港股市場個股詳情

中國醫療集團 (08225)

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  • 0.148
  • 0.0000.00%
已收盤 01/16 09:00 (北京)
1.47億總市值-9.87市盈率TTM

中國醫療集團 (08225) 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
應收賬款
-15.25%6,377.8萬
-11.95%5,758.4萬
-36.09%7,525.8萬
-39.90%6,539.9萬
-3.91%1.18億
-15.32%1.09億
5.30%1.23億
49.34%1.29億
60.44%1.16億
46.96%8,605.6萬
預付款按金及其他應收款
-85.67%274.2萬
-85.78%271.4萬
-0.95%1,913萬
-18.50%1,908.5萬
-45.28%1,931.3萬
2.90%2,341.6萬
45.33%3,529.6萬
20.18%2,275.7萬
63.09%2,428.6萬
32.66%1,893.5萬
現金及等價物
246.05%2,373.2萬
242.85%1,419.4萬
51.26%685.8萬
1.97%414萬
-36.01%453.4萬
-64.27%406萬
-38.82%708.6萬
-29.82%1,136.4萬
569.48%1,158.2萬
91.43%1,619.3萬
按公平值入損益金融資產-流動資產
1.92%169.5萬
-46.41%169.5萬
-53.82%166.3萬
-60.51%316.3萬
-36.38%360.1萬
41.52%801萬
-56.99%566萬
-53.45%566萬
--1,316萬
--1,216萬
流動資產特殊專案
-41.83%1,005.6萬
-19.34%1,644.9萬
-60.01%1,728.7萬
-38.05%2,039.3萬
61.77%4,323.2萬
34.46%3,291.6萬
47.04%2,672.5萬
-1.29%2,448.1萬
-53.53%1,817.5萬
-1.49%2,480萬
流動資產合計
-15.14%1.02億
-17.42%9,263.6萬
-36.21%1.2億
-36.70%1.12億
-4.50%1.88億
-8.07%1.77億
7.48%1.97億
21.90%1.93億
43.12%1.84億
48.54%1.58億
非流動資產
物業廠房及設備
-70.11%255萬
-61.95%272.8萬
294.91%853萬
412.44%716.9萬
45.65%216萬
-9.74%139.9萬
-9.19%148.3萬
-11.48%155萬
-21.83%163.3萬
-19.38%175.1萬
投資物業
--546.6萬
--559.6萬
----
----
----
----
----
----
----
----
非流動資產合計
-6.03%801.6萬
16.11%832.4萬
294.91%853萬
412.44%716.9萬
45.65%216萬
-9.74%139.9萬
-9.19%148.3萬
-11.48%155萬
-65.14%163.3萬
-63.27%175.1萬
總資產
-14.53%1.1億
-15.41%1.01億
-32.46%1.29億
-33.18%1.19億
-4.12%1.91億
-8.08%1.79億
7.33%1.99億
21.53%1.94億
39.31%1.85億
43.75%1.6億
負債
流動負債
應付帳款
-56.71%562.3萬
-31.27%829.8萬
-36.74%1,299萬
-11.06%1,207.3萬
2.09%2,053.4萬
-10.84%1,357.4萬
-8.15%2,011.3萬
-18.12%1,522.4萬
-34.73%2,189.7萬
-51.08%1,859.4萬
應付稅項
1.21%2,346.6萬
-0.67%2,193.1萬
8.24%2,318.6萬
-0.34%2,207.9萬
-2.71%2,142.1萬
-1.60%2,215.4萬
11.70%2,201.7萬
12.77%2,251.5萬
22.12%1,971萬
65.33%1,996.5萬
銀行貸款及透支
----
----
----
----
----
----
----
----
----
0.00%150萬
流動負債合計
-15.02%3,160.3萬
-11.16%3,124.3萬
-13.27%3,719萬
-4.29%3,516.6萬
-0.61%4,287.9萬
-5.19%3,674.2萬
0.88%4,314.4萬
-5.98%3,875.3萬
-16.78%4,276.8萬
-20.30%4,122萬
淨流動資產
-15.19%7,040萬
-20.28%6,139.3萬
-42.97%8,300.6萬
-45.18%7,701.4萬
-5.58%1.46億
-8.79%1.4億
9.48%1.54億
31.73%1.54億
83.17%1.41億
113.59%1.17億
總資產減流動負債
-14.33%7,841.6萬
-17.18%6,971.7萬
-38.03%9,153.6萬
-40.67%8,418.3萬
-5.10%1.48億
-8.80%1.42億
9.27%1.56億
31.09%1.56億
74.65%1.42億
99.42%1.19億
非流動負債
總負債
-15.02%3,160.3萬
-11.16%3,124.3萬
-13.27%3,719萬
-4.29%3,516.6萬
-0.61%4,287.9萬
-5.19%3,674.2萬
0.88%4,314.4萬
-5.98%3,875.3萬
-20.68%4,276.8萬
-24.02%4,122萬
總資產減總負債
-14.33%7,841.6萬
-17.18%6,971.7萬
-38.03%9,153.6萬
-40.67%8,418.3萬
-5.10%1.48億
-8.80%1.42億
9.27%1.56億
31.09%1.56億
80.24%1.42億
108.27%1.19億
權益
股本
0.00%8,890.6萬
0.00%8,890.6萬
0.00%8,890.6萬
0.00%8,890.6萬
0.00%8,890.6萬
0.00%8,890.6萬
0.00%8,890.6萬
0.00%8,890.6萬
0.26%8,890.6萬
0.26%8,890.6萬
儲備
-401.71%-985.4萬
-353.95%-1,855.3萬
-94.45%326.6萬
-107.65%-408.7萬
-11.76%5,888.4萬
-19.88%5,341.6萬
24.67%6,673.3萬
123.94%6,666.6萬
654.88%5,352.9萬
193.93%2,976.9萬
股東權益調整專案
----
----
----
----
---8.1萬
----
----
----
----
----
股東權益
-14.23%7,905.2萬
-17.06%7,035.3萬
-37.60%9,217.2萬
-40.40%8,481.9萬
-5.10%1.48億
-8.52%1.42億
9.27%1.56億
31.09%1.56億
80.24%1.42億
108.27%1.19億
非控股權益
0.00%-63.6萬
0.00%-63.6萬
---63.6萬
-44.87%-63.6萬
----
---43.9萬
----
----
----
----
總權益
-14.33%7,841.6萬
-17.18%6,971.7萬
-38.03%9,153.6萬
-40.67%8,418.3萬
-5.10%1.48億
-8.80%1.42億
9.27%1.56億
31.09%1.56億
80.24%1.42億
108.27%1.19億
總權益及總負債
-14.53%1.1億
-15.41%1.01億
-32.46%1.29億
-33.18%1.19億
-4.12%1.91億
-8.08%1.79億
7.33%1.99億
21.53%1.94億
39.31%1.85億
43.75%1.6億
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
審計意見
--
--
--
--
--
--
--
--
--
無保留意見
會計師事務所
--
和信會計師事務所有限公司
--
和信會計師事務所有限公司
--
和信會計師事務所有限公司
--
中匯安達會計師事務所有限公司
--
中匯安達會計師事務所有限公司
(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
應收賬款 -15.25%6,377.8萬-11.95%5,758.4萬-36.09%7,525.8萬-39.90%6,539.9萬-3.91%1.18億-15.32%1.09億5.30%1.23億49.34%1.29億60.44%1.16億46.96%8,605.6萬
預付款按金及其他應收款 -85.67%274.2萬-85.78%271.4萬-0.95%1,913萬-18.50%1,908.5萬-45.28%1,931.3萬2.90%2,341.6萬45.33%3,529.6萬20.18%2,275.7萬63.09%2,428.6萬32.66%1,893.5萬
現金及等價物 246.05%2,373.2萬242.85%1,419.4萬51.26%685.8萬1.97%414萬-36.01%453.4萬-64.27%406萬-38.82%708.6萬-29.82%1,136.4萬569.48%1,158.2萬91.43%1,619.3萬
按公平值入損益金融資產-流動資產 1.92%169.5萬-46.41%169.5萬-53.82%166.3萬-60.51%316.3萬-36.38%360.1萬41.52%801萬-56.99%566萬-53.45%566萬--1,316萬--1,216萬
流動資產特殊專案 -41.83%1,005.6萬-19.34%1,644.9萬-60.01%1,728.7萬-38.05%2,039.3萬61.77%4,323.2萬34.46%3,291.6萬47.04%2,672.5萬-1.29%2,448.1萬-53.53%1,817.5萬-1.49%2,480萬
流動資產合計 -15.14%1.02億-17.42%9,263.6萬-36.21%1.2億-36.70%1.12億-4.50%1.88億-8.07%1.77億7.48%1.97億21.90%1.93億43.12%1.84億48.54%1.58億
非流動資產
物業廠房及設備 -70.11%255萬-61.95%272.8萬294.91%853萬412.44%716.9萬45.65%216萬-9.74%139.9萬-9.19%148.3萬-11.48%155萬-21.83%163.3萬-19.38%175.1萬
投資物業 --546.6萬--559.6萬--------------------------------
非流動資產合計 -6.03%801.6萬16.11%832.4萬294.91%853萬412.44%716.9萬45.65%216萬-9.74%139.9萬-9.19%148.3萬-11.48%155萬-65.14%163.3萬-63.27%175.1萬
總資產 -14.53%1.1億-15.41%1.01億-32.46%1.29億-33.18%1.19億-4.12%1.91億-8.08%1.79億7.33%1.99億21.53%1.94億39.31%1.85億43.75%1.6億
負債
流動負債
應付帳款 -56.71%562.3萬-31.27%829.8萬-36.74%1,299萬-11.06%1,207.3萬2.09%2,053.4萬-10.84%1,357.4萬-8.15%2,011.3萬-18.12%1,522.4萬-34.73%2,189.7萬-51.08%1,859.4萬
應付稅項 1.21%2,346.6萬-0.67%2,193.1萬8.24%2,318.6萬-0.34%2,207.9萬-2.71%2,142.1萬-1.60%2,215.4萬11.70%2,201.7萬12.77%2,251.5萬22.12%1,971萬65.33%1,996.5萬
銀行貸款及透支 ------------------------------------0.00%150萬
流動負債合計 -15.02%3,160.3萬-11.16%3,124.3萬-13.27%3,719萬-4.29%3,516.6萬-0.61%4,287.9萬-5.19%3,674.2萬0.88%4,314.4萬-5.98%3,875.3萬-16.78%4,276.8萬-20.30%4,122萬
淨流動資產 -15.19%7,040萬-20.28%6,139.3萬-42.97%8,300.6萬-45.18%7,701.4萬-5.58%1.46億-8.79%1.4億9.48%1.54億31.73%1.54億83.17%1.41億113.59%1.17億
總資產減流動負債 -14.33%7,841.6萬-17.18%6,971.7萬-38.03%9,153.6萬-40.67%8,418.3萬-5.10%1.48億-8.80%1.42億9.27%1.56億31.09%1.56億74.65%1.42億99.42%1.19億
非流動負債
總負債 -15.02%3,160.3萬-11.16%3,124.3萬-13.27%3,719萬-4.29%3,516.6萬-0.61%4,287.9萬-5.19%3,674.2萬0.88%4,314.4萬-5.98%3,875.3萬-20.68%4,276.8萬-24.02%4,122萬
總資產減總負債 -14.33%7,841.6萬-17.18%6,971.7萬-38.03%9,153.6萬-40.67%8,418.3萬-5.10%1.48億-8.80%1.42億9.27%1.56億31.09%1.56億80.24%1.42億108.27%1.19億
權益
股本 0.00%8,890.6萬0.00%8,890.6萬0.00%8,890.6萬0.00%8,890.6萬0.00%8,890.6萬0.00%8,890.6萬0.00%8,890.6萬0.00%8,890.6萬0.26%8,890.6萬0.26%8,890.6萬
儲備 -401.71%-985.4萬-353.95%-1,855.3萬-94.45%326.6萬-107.65%-408.7萬-11.76%5,888.4萬-19.88%5,341.6萬24.67%6,673.3萬123.94%6,666.6萬654.88%5,352.9萬193.93%2,976.9萬
股東權益調整專案 -------------------8.1萬--------------------
股東權益 -14.23%7,905.2萬-17.06%7,035.3萬-37.60%9,217.2萬-40.40%8,481.9萬-5.10%1.48億-8.52%1.42億9.27%1.56億31.09%1.56億80.24%1.42億108.27%1.19億
非控股權益 0.00%-63.6萬0.00%-63.6萬---63.6萬-44.87%-63.6萬-------43.9萬----------------
總權益 -14.33%7,841.6萬-17.18%6,971.7萬-38.03%9,153.6萬-40.67%8,418.3萬-5.10%1.48億-8.80%1.42億9.27%1.56億31.09%1.56億80.24%1.42億108.27%1.19億
總權益及總負債 -14.53%1.1億-15.41%1.01億-32.46%1.29億-33.18%1.19億-4.12%1.91億-8.08%1.79億7.33%1.99億21.53%1.94億39.31%1.85億43.75%1.6億
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
審計意見 ------------------無保留意見
會計師事務所 --和信會計師事務所有限公司--和信會計師事務所有限公司--和信會計師事務所有限公司--中匯安達會計師事務所有限公司--中匯安達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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