港股市場個股詳情

億達中國 (03639)

添加自選
  • 0.040
  • 0.0000.00%
午間休市 05/06 09:00 (北京)
1.03億總市值-0.03市盈率TTM

億達中國 (03639) 現金流量表

全部
顯示同比 yoy
隱藏空行 yoy
(FY)2025/12/31
(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
經營活動現金流量
除稅前溢利
-37.11%-31.72億
-105.17%-7.08億
-70.00%-23.14億
-5,500.88%-3.45億
-338.20%-13.61億
-101.95%-616.4萬
-140.57%-3.11億
-48.26%3.16億
42.68%7.65億
37.16%6.1億
利潤調整項
利息(收入)-調整
-177.24%-222.9萬
1.80%-43.6萬
39.64%-80.4萬
45.52%-44.4萬
59.48%-133.2萬
62.82%-81.5萬
37.70%-328.7萬
77.19%-219.2萬
54.19%-527.6萬
-22.70%-961.1萬
應占附屬公司(盈)虧
1,373.85%2,406.8萬
-2,293.65%-138.2萬
-94.73%163.3萬
100.84%6.3萬
-64.68%3,099.5萬
-687.48%-746.1萬
196.43%8,775.5萬
103.84%127萬
-4.75%-9,100.2萬
17.05%-3,308.7萬
減值與撥備:
63.16%3.94億
81,109.09%4,466.5萬
-77.10%2.42億
101.26%5.5萬
1,400.81%10.55億
-122.66%-435萬
301.47%7,027.7萬
676.70%1,920萬
-12.42%1,750.5萬
-74.82%247.2萬
-其他減值與撥備
63.16%3.94億
81,109.09%4,466.5萬
-77.10%2.42億
101.26%5.5萬
1,400.81%10.55億
-122.66%-435萬
301.47%7,027.7萬
676.70%1,920萬
-12.42%1,750.5萬
-74.82%247.2萬
重估盈餘:
66.46%17.05億
53,275.54%1.24億
178.83%10.24億
93.20%-23.3萬
876.35%3.67億
84.61%-342.4萬
-67.91%3,762.4萬
-272.11%-2,224.9萬
244.60%1.17億
-83.80%1,292.7萬
-投資物業公平值(增)減
66.46%17.05億
53,275.54%1.24億
178.83%10.24億
93.20%-23.3萬
876.35%3.67億
84.61%-342.4萬
-67.91%3,762.4萬
-272.07%-2,224.9萬
244.61%1.17億
119.35%1,293萬
-其他公平值變動
----
----
----
----
----
----
----
----
---3,000
-50.00%-3,000
出售資產損(益):
-114.35%-6.3萬
216.76%109.6萬
-98.35%43.9萬
-60.37%34.6萬
-49.51%2,666.6萬
645.63%87.3萬
109.21%5,281萬
99.98%-16萬
-5,346.24%-5.73億
-440,410.12%-7.4億
-出售附屬公司權益損(益)
----
----
----
----
----
----
-88.27%5,209.5萬
----
--4.44億
---7.39億
-出售物業、機器及設備損(益)
-114.35%-6.3萬
216.76%109.6萬
-98.35%43.9萬
5,042.86%34.6萬
3,629.51%2,666.6萬
95.63%-7,000
100.07%71.5萬
83.69%-16萬
-9,409.44%-10.17億
-483.93%-98.1萬
-出售其他資產損(益)
----
----
----
----
----
--88萬
----
----
----
----
折舊及攤銷:
-12.38%1,436.5萬
-25.00%689萬
-32.37%1,639.4萬
-31.55%918.7萬
-27.72%2,424萬
-30.34%1,342.2萬
-35.66%3,353.6萬
-22.98%1,926.8萬
-17.57%5,212.4萬
-16.09%2,501.8萬
-折舊
-12.04%1,157.7萬
-19.46%531.7萬
-28.09%1,316.2萬
-39.91%660.2萬
-31.28%1,830.4萬
-33.73%1,098.7萬
-25.09%2,663.4萬
-11.76%1,657.9萬
-30.61%3,555.5萬
-21.02%1,878.9萬
-無形資產攤銷
-13.74%278.8萬
-39.15%157.3萬
-45.55%323.2萬
6.16%258.5萬
-14.00%593.6萬
-9.45%243.5萬
-58.34%690.2萬
-56.83%268.9萬
38.13%1,656.9萬
3.37%622.9萬
財務費用
32.11%10.63億
26.43%5.05億
16.88%8.05億
61.32%4億
18.46%6.88億
22.47%2.48億
-29.25%5.81億
-52.70%2.02億
-1.30%8.21億
78.97%4.28億
經營調整特殊項目
-477.50%-7,700.9萬
-181.84%-1,079.5萬
90.67%-1,333.5萬
107.73%1,319.1萬
-167.63%-1.43億
-199.59%-1.71億
330.35%2.11億
768.26%1.71億
84.71%-9,173.6萬
94.36%-2,563.4萬
經營資金變動前經營溢利
78.60%-5,112.4萬
-150.79%-3,896.2萬
-134.78%-2.39億
10.69%7,671.3萬
-9.65%6.87億
-90.16%6,930.5萬
-24.88%7.61億
161.10%7.04億
18.41%10.12億
-10.18%2.7億
經營資金變動項目
存貨(增加)減少
-98.80%50.6萬
-102.06%-55.4萬
-68.63%4,204.5萬
-71.37%2,695.3萬
222.98%1.34億
185.22%9,414.6萬
-66.81%-1.09億
-730.16%-1.1億
-429.31%-6,532.7萬
57.54%-1,330.7萬
發展中物業(增)減
-50.91%30.92億
-135.60%-2.98億
419.82%62.98億
75.26%-1.27億
320.55%12.12億
81.87%-5.11億
58.59%-5.49億
-860.22%-28.21億
-213.29%-13.27億
163.45%3.71億
應收帳款(增加)減少
-52.90%471.9萬
-157.33%-5,274.4萬
108.73%1,002萬
341.96%9,199.8萬
-267.85%-1.15億
-148.71%-3,802.2萬
531.55%6,841.4萬
-52.32%7,806.1萬
-105.88%-1,585.3萬
-19.76%1.64億
應付帳款增加(減少)
-123.92%-1.37億
193.42%2.87億
249.70%5.72億
-364.74%-3.07億
-391.27%-3.82億
77.93%-6,615.4萬
-82.62%1.31億
-149.50%-3億
973.55%7.55億
58.94%-1.2億
預付款項(增)減
-48.45%1.99億
367.69%7,442.5萬
255.09%3.86億
53.23%-2,780.3萬
115.29%1.09億
-253.70%-5,944.7萬
117.71%5,047.9萬
114.54%3,867.8萬
-142.98%-2.85億
106.89%1,802.8萬
營運資金變動特殊專案
59.17%-26.26億
-31.92%3.21億
-646.52%-64.32億
-49.94%4.72億
-339.25%-8.62億
-66.95%9.42億
-83.75%3.6億
285.36%28.52億
394.00%22.16億
50.31%7.4億
營運資本變動調整項目
---5,400萬
----
----
----
----
----
----
----
----
----
經營業務現金收入
-32.90%4.28億
42.18%2.92億
-18.50%6.38億
-52.25%2.06億
9.88%7.83億
-2.49%4.31億
-68.90%7.12億
-69.08%4.42億
-33.90%22.91億
158.84%14.29億
已繳中國所得稅
47.40%-1.7億
49.55%-4,128.1萬
-211.41%-3.24億
-49.73%-8,182.2萬
16.87%-1.04億
56.00%-5,464.7萬
49.75%-1.25億
24.92%-1.24億
23.85%-2.49億
4.87%-1.65億
已收利息-經營
177.24%222.9萬
-1.80%43.6萬
-39.64%80.4萬
-45.52%44.4萬
-59.46%133.2萬
-62.82%81.5萬
-38.23%328.6萬
-77.19%219.2萬
-53.81%532萬
22.70%961.1萬
經營業務調整項目
--5,400萬
----
----
----
----
----
----
----
----
----
經營活動現金淨額
-0.28%3.14億
102.39%2.52億
-53.72%3.15億
-67.02%1.24億
15.17%6.8億
17.88%3.77億
-71.15%5.91億
-74.88%3.2億
-35.02%20.47億
229.80%12.73億
投資活動現金流量
已收利息-投資
----
----
----
----
----
----
----
----
----
250,050.00%500.3萬
已收股息-投資
-34.90%132.8萬
-35.00%132.6萬
0.00%204萬
--204萬
-89.92%204萬
----
571.79%2,024.1萬
565.43%2,005.6萬
97.83%301.3萬
--301.4萬
受限制現金(增)減
379.37%9,175.6萬
-155.85%-3,737.1萬
453.94%1,914.1萬
200.88%6,691.9萬
-105.44%-540.8萬
-171.48%-6,633.5萬
-85.20%9,940.4萬
-60.05%9,280.8萬
4,824.26%6.72億
-21.50%2.32億
出售固定資產
-88.77%3.1萬
----
-94.33%27.6萬
73.45%103.2萬
6.68%486.9萬
283.87%59.5萬
43.39%456.4萬
-91.13%15.5萬
-71.39%318.3萬
432.62%174.7萬
購買固定資產
-20.60%-177.4萬
16.13%-2.6萬
-275.26%-147.1萬
96.82%-3.1萬
97.20%-39.2萬
88.64%-97.4萬
34.30%-1,397.8萬
66.31%-857.5萬
30.11%-2,127.6萬
-141.06%-2,545.6萬
出售無形資產
----
----
----
----
----
-99.89%1,000
----
--90.1萬
--202萬
----
購買無形資產
----
----
----
----
99.63%-1.7萬
87.86%-1.7萬
66.91%-461.8萬
93.18%-14萬
7.56%-1,395.4萬
71.43%-205.4萬
出售附屬公司
-58.37%132.1萬
-94.08%84.9萬
-57.49%317.3萬
239.47%1,434.6萬
-83.63%746.5萬
-66.82%422.6萬
20.97%4,560.1萬
-98.35%1,273.7萬
318.83%3,769.5萬
4,883.70%7.74億
收購附屬公司
----
----
4,015.71%4,111.5萬
----
79.05%-105萬
-138.79%-1,196.8萬
99.14%-501.2萬
99.14%-501.2萬
77.90%-5.85億
78.15%-5.8億
收回投資所得現金
-85.73%420.9萬
-78.42%420.9萬
273.42%2,950萬
--1,950萬
--790萬
----
----
----
2,418.82%5.04億
3,401.78%4.99億
投資支付現金
7.20%-122.4萬
93.07%-15.2萬
67.89%-131.9萬
---219.4萬
32.09%-410.8萬
----
55.90%-604.9萬
-198.70%-553.5萬
86.94%-1,371.5萬
98.10%-185.3萬
投資業務其他專案
----
----
----
--394.7萬
----
----
-100.21%-203.9萬
-154.05%-150.9萬
2,365.76%9.88億
257.65%279.2萬
投資業務現金淨額
3.45%9,564.7萬
-129.52%-3,116.5萬
718.26%9,245.5萬
241.74%1.06億
-91.82%1,129.9萬
-170.33%-7,447.2萬
-91.24%1.38億
-88.35%1.06億
155.76%15.76億
137.18%9.09億
融資前現金淨額
0.57%4.1億
-4.09%2.2億
-41.10%4.07億
-24.01%2.3億
-5.11%6.91億
-28.93%3.03億
-79.89%7.29億
-80.49%4.26億
1,023.34%36.23億
206.02%21.82億
融資活動現金流量
新增借款
-89.46%20.4萬
-78.53%20.4萬
-99.85%193.5萬
-99.84%95萬
-63.30%13.34億
-19.55%6.08億
302.93%36.37億
157.62%7.56億
-85.55%9.03億
-93.49%2.94億
償還借款
11.45%-2.55億
10.15%-1.38億
81.76%-2.88億
77.52%-1.53億
60.62%-15.8億
34.41%-6.82億
-19.46%-40.12億
43.46%-10.39億
38.29%-33.58億
13.85%-18.38億
已付利息-融資
-5.74%-1.44億
27.98%-5,098.7萬
64.30%-1.36億
70.48%-7,079.5萬
41.71%-3.8億
32.92%-2.4億
47.88%-6.52億
54.99%-3.57億
1.32%-12.52億
-50.78%-7.94億
融資業務其他項目
---5,002.7萬
----
----
----
----
----
----
----
79.10%-2,023萬
-150.86%-2,322.7萬
融資業務現金淨額
-5.76%-4.51億
15.39%-1.91億
33.84%-4.26億
28.96%-2.25億
38.34%-6.44億
50.98%-3.17億
72.17%-10.44億
72.79%-6.47億
-379.23%-37.52億
-249.26%-23.79億
現金淨額
-118.11%-4,099萬
572.38%2,969.9萬
-139.54%-1,879.3萬
129.77%441.7萬
115.06%4,752.8萬
93.31%-1,483.6萬
-144.64%-3.16億
-12.57%-2.22億
71.97%-1.29億
57.57%-1.97億
期初現金
-10.74%1.56億
-10.74%1.56億
37.27%1.75億
37.27%1.75億
-71.23%1.28億
-71.23%1.28億
-22.55%4.43億
-22.55%4.43億
-44.59%5.72億
-44.59%5.72億
期末現金
-26.23%1.15億
3.62%1.86億
-10.74%1.56億
59.26%1.79億
37.27%1.75億
-49.12%1.13億
-71.23%1.28億
-40.98%2.21億
-22.55%4.43億
-33.98%3.75億
現金結存分析
貨幣單位
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
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
(FY)2025/12/31(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
經營活動現金流量
除稅前溢利 -37.11%-31.72億-105.17%-7.08億-70.00%-23.14億-5,500.88%-3.45億-338.20%-13.61億-101.95%-616.4萬-140.57%-3.11億-48.26%3.16億42.68%7.65億37.16%6.1億
利潤調整項
利息(收入)-調整 -177.24%-222.9萬1.80%-43.6萬39.64%-80.4萬45.52%-44.4萬59.48%-133.2萬62.82%-81.5萬37.70%-328.7萬77.19%-219.2萬54.19%-527.6萬-22.70%-961.1萬
應占附屬公司(盈)虧 1,373.85%2,406.8萬-2,293.65%-138.2萬-94.73%163.3萬100.84%6.3萬-64.68%3,099.5萬-687.48%-746.1萬196.43%8,775.5萬103.84%127萬-4.75%-9,100.2萬17.05%-3,308.7萬
減值與撥備: 63.16%3.94億81,109.09%4,466.5萬-77.10%2.42億101.26%5.5萬1,400.81%10.55億-122.66%-435萬301.47%7,027.7萬676.70%1,920萬-12.42%1,750.5萬-74.82%247.2萬
-其他減值與撥備 63.16%3.94億81,109.09%4,466.5萬-77.10%2.42億101.26%5.5萬1,400.81%10.55億-122.66%-435萬301.47%7,027.7萬676.70%1,920萬-12.42%1,750.5萬-74.82%247.2萬
重估盈餘: 66.46%17.05億53,275.54%1.24億178.83%10.24億93.20%-23.3萬876.35%3.67億84.61%-342.4萬-67.91%3,762.4萬-272.11%-2,224.9萬244.60%1.17億-83.80%1,292.7萬
-投資物業公平值(增)減 66.46%17.05億53,275.54%1.24億178.83%10.24億93.20%-23.3萬876.35%3.67億84.61%-342.4萬-67.91%3,762.4萬-272.07%-2,224.9萬244.61%1.17億119.35%1,293萬
-其他公平值變動 -----------------------------------3,000-50.00%-3,000
出售資產損(益): -114.35%-6.3萬216.76%109.6萬-98.35%43.9萬-60.37%34.6萬-49.51%2,666.6萬645.63%87.3萬109.21%5,281萬99.98%-16萬-5,346.24%-5.73億-440,410.12%-7.4億
-出售附屬公司權益損(益) -------------------------88.27%5,209.5萬------4.44億---7.39億
-出售物業、機器及設備損(益) -114.35%-6.3萬216.76%109.6萬-98.35%43.9萬5,042.86%34.6萬3,629.51%2,666.6萬95.63%-7,000100.07%71.5萬83.69%-16萬-9,409.44%-10.17億-483.93%-98.1萬
-出售其他資產損(益) ----------------------88萬----------------
折舊及攤銷: -12.38%1,436.5萬-25.00%689萬-32.37%1,639.4萬-31.55%918.7萬-27.72%2,424萬-30.34%1,342.2萬-35.66%3,353.6萬-22.98%1,926.8萬-17.57%5,212.4萬-16.09%2,501.8萬
-折舊 -12.04%1,157.7萬-19.46%531.7萬-28.09%1,316.2萬-39.91%660.2萬-31.28%1,830.4萬-33.73%1,098.7萬-25.09%2,663.4萬-11.76%1,657.9萬-30.61%3,555.5萬-21.02%1,878.9萬
-無形資產攤銷 -13.74%278.8萬-39.15%157.3萬-45.55%323.2萬6.16%258.5萬-14.00%593.6萬-9.45%243.5萬-58.34%690.2萬-56.83%268.9萬38.13%1,656.9萬3.37%622.9萬
財務費用 32.11%10.63億26.43%5.05億16.88%8.05億61.32%4億18.46%6.88億22.47%2.48億-29.25%5.81億-52.70%2.02億-1.30%8.21億78.97%4.28億
經營調整特殊項目 -477.50%-7,700.9萬-181.84%-1,079.5萬90.67%-1,333.5萬107.73%1,319.1萬-167.63%-1.43億-199.59%-1.71億330.35%2.11億768.26%1.71億84.71%-9,173.6萬94.36%-2,563.4萬
經營資金變動前經營溢利 78.60%-5,112.4萬-150.79%-3,896.2萬-134.78%-2.39億10.69%7,671.3萬-9.65%6.87億-90.16%6,930.5萬-24.88%7.61億161.10%7.04億18.41%10.12億-10.18%2.7億
經營資金變動項目
存貨(增加)減少 -98.80%50.6萬-102.06%-55.4萬-68.63%4,204.5萬-71.37%2,695.3萬222.98%1.34億185.22%9,414.6萬-66.81%-1.09億-730.16%-1.1億-429.31%-6,532.7萬57.54%-1,330.7萬
發展中物業(增)減 -50.91%30.92億-135.60%-2.98億419.82%62.98億75.26%-1.27億320.55%12.12億81.87%-5.11億58.59%-5.49億-860.22%-28.21億-213.29%-13.27億163.45%3.71億
應收帳款(增加)減少 -52.90%471.9萬-157.33%-5,274.4萬108.73%1,002萬341.96%9,199.8萬-267.85%-1.15億-148.71%-3,802.2萬531.55%6,841.4萬-52.32%7,806.1萬-105.88%-1,585.3萬-19.76%1.64億
應付帳款增加(減少) -123.92%-1.37億193.42%2.87億249.70%5.72億-364.74%-3.07億-391.27%-3.82億77.93%-6,615.4萬-82.62%1.31億-149.50%-3億973.55%7.55億58.94%-1.2億
預付款項(增)減 -48.45%1.99億367.69%7,442.5萬255.09%3.86億53.23%-2,780.3萬115.29%1.09億-253.70%-5,944.7萬117.71%5,047.9萬114.54%3,867.8萬-142.98%-2.85億106.89%1,802.8萬
營運資金變動特殊專案 59.17%-26.26億-31.92%3.21億-646.52%-64.32億-49.94%4.72億-339.25%-8.62億-66.95%9.42億-83.75%3.6億285.36%28.52億394.00%22.16億50.31%7.4億
營運資本變動調整項目 ---5,400萬------------------------------------
經營業務現金收入 -32.90%4.28億42.18%2.92億-18.50%6.38億-52.25%2.06億9.88%7.83億-2.49%4.31億-68.90%7.12億-69.08%4.42億-33.90%22.91億158.84%14.29億
已繳中國所得稅 47.40%-1.7億49.55%-4,128.1萬-211.41%-3.24億-49.73%-8,182.2萬16.87%-1.04億56.00%-5,464.7萬49.75%-1.25億24.92%-1.24億23.85%-2.49億4.87%-1.65億
已收利息-經營 177.24%222.9萬-1.80%43.6萬-39.64%80.4萬-45.52%44.4萬-59.46%133.2萬-62.82%81.5萬-38.23%328.6萬-77.19%219.2萬-53.81%532萬22.70%961.1萬
經營業務調整項目 --5,400萬------------------------------------
經營活動現金淨額 -0.28%3.14億102.39%2.52億-53.72%3.15億-67.02%1.24億15.17%6.8億17.88%3.77億-71.15%5.91億-74.88%3.2億-35.02%20.47億229.80%12.73億
投資活動現金流量
已收利息-投資 ------------------------------------250,050.00%500.3萬
已收股息-投資 -34.90%132.8萬-35.00%132.6萬0.00%204萬--204萬-89.92%204萬----571.79%2,024.1萬565.43%2,005.6萬97.83%301.3萬--301.4萬
受限制現金(增)減 379.37%9,175.6萬-155.85%-3,737.1萬453.94%1,914.1萬200.88%6,691.9萬-105.44%-540.8萬-171.48%-6,633.5萬-85.20%9,940.4萬-60.05%9,280.8萬4,824.26%6.72億-21.50%2.32億
出售固定資產 -88.77%3.1萬-----94.33%27.6萬73.45%103.2萬6.68%486.9萬283.87%59.5萬43.39%456.4萬-91.13%15.5萬-71.39%318.3萬432.62%174.7萬
購買固定資產 -20.60%-177.4萬16.13%-2.6萬-275.26%-147.1萬96.82%-3.1萬97.20%-39.2萬88.64%-97.4萬34.30%-1,397.8萬66.31%-857.5萬30.11%-2,127.6萬-141.06%-2,545.6萬
出售無形資產 ---------------------99.89%1,000------90.1萬--202萬----
購買無形資產 ----------------99.63%-1.7萬87.86%-1.7萬66.91%-461.8萬93.18%-14萬7.56%-1,395.4萬71.43%-205.4萬
出售附屬公司 -58.37%132.1萬-94.08%84.9萬-57.49%317.3萬239.47%1,434.6萬-83.63%746.5萬-66.82%422.6萬20.97%4,560.1萬-98.35%1,273.7萬318.83%3,769.5萬4,883.70%7.74億
收購附屬公司 --------4,015.71%4,111.5萬----79.05%-105萬-138.79%-1,196.8萬99.14%-501.2萬99.14%-501.2萬77.90%-5.85億78.15%-5.8億
收回投資所得現金 -85.73%420.9萬-78.42%420.9萬273.42%2,950萬--1,950萬--790萬------------2,418.82%5.04億3,401.78%4.99億
投資支付現金 7.20%-122.4萬93.07%-15.2萬67.89%-131.9萬---219.4萬32.09%-410.8萬----55.90%-604.9萬-198.70%-553.5萬86.94%-1,371.5萬98.10%-185.3萬
投資業務其他專案 --------------394.7萬---------100.21%-203.9萬-154.05%-150.9萬2,365.76%9.88億257.65%279.2萬
投資業務現金淨額 3.45%9,564.7萬-129.52%-3,116.5萬718.26%9,245.5萬241.74%1.06億-91.82%1,129.9萬-170.33%-7,447.2萬-91.24%1.38億-88.35%1.06億155.76%15.76億137.18%9.09億
融資前現金淨額 0.57%4.1億-4.09%2.2億-41.10%4.07億-24.01%2.3億-5.11%6.91億-28.93%3.03億-79.89%7.29億-80.49%4.26億1,023.34%36.23億206.02%21.82億
融資活動現金流量
新增借款 -89.46%20.4萬-78.53%20.4萬-99.85%193.5萬-99.84%95萬-63.30%13.34億-19.55%6.08億302.93%36.37億157.62%7.56億-85.55%9.03億-93.49%2.94億
償還借款 11.45%-2.55億10.15%-1.38億81.76%-2.88億77.52%-1.53億60.62%-15.8億34.41%-6.82億-19.46%-40.12億43.46%-10.39億38.29%-33.58億13.85%-18.38億
已付利息-融資 -5.74%-1.44億27.98%-5,098.7萬64.30%-1.36億70.48%-7,079.5萬41.71%-3.8億32.92%-2.4億47.88%-6.52億54.99%-3.57億1.32%-12.52億-50.78%-7.94億
融資業務其他項目 ---5,002.7萬----------------------------79.10%-2,023萬-150.86%-2,322.7萬
融資業務現金淨額 -5.76%-4.51億15.39%-1.91億33.84%-4.26億28.96%-2.25億38.34%-6.44億50.98%-3.17億72.17%-10.44億72.79%-6.47億-379.23%-37.52億-249.26%-23.79億
現金淨額 -118.11%-4,099萬572.38%2,969.9萬-139.54%-1,879.3萬129.77%441.7萬115.06%4,752.8萬93.31%-1,483.6萬-144.64%-3.16億-12.57%-2.22億71.97%-1.29億57.57%-1.97億
期初現金 -10.74%1.56億-10.74%1.56億37.27%1.75億37.27%1.75億-71.23%1.28億-71.23%1.28億-22.55%4.43億-22.55%4.43億-44.59%5.72億-44.59%5.72億
期末現金 -26.23%1.15億3.62%1.86億-10.74%1.56億59.26%1.79億37.27%1.75億-49.12%1.13億-71.23%1.28億-40.98%2.21億-22.55%4.43億-33.98%3.75億
現金結存分析
貨幣單位 人民幣人民幣人民幣人民幣人民幣人民幣人民幣人民幣人民幣人民幣
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

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。

熱門市場機會
中美開始落實吉隆坡經貿磋商共識
中美近期相繼調整多個關稅或非關稅措施,開始落實雙方吉隆坡經貿磋商達成的成果共識。當地時間4日,美國白宮連續發佈兩項總統行政令,宣佈自2025年11月10日起,取消針對中國商品加徵的10%所謂「芬太尼關稅」以及延長一年對中國商品加徵24%「對等關稅」的暫緩期。5日,中方兩部門先後發 展开