加拿大市場個股詳情

Stingray Group Inc (RAY.B)

添加自選
  • 15.720
  • 0.0000.00%
延時15分鐘行情交易中 01/22 16:00 (美東)
10.68億總市值20.68市盈率TTM

Stingray Group Inc (RAY.B) 資產負債表

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
現金及現金等價物和短期投資
76.45%1,514.5萬
25.16%1,149.5萬
45.58%1,398.4萬
45.58%1,398.4萬
175.40%1,925.3萬
-11.55%858.3萬
-21.38%918.4萬
-37.84%960.6萬
-37.84%960.6萬
-43.18%699.1萬
-現金和現金等價物
76.45%1,514.5萬
25.16%1,149.5萬
45.58%1,398.4萬
45.58%1,398.4萬
175.40%1,925.3萬
-11.55%858.3萬
-21.38%918.4萬
-37.84%960.6萬
-37.84%960.6萬
-43.18%699.1萬
應收款項
11.54%9,537萬
12.92%8,323.7萬
14.51%8,334.7萬
14.51%8,334.7萬
1.14%9,274萬
9.35%8,550.2萬
-5.79%7,371萬
-5.60%7,278.7萬
-5.60%7,278.7萬
14.99%9,169.6萬
-應收賬款
12.31%9,472.3萬
12.98%8,256.1萬
15.07%7,327.3萬
15.07%7,327.3萬
1.17%9,230.1萬
19.70%8,434萬
2.94%7,307.8萬
4.16%6,367.6萬
4.16%6,367.6萬
19.43%9,123萬
-應收稅費
-44.32%64.7萬
6.96%67.6萬
-18.31%495.1萬
-18.31%495.1萬
-5.79%43.9萬
-84.98%116.2萬
-91.28%63.2萬
-45.15%606.1萬
-45.15%606.1萬
-86.11%46.6萬
-其他應收款
----
----
67.97%512.3萬
67.97%512.3萬
----
----
----
-38.06%305萬
-38.06%305萬
----
存貨
45.46%893.4萬
-33.97%343.2萬
-42.28%249.6萬
-42.28%249.6萬
-6.87%330.8萬
45.06%614.2萬
-5.42%519.8萬
-24.19%432.4萬
-24.19%432.4萬
-43.34%355.2萬
預付費用
39.53%2,252萬
-0.36%1,714.5萬
-21.74%1,359.7萬
-21.74%1,359.7萬
--1,802.7萬
--1,614萬
--1,720.7萬
--1,737.4萬
--1,737.4萬
----
其他流動資產
----
----
----
----
----
-99.72%4萬
----
-1.95%1,737.4萬
-1.95%1,737.4萬
-30.00%1,331.7萬
流動資產合計
21.96%1.42億
9.51%1.15億
8.97%1.13億
8.97%1.13億
15.38%1.33億
9.30%1.16億
-4.39%1.05億
-10.25%1.04億
-10.25%1.04億
-1.52%1.16億
非流動資產
固定資產淨額
2.30%5,615.1萬
-5.42%5,300.5萬
-9.40%5,195萬
-9.40%5,195萬
-8.47%5,228.5萬
-6.68%5,488.9萬
-6.49%5,604.5萬
-7.61%5,734.2萬
-7.61%5,734.2萬
-7.51%5,712.1萬
-固定資產
2.30%5,615.1萬
-5.42%5,300.5萬
0.84%1.31億
0.84%1.31億
-8.47%5,228.5萬
-6.68%5,488.9萬
-6.49%5,604.5萬
-4.66%1.3億
-4.66%1.3億
-7.51%5,712.1萬
-累計折舊
----
----
-8.93%-7,908.1萬
-8.93%-7,908.1萬
----
----
----
2.19%-7,259.5萬
2.19%-7,259.5萬
----
投資和預付款
-24.15%484萬
-39.02%490.9萬
-39.87%580.7萬
-39.87%580.7萬
-28.98%655.6萬
-21.45%638.1萬
-7.83%805萬
16.43%965.8萬
16.43%965.8萬
1.41%923.1萬
-金融資產投資
----
--490.9萬
-39.87%580.7萬
-39.87%580.7萬
----
----
----
16.43%965.8萬
16.43%965.8萬
----
-其中:以公允價值計量且其變動計入當期損益的金融資產總額
----
--490.9萬
-39.87%580.7萬
-39.87%580.7萬
----
----
----
16.43%965.8萬
16.43%965.8萬
----
商譽及其他無形資產
-0.05%6.35億
-0.32%6.32億
0.14%6.37億
0.14%6.37億
-8.06%6.37億
-8.57%6.35億
-9.01%6.34億
-9.54%6.36億
-9.54%6.36億
-1.36%6.93億
-商譽
1.89%3.12億
1.29%3.09億
1.67%3.1億
1.67%3.1億
-14.48%3.08億
-14.57%3.07億
-14.89%3.05億
-15.60%3.05億
-15.60%3.05億
0.36%3.6億
-其他無形資產
-1.87%3.22億
-1.81%3.23億
-1.27%3.27億
-1.27%3.27億
-1.11%3.29億
-2.14%3.28億
-2.78%3.29億
-3.15%3.31億
-3.15%3.31億
-3.16%3.33億
非流動遞延資產
198.52%724.5萬
426.94%782.5萬
223.29%534.4萬
223.29%534.4萬
101.78%407.6萬
12.94%242.7萬
-24.81%148.5萬
-25.07%165.3萬
-25.07%165.3萬
-21.09%202萬
其他非流動資產
5.82%362.1萬
32.08%401.8萬
13.53%359.9萬
13.53%359.9萬
-7.50%303.2萬
-45.65%342.2萬
-49.13%304.2萬
-19.65%317萬
-19.65%317萬
-25.06%327.8萬
非流動資產合計
0.63%7.07億
-0.13%7.02億
-0.60%7.03億
-0.60%7.03億
-8.05%7.03億
-8.80%7.02億
-9.16%7.02億
-9.21%7.07億
-9.21%7.07億
-2.01%7.65億
總資產
3.66%8.48億
1.13%8.17億
0.63%8.17億
0.63%8.17億
-4.97%8.37億
-6.60%8.19億
-8.56%8.08億
-9.34%8.12億
-9.34%8.12億
-1.95%8.8億
負債
流動負債
短期借款與資本租賃負債
-61.73%449萬
-64.70%418.6萬
-66.51%391.8萬
-66.51%391.8萬
-66.74%387.1萬
0.48%1,173.2萬
0.30%1,185.8萬
0.20%1,170萬
0.20%1,170萬
-72.35%1,163.9萬
-短期借款
----
----
----
----
----
0.00%750萬
0.00%750萬
0.00%750萬
0.00%750萬
-80.21%750萬
-短期資本租賃負債
6.10%449萬
-3.95%418.6萬
-6.71%391.8萬
-6.71%391.8萬
-6.47%387.1萬
1.34%423.2萬
0.81%435.8萬
0.55%420萬
0.55%420萬
-1.31%413.9萬
應付款項
44.51%1.13億
29.03%9,514萬
15.04%5,914.6萬
15.04%5,914.6萬
12.69%8,634.3萬
12.37%7,847.6萬
1.19%7,373.2萬
7.96%5,141.2萬
7.96%5,141.2萬
2.90%7,661.8萬
-應付帳款
47.66%1.06億
30.34%8,802.9萬
41.24%1,646.4萬
41.24%1,646.4萬
14.74%7,792.9萬
18.95%7,150.4萬
5.59%6,753.6萬
-27.32%1,165.7萬
-27.32%1,165.7萬
-3.72%6,791.8萬
-應付稅費
12.15%781.9萬
14.77%711.1萬
-23.73%1,126.2萬
-23.73%1,126.2萬
-3.29%841.4萬
-28.32%697.2萬
-30.42%619.6萬
38.61%1,476.6萬
38.61%1,476.6萬
122.11%870萬
-應付股利
--0
--0
-0.95%510.8萬
-0.95%510.8萬
--0
--0
--0
-0.83%515.7萬
-0.83%515.7萬
--0
-其他應付款
----
----
32.67%2,631.2萬
32.67%2,631.2萬
----
----
----
26.09%1,983.2萬
26.09%1,983.2萬
----
應計費用
----
----
-5.20%3,503.9萬
-5.20%3,503.9萬
----
----
----
-0.05%3,696.2萬
-0.05%3,696.2萬
----
遞延負債
2.69%722.7萬
-38.61%541萬
-29.37%684.6萬
-29.37%684.6萬
-12.76%772.1萬
18.09%703.8萬
34.25%881.2萬
29.71%969.3萬
29.71%969.3萬
14.62%885萬
其他流動負債
-51.42%253.5萬
-15.44%477.6萬
56.91%823.8萬
56.91%823.8萬
48.20%797.3萬
-27.75%521.8萬
-39.46%564.8萬
-83.30%525萬
-83.30%525萬
--538萬
流動負債總額
24.58%1.28億
9.46%1.1億
-1.59%1.13億
-1.59%1.13億
3.34%1.06億
8.20%1.02億
-0.53%1億
-14.92%1.15億
-14.92%1.15億
-17.53%1.02億
非流動負債
長期借款與租賃負債
-8.24%3.54億
-7.62%3.53億
-5.00%3.56億
-5.00%3.56億
-3.28%3.86億
-6.39%3.86億
-7.54%3.82億
-6.38%3.75億
-6.38%3.75億
-1.68%3.99億
-長期借款
-8.77%3.36億
-7.29%3.37億
-4.32%3.41億
-4.32%3.41億
-2.66%3.71億
-6.13%3.69億
-7.20%3.64億
-5.87%3.57億
-5.87%3.57億
-0.83%3.81億
-長期租賃負債
3.19%1,760.2萬
-14.43%1,517.5萬
-18.27%1,487.9萬
-18.27%1,487.9萬
-15.97%1,543.3萬
-11.69%1,705.8萬
-13.88%1,773.4萬
-15.45%1,820.6萬
-15.45%1,820.6萬
-16.47%1,836.5萬
遞延負債
2.64%6,229.8萬
3.36%6,143萬
1.62%6,138.8萬
1.62%6,138.8萬
3.85%6,124.8萬
4.59%6,069.5萬
1.89%5,943.3萬
6.67%6,040.9萬
6.67%6,040.9萬
4.29%5,897.7萬
其他非流動負債
4.50%1,579.6萬
21.71%1,440.3萬
51.31%1,900.5萬
51.31%1,900.5萬
18.51%1,709.4萬
35.87%1,511.6萬
-17.20%1,183.4萬
-24.14%1,256萬
-24.14%1,256萬
-24.05%1,442.4萬
非流動負債總額
-6.39%4.32億
-5.41%4.28億
-2.53%4.37億
-2.53%4.37億
-1.72%4.65億
-4.09%4.61億
-6.69%4.53億
-5.44%4.48億
-5.44%4.48億
-1.86%4.73億
負債總額
-0.76%5.6億
-2.72%5.38億
-2.34%5.5億
-2.34%5.5億
-0.82%5.71億
-2.07%5.64億
-5.63%5.53億
-7.55%5.63億
-7.55%5.63億
-5.07%5.75億
所有者權益
股本
0.44%2.93億
-0.91%2.91億
-0.85%2.92億
-0.85%2.92億
-1.30%2.91億
-1.69%2.92億
-1.47%2.93億
-1.05%2.95億
-1.05%2.95億
-1.02%2.95億
-普通股股本
0.44%2.93億
-0.91%2.91億
-0.85%2.92億
-0.85%2.92億
-1.30%2.91億
-1.69%2.92億
-1.47%2.93億
-1.05%2.95億
-1.05%2.95億
-1.02%2.95億
資本公積
-21.33%513.4萬
-10.84%575.1萬
-11.28%567.2萬
-11.28%567.2萬
-2.26%645.8萬
1.51%652.6萬
2.74%645萬
3.82%639.3萬
3.82%639.3萬
3.69%660.7萬
留存收益
55.21%-2,209萬
44.61%-2,725.2萬
23.55%-4,275.4萬
23.55%-4,275.4萬
-4,986.34%-3,933.5萬
-1,375.88%-4,932.4萬
-546.47%-4,920.3萬
-157.31%-5,592.4萬
-157.31%-5,592.4萬
105.09%80.5萬
不影響留存收益的損益
131.71%1,254.5萬
135.05%970.3萬
249.43%1,164.3萬
249.43%1,164.3萬
174.87%795.2萬
1,153.24%541.4萬
325.13%412.8萬
-15.47%333.2萬
-15.47%333.2萬
-16.24%289.3萬
股東權益總額
13.45%2.89億
9.48%2.79億
7.34%2.67億
7.34%2.67億
-12.81%2.66億
-15.28%2.55億
-14.33%2.55億
-13.16%2.49億
-13.16%2.49億
4.54%3.05億
總權益
13.45%2.89億
9.48%2.79億
7.34%2.67億
7.34%2.67億
-12.81%2.66億
-15.28%2.55億
-14.33%2.55億
-13.16%2.49億
-13.16%2.49億
4.54%3.05億
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
--
--
(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
現金及現金等價物和短期投資 76.45%1,514.5萬25.16%1,149.5萬45.58%1,398.4萬45.58%1,398.4萬175.40%1,925.3萬-11.55%858.3萬-21.38%918.4萬-37.84%960.6萬-37.84%960.6萬-43.18%699.1萬
-現金和現金等價物 76.45%1,514.5萬25.16%1,149.5萬45.58%1,398.4萬45.58%1,398.4萬175.40%1,925.3萬-11.55%858.3萬-21.38%918.4萬-37.84%960.6萬-37.84%960.6萬-43.18%699.1萬
應收款項 11.54%9,537萬12.92%8,323.7萬14.51%8,334.7萬14.51%8,334.7萬1.14%9,274萬9.35%8,550.2萬-5.79%7,371萬-5.60%7,278.7萬-5.60%7,278.7萬14.99%9,169.6萬
-應收賬款 12.31%9,472.3萬12.98%8,256.1萬15.07%7,327.3萬15.07%7,327.3萬1.17%9,230.1萬19.70%8,434萬2.94%7,307.8萬4.16%6,367.6萬4.16%6,367.6萬19.43%9,123萬
-應收稅費 -44.32%64.7萬6.96%67.6萬-18.31%495.1萬-18.31%495.1萬-5.79%43.9萬-84.98%116.2萬-91.28%63.2萬-45.15%606.1萬-45.15%606.1萬-86.11%46.6萬
-其他應收款 --------67.97%512.3萬67.97%512.3萬-------------38.06%305萬-38.06%305萬----
存貨 45.46%893.4萬-33.97%343.2萬-42.28%249.6萬-42.28%249.6萬-6.87%330.8萬45.06%614.2萬-5.42%519.8萬-24.19%432.4萬-24.19%432.4萬-43.34%355.2萬
預付費用 39.53%2,252萬-0.36%1,714.5萬-21.74%1,359.7萬-21.74%1,359.7萬--1,802.7萬--1,614萬--1,720.7萬--1,737.4萬--1,737.4萬----
其他流動資產 ---------------------99.72%4萬-----1.95%1,737.4萬-1.95%1,737.4萬-30.00%1,331.7萬
流動資產合計 21.96%1.42億9.51%1.15億8.97%1.13億8.97%1.13億15.38%1.33億9.30%1.16億-4.39%1.05億-10.25%1.04億-10.25%1.04億-1.52%1.16億
非流動資產
固定資產淨額 2.30%5,615.1萬-5.42%5,300.5萬-9.40%5,195萬-9.40%5,195萬-8.47%5,228.5萬-6.68%5,488.9萬-6.49%5,604.5萬-7.61%5,734.2萬-7.61%5,734.2萬-7.51%5,712.1萬
-固定資產 2.30%5,615.1萬-5.42%5,300.5萬0.84%1.31億0.84%1.31億-8.47%5,228.5萬-6.68%5,488.9萬-6.49%5,604.5萬-4.66%1.3億-4.66%1.3億-7.51%5,712.1萬
-累計折舊 ---------8.93%-7,908.1萬-8.93%-7,908.1萬------------2.19%-7,259.5萬2.19%-7,259.5萬----
投資和預付款 -24.15%484萬-39.02%490.9萬-39.87%580.7萬-39.87%580.7萬-28.98%655.6萬-21.45%638.1萬-7.83%805萬16.43%965.8萬16.43%965.8萬1.41%923.1萬
-金融資產投資 ------490.9萬-39.87%580.7萬-39.87%580.7萬------------16.43%965.8萬16.43%965.8萬----
-其中:以公允價值計量且其變動計入當期損益的金融資產總額 ------490.9萬-39.87%580.7萬-39.87%580.7萬------------16.43%965.8萬16.43%965.8萬----
商譽及其他無形資產 -0.05%6.35億-0.32%6.32億0.14%6.37億0.14%6.37億-8.06%6.37億-8.57%6.35億-9.01%6.34億-9.54%6.36億-9.54%6.36億-1.36%6.93億
-商譽 1.89%3.12億1.29%3.09億1.67%3.1億1.67%3.1億-14.48%3.08億-14.57%3.07億-14.89%3.05億-15.60%3.05億-15.60%3.05億0.36%3.6億
-其他無形資產 -1.87%3.22億-1.81%3.23億-1.27%3.27億-1.27%3.27億-1.11%3.29億-2.14%3.28億-2.78%3.29億-3.15%3.31億-3.15%3.31億-3.16%3.33億
非流動遞延資產 198.52%724.5萬426.94%782.5萬223.29%534.4萬223.29%534.4萬101.78%407.6萬12.94%242.7萬-24.81%148.5萬-25.07%165.3萬-25.07%165.3萬-21.09%202萬
其他非流動資產 5.82%362.1萬32.08%401.8萬13.53%359.9萬13.53%359.9萬-7.50%303.2萬-45.65%342.2萬-49.13%304.2萬-19.65%317萬-19.65%317萬-25.06%327.8萬
非流動資產合計 0.63%7.07億-0.13%7.02億-0.60%7.03億-0.60%7.03億-8.05%7.03億-8.80%7.02億-9.16%7.02億-9.21%7.07億-9.21%7.07億-2.01%7.65億
總資產 3.66%8.48億1.13%8.17億0.63%8.17億0.63%8.17億-4.97%8.37億-6.60%8.19億-8.56%8.08億-9.34%8.12億-9.34%8.12億-1.95%8.8億
負債
流動負債
短期借款與資本租賃負債 -61.73%449萬-64.70%418.6萬-66.51%391.8萬-66.51%391.8萬-66.74%387.1萬0.48%1,173.2萬0.30%1,185.8萬0.20%1,170萬0.20%1,170萬-72.35%1,163.9萬
-短期借款 --------------------0.00%750萬0.00%750萬0.00%750萬0.00%750萬-80.21%750萬
-短期資本租賃負債 6.10%449萬-3.95%418.6萬-6.71%391.8萬-6.71%391.8萬-6.47%387.1萬1.34%423.2萬0.81%435.8萬0.55%420萬0.55%420萬-1.31%413.9萬
應付款項 44.51%1.13億29.03%9,514萬15.04%5,914.6萬15.04%5,914.6萬12.69%8,634.3萬12.37%7,847.6萬1.19%7,373.2萬7.96%5,141.2萬7.96%5,141.2萬2.90%7,661.8萬
-應付帳款 47.66%1.06億30.34%8,802.9萬41.24%1,646.4萬41.24%1,646.4萬14.74%7,792.9萬18.95%7,150.4萬5.59%6,753.6萬-27.32%1,165.7萬-27.32%1,165.7萬-3.72%6,791.8萬
-應付稅費 12.15%781.9萬14.77%711.1萬-23.73%1,126.2萬-23.73%1,126.2萬-3.29%841.4萬-28.32%697.2萬-30.42%619.6萬38.61%1,476.6萬38.61%1,476.6萬122.11%870萬
-應付股利 --0--0-0.95%510.8萬-0.95%510.8萬--0--0--0-0.83%515.7萬-0.83%515.7萬--0
-其他應付款 --------32.67%2,631.2萬32.67%2,631.2萬------------26.09%1,983.2萬26.09%1,983.2萬----
應計費用 ---------5.20%3,503.9萬-5.20%3,503.9萬-------------0.05%3,696.2萬-0.05%3,696.2萬----
遞延負債 2.69%722.7萬-38.61%541萬-29.37%684.6萬-29.37%684.6萬-12.76%772.1萬18.09%703.8萬34.25%881.2萬29.71%969.3萬29.71%969.3萬14.62%885萬
其他流動負債 -51.42%253.5萬-15.44%477.6萬56.91%823.8萬56.91%823.8萬48.20%797.3萬-27.75%521.8萬-39.46%564.8萬-83.30%525萬-83.30%525萬--538萬
流動負債總額 24.58%1.28億9.46%1.1億-1.59%1.13億-1.59%1.13億3.34%1.06億8.20%1.02億-0.53%1億-14.92%1.15億-14.92%1.15億-17.53%1.02億
非流動負債
長期借款與租賃負債 -8.24%3.54億-7.62%3.53億-5.00%3.56億-5.00%3.56億-3.28%3.86億-6.39%3.86億-7.54%3.82億-6.38%3.75億-6.38%3.75億-1.68%3.99億
-長期借款 -8.77%3.36億-7.29%3.37億-4.32%3.41億-4.32%3.41億-2.66%3.71億-6.13%3.69億-7.20%3.64億-5.87%3.57億-5.87%3.57億-0.83%3.81億
-長期租賃負債 3.19%1,760.2萬-14.43%1,517.5萬-18.27%1,487.9萬-18.27%1,487.9萬-15.97%1,543.3萬-11.69%1,705.8萬-13.88%1,773.4萬-15.45%1,820.6萬-15.45%1,820.6萬-16.47%1,836.5萬
遞延負債 2.64%6,229.8萬3.36%6,143萬1.62%6,138.8萬1.62%6,138.8萬3.85%6,124.8萬4.59%6,069.5萬1.89%5,943.3萬6.67%6,040.9萬6.67%6,040.9萬4.29%5,897.7萬
其他非流動負債 4.50%1,579.6萬21.71%1,440.3萬51.31%1,900.5萬51.31%1,900.5萬18.51%1,709.4萬35.87%1,511.6萬-17.20%1,183.4萬-24.14%1,256萬-24.14%1,256萬-24.05%1,442.4萬
非流動負債總額 -6.39%4.32億-5.41%4.28億-2.53%4.37億-2.53%4.37億-1.72%4.65億-4.09%4.61億-6.69%4.53億-5.44%4.48億-5.44%4.48億-1.86%4.73億
負債總額 -0.76%5.6億-2.72%5.38億-2.34%5.5億-2.34%5.5億-0.82%5.71億-2.07%5.64億-5.63%5.53億-7.55%5.63億-7.55%5.63億-5.07%5.75億
所有者權益
股本 0.44%2.93億-0.91%2.91億-0.85%2.92億-0.85%2.92億-1.30%2.91億-1.69%2.92億-1.47%2.93億-1.05%2.95億-1.05%2.95億-1.02%2.95億
-普通股股本 0.44%2.93億-0.91%2.91億-0.85%2.92億-0.85%2.92億-1.30%2.91億-1.69%2.92億-1.47%2.93億-1.05%2.95億-1.05%2.95億-1.02%2.95億
資本公積 -21.33%513.4萬-10.84%575.1萬-11.28%567.2萬-11.28%567.2萬-2.26%645.8萬1.51%652.6萬2.74%645萬3.82%639.3萬3.82%639.3萬3.69%660.7萬
留存收益 55.21%-2,209萬44.61%-2,725.2萬23.55%-4,275.4萬23.55%-4,275.4萬-4,986.34%-3,933.5萬-1,375.88%-4,932.4萬-546.47%-4,920.3萬-157.31%-5,592.4萬-157.31%-5,592.4萬105.09%80.5萬
不影響留存收益的損益 131.71%1,254.5萬135.05%970.3萬249.43%1,164.3萬249.43%1,164.3萬174.87%795.2萬1,153.24%541.4萬325.13%412.8萬-15.47%333.2萬-15.47%333.2萬-16.24%289.3萬
股東權益總額 13.45%2.89億9.48%2.79億7.34%2.67億7.34%2.67億-12.81%2.66億-15.28%2.55億-14.33%2.55億-13.16%2.49億-13.16%2.49億4.54%3.05億
總權益 13.45%2.89億9.48%2.79億7.34%2.67億7.34%2.67億-12.81%2.66億-15.28%2.55億-14.33%2.55億-13.16%2.49億-13.16%2.49億4.54%3.05億
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 ----無保留意見--------無保留意見----

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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