Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
石油服務指數ETF-VanEck
OIH
5
兩倍做多彭博原油ETF-ProShares
UCO
| (FY)2025/12/31 | (Q4)2025/12/31 | (Q3)2025/09/30 | (Q2)2025/06/30 | (Q1)2025/03/31 | (FY)2024/12/31 | (Q4)2024/12/31 | (Q3)2024/09/30 | (Q2)2024/06/30 | (Q1)2024/03/31 | |
|---|---|---|---|---|---|---|---|---|---|---|
| 資產 | ||||||||||
| 流動資產 | ||||||||||
| 現金及現金等價物和短期投資 | 109.20%1.05億 | 109.20%1.05億 | 227.53%6,625.7萬 | 52.55%6,830.3萬 | 55.87%8,057.3萬 | -54.89%5,040.2萬 | -54.89%5,040.2萬 | --2,022.9萬 | -75.18%4,477.3萬 | -78.16%5,169.2萬 |
| -現金和現金等價物 | 109.20%1.05億 | 109.20%1.05億 | 227.53%6,625.7萬 | 52.55%6,830.3萬 | 55.87%8,057.3萬 | -54.89%5,040.2萬 | -54.89%5,040.2萬 | --2,022.9萬 | -64.00%4,477.3萬 | -75.37%5,169.2萬 |
| 應收款項 | 22.88%4,947萬 | 22.88%4,947萬 | -40.97%3,008.8萬 | -20.87%2,943萬 | 158.88%8,312.5萬 | 42.38%4,025.8萬 | 42.38%4,025.8萬 | --5,097.2萬 | -3.03%3,719.3萬 | -29.50%3,211萬 |
| -應收賬款 | 123.17%4,106.1萬 | 123.17%4,106.1萬 | -44.72%1,113.2萬 | -22.47%1,273.2萬 | 689.06%6,360.6萬 | 222.22%1,839.9萬 | 222.22%1,839.9萬 | --2,013.9萬 | 28.51%1,642.2萬 | -62.00%806.1萬 |
| -應收票據 | -91.34%40.5萬 | -91.34%40.5萬 | 10.83%563萬 | -8.49%505.2萬 | -46.10%452萬 | -43.95%467.8萬 | -43.95%467.8萬 | --508萬 | -56.25%552.1萬 | -30.42%838.6萬 |
| -應收稅費 | -53.41%800.4萬 | -53.41%800.4萬 | -48.25%1,332.6萬 | -23.63%1,164.6萬 | -4.24%1,499.9萬 | 20.83%1,718.1萬 | 20.83%1,718.1萬 | --2,575.3萬 | 17.69%1,525萬 | 27.54%1,566.3萬 |
| 存貨 | 154.46%1.07億 | 154.46%1.07億 | 113.48%9,162.6萬 | 82.58%6,235.2萬 | 58.26%5,553.5萬 | -0.38%4,209.4萬 | -0.38%4,209.4萬 | --4,292.1萬 | -17.53%3,415萬 | 7.68%3,509.2萬 |
| 預付費用 | 15.39%364.3萬 | 15.39%364.3萬 | -31.48%383萬 | 162.19%567.9萬 | 141.34%317.6萬 | 931.70%315.7萬 | 931.70%315.7萬 | --559萬 | -17.99%216.6萬 | -18.36%131.6萬 |
| 其他流動資產 | -0.58%584.5萬 | -0.58%584.5萬 | -1.51%698.9萬 | 25.54%787.4萬 | 18.92%961.2萬 | 3.87%587.9萬 | 3.87%587.9萬 | --709.6萬 | -7.40%627.2萬 | -2.41%808.3萬 |
| 流動資產合計 | 94.80%2.76億 | 94.80%2.76億 | 63.56%2.07億 | 43.33%1.79億 | 78.74%2.32億 | -28.92%1.42億 | -28.92%1.42億 | --1.27億 | -55.64%1.25億 | -60.77%1.3億 |
| 非流動資產 | ||||||||||
| 固定資產淨額 | 26.62%16.08億 | 26.62%16.08億 | 20.83%16.35億 | 23.41%15.59億 | 6.41%14.17億 | -0.94%12.7億 | -0.94%12.7億 | --13.53億 | 22.34%12.63億 | 53.22%13.32億 |
| -固定資產 | 31.95%21.1億 | 31.95%21.1億 | 23.18%21.07億 | 24.30%19.79億 | 6.98%17.92億 | -0.96%15.99億 | -0.96%15.99億 | --17.11億 | 20.73%15.92億 | 49.68%16.75億 |
| -累計折舊 | -52.53%-5.02億 | -52.53%-5.02億 | -32.07%-4.73億 | -27.74%-4.2億 | -9.18%-3.75億 | 1.00%-3.29億 | 1.00%-3.29億 | ---3.58億 | -14.91%-3.29億 | -37.39%-3.44億 |
| 長期應收票據 | 77.30%1,299.8萬 | 77.30%1,299.8萬 | 51.85%785.8萬 | 27.02%770.9萬 | 17.01%746.3萬 | -19.15%733.1萬 | -19.15%733.1萬 | --517.5萬 | -1.12%606.9萬 | -22.03%637.8萬 |
| 長期應收款 | 14.61%2,101.5萬 | 14.61%2,101.5萬 | 37.14%2,032.6萬 | -9.39%1,990.6萬 | -16.15%1,913.7萬 | 60.66%1,833.6萬 | 60.66%1,833.6萬 | --1,482.1萬 | 144.29%2,196.9萬 | 176.43%2,282.2萬 |
| 非流動遞延資產 | -81.71%304.7萬 | -81.71%304.7萬 | -59.53%182.3萬 | -59.66%324.4萬 | 447.22%581.7萬 | 1,166.84%1,665.9萬 | 1,166.84%1,665.9萬 | --450.5萬 | --804.2萬 | --106.3萬 |
| 其他非流動資產 | -34.01%268.3萬 | -34.01%268.3萬 | -49.67%419.2萬 | -49.40%415.1萬 | -53.14%408.3萬 | -52.01%406.6萬 | -52.01%406.6萬 | --832.9萬 | 12.75%820.4萬 | 71.15%871.3萬 |
| 非流動資產合計 | 25.18%16.48億 | 25.18%16.48億 | 20.44%16.69億 | 21.91%15.94億 | 6.04%14.53億 | 0.31%13.16億 | 0.31%13.16億 | --13.86億 | 23.94%13.07億 | 53.89%13.71億 |
| 總資產 | 31.95%19.24億 | 31.95%19.24億 | 24.05%18.76億 | 23.77%17.72億 | 12.34%16.86億 | -3.55%14.58億 | -3.55%14.58億 | --15.13億 | 7.21%14.32億 | 22.81%15.01億 |
| 負債 | ||||||||||
| 流動負債 | ||||||||||
| 應付款項 | 68.31%1.18億 | 68.31%1.18億 | 36.58%1.04億 | 21.72%8,064.2萬 | -22.77%6,399.1萬 | -20.58%6,990.2萬 | -20.58%6,990.2萬 | --7,619.8萬 | 8.11%6,625.4萬 | 73.10%8,285.8萬 |
| -應付賬款 | 58.93%9,228.3萬 | 58.93%9,228.3萬 | 36.77%9,126.7萬 | 22.19%6,943.6萬 | -22.89%5,370.9萬 | -22.45%5,806.7萬 | -22.45%5,806.7萬 | --6,672.9萬 | 15.27%5,682.5萬 | 92.79%6,965.1萬 |
| -應付稅費 | 114.34%2,536.7萬 | 114.34%2,536.7萬 | 35.24%1,280.6萬 | 18.85%1,120.6萬 | -22.15%1,028.2萬 | -9.92%1,183.5萬 | -9.92%1,183.5萬 | --946.9萬 | -21.34%942.9萬 | 12.51%1,320.7萬 |
| 應計費用 | 7.58%107.8萬 | 7.58%107.8萬 | -18.53%92.8萬 | -8.72%95.2萬 | 7.92%107.7萬 | -90.24%100.2萬 | -90.24%100.2萬 | --113.9萬 | -97.08%104.3萬 | -96.82%99.8萬 |
| 現行撥備 | -44.31%376.8萬 | -44.31%376.8萬 | --718.8萬 | --797.8萬 | --728.5萬 | --676.6萬 | --676.6萬 | ---- | ---- | ---- |
| 短期借款與租賃負債 | 26.75%7,199.4萬 | 26.75%7,199.4萬 | 32.66%6,785萬 | 46.80%7,458.5萬 | 136.52%6,643.5萬 | 81.02%5,679.8萬 | 81.02%5,679.8萬 | --5,114.4萬 | 93.18%5,080.7萬 | 67.53%2,808.8萬 |
| -短期借款 | 21.39%5,571.1萬 | 21.39%5,571.1萬 | 28.46%5,059萬 | 45.59%5,807.6萬 | 226.79%5,247.9萬 | 125.18%4,589.3萬 | 125.18%4,589.3萬 | --3,938.3萬 | 133.20%3,988.9萬 | 74.16%1,605.9萬 |
| -短期租賃負債 | 49.32%1,628.3萬 | 49.32%1,628.3萬 | 46.76%1,726萬 | 51.21%1,650.9萬 | 16.02%1,395.6萬 | -0.83%1,090.5萬 | -0.83%1,090.5萬 | --1,176.1萬 | 18.74%1,091.8萬 | 59.43%1,202.9萬 |
| 遞延負債 | -59.64%1,280萬 | -59.64%1,280萬 | 71.59%2,919萬 | -15.10%1,426.6萬 | 231.94%5,652.6萬 | 84.81%3,171.2萬 | 84.81%3,171.2萬 | --1,701.1萬 | -0.14%1,680.3萬 | 6.09%1,702.9萬 |
| 其他流動負債 | -60.37%712.5萬 | -60.37%712.5萬 | 19.43%390.3萬 | -88.03%164萬 | 675.98%374.8萬 | 3,093.61%1,798萬 | 3,093.61%1,798萬 | --326.8萬 | --1,369.8萬 | 38.40%48.3萬 |
| 流動負債總額 | 23.15%2.61億 | 23.15%2.61億 | 34.56%2.53億 | 16.40%2.12億 | 40.04%2.22億 | 21.81%2.12億 | 21.81%2.12億 | --1.88億 | 30.02%1.82億 | 41.01%1.59億 |
| 非流動負債 | ||||||||||
| 長期撥備 | 1.51%2,383.4萬 | 1.51%2,383.4萬 | 4.61%2,774萬 | 7.83%2,658.2萬 | -7.26%2,539.5萬 | -17.06%2,347.9萬 | -17.06%2,347.9萬 | --2,651.8萬 | -1.23%2,465.1萬 | 15.45%2,738.3萬 |
| 長期借款與租賃負債 | -0.52%5.6億 | -0.52%5.6億 | 12.27%5.71億 | 17.18%5.79億 | 30.54%5.98億 | 35.91%5.63億 | 35.91%5.63億 | --5.08億 | 18.86%4.94億 | 12.82%4.58億 |
| -長期借款 | -0.88%5.51億 | -0.88%5.51億 | 12.34%5.61億 | 16.92%5.69億 | 30.86%5.9億 | 37.07%5.56億 | 37.07%5.56億 | --5億 | 18.81%4.87億 | 12.24%4.51億 |
| -長期租賃負債 | 28.22%895萬 | 28.22%895萬 | 8.30%938.5萬 | 35.20%936.4萬 | 11.15%843.3萬 | -18.90%698萬 | -18.90%698萬 | --866.6萬 | 21.94%692.6萬 | 62.60%758.7萬 |
| 遞延負債 | 114.96%1.04億 | 114.96%1.04億 | 119.03%9,996.9萬 | 98.40%9,734.2萬 | 67.39%9,741.1萬 | -30.36%4,823.1萬 | -30.36%4,823.1萬 | --4,564.2萬 | -36.48%4,906.4萬 | -25.81%5,819.4萬 |
| 員工福利 | 115.69%547萬 | 115.69%547萬 | 0.20%935萬 | -10.04%629.3萬 | -28.60%325.1萬 | --253.6萬 | --253.6萬 | --933.1萬 | --699.5萬 | --455.3萬 |
| 衍生品負債 | ---- | ---- | ---- | ---- | --57.8萬 | ---- | ---- | --126萬 | --91.8萬 | ---- |
| 其他非流動負債 | 26.88%417.3萬 | 26.88%417.3萬 | -6.35%408.5萬 | -5.33%399.6萬 | -19.37%373.9萬 | -61.41%328.9萬 | -61.41%328.9萬 | --436.2萬 | -56.73%422.1萬 | -37.42%463.7萬 |
| 非流動負債總額 | 10.69%7.25億 | 10.69%7.25億 | 20.43%7.32億 | 23.83%7.31億 | 32.43%7.45億 | 23.97%6.55億 | 23.97%6.55億 | --6.08億 | 10.68%5.91億 | 7.88%5.63億 |
| 總負債 | 13.73%9.86億 | 13.73%9.86億 | 23.76%9.85億 | 22.08%9.43億 | 34.10%9.67億 | 23.43%8.67億 | 23.43%8.67億 | --7.96億 | 14.70%7.73億 | 13.76%7.21億 |
| 所有者權益 | ||||||||||
| 股本 | 4.17%2.98億 | 4.17%2.98億 | 2.85%2.91億 | 2.20%2.87億 | 5.56%2.87億 | 5.61%2.87億 | 5.61%2.87億 | --2.83億 | 75.89%2.81億 | 78.47%2.72億 |
| -普通股股本 | 4.17%2.98億 | 4.17%2.98億 | 2.85%2.91億 | 2.20%2.87億 | 5.56%2.87億 | 5.61%2.87億 | 5.61%2.87億 | --2.83億 | 75.89%2.81億 | 78.47%2.72億 |
| 留存收益 | 54.82%7.45億 | 54.82%7.45億 | 26.00%6.68億 | 29.17%6.32億 | 3.48%5.61億 | -12.46%4.81億 | -12.46%4.81億 | --5.3億 | -4.18%4.89億 | 12.79%5.42億 |
| 不影響留存收益的損益 | 40.30%-1.08億 | 40.30%-1.08億 | 27.11%-7,363萬 | 16.95%-9,590.9萬 | -236.78%-1.34億 | -986.13%-1.8億 | -986.13%-1.8億 | ---1.01億 | -788.45%-1.15億 | 33.40%-3,986.7萬 |
| 股東權益總額 | 59.34%9.36億 | 59.34%9.36億 | 24.34%8.85億 | 25.72%8.23億 | -7.80%7.14億 | -27.00%5.87億 | -27.00%5.87億 | --7.12億 | -0.38%6.55億 | 32.60%7.74億 |
| 非控制性權益 | -40.93%232.9萬 | -40.93%232.9萬 | 30.52%636萬 | 30.95%562.3萬 | -6.85%479萬 | -22.40%394.3萬 | -22.40%394.3萬 | --487.3萬 | -5.48%429.4萬 | 28.78%514.2萬 |
| 總權益 | 58.67%9.38億 | 58.67%9.38億 | 24.38%8.91億 | 25.76%8.29億 | -7.79%7.19億 | -26.97%5.91億 | -26.97%5.91億 | --7.17億 | -0.41%6.59億 | 32.57%7.79億 |
| 貨幣單位 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 |
| 會計準則 | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
| 審計意見 | 無保留意見 | -- | -- | -- | -- | 無保留意見 | -- | -- | -- | -- |