港股市場個股詳情

08363 SDM教育

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交易中 06/05 09:00 (北京)
1.22億總市值-9888市盈率TTM

SDM教育關鍵統計數據

全部
顯示同比 yoy
隱藏空行 yoy
(Q6)2023/06/30
(FY)2022/12/31
(Q6)2022/12/31
(FY)2021/12/31
(Q6)2021/12/31
(FY)2020/12/31
(Q6)2020/12/31
(FY)2019/12/31
(Q6)2019/12/31
(FY)2018/12/31
資產
流動資產
存貨
7.77%203.9萬
-3.37%189.2萬
-3.37%189.2萬
-11.16%195.8萬
-11.16%195.8萬
3.28%220.4萬
3.28%220.4萬
30.68%213.4萬
30.68%213.4萬
27.08%163.3萬
應收賬款
13.12%7,001.3萬
21.73%6,189.4萬
21.73%6,189.4萬
32.13%5,084.7萬
32.13%5,084.7萬
34.42%3,848.4萬
34.42%3,848.4萬
111.21%2,862.9萬
111.21%2,862.9萬
-26.74%1,355.5萬
應收關聯方款項
-0.66%1,027.5萬
-2.10%1,034.3萬
-2.10%1,034.3萬
-4.39%1,056.5萬
-4.39%1,056.5萬
-9.67%1,105萬
-9.67%1,105萬
3.42%1,223.3萬
3.42%1,223.3萬
144.63%1,182.8萬
預繳及應收稅項
88.92%59.7萬
19.70%31.6萬
19.70%31.6萬
38.95%26.4萬
38.95%26.4萬
--19萬
--19萬
----
----
----
現金及等價物
31.39%3,376.7萬
-12.91%2,569.9萬
-12.91%2,569.9萬
-23.27%2,950.8萬
-23.27%2,950.8萬
-42.07%3,845.8萬
-49.55%3,845.8萬
20.78%6,638.8萬
38.67%7,622.3萬
-58.93%5,496.6萬
已抵押存款
----
----
----
----
----
8.83%1,070.3萬
--1,070.3萬
--983.5萬
----
----
短期投資
----
----
----
----
----
----
----
--4,962.4萬
--4,962.4萬
----
流動資產特殊專案
----
----
----
----
----
-42.63%226.1萬
-42.63%226.1萬
9.87%394.1萬
--394.1萬
--358.7萬
流動資產合計
16.52%1.17億
7.52%1億
7.52%1億
-9.88%9,314.2萬
-9.88%9,314.2萬
-40.19%1.03億
-40.19%1.03億
101.92%1.73億
101.92%1.73億
-48.42%8,556.9萬
非流動資產
物業廠房及設備
-13.96%1,178.2萬
-22.76%1,369.3萬
-22.76%1,369.3萬
-15.09%1,772.7萬
-15.09%1,772.7萬
-31.99%2,087.8萬
-31.99%2,087.8萬
414.41%3,070萬
414.41%3,070萬
-13.67%596.8萬
預付款項
-0.18%3,221.8萬
2.49%3,227.6萬
2.49%3,227.6萬
-48.69%3,149.3萬
-48.69%3,149.3萬
-28.62%6,138.1萬
-28.62%6,138.1萬
134.05%8,599.6萬
134.05%8,599.6萬
216.82%3,674.2萬
聯營公司權益
7.39%148.3萬
-10.67%138.1萬
-10.67%138.1萬
7.51%154.6萬
7.51%154.6萬
14.86%143.8萬
14.86%143.8萬
--125.2萬
--125.2萬
----
合營公司權益
-3.21%15.1萬
0.00%15.6萬
0.00%15.6萬
0.00%15.6萬
0.00%15.6萬
0.00%15.6萬
0.00%15.6萬
0.00%15.6萬
0.00%15.6萬
0.00%15.6萬
無形資產
-4.94%5,985.1萬
-10.87%6,295.8萬
-10.87%6,295.8萬
-10.07%7,063.6萬
-10.07%7,063.6萬
491.83%7,854.2萬
491.83%7,854.2萬
-5.13%1,327.1萬
-5.13%1,327.1萬
7,758.43%1,398.8萬
商譽
-0.35%8,444.8萬
-15.01%8,474.3萬
-15.01%8,474.3萬
0.65%9,971萬
0.65%9,971萬
18.53%9,906.2萬
18.53%9,906.2萬
80.59%8,357.7萬
80.59%8,357.7萬
--4,628萬
遞延稅項資產
0.00%3萬
0.00%3萬
0.00%3萬
-30.23%3萬
-30.23%3萬
-87.96%4.3萬
-87.96%4.3萬
7.85%35.7萬
7.85%35.7萬
0.00%33.1萬
非流動資產特殊專案
0.99%6,950萬
-4.42%6,881.8萬
-4.42%6,881.8萬
-28.43%7,200.3萬
-28.43%7,200.3萬
-32.70%1.01億
-32.57%1.01億
6,688.78%1.49億
6,675.89%1.49億
28.02%220.2萬
非流動資產調整專案
----
----
----
----
----
----
----
----
--28.4萬
----
非流動資產合計
-1.74%2.59億
-9.97%2.64億
-9.97%2.64億
-19.00%2.93億
-19.00%2.93億
-0.74%3.62億
-0.74%3.62億
245.23%3.65億
245.23%3.65億
405.70%1.06億
總資產
3.28%3.76億
-5.76%3.64億
-5.76%3.64億
-16.97%3.86億
-16.97%3.86億
-13.42%4.65億
-13.42%4.65億
181.11%5.38億
181.11%5.38億
2.39%1.91億
負債
流動負債
應付帳款
10.80%7,051.8萬
10.04%6,364.5萬
10.04%6,364.5萬
44.40%5,783.9萬
44.40%5,783.9萬
15.90%4,005.6萬
15.90%4,005.6萬
134.60%3,456.2萬
-30.96%3,456.2萬
108.26%1,473.2萬
應付稅項
36.70%207.1萬
-21.99%151.5萬
-21.99%151.5萬
65.98%194.2萬
65.98%194.2萬
46.07%117萬
46.07%117萬
236.55%80.1萬
236.55%80.1萬
--23.8萬
應付關連方款項-流動負債
-47.09%1,495.6萬
102.38%2,826.8萬
102.38%2,826.8萬
282.37%1,396.8萬
282.37%1,396.8萬
173.43%365.3萬
173.43%365.3萬
466.10%133.6萬
466.10%133.6萬
-48.58%23.6萬
其他應付款及應計費用
----
----
----
----
----
171.45%1.54億
171.45%1.54億
262.71%5,671萬
262.71%5,671萬
--1,563.5萬
銀行貸款及透支
-4.23%3,988.8萬
-15.62%4,164.9萬
-15.62%4,164.9萬
2,007.56%4,935.9萬
2,007.56%4,935.9萬
-57.06%234.2萬
-57.06%234.2萬
78.70%545.4萬
78.70%545.4萬
--305.2萬
撥備-流動負債
-1.63%427.9萬
5.43%435萬
5.43%435萬
72.20%412.6萬
72.20%412.6萬
22.24%239.6萬
22.24%239.6萬
135.58%196萬
135.58%196萬
12.89%83.2萬
融資租賃負債-流動負債
3.64%6,580.1萬
-1.04%6,349.1萬
-1.04%6,349.1萬
-15.47%6,415.8萬
-15.47%6,415.8萬
70.23%7,589.7萬
70.23%7,589.7萬
--4,458.5萬
--4,458.5萬
----
遞延收入-流動負債
12.15%3,706.8萬
0.69%3,305.2萬
0.69%3,305.2萬
-15.94%3,282.4萬
-15.94%3,282.4萬
-24.82%3,904.7萬
-24.82%3,904.7萬
47.01%5,193.9萬
--5,193.9萬
-10.00%3,533萬
流動負債特殊專案
-0.51%2.77億
-1.36%2.78億
-1.36%2.78億
576.64%2.82億
576.64%2.82億
--4,164.3萬
--4,164.3萬
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----
----
流動負債合計
-0.55%5.11億
1.56%5.14億
1.56%5.14億
23.37%5.06億
23.37%5.06億
52.84%4.1億
52.84%4.1億
283.05%2.68億
283.05%2.68億
47.40%7,005.5萬
淨流動資產
4.68%-3.94億
-0.22%-4.14億
-0.22%-4.14億
-34.57%-4.13億
-34.57%-4.13億
-221.04%-3.07億
-221.04%-3.07億
-715.98%-9,556.3萬
-715.98%-9,556.3萬
-86.89%1,551.4萬
總資產減流動負債
9.86%-1.35億
-25.23%-1.5億
-25.23%-1.5億
-316.16%-1.2億
-316.16%-1.2億
-79.46%5,530.6萬
-79.46%5,530.6萬
122.18%2.69億
122.18%2.69億
-12.98%1.21億
非流動負債
長期銀行貸款
-0.50%473.9萬
-11.63%476.3萬
-11.63%476.3萬
--539萬
--539萬
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----
----
----
----
長期應付款
----
----
----
----
----
----
----
-8.47%2,889萬
-8.47%2,889萬
--3,156.5萬
融資租賃負債-非流動負債
-7.44%6,592.6萬
-11.07%7,122.4萬
-11.07%7,122.4萬
-33.99%8,008.7萬
-33.99%8,008.7萬
12.08%1.21億
12.08%1.21億
--1.08億
--1.08億
----
遞延稅項負債
-8.98%400.2萬
-19.51%439.7萬
-19.51%439.7萬
-18.55%546.3萬
-18.55%546.3萬
204.73%670.7萬
204.73%670.7萬
-4.55%220.1萬
-4.55%220.1萬
--230.6萬
撥備-非流動負債
-1.24%714.5萬
-6.06%723.5萬
-6.06%723.5萬
-22.15%770.2萬
-22.15%770.2萬
35.85%989.4萬
35.85%989.4萬
364.48%728.3萬
364.48%728.3萬
16.84%156.8萬
可轉換票據及債券
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----
----
21.31%2.48億
21.31%2.48億
195.36%2.04億
--2.04億
--6,922.5萬
非流動負債特殊專案
----
----
----
----
----
----
----
3.43%945.9萬
3.43%945.9萬
-87.98%914.5萬
非流動負債合計
-6.63%8,181.2萬
-11.17%8,761.9萬
-11.17%8,761.9萬
-74.44%9,864.2萬
-74.44%9,864.2萬
7.05%3.86億
7.05%3.86億
216.80%3.61億
216.80%3.61億
47.00%1.14億
總負債
-1.43%5.93億
-0.51%6.02億
-0.51%6.02億
-24.05%6.05億
-24.05%6.05億
26.59%7.96億
26.59%7.96億
242.04%6.29億
242.04%6.29億
47.15%1.84億
總資產減總負債
8.67%-2.17億
-8.77%-2.37億
-8.77%-2.37億
34.01%-2.18億
34.01%-2.18億
-262.13%-3.31億
-262.13%-3.31億
-1,338.59%-9,130.9萬
-1,338.59%-9,130.9萬
-88.08%737.2萬
總權益及非流動負債
9.86%-1.35億
-25.23%-1.5億
-25.23%-1.5億
-316.16%-1.2億
-316.16%-1.2億
-79.46%5,530.6萬
-79.46%5,530.6萬
122.18%2.69億
122.18%2.69億
-12.98%1.21億
權益
股本
50.00%6,864萬
0.00%4,576萬
0.00%4,576萬
18.98%4,576萬
18.98%4,576萬
8.61%3,846萬
8.61%3,846萬
0.00%3,541萬
0.00%3,541萬
0.00%3,541萬
儲備
-1.26%-2.94億
-6.68%-2.91億
-6.68%-2.91億
25.64%-2.73億
25.64%-2.73億
-219.63%-3.67億
-219.63%-3.67億
-432.28%-1.15億
-432.28%-1.15億
-176.94%-2,154.7萬
法定儲備
-1.26%-2.94億
-6.68%-2.91億
-6.68%-2.91億
25.64%-2.73億
25.64%-2.73億
-219.63%-3.67億
-219.63%-3.67億
-432.28%-1.15億
-432.28%-1.15億
-176.94%-2,154.7萬
股東權益
7.84%-2.26億
-8.03%-2.45億
-8.03%-2.45億
30.88%-2.27億
30.88%-2.27億
-313.88%-3.28億
-313.88%-3.28億
-671.88%-7,928萬
-671.88%-7,928萬
-78.14%1,386.3萬
非控股權益
17.64%905.6萬
-10.74%769.8萬
-10.74%769.8萬
440.33%862.4萬
440.33%862.4萬
78.93%-253.4萬
78.93%-253.4萬
-85.32%-1,202.9萬
-85.32%-1,202.9萬
-309.53%-649.1萬
總權益
8.67%-2.17億
-8.77%-2.37億
-8.77%-2.37億
34.01%-2.18億
34.01%-2.18億
-262.13%-3.31億
-262.13%-3.31億
-1,338.59%-9,130.9萬
-1,338.59%-9,130.9萬
-88.08%737.2萬
總權益及總負債
3.28%3.76億
-5.76%3.64億
-5.76%3.64億
-16.97%3.86億
-16.97%3.86億
-13.42%4.65億
-13.42%4.65億
181.11%5.38億
181.11%5.38億
2.39%1.91億
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
會計師事務所
--
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
--
致同(香港)會計師事務所有限公司
--
畢馬威會計師事務所
--
德勤·關黃陳方會計師行
(Q6)2023/06/30(FY)2022/12/31(Q6)2022/12/31(FY)2021/12/31(Q6)2021/12/31(FY)2020/12/31(Q6)2020/12/31(FY)2019/12/31(Q6)2019/12/31(FY)2018/12/31
資產
流動資產
存貨 7.77%203.9萬-3.37%189.2萬-3.37%189.2萬-11.16%195.8萬-11.16%195.8萬3.28%220.4萬3.28%220.4萬30.68%213.4萬30.68%213.4萬27.08%163.3萬
應收賬款 13.12%7,001.3萬21.73%6,189.4萬21.73%6,189.4萬32.13%5,084.7萬32.13%5,084.7萬34.42%3,848.4萬34.42%3,848.4萬111.21%2,862.9萬111.21%2,862.9萬-26.74%1,355.5萬
應收關聯方款項 -0.66%1,027.5萬-2.10%1,034.3萬-2.10%1,034.3萬-4.39%1,056.5萬-4.39%1,056.5萬-9.67%1,105萬-9.67%1,105萬3.42%1,223.3萬3.42%1,223.3萬144.63%1,182.8萬
預繳及應收稅項 88.92%59.7萬19.70%31.6萬19.70%31.6萬38.95%26.4萬38.95%26.4萬--19萬--19萬------------
現金及等價物 31.39%3,376.7萬-12.91%2,569.9萬-12.91%2,569.9萬-23.27%2,950.8萬-23.27%2,950.8萬-42.07%3,845.8萬-49.55%3,845.8萬20.78%6,638.8萬38.67%7,622.3萬-58.93%5,496.6萬
已抵押存款 --------------------8.83%1,070.3萬--1,070.3萬--983.5萬--------
短期投資 ------------------------------4,962.4萬--4,962.4萬----
流動資產特殊專案 ---------------------42.63%226.1萬-42.63%226.1萬9.87%394.1萬--394.1萬--358.7萬
流動資產合計 16.52%1.17億7.52%1億7.52%1億-9.88%9,314.2萬-9.88%9,314.2萬-40.19%1.03億-40.19%1.03億101.92%1.73億101.92%1.73億-48.42%8,556.9萬
非流動資產
物業廠房及設備 -13.96%1,178.2萬-22.76%1,369.3萬-22.76%1,369.3萬-15.09%1,772.7萬-15.09%1,772.7萬-31.99%2,087.8萬-31.99%2,087.8萬414.41%3,070萬414.41%3,070萬-13.67%596.8萬
預付款項 -0.18%3,221.8萬2.49%3,227.6萬2.49%3,227.6萬-48.69%3,149.3萬-48.69%3,149.3萬-28.62%6,138.1萬-28.62%6,138.1萬134.05%8,599.6萬134.05%8,599.6萬216.82%3,674.2萬
聯營公司權益 7.39%148.3萬-10.67%138.1萬-10.67%138.1萬7.51%154.6萬7.51%154.6萬14.86%143.8萬14.86%143.8萬--125.2萬--125.2萬----
合營公司權益 -3.21%15.1萬0.00%15.6萬0.00%15.6萬0.00%15.6萬0.00%15.6萬0.00%15.6萬0.00%15.6萬0.00%15.6萬0.00%15.6萬0.00%15.6萬
無形資產 -4.94%5,985.1萬-10.87%6,295.8萬-10.87%6,295.8萬-10.07%7,063.6萬-10.07%7,063.6萬491.83%7,854.2萬491.83%7,854.2萬-5.13%1,327.1萬-5.13%1,327.1萬7,758.43%1,398.8萬
商譽 -0.35%8,444.8萬-15.01%8,474.3萬-15.01%8,474.3萬0.65%9,971萬0.65%9,971萬18.53%9,906.2萬18.53%9,906.2萬80.59%8,357.7萬80.59%8,357.7萬--4,628萬
遞延稅項資產 0.00%3萬0.00%3萬0.00%3萬-30.23%3萬-30.23%3萬-87.96%4.3萬-87.96%4.3萬7.85%35.7萬7.85%35.7萬0.00%33.1萬
非流動資產特殊專案 0.99%6,950萬-4.42%6,881.8萬-4.42%6,881.8萬-28.43%7,200.3萬-28.43%7,200.3萬-32.70%1.01億-32.57%1.01億6,688.78%1.49億6,675.89%1.49億28.02%220.2萬
非流動資產調整專案 ----------------------------------28.4萬----
非流動資產合計 -1.74%2.59億-9.97%2.64億-9.97%2.64億-19.00%2.93億-19.00%2.93億-0.74%3.62億-0.74%3.62億245.23%3.65億245.23%3.65億405.70%1.06億
總資產 3.28%3.76億-5.76%3.64億-5.76%3.64億-16.97%3.86億-16.97%3.86億-13.42%4.65億-13.42%4.65億181.11%5.38億181.11%5.38億2.39%1.91億
負債
流動負債
應付帳款 10.80%7,051.8萬10.04%6,364.5萬10.04%6,364.5萬44.40%5,783.9萬44.40%5,783.9萬15.90%4,005.6萬15.90%4,005.6萬134.60%3,456.2萬-30.96%3,456.2萬108.26%1,473.2萬
應付稅項 36.70%207.1萬-21.99%151.5萬-21.99%151.5萬65.98%194.2萬65.98%194.2萬46.07%117萬46.07%117萬236.55%80.1萬236.55%80.1萬--23.8萬
應付關連方款項-流動負債 -47.09%1,495.6萬102.38%2,826.8萬102.38%2,826.8萬282.37%1,396.8萬282.37%1,396.8萬173.43%365.3萬173.43%365.3萬466.10%133.6萬466.10%133.6萬-48.58%23.6萬
其他應付款及應計費用 --------------------171.45%1.54億171.45%1.54億262.71%5,671萬262.71%5,671萬--1,563.5萬
銀行貸款及透支 -4.23%3,988.8萬-15.62%4,164.9萬-15.62%4,164.9萬2,007.56%4,935.9萬2,007.56%4,935.9萬-57.06%234.2萬-57.06%234.2萬78.70%545.4萬78.70%545.4萬--305.2萬
撥備-流動負債 -1.63%427.9萬5.43%435萬5.43%435萬72.20%412.6萬72.20%412.6萬22.24%239.6萬22.24%239.6萬135.58%196萬135.58%196萬12.89%83.2萬
融資租賃負債-流動負債 3.64%6,580.1萬-1.04%6,349.1萬-1.04%6,349.1萬-15.47%6,415.8萬-15.47%6,415.8萬70.23%7,589.7萬70.23%7,589.7萬--4,458.5萬--4,458.5萬----
遞延收入-流動負債 12.15%3,706.8萬0.69%3,305.2萬0.69%3,305.2萬-15.94%3,282.4萬-15.94%3,282.4萬-24.82%3,904.7萬-24.82%3,904.7萬47.01%5,193.9萬--5,193.9萬-10.00%3,533萬
流動負債特殊專案 -0.51%2.77億-1.36%2.78億-1.36%2.78億576.64%2.82億576.64%2.82億--4,164.3萬--4,164.3萬------------
流動負債合計 -0.55%5.11億1.56%5.14億1.56%5.14億23.37%5.06億23.37%5.06億52.84%4.1億52.84%4.1億283.05%2.68億283.05%2.68億47.40%7,005.5萬
淨流動資產 4.68%-3.94億-0.22%-4.14億-0.22%-4.14億-34.57%-4.13億-34.57%-4.13億-221.04%-3.07億-221.04%-3.07億-715.98%-9,556.3萬-715.98%-9,556.3萬-86.89%1,551.4萬
總資產減流動負債 9.86%-1.35億-25.23%-1.5億-25.23%-1.5億-316.16%-1.2億-316.16%-1.2億-79.46%5,530.6萬-79.46%5,530.6萬122.18%2.69億122.18%2.69億-12.98%1.21億
非流動負債
長期銀行貸款 -0.50%473.9萬-11.63%476.3萬-11.63%476.3萬--539萬--539萬--------------------
長期應付款 -----------------------------8.47%2,889萬-8.47%2,889萬--3,156.5萬
融資租賃負債-非流動負債 -7.44%6,592.6萬-11.07%7,122.4萬-11.07%7,122.4萬-33.99%8,008.7萬-33.99%8,008.7萬12.08%1.21億12.08%1.21億--1.08億--1.08億----
遞延稅項負債 -8.98%400.2萬-19.51%439.7萬-19.51%439.7萬-18.55%546.3萬-18.55%546.3萬204.73%670.7萬204.73%670.7萬-4.55%220.1萬-4.55%220.1萬--230.6萬
撥備-非流動負債 -1.24%714.5萬-6.06%723.5萬-6.06%723.5萬-22.15%770.2萬-22.15%770.2萬35.85%989.4萬35.85%989.4萬364.48%728.3萬364.48%728.3萬16.84%156.8萬
可轉換票據及債券 --------------------21.31%2.48億21.31%2.48億195.36%2.04億--2.04億--6,922.5萬
非流動負債特殊專案 ----------------------------3.43%945.9萬3.43%945.9萬-87.98%914.5萬
非流動負債合計 -6.63%8,181.2萬-11.17%8,761.9萬-11.17%8,761.9萬-74.44%9,864.2萬-74.44%9,864.2萬7.05%3.86億7.05%3.86億216.80%3.61億216.80%3.61億47.00%1.14億
總負債 -1.43%5.93億-0.51%6.02億-0.51%6.02億-24.05%6.05億-24.05%6.05億26.59%7.96億26.59%7.96億242.04%6.29億242.04%6.29億47.15%1.84億
總資產減總負債 8.67%-2.17億-8.77%-2.37億-8.77%-2.37億34.01%-2.18億34.01%-2.18億-262.13%-3.31億-262.13%-3.31億-1,338.59%-9,130.9萬-1,338.59%-9,130.9萬-88.08%737.2萬
總權益及非流動負債 9.86%-1.35億-25.23%-1.5億-25.23%-1.5億-316.16%-1.2億-316.16%-1.2億-79.46%5,530.6萬-79.46%5,530.6萬122.18%2.69億122.18%2.69億-12.98%1.21億
權益
股本 50.00%6,864萬0.00%4,576萬0.00%4,576萬18.98%4,576萬18.98%4,576萬8.61%3,846萬8.61%3,846萬0.00%3,541萬0.00%3,541萬0.00%3,541萬
儲備 -1.26%-2.94億-6.68%-2.91億-6.68%-2.91億25.64%-2.73億25.64%-2.73億-219.63%-3.67億-219.63%-3.67億-432.28%-1.15億-432.28%-1.15億-176.94%-2,154.7萬
法定儲備 -1.26%-2.94億-6.68%-2.91億-6.68%-2.91億25.64%-2.73億25.64%-2.73億-219.63%-3.67億-219.63%-3.67億-432.28%-1.15億-432.28%-1.15億-176.94%-2,154.7萬
股東權益 7.84%-2.26億-8.03%-2.45億-8.03%-2.45億30.88%-2.27億30.88%-2.27億-313.88%-3.28億-313.88%-3.28億-671.88%-7,928萬-671.88%-7,928萬-78.14%1,386.3萬
非控股權益 17.64%905.6萬-10.74%769.8萬-10.74%769.8萬440.33%862.4萬440.33%862.4萬78.93%-253.4萬78.93%-253.4萬-85.32%-1,202.9萬-85.32%-1,202.9萬-309.53%-649.1萬
總權益 8.67%-2.17億-8.77%-2.37億-8.77%-2.37億34.01%-2.18億34.01%-2.18億-262.13%-3.31億-262.13%-3.31億-1,338.59%-9,130.9萬-1,338.59%-9,130.9萬-88.08%737.2萬
總權益及總負債 3.28%3.76億-5.76%3.64億-5.76%3.64億-16.97%3.86億-16.97%3.86億-13.42%4.65億-13.42%4.65億181.11%5.38億181.11%5.38億2.39%1.91億
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
會計師事務所 --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--致同(香港)會計師事務所有限公司--畢馬威會計師事務所--德勤·關黃陳方會計師行

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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