加拿大市场个股详情

Altus Group Ltd (AIF)

添加自选
  • 45.670
  • -0.700-1.51%
延时15分钟行情已收盘 04/24 16:00 (美东)
16.37亿总市值5.40市盈率TTM

Altus Group Ltd (AIF) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2025/12/31
(Q4)2025/12/31
(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
资产
流动资产
现金及现金等价物和短期投资
904.61%4.21亿
904.61%4.21亿
922.05%4.05亿
673.60%3.83亿
1,010.99%4.92亿
-0.04%4,187.6万
-0.04%4,187.6万
-11.27%3,963.8万
14.85%4,947.2万
3.30%4,427.7万
-现金和现金等价物
904.61%4.21亿
904.61%4.21亿
922.05%4.05亿
673.60%3.83亿
1,010.99%4.92亿
-0.04%4,187.6万
-0.04%4,187.6万
-11.27%3,963.8万
14.85%4,947.2万
3.30%4,427.7万
应收款项
-10.16%1.35亿
-10.16%1.35亿
6.13%1.49亿
-43.05%1.47亿
-44.11%1.5亿
-42.34%1.5亿
-42.34%1.5亿
-49.20%1.4亿
-17.03%2.59亿
-5.60%2.68亿
-应收账款
-9.98%1.3亿
-9.98%1.3亿
7.41%1.45亿
-43.05%1.44亿
-43.30%1.46亿
-42.18%1.45亿
-42.18%1.45亿
-49.79%1.35亿
-17.33%2.52亿
-5.77%2.58亿
-应收税费
-15.26%432.1万
-15.26%432.1万
-30.49%328.1万
-43.21%368.2万
-66.24%317.5万
-46.51%509.9万
-46.51%509.9万
-23.30%472万
-3.53%648.3万
-0.77%940.4万
套期保值资产
-16.45%745.9万
-16.45%745.9万
-64.93%299.4万
-81.18%132.1万
--101.3万
1,218.76%892.8万
1,218.76%892.8万
812.94%853.6万
715.21%701.9万
--0
持有待售资产
-94.68%1,500.7万
-94.68%1,500.7万
--0
--0
--0
--2.82亿
--2.82亿
--2.88亿
----
----
流动资产合计
19.65%5.78亿
19.65%5.78亿
16.91%5.57亿
68.52%5.31亿
106.04%6.42亿
59.62%4.83亿
59.62%4.83亿
48.30%4.76亿
-11.40%3.15亿
-4.91%3.12亿
非流动资产
固定资产净额
-3.77%3,140.5万
-3.77%3,140.5万
3.82%3,564.5万
-11.68%3,751.4万
-35.83%3,044.8万
-27.55%3,263.7万
-27.55%3,263.7万
-26.54%3,433.3万
-13.87%4,247.5万
-15.77%4,745万
-固定资产
-1.15%1.12亿
-1.15%1.12亿
3.82%3,564.5万
-11.68%3,751.4万
-35.83%3,044.8万
-24.28%1.14亿
-24.28%1.14亿
-26.54%3,433.3万
-13.87%4,247.5万
-15.77%4,745万
-累计折旧
0.10%-8,085.8万
0.10%-8,085.8万
----
----
----
22.87%-8,093.6万
22.87%-8,093.6万
----
----
----
投资和预付款
-14.96%3,417.4万
-14.96%3,417.4万
-3.44%3,678万
-6.82%3,480.1万
6.82%3,986.3万
8.13%4,018.5万
8.13%4,018.5万
-3.05%3,809.1万
-0.03%3,734.8万
-8.13%3,731.7万
-长期股权投资
-9.64%3,196.4万
-9.64%3,196.4万
-4.30%3,212.2万
-3.33%3,023.2万
14.96%3,505.9万
16.03%3,537.5万
16.03%3,537.5万
11.47%3,356.7万
10.08%3,127.2万
9.36%3,049.6万
-金融资产投资
-54.05%221万
-54.05%221万
2.96%465.8万
-24.80%456.9万
-29.57%480.4万
-27.94%481万
-27.94%481万
-50.69%452.4万
-32.12%607.6万
-46.43%682.1万
-其中:可供出售证券
-54.05%221万
-54.05%221万
2.96%465.8万
-24.80%456.9万
-29.57%480.4万
-27.94%481万
-27.94%481万
-50.69%452.4万
-32.12%607.6万
-46.43%682.1万
金融资产
-43.04%568.7万
-43.04%568.7万
42.04%1,264.3万
27.98%1,028.6万
-32.29%1,099万
22.74%998.4万
22.74%998.4万
-39.47%890.1万
-47.18%803.7万
-15.74%1,623万
长期应收款
-25.79%713.9万
-25.79%713.9万
-22.81%755.2万
-23.17%807.8万
3.43%959.8万
-8.48%962万
-8.48%962万
-12.39%978.4万
-12.51%1,051.4万
11.82%928万
商誉及其他无形资产
-6.90%5.76亿
-6.90%5.76亿
-2.28%6.02亿
-23.06%5.99亿
-20.82%6.18亿
-20.73%6.19亿
-20.73%6.19亿
-19.45%6.16亿
1.86%7.78亿
-0.53%7.8亿
-商誉
-3.74%3.89亿
-3.74%3.89亿
1.45%4.05亿
-23.12%3.99亿
-20.87%4.08亿
-20.75%4.04亿
-20.75%4.04亿
-19.74%3.99亿
5.35%5.19亿
3.10%5.15亿
-其他无形资产
-12.84%1.87亿
-12.84%1.87亿
-9.17%1.96亿
-22.94%2亿
-20.72%2.1亿
-20.70%2.15亿
-20.70%2.15亿
-18.90%2.16亿
-4.48%2.59亿
-6.89%2.65亿
非流动递延资产
-68.37%1,796.4万
-68.37%1,796.4万
-54.05%1,635.4万
-37.03%2,082.3万
-27.76%2,256.5万
85.31%5,679.7万
85.31%5,679.7万
14.47%3,558.9万
25.43%3,306.7万
14.16%3,123.6万
非流动资产合计
-12.44%6.72亿
-12.44%6.72亿
-4.28%7.11亿
-21.92%7.1亿
-20.66%7.31亿
-15.80%7.68亿
-15.80%7.68亿
-18.18%7.42亿
0.59%9.1亿
-1.55%9.22亿
总资产
-0.05%12.5亿
-0.05%12.5亿
4.00%12.67亿
1.36%12.42亿
11.36%13.74亿
2.99%12.51亿
2.99%12.51亿
-0.80%12.18亿
-2.79%12.25亿
-2.42%12.34亿
负债
流动负债
短期借款与资本租赁负债
1.94%1,122.3万
1.94%1,122.3万
-16.69%1,113.9万
-16.04%1,143.9万
2.02%1,472.6万
-23.26%1,100.9万
-23.26%1,100.9万
-6.80%1,337万
-7.58%1,362.4万
-10.51%1,443.4万
-短期资本租赁负债
1.94%1,122.3万
1.94%1,122.3万
-16.69%1,113.9万
-16.04%1,143.9万
2.02%1,472.6万
-23.26%1,100.9万
-23.26%1,100.9万
-6.80%1,337万
-7.58%1,362.4万
-10.51%1,443.4万
应付款项
600.15%3.84亿
600.15%3.84亿
33.49%3,478.4万
33.62%3,949万
268.71%1.09亿
66.36%5,490.8万
66.36%5,490.8万
-19.43%2,605.7万
-20.86%2,955.3万
-7.16%2,958.4万
-应付账款
-38.32%922.8万
-38.32%922.8万
-6.02%899.3万
-47.89%959.5万
-28.74%1,158.3万
-14.71%1,496万
-14.71%1,496万
-44.69%956.9万
-8.73%1,841.2万
-6.32%1,625.4万
-应付税费
520.38%1,871.7万
520.38%1,871.7万
106.02%1,930.4万
482.71%2,341.9万
813.73%4,074.3万
-35.94%301.7万
-35.94%301.7万
47.77%937万
-27.18%401.9万
54.13%445.9万
-应付股利
-6.28%649.6万
-6.28%649.6万
-6.23%648.7万
-6.44%647.6万
-2.36%675.3万
0.73%693.1万
0.73%693.1万
0.46%691.8万
0.58%692.2万
0.52%691.6万
-其他应付款
1,066.67%3.5亿
1,066.67%3.5亿
----
----
2,457.54%5,000万
674.39%3,000万
674.39%3,000万
-88.98%20万
-95.80%20万
-58.76%195.5万
应计费用
-11.42%7,783.2万
-11.42%7,783.2万
8.05%7,528.9万
-29.55%6,405.2万
-15.14%6,468.5万
-4.06%8,786.4万
-4.06%8,786.4万
-25.99%6,968.1万
17.07%9,092万
19.14%7,622.7万
现行拨备
-9.09%428.2万
-9.09%428.2万
9.17%498.6万
-73.32%178.6万
-59.44%284.9万
-30.43%471万
-30.43%471万
-45.47%456.7万
-15.10%669.3万
-32.60%702.4万
递延负债
13.28%8,148万
13.28%8,148万
11.54%8,014.7万
0.32%8,283.7万
7.27%8,576万
-0.89%7,192.5万
-0.89%7,192.5万
-6.95%7,185.5万
-3.98%8,257.2万
-6.78%7,994.7万
其他流动负债
-95.71%247.4万
-95.71%247.4万
----
----
----
--5,768万
--5,768万
--4,187.6万
----
----
流动负债总额
94.98%5.62亿
94.98%5.62亿
-9.26%2.06亿
-10.64%2亿
33.72%2.77亿
31.99%2.88亿
31.99%2.88亿
0.43%2.27亿
-0.12%2.23亿
-0.45%2.07亿
非流动负债
长期借款与租赁负债
-40.47%1.84亿
-40.47%1.84亿
-43.63%1.87亿
-44.19%1.89亿
-50.35%1.81亿
-9.54%3.09亿
-9.54%3.09亿
-5.19%3.31亿
-9.48%3.38亿
-6.91%3.64亿
-长期借款
-45.17%1.55亿
-45.17%1.55亿
-48.86%1.56亿
-48.93%1.56亿
-51.88%1.58亿
-8.31%2.82亿
-8.31%2.82亿
-2.48%3.05亿
-8.70%3.05亿
-6.07%3.27亿
-长期租赁负债
9.06%2,917.5万
9.06%2,917.5万
16.99%3,083.5万
-0.33%3,292.8万
-36.83%2,334.7万
-20.75%2,675.1万
-20.75%2,675.1万
-28.28%2,635.7万
-16.14%3,303.6万
-13.75%3,695.8万
长期应付账款及其他应付款项
26.04%2,499.1万
26.04%2,499.1万
----
1.90%1,998.1万
-23.67%1,807.7万
-11.99%1,982.8万
-11.99%1,982.8万
2.99%2,343.3万
-20.98%1,960.8万
-15.64%2,368.2万
长期应计费用
----
----
-5.42%2,140.1万
----
-29.52%1,610.3万
-7.37%1,935.5万
-7.37%1,935.5万
10.56%2,262.7万
16.68%1,919.1万
16.20%2,284.6万
长期拨备
----
----
324.68%201.3万
----
136.12%197.4万
-71.07%47.3万
-71.07%47.3万
-74.08%47.4万
-90.10%41.7万
-80.63%83.6万
递延负债
22.10%2,097.5万
22.10%2,097.5万
11.51%2,162万
-25.47%2,073.3万
-29.43%2,065.3万
-43.01%1,717.9万
-43.01%1,717.9万
-35.89%1,938.9万
-6.70%2,781.7万
-8.70%2,926.6万
非流动负债总额
-33.54%2.3亿
-33.54%2.3亿
-38.04%2.32亿
-40.50%2.3亿
-47.37%2.2亿
-12.25%3.46亿
-12.25%3.46亿
-7.03%3.74亿
-9.95%3.86亿
-7.58%4.17亿
负债总额
24.88%7.91亿
24.88%7.91亿
-27.17%4.38亿
-29.55%4.29亿
-20.47%4.97亿
3.53%6.34亿
3.53%6.34亿
-4.35%6.02亿
-6.58%6.09亿
-5.33%6.25亿
所有者权益
股本
-18.75%6.48亿
-18.75%6.48亿
-18.45%6.45亿
-19.26%6.39亿
-5.28%7.39亿
3.74%7.98亿
3.74%7.98亿
2.82%7.91亿
3.23%7.92亿
2.64%7.8亿
-普通股股本
-18.75%6.48亿
-18.75%6.48亿
-18.45%6.45亿
-19.26%6.39亿
-5.28%7.39亿
3.74%7.98亿
3.74%7.98亿
2.82%7.91亿
3.23%7.92亿
2.64%7.8亿
资本公积
-1,504.80%-3.01亿
-1,504.80%-3.01亿
-8.87%4,219.9万
-10.49%3,885.1万
-131.00%-1,464.6万
-57.33%2,139.4万
-57.33%2,139.4万
26.05%4,630.4万
-5.47%4,340.3万
2.88%4,724.5万
留存收益
125.30%6,980万
125.30%6,980万
132.38%8,980.4万
135.19%9,538.4万
134.95%9,309.6万
-6.40%-2.76亿
-6.40%-2.76亿
-9.90%-2.77亿
-10.02%-2.71亿
-5.36%-2.66亿
不影响留存收益的损益
-44.11%4,117.3万
-44.11%4,117.3万
-8.58%5,204.8万
-24.52%3,911.7万
24.07%5,947.2万
73.62%7,367.4万
73.62%7,367.4万
24.62%5,693.1万
24.28%5,182.1万
-6.37%4,793.3万
股东权益总额
-25.65%4.59亿
-25.65%4.59亿
34.41%8.29亿
31.92%8.13亿
43.99%8.77亿
2.44%6.17亿
2.44%6.17亿
2.93%6.17亿
1.26%6.16亿
0.76%6.09亿
总权益
-25.65%4.59亿
-25.65%4.59亿
34.41%8.29亿
31.92%8.13亿
43.99%8.77亿
2.44%6.17亿
2.44%6.17亿
2.93%6.17亿
1.26%6.16亿
0.76%6.09亿
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
审计意见
带解释段的无保留意见
--
--
--
--
无保留意见
--
--
--
--
(FY)2025/12/31(Q4)2025/12/31(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
资产
流动资产
现金及现金等价物和短期投资 904.61%4.21亿904.61%4.21亿922.05%4.05亿673.60%3.83亿1,010.99%4.92亿-0.04%4,187.6万-0.04%4,187.6万-11.27%3,963.8万14.85%4,947.2万3.30%4,427.7万
-现金和现金等价物 904.61%4.21亿904.61%4.21亿922.05%4.05亿673.60%3.83亿1,010.99%4.92亿-0.04%4,187.6万-0.04%4,187.6万-11.27%3,963.8万14.85%4,947.2万3.30%4,427.7万
应收款项 -10.16%1.35亿-10.16%1.35亿6.13%1.49亿-43.05%1.47亿-44.11%1.5亿-42.34%1.5亿-42.34%1.5亿-49.20%1.4亿-17.03%2.59亿-5.60%2.68亿
-应收账款 -9.98%1.3亿-9.98%1.3亿7.41%1.45亿-43.05%1.44亿-43.30%1.46亿-42.18%1.45亿-42.18%1.45亿-49.79%1.35亿-17.33%2.52亿-5.77%2.58亿
-应收税费 -15.26%432.1万-15.26%432.1万-30.49%328.1万-43.21%368.2万-66.24%317.5万-46.51%509.9万-46.51%509.9万-23.30%472万-3.53%648.3万-0.77%940.4万
套期保值资产 -16.45%745.9万-16.45%745.9万-64.93%299.4万-81.18%132.1万--101.3万1,218.76%892.8万1,218.76%892.8万812.94%853.6万715.21%701.9万--0
持有待售资产 -94.68%1,500.7万-94.68%1,500.7万--0--0--0--2.82亿--2.82亿--2.88亿--------
流动资产合计 19.65%5.78亿19.65%5.78亿16.91%5.57亿68.52%5.31亿106.04%6.42亿59.62%4.83亿59.62%4.83亿48.30%4.76亿-11.40%3.15亿-4.91%3.12亿
非流动资产
固定资产净额 -3.77%3,140.5万-3.77%3,140.5万3.82%3,564.5万-11.68%3,751.4万-35.83%3,044.8万-27.55%3,263.7万-27.55%3,263.7万-26.54%3,433.3万-13.87%4,247.5万-15.77%4,745万
-固定资产 -1.15%1.12亿-1.15%1.12亿3.82%3,564.5万-11.68%3,751.4万-35.83%3,044.8万-24.28%1.14亿-24.28%1.14亿-26.54%3,433.3万-13.87%4,247.5万-15.77%4,745万
-累计折旧 0.10%-8,085.8万0.10%-8,085.8万------------22.87%-8,093.6万22.87%-8,093.6万------------
投资和预付款 -14.96%3,417.4万-14.96%3,417.4万-3.44%3,678万-6.82%3,480.1万6.82%3,986.3万8.13%4,018.5万8.13%4,018.5万-3.05%3,809.1万-0.03%3,734.8万-8.13%3,731.7万
-长期股权投资 -9.64%3,196.4万-9.64%3,196.4万-4.30%3,212.2万-3.33%3,023.2万14.96%3,505.9万16.03%3,537.5万16.03%3,537.5万11.47%3,356.7万10.08%3,127.2万9.36%3,049.6万
-金融资产投资 -54.05%221万-54.05%221万2.96%465.8万-24.80%456.9万-29.57%480.4万-27.94%481万-27.94%481万-50.69%452.4万-32.12%607.6万-46.43%682.1万
-其中:可供出售证券 -54.05%221万-54.05%221万2.96%465.8万-24.80%456.9万-29.57%480.4万-27.94%481万-27.94%481万-50.69%452.4万-32.12%607.6万-46.43%682.1万
金融资产 -43.04%568.7万-43.04%568.7万42.04%1,264.3万27.98%1,028.6万-32.29%1,099万22.74%998.4万22.74%998.4万-39.47%890.1万-47.18%803.7万-15.74%1,623万
长期应收款 -25.79%713.9万-25.79%713.9万-22.81%755.2万-23.17%807.8万3.43%959.8万-8.48%962万-8.48%962万-12.39%978.4万-12.51%1,051.4万11.82%928万
商誉及其他无形资产 -6.90%5.76亿-6.90%5.76亿-2.28%6.02亿-23.06%5.99亿-20.82%6.18亿-20.73%6.19亿-20.73%6.19亿-19.45%6.16亿1.86%7.78亿-0.53%7.8亿
-商誉 -3.74%3.89亿-3.74%3.89亿1.45%4.05亿-23.12%3.99亿-20.87%4.08亿-20.75%4.04亿-20.75%4.04亿-19.74%3.99亿5.35%5.19亿3.10%5.15亿
-其他无形资产 -12.84%1.87亿-12.84%1.87亿-9.17%1.96亿-22.94%2亿-20.72%2.1亿-20.70%2.15亿-20.70%2.15亿-18.90%2.16亿-4.48%2.59亿-6.89%2.65亿
非流动递延资产 -68.37%1,796.4万-68.37%1,796.4万-54.05%1,635.4万-37.03%2,082.3万-27.76%2,256.5万85.31%5,679.7万85.31%5,679.7万14.47%3,558.9万25.43%3,306.7万14.16%3,123.6万
非流动资产合计 -12.44%6.72亿-12.44%6.72亿-4.28%7.11亿-21.92%7.1亿-20.66%7.31亿-15.80%7.68亿-15.80%7.68亿-18.18%7.42亿0.59%9.1亿-1.55%9.22亿
总资产 -0.05%12.5亿-0.05%12.5亿4.00%12.67亿1.36%12.42亿11.36%13.74亿2.99%12.51亿2.99%12.51亿-0.80%12.18亿-2.79%12.25亿-2.42%12.34亿
负债
流动负债
短期借款与资本租赁负债 1.94%1,122.3万1.94%1,122.3万-16.69%1,113.9万-16.04%1,143.9万2.02%1,472.6万-23.26%1,100.9万-23.26%1,100.9万-6.80%1,337万-7.58%1,362.4万-10.51%1,443.4万
-短期资本租赁负债 1.94%1,122.3万1.94%1,122.3万-16.69%1,113.9万-16.04%1,143.9万2.02%1,472.6万-23.26%1,100.9万-23.26%1,100.9万-6.80%1,337万-7.58%1,362.4万-10.51%1,443.4万
应付款项 600.15%3.84亿600.15%3.84亿33.49%3,478.4万33.62%3,949万268.71%1.09亿66.36%5,490.8万66.36%5,490.8万-19.43%2,605.7万-20.86%2,955.3万-7.16%2,958.4万
-应付账款 -38.32%922.8万-38.32%922.8万-6.02%899.3万-47.89%959.5万-28.74%1,158.3万-14.71%1,496万-14.71%1,496万-44.69%956.9万-8.73%1,841.2万-6.32%1,625.4万
-应付税费 520.38%1,871.7万520.38%1,871.7万106.02%1,930.4万482.71%2,341.9万813.73%4,074.3万-35.94%301.7万-35.94%301.7万47.77%937万-27.18%401.9万54.13%445.9万
-应付股利 -6.28%649.6万-6.28%649.6万-6.23%648.7万-6.44%647.6万-2.36%675.3万0.73%693.1万0.73%693.1万0.46%691.8万0.58%692.2万0.52%691.6万
-其他应付款 1,066.67%3.5亿1,066.67%3.5亿--------2,457.54%5,000万674.39%3,000万674.39%3,000万-88.98%20万-95.80%20万-58.76%195.5万
应计费用 -11.42%7,783.2万-11.42%7,783.2万8.05%7,528.9万-29.55%6,405.2万-15.14%6,468.5万-4.06%8,786.4万-4.06%8,786.4万-25.99%6,968.1万17.07%9,092万19.14%7,622.7万
现行拨备 -9.09%428.2万-9.09%428.2万9.17%498.6万-73.32%178.6万-59.44%284.9万-30.43%471万-30.43%471万-45.47%456.7万-15.10%669.3万-32.60%702.4万
递延负债 13.28%8,148万13.28%8,148万11.54%8,014.7万0.32%8,283.7万7.27%8,576万-0.89%7,192.5万-0.89%7,192.5万-6.95%7,185.5万-3.98%8,257.2万-6.78%7,994.7万
其他流动负债 -95.71%247.4万-95.71%247.4万--------------5,768万--5,768万--4,187.6万--------
流动负债总额 94.98%5.62亿94.98%5.62亿-9.26%2.06亿-10.64%2亿33.72%2.77亿31.99%2.88亿31.99%2.88亿0.43%2.27亿-0.12%2.23亿-0.45%2.07亿
非流动负债
长期借款与租赁负债 -40.47%1.84亿-40.47%1.84亿-43.63%1.87亿-44.19%1.89亿-50.35%1.81亿-9.54%3.09亿-9.54%3.09亿-5.19%3.31亿-9.48%3.38亿-6.91%3.64亿
-长期借款 -45.17%1.55亿-45.17%1.55亿-48.86%1.56亿-48.93%1.56亿-51.88%1.58亿-8.31%2.82亿-8.31%2.82亿-2.48%3.05亿-8.70%3.05亿-6.07%3.27亿
-长期租赁负债 9.06%2,917.5万9.06%2,917.5万16.99%3,083.5万-0.33%3,292.8万-36.83%2,334.7万-20.75%2,675.1万-20.75%2,675.1万-28.28%2,635.7万-16.14%3,303.6万-13.75%3,695.8万
长期应付账款及其他应付款项 26.04%2,499.1万26.04%2,499.1万----1.90%1,998.1万-23.67%1,807.7万-11.99%1,982.8万-11.99%1,982.8万2.99%2,343.3万-20.98%1,960.8万-15.64%2,368.2万
长期应计费用 ---------5.42%2,140.1万-----29.52%1,610.3万-7.37%1,935.5万-7.37%1,935.5万10.56%2,262.7万16.68%1,919.1万16.20%2,284.6万
长期拨备 --------324.68%201.3万----136.12%197.4万-71.07%47.3万-71.07%47.3万-74.08%47.4万-90.10%41.7万-80.63%83.6万
递延负债 22.10%2,097.5万22.10%2,097.5万11.51%2,162万-25.47%2,073.3万-29.43%2,065.3万-43.01%1,717.9万-43.01%1,717.9万-35.89%1,938.9万-6.70%2,781.7万-8.70%2,926.6万
非流动负债总额 -33.54%2.3亿-33.54%2.3亿-38.04%2.32亿-40.50%2.3亿-47.37%2.2亿-12.25%3.46亿-12.25%3.46亿-7.03%3.74亿-9.95%3.86亿-7.58%4.17亿
负债总额 24.88%7.91亿24.88%7.91亿-27.17%4.38亿-29.55%4.29亿-20.47%4.97亿3.53%6.34亿3.53%6.34亿-4.35%6.02亿-6.58%6.09亿-5.33%6.25亿
所有者权益
股本 -18.75%6.48亿-18.75%6.48亿-18.45%6.45亿-19.26%6.39亿-5.28%7.39亿3.74%7.98亿3.74%7.98亿2.82%7.91亿3.23%7.92亿2.64%7.8亿
-普通股股本 -18.75%6.48亿-18.75%6.48亿-18.45%6.45亿-19.26%6.39亿-5.28%7.39亿3.74%7.98亿3.74%7.98亿2.82%7.91亿3.23%7.92亿2.64%7.8亿
资本公积 -1,504.80%-3.01亿-1,504.80%-3.01亿-8.87%4,219.9万-10.49%3,885.1万-131.00%-1,464.6万-57.33%2,139.4万-57.33%2,139.4万26.05%4,630.4万-5.47%4,340.3万2.88%4,724.5万
留存收益 125.30%6,980万125.30%6,980万132.38%8,980.4万135.19%9,538.4万134.95%9,309.6万-6.40%-2.76亿-6.40%-2.76亿-9.90%-2.77亿-10.02%-2.71亿-5.36%-2.66亿
不影响留存收益的损益 -44.11%4,117.3万-44.11%4,117.3万-8.58%5,204.8万-24.52%3,911.7万24.07%5,947.2万73.62%7,367.4万73.62%7,367.4万24.62%5,693.1万24.28%5,182.1万-6.37%4,793.3万
股东权益总额 -25.65%4.59亿-25.65%4.59亿34.41%8.29亿31.92%8.13亿43.99%8.77亿2.44%6.17亿2.44%6.17亿2.93%6.17亿1.26%6.16亿0.76%6.09亿
总权益 -25.65%4.59亿-25.65%4.59亿34.41%8.29亿31.92%8.13亿43.99%8.77亿2.44%6.17亿2.44%6.17亿2.93%6.17亿1.26%6.16亿0.76%6.09亿
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 带解释段的无保留意见--------无保留意见--------

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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