| (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 | |
|---|---|---|---|---|---|---|---|---|---|---|
| 经营活动现金流量(间接法) | ||||||||||
| 持续经营活动现金净额 | 45.18%3,781.4万 | 34.68%1,536.6万 | 32.22%1,290.1万 | 15.51%736.7万 | 245.62%218万 | -29.45%2,604.7万 | 6.37%1,140.9万 | -5.20%975.7万 | -41.24%637.8万 | -129.66%-149.7万 |
| 持续经营净收入 | 27.17%3,439.4万 | 39.69%1,017.2万 | 19.96%908.2万 | 30.66%806.3万 | 17.54%707.7万 | -8.38%2,704.5万 | 9.03%728.2万 | 1.30%757.1万 | -16.54%617.1万 | -24.46%602.1万 |
| 持续经营损益 | -46.76%-20.4万 | -71.43%-97.2万 | 22.58%26.6万 | 180.00%26.6万 | 103.45%23.6万 | -135.59%-13.9万 | -125.90%-56.7万 | 178.21%21.7万 | 79.25%9.5万 | 90.16%11.6万 |
| 折旧和摊销 | -0.05%220.8万 | 2.17%56.4万 | -2.64%55.4万 | -1.29%53.7万 | 1.65%55.3万 | 4.84%220.9万 | 1.47%55.2万 | 3.27%56.9万 | 5.22%54.4万 | 9.90%54.4万 |
| 递延税费 | 27.17%133.4万 | 38.91%130.3万 | -1,436.36%-14.7万 | 39.73%-13.2万 | -2.82%31万 | 199.24%104.9万 | 315.04%93.8万 | -95.00%1.1万 | -338.00%-21.9万 | 121.95%31.9万 |
| 其他非现金项目 | -8.33%18.7万 | 479.69%37.1万 | -392.63%-27.8万 | 121.43%6.2万 | 88.24%3.2万 | -41.88%20.4万 | -78.52%6.4万 | 134.67%9.5万 | -3.45%2.8万 | -94.30%1.7万 |
| 营运资金变动 | 44.94%-348.9万 | 105.10%330万 | 51.36%233.7万 | -103.12%-228.1万 | 18.19%-684.5万 | -260.67%-633.7万 | -39.19%160.9万 | -25.55%154.4万 | -146.69%-112.3万 | -163.03%-836.7万 |
| -其他流动资产变化 | 82.51%-94.7万 | 570.78%592.3万 | 106.60%140.9万 | -366.20%-464.8万 | 39.30%-363.1万 | -696.18%-541.4万 | -85.71%88.3万 | 110.81%68.2万 | -114.78%-99.7万 | 18.01%-598.2万 |
| -其他流动负债变化 | -175.41%-254.2万 | -461.29%-262.3万 | 7.66%92.8万 | 1,978.57%236.7万 | -34.76%-321.4万 | -119.96%-92.3万 | 120.55%72.6万 | -89.72%86.2万 | 97.10%-12.6万 | -157.96%-238.5万 |
| 非持续经营活动现金流 | ||||||||||
| 经营活动现金净额 | 45.18%3,781.4万 | 34.68%1,536.6万 | 32.22%1,290.1万 | 15.51%736.7万 | 245.62%218万 | -29.45%2,604.7万 | 6.37%1,140.9万 | -5.20%975.7万 | -41.24%637.8万 | -129.66%-149.7万 |
| 投资活动现金流量 | ||||||||||
| 持续投资活动现金净额 | 98.62%-300.2万 | 168.59%2,266.7万 | 114.34%626.5万 | 93.00%-725.1万 | 33.49%-2,468.3万 | -8.81%-2.17亿 | -483.60%-3,304.7万 | 37.93%-4,368.8万 | -41.30%-1.04亿 | 42.68%-3,710.9万 |
| 其他金融机构的计息存款收益 | 196.58%1,797.6万 | 163.27%310.1万 | -124.93%-397.2万 | 98.96%-31.5万 | 3,220.97%1,916.2万 | -9,179.02%-1,861.2万 | -114.05%-490.1万 | 146.34%1,593.4万 | -2,408.05%-3,022.2万 | -37.28%57.7万 |
| 投资产品交易净现金流 | 102.87%3,781万 | 138.32%1,828.6万 | 3,013.29%1,468.3万 | 136.72%489.3万 | -100.55%-5.2万 | 9.05%1,863.8万 | -67.27%767.3万 | 97.02%-50.4万 | -72.48%206.7万 | 207.86%940.2万 |
| 贷款净收益 | 74.21%-5,472.4万 | 111.96%407.3万 | 91.72%-494.4万 | 84.51%-1,149万 | 4.19%-4,236.3万 | 1.36%-2.12亿 | 31.60%-3,406.1万 | -216.04%-5,969.7万 | 5.13%-7,418.5万 | 35.17%-4,421.4万 |
| 资本支出 | -118.31%-322万 | -46.48%-143.4万 | -169.37%-29.9万 | -128.81%-13.5万 | -314.72%-135.2万 | 44.02%-147.5万 | -156.28%-97.9万 | 93.34%-11.1万 | 1.67%-5.9万 | 38.02%-32.6万 |
| 固定资产交易的净现金流 | 450.00%2.2万 | --0 | ---2.1万 | --2.1万 | --2.2万 | 33.33%4,000 | --4,000 | --0 | --0 | --0 |
| 其他投资活动的净现金流 | 77.32%-86.6万 | -73.56%-135.9万 | 18.55%81.8万 | 80.88%-22.5万 | 96.08%-10万 | -732.12%-381.8万 | -264.84%-78.3万 | -53.16%69万 | 13.01%-117.7万 | -28,411.11%-254.8万 |
| 非持续投资现金净额 | ||||||||||
| 投资活动现金流净额 | 98.62%-300.2万 | 168.59%2,266.7万 | 114.34%626.5万 | 93.00%-725.1万 | 33.49%-2,468.3万 | -8.81%-2.17亿 | -483.60%-3,304.7万 | 37.93%-4,368.8万 | -41.30%-1.04亿 | 42.68%-3,710.9万 |
| 融资活动现金流量 | ||||||||||
| 持续融资活动现金净额 | -118.53%-3,466.9万 | -396.08%-4,186万 | -136.17%-1,492万 | -99.20%81.2万 | -30.26%2,129.9万 | 8.69%1.87亿 | 181.76%1,413.8万 | -36.45%4,125.1万 | 68.38%1.01亿 | -52.60%3,053.9万 |
| 存款的增减 | -148.17%-6,049.9万 | -423.07%-7,279.8万 | -74.15%3,221.3万 | -120.62%-599.8万 | 72.54%-1,391.6万 | -43.12%1.26亿 | 8,293.82%2,253.3万 | 24.54%1.25亿 | -12.27%2,909.2万 | -157.70%-5,067.4万 |
| 债务发行/偿还的净现金流 | -45.78%4,154.3万 | 833.90%3,485.3万 | 45.72%-4,320.2万 | -85.86%1,072.6万 | -53.99%3,916.6万 | 326.50%7,662.6万 | 64.40%-474.9万 | -152.77%-7,959.3万 | 147.85%7,584.1万 | 534.28%8,512.7万 |
| 普通股发行/偿还的净现金流 | -3.21%63.4万 | 3.93%23.8万 | 0.46%21.8万 | 6.48%23万 | -642.86%-5.2万 | 15.52%65.5万 | 10.63%22.9万 | 7.96%21.7万 | 17.39%21.6万 | 72.00%-7,000 |
| 现金股利支付 | -3.44%-1,634.7万 | -7.17%-415.3万 | -3.44%-414.9万 | -3.39%-414.6万 | 0.20%-389.9万 | -2.50%-1,580.3万 | 0.23%-387.5万 | -3.32%-401.1万 | -3.38%-401万 | -3.55%-390.7万 |
| 非持续融资活动现金净额 | ||||||||||
| 融资活动现金流净额 | -118.53%-3,466.9万 | -396.08%-4,186万 | -136.17%-1,492万 | -99.20%81.2万 | -30.26%2,129.9万 | 8.69%1.87亿 | 181.76%1,413.8万 | -36.45%4,125.1万 | 68.38%1.01亿 | -52.60%3,053.9万 |
| 现金净流量 | ||||||||||
| 期初现金流 | -13.48%2,763.6万 | -10.05%3,160.6万 | -1.64%2,736万 | 10.71%2,643.2万 | -13.48%2,763.6万 | 40.54%3,194.2万 | 17.54%3,513.6万 | 10.92%2,781.6万 | -13.05%2,387.5万 | 40.54%3,194.2万 |
| 当期现金流变化 | 103.32%14.3万 | 48.97%-382.7万 | -41.99%424.6万 | -76.45%92.8万 | 85.07%-120.4万 | -146.73%-430.6万 | -466.21%-750万 | 51.96%732万 | 265.52%394.1万 | -270.55%-806.7万 |
| 期末现金流 | 0.52%2,777.9万 | 0.52%2,777.9万 | -10.05%3,160.6万 | -1.64%2,736万 | 10.71%2,643.2万 | -13.48%2,763.6万 | -13.48%2,763.6万 | 17.54%3,513.6万 | 10.92%2,781.6万 | -13.05%2,387.5万 |
| 自由现金流 | 40.79%3,459.4万 | 33.58%1,393.2万 | 30.64%1,260.2万 | 14.45%723.2万 | 145.42%82.8万 | -28.33%2,457.2万 | 0.83%1,043万 | 11.84%964.6万 | -41.46%631.9万 | -140.32%-182.3万 |
| 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 | 无保留意见 | -- | -- | -- | -- | 无保留意见 | -- | -- | -- | -- |