加拿大市场个股详情

Cerrado Gold Inc (CERT)

添加自选
  • 1.835
  • +0.035+1.94%
延时15分钟行情已收盘 01/15 16:00 (美东)
2.48亿总市值7.74市盈率TTM

Cerrado Gold Inc (CERT) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(FY)2023/12/31
(Q4)2023/12/31
资产
流动资产
现金及现金等价物和短期投资
108.09%1,654.1万
69.09%570.5万
180.36%2,012.7万
6,218.45%2,603.2万
6,218.45%2,603.2万
-31.39%794.9万
-47.53%337.4万
-61.38%717.9万
-94.41%41.2万
-94.41%41.2万
-现金和现金等价物
108.09%1,654.1万
69.79%570.5万
180.91%2,012.7万
6,218.45%2,603.2万
6,218.45%2,603.2万
-31.27%794.9万
-42.02%336万
-61.40%716.5万
-93.04%41.2万
-93.04%41.2万
-短期投资
----
----
----
----
----
--0
-97.80%1.4万
-53.33%1.4万
-98.96%1.5万
-98.96%1.5万
应收款项
38.13%1.11亿
18.37%9,001.7万
19.24%8,204.6万
26.59%7,985.7万
26.59%7,985.7万
20.12%8,062.3万
23.24%7,605万
9.22%6,881万
31.19%6,308.5万
31.19%6,308.5万
-应收账款
213.66%569.3万
65.56%233.6万
1.08%131.2万
7.02%111.3万
7.02%111.3万
101.67%181.5万
50.91%141.1万
-20.95%129.8万
-23.02%104万
-23.02%104万
-应收税费
2.58%1,177.6万
-4.58%1,255.2万
24.73%1,353.8万
103.06%1,247.6万
103.06%1,247.6万
-0.26%1,148万
59.42%1,315.4万
2.34%1,085.4万
-14.08%614.4万
-14.08%614.4万
-应收关联方款项
----
----
----
----
----
----
----
----
--0
--0
-其他应收款
39.46%9,389.6万
22.19%7,512.9万
18.60%6,719.6万
18.55%6,626.8万
18.55%6,626.8万
32.51%6,732.8万
25.11%6,148.5万
13.73%5,665.8万
44.19%5,590.1万
44.19%5,590.1万
存货
-13.63%931.5万
10.42%1,076.2万
-35.16%903.5万
26.70%1,125万
26.70%1,125万
14.86%1,078.5万
-10.46%974.6万
119.45%1,393.5万
-2.42%887.9万
-2.42%887.9万
预付费用
-65.53%15.1万
-1.63%24.1万
157.94%32.5万
174.19%42.5万
174.19%42.5万
261.98%43.8万
44.12%24.5万
-42.20%12.6万
7.64%15.5万
7.64%15.5万
受限制现金
----
----
----
--0
--0
--0
--0
--0
240.70%681.4万
240.70%681.4万
其他流动资产
----
----
----
----
----
----
----
----
--1.5万
--1.5万
流动资产合计
37.65%1.37亿
19.36%1.07亿
23.86%1.12亿
48.14%1.18亿
48.14%1.18亿
5.11%9,979.5万
5.39%8,941.5万
-2.39%9,005万
18.99%7,936万
18.99%7,936万
非流动资产
固定资产净额
17.66%1.67亿
12.41%1.59亿
-37.39%1.03亿
-36.61%1.04亿
-36.61%1.04亿
-5.35%1.42亿
1.54%1.41亿
70.25%1.65亿
98.45%1.65亿
98.45%1.65亿
-固定资产
27.12%2.27亿
22.89%2.14亿
-20.22%1.54亿
-20.92%1.51亿
-20.92%1.51亿
18.71%1.78亿
8.49%1.74亿
67.14%1.93亿
91.31%1.9亿
91.31%1.9亿
-累计折旧
-64.33%-5,938.6万
-68.55%-5,470.6万
-79.92%-5,074.6万
-79.62%-4,616.7万
-79.62%-4,616.7万
---3,613.9万
-54.63%-3,245.6万
-51.02%-2,820.5万
-55.45%-2,570.2万
-55.45%-2,570.2万
投资和预付款
--0
--0
50.70%128.4万
137.92%57.1万
137.92%57.1万
77.02%54.7万
-14.55%42.3万
-66.94%85.2万
-65.91%24万
-65.91%24万
-金融资产投资
--0
--0
50.70%128.4万
137.92%57.1万
137.92%57.1万
77.02%54.7万
-14.55%42.3万
41.53%85.2万
-65.91%24万
-65.91%24万
-其中:可供出售证券
----
----
50.70%128.4万
137.92%57.1万
137.92%57.1万
77.02%54.7万
-14.55%42.3万
41.53%85.2万
-65.91%24万
-65.91%24万
长期应收款
----
----
4.07%401万
-7.72%385万
-7.72%385万
--427.8万
--398.8万
--385.3万
--417.2万
--417.2万
长期预付费用
----
----
----
----
----
----
----
----
--0
--0
关联方资产
--0
--0
4.07%401万
-7.72%385万
-7.72%385万
--427.8万
--398.8万
--385.3万
--417.2万
--417.2万
其他非流动资产
165.58%697.4万
516.59%1,624.1万
564.74%1,459.1万
564.88%1,465.4万
564.88%1,465.4万
-38.24%262.6万
316.11%263.4万
414.05%219.5万
-79.59%220.4万
-79.59%220.4万
非流动资产合计
16.46%1.74亿
18.01%1.75亿
-28.31%1.23亿
-27.93%1.24亿
-27.93%1.24亿
-3.33%1.5亿
5.74%1.48亿
69.19%1.71亿
78.60%1.71亿
78.60%1.71亿
总资产
24.94%3.12亿
18.52%2.82亿
-10.35%2.34亿
-3.85%2.41亿
-3.85%2.41亿
-0.12%2.49亿
5.61%2.38亿
35.08%2.62亿
54.15%2.51亿
54.15%2.51亿
负债
流动负债
短期借款与资本租赁负债
-39.10%2,274.6万
-37.99%2,033.6万
-47.17%2,656万
-27.49%2,906.7万
-27.49%2,906.7万
-15.55%3,734.7万
84.58%3,279.3万
179.73%5,027.9万
253.88%4,008.8万
253.88%4,008.8万
-短期借款
-57.40%1,386.1万
-46.61%1,724.3万
-47.22%2,628.6万
-27.69%2,869.3万
-27.69%2,869.3万
-24.82%3,254.1万
98.46%3,229.9万
257.89%4,980.7万
328.22%3,968.3万
328.22%3,968.3万
-银行债务
96.48%859.4万
--280.6万
----
----
----
560.73%437.4万
----
----
----
----
-短期资本租赁负债
-32.64%29.1万
-41.90%28.7万
-41.95%27.4万
-7.65%37.4万
-7.65%37.4万
54.29%43.2万
98.39%49.4万
21.65%47.2万
22.36%40.5万
22.36%40.5万
应付款项
48.72%1.24亿
-0.93%8,911万
-8.01%7,977.9万
-0.58%8,058.9万
-0.58%8,058.9万
6.93%8,326.6万
31.88%8,994.6万
24.13%8,672.2万
63.35%8,106万
63.35%8,106万
-应付账款
100.92%1,793.8万
-31.53%1,398.1万
-58.90%758.3万
-44.77%837.2万
-44.77%837.2万
-31.64%892.8万
303.72%2,042万
129.25%1,845万
71.17%1,515.9万
71.17%1,515.9万
-应付税费
--1,200万
----
----
----
----
----
----
----
----
----
-其他应付款
26.31%9,389.6万
8.06%7,512.9万
5.75%7,219.6万
9.58%7,221.7万
9.58%7,221.7万
22.24%7,433.8万
17.55%6,952.6万
14.13%6,827.2万
61.65%6,590.1万
61.65%6,590.1万
应计费用
-37.68%1,641.7万
-39.33%1,563.7万
-46.54%1,821.3万
-18.69%2,077.9万
-18.69%2,077.9万
-6.22%2,634.4万
-12.08%2,577.5万
98.05%3,406.8万
68.25%2,555.6万
68.25%2,555.6万
递延负债
----
----
----
----
----
----
----
----
--0
--0
其他流动负债
36,123.53%615.8万
30,690.00%615.8万
----
40.00%7万
40.00%7万
-67.31%1.7万
-65.52%2万
-43.48%2.6万
-9.09%5万
-9.09%5万
流动负债总额
15.09%1.69亿
-11.64%1.31亿
-27.20%1.25亿
-11.07%1.31亿
-11.07%1.31亿
-4.12%1.47亿
25.73%1.49亿
58.96%1.71亿
87.35%1.47亿
87.35%1.47亿
非流动负债
长期借款与租赁负债
2.05%2,315.4万
-0.07%2,412.8万
-71.27%644.4万
-70.02%677.2万
-70.02%677.2万
-4.81%2,268.9万
-31.98%2,414.4万
-22.88%2,242.6万
-13.19%2,258.9万
-13.19%2,258.9万
-长期借款
3.08%2,301.5万
0.83%2,393.1万
-71.63%620.5万
-70.64%648.2万
-70.64%648.2万
-3.85%2,232.7万
-31.78%2,373.4万
-22.80%2,186.9万
-10.65%2,207.5万
-10.65%2,207.5万
-长期租赁负债
-61.60%13.9万
-51.95%19.7万
-57.09%23.9万
-43.58%29万
-43.58%29万
-41.04%36.2万
-41.93%41万
-25.93%55.7万
-60.97%51.4万
-60.97%51.4万
长期应付账款及其他应付款项
----
----
----
--0
--0
--0
--0
--0
-48.18%857.4万
-48.18%857.4万
长期拨备
35.21%2,064.9万
33.43%2,018.6万
31.69%1,973.3万
29.97%1,929万
29.97%1,929万
13.99%1,527.2万
37.59%1,512.8万
37.66%1,498.4万
37.73%1,484.2万
37.73%1,484.2万
递延负债
-13.40%927.5万
-13.40%927.5万
-0.47%1,066万
-0.47%1,066万
-0.47%1,066万
-63.86%1,071万
-63.71%1,071万
-63.52%1,071万
-37.16%1,071万
-37.16%1,071万
其他非流动负债
18.15%3,656.8万
19.74%3,114万
-0.64%2,573.5万
-0.56%2,234.5万
-0.56%2,234.5万
1,896.84%3,095.1万
1,029.71%2,600.6万
1,084.86%2,590.1万
3,828.50%2,247.1万
3,828.50%2,247.1万
非流动负债总额
12.59%8,964.6万
11.50%8,472.9万
-15.47%6,257.2万
-25.41%5,906.7万
-25.41%5,906.7万
4.12%7,962.2万
-11.50%7,598.8万
-5.79%7,402.1万
11.59%7,918.6万
11.59%7,918.6万
负债总额
14.21%2.59亿
-3.81%2.16亿
-23.66%1.87亿
-16.10%1.9亿
-16.10%1.9亿
-1.37%2.27亿
10.06%2.25亿
31.64%2.45亿
51.34%2.26亿
51.34%2.26亿
所有者权益
股本
24.83%6,981.3万
25.06%6,954.1万
2.47%5,646万
3.35%5,642.5万
3.35%5,642.5万
3.46%5,592.7万
2.87%5,560.8万
31.94%5,510万
31.11%5,459.6万
31.11%5,459.6万
-普通股股本
24.83%6,981.3万
25.06%6,954.1万
2.47%5,646万
3.35%5,642.5万
3.35%5,642.5万
3.46%5,592.7万
2.87%5,560.8万
31.94%5,510万
31.11%5,459.6万
31.11%5,459.6万
留存收益
38.05%-2,222.4万
75.13%-1,007万
76.15%-1,004.3万
83.54%-589.2万
83.54%-589.2万
4.18%-3,587.2万
-9.33%-4,049.4万
-14.58%-4,211.6万
-22.11%-3,580.1万
-22.11%-3,580.1万
不影响留存收益的损益
119.21%18.5万
112.11%100.2万
66.06%-103.1万
-36.72%-105万
-36.72%-105万
66.70%-96.3万
-764.37%-827.2万
5.94%-303.8万
82.09%-76.8万
82.09%-76.8万
其他股本权益
-28.03%265.8万
-52.44%308.2万
-69.85%194.4万
-70.12%201.9万
-70.12%201.9万
-40.42%369.3万
25.83%648万
14.79%644.8万
27.01%675.7万
27.01%675.7万
股东权益总额
121.34%5,043.2万
377.07%6,355.5万
188.70%4,733万
107.80%5,150.2万
107.80%5,150.2万
14.35%2,278.5万
-37.20%1,332.2万
121.84%1,639.4万
85.59%2,478.4万
85.59%2,478.4万
非控制性权益
--234.9万
--236.8万
----
----
----
----
----
----
----
----
总权益
131.65%5,278.1万
394.84%6,592.3万
188.70%4,733万
107.80%5,150.2万
107.80%5,150.2万
14.35%2,278.5万
-37.20%1,332.2万
121.84%1,639.4万
85.59%2,478.4万
85.59%2,478.4万
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
--
(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(FY)2023/12/31(Q4)2023/12/31
资产
流动资产
现金及现金等价物和短期投资 108.09%1,654.1万69.09%570.5万180.36%2,012.7万6,218.45%2,603.2万6,218.45%2,603.2万-31.39%794.9万-47.53%337.4万-61.38%717.9万-94.41%41.2万-94.41%41.2万
-现金和现金等价物 108.09%1,654.1万69.79%570.5万180.91%2,012.7万6,218.45%2,603.2万6,218.45%2,603.2万-31.27%794.9万-42.02%336万-61.40%716.5万-93.04%41.2万-93.04%41.2万
-短期投资 ----------------------0-97.80%1.4万-53.33%1.4万-98.96%1.5万-98.96%1.5万
应收款项 38.13%1.11亿18.37%9,001.7万19.24%8,204.6万26.59%7,985.7万26.59%7,985.7万20.12%8,062.3万23.24%7,605万9.22%6,881万31.19%6,308.5万31.19%6,308.5万
-应收账款 213.66%569.3万65.56%233.6万1.08%131.2万7.02%111.3万7.02%111.3万101.67%181.5万50.91%141.1万-20.95%129.8万-23.02%104万-23.02%104万
-应收税费 2.58%1,177.6万-4.58%1,255.2万24.73%1,353.8万103.06%1,247.6万103.06%1,247.6万-0.26%1,148万59.42%1,315.4万2.34%1,085.4万-14.08%614.4万-14.08%614.4万
-应收关联方款项 ----------------------------------0--0
-其他应收款 39.46%9,389.6万22.19%7,512.9万18.60%6,719.6万18.55%6,626.8万18.55%6,626.8万32.51%6,732.8万25.11%6,148.5万13.73%5,665.8万44.19%5,590.1万44.19%5,590.1万
存货 -13.63%931.5万10.42%1,076.2万-35.16%903.5万26.70%1,125万26.70%1,125万14.86%1,078.5万-10.46%974.6万119.45%1,393.5万-2.42%887.9万-2.42%887.9万
预付费用 -65.53%15.1万-1.63%24.1万157.94%32.5万174.19%42.5万174.19%42.5万261.98%43.8万44.12%24.5万-42.20%12.6万7.64%15.5万7.64%15.5万
受限制现金 --------------0--0--0--0--0240.70%681.4万240.70%681.4万
其他流动资产 ----------------------------------1.5万--1.5万
流动资产合计 37.65%1.37亿19.36%1.07亿23.86%1.12亿48.14%1.18亿48.14%1.18亿5.11%9,979.5万5.39%8,941.5万-2.39%9,005万18.99%7,936万18.99%7,936万
非流动资产
固定资产净额 17.66%1.67亿12.41%1.59亿-37.39%1.03亿-36.61%1.04亿-36.61%1.04亿-5.35%1.42亿1.54%1.41亿70.25%1.65亿98.45%1.65亿98.45%1.65亿
-固定资产 27.12%2.27亿22.89%2.14亿-20.22%1.54亿-20.92%1.51亿-20.92%1.51亿18.71%1.78亿8.49%1.74亿67.14%1.93亿91.31%1.9亿91.31%1.9亿
-累计折旧 -64.33%-5,938.6万-68.55%-5,470.6万-79.92%-5,074.6万-79.62%-4,616.7万-79.62%-4,616.7万---3,613.9万-54.63%-3,245.6万-51.02%-2,820.5万-55.45%-2,570.2万-55.45%-2,570.2万
投资和预付款 --0--050.70%128.4万137.92%57.1万137.92%57.1万77.02%54.7万-14.55%42.3万-66.94%85.2万-65.91%24万-65.91%24万
-金融资产投资 --0--050.70%128.4万137.92%57.1万137.92%57.1万77.02%54.7万-14.55%42.3万41.53%85.2万-65.91%24万-65.91%24万
-其中:可供出售证券 --------50.70%128.4万137.92%57.1万137.92%57.1万77.02%54.7万-14.55%42.3万41.53%85.2万-65.91%24万-65.91%24万
长期应收款 --------4.07%401万-7.72%385万-7.72%385万--427.8万--398.8万--385.3万--417.2万--417.2万
长期预付费用 ----------------------------------0--0
关联方资产 --0--04.07%401万-7.72%385万-7.72%385万--427.8万--398.8万--385.3万--417.2万--417.2万
其他非流动资产 165.58%697.4万516.59%1,624.1万564.74%1,459.1万564.88%1,465.4万564.88%1,465.4万-38.24%262.6万316.11%263.4万414.05%219.5万-79.59%220.4万-79.59%220.4万
非流动资产合计 16.46%1.74亿18.01%1.75亿-28.31%1.23亿-27.93%1.24亿-27.93%1.24亿-3.33%1.5亿5.74%1.48亿69.19%1.71亿78.60%1.71亿78.60%1.71亿
总资产 24.94%3.12亿18.52%2.82亿-10.35%2.34亿-3.85%2.41亿-3.85%2.41亿-0.12%2.49亿5.61%2.38亿35.08%2.62亿54.15%2.51亿54.15%2.51亿
负债
流动负债
短期借款与资本租赁负债 -39.10%2,274.6万-37.99%2,033.6万-47.17%2,656万-27.49%2,906.7万-27.49%2,906.7万-15.55%3,734.7万84.58%3,279.3万179.73%5,027.9万253.88%4,008.8万253.88%4,008.8万
-短期借款 -57.40%1,386.1万-46.61%1,724.3万-47.22%2,628.6万-27.69%2,869.3万-27.69%2,869.3万-24.82%3,254.1万98.46%3,229.9万257.89%4,980.7万328.22%3,968.3万328.22%3,968.3万
-银行债务 96.48%859.4万--280.6万------------560.73%437.4万----------------
-短期资本租赁负债 -32.64%29.1万-41.90%28.7万-41.95%27.4万-7.65%37.4万-7.65%37.4万54.29%43.2万98.39%49.4万21.65%47.2万22.36%40.5万22.36%40.5万
应付款项 48.72%1.24亿-0.93%8,911万-8.01%7,977.9万-0.58%8,058.9万-0.58%8,058.9万6.93%8,326.6万31.88%8,994.6万24.13%8,672.2万63.35%8,106万63.35%8,106万
-应付账款 100.92%1,793.8万-31.53%1,398.1万-58.90%758.3万-44.77%837.2万-44.77%837.2万-31.64%892.8万303.72%2,042万129.25%1,845万71.17%1,515.9万71.17%1,515.9万
-应付税费 --1,200万------------------------------------
-其他应付款 26.31%9,389.6万8.06%7,512.9万5.75%7,219.6万9.58%7,221.7万9.58%7,221.7万22.24%7,433.8万17.55%6,952.6万14.13%6,827.2万61.65%6,590.1万61.65%6,590.1万
应计费用 -37.68%1,641.7万-39.33%1,563.7万-46.54%1,821.3万-18.69%2,077.9万-18.69%2,077.9万-6.22%2,634.4万-12.08%2,577.5万98.05%3,406.8万68.25%2,555.6万68.25%2,555.6万
递延负债 ----------------------------------0--0
其他流动负债 36,123.53%615.8万30,690.00%615.8万----40.00%7万40.00%7万-67.31%1.7万-65.52%2万-43.48%2.6万-9.09%5万-9.09%5万
流动负债总额 15.09%1.69亿-11.64%1.31亿-27.20%1.25亿-11.07%1.31亿-11.07%1.31亿-4.12%1.47亿25.73%1.49亿58.96%1.71亿87.35%1.47亿87.35%1.47亿
非流动负债
长期借款与租赁负债 2.05%2,315.4万-0.07%2,412.8万-71.27%644.4万-70.02%677.2万-70.02%677.2万-4.81%2,268.9万-31.98%2,414.4万-22.88%2,242.6万-13.19%2,258.9万-13.19%2,258.9万
-长期借款 3.08%2,301.5万0.83%2,393.1万-71.63%620.5万-70.64%648.2万-70.64%648.2万-3.85%2,232.7万-31.78%2,373.4万-22.80%2,186.9万-10.65%2,207.5万-10.65%2,207.5万
-长期租赁负债 -61.60%13.9万-51.95%19.7万-57.09%23.9万-43.58%29万-43.58%29万-41.04%36.2万-41.93%41万-25.93%55.7万-60.97%51.4万-60.97%51.4万
长期应付账款及其他应付款项 --------------0--0--0--0--0-48.18%857.4万-48.18%857.4万
长期拨备 35.21%2,064.9万33.43%2,018.6万31.69%1,973.3万29.97%1,929万29.97%1,929万13.99%1,527.2万37.59%1,512.8万37.66%1,498.4万37.73%1,484.2万37.73%1,484.2万
递延负债 -13.40%927.5万-13.40%927.5万-0.47%1,066万-0.47%1,066万-0.47%1,066万-63.86%1,071万-63.71%1,071万-63.52%1,071万-37.16%1,071万-37.16%1,071万
其他非流动负债 18.15%3,656.8万19.74%3,114万-0.64%2,573.5万-0.56%2,234.5万-0.56%2,234.5万1,896.84%3,095.1万1,029.71%2,600.6万1,084.86%2,590.1万3,828.50%2,247.1万3,828.50%2,247.1万
非流动负债总额 12.59%8,964.6万11.50%8,472.9万-15.47%6,257.2万-25.41%5,906.7万-25.41%5,906.7万4.12%7,962.2万-11.50%7,598.8万-5.79%7,402.1万11.59%7,918.6万11.59%7,918.6万
负债总额 14.21%2.59亿-3.81%2.16亿-23.66%1.87亿-16.10%1.9亿-16.10%1.9亿-1.37%2.27亿10.06%2.25亿31.64%2.45亿51.34%2.26亿51.34%2.26亿
所有者权益
股本 24.83%6,981.3万25.06%6,954.1万2.47%5,646万3.35%5,642.5万3.35%5,642.5万3.46%5,592.7万2.87%5,560.8万31.94%5,510万31.11%5,459.6万31.11%5,459.6万
-普通股股本 24.83%6,981.3万25.06%6,954.1万2.47%5,646万3.35%5,642.5万3.35%5,642.5万3.46%5,592.7万2.87%5,560.8万31.94%5,510万31.11%5,459.6万31.11%5,459.6万
留存收益 38.05%-2,222.4万75.13%-1,007万76.15%-1,004.3万83.54%-589.2万83.54%-589.2万4.18%-3,587.2万-9.33%-4,049.4万-14.58%-4,211.6万-22.11%-3,580.1万-22.11%-3,580.1万
不影响留存收益的损益 119.21%18.5万112.11%100.2万66.06%-103.1万-36.72%-105万-36.72%-105万66.70%-96.3万-764.37%-827.2万5.94%-303.8万82.09%-76.8万82.09%-76.8万
其他股本权益 -28.03%265.8万-52.44%308.2万-69.85%194.4万-70.12%201.9万-70.12%201.9万-40.42%369.3万25.83%648万14.79%644.8万27.01%675.7万27.01%675.7万
股东权益总额 121.34%5,043.2万377.07%6,355.5万188.70%4,733万107.80%5,150.2万107.80%5,150.2万14.35%2,278.5万-37.20%1,332.2万121.84%1,639.4万85.59%2,478.4万85.59%2,478.4万
非控制性权益 --234.9万--236.8万--------------------------------
总权益 131.65%5,278.1万394.84%6,592.3万188.70%4,733万107.80%5,150.2万107.80%5,150.2万14.35%2,278.5万-37.20%1,332.2万121.84%1,639.4万85.59%2,478.4万85.59%2,478.4万
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--------带解释段的无保留意见--

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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