马来西亚市场个股详情

TANCO (2429)

添加自选
  • 1.300
  • -0.010-0.76%
延时15分钟行情已收盘 01/23 16:59 (北京)
78.33亿总市值650.00市盈率TTM

2429 TANCO

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2025/09/30
(FY)2025/06/30
(Q4)2025/06/30
(Q3)2025/03/31
(Q2)2024/12/31
(Q1)2024/09/30
(FY)2024/06/30
(Q4)2024/06/30
(Q3)2024/03/31
(Q2)2023/12/31
资产
流动资产
现金及现金等价物与短期投资
29.69%947.4万
-32.00%906.9万
-32.00%906.9万
23.41%514万
-8.53%584.2万
-18.26%730.5万
99.12%1,333.7万
99.12%1,333.7万
61.68%416.5万
-28.80%638.7万
-现金及现金等价物
----
78.90%893.8万
78.90%893.8万
23.41%514万
-8.53%584.2万
-18.26%730.5万
61.01%499.6万
61.01%499.6万
61.68%416.5万
-28.80%638.7万
-其中:现金
----
78.90%893.8万
78.90%893.8万
----
----
----
61.01%499.6万
61.01%499.6万
----
----
-短期投资
----
-98.43%13.1万
-98.43%13.1万
----
----
----
132.02%834.1万
132.02%834.1万
----
----
应收款项
20.00%9,495万
-21.00%6,989.1万
-21.00%6,989.1万
-37.24%8,888.1万
-31.04%8,600.8万
-20.97%7,912.4万
-17.05%8,847.2万
-17.05%8,847.2万
55.29%1.42亿
217.52%1.25亿
-应收账款净额
18.82%6,705.6万
-19.73%5,619.6万
-19.73%5,619.6万
-44.15%6,622.7万
-36.27%6,306万
-24.74%5,643.3万
-6.77%7,000.9万
-6.77%7,000.9万
62.99%1.19亿
189.64%9,895.4万
-其中:应收账款
----
-22.10%7,025.4万
-22.10%7,025.4万
----
----
----
-4.58%9,018.8万
-4.58%9,018.8万
----
----
-其中:坏账准备
----
30.33%-1,405.8万
30.33%-1,405.8万
----
----
----
-3.92%-2,017.9万
-3.92%-2,017.9万
----
----
-其他应收款
22.93%2,789.4万
-25.82%1,369.5万
-25.82%1,369.5万
-1.67%2,265.4万
-10.94%2,294.8万
-9.71%2,269.1万
-41.51%1,846.3万
-41.51%1,846.3万
24.93%2,303.9万
403.64%2,576.6万
存货
13.33%6,142.5万
13.49%5,979.9万
13.49%5,979.9万
3.71%5,418万
0.27%5,111.1万
-5.61%5,420.1万
-8.11%5,269.2万
-8.11%5,269.2万
-12.07%5,224.1万
-11.99%5,097.1万
预付费用
----
34.83%823.3万
34.83%823.3万
----
----
----
6.80%610.6万
6.80%610.6万
----
----
受限制现金
----
65.86%261.9万
65.86%261.9万
----
----
----
11.12%157.9万
11.12%157.9万
----
----
税项资产
19.94%40.3万
-21.61%21.4万
-21.61%21.4万
674.03%59.6万
672.73%42.5万
1,300.00%33.6万
810.00%27.3万
810.00%27.3万
--7.7万
--5.5万
递延资产
-73.59%27.7万
-79.35%32.8万
-79.35%32.8万
-79.32%39万
-62.31%68.1万
-44.23%104.9万
-2.28%158.8万
-2.28%158.8万
59.97%188.6万
439.40%180.7万
流动资产合计
17.26%1.67亿
-8.47%1.5亿
-8.47%1.5亿
-25.40%1.49亿
-21.68%1.44亿
-15.66%1.42亿
-8.61%1.64亿
-8.61%1.64亿
29.56%2亿
72.71%1.84亿
非流动资产
物业厂房及设备净额
16.22%1.48亿
22.32%1.48亿
22.32%1.48亿
75.11%1.31亿
75.58%1.31亿
69.92%1.27亿
62.00%1.21亿
62.00%1.21亿
1.28%7,491.3万
3.45%7,450.4万
-物业、厂房及设备
----
15.62%2.39亿
15.62%2.39亿
----
----
----
30.19%2.06亿
30.19%2.06亿
----
----
-累计折旧
----
-6.13%-9,069万
-6.13%-9,069万
----
----
----
-1.87%-8,545.5万
-1.87%-8,545.5万
----
----
投资物业
5.67%3,304.8万
-13.81%3,022.2万
-13.81%3,022.2万
-11.25%3,067.3万
-11.15%3,097.3万
-11.26%3,127.4万
-1.13%3,506.3万
-1.13%3,506.3万
24.56%3,456万
33.95%3,486.1万
投资总额
5.74%1,586.4万
4.52%1,568.1万
4.52%1,568.1万
931.84%1,500.3万
500,000.00%1,500.3万
500,000.00%1,500.3万
500,000.00%1,500.3万
500,000.00%1,500.3万
1,044.88%145.4万
0.00%3,000
-长期股权投资
5.74%1,586.1万
4.52%1,567.8万
4.52%1,567.8万
--1,500万
--1,500万
--1,500万
--1,500万
--1,500万
----
----
-金融资产投资
----
0.00%3,000
0.00%3,000
----
----
----
0.00%3,000
0.00%3,000
----
----
-其中:交易性证券
----
----
----
----
----
----
0.00%3,000
0.00%3,000
----
----
-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
----
0.00%3,000
0.00%3,000
----
----
----
0.00%3,000
0.00%3,000
----
----
-其他投资
0.00%3,000
--3,000
--3,000
-99.79%3,000
0.00%3,000
--3,000
----
----
36,250.00%145.4万
0.00%3,000
长期应收账款及其他应收款
30.73%4,488.6万
30.73%4,488.5万
30.73%4,488.5万
--3,433.4万
--3,433.4万
--3,433.4万
--3,433.4万
--3,433.4万
----
----
商誉及其他无形资产
0.00%1,939.7万
0.00%1,939.7万
0.00%1,939.7万
2.79%1,939.7万
0.61%1,939.7万
2.79%1,939.7万
2.79%1,939.7万
2.79%1,939.7万
1.99%1,887万
4,973.42%1,927.9万
-商誉
----
0.00%1,887万
0.00%1,887万
0.00%1,887万
-2.12%1,887万
0.00%1,887万
0.00%1,887万
0.00%1,887万
1.99%1,887万
4,973.42%1,927.9万
-其他无形资产
----
0.00%52.7万
0.00%52.7万
--52.7万
--52.7万
--52.7万
--52.7万
--52.7万
----
----
非流动递延所得税资产
--39.7万
--39.7万
--39.7万
----
----
----
--0
--0
----
----
其他非流动资产
0.00%1.08亿
-1.85%1.08亿
-1.85%1.08亿
-6.91%1.09亿
-6.96%1.08亿
-4.32%1.08亿
-0.82%1.1亿
-0.82%1.1亿
20.79%1.18亿
18.35%1.16亿
非流动资产合计
10.22%3.69亿
9.50%3.66亿
9.50%3.66亿
37.47%3.4亿
38.43%3.38亿
38.69%3.35亿
39.62%3.34亿
39.62%3.34亿
13.64%2.47亿
24.55%2.44亿
总资产
12.32%5.35亿
3.59%5.16亿
3.59%5.16亿
9.36%4.89亿
12.60%4.82亿
16.35%4.77亿
18.96%4.98亿
18.96%4.98亿
20.25%4.47亿
41.50%4.28亿
负债
流动负债
金融负债
53.14%859.6万
107.50%852.2万
107.50%852.2万
346.43%713.4万
1,422.76%729.4万
139.26%561.3万
-52.49%410.7万
-52.49%410.7万
-83.36%159.8万
-98.63%47.9万
-短期借款及资本租赁负债
53.14%859.6万
107.50%852.2万
107.50%852.2万
346.43%713.4万
1,422.76%729.4万
139.26%561.3万
-52.49%410.7万
-52.49%410.7万
-83.36%159.8万
-98.63%47.9万
-其中:短期借款
583.64%263.2万
91.67%262.4万
91.67%262.4万
-2.47%146万
277.11%138.4万
-82.52%38.5万
-83.94%136.9万
-83.94%136.9万
-84.19%149.7万
-98.95%36.7万
-其中:资本租赁负债
14.08%596.4万
115.41%589.8万
115.41%589.8万
5,517.82%567.4万
5,176.79%591万
3,530.56%522.8万
2,126.02%273.8万
2,126.02%273.8万
-27.34%10.1万
41.77%11.2万
应付款项
32.00%9,350.1万
-32.39%9,380.9万
-32.39%9,380.9万
-25.53%7,869.3万
-34.08%7,017.7万
-23.65%7,083.2万
30.64%1.39亿
30.64%1.39亿
11.04%1.06亿
145.05%1.06亿
-应付账款
102.04%6,132.4万
-25.59%5,959.7万
-25.59%5,959.7万
-40.25%3,951.1万
-35.71%2,980.5万
-7.88%3,035.2万
68.64%8,009.4万
68.64%8,009.4万
107.56%6,613万
107.14%4,635.7万
-应交税费
25.33%370.6万
-25.29%330.8万
-25.29%330.8万
-8.60%279.5万
-44.57%349万
-58.02%295.7万
-33.75%442.8万
-33.75%442.8万
-39.04%305.8万
460.64%629.6万
-其他应付款
-24.12%2,847.1万
-43.02%3,090.4万
-43.02%3,090.4万
-0.25%3,638.7万
-31.45%3,688.2万
-28.91%3,752.3万
4.22%5,423.5万
4.22%5,423.5万
-37.41%3,647.8万
169.84%5,380.3万
现行拨备
-81.05%25.7万
-73.59%25.7万
-73.59%25.7万
--25.7万
--25.7万
--135.6万
--97.3万
--97.3万
----
----
应计及递延所得
-92.53%160.6万
-12.77%506.3万
-12.77%506.3万
-71.08%1,063.4万
-64.36%1,400.8万
-48.87%2,148.5万
-87.09%580.4万
-87.09%580.4万
29.74%3,677.4万
85.09%3,930.8万
流动负债合计
4.71%1.04亿
-28.06%1.08亿
-28.06%1.08亿
-32.85%9,671.8万
-37.27%9,173.6万
-27.60%9,928.6万
-6.36%1.5亿
-6.36%1.5亿
8.21%1.44亿
46.61%1.46亿
非流动负债
非流动金融负债
10.04%4,398.6万
11.33%4,083.5万
11.33%4,083.5万
356.69%3,757.2万
386.49%4,068.5万
363.09%3,997.4万
133.00%3,667.9万
133.00%3,667.9万
-46.20%822.7万
51.23%836.3万
-长期借款及资本租赁
10.04%4,398.6万
11.33%4,083.5万
11.33%4,083.5万
356.69%3,757.2万
386.49%4,068.5万
363.09%3,997.4万
133.00%3,667.9万
133.00%3,667.9万
-46.20%822.7万
51.23%836.3万
-其中:长期借款
173.19%2,070.8万
110.72%1,621.9万
110.72%1,621.9万
6.01%827.9万
6.76%846.2万
-5.72%758万
-49.90%769.7万
-49.90%769.7万
-47.58%781万
47.41%792.6万
-其中:长期资本租赁负债
-28.14%2,327.8万
-15.06%2,461.6万
-15.06%2,461.6万
6,924.70%2,929.3万
7,273.68%3,222.3万
5,371.96%3,239.4万
7,546.97%2,898.2万
7,546.97%2,898.2万
5.84%41.7万
185.62%43.7万
长期应付账款及其他应付款
20.32%90万
22.73%91.8万
22.73%91.8万
0.00%74.8万
0.00%74.8万
0.00%74.8万
0.00%74.8万
0.00%74.8万
-89.18%74.8万
-89.18%74.8万
非流动递延所得税负债
390.85%69.7万
332.39%61.4万
332.39%61.4万
1.43%14.2万
1.43%14.2万
1.43%14.2万
-24.47%14.2万
-24.47%14.2万
75.00%14万
20.69%14万
非流动负债合计
11.55%4,558.3万
12.77%4,236.7万
12.77%4,236.7万
321.96%3,846.2万
349.41%4,157.5万
329.24%4,086.4万
125.26%3,756.9万
125.26%3,756.9万
-59.10%911.5万
-26.36%925.1万
负债总额
6.70%1.5亿
-19.87%1.5亿
-19.87%1.5亿
-11.74%1.35亿
-14.27%1.33亿
-4.44%1.4亿
6.07%1.87亿
6.07%1.87亿
-1.45%1.53亿
38.45%1.55亿
所有者权益
股本
51.91%3.55亿
20.59%2.53亿
20.59%2.53亿
19.94%2.46亿
31.45%2.43亿
32.43%2.33亿
33.95%2.09亿
33.95%2.09亿
51.49%2.05亿
59.81%1.85亿
-普通股
51.91%3.55亿
20.59%2.53亿
20.59%2.53亿
19.94%2.46亿
31.45%2.43亿
32.43%2.33亿
33.95%2.09亿
33.95%2.09亿
51.49%2.05亿
59.81%1.85亿
留存收益
23.76%5,455.9万
17.90%5,191.6万
17.90%5,191.6万
43.99%4,706.1万
41.63%4,595.7万
36.46%4,408.4万
37.21%4,403.5万
37.21%4,403.5万
12.68%3,268.3万
34.86%3,244.8万
减:库存股
--8,589.1万
----
----
----
----
----
----
----
----
----
其他储备
0.00%5,023.3万
0.00%5,023.3万
0.00%5,023.3万
0.00%5,023.3万
0.00%5,023.3万
0.00%5,023.3万
0.00%5,023.3万
0.00%5,023.3万
0.00%5,023.3万
0.00%5,023.3万
股东权益
13.96%3.73亿
16.79%3.55亿
16.79%3.55亿
19.19%3.43亿
26.78%3.39亿
26.63%3.28亿
27.16%3.04亿
27.16%3.04亿
34.10%2.88亿
40.54%2.67亿
非控制性权益
40.62%1,243.2万
54.38%1,156.9万
54.38%1,156.9万
76.03%1,055.1万
84.84%999.8万
107.63%884.1万
104.81%749.4万
104.81%749.4万
250.12%599.4万
4,644.74%540.9万
总权益
14.66%3.86亿
17.70%3.66亿
17.70%3.66亿
20.35%3.54亿
27.93%3.49亿
27.95%3.37亿
28.33%3.11亿
28.33%3.11亿
35.81%2.94亿
43.30%2.73亿
会计准则
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q1)2025/09/30(FY)2025/06/30(Q4)2025/06/30(Q3)2025/03/31(Q2)2024/12/31(Q1)2024/09/30(FY)2024/06/30(Q4)2024/06/30(Q3)2024/03/31(Q2)2023/12/31
资产
流动资产
现金及现金等价物与短期投资 29.69%947.4万-32.00%906.9万-32.00%906.9万23.41%514万-8.53%584.2万-18.26%730.5万99.12%1,333.7万99.12%1,333.7万61.68%416.5万-28.80%638.7万
-现金及现金等价物 ----78.90%893.8万78.90%893.8万23.41%514万-8.53%584.2万-18.26%730.5万61.01%499.6万61.01%499.6万61.68%416.5万-28.80%638.7万
-其中:现金 ----78.90%893.8万78.90%893.8万------------61.01%499.6万61.01%499.6万--------
-短期投资 -----98.43%13.1万-98.43%13.1万------------132.02%834.1万132.02%834.1万--------
应收款项 20.00%9,495万-21.00%6,989.1万-21.00%6,989.1万-37.24%8,888.1万-31.04%8,600.8万-20.97%7,912.4万-17.05%8,847.2万-17.05%8,847.2万55.29%1.42亿217.52%1.25亿
-应收账款净额 18.82%6,705.6万-19.73%5,619.6万-19.73%5,619.6万-44.15%6,622.7万-36.27%6,306万-24.74%5,643.3万-6.77%7,000.9万-6.77%7,000.9万62.99%1.19亿189.64%9,895.4万
-其中:应收账款 -----22.10%7,025.4万-22.10%7,025.4万-------------4.58%9,018.8万-4.58%9,018.8万--------
-其中:坏账准备 ----30.33%-1,405.8万30.33%-1,405.8万-------------3.92%-2,017.9万-3.92%-2,017.9万--------
-其他应收款 22.93%2,789.4万-25.82%1,369.5万-25.82%1,369.5万-1.67%2,265.4万-10.94%2,294.8万-9.71%2,269.1万-41.51%1,846.3万-41.51%1,846.3万24.93%2,303.9万403.64%2,576.6万
存货 13.33%6,142.5万13.49%5,979.9万13.49%5,979.9万3.71%5,418万0.27%5,111.1万-5.61%5,420.1万-8.11%5,269.2万-8.11%5,269.2万-12.07%5,224.1万-11.99%5,097.1万
预付费用 ----34.83%823.3万34.83%823.3万------------6.80%610.6万6.80%610.6万--------
受限制现金 ----65.86%261.9万65.86%261.9万------------11.12%157.9万11.12%157.9万--------
税项资产 19.94%40.3万-21.61%21.4万-21.61%21.4万674.03%59.6万672.73%42.5万1,300.00%33.6万810.00%27.3万810.00%27.3万--7.7万--5.5万
递延资产 -73.59%27.7万-79.35%32.8万-79.35%32.8万-79.32%39万-62.31%68.1万-44.23%104.9万-2.28%158.8万-2.28%158.8万59.97%188.6万439.40%180.7万
流动资产合计 17.26%1.67亿-8.47%1.5亿-8.47%1.5亿-25.40%1.49亿-21.68%1.44亿-15.66%1.42亿-8.61%1.64亿-8.61%1.64亿29.56%2亿72.71%1.84亿
非流动资产
物业厂房及设备净额 16.22%1.48亿22.32%1.48亿22.32%1.48亿75.11%1.31亿75.58%1.31亿69.92%1.27亿62.00%1.21亿62.00%1.21亿1.28%7,491.3万3.45%7,450.4万
-物业、厂房及设备 ----15.62%2.39亿15.62%2.39亿------------30.19%2.06亿30.19%2.06亿--------
-累计折旧 -----6.13%-9,069万-6.13%-9,069万-------------1.87%-8,545.5万-1.87%-8,545.5万--------
投资物业 5.67%3,304.8万-13.81%3,022.2万-13.81%3,022.2万-11.25%3,067.3万-11.15%3,097.3万-11.26%3,127.4万-1.13%3,506.3万-1.13%3,506.3万24.56%3,456万33.95%3,486.1万
投资总额 5.74%1,586.4万4.52%1,568.1万4.52%1,568.1万931.84%1,500.3万500,000.00%1,500.3万500,000.00%1,500.3万500,000.00%1,500.3万500,000.00%1,500.3万1,044.88%145.4万0.00%3,000
-长期股权投资 5.74%1,586.1万4.52%1,567.8万4.52%1,567.8万--1,500万--1,500万--1,500万--1,500万--1,500万--------
-金融资产投资 ----0.00%3,0000.00%3,000------------0.00%3,0000.00%3,000--------
-其中:交易性证券 ------------------------0.00%3,0000.00%3,000--------
-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 ----0.00%3,0000.00%3,000------------0.00%3,0000.00%3,000--------
-其他投资 0.00%3,000--3,000--3,000-99.79%3,0000.00%3,000--3,000--------36,250.00%145.4万0.00%3,000
长期应收账款及其他应收款 30.73%4,488.6万30.73%4,488.5万30.73%4,488.5万--3,433.4万--3,433.4万--3,433.4万--3,433.4万--3,433.4万--------
商誉及其他无形资产 0.00%1,939.7万0.00%1,939.7万0.00%1,939.7万2.79%1,939.7万0.61%1,939.7万2.79%1,939.7万2.79%1,939.7万2.79%1,939.7万1.99%1,887万4,973.42%1,927.9万
-商誉 ----0.00%1,887万0.00%1,887万0.00%1,887万-2.12%1,887万0.00%1,887万0.00%1,887万0.00%1,887万1.99%1,887万4,973.42%1,927.9万
-其他无形资产 ----0.00%52.7万0.00%52.7万--52.7万--52.7万--52.7万--52.7万--52.7万--------
非流动递延所得税资产 --39.7万--39.7万--39.7万--------------0--0--------
其他非流动资产 0.00%1.08亿-1.85%1.08亿-1.85%1.08亿-6.91%1.09亿-6.96%1.08亿-4.32%1.08亿-0.82%1.1亿-0.82%1.1亿20.79%1.18亿18.35%1.16亿
非流动资产合计 10.22%3.69亿9.50%3.66亿9.50%3.66亿37.47%3.4亿38.43%3.38亿38.69%3.35亿39.62%3.34亿39.62%3.34亿13.64%2.47亿24.55%2.44亿
总资产 12.32%5.35亿3.59%5.16亿3.59%5.16亿9.36%4.89亿12.60%4.82亿16.35%4.77亿18.96%4.98亿18.96%4.98亿20.25%4.47亿41.50%4.28亿
负债
流动负债
金融负债 53.14%859.6万107.50%852.2万107.50%852.2万346.43%713.4万1,422.76%729.4万139.26%561.3万-52.49%410.7万-52.49%410.7万-83.36%159.8万-98.63%47.9万
-短期借款及资本租赁负债 53.14%859.6万107.50%852.2万107.50%852.2万346.43%713.4万1,422.76%729.4万139.26%561.3万-52.49%410.7万-52.49%410.7万-83.36%159.8万-98.63%47.9万
-其中:短期借款 583.64%263.2万91.67%262.4万91.67%262.4万-2.47%146万277.11%138.4万-82.52%38.5万-83.94%136.9万-83.94%136.9万-84.19%149.7万-98.95%36.7万
-其中:资本租赁负债 14.08%596.4万115.41%589.8万115.41%589.8万5,517.82%567.4万5,176.79%591万3,530.56%522.8万2,126.02%273.8万2,126.02%273.8万-27.34%10.1万41.77%11.2万
应付款项 32.00%9,350.1万-32.39%9,380.9万-32.39%9,380.9万-25.53%7,869.3万-34.08%7,017.7万-23.65%7,083.2万30.64%1.39亿30.64%1.39亿11.04%1.06亿145.05%1.06亿
-应付账款 102.04%6,132.4万-25.59%5,959.7万-25.59%5,959.7万-40.25%3,951.1万-35.71%2,980.5万-7.88%3,035.2万68.64%8,009.4万68.64%8,009.4万107.56%6,613万107.14%4,635.7万
-应交税费 25.33%370.6万-25.29%330.8万-25.29%330.8万-8.60%279.5万-44.57%349万-58.02%295.7万-33.75%442.8万-33.75%442.8万-39.04%305.8万460.64%629.6万
-其他应付款 -24.12%2,847.1万-43.02%3,090.4万-43.02%3,090.4万-0.25%3,638.7万-31.45%3,688.2万-28.91%3,752.3万4.22%5,423.5万4.22%5,423.5万-37.41%3,647.8万169.84%5,380.3万
现行拨备 -81.05%25.7万-73.59%25.7万-73.59%25.7万--25.7万--25.7万--135.6万--97.3万--97.3万--------
应计及递延所得 -92.53%160.6万-12.77%506.3万-12.77%506.3万-71.08%1,063.4万-64.36%1,400.8万-48.87%2,148.5万-87.09%580.4万-87.09%580.4万29.74%3,677.4万85.09%3,930.8万
流动负债合计 4.71%1.04亿-28.06%1.08亿-28.06%1.08亿-32.85%9,671.8万-37.27%9,173.6万-27.60%9,928.6万-6.36%1.5亿-6.36%1.5亿8.21%1.44亿46.61%1.46亿
非流动负债
非流动金融负债 10.04%4,398.6万11.33%4,083.5万11.33%4,083.5万356.69%3,757.2万386.49%4,068.5万363.09%3,997.4万133.00%3,667.9万133.00%3,667.9万-46.20%822.7万51.23%836.3万
-长期借款及资本租赁 10.04%4,398.6万11.33%4,083.5万11.33%4,083.5万356.69%3,757.2万386.49%4,068.5万363.09%3,997.4万133.00%3,667.9万133.00%3,667.9万-46.20%822.7万51.23%836.3万
-其中:长期借款 173.19%2,070.8万110.72%1,621.9万110.72%1,621.9万6.01%827.9万6.76%846.2万-5.72%758万-49.90%769.7万-49.90%769.7万-47.58%781万47.41%792.6万
-其中:长期资本租赁负债 -28.14%2,327.8万-15.06%2,461.6万-15.06%2,461.6万6,924.70%2,929.3万7,273.68%3,222.3万5,371.96%3,239.4万7,546.97%2,898.2万7,546.97%2,898.2万5.84%41.7万185.62%43.7万
长期应付账款及其他应付款 20.32%90万22.73%91.8万22.73%91.8万0.00%74.8万0.00%74.8万0.00%74.8万0.00%74.8万0.00%74.8万-89.18%74.8万-89.18%74.8万
非流动递延所得税负债 390.85%69.7万332.39%61.4万332.39%61.4万1.43%14.2万1.43%14.2万1.43%14.2万-24.47%14.2万-24.47%14.2万75.00%14万20.69%14万
非流动负债合计 11.55%4,558.3万12.77%4,236.7万12.77%4,236.7万321.96%3,846.2万349.41%4,157.5万329.24%4,086.4万125.26%3,756.9万125.26%3,756.9万-59.10%911.5万-26.36%925.1万
负债总额 6.70%1.5亿-19.87%1.5亿-19.87%1.5亿-11.74%1.35亿-14.27%1.33亿-4.44%1.4亿6.07%1.87亿6.07%1.87亿-1.45%1.53亿38.45%1.55亿
所有者权益
股本 51.91%3.55亿20.59%2.53亿20.59%2.53亿19.94%2.46亿31.45%2.43亿32.43%2.33亿33.95%2.09亿33.95%2.09亿51.49%2.05亿59.81%1.85亿
-普通股 51.91%3.55亿20.59%2.53亿20.59%2.53亿19.94%2.46亿31.45%2.43亿32.43%2.33亿33.95%2.09亿33.95%2.09亿51.49%2.05亿59.81%1.85亿
留存收益 23.76%5,455.9万17.90%5,191.6万17.90%5,191.6万43.99%4,706.1万41.63%4,595.7万36.46%4,408.4万37.21%4,403.5万37.21%4,403.5万12.68%3,268.3万34.86%3,244.8万
减:库存股 --8,589.1万------------------------------------
其他储备 0.00%5,023.3万0.00%5,023.3万0.00%5,023.3万0.00%5,023.3万0.00%5,023.3万0.00%5,023.3万0.00%5,023.3万0.00%5,023.3万0.00%5,023.3万0.00%5,023.3万
股东权益 13.96%3.73亿16.79%3.55亿16.79%3.55亿19.19%3.43亿26.78%3.39亿26.63%3.28亿27.16%3.04亿27.16%3.04亿34.10%2.88亿40.54%2.67亿
非控制性权益 40.62%1,243.2万54.38%1,156.9万54.38%1,156.9万76.03%1,055.1万84.84%999.8万107.63%884.1万104.81%749.4万104.81%749.4万250.12%599.4万4,644.74%540.9万
总权益 14.66%3.86亿17.70%3.66亿17.70%3.66亿20.35%3.54亿27.93%3.49亿27.95%3.37亿28.33%3.11亿28.33%3.11亿35.81%2.94亿43.30%2.73亿
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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