没有自己的风险文本可对比。
- 部分更新(partial) — 公司写明"除下述外无重大变化",只更新部分风险;摘录展示的正是本季新增的内容。
- 全文重述(restated) — 本季重新给出完整风险因素。若上一季只是"指向",则无法逐段对比,本页会将其标为"本季全文重述"。
这只是对文件结构的客观描述,不构成对风险高低的判断。
数据来自 SEC EDGAR 两份申报文件的文本级对比 · 确定性计算(无 AI 生成内容)· 仅供参考 · 非投资建议