马来西亚市场个股详情

JAG (0024)

添加自选
  • 0.320
  • 0.0000.00%
延时15分钟行情未开盘 01/15 16:50 (北京)
2.25亿总市值-21.33市盈率TTM

0024 JAG

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(FY)2023/12/31
(Q4)2023/12/31
资产
流动资产
现金及现金等价物与短期投资
-2.51%1,834.2万
-4.99%1,721.6万
40.66%2,305.9万
6.56%2,046.82万
6.56%2,046.82万
11.13%1,881.5万
0.89%1,812.1万
-11.66%1,639.3万
-7.84%1,920.85万
-7.84%1,920.85万
-现金及现金等价物
39.74%748.6万
48.93%641.6万
200.95%1,013.9万
23.01%524.14万
23.01%524.14万
-22.43%535.7万
-32.44%430.8万
-43.62%336.9万
-63.04%426.09万
-63.04%426.09万
-其中:现金
39.74%748.6万
48.93%641.6万
200.95%1,013.9万
23.01%524.14万
23.01%524.14万
-22.43%535.7万
-32.44%430.8万
-43.62%336.9万
-63.04%426.09万
-63.04%426.09万
-短期投资
-19.33%1,085.6万
-21.81%1,080万
-0.80%1,292万
1.87%1,522.68万
1.87%1,522.68万
34.24%1,345.8万
19.24%1,381.3万
3.53%1,302.4万
60.50%1,494.76万
60.50%1,494.76万
应收款项
165.33%1,500.7万
92.54%1,963.9万
-21.22%1,759.5万
14.80%2,096.92万
14.80%2,096.92万
-70.78%565.6万
-30.11%1,020万
20.76%2,233.5万
4.34%1,826.57万
4.34%1,826.57万
-应收账款净额
165.33%1,500.7万
92.54%1,963.9万
-21.22%1,759.5万
18.12%1,856.99万
18.12%1,856.99万
-70.78%565.6万
-30.11%1,020万
20.76%2,233.5万
5.04%1,572.17万
5.04%1,572.17万
-其中:应收账款
----
----
----
16.36%2,025.55万
16.36%2,025.55万
----
----
----
1.86%1,740.73万
1.86%1,740.73万
-其中:坏账准备
----
----
----
0.00%-168.56万
0.00%-168.56万
----
----
----
20.56%-168.56万
20.56%-168.56万
-其他应收款
----
----
----
-5.69%239.93万
-5.69%239.93万
----
----
----
0.23%254.4万
0.23%254.4万
存货
20.29%1亿
13.38%8,831.8万
15.63%8,305.6万
19.21%8,563.01万
19.21%8,563.01万
23.81%8,322.1万
20.22%7,789.8万
9.53%7,183万
14.05%7,183.29万
14.05%7,183.29万
预付费用
----
----
----
-20.25%152万
-20.25%152万
----
----
----
-78.39%190.61万
-78.39%190.61万
受限制现金
----
----
----
----
----
----
----
----
2.09%88.84万
2.09%88.84万
税项资产
-37.46%136.9万
-93.51%10.9万
85.89%217.3万
-97.55%3.6万
-97.55%3.6万
63.11%218.9万
154.39%167.9万
391.18%116.9万
2,837.60%146.75万
2,837.60%146.75万
其他流动资产
----
----
--4,000
----
----
----
----
----
----
----
流动资产合计
22.70%1.35亿
16.11%1.25亿
12.67%1.26亿
14.15%1.29亿
14.15%1.29亿
4.80%1.1亿
10.09%1.08亿
8.61%1.12亿
1.44%1.13亿
1.44%1.13亿
非流动资产
物业厂房及设备净额
-6.87%9,487万
-6.48%9,696.8万
-5.84%9,955.8万
-5.32%1.01亿
-5.32%1.01亿
-2.93%1.02亿
-0.48%1.04亿
2.16%1.06亿
6.29%1.07亿
6.29%1.07亿
-物业、厂房及设备
-6.87%9,487万
-6.48%9,696.8万
-5.84%9,955.8万
-3.28%1.61亿
-3.28%1.61亿
-2.93%1.02亿
-0.48%1.04亿
2.16%1.06亿
7.63%1.66亿
7.63%1.66亿
-累计折旧
----
----
----
-0.42%-5,909.68万
-0.42%-5,909.68万
----
----
----
-10.17%-5,885.19万
-10.17%-5,885.19万
投资物业
-7.88%8,247.4万
-8.58%7,984.3万
-7.15%7,979.5万
5.88%7,860.86万
5.88%7,860.86万
5.41%8,953.1万
3.70%8,733.8万
2.54%8,593.6万
108.01%7,424.51万
108.01%7,424.51万
投资总额
-7.96%220.9万
-30.83%166万
-87.50%30万
-87.50%30万
-87.50%30万
0.00%240万
0.00%240万
0.00%240万
2.13%240万
2.13%240万
-长期股权投资
----
----
----
--0
--0
----
----
----
--0
--0
-金融资产投资
--220.9万
--166万
--30万
-87.50%30万
-87.50%30万
----
----
----
2.13%240万
2.13%240万
-其中:以公允价值计量且其变动计入当期损益的金融资产总额
----
----
----
--30万
--30万
----
----
----
--0
--0
-其中:可供出售证券
--220.9万
--166万
--30万
-87.50%30万
-87.50%30万
----
----
----
2.13%240万
2.13%240万
-其他投资
----
----
----
----
----
0.00%240万
0.00%240万
0.00%240万
----
----
商誉及其他无形资产
-1.02%9.7万
-1.01%9.8万
-1.01%9.8万
-0.83%9.81万
-0.83%9.81万
-1.01%9.8万
0.00%9.9万
0.00%9.9万
-0.83%9.89万
-0.83%9.89万
-其他无形资产
----
----
----
-0.83%9.81万
-0.83%9.81万
----
----
----
-0.83%9.89万
-0.83%9.89万
非流动递延所得税资产
----
----
----
----
----
--0
----
--0
--0
--0
其他非流动资产
----
----
----
----
----
----
----
----
-5.65%1,000.53万
-5.65%1,000.53万
非流动资产合计
-7.35%1.8亿
-7.73%1.79亿
-7.42%1.8亿
-6.93%1.8亿
-6.93%1.8亿
0.66%1.94亿
1.24%1.94亿
2.17%1.94亿
29.43%1.94亿
29.43%1.94亿
总资产
3.52%3.14亿
0.81%3.04亿
-0.08%3.06亿
0.82%3.09亿
0.82%3.09亿
2.12%3.04亿
4.24%3.01亿
4.43%3.06亿
17.51%3.07亿
17.51%3.07亿
负债
流动负债
金融负债
4.13%3,384.2万
114.70%3,190.5万
35.88%3,267万
18.22%3,393.33万
18.22%3,393.33万
61.55%3,250万
-4.14%1,486万
112.55%2,404.4万
353.33%2,870.34万
353.33%2,870.34万
-短期借款及资本租赁负债
4.13%3,384.2万
114.70%3,190.5万
35.88%3,267万
18.22%3,393.33万
18.22%3,393.33万
61.55%3,250万
-4.14%1,486万
112.55%2,404.4万
353.33%2,870.34万
353.33%2,870.34万
-其中:短期借款
13.15%3,059.8万
176.50%2,946.9万
55.51%3,023.4万
19.42%3,057.94万
19.42%3,057.94万
57.76%2,704.1万
-15.20%1,065.8万
133.57%1,944.2万
558.95%2,560.75万
558.95%2,560.75万
-其中:资本租赁负债
-40.58%324.4万
-42.03%243.6万
-47.07%243.6万
8.33%335.38万
8.33%335.38万
83.43%545.9万
43.32%420.2万
54.02%460.2万
26.59%309.6万
26.59%309.6万
应付款项
126.92%4,320.8万
-0.23%2,735.4万
-5.34%2,484.4万
-19.81%1,766.41万
-19.81%1,766.41万
-1.77%1,904.1万
153.97%2,741.6万
52.30%2,624.5万
101.64%2,202.83万
101.64%2,202.83万
-应付账款
134.86%4,255万
0.78%2,669.9万
-4.49%2,418.3万
-27.22%1,408.95万
-27.22%1,408.95万
-3.26%1,811.7万
161.39%2,649.2万
52.79%2,532万
189.42%1,935.82万
189.42%1,935.82万
-应交税费
-28.79%65.8万
-29.11%65.5万
-28.54%66.1万
122.41%147.31万
122.41%147.31万
40.43%92.4万
40.00%92.4万
40.15%92.5万
-67.44%66.23万
-67.44%66.23万
-其他应付款
----
----
----
4.67%210.16万
4.67%210.16万
----
----
----
-8.82%200.78万
-8.82%200.78万
应计及递延所得
----
----
----
--0
--0
----
----
----
--0
--0
其他流动负债
----
-40.48%100万
----
----
----
----
55,900.00%168万
----
----
----
流动负债合计
49.49%7,705万
37.09%6,025.9万
14.37%5,751.4万
1.71%5,159.74万
1.71%5,159.74万
30.48%5,154.1万
67.14%4,395.6万
76.18%5,028.9万
94.73%5,073.18万
94.73%5,073.18万
非流动负债
非流动金融负债
7.96%3,363.2万
0.54%3,610.3万
5.35%3,771.8万
-6.34%3,655.05万
-6.34%3,655.05万
-22.28%3,115.1万
-13.93%3,590.9万
-19.25%3,580.4万
160.76%3,902.38万
160.76%3,902.38万
-长期借款及资本租赁
7.96%3,363.2万
0.54%3,610.3万
5.35%3,771.8万
-6.34%3,655.05万
-6.34%3,655.05万
-22.28%3,115.1万
-13.93%3,590.9万
-19.25%3,580.4万
160.76%3,902.38万
160.76%3,902.38万
-其中:长期借款
4.81%3,096.2万
-2.22%3,164.7万
1.22%3,262.1万
-4.37%3,166.75万
-4.37%3,166.75万
-15.76%2,954.1万
-10.85%3,236.4万
-18.74%3,222.8万
209.60%3,311.36万
209.60%3,311.36万
-其中:长期资本租赁负债
65.84%267万
25.70%445.6万
42.53%509.7万
-17.38%488.3万
-17.38%488.3万
-67.90%161万
-34.57%354.5万
-23.62%357.6万
38.41%591.02万
38.41%591.02万
长期拨备
244.23%17.9万
249.02%17.8万
252.00%17.6万
340.83%17.52万
340.83%17.52万
10.64%5.2万
27.50%5.1万
28.21%5万
5.44%3.97万
5.44%3.97万
非流动递延所得税负债
0.49%698.2万
0.49%698.2万
-6.43%650.1万
-3.57%671.33万
-3.57%671.33万
5.50%694.8万
5.50%694.8万
5.50%694.8万
5.50%696.18万
5.50%696.18万
长期应计及递延收入
--0
--0
--0
-83.38%2.79万
-83.38%2.79万
-68.97%6.3万
-58.82%9.8万
-51.28%13.3万
-45.47%16.79万
-45.47%16.79万
非流动负债合计
6.75%4,079.3万
0.60%4,326.3万
3.40%4,439.5万
-5.90%4,346.69万
-5.90%4,346.69万
-18.55%3,821.4万
-11.48%4,300.6万
-16.20%4,293.5万
110.83%4,619.33万
110.83%4,619.33万
负债总额
31.29%1.18亿
19.04%1.04亿
9.32%1.02亿
-1.92%9,506.43万
-1.92%9,506.43万
3.86%8,975.5万
16.13%8,696.2万
16.85%9,322.4万
102.09%9,692.5万
102.09%9,692.5万
所有者权益
股本
0.30%2.04亿
0.30%2.04亿
0.30%2.04亿
0.24%2.04亿
0.24%2.04亿
0.00%2.03亿
0.00%2.03亿
0.00%2.03亿
0.00%2.03亿
0.00%2.03亿
-普通股
0.30%2.04亿
0.30%2.04亿
0.30%2.04亿
0.24%2.04亿
0.24%2.04亿
0.00%2.03亿
0.00%2.03亿
0.00%2.03亿
0.00%2.03亿
0.00%2.03亿
留存收益
-16.19%5,080.9万
-13.02%5,136.1万
-6.12%5,375.9万
10.96%6,019.19万
10.96%6,019.19万
8.86%6,062.3万
6.86%5,905万
-12.67%5,726.1万
-15.94%5,424.69万
-15.94%5,424.69万
减:库存股
115.02%1,271.4万
179.52%1,090.4万
153.83%990.2万
51.60%591.3万
51.60%591.3万
51.58%591.3万
1,567.09%390.1万
-66.62%390.1万
-64.09%390.05万
-64.09%390.05万
固定资产重估价值准备
0.00%2,813.9万
0.00%2,813.9万
0.00%2,813.9万
0.00%2,813.87万
0.00%2,813.87万
0.00%2,813.9万
0.00%2,813.9万
0.00%2,813.9万
0.00%2,813.87万
0.00%2,813.87万
其他储备
-1.92%-7,338.5万
-0.07%-7,205.1万
-0.07%-7,205.1万
-0.07%-7,205.06万
-0.07%-7,205.06万
0.07%-7,200.1万
0.07%-7,200.1万
0.07%-7,200.1万
0.07%-7,200.06万
0.07%-7,200.06万
股东权益
-8.12%1.97亿
-6.59%2亿
-4.20%2.04亿
2.08%2.14亿
2.08%2.14亿
1.41%2.14亿
0.08%2.14亿
-0.22%2.13亿
-1.54%2.1亿
-1.54%2.1亿
非控制性权益
----
----
--0
--0
--0
--0
----
----
----
----
总权益
-8.12%1.97亿
-6.59%2亿
-4.20%2.04亿
2.08%2.14亿
2.08%2.14亿
1.41%2.14亿
0.08%2.14亿
-0.22%2.13亿
-1.54%2.1亿
-1.54%2.1亿
会计准则
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(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(FY)2023/12/31(Q4)2023/12/31
资产
流动资产
现金及现金等价物与短期投资 -2.51%1,834.2万-4.99%1,721.6万40.66%2,305.9万6.56%2,046.82万6.56%2,046.82万11.13%1,881.5万0.89%1,812.1万-11.66%1,639.3万-7.84%1,920.85万-7.84%1,920.85万
-现金及现金等价物 39.74%748.6万48.93%641.6万200.95%1,013.9万23.01%524.14万23.01%524.14万-22.43%535.7万-32.44%430.8万-43.62%336.9万-63.04%426.09万-63.04%426.09万
-其中:现金 39.74%748.6万48.93%641.6万200.95%1,013.9万23.01%524.14万23.01%524.14万-22.43%535.7万-32.44%430.8万-43.62%336.9万-63.04%426.09万-63.04%426.09万
-短期投资 -19.33%1,085.6万-21.81%1,080万-0.80%1,292万1.87%1,522.68万1.87%1,522.68万34.24%1,345.8万19.24%1,381.3万3.53%1,302.4万60.50%1,494.76万60.50%1,494.76万
应收款项 165.33%1,500.7万92.54%1,963.9万-21.22%1,759.5万14.80%2,096.92万14.80%2,096.92万-70.78%565.6万-30.11%1,020万20.76%2,233.5万4.34%1,826.57万4.34%1,826.57万
-应收账款净额 165.33%1,500.7万92.54%1,963.9万-21.22%1,759.5万18.12%1,856.99万18.12%1,856.99万-70.78%565.6万-30.11%1,020万20.76%2,233.5万5.04%1,572.17万5.04%1,572.17万
-其中:应收账款 ------------16.36%2,025.55万16.36%2,025.55万------------1.86%1,740.73万1.86%1,740.73万
-其中:坏账准备 ------------0.00%-168.56万0.00%-168.56万------------20.56%-168.56万20.56%-168.56万
-其他应收款 -------------5.69%239.93万-5.69%239.93万------------0.23%254.4万0.23%254.4万
存货 20.29%1亿13.38%8,831.8万15.63%8,305.6万19.21%8,563.01万19.21%8,563.01万23.81%8,322.1万20.22%7,789.8万9.53%7,183万14.05%7,183.29万14.05%7,183.29万
预付费用 -------------20.25%152万-20.25%152万-------------78.39%190.61万-78.39%190.61万
受限制现金 --------------------------------2.09%88.84万2.09%88.84万
税项资产 -37.46%136.9万-93.51%10.9万85.89%217.3万-97.55%3.6万-97.55%3.6万63.11%218.9万154.39%167.9万391.18%116.9万2,837.60%146.75万2,837.60%146.75万
其他流动资产 ----------4,000----------------------------
流动资产合计 22.70%1.35亿16.11%1.25亿12.67%1.26亿14.15%1.29亿14.15%1.29亿4.80%1.1亿10.09%1.08亿8.61%1.12亿1.44%1.13亿1.44%1.13亿
非流动资产
物业厂房及设备净额 -6.87%9,487万-6.48%9,696.8万-5.84%9,955.8万-5.32%1.01亿-5.32%1.01亿-2.93%1.02亿-0.48%1.04亿2.16%1.06亿6.29%1.07亿6.29%1.07亿
-物业、厂房及设备 -6.87%9,487万-6.48%9,696.8万-5.84%9,955.8万-3.28%1.61亿-3.28%1.61亿-2.93%1.02亿-0.48%1.04亿2.16%1.06亿7.63%1.66亿7.63%1.66亿
-累计折旧 -------------0.42%-5,909.68万-0.42%-5,909.68万-------------10.17%-5,885.19万-10.17%-5,885.19万
投资物业 -7.88%8,247.4万-8.58%7,984.3万-7.15%7,979.5万5.88%7,860.86万5.88%7,860.86万5.41%8,953.1万3.70%8,733.8万2.54%8,593.6万108.01%7,424.51万108.01%7,424.51万
投资总额 -7.96%220.9万-30.83%166万-87.50%30万-87.50%30万-87.50%30万0.00%240万0.00%240万0.00%240万2.13%240万2.13%240万
-长期股权投资 --------------0--0--------------0--0
-金融资产投资 --220.9万--166万--30万-87.50%30万-87.50%30万------------2.13%240万2.13%240万
-其中:以公允价值计量且其变动计入当期损益的金融资产总额 --------------30万--30万--------------0--0
-其中:可供出售证券 --220.9万--166万--30万-87.50%30万-87.50%30万------------2.13%240万2.13%240万
-其他投资 --------------------0.00%240万0.00%240万0.00%240万--------
商誉及其他无形资产 -1.02%9.7万-1.01%9.8万-1.01%9.8万-0.83%9.81万-0.83%9.81万-1.01%9.8万0.00%9.9万0.00%9.9万-0.83%9.89万-0.83%9.89万
-其他无形资产 -------------0.83%9.81万-0.83%9.81万-------------0.83%9.89万-0.83%9.89万
非流动递延所得税资产 ----------------------0------0--0--0
其他非流动资产 ---------------------------------5.65%1,000.53万-5.65%1,000.53万
非流动资产合计 -7.35%1.8亿-7.73%1.79亿-7.42%1.8亿-6.93%1.8亿-6.93%1.8亿0.66%1.94亿1.24%1.94亿2.17%1.94亿29.43%1.94亿29.43%1.94亿
总资产 3.52%3.14亿0.81%3.04亿-0.08%3.06亿0.82%3.09亿0.82%3.09亿2.12%3.04亿4.24%3.01亿4.43%3.06亿17.51%3.07亿17.51%3.07亿
负债
流动负债
金融负债 4.13%3,384.2万114.70%3,190.5万35.88%3,267万18.22%3,393.33万18.22%3,393.33万61.55%3,250万-4.14%1,486万112.55%2,404.4万353.33%2,870.34万353.33%2,870.34万
-短期借款及资本租赁负债 4.13%3,384.2万114.70%3,190.5万35.88%3,267万18.22%3,393.33万18.22%3,393.33万61.55%3,250万-4.14%1,486万112.55%2,404.4万353.33%2,870.34万353.33%2,870.34万
-其中:短期借款 13.15%3,059.8万176.50%2,946.9万55.51%3,023.4万19.42%3,057.94万19.42%3,057.94万57.76%2,704.1万-15.20%1,065.8万133.57%1,944.2万558.95%2,560.75万558.95%2,560.75万
-其中:资本租赁负债 -40.58%324.4万-42.03%243.6万-47.07%243.6万8.33%335.38万8.33%335.38万83.43%545.9万43.32%420.2万54.02%460.2万26.59%309.6万26.59%309.6万
应付款项 126.92%4,320.8万-0.23%2,735.4万-5.34%2,484.4万-19.81%1,766.41万-19.81%1,766.41万-1.77%1,904.1万153.97%2,741.6万52.30%2,624.5万101.64%2,202.83万101.64%2,202.83万
-应付账款 134.86%4,255万0.78%2,669.9万-4.49%2,418.3万-27.22%1,408.95万-27.22%1,408.95万-3.26%1,811.7万161.39%2,649.2万52.79%2,532万189.42%1,935.82万189.42%1,935.82万
-应交税费 -28.79%65.8万-29.11%65.5万-28.54%66.1万122.41%147.31万122.41%147.31万40.43%92.4万40.00%92.4万40.15%92.5万-67.44%66.23万-67.44%66.23万
-其他应付款 ------------4.67%210.16万4.67%210.16万-------------8.82%200.78万-8.82%200.78万
应计及递延所得 --------------0--0--------------0--0
其他流动负债 -----40.48%100万----------------55,900.00%168万------------
流动负债合计 49.49%7,705万37.09%6,025.9万14.37%5,751.4万1.71%5,159.74万1.71%5,159.74万30.48%5,154.1万67.14%4,395.6万76.18%5,028.9万94.73%5,073.18万94.73%5,073.18万
非流动负债
非流动金融负债 7.96%3,363.2万0.54%3,610.3万5.35%3,771.8万-6.34%3,655.05万-6.34%3,655.05万-22.28%3,115.1万-13.93%3,590.9万-19.25%3,580.4万160.76%3,902.38万160.76%3,902.38万
-长期借款及资本租赁 7.96%3,363.2万0.54%3,610.3万5.35%3,771.8万-6.34%3,655.05万-6.34%3,655.05万-22.28%3,115.1万-13.93%3,590.9万-19.25%3,580.4万160.76%3,902.38万160.76%3,902.38万
-其中:长期借款 4.81%3,096.2万-2.22%3,164.7万1.22%3,262.1万-4.37%3,166.75万-4.37%3,166.75万-15.76%2,954.1万-10.85%3,236.4万-18.74%3,222.8万209.60%3,311.36万209.60%3,311.36万
-其中:长期资本租赁负债 65.84%267万25.70%445.6万42.53%509.7万-17.38%488.3万-17.38%488.3万-67.90%161万-34.57%354.5万-23.62%357.6万38.41%591.02万38.41%591.02万
长期拨备 244.23%17.9万249.02%17.8万252.00%17.6万340.83%17.52万340.83%17.52万10.64%5.2万27.50%5.1万28.21%5万5.44%3.97万5.44%3.97万
非流动递延所得税负债 0.49%698.2万0.49%698.2万-6.43%650.1万-3.57%671.33万-3.57%671.33万5.50%694.8万5.50%694.8万5.50%694.8万5.50%696.18万5.50%696.18万
长期应计及递延收入 --0--0--0-83.38%2.79万-83.38%2.79万-68.97%6.3万-58.82%9.8万-51.28%13.3万-45.47%16.79万-45.47%16.79万
非流动负债合计 6.75%4,079.3万0.60%4,326.3万3.40%4,439.5万-5.90%4,346.69万-5.90%4,346.69万-18.55%3,821.4万-11.48%4,300.6万-16.20%4,293.5万110.83%4,619.33万110.83%4,619.33万
负债总额 31.29%1.18亿19.04%1.04亿9.32%1.02亿-1.92%9,506.43万-1.92%9,506.43万3.86%8,975.5万16.13%8,696.2万16.85%9,322.4万102.09%9,692.5万102.09%9,692.5万
所有者权益
股本 0.30%2.04亿0.30%2.04亿0.30%2.04亿0.24%2.04亿0.24%2.04亿0.00%2.03亿0.00%2.03亿0.00%2.03亿0.00%2.03亿0.00%2.03亿
-普通股 0.30%2.04亿0.30%2.04亿0.30%2.04亿0.24%2.04亿0.24%2.04亿0.00%2.03亿0.00%2.03亿0.00%2.03亿0.00%2.03亿0.00%2.03亿
留存收益 -16.19%5,080.9万-13.02%5,136.1万-6.12%5,375.9万10.96%6,019.19万10.96%6,019.19万8.86%6,062.3万6.86%5,905万-12.67%5,726.1万-15.94%5,424.69万-15.94%5,424.69万
减:库存股 115.02%1,271.4万179.52%1,090.4万153.83%990.2万51.60%591.3万51.60%591.3万51.58%591.3万1,567.09%390.1万-66.62%390.1万-64.09%390.05万-64.09%390.05万
固定资产重估价值准备 0.00%2,813.9万0.00%2,813.9万0.00%2,813.9万0.00%2,813.87万0.00%2,813.87万0.00%2,813.9万0.00%2,813.9万0.00%2,813.9万0.00%2,813.87万0.00%2,813.87万
其他储备 -1.92%-7,338.5万-0.07%-7,205.1万-0.07%-7,205.1万-0.07%-7,205.06万-0.07%-7,205.06万0.07%-7,200.1万0.07%-7,200.1万0.07%-7,200.1万0.07%-7,200.06万0.07%-7,200.06万
股东权益 -8.12%1.97亿-6.59%2亿-4.20%2.04亿2.08%2.14亿2.08%2.14亿1.41%2.14亿0.08%2.14亿-0.22%2.13亿-1.54%2.1亿-1.54%2.1亿
非控制性权益 ----------0--0--0--0----------------
总权益 -8.12%1.97亿-6.59%2亿-4.20%2.04亿2.08%2.14亿2.08%2.14亿1.41%2.14亿0.08%2.14亿-0.22%2.13亿-1.54%2.1亿-1.54%2.1亿
会计准则 NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

FY:Financial Year 年度报告,相当于上市公司向SEC披露的10-K文件。

Q:Quarter 季度报告,相当于上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4为单季报,跨度为3个月;Q6、Q9为累计季报,Q6为6个月,Q9为9个月。

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