馬來西亞市場個股詳情

XINHWA (5267)

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延時15分鐘行情休市中 01/16 16:19 (北京)
3962.70萬總市值-3.69市盈率TTM

5267 XINHWA

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2025/09/30
(Q1)2025/06/30
(FY)2025/03/31
(Q4)2025/03/31
(Q3)2024/12/31
(Q2)2024/09/30
(Q1)2024/06/30
(FY)2024/03/31
(Q4)2024/03/31
(Q3)2023/12/31
資產
流動資產
現金及現金等價物與短期投資
73.55%778.2萬
29.08%1,025.3萬
-24.18%658.09萬
-24.18%658.09萬
-7.50%660.8萬
-57.27%448.4萬
-48.13%794.3萬
-48.83%867.94萬
-48.83%867.94萬
-59.62%714.4萬
-現金及現金等價物
76.17%676.5萬
26.38%924萬
-16.76%556.8萬
-16.76%556.8萬
-21.68%559.5萬
-19.21%384萬
3.16%731.1萬
-33.66%668.93萬
-33.66%668.93萬
-28.55%714.4萬
-其中:現金
76.17%676.5萬
26.38%924萬
-16.76%556.8萬
-16.76%556.8萬
73.87%559.5萬
-19.21%384萬
3.16%731.1萬
-33.66%668.93萬
-33.66%668.93萬
-67.81%321.8萬
-其中:現金等價物
----
----
----
----
----
----
----
----
----
--392.6萬
-短期投資
57.92%101.7萬
60.28%101.3萬
-49.10%101.29萬
-49.10%101.29萬
--101.3萬
-88.78%64.4萬
-92.32%63.2萬
-71.08%199.01萬
-71.08%199.01萬
----
應收款項
-26.02%3,015.3萬
-9.41%2,942.5萬
5.28%2,598.73萬
5.28%2,598.73萬
-1.83%3,374.1萬
23.97%4,075.9萬
-7.21%3,248萬
-16.12%2,468.3萬
-16.12%2,468.3萬
-11.90%3,436.9萬
-應收賬款淨額
-7.40%2,729萬
-2.29%2,524.5萬
4.41%2,529.43萬
4.41%2,529.43萬
-11.74%2,458萬
11.27%2,947.1萬
-9.30%2,583.7萬
-15.50%2,422.65萬
-15.50%2,422.65萬
-13.22%2,784.8萬
-其中:應收賬款
----
----
7.59%4,553.45萬
7.59%4,553.45萬
----
----
----
1.60%4,232.1萬
1.60%4,232.1萬
----
-其中:壞賬準備
----
----
-11.86%-2,024.02萬
-11.86%-2,024.02萬
----
----
----
-39.35%-1,809.45萬
-39.35%-1,809.45萬
----
-其他應收款
-74.64%286.3萬
-37.08%418萬
51.80%69.3萬
51.80%69.3萬
40.48%916.1萬
76.57%1,128.8萬
1.93%664.3萬
-39.74%45.65萬
-39.74%45.65萬
-5.77%652.1萬
存貨
19.65%316萬
-12.40%272.1萬
-33.07%260.3萬
-33.07%260.3萬
-48.86%200.3萬
-27.39%264.1萬
-13.14%310.6萬
-54.20%388.94萬
-54.20%388.94萬
-49.08%391.7萬
預付費用
----
----
-10.64%484.79萬
-10.64%484.79萬
----
----
----
-8.20%542.5萬
-8.20%542.5萬
----
受限制現金
----
----
----
----
----
----
----
96.12%61.05萬
96.12%61.05萬
----
稅項資產
-41.80%182.4萬
-31.06%228.6萬
-26.92%267.13萬
-26.92%267.13萬
5.24%299.5萬
23.00%313.4萬
25.18%331.6萬
19.08%365.53萬
19.08%365.53萬
-1.69%284.6萬
流動資產合計
-15.87%4,291.9萬
-4.61%4,468.5萬
-9.06%4,269.03萬
-9.06%4,269.03萬
-6.07%4,534.7萬
2.95%5,101.8萬
-17.15%4,684.5萬
-26.85%4,694.26萬
-26.85%4,694.26萬
-28.26%4,827.6萬
非流動資產
物業廠房及設備淨額
-5.98%3.55億
-4.76%3.63億
-4.42%3.68億
-4.42%3.68億
16.69%3.75億
21.78%3.78億
23.33%3.81億
23.23%3.85億
23.23%3.85億
3.66%3.21億
-物業、廠房及設備
-5.98%3.55億
-4.76%3.63億
-2.42%4.81億
-2.42%4.81億
16.69%3.75億
21.78%3.78億
23.33%3.81億
18.28%4.93億
18.28%4.93億
3.66%3.21億
-累計折舊
----
----
-4.69%-1.13億
-4.69%-1.13億
----
----
----
-3.46%-1.08億
-3.46%-1.08億
----
長期預付費用
----
----
----
----
----
----
----
----
----
--0
投資總額
----
----
--0
--0
----
----
----
--0
--0
----
-長期股權投資
----
----
--0
--0
----
----
----
--0
--0
----
商譽及其他無形資產
0.00%487.9萬
0.00%487.9萬
0.00%487.88萬
0.00%487.88萬
0.00%487.9萬
0.00%487.9萬
0.02%487.9萬
0.00%487.88萬
0.00%487.88萬
10.56%487.9萬
-商譽
0.00%487.9萬
0.00%487.9萬
0.00%487.88萬
0.00%487.88萬
0.00%487.9萬
0.00%487.9萬
0.02%487.9萬
0.00%487.88萬
0.00%487.88萬
10.56%487.9萬
非流動資產合計
-5.90%3.6億
-4.70%3.68億
-4.36%3.73億
-4.36%3.73億
16.44%3.8億
21.44%3.83億
22.97%3.86億
22.88%3.9億
22.88%3.9億
3.76%3.26億
總資產
-7.07%4.03億
-4.69%4.13億
-4.87%4.15億
-4.87%4.15億
13.53%4.25億
18.93%4.34億
16.85%4.33億
14.51%4.37億
14.51%4.37億
-1.89%3.74億
負債
流動負債
金融負債
25.60%4,963.8萬
-7.64%4,904.5萬
16.90%5,441.62萬
16.90%5,441.62萬
-1.99%4,759.6萬
-10.43%3,952.1萬
26.67%5,310.3萬
27.02%4,655.02萬
27.02%4,655.02萬
28.76%4,856萬
-短期借款及資本租賃負債
25.60%4,963.8萬
-7.64%4,904.5萬
16.90%5,441.62萬
16.90%5,441.62萬
-1.99%4,759.6萬
-10.43%3,952.1萬
26.67%5,310.3萬
27.02%4,655.02萬
27.02%4,655.02萬
28.76%4,856萬
-其中:短期借款
45.45%4,089.3萬
-3.49%4,071.4萬
15.46%4,323.94萬
15.46%4,323.94萬
-10.61%3,668.1萬
-23.18%2,811.4萬
22.70%4,218.7萬
21.44%3,745.04萬
21.44%3,745.04萬
29.46%4,103.5萬
-其中:資本租賃負債
-23.34%874.5萬
-23.68%833.1萬
22.82%1,117.68萬
22.82%1,117.68萬
45.05%1,091.5萬
51.59%1,140.7萬
44.74%1,091.6萬
56.64%909.98萬
56.64%909.98萬
25.04%752.5萬
應付款項
36.51%4,376.4萬
47.81%4,267.7萬
20.04%3,099.38萬
20.04%3,099.38萬
58.93%3,478.2萬
52.09%3,205.9萬
38.10%2,887.3萬
35.82%2,582.05萬
35.82%2,582.05萬
0.34%2,188.5萬
-應付帳款
-2.10%1,849.6萬
14.88%1,832萬
26.43%1,897.94萬
26.43%1,897.94萬
69.45%1,999萬
67.99%1,889.2萬
46.14%1,594.7萬
25.09%1,501.13萬
25.09%1,501.13萬
3.33%1,179.7萬
-應交稅費
11,380.00%57.4萬
5,118.18%57.4萬
116.25%33.73萬
116.25%33.73萬
--12.2萬
--5,000
-65.63%1.1萬
-49.14%15.6萬
-49.14%15.6萬
--0
-其他應付款
87.62%2,469.4萬
84.15%2,378.3萬
9.61%1,167.72萬
9.61%1,167.72萬
45.42%1,467萬
33.86%1,316.2萬
29.62%1,291.5萬
58.90%1,065.32萬
58.90%1,065.32萬
-3.60%1,008.8萬
現行撥備
----
----
-29.86%22.31萬
-29.86%22.31萬
----
----
----
45.52%31.81萬
45.52%31.81萬
----
應計及遞延所得
----
----
70.74%820.29萬
70.74%820.29萬
----
----
----
-21.81%480.44萬
-21.81%480.44萬
----
其他流動負債
----
----
1,921.35%615.43萬
1,921.35%615.43萬
--598萬
--581.5萬
--67.7萬
--30.45萬
--30.45萬
----
流動負債合計
20.68%9,340.2萬
10.97%9,172.2萬
28.53%9,999.02萬
28.53%9,999.02萬
25.43%8,835.8萬
18.70%7,739.5萬
31.55%8,265.3萬
25.44%7,779.77萬
25.44%7,779.77萬
18.35%7,044.5萬
非流動負債
非流動金融負債
-24.19%9,960萬
-14.78%1.05億
-23.15%1.02億
-23.15%1.02億
0.16%1.14億
23.09%1.31億
11.30%1.24億
11.61%1.33億
11.61%1.33億
1.52%1.14億
-長期借款及資本租賃
-24.19%9,960萬
-14.78%1.05億
-23.15%1.02億
-23.15%1.02億
0.16%1.14億
23.09%1.31億
11.30%1.24億
11.61%1.33億
11.61%1.33億
1.52%1.14億
-其中:長期借款
-28.83%5,874.7萬
-12.92%6,234.9萬
-21.79%6,073.44萬
-21.79%6,073.44萬
-13.20%6,654.7萬
22.11%8,254.8萬
1.59%7,159.8萬
2.28%7,765.36萬
2.28%7,765.36萬
3.00%7,666.9萬
-其中:長期資本租賃負債
-16.35%4,085.3萬
-17.34%4,305.6萬
-25.08%4,124.85萬
-25.08%4,124.85萬
27.39%4,795.1萬
24.78%4,883.7萬
28.15%5,208.5萬
28.09%5,505.47萬
28.09%5,505.47萬
-1.37%3,764.1萬
長期應付帳款及其他應付款
-7.78%74.7萬
----
-14.84%77.6萬
-14.84%77.6萬
--80.1萬
--81萬
--84.3萬
--91.12萬
--91.12萬
----
非流動遞延所得稅負債
-0.66%1,234.9萬
-0.64%1,234.9萬
-0.66%1,234.52萬
-0.66%1,234.52萬
102.18%1,243萬
102.23%1,243.1萬
102.23%1,242.9萬
102.10%1,242.68萬
102.10%1,242.68萬
4.93%614.8萬
其他非流動負債
----
-10.81%75.1萬
-14.81%77.62萬
-14.81%77.62萬
--80.1萬
--81萬
--84.2萬
--91.12萬
--91.12萬
----
非流動負債合計
-22.08%1.13億
-13.47%1.19億
-21.19%1.15億
-21.19%1.15億
6.04%1.28億
28.11%1.45億
16.79%1.37億
16.79%1.46億
16.79%1.46億
1.69%1.2億
負債總額
-7.17%2.06億
-4.27%2.1億
-3.91%2.15億
-3.91%2.15億
13.19%2.16億
24.67%2.22億
21.94%2.2億
19.65%2.24億
19.65%2.24億
7.26%1.91億
所有者權益
股本
0.00%1.21億
0.00%1.21億
0.00%1.21億
0.00%1.21億
0.00%1.21億
0.00%1.21億
0.00%1.21億
0.00%1.21億
0.00%1.21億
0.00%1.21億
-普通股
0.00%1.21億
0.00%1.21億
0.00%1.21億
0.00%1.21億
0.00%1.21億
0.00%1.21億
0.00%1.21億
0.00%1.21億
0.00%1.21億
0.00%1.21億
留存收益
----
-13.27%6,818.1萬
-15.08%6,609.95萬
-15.08%6,609.95萬
--7,333.2萬
--7,675.9萬
-17.41%7,861.1萬
-21.46%7,783.79萬
-21.46%7,783.79萬
----
固定資產重估價值準備
----
0.00%7,692萬
0.00%7,692.02萬
0.00%7,692.02萬
--7,692萬
--7,692萬
106.05%7,692萬
106.06%7,692.02萬
106.06%7,692.02萬
----
其他儲備
58,715.20%7,326.9萬
-10,100.00%-40.8萬
-232.72%-12.61萬
-232.72%-12.61萬
-100.21%-11.6萬
-100.21%-12.5萬
-101.72%-4,000
81.61%9.5萬
81.61%9.5萬
-26.36%5,639.4萬
其他股本權益
----
0.00%-6,897.9萬
0.00%-6,897.9萬
0.00%-6,897.9萬
---6,897.8萬
---6,897.9萬
0.00%-6,897.9萬
0.00%-6,897.9萬
0.00%-6,897.9萬
----
股東權益
-5.50%1.94億
-5.22%1.97億
-5.78%1.95億
-5.78%1.95億
13.97%2.02億
13.39%2.05億
12.33%2.07億
9.74%2.07億
9.74%2.07億
-10.22%1.77億
非控制性權益
-53.91%295.5萬
-1.76%591.5萬
-8.97%550.05萬
-8.97%550.05萬
11.50%669.8萬
15.72%641.2萬
2.76%602.1萬
3.32%604.25萬
3.32%604.25萬
1.01%600.7萬
總權益
-6.97%1.97億
-5.12%2.03億
-5.87%2億
-5.87%2億
13.89%2.09億
13.46%2.12億
12.04%2.13億
9.55%2.13億
9.55%2.13億
-9.89%1.83億
會計準則
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q2)2025/09/30(Q1)2025/06/30(FY)2025/03/31(Q4)2025/03/31(Q3)2024/12/31(Q2)2024/09/30(Q1)2024/06/30(FY)2024/03/31(Q4)2024/03/31(Q3)2023/12/31
資產
流動資產
現金及現金等價物與短期投資 73.55%778.2萬29.08%1,025.3萬-24.18%658.09萬-24.18%658.09萬-7.50%660.8萬-57.27%448.4萬-48.13%794.3萬-48.83%867.94萬-48.83%867.94萬-59.62%714.4萬
-現金及現金等價物 76.17%676.5萬26.38%924萬-16.76%556.8萬-16.76%556.8萬-21.68%559.5萬-19.21%384萬3.16%731.1萬-33.66%668.93萬-33.66%668.93萬-28.55%714.4萬
-其中:現金 76.17%676.5萬26.38%924萬-16.76%556.8萬-16.76%556.8萬73.87%559.5萬-19.21%384萬3.16%731.1萬-33.66%668.93萬-33.66%668.93萬-67.81%321.8萬
-其中:現金等價物 --------------------------------------392.6萬
-短期投資 57.92%101.7萬60.28%101.3萬-49.10%101.29萬-49.10%101.29萬--101.3萬-88.78%64.4萬-92.32%63.2萬-71.08%199.01萬-71.08%199.01萬----
應收款項 -26.02%3,015.3萬-9.41%2,942.5萬5.28%2,598.73萬5.28%2,598.73萬-1.83%3,374.1萬23.97%4,075.9萬-7.21%3,248萬-16.12%2,468.3萬-16.12%2,468.3萬-11.90%3,436.9萬
-應收賬款淨額 -7.40%2,729萬-2.29%2,524.5萬4.41%2,529.43萬4.41%2,529.43萬-11.74%2,458萬11.27%2,947.1萬-9.30%2,583.7萬-15.50%2,422.65萬-15.50%2,422.65萬-13.22%2,784.8萬
-其中:應收賬款 --------7.59%4,553.45萬7.59%4,553.45萬------------1.60%4,232.1萬1.60%4,232.1萬----
-其中:壞賬準備 ---------11.86%-2,024.02萬-11.86%-2,024.02萬-------------39.35%-1,809.45萬-39.35%-1,809.45萬----
-其他應收款 -74.64%286.3萬-37.08%418萬51.80%69.3萬51.80%69.3萬40.48%916.1萬76.57%1,128.8萬1.93%664.3萬-39.74%45.65萬-39.74%45.65萬-5.77%652.1萬
存貨 19.65%316萬-12.40%272.1萬-33.07%260.3萬-33.07%260.3萬-48.86%200.3萬-27.39%264.1萬-13.14%310.6萬-54.20%388.94萬-54.20%388.94萬-49.08%391.7萬
預付費用 ---------10.64%484.79萬-10.64%484.79萬-------------8.20%542.5萬-8.20%542.5萬----
受限制現金 ----------------------------96.12%61.05萬96.12%61.05萬----
稅項資產 -41.80%182.4萬-31.06%228.6萬-26.92%267.13萬-26.92%267.13萬5.24%299.5萬23.00%313.4萬25.18%331.6萬19.08%365.53萬19.08%365.53萬-1.69%284.6萬
流動資產合計 -15.87%4,291.9萬-4.61%4,468.5萬-9.06%4,269.03萬-9.06%4,269.03萬-6.07%4,534.7萬2.95%5,101.8萬-17.15%4,684.5萬-26.85%4,694.26萬-26.85%4,694.26萬-28.26%4,827.6萬
非流動資產
物業廠房及設備淨額 -5.98%3.55億-4.76%3.63億-4.42%3.68億-4.42%3.68億16.69%3.75億21.78%3.78億23.33%3.81億23.23%3.85億23.23%3.85億3.66%3.21億
-物業、廠房及設備 -5.98%3.55億-4.76%3.63億-2.42%4.81億-2.42%4.81億16.69%3.75億21.78%3.78億23.33%3.81億18.28%4.93億18.28%4.93億3.66%3.21億
-累計折舊 ---------4.69%-1.13億-4.69%-1.13億-------------3.46%-1.08億-3.46%-1.08億----
長期預付費用 --------------------------------------0
投資總額 ----------0--0--------------0--0----
-長期股權投資 ----------0--0--------------0--0----
商譽及其他無形資產 0.00%487.9萬0.00%487.9萬0.00%487.88萬0.00%487.88萬0.00%487.9萬0.00%487.9萬0.02%487.9萬0.00%487.88萬0.00%487.88萬10.56%487.9萬
-商譽 0.00%487.9萬0.00%487.9萬0.00%487.88萬0.00%487.88萬0.00%487.9萬0.00%487.9萬0.02%487.9萬0.00%487.88萬0.00%487.88萬10.56%487.9萬
非流動資產合計 -5.90%3.6億-4.70%3.68億-4.36%3.73億-4.36%3.73億16.44%3.8億21.44%3.83億22.97%3.86億22.88%3.9億22.88%3.9億3.76%3.26億
總資產 -7.07%4.03億-4.69%4.13億-4.87%4.15億-4.87%4.15億13.53%4.25億18.93%4.34億16.85%4.33億14.51%4.37億14.51%4.37億-1.89%3.74億
負債
流動負債
金融負債 25.60%4,963.8萬-7.64%4,904.5萬16.90%5,441.62萬16.90%5,441.62萬-1.99%4,759.6萬-10.43%3,952.1萬26.67%5,310.3萬27.02%4,655.02萬27.02%4,655.02萬28.76%4,856萬
-短期借款及資本租賃負債 25.60%4,963.8萬-7.64%4,904.5萬16.90%5,441.62萬16.90%5,441.62萬-1.99%4,759.6萬-10.43%3,952.1萬26.67%5,310.3萬27.02%4,655.02萬27.02%4,655.02萬28.76%4,856萬
-其中:短期借款 45.45%4,089.3萬-3.49%4,071.4萬15.46%4,323.94萬15.46%4,323.94萬-10.61%3,668.1萬-23.18%2,811.4萬22.70%4,218.7萬21.44%3,745.04萬21.44%3,745.04萬29.46%4,103.5萬
-其中:資本租賃負債 -23.34%874.5萬-23.68%833.1萬22.82%1,117.68萬22.82%1,117.68萬45.05%1,091.5萬51.59%1,140.7萬44.74%1,091.6萬56.64%909.98萬56.64%909.98萬25.04%752.5萬
應付款項 36.51%4,376.4萬47.81%4,267.7萬20.04%3,099.38萬20.04%3,099.38萬58.93%3,478.2萬52.09%3,205.9萬38.10%2,887.3萬35.82%2,582.05萬35.82%2,582.05萬0.34%2,188.5萬
-應付帳款 -2.10%1,849.6萬14.88%1,832萬26.43%1,897.94萬26.43%1,897.94萬69.45%1,999萬67.99%1,889.2萬46.14%1,594.7萬25.09%1,501.13萬25.09%1,501.13萬3.33%1,179.7萬
-應交稅費 11,380.00%57.4萬5,118.18%57.4萬116.25%33.73萬116.25%33.73萬--12.2萬--5,000-65.63%1.1萬-49.14%15.6萬-49.14%15.6萬--0
-其他應付款 87.62%2,469.4萬84.15%2,378.3萬9.61%1,167.72萬9.61%1,167.72萬45.42%1,467萬33.86%1,316.2萬29.62%1,291.5萬58.90%1,065.32萬58.90%1,065.32萬-3.60%1,008.8萬
現行撥備 ---------29.86%22.31萬-29.86%22.31萬------------45.52%31.81萬45.52%31.81萬----
應計及遞延所得 --------70.74%820.29萬70.74%820.29萬-------------21.81%480.44萬-21.81%480.44萬----
其他流動負債 --------1,921.35%615.43萬1,921.35%615.43萬--598萬--581.5萬--67.7萬--30.45萬--30.45萬----
流動負債合計 20.68%9,340.2萬10.97%9,172.2萬28.53%9,999.02萬28.53%9,999.02萬25.43%8,835.8萬18.70%7,739.5萬31.55%8,265.3萬25.44%7,779.77萬25.44%7,779.77萬18.35%7,044.5萬
非流動負債
非流動金融負債 -24.19%9,960萬-14.78%1.05億-23.15%1.02億-23.15%1.02億0.16%1.14億23.09%1.31億11.30%1.24億11.61%1.33億11.61%1.33億1.52%1.14億
-長期借款及資本租賃 -24.19%9,960萬-14.78%1.05億-23.15%1.02億-23.15%1.02億0.16%1.14億23.09%1.31億11.30%1.24億11.61%1.33億11.61%1.33億1.52%1.14億
-其中:長期借款 -28.83%5,874.7萬-12.92%6,234.9萬-21.79%6,073.44萬-21.79%6,073.44萬-13.20%6,654.7萬22.11%8,254.8萬1.59%7,159.8萬2.28%7,765.36萬2.28%7,765.36萬3.00%7,666.9萬
-其中:長期資本租賃負債 -16.35%4,085.3萬-17.34%4,305.6萬-25.08%4,124.85萬-25.08%4,124.85萬27.39%4,795.1萬24.78%4,883.7萬28.15%5,208.5萬28.09%5,505.47萬28.09%5,505.47萬-1.37%3,764.1萬
長期應付帳款及其他應付款 -7.78%74.7萬-----14.84%77.6萬-14.84%77.6萬--80.1萬--81萬--84.3萬--91.12萬--91.12萬----
非流動遞延所得稅負債 -0.66%1,234.9萬-0.64%1,234.9萬-0.66%1,234.52萬-0.66%1,234.52萬102.18%1,243萬102.23%1,243.1萬102.23%1,242.9萬102.10%1,242.68萬102.10%1,242.68萬4.93%614.8萬
其他非流動負債 -----10.81%75.1萬-14.81%77.62萬-14.81%77.62萬--80.1萬--81萬--84.2萬--91.12萬--91.12萬----
非流動負債合計 -22.08%1.13億-13.47%1.19億-21.19%1.15億-21.19%1.15億6.04%1.28億28.11%1.45億16.79%1.37億16.79%1.46億16.79%1.46億1.69%1.2億
負債總額 -7.17%2.06億-4.27%2.1億-3.91%2.15億-3.91%2.15億13.19%2.16億24.67%2.22億21.94%2.2億19.65%2.24億19.65%2.24億7.26%1.91億
所有者權益
股本 0.00%1.21億0.00%1.21億0.00%1.21億0.00%1.21億0.00%1.21億0.00%1.21億0.00%1.21億0.00%1.21億0.00%1.21億0.00%1.21億
-普通股 0.00%1.21億0.00%1.21億0.00%1.21億0.00%1.21億0.00%1.21億0.00%1.21億0.00%1.21億0.00%1.21億0.00%1.21億0.00%1.21億
留存收益 -----13.27%6,818.1萬-15.08%6,609.95萬-15.08%6,609.95萬--7,333.2萬--7,675.9萬-17.41%7,861.1萬-21.46%7,783.79萬-21.46%7,783.79萬----
固定資產重估價值準備 ----0.00%7,692萬0.00%7,692.02萬0.00%7,692.02萬--7,692萬--7,692萬106.05%7,692萬106.06%7,692.02萬106.06%7,692.02萬----
其他儲備 58,715.20%7,326.9萬-10,100.00%-40.8萬-232.72%-12.61萬-232.72%-12.61萬-100.21%-11.6萬-100.21%-12.5萬-101.72%-4,00081.61%9.5萬81.61%9.5萬-26.36%5,639.4萬
其他股本權益 ----0.00%-6,897.9萬0.00%-6,897.9萬0.00%-6,897.9萬---6,897.8萬---6,897.9萬0.00%-6,897.9萬0.00%-6,897.9萬0.00%-6,897.9萬----
股東權益 -5.50%1.94億-5.22%1.97億-5.78%1.95億-5.78%1.95億13.97%2.02億13.39%2.05億12.33%2.07億9.74%2.07億9.74%2.07億-10.22%1.77億
非控制性權益 -53.91%295.5萬-1.76%591.5萬-8.97%550.05萬-8.97%550.05萬11.50%669.8萬15.72%641.2萬2.76%602.1萬3.32%604.25萬3.32%604.25萬1.01%600.7萬
總權益 -6.97%1.97億-5.12%2.03億-5.87%2億-5.87%2億13.89%2.09億13.46%2.12億12.04%2.13億9.55%2.13億9.55%2.13億-9.89%1.83億
會計準則 NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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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