Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
上海石油化工股份
00338
5
昆侖能源
00135
| (Q1)2026/03/31 | (FY)2025/12/31 | (Q9)2025/09/30 | (Q6)2025/06/30 | (Q1)2025/03/31 | (FY)2024/12/31 | (Q9)2024/09/30 | (Q6)2024/06/30 | (Q1)2024/03/31 | (FY)2023/12/31 | |
|---|---|---|---|---|---|---|---|---|---|---|
| 資產 | ||||||||||
| 流動資產 | ||||||||||
| 存貨 | 3.54%12.6億 | -16.52%11.48億 | -10.39%10.99億 | -6.96%10.31億 | -14.72%12.17億 | -9.21%13.75億 | 11.54%12.26億 | -6.96%11.08億 | 6.72%14.27億 | 27.10%15.14億 |
| 應收賬款 | -1.18%18.91億 | 8.11%3.27億 | 13.60%17.03億 | 0.66%14.7億 | 13.26%19.14億 | -8.74%3.02億 | 20.67%14.99億 | 27.71%14.6億 | 36.17%16.9億 | -5.85%3.31億 |
| 應收票據 | 35.59%4,402.91萬 | 18.67%4,354.96萬 | -27.62%2,112.68萬 | -55.90%1,590.31萬 | -50.16%3,247.2萬 | -41.11%3,669.96萬 | 30.35%2,918.76萬 | -58.78%3,606.11萬 | 5.68%6,515.69萬 | -18.82%6,232.22萬 |
| 預付款按金及其他應收款 | 34.57%3.61億 | -11.65%2.56億 | 13.43%1.08億 | -28.38%1.05億 | -14.88%2.68億 | 37.34%2.89億 | -12.50%9,486.85萬 | 27.56%1.47億 | 60.19%3.15億 | -1.80%2.11億 |
| 現金及等價物 | -29.84%18.28億 | -18.49%19.12億 | -30.24%16.17億 | -20.30%16.34億 | 8.00%26.06億 | -15.33%23.45億 | -31.74%23.18億 | -22.77%20.5億 | -27.37%24.13億 | -36.53%27.7億 |
| 按公平值入損益金融資產-流動資產 | -7.80%9.46億 | -31.39%9.46億 | -50.39%11.31億 | -42.81%9.31億 | -7.94%10.26億 | 59.78%13.79億 | 62.23%22.8億 | 8.09%16.28億 | -31.88%11.14億 | -30.95%8.63億 |
| 其他流動資產 | -40.16%6,782.5萬 | 34.23%4.11億 | 423.18%10.67億 | 133.79%9.28億 | -56.30%1.13億 | -27.79%3.06億 | 543.58%2.04億 | 406.25%3.97億 | 422.38%2.59億 | 212.94%4.24億 |
| 流動資產特殊專案 | 71.83%20.49億 | 150.89%29.7億 | 15,144.74%40.38億 | 12,833.59%34.57億 | 4,376.10%11.92億 | 4,327.48%11.84億 | -1.28%2,648.52萬 | -1.65%2,672.57萬 | 2.18%2,664.11萬 | 2.27%2,673.34萬 |
| 流動資產合計 | 1.58%88.49億 | 11.08%82.47億 | 39.20%109.83億 | 37.54%97.73億 | 12.05%87.12億 | 14.45%74.25億 | 3.05%78.9億 | -0.38%71.05億 | -7.28%77.75億 | -17.69%64.88億 |
| 非流動資產 | ||||||||||
| 固定資產 | -6.44%20.86億 | -5.80%21.3億 | -4.14%21.16億 | -3.30%21.64億 | 0.36%22.3億 | -0.35%22.61億 | -2.96%22.08億 | -3.15%22.38億 | -1.31%22.22億 | -1.86%22.69億 |
| 在建工程 | 117.73%4億 | 119.75%3.25億 | 60.54%2.47億 | 63.81%2.21億 | 1.79%1.84億 | 5.46%1.48億 | 28.16%1.54億 | 59.93%1.35億 | 34.64%1.81億 | 10.73%1.4億 |
| 長期投資 | 2.98%7.16億 | 2.75%7.06億 | 18.23%6.99億 | 1.61%7.03億 | 2.46%6.95億 | 3.42%6.87億 | -10.31%5.91億 | 4.27%6.92億 | 4.30%6.78億 | 4.45%6.64億 |
| 無形資產 | -6.27%6.27億 | -6.40%6.33億 | -5.53%6.4億 | -5.49%6.48億 | -3.38%6.69億 | -3.01%6.76億 | -3.54%6.78億 | -3.01%6.86億 | -2.51%6.92億 | -2.23%6.97億 |
| 遞延稅項資產 | 2.20%1.47億 | -1.97%1.42億 | -3.14%1.38億 | -2.35%1.38億 | -1.36%1.44億 | -2.64%1.44億 | 0.83%1.42億 | 1.72%1.41億 | 8.30%1.46億 | 7.34%1.48億 |
| 非流動資產特殊專案 | -0.19%4,138.02萬 | -3.65%4,409萬 | 2.89%3,968.79萬 | -2.24%4,003.25萬 | -3.30%4,145.78萬 | -4.16%4,576.07萬 | -23.64%3,857.29萬 | -19.93%4,095萬 | -22.46%4,287.25萬 | -19.71%4,774.67萬 |
| 非流動資產合計 | 12.56%82億 | -5.73%68.5億 | -33.46%52.63億 | -27.80%55.42億 | -3.93%72.85億 | -0.86%72.66億 | 11.63%79.1億 | 8.52%76.76億 | 31.07%75.83億 | 43.45%73.3億 |
| 總資產 | 6.58%170.49億 | 2.76%150.98億 | 2.83%162.47億 | 3.61%153.15億 | 4.16%159.97億 | 6.33%146.91億 | 7.17%158億 | 4.05%147.81億 | 8.38%153.58億 | 6.36%138.17億 |
| 負債 | ||||||||||
| 流動負債 | ||||||||||
| 應付帳款 | 1.70%37.08億 | -15.42%18.25億 | -12.50%26.75億 | -12.31%25.65億 | -2.25%36.46億 | -6.83%21.57億 | 2.25%30.58億 | -10.19%29.25億 | 2.69%37.3億 | 1.24%23.15億 |
| 應付票據 | -0.25%17.83億 | 1.78%25.83億 | 5.61%28.03億 | 1.99%20.57億 | 6.28%17.88億 | 17.30%25.38億 | 18.71%26.54億 | 22.04%20.17億 | 9.86%16.82億 | 18.27%21.64億 |
| 應付稅項 | 54.55%7,905.39萬 | -1.95%2,545.51萬 | -2.19%3,134.08萬 | -25.35%3,085.22萬 | 70.99%5,115.11萬 | 18.48%2,596.16萬 | -16.13%3,204.32萬 | -41.60%4,132.85萬 | 40.16%2,991.47萬 | 4.10%2,191.21萬 |
| 其他應付款及應計費用 | 27.34%6.33億 | 15.10%5.68億 | 25.51%6.5億 | 56.19%7.39億 | 7.73%4.97億 | 5.07%4.93億 | 20.38%5.18億 | 8.78%4.73億 | 30.03%4.62億 | 38.84%4.7億 |
| 預收款項 | -6.49%7.77萬 | --7.71萬 | ---- | -97.35%6.91萬 | -97.88%8.31萬 | ---- | ---- | -25.57%260.83萬 | 1,955.18%391.24萬 | ---- |
| 其他流動負債 | 7.94%8.54億 | -3.74%3.84億 | 1.77%7.39億 | 3.17%7.29億 | 6.45%7.91億 | -8.53%3.99億 | 17.77%7.26億 | 8.74%7.07億 | 17.36%7.43億 | 16.26%4.36億 |
| 流動負債特殊專案 | -90.11%2,214.68萬 | -88.40%2,616.21萬 | 2,654.93%2.23億 | 1,768.62%2.24億 | 1,210.07%2.24億 | 975.82%2.26億 | -41.47%810.31萬 | -20.02%1,200.08萬 | -12.52%1,709.26萬 | -59.57%2,096.98萬 |
| 流動負債合計 | 1.50%73.84億 | -6.46%60.78億 | 1.23%73.92億 | 2.32%66.45億 | 4.28%72.75億 | 7.50%64.98億 | 2.62%73.02億 | -6.09%64.95億 | 2.23%69.76億 | -1.36%60.45億 |
| 淨流動資產 | 1.94%14.65億 | 133.99%21.69億 | 510.35%35.92億 | 412.16%31.28億 | 79.92%14.37億 | 109.22%9.27億 | 8.67%5.88億 | 182.40%6.11億 | -48.83%7.99億 | -74.74%4.43億 |
| 總資產減流動負債 | 10.81%96.64億 | 10.08%90.19億 | 4.20%88.55億 | 4.63%86.7億 | 4.06%87.22億 | 5.41%81.93億 | 11.42%84.98億 | 13.68%82.86億 | 14.09%83.81億 | 13.24%77.73億 |
| 非流動負債 | ||||||||||
| 長期銀行貸款 | 598.47%4.61億 | 544.01%4.25億 | -42.86%1.14億 | -67.03%6,595萬 | -67.03%6,595萬 | -67.03%6,595萬 | --2億 | --2億 | 322.12%2億 | 305.02%2億 |
| 長期應付款 | -1.78%695.55萬 | -0.87%718.35萬 | -2.68%729.75萬 | -1.32%762.15萬 | -12.30%708.14萬 | -12.50%724.64萬 | -14.56%749.84萬 | -14.20%772.34萬 | -5.58%807.44萬 | -2.30%828.14萬 |
| 長期應付職工薪酬 | -32.54%1,852.68萬 | -32.54%1,852.68萬 | -37.50%1,281.31萬 | -37.50%1,281.31萬 | -27.92%2,746.36萬 | -27.92%2,746.36萬 | -22.31%2,049.94萬 | -22.78%2,049.94萬 | -20.96%3,810.37萬 | -20.96%3,810.37萬 |
| 融資租賃負債-非流動負債 | -79.12%194.6萬 | -81.51%254.73萬 | 2,050.56%774.32萬 | 1,521.57%1,164.78萬 | 434.04%931.77萬 | 556.16%1,377.28萬 | -96.28%36.01萬 | -94.53%71.83萬 | -87.55%174.48萬 | -87.25%209.9萬 |
| 遞延稅項負債 | 1.84%1.27億 | 2.85%1.27億 | 9.35%1.29億 | 8.19%1.3億 | 3.79%1.24億 | 2.26%1.24億 | 0.89%1.18億 | -1.13%1.2億 | 4.69%1.2億 | 0.54%1.21億 |
| 遞延收入-非流動負債 | 48.04%2.5億 | 17.88%2.06億 | -13.60%1.57億 | -4.14%1.61億 | -8.17%1.69億 | -3.86%1.75億 | 36.65%1.82億 | 47.65%1.68億 | 57.54%1.84億 | 49.43%1.82億 |
| 非流動負債合計 | 114.02%8.67億 | 89.97%7.88億 | -18.86%4.3億 | -24.66%3.91億 | -26.85%4.05億 | -25.00%4.15億 | 78.71%5.3億 | 81.49%5.19億 | 57.60%5.53億 | 50.96%5.53億 |
| 總負債 | 7.44%82.51億 | -0.67%68.67億 | -0.13%78.21億 | 0.32%70.36億 | 1.99%76.8億 | 4.78%69.13億 | 5.66%78.31億 | -2.61%70.14億 | 4.94%75.3億 | 1.59%65.98億 |
| 總資產減總負債 | 5.78%87.98億 | 5.82%82.31億 | 5.73%84.25億 | 6.58%82.79億 | 6.25%83.17億 | 7.74%77.78億 | 8.70%79.69億 | 10.91%77.67億 | 11.91%78.28億 | 11.11%72.19億 |
| 總權益及非流動負債 | 10.81%96.64億 | 10.08%90.19億 | 4.20%88.55億 | 4.63%86.7億 | 4.06%87.22億 | 5.41%81.93億 | 11.42%84.98億 | 13.68%82.86億 | 14.09%83.81億 | 13.24%77.73億 |
| 權益 | ||||||||||
| 股本 | 0.00%11.24億 | 0.00%11.24億 | 0.00%11.24億 | 0.00%11.24億 | 0.00%11.24億 | 0.00%11.24億 | 0.00%11.24億 | 0.00%11.24億 | 0.00%11.24億 | 0.00%11.24億 |
| 資本公積 | 0.00%26.56億 | 0.00%26.56億 | -0.17%26.56億 | 0.00%26.56億 | 0.00%26.56億 | 0.00%26.56億 | 0.17%26.6億 | 0.00%26.56億 | 0.00%26.56億 | 0.00%26.56億 |
| 未分配利潤 | 11.37%35.92億 | 12.38%30.3億 | 10.75%32.77億 | 13.20%31.28億 | 14.45%32.25億 | 21.51%26.96億 | 22.72%29.59億 | 32.85%27.64億 | 39.10%28.18億 | 44.05%22.19億 |
| 股東權益特殊項目 | 3.36%1,200.04萬 | 11.86%1,023.01萬 | 21.79%1,326萬 | 39.33%1,278.24萬 | 27.06%1,161.08萬 | 22.03%914.57萬 | 40.86%1,088.77萬 | 34.57%917.4萬 | -81.70%913.82萬 | -84.63%749.43萬 |
| 股東權益 | 5.58%82.23億 | 5.58%76.61億 | 5.38%78.4億 | 6.27%76.93億 | 6.79%77.88億 | 8.43%72.56億 | 9.55%74.4億 | 12.05%72.39億 | 13.16%72.93億 | 12.31%66.92億 |
| 非控股權益 | 8.70%5.75億 | 9.10%5.7億 | 10.67%5.85億 | 10.82%5.86億 | -1.12%5.29億 | -0.96%5.23億 | -2.07%5.28億 | -2.66%5.29億 | -2.79%5.35億 | -2.12%5.28億 |
| 總權益 | 5.78%87.98億 | 5.82%82.31億 | 5.73%84.25億 | 6.58%82.79億 | 6.25%83.17億 | 7.74%77.78億 | 8.70%79.69億 | 10.91%77.67億 | 11.91%78.28億 | 11.11%72.19億 |
| 總權益及總負債 | 6.58%170.49億 | 2.76%150.98億 | 2.83%162.47億 | 3.61%153.15億 | 4.16%159.97億 | 6.33%146.91億 | 7.17%158億 | 4.05%147.81億 | 8.38%153.58億 | 6.36%138.17億 |
| 貨幣單位 | 人民幣 | 人民幣 | 人民幣 | 人民幣 | 人民幣 | 人民幣 | 人民幣 | 人民幣 | 人民幣 | 人民幣 |
| 會計準則 | 中國會計準則(2007) | 中國會計準則(2007) | 中國會計準則(2007) | 中國會計準則(2007) | 中國會計準則(2007) | 中國會計準則(2007) | 中國會計準則(2007) | 中國會計準則(2007) | 中國會計準則(2007) | 中國會計準則(2007) |
| 審計意見 | -- | 無保留意見 | -- | -- | -- | 無保留意見 | -- | -- | -- | 無保留意見 |
| 會計師事務所 | -- | 信永中和會計師事務所(特殊普通合夥) | -- | -- | -- | 信永中和會計師事務所(特殊普通合夥) | -- | -- | -- | 信永中和會計師事務所(特殊普通合夥) |
FY:Financial Year 年度報告,相當於上市公司向SEC披露的10-K文件。
Q:Quarter 季度報告,相當於上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4為單季報,跨度為3個月;Q6、Q9為累計季報,Q6為6個月,Q9為9個月。