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吉星新能源 (03395)

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休市中 04/30 14:56 (北京)
2.35億總市值-1.76市盈率TTM

吉星新能源 (03395) 資產負債表

全部
顯示同比 yoy
隱藏空行 yoy
(FY)2025/12/31
(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
資產
流動資產
應收賬款
90.50%131.89萬
-9.66%5.12萬
59.50%19.86萬
35.22%104.75萬
-16.18%69.23萬
-95.36%5.66萬
-86.95%12.45萬
-45.14%77.46萬
-68.59%82.6萬
-36.94%122.12萬
預付款按金及其他應收款
156.48%62.15萬
-21.19%29.76萬
63.93%50.93萬
-34.48%66.2萬
-72.52%24.23萬
-51.20%37.76萬
-62.97%31.07萬
50.46%101.03萬
32.68%88.17萬
57.98%77.38萬
現金及等價物
-60.40%8.38萬
123.99%34.37萬
-13.27%50.1萬
-65.10%16.03萬
-41.79%21.15萬
-35.29%15.35萬
428.93%57.77萬
76.88%45.93萬
9.03%36.33萬
-78.86%23.71萬
流動資產合計
76.60%202.41萬
17.83%69.25萬
19.36%120.9萬
-16.68%186.98萬
-44.66%114.61萬
-73.67%58.77萬
-46.77%101.29萬
-4.22%224.42萬
-42.90%207.1萬
-37.09%223.22萬
非流動資產
物業廠房及設備
-21.45%1,622.87萬
-25.92%1,916.44萬
-25.95%1,912.61萬
-23.33%1,988.4萬
-22.72%2,066.01萬
-23.63%2,586.82萬
-26.64%2,582.74萬
-27.86%2,593.39萬
-27.92%2,673.35萬
-26.09%3,387.24萬
非流動資產特殊專案
-96.82%12.35萬
-96.92%12.35萬
-61.74%153.61萬
-34.32%388.49萬
-34.32%388.5萬
-60.77%401.46萬
-60.78%401.46萬
-42.51%591.46萬
-42.34%591.46萬
4.50%1,023.28萬
非流動資產合計
-33.79%1,638.11萬
-36.04%1,933.07萬
-31.70%2,071.49萬
-26.55%2,385.64萬
-26.00%2,474.2萬
-32.88%3,022.39萬
-34.88%3,032.72萬
-31.73%3,247.79萬
-31.44%3,343.67萬
-21.33%4,503.2萬
總資產
-28.90%1,840.52萬
-35.01%2,002.32萬
-30.05%2,192.39萬
-25.91%2,572.62萬
-27.09%2,588.81萬
-34.81%3,081.15萬
-35.35%3,134.01萬
-30.44%3,472.21萬
-32.24%3,550.76萬
-22.25%4,726.42萬
負債
流動負債
應付帳款
-32.94%596.13萬
-91.69%517.39萬
-13.28%562.59萬
-22.14%626.57萬
-2.90%888.95萬
775.27%6,223.83萬
-17.39%648.78萬
-0.25%804.78萬
-56.16%915.5萬
-63.32%711.07萬
其他貸款-流動負債
--40.02萬
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----
----
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融資租賃負債-流動負債
-92.29%1.85萬
-94.45%2.25萬
-89.51%5.71萬
-85.22%10.07萬
-67.53%24.05萬
-48.06%40.59萬
-34.76%54.43萬
-22.37%68.16萬
-14.71%74.08萬
-10.66%78.15萬
流動負債特殊專案
220.91%2,661.66萬
28.34%1,867.32萬
168.31%1,955.48萬
106.69%1,176.44萬
56.65%829.41萬
134.14%1,454.98萬
-25.19%728.81萬
39.61%569.17萬
-71.90%529.48萬
-61.13%621.41萬
流動負債調整專案
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----
----
----
----
---5,600萬
----
----
----
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流動負債合計
89.37%3,299.67萬
12.62%2,386.96萬
76.24%2,523.77萬
25.72%1,813.08萬
14.70%1,742.41萬
50.24%2,119.39萬
-22.30%1,432.02萬
10.74%1,442.1萬
-62.58%1,519.07萬
-61.08%1,410.63萬
淨流動資產
-90.27%-3,097.26萬
-12.48%-2,317.71萬
-80.57%-2,402.88萬
-33.54%-1,626.1萬
-24.07%-1,627.8萬
-73.54%-2,060.63萬
19.48%-1,330.73萬
-14.02%-1,217.68萬
64.51%-1,311.97萬
63.69%-1,187.42萬
總資產減流動負債
-272.39%-1,459.15萬
-139.99%-384.64萬
-119.47%-331.38萬
-62.59%759.54萬
-58.34%846.4萬
-70.99%961.76萬
-43.35%1,701.99萬
-44.97%2,030.11萬
72.12%2,031.7萬
35.11%3,315.79萬
非流動負債
長期應付款
17.96%2,365.29萬
53.16%2,757.92萬
54.10%2,497.88萬
57.97%2,249.32萬
62.45%2,005.2萬
12.03%1,800.64萬
11.76%1,620.93萬
12.14%1,423.93萬
--1,234.35萬
--1,607.28萬
融資租賃負債-非流動負債
24.73%1.32萬
1.05%2.64萬
-84.65%1.05萬
-90.62%1.05萬
-95.80%1.05萬
-92.95%2.61萬
-87.56%6.87萬
-83.74%11.24萬
-70.87%25.11萬
-62.81%37.1萬
其他非流動負債
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----
----
----
----
-77.46%10.91萬
-79.94%11.58萬
-73.11%14.8萬
-81.87%11.89萬
-27.73%48.39萬
非流動負債特殊專案
-88.60%112.45萬
-75.86%54.94萬
-87.37%124.29萬
-24.75%969.61萬
-24.73%986.24萬
-81.86%227.55萬
1.04%984.31萬
-21.12%1,288.53萬
714.62%1,310.35萬
223.23%1,254.52萬
非流動負債合計
-17.16%2,479.06萬
37.90%2,815.51萬
-0.02%2,623.22萬
17.58%3,219.99萬
15.91%2,992.5萬
-30.73%2,041.72萬
3.40%2,623.69萬
-9.55%2,738.5萬
725.83%2,581.7萬
431.21%2,947.29萬
總負債
22.05%5,778.73萬
25.03%5,202.47萬
26.91%5,147萬
20.39%5,033.07萬
15.46%4,734.91萬
-4.52%4,161.11萬
-7.41%4,055.71萬
-3.44%4,180.6萬
-6.21%4,100.76萬
4.26%4,357.93萬
總資產減總負債
-83.51%-3,938.21萬
-196.32%-3,200.14萬
-220.56%-2,954.6萬
-247.33%-2,460.45萬
-290.20%-2,146.1萬
-393.07%-1,079.96萬
-297.32%-921.7萬
-207.07%-708.39萬
-163.38%-550萬
-80.60%368.5萬
總權益及非流動負債
-272.39%-1,459.15萬
-139.99%-384.64萬
-119.47%-331.38萬
-62.59%759.54萬
-58.34%846.4萬
-70.99%961.76萬
-43.35%1,701.99萬
-44.97%2,030.11萬
72.12%2,031.7萬
35.11%3,315.79萬
權益
股本
3.08%2.29億
2.73%2.29億
-0.01%2.22億
0.48%2.22億
1.00%2.22億
1.01%2.22億
1.20%2.22億
0.71%2.21億
0.19%2.2億
0.19%2.2億
資本公積
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--1,375.76萬
----
--1,562.57萬
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保留溢利
-8.92%-2.82億
-9.58%-2.74億
-8.89%-2.68億
-8.43%-2.63億
-8.49%-2.59億
-11.45%-2.5億
-10.99%-2.46億
-10.23%-2.42億
-9.72%-2.39億
-8.32%-2.25億
股東權益特殊項目
-10.97%1,352.58萬
----
10.82%1,599.7萬
----
--1,519.32萬
-72.21%223.86萬
119.08%1,443.47萬
109.95%1,379.01萬
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23.66%805.56萬
股東權益
-83.51%-3,938.21萬
-196.32%-3,200.14萬
-220.56%-2,954.6萬
-247.33%-2,460.45萬
-290.20%-2,146.1萬
-393.07%-1,079.96萬
-297.32%-921.7萬
-207.07%-708.39萬
-163.38%-550萬
-80.60%368.5萬
總權益
-83.51%-3,938.21萬
-196.32%-3,200.14萬
-220.56%-2,954.6萬
-247.33%-2,460.45萬
-290.20%-2,146.1萬
-393.07%-1,079.96萬
-297.32%-921.7萬
-207.07%-708.39萬
-163.38%-550萬
-80.60%368.5萬
總權益及總負債
-28.90%1,840.52萬
-35.01%2,002.32萬
-30.05%2,192.39萬
-25.91%2,572.62萬
-27.09%2,588.81萬
-34.81%3,081.15萬
-35.35%3,134.01萬
-30.44%3,472.21萬
-32.24%3,550.76萬
-22.25%4,726.42萬
貨幣單位
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
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
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大華國際會計師事務所有限公司
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香港立信德豪會計師事務所有限公司
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(FY)2025/12/31(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
資產
流動資產
應收賬款 90.50%131.89萬-9.66%5.12萬59.50%19.86萬35.22%104.75萬-16.18%69.23萬-95.36%5.66萬-86.95%12.45萬-45.14%77.46萬-68.59%82.6萬-36.94%122.12萬
預付款按金及其他應收款 156.48%62.15萬-21.19%29.76萬63.93%50.93萬-34.48%66.2萬-72.52%24.23萬-51.20%37.76萬-62.97%31.07萬50.46%101.03萬32.68%88.17萬57.98%77.38萬
現金及等價物 -60.40%8.38萬123.99%34.37萬-13.27%50.1萬-65.10%16.03萬-41.79%21.15萬-35.29%15.35萬428.93%57.77萬76.88%45.93萬9.03%36.33萬-78.86%23.71萬
流動資產合計 76.60%202.41萬17.83%69.25萬19.36%120.9萬-16.68%186.98萬-44.66%114.61萬-73.67%58.77萬-46.77%101.29萬-4.22%224.42萬-42.90%207.1萬-37.09%223.22萬
非流動資產
物業廠房及設備 -21.45%1,622.87萬-25.92%1,916.44萬-25.95%1,912.61萬-23.33%1,988.4萬-22.72%2,066.01萬-23.63%2,586.82萬-26.64%2,582.74萬-27.86%2,593.39萬-27.92%2,673.35萬-26.09%3,387.24萬
非流動資產特殊專案 -96.82%12.35萬-96.92%12.35萬-61.74%153.61萬-34.32%388.49萬-34.32%388.5萬-60.77%401.46萬-60.78%401.46萬-42.51%591.46萬-42.34%591.46萬4.50%1,023.28萬
非流動資產合計 -33.79%1,638.11萬-36.04%1,933.07萬-31.70%2,071.49萬-26.55%2,385.64萬-26.00%2,474.2萬-32.88%3,022.39萬-34.88%3,032.72萬-31.73%3,247.79萬-31.44%3,343.67萬-21.33%4,503.2萬
總資產 -28.90%1,840.52萬-35.01%2,002.32萬-30.05%2,192.39萬-25.91%2,572.62萬-27.09%2,588.81萬-34.81%3,081.15萬-35.35%3,134.01萬-30.44%3,472.21萬-32.24%3,550.76萬-22.25%4,726.42萬
負債
流動負債
應付帳款 -32.94%596.13萬-91.69%517.39萬-13.28%562.59萬-22.14%626.57萬-2.90%888.95萬775.27%6,223.83萬-17.39%648.78萬-0.25%804.78萬-56.16%915.5萬-63.32%711.07萬
其他貸款-流動負債 --40.02萬------------------------------------
融資租賃負債-流動負債 -92.29%1.85萬-94.45%2.25萬-89.51%5.71萬-85.22%10.07萬-67.53%24.05萬-48.06%40.59萬-34.76%54.43萬-22.37%68.16萬-14.71%74.08萬-10.66%78.15萬
流動負債特殊專案 220.91%2,661.66萬28.34%1,867.32萬168.31%1,955.48萬106.69%1,176.44萬56.65%829.41萬134.14%1,454.98萬-25.19%728.81萬39.61%569.17萬-71.90%529.48萬-61.13%621.41萬
流動負債調整專案 -----------------------5,600萬----------------
流動負債合計 89.37%3,299.67萬12.62%2,386.96萬76.24%2,523.77萬25.72%1,813.08萬14.70%1,742.41萬50.24%2,119.39萬-22.30%1,432.02萬10.74%1,442.1萬-62.58%1,519.07萬-61.08%1,410.63萬
淨流動資產 -90.27%-3,097.26萬-12.48%-2,317.71萬-80.57%-2,402.88萬-33.54%-1,626.1萬-24.07%-1,627.8萬-73.54%-2,060.63萬19.48%-1,330.73萬-14.02%-1,217.68萬64.51%-1,311.97萬63.69%-1,187.42萬
總資產減流動負債 -272.39%-1,459.15萬-139.99%-384.64萬-119.47%-331.38萬-62.59%759.54萬-58.34%846.4萬-70.99%961.76萬-43.35%1,701.99萬-44.97%2,030.11萬72.12%2,031.7萬35.11%3,315.79萬
非流動負債
長期應付款 17.96%2,365.29萬53.16%2,757.92萬54.10%2,497.88萬57.97%2,249.32萬62.45%2,005.2萬12.03%1,800.64萬11.76%1,620.93萬12.14%1,423.93萬--1,234.35萬--1,607.28萬
融資租賃負債-非流動負債 24.73%1.32萬1.05%2.64萬-84.65%1.05萬-90.62%1.05萬-95.80%1.05萬-92.95%2.61萬-87.56%6.87萬-83.74%11.24萬-70.87%25.11萬-62.81%37.1萬
其他非流動負債 ---------------------77.46%10.91萬-79.94%11.58萬-73.11%14.8萬-81.87%11.89萬-27.73%48.39萬
非流動負債特殊專案 -88.60%112.45萬-75.86%54.94萬-87.37%124.29萬-24.75%969.61萬-24.73%986.24萬-81.86%227.55萬1.04%984.31萬-21.12%1,288.53萬714.62%1,310.35萬223.23%1,254.52萬
非流動負債合計 -17.16%2,479.06萬37.90%2,815.51萬-0.02%2,623.22萬17.58%3,219.99萬15.91%2,992.5萬-30.73%2,041.72萬3.40%2,623.69萬-9.55%2,738.5萬725.83%2,581.7萬431.21%2,947.29萬
總負債 22.05%5,778.73萬25.03%5,202.47萬26.91%5,147萬20.39%5,033.07萬15.46%4,734.91萬-4.52%4,161.11萬-7.41%4,055.71萬-3.44%4,180.6萬-6.21%4,100.76萬4.26%4,357.93萬
總資產減總負債 -83.51%-3,938.21萬-196.32%-3,200.14萬-220.56%-2,954.6萬-247.33%-2,460.45萬-290.20%-2,146.1萬-393.07%-1,079.96萬-297.32%-921.7萬-207.07%-708.39萬-163.38%-550萬-80.60%368.5萬
總權益及非流動負債 -272.39%-1,459.15萬-139.99%-384.64萬-119.47%-331.38萬-62.59%759.54萬-58.34%846.4萬-70.99%961.76萬-43.35%1,701.99萬-44.97%2,030.11萬72.12%2,031.7萬35.11%3,315.79萬
權益
股本 3.08%2.29億2.73%2.29億-0.01%2.22億0.48%2.22億1.00%2.22億1.01%2.22億1.20%2.22億0.71%2.21億0.19%2.2億0.19%2.2億
資本公積 ------1,375.76萬------1,562.57萬------------------------
保留溢利 -8.92%-2.82億-9.58%-2.74億-8.89%-2.68億-8.43%-2.63億-8.49%-2.59億-11.45%-2.5億-10.99%-2.46億-10.23%-2.42億-9.72%-2.39億-8.32%-2.25億
股東權益特殊項目 -10.97%1,352.58萬----10.82%1,599.7萬------1,519.32萬-72.21%223.86萬119.08%1,443.47萬109.95%1,379.01萬----23.66%805.56萬
股東權益 -83.51%-3,938.21萬-196.32%-3,200.14萬-220.56%-2,954.6萬-247.33%-2,460.45萬-290.20%-2,146.1萬-393.07%-1,079.96萬-297.32%-921.7萬-207.07%-708.39萬-163.38%-550萬-80.60%368.5萬
總權益 -83.51%-3,938.21萬-196.32%-3,200.14萬-220.56%-2,954.6萬-247.33%-2,460.45萬-290.20%-2,146.1萬-393.07%-1,079.96萬-297.32%-921.7萬-207.07%-708.39萬-163.38%-550萬-80.60%368.5萬
總權益及總負債 -28.90%1,840.52萬-35.01%2,002.32萬-30.05%2,192.39萬-25.91%2,572.62萬-27.09%2,588.81萬-34.81%3,081.15萬-35.35%3,134.01萬-30.44%3,472.21萬-32.24%3,550.76萬-22.25%4,726.42萬
貨幣單位 加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元
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 --------大華國際會計師事務所有限公司------香港立信德豪會計師事務所有限公司--

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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