港股市場個股詳情

財華社集團 (08317)

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交易中 05/07 09:03 (北京)
1.08億總市值54.00市盈率TTM

財華社集團 (08317) 資產負債表

全部
顯示同比 yoy
隱藏空行 yoy
(Q6)2025/09/30
(FY)2025/03/31
(Q6)2024/09/30
(FY)2024/03/31
(Q6)2023/09/30
(FY)2023/03/31
(Q6)2022/09/30
(FY)2022/03/31
(Q6)2021/09/30
(FY)2021/03/31
資產
流動資產
應收賬款
4.56%522.3萬
-69.02%180.8萬
-51.67%499.5萬
3.81%583.6萬
-7.08%1,033.6萬
33.67%562.2萬
96.05%1,112.4萬
-4.65%420.6萬
77.31%567.4萬
54.34%441.1萬
應收關聯方款項
8.56%2,637.9萬
28.36%2,616.3萬
83.85%2,429.8萬
39.40%2,038.3萬
93.78%1,321.6萬
221.22%1,462.2萬
-7.15%682萬
-14.05%455.2萬
60.58%734.5萬
-0.81%529.6萬
預付款按金及其他應收款
-18.98%114.8萬
-44.33%84.9萬
-11.77%141.7萬
-8.24%152.5萬
-69.26%160.6萬
-55.61%166.2萬
65.95%522.4萬
-14.05%374.4萬
-37.79%314.8萬
-11.84%435.6萬
現金及等價物
-60.62%726.8萬
7.19%934.6萬
57.59%1,845.4萬
6.23%871.9萬
6.77%1,171萬
-53.94%820.8萬
26.84%1,096.8萬
-2.20%1,782.1萬
-32.51%864.7萬
99.93%1,822.2萬
流動資產合計
-18.60%4,001.8萬
4.67%3,816.6萬
33.35%4,916.4萬
21.08%3,646.3萬
8.00%3,686.8萬
-0.69%3,011.4萬
-54.52%3,413.6萬
-6.89%3,032.3萬
191.61%7,506.5萬
39.98%3,256.7萬
非流動資產
物業廠房及設備
-42.06%43.4萬
-29.49%55.7萬
-19.81%74.9萬
-19.80%79萬
-24.07%93.4萬
-36.66%98.5萬
-27.56%123萬
-97.00%155.5萬
-96.77%169.8萬
-3.00%5,184.3萬
投資物業
-1.44%2,355.6萬
-1.44%2,355.6萬
-12.33%2,390萬
-12.33%2,390萬
-7.59%2,726萬
-7.59%2,726萬
-11.41%2,950萬
-11.41%2,950萬
1.83%3,330萬
1.83%3,330萬
無形資產
----
----
----
----
0.00%95萬
0.00%95萬
0.00%95萬
0.00%95萬
0.00%95萬
0.00%95萬
非流動資產特殊專案
-20.92%15.5萬
0.00%15.5萬
26.45%19.6萬
-24.39%15.5萬
-24.39%15.5萬
0.00%20.5萬
0.00%20.5萬
0.00%20.5萬
0.00%20.5萬
-55.04%20.5萬
非流動資產合計
-12.42%2,462.4萬
-10.26%2,660.8萬
-6.21%2,811.5萬
-7.30%2,965.1萬
-15.81%2,997.8萬
-15.44%3,198.6萬
-4.48%3,560.8萬
-56.39%3,782.7萬
-57.25%3,727.8萬
-2.41%8,673.6萬
總資產
-16.35%6,464.2萬
-2.03%6,477.4萬
15.61%7,727.9萬
6.46%6,611.4萬
-4.16%6,684.6萬
-8.88%6,210萬
-37.92%6,974.4萬
-42.88%6,815萬
-0.53%1.12億
6.38%1.19億
負債
流動負債
應付帳款
-65.15%96.4萬
-29.66%196.6萬
13.04%276.6萬
56.15%279.5萬
36.86%244.7萬
-2.82%179萬
-6.78%178.8萬
-42.67%184.2萬
-44.90%191.8萬
31.09%321.3萬
應付關連方款項-流動負債
----
----
----
0.00%5,000
----
--5,000
----
----
----
0.00%4.2萬
其他應付款及應計費用
-36.96%381萬
1.40%355.2萬
19.33%604.4萬
-30.91%350.3萬
-25.85%506.5萬
1.12%507萬
6.24%683.1萬
32.16%501.4萬
-24.42%643萬
-27.98%379.4萬
短期借款
----
----
----
----
----
----
----
-47.57%1,234.2萬
----
86.78%2,354萬
銀行貸款及透支
-96.45%39.3萬
--38.5萬
--1,108.2萬
----
----
----
-8.63%1,098.6萬
----
-3.46%1,202.4萬
----
其他貸款-流動負債
----
----
--778.1萬
--360萬
----
----
----
----
----
----
融資租賃負債-流動負債
-68.26%49.2萬
-23.20%235萬
123.99%155萬
16.04%306萬
-80.64%69.2萬
-28.30%263.7萬
409.99%357.5萬
797.07%367.8萬
-11.15%70.1萬
-64.99%41萬
流動負債合計
-81.76%565.9萬
-43.66%832萬
210.00%3,102.8萬
30.61%1,476.8萬
-59.94%1,000.9萬
-50.57%1,130.7萬
-23.18%2,498.5萬
-26.20%2,287.6萬
28.69%3,252.4萬
42.52%3,099.9萬
淨流動資產
89.45%3,435.9萬
37.57%2,984.6萬
-32.48%1,813.6萬
15.36%2,169.5萬
193.51%2,685.9萬
152.54%1,880.7萬
-78.49%915.1萬
374.94%744.7萬
8,989.96%4,254.1萬
3.50%156.8萬
總資產減流動負債
27.53%5,898.3萬
9.95%5,645.4萬
-18.63%4,625.1萬
1.09%5,134.6萬
26.98%5,683.7萬
12.19%5,079.3萬
-43.92%4,475.9萬
-48.73%4,527.4萬
-8.96%7,981.9萬
-2.31%8,830.4萬
非流動負債
長期銀行貸款
--1,013.5萬
--1,013萬
----
----
----
----
----
----
----
----
其他貸款-非流動負債
----
----
----
----
----
--2,401.8萬
----
----
43.50%3,537.3萬
46.08%3,349萬
融資租賃負債-非流動負債
----
----
--179.9萬
--179.9萬
----
----
-51.73%20.9萬
5,071.05%196.5萬
--43.3萬
-77.91%3.8萬
遞延稅項負債
-3.61%550萬
-3.59%550萬
-26.11%570.6萬
-26.11%570.5萬
-14.83%772.2萬
-14.83%772.1萬
-20.09%906.7萬
-20.57%906.5萬
1.45%1,134.6萬
2.05%1,141.3萬
非流動負債合計
108.33%1,563.5萬
108.29%1,563萬
-2.81%750.5萬
-76.36%750.4萬
-16.75%772.2萬
187.75%3,173.9萬
-80.33%927.6萬
-75.46%1,103萬
31.58%4,715.2萬
31.09%4,494.1萬
總負債
-44.74%2,129.4萬
7.53%2,395萬
117.32%3,853.3萬
-48.26%2,227.2萬
-48.25%1,773.1萬
26.96%4,304.6萬
-57.00%3,426.1萬
-55.35%3,390.6萬
30.39%7,967.6萬
35.53%7,594萬
總資產減總負債
11.88%4,334.8萬
-6.88%4,082.4萬
-21.11%3,874.6萬
130.09%4,384.2萬
38.42%4,911.5萬
-44.36%1,905.4萬
8.62%3,548.3萬
-21.03%3,424.4萬
-36.98%3,266.7萬
-22.72%4,336.3萬
總權益及非流動負債
27.53%5,898.3萬
9.95%5,645.4萬
-18.63%4,625.1萬
1.09%5,134.6萬
26.98%5,683.7萬
12.19%5,079.3萬
-43.92%4,475.9萬
-48.73%4,527.4萬
-8.96%7,981.9萬
-2.31%8,830.4萬
權益
股本
0.00%999.8萬
0.00%999.8萬
0.00%999.8萬
50.01%999.8萬
50.01%999.8萬
0.00%666.5萬
0.00%666.5萬
0.00%666.5萬
0.00%666.5萬
0.00%666.5萬
儲備
3.52%3,686.4萬
-10.71%3,510.8萬
-19.20%3,560.9萬
106.07%3,932萬
29.54%4,407.2萬
-44.50%1,908.1萬
7.34%3,402.2萬
-21.82%3,437.8萬
-39.33%3,169.5萬
-22.83%4,397.5萬
股東權益
2.75%4,686.2萬
-8.54%4,510.6萬
-15.65%4,560.7萬
91.56%4,931.8萬
32.89%5,407萬
-37.27%2,574.6萬
6.07%4,068.7萬
-18.95%4,104.3萬
-34.88%3,836萬
-20.44%5,064萬
非控股權益
48.78%-351.4萬
21.80%-428.2萬
-38.47%-686.1萬
18.17%-547.6萬
4.78%-495.5萬
1.57%-669.2萬
8.59%-520.4萬
6.57%-679.9萬
19.42%-569.3萬
3.44%-727.7萬
總權益
11.88%4,334.8萬
-6.88%4,082.4萬
-21.11%3,874.6萬
130.09%4,384.2萬
38.42%4,911.5萬
-44.36%1,905.4萬
8.62%3,548.3萬
-21.03%3,424.4萬
-36.98%3,266.7萬
-22.72%4,336.3萬
總權益及總負債
-16.35%6,464.2萬
-2.03%6,477.4萬
15.61%7,727.9萬
6.46%6,611.4萬
-4.16%6,684.6萬
-8.88%6,210萬
-37.92%6,974.4萬
-42.88%6,815萬
-0.53%1.12億
6.38%1.19億
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
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
--
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
--
容誠(香港)會計師事務所有限公司
--
國富浩華(香港)會計師事務所有限公司
--
國富浩華(香港)會計師事務所有限公司
--
國富浩華(香港)會計師事務所有限公司
--
國衛會計師事務所有限公司
(Q6)2025/09/30(FY)2025/03/31(Q6)2024/09/30(FY)2024/03/31(Q6)2023/09/30(FY)2023/03/31(Q6)2022/09/30(FY)2022/03/31(Q6)2021/09/30(FY)2021/03/31
資產
流動資產
應收賬款 4.56%522.3萬-69.02%180.8萬-51.67%499.5萬3.81%583.6萬-7.08%1,033.6萬33.67%562.2萬96.05%1,112.4萬-4.65%420.6萬77.31%567.4萬54.34%441.1萬
應收關聯方款項 8.56%2,637.9萬28.36%2,616.3萬83.85%2,429.8萬39.40%2,038.3萬93.78%1,321.6萬221.22%1,462.2萬-7.15%682萬-14.05%455.2萬60.58%734.5萬-0.81%529.6萬
預付款按金及其他應收款 -18.98%114.8萬-44.33%84.9萬-11.77%141.7萬-8.24%152.5萬-69.26%160.6萬-55.61%166.2萬65.95%522.4萬-14.05%374.4萬-37.79%314.8萬-11.84%435.6萬
現金及等價物 -60.62%726.8萬7.19%934.6萬57.59%1,845.4萬6.23%871.9萬6.77%1,171萬-53.94%820.8萬26.84%1,096.8萬-2.20%1,782.1萬-32.51%864.7萬99.93%1,822.2萬
流動資產合計 -18.60%4,001.8萬4.67%3,816.6萬33.35%4,916.4萬21.08%3,646.3萬8.00%3,686.8萬-0.69%3,011.4萬-54.52%3,413.6萬-6.89%3,032.3萬191.61%7,506.5萬39.98%3,256.7萬
非流動資產
物業廠房及設備 -42.06%43.4萬-29.49%55.7萬-19.81%74.9萬-19.80%79萬-24.07%93.4萬-36.66%98.5萬-27.56%123萬-97.00%155.5萬-96.77%169.8萬-3.00%5,184.3萬
投資物業 -1.44%2,355.6萬-1.44%2,355.6萬-12.33%2,390萬-12.33%2,390萬-7.59%2,726萬-7.59%2,726萬-11.41%2,950萬-11.41%2,950萬1.83%3,330萬1.83%3,330萬
無形資產 ----------------0.00%95萬0.00%95萬0.00%95萬0.00%95萬0.00%95萬0.00%95萬
非流動資產特殊專案 -20.92%15.5萬0.00%15.5萬26.45%19.6萬-24.39%15.5萬-24.39%15.5萬0.00%20.5萬0.00%20.5萬0.00%20.5萬0.00%20.5萬-55.04%20.5萬
非流動資產合計 -12.42%2,462.4萬-10.26%2,660.8萬-6.21%2,811.5萬-7.30%2,965.1萬-15.81%2,997.8萬-15.44%3,198.6萬-4.48%3,560.8萬-56.39%3,782.7萬-57.25%3,727.8萬-2.41%8,673.6萬
總資產 -16.35%6,464.2萬-2.03%6,477.4萬15.61%7,727.9萬6.46%6,611.4萬-4.16%6,684.6萬-8.88%6,210萬-37.92%6,974.4萬-42.88%6,815萬-0.53%1.12億6.38%1.19億
負債
流動負債
應付帳款 -65.15%96.4萬-29.66%196.6萬13.04%276.6萬56.15%279.5萬36.86%244.7萬-2.82%179萬-6.78%178.8萬-42.67%184.2萬-44.90%191.8萬31.09%321.3萬
應付關連方款項-流動負債 ------------0.00%5,000------5,000------------0.00%4.2萬
其他應付款及應計費用 -36.96%381萬1.40%355.2萬19.33%604.4萬-30.91%350.3萬-25.85%506.5萬1.12%507萬6.24%683.1萬32.16%501.4萬-24.42%643萬-27.98%379.4萬
短期借款 -----------------------------47.57%1,234.2萬----86.78%2,354萬
銀行貸款及透支 -96.45%39.3萬--38.5萬--1,108.2萬-------------8.63%1,098.6萬-----3.46%1,202.4萬----
其他貸款-流動負債 ----------778.1萬--360萬------------------------
融資租賃負債-流動負債 -68.26%49.2萬-23.20%235萬123.99%155萬16.04%306萬-80.64%69.2萬-28.30%263.7萬409.99%357.5萬797.07%367.8萬-11.15%70.1萬-64.99%41萬
流動負債合計 -81.76%565.9萬-43.66%832萬210.00%3,102.8萬30.61%1,476.8萬-59.94%1,000.9萬-50.57%1,130.7萬-23.18%2,498.5萬-26.20%2,287.6萬28.69%3,252.4萬42.52%3,099.9萬
淨流動資產 89.45%3,435.9萬37.57%2,984.6萬-32.48%1,813.6萬15.36%2,169.5萬193.51%2,685.9萬152.54%1,880.7萬-78.49%915.1萬374.94%744.7萬8,989.96%4,254.1萬3.50%156.8萬
總資產減流動負債 27.53%5,898.3萬9.95%5,645.4萬-18.63%4,625.1萬1.09%5,134.6萬26.98%5,683.7萬12.19%5,079.3萬-43.92%4,475.9萬-48.73%4,527.4萬-8.96%7,981.9萬-2.31%8,830.4萬
非流動負債
長期銀行貸款 --1,013.5萬--1,013萬--------------------------------
其他貸款-非流動負債 ----------------------2,401.8萬--------43.50%3,537.3萬46.08%3,349萬
融資租賃負債-非流動負債 ----------179.9萬--179.9萬---------51.73%20.9萬5,071.05%196.5萬--43.3萬-77.91%3.8萬
遞延稅項負債 -3.61%550萬-3.59%550萬-26.11%570.6萬-26.11%570.5萬-14.83%772.2萬-14.83%772.1萬-20.09%906.7萬-20.57%906.5萬1.45%1,134.6萬2.05%1,141.3萬
非流動負債合計 108.33%1,563.5萬108.29%1,563萬-2.81%750.5萬-76.36%750.4萬-16.75%772.2萬187.75%3,173.9萬-80.33%927.6萬-75.46%1,103萬31.58%4,715.2萬31.09%4,494.1萬
總負債 -44.74%2,129.4萬7.53%2,395萬117.32%3,853.3萬-48.26%2,227.2萬-48.25%1,773.1萬26.96%4,304.6萬-57.00%3,426.1萬-55.35%3,390.6萬30.39%7,967.6萬35.53%7,594萬
總資產減總負債 11.88%4,334.8萬-6.88%4,082.4萬-21.11%3,874.6萬130.09%4,384.2萬38.42%4,911.5萬-44.36%1,905.4萬8.62%3,548.3萬-21.03%3,424.4萬-36.98%3,266.7萬-22.72%4,336.3萬
總權益及非流動負債 27.53%5,898.3萬9.95%5,645.4萬-18.63%4,625.1萬1.09%5,134.6萬26.98%5,683.7萬12.19%5,079.3萬-43.92%4,475.9萬-48.73%4,527.4萬-8.96%7,981.9萬-2.31%8,830.4萬
權益
股本 0.00%999.8萬0.00%999.8萬0.00%999.8萬50.01%999.8萬50.01%999.8萬0.00%666.5萬0.00%666.5萬0.00%666.5萬0.00%666.5萬0.00%666.5萬
儲備 3.52%3,686.4萬-10.71%3,510.8萬-19.20%3,560.9萬106.07%3,932萬29.54%4,407.2萬-44.50%1,908.1萬7.34%3,402.2萬-21.82%3,437.8萬-39.33%3,169.5萬-22.83%4,397.5萬
股東權益 2.75%4,686.2萬-8.54%4,510.6萬-15.65%4,560.7萬91.56%4,931.8萬32.89%5,407萬-37.27%2,574.6萬6.07%4,068.7萬-18.95%4,104.3萬-34.88%3,836萬-20.44%5,064萬
非控股權益 48.78%-351.4萬21.80%-428.2萬-38.47%-686.1萬18.17%-547.6萬4.78%-495.5萬1.57%-669.2萬8.59%-520.4萬6.57%-679.9萬19.42%-569.3萬3.44%-727.7萬
總權益 11.88%4,334.8萬-6.88%4,082.4萬-21.11%3,874.6萬130.09%4,384.2萬38.42%4,911.5萬-44.36%1,905.4萬8.62%3,548.3萬-21.03%3,424.4萬-36.98%3,266.7萬-22.72%4,336.3萬
總權益及總負債 -16.35%6,464.2萬-2.03%6,477.4萬15.61%7,727.9萬6.46%6,611.4萬-4.16%6,684.6萬-8.88%6,210萬-37.92%6,974.4萬-42.88%6,815萬-0.53%1.12億6.38%1.19億
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