马来西亚市场个股详情

BONIA (9288)

添加自选
  • 0.900
  • -0.010-1.10%
延时15分钟行情休市中 06/05 16:27 (北京)
1.81亿总市值69.23市盈率TTM

9288 BONIA

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2026/03/31
(Q2)2025/12/31
(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
资产
流动资产
现金及现金等价物与短期投资
-0.59%1.26亿
-3.87%1.1亿
-8.18%1.05亿
-24.42%1.07亿
-24.42%1.07亿
-16.47%1.26亿
-19.12%1.15亿
-15.82%1.15亿
0.25%1.42亿
0.25%1.42亿
-现金及现金等价物
2.73%1.01亿
5.29%8,728.7万
6.96%8,121.9万
-8.67%7,980.2万
-8.67%7,980.2万
-7.92%9,830.2万
-21.56%8,290.4万
-31.09%7,593.2万
-21.47%8,738.1万
-21.47%8,738.1万
-其中:现金
2.73%1.01亿
5.29%8,728.7万
6.96%8,121.9万
5.82%4,425.4万
5.82%4,425.4万
-7.92%9,830.2万
-21.56%8,290.4万
-31.09%7,593.2万
-29.27%4,182.2万
-29.27%4,182.2万
-其中:现金等价物
----
----
----
-21.97%3,554.8万
-21.97%3,554.8万
----
----
----
-12.63%4,555.9万
-12.63%4,555.9万
-短期投资
-12.23%2,462.2万
-27.86%2,284.5万
-37.70%2,426.4万
-49.55%2,763.1万
-49.55%2,763.1万
-36.98%2,805.2万
-11.93%3,166.6万
48.22%3,894.5万
79.50%5,476.5万
79.50%5,476.5万
应收款项
-7.76%5,957.4万
3.95%6,771.2万
-2.74%5,959.9万
13.20%3,741.9万
13.20%3,741.9万
8.15%6,458.8万
-11.85%6,513.6万
-1.16%6,127.7万
-6.89%3,305.5万
-6.89%3,305.5万
-应收账款净额
-20.08%5,161.8万
-8.28%5,974.2万
-10.56%5,480.9万
-3.28%2,876.9万
-3.28%2,876.9万
8.15%6,458.8万
-11.85%6,513.6万
-1.16%6,127.7万
-3.06%2,974.4万
-3.06%2,974.4万
-其中:应收账款
----
----
----
4.95%5,617.2万
4.95%5,617.2万
----
----
----
2.53%5,352.1万
2.53%5,352.1万
-其中:坏账准备
----
----
----
-15.25%-2,740.3万
-15.25%-2,740.3万
----
----
----
-10.50%-2,377.7万
-10.50%-2,377.7万
-其他应收款
--795.6万
--797万
--479万
161.25%865万
161.25%865万
----
----
----
-31.28%331.1万
-31.28%331.1万
存货
-20.92%7,940.6万
-13.68%8,793.7万
-7.54%9,269.4万
4.14%9,562.9万
4.14%9,562.9万
2.85%1亿
5.16%1.02亿
3.09%1亿
-2.46%9,182.7万
-2.46%9,182.7万
预付费用
----
----
----
-19.79%1,863.7万
-19.79%1,863.7万
----
----
----
18.35%2,323.4万
18.35%2,323.4万
受限制现金
----
----
----
56.97%190.4万
56.97%190.4万
----
----
----
2.88%121.3万
2.88%121.3万
税项资产
20.66%401.3万
53.11%479.7万
54.43%554.7万
10.81%302.4万
10.81%302.4万
64.33%332.6万
50.63%313.3万
78.26%359.2万
39.73%272.9万
39.73%272.9万
流动资产合计
-8.85%2.69亿
-4.96%2.71亿
-5.96%2.63亿
-10.25%2.64亿
-10.25%2.64亿
-5.14%2.95亿
-9.47%2.85亿
-5.95%2.8亿
0.01%2.94亿
0.01%2.94亿
非流动资产
物业厂房及设备净额
7.49%2.65亿
6.19%2.59亿
3.71%2.39亿
2.43%2.43亿
2.43%2.43亿
4.56%2.46亿
2.08%2.44亿
3.27%2.3亿
8.83%2.37亿
8.83%2.37亿
-物业、厂房及设备
7.49%2.65亿
6.19%2.59亿
3.71%2.39亿
9.73%4.85亿
9.73%4.85亿
4.56%2.46亿
2.08%2.44亿
3.27%2.3亿
7.22%4.42亿
7.22%4.42亿
-累计折旧
----
----
----
-18.18%-2.42亿
-18.18%-2.42亿
----
----
----
-5.42%-2.05亿
-5.42%-2.05亿
投资物业
-2.71%9,503.1万
-16.26%8,208.5万
-15.71%8,242.4万
-15.97%8,272.7万
-15.97%8,272.7万
-0.97%9,768.1万
-0.63%9,802.7万
-1.10%9,778.9万
-0.74%9,845.3万
-0.74%9,845.3万
投资总额
7.60%1,220.3万
-26.16%906.5万
-20.22%926万
122.67%942.1万
122.67%942.1万
180.65%1,134.1万
205.60%1,227.6万
200.23%1,160.7万
7.77%423.1万
7.77%423.1万
-长期股权投资
8.97%1,110.5万
-28.47%795.5万
-8.22%812.8万
532.72%827.6万
532.72%827.6万
716.59%1,019.1万
802.68%1,112.1万
695.69%885.6万
12.76%130.8万
12.76%130.8万
-金融资产投资
----
----
----
-60.83%114.5万
-60.83%114.5万
----
----
----
5.68%292.3万
5.68%292.3万
-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
----
----
----
-60.83%114.5万
-60.83%114.5万
----
----
----
5.68%292.3万
5.68%292.3万
-其他投资
-4.52%109.8万
-3.90%111万
-58.85%113.2万
--114.5万
--114.5万
-58.83%115万
-58.53%115.5万
-0.07%275.1万
----
----
商誉及其他无形资产
-0.51%7,226万
0.81%7,319.7万
5.67%7,551.7万
-0.85%7,624万
-0.85%7,624万
-5.89%7,262.9万
-6.47%7,260.7万
-7.58%7,146.3万
-0.86%7,689.6万
-0.86%7,689.6万
-商誉
----
----
----
2.85%5,296.2万
2.85%5,296.2万
----
----
----
1.06%5,149.5万
1.06%5,149.5万
-其他无形资产
----
----
----
-8.36%2,327.8万
-8.36%2,327.8万
----
----
----
-4.54%2,540.1万
-4.54%2,540.1万
非流动递延所得税资产
-34.77%304.3万
-13.76%369.3万
36.77%457.1万
38.50%480.6万
38.50%480.6万
164.01%466.5万
164.48%428.2万
140.60%334.2万
211.21%347万
211.21%347万
非流动资产合计
3.39%4.47亿
-0.94%4.27亿
-0.94%4.11亿
-0.97%4.16亿
-0.97%4.16亿
3.70%4.32亿
2.44%4.31亿
2.48%4.15亿
5.13%4.2亿
5.13%4.2亿
总资产
-1.57%7.16亿
-2.54%6.97亿
-2.96%6.74亿
-4.79%6.8亿
-4.79%6.8亿
-0.08%7.27亿
-2.66%7.16亿
-1.09%6.95亿
2.96%7.15亿
2.96%7.15亿
负债
流动负债
金融负债
7.20%5,112.2万
16.21%4,984.4万
-14.84%3,694.9万
-9.55%3,893.3万
-9.55%3,893.3万
9.98%4,768.9万
-6.03%4,289.1万
-8.20%4,338.8万
-9.52%4,304.6万
-9.52%4,304.6万
-短期借款及资本租赁负债
7.20%5,112.2万
16.21%4,984.4万
-14.84%3,694.9万
-9.55%3,893.3万
-9.55%3,893.3万
9.98%4,768.9万
-6.03%4,289.1万
-8.20%4,338.8万
-9.52%4,304.6万
-9.52%4,304.6万
-其中:短期借款
-48.91%945.4万
-23.60%1,106.3万
-28.20%1,117.8万
-24.39%1,045.9万
-24.39%1,045.9万
9.80%1,850.4万
-20.10%1,448.1万
-27.39%1,556.8万
-38.25%1,383.3万
-38.25%1,383.3万
-其中:资本租赁负债
42.77%4,166.8万
36.50%3,878.1万
-7.37%2,577.1万
-2.53%2,847.4万
-2.53%2,847.4万
10.10%2,918.5万
3.23%2,841万
7.72%2,782万
16.04%2,921.3万
16.04%2,921.3万
应付款项
28.51%4,300.7万
19.31%4,203.3万
18.62%4,084.1万
38.20%2,431.3万
38.20%2,431.3万
-15.77%3,346.7万
-20.34%3,523.1万
7.06%3,442.9万
-26.47%1,759.2万
-26.47%1,759.2万
-应付账款
25.00%3,500.5万
6.31%3,527.9万
9.29%3,460万
2.46%669.4万
2.46%669.4万
-2.75%2,800.3万
4.01%3,318.5万
30.08%3,165.8万
0.52%653.3万
0.52%653.3万
-应交税费
46.45%800.2万
230.11%675.4万
125.23%624.1万
29.13%560.7万
29.13%560.7万
-21.03%546.4万
-75.35%204.6万
-64.57%277.1万
-36.16%434.2万
-36.16%434.2万
-其他应付款
----
----
----
78.83%1,201.2万
78.83%1,201.2万
----
----
----
-36.78%671.7万
-36.78%671.7万
现行拨备
89.81%126.6万
65.44%134.5万
2.28%103.3万
2.35%100.1万
2.35%100.1万
-30.67%66.7万
-10.66%81.3万
21.69%101万
39.32%97.8万
39.32%97.8万
应计及递延所得
-94.92%93.4万
-94.52%100.4万
-94.77%91.8万
1.86%1,466万
1.86%1,466万
-9.74%1,839万
-9.39%1,830.7万
-13.50%1,756.9万
-56.23%1,439.3万
-56.23%1,439.3万
流动负债合计
-3.88%9,632.9万
-3.10%9,422.6万
-17.28%7,974.1万
3.81%7,890.7万
3.81%7,890.7万
-4.04%1亿
-12.38%9,724.2万
-4.15%9,639.6万
-27.67%7,600.9万
-27.67%7,600.9万
非流动负债
非流动金融负债
-3.28%1.27亿
-10.55%1.16亿
-8.78%1.11亿
-9.84%1.16亿
-9.84%1.16亿
1.40%1.32亿
-2.64%1.3亿
-0.06%1.22亿
7.37%1.29亿
7.37%1.29亿
-长期借款及资本租赁
-3.28%1.27亿
-10.55%1.16亿
-8.78%1.11亿
-9.84%1.16亿
-9.84%1.16亿
1.40%1.32亿
-2.64%1.3亿
-0.06%1.22亿
7.37%1.29亿
7.37%1.29亿
-其中:长期借款
9.38%6,501.2万
-8.47%5,675.3万
-7.62%5,755.3万
-10.41%5,832.5万
-10.41%5,832.5万
-7.39%5,943.9万
-5.10%6,200.6万
-5.59%6,230.3万
-3.69%6,510.1万
-3.69%6,510.1万
-其中:长期资本租赁负债
-13.68%6,241万
-12.46%5,915.4万
-10.00%5,364.7万
-9.27%5,809.5万
-9.27%5,809.5万
9.99%7,230.1万
-0.27%6,757.7万
6.46%5,960.5万
21.56%6,402.8万
21.56%6,402.8万
长期应付账款及其他应付款
----
----
----
1,861.17%202万
1,861.17%202万
-4.13%204.2万
-65.82%202.3万
-66.23%197万
-98.22%10.3万
-98.22%10.3万
长期拨备
9.52%291.1万
14.64%281.1万
45.15%284.5万
39.67%284.5万
39.67%284.5万
70.28%265.8万
59.32%245.2万
37.54%196万
34.19%203.7万
34.19%203.7万
非流动递延所得税负债
-8.77%466万
-7.82%476.4万
-10.68%464.8万
-11.40%474.7万
-11.40%474.7万
-6.22%510.8万
-7.42%516.8万
-6.87%520.4万
-6.13%535.8万
-6.13%535.8万
长期应计及递延收入
--1,613.2万
--1,629.3万
--1,716.2万
-7.68%1,715.9万
-7.68%1,715.9万
----
----
----
--1,858.7万
--1,858.7万
非流动负债合计
6.77%1.51亿
0.39%1.4亿
3.67%1.36亿
-9.05%1.41亿
-9.05%1.41亿
1.79%1.42亿
-4.73%1.39亿
-2.81%1.31亿
16.45%1.55亿
16.45%1.55亿
负债总额
2.35%2.47亿
-1.04%2.34亿
-5.21%2.16亿
-4.82%2.2亿
-4.82%2.2亿
-0.71%2.42亿
-8.03%2.36亿
-3.38%2.27亿
-3.00%2.31亿
-3.00%2.31亿
所有者权益
股本
0.00%2.02亿
0.00%2.02亿
0.00%2.02亿
0.00%2.02亿
0.00%2.02亿
0.00%2.02亿
0.00%2.02亿
0.00%2.02亿
0.00%2.02亿
0.00%2.02亿
-普通股
0.00%2.02亿
0.00%2.02亿
0.00%2.02亿
0.00%2.02亿
0.00%2.02亿
0.00%2.02亿
0.00%2.02亿
0.00%2.02亿
0.00%2.02亿
0.00%2.02亿
留存收益
----
----
-2.15%1.99亿
-4.25%2亿
-4.25%2亿
3.26%2.14亿
3.30%2.1亿
4.05%2.03亿
4.86%2.09亿
4.86%2.09亿
减:库存股
0.00%48.5万
0.00%48.5万
0.00%48.5万
0.00%48.5万
0.00%48.5万
0.00%48.5万
0.00%48.5万
0.00%48.5万
0.00%48.5万
0.00%48.5万
固定资产重估价值准备
----
----
0.00%18.4万
0.00%18.4万
0.00%18.4万
0.00%18.4万
0.00%18.4万
0.00%18.4万
0.00%18.4万
0.00%18.4万
其他储备
962.94%2.24亿
972.02%2.2亿
7.68%1,913.1万
-23.13%2,063.5万
-23.13%2,063.5万
-23.92%2,105万
-24.58%2,056万
-32.50%1,776.7万
-0.55%2,684.4万
-0.55%2,684.4万
股东权益
-2.68%4.25亿
-2.34%4.21亿
-0.71%4.19亿
-3.45%4.22亿
-3.45%4.22亿
0.04%4.37亿
-0.00%4.32亿
-0.15%4.22亿
2.23%4.37亿
2.23%4.37亿
非控制性权益
-11.07%4,344.1万
-11.90%4,184.2万
-12.70%3,928.6万
-17.36%3,811.9万
-17.36%3,811.9万
2.14%4,884.6万
2.42%4,749.6万
2.09%4,500.3万
64.82%4,612.7万
64.82%4,612.7万
总权益
-3.52%4.68亿
-3.28%4.63亿
-1.87%4.59亿
-4.78%4.6亿
-4.78%4.6亿
0.24%4.85亿
0.23%4.79亿
0.06%4.67亿
6.08%4.83亿
6.08%4.83亿
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)2026/03/31(Q2)2025/12/31(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
资产
流动资产
现金及现金等价物与短期投资 -0.59%1.26亿-3.87%1.1亿-8.18%1.05亿-24.42%1.07亿-24.42%1.07亿-16.47%1.26亿-19.12%1.15亿-15.82%1.15亿0.25%1.42亿0.25%1.42亿
-现金及现金等价物 2.73%1.01亿5.29%8,728.7万6.96%8,121.9万-8.67%7,980.2万-8.67%7,980.2万-7.92%9,830.2万-21.56%8,290.4万-31.09%7,593.2万-21.47%8,738.1万-21.47%8,738.1万
-其中:现金 2.73%1.01亿5.29%8,728.7万6.96%8,121.9万5.82%4,425.4万5.82%4,425.4万-7.92%9,830.2万-21.56%8,290.4万-31.09%7,593.2万-29.27%4,182.2万-29.27%4,182.2万
-其中:现金等价物 -------------21.97%3,554.8万-21.97%3,554.8万-------------12.63%4,555.9万-12.63%4,555.9万
-短期投资 -12.23%2,462.2万-27.86%2,284.5万-37.70%2,426.4万-49.55%2,763.1万-49.55%2,763.1万-36.98%2,805.2万-11.93%3,166.6万48.22%3,894.5万79.50%5,476.5万79.50%5,476.5万
应收款项 -7.76%5,957.4万3.95%6,771.2万-2.74%5,959.9万13.20%3,741.9万13.20%3,741.9万8.15%6,458.8万-11.85%6,513.6万-1.16%6,127.7万-6.89%3,305.5万-6.89%3,305.5万
-应收账款净额 -20.08%5,161.8万-8.28%5,974.2万-10.56%5,480.9万-3.28%2,876.9万-3.28%2,876.9万8.15%6,458.8万-11.85%6,513.6万-1.16%6,127.7万-3.06%2,974.4万-3.06%2,974.4万
-其中:应收账款 ------------4.95%5,617.2万4.95%5,617.2万------------2.53%5,352.1万2.53%5,352.1万
-其中:坏账准备 -------------15.25%-2,740.3万-15.25%-2,740.3万-------------10.50%-2,377.7万-10.50%-2,377.7万
-其他应收款 --795.6万--797万--479万161.25%865万161.25%865万-------------31.28%331.1万-31.28%331.1万
存货 -20.92%7,940.6万-13.68%8,793.7万-7.54%9,269.4万4.14%9,562.9万4.14%9,562.9万2.85%1亿5.16%1.02亿3.09%1亿-2.46%9,182.7万-2.46%9,182.7万
预付费用 -------------19.79%1,863.7万-19.79%1,863.7万------------18.35%2,323.4万18.35%2,323.4万
受限制现金 ------------56.97%190.4万56.97%190.4万------------2.88%121.3万2.88%121.3万
税项资产 20.66%401.3万53.11%479.7万54.43%554.7万10.81%302.4万10.81%302.4万64.33%332.6万50.63%313.3万78.26%359.2万39.73%272.9万39.73%272.9万
流动资产合计 -8.85%2.69亿-4.96%2.71亿-5.96%2.63亿-10.25%2.64亿-10.25%2.64亿-5.14%2.95亿-9.47%2.85亿-5.95%2.8亿0.01%2.94亿0.01%2.94亿
非流动资产
物业厂房及设备净额 7.49%2.65亿6.19%2.59亿3.71%2.39亿2.43%2.43亿2.43%2.43亿4.56%2.46亿2.08%2.44亿3.27%2.3亿8.83%2.37亿8.83%2.37亿
-物业、厂房及设备 7.49%2.65亿6.19%2.59亿3.71%2.39亿9.73%4.85亿9.73%4.85亿4.56%2.46亿2.08%2.44亿3.27%2.3亿7.22%4.42亿7.22%4.42亿
-累计折旧 -------------18.18%-2.42亿-18.18%-2.42亿-------------5.42%-2.05亿-5.42%-2.05亿
投资物业 -2.71%9,503.1万-16.26%8,208.5万-15.71%8,242.4万-15.97%8,272.7万-15.97%8,272.7万-0.97%9,768.1万-0.63%9,802.7万-1.10%9,778.9万-0.74%9,845.3万-0.74%9,845.3万
投资总额 7.60%1,220.3万-26.16%906.5万-20.22%926万122.67%942.1万122.67%942.1万180.65%1,134.1万205.60%1,227.6万200.23%1,160.7万7.77%423.1万7.77%423.1万
-长期股权投资 8.97%1,110.5万-28.47%795.5万-8.22%812.8万532.72%827.6万532.72%827.6万716.59%1,019.1万802.68%1,112.1万695.69%885.6万12.76%130.8万12.76%130.8万
-金融资产投资 -------------60.83%114.5万-60.83%114.5万------------5.68%292.3万5.68%292.3万
-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 -------------60.83%114.5万-60.83%114.5万------------5.68%292.3万5.68%292.3万
-其他投资 -4.52%109.8万-3.90%111万-58.85%113.2万--114.5万--114.5万-58.83%115万-58.53%115.5万-0.07%275.1万--------
商誉及其他无形资产 -0.51%7,226万0.81%7,319.7万5.67%7,551.7万-0.85%7,624万-0.85%7,624万-5.89%7,262.9万-6.47%7,260.7万-7.58%7,146.3万-0.86%7,689.6万-0.86%7,689.6万
-商誉 ------------2.85%5,296.2万2.85%5,296.2万------------1.06%5,149.5万1.06%5,149.5万
-其他无形资产 -------------8.36%2,327.8万-8.36%2,327.8万-------------4.54%2,540.1万-4.54%2,540.1万
非流动递延所得税资产 -34.77%304.3万-13.76%369.3万36.77%457.1万38.50%480.6万38.50%480.6万164.01%466.5万164.48%428.2万140.60%334.2万211.21%347万211.21%347万
非流动资产合计 3.39%4.47亿-0.94%4.27亿-0.94%4.11亿-0.97%4.16亿-0.97%4.16亿3.70%4.32亿2.44%4.31亿2.48%4.15亿5.13%4.2亿5.13%4.2亿
总资产 -1.57%7.16亿-2.54%6.97亿-2.96%6.74亿-4.79%6.8亿-4.79%6.8亿-0.08%7.27亿-2.66%7.16亿-1.09%6.95亿2.96%7.15亿2.96%7.15亿
负债
流动负债
金融负债 7.20%5,112.2万16.21%4,984.4万-14.84%3,694.9万-9.55%3,893.3万-9.55%3,893.3万9.98%4,768.9万-6.03%4,289.1万-8.20%4,338.8万-9.52%4,304.6万-9.52%4,304.6万
-短期借款及资本租赁负债 7.20%5,112.2万16.21%4,984.4万-14.84%3,694.9万-9.55%3,893.3万-9.55%3,893.3万9.98%4,768.9万-6.03%4,289.1万-8.20%4,338.8万-9.52%4,304.6万-9.52%4,304.6万
-其中:短期借款 -48.91%945.4万-23.60%1,106.3万-28.20%1,117.8万-24.39%1,045.9万-24.39%1,045.9万9.80%1,850.4万-20.10%1,448.1万-27.39%1,556.8万-38.25%1,383.3万-38.25%1,383.3万
-其中:资本租赁负债 42.77%4,166.8万36.50%3,878.1万-7.37%2,577.1万-2.53%2,847.4万-2.53%2,847.4万10.10%2,918.5万3.23%2,841万7.72%2,782万16.04%2,921.3万16.04%2,921.3万
应付款项 28.51%4,300.7万19.31%4,203.3万18.62%4,084.1万38.20%2,431.3万38.20%2,431.3万-15.77%3,346.7万-20.34%3,523.1万7.06%3,442.9万-26.47%1,759.2万-26.47%1,759.2万
-应付账款 25.00%3,500.5万6.31%3,527.9万9.29%3,460万2.46%669.4万2.46%669.4万-2.75%2,800.3万4.01%3,318.5万30.08%3,165.8万0.52%653.3万0.52%653.3万
-应交税费 46.45%800.2万230.11%675.4万125.23%624.1万29.13%560.7万29.13%560.7万-21.03%546.4万-75.35%204.6万-64.57%277.1万-36.16%434.2万-36.16%434.2万
-其他应付款 ------------78.83%1,201.2万78.83%1,201.2万-------------36.78%671.7万-36.78%671.7万
现行拨备 89.81%126.6万65.44%134.5万2.28%103.3万2.35%100.1万2.35%100.1万-30.67%66.7万-10.66%81.3万21.69%101万39.32%97.8万39.32%97.8万
应计及递延所得 -94.92%93.4万-94.52%100.4万-94.77%91.8万1.86%1,466万1.86%1,466万-9.74%1,839万-9.39%1,830.7万-13.50%1,756.9万-56.23%1,439.3万-56.23%1,439.3万
流动负债合计 -3.88%9,632.9万-3.10%9,422.6万-17.28%7,974.1万3.81%7,890.7万3.81%7,890.7万-4.04%1亿-12.38%9,724.2万-4.15%9,639.6万-27.67%7,600.9万-27.67%7,600.9万
非流动负债
非流动金融负债 -3.28%1.27亿-10.55%1.16亿-8.78%1.11亿-9.84%1.16亿-9.84%1.16亿1.40%1.32亿-2.64%1.3亿-0.06%1.22亿7.37%1.29亿7.37%1.29亿
-长期借款及资本租赁 -3.28%1.27亿-10.55%1.16亿-8.78%1.11亿-9.84%1.16亿-9.84%1.16亿1.40%1.32亿-2.64%1.3亿-0.06%1.22亿7.37%1.29亿7.37%1.29亿
-其中:长期借款 9.38%6,501.2万-8.47%5,675.3万-7.62%5,755.3万-10.41%5,832.5万-10.41%5,832.5万-7.39%5,943.9万-5.10%6,200.6万-5.59%6,230.3万-3.69%6,510.1万-3.69%6,510.1万
-其中:长期资本租赁负债 -13.68%6,241万-12.46%5,915.4万-10.00%5,364.7万-9.27%5,809.5万-9.27%5,809.5万9.99%7,230.1万-0.27%6,757.7万6.46%5,960.5万21.56%6,402.8万21.56%6,402.8万
长期应付账款及其他应付款 ------------1,861.17%202万1,861.17%202万-4.13%204.2万-65.82%202.3万-66.23%197万-98.22%10.3万-98.22%10.3万
长期拨备 9.52%291.1万14.64%281.1万45.15%284.5万39.67%284.5万39.67%284.5万70.28%265.8万59.32%245.2万37.54%196万34.19%203.7万34.19%203.7万
非流动递延所得税负债 -8.77%466万-7.82%476.4万-10.68%464.8万-11.40%474.7万-11.40%474.7万-6.22%510.8万-7.42%516.8万-6.87%520.4万-6.13%535.8万-6.13%535.8万
长期应计及递延收入 --1,613.2万--1,629.3万--1,716.2万-7.68%1,715.9万-7.68%1,715.9万--------------1,858.7万--1,858.7万
非流动负债合计 6.77%1.51亿0.39%1.4亿3.67%1.36亿-9.05%1.41亿-9.05%1.41亿1.79%1.42亿-4.73%1.39亿-2.81%1.31亿16.45%1.55亿16.45%1.55亿
负债总额 2.35%2.47亿-1.04%2.34亿-5.21%2.16亿-4.82%2.2亿-4.82%2.2亿-0.71%2.42亿-8.03%2.36亿-3.38%2.27亿-3.00%2.31亿-3.00%2.31亿
所有者权益
股本 0.00%2.02亿0.00%2.02亿0.00%2.02亿0.00%2.02亿0.00%2.02亿0.00%2.02亿0.00%2.02亿0.00%2.02亿0.00%2.02亿0.00%2.02亿
-普通股 0.00%2.02亿0.00%2.02亿0.00%2.02亿0.00%2.02亿0.00%2.02亿0.00%2.02亿0.00%2.02亿0.00%2.02亿0.00%2.02亿0.00%2.02亿
留存收益 ---------2.15%1.99亿-4.25%2亿-4.25%2亿3.26%2.14亿3.30%2.1亿4.05%2.03亿4.86%2.09亿4.86%2.09亿
减:库存股 0.00%48.5万0.00%48.5万0.00%48.5万0.00%48.5万0.00%48.5万0.00%48.5万0.00%48.5万0.00%48.5万0.00%48.5万0.00%48.5万
固定资产重估价值准备 --------0.00%18.4万0.00%18.4万0.00%18.4万0.00%18.4万0.00%18.4万0.00%18.4万0.00%18.4万0.00%18.4万
其他储备 962.94%2.24亿972.02%2.2亿7.68%1,913.1万-23.13%2,063.5万-23.13%2,063.5万-23.92%2,105万-24.58%2,056万-32.50%1,776.7万-0.55%2,684.4万-0.55%2,684.4万
股东权益 -2.68%4.25亿-2.34%4.21亿-0.71%4.19亿-3.45%4.22亿-3.45%4.22亿0.04%4.37亿-0.00%4.32亿-0.15%4.22亿2.23%4.37亿2.23%4.37亿
非控制性权益 -11.07%4,344.1万-11.90%4,184.2万-12.70%3,928.6万-17.36%3,811.9万-17.36%3,811.9万2.14%4,884.6万2.42%4,749.6万2.09%4,500.3万64.82%4,612.7万64.82%4,612.7万
总权益 -3.52%4.68亿-3.28%4.63亿-1.87%4.59亿-4.78%4.6亿-4.78%4.6亿0.24%4.85亿0.23%4.79亿0.06%4.67亿6.08%4.83亿6.08%4.83亿
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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