馬來西亞市場個股詳情

MCLEAN (0167)

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  • 0.615
  • -0.015-2.38%
延時15分鐘行情交易中 05/19 11:19 (北京)
1.51億總市值13.98市盈率TTM

0167 MCLEAN

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2025/12/31
(Q4)2025/12/31
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
資產
流動資產
現金及現金等價物與短期投資
130.25%1,150.01萬
130.25%1,150.01萬
92.28%1,092.7萬
280.84%1,292.2萬
202.91%1,280.7萬
25.76%499.46萬
25.76%499.46萬
103.47%568.3萬
50.80%339.3萬
81.30%422.8萬
-現金及現金等價物
130.25%1,150.01萬
130.25%1,150.01萬
92.28%1,092.7萬
280.84%1,292.2萬
202.91%1,280.7萬
25.76%499.46萬
25.76%499.46萬
103.47%568.3萬
50.80%339.3萬
81.30%422.8萬
-其中:現金
130.25%1,150.01萬
130.25%1,150.01萬
113.92%1,092.7萬
358.55%1,292.2萬
234.85%1,223.2萬
25.76%499.46萬
25.76%499.46萬
129.06%510.8萬
67.04%281.8萬
56.65%365.3萬
-其中:現金等價物
----
----
--0
--0
0.00%57.5萬
----
----
2.13%57.5萬
2.13%57.5萬
--57.5萬
-短期投資
----
----
----
----
0.00%57.5萬
--57.5萬
--57.5萬
2.13%57.5萬
2.13%57.5萬
--57.5萬
應收款項
66.07%3,013.52萬
66.07%3,013.52萬
43.61%3,115.7萬
42.50%2,962.5萬
66.78%2,963.8萬
25.53%1,814.65萬
25.53%1,814.65萬
0.84%2,169.5萬
-20.98%2,079萬
-7.27%1,777.1萬
-應收賬款淨額
44.91%2,202.94萬
44.91%2,202.94萬
38.40%2,449.8萬
41.45%2,379.7萬
23.55%1,746.1萬
20.10%1,520.26萬
20.10%1,520.26萬
38.86%1,770.1萬
16.23%1,682.4萬
7.62%1,413.3萬
-其中:應收賬款
45.91%2,231.11萬
45.91%2,231.11萬
----
----
----
18.84%1,529.1萬
18.84%1,529.1萬
----
----
----
-其中:壞賬準備
-218.93%-28.17萬
-218.93%-28.17萬
----
----
----
57.63%-8.83萬
57.63%-8.83萬
----
----
----
-其他應收款
175.34%810.58萬
175.34%810.58萬
66.73%665.9萬
46.95%582.8萬
234.72%1,217.7萬
63.73%294.39萬
63.73%294.39萬
-54.45%399.4萬
-66.49%396.6萬
-39.69%363.8萬
存貨
139.01%332.09萬
139.01%332.09萬
132.37%387.6萬
146.22%348.4萬
7.54%151.2萬
-3.70%138.95萬
-3.70%138.95萬
13.47%166.8萬
-12.17%141.5萬
-21.32%140.6萬
預付費用
65.33%329.53萬
65.33%329.53萬
----
----
----
14.29%199.31萬
14.29%199.31萬
----
----
----
受限制現金
-83.53%9.47萬
-83.53%9.47萬
----
----
----
0.00%57.52萬
0.00%57.52萬
----
----
----
稅項資產
-15.49%52.19萬
-15.49%52.19萬
41.60%17.7萬
49.07%16.1萬
-4.44%8.6萬
9.26%61.75萬
9.26%61.75萬
861.54%12.5萬
620.00%10.8萬
542.86%9萬
持有待售資產
--0
--0
--0
--0
--256.6萬
--256.58萬
--256.58萬
----
----
----
流動資產合計
61.38%4,886.8萬
61.38%4,886.8萬
58.16%4,613.7萬
79.69%4,619.2萬
98.38%4,660.9萬
33.08%3,028.23萬
33.08%3,028.23萬
13.11%2,917.1萬
-14.84%2,570.6萬
-1.53%2,349.5萬
非流動資產
物業廠房及設備淨額
98.49%4,369.09萬
98.49%4,369.09萬
35.30%2,997.6萬
70.00%2,962.8萬
22.30%2,254.5萬
13.28%2,201.2萬
13.28%2,201.2萬
8.30%2,215.6萬
-19.28%1,742.8萬
-17.25%1,843.4萬
-物業、廠房及設備
34.86%9,866.28萬
34.86%9,866.28萬
35.30%2,997.6萬
70.00%2,962.8萬
22.30%2,254.5萬
-13.35%7,315.74萬
-13.35%7,315.74萬
8.30%2,215.6萬
-19.28%1,742.8萬
-17.25%1,843.4萬
-累計折舊
-7.48%-5,497.19萬
-7.48%-5,497.19萬
----
----
----
21.32%-5,114.54萬
21.32%-5,114.54萬
----
----
----
長期預付費用
32.03%2.35萬
32.03%2.35萬
----
----
----
-20.00%1.78萬
-20.00%1.78萬
----
----
----
投資總額
--0
--0
----
----
----
--0
--0
----
----
----
-長期股權投資
--0
--0
----
----
----
--0
--0
----
----
----
非流動遞延所得稅資產
544.45%44.45萬
544.45%44.45萬
-64.77%6.8萬
-90.40%7.2萬
-90.44%7.2萬
-90.82%6.9萬
-90.82%6.9萬
-72.89%19.3萬
5.04%75萬
9.77%75.3萬
非流動資產合計
99.83%4,415.88萬
99.83%4,415.88萬
34.43%3,004.4萬
63.38%2,970萬
17.88%2,261.7萬
9.37%2,209.87萬
9.37%2,209.87萬
5.57%2,234.9萬
-18.51%1,817.8萬
-16.45%1,918.7萬
總資產
77.60%9,302.69萬
77.60%9,302.69萬
47.87%7,618.1萬
72.94%7,589.2萬
62.19%6,922.6萬
21.93%5,238.1萬
21.93%5,238.1萬
9.71%5,152萬
-16.40%4,388.4萬
-8.85%4,268.2萬
負債
流動負債
金融負債
95.11%704.45萬
95.11%704.45萬
144.10%936.6萬
122.37%1,022萬
-34.15%355.8萬
-33.61%361.05萬
-33.61%361.05萬
-40.88%383.7萬
-38.76%459.6萬
-17.11%540.3萬
-短期借款及資本租賃負債
95.11%704.45萬
95.11%704.45萬
144.10%936.6萬
122.37%1,022萬
-34.15%355.8萬
-33.61%361.05萬
-33.61%361.05萬
-40.88%383.7萬
-38.76%459.6萬
-17.11%540.3萬
-其中:短期借款
-4.06%297.4萬
-4.06%297.4萬
-0.20%297.7萬
3.89%304.2萬
3.57%304.7萬
5.92%309.98萬
5.92%309.98萬
5.82%298.3萬
-16.77%292.8萬
-13.01%294.2萬
-其中:資本租賃負債
696.98%407.05萬
696.98%407.05萬
648.13%638.9萬
330.34%717.8萬
-79.24%51.1萬
-79.66%51.07萬
-79.66%51.07萬
-76.74%85.4萬
-58.16%166.8萬
-21.52%246.1萬
應付款項
-16.16%911.77萬
-16.16%911.77萬
-44.34%862.9萬
-19.44%1,042.7萬
15.83%1,359.3萬
19.34%1,087.49萬
19.34%1,087.49萬
-2.42%1,550.4萬
-28.10%1,294.3萬
6.85%1,173.5萬
-應付帳款
-26.88%556.76萬
-26.88%556.76萬
-49.16%504.4萬
-10.30%642.8萬
54.90%932.8萬
20.88%761.41萬
20.88%761.41萬
72.74%992.2萬
5.32%716.6萬
31.28%602.2萬
-應交稅費
528.33%122.32萬
528.33%122.32萬
--0
--0
--0
14.93%19.47萬
14.93%19.47萬
----
----
----
-其他應付款
-24.11%232.68萬
-24.11%232.68萬
-35.78%358.5萬
-30.78%399.9萬
-25.35%426.5萬
15.95%306.61萬
15.95%306.61萬
-44.98%558.2萬
-48.41%577.7萬
-10.68%571.3萬
養老金及其他退休福利計畫
17.64%12萬
17.64%12萬
----
----
----
213.20%10.2萬
213.20%10.2萬
----
----
----
應計及遞延所得
-22.11%201.02萬
-22.11%201.02萬
--0
----
--0
14.34%258.07萬
14.34%258.07萬
----
----
----
流動負債合計
6.55%1,829.23萬
6.55%1,829.23萬
-6.96%1,799.5萬
17.72%2,064.7萬
0.08%1,715.1萬
1.95%1,716.8萬
1.95%1,716.8萬
-13.58%1,934.1萬
-31.24%1,753.9萬
-2.07%1,713.8萬
非流動負債
非流動金融負債
196.31%1,488.39萬
196.31%1,488.39萬
6.04%596.5萬
39.94%601.2萬
29.75%577萬
-5.73%502.31萬
-5.73%502.31萬
131.39%562.5萬
42.68%429.6萬
-2.07%444.7萬
-長期借款及資本租賃
196.31%1,488.39萬
196.31%1,488.39萬
6.04%596.5萬
39.94%601.2萬
29.75%577萬
-5.73%502.31萬
-5.73%502.31萬
131.39%562.5萬
42.68%429.6萬
-2.07%444.7萬
-其中:長期借款
-4.69%401.46萬
-4.69%401.46萬
-4.11%415.5萬
-2.19%420.2萬
-2.12%424.7萬
-3.96%421.21萬
-3.96%421.21萬
137.55%433.3萬
132.72%429.6萬
132.16%433.9萬
-其中:長期資本租賃負債
1,240.23%1,086.93萬
1,240.23%1,086.93萬
40.09%181萬
--181萬
1,310.19%152.3萬
-13.94%81.1萬
-13.94%81.1萬
112.85%129.2萬
--0
-95.96%10.8萬
非流動遞延所得稅負債
1,180.18%130.58萬
1,180.18%130.58萬
78.95%10.2萬
78.95%10.2萬
78.95%10.2萬
78.95%10.2萬
78.95%10.2萬
-87.69%5.7萬
-87.69%5.7萬
-87.69%5.7萬
非流動負債合計
215.89%1,618.97萬
215.89%1,618.97萬
6.78%606.7萬
40.45%611.4萬
30.37%587.2萬
-4.83%512.51萬
-4.83%512.51萬
96.34%568.2萬
25.30%435.3萬
-9.99%450.4萬
負債總額
54.68%3,448.2萬
54.68%3,448.2萬
-3.84%2,406.2萬
22.24%2,676.1萬
6.38%2,302.3萬
0.30%2,229.31萬
0.30%2,229.31萬
-0.99%2,502.3萬
-24.46%2,189.2萬
-3.83%2,164.2萬
所有者權益
股本
-42.71%2,920.33萬
-42.71%2,920.33萬
-42.71%2,920.3萬
-42.71%2,920.3萬
-42.71%2,920.3萬
0.00%5,097.33萬
0.00%5,097.33萬
0.00%5,097.3萬
0.00%5,097.3萬
0.00%5,097.3萬
-普通股
-42.71%2,920.33萬
-42.71%2,920.33萬
-42.71%2,920.3萬
-42.71%2,920.3萬
-42.71%2,920.3萬
0.00%5,097.33萬
0.00%5,097.33萬
0.00%5,097.3萬
0.00%5,097.3萬
0.00%5,097.3萬
資本公積
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
298.67%3,069.81萬
298.67%3,069.81萬
246.41%2,847.4萬
223.55%2,543.2萬
204.75%2,260.1萬
28.77%-1,545.16萬
28.77%-1,545.16萬
9.04%-1,944.8萬
-5.68%-2,058.4萬
-16.07%-2,157.6萬
固定資產重估價值準備
130.10%546.02萬
130.10%546.02萬
0.04%237.3萬
--237.3萬
--237.3萬
--237.3萬
--237.3萬
--237.2萬
----
----
其他儲備
-154.84%-120.12萬
-154.84%-120.12萬
-116.55%-62.8萬
-2,155.56%-55.5萬
-1,178.95%-61.5萬
-541.44%-47.14萬
-541.44%-47.14萬
-166.06%-29萬
-85.94%2.7萬
145.97%5.7萬
其他股本權益
0.00%-1,605.01萬
0.00%-1,605.01萬
0.00%-1,605萬
0.00%-1,605萬
0.00%-1,605萬
0.00%-1,605.01萬
0.00%-1,605.01萬
0.00%-1,605萬
0.00%-1,605萬
0.00%-1,605萬
股東權益
125.10%4,811.03萬
125.10%4,811.03萬
147.04%4,337.2萬
181.24%4,040.3萬
179.86%3,751.2萬
60.23%2,137.33萬
60.23%2,137.33萬
25.58%1,755.7萬
-8.13%1,436.6萬
-17.31%1,340.4萬
非控制性權益
19.74%1,043.46萬
19.74%1,043.46萬
-2.16%874.7萬
14.45%872.8萬
13.82%869.1萬
17.83%871.46萬
17.83%871.46萬
16.00%894萬
-3.15%762.6萬
-5.83%763.6萬
總權益
94.58%5,854.49萬
94.58%5,854.49萬
96.70%5,211.9萬
123.40%4,913.1萬
119.60%4,620.3萬
45.11%3,008.79萬
45.11%3,008.79萬
22.17%2,649.7萬
-6.46%2,199.2萬
-13.48%2,104萬
會計準則
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(FY)2025/12/31(Q4)2025/12/31(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31
資產
流動資產
現金及現金等價物與短期投資 130.25%1,150.01萬130.25%1,150.01萬92.28%1,092.7萬280.84%1,292.2萬202.91%1,280.7萬25.76%499.46萬25.76%499.46萬103.47%568.3萬50.80%339.3萬81.30%422.8萬
-現金及現金等價物 130.25%1,150.01萬130.25%1,150.01萬92.28%1,092.7萬280.84%1,292.2萬202.91%1,280.7萬25.76%499.46萬25.76%499.46萬103.47%568.3萬50.80%339.3萬81.30%422.8萬
-其中:現金 130.25%1,150.01萬130.25%1,150.01萬113.92%1,092.7萬358.55%1,292.2萬234.85%1,223.2萬25.76%499.46萬25.76%499.46萬129.06%510.8萬67.04%281.8萬56.65%365.3萬
-其中:現金等價物 ----------0--00.00%57.5萬--------2.13%57.5萬2.13%57.5萬--57.5萬
-短期投資 ----------------0.00%57.5萬--57.5萬--57.5萬2.13%57.5萬2.13%57.5萬--57.5萬
應收款項 66.07%3,013.52萬66.07%3,013.52萬43.61%3,115.7萬42.50%2,962.5萬66.78%2,963.8萬25.53%1,814.65萬25.53%1,814.65萬0.84%2,169.5萬-20.98%2,079萬-7.27%1,777.1萬
-應收賬款淨額 44.91%2,202.94萬44.91%2,202.94萬38.40%2,449.8萬41.45%2,379.7萬23.55%1,746.1萬20.10%1,520.26萬20.10%1,520.26萬38.86%1,770.1萬16.23%1,682.4萬7.62%1,413.3萬
-其中:應收賬款 45.91%2,231.11萬45.91%2,231.11萬------------18.84%1,529.1萬18.84%1,529.1萬------------
-其中:壞賬準備 -218.93%-28.17萬-218.93%-28.17萬------------57.63%-8.83萬57.63%-8.83萬------------
-其他應收款 175.34%810.58萬175.34%810.58萬66.73%665.9萬46.95%582.8萬234.72%1,217.7萬63.73%294.39萬63.73%294.39萬-54.45%399.4萬-66.49%396.6萬-39.69%363.8萬
存貨 139.01%332.09萬139.01%332.09萬132.37%387.6萬146.22%348.4萬7.54%151.2萬-3.70%138.95萬-3.70%138.95萬13.47%166.8萬-12.17%141.5萬-21.32%140.6萬
預付費用 65.33%329.53萬65.33%329.53萬------------14.29%199.31萬14.29%199.31萬------------
受限制現金 -83.53%9.47萬-83.53%9.47萬------------0.00%57.52萬0.00%57.52萬------------
稅項資產 -15.49%52.19萬-15.49%52.19萬41.60%17.7萬49.07%16.1萬-4.44%8.6萬9.26%61.75萬9.26%61.75萬861.54%12.5萬620.00%10.8萬542.86%9萬
持有待售資產 --0--0--0--0--256.6萬--256.58萬--256.58萬------------
流動資產合計 61.38%4,886.8萬61.38%4,886.8萬58.16%4,613.7萬79.69%4,619.2萬98.38%4,660.9萬33.08%3,028.23萬33.08%3,028.23萬13.11%2,917.1萬-14.84%2,570.6萬-1.53%2,349.5萬
非流動資產
物業廠房及設備淨額 98.49%4,369.09萬98.49%4,369.09萬35.30%2,997.6萬70.00%2,962.8萬22.30%2,254.5萬13.28%2,201.2萬13.28%2,201.2萬8.30%2,215.6萬-19.28%1,742.8萬-17.25%1,843.4萬
-物業、廠房及設備 34.86%9,866.28萬34.86%9,866.28萬35.30%2,997.6萬70.00%2,962.8萬22.30%2,254.5萬-13.35%7,315.74萬-13.35%7,315.74萬8.30%2,215.6萬-19.28%1,742.8萬-17.25%1,843.4萬
-累計折舊 -7.48%-5,497.19萬-7.48%-5,497.19萬------------21.32%-5,114.54萬21.32%-5,114.54萬------------
長期預付費用 32.03%2.35萬32.03%2.35萬-------------20.00%1.78萬-20.00%1.78萬------------
投資總額 --0--0--------------0--0------------
-長期股權投資 --0--0--------------0--0------------
非流動遞延所得稅資產 544.45%44.45萬544.45%44.45萬-64.77%6.8萬-90.40%7.2萬-90.44%7.2萬-90.82%6.9萬-90.82%6.9萬-72.89%19.3萬5.04%75萬9.77%75.3萬
非流動資產合計 99.83%4,415.88萬99.83%4,415.88萬34.43%3,004.4萬63.38%2,970萬17.88%2,261.7萬9.37%2,209.87萬9.37%2,209.87萬5.57%2,234.9萬-18.51%1,817.8萬-16.45%1,918.7萬
總資產 77.60%9,302.69萬77.60%9,302.69萬47.87%7,618.1萬72.94%7,589.2萬62.19%6,922.6萬21.93%5,238.1萬21.93%5,238.1萬9.71%5,152萬-16.40%4,388.4萬-8.85%4,268.2萬
負債
流動負債
金融負債 95.11%704.45萬95.11%704.45萬144.10%936.6萬122.37%1,022萬-34.15%355.8萬-33.61%361.05萬-33.61%361.05萬-40.88%383.7萬-38.76%459.6萬-17.11%540.3萬
-短期借款及資本租賃負債 95.11%704.45萬95.11%704.45萬144.10%936.6萬122.37%1,022萬-34.15%355.8萬-33.61%361.05萬-33.61%361.05萬-40.88%383.7萬-38.76%459.6萬-17.11%540.3萬
-其中:短期借款 -4.06%297.4萬-4.06%297.4萬-0.20%297.7萬3.89%304.2萬3.57%304.7萬5.92%309.98萬5.92%309.98萬5.82%298.3萬-16.77%292.8萬-13.01%294.2萬
-其中:資本租賃負債 696.98%407.05萬696.98%407.05萬648.13%638.9萬330.34%717.8萬-79.24%51.1萬-79.66%51.07萬-79.66%51.07萬-76.74%85.4萬-58.16%166.8萬-21.52%246.1萬
應付款項 -16.16%911.77萬-16.16%911.77萬-44.34%862.9萬-19.44%1,042.7萬15.83%1,359.3萬19.34%1,087.49萬19.34%1,087.49萬-2.42%1,550.4萬-28.10%1,294.3萬6.85%1,173.5萬
-應付帳款 -26.88%556.76萬-26.88%556.76萬-49.16%504.4萬-10.30%642.8萬54.90%932.8萬20.88%761.41萬20.88%761.41萬72.74%992.2萬5.32%716.6萬31.28%602.2萬
-應交稅費 528.33%122.32萬528.33%122.32萬--0--0--014.93%19.47萬14.93%19.47萬------------
-其他應付款 -24.11%232.68萬-24.11%232.68萬-35.78%358.5萬-30.78%399.9萬-25.35%426.5萬15.95%306.61萬15.95%306.61萬-44.98%558.2萬-48.41%577.7萬-10.68%571.3萬
養老金及其他退休福利計畫 17.64%12萬17.64%12萬------------213.20%10.2萬213.20%10.2萬------------
應計及遞延所得 -22.11%201.02萬-22.11%201.02萬--0------014.34%258.07萬14.34%258.07萬------------
流動負債合計 6.55%1,829.23萬6.55%1,829.23萬-6.96%1,799.5萬17.72%2,064.7萬0.08%1,715.1萬1.95%1,716.8萬1.95%1,716.8萬-13.58%1,934.1萬-31.24%1,753.9萬-2.07%1,713.8萬
非流動負債
非流動金融負債 196.31%1,488.39萬196.31%1,488.39萬6.04%596.5萬39.94%601.2萬29.75%577萬-5.73%502.31萬-5.73%502.31萬131.39%562.5萬42.68%429.6萬-2.07%444.7萬
-長期借款及資本租賃 196.31%1,488.39萬196.31%1,488.39萬6.04%596.5萬39.94%601.2萬29.75%577萬-5.73%502.31萬-5.73%502.31萬131.39%562.5萬42.68%429.6萬-2.07%444.7萬
-其中:長期借款 -4.69%401.46萬-4.69%401.46萬-4.11%415.5萬-2.19%420.2萬-2.12%424.7萬-3.96%421.21萬-3.96%421.21萬137.55%433.3萬132.72%429.6萬132.16%433.9萬
-其中:長期資本租賃負債 1,240.23%1,086.93萬1,240.23%1,086.93萬40.09%181萬--181萬1,310.19%152.3萬-13.94%81.1萬-13.94%81.1萬112.85%129.2萬--0-95.96%10.8萬
非流動遞延所得稅負債 1,180.18%130.58萬1,180.18%130.58萬78.95%10.2萬78.95%10.2萬78.95%10.2萬78.95%10.2萬78.95%10.2萬-87.69%5.7萬-87.69%5.7萬-87.69%5.7萬
非流動負債合計 215.89%1,618.97萬215.89%1,618.97萬6.78%606.7萬40.45%611.4萬30.37%587.2萬-4.83%512.51萬-4.83%512.51萬96.34%568.2萬25.30%435.3萬-9.99%450.4萬
負債總額 54.68%3,448.2萬54.68%3,448.2萬-3.84%2,406.2萬22.24%2,676.1萬6.38%2,302.3萬0.30%2,229.31萬0.30%2,229.31萬-0.99%2,502.3萬-24.46%2,189.2萬-3.83%2,164.2萬
所有者權益
股本 -42.71%2,920.33萬-42.71%2,920.33萬-42.71%2,920.3萬-42.71%2,920.3萬-42.71%2,920.3萬0.00%5,097.33萬0.00%5,097.33萬0.00%5,097.3萬0.00%5,097.3萬0.00%5,097.3萬
-普通股 -42.71%2,920.33萬-42.71%2,920.33萬-42.71%2,920.3萬-42.71%2,920.3萬-42.71%2,920.3萬0.00%5,097.33萬0.00%5,097.33萬0.00%5,097.3萬0.00%5,097.3萬0.00%5,097.3萬
資本公積 --0--0--0--0--0--0--0--0--0--0
留存收益 298.67%3,069.81萬298.67%3,069.81萬246.41%2,847.4萬223.55%2,543.2萬204.75%2,260.1萬28.77%-1,545.16萬28.77%-1,545.16萬9.04%-1,944.8萬-5.68%-2,058.4萬-16.07%-2,157.6萬
固定資產重估價值準備 130.10%546.02萬130.10%546.02萬0.04%237.3萬--237.3萬--237.3萬--237.3萬--237.3萬--237.2萬--------
其他儲備 -154.84%-120.12萬-154.84%-120.12萬-116.55%-62.8萬-2,155.56%-55.5萬-1,178.95%-61.5萬-541.44%-47.14萬-541.44%-47.14萬-166.06%-29萬-85.94%2.7萬145.97%5.7萬
其他股本權益 0.00%-1,605.01萬0.00%-1,605.01萬0.00%-1,605萬0.00%-1,605萬0.00%-1,605萬0.00%-1,605.01萬0.00%-1,605.01萬0.00%-1,605萬0.00%-1,605萬0.00%-1,605萬
股東權益 125.10%4,811.03萬125.10%4,811.03萬147.04%4,337.2萬181.24%4,040.3萬179.86%3,751.2萬60.23%2,137.33萬60.23%2,137.33萬25.58%1,755.7萬-8.13%1,436.6萬-17.31%1,340.4萬
非控制性權益 19.74%1,043.46萬19.74%1,043.46萬-2.16%874.7萬14.45%872.8萬13.82%869.1萬17.83%871.46萬17.83%871.46萬16.00%894萬-3.15%762.6萬-5.83%763.6萬
總權益 94.58%5,854.49萬94.58%5,854.49萬96.70%5,211.9萬123.40%4,913.1萬119.60%4,620.3萬45.11%3,008.79萬45.11%3,008.79萬22.17%2,649.7萬-6.46%2,199.2萬-13.48%2,104萬
會計準則 NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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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