港股市場個股詳情

OSL集團 (00863)

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  • 17.950
  • +0.380+2.16%
未開盤 01/07 16:07 (北京)
142.63億總市值560.94市盈率TTM

OSL集團 (00863) 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
----
----
----
----
----
----
----
----
207.87%26.98億
----
應收賬款
133.08%6,527.5萬
69.30%527.2萬
-30.96%2,800.6萬
-85.81%311.4萬
-68.07%4,056.6萬
-81.98%2,193.8萬
-57.30%1.27億
107.37%1.22億
442.15%2.97億
72.14%5,871.5萬
預付款按金及其他應收款
-20.11%2,951.8萬
-27.08%2,523.8萬
-28.35%3,694.6萬
-34.44%3,461萬
-29.73%5,156.7萬
-27.92%5,279.4萬
-69.08%7,338.2萬
-61.42%7,324.4萬
242.23%2.37億
443.36%1.9億
現金及等價物
-39.87%4.59億
190.53%6.35億
62.16%7.64億
-78.33%2.19億
-53.81%4.71億
5.72%10.09億
-47.82%10.2億
130.85%9.55億
315.50%19.54億
115.52%4.13億
已抵押存款
----
--14.9萬
----
----
----
----
----
----
----
----
按公平值入損益金融資產-流動資產
----
----
----
----
----
----
----
----
--157.4萬
----
流動資產特殊專案
24.98%12.21億
-24.75%8.33億
-29.03%9.77億
-3.79%11.07億
-28.22%13.76億
-69.75%11.5億
246,663.32%19.17億
22.39%38.02億
--77.7萬
32,303.51%31.07億
流動資產合計
-1.92%17.75億
9.93%14.99億
-7.63%18.09億
-39.44%13.63億
-37.90%19.59億
-54.66%22.51億
-39.33%31.54億
31.51%49.65億
247.62%51.98億
406.49%37.75億
非流動資產
物業廠房及設備
-18.80%2,545萬
109.93%2,111.7萬
-53.85%3,134.2萬
-89.10%1,005.9萬
-47.54%6,790.6萬
-40.31%9,226.6萬
-26.12%1.29億
-17.22%1.55億
-6.69%1.75億
-9.07%1.87億
預付款項
9.20%562.5萬
--647.3萬
-55.87%515.1萬
----
-35.38%1,167.2萬
-8.67%1,787.9萬
-6.96%1,806.2萬
-4.97%1,957.7萬
-84.77%1,941.4萬
-83.16%2,060.1萬
聯營公司權益
----
----
----
----
----
----
----
----
--2,405.4萬
----
按公平值入損益金融資產-非流動資產
158.45%4,086.6萬
130.63%3,305.8萬
-68.78%1,581.2萬
-71.56%1,433.4萬
-32.23%5,064.9萬
101.50%5,040萬
220.77%7,473.6萬
--2,501.3萬
--2,329.9萬
----
其他投資
-52.80%945.4萬
1.44%1,574.3萬
52.17%2,002.9萬
--1,552萬
40.38%1,316.2萬
----
--937.6萬
----
----
----
無形資產
697.19%2.63億
667.01%2.89億
-48.87%3,293.5萬
-48.28%3,764.6萬
-20.50%6,441.5萬
-19.14%7,279.4萬
72.40%8,102.2萬
71.31%9,002.1萬
-8.39%4,699.7萬
3.28%5,254.8萬
遞延稅項資產
----
----
----
----
30.40%637.9萬
37.15%740.9萬
8.59%489.2萬
22.61%540.2萬
37.00%450.5萬
33.99%440.6萬
非流動資產特殊專案
----
----
----
----
----
18.58%2,255萬
----
--1,901.7萬
----
----
非流動資產合計
226.73%3.44億
370.79%3.65億
-50.85%1.05億
-70.54%7,755.9萬
-32.55%2.14億
-16.04%2.63億
8.20%3.18億
18.66%3.14億
-20.64%2.93億
-33.80%2.64億
總資產
10.66%21.19億
29.36%18.64億
-11.89%19.15億
-42.70%14.41億
-37.41%21.73億
-52.37%25.14億
-36.79%34.72億
30.67%52.79億
194.44%54.92億
252.92%40.4億
負債
流動負債
應付帳款
0.40%7.37億
-50.47%4.4億
-48.00%7.34億
-44.33%8.89億
-36.34%14.13億
-56.18%15.97億
-38.98%22.19億
20.16%36.44億
321.41%36.36億
454.75%30.32億
應付稅項
-38.81%12.3萬
-22.96%10.4萬
-96.43%20.1萬
-97.76%13.5萬
27.00%562.5萬
-9.55%603萬
-31.71%442.9萬
-11.71%666.7萬
197.72%648.6萬
111.85%755.1萬
其他應付款及應計費用
97.58%7,310.4萬
5.75%6,928.5萬
-23.35%3,699.9萬
7.57%6,551.5萬
-39.39%4,826.8萬
-47.86%6,090.4萬
50.12%7,963.4萬
132.70%1.17億
-50.24%5,304.7萬
-2.13%5,019.8萬
銀行貸款及透支
--1.43億
--4,032.6萬
----
----
-79.08%2,119.6萬
-72.38%3,289.5萬
-49.77%1.01億
-75.54%1.19億
-37.38%2.02億
546.35%4.87億
融資租賃負債-流動負債
2.44%1,258.7萬
-32.33%1,173.9萬
-73.71%1,228.7萬
-59.06%1,734.8萬
5.89%4,672.8萬
-2.58%4,237.3萬
10.72%4,412.8萬
14.12%4,349.3萬
25.20%3,985.7萬
27.86%3,811.2萬
流動負債特殊專案
----
----
----
--6,404.5萬
----
----
----
----
----
----
流動負債合計
22.03%9.71億
-45.63%5.69億
-49.05%7.96億
-40.84%10.46億
-36.70%15.61億
-55.25%17.67億
-37.44%24.67億
9.04%39.5億
191.76%39.43億
396.51%36.23億
淨流動資產
-20.70%8.04億
192.91%9.3億
155.15%10.14億
-34.33%3.18億
-42.19%3.97億
-52.37%4.84億
-45.25%6.87億
563.97%10.15億
772.27%12.55億
867.06%1.53億
總資產減流動負債
2.57%11.48億
227.83%12.95億
83.00%11.19億
-47.10%3.95億
-39.14%6.12億
-43.80%7.47億
-35.12%10.05億
218.52%13.29億
201.49%15.49億
0.52%4.17億
非流動負債
長期銀行貸款
----
----
----
----
----
----
----
----
-68.13%6,380.9萬
-69.78%7,945.1萬
長期應付款
----
----
-54.88%608.1萬
----
-20.67%1,347.8萬
-2.07%1,690.1萬
1.41%1,699萬
4.15%1,725.8萬
23.77%1,675.4萬
23.22%1,657.1萬
融資租賃負債-非流動負債
-86.44%249.1萬
--675.5萬
-47.76%1,836.6萬
----
-59.93%3,515.7萬
-42.73%6,448.1萬
-33.57%8,773.6萬
-25.83%1.13億
-12.91%1.32億
-8.96%1.52億
遞延稅項負債
----
----
----
----
-22.50%538.6萬
-21.49%616.9萬
-17.37%695萬
-12.52%785.8萬
-6.62%841.1萬
-5.48%898.3萬
撥備-非流動負債
--422.2萬
--409.1萬
----
----
----
----
----
----
----
----
非流動負債合計
-72.54%671.3萬
--1,084.6萬
-54.75%2,444.7萬
----
-51.63%5,402.1萬
-36.42%8,755.1萬
-49.48%1.12億
-46.38%1.38億
-40.96%2.21億
-46.65%2.57億
總負債
19.21%9.78億
-44.59%5.79億
-49.24%8.2億
-43.63%10.46億
-37.35%16.16億
-54.62%18.55億
-38.08%25.78億
5.37%40.88億
141.27%41.64億
220.36%38.79億
總資產減總負債
4.25%11.41億
225.08%12.84億
96.35%10.95億
-40.07%3.95億
-37.58%5.57億
-44.65%6.59億
-32.73%8.93億
642.67%11.91億
853.10%13.28億
341.97%1.6億
總權益及非流動負債
2.57%11.48億
--12.95億
83.00%11.19億
----
-39.14%6.12億
-43.80%7.47億
-35.12%10.05億
218.52%13.29億
201.49%15.49億
0.52%4.17億
權益
股本
0.00%626.4萬
42.85%626.4萬
42.85%626.4萬
0.00%438.5萬
3.59%438.5萬
3.59%438.5萬
0.95%423.3萬
25.76%423.3萬
54.52%419.3萬
44.73%336.6萬
其他儲備
0.16%31.08億
34.65%32.16億
30.37%31.03億
-0.01%23.89億
-0.39%23.8億
0.73%23.89億
4.01%23.9億
144.05%23.72億
234.84%22.97億
149.03%9.72億
保留溢利
1.69%-19.62億
2.60%-19.3億
-10.10%-19.95億
-15.11%-19.81億
-21.81%-18.12億
-45.70%-17.21億
-54.39%-14.88億
-46.55%-11.81億
-73.72%-9.64億
-74.55%-8.06億
股東權益
3.48%11.53億
214.00%12.93億
94.66%11.14億
-38.74%4.12億
-36.84%5.72億
-43.73%6.72億
-32.29%9.06億
606.57%11.95億
898.00%13.38億
344.11%1.69億
非控股權益
40.31%-1,145.4萬
48.95%-850.2萬
-30.61%-1,918.8萬
-30.07%-1,665.4萬
-15.61%-1,469.1萬
-279.49%-1,280.4萬
-26.04%-1,270.7萬
61.09%-337.4萬
-291.80%-1,008.2萬
-391.87%-867.2萬
總權益
4.25%11.41億
225.08%12.84億
96.35%10.95億
-40.07%3.95億
-37.58%5.57億
-44.65%6.59億
-32.73%8.93億
642.67%11.91億
853.10%13.28億
341.97%1.6億
總權益及總負債
10.66%21.19億
29.36%18.64億
-11.89%19.15億
-42.70%14.41億
-37.41%21.73億
-52.37%25.14億
-36.79%34.72億
30.67%52.79億
194.44%54.92億
252.92%40.4億
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
國際會計準則
國際會計準則
國際會計準則
國際會計準則
國際會計準則
國際會計準則
國際會計準則
國際會計準則
國際會計準則
國際會計準則
會計師事務所
--
羅兵鹹永道會計師事務所
--
羅兵鹹永道會計師事務所
--
羅兵鹹永道會計師事務所
--
羅兵鹹永道會計師事務所
--
羅兵鹹永道會計師事務所
(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 --------------------------------207.87%26.98億----
應收賬款 133.08%6,527.5萬69.30%527.2萬-30.96%2,800.6萬-85.81%311.4萬-68.07%4,056.6萬-81.98%2,193.8萬-57.30%1.27億107.37%1.22億442.15%2.97億72.14%5,871.5萬
預付款按金及其他應收款 -20.11%2,951.8萬-27.08%2,523.8萬-28.35%3,694.6萬-34.44%3,461萬-29.73%5,156.7萬-27.92%5,279.4萬-69.08%7,338.2萬-61.42%7,324.4萬242.23%2.37億443.36%1.9億
現金及等價物 -39.87%4.59億190.53%6.35億62.16%7.64億-78.33%2.19億-53.81%4.71億5.72%10.09億-47.82%10.2億130.85%9.55億315.50%19.54億115.52%4.13億
已抵押存款 ------14.9萬--------------------------------
按公平值入損益金融資產-流動資產 ----------------------------------157.4萬----
流動資產特殊專案 24.98%12.21億-24.75%8.33億-29.03%9.77億-3.79%11.07億-28.22%13.76億-69.75%11.5億246,663.32%19.17億22.39%38.02億--77.7萬32,303.51%31.07億
流動資產合計 -1.92%17.75億9.93%14.99億-7.63%18.09億-39.44%13.63億-37.90%19.59億-54.66%22.51億-39.33%31.54億31.51%49.65億247.62%51.98億406.49%37.75億
非流動資產
物業廠房及設備 -18.80%2,545萬109.93%2,111.7萬-53.85%3,134.2萬-89.10%1,005.9萬-47.54%6,790.6萬-40.31%9,226.6萬-26.12%1.29億-17.22%1.55億-6.69%1.75億-9.07%1.87億
預付款項 9.20%562.5萬--647.3萬-55.87%515.1萬-----35.38%1,167.2萬-8.67%1,787.9萬-6.96%1,806.2萬-4.97%1,957.7萬-84.77%1,941.4萬-83.16%2,060.1萬
聯營公司權益 ----------------------------------2,405.4萬----
按公平值入損益金融資產-非流動資產 158.45%4,086.6萬130.63%3,305.8萬-68.78%1,581.2萬-71.56%1,433.4萬-32.23%5,064.9萬101.50%5,040萬220.77%7,473.6萬--2,501.3萬--2,329.9萬----
其他投資 -52.80%945.4萬1.44%1,574.3萬52.17%2,002.9萬--1,552萬40.38%1,316.2萬------937.6萬------------
無形資產 697.19%2.63億667.01%2.89億-48.87%3,293.5萬-48.28%3,764.6萬-20.50%6,441.5萬-19.14%7,279.4萬72.40%8,102.2萬71.31%9,002.1萬-8.39%4,699.7萬3.28%5,254.8萬
遞延稅項資產 ----------------30.40%637.9萬37.15%740.9萬8.59%489.2萬22.61%540.2萬37.00%450.5萬33.99%440.6萬
非流動資產特殊專案 --------------------18.58%2,255萬------1,901.7萬--------
非流動資產合計 226.73%3.44億370.79%3.65億-50.85%1.05億-70.54%7,755.9萬-32.55%2.14億-16.04%2.63億8.20%3.18億18.66%3.14億-20.64%2.93億-33.80%2.64億
總資產 10.66%21.19億29.36%18.64億-11.89%19.15億-42.70%14.41億-37.41%21.73億-52.37%25.14億-36.79%34.72億30.67%52.79億194.44%54.92億252.92%40.4億
負債
流動負債
應付帳款 0.40%7.37億-50.47%4.4億-48.00%7.34億-44.33%8.89億-36.34%14.13億-56.18%15.97億-38.98%22.19億20.16%36.44億321.41%36.36億454.75%30.32億
應付稅項 -38.81%12.3萬-22.96%10.4萬-96.43%20.1萬-97.76%13.5萬27.00%562.5萬-9.55%603萬-31.71%442.9萬-11.71%666.7萬197.72%648.6萬111.85%755.1萬
其他應付款及應計費用 97.58%7,310.4萬5.75%6,928.5萬-23.35%3,699.9萬7.57%6,551.5萬-39.39%4,826.8萬-47.86%6,090.4萬50.12%7,963.4萬132.70%1.17億-50.24%5,304.7萬-2.13%5,019.8萬
銀行貸款及透支 --1.43億--4,032.6萬---------79.08%2,119.6萬-72.38%3,289.5萬-49.77%1.01億-75.54%1.19億-37.38%2.02億546.35%4.87億
融資租賃負債-流動負債 2.44%1,258.7萬-32.33%1,173.9萬-73.71%1,228.7萬-59.06%1,734.8萬5.89%4,672.8萬-2.58%4,237.3萬10.72%4,412.8萬14.12%4,349.3萬25.20%3,985.7萬27.86%3,811.2萬
流動負債特殊專案 --------------6,404.5萬------------------------
流動負債合計 22.03%9.71億-45.63%5.69億-49.05%7.96億-40.84%10.46億-36.70%15.61億-55.25%17.67億-37.44%24.67億9.04%39.5億191.76%39.43億396.51%36.23億
淨流動資產 -20.70%8.04億192.91%9.3億155.15%10.14億-34.33%3.18億-42.19%3.97億-52.37%4.84億-45.25%6.87億563.97%10.15億772.27%12.55億867.06%1.53億
總資產減流動負債 2.57%11.48億227.83%12.95億83.00%11.19億-47.10%3.95億-39.14%6.12億-43.80%7.47億-35.12%10.05億218.52%13.29億201.49%15.49億0.52%4.17億
非流動負債
長期銀行貸款 ---------------------------------68.13%6,380.9萬-69.78%7,945.1萬
長期應付款 ---------54.88%608.1萬-----20.67%1,347.8萬-2.07%1,690.1萬1.41%1,699萬4.15%1,725.8萬23.77%1,675.4萬23.22%1,657.1萬
融資租賃負債-非流動負債 -86.44%249.1萬--675.5萬-47.76%1,836.6萬-----59.93%3,515.7萬-42.73%6,448.1萬-33.57%8,773.6萬-25.83%1.13億-12.91%1.32億-8.96%1.52億
遞延稅項負債 -----------------22.50%538.6萬-21.49%616.9萬-17.37%695萬-12.52%785.8萬-6.62%841.1萬-5.48%898.3萬
撥備-非流動負債 --422.2萬--409.1萬--------------------------------
非流動負債合計 -72.54%671.3萬--1,084.6萬-54.75%2,444.7萬-----51.63%5,402.1萬-36.42%8,755.1萬-49.48%1.12億-46.38%1.38億-40.96%2.21億-46.65%2.57億
總負債 19.21%9.78億-44.59%5.79億-49.24%8.2億-43.63%10.46億-37.35%16.16億-54.62%18.55億-38.08%25.78億5.37%40.88億141.27%41.64億220.36%38.79億
總資產減總負債 4.25%11.41億225.08%12.84億96.35%10.95億-40.07%3.95億-37.58%5.57億-44.65%6.59億-32.73%8.93億642.67%11.91億853.10%13.28億341.97%1.6億
總權益及非流動負債 2.57%11.48億--12.95億83.00%11.19億-----39.14%6.12億-43.80%7.47億-35.12%10.05億218.52%13.29億201.49%15.49億0.52%4.17億
權益
股本 0.00%626.4萬42.85%626.4萬42.85%626.4萬0.00%438.5萬3.59%438.5萬3.59%438.5萬0.95%423.3萬25.76%423.3萬54.52%419.3萬44.73%336.6萬
其他儲備 0.16%31.08億34.65%32.16億30.37%31.03億-0.01%23.89億-0.39%23.8億0.73%23.89億4.01%23.9億144.05%23.72億234.84%22.97億149.03%9.72億
保留溢利 1.69%-19.62億2.60%-19.3億-10.10%-19.95億-15.11%-19.81億-21.81%-18.12億-45.70%-17.21億-54.39%-14.88億-46.55%-11.81億-73.72%-9.64億-74.55%-8.06億
股東權益 3.48%11.53億214.00%12.93億94.66%11.14億-38.74%4.12億-36.84%5.72億-43.73%6.72億-32.29%9.06億606.57%11.95億898.00%13.38億344.11%1.69億
非控股權益 40.31%-1,145.4萬48.95%-850.2萬-30.61%-1,918.8萬-30.07%-1,665.4萬-15.61%-1,469.1萬-279.49%-1,280.4萬-26.04%-1,270.7萬61.09%-337.4萬-291.80%-1,008.2萬-391.87%-867.2萬
總權益 4.25%11.41億225.08%12.84億96.35%10.95億-40.07%3.95億-37.58%5.57億-44.65%6.59億-32.73%8.93億642.67%11.91億853.10%13.28億341.97%1.6億
總權益及總負債 10.66%21.19億29.36%18.64億-11.89%19.15億-42.70%14.41億-37.41%21.73億-52.37%25.14億-36.79%34.72億30.67%52.79億194.44%54.92億252.92%40.4億
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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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