港股市场个股详情

01523 珩湾科技

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  • 2.920
  • +0.020+0.69%
未开盘 05/14 16:08 (北京)
32.14亿总市值14.60市盈率TTM

珩湾科技关键统计数据

全部
显示同比 yoy
隐藏空行 yoy
(FY)2023/12/31
(Q6)2023/06/30
(FY)2022/12/31
(Q6)2022/12/31
(FY)2021/12/31
(Q6)2021/12/31
(FY)2020/12/31
(Q6)2020/12/31
(FY)2019/12/31
(Q6)2019/12/31
资产
流动资产
存货
-47.61%1,693.8万
-23.22%2,482.6万
73.63%3,233.3万
73.63%3,233.3万
48.87%1,862.2万
48.87%1,862.2万
69.34%1,250.9万
69.34%1,250.9万
-11.77%738.7万
-11.77%738.7万
应收账款
44.51%1,741.9万
5.83%1,275.7万
3.34%1,205.4万
3.34%1,205.4万
66.70%1,166.4万
66.70%1,166.4万
12.44%699.7万
12.44%699.7万
26.43%622.3万
26.43%622.3万
预付款按金及其他应收款
88.53%496.6万
7.06%282万
29.88%263.4万
29.88%263.4万
-7.90%202.8万
-7.90%202.8万
8.90%220.2万
8.90%220.2万
35.61%202.2万
35.61%202.2万
预缴及应收税项
-44.32%4.9万
-19.32%7.1万
1,660.00%8.8万
1,660.00%8.8万
-93.90%5,000
-93.90%5,000
--8.2万
--8.2万
----
----
现金及等价物
28.22%3,674.5万
7.43%3,078.8万
-9.43%2,865.8万
-9.43%2,865.8万
1.57%3,164.1万
1.57%3,164.1万
7.69%3,115.1万
7.69%3,115.1万
7.73%2,892.6万
7.73%2,892.6万
已抵押存款
1.13%205.2万
1.13%205.2万
1.25%202.9万
1.25%202.9万
0.20%200.4万
0.20%200.4万
--200万
--200万
----
----
流动资产特殊项目
----
----
----
----
--97.9万
--97.9万
----
----
----
----
流动资产合计
0.48%7,816.9万
-5.76%7,331.4万
16.21%7,779.6万
16.21%7,779.6万
21.85%6,694.3万
21.85%6,694.3万
23.30%5,494.1万
23.30%5,494.1万
6.33%4,455.8万
6.33%4,455.8万
非流动资产
物业厂房及设备
36.50%451.8万
-21.72%259.1万
-0.03%331万
-0.03%331万
6.50%331.1万
6.50%331.1万
-29.39%310.9万
-29.39%310.9万
78.26%440.3万
78.26%440.3万
预付款项
57.52%41.9万
-16.17%22.3万
758.06%26.6万
758.06%26.6万
--3.1万
--3.1万
----
----
----
----
无形资产
14.06%206.1万
-4.76%172.1万
35.25%180.7万
35.25%180.7万
18.76%133.6万
18.76%133.6万
3.50%112.5万
3.50%112.5万
22.00%108.7万
22.00%108.7万
递延税项资产
-2.70%10.8万
12.61%12.5万
-9.02%11.1万
-9.02%11.1万
-7.58%12.2万
-7.58%12.2万
340.00%13.2万
340.00%13.2万
0.00%3万
0.00%3万
非流动资产合计
29.34%710.6万
-15.18%466万
14.46%549.4万
14.46%549.4万
9.94%480万
9.94%480万
-20.91%436.6万
-20.91%436.6万
62.78%552万
62.78%552万
总资产
2.38%8,527.5万
-6.38%7,797.4万
16.09%8,329万
16.09%8,329万
20.97%7,174.3万
20.97%7,174.3万
18.43%5,930.7万
18.43%5,930.7万
10.56%5,007.8万
10.56%5,007.8万
负债
流动负债
应付账款
-32.09%468.6万
-54.19%316.1万
22.67%690万
22.67%690万
26.32%562.5万
26.32%562.5万
70.35%445.3万
70.35%445.3万
14.95%261.4万
14.95%261.4万
应付税项
-56.49%225.2万
-44.73%286.1万
20.99%517.6万
20.99%517.6万
22.47%427.8万
22.47%427.8万
89.94%349.3万
89.94%349.3万
751.39%183.9万
751.39%183.9万
银行贷款及透支
-81.81%117.7万
-8.96%589.1万
39.49%647.1万
39.49%647.1万
37.33%463.9万
37.33%463.9万
759.54%337.8万
759.54%337.8万
-69.91%39.3万
-69.91%39.3万
融资租赁负债-流动负债
-5.28%148.9万
-37.02%99万
35.28%157.2万
35.28%157.2万
10.98%116.2万
10.98%116.2万
4.80%104.7万
4.80%104.7万
--99.9万
--99.9万
流动负债特殊项目
16.70%1,763.8万
3.76%1,568.2万
29.36%1,511.4万
29.36%1,511.4万
36.77%1,168.4万
36.77%1,168.4万
20.99%854.3万
20.99%854.3万
4.41%706.1万
4.41%706.1万
流动负债合计
-22.68%2,724.2万
-18.87%2,858.5万
28.64%3,523.3万
28.64%3,523.3万
30.96%2,738.8万
30.96%2,738.8万
62.05%2,091.4万
62.05%2,091.4万
22.23%1,290.6万
22.23%1,290.6万
净流动资产
19.65%5,092.7万
5.09%4,472.9万
7.60%4,256.3万
7.60%4,256.3万
16.25%3,955.5万
16.25%3,955.5万
7.50%3,402.7万
7.50%3,402.7万
0.98%3,165.2万
0.98%3,165.2万
总资产减流动负债
20.76%5,803.3万
2.77%4,938.9万
8.35%4,805.7万
8.35%4,805.7万
15.53%4,435.5万
15.53%4,435.5万
3.28%3,839.3万
3.28%3,839.3万
7.01%3,717.2万
7.01%3,717.2万
非流动负债
融资租赁负债-非流动负债
168.65%180.8万
-8.17%61.8万
-44.84%67.3万
-44.84%67.3万
1,571.23%122万
1,571.23%122万
-93.33%7.3万
-93.33%7.3万
--109.5万
--109.5万
递延税项负债
8.62%37.8万
-3.74%33.5万
50.00%34.8万
50.00%34.8万
61.11%23.2万
61.11%23.2万
8.27%14.4万
8.27%14.4万
22.02%13.3万
22.02%13.3万
非流动负债特殊项目
50.15%562.3万
19.60%447.9万
32.80%374.5万
32.80%374.5万
20.62%282万
20.62%282万
27.76%233.8万
27.76%233.8万
-4.14%183万
-4.14%183万
非流动负债合计
63.85%780.9万
13.97%543.2万
11.56%476.6万
11.56%476.6万
67.20%427.2万
67.20%427.2万
-16.45%255.5万
-16.45%255.5万
51.54%305.8万
51.54%305.8万
总负债
-12.37%3,505.1万
-14.96%3,401.7万
26.34%3,999.9万
26.34%3,999.9万
34.90%3,166万
34.90%3,166万
47.01%2,346.9万
47.01%2,346.9万
26.93%1,596.4万
26.93%1,596.4万
总资产减总负债
16.01%5,022.4万
1.54%4,395.7万
8.00%4,329.1万
8.00%4,329.1万
11.84%4,008.3万
11.84%4,008.3万
5.05%3,583.8万
5.05%3,583.8万
4.27%3,411.4万
4.27%3,411.4万
总权益及非流动负债
20.76%5,803.3万
2.77%4,938.9万
8.35%4,805.7万
8.35%4,805.7万
15.53%4,435.5万
15.53%4,435.5万
3.28%3,839.3万
3.28%3,839.3万
7.01%3,717.2万
7.01%3,717.2万
权益
股本
0.28%141.8万
0.14%141.6万
0.64%141.4万
0.64%141.4万
1.74%140.5万
1.74%140.5万
2.37%138.1万
2.37%138.1万
1.73%134.9万
1.73%134.9万
储备
16.55%4,880.6万
1.59%4,254.1万
8.27%4,187.7万
8.27%4,187.7万
12.25%3,867.8万
12.25%3,867.8万
5.16%3,445.7万
5.16%3,445.7万
4.37%3,276.5万
4.37%3,276.5万
法定储备
16.55%4,880.6万
1.59%4,254.1万
8.27%4,187.7万
8.27%4,187.7万
12.25%3,867.8万
12.25%3,867.8万
5.16%3,445.7万
5.16%3,445.7万
4.37%3,276.5万
4.37%3,276.5万
股东权益
16.01%5,022.4万
1.54%4,395.7万
8.00%4,329.1万
8.00%4,329.1万
11.84%4,008.3万
11.84%4,008.3万
5.05%3,583.8万
5.05%3,583.8万
4.27%3,411.4万
4.27%3,411.4万
总权益
16.01%5,022.4万
1.54%4,395.7万
8.00%4,329.1万
8.00%4,329.1万
11.84%4,008.3万
11.84%4,008.3万
5.05%3,583.8万
5.05%3,583.8万
4.27%3,411.4万
4.27%3,411.4万
总权益及总负债
2.38%8,527.5万
-6.38%7,797.4万
16.09%8,329万
16.09%8,329万
20.97%7,174.3万
20.97%7,174.3万
18.43%5,930.7万
18.43%5,930.7万
10.56%5,007.8万
10.56%5,007.8万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
会计准则
香港会计准则
香港会计准则
香港会计准则
香港会计准则
香港会计准则
香港会计准则
香港会计准则
香港会计准则
香港会计准则
香港会计准则
审计意见
无保留意见
--
无保留意见
--
无保留意见
--
无保留意见
--
无保留意见
--
会计师事务所
安永会计师行
--
安永会计师行
--
安永会计师行
--
安永会计师行
--
安永会计师行
--
(FY)2023/12/31(Q6)2023/06/30(FY)2022/12/31(Q6)2022/12/31(FY)2021/12/31(Q6)2021/12/31(FY)2020/12/31(Q6)2020/12/31(FY)2019/12/31(Q6)2019/12/31
资产
流动资产
存货 -47.61%1,693.8万-23.22%2,482.6万73.63%3,233.3万73.63%3,233.3万48.87%1,862.2万48.87%1,862.2万69.34%1,250.9万69.34%1,250.9万-11.77%738.7万-11.77%738.7万
应收账款 44.51%1,741.9万5.83%1,275.7万3.34%1,205.4万3.34%1,205.4万66.70%1,166.4万66.70%1,166.4万12.44%699.7万12.44%699.7万26.43%622.3万26.43%622.3万
预付款按金及其他应收款 88.53%496.6万7.06%282万29.88%263.4万29.88%263.4万-7.90%202.8万-7.90%202.8万8.90%220.2万8.90%220.2万35.61%202.2万35.61%202.2万
预缴及应收税项 -44.32%4.9万-19.32%7.1万1,660.00%8.8万1,660.00%8.8万-93.90%5,000-93.90%5,000--8.2万--8.2万--------
现金及等价物 28.22%3,674.5万7.43%3,078.8万-9.43%2,865.8万-9.43%2,865.8万1.57%3,164.1万1.57%3,164.1万7.69%3,115.1万7.69%3,115.1万7.73%2,892.6万7.73%2,892.6万
已抵押存款 1.13%205.2万1.13%205.2万1.25%202.9万1.25%202.9万0.20%200.4万0.20%200.4万--200万--200万--------
流动资产特殊项目 ------------------97.9万--97.9万----------------
流动资产合计 0.48%7,816.9万-5.76%7,331.4万16.21%7,779.6万16.21%7,779.6万21.85%6,694.3万21.85%6,694.3万23.30%5,494.1万23.30%5,494.1万6.33%4,455.8万6.33%4,455.8万
非流动资产
物业厂房及设备 36.50%451.8万-21.72%259.1万-0.03%331万-0.03%331万6.50%331.1万6.50%331.1万-29.39%310.9万-29.39%310.9万78.26%440.3万78.26%440.3万
预付款项 57.52%41.9万-16.17%22.3万758.06%26.6万758.06%26.6万--3.1万--3.1万----------------
无形资产 14.06%206.1万-4.76%172.1万35.25%180.7万35.25%180.7万18.76%133.6万18.76%133.6万3.50%112.5万3.50%112.5万22.00%108.7万22.00%108.7万
递延税项资产 -2.70%10.8万12.61%12.5万-9.02%11.1万-9.02%11.1万-7.58%12.2万-7.58%12.2万340.00%13.2万340.00%13.2万0.00%3万0.00%3万
非流动资产合计 29.34%710.6万-15.18%466万14.46%549.4万14.46%549.4万9.94%480万9.94%480万-20.91%436.6万-20.91%436.6万62.78%552万62.78%552万
总资产 2.38%8,527.5万-6.38%7,797.4万16.09%8,329万16.09%8,329万20.97%7,174.3万20.97%7,174.3万18.43%5,930.7万18.43%5,930.7万10.56%5,007.8万10.56%5,007.8万
负债
流动负债
应付账款 -32.09%468.6万-54.19%316.1万22.67%690万22.67%690万26.32%562.5万26.32%562.5万70.35%445.3万70.35%445.3万14.95%261.4万14.95%261.4万
应付税项 -56.49%225.2万-44.73%286.1万20.99%517.6万20.99%517.6万22.47%427.8万22.47%427.8万89.94%349.3万89.94%349.3万751.39%183.9万751.39%183.9万
银行贷款及透支 -81.81%117.7万-8.96%589.1万39.49%647.1万39.49%647.1万37.33%463.9万37.33%463.9万759.54%337.8万759.54%337.8万-69.91%39.3万-69.91%39.3万
融资租赁负债-流动负债 -5.28%148.9万-37.02%99万35.28%157.2万35.28%157.2万10.98%116.2万10.98%116.2万4.80%104.7万4.80%104.7万--99.9万--99.9万
流动负债特殊项目 16.70%1,763.8万3.76%1,568.2万29.36%1,511.4万29.36%1,511.4万36.77%1,168.4万36.77%1,168.4万20.99%854.3万20.99%854.3万4.41%706.1万4.41%706.1万
流动负债合计 -22.68%2,724.2万-18.87%2,858.5万28.64%3,523.3万28.64%3,523.3万30.96%2,738.8万30.96%2,738.8万62.05%2,091.4万62.05%2,091.4万22.23%1,290.6万22.23%1,290.6万
净流动资产 19.65%5,092.7万5.09%4,472.9万7.60%4,256.3万7.60%4,256.3万16.25%3,955.5万16.25%3,955.5万7.50%3,402.7万7.50%3,402.7万0.98%3,165.2万0.98%3,165.2万
总资产减流动负债 20.76%5,803.3万2.77%4,938.9万8.35%4,805.7万8.35%4,805.7万15.53%4,435.5万15.53%4,435.5万3.28%3,839.3万3.28%3,839.3万7.01%3,717.2万7.01%3,717.2万
非流动负债
融资租赁负债-非流动负债 168.65%180.8万-8.17%61.8万-44.84%67.3万-44.84%67.3万1,571.23%122万1,571.23%122万-93.33%7.3万-93.33%7.3万--109.5万--109.5万
递延税项负债 8.62%37.8万-3.74%33.5万50.00%34.8万50.00%34.8万61.11%23.2万61.11%23.2万8.27%14.4万8.27%14.4万22.02%13.3万22.02%13.3万
非流动负债特殊项目 50.15%562.3万19.60%447.9万32.80%374.5万32.80%374.5万20.62%282万20.62%282万27.76%233.8万27.76%233.8万-4.14%183万-4.14%183万
非流动负债合计 63.85%780.9万13.97%543.2万11.56%476.6万11.56%476.6万67.20%427.2万67.20%427.2万-16.45%255.5万-16.45%255.5万51.54%305.8万51.54%305.8万
总负债 -12.37%3,505.1万-14.96%3,401.7万26.34%3,999.9万26.34%3,999.9万34.90%3,166万34.90%3,166万47.01%2,346.9万47.01%2,346.9万26.93%1,596.4万26.93%1,596.4万
总资产减总负债 16.01%5,022.4万1.54%4,395.7万8.00%4,329.1万8.00%4,329.1万11.84%4,008.3万11.84%4,008.3万5.05%3,583.8万5.05%3,583.8万4.27%3,411.4万4.27%3,411.4万
总权益及非流动负债 20.76%5,803.3万2.77%4,938.9万8.35%4,805.7万8.35%4,805.7万15.53%4,435.5万15.53%4,435.5万3.28%3,839.3万3.28%3,839.3万7.01%3,717.2万7.01%3,717.2万
权益
股本 0.28%141.8万0.14%141.6万0.64%141.4万0.64%141.4万1.74%140.5万1.74%140.5万2.37%138.1万2.37%138.1万1.73%134.9万1.73%134.9万
储备 16.55%4,880.6万1.59%4,254.1万8.27%4,187.7万8.27%4,187.7万12.25%3,867.8万12.25%3,867.8万5.16%3,445.7万5.16%3,445.7万4.37%3,276.5万4.37%3,276.5万
法定储备 16.55%4,880.6万1.59%4,254.1万8.27%4,187.7万8.27%4,187.7万12.25%3,867.8万12.25%3,867.8万5.16%3,445.7万5.16%3,445.7万4.37%3,276.5万4.37%3,276.5万
股东权益 16.01%5,022.4万1.54%4,395.7万8.00%4,329.1万8.00%4,329.1万11.84%4,008.3万11.84%4,008.3万5.05%3,583.8万5.05%3,583.8万4.27%3,411.4万4.27%3,411.4万
总权益 16.01%5,022.4万1.54%4,395.7万8.00%4,329.1万8.00%4,329.1万11.84%4,008.3万11.84%4,008.3万5.05%3,583.8万5.05%3,583.8万4.27%3,411.4万4.27%3,411.4万
总权益及总负债 2.38%8,527.5万-6.38%7,797.4万16.09%8,329万16.09%8,329万20.97%7,174.3万20.97%7,174.3万18.43%5,930.7万18.43%5,930.7万10.56%5,007.8万10.56%5,007.8万
货币单位 美元美元美元美元美元美元美元美元美元美元
会计准则 香港会计准则香港会计准则香港会计准则香港会计准则香港会计准则香港会计准则香港会计准则香港会计准则香港会计准则香港会计准则
审计意见 无保留意见--无保留意见--无保留意见--无保留意见--无保留意见--
会计师事务所 安永会计师行--安永会计师行--安永会计师行--安永会计师行--安永会计师行--

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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