马来西亚市场个股详情

NATGATE (0270)

添加自选
  • 1.060
  • 0.0000.00%
延时15分钟行情已收盘 01/16 16:57 (北京)
23.98亿总市值12.62市盈率TTM

0270 NATGATE

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
-62.42%3.67亿
75.26%5.1亿
2,085.07%19.26亿
2,814.07%19.28亿
2,814.07%19.28亿
2,148.45%9.77亿
365.78%2.91亿
25.92%8,814.3万
40.00%6,615.54万
40.00%6,615.54万
-现金及现金等价物
-62.39%3.67亿
83.64%5.1亿
2,459.14%19.26亿
3,347.56%19.28亿
3,347.56%19.28亿
5,537.27%9.76亿
776.49%2.78亿
55.07%7,525.3万
40.25%5,591.41万
40.25%5,591.41万
-其中:现金
-62.39%3.67亿
83.64%5.1亿
2,459.14%19.26亿
4,051.78%18.85亿
4,051.78%18.85亿
5,537.27%9.76亿
776.49%2.78亿
55.07%7,525.3万
66.00%4,539.82万
66.00%4,539.82万
-其中:现金等价物
----
----
----
307.38%4,283.98万
307.38%4,283.98万
----
----
----
-16.01%1,051.59万
-16.01%1,051.59万
-短期投资
-86.50%16.3万
-98.98%13.6万
-98.80%15.5万
-98.62%14.12万
-98.62%14.12万
-95.39%120.7万
-56.67%1,333.9万
-39.97%1,289万
38.69%1,024.14万
38.69%1,024.14万
应收款项
97.60%8.45亿
278.46%12.55亿
117.82%4.36亿
258.51%5.09亿
258.51%5.09亿
125.84%4.28亿
91.55%3.32亿
-1.22%2亿
-43.74%1.42亿
-43.74%1.42亿
-应收账款净额
96.89%7.92亿
305.77%11.99亿
115.44%3.81亿
272.36%4.94亿
272.36%4.94亿
142.34%4.02亿
89.32%2.95亿
-2.52%1.77亿
-40.11%1.33亿
-40.11%1.33亿
-其他应收款
108.76%5,304.3万
55.67%5,637.2万
135.87%5,501.5万
62.55%1,525万
62.55%1,525万
8.68%2,540.9万
111.90%3,621.2万
9.86%2,332.4万
-69.67%938.18万
-69.67%938.18万
存货
-41.83%7.08亿
79.09%8.02亿
556.57%22.31亿
290.90%9亿
290.90%9亿
456.06%12.16亿
141.25%4.48亿
80.82%3.4亿
23.56%2.3亿
23.56%2.3亿
预付费用
----
----
----
32.32%2,224.65万
32.32%2,224.65万
----
----
----
92.08%1,681.33万
92.08%1,681.33万
受限制现金
----
----
----
----
----
----
----
----
64.17%1,074.04万
64.17%1,074.04万
税项资产
--867.2万
--159.9万
--167.6万
--265.36万
--265.36万
----
----
----
--0
--0
套期保值资产
--0
--0
--0
--1,418.31万
--1,418.31万
----
----
----
--0
--0
流动资产合计
-26.43%19.29亿
139.99%25.68亿
631.63%45.94亿
624.50%33.76亿
624.50%33.76亿
480.47%26.22亿
154.11%10.7亿
36.39%6.28亿
-7.06%4.66亿
-7.06%4.66亿
非流动资产
物业厂房及设备净额
3.51%3.33亿
26.90%3.85亿
18.71%3.31亿
32.28%3.36亿
32.28%3.36亿
26.05%3.22亿
20.46%3.04亿
11.25%2.79亿
3.30%2.54亿
3.30%2.54亿
-物业、厂房及设备
3.51%3.33亿
26.90%3.85亿
18.71%3.31亿
29.98%5.3亿
29.98%5.3亿
26.05%3.22亿
20.46%3.04亿
11.25%2.79亿
12.61%4.08亿
12.61%4.08亿
-累计折旧
----
----
----
-26.20%-1.95亿
-26.20%-1.95亿
----
----
----
-32.20%-1.54亿
-32.20%-1.54亿
投资物业
505.18%8,826.5万
-2.07%1,435.7万
-37.38%922.9万
-2.05%1,450.87万
-2.05%1,450.87万
-2.04%1,458.5万
-2.03%1,466.1万
-2.02%1,473.7万
-2.01%1,481.27万
-2.01%1,481.27万
投资总额
0.76%40万
0.50%39.9万
0.25%39.7万
0.53%39.73万
0.53%39.73万
0.51%39.7万
0.76%39.7万
0.76%39.6万
0.76%39.52万
0.76%39.52万
-长期股权投资
0.76%40万
0.50%39.9万
0.25%39.7万
0.53%39.73万
0.53%39.73万
0.51%39.7万
0.76%39.7万
0.76%39.6万
0.76%39.52万
0.76%39.52万
非流动递延所得税资产
--1,141.3万
--326.2万
--281.6万
--1,062.4万
--1,062.4万
----
----
----
--0
--0
非流动资产合计
28.61%4.33亿
26.55%4.03亿
16.83%3.44亿
34.29%3.61亿
34.29%3.61亿
24.47%3.37亿
19.17%3.19亿
10.49%2.94亿
2.99%2.69亿
2.99%2.69亿
总资产
-20.16%23.62亿
113.95%29.72亿
435.43%49.38亿
408.57%37.37亿
408.57%37.37亿
309.59%29.59亿
101.70%13.89亿
26.90%9.22亿
-3.62%7.35亿
-3.62%7.35亿
负债
流动负债
金融负债
6.44%4.79亿
97.48%6.55亿
1,122.84%18.39亿
884.54%9.65亿
884.54%9.65亿
352.46%4.5亿
288.44%3.32亿
44.09%1.5亿
-61.44%9,799.19万
-61.44%9,799.19万
-金融或其他衍生品投资负债
--89.9万
--248.5万
--170.8万
----
----
----
----
----
----
----
-短期借款及资本租赁负债
6.24%4.78亿
96.73%6.53亿
1,121.70%18.37亿
884.54%9.65亿
884.54%9.65亿
352.46%4.5亿
288.44%3.32亿
44.09%1.5亿
-61.44%9,799.19万
-61.44%9,799.19万
-其中:短期借款
8.24%4.69亿
104.66%6.43亿
1,273.57%18.25亿
1,089.61%9.52亿
1,089.61%9.52亿
454.78%4.34亿
392.33%3.14亿
61.14%1.33亿
-65.64%7,998.76万
-65.64%7,998.76万
-其中:资本租赁负债
-46.21%889.9万
-44.86%969.9万
-30.28%1,221.2万
-26.49%1,323.45万
-26.49%1,323.45万
-22.44%1,654.3万
-18.55%1,758.9万
-20.06%1,751.5万
-15.78%1,800.43万
-15.78%1,800.43万
应付款项
-51.73%7.08亿
111.02%11.43亿
592.94%20.26亿
1,012.31%16.83亿
1,012.31%16.83亿
757.10%14.68亿
289.58%5.42亿
87.20%2.92亿
-6.60%1.51亿
-6.60%1.51亿
-应付账款
-59.91%5.48亿
102.61%9.47亿
715.21%18.57亿
1,138.56%16.01亿
1,138.56%16.01亿
1,070.02%13.66亿
426.30%4.68亿
116.65%2.28亿
-1.97%1.29亿
-1.97%1.29亿
-应交税费
101.01%5,422.4万
496.44%7,295.6万
3,299.78%4,630.5万
2,152.12%4,802.95万
2,152.12%4,802.95万
596.33%2,697.6万
54.09%1,223.2万
-79.99%136.2万
-65.57%213.26万
-65.57%213.26万
-其他应付款
42.75%1.06亿
98.43%1.23亿
93.72%1.22亿
72.53%3,441.68万
72.53%3,441.68万
47.41%7,459.3万
46.61%6,201.7万
42.91%6,318.2万
-16.81%1,994.77万
-16.81%1,994.77万
现行拨备
----
----
----
58.82%473.34万
58.82%473.34万
----
----
----
-60.59%298.03万
-60.59%298.03万
应计及递延所得
-81.64%1,394.4万
-43.77%1,251.8万
138.28%847.1万
143.53%5,676.41万
143.53%5,676.41万
8,502.72%7,596.2万
2,421.29%2,226.3万
-45.92%355.5万
-8.65%2,330.88万
-8.65%2,330.88万
流动负债合计
-39.74%12.01亿
102.16%18.11亿
767.86%38.73亿
883.09%27.09亿
883.09%27.09亿
634.08%19.94亿
297.50%8.96亿
67.08%4.46亿
-38.65%2.76亿
-38.65%2.76亿
非流动负债
非流动金融负债
115.03%7,472.4万
153.60%6,802.1万
89.49%4,445万
38.52%3,823.5万
38.52%3,823.5万
-4.89%3,475.1万
-35.77%2,682.2万
-50.35%2,345.8万
-63.59%2,760.34万
-63.59%2,760.34万
-长期借款及资本租赁
115.03%7,472.4万
153.60%6,802.1万
89.49%4,445万
38.52%3,823.5万
38.52%3,823.5万
-4.89%3,475.1万
-35.77%2,682.2万
-50.35%2,345.8万
-63.59%2,760.34万
-63.59%2,760.34万
-其中:长期借款
255.52%7,118.3万
683.56%6,561.5万
9,481.90%4,024.4万
6,289.01%3,152.8万
6,289.01%3,152.8万
3,418.80%2,002.2万
1,204.36%837.4万
-41.26%42万
-98.02%49.35万
-98.02%49.35万
-其中:长期资本租赁负债
-75.96%354.1万
-86.96%240.6万
-81.74%420.6万
-75.26%670.69万
-75.26%670.69万
-59.05%1,472.9万
-55.14%1,844.8万
-50.49%2,303.8万
-46.77%2,711万
-46.77%2,711万
非流动递延所得税负债
-75.15%457.3万
23.28%494万
33.72%1,283.7万
-21.71%751.6万
-21.71%751.6万
90.99%1,840.6万
-52.03%400.7万
14.93%960万
14.93%960万
14.93%960万
长期应计及递延收入
--1,717.6万
--1,599.2万
--907.9万
--1,028.44万
--1,028.44万
----
----
----
--0
--0
非流动负债合计
81.49%9,647.3万
188.54%8,895.3万
100.76%6,636.6万
50.62%5,603.53万
50.62%5,603.53万
15.12%5,315.7万
-38.48%3,082.9万
-40.54%3,305.8万
-55.80%3,720.34万
-55.80%3,720.34万
负债总额
-36.59%12.98亿
105.03%19亿
721.85%39.39亿
784.08%27.65亿
784.08%27.65亿
544.14%20.47亿
236.38%9.27亿
48.54%4.79亿
-41.36%3.13亿
-41.36%3.13亿
所有者权益
股本
0.23%7亿
129.32%6.98亿
129.32%6.98亿
129.31%6.98亿
129.31%6.98亿
128.90%6.98亿
-0.18%3.05亿
-0.19%3.05亿
112.43%3.05亿
112.43%3.05亿
-普通股
0.23%7亿
129.32%6.98亿
129.32%6.98亿
129.31%6.98亿
129.31%6.98亿
128.90%6.98亿
-0.18%3.05亿
-0.19%3.05亿
112.43%3.05亿
112.43%3.05亿
留存收益
42.39%4.61亿
67.50%4.74亿
53.99%4.07亿
56.84%3.82亿
56.84%3.82亿
39.01%3.24亿
17.09%2.83亿
13.88%2.65亿
11.20%2.44亿
11.20%2.44亿
其他储备
1.79%-1.31亿
0.38%-1.33亿
0.39%-1.33亿
0.39%-1.33亿
0.39%-1.33亿
0.00%-1.33亿
0.00%-1.33亿
0.00%-1.33亿
0.00%-1.33亿
0.00%-1.33亿
股东权益
15.89%10.3亿
128.92%10.39亿
123.28%9.73亿
128.46%9.48亿
128.46%9.48亿
119.66%8.89亿
9.85%4.54亿
7.84%4.36亿
81.08%4.15亿
81.08%4.15亿
非控制性权益
48.89%3,441万
288.59%3,276.2万
258.06%2,562.3万
232.85%2,432.49万
232.85%2,432.49万
--2,311.1万
--843.1万
--715.6万
--730.81万
--730.81万
总权益
16.73%10.64亿
131.83%10.72亿
125.46%9.99亿
130.27%9.72亿
130.27%9.72亿
125.37%9.12亿
11.90%4.62亿
9.61%4.43亿
84.27%4.22亿
84.27%4.22亿
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 -62.42%3.67亿75.26%5.1亿2,085.07%19.26亿2,814.07%19.28亿2,814.07%19.28亿2,148.45%9.77亿365.78%2.91亿25.92%8,814.3万40.00%6,615.54万40.00%6,615.54万
-现金及现金等价物 -62.39%3.67亿83.64%5.1亿2,459.14%19.26亿3,347.56%19.28亿3,347.56%19.28亿5,537.27%9.76亿776.49%2.78亿55.07%7,525.3万40.25%5,591.41万40.25%5,591.41万
-其中:现金 -62.39%3.67亿83.64%5.1亿2,459.14%19.26亿4,051.78%18.85亿4,051.78%18.85亿5,537.27%9.76亿776.49%2.78亿55.07%7,525.3万66.00%4,539.82万66.00%4,539.82万
-其中:现金等价物 ------------307.38%4,283.98万307.38%4,283.98万-------------16.01%1,051.59万-16.01%1,051.59万
-短期投资 -86.50%16.3万-98.98%13.6万-98.80%15.5万-98.62%14.12万-98.62%14.12万-95.39%120.7万-56.67%1,333.9万-39.97%1,289万38.69%1,024.14万38.69%1,024.14万
应收款项 97.60%8.45亿278.46%12.55亿117.82%4.36亿258.51%5.09亿258.51%5.09亿125.84%4.28亿91.55%3.32亿-1.22%2亿-43.74%1.42亿-43.74%1.42亿
-应收账款净额 96.89%7.92亿305.77%11.99亿115.44%3.81亿272.36%4.94亿272.36%4.94亿142.34%4.02亿89.32%2.95亿-2.52%1.77亿-40.11%1.33亿-40.11%1.33亿
-其他应收款 108.76%5,304.3万55.67%5,637.2万135.87%5,501.5万62.55%1,525万62.55%1,525万8.68%2,540.9万111.90%3,621.2万9.86%2,332.4万-69.67%938.18万-69.67%938.18万
存货 -41.83%7.08亿79.09%8.02亿556.57%22.31亿290.90%9亿290.90%9亿456.06%12.16亿141.25%4.48亿80.82%3.4亿23.56%2.3亿23.56%2.3亿
预付费用 ------------32.32%2,224.65万32.32%2,224.65万------------92.08%1,681.33万92.08%1,681.33万
受限制现金 --------------------------------64.17%1,074.04万64.17%1,074.04万
税项资产 --867.2万--159.9万--167.6万--265.36万--265.36万--------------0--0
套期保值资产 --0--0--0--1,418.31万--1,418.31万--------------0--0
流动资产合计 -26.43%19.29亿139.99%25.68亿631.63%45.94亿624.50%33.76亿624.50%33.76亿480.47%26.22亿154.11%10.7亿36.39%6.28亿-7.06%4.66亿-7.06%4.66亿
非流动资产
物业厂房及设备净额 3.51%3.33亿26.90%3.85亿18.71%3.31亿32.28%3.36亿32.28%3.36亿26.05%3.22亿20.46%3.04亿11.25%2.79亿3.30%2.54亿3.30%2.54亿
-物业、厂房及设备 3.51%3.33亿26.90%3.85亿18.71%3.31亿29.98%5.3亿29.98%5.3亿26.05%3.22亿20.46%3.04亿11.25%2.79亿12.61%4.08亿12.61%4.08亿
-累计折旧 -------------26.20%-1.95亿-26.20%-1.95亿-------------32.20%-1.54亿-32.20%-1.54亿
投资物业 505.18%8,826.5万-2.07%1,435.7万-37.38%922.9万-2.05%1,450.87万-2.05%1,450.87万-2.04%1,458.5万-2.03%1,466.1万-2.02%1,473.7万-2.01%1,481.27万-2.01%1,481.27万
投资总额 0.76%40万0.50%39.9万0.25%39.7万0.53%39.73万0.53%39.73万0.51%39.7万0.76%39.7万0.76%39.6万0.76%39.52万0.76%39.52万
-长期股权投资 0.76%40万0.50%39.9万0.25%39.7万0.53%39.73万0.53%39.73万0.51%39.7万0.76%39.7万0.76%39.6万0.76%39.52万0.76%39.52万
非流动递延所得税资产 --1,141.3万--326.2万--281.6万--1,062.4万--1,062.4万--------------0--0
非流动资产合计 28.61%4.33亿26.55%4.03亿16.83%3.44亿34.29%3.61亿34.29%3.61亿24.47%3.37亿19.17%3.19亿10.49%2.94亿2.99%2.69亿2.99%2.69亿
总资产 -20.16%23.62亿113.95%29.72亿435.43%49.38亿408.57%37.37亿408.57%37.37亿309.59%29.59亿101.70%13.89亿26.90%9.22亿-3.62%7.35亿-3.62%7.35亿
负债
流动负债
金融负债 6.44%4.79亿97.48%6.55亿1,122.84%18.39亿884.54%9.65亿884.54%9.65亿352.46%4.5亿288.44%3.32亿44.09%1.5亿-61.44%9,799.19万-61.44%9,799.19万
-金融或其他衍生品投资负债 --89.9万--248.5万--170.8万----------------------------
-短期借款及资本租赁负债 6.24%4.78亿96.73%6.53亿1,121.70%18.37亿884.54%9.65亿884.54%9.65亿352.46%4.5亿288.44%3.32亿44.09%1.5亿-61.44%9,799.19万-61.44%9,799.19万
-其中:短期借款 8.24%4.69亿104.66%6.43亿1,273.57%18.25亿1,089.61%9.52亿1,089.61%9.52亿454.78%4.34亿392.33%3.14亿61.14%1.33亿-65.64%7,998.76万-65.64%7,998.76万
-其中:资本租赁负债 -46.21%889.9万-44.86%969.9万-30.28%1,221.2万-26.49%1,323.45万-26.49%1,323.45万-22.44%1,654.3万-18.55%1,758.9万-20.06%1,751.5万-15.78%1,800.43万-15.78%1,800.43万
应付款项 -51.73%7.08亿111.02%11.43亿592.94%20.26亿1,012.31%16.83亿1,012.31%16.83亿757.10%14.68亿289.58%5.42亿87.20%2.92亿-6.60%1.51亿-6.60%1.51亿
-应付账款 -59.91%5.48亿102.61%9.47亿715.21%18.57亿1,138.56%16.01亿1,138.56%16.01亿1,070.02%13.66亿426.30%4.68亿116.65%2.28亿-1.97%1.29亿-1.97%1.29亿
-应交税费 101.01%5,422.4万496.44%7,295.6万3,299.78%4,630.5万2,152.12%4,802.95万2,152.12%4,802.95万596.33%2,697.6万54.09%1,223.2万-79.99%136.2万-65.57%213.26万-65.57%213.26万
-其他应付款 42.75%1.06亿98.43%1.23亿93.72%1.22亿72.53%3,441.68万72.53%3,441.68万47.41%7,459.3万46.61%6,201.7万42.91%6,318.2万-16.81%1,994.77万-16.81%1,994.77万
现行拨备 ------------58.82%473.34万58.82%473.34万-------------60.59%298.03万-60.59%298.03万
应计及递延所得 -81.64%1,394.4万-43.77%1,251.8万138.28%847.1万143.53%5,676.41万143.53%5,676.41万8,502.72%7,596.2万2,421.29%2,226.3万-45.92%355.5万-8.65%2,330.88万-8.65%2,330.88万
流动负债合计 -39.74%12.01亿102.16%18.11亿767.86%38.73亿883.09%27.09亿883.09%27.09亿634.08%19.94亿297.50%8.96亿67.08%4.46亿-38.65%2.76亿-38.65%2.76亿
非流动负债
非流动金融负债 115.03%7,472.4万153.60%6,802.1万89.49%4,445万38.52%3,823.5万38.52%3,823.5万-4.89%3,475.1万-35.77%2,682.2万-50.35%2,345.8万-63.59%2,760.34万-63.59%2,760.34万
-长期借款及资本租赁 115.03%7,472.4万153.60%6,802.1万89.49%4,445万38.52%3,823.5万38.52%3,823.5万-4.89%3,475.1万-35.77%2,682.2万-50.35%2,345.8万-63.59%2,760.34万-63.59%2,760.34万
-其中:长期借款 255.52%7,118.3万683.56%6,561.5万9,481.90%4,024.4万6,289.01%3,152.8万6,289.01%3,152.8万3,418.80%2,002.2万1,204.36%837.4万-41.26%42万-98.02%49.35万-98.02%49.35万
-其中:长期资本租赁负债 -75.96%354.1万-86.96%240.6万-81.74%420.6万-75.26%670.69万-75.26%670.69万-59.05%1,472.9万-55.14%1,844.8万-50.49%2,303.8万-46.77%2,711万-46.77%2,711万
非流动递延所得税负债 -75.15%457.3万23.28%494万33.72%1,283.7万-21.71%751.6万-21.71%751.6万90.99%1,840.6万-52.03%400.7万14.93%960万14.93%960万14.93%960万
长期应计及递延收入 --1,717.6万--1,599.2万--907.9万--1,028.44万--1,028.44万--------------0--0
非流动负债合计 81.49%9,647.3万188.54%8,895.3万100.76%6,636.6万50.62%5,603.53万50.62%5,603.53万15.12%5,315.7万-38.48%3,082.9万-40.54%3,305.8万-55.80%3,720.34万-55.80%3,720.34万
负债总额 -36.59%12.98亿105.03%19亿721.85%39.39亿784.08%27.65亿784.08%27.65亿544.14%20.47亿236.38%9.27亿48.54%4.79亿-41.36%3.13亿-41.36%3.13亿
所有者权益
股本 0.23%7亿129.32%6.98亿129.32%6.98亿129.31%6.98亿129.31%6.98亿128.90%6.98亿-0.18%3.05亿-0.19%3.05亿112.43%3.05亿112.43%3.05亿
-普通股 0.23%7亿129.32%6.98亿129.32%6.98亿129.31%6.98亿129.31%6.98亿128.90%6.98亿-0.18%3.05亿-0.19%3.05亿112.43%3.05亿112.43%3.05亿
留存收益 42.39%4.61亿67.50%4.74亿53.99%4.07亿56.84%3.82亿56.84%3.82亿39.01%3.24亿17.09%2.83亿13.88%2.65亿11.20%2.44亿11.20%2.44亿
其他储备 1.79%-1.31亿0.38%-1.33亿0.39%-1.33亿0.39%-1.33亿0.39%-1.33亿0.00%-1.33亿0.00%-1.33亿0.00%-1.33亿0.00%-1.33亿0.00%-1.33亿
股东权益 15.89%10.3亿128.92%10.39亿123.28%9.73亿128.46%9.48亿128.46%9.48亿119.66%8.89亿9.85%4.54亿7.84%4.36亿81.08%4.15亿81.08%4.15亿
非控制性权益 48.89%3,441万288.59%3,276.2万258.06%2,562.3万232.85%2,432.49万232.85%2,432.49万--2,311.1万--843.1万--715.6万--730.81万--730.81万
总权益 16.73%10.64亿131.83%10.72亿125.46%9.99亿130.27%9.72亿130.27%9.72亿125.37%9.12亿11.90%4.62亿9.61%4.43亿84.27%4.22亿84.27%4.22亿
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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