港股市場個股詳情

博富臨置業 (00225)

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  • 5.950
  • -0.050-0.83%
已收盤 01/16 11:44 (北京)
6.56億總市值-3.04市盈率TTM

博富臨置業 (00225) 資產負債表

全部
顯示同比 yoy
隱藏空行 yoy
(FY)2025/09/30
(Q6)2025/03/31
(FY)2024/09/30
(Q6)2024/03/31
(FY)2023/09/30
(Q6)2023/03/31
(FY)2022/09/30
(Q6)2022/03/31
(FY)2021/09/30
(Q6)2021/03/31
資產
流動資產
存貨
-10.79%1,494.2萬
-24.17%1,585.2萬
-11.43%1,675萬
-25.69%2,090.5萬
1.93%1,891.2萬
60.36%2,813.4萬
16.94%1,855.3萬
7.86%1,754.4萬
-4.32%1,586.6萬
7.18%1,626.5萬
應收賬款
-13.69%969.6萬
36.42%1,384.7萬
-15.97%1,123.4萬
44.59%1,015萬
-4.18%1,336.9萬
-33.59%702萬
61.07%1,395.2萬
-18.60%1,057萬
-19.68%866.2萬
27.54%1,298.5萬
應收關聯方款項
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----
----
----
----
----
----
----
----
365.61%132.7萬
預付款按金及其他應收款
-55.97%348.3萬
-20.36%483.8萬
23.13%791.1萬
-21.55%607.5萬
-31.51%642.5萬
-0.40%774.4萬
7.73%938.1萬
-22.83%777.5萬
21.35%870.8萬
57.84%1,007.5萬
預繳及應收稅項
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----
----
----
----
----
----
----
----
--2.6萬
現金及等價物
34.14%5,147.4萬
-17.69%3,675.3萬
-37.21%3,837.3萬
15.87%4,465.3萬
118.19%6,111萬
-40.49%3,853.8萬
-59.04%2,800.8萬
-12.63%6,476.3萬
-44.53%6,838.3萬
-42.71%7,412.5萬
定期存款-流動資產
-75.53%1,097萬
-11.91%3,577.7萬
13.81%4,482.7萬
2.66%4,061.4萬
408.40%3,938.6萬
--3,956.1萬
--774.7萬
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----
----
按公平值入損益金融資產-流動資產
36.30%7,513.5萬
21.47%6,178.7萬
39.27%5,512.3萬
133.29%5,086.5萬
93.29%3,958萬
-16.37%2,180.3萬
-18.67%2,047.7萬
-12.31%2,607.1萬
21.69%2,517.8萬
36.83%2,973萬
流動資產特殊專案
----
----
----
----
----
--782.7萬
-71.61%778.9萬
----
1,637.56%2,743.6萬
--2,783.5萬
流動資產合計
-4.89%1.66億
-2.54%1.69億
-2.55%1.74億
15.03%1.73億
68.81%1.79億
18.86%1.51億
-31.33%1.06億
-26.48%1.27億
-28.61%1.54億
-20.83%1.72億
非流動資產
物業廠房及設備
-1.45%1,378.9萬
-2.41%1,355萬
7.62%1,399.2萬
9.86%1,388.4萬
59.09%1,300.1萬
47.43%1,263.8萬
-8.26%817.2萬
-3.14%857.2萬
66.97%890.8萬
99.19%885萬
投資物業
-5.58%44.24億
-10.98%45.18億
-11.66%46.86億
-8.08%50.75億
-3.89%53.04億
-0.08%55.22億
5.40%55.19億
7.88%55.26億
2.29%52.36億
-0.55%51.22億
預付款項
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----
----
----
-68.76%41.8萬
-51.11%87.9萬
-40.72%133.8萬
-33.85%179.8萬
-28.94%225.7萬
-25.29%271.8萬
合營公司權益
-8.58%2,964.7萬
-1.31%2,276.4萬
25.41%3,243.1萬
-10.39%2,306.5萬
8.14%2,586萬
-16.81%2,573.8萬
-13.11%2,391.4萬
57.92%3,093.9萬
-13.95%2,752.3萬
-3.69%1,959.1萬
按公平值入損益金融資產-非流動資產
53.90%1.19億
42.92%1.36億
-18.30%7,745.6萬
-0.43%9,493.7萬
-6.93%9,480.5萬
-0.81%9,535萬
1.05%1.02億
27.19%9,612.5萬
87.67%1.01億
98.79%7,557.5萬
無形資產
----
----
----
----
----
----
-82.54%30萬
--158.8萬
--171.8萬
----
非流動資產特殊專案
-1.09%1.14億
-3.59%1.17億
-5.78%1.16億
-9.22%1.21億
-9.56%1.23億
-13.04%1.33億
-8.90%1.36億
0.13%1.53億
28.53%1.49億
32.63%1.53億
非流動資產合計
-4.47%47.21億
-9.67%48.21億
-11.27%49.43億
-8.00%53.37億
-4.00%55.7億
-0.69%58.02億
4.54%58.02億
8.04%58.42億
3.11%55.5億
0.17%54.07億
總資產
-4.49%48.87億
-9.45%49.9億
-11.00%51.17億
-7.42%55.1億
-2.69%57.49億
-0.27%59.52億
3.57%59.08億
6.97%59.68億
1.88%57.04億
-0.64%55.79億
負債
流動負債
應付帳款
-6.87%2,037.4萬
-19.95%1,734萬
-5.13%2,187.7萬
0.85%2,166.1萬
2.40%2,306.1萬
-30.00%2,147.9萬
-23.24%2,252.1萬
-10.14%3,068.3萬
-26.56%2,934.1萬
-0.16%3,414.5萬
應付稅項
-19.80%228.8萬
73.21%596.7萬
320.80%285.3萬
-2.85%344.5萬
-51.26%67.8萬
-38.83%354.6萬
-8.18%139.1萬
53.24%579.7萬
-79.17%151.5萬
-31.41%378.3萬
應付關連方款項-流動負債
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----
----
----
----
----
0.00%65萬
--65萬
--65萬
----
預收款項
4.49%2,644.5萬
-1.43%2,568.2萬
3.22%2,530.8萬
1.23%2,605.4萬
-4.75%2,451.8萬
-5.26%2,573.8萬
-2.08%2,574萬
10.14%2,716.6萬
7.40%2,628.6萬
-1.78%2,466.5萬
銀行貸款及透支
6.04%3.97億
4.93%4.16億
-2.70%3.74億
9.66%3.96億
22.45%3.84億
3.73%3.61億
383.01%3.14億
435.98%3.48億
18.18%6,500萬
11.32%6,500萬
流動負債合計
4.20%4.49億
3.52%4.72億
-2.35%4.31億
5.91%4.56億
18.16%4.41億
4.30%4.3億
188.13%3.73億
223.44%4.13億
2.28%1.3億
3.55%1.28億
淨流動資產
-10.37%-2.83億
-7.23%-3.03億
2.21%-2.57億
-1.00%-2.83億
1.90%-2.62億
2.15%-2.8億
-1,185.27%-2.67億
-738.66%-2.86億
-72.41%2,464.6萬
-52.63%4,477.5萬
總資產減流動負債
-5.29%44.38億
-10.62%45.18億
-11.72%46.86億
-8.46%50.55億
-4.10%53.08億
-0.61%55.22億
-0.72%55.35億
1.90%55.56億
1.87%55.75億
-0.74%54.52億
非流動負債
遞延稅項負債
3.64%6,519.2萬
7.62%6,371.6萬
9.11%6,290.2萬
3.53%5,920.5萬
4.52%5,765萬
6.43%5,718.4萬
6.21%5,515.7萬
3.09%5,373.1萬
9.83%5,193.1萬
14.36%5,212.3萬
非流動負債合計
3.64%6,519.2萬
7.62%6,371.6萬
9.11%6,290.2萬
3.53%5,920.5萬
4.52%5,765萬
6.43%5,718.4萬
6.21%5,515.7萬
3.09%5,373.1萬
9.83%5,193.1萬
14.36%5,212.3萬
總負債
4.13%5.14億
3.99%5.36億
-1.02%4.94億
5.63%5.15億
16.40%4.99億
4.55%4.88億
136.09%4.29億
159.53%4.66億
4.33%1.82億
6.47%1.8億
總資產減總負債
-5.41%43.73億
-10.84%44.54億
-11.95%46.23億
-8.59%49.95億
-4.18%52.5億
-0.68%54.65億
-0.79%54.79億
1.89%55.02億
1.80%55.23億
-0.86%54億
總權益及非流動負債
-5.29%44.38億
-10.62%45.18億
-11.72%46.86億
-8.46%50.55億
-4.10%53.08億
-0.61%55.22億
-0.72%55.35億
1.90%55.56億
1.87%55.75億
-0.74%54.52億
權益
股本
0.00%1.46億
0.00%1.46億
0.00%1.46億
0.00%1.46億
0.00%1.46億
0.00%1.46億
0.00%1.46億
0.00%1.46億
0.00%1.46億
0.00%1.46億
儲備
-5.59%42.27億
-11.16%43.08億
-12.29%44.77億
-8.82%48.49億
-4.34%51.04億
-0.73%53.18億
-0.78%53.36億
1.98%53.58億
1.87%53.78億
-0.89%52.54億
股東權益
-5.41%43.73億
-10.84%44.54億
-11.95%46.23億
-8.59%49.95億
-4.23%52.5億
-0.71%54.65億
-0.76%54.82億
1.93%55.04億
1.82%55.24億
-0.86%54億
非控股權益
6.25%1.7萬
-15.00%1.7萬
-38.46%1.6萬
33.33%2萬
101.09%2.6萬
100.87%1.5萬
-141.23%-239.3萬
-9,700.00%-172.8萬
-3,642.86%-99.2萬
-35.71%1.8萬
總權益
-5.41%43.73億
-10.84%44.54億
-11.95%46.23億
-8.59%49.95億
-4.18%52.5億
-0.68%54.65億
-0.79%54.79億
1.89%55.02億
1.80%55.23億
-0.86%54億
總權益及總負債
-4.49%48.87億
-9.45%49.9億
-11.00%51.17億
-7.42%55.1億
-2.69%57.49億
-0.27%59.52億
3.57%59.08億
6.97%59.68億
1.88%57.04億
-0.64%55.79億
貨幣單位
港元
港元
港元
港元
港元
港元
港元
港元
港元
港元
會計準則
香港會計準則
香港會計準則
香港會計準則
香港會計準則
香港會計準則
香港會計準則
香港會計準則
香港會計準則
香港會計準則
香港會計準則
審計意見
無保留意見
--
無保留意見
--
無保留意見
--
無保留意見
--
無保留意見
--
會計師事務所
香港立信德豪會計師事務所有限公司
--
香港立信德豪會計師事務所有限公司
--
香港立信德豪會計師事務所有限公司
--
香港立信德豪會計師事務所有限公司
--
香港立信德豪會計師事務所有限公司
--
(FY)2025/09/30(Q6)2025/03/31(FY)2024/09/30(Q6)2024/03/31(FY)2023/09/30(Q6)2023/03/31(FY)2022/09/30(Q6)2022/03/31(FY)2021/09/30(Q6)2021/03/31
資產
流動資產
存貨 -10.79%1,494.2萬-24.17%1,585.2萬-11.43%1,675萬-25.69%2,090.5萬1.93%1,891.2萬60.36%2,813.4萬16.94%1,855.3萬7.86%1,754.4萬-4.32%1,586.6萬7.18%1,626.5萬
應收賬款 -13.69%969.6萬36.42%1,384.7萬-15.97%1,123.4萬44.59%1,015萬-4.18%1,336.9萬-33.59%702萬61.07%1,395.2萬-18.60%1,057萬-19.68%866.2萬27.54%1,298.5萬
應收關聯方款項 ------------------------------------365.61%132.7萬
預付款按金及其他應收款 -55.97%348.3萬-20.36%483.8萬23.13%791.1萬-21.55%607.5萬-31.51%642.5萬-0.40%774.4萬7.73%938.1萬-22.83%777.5萬21.35%870.8萬57.84%1,007.5萬
預繳及應收稅項 --------------------------------------2.6萬
現金及等價物 34.14%5,147.4萬-17.69%3,675.3萬-37.21%3,837.3萬15.87%4,465.3萬118.19%6,111萬-40.49%3,853.8萬-59.04%2,800.8萬-12.63%6,476.3萬-44.53%6,838.3萬-42.71%7,412.5萬
定期存款-流動資產 -75.53%1,097萬-11.91%3,577.7萬13.81%4,482.7萬2.66%4,061.4萬408.40%3,938.6萬--3,956.1萬--774.7萬------------
按公平值入損益金融資產-流動資產 36.30%7,513.5萬21.47%6,178.7萬39.27%5,512.3萬133.29%5,086.5萬93.29%3,958萬-16.37%2,180.3萬-18.67%2,047.7萬-12.31%2,607.1萬21.69%2,517.8萬36.83%2,973萬
流動資產特殊專案 ----------------------782.7萬-71.61%778.9萬----1,637.56%2,743.6萬--2,783.5萬
流動資產合計 -4.89%1.66億-2.54%1.69億-2.55%1.74億15.03%1.73億68.81%1.79億18.86%1.51億-31.33%1.06億-26.48%1.27億-28.61%1.54億-20.83%1.72億
非流動資產
物業廠房及設備 -1.45%1,378.9萬-2.41%1,355萬7.62%1,399.2萬9.86%1,388.4萬59.09%1,300.1萬47.43%1,263.8萬-8.26%817.2萬-3.14%857.2萬66.97%890.8萬99.19%885萬
投資物業 -5.58%44.24億-10.98%45.18億-11.66%46.86億-8.08%50.75億-3.89%53.04億-0.08%55.22億5.40%55.19億7.88%55.26億2.29%52.36億-0.55%51.22億
預付款項 -----------------68.76%41.8萬-51.11%87.9萬-40.72%133.8萬-33.85%179.8萬-28.94%225.7萬-25.29%271.8萬
合營公司權益 -8.58%2,964.7萬-1.31%2,276.4萬25.41%3,243.1萬-10.39%2,306.5萬8.14%2,586萬-16.81%2,573.8萬-13.11%2,391.4萬57.92%3,093.9萬-13.95%2,752.3萬-3.69%1,959.1萬
按公平值入損益金融資產-非流動資產 53.90%1.19億42.92%1.36億-18.30%7,745.6萬-0.43%9,493.7萬-6.93%9,480.5萬-0.81%9,535萬1.05%1.02億27.19%9,612.5萬87.67%1.01億98.79%7,557.5萬
無形資產 -------------------------82.54%30萬--158.8萬--171.8萬----
非流動資產特殊專案 -1.09%1.14億-3.59%1.17億-5.78%1.16億-9.22%1.21億-9.56%1.23億-13.04%1.33億-8.90%1.36億0.13%1.53億28.53%1.49億32.63%1.53億
非流動資產合計 -4.47%47.21億-9.67%48.21億-11.27%49.43億-8.00%53.37億-4.00%55.7億-0.69%58.02億4.54%58.02億8.04%58.42億3.11%55.5億0.17%54.07億
總資產 -4.49%48.87億-9.45%49.9億-11.00%51.17億-7.42%55.1億-2.69%57.49億-0.27%59.52億3.57%59.08億6.97%59.68億1.88%57.04億-0.64%55.79億
負債
流動負債
應付帳款 -6.87%2,037.4萬-19.95%1,734萬-5.13%2,187.7萬0.85%2,166.1萬2.40%2,306.1萬-30.00%2,147.9萬-23.24%2,252.1萬-10.14%3,068.3萬-26.56%2,934.1萬-0.16%3,414.5萬
應付稅項 -19.80%228.8萬73.21%596.7萬320.80%285.3萬-2.85%344.5萬-51.26%67.8萬-38.83%354.6萬-8.18%139.1萬53.24%579.7萬-79.17%151.5萬-31.41%378.3萬
應付關連方款項-流動負債 ------------------------0.00%65萬--65萬--65萬----
預收款項 4.49%2,644.5萬-1.43%2,568.2萬3.22%2,530.8萬1.23%2,605.4萬-4.75%2,451.8萬-5.26%2,573.8萬-2.08%2,574萬10.14%2,716.6萬7.40%2,628.6萬-1.78%2,466.5萬
銀行貸款及透支 6.04%3.97億4.93%4.16億-2.70%3.74億9.66%3.96億22.45%3.84億3.73%3.61億383.01%3.14億435.98%3.48億18.18%6,500萬11.32%6,500萬
流動負債合計 4.20%4.49億3.52%4.72億-2.35%4.31億5.91%4.56億18.16%4.41億4.30%4.3億188.13%3.73億223.44%4.13億2.28%1.3億3.55%1.28億
淨流動資產 -10.37%-2.83億-7.23%-3.03億2.21%-2.57億-1.00%-2.83億1.90%-2.62億2.15%-2.8億-1,185.27%-2.67億-738.66%-2.86億-72.41%2,464.6萬-52.63%4,477.5萬
總資產減流動負債 -5.29%44.38億-10.62%45.18億-11.72%46.86億-8.46%50.55億-4.10%53.08億-0.61%55.22億-0.72%55.35億1.90%55.56億1.87%55.75億-0.74%54.52億
非流動負債
遞延稅項負債 3.64%6,519.2萬7.62%6,371.6萬9.11%6,290.2萬3.53%5,920.5萬4.52%5,765萬6.43%5,718.4萬6.21%5,515.7萬3.09%5,373.1萬9.83%5,193.1萬14.36%5,212.3萬
非流動負債合計 3.64%6,519.2萬7.62%6,371.6萬9.11%6,290.2萬3.53%5,920.5萬4.52%5,765萬6.43%5,718.4萬6.21%5,515.7萬3.09%5,373.1萬9.83%5,193.1萬14.36%5,212.3萬
總負債 4.13%5.14億3.99%5.36億-1.02%4.94億5.63%5.15億16.40%4.99億4.55%4.88億136.09%4.29億159.53%4.66億4.33%1.82億6.47%1.8億
總資產減總負債 -5.41%43.73億-10.84%44.54億-11.95%46.23億-8.59%49.95億-4.18%52.5億-0.68%54.65億-0.79%54.79億1.89%55.02億1.80%55.23億-0.86%54億
總權益及非流動負債 -5.29%44.38億-10.62%45.18億-11.72%46.86億-8.46%50.55億-4.10%53.08億-0.61%55.22億-0.72%55.35億1.90%55.56億1.87%55.75億-0.74%54.52億
權益
股本 0.00%1.46億0.00%1.46億0.00%1.46億0.00%1.46億0.00%1.46億0.00%1.46億0.00%1.46億0.00%1.46億0.00%1.46億0.00%1.46億
儲備 -5.59%42.27億-11.16%43.08億-12.29%44.77億-8.82%48.49億-4.34%51.04億-0.73%53.18億-0.78%53.36億1.98%53.58億1.87%53.78億-0.89%52.54億
股東權益 -5.41%43.73億-10.84%44.54億-11.95%46.23億-8.59%49.95億-4.23%52.5億-0.71%54.65億-0.76%54.82億1.93%55.04億1.82%55.24億-0.86%54億
非控股權益 6.25%1.7萬-15.00%1.7萬-38.46%1.6萬33.33%2萬101.09%2.6萬100.87%1.5萬-141.23%-239.3萬-9,700.00%-172.8萬-3,642.86%-99.2萬-35.71%1.8萬
總權益 -5.41%43.73億-10.84%44.54億-11.95%46.23億-8.59%49.95億-4.18%52.5億-0.68%54.65億-0.79%54.79億1.89%55.02億1.80%55.23億-0.86%54億
總權益及總負債 -4.49%48.87億-9.45%49.9億-11.00%51.17億-7.42%55.1億-2.69%57.49億-0.27%59.52億3.57%59.08億6.97%59.68億1.88%57.04億-0.64%55.79億
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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。

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