美股市场个股详情

Pursuit Attractions and Hospitality (PRSU)

添加自选
  • 41.330
  • +0.290+0.71%
收盘价 04/17 15:59 (美东)
  • 41.603
  • +0.273+0.66%
盘后 20:01 (美东)
11.34亿总市值51.66市盈率TTM

Pursuit Attractions and Hospitality (PRSU) 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
-37.39%3,111.8万
-37.39%3,111.8万
-47.63%3,380.6万
-58.33%2,474.2万
-53.28%2,280.1万
81.16%4,970.2万
81.16%4,970.2万
-39.26%6,455.2万
11.66%5,938.1万
-3.97%4,879.9万
-现金和现金等价物
-37.39%3,111.8万
-37.39%3,111.8万
-47.63%3,380.6万
-58.33%2,474.2万
-53.28%2,280.1万
81.16%4,970.2万
81.16%4,970.2万
-39.26%6,455.2万
11.66%5,938.1万
-3.97%4,879.9万
应收款项
-38.17%1,118.1万
-38.17%1,118.1万
-82.28%3,110.2万
-86.49%2,525.7万
-91.05%1,358.7万
103.59%1,808.3万
103.59%1,808.3万
29.75%1.76亿
26.63%1.87亿
13.17%1.52亿
-应收账款
-1.25%915.1万
-1.25%915.1万
-83.04%2,860.2万
-87.00%2,416.7万
-92.90%1,073.5万
12.85%926.7万
12.85%926.7万
24.92%1.69亿
27.18%1.86亿
13.01%1.51亿
-应收税费
12,360.00%124.6万
12,360.00%124.6万
20,770.00%208.7万
----
----
-98.51%1万
-98.51%1万
-96.39%1万
-27.30%108.9万
66.25%67万
-其他应收款
-91.10%78.4万
-91.10%78.4万
-93.99%41.3万
--109万
--285.2万
--880.6万
--880.6万
--687.7万
----
----
存货
21.26%1,210.5万
21.26%1,210.5万
10.30%1,240.4万
13.18%1,710.4万
7.86%1,127.6万
5.39%998.3万
5.39%998.3万
5.13%1,124.6万
-4.62%1,511.2万
-10.67%1,045.4万
预付费用
5.02%867.6万
5.02%867.6万
-52.69%1,128.4万
-35.27%2,045.5万
-18.55%2,314.2万
-6.76%826.1万
-6.76%826.1万
9.42%2,385.2万
31.21%3,160万
22.32%2,841.3万
受限制现金
-90.94%57.6万
-90.94%57.6万
-80.70%58.3万
21.09%364万
-43.50%361.7万
118.23%635.5万
118.23%635.5万
-62.70%302万
-61.86%300.6万
0.53%640.2万
递延资产
--0
--0
-13.52%2,500万
-22.81%2,500万
-29.37%2,500万
--2,500万
--2,500万
-15.27%2,890.9万
76.85%3,238.6万
65.31%3,539.8万
其他流动资产
----
----
----
69.68%407.9万
-72.58%62.5万
49.48%171万
49.48%171万
18.76%248.8万
7.51%240.4万
31.28%227.9万
流动资产合计
-45.77%6,365.6万
-45.77%6,365.6万
-63.12%1.14亿
-63.65%1.2亿
-64.71%1亿
-50.21%1.17亿
-50.21%1.17亿
-2.75%3.1亿
22.91%3.31亿
13.69%2.84亿
非流动资产
固定资产净额
22.17%6.76亿
22.17%6.76亿
-5.74%6.5亿
-16.11%5.86亿
-20.55%5.57亿
-6.17%5.53亿
-6.17%5.53亿
0.75%6.89亿
2.75%6.98亿
7.33%7.01亿
-固定资产
21.29%9.72亿
21.29%9.72亿
-16.36%9.34亿
-22.36%8.64亿
-26.16%8.16亿
-1.50%8.02亿
-1.50%8.02亿
3.70%11.16亿
4.40%11.12亿
7.71%11.05亿
-累计折旧
-19.33%-2.97亿
-19.33%-2.97亿
33.51%-2.84亿
32.88%-2.78亿
35.91%-2.59亿
-10.75%-2.49亿
-10.75%-2.49亿
-8.85%-4.27亿
-7.29%-4.14亿
-8.39%-4.04亿
商誉及其他无形资产
34.81%2.26亿
34.81%2.26亿
29.24%2.25亿
3.46%1.8亿
-4.16%1.68亿
-6.21%1.68亿
-6.21%1.68亿
-1.92%1.74亿
-4.64%1.74亿
-2.68%1.76亿
-商誉
45.58%1.5亿
45.58%1.5亿
21.86%1.49亿
-10.27%1.08亿
-14.95%1.03亿
-16.61%1.03亿
-16.61%1.03亿
0.25%1.22亿
-2.59%1.21亿
-0.18%1.22亿
-其他无形资产
17.53%7,564.9万
17.53%7,564.9万
46.41%7,673.5万
34.68%7,141.5万
20.09%6,500.4万
17.29%6,436.6万
17.29%6,436.6万
-6.64%5,241万
-8.98%5,302.4万
-7.86%5,413万
投资和预付款
-98.50%7.9万
-98.50%7.9万
----
12.65%565.6万
4.66%521.2万
23.11%525.8万
23.11%525.8万
36.66%532.7万
24.01%502.1万
27.69%498万
长期应收款
----
----
----
-84.17%123.1万
-84.17%123.1万
--123.1万
--123.1万
-5.30%777.6万
-5.30%777.6万
-5.30%777.6万
非流动递延资产
----
----
----
----
-96.64%13万
14.42%11.9万
14.42%11.9万
44.67%621.5万
-12.28%483.5万
-22.17%387.3万
其他非流动资产
----
----
129.54%766.2万
-79.41%64.5万
-89.64%32.3万
-98.70%167.8万
-98.70%167.8万
-14.87%333.8万
-26.58%313.3万
-18.80%311.8万
非流动资产合计
23.93%9.02亿
23.93%9.02亿
-0.40%8.83亿
-13.41%7.73亿
-18.32%7.33亿
-19.29%7.28亿
-19.29%7.28亿
0.46%8.86亿
1.01%8.93亿
4.90%8.97亿
总资产
14.25%9.65亿
14.25%9.65亿
-16.64%9.97亿
-27.00%8.93亿
-29.46%8.33亿
-25.70%8.45亿
-25.70%8.45亿
-0.39%11.96亿
6.13%12.23亿
6.88%11.8亿
负债
流动负债
应付款项
18.23%3,020.3万
18.23%3,020.3万
-71.68%4,014.9万
-71.87%3,738.1万
-76.69%2,821.8万
28.52%2,554.6万
28.52%2,554.6万
34.79%1.42亿
9.74%1.33亿
7.30%1.21亿
-应付账款
-6.63%2,100.2万
-6.63%2,100.2万
-80.63%2,331.8万
-73.21%2,961.6万
-79.29%2,074.8万
52.67%2,249.4万
52.67%2,249.4万
47.69%1.2亿
4.24%1.11亿
7.00%1亿
-应付税费
201.47%920.1万
201.47%920.1万
-1.85%1,683.1万
-72.41%470.9万
-50.60%441.8万
-40.66%305.2万
-40.66%305.2万
-5.98%1,714.8万
69.94%1,706.9万
-4.36%894.4万
-应付股利
----
----
----
----
----
----
----
----
----
--195万
-其他应付款
----
----
----
-41.90%305.6万
-69.43%305.2万
----
----
-21.56%428.3万
5.66%526万
1.34%998.5万
应计费用
28.95%841.4万
28.95%841.4万
78.81%1,802.9万
22.50%751.3万
15.01%958.4万
-3.75%652.5万
-3.75%652.5万
30.86%1,008.3万
27.51%613.3万
90.38%833.3万
短期借款与租赁负债
-1.86%486.2万
-1.86%486.2万
-77.39%590.5万
-79.07%633.7万
-83.69%568.9万
-49.66%495.4万
-49.66%495.4万
13.35%2,612.1万
29.00%3,027.4万
36.96%3,488.8万
-短期借款
----
----
-83.82%134.5万
-87.97%155.7万
-94.02%102.4万
-71.61%187万
-71.61%187万
1.50%831.4万
54.47%1,294.8万
59.30%1,712.6万
-短期租赁负债
-1.86%486.2万
-1.86%486.2万
-74.39%456万
-72.41%478万
-73.74%466.5万
52.15%495.4万
52.15%495.4万
19.88%1,780.7万
14.84%1,732.6万
20.64%1,776.2万
递延负债
17.02%1,447.8万
17.02%1,447.8万
-80.34%1,331.6万
-59.70%3,343.3万
-73.18%2,205.7万
-0.73%1,237.2万
-0.73%1,237.2万
-17.81%6,772.1万
23.78%8,295.5万
34.46%8,224.8万
其他流动负债
-78.40%369.4万
-78.40%369.4万
-77.83%339.1万
-57.37%1,021.7万
-29.97%1,302.7万
-90.10%1,709.9万
-90.10%1,709.9万
13.05%1,529.6万
101.08%2,396.7万
25.07%1,860.2万
流动负债总额
3.14%7,879万
3.14%7,879万
-65.87%1.05亿
-62.58%1.16亿
-68.62%9,172.1万
-67.15%7,639.4万
-67.15%7,639.4万
15.26%3.08亿
20.16%3.09亿
18.90%2.92亿
非流动负债
长期借款与租赁负债
76.62%1.9亿
76.62%1.9亿
-66.69%1.59亿
-79.18%1.18亿
-80.28%1.12亿
-77.56%1.08亿
-77.56%1.08亿
-16.11%4.78亿
0.03%5.69亿
1.88%5.66亿
-长期借款
116.98%1.55亿
116.98%1.55亿
-82.93%6,520.6万
-95.05%2,322.2万
-96.30%1,711.3万
-83.84%7,144.3万
-83.84%7,144.3万
-17.01%3.82亿
2.15%4.69亿
1.22%4.62亿
-长期租赁负债
-2.74%3,533.9万
-2.74%3,533.9万
-2.44%9,414.4万
-4.30%9,517.5万
-8.95%9,456.3万
-4.48%3,633.6万
-4.48%3,633.6万
-12.32%9,650.2万
-8.88%9,945.6万
4.92%1.04亿
递延负债
46.43%3,401.6万
46.43%3,401.6万
17.55%3,355.6万
-7.16%2,591.1万
-13.57%2,380.9万
-17.72%2,323万
-17.72%2,323万
9.29%2,854.7万
-5.47%2,791万
0.03%2,754.6万
长期应计费用
----
----
----
----
----
----
----
-72.15%74.8万
-68.04%95.4万
-14.03%262.3万
员工福利
-95.94%69.9万
-95.94%69.9万
-81.99%633.8万
-80.62%682.3万
-66.64%1,182万
-19.62%1,723.6万
-19.62%1,723.6万
1.00%3,518.6万
-0.01%3,521.2万
0.66%3,543.1万
可转换优先证券
----
----
----
----
----
--0
--0
0.00%1.33亿
0.00%1.33亿
0.00%1.33亿
其他非流动负债
-94.70%11.9万
-94.70%11.9万
-85.01%243.7万
-82.25%288.3万
-82.01%294万
-5.87%224.7万
-5.87%224.7万
-4.23%1,626.1万
-8.19%1,623.9万
-2.74%1,634.3万
非流动负债总额
48.92%2.26亿
48.92%2.26亿
-70.75%2.03亿
-80.19%1.55亿
-80.69%1.51亿
-80.20%1.52亿
-80.20%1.52亿
-11.84%6.94亿
-0.84%7.84亿
1.19%7.85亿
总负债
33.60%3.05亿
33.60%3.05亿
-69.25%3.08亿
-75.21%2.71亿
-77.41%2.43亿
-77.17%2.28亿
-77.17%2.28亿
-4.98%10.02亿
4.31%10.93亿
5.46%10.77亿
所有者权益
股本
0.00%4,741.3万
0.00%4,741.3万
26.77%4,741.3万
26.77%4,741.3万
26.77%4,741.3万
26.77%4,741.3万
26.77%4,741.3万
0.00%3,740.2万
0.00%3,740.2万
0.00%3,740.2万
-普通股股本
0.00%4,741.3万
0.00%4,741.3万
26.77%4,741.3万
26.77%4,741.3万
26.77%4,741.3万
26.77%4,741.3万
26.77%4,741.3万
0.00%3,740.2万
0.00%3,740.2万
0.00%3,740.2万
留存收益
69.88%5,724.6万
69.88%5,724.6万
129.62%8,294.1万
102.51%820.7万
100.73%256.1万
110.33%3,369.7万
110.33%3,369.7万
9.32%-2.8亿
6.15%-3.27亿
1.11%-3.53亿
资本公积
0.74%6.86亿
0.74%6.86亿
19.71%6.85亿
18.48%6.75亿
19.09%6.74亿
19.79%6.81亿
19.79%6.81亿
0.13%5.72亿
0.01%5.7亿
-0.48%5.66亿
减:库存股
-2.77%1.67亿
-2.77%1.67亿
-15.01%1.58亿
-15.71%1.59亿
-15.11%1.62亿
-12.38%1.71亿
-12.38%1.71亿
-7.65%1.86亿
-7.43%1.89亿
-7.77%1.9亿
不影响留存收益的损益
35.16%-4,180.3万
35.16%-4,180.3万
-7.09%-4,985.2万
14.43%-4,335.4万
-35.57%-6,449.5万
-59.62%-6,447.5万
-59.62%-6,447.5万
0.22%-4,655.1万
-30.69%-5,066.7万
-1.65%-4,757.4万
股东权益总额
10.65%5.82亿
10.65%5.82亿
527.46%6.07亿
1,182.21%5.28亿
3,965.11%4.98亿
1,110.66%5.26亿
1,110.66%5.26亿
86.99%9,676.5万
149.94%4,120.7万
388.30%1,224.7万
非控制性权益
-13.55%7,855.1万
-13.55%7,855.1万
-16.11%8,162.4万
5.40%9,377.1万
0.25%9,149.1万
-3.26%9,086.3万
-3.26%9,086.3万
2.96%9,730万
0.85%8,896.8万
4.36%9,126.7万
总权益
7.09%6.6亿
7.09%6.6亿
254.92%6.89亿
377.92%6.22亿
469.34%5.89亿
348.98%6.17亿
348.98%6.17亿
32.69%1.94亿
24.33%1.3亿
24.41%1.04亿
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
--
--
--
--
(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 -37.39%3,111.8万-37.39%3,111.8万-47.63%3,380.6万-58.33%2,474.2万-53.28%2,280.1万81.16%4,970.2万81.16%4,970.2万-39.26%6,455.2万11.66%5,938.1万-3.97%4,879.9万
-现金和现金等价物 -37.39%3,111.8万-37.39%3,111.8万-47.63%3,380.6万-58.33%2,474.2万-53.28%2,280.1万81.16%4,970.2万81.16%4,970.2万-39.26%6,455.2万11.66%5,938.1万-3.97%4,879.9万
应收款项 -38.17%1,118.1万-38.17%1,118.1万-82.28%3,110.2万-86.49%2,525.7万-91.05%1,358.7万103.59%1,808.3万103.59%1,808.3万29.75%1.76亿26.63%1.87亿13.17%1.52亿
-应收账款 -1.25%915.1万-1.25%915.1万-83.04%2,860.2万-87.00%2,416.7万-92.90%1,073.5万12.85%926.7万12.85%926.7万24.92%1.69亿27.18%1.86亿13.01%1.51亿
-应收税费 12,360.00%124.6万12,360.00%124.6万20,770.00%208.7万---------98.51%1万-98.51%1万-96.39%1万-27.30%108.9万66.25%67万
-其他应收款 -91.10%78.4万-91.10%78.4万-93.99%41.3万--109万--285.2万--880.6万--880.6万--687.7万--------
存货 21.26%1,210.5万21.26%1,210.5万10.30%1,240.4万13.18%1,710.4万7.86%1,127.6万5.39%998.3万5.39%998.3万5.13%1,124.6万-4.62%1,511.2万-10.67%1,045.4万
预付费用 5.02%867.6万5.02%867.6万-52.69%1,128.4万-35.27%2,045.5万-18.55%2,314.2万-6.76%826.1万-6.76%826.1万9.42%2,385.2万31.21%3,160万22.32%2,841.3万
受限制现金 -90.94%57.6万-90.94%57.6万-80.70%58.3万21.09%364万-43.50%361.7万118.23%635.5万118.23%635.5万-62.70%302万-61.86%300.6万0.53%640.2万
递延资产 --0--0-13.52%2,500万-22.81%2,500万-29.37%2,500万--2,500万--2,500万-15.27%2,890.9万76.85%3,238.6万65.31%3,539.8万
其他流动资产 ------------69.68%407.9万-72.58%62.5万49.48%171万49.48%171万18.76%248.8万7.51%240.4万31.28%227.9万
流动资产合计 -45.77%6,365.6万-45.77%6,365.6万-63.12%1.14亿-63.65%1.2亿-64.71%1亿-50.21%1.17亿-50.21%1.17亿-2.75%3.1亿22.91%3.31亿13.69%2.84亿
非流动资产
固定资产净额 22.17%6.76亿22.17%6.76亿-5.74%6.5亿-16.11%5.86亿-20.55%5.57亿-6.17%5.53亿-6.17%5.53亿0.75%6.89亿2.75%6.98亿7.33%7.01亿
-固定资产 21.29%9.72亿21.29%9.72亿-16.36%9.34亿-22.36%8.64亿-26.16%8.16亿-1.50%8.02亿-1.50%8.02亿3.70%11.16亿4.40%11.12亿7.71%11.05亿
-累计折旧 -19.33%-2.97亿-19.33%-2.97亿33.51%-2.84亿32.88%-2.78亿35.91%-2.59亿-10.75%-2.49亿-10.75%-2.49亿-8.85%-4.27亿-7.29%-4.14亿-8.39%-4.04亿
商誉及其他无形资产 34.81%2.26亿34.81%2.26亿29.24%2.25亿3.46%1.8亿-4.16%1.68亿-6.21%1.68亿-6.21%1.68亿-1.92%1.74亿-4.64%1.74亿-2.68%1.76亿
-商誉 45.58%1.5亿45.58%1.5亿21.86%1.49亿-10.27%1.08亿-14.95%1.03亿-16.61%1.03亿-16.61%1.03亿0.25%1.22亿-2.59%1.21亿-0.18%1.22亿
-其他无形资产 17.53%7,564.9万17.53%7,564.9万46.41%7,673.5万34.68%7,141.5万20.09%6,500.4万17.29%6,436.6万17.29%6,436.6万-6.64%5,241万-8.98%5,302.4万-7.86%5,413万
投资和预付款 -98.50%7.9万-98.50%7.9万----12.65%565.6万4.66%521.2万23.11%525.8万23.11%525.8万36.66%532.7万24.01%502.1万27.69%498万
长期应收款 -------------84.17%123.1万-84.17%123.1万--123.1万--123.1万-5.30%777.6万-5.30%777.6万-5.30%777.6万
非流动递延资产 -----------------96.64%13万14.42%11.9万14.42%11.9万44.67%621.5万-12.28%483.5万-22.17%387.3万
其他非流动资产 --------129.54%766.2万-79.41%64.5万-89.64%32.3万-98.70%167.8万-98.70%167.8万-14.87%333.8万-26.58%313.3万-18.80%311.8万
非流动资产合计 23.93%9.02亿23.93%9.02亿-0.40%8.83亿-13.41%7.73亿-18.32%7.33亿-19.29%7.28亿-19.29%7.28亿0.46%8.86亿1.01%8.93亿4.90%8.97亿
总资产 14.25%9.65亿14.25%9.65亿-16.64%9.97亿-27.00%8.93亿-29.46%8.33亿-25.70%8.45亿-25.70%8.45亿-0.39%11.96亿6.13%12.23亿6.88%11.8亿
负债
流动负债
应付款项 18.23%3,020.3万18.23%3,020.3万-71.68%4,014.9万-71.87%3,738.1万-76.69%2,821.8万28.52%2,554.6万28.52%2,554.6万34.79%1.42亿9.74%1.33亿7.30%1.21亿
-应付账款 -6.63%2,100.2万-6.63%2,100.2万-80.63%2,331.8万-73.21%2,961.6万-79.29%2,074.8万52.67%2,249.4万52.67%2,249.4万47.69%1.2亿4.24%1.11亿7.00%1亿
-应付税费 201.47%920.1万201.47%920.1万-1.85%1,683.1万-72.41%470.9万-50.60%441.8万-40.66%305.2万-40.66%305.2万-5.98%1,714.8万69.94%1,706.9万-4.36%894.4万
-应付股利 --------------------------------------195万
-其他应付款 -------------41.90%305.6万-69.43%305.2万---------21.56%428.3万5.66%526万1.34%998.5万
应计费用 28.95%841.4万28.95%841.4万78.81%1,802.9万22.50%751.3万15.01%958.4万-3.75%652.5万-3.75%652.5万30.86%1,008.3万27.51%613.3万90.38%833.3万
短期借款与租赁负债 -1.86%486.2万-1.86%486.2万-77.39%590.5万-79.07%633.7万-83.69%568.9万-49.66%495.4万-49.66%495.4万13.35%2,612.1万29.00%3,027.4万36.96%3,488.8万
-短期借款 ---------83.82%134.5万-87.97%155.7万-94.02%102.4万-71.61%187万-71.61%187万1.50%831.4万54.47%1,294.8万59.30%1,712.6万
-短期租赁负债 -1.86%486.2万-1.86%486.2万-74.39%456万-72.41%478万-73.74%466.5万52.15%495.4万52.15%495.4万19.88%1,780.7万14.84%1,732.6万20.64%1,776.2万
递延负债 17.02%1,447.8万17.02%1,447.8万-80.34%1,331.6万-59.70%3,343.3万-73.18%2,205.7万-0.73%1,237.2万-0.73%1,237.2万-17.81%6,772.1万23.78%8,295.5万34.46%8,224.8万
其他流动负债 -78.40%369.4万-78.40%369.4万-77.83%339.1万-57.37%1,021.7万-29.97%1,302.7万-90.10%1,709.9万-90.10%1,709.9万13.05%1,529.6万101.08%2,396.7万25.07%1,860.2万
流动负债总额 3.14%7,879万3.14%7,879万-65.87%1.05亿-62.58%1.16亿-68.62%9,172.1万-67.15%7,639.4万-67.15%7,639.4万15.26%3.08亿20.16%3.09亿18.90%2.92亿
非流动负债
长期借款与租赁负债 76.62%1.9亿76.62%1.9亿-66.69%1.59亿-79.18%1.18亿-80.28%1.12亿-77.56%1.08亿-77.56%1.08亿-16.11%4.78亿0.03%5.69亿1.88%5.66亿
-长期借款 116.98%1.55亿116.98%1.55亿-82.93%6,520.6万-95.05%2,322.2万-96.30%1,711.3万-83.84%7,144.3万-83.84%7,144.3万-17.01%3.82亿2.15%4.69亿1.22%4.62亿
-长期租赁负债 -2.74%3,533.9万-2.74%3,533.9万-2.44%9,414.4万-4.30%9,517.5万-8.95%9,456.3万-4.48%3,633.6万-4.48%3,633.6万-12.32%9,650.2万-8.88%9,945.6万4.92%1.04亿
递延负债 46.43%3,401.6万46.43%3,401.6万17.55%3,355.6万-7.16%2,591.1万-13.57%2,380.9万-17.72%2,323万-17.72%2,323万9.29%2,854.7万-5.47%2,791万0.03%2,754.6万
长期应计费用 -----------------------------72.15%74.8万-68.04%95.4万-14.03%262.3万
员工福利 -95.94%69.9万-95.94%69.9万-81.99%633.8万-80.62%682.3万-66.64%1,182万-19.62%1,723.6万-19.62%1,723.6万1.00%3,518.6万-0.01%3,521.2万0.66%3,543.1万
可转换优先证券 ----------------------0--00.00%1.33亿0.00%1.33亿0.00%1.33亿
其他非流动负债 -94.70%11.9万-94.70%11.9万-85.01%243.7万-82.25%288.3万-82.01%294万-5.87%224.7万-5.87%224.7万-4.23%1,626.1万-8.19%1,623.9万-2.74%1,634.3万
非流动负债总额 48.92%2.26亿48.92%2.26亿-70.75%2.03亿-80.19%1.55亿-80.69%1.51亿-80.20%1.52亿-80.20%1.52亿-11.84%6.94亿-0.84%7.84亿1.19%7.85亿
总负债 33.60%3.05亿33.60%3.05亿-69.25%3.08亿-75.21%2.71亿-77.41%2.43亿-77.17%2.28亿-77.17%2.28亿-4.98%10.02亿4.31%10.93亿5.46%10.77亿
所有者权益
股本 0.00%4,741.3万0.00%4,741.3万26.77%4,741.3万26.77%4,741.3万26.77%4,741.3万26.77%4,741.3万26.77%4,741.3万0.00%3,740.2万0.00%3,740.2万0.00%3,740.2万
-普通股股本 0.00%4,741.3万0.00%4,741.3万26.77%4,741.3万26.77%4,741.3万26.77%4,741.3万26.77%4,741.3万26.77%4,741.3万0.00%3,740.2万0.00%3,740.2万0.00%3,740.2万
留存收益 69.88%5,724.6万69.88%5,724.6万129.62%8,294.1万102.51%820.7万100.73%256.1万110.33%3,369.7万110.33%3,369.7万9.32%-2.8亿6.15%-3.27亿1.11%-3.53亿
资本公积 0.74%6.86亿0.74%6.86亿19.71%6.85亿18.48%6.75亿19.09%6.74亿19.79%6.81亿19.79%6.81亿0.13%5.72亿0.01%5.7亿-0.48%5.66亿
减:库存股 -2.77%1.67亿-2.77%1.67亿-15.01%1.58亿-15.71%1.59亿-15.11%1.62亿-12.38%1.71亿-12.38%1.71亿-7.65%1.86亿-7.43%1.89亿-7.77%1.9亿
不影响留存收益的损益 35.16%-4,180.3万35.16%-4,180.3万-7.09%-4,985.2万14.43%-4,335.4万-35.57%-6,449.5万-59.62%-6,447.5万-59.62%-6,447.5万0.22%-4,655.1万-30.69%-5,066.7万-1.65%-4,757.4万
股东权益总额 10.65%5.82亿10.65%5.82亿527.46%6.07亿1,182.21%5.28亿3,965.11%4.98亿1,110.66%5.26亿1,110.66%5.26亿86.99%9,676.5万149.94%4,120.7万388.30%1,224.7万
非控制性权益 -13.55%7,855.1万-13.55%7,855.1万-16.11%8,162.4万5.40%9,377.1万0.25%9,149.1万-3.26%9,086.3万-3.26%9,086.3万2.96%9,730万0.85%8,896.8万4.36%9,126.7万
总权益 7.09%6.6亿7.09%6.6亿254.92%6.89亿377.92%6.22亿469.34%5.89亿348.98%6.17亿348.98%6.17亿32.69%1.94亿24.33%1.3亿24.41%1.04亿
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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--------
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