滬深市場個股詳情

威力傳動 (300904)

添加自選
  • 70.84
  • -0.55-0.77%
已收盤 01/23 15:00 (北京)
51.28億總市值-49.57市盈率TTM

威力傳動 (300904) 資產負債表

全部
顯示同比 yoy
隱藏空行 yoy
(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
(Q6)2023/06/30
資產
流動資產
貨幣資金
76.37%8,515.81萬
-31.21%7,566.24萬
-63.44%5,913.63萬
-74.75%7,095.77萬
-88.09%4,828.39萬
88.72%1.1億
180.07%1.62億
191.73%2.81億
906.54%4.05億
-37.73%5,827.97萬
交易性金融資產
-44.97%2,201.1萬
6.78%2,135.61萬
127.24%4,544.81萬
--4,507.59萬
100.00%4,000萬
--2,000萬
--2,000萬
----
--2,000萬
----
應收票據及應收賬款
3.26%5.07億
33.26%5.22億
17.16%3.91億
3.67%3.84億
19.27%4.91億
4.15%3.91億
9.01%3.34億
16.77%3.71億
32.45%4.12億
42.66%3.76億
-應收票據
428.17%5,516.69萬
1,033.44%5,606.82萬
2,246.89%2,590.25萬
391.08%868.08萬
-55.76%1,044.48萬
-92.41%494.67萬
-92.27%110.37萬
-91.19%176.77萬
-18.81%2,361.18萬
147.58%6,515.32萬
-應收賬款
-5.96%4.52億
20.46%4.66億
9.77%3.65億
1.81%3.76億
23.84%4.81億
24.40%3.87億
13.96%3.33億
24.05%3.69億
37.74%3.88億
31.02%3.11億
其他應收款(含利息和股利)
-11.54%322.72萬
-11.60%246.63萬
3.38%364.29萬
106.46%351.51萬
3.11%364.81萬
-3.80%279萬
-4.14%352.36萬
-58.30%170.26萬
3.78%353.81萬
-5.63%290.03萬
-其他應收款
----
-11.60%246.63萬
----
----
----
-3.80%279萬
----
-58.30%170.26萬
----
-5.63%290.03萬
預付款項
-10.16%727.19萬
53.65%904.48萬
-15.03%891.96萬
-16.08%595.6萬
-7.73%809.47萬
-17.02%588.67萬
180.52%1,049.7萬
91.92%709.7萬
245.15%877.26萬
424.74%709.45萬
存貨
273.59%4.65億
253.71%3.84億
157.02%2.68億
106.60%1.89億
16.05%1.24億
10.68%1.09億
8.84%1.04億
20.14%9,163.45萬
8.76%1.07億
-0.96%9,809.02萬
應收款項融資
83.48%5,408.6萬
-68.31%672.12萬
-84.54%2,194.32萬
-77.84%2,896.66萬
-14.56%2,947.78萬
-56.70%2,120.63萬
32.78%1.42億
105.85%1.31億
-46.55%3,450.21萬
-16.74%4,897.01萬
其他流動資產
382.40%7,265.88萬
335.45%8,677.12萬
770.27%5,909.1萬
20,932.83%1,961.88萬
--1,506.18萬
226.43%1,992.66萬
-31.52%678.99萬
-98.87%9.33萬
----
12.96%610.44萬
流動資產合計
59.99%12.16億
62.93%11.08億
9.54%8.57億
-15.32%7.48億
-23.31%7.6億
13.82%6.8億
34.00%7.83億
55.03%8.83億
87.66%9.91億
13.82%5.97億
非流動資產
固定資產
----
-1.60%4.06億
----
----
----
27.01%4.13億
----
322.51%3.72億
----
735.83%3.25億
在建工程
----
468.29%11.25億
----
----
----
226.27%1.98億
----
-82.26%4,508.97萬
----
-52.79%6,067.92萬
無形資產
1.25%1.19億
0.21%1.18億
-0.61%1.17億
-1.18%1.17億
189.40%1.18億
190.88%1.17億
189.84%1.18億
188.99%1.19億
3.23%4,069.34萬
1.37%4,032.66萬
長期待攤費用
-19.18%465.56萬
32.99%519.49萬
33.88%440.2萬
18.16%461.07萬
46.25%576.03萬
18.67%390.61萬
-15.31%328.79萬
15.12%390.2萬
5.51%393.86萬
27.13%329.16萬
遞延所得稅資產
19.60%1,200.84萬
36.22%1,123.63萬
31.04%908.27萬
30.30%930.35萬
42.63%1,004.07萬
33.42%824.88萬
20.05%693.1萬
20.69%713.99萬
-22.35%703.98萬
-23.32%618.26萬
使用權資產
-15.06%1,380.15萬
-30.49%1,237.15萬
-20.75%1,383.18萬
2.19%1,566.28萬
60.74%1,624.84萬
64.01%1,779.92萬
0.53%1,745.33萬
-17.23%1,532.73萬
-47.45%1,010.87萬
-64.64%1,085.24萬
其他非流動資產
-71.55%6,885.68萬
-33.64%1.12億
-3.87%1.06億
116.17%1.21億
329.64%2.42億
203.71%1.68億
106.63%1.11億
10.77%5,607.94萬
6.77%5,632.38萬
-11.89%5,536.01萬
非流動資產合計
73.28%19.21億
93.15%17.89億
124.00%15.86億
119.89%13.59億
112.41%11.08億
84.57%9.26億
45.26%7.08億
33.88%6.18億
29.13%5.22億
61.20%5.02億
資產總計
67.87%31.37億
80.36%28.97億
63.90%24.43億
40.35%21.07億
23.49%18.69億
46.13%16.06億
39.13%14.91億
45.56%15.01億
62.30%15.13億
31.47%10.99億
負債
流動負債
短期借款
121.21%3.3億
72.26%3.49億
49.10%2.3億
27.28%1.69億
-10.24%1.49億
29.47%2.03億
-9.85%1.54億
-5.53%1.33億
24.63%1.66億
32.67%1.56億
應付票據及應付帳款
99.33%7.26億
83.51%6.56億
103.68%5.06億
51.99%4.06億
34.93%3.64億
15.81%3.57億
-18.02%2.48億
-19.57%2.67億
-0.16%2.7億
76.85%3.09億
-應付票據
336.03%6,955.03萬
-7.21%2,972.68萬
-65.14%2,219.73萬
-73.75%1,630.2萬
-63.87%1,595.06萬
-58.99%3,203.75萬
-40.67%6,367.17萬
-37.70%6,210.56萬
-36.99%4,414.72萬
78.72%7,812.02萬
-應付帳款
88.50%6.57億
92.45%6.26億
161.94%4.83億
90.08%3.9億
54.24%3.48億
41.17%3.25億
-5.58%1.85億
-11.80%2.05億
12.71%2.26億
76.23%2.3億
合同負債
815.89%3,945.69萬
621.85%3,723.86萬
178.23%1,855.62萬
57.80%676.46萬
-0.81%430.8萬
22.81%515.88萬
58.02%666.93萬
2.32%428.68萬
2.61%434.33萬
0.43%420.05萬
預收款項
-12.12%10.64萬
--11.01萬
-11.43%11.38萬
-11.11%11.74萬
--12.11萬
----
--12.84萬
--13.21萬
----
----
應付職工薪酬
47.09%1,468.23萬
47.62%1,415.29萬
91.78%1,217.68萬
65.71%1,062.68萬
23.00%998.16萬
1.87%958.77萬
4.56%634.95萬
-22.95%641.29萬
0.99%811.54萬
37.37%941.2萬
應交稅費
27.82%204.15萬
40.08%220.01萬
40.87%151.63萬
-73.62%188.4萬
-81.53%159.71萬
-68.29%157.06萬
-79.42%107.64萬
327.88%714.26萬
38.59%864.77萬
104.65%495.33萬
其他應付款(含利息和股利)
-56.79%1,443.69萬
-46.60%1,715.34萬
-57.85%1,462.92萬
-23.37%1,634.78萬
663.48%3,341.37萬
360.67%3,212.06萬
312.94%3,470.76萬
162.42%2,133.39萬
-32.62%437.65萬
-38.21%697.26萬
-其他應付款
----
-46.60%1,715.34萬
----
----
----
360.67%3,212.06萬
----
162.42%2,133.39萬
----
-38.21%697.26萬
一年內到期的非流動負債
0.10%2,640.31萬
-0.37%2,603.87萬
8.05%2,736.31萬
3.90%2,656.02萬
38.46%2,637.79萬
14.66%2,613.57萬
-6.51%2,532.5萬
48.65%2,556.44萬
0.02%1,905.13萬
-5.83%2,279.33萬
其他流動負債
372.83%5,300.22萬
5,488.44%3,644.42萬
53.71%667.58萬
-33.65%896.06萬
-52.70%1,120.97萬
-94.30%65.21萬
-64.71%434.3萬
19.95%1,350.56萬
-23.98%2,369.8萬
-87.23%1,144.61萬
流動負債合計
100.89%12.07億
79.18%11.38億
69.74%8.17億
35.12%6.47億
19.04%6.01億
21.02%6.35億
-10.45%4.81億
-8.63%4.79億
5.30%5.05億
21.76%5.25億
非流動負債
長期借款
188.22%12.29億
704.13%10.5億
549.42%8.48億
387.68%6.65億
197.61%4.26億
-43.81%1.31億
-37.68%1.31億
-26.44%1.36億
-6.12%1.43億
74.56%2.32億
長期應付款
----
-74.62%23.1萬
----
----
----
--91.02萬
----
63.95%124.27萬
----
----
預計負債
37.94%417.76萬
43.18%360.62萬
52.29%329.06萬
-8.87%224.35萬
49.84%302.86萬
7.09%251.88萬
-2.50%216.07萬
18.85%246.18萬
8.66%202.12萬
67.47%235.19萬
長期遞延收益
-4.88%2,837.77萬
8.63%2,939.64萬
5.28%2,930.89萬
1.49%2,908.74萬
2.27%2,983.24萬
-8.90%2,706.23萬
-8.18%2,784萬
-6.14%2,865.96萬
0.06%2,917.04萬
12.55%2,970.53萬
租賃負債
-1.92%1,003.28萬
-36.40%806.53萬
-37.03%845.86萬
-13.79%1,005.67萬
21.17%1,022.9萬
41.71%1,268.11萬
39.87%1,343.29萬
13.95%1,166.5萬
-22.04%844.16萬
-9.40%894.84萬
非流動負債合計
170.42%12.71億
528.08%10.91億
407.99%8.89億
291.93%7.07億
157.08%4.7億
-36.45%1.74億
-30.43%1.75億
-21.22%1.8億
-7.40%1.83億
54.05%2.73億
負債合計
131.42%24.78億
175.61%22.29億
159.99%17.06億
105.43%13.54億
55.77%10.71億
1.34%8.09億
-16.82%6.56億
-12.46%6.59億
1.60%6.87億
31.18%7.98億
所有者權益(或股東權益)
實收資本(或股本)
0.00%7,238.32萬
0.00%7,238.32萬
0.00%7,238.32萬
0.00%7,238.32萬
0.00%7,238.32萬
33.33%7,238.32萬
33.33%7,238.32萬
33.33%7,238.32萬
33.33%7,238.32萬
0.00%5,428.72萬
資本公積
1.26%6.01億
-0.37%5.97億
-0.59%5.95億
-0.83%5.94億
-0.96%5.93億
865.20%5.99億
865.20%5.99億
865.20%5.99億
865.20%5.99億
0.00%6,205.97萬
盈餘公積
0.00%2,447.45萬
0.00%2,447.45萬
0.00%2,447.45萬
0.00%2,447.45萬
18.47%2,447.45萬
18.47%2,447.45萬
18.47%2,447.45萬
18.47%2,447.45萬
44.33%2,065.81萬
44.33%2,065.81萬
未分配利潤
-84.97%1,830.55萬
-73.55%3,268.95萬
-57.65%5,865.29萬
-47.91%7,619.84萬
-8.93%1.22億
-24.70%1.24億
-4.80%1.39億
3.40%1.46億
6.89%1.34億
69.12%1.64億
減:庫存股
305.77%5,682.83萬
165.53%5,821.18萬
--1,400.52萬
--1,400.52萬
--1,400.52萬
--2,192.31萬
----
----
----
----
歸屬母公司所有者權益合計
-17.40%6.59億
-16.23%6.68億
-11.67%7.37億
-10.58%7.53億
-3.38%7.98億
164.83%7.98億
195.36%8.34億
202.41%8.42億
222.89%8.26億
32.25%3.01億
所有者權益(或股東權益)合計
-17.40%6.59億
-16.23%6.68億
-11.67%7.37億
-10.58%7.53億
-3.38%7.98億
164.83%7.98億
195.36%8.34億
202.41%8.42億
222.89%8.26億
32.25%3.01億
負債和所有者權益(或股東權益)總計
67.87%31.37億
80.36%28.97億
63.90%24.43億
40.35%21.07億
23.49%18.69億
46.13%16.06億
39.13%14.91億
45.56%15.01億
62.30%15.13億
31.47%10.99億
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
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
新會計準則(2007)
審計意見
--
--
--
無保留意見
--
--
--
無保留意見
--
--
會計師事務所
--
--
--
天健會計師事務所(特殊普通合夥)
--
--
--
天健會計師事務所(特殊普通合夥)
--
--
(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(Q6)2023/06/30
資產
流動資產
貨幣資金 76.37%8,515.81萬-31.21%7,566.24萬-63.44%5,913.63萬-74.75%7,095.77萬-88.09%4,828.39萬88.72%1.1億180.07%1.62億191.73%2.81億906.54%4.05億-37.73%5,827.97萬
交易性金融資產 -44.97%2,201.1萬6.78%2,135.61萬127.24%4,544.81萬--4,507.59萬100.00%4,000萬--2,000萬--2,000萬------2,000萬----
應收票據及應收賬款 3.26%5.07億33.26%5.22億17.16%3.91億3.67%3.84億19.27%4.91億4.15%3.91億9.01%3.34億16.77%3.71億32.45%4.12億42.66%3.76億
-應收票據 428.17%5,516.69萬1,033.44%5,606.82萬2,246.89%2,590.25萬391.08%868.08萬-55.76%1,044.48萬-92.41%494.67萬-92.27%110.37萬-91.19%176.77萬-18.81%2,361.18萬147.58%6,515.32萬
-應收賬款 -5.96%4.52億20.46%4.66億9.77%3.65億1.81%3.76億23.84%4.81億24.40%3.87億13.96%3.33億24.05%3.69億37.74%3.88億31.02%3.11億
其他應收款(含利息和股利) -11.54%322.72萬-11.60%246.63萬3.38%364.29萬106.46%351.51萬3.11%364.81萬-3.80%279萬-4.14%352.36萬-58.30%170.26萬3.78%353.81萬-5.63%290.03萬
-其他應收款 -----11.60%246.63萬-------------3.80%279萬-----58.30%170.26萬-----5.63%290.03萬
預付款項 -10.16%727.19萬53.65%904.48萬-15.03%891.96萬-16.08%595.6萬-7.73%809.47萬-17.02%588.67萬180.52%1,049.7萬91.92%709.7萬245.15%877.26萬424.74%709.45萬
存貨 273.59%4.65億253.71%3.84億157.02%2.68億106.60%1.89億16.05%1.24億10.68%1.09億8.84%1.04億20.14%9,163.45萬8.76%1.07億-0.96%9,809.02萬
應收款項融資 83.48%5,408.6萬-68.31%672.12萬-84.54%2,194.32萬-77.84%2,896.66萬-14.56%2,947.78萬-56.70%2,120.63萬32.78%1.42億105.85%1.31億-46.55%3,450.21萬-16.74%4,897.01萬
其他流動資產 382.40%7,265.88萬335.45%8,677.12萬770.27%5,909.1萬20,932.83%1,961.88萬--1,506.18萬226.43%1,992.66萬-31.52%678.99萬-98.87%9.33萬----12.96%610.44萬
流動資產合計 59.99%12.16億62.93%11.08億9.54%8.57億-15.32%7.48億-23.31%7.6億13.82%6.8億34.00%7.83億55.03%8.83億87.66%9.91億13.82%5.97億
非流動資產
固定資產 -----1.60%4.06億------------27.01%4.13億----322.51%3.72億----735.83%3.25億
在建工程 ----468.29%11.25億------------226.27%1.98億-----82.26%4,508.97萬-----52.79%6,067.92萬
無形資產 1.25%1.19億0.21%1.18億-0.61%1.17億-1.18%1.17億189.40%1.18億190.88%1.17億189.84%1.18億188.99%1.19億3.23%4,069.34萬1.37%4,032.66萬
長期待攤費用 -19.18%465.56萬32.99%519.49萬33.88%440.2萬18.16%461.07萬46.25%576.03萬18.67%390.61萬-15.31%328.79萬15.12%390.2萬5.51%393.86萬27.13%329.16萬
遞延所得稅資產 19.60%1,200.84萬36.22%1,123.63萬31.04%908.27萬30.30%930.35萬42.63%1,004.07萬33.42%824.88萬20.05%693.1萬20.69%713.99萬-22.35%703.98萬-23.32%618.26萬
使用權資產 -15.06%1,380.15萬-30.49%1,237.15萬-20.75%1,383.18萬2.19%1,566.28萬60.74%1,624.84萬64.01%1,779.92萬0.53%1,745.33萬-17.23%1,532.73萬-47.45%1,010.87萬-64.64%1,085.24萬
其他非流動資產 -71.55%6,885.68萬-33.64%1.12億-3.87%1.06億116.17%1.21億329.64%2.42億203.71%1.68億106.63%1.11億10.77%5,607.94萬6.77%5,632.38萬-11.89%5,536.01萬
非流動資產合計 73.28%19.21億93.15%17.89億124.00%15.86億119.89%13.59億112.41%11.08億84.57%9.26億45.26%7.08億33.88%6.18億29.13%5.22億61.20%5.02億
資產總計 67.87%31.37億80.36%28.97億63.90%24.43億40.35%21.07億23.49%18.69億46.13%16.06億39.13%14.91億45.56%15.01億62.30%15.13億31.47%10.99億
負債
流動負債
短期借款 121.21%3.3億72.26%3.49億49.10%2.3億27.28%1.69億-10.24%1.49億29.47%2.03億-9.85%1.54億-5.53%1.33億24.63%1.66億32.67%1.56億
應付票據及應付帳款 99.33%7.26億83.51%6.56億103.68%5.06億51.99%4.06億34.93%3.64億15.81%3.57億-18.02%2.48億-19.57%2.67億-0.16%2.7億76.85%3.09億
-應付票據 336.03%6,955.03萬-7.21%2,972.68萬-65.14%2,219.73萬-73.75%1,630.2萬-63.87%1,595.06萬-58.99%3,203.75萬-40.67%6,367.17萬-37.70%6,210.56萬-36.99%4,414.72萬78.72%7,812.02萬
-應付帳款 88.50%6.57億92.45%6.26億161.94%4.83億90.08%3.9億54.24%3.48億41.17%3.25億-5.58%1.85億-11.80%2.05億12.71%2.26億76.23%2.3億
合同負債 815.89%3,945.69萬621.85%3,723.86萬178.23%1,855.62萬57.80%676.46萬-0.81%430.8萬22.81%515.88萬58.02%666.93萬2.32%428.68萬2.61%434.33萬0.43%420.05萬
預收款項 -12.12%10.64萬--11.01萬-11.43%11.38萬-11.11%11.74萬--12.11萬------12.84萬--13.21萬--------
應付職工薪酬 47.09%1,468.23萬47.62%1,415.29萬91.78%1,217.68萬65.71%1,062.68萬23.00%998.16萬1.87%958.77萬4.56%634.95萬-22.95%641.29萬0.99%811.54萬37.37%941.2萬
應交稅費 27.82%204.15萬40.08%220.01萬40.87%151.63萬-73.62%188.4萬-81.53%159.71萬-68.29%157.06萬-79.42%107.64萬327.88%714.26萬38.59%864.77萬104.65%495.33萬
其他應付款(含利息和股利) -56.79%1,443.69萬-46.60%1,715.34萬-57.85%1,462.92萬-23.37%1,634.78萬663.48%3,341.37萬360.67%3,212.06萬312.94%3,470.76萬162.42%2,133.39萬-32.62%437.65萬-38.21%697.26萬
-其他應付款 -----46.60%1,715.34萬------------360.67%3,212.06萬----162.42%2,133.39萬-----38.21%697.26萬
一年內到期的非流動負債 0.10%2,640.31萬-0.37%2,603.87萬8.05%2,736.31萬3.90%2,656.02萬38.46%2,637.79萬14.66%2,613.57萬-6.51%2,532.5萬48.65%2,556.44萬0.02%1,905.13萬-5.83%2,279.33萬
其他流動負債 372.83%5,300.22萬5,488.44%3,644.42萬53.71%667.58萬-33.65%896.06萬-52.70%1,120.97萬-94.30%65.21萬-64.71%434.3萬19.95%1,350.56萬-23.98%2,369.8萬-87.23%1,144.61萬
流動負債合計 100.89%12.07億79.18%11.38億69.74%8.17億35.12%6.47億19.04%6.01億21.02%6.35億-10.45%4.81億-8.63%4.79億5.30%5.05億21.76%5.25億
非流動負債
長期借款 188.22%12.29億704.13%10.5億549.42%8.48億387.68%6.65億197.61%4.26億-43.81%1.31億-37.68%1.31億-26.44%1.36億-6.12%1.43億74.56%2.32億
長期應付款 -----74.62%23.1萬--------------91.02萬----63.95%124.27萬--------
預計負債 37.94%417.76萬43.18%360.62萬52.29%329.06萬-8.87%224.35萬49.84%302.86萬7.09%251.88萬-2.50%216.07萬18.85%246.18萬8.66%202.12萬67.47%235.19萬
長期遞延收益 -4.88%2,837.77萬8.63%2,939.64萬5.28%2,930.89萬1.49%2,908.74萬2.27%2,983.24萬-8.90%2,706.23萬-8.18%2,784萬-6.14%2,865.96萬0.06%2,917.04萬12.55%2,970.53萬
租賃負債 -1.92%1,003.28萬-36.40%806.53萬-37.03%845.86萬-13.79%1,005.67萬21.17%1,022.9萬41.71%1,268.11萬39.87%1,343.29萬13.95%1,166.5萬-22.04%844.16萬-9.40%894.84萬
非流動負債合計 170.42%12.71億528.08%10.91億407.99%8.89億291.93%7.07億157.08%4.7億-36.45%1.74億-30.43%1.75億-21.22%1.8億-7.40%1.83億54.05%2.73億
負債合計 131.42%24.78億175.61%22.29億159.99%17.06億105.43%13.54億55.77%10.71億1.34%8.09億-16.82%6.56億-12.46%6.59億1.60%6.87億31.18%7.98億
所有者權益(或股東權益)
實收資本(或股本) 0.00%7,238.32萬0.00%7,238.32萬0.00%7,238.32萬0.00%7,238.32萬0.00%7,238.32萬33.33%7,238.32萬33.33%7,238.32萬33.33%7,238.32萬33.33%7,238.32萬0.00%5,428.72萬
資本公積 1.26%6.01億-0.37%5.97億-0.59%5.95億-0.83%5.94億-0.96%5.93億865.20%5.99億865.20%5.99億865.20%5.99億865.20%5.99億0.00%6,205.97萬
盈餘公積 0.00%2,447.45萬0.00%2,447.45萬0.00%2,447.45萬0.00%2,447.45萬18.47%2,447.45萬18.47%2,447.45萬18.47%2,447.45萬18.47%2,447.45萬44.33%2,065.81萬44.33%2,065.81萬
未分配利潤 -84.97%1,830.55萬-73.55%3,268.95萬-57.65%5,865.29萬-47.91%7,619.84萬-8.93%1.22億-24.70%1.24億-4.80%1.39億3.40%1.46億6.89%1.34億69.12%1.64億
減:庫存股 305.77%5,682.83萬165.53%5,821.18萬--1,400.52萬--1,400.52萬--1,400.52萬--2,192.31萬----------------
歸屬母公司所有者權益合計 -17.40%6.59億-16.23%6.68億-11.67%7.37億-10.58%7.53億-3.38%7.98億164.83%7.98億195.36%8.34億202.41%8.42億222.89%8.26億32.25%3.01億
所有者權益(或股東權益)合計 -17.40%6.59億-16.23%6.68億-11.67%7.37億-10.58%7.53億-3.38%7.98億164.83%7.98億195.36%8.34億202.41%8.42億222.89%8.26億32.25%3.01億
負債和所有者權益(或股東權益)總計 67.87%31.37億80.36%28.97億63.90%24.43億40.35%21.07億23.49%18.69億46.13%16.06億39.13%14.91億45.56%15.01億62.30%15.13億31.47%10.99億
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 新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)新會計準則(2007)
審計意見 ------無保留意見------無保留意見----
會計師事務所 ------天健會計師事務所(特殊普通合夥)------天健會計師事務所(特殊普通合夥)----

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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