加拿大市场个股详情

Mineros SA (MSA)

添加自选
  • 7.150
  • +0.130+1.85%
延时15分钟行情已收盘 01/23 16:00 (美东)
21.15亿总市值9.69市盈率TTM

Mineros SA (MSA) 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
现金及现金等价物与短期投资
73.69%1.02亿
279.02%1.1亿
77.12%8,126.7万
73.94%9,936.1万
73.94%9,936.1万
78.10%5,888.3万
-40.76%2,893.3万
33.44%4,588.2万
14.46%5,712.4万
14.46%5,712.4万
-现金及现金等价物
78.93%1.02亿
302.78%1.1亿
77.13%8,126.1万
68.79%9,641万
68.79%9,641万
73.46%5,712.7万
-42.58%2,722.5万
33.87%4,587.6万
14.72%5,711.8万
14.72%5,711.8万
-其中:现金
----
-8.39%86.3万
-50.15%48.7万
-55.31%51.3万
-55.31%51.3万
----
294.14%94.2万
474.71%97.7万
-51.50%114.8万
-51.50%114.8万
-其中:现金等价物
----
313.93%1.09亿
79.90%8,077.4万
71.34%9,589.7万
71.34%9,589.7万
----
-44.29%2,628.3万
31.67%4,489.9万
18.02%5,597万
18.02%5,597万
-短期投资
-97.04%5.2万
-99.71%5,000
0.00%6,000
49,083.33%295.1万
49,083.33%295.1万
1,261.24%175.6万
19.69%170.8万
-94.78%6,000
-94.83%6,000
-94.83%6,000
应收款项
-28.78%2,120.5万
-3.62%2,957.1万
77.06%4,405.5万
24.85%1,001.9万
24.85%1,001.9万
45.10%2,977.5万
-11.14%3,068.1万
-19.23%2,488.1万
-55.88%802.5万
-55.88%802.5万
-应收账款净额
-28.78%2,120.5万
-3.62%2,957.1万
77.06%4,405.5万
24.85%1,001.9万
24.85%1,001.9万
45.10%2,977.5万
-11.14%3,068.1万
-19.23%2,488.1万
-55.88%802.5万
-55.88%802.5万
存货
40.41%3,516.4万
-15.14%2,163.9万
-5.31%2,305.5万
-5.24%2,372.4万
-5.24%2,372.4万
7.06%2,504.3万
-70.09%2,550万
-68.49%2,434.9万
-66.69%2,503.7万
-66.69%2,503.7万
预付费用
--402.1万
--495.8万
----
81.42%709.7万
81.42%709.7万
----
----
-13.32%350万
37.02%391.2万
37.02%391.2万
税项资产
80.68%1.12亿
75.74%9,524万
-5.75%4,620.5万
3.88%5,205.4万
3.88%5,205.4万
15.37%6,197.6万
2.05%5,419.4万
1.47%4,902.6万
19.02%5,010.9万
19.02%5,010.9万
套期保值资产
----
----
----
--0
--0
--0
--0
-99.85%1,000
-92.48%11.5万
-92.48%11.5万
其他流动资产
----
----
173,746.15%2,260万
-47.37%1万
-47.37%1万
29.24%1,867.2万
38.92%1,963.6万
225.00%1.3万
280.00%1.9万
280.00%1.9万
流动资产合计
41.31%2.75亿
64.25%2.61亿
47.09%2.17亿
33.20%1.92亿
33.20%1.92亿
33.44%1.94亿
-32.80%1.59亿
-24.47%1.48亿
-23.93%1.44亿
-23.93%1.44亿
非流动资产
物业厂房及设备净额
18.99%3.9亿
5.84%3.38亿
20.29%3.59亿
12.85%3.33亿
12.85%3.33亿
28.80%3.28亿
4.16%3.2亿
-6.40%2.99亿
-6.77%2.95亿
-6.77%2.95亿
-物业、厂房及设备
11.82%5.8亿
2.92%5.19亿
23.28%5.68亿
12.50%5.07亿
12.50%5.07亿
30.77%5.18亿
-3.69%5.04亿
-12.14%4.6亿
-12.26%4.51亿
-12.26%4.51亿
-累计折旧
0.50%-1.9亿
2.15%-1.8亿
-28.81%-2.08亿
-11.86%-1.73亿
-11.86%-1.73亿
-34.30%-1.91亿
14.83%-1.84亿
21.10%-1.62亿
21.11%-1.55亿
21.11%-1.55亿
投资物业
97.21%516.1万
-6.00%246万
-6.00%246万
-6.00%246万
-6.00%246万
29.30%261.7万
29.30%261.7万
29.23%261.7万
29.23%261.7万
29.23%261.7万
投资总额
-45.26%764.1万
2.12%1,445.5万
1.98%1,516.8万
-2.00%1,463.7万
-2.00%1,463.7万
-12.05%1,395.8万
-11.39%1,415.5万
-6.81%1,487.3万
-5.99%1,493.6万
-5.99%1,493.6万
-长期股权投资
--0
0.86%540.7万
1.69%546.6万
0.55%531.5万
0.55%531.5万
-1.26%533.5万
-0.78%536.1万
-0.52%537.5万
0.02%528.6万
0.02%528.6万
-金融资产投资
-11.39%764.1万
2.89%904.8万
2.15%970.2万
-3.40%932.2万
-3.40%932.2万
-17.62%862.3万
-16.82%879.4万
--949.8万
-8.99%965万
-8.99%965万
-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
--131.9万
----
----
-26.22%300万
-26.22%300万
----
----
----
--406.6万
--406.6万
-其中:可供出售证券
--632.2万
----
----
13.22%632.2万
13.22%632.2万
----
----
----
--558.4万
--558.4万
长期应收账款及其他应收款
-12.70%235.1万
-15.32%227.7万
-18.31%223.1万
-21.74%220万
-21.74%220万
3.62%269.3万
3.11%268.9万
8.33%273.1万
14.04%281.1万
14.04%281.1万
商誉及其他无形资产
4,318.87%3,278.8万
2,785.99%3,440.1万
-91.69%102万
22.40%1,691.7万
22.40%1,691.7万
-98.15%74.2万
-89.29%119.2万
3.63%1,228.1万
-0.58%1,382.1万
-0.58%1,382.1万
-其他无形资产
----
----
-91.69%102万
22.40%1,691.7万
22.40%1,691.7万
--74.2万
-89.29%119.2万
3.63%1,228.1万
-0.58%1,382.1万
-0.58%1,382.1万
非流动递延所得税资产
200.08%367万
-1.17%135.3万
-17.71%79.9万
286.67%75.4万
286.67%75.4万
1,622.54%122.3万
-15.44%136.9万
-39.84%97.1万
-87.93%19.5万
-87.93%19.5万
其他非流动资产
6.17%2,099.6万
20.53%2,469.5万
-0.41%2,056.3万
-0.94%1,940.6万
-0.94%1,940.6万
4.78%1,977.6万
-28.11%2,048.9万
-26.45%2,064.7万
-27.46%1,959.1万
-27.46%1,959.1万
非流动资产合计
25.44%4.63亿
15.40%4.18亿
13.81%4.02亿
11.55%3.9亿
11.55%3.9亿
10.41%3.69亿
-1.78%3.62亿
-7.43%3.53亿
-8.00%3.49亿
-8.00%3.49亿
总资产
30.92%7.37亿
30.30%6.79亿
23.63%6.19亿
17.88%5.82亿
17.88%5.82亿
17.40%5.63亿
-13.90%5.21亿
-13.21%5.01亿
-13.31%4.94亿
-13.31%4.94亿
负债
流动负债
金融负债
-25.33%1,103万
23.55%1,687.6万
20.98%1,738.8万
4.13%1,442.3万
4.13%1,442.3万
-39.37%1,477.2万
-66.29%1,365.9万
-72.90%1,437.3万
-52.64%1,385.1万
-52.64%1,385.1万
-金融或其他衍生品投资负债
----
----
----
--0
--0
--0
--0
-93.83%40.7万
-94.96%27.6万
-94.96%27.6万
-短期借款及资本租赁负债
-25.33%1,103万
23.55%1,687.6万
24.50%1,738.8万
6.25%1,442.3万
6.25%1,442.3万
13.28%1,477.2万
-38.45%1,365.9万
-44.30%1,396.6万
-42.90%1,357.5万
-42.90%1,357.5万
应付款项
43.73%1.38亿
41.90%1.23亿
25.92%1.06亿
23.83%7,897.4万
23.83%7,897.4万
54.82%9,608.1万
-22.98%8,682万
-5.54%8,392万
-32.74%6,377.4万
-32.74%6,377.4万
-应付账款
5.48%2,798.6万
16.65%1,764.8万
27.71%2,035万
28.15%2,355.8万
28.15%2,355.8万
147.80%2,653.2万
-47.41%1,512.9万
-42.86%1,593.5万
-49.62%1,838.3万
-49.62%1,838.3万
-应交税费
74.81%9,456.5万
80.55%7,244.4万
57.08%4,457万
30.61%3,744.8万
30.61%3,744.8万
20.47%5,409.6万
-33.38%4,012.4万
-24.91%2,837.4万
3.35%2,867.1万
3.35%2,867.1万
-应付股息
0.58%1,554.3万
0.30%2,300.1万
0.10%3,046.8万
39.54%795.5万
39.54%795.5万
--1,545.3万
--2,293.3万
--3,043.8万
9.40%570.1万
9.40%570.1万
-其他应付款
----
17.00%1,010.2万
12.10%1,028.3万
-9.13%1,001.3万
-9.13%1,001.3万
----
-63.61%863.4万
-60.39%917.3万
-56.59%1,101.9万
-56.59%1,101.9万
现行拨备
189.79%604.5万
181.21%591.1万
103.03%602.6万
109.40%574.8万
109.40%574.8万
-4.31%208.6万
-36.51%210.2万
20.85%296.8万
14.33%274.5万
14.33%274.5万
养老金及其他退休福利计划
17.73%719.9万
35.93%505.8万
15.29%439.7万
56.47%687.7万
56.47%687.7万
13.49%611.5万
-50.19%372.1万
-49.67%381.4万
-45.83%439.5万
-45.83%439.5万
流动负债合计
36.38%1.62亿
42.09%1.51亿
27.03%1.33亿
25.08%1.06亿
25.08%1.06亿
26.66%1.19亿
-35.19%1.06亿
-30.83%1.05亿
-37.02%8,476.5万
-37.02%8,476.5万
非流动负债
非流动金融负债
-52.62%660.7万
-43.49%873.9万
-39.47%1,071万
-40.17%1,150.4万
-40.17%1,150.4万
-32.47%1,394.6万
-27.75%1,546.4万
-18.86%1,769.5万
-17.30%1,922.7万
-17.30%1,922.7万
-长期借款及资本租赁
-52.62%660.7万
-43.49%873.9万
-39.47%1,071万
-40.17%1,150.4万
-40.17%1,150.4万
-32.47%1,394.6万
-27.75%1,546.4万
-18.86%1,769.5万
-17.30%1,922.7万
-17.30%1,922.7万
长期拨备
29.29%5,481.1万
22.83%5,122.3万
19.73%4,832.9万
16.93%4,504.6万
16.93%4,504.6万
35.36%4,239.5万
-19.30%4,170.3万
-16.54%4,036.6万
-16.98%3,852.4万
-16.98%3,852.4万
长期养老金及其他退休后福利计划
-13.06%396.9万
-13.82%391万
23.78%564.3万
-11.10%405.1万
-11.10%405.1万
6.68%456.5万
7.31%453.7万
11.63%455.9万
13.05%455.7万
13.05%455.7万
非流动递延所得税负债
28.25%597.9万
-3.60%313.6万
321.47%355.3万
508.61%685.9万
508.61%685.9万
-1.44%466.2万
-60.39%325.3万
-92.29%84.3万
-92.35%112.7万
-92.35%112.7万
其他非流动负债
----
--1,000
----
----
----
---1,000
----
----
----
----
非流动负债合计
8.84%7,136.6万
3.16%6,700.9万
7.52%6,823.5万
6.35%6,746万
6.35%6,746万
7.52%6,556.7万
-24.04%6,495.7万
-25.51%6,346.3万
-28.25%6,343.5万
-28.25%6,343.5万
负债总额
26.60%2.34亿
27.32%2.18亿
19.69%2.02亿
17.06%1.73亿
17.06%1.73亿
19.13%1.85亿
-31.37%1.71亿
-28.92%1.69亿
-33.54%1.48亿
-33.54%1.48亿
所有者权益
股本
0.00%4.4万
0.00%4.4万
0.00%4.4万
0.00%4.4万
0.00%4.4万
0.00%4.4万
0.00%4.4万
0.00%4.4万
0.00%4.4万
0.00%4.4万
-普通股
0.00%4.4万
0.00%4.4万
0.00%4.4万
0.00%4.4万
0.00%4.4万
0.00%4.4万
0.00%4.4万
0.00%4.4万
0.00%4.4万
0.00%4.4万
资本公积
0.00%3,019.4万
0.00%3,019.4万
0.00%3,019.4万
0.00%3,019.4万
0.00%3,019.4万
0.00%3,019.4万
0.00%3,019.4万
0.00%3,019.4万
0.00%3,019.4万
0.00%3,019.4万
留存收益
97.38%1.47亿
102.13%9,260万
76.91%4,904.6万
269.78%9,755.2万
269.78%9,755.2万
1,514.14%7,433.1万
25.98%4,581.2万
16.48%2,772.4万
104.95%2,638.1万
104.95%2,638.1万
其他储备
19.21%3.27亿
23.50%3.38亿
23.27%3.38亿
-2.83%2.81亿
-2.83%2.81亿
-5.49%2.74亿
-5.30%2.74亿
-4.04%2.74亿
-4.78%2.89亿
-4.78%2.89亿
股东权益
33.03%5.03亿
31.76%4.61亿
25.63%4.17亿
18.23%4.09亿
18.23%4.09亿
16.57%3.78亿
-1.66%3.5亿
-2.25%3.32亿
-0.29%3.46亿
-0.29%3.46亿
非控制性权益
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
总权益
33.03%5.03亿
31.76%4.61亿
25.63%4.17亿
18.23%4.09亿
18.23%4.09亿
16.57%3.78亿
-1.66%3.5亿
-2.25%3.32亿
-0.29%3.46亿
-0.29%3.46亿
会计准则
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(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
现金及现金等价物与短期投资 73.69%1.02亿279.02%1.1亿77.12%8,126.7万73.94%9,936.1万73.94%9,936.1万78.10%5,888.3万-40.76%2,893.3万33.44%4,588.2万14.46%5,712.4万14.46%5,712.4万
-现金及现金等价物 78.93%1.02亿302.78%1.1亿77.13%8,126.1万68.79%9,641万68.79%9,641万73.46%5,712.7万-42.58%2,722.5万33.87%4,587.6万14.72%5,711.8万14.72%5,711.8万
-其中:现金 -----8.39%86.3万-50.15%48.7万-55.31%51.3万-55.31%51.3万----294.14%94.2万474.71%97.7万-51.50%114.8万-51.50%114.8万
-其中:现金等价物 ----313.93%1.09亿79.90%8,077.4万71.34%9,589.7万71.34%9,589.7万-----44.29%2,628.3万31.67%4,489.9万18.02%5,597万18.02%5,597万
-短期投资 -97.04%5.2万-99.71%5,0000.00%6,00049,083.33%295.1万49,083.33%295.1万1,261.24%175.6万19.69%170.8万-94.78%6,000-94.83%6,000-94.83%6,000
应收款项 -28.78%2,120.5万-3.62%2,957.1万77.06%4,405.5万24.85%1,001.9万24.85%1,001.9万45.10%2,977.5万-11.14%3,068.1万-19.23%2,488.1万-55.88%802.5万-55.88%802.5万
-应收账款净额 -28.78%2,120.5万-3.62%2,957.1万77.06%4,405.5万24.85%1,001.9万24.85%1,001.9万45.10%2,977.5万-11.14%3,068.1万-19.23%2,488.1万-55.88%802.5万-55.88%802.5万
存货 40.41%3,516.4万-15.14%2,163.9万-5.31%2,305.5万-5.24%2,372.4万-5.24%2,372.4万7.06%2,504.3万-70.09%2,550万-68.49%2,434.9万-66.69%2,503.7万-66.69%2,503.7万
预付费用 --402.1万--495.8万----81.42%709.7万81.42%709.7万---------13.32%350万37.02%391.2万37.02%391.2万
税项资产 80.68%1.12亿75.74%9,524万-5.75%4,620.5万3.88%5,205.4万3.88%5,205.4万15.37%6,197.6万2.05%5,419.4万1.47%4,902.6万19.02%5,010.9万19.02%5,010.9万
套期保值资产 --------------0--0--0--0-99.85%1,000-92.48%11.5万-92.48%11.5万
其他流动资产 --------173,746.15%2,260万-47.37%1万-47.37%1万29.24%1,867.2万38.92%1,963.6万225.00%1.3万280.00%1.9万280.00%1.9万
流动资产合计 41.31%2.75亿64.25%2.61亿47.09%2.17亿33.20%1.92亿33.20%1.92亿33.44%1.94亿-32.80%1.59亿-24.47%1.48亿-23.93%1.44亿-23.93%1.44亿
非流动资产
物业厂房及设备净额 18.99%3.9亿5.84%3.38亿20.29%3.59亿12.85%3.33亿12.85%3.33亿28.80%3.28亿4.16%3.2亿-6.40%2.99亿-6.77%2.95亿-6.77%2.95亿
-物业、厂房及设备 11.82%5.8亿2.92%5.19亿23.28%5.68亿12.50%5.07亿12.50%5.07亿30.77%5.18亿-3.69%5.04亿-12.14%4.6亿-12.26%4.51亿-12.26%4.51亿
-累计折旧 0.50%-1.9亿2.15%-1.8亿-28.81%-2.08亿-11.86%-1.73亿-11.86%-1.73亿-34.30%-1.91亿14.83%-1.84亿21.10%-1.62亿21.11%-1.55亿21.11%-1.55亿
投资物业 97.21%516.1万-6.00%246万-6.00%246万-6.00%246万-6.00%246万29.30%261.7万29.30%261.7万29.23%261.7万29.23%261.7万29.23%261.7万
投资总额 -45.26%764.1万2.12%1,445.5万1.98%1,516.8万-2.00%1,463.7万-2.00%1,463.7万-12.05%1,395.8万-11.39%1,415.5万-6.81%1,487.3万-5.99%1,493.6万-5.99%1,493.6万
-长期股权投资 --00.86%540.7万1.69%546.6万0.55%531.5万0.55%531.5万-1.26%533.5万-0.78%536.1万-0.52%537.5万0.02%528.6万0.02%528.6万
-金融资产投资 -11.39%764.1万2.89%904.8万2.15%970.2万-3.40%932.2万-3.40%932.2万-17.62%862.3万-16.82%879.4万--949.8万-8.99%965万-8.99%965万
-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 --131.9万---------26.22%300万-26.22%300万--------------406.6万--406.6万
-其中:可供出售证券 --632.2万--------13.22%632.2万13.22%632.2万--------------558.4万--558.4万
长期应收账款及其他应收款 -12.70%235.1万-15.32%227.7万-18.31%223.1万-21.74%220万-21.74%220万3.62%269.3万3.11%268.9万8.33%273.1万14.04%281.1万14.04%281.1万
商誉及其他无形资产 4,318.87%3,278.8万2,785.99%3,440.1万-91.69%102万22.40%1,691.7万22.40%1,691.7万-98.15%74.2万-89.29%119.2万3.63%1,228.1万-0.58%1,382.1万-0.58%1,382.1万
-其他无形资产 ---------91.69%102万22.40%1,691.7万22.40%1,691.7万--74.2万-89.29%119.2万3.63%1,228.1万-0.58%1,382.1万-0.58%1,382.1万
非流动递延所得税资产 200.08%367万-1.17%135.3万-17.71%79.9万286.67%75.4万286.67%75.4万1,622.54%122.3万-15.44%136.9万-39.84%97.1万-87.93%19.5万-87.93%19.5万
其他非流动资产 6.17%2,099.6万20.53%2,469.5万-0.41%2,056.3万-0.94%1,940.6万-0.94%1,940.6万4.78%1,977.6万-28.11%2,048.9万-26.45%2,064.7万-27.46%1,959.1万-27.46%1,959.1万
非流动资产合计 25.44%4.63亿15.40%4.18亿13.81%4.02亿11.55%3.9亿11.55%3.9亿10.41%3.69亿-1.78%3.62亿-7.43%3.53亿-8.00%3.49亿-8.00%3.49亿
总资产 30.92%7.37亿30.30%6.79亿23.63%6.19亿17.88%5.82亿17.88%5.82亿17.40%5.63亿-13.90%5.21亿-13.21%5.01亿-13.31%4.94亿-13.31%4.94亿
负债
流动负债
金融负债 -25.33%1,103万23.55%1,687.6万20.98%1,738.8万4.13%1,442.3万4.13%1,442.3万-39.37%1,477.2万-66.29%1,365.9万-72.90%1,437.3万-52.64%1,385.1万-52.64%1,385.1万
-金融或其他衍生品投资负债 --------------0--0--0--0-93.83%40.7万-94.96%27.6万-94.96%27.6万
-短期借款及资本租赁负债 -25.33%1,103万23.55%1,687.6万24.50%1,738.8万6.25%1,442.3万6.25%1,442.3万13.28%1,477.2万-38.45%1,365.9万-44.30%1,396.6万-42.90%1,357.5万-42.90%1,357.5万
应付款项 43.73%1.38亿41.90%1.23亿25.92%1.06亿23.83%7,897.4万23.83%7,897.4万54.82%9,608.1万-22.98%8,682万-5.54%8,392万-32.74%6,377.4万-32.74%6,377.4万
-应付账款 5.48%2,798.6万16.65%1,764.8万27.71%2,035万28.15%2,355.8万28.15%2,355.8万147.80%2,653.2万-47.41%1,512.9万-42.86%1,593.5万-49.62%1,838.3万-49.62%1,838.3万
-应交税费 74.81%9,456.5万80.55%7,244.4万57.08%4,457万30.61%3,744.8万30.61%3,744.8万20.47%5,409.6万-33.38%4,012.4万-24.91%2,837.4万3.35%2,867.1万3.35%2,867.1万
-应付股息 0.58%1,554.3万0.30%2,300.1万0.10%3,046.8万39.54%795.5万39.54%795.5万--1,545.3万--2,293.3万--3,043.8万9.40%570.1万9.40%570.1万
-其他应付款 ----17.00%1,010.2万12.10%1,028.3万-9.13%1,001.3万-9.13%1,001.3万-----63.61%863.4万-60.39%917.3万-56.59%1,101.9万-56.59%1,101.9万
现行拨备 189.79%604.5万181.21%591.1万103.03%602.6万109.40%574.8万109.40%574.8万-4.31%208.6万-36.51%210.2万20.85%296.8万14.33%274.5万14.33%274.5万
养老金及其他退休福利计划 17.73%719.9万35.93%505.8万15.29%439.7万56.47%687.7万56.47%687.7万13.49%611.5万-50.19%372.1万-49.67%381.4万-45.83%439.5万-45.83%439.5万
流动负债合计 36.38%1.62亿42.09%1.51亿27.03%1.33亿25.08%1.06亿25.08%1.06亿26.66%1.19亿-35.19%1.06亿-30.83%1.05亿-37.02%8,476.5万-37.02%8,476.5万
非流动负债
非流动金融负债 -52.62%660.7万-43.49%873.9万-39.47%1,071万-40.17%1,150.4万-40.17%1,150.4万-32.47%1,394.6万-27.75%1,546.4万-18.86%1,769.5万-17.30%1,922.7万-17.30%1,922.7万
-长期借款及资本租赁 -52.62%660.7万-43.49%873.9万-39.47%1,071万-40.17%1,150.4万-40.17%1,150.4万-32.47%1,394.6万-27.75%1,546.4万-18.86%1,769.5万-17.30%1,922.7万-17.30%1,922.7万
长期拨备 29.29%5,481.1万22.83%5,122.3万19.73%4,832.9万16.93%4,504.6万16.93%4,504.6万35.36%4,239.5万-19.30%4,170.3万-16.54%4,036.6万-16.98%3,852.4万-16.98%3,852.4万
长期养老金及其他退休后福利计划 -13.06%396.9万-13.82%391万23.78%564.3万-11.10%405.1万-11.10%405.1万6.68%456.5万7.31%453.7万11.63%455.9万13.05%455.7万13.05%455.7万
非流动递延所得税负债 28.25%597.9万-3.60%313.6万321.47%355.3万508.61%685.9万508.61%685.9万-1.44%466.2万-60.39%325.3万-92.29%84.3万-92.35%112.7万-92.35%112.7万
其他非流动负债 ------1,000---------------1,000----------------
非流动负债合计 8.84%7,136.6万3.16%6,700.9万7.52%6,823.5万6.35%6,746万6.35%6,746万7.52%6,556.7万-24.04%6,495.7万-25.51%6,346.3万-28.25%6,343.5万-28.25%6,343.5万
负债总额 26.60%2.34亿27.32%2.18亿19.69%2.02亿17.06%1.73亿17.06%1.73亿19.13%1.85亿-31.37%1.71亿-28.92%1.69亿-33.54%1.48亿-33.54%1.48亿
所有者权益
股本 0.00%4.4万0.00%4.4万0.00%4.4万0.00%4.4万0.00%4.4万0.00%4.4万0.00%4.4万0.00%4.4万0.00%4.4万0.00%4.4万
-普通股 0.00%4.4万0.00%4.4万0.00%4.4万0.00%4.4万0.00%4.4万0.00%4.4万0.00%4.4万0.00%4.4万0.00%4.4万0.00%4.4万
资本公积 0.00%3,019.4万0.00%3,019.4万0.00%3,019.4万0.00%3,019.4万0.00%3,019.4万0.00%3,019.4万0.00%3,019.4万0.00%3,019.4万0.00%3,019.4万0.00%3,019.4万
留存收益 97.38%1.47亿102.13%9,260万76.91%4,904.6万269.78%9,755.2万269.78%9,755.2万1,514.14%7,433.1万25.98%4,581.2万16.48%2,772.4万104.95%2,638.1万104.95%2,638.1万
其他储备 19.21%3.27亿23.50%3.38亿23.27%3.38亿-2.83%2.81亿-2.83%2.81亿-5.49%2.74亿-5.30%2.74亿-4.04%2.74亿-4.78%2.89亿-4.78%2.89亿
股东权益 33.03%5.03亿31.76%4.61亿25.63%4.17亿18.23%4.09亿18.23%4.09亿16.57%3.78亿-1.66%3.5亿-2.25%3.32亿-0.29%3.46亿-0.29%3.46亿
非控制性权益 0.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,000
总权益 33.03%5.03亿31.76%4.61亿25.63%4.17亿18.23%4.09亿18.23%4.09亿16.57%3.78亿-1.66%3.5亿-2.25%3.32亿-0.29%3.46亿-0.29%3.46亿
会计准则 NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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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