美股市场个股详情

中比能源 (CBAT)

添加自选
  • 0.8150
  • -0.0052-0.63%
收盘价 04/10 15:59 (美东)
  • 0.8150
  • 0.00000.00%
盘后 19:24 (美东)
7224.64万总市值-8.15市盈率TTM

中比能源 (CBAT) 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
-24.27%830.11万
-24.27%830.11万
-56.77%1,047.63万
3.82%4,573.46万
-59.72%958.2万
136.07%1,096.15万
136.07%1,096.15万
663.06%2,423.65万
1,177.07%4,405.19万
215.72%2,378.99万
-现金和现金等价物
23.45%830.11万
23.45%830.11万
0.27%1,047.63万
-41.50%567.98万
33.58%405.2万
44.82%672.44万
44.82%672.44万
228.95%1,044.84万
181.47%970.91万
-59.74%303.34万
-短期投资
--0
--0
--0
16.63%4,005.48万
-73.36%553万
--423.71万
--423.71万
--1,378.82万
--3,434.28万
--2,075.65万
应收款项
14.38%5,132.22万
14.38%5,132.22万
48.07%5,708.62万
9.79%4,014.67万
15.29%5,175.52万
32.05%4,486.9万
32.05%4,486.9万
-25.86%3,855.41万
7.54%3,656.75万
29.41%4,488.97万
-应收账款
8.14%2,782.23万
8.14%2,782.23万
-1.09%2,442.94万
16.90%2,747.93万
3.39%2,615.06万
-1.69%2,572.81万
-1.69%2,572.81万
-38.09%2,469.81万
1.02%2,350.59万
9.26%2,529.21万
-应收票据
46.77%1,058.31万
46.77%1,058.31万
128.82%2,336.91万
-22.04%717.59万
32.02%1,468.45万
190.41%721.08万
190.41%721.08万
80.15%1,021.27万
52.04%920.48万
124.25%1,112.31万
-应收利息
34.14%12.41万
34.14%12.41万
-66.42%7.53万
-42.74%17.25万
--20.23万
--9.25万
--9.25万
--22.41万
--30.12万
----
-应收税费
274.40%1,127.4万
274.40%1,127.4万
62.42%550.05万
11.22%390.36万
--335.39万
-42.62%301.12万
-42.62%301.12万
-41.13%338.65万
-11.57%350.97万
----
-其他应收款
-83.14%153.7万
-83.14%153.7万
1,229.63%393.71万
398.66%162.88万
-10.49%758.53万
2,381.29%911.64万
2,381.29%911.64万
-25.43%29.61万
-23.46%32.66万
273.46%847.45万
-应收账款调整额
93.70%-1.83万
93.70%-1.83万
14.56%-22.51万
24.02%-21.34万
---22.14万
0.08%-29万
0.08%-29万
-616.66%-26.35万
-595.40%-28.08万
----
存货
121.44%5,060.23万
121.44%5,060.23万
44.07%3,448.77万
19.91%3,744.31万
9.00%3,080.35万
-31.61%2,285.1万
-31.61%2,285.1万
-36.08%2,393.89万
-25.33%3,122.68万
-44.35%2,826.03万
预付费用
-64.91%303.7万
-64.91%303.7万
-56.12%277.08万
270.65%435.1万
--753.55万
291.78%865.37万
291.78%865.37万
447.41%631.46万
21.41%117.39万
----
受限制现金
24.63%6,737.61万
24.63%6,737.61万
41.31%5,287.24万
51.39%1,577.25万
30.88%4,348.27万
-0.22%5,406.16万
-0.22%5,406.16万
-11.99%3,741.59万
-74.08%1,041.85万
-6.68%3,322.34万
流动资产合计
27.75%1.81亿
27.75%1.81亿
20.87%1.58亿
16.21%1.43亿
9.98%1.43亿
10.10%1.41亿
10.10%1.41亿
-4.28%1.3亿
2.50%1.23亿
0.11%1.3亿
非流动资产
固定资产净额
63.18%2.14亿
63.18%2.14亿
32.72%1.75亿
25.91%1.59亿
6.91%1.39亿
0.57%1.31亿
0.57%1.31亿
1.48%1.32亿
9.55%1.26亿
23.87%1.3亿
-固定资产
51.51%2.81亿
51.51%2.81亿
26.60%2.38亿
20.85%2.16亿
6.79%1.93亿
4.18%1.86亿
4.18%1.86亿
7.55%1.88亿
15.95%1.79亿
25.91%1.81亿
-累计折旧
-23.39%-6,721.04万
-23.39%-6,721.04万
-12.22%-6,305.47万
-8.68%-5,702.51万
-6.51%-5,416.25万
-14.03%-5,446.92万
-14.03%-5,446.92万
-25.11%-5,619万
-34.90%-5,246.9万
-31.41%-5,085.33万
商誉及其他无形资产
8.04%1,238.05万
8.04%1,238.05万
1.50%1,228.99万
4.21%1,238.05万
-6.82%1,132.51万
-8.72%1,145.89万
-8.72%1,145.89万
-2.67%1,210.82万
-5.96%1,188.08万
-10.27%1,215.43万
-其他无形资产
8.04%1,238.05万
8.04%1,238.05万
1.50%1,228.99万
4.21%1,238.05万
-6.82%1,132.51万
-8.72%1,145.89万
-8.72%1,145.89万
-2.67%1,210.82万
-5.96%1,188.08万
-10.27%1,215.43万
投资和预付款
4.85%1,898.86万
4.85%1,898.86万
-1.26%1,859.96万
1.63%1,848.77万
629.77%1,826.28万
87.36%1,811.08万
87.36%1,811.08万
1,998.48%1,883.67万
1,920.42%1,819.06万
163.21%250.25万
长期预付费用
----
----
----
----
----
----
----
----
----
--1,188.32万
非流动资产合计
52.68%2.46亿
52.68%2.46亿
26.47%2.06亿
21.43%1.9亿
7.68%1.68亿
5.30%1.61亿
5.30%1.61亿
8.28%1.63亿
18.54%1.56亿
27.96%1.56亿
总资产
41.02%4.26亿
41.02%4.26亿
23.98%3.64亿
19.13%3.33亿
8.73%3.11亿
7.49%3.02亿
7.49%3.02亿
2.31%2.93亿
10.88%2.8亿
13.60%2.86亿
负债
流动负债
应付款项
84.14%2.25亿
84.14%2.25亿
46.13%1.67亿
39.50%1.35亿
15.15%1.21亿
6.77%1.22亿
6.77%1.22亿
29.12%1.14亿
26.98%9,645.35万
34.36%1.05亿
-应付账款
128.16%6,004.64万
128.16%6,004.64万
44.50%4,893.82万
15.63%3,724.42万
10.18%3,529.8万
-1.67%2,631.73万
-1.67%2,631.73万
-14.46%3,386.66万
12.77%3,220.95万
-10.32%3,203.57万
-应付税费
12.21%131.88万
12.21%131.88万
-25.48%106.54万
-44.64%101.56万
-48.75%83.12万
51.51%117.53万
51.51%117.53万
--142.96万
--183.44万
--162.2万
-应付股利
4.03%127.11万
4.03%127.11万
-2.41%125.26万
6.37%127.76万
1.01%122.84万
-2.77%122.19万
-2.77%122.19万
--128.35万
--120.1万
--121.62万
-其他应付款
73.70%1.62亿
73.70%1.62亿
48.96%1.16亿
55.24%9,501.93万
19.15%8,350.81万
9.15%9,343.49万
9.15%9,343.49万
60.10%7,777.99万
30.21%6,120.86万
66.71%7,008.91万
应计费用
36.43%1,308.74万
36.43%1,308.74万
44.95%1,028.34万
45.91%987.85万
34.60%924.95万
41.61%959.25万
41.61%959.25万
-81.56%709.47万
-75.71%677.05万
-69.29%687.18万
现行拨备
1,347.69%33.91万
1,347.69%33.91万
37.16%2.35万
30.32%2.33万
10.71%2.3万
-1.86%2.34万
-1.86%2.34万
-26.57%1.71万
-23.41%1.79万
-15.76%2.08万
短期借款与租赁负债
13.84%3,152.51万
13.84%3,152.51万
10.30%3,125.42万
-6.30%3,545.1万
-21.39%3,079.69万
-21.47%2,769.15万
-21.47%2,769.15万
-16.40%2,833.58万
36.85%3,783.52万
93.92%3,917.65万
-短期借款
9.26%2,887.01万
9.26%2,887.01万
14.82%2,990.64万
-3.37%3,422.17万
-18.68%2,963.75万
-19.75%2,642.31万
-19.75%2,642.31万
-22.32%2,604.52万
30.37%3,541.61万
89.45%3,644.54万
-短期租赁负债
109.32%265.5万
109.32%265.5万
-41.16%134.78万
-49.18%122.93万
-57.55%115.94万
-45.70%126.84万
-45.70%126.84万
525.16%229.05万
402.64%241.91万
182.97%273.11万
递延负债
138.79%2,923.72万
138.79%2,923.72万
337.86%1,932.76万
449.14%1,950.49万
189.60%1,456.65万
203.49%1,224.41万
203.49%1,224.41万
1,105.46%441.41万
867.11%355.19万
493.43%502.98万
其他流动负债
--72.84万
--72.84万
----
----
----
----
----
----
----
----
流动负债总额
74.63%3亿
74.63%3亿
47.84%2.28亿
37.88%1.99亿
12.46%1.76亿
6.98%1.72亿
6.98%1.72亿
-4.41%1.54亿
9.67%1.45亿
28.32%1.56亿
非流动负债
长期拨备
6.15%44.66万
6.15%44.66万
15.32%47.32万
3.31%44.91万
-22.05%41.76万
-19.50%42.07万
-19.50%42.07万
-12.95%41.04万
-3.77%43.47万
13.72%53.57万
长期借款与租赁负债
153.65%621.21万
153.65%621.21万
151.19%674.15万
205.96%711.69万
136.48%652.97万
415.26%244.91万
415.26%244.91万
480.50%268.38万
330.96%232.61万
405.28%276.12万
-长期借款
--411.86万
--411.86万
--476.08万
--487.17万
--413.19万
----
----
----
----
----
-长期租赁负债
-14.52%209.34万
-14.52%209.34万
-26.20%198.07万
-3.48%224.52万
-13.16%239.79万
415.26%244.91万
415.26%244.91万
480.50%268.38万
330.96%232.61万
405.28%276.12万
递延负债
34.50%1,019.54万
34.50%1,019.54万
76.32%1,018.94万
80.16%1,026.97万
75.33%1,027.26万
22.19%758.03万
22.19%758.03万
15.07%577.89万
11.14%570.04万
6.27%585.91万
非流动负债总额
61.28%1,685.4万
61.28%1,685.4万
96.15%1,740.41万
110.80%1,783.58万
88.07%1,721.99万
45.11%1,045万
45.11%1,045万
48.98%887.3万
38.24%846.11万
20.11%915.6万
总负债
73.87%3.17亿
73.87%3.17亿
50.47%2.45亿
41.91%2.17亿
16.65%1.93亿
8.62%1.82亿
8.62%1.82亿
-2.51%1.63亿
10.93%1.53亿
27.84%1.65亿
所有者权益
股本
-1.60%8.86万
-1.60%8.86万
-1.60%8.86万
0.02%9.01万
0.02%9.01万
0.02%9.01万
0.02%9.01万
0.53%9.01万
1.05%9.01万
1.02%9.01万
-普通股股本
-1.60%8.86万
-1.60%8.86万
-1.60%8.86万
0.02%9.01万
0.02%9.01万
0.02%9.01万
0.02%9.01万
0.53%9.01万
1.05%9.01万
1.02%9.01万
留存收益
-9.13%-1.34亿
-9.13%-1.34亿
-7.05%-1.26亿
-9.28%-1.29亿
-1.15%-1.26亿
8.77%-1.23亿
8.77%-1.23亿
8.90%-1.18亿
13.13%-1.18亿
6.58%-1.25亿
资本公积
0.27%2.49亿
0.27%2.49亿
0.30%2.48亿
0.09%2.48亿
0.12%2.48亿
0.15%2.48亿
0.15%2.48亿
0.22%2.48亿
0.24%2.48亿
0.54%2.48亿
减:库存股
--0
--0
--0
30.42%530.37万
0.00%406.66万
0.00%406.66万
0.00%406.66万
0.00%406.66万
0.00%406.66万
0.00%406.66万
不影响留存收益的损益
26.44%-1,007.02万
26.44%-1,007.02万
-1.24%-870.24万
27.46%-949.94万
8.65%-1,120.58万
-31.99%-1,368.88万
-31.99%-1,368.88万
34.39%-859.55万
-4.20%-1,309.56万
-95.69%-1,226.67万
其他权益
-43.59%795.54万
-43.59%795.54万
-43.59%795.54万
0.00%1,410.17万
0.00%1,410.17万
0.00%1,410.17万
0.00%1,410.17万
0.00%1,410.17万
0.00%1,410.17万
0.00%1,410.17万
股东权益总额
-7.39%1.13亿
-7.39%1.13亿
-7.44%1.21亿
-6.62%1.18亿
-0.07%1.21亿
7.84%1.22亿
7.84%1.22亿
14.46%1.31亿
16.50%1.27亿
3.52%1.21亿
非控制性权益
-99.17%-319.85万
-99.17%-319.85万
-277.16%-295.3万
-3,635.55%-236.68万
-669.38%-204.87万
-353.28%-160.59万
-353.28%-160.59万
-115.80%-78.29万
-101.15%-6.34万
-94.15%35.98万
总权益
-8.82%1.09亿
-8.82%1.09亿
-9.15%1.18亿
-8.44%1.16亿
-2.06%1.19亿
5.82%1.2亿
5.82%1.2亿
9.06%1.3亿
10.82%1.27亿
-1.37%1.21亿
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
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
--
--
--
--
带解释段的无保留意见
--
--
--
--
(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 -24.27%830.11万-24.27%830.11万-56.77%1,047.63万3.82%4,573.46万-59.72%958.2万136.07%1,096.15万136.07%1,096.15万663.06%2,423.65万1,177.07%4,405.19万215.72%2,378.99万
-现金和现金等价物 23.45%830.11万23.45%830.11万0.27%1,047.63万-41.50%567.98万33.58%405.2万44.82%672.44万44.82%672.44万228.95%1,044.84万181.47%970.91万-59.74%303.34万
-短期投资 --0--0--016.63%4,005.48万-73.36%553万--423.71万--423.71万--1,378.82万--3,434.28万--2,075.65万
应收款项 14.38%5,132.22万14.38%5,132.22万48.07%5,708.62万9.79%4,014.67万15.29%5,175.52万32.05%4,486.9万32.05%4,486.9万-25.86%3,855.41万7.54%3,656.75万29.41%4,488.97万
-应收账款 8.14%2,782.23万8.14%2,782.23万-1.09%2,442.94万16.90%2,747.93万3.39%2,615.06万-1.69%2,572.81万-1.69%2,572.81万-38.09%2,469.81万1.02%2,350.59万9.26%2,529.21万
-应收票据 46.77%1,058.31万46.77%1,058.31万128.82%2,336.91万-22.04%717.59万32.02%1,468.45万190.41%721.08万190.41%721.08万80.15%1,021.27万52.04%920.48万124.25%1,112.31万
-应收利息 34.14%12.41万34.14%12.41万-66.42%7.53万-42.74%17.25万--20.23万--9.25万--9.25万--22.41万--30.12万----
-应收税费 274.40%1,127.4万274.40%1,127.4万62.42%550.05万11.22%390.36万--335.39万-42.62%301.12万-42.62%301.12万-41.13%338.65万-11.57%350.97万----
-其他应收款 -83.14%153.7万-83.14%153.7万1,229.63%393.71万398.66%162.88万-10.49%758.53万2,381.29%911.64万2,381.29%911.64万-25.43%29.61万-23.46%32.66万273.46%847.45万
-应收账款调整额 93.70%-1.83万93.70%-1.83万14.56%-22.51万24.02%-21.34万---22.14万0.08%-29万0.08%-29万-616.66%-26.35万-595.40%-28.08万----
存货 121.44%5,060.23万121.44%5,060.23万44.07%3,448.77万19.91%3,744.31万9.00%3,080.35万-31.61%2,285.1万-31.61%2,285.1万-36.08%2,393.89万-25.33%3,122.68万-44.35%2,826.03万
预付费用 -64.91%303.7万-64.91%303.7万-56.12%277.08万270.65%435.1万--753.55万291.78%865.37万291.78%865.37万447.41%631.46万21.41%117.39万----
受限制现金 24.63%6,737.61万24.63%6,737.61万41.31%5,287.24万51.39%1,577.25万30.88%4,348.27万-0.22%5,406.16万-0.22%5,406.16万-11.99%3,741.59万-74.08%1,041.85万-6.68%3,322.34万
流动资产合计 27.75%1.81亿27.75%1.81亿20.87%1.58亿16.21%1.43亿9.98%1.43亿10.10%1.41亿10.10%1.41亿-4.28%1.3亿2.50%1.23亿0.11%1.3亿
非流动资产
固定资产净额 63.18%2.14亿63.18%2.14亿32.72%1.75亿25.91%1.59亿6.91%1.39亿0.57%1.31亿0.57%1.31亿1.48%1.32亿9.55%1.26亿23.87%1.3亿
-固定资产 51.51%2.81亿51.51%2.81亿26.60%2.38亿20.85%2.16亿6.79%1.93亿4.18%1.86亿4.18%1.86亿7.55%1.88亿15.95%1.79亿25.91%1.81亿
-累计折旧 -23.39%-6,721.04万-23.39%-6,721.04万-12.22%-6,305.47万-8.68%-5,702.51万-6.51%-5,416.25万-14.03%-5,446.92万-14.03%-5,446.92万-25.11%-5,619万-34.90%-5,246.9万-31.41%-5,085.33万
商誉及其他无形资产 8.04%1,238.05万8.04%1,238.05万1.50%1,228.99万4.21%1,238.05万-6.82%1,132.51万-8.72%1,145.89万-8.72%1,145.89万-2.67%1,210.82万-5.96%1,188.08万-10.27%1,215.43万
-其他无形资产 8.04%1,238.05万8.04%1,238.05万1.50%1,228.99万4.21%1,238.05万-6.82%1,132.51万-8.72%1,145.89万-8.72%1,145.89万-2.67%1,210.82万-5.96%1,188.08万-10.27%1,215.43万
投资和预付款 4.85%1,898.86万4.85%1,898.86万-1.26%1,859.96万1.63%1,848.77万629.77%1,826.28万87.36%1,811.08万87.36%1,811.08万1,998.48%1,883.67万1,920.42%1,819.06万163.21%250.25万
长期预付费用 --------------------------------------1,188.32万
非流动资产合计 52.68%2.46亿52.68%2.46亿26.47%2.06亿21.43%1.9亿7.68%1.68亿5.30%1.61亿5.30%1.61亿8.28%1.63亿18.54%1.56亿27.96%1.56亿
总资产 41.02%4.26亿41.02%4.26亿23.98%3.64亿19.13%3.33亿8.73%3.11亿7.49%3.02亿7.49%3.02亿2.31%2.93亿10.88%2.8亿13.60%2.86亿
负债
流动负债
应付款项 84.14%2.25亿84.14%2.25亿46.13%1.67亿39.50%1.35亿15.15%1.21亿6.77%1.22亿6.77%1.22亿29.12%1.14亿26.98%9,645.35万34.36%1.05亿
-应付账款 128.16%6,004.64万128.16%6,004.64万44.50%4,893.82万15.63%3,724.42万10.18%3,529.8万-1.67%2,631.73万-1.67%2,631.73万-14.46%3,386.66万12.77%3,220.95万-10.32%3,203.57万
-应付税费 12.21%131.88万12.21%131.88万-25.48%106.54万-44.64%101.56万-48.75%83.12万51.51%117.53万51.51%117.53万--142.96万--183.44万--162.2万
-应付股利 4.03%127.11万4.03%127.11万-2.41%125.26万6.37%127.76万1.01%122.84万-2.77%122.19万-2.77%122.19万--128.35万--120.1万--121.62万
-其他应付款 73.70%1.62亿73.70%1.62亿48.96%1.16亿55.24%9,501.93万19.15%8,350.81万9.15%9,343.49万9.15%9,343.49万60.10%7,777.99万30.21%6,120.86万66.71%7,008.91万
应计费用 36.43%1,308.74万36.43%1,308.74万44.95%1,028.34万45.91%987.85万34.60%924.95万41.61%959.25万41.61%959.25万-81.56%709.47万-75.71%677.05万-69.29%687.18万
现行拨备 1,347.69%33.91万1,347.69%33.91万37.16%2.35万30.32%2.33万10.71%2.3万-1.86%2.34万-1.86%2.34万-26.57%1.71万-23.41%1.79万-15.76%2.08万
短期借款与租赁负债 13.84%3,152.51万13.84%3,152.51万10.30%3,125.42万-6.30%3,545.1万-21.39%3,079.69万-21.47%2,769.15万-21.47%2,769.15万-16.40%2,833.58万36.85%3,783.52万93.92%3,917.65万
-短期借款 9.26%2,887.01万9.26%2,887.01万14.82%2,990.64万-3.37%3,422.17万-18.68%2,963.75万-19.75%2,642.31万-19.75%2,642.31万-22.32%2,604.52万30.37%3,541.61万89.45%3,644.54万
-短期租赁负债 109.32%265.5万109.32%265.5万-41.16%134.78万-49.18%122.93万-57.55%115.94万-45.70%126.84万-45.70%126.84万525.16%229.05万402.64%241.91万182.97%273.11万
递延负债 138.79%2,923.72万138.79%2,923.72万337.86%1,932.76万449.14%1,950.49万189.60%1,456.65万203.49%1,224.41万203.49%1,224.41万1,105.46%441.41万867.11%355.19万493.43%502.98万
其他流动负债 --72.84万--72.84万--------------------------------
流动负债总额 74.63%3亿74.63%3亿47.84%2.28亿37.88%1.99亿12.46%1.76亿6.98%1.72亿6.98%1.72亿-4.41%1.54亿9.67%1.45亿28.32%1.56亿
非流动负债
长期拨备 6.15%44.66万6.15%44.66万15.32%47.32万3.31%44.91万-22.05%41.76万-19.50%42.07万-19.50%42.07万-12.95%41.04万-3.77%43.47万13.72%53.57万
长期借款与租赁负债 153.65%621.21万153.65%621.21万151.19%674.15万205.96%711.69万136.48%652.97万415.26%244.91万415.26%244.91万480.50%268.38万330.96%232.61万405.28%276.12万
-长期借款 --411.86万--411.86万--476.08万--487.17万--413.19万--------------------
-长期租赁负债 -14.52%209.34万-14.52%209.34万-26.20%198.07万-3.48%224.52万-13.16%239.79万415.26%244.91万415.26%244.91万480.50%268.38万330.96%232.61万405.28%276.12万
递延负债 34.50%1,019.54万34.50%1,019.54万76.32%1,018.94万80.16%1,026.97万75.33%1,027.26万22.19%758.03万22.19%758.03万15.07%577.89万11.14%570.04万6.27%585.91万
非流动负债总额 61.28%1,685.4万61.28%1,685.4万96.15%1,740.41万110.80%1,783.58万88.07%1,721.99万45.11%1,045万45.11%1,045万48.98%887.3万38.24%846.11万20.11%915.6万
总负债 73.87%3.17亿73.87%3.17亿50.47%2.45亿41.91%2.17亿16.65%1.93亿8.62%1.82亿8.62%1.82亿-2.51%1.63亿10.93%1.53亿27.84%1.65亿
所有者权益
股本 -1.60%8.86万-1.60%8.86万-1.60%8.86万0.02%9.01万0.02%9.01万0.02%9.01万0.02%9.01万0.53%9.01万1.05%9.01万1.02%9.01万
-普通股股本 -1.60%8.86万-1.60%8.86万-1.60%8.86万0.02%9.01万0.02%9.01万0.02%9.01万0.02%9.01万0.53%9.01万1.05%9.01万1.02%9.01万
留存收益 -9.13%-1.34亿-9.13%-1.34亿-7.05%-1.26亿-9.28%-1.29亿-1.15%-1.26亿8.77%-1.23亿8.77%-1.23亿8.90%-1.18亿13.13%-1.18亿6.58%-1.25亿
资本公积 0.27%2.49亿0.27%2.49亿0.30%2.48亿0.09%2.48亿0.12%2.48亿0.15%2.48亿0.15%2.48亿0.22%2.48亿0.24%2.48亿0.54%2.48亿
减:库存股 --0--0--030.42%530.37万0.00%406.66万0.00%406.66万0.00%406.66万0.00%406.66万0.00%406.66万0.00%406.66万
不影响留存收益的损益 26.44%-1,007.02万26.44%-1,007.02万-1.24%-870.24万27.46%-949.94万8.65%-1,120.58万-31.99%-1,368.88万-31.99%-1,368.88万34.39%-859.55万-4.20%-1,309.56万-95.69%-1,226.67万
其他权益 -43.59%795.54万-43.59%795.54万-43.59%795.54万0.00%1,410.17万0.00%1,410.17万0.00%1,410.17万0.00%1,410.17万0.00%1,410.17万0.00%1,410.17万0.00%1,410.17万
股东权益总额 -7.39%1.13亿-7.39%1.13亿-7.44%1.21亿-6.62%1.18亿-0.07%1.21亿7.84%1.22亿7.84%1.22亿14.46%1.31亿16.50%1.27亿3.52%1.21亿
非控制性权益 -99.17%-319.85万-99.17%-319.85万-277.16%-295.3万-3,635.55%-236.68万-669.38%-204.87万-353.28%-160.59万-353.28%-160.59万-115.80%-78.29万-101.15%-6.34万-94.15%35.98万
总权益 -8.82%1.09亿-8.82%1.09亿-9.15%1.18亿-8.44%1.16亿-2.06%1.19亿5.82%1.2亿5.82%1.2亿9.06%1.3亿10.82%1.27亿-1.37%1.21亿
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审计意见 带解释段的无保留意见--------带解释段的无保留意见--------
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