加拿大市场个股详情

Ivanhoe Mines Ltd (IVN)

添加自选
  • 15.700
  • -0.720-4.38%
延时15分钟行情已收盘 01/16 16:00 (美东)
222.88亿总市值51.31市盈率TTM

Ivanhoe Mines Ltd (IVN) 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
533.79%10.38亿
182.88%6.55亿
76.53%7.01亿
-81.78%1.02亿
-81.78%1.02亿
-43.56%1.64亿
-39.07%2.31亿
-17.96%3.97亿
-6.22%5.6亿
-6.22%5.6亿
-现金和现金等价物
533.79%10.38亿
182.88%6.55亿
76.53%7.01亿
-81.78%1.02亿
-81.78%1.02亿
-43.56%1.64亿
-39.07%2.31亿
-17.96%3.97亿
-6.22%5.6亿
-6.22%5.6亿
应收款项
268.05%1.38亿
249.63%1.06亿
217.23%8,918.8万
232.38%7,655.6万
232.38%7,655.6万
24.73%3,738.4万
44.01%3,043.9万
-20.44%2,811.5万
-35.54%2,303.3万
-35.54%2,303.3万
-应收贷款
--1,163.8万
--797.7万
--797.7万
--797.7万
--797.7万
--0
--0
--0
--0
--0
-应收票据
--2,823.6万
--2,686.8万
--2,685.4万
--2,685.3万
--2,685.3万
----
----
----
--0
--0
-应收税费
--0
--0
--0
-79.89%10.9万
-79.89%10.9万
--0
195.77%105万
38.79%48.3万
48.90%54.2万
48.90%54.2万
-其他应收款
161.39%9,771.8万
143.55%7,157.8万
96.72%5,435.7万
85.04%4,161.7万
85.04%4,161.7万
25.89%3,738.4万
41.42%2,938.9万
111.66%2,763.2万
42.87%2,249.1万
42.87%2,249.1万
存货
33.92%6,002.9万
205.04%7,629.1万
2,488.07%8,307.7万
5,537.15%8,574.1万
5,537.15%8,574.1万
5,142.57%4,482.4万
2,859.76%2,501万
242.58%321万
50.45%152.1万
50.45%152.1万
预付费用
-19.52%2,045.7万
-46.95%1,734.1万
-33.88%2,420.7万
-61.99%1,899.8万
-61.99%1,899.8万
-44.26%2,541.9万
-12.11%3,268.6万
4.49%3,661.1万
75.60%4,998.5万
75.60%4,998.5万
受限制现金
10.49%1,790万
13.42%1,690万
13.87%1,594.2万
8.81%1,525.9万
8.81%1,525.9万
22.73%1,620万
14.62%1,490万
6.87%1,400万
--1,402.3万
--1,402.3万
流动资产合计
342.93%12.74亿
160.61%8.72亿
90.68%9.13亿
-53.97%2.99亿
-53.97%2.99亿
-24.28%2.88亿
-26.00%3.35亿
-15.72%4.79亿
-2.09%6.49亿
-2.09%6.49亿
非流动资产
固定资产净额
17.25%23.05亿
23.42%21.9亿
32.44%20.48亿
38.19%19.67亿
38.19%19.67亿
60.34%19.66亿
63.91%17.74亿
62.39%15.47亿
57.68%14.24亿
57.68%14.24亿
-固定资产
19.20%24.39亿
24.74%23.06亿
32.95%21.49亿
38.01%20.56亿
38.01%20.56亿
58.97%20.46亿
62.15%18.49亿
60.59%16.17亿
65.00%14.9亿
65.00%14.9亿
-累计折旧
-66.73%-1.35亿
-55.83%-1.17亿
-44.26%-1.01亿
-33.94%-8,849.9万
-33.94%-8,849.9万
-31.45%-8,067.3万
-29.20%-7,492.1万
-28.94%-6,986.1万
---6,607.4万
---6,607.4万
投资和预付款
14.52%34.23亿
16.09%33.07亿
20.58%32.57亿
19.73%31.15亿
19.73%31.15亿
19.23%29.89亿
19.31%28.48亿
23.65%27.01亿
26.51%26.02亿
26.51%26.02亿
-长期股权投资
14.93%33.4亿
16.65%32.26亿
21.30%31.76亿
20.50%30.34亿
20.50%30.34亿
20.02%29.06亿
20.24%27.66亿
20.25%26.18亿
22.98%25.18亿
22.98%25.18亿
-金融资产投资
0.01%8,268.9万
-2.61%8,044.7万
-2.17%8,145.4万
-3.44%8,155.6万
-3.44%8,155.6万
-3.27%8,268.2万
-5.23%8,260万
1,014.73%8,325.9万
775.10%8,446.5万
775.10%8,446.5万
-其中:以公允价值计量且其变动计入当期损益的金融资产总额
0.01%8,268.9万
-2.61%8,044.7万
-2.17%8,145.4万
-3.44%8,155.6万
-3.44%8,155.6万
-3.27%8,268.2万
-5.23%8,260万
1,014.73%8,325.9万
775.10%8,446.5万
775.10%8,446.5万
长期应收款
57.08%7,268.9万
53.47%6,156万
89.60%5,604.5万
116.24%5,437.3万
116.24%5,437.3万
114.57%4,627.6万
130.49%4,011.2万
70.36%2,956万
66.07%2,514.5万
66.07%2,514.5万
长期应收票据
-52.63%3,534.4万
-50.20%3,686.9万
-44.33%4,087.2万
-44.61%4,033.6万
-44.61%4,033.6万
3.10%7,460.6万
3.22%7,403.5万
-38.75%7,341.2万
-38.93%7,281.7万
-38.93%7,281.7万
商誉及其他无形资产
290.53%4,279.8万
301.72%4,178.3万
----
----
----
--1,095.9万
--1,040.1万
--1,011.7万
----
----
-其他无形资产
----
----
----
----
----
--1,095.9万
--1,040.1万
--1,011.7万
----
----
非流动递延资产
15.28%2.49亿
8.41%2.46亿
5.51%2.44亿
8.54%2.43亿
8.54%2.43亿
-3.44%2.16亿
2.54%2.27亿
6.94%2.31亿
7.33%2.24亿
7.33%2.24亿
其他非流动资产
----
394.82%4,178.3万
697.51%3,945.3万
345.75%1,891.3万
345.75%1,891.3万
75.87%1,026.9万
65.08%844.4万
10.15%494.7万
-2.95%424.3万
-2.95%424.3万
非流动资产合计
15.34%61.28亿
18.07%58.82亿
23.68%56.86亿
24.99%54.39亿
24.99%54.39亿
30.97%53.13亿
31.63%49.82亿
31.53%45.97亿
31.60%43.51亿
31.60%43.51亿
总资产
32.16%74.02亿
27.04%67.54亿
30.00%65.99亿
14.75%57.38亿
14.75%57.38亿
26.24%56.01亿
25.48%53.17亿
24.92%50.76亿
25.97%50亿
25.97%50亿
负债
流动负债
短期借款与资本租赁负债
180.36%1.56亿
-0.69%1.53亿
-88.12%1.23亿
-88.93%9,820.3万
-88.93%9,820.3万
-38.46%5,561万
253.42%1.54亿
14,434.32%10.38亿
29.06%8.87亿
29.06%8.87亿
-短期借款
182.84%1.55亿
-0.73%1.52亿
-88.18%1.23亿
-89.00%9,747.8万
-89.00%9,747.8万
-39.00%5,486.3万
5,020.48%1.53亿
15,670.43%10.37亿
29.07%8.86亿
29.07%8.86亿
-短期资本租赁负债
-2.14%73.1万
9.63%77.4万
9.93%74.2万
7.41%72.5万
7.41%72.5万
75.35%74.7万
29.78%70.6万
19.68%67.5万
23.63%67.5万
23.63%67.5万
应付款项
-7.15%1.43亿
-2.74%1.25亿
9.12%1.11亿
26.24%1.38亿
26.24%1.38亿
88.73%1.54亿
128.15%1.29亿
124.76%1.02亿
76.74%1.09亿
76.74%1.09亿
-应付账款
-13.49%1.27亿
3.16%1.09亿
9.68%9,826.6万
22.66%1.19亿
22.66%1.19亿
95.85%1.47亿
96.75%1.06亿
109.50%8,959.6万
57.27%9,693.6万
57.27%9,693.6万
-应付税费
-7.41%329.7万
53.04%363万
22.91%285.4万
41.08%826.6万
41.08%826.6万
-26.29%356.1万
52.93%237.2万
50.88%232.2万
--585.9万
--585.9万
-其他应付款
223.04%1,306.7万
-38.86%1,279.2万
0.99%1,012.8万
68.49%1,034.5万
68.49%1,034.5万
99.75%404.5万
1,547.56%2,092.4万
851.52%1,002.9万
--614万
--614万
递延负债
--107.4万
--99.5万
--99.5万
--99.5万
--99.5万
----
----
----
--0
--0
其他流动负债
-40.35%116.5万
-57.96%82.1万
-38.96%110.3万
25.46%184.3万
25.46%184.3万
5.91%195.3万
-41.23%195.3万
-21.64%180.7万
-27.46%146.9万
-27.46%146.9万
流动负债总额
42.27%3.01亿
-1.66%2.8亿
-79.27%2.37亿
-76.08%2.39亿
-76.08%2.39亿
21.79%2.12亿
175.49%2.85亿
1,983.07%11.42亿
32.82%9.97亿
32.82%9.97亿
非流动负债
长期借款与租赁负债
1,426.62%10.11亿
1,421.28%10.15亿
1,371.20%9.87亿
303.83%2.71亿
303.83%2.71亿
-88.05%6,623.2万
-87.47%6,672.7万
-87.22%6,710.7万
22.66%6,710.5万
22.66%6,710.5万
-长期借款
1,689.37%10.01亿
1,685.57%10.05亿
1,626.50%9.77亿
363.18%2.61亿
363.18%2.61亿
-89.70%5,595.1万
-89.21%5,628.8万
-88.99%5,660万
28.20%5,634万
28.20%5,634万
-长期租赁负债
-3.34%993.8万
-3.76%1,004.7万
-4.06%1,008万
-6.77%1,003.6万
-6.77%1,003.6万
-5.70%1,028.1万
-2.87%1,043.9万
-1.85%1,050.7万
0.04%1,076.5万
0.04%1,076.5万
长期拨备
21.63%2,506.4万
15.54%2,334.1万
49.58%2,208.7万
47.36%2,156.7万
47.36%2,156.7万
997.28%2,060.7万
1,155.50%2,020.1万
1,027.18%1,476.6万
1,239.07%1,463.6万
1,239.07%1,463.6万
递延负债
8.97%4.2亿
12.77%3.97亿
13.74%3.75亿
8.81%3.6亿
8.81%3.6亿
24.45%3.85亿
16.03%3.52亿
9.01%3.3亿
5.79%3.31亿
5.79%3.31亿
其他非流动负债
-91.44%1,146.9万
-19.02%981.4万
-5.05%1,052.9万
14.19%1,108.1万
14.19%1,108.1万
1,229.33%1.34亿
25.11%1,211.9万
10.40%1,108.9万
7.55%970.4万
7.55%970.4万
非流动负债总额
142.13%14.67亿
220.26%14.46亿
229.81%13.95亿
57.18%6.63亿
57.18%6.63亿
-46.94%6.06亿
-59.92%4.51亿
-61.23%4.23亿
11.85%4.22亿
11.85%4.22亿
负债总额
116.27%17.69亿
134.40%17.26亿
4.30%16.32亿
-36.45%9.02亿
-36.45%9.02亿
-37.86%8.18亿
-40.13%7.36亿
36.53%15.65亿
25.81%14.19亿
25.81%14.19亿
所有者权益
股本
14.63%44.19亿
2.49%38.74亿
38.32%38.69亿
38.29%38.59亿
38.29%38.59亿
62.54%38.55亿
60.38%37.8亿
18.88%27.97亿
18.88%27.9亿
18.88%27.9亿
-普通股股本
14.63%44.19亿
2.49%38.74亿
38.32%38.69亿
38.29%38.59亿
38.29%38.59亿
62.54%38.55亿
60.38%37.8亿
18.88%27.97亿
18.88%27.9亿
18.88%27.9亿
留存收益
32.30%12.54亿
47.11%12.21亿
56.18%11.77亿
27.85%10.47亿
27.85%10.47亿
18.36%9.48亿
20.57%8.3亿
26.37%7.54亿
60.70%8.19亿
60.70%8.19亿
不影响留存收益的损益
20.74%-2,493.7万
13.31%-4,771.9万
3.44%-6,456.8万
-18.84%-6,984.1万
-18.84%-6,984.1万
62.81%-3,146.1万
32.68%-5,504.4万
12.38%-6,686.6万
7.93%-5,877万
7.93%-5,877万
其他股本权益
1.84%1.52亿
-4.89%1.49亿
-2.26%1.47亿
3.52%1.53亿
3.52%1.53亿
5.52%1.5亿
5.55%1.56亿
4.62%1.5亿
4.47%1.48亿
4.47%1.48亿
股东权益总额
17.87%58.01亿
10.29%51.96亿
41.12%51.28亿
34.90%49.89亿
34.90%49.89亿
52.37%49.21亿
51.41%47.11亿
20.47%36.34亿
26.03%36.98亿
26.03%36.98亿
非控制性权益
-21.23%-1.68亿
-28.15%-1.68亿
-31.46%-1.61亿
-30.65%-1.54亿
-30.65%-1.54亿
-26.28%-1.38亿
-25.48%-1.31亿
-23.61%-1.22亿
-25.72%-1.18亿
-25.72%-1.18亿
总权益
17.77%56.33亿
9.78%50.29亿
41.45%49.67亿
35.04%48.36亿
35.04%48.36亿
53.28%47.83亿
52.31%45.81亿
20.36%35.11亿
26.04%35.81亿
26.04%35.81亿
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
--
--
--
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 533.79%10.38亿182.88%6.55亿76.53%7.01亿-81.78%1.02亿-81.78%1.02亿-43.56%1.64亿-39.07%2.31亿-17.96%3.97亿-6.22%5.6亿-6.22%5.6亿
-现金和现金等价物 533.79%10.38亿182.88%6.55亿76.53%7.01亿-81.78%1.02亿-81.78%1.02亿-43.56%1.64亿-39.07%2.31亿-17.96%3.97亿-6.22%5.6亿-6.22%5.6亿
应收款项 268.05%1.38亿249.63%1.06亿217.23%8,918.8万232.38%7,655.6万232.38%7,655.6万24.73%3,738.4万44.01%3,043.9万-20.44%2,811.5万-35.54%2,303.3万-35.54%2,303.3万
-应收贷款 --1,163.8万--797.7万--797.7万--797.7万--797.7万--0--0--0--0--0
-应收票据 --2,823.6万--2,686.8万--2,685.4万--2,685.3万--2,685.3万--------------0--0
-应收税费 --0--0--0-79.89%10.9万-79.89%10.9万--0195.77%105万38.79%48.3万48.90%54.2万48.90%54.2万
-其他应收款 161.39%9,771.8万143.55%7,157.8万96.72%5,435.7万85.04%4,161.7万85.04%4,161.7万25.89%3,738.4万41.42%2,938.9万111.66%2,763.2万42.87%2,249.1万42.87%2,249.1万
存货 33.92%6,002.9万205.04%7,629.1万2,488.07%8,307.7万5,537.15%8,574.1万5,537.15%8,574.1万5,142.57%4,482.4万2,859.76%2,501万242.58%321万50.45%152.1万50.45%152.1万
预付费用 -19.52%2,045.7万-46.95%1,734.1万-33.88%2,420.7万-61.99%1,899.8万-61.99%1,899.8万-44.26%2,541.9万-12.11%3,268.6万4.49%3,661.1万75.60%4,998.5万75.60%4,998.5万
受限制现金 10.49%1,790万13.42%1,690万13.87%1,594.2万8.81%1,525.9万8.81%1,525.9万22.73%1,620万14.62%1,490万6.87%1,400万--1,402.3万--1,402.3万
流动资产合计 342.93%12.74亿160.61%8.72亿90.68%9.13亿-53.97%2.99亿-53.97%2.99亿-24.28%2.88亿-26.00%3.35亿-15.72%4.79亿-2.09%6.49亿-2.09%6.49亿
非流动资产
固定资产净额 17.25%23.05亿23.42%21.9亿32.44%20.48亿38.19%19.67亿38.19%19.67亿60.34%19.66亿63.91%17.74亿62.39%15.47亿57.68%14.24亿57.68%14.24亿
-固定资产 19.20%24.39亿24.74%23.06亿32.95%21.49亿38.01%20.56亿38.01%20.56亿58.97%20.46亿62.15%18.49亿60.59%16.17亿65.00%14.9亿65.00%14.9亿
-累计折旧 -66.73%-1.35亿-55.83%-1.17亿-44.26%-1.01亿-33.94%-8,849.9万-33.94%-8,849.9万-31.45%-8,067.3万-29.20%-7,492.1万-28.94%-6,986.1万---6,607.4万---6,607.4万
投资和预付款 14.52%34.23亿16.09%33.07亿20.58%32.57亿19.73%31.15亿19.73%31.15亿19.23%29.89亿19.31%28.48亿23.65%27.01亿26.51%26.02亿26.51%26.02亿
-长期股权投资 14.93%33.4亿16.65%32.26亿21.30%31.76亿20.50%30.34亿20.50%30.34亿20.02%29.06亿20.24%27.66亿20.25%26.18亿22.98%25.18亿22.98%25.18亿
-金融资产投资 0.01%8,268.9万-2.61%8,044.7万-2.17%8,145.4万-3.44%8,155.6万-3.44%8,155.6万-3.27%8,268.2万-5.23%8,260万1,014.73%8,325.9万775.10%8,446.5万775.10%8,446.5万
-其中:以公允价值计量且其变动计入当期损益的金融资产总额 0.01%8,268.9万-2.61%8,044.7万-2.17%8,145.4万-3.44%8,155.6万-3.44%8,155.6万-3.27%8,268.2万-5.23%8,260万1,014.73%8,325.9万775.10%8,446.5万775.10%8,446.5万
长期应收款 57.08%7,268.9万53.47%6,156万89.60%5,604.5万116.24%5,437.3万116.24%5,437.3万114.57%4,627.6万130.49%4,011.2万70.36%2,956万66.07%2,514.5万66.07%2,514.5万
长期应收票据 -52.63%3,534.4万-50.20%3,686.9万-44.33%4,087.2万-44.61%4,033.6万-44.61%4,033.6万3.10%7,460.6万3.22%7,403.5万-38.75%7,341.2万-38.93%7,281.7万-38.93%7,281.7万
商誉及其他无形资产 290.53%4,279.8万301.72%4,178.3万--------------1,095.9万--1,040.1万--1,011.7万--------
-其他无形资产 ----------------------1,095.9万--1,040.1万--1,011.7万--------
非流动递延资产 15.28%2.49亿8.41%2.46亿5.51%2.44亿8.54%2.43亿8.54%2.43亿-3.44%2.16亿2.54%2.27亿6.94%2.31亿7.33%2.24亿7.33%2.24亿
其他非流动资产 ----394.82%4,178.3万697.51%3,945.3万345.75%1,891.3万345.75%1,891.3万75.87%1,026.9万65.08%844.4万10.15%494.7万-2.95%424.3万-2.95%424.3万
非流动资产合计 15.34%61.28亿18.07%58.82亿23.68%56.86亿24.99%54.39亿24.99%54.39亿30.97%53.13亿31.63%49.82亿31.53%45.97亿31.60%43.51亿31.60%43.51亿
总资产 32.16%74.02亿27.04%67.54亿30.00%65.99亿14.75%57.38亿14.75%57.38亿26.24%56.01亿25.48%53.17亿24.92%50.76亿25.97%50亿25.97%50亿
负债
流动负债
短期借款与资本租赁负债 180.36%1.56亿-0.69%1.53亿-88.12%1.23亿-88.93%9,820.3万-88.93%9,820.3万-38.46%5,561万253.42%1.54亿14,434.32%10.38亿29.06%8.87亿29.06%8.87亿
-短期借款 182.84%1.55亿-0.73%1.52亿-88.18%1.23亿-89.00%9,747.8万-89.00%9,747.8万-39.00%5,486.3万5,020.48%1.53亿15,670.43%10.37亿29.07%8.86亿29.07%8.86亿
-短期资本租赁负债 -2.14%73.1万9.63%77.4万9.93%74.2万7.41%72.5万7.41%72.5万75.35%74.7万29.78%70.6万19.68%67.5万23.63%67.5万23.63%67.5万
应付款项 -7.15%1.43亿-2.74%1.25亿9.12%1.11亿26.24%1.38亿26.24%1.38亿88.73%1.54亿128.15%1.29亿124.76%1.02亿76.74%1.09亿76.74%1.09亿
-应付账款 -13.49%1.27亿3.16%1.09亿9.68%9,826.6万22.66%1.19亿22.66%1.19亿95.85%1.47亿96.75%1.06亿109.50%8,959.6万57.27%9,693.6万57.27%9,693.6万
-应付税费 -7.41%329.7万53.04%363万22.91%285.4万41.08%826.6万41.08%826.6万-26.29%356.1万52.93%237.2万50.88%232.2万--585.9万--585.9万
-其他应付款 223.04%1,306.7万-38.86%1,279.2万0.99%1,012.8万68.49%1,034.5万68.49%1,034.5万99.75%404.5万1,547.56%2,092.4万851.52%1,002.9万--614万--614万
递延负债 --107.4万--99.5万--99.5万--99.5万--99.5万--------------0--0
其他流动负债 -40.35%116.5万-57.96%82.1万-38.96%110.3万25.46%184.3万25.46%184.3万5.91%195.3万-41.23%195.3万-21.64%180.7万-27.46%146.9万-27.46%146.9万
流动负债总额 42.27%3.01亿-1.66%2.8亿-79.27%2.37亿-76.08%2.39亿-76.08%2.39亿21.79%2.12亿175.49%2.85亿1,983.07%11.42亿32.82%9.97亿32.82%9.97亿
非流动负债
长期借款与租赁负债 1,426.62%10.11亿1,421.28%10.15亿1,371.20%9.87亿303.83%2.71亿303.83%2.71亿-88.05%6,623.2万-87.47%6,672.7万-87.22%6,710.7万22.66%6,710.5万22.66%6,710.5万
-长期借款 1,689.37%10.01亿1,685.57%10.05亿1,626.50%9.77亿363.18%2.61亿363.18%2.61亿-89.70%5,595.1万-89.21%5,628.8万-88.99%5,660万28.20%5,634万28.20%5,634万
-长期租赁负债 -3.34%993.8万-3.76%1,004.7万-4.06%1,008万-6.77%1,003.6万-6.77%1,003.6万-5.70%1,028.1万-2.87%1,043.9万-1.85%1,050.7万0.04%1,076.5万0.04%1,076.5万
长期拨备 21.63%2,506.4万15.54%2,334.1万49.58%2,208.7万47.36%2,156.7万47.36%2,156.7万997.28%2,060.7万1,155.50%2,020.1万1,027.18%1,476.6万1,239.07%1,463.6万1,239.07%1,463.6万
递延负债 8.97%4.2亿12.77%3.97亿13.74%3.75亿8.81%3.6亿8.81%3.6亿24.45%3.85亿16.03%3.52亿9.01%3.3亿5.79%3.31亿5.79%3.31亿
其他非流动负债 -91.44%1,146.9万-19.02%981.4万-5.05%1,052.9万14.19%1,108.1万14.19%1,108.1万1,229.33%1.34亿25.11%1,211.9万10.40%1,108.9万7.55%970.4万7.55%970.4万
非流动负债总额 142.13%14.67亿220.26%14.46亿229.81%13.95亿57.18%6.63亿57.18%6.63亿-46.94%6.06亿-59.92%4.51亿-61.23%4.23亿11.85%4.22亿11.85%4.22亿
负债总额 116.27%17.69亿134.40%17.26亿4.30%16.32亿-36.45%9.02亿-36.45%9.02亿-37.86%8.18亿-40.13%7.36亿36.53%15.65亿25.81%14.19亿25.81%14.19亿
所有者权益
股本 14.63%44.19亿2.49%38.74亿38.32%38.69亿38.29%38.59亿38.29%38.59亿62.54%38.55亿60.38%37.8亿18.88%27.97亿18.88%27.9亿18.88%27.9亿
-普通股股本 14.63%44.19亿2.49%38.74亿38.32%38.69亿38.29%38.59亿38.29%38.59亿62.54%38.55亿60.38%37.8亿18.88%27.97亿18.88%27.9亿18.88%27.9亿
留存收益 32.30%12.54亿47.11%12.21亿56.18%11.77亿27.85%10.47亿27.85%10.47亿18.36%9.48亿20.57%8.3亿26.37%7.54亿60.70%8.19亿60.70%8.19亿
不影响留存收益的损益 20.74%-2,493.7万13.31%-4,771.9万3.44%-6,456.8万-18.84%-6,984.1万-18.84%-6,984.1万62.81%-3,146.1万32.68%-5,504.4万12.38%-6,686.6万7.93%-5,877万7.93%-5,877万
其他股本权益 1.84%1.52亿-4.89%1.49亿-2.26%1.47亿3.52%1.53亿3.52%1.53亿5.52%1.5亿5.55%1.56亿4.62%1.5亿4.47%1.48亿4.47%1.48亿
股东权益总额 17.87%58.01亿10.29%51.96亿41.12%51.28亿34.90%49.89亿34.90%49.89亿52.37%49.21亿51.41%47.11亿20.47%36.34亿26.03%36.98亿26.03%36.98亿
非控制性权益 -21.23%-1.68亿-28.15%-1.68亿-31.46%-1.61亿-30.65%-1.54亿-30.65%-1.54亿-26.28%-1.38亿-25.48%-1.31亿-23.61%-1.22亿-25.72%-1.18亿-25.72%-1.18亿
总权益 17.77%56.33亿9.78%50.29亿41.45%49.67亿35.04%48.36亿35.04%48.36亿53.28%47.83亿52.31%45.81亿20.36%35.11亿26.04%35.81亿26.04%35.81亿
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ------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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