滬深市場個股詳情

金字火腿 (002515)

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  • 6.22
  • -0.07-1.11%
休市中 01/23 15:00 (北京)
75.30億總市值138.22市盈率TTM

金字火腿 (002515) 資產負債表

全部
顯示同比 yoy
隱藏空行 yoy
(Q9)2025/09/30
(Q6)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q9)2024/09/30
(Q6)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q9)2023/09/30
(Q6)2023/06/30
資產
流動資產
貨幣資金
13.65%14.82億
21.23%15.93億
20.00%17億
36.53%17.28億
-15.37%13.04億
149.43%13.14億
136.30%14.16億
109.21%12.66億
139.32%15.41億
17.59%5.27億
應收票據及應收賬款
4.26%2,451.03萬
-30.54%1,481.62萬
-8.99%2,670.93萬
28.96%3,652.35萬
16.27%2,350.98萬
25.71%2,133萬
34.44%2,934.73萬
39.07%2,832.05萬
10.73%2,021.99萬
-64.21%1,696.82萬
-應收賬款
4.26%2,451.03萬
-30.54%1,481.62萬
-8.99%2,670.93萬
28.96%3,652.35萬
16.27%2,350.98萬
25.71%2,133萬
34.44%2,934.73萬
39.07%2,832.05萬
10.73%2,021.99萬
-64.21%1,696.82萬
其他應收款(含利息和股利)
1.42%188.44萬
11.38%199.54萬
-2.72%161.16萬
-33.04%147.58萬
-23.56%185.79萬
-11.34%179.16萬
-37.02%165.67萬
-8.40%220.4萬
-15.07%243.06萬
-25.20%202.07萬
-其他應收款
----
11.38%199.54萬
----
----
----
-11.34%179.16萬
----
-8.40%220.4萬
----
-25.20%202.07萬
預付款項
415.28%1,938.93萬
57.06%1,021.24萬
157.55%563萬
12.04%199.92萬
91.50%376.29萬
93.88%650.24萬
-43.54%218.6萬
17.83%178.43萬
-22.49%196.5萬
53.31%335.39萬
存貨
21.22%2.86億
11.39%2.78億
-12.90%2.27億
-28.67%2.32億
-33.32%2.36億
-28.06%2.49億
-22.53%2.6億
-8.35%3.26億
-15.10%3.54億
-22.09%3.47億
一年內到期的非流動資產
----
----
----
----
----
----
----
----
0.00%9,500萬
0.00%9,500萬
其他流動資產
158.44%1,214.95萬
280.16%933.1萬
-11.45%1,228.22萬
-15.12%891.26萬
-46.52%470.1萬
-68.13%245.45萬
481.98%1,387.03萬
46.48%1,049.98萬
389.42%879.09萬
353.82%770.19萬
流動資產合計
16.03%18.26億
19.54%19.07億
14.44%19.73億
22.95%20.09億
-22.21%15.73億
59.77%15.95億
62.43%17.24億
50.37%16.34億
71.29%20.23億
-4.17%9.99億
非流動資產
其他非流動金融資產
--300萬
----
----
----
----
----
----
----
----
----
投資性房地產
-9.67%5,537.39萬
-17.42%5,594.32萬
-22.22%5,651.25萬
-22.31%5,703.27萬
-22.13%6,130.45萬
-14.83%6,774.37萬
-20.82%7,266.09萬
-20.79%7,341.2萬
-14.69%7,873.12萬
-12.70%7,954.09萬
長期股權投資
----
----
----
----
--3.98億
--4.01億
--4億
--4.02億
----
----
固定資產
----
-3.48%2.16億
----
----
----
-6.51%2.24億
----
-2.12%2.34億
----
-4.61%2.39億
在建工程
----
47.82%4.21億
----
----
----
69.75%2.85億
----
167.52%2.23億
----
693.86%1.68億
無形資產
-2.86%6,023.65萬
-2.85%6,067.81萬
-2.85%6,111.96萬
-2.84%6,156.11萬
-2.82%6,200.92萬
-2.81%6,245.96萬
-1.61%6,291萬
-1.57%6,336.03萬
-1.53%6,381.07萬
-1.48%6,426.74萬
長期待攤費用
----
----
----
----
----
-85.71%1.55萬
-70.59%3.88萬
-58.75%6.2萬
-50.88%8.53萬
-44.87%10.85萬
遞延所得稅資產
-4.34%1,364.72萬
-4.20%1,357.35萬
-7.13%1,407.45萬
-12.12%1,468.74萬
-14.50%1,426.6萬
-14.47%1,416.8萬
-15.44%1,515.53萬
-13.63%1,671.29萬
2.79%1,668.49萬
-7.63%1,656.42萬
其他非流動資產
13,863.24%5,000萬
----
----
----
-34.07%35.81萬
204.21%37萬
232.74%37萬
--35.53萬
-76.00%54.31萬
-94.69%12.16萬
非流動資產合計
-21.18%8.44億
-27.22%7.67億
-29.46%7.38億
-28.66%7.23億
82.78%10.71億
85.63%10.54億
95.87%10.46億
102.94%10.13億
6.87%5.86億
6.01%5.68億
資產總計
0.96%26.69億
0.94%26.74億
-2.14%27.11億
3.20%27.32億
1.36%26.44億
69.14%26.49億
73.62%27.7億
66.92%26.48億
50.87%26.08億
-0.72%15.66億
負債
流動負債
短期借款
----
----
----
----
----
----
--1億
----
----
----
應付票據及應付帳款
-28.85%808.15萬
27.64%2,210.47萬
-0.01%1,623.41萬
375.78%4,636.97萬
56.34%1,135.85萬
368.63%1,731.78萬
73.74%1,623.51萬
-8.48%974.61萬
17.05%726.54萬
-55.31%369.54萬
-應付帳款
-28.85%808.15萬
27.64%2,210.47萬
-0.01%1,623.41萬
375.78%4,636.97萬
56.34%1,135.85萬
368.63%1,731.78萬
73.74%1,623.51萬
-8.48%974.61萬
17.05%726.54萬
-55.31%369.54萬
合同負債
1.23%1,046.19萬
0.47%771.37萬
-7.45%859.32萬
21.46%1,279.86萬
25.55%1,033.43萬
-4.90%767.78萬
-31.40%928.54萬
-16.74%1,053.75萬
-45.67%823.1萬
-53.12%807.37萬
預收款項
38.01%173.79萬
-16.86%301.4萬
-18.08%531.91萬
-6.13%763.96萬
-28.15%125.93萬
1.61%362.5萬
12.16%649.28萬
3.14%813.81萬
15.82%175.26萬
26.44%356.74萬
應付職工薪酬
24.50%459.33萬
9.08%388.5萬
5.56%388.81萬
6.22%980.28萬
1.26%368.93萬
2.01%356.17萬
-8.55%368.34萬
-1.51%922.9萬
37.84%364.35萬
33.72%349.17萬
應交稅費
-30.59%452.69萬
-19.28%442.21萬
-21.95%455.19萬
-11.98%799.04萬
97.95%652.24萬
89.02%547.84萬
60.85%583.2萬
10.63%907.77萬
-48.72%329.49萬
-33.84%289.83萬
其他應付款(含利息和股利)
-40.14%315.76萬
-22.90%411.65萬
6.70%483.61萬
-12.25%479.21萬
6.84%527.51萬
7.52%533.9萬
4.24%453.22萬
18.62%546.11萬
21.12%493.73萬
52.30%496.55萬
-其他應付款
----
-22.90%411.65萬
----
----
----
7.52%533.9萬
----
18.62%546.11萬
----
52.30%496.55萬
其他流動負債
1.23%94.16萬
0.47%69.42萬
-7.45%77.34萬
28.01%114.78萬
25.55%93.01萬
-4.90%69.1萬
-31.40%83.57萬
-21.14%89.67萬
-45.67%74.08萬
-53.12%72.66萬
流動負債合計
-14.91%3,350.06萬
5.17%4,595.02萬
-69.93%4,419.58萬
70.55%9,054.09萬
31.82%3,936.89萬
59.35%4,369.07萬
250.89%1.47億
-2.62%5,308.61萬
-84.88%2,986.55萬
-86.31%2,741.86萬
非流動負債
長期遞延收益
130.70%2,424.9萬
42.86%1,554.85萬
40.08%1,576.8萬
129.17%1,527.4萬
168.01%1,051.09萬
165.84%1,088.37萬
79.63%1,125.64萬
3.52%666.5萬
-40.68%392.18萬
-39.64%409.41萬
非流動負債合計
130.70%2,424.9萬
42.86%1,554.85萬
40.08%1,576.8萬
129.17%1,527.4萬
168.01%1,051.09萬
165.84%1,088.37萬
79.63%1,125.64萬
3.52%666.5萬
-40.68%392.18萬
-43.79%409.41萬
負債合計
15.78%5,774.96萬
12.69%6,149.87萬
-62.11%5,996.38萬
77.09%1.06億
47.63%4,987.98萬
73.18%5,457.43萬
228.60%1.58億
-1.97%5,975.11萬
-83.45%3,378.73萬
-84.82%3,151.27萬
所有者權益(或股東權益)
實收資本(或股本)
0.00%12.11億
0.00%12.11億
0.00%12.11億
0.00%12.11億
0.00%12.11億
23.75%12.11億
23.75%12.11億
23.75%12.11億
23.75%12.11億
0.00%9.78億
資本公積
0.00%9.67億
0.04%9.67億
0.09%9.67億
0.13%9.67億
0.18%9.67億
509.67%9.67億
514.32%9.66億
519.05%9.66億
523.86%9.66億
-9.67%1.59億
盈餘公積
55.15%7,083.95萬
55.15%7,083.95萬
55.15%7,083.95萬
55.15%7,083.95萬
6.15%4,565.85萬
6.15%4,565.85萬
6.15%4,565.85萬
6.15%4,565.85萬
2.02%4,301.45萬
2.02%4,301.45萬
未分配利潤
-1.94%3.62億
-1.90%3.63億
3.48%4.01億
3.52%3.76億
4.46%3.69億
4.85%3.7億
5.63%3.87億
5.17%3.63億
0.94%3.53億
2.17%3.53億
歸屬母公司所有者權益合計
0.70%26.11億
0.72%26.12億
1.51%26.49億
1.52%26.25億
0.78%25.93億
69.19%25.93億
68.91%26.1億
69.79%25.86億
68.66%25.73億
11.88%15.33億
少數股東權益
-31.06%101.78萬
-41.68%98.84萬
-28.88%127.59萬
-28.39%146.59萬
-29.72%147.63萬
-21.82%169.49萬
-13.80%179.4萬
-8.60%204.7萬
549.58%210.07萬
1,031.51%216.79萬
所有者權益(或股東權益)合計
0.68%26.12億
0.69%26.13億
1.49%26.51億
1.49%26.26億
0.76%25.94億
69.06%25.95億
68.80%26.12億
69.67%25.88億
68.85%25.75億
12.02%15.35億
負債和所有者權益(或股東權益)總計
0.96%26.69億
0.94%26.74億
-2.14%27.11億
3.20%27.32億
1.36%26.44億
69.14%26.49億
73.62%27.7億
66.92%26.48億
50.87%26.08億
-0.72%15.66億
貨幣單位
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
會計準則
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
審計意見
--
--
--
無保留意見
--
--
--
無保留意見
--
--
會計師事務所
--
--
--
天健會計師事務所(特殊普通合夥)
--
--
--
天健會計師事務所(特殊普通合夥)
--
--
(Q9)2025/09/30(Q6)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q9)2024/09/30(Q6)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q9)2023/09/30(Q6)2023/06/30
資產
流動資產
貨幣資金 13.65%14.82億21.23%15.93億20.00%17億36.53%17.28億-15.37%13.04億149.43%13.14億136.30%14.16億109.21%12.66億139.32%15.41億17.59%5.27億
應收票據及應收賬款 4.26%2,451.03萬-30.54%1,481.62萬-8.99%2,670.93萬28.96%3,652.35萬16.27%2,350.98萬25.71%2,133萬34.44%2,934.73萬39.07%2,832.05萬10.73%2,021.99萬-64.21%1,696.82萬
-應收賬款 4.26%2,451.03萬-30.54%1,481.62萬-8.99%2,670.93萬28.96%3,652.35萬16.27%2,350.98萬25.71%2,133萬34.44%2,934.73萬39.07%2,832.05萬10.73%2,021.99萬-64.21%1,696.82萬
其他應收款(含利息和股利) 1.42%188.44萬11.38%199.54萬-2.72%161.16萬-33.04%147.58萬-23.56%185.79萬-11.34%179.16萬-37.02%165.67萬-8.40%220.4萬-15.07%243.06萬-25.20%202.07萬
-其他應收款 ----11.38%199.54萬-------------11.34%179.16萬-----8.40%220.4萬-----25.20%202.07萬
預付款項 415.28%1,938.93萬57.06%1,021.24萬157.55%563萬12.04%199.92萬91.50%376.29萬93.88%650.24萬-43.54%218.6萬17.83%178.43萬-22.49%196.5萬53.31%335.39萬
存貨 21.22%2.86億11.39%2.78億-12.90%2.27億-28.67%2.32億-33.32%2.36億-28.06%2.49億-22.53%2.6億-8.35%3.26億-15.10%3.54億-22.09%3.47億
一年內到期的非流動資產 --------------------------------0.00%9,500萬0.00%9,500萬
其他流動資產 158.44%1,214.95萬280.16%933.1萬-11.45%1,228.22萬-15.12%891.26萬-46.52%470.1萬-68.13%245.45萬481.98%1,387.03萬46.48%1,049.98萬389.42%879.09萬353.82%770.19萬
流動資產合計 16.03%18.26億19.54%19.07億14.44%19.73億22.95%20.09億-22.21%15.73億59.77%15.95億62.43%17.24億50.37%16.34億71.29%20.23億-4.17%9.99億
非流動資產
其他非流動金融資產 --300萬------------------------------------
投資性房地產 -9.67%5,537.39萬-17.42%5,594.32萬-22.22%5,651.25萬-22.31%5,703.27萬-22.13%6,130.45萬-14.83%6,774.37萬-20.82%7,266.09萬-20.79%7,341.2萬-14.69%7,873.12萬-12.70%7,954.09萬
長期股權投資 ------------------3.98億--4.01億--4億--4.02億--------
固定資產 -----3.48%2.16億-------------6.51%2.24億-----2.12%2.34億-----4.61%2.39億
在建工程 ----47.82%4.21億------------69.75%2.85億----167.52%2.23億----693.86%1.68億
無形資產 -2.86%6,023.65萬-2.85%6,067.81萬-2.85%6,111.96萬-2.84%6,156.11萬-2.82%6,200.92萬-2.81%6,245.96萬-1.61%6,291萬-1.57%6,336.03萬-1.53%6,381.07萬-1.48%6,426.74萬
長期待攤費用 ---------------------85.71%1.55萬-70.59%3.88萬-58.75%6.2萬-50.88%8.53萬-44.87%10.85萬
遞延所得稅資產 -4.34%1,364.72萬-4.20%1,357.35萬-7.13%1,407.45萬-12.12%1,468.74萬-14.50%1,426.6萬-14.47%1,416.8萬-15.44%1,515.53萬-13.63%1,671.29萬2.79%1,668.49萬-7.63%1,656.42萬
其他非流動資產 13,863.24%5,000萬-------------34.07%35.81萬204.21%37萬232.74%37萬--35.53萬-76.00%54.31萬-94.69%12.16萬
非流動資產合計 -21.18%8.44億-27.22%7.67億-29.46%7.38億-28.66%7.23億82.78%10.71億85.63%10.54億95.87%10.46億102.94%10.13億6.87%5.86億6.01%5.68億
資產總計 0.96%26.69億0.94%26.74億-2.14%27.11億3.20%27.32億1.36%26.44億69.14%26.49億73.62%27.7億66.92%26.48億50.87%26.08億-0.72%15.66億
負債
流動負債
短期借款 --------------------------1億------------
應付票據及應付帳款 -28.85%808.15萬27.64%2,210.47萬-0.01%1,623.41萬375.78%4,636.97萬56.34%1,135.85萬368.63%1,731.78萬73.74%1,623.51萬-8.48%974.61萬17.05%726.54萬-55.31%369.54萬
-應付帳款 -28.85%808.15萬27.64%2,210.47萬-0.01%1,623.41萬375.78%4,636.97萬56.34%1,135.85萬368.63%1,731.78萬73.74%1,623.51萬-8.48%974.61萬17.05%726.54萬-55.31%369.54萬
合同負債 1.23%1,046.19萬0.47%771.37萬-7.45%859.32萬21.46%1,279.86萬25.55%1,033.43萬-4.90%767.78萬-31.40%928.54萬-16.74%1,053.75萬-45.67%823.1萬-53.12%807.37萬
預收款項 38.01%173.79萬-16.86%301.4萬-18.08%531.91萬-6.13%763.96萬-28.15%125.93萬1.61%362.5萬12.16%649.28萬3.14%813.81萬15.82%175.26萬26.44%356.74萬
應付職工薪酬 24.50%459.33萬9.08%388.5萬5.56%388.81萬6.22%980.28萬1.26%368.93萬2.01%356.17萬-8.55%368.34萬-1.51%922.9萬37.84%364.35萬33.72%349.17萬
應交稅費 -30.59%452.69萬-19.28%442.21萬-21.95%455.19萬-11.98%799.04萬97.95%652.24萬89.02%547.84萬60.85%583.2萬10.63%907.77萬-48.72%329.49萬-33.84%289.83萬
其他應付款(含利息和股利) -40.14%315.76萬-22.90%411.65萬6.70%483.61萬-12.25%479.21萬6.84%527.51萬7.52%533.9萬4.24%453.22萬18.62%546.11萬21.12%493.73萬52.30%496.55萬
-其他應付款 -----22.90%411.65萬------------7.52%533.9萬----18.62%546.11萬----52.30%496.55萬
其他流動負債 1.23%94.16萬0.47%69.42萬-7.45%77.34萬28.01%114.78萬25.55%93.01萬-4.90%69.1萬-31.40%83.57萬-21.14%89.67萬-45.67%74.08萬-53.12%72.66萬
流動負債合計 -14.91%3,350.06萬5.17%4,595.02萬-69.93%4,419.58萬70.55%9,054.09萬31.82%3,936.89萬59.35%4,369.07萬250.89%1.47億-2.62%5,308.61萬-84.88%2,986.55萬-86.31%2,741.86萬
非流動負債
長期遞延收益 130.70%2,424.9萬42.86%1,554.85萬40.08%1,576.8萬129.17%1,527.4萬168.01%1,051.09萬165.84%1,088.37萬79.63%1,125.64萬3.52%666.5萬-40.68%392.18萬-39.64%409.41萬
非流動負債合計 130.70%2,424.9萬42.86%1,554.85萬40.08%1,576.8萬129.17%1,527.4萬168.01%1,051.09萬165.84%1,088.37萬79.63%1,125.64萬3.52%666.5萬-40.68%392.18萬-43.79%409.41萬
負債合計 15.78%5,774.96萬12.69%6,149.87萬-62.11%5,996.38萬77.09%1.06億47.63%4,987.98萬73.18%5,457.43萬228.60%1.58億-1.97%5,975.11萬-83.45%3,378.73萬-84.82%3,151.27萬
所有者權益(或股東權益)
實收資本(或股本) 0.00%12.11億0.00%12.11億0.00%12.11億0.00%12.11億0.00%12.11億23.75%12.11億23.75%12.11億23.75%12.11億23.75%12.11億0.00%9.78億
資本公積 0.00%9.67億0.04%9.67億0.09%9.67億0.13%9.67億0.18%9.67億509.67%9.67億514.32%9.66億519.05%9.66億523.86%9.66億-9.67%1.59億
盈餘公積 55.15%7,083.95萬55.15%7,083.95萬55.15%7,083.95萬55.15%7,083.95萬6.15%4,565.85萬6.15%4,565.85萬6.15%4,565.85萬6.15%4,565.85萬2.02%4,301.45萬2.02%4,301.45萬
未分配利潤 -1.94%3.62億-1.90%3.63億3.48%4.01億3.52%3.76億4.46%3.69億4.85%3.7億5.63%3.87億5.17%3.63億0.94%3.53億2.17%3.53億
歸屬母公司所有者權益合計 0.70%26.11億0.72%26.12億1.51%26.49億1.52%26.25億0.78%25.93億69.19%25.93億68.91%26.1億69.79%25.86億68.66%25.73億11.88%15.33億
少數股東權益 -31.06%101.78萬-41.68%98.84萬-28.88%127.59萬-28.39%146.59萬-29.72%147.63萬-21.82%169.49萬-13.80%179.4萬-8.60%204.7萬549.58%210.07萬1,031.51%216.79萬
所有者權益(或股東權益)合計 0.68%26.12億0.69%26.13億1.49%26.51億1.49%26.26億0.76%25.94億69.06%25.95億68.80%26.12億69.67%25.88億68.85%25.75億12.02%15.35億
負債和所有者權益(或股東權益)總計 0.96%26.69億0.94%26.74億-2.14%27.11億3.20%27.32億1.36%26.44億69.14%26.49億73.62%27.7億66.92%26.48億50.87%26.08億-0.72%15.66億
貨幣單位 人民幣人民幣人民幣人民幣人民幣人民幣人民幣人民幣人民幣人民幣
會計準則 新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)
審計意見 ------無保留意見------無保留意見----
會計師事務所 ------天健會計師事務所(特殊普通合夥)------天健會計師事務所(特殊普通合夥)----

FY:Financial Year 年度報告,相當於上市公司向SEC披露的10-K文件。

Q:Quarter 季度報告,相當於上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4為單季報,跨度為3個月;Q6、Q9為累計季報,Q6為6個月,Q9為9個月。

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