加拿大市场个股详情

Neo Performance Materials Inc (NEO)

添加自选
  • 19.420
  • +0.360+1.89%
延时15分钟行情交易中 01/16 15:21 (美东)
8.08亿总市值-87.09市盈率TTM

Neo Performance Materials Inc (NEO) 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
-5.33%6,148.1万
-20.04%8,034.3万
-23.96%7,732.9万
-1.62%8,548.9万
-1.62%8,548.9万
-42.74%6,494.4万
-20.83%1亿
-30.23%1.02亿
-41.08%8,689.5万
-41.08%8,689.5万
-现金和现金等价物
-5.33%6,148.1万
-20.04%8,034.3万
-23.96%7,732.9万
-1.62%8,548.9万
-1.62%8,548.9万
-42.74%6,494.4万
-20.83%1亿
-30.23%1.02亿
-41.08%8,689.5万
-41.08%8,689.5万
应收款项
31.34%1.08亿
41.66%9,978.7万
1.42%8,342.7万
-5.15%7,600.5万
-5.15%7,600.5万
13.61%8,190.6万
-20.40%7,044.3万
22.30%8,225.8万
-9.20%8,013.6万
-9.20%8,013.6万
-应收账款
33.77%9,066.2万
41.30%8,311.6万
2.80%6,639.3万
-9.48%6,123.2万
-9.48%6,123.2万
-4.56%6,777.7万
-32.62%5,882.2万
-2.14%6,458.7万
-16.91%6,764.3万
-16.91%6,764.3万
-应收票据
70.99%188.6万
-74.65%94.8万
-89.99%89.2万
-69.06%134.2万
-69.06%134.2万
--110.3万
--374万
--891.3万
354.61%433.7万
354.61%433.7万
-应收税费
15.36%1,502.7万
99.51%1,572.3万
84.31%1,614.2万
64.68%1,343.1万
64.68%1,343.1万
1,106.11%1,302.6万
561.71%788.1万
595.08%875.8万
38.40%815.6万
38.40%815.6万
存货
15.77%1.61亿
-10.52%1.47亿
-15.82%1.44亿
-29.44%1.39亿
-29.44%1.39亿
-29.59%1.39亿
-7.91%1.64亿
-9.08%1.71亿
-7.17%1.97亿
-7.17%1.97亿
预付费用
-48.40%951万
-36.62%672.7万
-49.03%638.7万
69.61%1,182万
69.61%1,182万
--1,842.9万
--1,061.4万
--1,253万
-55.75%696.9万
-55.75%696.9万
受限制现金
----
----
----
--0
--0
--0
-98.38%5.3万
-95.64%5.2万
184.73%335.7万
184.73%335.7万
持有待售资产
--0
--0
--0
--4,094.9万
--4,094.9万
72,337.88%4,780.9万
----
----
--0
--0
其他流动资产
-46.04%150万
-58.48%179.3万
138.18%352.5万
-53.48%177.9万
-53.48%177.9万
-86.83%278万
-82.06%431.8万
-95.03%148万
268.76%382.4万
268.76%382.4万
流动资产合计
-3.92%3.41亿
-4.15%3.35亿
-14.74%3.14亿
-6.15%3.55亿
-6.15%3.55亿
-12.87%3.55亿
-16.87%3.5亿
-14.60%3.69亿
-18.82%3.79亿
-18.82%3.79亿
非流动资产
固定资产净额
19.52%1.96亿
28.66%1.9亿
39.19%1.85亿
50.46%1.79亿
50.46%1.79亿
70.80%1.64亿
60.50%1.48亿
70.22%1.33亿
56.95%1.19亿
56.95%1.19亿
-固定资产
11.28%2.88亿
14.91%2.81亿
19.12%2.73亿
24.07%2.65亿
24.07%2.65亿
37.55%2.59亿
34.44%2.44亿
50.55%2.29亿
45.75%2.14亿
45.75%2.14亿
-累计折旧
2.98%-9,197.5万
6.18%-9,038.5万
8.69%-8,762.6万
9.01%-8,634.3万
9.01%-8,634.3万
-2.89%-9,479.6万
-7.62%-9,634.3万
-29.76%-9,597万
-33.78%-9,489.4万
-33.78%-9,489.4万
投资和预付款
32.29%2,037.7万
24.24%1,985.9万
27.49%1,982.6万
-9.05%1,633万
-9.05%1,633万
-9.08%1,540.3万
-10.11%1,598.5万
-2.77%1,555.1万
9.73%1,795.5万
9.73%1,795.5万
-长期股权投资
10.99%1,709.6万
4.50%1,670.5万
6.86%1,661.8万
-9.05%1,633万
-9.05%1,633万
-9.08%1,540.3万
-10.11%1,598.5万
-2.77%1,555.1万
9.73%1,795.5万
9.73%1,795.5万
-金融资产投资
--328.1万
--315.4万
--320.8万
----
----
----
----
----
----
----
-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
--24.1万
--11.5万
--16.8万
----
----
----
----
----
----
----
-其中:可供出售证券
--304万
--303.9万
--304万
----
----
----
----
----
----
----
商誉及其他无形资产
-5.02%9,608.7万
-3.23%9,673.6万
-4.48%9,696.7万
-5.85%9,760.9万
-5.85%9,760.9万
-1.40%1.01亿
-4.03%9,996.7万
-6.71%1.02亿
-4.91%1.04亿
-4.91%1.04亿
-商誉
-1.00%6,507.7万
0.86%6,477.6万
-0.27%6,427.7万
-1.74%6,402.9万
-1.74%6,402.9万
2.67%6,573.5万
-0.14%6,422.3万
-3.24%6,445.3万
-1.34%6,516万
-1.34%6,516万
-其他无形资产
-12.47%3,101万
-10.59%3,196万
-11.79%3,269万
-12.80%3,358万
-12.80%3,358万
-8.15%3,542.7万
-10.31%3,574.4万
-12.18%3,705.8万
-10.41%3,851.1万
-10.41%3,851.1万
非流动递延资产
-0.19%311.4万
-43.92%387.6万
-41.13%408.5万
-40.16%404.5万
-40.16%404.5万
-59.52%312万
-24.22%691.1万
-20.30%693.9万
-2.82%676万
-2.82%676万
其他非流动资产
473.26%608.8万
600.77%634.2万
-19.54%77.4万
-7.88%98.2万
-7.88%98.2万
-10.30%106.2万
-35.40%90.5万
-37.17%96.2万
-44.85%106.6万
-44.85%106.6万
非流动资产合计
12.97%3.22亿
16.72%3.17亿
18.92%3.07亿
19.94%2.98亿
19.94%2.98亿
26.87%2.85亿
20.95%2.72亿
21.02%2.58亿
18.25%2.48亿
18.25%2.48亿
总资产
3.60%6.62亿
4.97%6.52亿
-0.88%6.21亿
4.19%6.53亿
4.19%6.53亿
1.26%6.39亿
-3.71%6.22亿
-2.82%6.27亿
-7.31%6.27亿
-7.31%6.27亿
负债
流动负债
短期借款与资本租赁负债
-2.87%638.6万
-13.73%553.6万
23.87%835万
120.31%857.9万
120.31%857.9万
68.33%657.5万
310.82%641.7万
25.32%674.1万
-79.82%389.4万
-79.82%389.4万
-短期借款
--69.3万
----
--275.6万
--274万
--274万
----
----
----
----
----
-银行债务
-4.98%492.3万
-3.04%449.3万
-4.09%447.6万
106.73%461万
106.73%461万
115.34%518.1万
--463.4万
511.66%466.7万
198.53%223万
198.53%223万
-短期资本租赁负债
-44.76%77万
-41.50%104.3万
-46.09%111.8万
-26.14%122.9万
-26.14%122.9万
-7.07%139.4万
14.74%178.3万
48.78%207.4万
31.65%166.4万
31.65%166.4万
应付款项
34.46%9,337.9万
38.18%7,997.7万
16.89%7,487万
-1.46%8,000.9万
-1.46%8,000.9万
-13.36%6,944.5万
-23.09%5,787.9万
-4.21%6,405万
2.61%8,119.1万
2.61%8,119.1万
-应付账款
25.71%7,936.8万
24.15%6,655.6万
10.50%6,267.2万
-3.39%6,954.6万
-3.39%6,954.6万
-10.20%6,313.4万
-14.33%5,360.8万
-1.81%5,671.8万
4.18%7,198.4万
4.18%7,198.4万
-应付税费
122.01%1,401.1万
214.24%1,342.1万
66.37%1,219.8万
13.64%1,046.3万
13.64%1,046.3万
-35.90%631.1万
-66.31%427.1万
-19.40%733.2万
-8.23%920.7万
-8.23%920.7万
现行拨备
5.20%58.7万
-18.21%58.4万
-29.96%54万
1,420.29%1,251.2万
1,420.29%1,251.2万
-53.50%55.8万
-45.03%71.4万
-42.76%77.1万
-39.88%82.3万
-39.88%82.3万
其他流动负债
-13.49%5,206.1万
23.20%5,032.2万
20.96%4,644.5万
57.67%5,831.7万
57.67%5,831.7万
61.94%6,018.1万
6.60%4,084.7万
17.82%3,839.6万
28.21%3,698.6万
28.21%3,698.6万
流动负债总额
11.45%1.52亿
28.87%1.36亿
18.41%1.3亿
29.72%1.59亿
29.72%1.59亿
11.71%1.37亿
-9.08%1.06亿
3.56%1.1亿
-4.47%1.23亿
-4.47%1.23亿
非流动负债
长期借款与租赁负债
100.42%8,736.9万
88.31%9,217.9万
41.98%6,702.2万
164.16%6,743万
164.16%6,743万
67.00%4,359.3万
62.68%4,895.1万
50.11%4,720.4万
-16.85%2,552.6万
-16.85%2,552.6万
-长期借款
111.38%8,431.6万
98.80%8,910.2万
42.88%6,391.3万
177.85%6,418.6万
177.85%6,418.6万
74.61%3,988.9万
68.44%4,482万
49.60%4,473.3万
-22.70%2,310.1万
-22.70%2,310.1万
-长期租赁负债
-17.58%305.3万
-25.51%307.7万
25.82%310.9万
33.77%324.4万
33.77%324.4万
13.65%370.4万
18.64%413.1万
60.04%247.1万
198.28%242.5万
198.28%242.5万
衍生品负债
0.29%140.6万
8.46%143.6万
2.27%135.2万
21.16%131.1万
21.16%131.1万
-24.54%140.2万
-30.10%132.4万
--132.2万
--108.2万
--108.2万
长期拨备
-65.50%663.9万
-74.82%663.6万
-77.67%592.4万
-74.33%672.6万
-74.33%672.6万
-22.93%1,924.1万
6.90%2,635.4万
8.77%2,652.5万
10.99%2,619.7万
10.99%2,619.7万
员工福利
----
----
----
----
----
-72.69%12.4万
-75.49%11.2万
-78.65%10.1万
----
----
递延负债
-9.22%1,021.6万
-19.91%998.7万
-6.63%1,165.5万
-11.53%1,264.6万
-11.53%1,264.6万
-30.13%1,125.4万
-21.42%1,247万
-12.13%1,248.3万
2.52%1,429.4万
2.52%1,429.4万
其他非流动负债
-78.65%28.5万
-37.24%71.3万
-43.04%71.6万
-50.47%84.2万
-50.47%84.2万
-59.85%133.5万
-70.58%113.6万
-12.89%125.7万
17.89%170万
17.89%170万
非流动负债总额
37.64%1.06亿
22.81%1.11亿
-2.50%8,666.9万
29.30%8,895.5万
29.30%8,895.5万
5.68%7,694.9万
17.60%9,034.7万
23.54%8,889.2万
-1.96%6,879.9万
-1.96%6,879.9万
负债总额
20.88%2.58亿
26.08%2.47亿
9.06%2.17亿
29.57%2.48亿
29.57%2.48亿
9.46%2.14亿
1.52%1.96亿
11.63%1.99亿
-3.58%1.92亿
-3.58%1.92亿
所有者权益
股本
0.00%4.2万
0.00%4.2万
0.00%4.2万
0.00%4.2万
0.00%4.2万
0.00%4.2万
-6.67%4.2万
-6.67%4.2万
-6.67%4.2万
-6.67%4.2万
-普通股股本
0.00%4.2万
0.00%4.2万
0.00%4.2万
0.00%4.2万
0.00%4.2万
0.00%4.2万
-6.67%4.2万
-6.67%4.2万
-6.67%4.2万
-6.67%4.2万
资本公积
-0.34%4.71亿
-0.25%4.71亿
0.42%4.73亿
-0.17%4.73亿
-0.17%4.73亿
-0.60%4.73亿
-3.71%4.72亿
-4.13%4.71亿
-3.47%4.74亿
-3.47%4.74亿
留存收益
-48.21%-5,746.6万
-68.77%-5,581.5万
-89.64%-5,831.5万
-88.78%-5,388.7万
-88.78%-5,388.7万
-62.62%-3,877.3万
-40.29%-3,307.1万
-49.71%-3,075.1万
-325.60%-2,854.5万
-325.60%-2,854.5万
不影响留存收益的损益
13.06%-981万
38.35%-1,041.4万
29.02%-1,126.8万
-29.19%-1,697.9万
-29.19%-1,697.9万
38.03%-1,128.4万
2.19%-1,689.1万
-117.18%-1,587.6万
-35.62%-1,314.3万
-35.62%-1,314.3万
股东权益总额
-4.45%4.04亿
-4.13%4.05亿
-4.94%4.04亿
-6.94%4.02亿
-6.94%4.02亿
-2.51%4.23亿
-6.08%4.22亿
-8.43%4.25亿
-8.92%4.32亿
-8.92%4.32亿
非控制性权益
-86.01%45.3万
-84.74%50.7万
-81.01%59.2万
-14.22%271.4万
-14.22%271.4万
11.42%323.8万
15.59%332.2万
5.70%311.7万
-0.91%316.4万
-0.91%316.4万
总权益
-5.07%4.04亿
-4.76%4.05亿
-5.50%4.04亿
-6.99%4.05亿
-6.99%4.05亿
-2.42%4.26亿
-5.94%4.25亿
-8.34%4.28亿
-8.86%4.35亿
-8.86%4.35亿
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
--
--
--
--
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 -5.33%6,148.1万-20.04%8,034.3万-23.96%7,732.9万-1.62%8,548.9万-1.62%8,548.9万-42.74%6,494.4万-20.83%1亿-30.23%1.02亿-41.08%8,689.5万-41.08%8,689.5万
-现金和现金等价物 -5.33%6,148.1万-20.04%8,034.3万-23.96%7,732.9万-1.62%8,548.9万-1.62%8,548.9万-42.74%6,494.4万-20.83%1亿-30.23%1.02亿-41.08%8,689.5万-41.08%8,689.5万
应收款项 31.34%1.08亿41.66%9,978.7万1.42%8,342.7万-5.15%7,600.5万-5.15%7,600.5万13.61%8,190.6万-20.40%7,044.3万22.30%8,225.8万-9.20%8,013.6万-9.20%8,013.6万
-应收账款 33.77%9,066.2万41.30%8,311.6万2.80%6,639.3万-9.48%6,123.2万-9.48%6,123.2万-4.56%6,777.7万-32.62%5,882.2万-2.14%6,458.7万-16.91%6,764.3万-16.91%6,764.3万
-应收票据 70.99%188.6万-74.65%94.8万-89.99%89.2万-69.06%134.2万-69.06%134.2万--110.3万--374万--891.3万354.61%433.7万354.61%433.7万
-应收税费 15.36%1,502.7万99.51%1,572.3万84.31%1,614.2万64.68%1,343.1万64.68%1,343.1万1,106.11%1,302.6万561.71%788.1万595.08%875.8万38.40%815.6万38.40%815.6万
存货 15.77%1.61亿-10.52%1.47亿-15.82%1.44亿-29.44%1.39亿-29.44%1.39亿-29.59%1.39亿-7.91%1.64亿-9.08%1.71亿-7.17%1.97亿-7.17%1.97亿
预付费用 -48.40%951万-36.62%672.7万-49.03%638.7万69.61%1,182万69.61%1,182万--1,842.9万--1,061.4万--1,253万-55.75%696.9万-55.75%696.9万
受限制现金 --------------0--0--0-98.38%5.3万-95.64%5.2万184.73%335.7万184.73%335.7万
持有待售资产 --0--0--0--4,094.9万--4,094.9万72,337.88%4,780.9万----------0--0
其他流动资产 -46.04%150万-58.48%179.3万138.18%352.5万-53.48%177.9万-53.48%177.9万-86.83%278万-82.06%431.8万-95.03%148万268.76%382.4万268.76%382.4万
流动资产合计 -3.92%3.41亿-4.15%3.35亿-14.74%3.14亿-6.15%3.55亿-6.15%3.55亿-12.87%3.55亿-16.87%3.5亿-14.60%3.69亿-18.82%3.79亿-18.82%3.79亿
非流动资产
固定资产净额 19.52%1.96亿28.66%1.9亿39.19%1.85亿50.46%1.79亿50.46%1.79亿70.80%1.64亿60.50%1.48亿70.22%1.33亿56.95%1.19亿56.95%1.19亿
-固定资产 11.28%2.88亿14.91%2.81亿19.12%2.73亿24.07%2.65亿24.07%2.65亿37.55%2.59亿34.44%2.44亿50.55%2.29亿45.75%2.14亿45.75%2.14亿
-累计折旧 2.98%-9,197.5万6.18%-9,038.5万8.69%-8,762.6万9.01%-8,634.3万9.01%-8,634.3万-2.89%-9,479.6万-7.62%-9,634.3万-29.76%-9,597万-33.78%-9,489.4万-33.78%-9,489.4万
投资和预付款 32.29%2,037.7万24.24%1,985.9万27.49%1,982.6万-9.05%1,633万-9.05%1,633万-9.08%1,540.3万-10.11%1,598.5万-2.77%1,555.1万9.73%1,795.5万9.73%1,795.5万
-长期股权投资 10.99%1,709.6万4.50%1,670.5万6.86%1,661.8万-9.05%1,633万-9.05%1,633万-9.08%1,540.3万-10.11%1,598.5万-2.77%1,555.1万9.73%1,795.5万9.73%1,795.5万
-金融资产投资 --328.1万--315.4万--320.8万----------------------------
-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 --24.1万--11.5万--16.8万----------------------------
-其中:可供出售证券 --304万--303.9万--304万----------------------------
商誉及其他无形资产 -5.02%9,608.7万-3.23%9,673.6万-4.48%9,696.7万-5.85%9,760.9万-5.85%9,760.9万-1.40%1.01亿-4.03%9,996.7万-6.71%1.02亿-4.91%1.04亿-4.91%1.04亿
-商誉 -1.00%6,507.7万0.86%6,477.6万-0.27%6,427.7万-1.74%6,402.9万-1.74%6,402.9万2.67%6,573.5万-0.14%6,422.3万-3.24%6,445.3万-1.34%6,516万-1.34%6,516万
-其他无形资产 -12.47%3,101万-10.59%3,196万-11.79%3,269万-12.80%3,358万-12.80%3,358万-8.15%3,542.7万-10.31%3,574.4万-12.18%3,705.8万-10.41%3,851.1万-10.41%3,851.1万
非流动递延资产 -0.19%311.4万-43.92%387.6万-41.13%408.5万-40.16%404.5万-40.16%404.5万-59.52%312万-24.22%691.1万-20.30%693.9万-2.82%676万-2.82%676万
其他非流动资产 473.26%608.8万600.77%634.2万-19.54%77.4万-7.88%98.2万-7.88%98.2万-10.30%106.2万-35.40%90.5万-37.17%96.2万-44.85%106.6万-44.85%106.6万
非流动资产合计 12.97%3.22亿16.72%3.17亿18.92%3.07亿19.94%2.98亿19.94%2.98亿26.87%2.85亿20.95%2.72亿21.02%2.58亿18.25%2.48亿18.25%2.48亿
总资产 3.60%6.62亿4.97%6.52亿-0.88%6.21亿4.19%6.53亿4.19%6.53亿1.26%6.39亿-3.71%6.22亿-2.82%6.27亿-7.31%6.27亿-7.31%6.27亿
负债
流动负债
短期借款与资本租赁负债 -2.87%638.6万-13.73%553.6万23.87%835万120.31%857.9万120.31%857.9万68.33%657.5万310.82%641.7万25.32%674.1万-79.82%389.4万-79.82%389.4万
-短期借款 --69.3万------275.6万--274万--274万--------------------
-银行债务 -4.98%492.3万-3.04%449.3万-4.09%447.6万106.73%461万106.73%461万115.34%518.1万--463.4万511.66%466.7万198.53%223万198.53%223万
-短期资本租赁负债 -44.76%77万-41.50%104.3万-46.09%111.8万-26.14%122.9万-26.14%122.9万-7.07%139.4万14.74%178.3万48.78%207.4万31.65%166.4万31.65%166.4万
应付款项 34.46%9,337.9万38.18%7,997.7万16.89%7,487万-1.46%8,000.9万-1.46%8,000.9万-13.36%6,944.5万-23.09%5,787.9万-4.21%6,405万2.61%8,119.1万2.61%8,119.1万
-应付账款 25.71%7,936.8万24.15%6,655.6万10.50%6,267.2万-3.39%6,954.6万-3.39%6,954.6万-10.20%6,313.4万-14.33%5,360.8万-1.81%5,671.8万4.18%7,198.4万4.18%7,198.4万
-应付税费 122.01%1,401.1万214.24%1,342.1万66.37%1,219.8万13.64%1,046.3万13.64%1,046.3万-35.90%631.1万-66.31%427.1万-19.40%733.2万-8.23%920.7万-8.23%920.7万
现行拨备 5.20%58.7万-18.21%58.4万-29.96%54万1,420.29%1,251.2万1,420.29%1,251.2万-53.50%55.8万-45.03%71.4万-42.76%77.1万-39.88%82.3万-39.88%82.3万
其他流动负债 -13.49%5,206.1万23.20%5,032.2万20.96%4,644.5万57.67%5,831.7万57.67%5,831.7万61.94%6,018.1万6.60%4,084.7万17.82%3,839.6万28.21%3,698.6万28.21%3,698.6万
流动负债总额 11.45%1.52亿28.87%1.36亿18.41%1.3亿29.72%1.59亿29.72%1.59亿11.71%1.37亿-9.08%1.06亿3.56%1.1亿-4.47%1.23亿-4.47%1.23亿
非流动负债
长期借款与租赁负债 100.42%8,736.9万88.31%9,217.9万41.98%6,702.2万164.16%6,743万164.16%6,743万67.00%4,359.3万62.68%4,895.1万50.11%4,720.4万-16.85%2,552.6万-16.85%2,552.6万
-长期借款 111.38%8,431.6万98.80%8,910.2万42.88%6,391.3万177.85%6,418.6万177.85%6,418.6万74.61%3,988.9万68.44%4,482万49.60%4,473.3万-22.70%2,310.1万-22.70%2,310.1万
-长期租赁负债 -17.58%305.3万-25.51%307.7万25.82%310.9万33.77%324.4万33.77%324.4万13.65%370.4万18.64%413.1万60.04%247.1万198.28%242.5万198.28%242.5万
衍生品负债 0.29%140.6万8.46%143.6万2.27%135.2万21.16%131.1万21.16%131.1万-24.54%140.2万-30.10%132.4万--132.2万--108.2万--108.2万
长期拨备 -65.50%663.9万-74.82%663.6万-77.67%592.4万-74.33%672.6万-74.33%672.6万-22.93%1,924.1万6.90%2,635.4万8.77%2,652.5万10.99%2,619.7万10.99%2,619.7万
员工福利 ---------------------72.69%12.4万-75.49%11.2万-78.65%10.1万--------
递延负债 -9.22%1,021.6万-19.91%998.7万-6.63%1,165.5万-11.53%1,264.6万-11.53%1,264.6万-30.13%1,125.4万-21.42%1,247万-12.13%1,248.3万2.52%1,429.4万2.52%1,429.4万
其他非流动负债 -78.65%28.5万-37.24%71.3万-43.04%71.6万-50.47%84.2万-50.47%84.2万-59.85%133.5万-70.58%113.6万-12.89%125.7万17.89%170万17.89%170万
非流动负债总额 37.64%1.06亿22.81%1.11亿-2.50%8,666.9万29.30%8,895.5万29.30%8,895.5万5.68%7,694.9万17.60%9,034.7万23.54%8,889.2万-1.96%6,879.9万-1.96%6,879.9万
负债总额 20.88%2.58亿26.08%2.47亿9.06%2.17亿29.57%2.48亿29.57%2.48亿9.46%2.14亿1.52%1.96亿11.63%1.99亿-3.58%1.92亿-3.58%1.92亿
所有者权益
股本 0.00%4.2万0.00%4.2万0.00%4.2万0.00%4.2万0.00%4.2万0.00%4.2万-6.67%4.2万-6.67%4.2万-6.67%4.2万-6.67%4.2万
-普通股股本 0.00%4.2万0.00%4.2万0.00%4.2万0.00%4.2万0.00%4.2万0.00%4.2万-6.67%4.2万-6.67%4.2万-6.67%4.2万-6.67%4.2万
资本公积 -0.34%4.71亿-0.25%4.71亿0.42%4.73亿-0.17%4.73亿-0.17%4.73亿-0.60%4.73亿-3.71%4.72亿-4.13%4.71亿-3.47%4.74亿-3.47%4.74亿
留存收益 -48.21%-5,746.6万-68.77%-5,581.5万-89.64%-5,831.5万-88.78%-5,388.7万-88.78%-5,388.7万-62.62%-3,877.3万-40.29%-3,307.1万-49.71%-3,075.1万-325.60%-2,854.5万-325.60%-2,854.5万
不影响留存收益的损益 13.06%-981万38.35%-1,041.4万29.02%-1,126.8万-29.19%-1,697.9万-29.19%-1,697.9万38.03%-1,128.4万2.19%-1,689.1万-117.18%-1,587.6万-35.62%-1,314.3万-35.62%-1,314.3万
股东权益总额 -4.45%4.04亿-4.13%4.05亿-4.94%4.04亿-6.94%4.02亿-6.94%4.02亿-2.51%4.23亿-6.08%4.22亿-8.43%4.25亿-8.92%4.32亿-8.92%4.32亿
非控制性权益 -86.01%45.3万-84.74%50.7万-81.01%59.2万-14.22%271.4万-14.22%271.4万11.42%323.8万15.59%332.2万5.70%311.7万-0.91%316.4万-0.91%316.4万
总权益 -5.07%4.04亿-4.76%4.05亿-5.50%4.04亿-6.99%4.05亿-6.99%4.05亿-2.42%4.26亿-5.94%4.25亿-8.34%4.28亿-8.86%4.35亿-8.86%4.35亿
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ------无保留意见--------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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