沪深市场个股详情

威力传动 (300904)

添加自选
  • 70.84
  • -0.55-0.77%
已收盘 01/23 15:00 (北京)
51.28亿总市值-49.57市盈率TTM

威力传动 (300904) 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
76.37%8,515.81万
-31.21%7,566.24万
-63.44%5,913.63万
-74.75%7,095.77万
-88.09%4,828.39万
88.72%1.1亿
180.07%1.62亿
191.73%2.81亿
906.54%4.05亿
-37.73%5,827.97万
交易性金融资产
-44.97%2,201.1万
6.78%2,135.61万
127.24%4,544.81万
--4,507.59万
100.00%4,000万
--2,000万
--2,000万
----
--2,000万
----
应收票据及应收账款
3.26%5.07亿
33.26%5.22亿
17.16%3.91亿
3.67%3.84亿
19.27%4.91亿
4.15%3.91亿
9.01%3.34亿
16.77%3.71亿
32.45%4.12亿
42.66%3.76亿
-应收票据
428.17%5,516.69万
1,033.44%5,606.82万
2,246.89%2,590.25万
391.08%868.08万
-55.76%1,044.48万
-92.41%494.67万
-92.27%110.37万
-91.19%176.77万
-18.81%2,361.18万
147.58%6,515.32万
-应收账款
-5.96%4.52亿
20.46%4.66亿
9.77%3.65亿
1.81%3.76亿
23.84%4.81亿
24.40%3.87亿
13.96%3.33亿
24.05%3.69亿
37.74%3.88亿
31.02%3.11亿
其他应收款(含利息和股利)
-11.54%322.72万
-11.60%246.63万
3.38%364.29万
106.46%351.51万
3.11%364.81万
-3.80%279万
-4.14%352.36万
-58.30%170.26万
3.78%353.81万
-5.63%290.03万
-其他应收款
----
-11.60%246.63万
----
----
----
-3.80%279万
----
-58.30%170.26万
----
-5.63%290.03万
预付款项
-10.16%727.19万
53.65%904.48万
-15.03%891.96万
-16.08%595.6万
-7.73%809.47万
-17.02%588.67万
180.52%1,049.7万
91.92%709.7万
245.15%877.26万
424.74%709.45万
存货
273.59%4.65亿
253.71%3.84亿
157.02%2.68亿
106.60%1.89亿
16.05%1.24亿
10.68%1.09亿
8.84%1.04亿
20.14%9,163.45万
8.76%1.07亿
-0.96%9,809.02万
应收款项融资
83.48%5,408.6万
-68.31%672.12万
-84.54%2,194.32万
-77.84%2,896.66万
-14.56%2,947.78万
-56.70%2,120.63万
32.78%1.42亿
105.85%1.31亿
-46.55%3,450.21万
-16.74%4,897.01万
其他流动资产
382.40%7,265.88万
335.45%8,677.12万
770.27%5,909.1万
20,932.83%1,961.88万
--1,506.18万
226.43%1,992.66万
-31.52%678.99万
-98.87%9.33万
----
12.96%610.44万
流动资产合计
59.99%12.16亿
62.93%11.08亿
9.54%8.57亿
-15.32%7.48亿
-23.31%7.6亿
13.82%6.8亿
34.00%7.83亿
55.03%8.83亿
87.66%9.91亿
13.82%5.97亿
非流动资产
固定资产
----
-1.60%4.06亿
----
----
----
27.01%4.13亿
----
322.51%3.72亿
----
735.83%3.25亿
在建工程
----
468.29%11.25亿
----
----
----
226.27%1.98亿
----
-82.26%4,508.97万
----
-52.79%6,067.92万
无形资产
1.25%1.19亿
0.21%1.18亿
-0.61%1.17亿
-1.18%1.17亿
189.40%1.18亿
190.88%1.17亿
189.84%1.18亿
188.99%1.19亿
3.23%4,069.34万
1.37%4,032.66万
长期待摊费用
-19.18%465.56万
32.99%519.49万
33.88%440.2万
18.16%461.07万
46.25%576.03万
18.67%390.61万
-15.31%328.79万
15.12%390.2万
5.51%393.86万
27.13%329.16万
递延所得税资产
19.60%1,200.84万
36.22%1,123.63万
31.04%908.27万
30.30%930.35万
42.63%1,004.07万
33.42%824.88万
20.05%693.1万
20.69%713.99万
-22.35%703.98万
-23.32%618.26万
使用权资产
-15.06%1,380.15万
-30.49%1,237.15万
-20.75%1,383.18万
2.19%1,566.28万
60.74%1,624.84万
64.01%1,779.92万
0.53%1,745.33万
-17.23%1,532.73万
-47.45%1,010.87万
-64.64%1,085.24万
其他非流动资产
-71.55%6,885.68万
-33.64%1.12亿
-3.87%1.06亿
116.17%1.21亿
329.64%2.42亿
203.71%1.68亿
106.63%1.11亿
10.77%5,607.94万
6.77%5,632.38万
-11.89%5,536.01万
非流动资产合计
73.28%19.21亿
93.15%17.89亿
124.00%15.86亿
119.89%13.59亿
112.41%11.08亿
84.57%9.26亿
45.26%7.08亿
33.88%6.18亿
29.13%5.22亿
61.20%5.02亿
资产总计
67.87%31.37亿
80.36%28.97亿
63.90%24.43亿
40.35%21.07亿
23.49%18.69亿
46.13%16.06亿
39.13%14.91亿
45.56%15.01亿
62.30%15.13亿
31.47%10.99亿
负债
流动负债
短期借款
121.21%3.3亿
72.26%3.49亿
49.10%2.3亿
27.28%1.69亿
-10.24%1.49亿
29.47%2.03亿
-9.85%1.54亿
-5.53%1.33亿
24.63%1.66亿
32.67%1.56亿
应付票据及应付账款
99.33%7.26亿
83.51%6.56亿
103.68%5.06亿
51.99%4.06亿
34.93%3.64亿
15.81%3.57亿
-18.02%2.48亿
-19.57%2.67亿
-0.16%2.7亿
76.85%3.09亿
-应付票据
336.03%6,955.03万
-7.21%2,972.68万
-65.14%2,219.73万
-73.75%1,630.2万
-63.87%1,595.06万
-58.99%3,203.75万
-40.67%6,367.17万
-37.70%6,210.56万
-36.99%4,414.72万
78.72%7,812.02万
-应付账款
88.50%6.57亿
92.45%6.26亿
161.94%4.83亿
90.08%3.9亿
54.24%3.48亿
41.17%3.25亿
-5.58%1.85亿
-11.80%2.05亿
12.71%2.26亿
76.23%2.3亿
合同负债
815.89%3,945.69万
621.85%3,723.86万
178.23%1,855.62万
57.80%676.46万
-0.81%430.8万
22.81%515.88万
58.02%666.93万
2.32%428.68万
2.61%434.33万
0.43%420.05万
预收款项
-12.12%10.64万
--11.01万
-11.43%11.38万
-11.11%11.74万
--12.11万
----
--12.84万
--13.21万
----
----
应付职工薪酬
47.09%1,468.23万
47.62%1,415.29万
91.78%1,217.68万
65.71%1,062.68万
23.00%998.16万
1.87%958.77万
4.56%634.95万
-22.95%641.29万
0.99%811.54万
37.37%941.2万
应交税费
27.82%204.15万
40.08%220.01万
40.87%151.63万
-73.62%188.4万
-81.53%159.71万
-68.29%157.06万
-79.42%107.64万
327.88%714.26万
38.59%864.77万
104.65%495.33万
其他应付款(含利息和股利)
-56.79%1,443.69万
-46.60%1,715.34万
-57.85%1,462.92万
-23.37%1,634.78万
663.48%3,341.37万
360.67%3,212.06万
312.94%3,470.76万
162.42%2,133.39万
-32.62%437.65万
-38.21%697.26万
-其他应付款
----
-46.60%1,715.34万
----
----
----
360.67%3,212.06万
----
162.42%2,133.39万
----
-38.21%697.26万
一年内到期的非流动负债
0.10%2,640.31万
-0.37%2,603.87万
8.05%2,736.31万
3.90%2,656.02万
38.46%2,637.79万
14.66%2,613.57万
-6.51%2,532.5万
48.65%2,556.44万
0.02%1,905.13万
-5.83%2,279.33万
其他流动负债
372.83%5,300.22万
5,488.44%3,644.42万
53.71%667.58万
-33.65%896.06万
-52.70%1,120.97万
-94.30%65.21万
-64.71%434.3万
19.95%1,350.56万
-23.98%2,369.8万
-87.23%1,144.61万
流动负债合计
100.89%12.07亿
79.18%11.38亿
69.74%8.17亿
35.12%6.47亿
19.04%6.01亿
21.02%6.35亿
-10.45%4.81亿
-8.63%4.79亿
5.30%5.05亿
21.76%5.25亿
非流动负债
长期借款
188.22%12.29亿
704.13%10.5亿
549.42%8.48亿
387.68%6.65亿
197.61%4.26亿
-43.81%1.31亿
-37.68%1.31亿
-26.44%1.36亿
-6.12%1.43亿
74.56%2.32亿
长期应付款
----
-74.62%23.1万
----
----
----
--91.02万
----
63.95%124.27万
----
----
预计负债
37.94%417.76万
43.18%360.62万
52.29%329.06万
-8.87%224.35万
49.84%302.86万
7.09%251.88万
-2.50%216.07万
18.85%246.18万
8.66%202.12万
67.47%235.19万
长期递延收益
-4.88%2,837.77万
8.63%2,939.64万
5.28%2,930.89万
1.49%2,908.74万
2.27%2,983.24万
-8.90%2,706.23万
-8.18%2,784万
-6.14%2,865.96万
0.06%2,917.04万
12.55%2,970.53万
租赁负债
-1.92%1,003.28万
-36.40%806.53万
-37.03%845.86万
-13.79%1,005.67万
21.17%1,022.9万
41.71%1,268.11万
39.87%1,343.29万
13.95%1,166.5万
-22.04%844.16万
-9.40%894.84万
非流动负债合计
170.42%12.71亿
528.08%10.91亿
407.99%8.89亿
291.93%7.07亿
157.08%4.7亿
-36.45%1.74亿
-30.43%1.75亿
-21.22%1.8亿
-7.40%1.83亿
54.05%2.73亿
负债合计
131.42%24.78亿
175.61%22.29亿
159.99%17.06亿
105.43%13.54亿
55.77%10.71亿
1.34%8.09亿
-16.82%6.56亿
-12.46%6.59亿
1.60%6.87亿
31.18%7.98亿
所有者权益(或股东权益)
实收资本(或股本)
0.00%7,238.32万
0.00%7,238.32万
0.00%7,238.32万
0.00%7,238.32万
0.00%7,238.32万
33.33%7,238.32万
33.33%7,238.32万
33.33%7,238.32万
33.33%7,238.32万
0.00%5,428.72万
资本公积
1.26%6.01亿
-0.37%5.97亿
-0.59%5.95亿
-0.83%5.94亿
-0.96%5.93亿
865.20%5.99亿
865.20%5.99亿
865.20%5.99亿
865.20%5.99亿
0.00%6,205.97万
盈余公积
0.00%2,447.45万
0.00%2,447.45万
0.00%2,447.45万
0.00%2,447.45万
18.47%2,447.45万
18.47%2,447.45万
18.47%2,447.45万
18.47%2,447.45万
44.33%2,065.81万
44.33%2,065.81万
未分配利润
-84.97%1,830.55万
-73.55%3,268.95万
-57.65%5,865.29万
-47.91%7,619.84万
-8.93%1.22亿
-24.70%1.24亿
-4.80%1.39亿
3.40%1.46亿
6.89%1.34亿
69.12%1.64亿
减:库存股
305.77%5,682.83万
165.53%5,821.18万
--1,400.52万
--1,400.52万
--1,400.52万
--2,192.31万
----
----
----
----
归属母公司所有者权益合计
-17.40%6.59亿
-16.23%6.68亿
-11.67%7.37亿
-10.58%7.53亿
-3.38%7.98亿
164.83%7.98亿
195.36%8.34亿
202.41%8.42亿
222.89%8.26亿
32.25%3.01亿
所有者权益(或股东权益)合计
-17.40%6.59亿
-16.23%6.68亿
-11.67%7.37亿
-10.58%7.53亿
-3.38%7.98亿
164.83%7.98亿
195.36%8.34亿
202.41%8.42亿
222.89%8.26亿
32.25%3.01亿
负债和所有者权益(或股东权益)总计
67.87%31.37亿
80.36%28.97亿
63.90%24.43亿
40.35%21.07亿
23.49%18.69亿
46.13%16.06亿
39.13%14.91亿
45.56%15.01亿
62.30%15.13亿
31.47%10.99亿
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
--
--
--
无保留意见
--
--
会计师事务所
--
--
--
天健会计师事务所(特殊普通合伙)
--
--
--
天健会计师事务所(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 76.37%8,515.81万-31.21%7,566.24万-63.44%5,913.63万-74.75%7,095.77万-88.09%4,828.39万88.72%1.1亿180.07%1.62亿191.73%2.81亿906.54%4.05亿-37.73%5,827.97万
交易性金融资产 -44.97%2,201.1万6.78%2,135.61万127.24%4,544.81万--4,507.59万100.00%4,000万--2,000万--2,000万------2,000万----
应收票据及应收账款 3.26%5.07亿33.26%5.22亿17.16%3.91亿3.67%3.84亿19.27%4.91亿4.15%3.91亿9.01%3.34亿16.77%3.71亿32.45%4.12亿42.66%3.76亿
-应收票据 428.17%5,516.69万1,033.44%5,606.82万2,246.89%2,590.25万391.08%868.08万-55.76%1,044.48万-92.41%494.67万-92.27%110.37万-91.19%176.77万-18.81%2,361.18万147.58%6,515.32万
-应收账款 -5.96%4.52亿20.46%4.66亿9.77%3.65亿1.81%3.76亿23.84%4.81亿24.40%3.87亿13.96%3.33亿24.05%3.69亿37.74%3.88亿31.02%3.11亿
其他应收款(含利息和股利) -11.54%322.72万-11.60%246.63万3.38%364.29万106.46%351.51万3.11%364.81万-3.80%279万-4.14%352.36万-58.30%170.26万3.78%353.81万-5.63%290.03万
-其他应收款 -----11.60%246.63万-------------3.80%279万-----58.30%170.26万-----5.63%290.03万
预付款项 -10.16%727.19万53.65%904.48万-15.03%891.96万-16.08%595.6万-7.73%809.47万-17.02%588.67万180.52%1,049.7万91.92%709.7万245.15%877.26万424.74%709.45万
存货 273.59%4.65亿253.71%3.84亿157.02%2.68亿106.60%1.89亿16.05%1.24亿10.68%1.09亿8.84%1.04亿20.14%9,163.45万8.76%1.07亿-0.96%9,809.02万
应收款项融资 83.48%5,408.6万-68.31%672.12万-84.54%2,194.32万-77.84%2,896.66万-14.56%2,947.78万-56.70%2,120.63万32.78%1.42亿105.85%1.31亿-46.55%3,450.21万-16.74%4,897.01万
其他流动资产 382.40%7,265.88万335.45%8,677.12万770.27%5,909.1万20,932.83%1,961.88万--1,506.18万226.43%1,992.66万-31.52%678.99万-98.87%9.33万----12.96%610.44万
流动资产合计 59.99%12.16亿62.93%11.08亿9.54%8.57亿-15.32%7.48亿-23.31%7.6亿13.82%6.8亿34.00%7.83亿55.03%8.83亿87.66%9.91亿13.82%5.97亿
非流动资产
固定资产 -----1.60%4.06亿------------27.01%4.13亿----322.51%3.72亿----735.83%3.25亿
在建工程 ----468.29%11.25亿------------226.27%1.98亿-----82.26%4,508.97万-----52.79%6,067.92万
无形资产 1.25%1.19亿0.21%1.18亿-0.61%1.17亿-1.18%1.17亿189.40%1.18亿190.88%1.17亿189.84%1.18亿188.99%1.19亿3.23%4,069.34万1.37%4,032.66万
长期待摊费用 -19.18%465.56万32.99%519.49万33.88%440.2万18.16%461.07万46.25%576.03万18.67%390.61万-15.31%328.79万15.12%390.2万5.51%393.86万27.13%329.16万
递延所得税资产 19.60%1,200.84万36.22%1,123.63万31.04%908.27万30.30%930.35万42.63%1,004.07万33.42%824.88万20.05%693.1万20.69%713.99万-22.35%703.98万-23.32%618.26万
使用权资产 -15.06%1,380.15万-30.49%1,237.15万-20.75%1,383.18万2.19%1,566.28万60.74%1,624.84万64.01%1,779.92万0.53%1,745.33万-17.23%1,532.73万-47.45%1,010.87万-64.64%1,085.24万
其他非流动资产 -71.55%6,885.68万-33.64%1.12亿-3.87%1.06亿116.17%1.21亿329.64%2.42亿203.71%1.68亿106.63%1.11亿10.77%5,607.94万6.77%5,632.38万-11.89%5,536.01万
非流动资产合计 73.28%19.21亿93.15%17.89亿124.00%15.86亿119.89%13.59亿112.41%11.08亿84.57%9.26亿45.26%7.08亿33.88%6.18亿29.13%5.22亿61.20%5.02亿
资产总计 67.87%31.37亿80.36%28.97亿63.90%24.43亿40.35%21.07亿23.49%18.69亿46.13%16.06亿39.13%14.91亿45.56%15.01亿62.30%15.13亿31.47%10.99亿
负债
流动负债
短期借款 121.21%3.3亿72.26%3.49亿49.10%2.3亿27.28%1.69亿-10.24%1.49亿29.47%2.03亿-9.85%1.54亿-5.53%1.33亿24.63%1.66亿32.67%1.56亿
应付票据及应付账款 99.33%7.26亿83.51%6.56亿103.68%5.06亿51.99%4.06亿34.93%3.64亿15.81%3.57亿-18.02%2.48亿-19.57%2.67亿-0.16%2.7亿76.85%3.09亿
-应付票据 336.03%6,955.03万-7.21%2,972.68万-65.14%2,219.73万-73.75%1,630.2万-63.87%1,595.06万-58.99%3,203.75万-40.67%6,367.17万-37.70%6,210.56万-36.99%4,414.72万78.72%7,812.02万
-应付账款 88.50%6.57亿92.45%6.26亿161.94%4.83亿90.08%3.9亿54.24%3.48亿41.17%3.25亿-5.58%1.85亿-11.80%2.05亿12.71%2.26亿76.23%2.3亿
合同负债 815.89%3,945.69万621.85%3,723.86万178.23%1,855.62万57.80%676.46万-0.81%430.8万22.81%515.88万58.02%666.93万2.32%428.68万2.61%434.33万0.43%420.05万
预收款项 -12.12%10.64万--11.01万-11.43%11.38万-11.11%11.74万--12.11万------12.84万--13.21万--------
应付职工薪酬 47.09%1,468.23万47.62%1,415.29万91.78%1,217.68万65.71%1,062.68万23.00%998.16万1.87%958.77万4.56%634.95万-22.95%641.29万0.99%811.54万37.37%941.2万
应交税费 27.82%204.15万40.08%220.01万40.87%151.63万-73.62%188.4万-81.53%159.71万-68.29%157.06万-79.42%107.64万327.88%714.26万38.59%864.77万104.65%495.33万
其他应付款(含利息和股利) -56.79%1,443.69万-46.60%1,715.34万-57.85%1,462.92万-23.37%1,634.78万663.48%3,341.37万360.67%3,212.06万312.94%3,470.76万162.42%2,133.39万-32.62%437.65万-38.21%697.26万
-其他应付款 -----46.60%1,715.34万------------360.67%3,212.06万----162.42%2,133.39万-----38.21%697.26万
一年内到期的非流动负债 0.10%2,640.31万-0.37%2,603.87万8.05%2,736.31万3.90%2,656.02万38.46%2,637.79万14.66%2,613.57万-6.51%2,532.5万48.65%2,556.44万0.02%1,905.13万-5.83%2,279.33万
其他流动负债 372.83%5,300.22万5,488.44%3,644.42万53.71%667.58万-33.65%896.06万-52.70%1,120.97万-94.30%65.21万-64.71%434.3万19.95%1,350.56万-23.98%2,369.8万-87.23%1,144.61万
流动负债合计 100.89%12.07亿79.18%11.38亿69.74%8.17亿35.12%6.47亿19.04%6.01亿21.02%6.35亿-10.45%4.81亿-8.63%4.79亿5.30%5.05亿21.76%5.25亿
非流动负债
长期借款 188.22%12.29亿704.13%10.5亿549.42%8.48亿387.68%6.65亿197.61%4.26亿-43.81%1.31亿-37.68%1.31亿-26.44%1.36亿-6.12%1.43亿74.56%2.32亿
长期应付款 -----74.62%23.1万--------------91.02万----63.95%124.27万--------
预计负债 37.94%417.76万43.18%360.62万52.29%329.06万-8.87%224.35万49.84%302.86万7.09%251.88万-2.50%216.07万18.85%246.18万8.66%202.12万67.47%235.19万
长期递延收益 -4.88%2,837.77万8.63%2,939.64万5.28%2,930.89万1.49%2,908.74万2.27%2,983.24万-8.90%2,706.23万-8.18%2,784万-6.14%2,865.96万0.06%2,917.04万12.55%2,970.53万
租赁负债 -1.92%1,003.28万-36.40%806.53万-37.03%845.86万-13.79%1,005.67万21.17%1,022.9万41.71%1,268.11万39.87%1,343.29万13.95%1,166.5万-22.04%844.16万-9.40%894.84万
非流动负债合计 170.42%12.71亿528.08%10.91亿407.99%8.89亿291.93%7.07亿157.08%4.7亿-36.45%1.74亿-30.43%1.75亿-21.22%1.8亿-7.40%1.83亿54.05%2.73亿
负债合计 131.42%24.78亿175.61%22.29亿159.99%17.06亿105.43%13.54亿55.77%10.71亿1.34%8.09亿-16.82%6.56亿-12.46%6.59亿1.60%6.87亿31.18%7.98亿
所有者权益(或股东权益)
实收资本(或股本) 0.00%7,238.32万0.00%7,238.32万0.00%7,238.32万0.00%7,238.32万0.00%7,238.32万33.33%7,238.32万33.33%7,238.32万33.33%7,238.32万33.33%7,238.32万0.00%5,428.72万
资本公积 1.26%6.01亿-0.37%5.97亿-0.59%5.95亿-0.83%5.94亿-0.96%5.93亿865.20%5.99亿865.20%5.99亿865.20%5.99亿865.20%5.99亿0.00%6,205.97万
盈余公积 0.00%2,447.45万0.00%2,447.45万0.00%2,447.45万0.00%2,447.45万18.47%2,447.45万18.47%2,447.45万18.47%2,447.45万18.47%2,447.45万44.33%2,065.81万44.33%2,065.81万
未分配利润 -84.97%1,830.55万-73.55%3,268.95万-57.65%5,865.29万-47.91%7,619.84万-8.93%1.22亿-24.70%1.24亿-4.80%1.39亿3.40%1.46亿6.89%1.34亿69.12%1.64亿
减:库存股 305.77%5,682.83万165.53%5,821.18万--1,400.52万--1,400.52万--1,400.52万--2,192.31万----------------
归属母公司所有者权益合计 -17.40%6.59亿-16.23%6.68亿-11.67%7.37亿-10.58%7.53亿-3.38%7.98亿164.83%7.98亿195.36%8.34亿202.41%8.42亿222.89%8.26亿32.25%3.01亿
所有者权益(或股东权益)合计 -17.40%6.59亿-16.23%6.68亿-11.67%7.37亿-10.58%7.53亿-3.38%7.98亿164.83%7.98亿195.36%8.34亿202.41%8.42亿222.89%8.26亿32.25%3.01亿
负债和所有者权益(或股东权益)总计 67.87%31.37亿80.36%28.97亿63.90%24.43亿40.35%21.07亿23.49%18.69亿46.13%16.06亿39.13%14.91亿45.56%15.01亿62.30%15.13亿31.47%10.99亿
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------无保留意见----
会计师事务所 ------天健会计师事务所(特殊普通合伙)------天健会计师事务所(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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