港股市場個股詳情

SIS INT'L (00529)

添加自選
  • 2.110
  • 0.0000.00%
已收盤 01/23 09:00 (北京)
5.87億總市值3.02市盈率TTM

SIS INT'L (00529) 資產負債表

全部
顯示同比 yoy
隱藏空行 yoy
(Q6)2025/06/30
(FY)2024/12/31
(Q6)2024/06/30
(FY)2023/12/31
(Q6)2023/06/30
(FY)2022/12/31
(Q6)2022/06/30
(FY)2021/12/31
(Q6)2021/06/30
(FY)2020/12/31
資產
流動資產
存貨
29.58%10.6億
-5.16%7.87億
-12.08%8.18億
-21.87%8.3億
-8.66%9.31億
-21.86%10.62億
23.72%10.19億
105.42%13.59億
25.40%8.24億
-19.77%6.62億
應收賬款
6.81%15.53億
1.54%16.25億
-9.60%14.54億
6.42%16.01億
10.51%16.08億
-4.55%15.04億
7.25%14.55億
12.87%15.76億
12.12%13.57億
17.51%13.96億
應收關聯方款項
-3.89%24.7萬
-9.06%25.1萬
-8.21%25.7萬
-5.48%27.6萬
-13.58%28萬
-17.75%29.2萬
-8.22%32.4萬
0.57%35.5萬
0.00%35.3萬
-0.56%35.3萬
預繳及應收稅項
-86.46%23.6萬
-87.92%44.9萬
-67.52%174.3萬
-28.40%371.8萬
1,428.77%536.6萬
900.58%519.3萬
3,410.00%35.1萬
843.64%51.9萬
-92.25%1萬
-50.89%5.5萬
現金及等價物
22.04%12.71億
19.52%11.49億
12.22%10.42億
11.49%9.61億
13.72%9.28億
-11.72%8.62億
-11.27%8.16億
22.81%9.77億
5.42%9.2億
19.01%7.95億
已抵押存款
-4.68%2.96億
-10.31%2.9億
-1.49%3.1億
4.94%3.23億
-7.66%3.15億
-9.59%3.08億
-21.91%3.41億
-24.41%3.41億
-4.35%4.37億
-0.89%4.51億
按公平值入損益金融資產-流動資產
16.55%2,291.8萬
-64.58%3,112.7萬
-78.06%1,966.4萬
1.70%8,789萬
13.47%8,960.6萬
269.80%8,641.9萬
377.99%7,896.8萬
38.27%2,336.9萬
18.28%1,652.1萬
17.68%1,690.1萬
衍生金融工具-流動資產
----
----
-86.80%36.9萬
----
4.84%279.5萬
----
10.48%266.6萬
--39.4萬
35.18%241.3萬
----
流動資產特殊專案
----
----
----
----
--7,154.4萬
----
----
----
----
----
流動資產合計
15.29%42.03億
2.00%38.83億
-7.73%36.46億
-0.56%38.07億
6.40%39.52億
-10.49%38.29億
4.42%37.14億
28.79%42.77億
10.70%35.56億
5.41%33.21億
非流動資產
物業廠房及設備
6.76%6.76億
-0.04%6.44億
-7.76%6.34億
-4.33%6.44億
15.48%6.87億
3.68%6.73億
-11.18%5.95億
-7.67%6.49億
25.92%6.7億
36.69%7.03億
投資物業
4.95%32.35億
-8.04%31.05億
-10.07%30.82億
-10.31%33.77億
-9.60%34.28億
-8.41%37.65億
-10.14%37.91億
-7.67%41.11億
-8.55%42.19億
-11.03%44.52億
聯營公司權益
5.18%1億
0.88%9,800.9萬
0.92%9,533.4萬
2.50%9,715.8萬
-6.20%9,446.1萬
-9.80%9,478.8萬
-12.24%1.01億
-7.26%1.05億
4.74%1.15億
4.73%1.13億
按公平值入損益金融資產-非流動資產
31.75%5.18億
33.13%4.4億
--3.93億
75.45%3.31億
----
--1.88億
----
----
----
----
商譽
0.00%1.26億
0.00%1.26億
0.00%1.26億
0.00%1.26億
0.00%1.26億
0.00%1.26億
0.00%1.26億
0.00%1.26億
0.00%1.26億
0.00%1.26億
遞延稅項資產
30.43%1.04億
3.00%9,153萬
-8.57%7,961.8萬
10.04%8,886.4萬
9.55%8,707.9萬
-9.65%8,075.3萬
-0.21%7,948.8萬
6.08%8,938.2萬
14.09%7,965.8萬
7.24%8,425.7萬
其他非流動資產
38.65%865.3萬
10.35%746.5萬
-12.20%624.1萬
-4.41%676.5萬
-72.68%710.8萬
-43.67%707.7萬
103.53%2,601.7萬
17.29%1,256.4萬
14.90%1,278.3萬
-31.24%1,071.2萬
非流動資產特殊專案
55.10%3,247.9萬
-38.06%2,887.3萬
-90.82%2,094.1萬
--4,661.4萬
58.43%2.28億
----
-33.07%1.44億
2.77%1.88億
55.11%2.15億
3.61%1.83億
非流動資產合計
8.73%49.07億
-3.07%46.47億
-4.94%45.13億
-4.34%47.94億
-3.71%47.47億
-6.51%50.12億
-11.30%49.31億
-7.55%53.61億
-3.05%55.59億
-6.15%57.98億
總資產
11.66%91.1億
-0.83%85.3億
-6.21%81.59億
-2.71%86.01億
0.63%86.99億
-8.27%88.4億
-5.17%86.44億
5.68%96.38億
1.89%91.15億
-2.25%91.2億
負債
流動負債
應付帳款
20.32%12.9億
7.47%10.95億
6.77%10.72億
9.61%10.19億
4.36%10.04億
-21.25%9.29億
-6.98%9.62億
20.84%11.8億
14.53%10.34億
20.55%9.77億
應付稅項
58.42%2,814.2萬
-18.86%2,535萬
-41.39%1,776.4萬
27.61%3,124.3萬
-22.30%3,030.9萬
-52.59%2,448.3萬
-29.06%3,900.8萬
50.06%5,164.4萬
110.03%5,498.7萬
45.24%3,441.6萬
應付股利
0.00%555.9萬
----
0.00%555.9萬
----
0.00%555.9萬
----
--555.9萬
----
----
----
應付關連方款項-流動負債
16.67%2.1萬
-5.00%1.9萬
-98.82%1.8萬
5.26%2萬
7,894.74%151.9萬
-5.00%1.9萬
-84.92%1.9萬
-67.74%2萬
-98.75%12.6萬
-95.51%6.2萬
預收款項
37.26%1,495.7萬
-23.21%895.4萬
-9.60%1,089.7萬
-9.15%1,166萬
10.46%1,205.4萬
-22.28%1,283.5萬
-49.28%1,091.3萬
-10.87%1,651.5萬
-4.32%2,151.5萬
-46.47%1,853萬
銀行貸款及透支
30.85%24.73億
-20.93%18.93億
-27.66%18.9億
-6.09%23.94億
5.56%26.12億
-6.82%25.5億
-15.76%24.75億
5.37%27.36億
19.52%29.37億
5.03%25.97億
衍生金融工具-流動負債
--1,098.5萬
215.11%1,134.4萬
----
-69.54%360萬
----
--1,181.7萬
----
----
----
113.13%207.8萬
融資租賃負債-流動負債
12.10%2,011.6萬
7.20%2,045.3萬
1.32%1,794.4萬
21.90%1,907.9萬
19.86%1,771.1萬
-3.60%1,565.1萬
-14.93%1,477.7萬
-10.58%1,623.5萬
2.88%1,737.1萬
-1.05%1,815.6萬
流動負債特殊專案
61.74%5,383.5萬
-92.90%268.2萬
42.97%3,328.5萬
-38.13%3,778.5萬
-60.54%2,328.1萬
3,507.09%6,106.8萬
-17.94%5,899.7萬
-97.80%169.3萬
3,545.94%7,189.8萬
2,711.49%7,686.6萬
流動負債調整專案
----
---3萬
----
----
----
----
----
----
----
----
流動負債合計
27.67%39.19億
-12.80%30.79億
-17.50%30.7億
-2.51%35.31億
3.90%37.21億
-9.79%36.22億
-14.14%35.81億
6.88%40.15億
20.28%41.7億
10.93%37.57億
淨流動資產
-50.64%2.85億
191.54%8.04億
149.53%5.76億
33.67%2.76億
73.78%2.31億
-21.25%2.06億
121.66%1.33億
160.13%2.62億
-141.20%-6.14億
-84.44%-4.36億
總資產減流動負債
2.00%51.91億
7.51%54.51億
2.23%50.89億
-2.84%50.7億
-1.68%49.78億
-7.19%52.18億
2.40%50.63億
4.85%56.23億
-9.75%49.45億
-9.75%53.63億
非流動負債
長期銀行貸款
-51.37%3.7億
20.19%7.56億
14.38%7.61億
-25.54%6.29億
-19.39%6.65億
-27.24%8.44億
18.14%8.25億
6.79%11.6億
-43.11%6.98億
-11.91%10.87億
融資租賃負債-非流動負債
116.22%6,311.3萬
72.21%6,802.1萬
-34.48%2,918.9萬
1.89%3,950萬
16.55%4,455.3萬
-20.41%3,876.7萬
-34.16%3,822.5萬
-31.40%4,870.8萬
-27.04%5,806萬
-21.27%7,100.2萬
遞延稅項負債
31.02%1.63億
11.20%1.45億
19.17%1.24億
16.27%1.3億
8.70%1.04億
2.91%1.12億
1.56%9,610萬
-8.54%1.09億
-10.02%9,462.8萬
-41.70%1.19億
可轉換票據及債券
76.54%1.65億
84.74%1.97億
-33.11%9,361.6萬
-38.04%1.07億
-15.80%1.4億
-34.51%1.72億
-18.06%1.66億
21.20%2.63億
-27.45%2.03億
-21.94%2.17億
退休福利責任
36.85%2,700.8萬
21.21%2,299.2萬
-3.86%1,973.5萬
0.75%1,896.9萬
-4.57%2,052.7萬
-7.78%1,882.7萬
9.09%2,151.1萬
7.35%2,041.5萬
-18.86%1,971.8萬
-13.49%1,901.8萬
其他非流動負債
-3.08%1,640.4萬
-19.86%1,591.7萬
-19.51%1,692.6萬
-17.47%1,986.2萬
-17.76%2,102.8萬
-23.66%2,406.5萬
-21.97%2,557萬
-14.43%3,152.2萬
-14.69%3,276.9萬
-27.64%3,683.7萬
非流動負債特殊專案
12.15%7,367.8萬
-4.14%7,080.4萬
-8.19%6,569.7萬
-11.57%7,386.3萬
-11.93%7,156.1萬
-8.58%8,352.7萬
-14.25%8,125.2萬
-10.96%9,136.2萬
-18.24%9,475.9萬
12.87%1.03億
非流動負債合計
-20.87%8.78億
25.29%12.75億
4.05%11.1億
-21.33%10.18億
-14.89%10.67億
-24.97%12.93億
4.39%12.54億
4.37%17.24億
-35.79%12.01億
-16.12%16.52億
總負債
14.78%47.97億
-4.28%43.54億
-12.70%41.8億
-7.46%45.49億
-0.97%47.88億
-14.35%49.16億
-9.99%48.34億
6.11%57.39億
0.64%53.71億
0.98%54.09億
總資產減總負債
8.39%43.13億
3.05%41.76億
1.73%39.79億
3.26%40.53億
2.67%39.11億
0.66%39.25億
1.76%38.1億
5.06%38.99億
3.73%37.44億
-6.60%37.11億
總權益及非流動負債
2.00%51.91億
7.51%54.51億
2.23%50.89億
-2.84%50.7億
-1.68%49.78億
-7.19%52.18億
2.40%50.63億
4.85%56.23億
-9.75%49.45億
-9.75%53.63億
權益
股本
0.00%2,779.7萬
0.00%2,779.7萬
0.00%2,779.7萬
0.00%2,779.7萬
0.00%2,779.7萬
0.00%2,779.7萬
0.00%2,779.7萬
0.00%2,779.7萬
0.00%2,779.7萬
0.00%2,779.7萬
股本溢價
0.00%7,340萬
0.00%7,340萬
0.00%7,340萬
0.00%7,340萬
0.00%7,340萬
0.00%7,340萬
0.00%7,340萬
0.00%7,340萬
0.00%7,340萬
0.00%7,340萬
其他儲備
53.63%-9,889.1萬
-42.51%-1.87億
-45.23%-2.13億
-31.23%-1.31億
-14.05%-1.47億
-150.38%-1億
-570.16%-1.29億
-286.00%-3,998.3萬
343.54%2,738.9萬
183.44%2,149.6萬
保留溢利
5.77%36.74億
4.03%35.84億
2.94%34.73億
2.68%34.45億
2.69%33.74億
1.65%33.56億
2.35%32.86億
3.61%33.01億
1.32%32.1億
-9.01%31.86億
股東權益
9.37%36.76億
2.44%34.98億
0.98%33.61億
1.75%34.15億
2.16%33.29億
-0.16%33.57億
-2.42%32.58億
1.62%33.62億
2.47%33.39億
-8.36%33.09億
非控股權益
3.06%6.37億
6.34%6.78億
6.01%6.18億
12.17%6.37億
5.67%5.83億
5.86%5.68億
36.16%5.52億
33.34%5.37億
15.46%4.05億
10.89%4.03億
總權益
8.39%43.13億
3.05%41.76億
1.73%39.79億
3.26%40.53億
2.67%39.11億
0.66%39.25億
1.76%38.1億
5.06%38.99億
3.73%37.44億
-6.60%37.11億
總權益及總負債
11.66%91.1億
-0.83%85.3億
-6.21%81.59億
-2.71%86.01億
0.63%86.99億
-8.27%88.4億
-5.17%86.44億
5.68%96.38億
1.89%91.15億
-2.25%91.2億
貨幣單位
港元
港元
港元
港元
港元
港元
港元
港元
港元
港元
會計準則
香港會計準則
香港會計準則
香港會計準則
香港會計準則
香港會計準則
香港會計準則
香港會計準則
香港會計準則
香港會計準則
香港會計準則
審計意見
--
無保留意見
--
無保留意見
--
無保留意見
--
無保留意見
--
無保留意見
會計師事務所
--
德勤·關黃陳方會計師行
--
德勤·關黃陳方會計師行
--
德勤·關黃陳方會計師行
--
德勤·關黃陳方會計師行
--
德勤·關黃陳方會計師行
(Q6)2025/06/30(FY)2024/12/31(Q6)2024/06/30(FY)2023/12/31(Q6)2023/06/30(FY)2022/12/31(Q6)2022/06/30(FY)2021/12/31(Q6)2021/06/30(FY)2020/12/31
資產
流動資產
存貨 29.58%10.6億-5.16%7.87億-12.08%8.18億-21.87%8.3億-8.66%9.31億-21.86%10.62億23.72%10.19億105.42%13.59億25.40%8.24億-19.77%6.62億
應收賬款 6.81%15.53億1.54%16.25億-9.60%14.54億6.42%16.01億10.51%16.08億-4.55%15.04億7.25%14.55億12.87%15.76億12.12%13.57億17.51%13.96億
應收關聯方款項 -3.89%24.7萬-9.06%25.1萬-8.21%25.7萬-5.48%27.6萬-13.58%28萬-17.75%29.2萬-8.22%32.4萬0.57%35.5萬0.00%35.3萬-0.56%35.3萬
預繳及應收稅項 -86.46%23.6萬-87.92%44.9萬-67.52%174.3萬-28.40%371.8萬1,428.77%536.6萬900.58%519.3萬3,410.00%35.1萬843.64%51.9萬-92.25%1萬-50.89%5.5萬
現金及等價物 22.04%12.71億19.52%11.49億12.22%10.42億11.49%9.61億13.72%9.28億-11.72%8.62億-11.27%8.16億22.81%9.77億5.42%9.2億19.01%7.95億
已抵押存款 -4.68%2.96億-10.31%2.9億-1.49%3.1億4.94%3.23億-7.66%3.15億-9.59%3.08億-21.91%3.41億-24.41%3.41億-4.35%4.37億-0.89%4.51億
按公平值入損益金融資產-流動資產 16.55%2,291.8萬-64.58%3,112.7萬-78.06%1,966.4萬1.70%8,789萬13.47%8,960.6萬269.80%8,641.9萬377.99%7,896.8萬38.27%2,336.9萬18.28%1,652.1萬17.68%1,690.1萬
衍生金融工具-流動資產 ---------86.80%36.9萬----4.84%279.5萬----10.48%266.6萬--39.4萬35.18%241.3萬----
流動資產特殊專案 ------------------7,154.4萬--------------------
流動資產合計 15.29%42.03億2.00%38.83億-7.73%36.46億-0.56%38.07億6.40%39.52億-10.49%38.29億4.42%37.14億28.79%42.77億10.70%35.56億5.41%33.21億
非流動資產
物業廠房及設備 6.76%6.76億-0.04%6.44億-7.76%6.34億-4.33%6.44億15.48%6.87億3.68%6.73億-11.18%5.95億-7.67%6.49億25.92%6.7億36.69%7.03億
投資物業 4.95%32.35億-8.04%31.05億-10.07%30.82億-10.31%33.77億-9.60%34.28億-8.41%37.65億-10.14%37.91億-7.67%41.11億-8.55%42.19億-11.03%44.52億
聯營公司權益 5.18%1億0.88%9,800.9萬0.92%9,533.4萬2.50%9,715.8萬-6.20%9,446.1萬-9.80%9,478.8萬-12.24%1.01億-7.26%1.05億4.74%1.15億4.73%1.13億
按公平值入損益金融資產-非流動資產 31.75%5.18億33.13%4.4億--3.93億75.45%3.31億------1.88億----------------
商譽 0.00%1.26億0.00%1.26億0.00%1.26億0.00%1.26億0.00%1.26億0.00%1.26億0.00%1.26億0.00%1.26億0.00%1.26億0.00%1.26億
遞延稅項資產 30.43%1.04億3.00%9,153萬-8.57%7,961.8萬10.04%8,886.4萬9.55%8,707.9萬-9.65%8,075.3萬-0.21%7,948.8萬6.08%8,938.2萬14.09%7,965.8萬7.24%8,425.7萬
其他非流動資產 38.65%865.3萬10.35%746.5萬-12.20%624.1萬-4.41%676.5萬-72.68%710.8萬-43.67%707.7萬103.53%2,601.7萬17.29%1,256.4萬14.90%1,278.3萬-31.24%1,071.2萬
非流動資產特殊專案 55.10%3,247.9萬-38.06%2,887.3萬-90.82%2,094.1萬--4,661.4萬58.43%2.28億-----33.07%1.44億2.77%1.88億55.11%2.15億3.61%1.83億
非流動資產合計 8.73%49.07億-3.07%46.47億-4.94%45.13億-4.34%47.94億-3.71%47.47億-6.51%50.12億-11.30%49.31億-7.55%53.61億-3.05%55.59億-6.15%57.98億
總資產 11.66%91.1億-0.83%85.3億-6.21%81.59億-2.71%86.01億0.63%86.99億-8.27%88.4億-5.17%86.44億5.68%96.38億1.89%91.15億-2.25%91.2億
負債
流動負債
應付帳款 20.32%12.9億7.47%10.95億6.77%10.72億9.61%10.19億4.36%10.04億-21.25%9.29億-6.98%9.62億20.84%11.8億14.53%10.34億20.55%9.77億
應付稅項 58.42%2,814.2萬-18.86%2,535萬-41.39%1,776.4萬27.61%3,124.3萬-22.30%3,030.9萬-52.59%2,448.3萬-29.06%3,900.8萬50.06%5,164.4萬110.03%5,498.7萬45.24%3,441.6萬
應付股利 0.00%555.9萬----0.00%555.9萬----0.00%555.9萬------555.9萬------------
應付關連方款項-流動負債 16.67%2.1萬-5.00%1.9萬-98.82%1.8萬5.26%2萬7,894.74%151.9萬-5.00%1.9萬-84.92%1.9萬-67.74%2萬-98.75%12.6萬-95.51%6.2萬
預收款項 37.26%1,495.7萬-23.21%895.4萬-9.60%1,089.7萬-9.15%1,166萬10.46%1,205.4萬-22.28%1,283.5萬-49.28%1,091.3萬-10.87%1,651.5萬-4.32%2,151.5萬-46.47%1,853萬
銀行貸款及透支 30.85%24.73億-20.93%18.93億-27.66%18.9億-6.09%23.94億5.56%26.12億-6.82%25.5億-15.76%24.75億5.37%27.36億19.52%29.37億5.03%25.97億
衍生金融工具-流動負債 --1,098.5萬215.11%1,134.4萬-----69.54%360萬------1,181.7萬------------113.13%207.8萬
融資租賃負債-流動負債 12.10%2,011.6萬7.20%2,045.3萬1.32%1,794.4萬21.90%1,907.9萬19.86%1,771.1萬-3.60%1,565.1萬-14.93%1,477.7萬-10.58%1,623.5萬2.88%1,737.1萬-1.05%1,815.6萬
流動負債特殊專案 61.74%5,383.5萬-92.90%268.2萬42.97%3,328.5萬-38.13%3,778.5萬-60.54%2,328.1萬3,507.09%6,106.8萬-17.94%5,899.7萬-97.80%169.3萬3,545.94%7,189.8萬2,711.49%7,686.6萬
流動負債調整專案 -------3萬--------------------------------
流動負債合計 27.67%39.19億-12.80%30.79億-17.50%30.7億-2.51%35.31億3.90%37.21億-9.79%36.22億-14.14%35.81億6.88%40.15億20.28%41.7億10.93%37.57億
淨流動資產 -50.64%2.85億191.54%8.04億149.53%5.76億33.67%2.76億73.78%2.31億-21.25%2.06億121.66%1.33億160.13%2.62億-141.20%-6.14億-84.44%-4.36億
總資產減流動負債 2.00%51.91億7.51%54.51億2.23%50.89億-2.84%50.7億-1.68%49.78億-7.19%52.18億2.40%50.63億4.85%56.23億-9.75%49.45億-9.75%53.63億
非流動負債
長期銀行貸款 -51.37%3.7億20.19%7.56億14.38%7.61億-25.54%6.29億-19.39%6.65億-27.24%8.44億18.14%8.25億6.79%11.6億-43.11%6.98億-11.91%10.87億
融資租賃負債-非流動負債 116.22%6,311.3萬72.21%6,802.1萬-34.48%2,918.9萬1.89%3,950萬16.55%4,455.3萬-20.41%3,876.7萬-34.16%3,822.5萬-31.40%4,870.8萬-27.04%5,806萬-21.27%7,100.2萬
遞延稅項負債 31.02%1.63億11.20%1.45億19.17%1.24億16.27%1.3億8.70%1.04億2.91%1.12億1.56%9,610萬-8.54%1.09億-10.02%9,462.8萬-41.70%1.19億
可轉換票據及債券 76.54%1.65億84.74%1.97億-33.11%9,361.6萬-38.04%1.07億-15.80%1.4億-34.51%1.72億-18.06%1.66億21.20%2.63億-27.45%2.03億-21.94%2.17億
退休福利責任 36.85%2,700.8萬21.21%2,299.2萬-3.86%1,973.5萬0.75%1,896.9萬-4.57%2,052.7萬-7.78%1,882.7萬9.09%2,151.1萬7.35%2,041.5萬-18.86%1,971.8萬-13.49%1,901.8萬
其他非流動負債 -3.08%1,640.4萬-19.86%1,591.7萬-19.51%1,692.6萬-17.47%1,986.2萬-17.76%2,102.8萬-23.66%2,406.5萬-21.97%2,557萬-14.43%3,152.2萬-14.69%3,276.9萬-27.64%3,683.7萬
非流動負債特殊專案 12.15%7,367.8萬-4.14%7,080.4萬-8.19%6,569.7萬-11.57%7,386.3萬-11.93%7,156.1萬-8.58%8,352.7萬-14.25%8,125.2萬-10.96%9,136.2萬-18.24%9,475.9萬12.87%1.03億
非流動負債合計 -20.87%8.78億25.29%12.75億4.05%11.1億-21.33%10.18億-14.89%10.67億-24.97%12.93億4.39%12.54億4.37%17.24億-35.79%12.01億-16.12%16.52億
總負債 14.78%47.97億-4.28%43.54億-12.70%41.8億-7.46%45.49億-0.97%47.88億-14.35%49.16億-9.99%48.34億6.11%57.39億0.64%53.71億0.98%54.09億
總資產減總負債 8.39%43.13億3.05%41.76億1.73%39.79億3.26%40.53億2.67%39.11億0.66%39.25億1.76%38.1億5.06%38.99億3.73%37.44億-6.60%37.11億
總權益及非流動負債 2.00%51.91億7.51%54.51億2.23%50.89億-2.84%50.7億-1.68%49.78億-7.19%52.18億2.40%50.63億4.85%56.23億-9.75%49.45億-9.75%53.63億
權益
股本 0.00%2,779.7萬0.00%2,779.7萬0.00%2,779.7萬0.00%2,779.7萬0.00%2,779.7萬0.00%2,779.7萬0.00%2,779.7萬0.00%2,779.7萬0.00%2,779.7萬0.00%2,779.7萬
股本溢價 0.00%7,340萬0.00%7,340萬0.00%7,340萬0.00%7,340萬0.00%7,340萬0.00%7,340萬0.00%7,340萬0.00%7,340萬0.00%7,340萬0.00%7,340萬
其他儲備 53.63%-9,889.1萬-42.51%-1.87億-45.23%-2.13億-31.23%-1.31億-14.05%-1.47億-150.38%-1億-570.16%-1.29億-286.00%-3,998.3萬343.54%2,738.9萬183.44%2,149.6萬
保留溢利 5.77%36.74億4.03%35.84億2.94%34.73億2.68%34.45億2.69%33.74億1.65%33.56億2.35%32.86億3.61%33.01億1.32%32.1億-9.01%31.86億
股東權益 9.37%36.76億2.44%34.98億0.98%33.61億1.75%34.15億2.16%33.29億-0.16%33.57億-2.42%32.58億1.62%33.62億2.47%33.39億-8.36%33.09億
非控股權益 3.06%6.37億6.34%6.78億6.01%6.18億12.17%6.37億5.67%5.83億5.86%5.68億36.16%5.52億33.34%5.37億15.46%4.05億10.89%4.03億
總權益 8.39%43.13億3.05%41.76億1.73%39.79億3.26%40.53億2.67%39.11億0.66%39.25億1.76%38.1億5.06%38.99億3.73%37.44億-6.60%37.11億
總權益及總負債 11.66%91.1億-0.83%85.3億-6.21%81.59億-2.71%86.01億0.63%86.99億-8.27%88.4億-5.17%86.44億5.68%96.38億1.89%91.15億-2.25%91.2億
貨幣單位 港元港元港元港元港元港元港元港元港元港元
會計準則 香港會計準則香港會計準則香港會計準則香港會計準則香港會計準則香港會計準則香港會計準則香港會計準則香港會計準則香港會計準則
審計意見 --無保留意見--無保留意見--無保留意見--無保留意見--無保留意見
會計師事務所 --德勤·關黃陳方會計師行--德勤·關黃陳方會計師行--德勤·關黃陳方會計師行--德勤·關黃陳方會計師行--德勤·關黃陳方會計師行

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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