加拿大市场个股详情

North American Construction Group Ltd (NOA)

添加自选
  • 19.820
  • +0.670+3.50%
延时15分钟行情已收盘 04/24 16:00 (美东)
5.48亿总市值17.39市盈率TTM

North American Construction Group Ltd (NOA) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
资产
流动资产
现金及现金等价物和短期投资
28.58%1亿
28.58%1亿
30.86%1.02亿
15.63%7,902.5万
-2.31%7,824.1万
-12.12%7,787.5万
-12.12%7,787.5万
92.06%7,767万
214.24%6,834.3万
411.49%8,009.5万
-现金和现金等价物
28.58%1亿
28.58%1亿
30.86%1.02亿
15.63%7,902.5万
-2.31%7,824.1万
-12.12%7,787.5万
-12.12%7,787.5万
92.06%7,767万
214.24%6,834.3万
411.49%8,009.5万
应收款项
5.40%1.79亿
5.40%1.79亿
7.91%1.88亿
35.82%2.11亿
33.83%2.07亿
28.09%1.7亿
28.09%1.7亿
89.36%1.74亿
73.36%1.55亿
51.23%1.54亿
-应收账款
-18.70%1.15亿
-18.70%1.15亿
7.29%1.45亿
33.45%1.63亿
30.19%1.57亿
72.49%1.41亿
72.49%1.41亿
114.82%1.35亿
82.05%1.22亿
51.94%1.2亿
-其他应收款
123.43%6,448.4万
123.43%6,448.4万
10.05%4,340.7万
44.55%4,806.6万
46.78%4,966万
-43.34%2,886.1万
-43.34%2,886.1万
34.74%3,944.2万
47.50%3,325.2万
48.79%3,383.4万
存货
9.61%7,566万
9.61%7,566万
-3.79%7,422.9万
6.96%7,421.7万
7.79%7,424.2万
6.26%6,902.7万
6.26%6,902.7万
35.15%7,715万
23.53%6,938.8万
29.31%6,887.6万
预付费用
-9.78%692.5万
-9.78%692.5万
2.32%867.4万
-30.24%554万
-17.91%652.3万
3.70%767.6万
3.70%767.6万
11.80%847.7万
-16.63%794.2万
-16.66%794.6万
持有待售资产
-84.33%10.7万
-84.33%10.7万
-98.48%11.2万
-93.62%68.3万
-37.79%78.2万
-49.03%68.3万
-49.03%68.3万
1,368.06%735.5万
1,132.11%1,070.7万
237.00%125.7万
流动资产合计
11.29%3.62亿
11.29%3.62亿
8.06%3.73亿
18.84%3.7亿
17.22%3.66亿
10.25%3.25亿
10.25%3.25亿
74.52%3.45亿
75.20%3.12亿
72.77%3.12亿
非流动资产
固定资产净额
8.30%13.7亿
8.30%13.7亿
11.91%13.98亿
11.79%13.62亿
12.43%13.26亿
9.42%12.65亿
9.42%12.65亿
76.31%12.49亿
74.67%12.18亿
74.04%11.8亿
-固定资产
10.63%19.52亿
10.63%19.52亿
14.53%19.74亿
13.71%19.01亿
12.81%18.3亿
11.77%17.65亿
11.77%17.65亿
53.57%17.24亿
52.02%16.72亿
51.32%16.22亿
-累计折旧
-16.51%-5.83亿
-16.51%-5.83亿
-21.43%-5.76亿
-18.87%-5.39亿
-13.85%-5.03亿
-18.18%-5亿
-18.18%-5亿
-14.67%-4.75亿
-12.77%-4.54亿
-12.23%-4.42亿
投资和预付款
-16.86%7,041.6万
-16.86%7,041.6万
0.20%8,536.5万
-2.49%7,918.1万
15.90%8,634.1万
4.00%8,469.2万
4.00%8,469.2万
-0.61%8,519.2万
-2.14%8,120.6万
-2.87%7,449.8万
-长期股权投资
-16.86%7,041.6万
-16.86%7,041.6万
0.20%8,536.5万
-2.49%7,918.1万
15.90%8,634.1万
4.00%8,469.2万
4.00%8,469.2万
-0.61%8,519.2万
-2.14%8,120.6万
-2.87%7,449.8万
金融资产
--0
--0
----
----
----
1,625.76%395.2万
1,625.76%395.2万
----
----
----
长期应收票据
324.11%47.5万
324.11%47.5万
----
----
----
-68.00%11.2万
-68.00%11.2万
----
----
----
长期预付费用
-4.33%39.8万
-4.33%39.8万
----
----
----
181.08%41.6万
181.08%41.6万
----
----
----
商誉及其他无形资产
23.48%1,286.8万
23.48%1,286.8万
6.02%1,065.7万
25.95%1,015.9万
32.28%1,007.2万
39.00%1,042.1万
39.00%1,042.1万
70.92%1,005.2万
30.12%806.6万
15.49%761.4万
-商誉
2.88%53.5万
2.88%53.5万
----
----
----
-1.14%52万
-1.14%52万
----
----
----
-其他无形资产
24.56%1,233.3万
24.56%1,233.3万
----
----
----
42.03%990.1万
42.03%990.1万
----
----
----
非流动递延资产
-21.78%379万
-21.78%379万
----
----
----
-17.76%484.5万
-17.76%484.5万
----
----
----
其他非流动资产
----
----
8.40%550.9万
2.28%579.5万
-7.22%558.1万
----
----
-54.62%508.2万
-16.42%566.6万
-25.55%601.5万
非流动资产合计
6.46%14.58亿
6.46%14.58亿
11.11%14.99亿
10.95%14.57亿
12.66%14.28亿
9.41%13.69亿
9.41%13.69亿
66.28%13.49亿
65.49%13.13亿
64.82%12.68亿
总资产
7.39%18.2亿
7.39%18.2亿
10.49%18.72亿
12.46%18.27亿
13.56%17.94亿
9.57%16.95亿
9.57%16.95亿
67.89%16.94亿
67.27%16.25亿
66.34%15.8亿
负债
流动负债
短期借款与资本租赁负债
87.88%1.77亿
87.88%1.77亿
59.87%1.54亿
61.30%1.51亿
76.34%1.52亿
-0.18%9,426.4万
-0.18%9,426.4万
134.26%9,633.7万
111.57%9,363.2万
89.67%8,606.9万
-短期借款
89.86%1.76亿
89.86%1.76亿
61.34%1.52亿
62.61%1.5亿
78.55%1.5亿
-0.22%9,249.3万
-0.22%9,249.3万
140.07%9,448.5万
117.31%9,196.2万
96.59%8,417.8万
-短期资本租赁负债
-15.58%149.5万
-15.58%149.5万
-14.90%157.6万
-10.90%148.8万
-22.00%147.5万
1.66%177.1万
1.66%177.1万
4.81%185.2万
-13.78%167万
-26.16%189.1万
应付款项
-17.47%1.11亿
-17.47%1.11亿
-0.33%1.23亿
19.46%1.43亿
11.84%1.39亿
-23.41%1.34亿
-23.41%1.34亿
61.62%1.23亿
47.93%1.2亿
52.40%1.24亿
-应付账款
-7.85%1.02亿
-7.85%1.02亿
-0.33%1.23亿
19.46%1.43亿
11.84%1.39亿
-24.24%1.11亿
-24.24%1.11亿
61.62%1.23亿
47.93%1.2亿
52.40%1.24亿
-应付税费
-73.07%553.5万
-73.07%553.5万
----
----
----
-22.49%2,055.1万
-22.49%2,055.1万
----
----
----
-应付股利
8.27%327.2万
8.27%327.2万
----
----
----
13.01%302.2万
13.01%302.2万
----
----
----
应计费用
28.13%5,852.8万
28.13%5,852.8万
62.25%7,743.4万
6.77%6,096.6万
-3.33%5,945.4万
44.33%4,568万
44.33%4,568万
16.35%4,772.4万
145.76%5,710万
98.69%6,150.2万
养老金及其他退休福利计划
--186.8万
--186.8万
----
----
----
--0
--0
----
----
----
递延负债
1,075.31%2,284.8万
1,075.31%2,284.8万
7,526.00%2,287.8万
71,500.00%644.4万
392.97%673.4万
3,194.92%194.4万
3,194.92%194.4万
334.78%30万
--9,000
34,050.00%136.6万
其他流动负债
-0.23%3,965.5万
-0.23%3,965.5万
-16.43%3,142.4万
2.07%3,302.1万
47.26%4,013.9万
76.65%3,974.8万
76.65%3,974.8万
--3,760.1万
--3,235万
--2,725.8万
流动负债总额
30.04%4.11亿
30.04%4.11亿
33.89%4.08亿
30.27%3.95亿
32.17%3.97亿
-2.49%3.16亿
-2.49%3.16亿
92.62%3.05亿
104.02%3.03亿
90.35%3亿
非流动负债
长期借款与租赁负债
3.93%7.6亿
3.93%7.6亿
2.90%7.57亿
4.04%7.33亿
0.96%6.74亿
17.38%7.31亿
17.38%7.31亿
81.87%7.35亿
84.76%7.05亿
82.91%6.68亿
-长期借款
4.23%7.5亿
4.23%7.5亿
3.24%7.47亿
4.47%7.23亿
1.32%6.64亿
17.68%7.19亿
17.68%7.19亿
84.26%7.23亿
87.20%6.92亿
85.69%6.55亿
-长期租赁负债
-15.23%969.8万
-15.23%969.8万
-17.38%992.3万
-19.09%1,027.9万
-17.53%1,061.2万
1.19%1,144.1万
1.19%1,144.1万
2.12%1,201万
8.02%1,270.5万
3.90%1,286.8万
衍生品负债
--540.2万
--540.2万
----
----
----
--0
--0
----
----
----
员工福利
-41.85%1,401.2万
-41.85%1,401.2万
----
----
----
12.80%2,409.6万
12.80%2,409.6万
----
----
----
递延负债
-0.89%1.43亿
-0.89%1.43亿
17.72%1.39亿
16.36%1.32亿
17.44%1.28亿
15.58%1.44亿
15.58%1.44亿
46.36%1.18亿
41.78%1.14亿
37.49%1.09亿
其他非流动负债
-66.49%3,021.3万
-66.49%3,021.3万
-32.81%9,642.5万
-13.64%1.07亿
-2.67%1.34亿
-6.93%9,016.4万
-6.93%9,016.4万
453.62%1.44亿
404.66%1.24亿
526.87%1.38亿
非流动负债总额
-3.76%9.52亿
-3.76%9.52亿
-0.49%9.92亿
3.21%9.72亿
2.37%9.36亿
14.29%9.9亿
14.29%9.9亿
95.12%9.97亿
93.77%9.42亿
96.11%9.14亿
负债总额
4.42%13.63亿
4.42%13.63亿
7.57%14.01亿
9.79%13.67亿
9.74%13.33亿
9.72%13.05亿
9.72%13.05亿
94.53%13.02亿
96.17%12.45亿
94.66%12.14亿
所有者权益
股本
23.58%2.83亿
23.58%2.83亿
25.74%2.89亿
28.60%2.95亿
30.25%2.99亿
-0.22%2.29亿
-0.22%2.29亿
0.00%2.29亿
0.00%2.29亿
0.00%2.29亿
-普通股股本
23.58%2.83亿
23.58%2.83亿
25.74%2.89亿
28.60%2.95亿
30.25%2.99亿
-0.22%2.29亿
-0.22%2.29亿
0.00%2.29亿
0.00%2.29亿
0.00%2.29亿
资本公积
-86.52%280.7万
-86.52%280.7万
-65.69%772.7万
-27.90%1,678.3万
-5.80%2,085.6万
0.39%2,081.9万
0.39%2,081.9万
16.53%2,252.4万
-5.29%2,327.9万
-4.70%2,214万
留存收益
12.92%1.76亿
12.92%1.76亿
16.33%1.8亿
15.82%1.66亿
20.61%1.59亿
27.02%1.56亿
27.02%1.56亿
42.88%1.54亿
44.00%1.43亿
46.81%1.32亿
减:库存股
-5.78%1,499.3万
-5.78%1,499.3万
-6.74%1,474.3万
-1.45%1,615.6万
-1.48%1,603.6万
-1.56%1,591.3万
-1.56%1,591.3万
-1.51%1,580.9万
-1.84%1,639.4万
-1.67%1,627.7万
不影响留存收益的损益
951.81%938.7万
951.81%938.7万
640.71%997万
-612.12%-118.3万
43.27%-62.4万
-170.76%-110.2万
-170.76%-110.2万
216.44%134.6万
512.50%23.1万
-404.71%-110万
股东权益总额
17.37%4.57亿
17.37%4.57亿
20.20%4.71亿
21.23%4.6亿
26.23%4.62亿
9.08%3.89亿
9.08%3.89亿
15.39%3.92亿
12.78%3.8亿
12.18%3.66亿
总权益
17.37%4.57亿
17.37%4.57亿
20.20%4.71亿
21.23%4.6亿
26.23%4.62亿
9.08%3.89亿
9.08%3.89亿
15.39%3.92亿
12.78%3.8亿
12.18%3.66亿
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
--
--
--
--
(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
资产
流动资产
现金及现金等价物和短期投资 28.58%1亿28.58%1亿30.86%1.02亿15.63%7,902.5万-2.31%7,824.1万-12.12%7,787.5万-12.12%7,787.5万92.06%7,767万214.24%6,834.3万411.49%8,009.5万
-现金和现金等价物 28.58%1亿28.58%1亿30.86%1.02亿15.63%7,902.5万-2.31%7,824.1万-12.12%7,787.5万-12.12%7,787.5万92.06%7,767万214.24%6,834.3万411.49%8,009.5万
应收款项 5.40%1.79亿5.40%1.79亿7.91%1.88亿35.82%2.11亿33.83%2.07亿28.09%1.7亿28.09%1.7亿89.36%1.74亿73.36%1.55亿51.23%1.54亿
-应收账款 -18.70%1.15亿-18.70%1.15亿7.29%1.45亿33.45%1.63亿30.19%1.57亿72.49%1.41亿72.49%1.41亿114.82%1.35亿82.05%1.22亿51.94%1.2亿
-其他应收款 123.43%6,448.4万123.43%6,448.4万10.05%4,340.7万44.55%4,806.6万46.78%4,966万-43.34%2,886.1万-43.34%2,886.1万34.74%3,944.2万47.50%3,325.2万48.79%3,383.4万
存货 9.61%7,566万9.61%7,566万-3.79%7,422.9万6.96%7,421.7万7.79%7,424.2万6.26%6,902.7万6.26%6,902.7万35.15%7,715万23.53%6,938.8万29.31%6,887.6万
预付费用 -9.78%692.5万-9.78%692.5万2.32%867.4万-30.24%554万-17.91%652.3万3.70%767.6万3.70%767.6万11.80%847.7万-16.63%794.2万-16.66%794.6万
持有待售资产 -84.33%10.7万-84.33%10.7万-98.48%11.2万-93.62%68.3万-37.79%78.2万-49.03%68.3万-49.03%68.3万1,368.06%735.5万1,132.11%1,070.7万237.00%125.7万
流动资产合计 11.29%3.62亿11.29%3.62亿8.06%3.73亿18.84%3.7亿17.22%3.66亿10.25%3.25亿10.25%3.25亿74.52%3.45亿75.20%3.12亿72.77%3.12亿
非流动资产
固定资产净额 8.30%13.7亿8.30%13.7亿11.91%13.98亿11.79%13.62亿12.43%13.26亿9.42%12.65亿9.42%12.65亿76.31%12.49亿74.67%12.18亿74.04%11.8亿
-固定资产 10.63%19.52亿10.63%19.52亿14.53%19.74亿13.71%19.01亿12.81%18.3亿11.77%17.65亿11.77%17.65亿53.57%17.24亿52.02%16.72亿51.32%16.22亿
-累计折旧 -16.51%-5.83亿-16.51%-5.83亿-21.43%-5.76亿-18.87%-5.39亿-13.85%-5.03亿-18.18%-5亿-18.18%-5亿-14.67%-4.75亿-12.77%-4.54亿-12.23%-4.42亿
投资和预付款 -16.86%7,041.6万-16.86%7,041.6万0.20%8,536.5万-2.49%7,918.1万15.90%8,634.1万4.00%8,469.2万4.00%8,469.2万-0.61%8,519.2万-2.14%8,120.6万-2.87%7,449.8万
-长期股权投资 -16.86%7,041.6万-16.86%7,041.6万0.20%8,536.5万-2.49%7,918.1万15.90%8,634.1万4.00%8,469.2万4.00%8,469.2万-0.61%8,519.2万-2.14%8,120.6万-2.87%7,449.8万
金融资产 --0--0------------1,625.76%395.2万1,625.76%395.2万------------
长期应收票据 324.11%47.5万324.11%47.5万-------------68.00%11.2万-68.00%11.2万------------
长期预付费用 -4.33%39.8万-4.33%39.8万------------181.08%41.6万181.08%41.6万------------
商誉及其他无形资产 23.48%1,286.8万23.48%1,286.8万6.02%1,065.7万25.95%1,015.9万32.28%1,007.2万39.00%1,042.1万39.00%1,042.1万70.92%1,005.2万30.12%806.6万15.49%761.4万
-商誉 2.88%53.5万2.88%53.5万-------------1.14%52万-1.14%52万------------
-其他无形资产 24.56%1,233.3万24.56%1,233.3万------------42.03%990.1万42.03%990.1万------------
非流动递延资产 -21.78%379万-21.78%379万-------------17.76%484.5万-17.76%484.5万------------
其他非流动资产 --------8.40%550.9万2.28%579.5万-7.22%558.1万---------54.62%508.2万-16.42%566.6万-25.55%601.5万
非流动资产合计 6.46%14.58亿6.46%14.58亿11.11%14.99亿10.95%14.57亿12.66%14.28亿9.41%13.69亿9.41%13.69亿66.28%13.49亿65.49%13.13亿64.82%12.68亿
总资产 7.39%18.2亿7.39%18.2亿10.49%18.72亿12.46%18.27亿13.56%17.94亿9.57%16.95亿9.57%16.95亿67.89%16.94亿67.27%16.25亿66.34%15.8亿
负债
流动负债
短期借款与资本租赁负债 87.88%1.77亿87.88%1.77亿59.87%1.54亿61.30%1.51亿76.34%1.52亿-0.18%9,426.4万-0.18%9,426.4万134.26%9,633.7万111.57%9,363.2万89.67%8,606.9万
-短期借款 89.86%1.76亿89.86%1.76亿61.34%1.52亿62.61%1.5亿78.55%1.5亿-0.22%9,249.3万-0.22%9,249.3万140.07%9,448.5万117.31%9,196.2万96.59%8,417.8万
-短期资本租赁负债 -15.58%149.5万-15.58%149.5万-14.90%157.6万-10.90%148.8万-22.00%147.5万1.66%177.1万1.66%177.1万4.81%185.2万-13.78%167万-26.16%189.1万
应付款项 -17.47%1.11亿-17.47%1.11亿-0.33%1.23亿19.46%1.43亿11.84%1.39亿-23.41%1.34亿-23.41%1.34亿61.62%1.23亿47.93%1.2亿52.40%1.24亿
-应付账款 -7.85%1.02亿-7.85%1.02亿-0.33%1.23亿19.46%1.43亿11.84%1.39亿-24.24%1.11亿-24.24%1.11亿61.62%1.23亿47.93%1.2亿52.40%1.24亿
-应付税费 -73.07%553.5万-73.07%553.5万-------------22.49%2,055.1万-22.49%2,055.1万------------
-应付股利 8.27%327.2万8.27%327.2万------------13.01%302.2万13.01%302.2万------------
应计费用 28.13%5,852.8万28.13%5,852.8万62.25%7,743.4万6.77%6,096.6万-3.33%5,945.4万44.33%4,568万44.33%4,568万16.35%4,772.4万145.76%5,710万98.69%6,150.2万
养老金及其他退休福利计划 --186.8万--186.8万--------------0--0------------
递延负债 1,075.31%2,284.8万1,075.31%2,284.8万7,526.00%2,287.8万71,500.00%644.4万392.97%673.4万3,194.92%194.4万3,194.92%194.4万334.78%30万--9,00034,050.00%136.6万
其他流动负债 -0.23%3,965.5万-0.23%3,965.5万-16.43%3,142.4万2.07%3,302.1万47.26%4,013.9万76.65%3,974.8万76.65%3,974.8万--3,760.1万--3,235万--2,725.8万
流动负债总额 30.04%4.11亿30.04%4.11亿33.89%4.08亿30.27%3.95亿32.17%3.97亿-2.49%3.16亿-2.49%3.16亿92.62%3.05亿104.02%3.03亿90.35%3亿
非流动负债
长期借款与租赁负债 3.93%7.6亿3.93%7.6亿2.90%7.57亿4.04%7.33亿0.96%6.74亿17.38%7.31亿17.38%7.31亿81.87%7.35亿84.76%7.05亿82.91%6.68亿
-长期借款 4.23%7.5亿4.23%7.5亿3.24%7.47亿4.47%7.23亿1.32%6.64亿17.68%7.19亿17.68%7.19亿84.26%7.23亿87.20%6.92亿85.69%6.55亿
-长期租赁负债 -15.23%969.8万-15.23%969.8万-17.38%992.3万-19.09%1,027.9万-17.53%1,061.2万1.19%1,144.1万1.19%1,144.1万2.12%1,201万8.02%1,270.5万3.90%1,286.8万
衍生品负债 --540.2万--540.2万--------------0--0------------
员工福利 -41.85%1,401.2万-41.85%1,401.2万------------12.80%2,409.6万12.80%2,409.6万------------
递延负债 -0.89%1.43亿-0.89%1.43亿17.72%1.39亿16.36%1.32亿17.44%1.28亿15.58%1.44亿15.58%1.44亿46.36%1.18亿41.78%1.14亿37.49%1.09亿
其他非流动负债 -66.49%3,021.3万-66.49%3,021.3万-32.81%9,642.5万-13.64%1.07亿-2.67%1.34亿-6.93%9,016.4万-6.93%9,016.4万453.62%1.44亿404.66%1.24亿526.87%1.38亿
非流动负债总额 -3.76%9.52亿-3.76%9.52亿-0.49%9.92亿3.21%9.72亿2.37%9.36亿14.29%9.9亿14.29%9.9亿95.12%9.97亿93.77%9.42亿96.11%9.14亿
负债总额 4.42%13.63亿4.42%13.63亿7.57%14.01亿9.79%13.67亿9.74%13.33亿9.72%13.05亿9.72%13.05亿94.53%13.02亿96.17%12.45亿94.66%12.14亿
所有者权益
股本 23.58%2.83亿23.58%2.83亿25.74%2.89亿28.60%2.95亿30.25%2.99亿-0.22%2.29亿-0.22%2.29亿0.00%2.29亿0.00%2.29亿0.00%2.29亿
-普通股股本 23.58%2.83亿23.58%2.83亿25.74%2.89亿28.60%2.95亿30.25%2.99亿-0.22%2.29亿-0.22%2.29亿0.00%2.29亿0.00%2.29亿0.00%2.29亿
资本公积 -86.52%280.7万-86.52%280.7万-65.69%772.7万-27.90%1,678.3万-5.80%2,085.6万0.39%2,081.9万0.39%2,081.9万16.53%2,252.4万-5.29%2,327.9万-4.70%2,214万
留存收益 12.92%1.76亿12.92%1.76亿16.33%1.8亿15.82%1.66亿20.61%1.59亿27.02%1.56亿27.02%1.56亿42.88%1.54亿44.00%1.43亿46.81%1.32亿
减:库存股 -5.78%1,499.3万-5.78%1,499.3万-6.74%1,474.3万-1.45%1,615.6万-1.48%1,603.6万-1.56%1,591.3万-1.56%1,591.3万-1.51%1,580.9万-1.84%1,639.4万-1.67%1,627.7万
不影响留存收益的损益 951.81%938.7万951.81%938.7万640.71%997万-612.12%-118.3万43.27%-62.4万-170.76%-110.2万-170.76%-110.2万216.44%134.6万512.50%23.1万-404.71%-110万
股东权益总额 17.37%4.57亿17.37%4.57亿20.20%4.71亿21.23%4.6亿26.23%4.62亿9.08%3.89亿9.08%3.89亿15.39%3.92亿12.78%3.8亿12.18%3.66亿
总权益 17.37%4.57亿17.37%4.57亿20.20%4.71亿21.23%4.6亿26.23%4.62亿9.08%3.89亿9.08%3.89亿15.39%3.92亿12.78%3.8亿12.18%3.66亿
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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