港股市場個股詳情

保寶龍科技 (01861)

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休市中 01/23 15:58 (北京)
4.73億總市值7.54市盈率TTM

保寶龍科技 (01861) 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
-13.05%3,605萬
-15.08%3,683.9萬
-14.27%4,146萬
-14.41%4,337.9萬
1.30%4,835.9萬
-7.46%5,068.2萬
-23.57%4,773.8萬
-2.85%5,476.7萬
6.77%6,245.9萬
14.68%5,637.4萬
應收賬款
16.31%6,939.1萬
31.43%4,679.1萬
83.87%5,966萬
19.79%3,560.2萬
-22.72%3,244.7萬
-21.98%2,972.1萬
1.29%4,198.9萬
-5.89%3,809.6萬
-54.21%4,145.6萬
33.63%4,048.2萬
預付款按金及其他應收款
234.42%2,164.7萬
113.66%1,556.1萬
-11.12%647.3萬
-55.69%728.3萬
-61.98%728.3萬
-10.06%1,643.7萬
9.58%1,915.7萬
36.72%1,827.5萬
28.04%1,748.2萬
125.19%1,336.7萬
現金及等價物
38.22%1.56億
-1.97%1.06億
1.69%1.13億
17.88%1.08億
-16.40%1.11億
1.15%9,139.2萬
-12.71%1.33億
-44.10%9,035.1萬
50.55%1.52億
19.76%1.62億
已抵押存款
32.64%274.7萬
-59.07%489萬
-72.65%207.1萬
487.99%1,194.8萬
-58.91%757.1萬
-89.72%203.2萬
285.72%1,842.6萬
357.84%1,977.4萬
31.78%477.7萬
26.14%431.9萬
流動資產合計
28.44%2.86億
1.82%2.1億
7.69%2.22億
8.24%2.06億
-20.54%2.07億
-14.01%1.9億
-6.53%2.6億
-19.88%2.21億
4.07%2.78億
23.42%2.76億
非流動資產
物業廠房及設備
-13.74%1.85億
-8.39%2.06億
-3.03%2.14億
-1.49%2.25億
0.76%2.21億
-0.45%2.29億
3.73%2.19億
40.32%2.3億
71.14%2.12億
70.15%1.64億
預付款項
--795萬
--782.9萬
----
----
----
----
8.36%995.6萬
-50.48%953萬
-49.18%918.8萬
-56.27%1,924.5萬
遞延稅項資產
47.58%630萬
40.41%572.3萬
19.35%426.9萬
-0.44%407.6萬
-15.20%357.7萬
0.17%409.4萬
-2.13%421.8萬
7.84%408.7萬
43.62%431萬
75.46%379萬
非流動資產合計
-7.81%2.46億
-4.30%2.67億
-2.46%2.67億
-2.15%2.79億
-5.03%2.74億
-5.51%2.85億
1.88%2.88億
23.02%3.02億
37.80%2.83億
23.60%2.45億
總資產
8.67%5.32億
-1.70%4.77億
1.90%4.89億
2.01%4.85億
-12.38%4.8億
-9.10%4.75億
-2.29%5.48億
0.29%5.23億
18.73%5.61億
23.50%5.21億
負債
流動負債
應付帳款
-8.68%4,232.2萬
-22.64%4,162萬
-12.32%4,634.5萬
3.59%5,380.3萬
-8.96%5,285.9萬
-16.05%5,193.6萬
1.23%5,806.2萬
16.13%6,186.6萬
11.45%5,735.5萬
25.85%5,327.3萬
應付稅項
12.71%200.4萬
-92.41%12.5萬
-64.29%177.8萬
-73.00%164.7萬
27.02%497.9萬
144.43%610.1萬
54.57%392萬
-27.27%249.6萬
-73.99%253.6萬
26.08%343.2萬
其他應付款及應計費用
21.33%6,232.7萬
9.20%6,108.6萬
3.17%5,136.8萬
-3.02%5,594萬
-13.13%4,978.9萬
10.64%5,768.2萬
-18.39%5,731.2萬
-50.59%5,213.7萬
25.67%7,022.5萬
90.61%1.06億
銀行貸款及透支
12.49%1,068.9萬
-1.45%1,016萬
-64.15%950.2萬
-35.74%1,031萬
-37.98%2,650.7萬
-72.95%1,604.3萬
-42.91%4,274萬
-13.55%5,930.7萬
94.51%7,486.8萬
352.78%6,860.5萬
遞延收入-流動負債
0.00%21.9萬
-2.26%21.6萬
1.39%21.9萬
-2.21%22.1萬
-7.69%21.6萬
-7.76%22.6萬
-2.50%23.4萬
2.94%24.5萬
9.59%24萬
6.25%23.8萬
流動負債合計
7.64%1.18億
-7.15%1.13億
-18.71%1.09億
-7.63%1.22億
-17.20%1.34億
-25.03%1.32億
-20.93%1.62億
-23.81%1.76億
31.72%2.05億
99.56%2.31億
淨流動資產
48.51%1.68億
14.83%9,648.4萬
56.80%1.13億
44.18%8,402.1萬
-26.09%7,220.7萬
28.89%5,827.6萬
33.99%9,769.4萬
0.26%4,521.2萬
-34.57%7,291.2萬
-58.24%4,509.5萬
總資產減流動負債
8.96%4.14億
0.13%3.63億
9.91%3.8億
5.72%3.63億
-10.36%3.46億
-1.02%3.43億
8.46%3.86億
19.49%3.47億
12.34%3.56億
-5.25%2.9億
非流動負債
長期銀行貸款
-43.58%1,063.1萬
-39.94%1,515.5萬
-35.77%1,884.3萬
-27.69%2,523.4萬
-70.22%2,933.6萬
-42.86%3,489.5萬
63.85%9,851.7萬
34,205.62%6,106.4萬
1,340.83%6,012.6萬
-99.29%17.8萬
應付關聯方款項-非流動負債
-31.50%1,740萬
-31.50%1,740萬
-23.95%2,540萬
-28.25%2,540萬
-5.65%3,340萬
0.00%3,540萬
-41.00%3,540萬
-41.00%3,540萬
--6,000萬
--6,000萬
遞延稅項負債
32.29%464.2萬
36.55%464萬
-16.57%350.9萬
-18.04%339.8萬
59.44%420.6萬
66.44%414.6萬
69.21%263.8萬
-5.68%249.1萬
-39.76%155.9萬
49.29%264.1萬
遞延收入-非流動負債
-28.55%54.8萬
-26.61%64.8萬
-21.09%76.7萬
-22.00%88.3萬
-24.42%97.2萬
-23.05%113.2萬
-17.72%128.6萬
-11.55%147.1萬
-4.98%156.3萬
-7.09%166.3萬
非流動負債合計
-31.53%3,322.1萬
-31.09%3,784.3萬
-28.56%4,851.9萬
-27.34%5,491.5萬
-50.73%6,791.4萬
-24.75%7,557.3萬
11.84%1.38億
55.74%1億
1,366.19%1.23億
125.14%6,448.2萬
總負債
-4.41%1.51億
-14.58%1.51億
-22.02%1.58億
-14.80%1.77億
-32.60%2.02億
-24.93%2.08億
-8.63%3億
-6.45%2.76億
100.03%3.28億
104.64%2.96億
總資產減總負債
14.88%3.81億
5.70%3.25億
19.30%3.32億
15.05%3.08億
12.07%2.78億
8.65%2.68億
6.67%2.48億
9.13%2.46億
-24.57%2.33億
-18.70%2.26億
總權益及非流動負債
8.96%4.14億
0.13%3.63億
9.91%3.8億
5.72%3.63億
-10.36%3.46億
-1.02%3.43億
8.46%3.86億
19.49%3.47億
12.34%3.56億
-5.25%2.9億
權益
股本
0.00%233.9萬
0.00%233.9萬
0.00%233.9萬
0.00%233.9萬
0.00%233.9萬
0.00%233.9萬
0.00%233.9萬
0.17%233.9萬
0.17%233.9萬
0.00%233.5萬
儲備
----
5.73%3.24億
----
15.25%3.06億
----
8.75%2.66億
----
9.25%2.44億
----
--2.23億
其他儲備
14.97%3.79億
----
19.52%3.3億
----
12.20%2.76億
----
6.76%2.46億
----
--2.3億
----
股東權益
14.86%3.82億
5.69%3.26億
19.35%3.32億
15.12%3.08億
12.08%2.78億
8.67%2.68億
6.69%2.48億
9.16%2.47億
-21.76%2.33億
-18.02%2.26億
非控股權益
1.81%-43.3萬
3.39%-42.8萬
-72.27%-44.1萬
-94.30%-44.3萬
-26.11%-25.6萬
-32.56%-22.8萬
-52.63%-20.3萬
-79.17%-17.2萬
-101.22%-13.3萬
-104.42%-9.6萬
總權益
14.88%3.81億
5.70%3.25億
19.30%3.32億
15.05%3.08億
12.07%2.78億
8.65%2.68億
6.67%2.48億
9.13%2.46億
-24.57%2.33億
-18.70%2.26億
總權益及總負債
8.67%5.32億
-1.70%4.77億
1.90%4.89億
2.01%4.85億
-12.38%4.8億
-9.10%4.75億
-2.29%5.48億
0.29%5.23億
18.73%5.61億
23.50%5.21億
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
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
--
安永會計師事務所
--
安永會計師事務所
--
安永會計師事務所
--
安永會計師事務所
--
安永會計師事務所
(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 -13.05%3,605萬-15.08%3,683.9萬-14.27%4,146萬-14.41%4,337.9萬1.30%4,835.9萬-7.46%5,068.2萬-23.57%4,773.8萬-2.85%5,476.7萬6.77%6,245.9萬14.68%5,637.4萬
應收賬款 16.31%6,939.1萬31.43%4,679.1萬83.87%5,966萬19.79%3,560.2萬-22.72%3,244.7萬-21.98%2,972.1萬1.29%4,198.9萬-5.89%3,809.6萬-54.21%4,145.6萬33.63%4,048.2萬
預付款按金及其他應收款 234.42%2,164.7萬113.66%1,556.1萬-11.12%647.3萬-55.69%728.3萬-61.98%728.3萬-10.06%1,643.7萬9.58%1,915.7萬36.72%1,827.5萬28.04%1,748.2萬125.19%1,336.7萬
現金及等價物 38.22%1.56億-1.97%1.06億1.69%1.13億17.88%1.08億-16.40%1.11億1.15%9,139.2萬-12.71%1.33億-44.10%9,035.1萬50.55%1.52億19.76%1.62億
已抵押存款 32.64%274.7萬-59.07%489萬-72.65%207.1萬487.99%1,194.8萬-58.91%757.1萬-89.72%203.2萬285.72%1,842.6萬357.84%1,977.4萬31.78%477.7萬26.14%431.9萬
流動資產合計 28.44%2.86億1.82%2.1億7.69%2.22億8.24%2.06億-20.54%2.07億-14.01%1.9億-6.53%2.6億-19.88%2.21億4.07%2.78億23.42%2.76億
非流動資產
物業廠房及設備 -13.74%1.85億-8.39%2.06億-3.03%2.14億-1.49%2.25億0.76%2.21億-0.45%2.29億3.73%2.19億40.32%2.3億71.14%2.12億70.15%1.64億
預付款項 --795萬--782.9萬----------------8.36%995.6萬-50.48%953萬-49.18%918.8萬-56.27%1,924.5萬
遞延稅項資產 47.58%630萬40.41%572.3萬19.35%426.9萬-0.44%407.6萬-15.20%357.7萬0.17%409.4萬-2.13%421.8萬7.84%408.7萬43.62%431萬75.46%379萬
非流動資產合計 -7.81%2.46億-4.30%2.67億-2.46%2.67億-2.15%2.79億-5.03%2.74億-5.51%2.85億1.88%2.88億23.02%3.02億37.80%2.83億23.60%2.45億
總資產 8.67%5.32億-1.70%4.77億1.90%4.89億2.01%4.85億-12.38%4.8億-9.10%4.75億-2.29%5.48億0.29%5.23億18.73%5.61億23.50%5.21億
負債
流動負債
應付帳款 -8.68%4,232.2萬-22.64%4,162萬-12.32%4,634.5萬3.59%5,380.3萬-8.96%5,285.9萬-16.05%5,193.6萬1.23%5,806.2萬16.13%6,186.6萬11.45%5,735.5萬25.85%5,327.3萬
應付稅項 12.71%200.4萬-92.41%12.5萬-64.29%177.8萬-73.00%164.7萬27.02%497.9萬144.43%610.1萬54.57%392萬-27.27%249.6萬-73.99%253.6萬26.08%343.2萬
其他應付款及應計費用 21.33%6,232.7萬9.20%6,108.6萬3.17%5,136.8萬-3.02%5,594萬-13.13%4,978.9萬10.64%5,768.2萬-18.39%5,731.2萬-50.59%5,213.7萬25.67%7,022.5萬90.61%1.06億
銀行貸款及透支 12.49%1,068.9萬-1.45%1,016萬-64.15%950.2萬-35.74%1,031萬-37.98%2,650.7萬-72.95%1,604.3萬-42.91%4,274萬-13.55%5,930.7萬94.51%7,486.8萬352.78%6,860.5萬
遞延收入-流動負債 0.00%21.9萬-2.26%21.6萬1.39%21.9萬-2.21%22.1萬-7.69%21.6萬-7.76%22.6萬-2.50%23.4萬2.94%24.5萬9.59%24萬6.25%23.8萬
流動負債合計 7.64%1.18億-7.15%1.13億-18.71%1.09億-7.63%1.22億-17.20%1.34億-25.03%1.32億-20.93%1.62億-23.81%1.76億31.72%2.05億99.56%2.31億
淨流動資產 48.51%1.68億14.83%9,648.4萬56.80%1.13億44.18%8,402.1萬-26.09%7,220.7萬28.89%5,827.6萬33.99%9,769.4萬0.26%4,521.2萬-34.57%7,291.2萬-58.24%4,509.5萬
總資產減流動負債 8.96%4.14億0.13%3.63億9.91%3.8億5.72%3.63億-10.36%3.46億-1.02%3.43億8.46%3.86億19.49%3.47億12.34%3.56億-5.25%2.9億
非流動負債
長期銀行貸款 -43.58%1,063.1萬-39.94%1,515.5萬-35.77%1,884.3萬-27.69%2,523.4萬-70.22%2,933.6萬-42.86%3,489.5萬63.85%9,851.7萬34,205.62%6,106.4萬1,340.83%6,012.6萬-99.29%17.8萬
應付關聯方款項-非流動負債 -31.50%1,740萬-31.50%1,740萬-23.95%2,540萬-28.25%2,540萬-5.65%3,340萬0.00%3,540萬-41.00%3,540萬-41.00%3,540萬--6,000萬--6,000萬
遞延稅項負債 32.29%464.2萬36.55%464萬-16.57%350.9萬-18.04%339.8萬59.44%420.6萬66.44%414.6萬69.21%263.8萬-5.68%249.1萬-39.76%155.9萬49.29%264.1萬
遞延收入-非流動負債 -28.55%54.8萬-26.61%64.8萬-21.09%76.7萬-22.00%88.3萬-24.42%97.2萬-23.05%113.2萬-17.72%128.6萬-11.55%147.1萬-4.98%156.3萬-7.09%166.3萬
非流動負債合計 -31.53%3,322.1萬-31.09%3,784.3萬-28.56%4,851.9萬-27.34%5,491.5萬-50.73%6,791.4萬-24.75%7,557.3萬11.84%1.38億55.74%1億1,366.19%1.23億125.14%6,448.2萬
總負債 -4.41%1.51億-14.58%1.51億-22.02%1.58億-14.80%1.77億-32.60%2.02億-24.93%2.08億-8.63%3億-6.45%2.76億100.03%3.28億104.64%2.96億
總資產減總負債 14.88%3.81億5.70%3.25億19.30%3.32億15.05%3.08億12.07%2.78億8.65%2.68億6.67%2.48億9.13%2.46億-24.57%2.33億-18.70%2.26億
總權益及非流動負債 8.96%4.14億0.13%3.63億9.91%3.8億5.72%3.63億-10.36%3.46億-1.02%3.43億8.46%3.86億19.49%3.47億12.34%3.56億-5.25%2.9億
權益
股本 0.00%233.9萬0.00%233.9萬0.00%233.9萬0.00%233.9萬0.00%233.9萬0.00%233.9萬0.00%233.9萬0.17%233.9萬0.17%233.9萬0.00%233.5萬
儲備 ----5.73%3.24億----15.25%3.06億----8.75%2.66億----9.25%2.44億------2.23億
其他儲備 14.97%3.79億----19.52%3.3億----12.20%2.76億----6.76%2.46億------2.3億----
股東權益 14.86%3.82億5.69%3.26億19.35%3.32億15.12%3.08億12.08%2.78億8.67%2.68億6.69%2.48億9.16%2.47億-21.76%2.33億-18.02%2.26億
非控股權益 1.81%-43.3萬3.39%-42.8萬-72.27%-44.1萬-94.30%-44.3萬-26.11%-25.6萬-32.56%-22.8萬-52.63%-20.3萬-79.17%-17.2萬-101.22%-13.3萬-104.42%-9.6萬
總權益 14.88%3.81億5.70%3.25億19.30%3.32億15.05%3.08億12.07%2.78億8.65%2.68億6.67%2.48億9.13%2.46億-24.57%2.33億-18.70%2.26億
總權益及總負債 8.67%5.32億-1.70%4.77億1.90%4.89億2.01%4.85億-12.38%4.8億-9.10%4.75億-2.29%5.48億0.29%5.23億18.73%5.61億23.50%5.21億
貨幣單位 港元港元港元港元港元港元港元港元港元港元
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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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