Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
昆侖能源
00135
5
中海油田服務
02883
| (Q1)2026/03/31 | (FY)2025/12/31 | (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 | |
|---|---|---|---|---|---|---|---|---|---|---|
| 資產 | ||||||||||
| 流動資產 | ||||||||||
| 貨幣資金 | -47.96%2.44億 | 571.39%6.15億 | 20.68%3.54億 | -31.36%2.23億 | -37.46%4.7億 | -87.14%9,159.64萬 | -49.60%2.93億 | -45.35%3.25億 | 158.01%7.51億 | 245.94%7.12億 |
| 交易性金融資產 | 153.30%3億 | ---- | -22.62%3億 | -2.50%3.8億 | 886.62%1.19億 | --5.19億 | 167.34%3.88億 | 129.17%3.9億 | -97.95%1,202.16萬 | ---- |
| 應收票據及應收賬款 | 2.64%1.89億 | 9.23%2.08億 | 79.12%2.45億 | 87.26%2.24億 | 78.99%1.84億 | 63.45%1.9億 | 35.05%1.37億 | 70.29%1.19億 | 106.00%1.03億 | 110.06%1.17億 |
| -應收票據 | 291.63%311.15萬 | 72.60%145.96萬 | --326.13萬 | --50.09萬 | --79.45萬 | --84.56萬 | ---- | ---- | ---- | ---- |
| -應收賬款 | 1.39%1.86億 | 8.95%2.07億 | 76.73%2.42億 | 86.84%2.23億 | 78.22%1.83億 | 62.72%1.9億 | 35.05%1.37億 | 70.29%1.19億 | 106.00%1.03億 | 110.06%1.17億 |
| 其他應收款(含利息和股利) | -21.82%146.44萬 | -12.95%174.26萬 | 36.90%182.36萬 | 58.46%214.23萬 | 185.91%187.32萬 | 228.24%200.18萬 | 130.96%133.2萬 | 283.26%135.19萬 | 36.48%65.52萬 | 6,434.36%60.99萬 |
| -其他應收款 | ---- | -12.95%174.26萬 | ---- | 58.46%214.23萬 | ---- | 228.24%200.18萬 | ---- | 283.26%135.19萬 | ---- | 6,434.36%60.99萬 |
| 合同資產 | --15.58萬 | --15.58萬 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| 預付款項 | 41.65%461.06萬 | -48.82%247.52萬 | -38.87%351.73萬 | -56.19%350.81萬 | -78.37%325.48萬 | -36.09%483.59萬 | -23.67%575.38萬 | 13.33%800.7萬 | 98.78%1,504.59萬 | 56.41%756.64萬 |
| 存貨 | -5.60%1.22億 | 6.17%1.05億 | 24.41%1.33億 | 53.63%1.33億 | 49.92%1.29億 | 40.71%9,881.99萬 | 53.41%1.07億 | 22.09%8,657.44萬 | 35.57%8,592.51萬 | 16.94%7,022.84萬 |
| 應收款項融資 | -25.94%3,539.48萬 | 184.23%2,284.02萬 | 17.77%4,247.94萬 | 5.43%3,387.42萬 | 449.10%4,778.94萬 | 53.30%803.58萬 | 102.42%3,607.09萬 | 105.75%3,213.05萬 | -61.20%870.32萬 | -81.57%524.2萬 |
| 其他流動資產 | -61.24%2,840.54萬 | -62.76%2,390.42萬 | 579.64%2,562.67萬 | 1,695.68%7,900.85萬 | 1,910.70%7,328.37萬 | -30.01%6,419.26萬 | -94.66%377.06萬 | -93.94%439.99萬 | -38.44%364.47萬 | 2,397.25%9,171.83萬 |
| 流動資產合計 | -9.92%9.25億 | 0.02%9.79億 | 13.76%11.07億 | 11.52%10.79億 | 4.86%10.27億 | -2.53%9.79億 | -2.27%9.73億 | -3.47%9.67億 | -4.63%9.79億 | -5.27%10.04億 |
| 非流動資產 | ||||||||||
| 其他非流動金融資產 | -35.26%1,035.81萬 | -35.26%1,035.81萬 | -37.50%1,000萬 | 0.00%1,600萬 | 0.00%1,600萬 | 60.00%1,600萬 | 60.00%1,600萬 | 220.00%1,600萬 | 220.00%1,600萬 | --1,000萬 |
| 長期應收款 | -36.74%79.24萬 | -10.04%110.05萬 | -0.70%122.55萬 | 156.51%127.5萬 | 142.17%125.25萬 | 125.02%122.33萬 | 138.58%123.41萬 | -11.19%49.7萬 | -9.34%51.72萬 | -4.76%54.36萬 |
| 固定資產 | ---- | 8.87%3.47億 | ---- | 14.03%3.3億 | ---- | 22.41%3.19億 | ---- | 24.78%2.89億 | ---- | 21.32%2.61億 |
| 固定資產清理 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 98.58%20.61萬 | ---- | 160.47%12.16萬 |
| 在建工程 | ---- | 86.16%1,941.85萬 | ---- | -34.34%1,738.01萬 | ---- | -45.29%1,043.13萬 | ---- | 201.27%2,646.85萬 | ---- | 173.35%1,906.77萬 |
| 無形資產 | 52.78%4,591.66萬 | 12.17%3,389.15萬 | 3.76%3,174.44萬 | 2.48%3,096.88萬 | -0.97%3,005.35萬 | 3.15%3,021.48萬 | 51.65%3,059.56萬 | 52.05%3,021.84萬 | 53.45%3,034.93萬 | 51.59%2,929.17萬 |
| 開發支出 | ---- | ---- | ---- | ---- | ---- | ---- | --386.27萬 | --243.72萬 | --111.19萬 | ---- |
| 商譽 | 0.00%72.63萬 | 0.00%72.63萬 | -88.52%72.63萬 | -88.52%72.63萬 | -88.52%72.63萬 | -88.52%72.63萬 | 0.00%632.83萬 | --632.83萬 | --632.83萬 | --632.83萬 |
| 長期待攤費用 | -34.01%764.87萬 | -40.88%816.89萬 | -36.54%929.7萬 | -37.21%969.4萬 | -33.28%1,159.09萬 | -7.33%1,381.83萬 | 29.28%1,464.94萬 | 26.03%1,543.97萬 | 28.98%1,737.27萬 | -0.32%1,491.14萬 |
| 遞延所得稅資產 | 79.09%2,622.42萬 | 21.85%2,142.53萬 | 4.41%1,844.24萬 | 15.66%1,674.49萬 | 26.12%1,464.27萬 | 95.11%1,758.31萬 | 152.64%1,766.36萬 | 203.18%1,447.77萬 | 2,992.24%1,161.01萬 | 3,376.96%901.2萬 |
| 使用權資產 | -61.57%196.36萬 | -55.87%262.76萬 | -38.43%357.15萬 | -0.73%422.98萬 | 3.92%510.99萬 | 6.26%595.38萬 | 856.11%580.02萬 | 433.17%426.09萬 | 391.06%491.73萬 | 369.56%560.3萬 |
| 其他非流動資產 | 335.43%1,491.04萬 | 901.83%4,215.37萬 | -10.77%401.12萬 | -81.52%334.03萬 | -79.75%342.43萬 | -66.11%420.77萬 | -61.41%449.54萬 | -15.18%1,807.42萬 | 6.63%1,691.03萬 | -42.38%1,241.69萬 |
| 非流動資產合計 | 19.41%5.11億 | 15.77%4.97億 | 1.33%4.48億 | 1.42%4.41億 | 3.04%4.28億 | 14.72%4.29億 | 32.33%4.42億 | 41.60%4.35億 | 43.67%4.15億 | 33.64%3.74億 |
| 資產總計 | -1.30%14.36億 | 4.82%14.76億 | 9.88%15.54億 | 8.39%15.19億 | 4.32%14.55億 | 2.15%14.08億 | 6.42%14.14億 | 7.09%14.02億 | 5.97%13.94億 | 2.86%13.78億 |
| 負債 | ||||||||||
| 流動負債 | ||||||||||
| 短期借款 | --3,001.93萬 | 149.96%3,001.93萬 | -63.02%1,545.7萬 | ---- | ---- | -59.68%1,200.95萬 | --4,179.45萬 | --4,179.45萬 | --4,179.75萬 | --2,978.44萬 |
| 應付票據及應付帳款 | -13.53%1.51億 | 16.31%1.62億 | 99.16%2.45億 | 115.24%2.41億 | 82.49%1.75億 | 72.81%1.4億 | 74.66%1.23億 | 107.97%1.12億 | 146.30%9,593.34萬 | 85.77%8,079.99萬 |
| -應付帳款 | -13.53%1.51億 | 16.31%1.62億 | 99.16%2.45億 | 115.24%2.41億 | 82.49%1.75億 | 72.81%1.4億 | 74.66%1.23億 | 107.97%1.12億 | 146.30%9,593.34萬 | 85.77%8,079.99萬 |
| 合同負債 | -19.64%98.85萬 | 53.44%70.49萬 | 121.84%68.44萬 | 119.27%97.4萬 | 292.65%123.01萬 | 202.82%45.94萬 | 820.72%30.85萬 | -53.79%44.42萬 | -53.32%31.33萬 | -66.24%15.17萬 |
| 預收款項 | --6,094.4 | 0.00%1.26萬 | --1.26萬 | --1.26萬 | ---- | -99.14%1.26萬 | ---- | ---- | --146.61萬 | --146.61萬 |
| 應付職工薪酬 | -13.92%1,620.05萬 | 37.44%3,055.95萬 | 58.81%2,905.29萬 | 40.60%2,317.14萬 | 29.86%1,882.08萬 | 16.49%2,223.42萬 | 66.07%1,829.41萬 | 94.08%1,648.05萬 | 114.78%1,449.27萬 | 14.25%1,908.67萬 |
| 應交稅費 | 11.82%229.08萬 | 5.15%297.69萬 | 80.87%310.4萬 | 8.51%147.68萬 | 96.44%204.86萬 | 165.98%283.1萬 | 72.70%171.62萬 | -54.79%136.1萬 | -53.05%104.29萬 | 4.67%106.44萬 |
| 其他應付款(含利息和股利) | -93.21%1.23萬 | -25.71%12.47萬 | -79.83%13.52萬 | -37.02%18.91萬 | 16.25%18.12萬 | -9.59%16.79萬 | -91.48%67.02萬 | 165.76%30.03萬 | -63.46%15.59萬 | -50.46%18.57萬 |
| -其他應付款 | ---- | -25.71%12.47萬 | ---- | -37.02%18.91萬 | ---- | -9.59%16.79萬 | ---- | 165.76%30.03萬 | ---- | -50.46%18.57萬 |
| 一年內到期的非流動負債 | -39.71%186.93萬 | -29.33%253.71萬 | 27.69%396.57萬 | 117.21%411.09萬 | 38.71%310.08萬 | 53.36%358.99萬 | --310.57萬 | 170.73%189.26萬 | 217.16%223.55萬 | 227.89%234.09萬 |
| 其他流動負債 | 6.23%502.44萬 | 34.02%515.5萬 | 250.07%709.52萬 | 133.94%580.19萬 | 92.92%472.96萬 | 91.63%384.66萬 | 24.25%202.68萬 | 124.76%248.01萬 | 152.96%245.15萬 | 9.72%200.73萬 |
| 流動負債合計 | 1.27%2.08億 | 26.90%2.34億 | 59.45%3.04億 | 56.58%2.77億 | 28.33%2.05億 | 34.99%1.85億 | 107.64%1.91億 | 159.08%1.77億 | 215.42%1.6億 | 111.95%1.37億 |
| 非流動負債 | ||||||||||
| 預計負債 | -74.12%7.3萬 | -74.12%7.3萬 | -78.51%6.06萬 | 0.00%28.21萬 | --28.21萬 | --28.21萬 | --28.21萬 | --28.21萬 | ---- | ---- |
| 長期遞延收益 | 13.04%1,274.09萬 | 13.32%1,337.75萬 | -3.53%1,190.3萬 | -12.70%1,073.74萬 | -12.05%1,127.11萬 | -11.46%1,180.48萬 | 6.75%1,233.85萬 | 3.36%1,229.91萬 | 4.71%1,281.59萬 | 5.98%1,333.27萬 |
| 租賃負債 | -95.37%9.75萬 | -97.44%6.19萬 | -94.18%16.3萬 | -76.52%63.9萬 | -31.04%210.6萬 | -32.27%241.74萬 | 395.57%279.93萬 | 4,647.12%272.14萬 | 1,117.26%305.39萬 | 731.04%356.93萬 |
| 非流動負債合計 | -5.47%1,291.13萬 | -6.84%1,351.24萬 | -21.36%1,212.67萬 | -23.81%1,165.85萬 | -13.93%1,365.92萬 | -14.19%1,450.42萬 | 27.05%1,541.99萬 | 27.99%1,530.25萬 | 19.23%1,586.98萬 | -4.81%1,690.2萬 |
| 負債合計 | 0.85%2.21億 | 24.45%2.48億 | 53.40%3.16億 | 50.17%2.88億 | 24.51%2.19億 | 29.58%1.99億 | 98.24%2.06億 | 139.52%1.92億 | 174.62%1.76億 | 86.77%1.54億 |
| 所有者權益(或股東權益) | ||||||||||
| 實收資本(或股本) | 30.00%1.52億 | 30.00%1.52億 | 30.00%1.52億 | 30.00%1.52億 | 30.00%1.17億 | 30.00%1.17億 | 30.00%1.17億 | 30.00%1.17億 | 0.00%8,987.45萬 | 0.00%8,987.45萬 |
| 資本公積 | -3.71%9.78億 | -3.68%9.78億 | -3.55%9.81億 | -3.55%9.8億 | -2.61%10.15億 | -2.59%10.15億 | -2.54%10.17億 | -2.46%10.16億 | 0.17%10.43億 | 0.25%10.42億 |
| 盈餘公積 | 10.39%1,957.73萬 | 10.39%1,957.73萬 | 0.00%1,773.49萬 | 0.00%1,773.49萬 | 0.00%1,773.49萬 | 0.00%1,773.49萬 | 0.00%1,773.49萬 | 0.00%1,773.49萬 | 0.00%1,773.49萬 | 0.00%1,773.49萬 |
| 未分配利潤 | -24.06%6,556.33萬 | 31.11%7,839.03萬 | 50.64%8,722.08萬 | 32.22%8,112.67萬 | 22.87%8,633.52萬 | -21.01%5,978.79萬 | -22.28%5,789.97萬 | -23.00%6,135.87萬 | -32.29%7,026.79萬 | -31.82%7,568.59萬 |
| 其他綜合收益 | 133.71%18.86萬 | 142.21%27.18萬 | 110.30%12.73萬 | 103.13%7.62萬 | 68.89%-55.95萬 | 10.63%-64.4萬 | -193.12%-123.56萬 | -488.42%-243.25萬 | -403.90%-179.81萬 | -125.61%-72.06萬 |
| 歸屬母公司所有者權益合計 | -1.68%12.15億 | 1.58%12.28億 | 2.45%12.38億 | 1.76%12.31億 | 1.40%12.36億 | -1.30%12.09億 | -1.38%12.08億 | -1.55%12.1億 | -2.65%12.19億 | -2.64%12.25億 |
| 少數股東權益 | 2.54%11.47萬 | -3.88%10.07萬 | 20.36%9.87萬 | 66.96%11.31萬 | 131.34%11.19萬 | 233.99%10.47萬 | --8.2萬 | --6.77萬 | --4.84萬 | --3.14萬 |
| 所有者權益(或股東權益)合計 | -1.68%12.15億 | 1.58%12.28億 | 2.45%12.38億 | 1.76%12.31億 | 1.40%12.36億 | -1.29%12.09億 | -1.38%12.08億 | -1.55%12.1億 | -2.65%12.19億 | -2.63%12.25億 |
| 負債和權益調整專案 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---0.01 | ---- |
| 負債和所有者權益(或股東權益)總計 | -1.30%14.36億 | 4.82%14.76億 | 9.88%15.54億 | 8.39%15.19億 | 4.32%14.55億 | 2.15%14.08億 | 6.42%14.14億 | 7.09%14.02億 | 5.97%13.94億 | 2.86%13.78億 |
| 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 | 中國會計準則(2007) | 中國會計準則(2007) | 中國會計準則(2007) | 中國會計準則(2007) | 中國會計準則(2007) | 中國會計準則(2007) | 中國會計準則(2007) | 中國會計準則(2007) | 中國會計準則(2007) | 中國會計準則(2007) |
| 審計意見 | -- | -- | -- | -- | -- | -- | -- | -- | -- | 無保留意見 |
| 會計師事務所 | -- | -- | -- | -- | -- | -- | -- | -- | -- | 天衡會計師事務所(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。