Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
Power Shares德银石油基金
DBO
5
石油服务指数ETF-VanEck
OIH
| (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 | -41.23%168.05万 | -41.23%168.05万 | -51.39%159.04万 | -53.40%84.87万 | -55.77%339.39万 | 221.94%285.93万 | 221.94%285.93万 | 267.65%327.18万 | -13.88%182.12万 | 317.90%767.33万 |
| -现金和现金等价物 | -41.23%168.05万 | -41.23%168.05万 | -51.39%159.04万 | -53.40%84.87万 | -55.77%339.39万 | 221.94%285.93万 | 221.94%285.93万 | 267.65%327.18万 | -13.88%182.12万 | 317.90%767.33万 |
| 应收款项 | -35.04%814.3万 | -35.04%814.3万 | 223.32%1,565.43万 | 188.39%1,330.97万 | 185.76%1,201.19万 | 170.12%1,253.56万 | 170.12%1,253.56万 | 28.35%484.17万 | 69.70%461.52万 | 38.47%420.35万 |
| -应收账款 | -44.65%448.42万 | -44.65%448.42万 | 191.95%586.15万 | 149.03%512.76万 | 340.37%749.83万 | 187.26%810.13万 | 187.26%810.13万 | -32.46%200.77万 | 16.69%205.91万 | -13.42%170.27万 |
| -应收税费 | -21.34%335.65万 | -21.34%335.65万 | 285.99%979.28万 | 300.27%781.1万 | 136.32%439.48万 | 232.00%426.69万 | 232.00%426.69万 | 311.41%253.71万 | 160.31%195.15万 | 181.68%185.97万 |
| -其他应收款 | 80.60%30.22万 | 80.60%30.22万 | ---- | -38.64%37.1万 | -81.47%11.88万 | -68.75%16.73万 | -68.75%16.73万 | 62.42%29.69万 | 194.47%60.47万 | 56.87%64.12万 |
| 存货 | 379.44%890.31万 | 379.44%890.31万 | --511.3万 | --189.22万 | --102.93万 | --185.7万 | --185.7万 | ---- | ---- | ---- |
| 预付费用 | -48.88%31.64万 | -48.88%31.64万 | -61.12%50.9万 | -76.96%35.43万 | -24.49%38.72万 | 61.27%61.89万 | 61.27%61.89万 | 425.37%130.9万 | 332.23%153.79万 | 12.92%51.27万 |
| 流动资产合计 | 6.56%1,904.3万 | 6.56%1,904.3万 | 142.68%2,286.67万 | 105.72%1,640.48万 | 35.78%1,682.23万 | 202.24%1,787.08万 | 202.24%1,787.08万 | 91.86%942.26万 | 53.64%797.43万 | 132.63%1,238.96万 |
| 非流动资产 | ||||||||||
| 固定资产净额 | 3.06%7,969.56万 | 3.06%7,969.56万 | -25.65%8,263.95万 | -27.67%7,915.13万 | -20.85%7,955.45万 | -25.62%7,732.98万 | -25.62%7,732.98万 | 6.81%1.11亿 | 2.22%1.09亿 | -5.93%1.01亿 |
| -固定资产 | 7.80%1.2亿 | 7.80%1.2亿 | -16.53%1.18亿 | -18.68%1.13亿 | -12.12%1.14亿 | 6.65%1.11亿 | 6.65%1.11亿 | 7.39%1.41亿 | 3.83%1.39亿 | -3.12%1.29亿 |
| -累计折旧 | -18.72%-3,982.34万 | -18.72%-3,982.34万 | -17.00%-3,535.72万 | -14.61%-3,384.16万 | -18.34%-3,412.73万 | -21.50%-3,354.31万 | -21.50%-3,354.31万 | -9.58%-3,022.07万 | -10.28%-2,952.7万 | -8.11%-2,883.9万 |
| 商誉及其他无形资产 | -11.40%13.94万 | -11.40%13.94万 | -3.59%14.29万 | -8.97%14.31万 | -2.43%15.4万 | -2.13%15.73万 | -2.13%15.73万 | -6.24%14.82万 | 10.01%15.72万 | 9.32%15.78万 |
| 长期应收款 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --139.4万 | --139.4万 | --139.4万 |
| 非流动递延资产 | ---- | ---- | ---- | ---- | ---- | --0 | --0 | --20.08万 | --20.36万 | --20.16万 |
| 非流动资产合计 | 3.03%7,983.5万 | 3.03%7,983.5万 | -26.67%8,278.24万 | -28.68%7,929.43万 | -22.06%7,970.85万 | -25.72%7,748.71万 | -25.72%7,748.71万 | 8.32%1.13亿 | 3.72%1.11亿 | -4.42%1.02亿 |
| 总资产 | 3.69%9,887.8万 | 3.69%9,887.8万 | -13.63%1.06亿 | -19.69%9,569.92万 | -15.81%9,653.08万 | -13.49%9,535.79万 | -13.49%9,535.79万 | 12.08%1.22亿 | 6.02%1.19亿 | 2.08%1.15亿 |
| 负债 | ||||||||||
| 流动负债 | ||||||||||
| 应付款项 | 59.89%2,213.21万 | 59.89%2,213.21万 | 96.56%2,738.6万 | 102.89%2,521.09万 | 142.85%2,048.62万 | 162.26%1,384.19万 | 162.26%1,384.19万 | 54.19%1,393.25万 | 16.35%1,242.56万 | -7.21%843.59万 |
| -应付账款 | 67.17%2,163.15万 | 67.17%2,163.15万 | 85.40%1,864.27万 | 192.39%2,498.23万 | 346.70%1,995.86万 | 182.57%1,293.99万 | 182.57%1,293.99万 | 56.54%1,005.55万 | 88.42%854.42万 | 66.30%446.8万 |
| -应付税费 | -44.50%50.06万 | -44.50%50.06万 | 125.52%874.33万 | -94.11%22.86万 | -86.70%52.76万 | 29.14%90.2万 | 29.14%90.2万 | 48.42%387.69万 | -36.83%388.15万 | -38.05%396.78万 |
| 应计费用 | 162.88%1,572.43万 | 162.88%1,572.43万 | 128.72%1,175.89万 | 236.49%467.88万 | 223.90%440.9万 | 204.24%598.16万 | 204.24%598.16万 | --514.12万 | --139.05万 | --136.12万 |
| 短期借款与租赁负债 | -68.61%1,478.06万 | -68.61%1,478.06万 | 46.48%4,488.7万 | 57.02%4,641.52万 | 68.26%4,825.58万 | 4,362.54%4,708.02万 | 4,362.54%4,708.02万 | 23.55%3,064.47万 | 49.59%2,956.02万 | 81.72%2,867.97万 |
| -短期借款 | -68.75%1,407.08万 | -68.75%1,407.08万 | 45.38%4,401.63万 | 54.02%4,497.58万 | 63.62%4,636.5万 | 6,046.95%4,502.17万 | 6,046.95%4,502.17万 | 23.65%3,027.76万 | 50.05%2,920.12万 | 82.97%2,833.7万 |
| -短期租赁负债 | -65.52%70.98万 | -65.52%70.98万 | 137.20%87.07万 | 300.94%143.94万 | 451.63%189.08万 | 538.11%205.84万 | 538.11%205.84万 | 15.50%36.71万 | 19.72%35.9万 | 16.10%34.28万 |
| 递延负债 | 218.46%1,221.52万 | 218.46%1,221.52万 | 151.71%549万 | 148.55%529.11万 | 136.90%532.54万 | 80.09%383.58万 | 80.09%383.58万 | 21.61%218.11万 | -13.68%212.88万 | 5.52%224.79万 |
| 其他流动负债 | 53.00%490.05万 | 53.00%490.05万 | ---- | ---- | ---- | --320.29万 | --320.29万 | -88.53%120.87万 | --109.96万 | -98.68%15.98万 |
| 流动负债总额 | -5.67%6,975.26万 | -5.67%6,975.26万 | 68.57%8,952.2万 | 75.08%8,159.6万 | 91.95%7,847.63万 | 609.02%7,394.23万 | 609.02%7,394.23万 | 15.02%5,310.82万 | 41.63%4,660.47万 | 4.55%4,088.46万 |
| 非流动负债 | ||||||||||
| 长期拨备 | 10.20%901.77万 | 10.20%901.77万 | 10.65%840.65万 | 10.25%832.7万 | 15.18%849.4万 | -20.69%818.29万 | -20.69%818.29万 | --759.71万 | -36.00%755.3万 | --737.44万 |
| 长期借款与租赁负债 | -91.56%66.53万 | -91.56%66.53万 | -18.94%647.55万 | -15.95%673万 | 4.14%717.45万 | -71.58%788.21万 | -71.58%788.21万 | 149.09%798.85万 | 143.12%800.67万 | 96.03%688.9万 |
| -长期借款 | -93.28%46.31万 | -93.28%46.31万 | -15.17%615.12万 | -12.03%629.86万 | 10.89%660.6万 | -74.24%688.62万 | -74.24%688.62万 | 245.12%725.12万 | 236.63%716万 | 165.77%595.75万 |
| -长期租赁负债 | -79.70%20.22万 | -79.70%20.22万 | -56.01%32.43万 | -49.05%43.13万 | -38.97%56.85万 | -0.08%99.59万 | -0.08%99.59万 | -33.34%73.73万 | -27.41%84.67万 | -26.81%93.15万 |
| 递延负债 | -41.83%167.37万 | -41.83%167.37万 | 27.47%481.31万 | 71.72%601.39万 | 78.80%656.36万 | -31.27%287.73万 | -31.27%287.73万 | 3.76%377.59万 | -1.45%350.21万 | --367.09万 |
| 其他非流动负债 | ---- | ---- | ---- | -100.00%-1 | ---- | --476.78万 | --476.78万 | --624.46万 | 601,755,000.00%601.75万 | 66.86%666.9万 |
| 非流动负债总额 | -52.10%1,135.66万 | -52.10%1,135.66万 | -35.42%1,969.51万 | -27.92%2,107.09万 | -22.32%2,223.21万 | -48.29%2,371.01万 | -48.29%2,371.01万 | 345.49%3,049.92万 | 56.75%2,923.22万 | 281.04%2,862.01万 |
| 总负债 | -16.94%8,110.93万 | -16.94%8,110.93万 | 30.63%1.09亿 | 35.38%1.03亿 | 44.89%1.01亿 | 73.52%9,765.24万 | 73.52%9,765.24万 | 57.69%8,360.74万 | 47.10%7,583.69万 | 49.10%6,950.47万 |
| 所有者权益 | ||||||||||
| 股本 | 53.32%9,893.03万 | 53.32%9,893.03万 | 0.19%6,464.95万 | 0.01%6,452.49万 | 0.11%6,452.49万 | 0.53%6,452.49万 | 0.53%6,452.49万 | 4.23%6,452.49万 | 4.25%6,451.53万 | 5.75%6,445.7万 |
| -普通股股本 | 53.32%9,893.03万 | 53.32%9,893.03万 | 0.19%6,464.95万 | 0.01%6,452.49万 | 0.11%6,452.49万 | 0.53%6,452.49万 | 0.53%6,452.49万 | 4.23%6,452.49万 | 4.25%6,451.53万 | 5.75%6,445.7万 |
| 留存收益 | -17.70%-1.01亿 | -17.70%-1.01亿 | -109.25%-8,964.86万 | -134.15%-9,126.97万 | -145.30%-8,739.45万 | -191.12%-8,578.07万 | -191.12%-8,578.07万 | -50.31%-4,284.2万 | -50.22%-3,897.91万 | -59.03%-3,562.73万 |
| 资本公积 | 6.04%2,386.77万 | 6.04%2,386.77万 | 7.71%2,459.48万 | -1.27%2,252.65万 | -1.32%2,252.17万 | -1.02%2,250.89万 | -1.02%2,250.89万 | -10.94%2,283.38万 | -9.54%2,281.73万 | -8.00%2,282.36万 |
| 不影响留存收益的损益 | -14.67%-406.8万 | -14.67%-406.8万 | 45.53%-316.38万 | 45.37%-274.94万 | 41.07%-382.97万 | -1.12%-354.77万 | -1.12%-354.77万 | -98.48%-580.8万 | -1,450.73%-503.27万 | -377.11%-649.86万 |
| 股东权益总额 | 874.39%1,776.88万 | 874.39%1,776.88万 | -109.22%-356.81万 | -116.08%-696.77万 | -109.25%-417.76万 | -104.25%-229.45万 | -104.25%-229.45万 | -31.02%3,870.87万 | -28.79%4,332.08万 | -31.28%4,515.46万 |
| 总权益 | 874.39%1,776.88万 | 874.39%1,776.88万 | -109.22%-356.81万 | -116.08%-696.77万 | -109.25%-417.76万 | -104.25%-229.45万 | -104.25%-229.45万 | -31.02%3,870.87万 | -28.79%4,332.08万 | -31.28%4,515.46万 |
| 货币单位 | 加拿大元 | 加拿大元 | 加拿大元 | 加拿大元 | 加拿大元 | 加拿大元 | 加拿大元 | 加拿大元 | 加拿大元 | 加拿大元 |
| 审计意见 | -- | -- | -- | -- | -- | 带解释段的无保留意见 | -- | -- | -- | -- |