沪深市场个股详情

*ST天山 (300313)

添加自选
  • 9.53
  • +0.25+2.69%
已收盘 01/16 15:00 (北京)
22.85亿总市值-63.53市盈率TTM

*ST天山 (300313) 资产负债表

全部
显示同比 yoy
隐藏空行 yoy
(Q9)2025/09/30
(Q6)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q9)2024/09/30
(Q6)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q9)2023/09/30
(Q6)2023/06/30
资产
流动资产
货币资金
-37.77%873.96万
1.91%1,900.51万
-21.49%1,762.22万
46.40%2,450万
-12.06%1,404.48万
-27.12%1,864.96万
-50.48%2,244.69万
-64.61%1,673.49万
-77.35%1,597.12万
-72.60%2,558.9万
应收票据及应收账款
-32.59%1,317.97万
49.05%1,649.98万
99.54%1,837.37万
19.01%1,414.05万
80.03%1,955.15万
48.03%1,106.98万
75.19%920.79万
49.14%1,188.21万
125.44%1,086.03万
-15.44%747.82万
-应收账款
-32.59%1,317.97万
49.05%1,649.98万
99.54%1,837.37万
19.01%1,414.05万
80.03%1,955.15万
48.03%1,106.98万
75.19%920.79万
49.14%1,188.21万
125.44%1,086.03万
-15.44%747.82万
其他应收款(含利息和股利)
-17.31%354.72万
5.57%473.36万
-61.21%283.51万
-46.52%470.25万
-40.52%429万
-42.04%448.41万
1.00%730.8万
24.18%879.32万
574.62%721.25万
874.41%773.64万
-应收股利
----
----
----
0.00%143.42万
----
----
----
--143.42万
----
----
-其他应收款
----
5.57%473.36万
----
----
----
-42.04%448.41万
----
3.93%735.9万
----
874.41%773.64万
预付款项
-13.24%125.98万
-29.92%33.88万
22.59%41.58万
98.20%56.49万
146.03%145.21万
-6.92%48.34万
-3.33%33.92万
7.03%28.5万
-90.93%59.02万
-92.48%51.94万
存货
88.85%6,834.06万
-67.13%1,977.07万
-75.05%1,819.76万
-74.51%1,846.81万
-50.50%3,618.77万
-3.60%6,014.22万
61.92%7,292.57万
33.77%7,246.47万
64.23%7,310.1万
63.13%6,239.09万
其他流动资产
12.44%41.98万
-73.67%8.66万
-49.25%20.84万
-81.78%16.41万
-44.40%37.34万
-76.33%32.87万
1.50%41.06万
4.10%90.07万
781.64%67.15万
210.94%138.83万
流动资产合计
25.81%9,548.67万
-36.49%6,043.46万
-48.82%5,765.27万
-43.69%6,254万
-29.99%7,589.95万
-9.46%9,515.78万
8.71%1.13亿
-5.59%1.11亿
-14.98%1.08亿
-29.29%1.05亿
非流动资产
投资性房地产
-23.59%2,481.92万
-23.19%2,559.67万
-28.30%2,450.54万
-27.59%2,535.07万
9.84%3,248.29万
10.19%3,332.48万
10.55%3,417.91万
-24.58%3,500.86万
-35.25%2,957.23万
-35.15%3,024.43万
长期股权投资
10.92%1,583.82万
10.72%1,465.81万
10.69%1,411.78万
16.98%1,358.62万
13.30%1,427.84万
10.15%1,323.94万
12.02%1,275.47万
6.98%1,161.41万
12.61%1,260.21万
12.18%1,201.99万
固定资产
----
-12.04%5,999.89万
----
----
----
-13.67%6,821.28万
----
5.45%7,033.3万
----
12.85%7,901.34万
在建工程
----
--100万
----
----
----
----
----
----
----
----
生产性生物资产
-21.32%314.64万
-37.96%300.29万
-32.01%318.03万
-24.50%353.95万
-36.77%399.91万
-25.03%484.02万
-23.82%467.77万
-19.72%468.82万
21.48%632.46万
3.93%645.59万
无形资产
-4.92%5,994.47万
-4.88%6,078.89万
-4.95%6,158.1万
-4.93%6,247.73万
-5.32%6,304.86万
-5.19%6,391.09万
-5.12%6,478.7万
-4.97%6,571.55万
-4.91%6,659.12万
-4.94%6,740.7万
长期待摊费用
-16.17%402.58万
-8.57%428.33万
4.18%461.39万
4.26%490.33万
-15.35%480.25万
-12.01%468.47万
-19.24%442.87万
-7.90%470.28万
6.11%567.33万
-4.53%532.39万
递延所得税资产
-2.63%741.23万
-6.70%717.79万
0.74%734.14万
-1.23%741.48万
10.74%761.28万
10.62%769.34万
3.60%728.77万
-0.64%750.75万
-4.77%687.48万
-4.37%695.46万
使用权资产
22.85%522.49万
-35.30%289.73万
29.31%364.07万
8.84%394.99万
29.29%425.31万
143.26%447.83万
41.81%281.54万
70.40%362.9万
44.66%328.97万
-23.88%184.09万
其他非流动资产
0.00%99.48万
0.00%99.48万
2.47%99.48万
2.47%99.48万
-18.67%99.48万
-18.67%99.48万
-18.29%97.08万
-18.29%97.08万
6.44%122.31万
6.44%122.31万
非流动资产合计
-8.35%1.82亿
-10.42%1.8亿
-9.37%1.82亿
-9.07%1.86亿
-5.35%1.99亿
-4.33%2.01亿
-5.48%2.01亿
-5.01%2.04亿
-68.24%2.1亿
-68.32%2.1亿
资产总计
1.09%2.78亿
-18.78%2.41亿
-23.54%2.4亿
-21.26%2.48亿
-13.74%2.75亿
-6.04%2.97亿
-0.83%3.14亿
-5.22%3.15亿
-59.63%3.18亿
-61.19%3.16亿
负债
流动负债
短期借款
-14.10%4,948.04万
-40.40%4,948.04万
-40.28%4,958.96万
-40.28%4,958.96万
-30.87%5,760.18万
-4.91%8,302.74万
-6.68%8,304.16万
-11.81%8,304.16万
-24.99%8,332.47万
-33.96%8,731.74万
应付票据及应付账款
-32.55%1,176.73万
-33.06%1,198.44万
-12.33%1,686.65万
-22.06%1,508.56万
-23.76%1,744.61万
-5.52%1,790.26万
74.40%1,923.84万
77.62%1,935.65万
51.83%2,288.42万
26.41%1,894.92万
-应付账款
-32.55%1,176.73万
-33.06%1,198.44万
-12.33%1,686.65万
-22.06%1,508.56万
-23.76%1,744.61万
-5.52%1,790.26万
74.40%1,923.84万
77.62%1,935.65万
51.83%2,288.42万
26.41%1,894.92万
合同负债
85.37%483.52万
6.11%332.22万
35.00%253.8万
54.64%291.92万
-15.67%260.84万
41.23%313.09万
2.91%188万
-21.63%188.78万
25.12%309.32万
35.19%221.69万
预收款项
-51.31%400.07万
-66.01%455.36万
-62.80%627.32万
-6.40%922.56万
17.77%821.73万
97.43%1,339.69万
144.35%1,686.55万
-12.61%985.67万
62.70%697.75万
21.58%678.57万
应付职工薪酬
-22.57%285.21万
-33.11%305.21万
-53.87%301.05万
-41.96%427.49万
61.72%368.35万
27.50%456.28万
112.87%652.65万
40.82%736.5万
-1.01%227.77万
46.88%357.86万
应交税费
71.96%219.04万
235.80%430.86万
-10.75%113.9万
27.25%71.68万
-25.53%127.38万
80.70%128.31万
144.66%127.62万
-19.25%56.33万
107.67%171.04万
41.29%71万
其他应付款(含利息和股利)
-85.87%1,552.77万
7.04%1.16亿
5.21%1.12亿
4.83%1.12亿
5.84%1.1亿
6.54%1.08亿
4.78%1.06亿
6.18%1.07亿
-80.84%1.04亿
-81.23%1.02亿
-其他应付款
----
7.04%1.16亿
----
----
----
6.54%1.08亿
----
6.18%1.07亿
----
-81.10%1.02亿
一年内到期的非流动负债
23.72%150.4万
2.84%79.64万
100.34%126.21万
52.36%129.61万
42.62%121.57万
34.11%77.43万
12.83%63万
54.97%85.07万
-53.67%85.24万
-69.51%57.74万
流动负债合计
-54.36%9,215.78万
-16.78%1.93亿
-18.36%1.92亿
-15.09%1.95亿
-10.23%2.02亿
4.78%2.32亿
10.00%2.36亿
1.73%2.3亿
-66.91%2.25亿
-68.34%2.22亿
非流动负债
长期借款
39.40%3,070万
--3,070万
--3,080万
--3,080万
--2,202.25万
----
----
----
----
----
预计负债
----
----
61.83%165.97万
10.19%214.86万
96.86%251.67万
13.92%193.66万
-39.67%102.56万
14.71%195万
--127.84万
--170万
递延所得税负债
22.85%130.62万
-35.30%72.43万
29.31%91.02万
8.84%98.75万
--106.33万
--111.96万
--70.39万
70.40%90.72万
----
----
长期递延收益
27.14%1,564.92万
27.32%1,550.85万
14.12%1,058.95万
24.78%1,087.89万
39.16%1,230.83万
19.30%1,218.09万
1.56%927.91万
-6.28%871.84万
-5.24%884.46万
7.47%1,021.06万
租赁负债
9.80%312.93万
-27.19%245.12万
62.42%259.75万
35.25%269.18万
47.87%284.99万
278.52%336.63万
29.04%159.92万
63.69%199.03万
29.42%192.73万
-36.52%88.93万
其他非流动负债
--9,000万
----
----
----
----
----
----
----
----
----
非流动负债合计
245.39%1.41亿
165.46%4,938.41万
269.27%4,655.69万
250.19%4,750.68万
238.25%4,076.06万
45.34%1,860.35万
4.41%1,260.77万
6.39%1,356.59万
11.34%1,205.03万
17.41%1,280万
负债合计
-4.02%2.33亿
-3.26%2.43亿
-3.75%2.39亿
-0.30%2.43亿
2.40%2.43亿
6.99%2.51亿
9.70%2.48亿
1.98%2.43亿
-65.69%2.37亿
-67.03%2.34亿
所有者权益(或股东权益)
实收资本(或股本)
0.00%3.13亿
0.00%3.13亿
0.00%3.13亿
0.00%3.13亿
0.00%3.13亿
0.00%3.13亿
0.00%3.13亿
0.00%3.13亿
0.00%3.13亿
0.00%3.13亿
资本公积
31.03%2.11亿
0.00%1.61亿
0.00%1.61亿
0.00%1.61亿
0.00%1.61亿
0.00%1.61亿
0.00%1.61亿
0.00%1.61亿
-91.78%1.61亿
-91.78%1.61亿
盈余公积
0.00%1,081.4万
0.00%1,081.4万
0.00%1,081.4万
0.00%1,081.4万
0.00%1,081.4万
0.00%1,081.4万
0.00%1,081.4万
0.00%1,081.4万
0.00%1,081.4万
0.00%1,081.4万
未分配利润
-7.76%-5亿
-10.20%-4.96亿
-14.83%-4.93亿
-15.61%-4.88亿
-12.26%-4.64亿
-8.90%-4.5亿
-6.25%-4.3亿
-5.50%-4.22亿
-4.19%-4.13亿
-8.67%-4.13亿
归属母公司所有者权益合计
67.46%3,439.38万
-133.72%-1,157.59万
-115.90%-873.85万
-106.08%-377.93万
-71.16%2,053.82万
-51.73%3,432.97万
-31.51%5,496.19万
-26.14%6,216.86万
-18.90%7,122.4万
-22.67%7,112.45万
少数股东权益
-9.71%1,019.68万
-14.23%972.61万
-7.73%964.23万
-3.69%946.16万
12.49%1,129.29万
13.56%1,133.94万
7.34%1,044.96万
-0.83%982.45万
2.23%1,003.87万
-0.59%998.52万
所有者权益(或股东权益)合计
40.09%4,459.06万
-104.05%-184.98万
-98.62%90.38万
-92.11%568.23万
-60.83%3,183.11万
-43.69%4,566.91万
-27.30%6,541.15万
-23.47%7,199.31万
-16.78%8,126.27万
-20.50%8,110.97万
负债和所有者权益(或股东权益)总计
1.09%2.78亿
-18.78%2.41亿
-23.54%2.4亿
-21.26%2.48亿
-13.74%2.75亿
-6.04%2.97亿
-0.83%3.14亿
-5.22%3.15亿
-59.63%3.18亿
-61.19%3.16亿
货币单位
人民币
人民币
人民币
人民币
人民币
人民币
人民币
人民币
人民币
人民币
会计准则
新会计准则(2007)
新会计准则(2007)
新会计准则(2007)
新会计准则(2007)
新会计准则(2007)
新会计准则(2007)
新会计准则(2007)
新会计准则(2007)
新会计准则(2007)
新会计准则(2007)
审计意见
--
--
--
无保留意见
--
--
--
--
--
--
会计师事务所
--
--
--
中兴财光华会计师事务所(特殊普通合伙)
--
--
--
中兴财光华会计师事务所(特殊普通合伙)
--
--
(Q9)2025/09/30(Q6)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q9)2024/09/30(Q6)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q9)2023/09/30(Q6)2023/06/30
资产
流动资产
货币资金 -37.77%873.96万1.91%1,900.51万-21.49%1,762.22万46.40%2,450万-12.06%1,404.48万-27.12%1,864.96万-50.48%2,244.69万-64.61%1,673.49万-77.35%1,597.12万-72.60%2,558.9万
应收票据及应收账款 -32.59%1,317.97万49.05%1,649.98万99.54%1,837.37万19.01%1,414.05万80.03%1,955.15万48.03%1,106.98万75.19%920.79万49.14%1,188.21万125.44%1,086.03万-15.44%747.82万
-应收账款 -32.59%1,317.97万49.05%1,649.98万99.54%1,837.37万19.01%1,414.05万80.03%1,955.15万48.03%1,106.98万75.19%920.79万49.14%1,188.21万125.44%1,086.03万-15.44%747.82万
其他应收款(含利息和股利) -17.31%354.72万5.57%473.36万-61.21%283.51万-46.52%470.25万-40.52%429万-42.04%448.41万1.00%730.8万24.18%879.32万574.62%721.25万874.41%773.64万
-应收股利 ------------0.00%143.42万--------------143.42万--------
-其他应收款 ----5.57%473.36万-------------42.04%448.41万----3.93%735.9万----874.41%773.64万
预付款项 -13.24%125.98万-29.92%33.88万22.59%41.58万98.20%56.49万146.03%145.21万-6.92%48.34万-3.33%33.92万7.03%28.5万-90.93%59.02万-92.48%51.94万
存货 88.85%6,834.06万-67.13%1,977.07万-75.05%1,819.76万-74.51%1,846.81万-50.50%3,618.77万-3.60%6,014.22万61.92%7,292.57万33.77%7,246.47万64.23%7,310.1万63.13%6,239.09万
其他流动资产 12.44%41.98万-73.67%8.66万-49.25%20.84万-81.78%16.41万-44.40%37.34万-76.33%32.87万1.50%41.06万4.10%90.07万781.64%67.15万210.94%138.83万
流动资产合计 25.81%9,548.67万-36.49%6,043.46万-48.82%5,765.27万-43.69%6,254万-29.99%7,589.95万-9.46%9,515.78万8.71%1.13亿-5.59%1.11亿-14.98%1.08亿-29.29%1.05亿
非流动资产
投资性房地产 -23.59%2,481.92万-23.19%2,559.67万-28.30%2,450.54万-27.59%2,535.07万9.84%3,248.29万10.19%3,332.48万10.55%3,417.91万-24.58%3,500.86万-35.25%2,957.23万-35.15%3,024.43万
长期股权投资 10.92%1,583.82万10.72%1,465.81万10.69%1,411.78万16.98%1,358.62万13.30%1,427.84万10.15%1,323.94万12.02%1,275.47万6.98%1,161.41万12.61%1,260.21万12.18%1,201.99万
固定资产 -----12.04%5,999.89万-------------13.67%6,821.28万----5.45%7,033.3万----12.85%7,901.34万
在建工程 ------100万--------------------------------
生产性生物资产 -21.32%314.64万-37.96%300.29万-32.01%318.03万-24.50%353.95万-36.77%399.91万-25.03%484.02万-23.82%467.77万-19.72%468.82万21.48%632.46万3.93%645.59万
无形资产 -4.92%5,994.47万-4.88%6,078.89万-4.95%6,158.1万-4.93%6,247.73万-5.32%6,304.86万-5.19%6,391.09万-5.12%6,478.7万-4.97%6,571.55万-4.91%6,659.12万-4.94%6,740.7万
长期待摊费用 -16.17%402.58万-8.57%428.33万4.18%461.39万4.26%490.33万-15.35%480.25万-12.01%468.47万-19.24%442.87万-7.90%470.28万6.11%567.33万-4.53%532.39万
递延所得税资产 -2.63%741.23万-6.70%717.79万0.74%734.14万-1.23%741.48万10.74%761.28万10.62%769.34万3.60%728.77万-0.64%750.75万-4.77%687.48万-4.37%695.46万
使用权资产 22.85%522.49万-35.30%289.73万29.31%364.07万8.84%394.99万29.29%425.31万143.26%447.83万41.81%281.54万70.40%362.9万44.66%328.97万-23.88%184.09万
其他非流动资产 0.00%99.48万0.00%99.48万2.47%99.48万2.47%99.48万-18.67%99.48万-18.67%99.48万-18.29%97.08万-18.29%97.08万6.44%122.31万6.44%122.31万
非流动资产合计 -8.35%1.82亿-10.42%1.8亿-9.37%1.82亿-9.07%1.86亿-5.35%1.99亿-4.33%2.01亿-5.48%2.01亿-5.01%2.04亿-68.24%2.1亿-68.32%2.1亿
资产总计 1.09%2.78亿-18.78%2.41亿-23.54%2.4亿-21.26%2.48亿-13.74%2.75亿-6.04%2.97亿-0.83%3.14亿-5.22%3.15亿-59.63%3.18亿-61.19%3.16亿
负债
流动负债
短期借款 -14.10%4,948.04万-40.40%4,948.04万-40.28%4,958.96万-40.28%4,958.96万-30.87%5,760.18万-4.91%8,302.74万-6.68%8,304.16万-11.81%8,304.16万-24.99%8,332.47万-33.96%8,731.74万
应付票据及应付账款 -32.55%1,176.73万-33.06%1,198.44万-12.33%1,686.65万-22.06%1,508.56万-23.76%1,744.61万-5.52%1,790.26万74.40%1,923.84万77.62%1,935.65万51.83%2,288.42万26.41%1,894.92万
-应付账款 -32.55%1,176.73万-33.06%1,198.44万-12.33%1,686.65万-22.06%1,508.56万-23.76%1,744.61万-5.52%1,790.26万74.40%1,923.84万77.62%1,935.65万51.83%2,288.42万26.41%1,894.92万
合同负债 85.37%483.52万6.11%332.22万35.00%253.8万54.64%291.92万-15.67%260.84万41.23%313.09万2.91%188万-21.63%188.78万25.12%309.32万35.19%221.69万
预收款项 -51.31%400.07万-66.01%455.36万-62.80%627.32万-6.40%922.56万17.77%821.73万97.43%1,339.69万144.35%1,686.55万-12.61%985.67万62.70%697.75万21.58%678.57万
应付职工薪酬 -22.57%285.21万-33.11%305.21万-53.87%301.05万-41.96%427.49万61.72%368.35万27.50%456.28万112.87%652.65万40.82%736.5万-1.01%227.77万46.88%357.86万
应交税费 71.96%219.04万235.80%430.86万-10.75%113.9万27.25%71.68万-25.53%127.38万80.70%128.31万144.66%127.62万-19.25%56.33万107.67%171.04万41.29%71万
其他应付款(含利息和股利) -85.87%1,552.77万7.04%1.16亿5.21%1.12亿4.83%1.12亿5.84%1.1亿6.54%1.08亿4.78%1.06亿6.18%1.07亿-80.84%1.04亿-81.23%1.02亿
-其他应付款 ----7.04%1.16亿------------6.54%1.08亿----6.18%1.07亿-----81.10%1.02亿
一年内到期的非流动负债 23.72%150.4万2.84%79.64万100.34%126.21万52.36%129.61万42.62%121.57万34.11%77.43万12.83%63万54.97%85.07万-53.67%85.24万-69.51%57.74万
流动负债合计 -54.36%9,215.78万-16.78%1.93亿-18.36%1.92亿-15.09%1.95亿-10.23%2.02亿4.78%2.32亿10.00%2.36亿1.73%2.3亿-66.91%2.25亿-68.34%2.22亿
非流动负债
长期借款 39.40%3,070万--3,070万--3,080万--3,080万--2,202.25万--------------------
预计负债 --------61.83%165.97万10.19%214.86万96.86%251.67万13.92%193.66万-39.67%102.56万14.71%195万--127.84万--170万
递延所得税负债 22.85%130.62万-35.30%72.43万29.31%91.02万8.84%98.75万--106.33万--111.96万--70.39万70.40%90.72万--------
长期递延收益 27.14%1,564.92万27.32%1,550.85万14.12%1,058.95万24.78%1,087.89万39.16%1,230.83万19.30%1,218.09万1.56%927.91万-6.28%871.84万-5.24%884.46万7.47%1,021.06万
租赁负债 9.80%312.93万-27.19%245.12万62.42%259.75万35.25%269.18万47.87%284.99万278.52%336.63万29.04%159.92万63.69%199.03万29.42%192.73万-36.52%88.93万
其他非流动负债 --9,000万------------------------------------
非流动负债合计 245.39%1.41亿165.46%4,938.41万269.27%4,655.69万250.19%4,750.68万238.25%4,076.06万45.34%1,860.35万4.41%1,260.77万6.39%1,356.59万11.34%1,205.03万17.41%1,280万
负债合计 -4.02%2.33亿-3.26%2.43亿-3.75%2.39亿-0.30%2.43亿2.40%2.43亿6.99%2.51亿9.70%2.48亿1.98%2.43亿-65.69%2.37亿-67.03%2.34亿
所有者权益(或股东权益)
实收资本(或股本) 0.00%3.13亿0.00%3.13亿0.00%3.13亿0.00%3.13亿0.00%3.13亿0.00%3.13亿0.00%3.13亿0.00%3.13亿0.00%3.13亿0.00%3.13亿
资本公积 31.03%2.11亿0.00%1.61亿0.00%1.61亿0.00%1.61亿0.00%1.61亿0.00%1.61亿0.00%1.61亿0.00%1.61亿-91.78%1.61亿-91.78%1.61亿
盈余公积 0.00%1,081.4万0.00%1,081.4万0.00%1,081.4万0.00%1,081.4万0.00%1,081.4万0.00%1,081.4万0.00%1,081.4万0.00%1,081.4万0.00%1,081.4万0.00%1,081.4万
未分配利润 -7.76%-5亿-10.20%-4.96亿-14.83%-4.93亿-15.61%-4.88亿-12.26%-4.64亿-8.90%-4.5亿-6.25%-4.3亿-5.50%-4.22亿-4.19%-4.13亿-8.67%-4.13亿
归属母公司所有者权益合计 67.46%3,439.38万-133.72%-1,157.59万-115.90%-873.85万-106.08%-377.93万-71.16%2,053.82万-51.73%3,432.97万-31.51%5,496.19万-26.14%6,216.86万-18.90%7,122.4万-22.67%7,112.45万
少数股东权益 -9.71%1,019.68万-14.23%972.61万-7.73%964.23万-3.69%946.16万12.49%1,129.29万13.56%1,133.94万7.34%1,044.96万-0.83%982.45万2.23%1,003.87万-0.59%998.52万
所有者权益(或股东权益)合计 40.09%4,459.06万-104.05%-184.98万-98.62%90.38万-92.11%568.23万-60.83%3,183.11万-43.69%4,566.91万-27.30%6,541.15万-23.47%7,199.31万-16.78%8,126.27万-20.50%8,110.97万
负债和所有者权益(或股东权益)总计 1.09%2.78亿-18.78%2.41亿-23.54%2.4亿-21.26%2.48亿-13.74%2.75亿-6.04%2.97亿-0.83%3.14亿-5.22%3.15亿-59.63%3.18亿-61.19%3.16亿
货币单位 人民币人民币人民币人民币人民币人民币人民币人民币人民币人民币
会计准则 新会计准则(2007)新会计准则(2007)新会计准则(2007)新会计准则(2007)新会计准则(2007)新会计准则(2007)新会计准则(2007)新会计准则(2007)新会计准则(2007)新会计准则(2007)
审计意见 ------无保留意见------------
会计师事务所 ------中兴财光华会计师事务所(特殊普通合伙)------中兴财光华会计师事务所(特殊普通合伙)----

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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