港股市場個股詳情

00712 卡姆丹克太陽能

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  • 0.116
  • -0.004-3.33%
未開盤 11/19 16:08 (北京)
1.23億總市值-3741市盈率TTM

卡姆丹克太陽能關鍵統計數據

全部
顯示同比 yoy
隱藏空行 yoy
(Q6)2024/06/30
(FY)2023/12/31
(Q6)2023/06/30
(FY)2022/12/31
(Q6)2022/06/30
(FY)2021/12/31
(Q6)2021/06/30
(FY)2020/12/31
(Q6)2020/06/30
(FY)2019/12/31
資產
流動資產
存貨
-57.02%173.1萬
-48.51%158.8萬
166.51%402.7萬
-2.50%308.4萬
-92.04%151.1萬
-81.63%316.3萬
21.12%1,897.7萬
-5.99%1,721.5萬
50.60%1,566.8萬
-2.53%1,831.2萬
應收賬款
175.16%2,021.6萬
694.99%4,748.5萬
569.74%734.7萬
-20.21%597.3萬
-98.76%109.7萬
-75.61%748.6萬
46.06%8,878.1萬
-44.07%3,069.9萬
-6.72%6,078.5萬
-27.02%5,488.7萬
預付款按金及其他應收款
28.15%6,937.8萬
-6.61%6,429.6萬
-6.48%5,413.9萬
73.08%6,884.8萬
108.28%5,788.8萬
-43.02%3,977.8萬
-5.70%2,779.3萬
125.86%6,980.9萬
-24.45%2,947.2萬
-57.17%3,090.8萬
現金及等價物
-25.75%901.7萬
-18.89%1,828.6萬
-71.50%1,214.4萬
233.10%2,254.4萬
671.15%4,261.4萬
32.03%676.8萬
-11.01%552.6萬
56.00%512.6萬
104.28%621萬
-59.03%328.6萬
已抵押存款
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-69.29%11.7萬
48.91%20.4萬
--38.1萬
-99.35%13.7萬
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-5.45%2,121.4萬
2.13%2,274.9萬
1.69%2,243.6萬
按公平值入損益金融資產-流動資產
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--730.6萬
流動資產特殊專案
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--1.25億
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流動資產合計
29.02%1億
-41.75%1.32億
-24.85%7,777.4萬
294.21%2.26億
-26.64%1.03億
-60.20%5,733.2萬
4.59%1.41億
5.05%1.44億
-13.17%1.35億
-30.12%1.37億
非流動資產
物業廠房及設備
-17.98%2,412.5萬
-17.79%2,617.7萬
-67.93%2,941.3萬
-67.84%3,184.2萬
-23.83%9,171萬
-33.01%9,901.6萬
-7.62%1.2億
-9.48%1.48億
-11.26%1.3億
-1.90%1.63億
投資物業
-27.93%3,249.7萬
-5.40%4,266萬
-62.65%4,509.3萬
-64.59%4,509.3萬
45.62%1.21億
53.61%1.27億
-3.62%8,291.4萬
-3.62%8,291.4萬
0.00%8,602.7萬
0.00%8,602.7萬
預付款項
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0.00%69.1萬
-17.81%52.6萬
53.22%69.1萬
97.53%64萬
-96.55%45.1萬
聯營公司權益
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0.00%15.9萬
--15.9萬
--15.9萬
合營公司權益
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----
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7.10%1,128.4萬
7.55%1,130.8萬
無形資產
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----
----
----
-80.00%30.5萬
-57.14%91.5萬
-47.27%152.5萬
-43.74%213.5萬
-38.64%289.2萬
-32.77%379.5萬
商譽
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0.00%657.3萬
0.00%657.3萬
72.66%657.3萬
72.66%657.3萬
-94.31%380.7萬
-94.31%380.7萬
遞延稅項資產
--621.2萬
--367.2萬
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非流動資產合計
-12.43%6,524.8萬
-2.02%7,538.2萬
-66.03%7,450.6萬
-67.20%7,693.5萬
-4.88%2.19億
-2.38%2.35億
-10.68%2.31億
-10.62%2.4億
-26.09%2.58億
-22.88%2.69億
總資產
8.74%1.66億
-31.66%2.07億
-52.83%1.52億
3.79%3.03億
-13.14%3.23億
-24.05%2.92億
-5.44%3.72億
-5.33%3.84億
-22.11%3.93億
-25.49%4.06億
負債
流動負債
應付帳款
17.12%6,700.9萬
83.47%9,197.7萬
25.48%5,721.6萬
-24.91%5,013.2萬
-74.69%4,559.9萬
1.83%6,675.9萬
67.35%1.8億
-39.87%6,555.7萬
-9.42%1.08億
-21.60%1.09億
應付稅項
-0.20%585.9萬
0.89%591.5萬
0.60%587.1萬
0.58%586.3萬
34.94%583.6萬
0.36%582.9萬
-25.41%432.5萬
0.31%580.8萬
0.22%579.8萬
0.09%579萬
應付關連方款項-流動負債
--2,838.9萬
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其他應付款及應計費用
-9.17%1.13億
49.40%1.44億
-55.01%1.24億
-6.31%9,608.9萬
5,271.91%2.76億
33.17%1.03億
0.00%513萬
1,499.85%7,701.7萬
--513萬
--481.4萬
預收款項
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--1.8億
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銀行貸款及透支
38.23%2,094.5萬
-27.69%2,013.5萬
-40.57%1,515.2萬
-78.64%2,784.5萬
-82.09%2,549.4萬
-20.74%1.3億
-12.15%1.42億
7.38%1.64億
--1.62億
-9.99%1.53億
其他貸款-流動負債
2.15%118.6萬
-56.23%208.4萬
-75.43%116.1萬
-73.05%476.1萬
--472.5萬
--1,766.9萬
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融資租賃負債-流動負債
-22.94%309.7萬
-14.11%390.1萬
82.52%401.9萬
113.74%454.2萬
44.02%220.2萬
33.56%212.5萬
-54.79%152.9萬
-17.18%159.1萬
-31.97%338.2萬
134.27%192.1萬
遞延收入-流動負債
-39.92%250.7萬
0.00%417.3萬
0.00%417.3萬
396.79%417.3萬
396.79%417.3萬
0.00%84萬
113.74%84萬
56.42%84萬
36.93%39.3萬
87.11%53.7萬
流動負債特殊專案
-67.26%1,419.5萬
-66.24%1,410.7萬
7.67%4,335.5萬
9.24%4,178.7萬
-20.33%4,026.8萬
-54.78%3,825.4萬
--5,054.3萬
--8,458.7萬
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流動負債合計
-0.06%2.58億
-30.87%2.89億
-36.31%2.58億
12.81%4.18億
-2.65%4.05億
-14.68%3.71億
26.92%4.16億
33.07%4.35億
-1.03%3.28億
-12.58%3.27億
淨流動資產
12.59%-1.58億
18.08%-1.57億
40.24%-1.8億
38.66%-1.92億
-9.64%-3.02億
-7.89%-3.13億
-42.50%-2.75億
-53.36%-2.91億
-9.68%-1.93億
-6.82%-1.89億
總資產減流動負債
12.70%-9,245.9萬
28.80%-8,211.5萬
-28.28%-1.06億
-46.17%-1.15億
-84.38%-8,256.5萬
-56.97%-7,889.6萬
-168.98%-4,478萬
-163.32%-5,026.2萬
-62.49%6,491.5萬
-53.65%7,937.5萬
非流動負債
長期銀行貸款
--3,731.7萬
633.23%3,446.2萬
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-37.33%470萬
-32.22%610萬
-27.18%750萬
100.00%900萬
114.58%1,030萬
-11.76%450萬
-11.11%480萬
融資租賃負債-非流動負債
-30.70%1,010.5萬
-43.08%1,131萬
114.39%1,458.1萬
156.27%1,986.9萬
-22.01%680.1萬
-20.18%775.3萬
-30.68%872萬
-8.78%971.3萬
-37.83%1,258萬
25.26%1,064.8萬
遞延稅項負債
-48.93%174.6萬
-88.57%174.6萬
-69.39%341.9萬
19.12%1,527.8萬
-3.21%1,117.1萬
11.13%1,282.6萬
-34.24%1,154.1萬
-34.28%1,154.1萬
-4.47%1,755.1萬
-5.09%1,756.1萬
遞延收入-非流動負債
-36.35%438.9萬
-46.45%481萬
-37.70%689.6萬
38.43%898.3萬
51.03%1,106.9萬
-11.46%648.9萬
-10.57%732.9萬
34.77%732.9萬
128.85%819.5萬
45.99%543.8萬
可轉換票據及債券
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6.22%7,693.1萬
-0.11%7,282.4萬
非流動負債合計
115.12%5,355.7萬
7.16%5,232.8萬
-29.15%2,489.6萬
41.26%4,883萬
-3.96%3,514.1萬
-11.10%3,456.8萬
-69.45%3,659萬
-65.06%3,888.3萬
-2.90%1.2億
-1.99%1.11億
總負債
10.07%3.12億
-26.89%3.41億
-35.74%2.83億
15.23%4.67億
-2.76%4.41億
-14.39%4.05億
1.15%4.53億
8.14%4.73億
-1.54%4.48億
-10.11%4.38億
總資產減總負債
-11.62%-1.46億
18.10%-1.34億
-11.13%-1.31億
-44.67%-1.64億
-44.66%-1.18億
-27.28%-1.13億
-48.37%-8,137萬
-179.49%-8,914.5萬
-210.27%-5,484.2萬
-155.27%-3,189.6萬
總權益及非流動負債
12.70%-9,245.9萬
28.80%-8,211.5萬
-28.28%-1.06億
-46.17%-1.15億
-84.38%-8,256.5萬
-56.97%-7,889.6萬
-168.98%-4,478萬
-163.32%-5,026.2萬
-62.49%6,491.5萬
-53.65%7,937.5萬
權益
股本
18.20%372.7萬
14.57%315.3萬
14.57%315.3萬
0.00%275.2萬
1.62%275.2萬
7.67%275.2萬
5.95%270.8萬
17.30%255.6萬
41.45%255.6萬
20.59%217.9萬
儲備
-11.82%-1.48億
17.69%-1.37億
-8.18%-1.33億
-50.56%-1.66億
-48.27%-1.23億
-23.22%-1.1億
-50.25%-8,269.5萬
-170.76%-8,958萬
-231.35%-5,503.7萬
-162.34%-3,308.5萬
股東權益
-11.66%-1.45億
18.23%-1.34億
-8.03%-1.29億
-51.85%-1.63億
-49.85%-1.2億
-23.68%-1.08億
-52.41%-7,998.7萬
-181.58%-8,702.4萬
-220.07%-5,248.1萬
-156.31%-3,090.6萬
非控股權益
-8.02%-142.8萬
-12.55%-80.7萬
-161.26%-132.2萬
87.71%-71.7萬
256.04%215.8萬
-175.01%-583.3萬
41.42%-138.3萬
-114.24%-212.1萬
-139.16%-236.1萬
-134.97%-99萬
總權益
-11.62%-1.46億
18.10%-1.34億
-11.13%-1.31億
-44.67%-1.64億
-44.66%-1.18億
-27.28%-1.13億
-48.37%-8,137萬
-179.49%-8,914.5萬
-210.27%-5,484.2萬
-155.27%-3,189.6萬
總權益及總負債
8.74%1.66億
-31.66%2.07億
-52.83%1.52億
3.79%3.03億
-13.14%3.23億
-24.05%2.92億
-5.44%3.72億
-5.33%3.84億
-22.11%3.93億
-25.49%4.06億
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
國際會計準則
國際會計準則
國際會計準則
國際會計準則
國際會計準則
國際會計準則
國際會計準則
國際會計準則
國際會計準則
國際會計準則
會計師事務所
--
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尤尼泰·栢淳(香港)會計師事務所有限公司
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中審衆環(香港)會計師事務所有限公司
(Q6)2024/06/30(FY)2023/12/31(Q6)2023/06/30(FY)2022/12/31(Q6)2022/06/30(FY)2021/12/31(Q6)2021/06/30(FY)2020/12/31(Q6)2020/06/30(FY)2019/12/31
資產
流動資產
存貨 -57.02%173.1萬-48.51%158.8萬166.51%402.7萬-2.50%308.4萬-92.04%151.1萬-81.63%316.3萬21.12%1,897.7萬-5.99%1,721.5萬50.60%1,566.8萬-2.53%1,831.2萬
應收賬款 175.16%2,021.6萬694.99%4,748.5萬569.74%734.7萬-20.21%597.3萬-98.76%109.7萬-75.61%748.6萬46.06%8,878.1萬-44.07%3,069.9萬-6.72%6,078.5萬-27.02%5,488.7萬
預付款按金及其他應收款 28.15%6,937.8萬-6.61%6,429.6萬-6.48%5,413.9萬73.08%6,884.8萬108.28%5,788.8萬-43.02%3,977.8萬-5.70%2,779.3萬125.86%6,980.9萬-24.45%2,947.2萬-57.17%3,090.8萬
現金及等價物 -25.75%901.7萬-18.89%1,828.6萬-71.50%1,214.4萬233.10%2,254.4萬671.15%4,261.4萬32.03%676.8萬-11.01%552.6萬56.00%512.6萬104.28%621萬-59.03%328.6萬
已抵押存款 ---------69.29%11.7萬48.91%20.4萬--38.1萬-99.35%13.7萬-----5.45%2,121.4萬2.13%2,274.9萬1.69%2,243.6萬
按公平值入損益金融資產-流動資產 --------------------------------------730.6萬
流動資產特殊專案 --------------1.25億------------------------
流動資產合計 29.02%1億-41.75%1.32億-24.85%7,777.4萬294.21%2.26億-26.64%1.03億-60.20%5,733.2萬4.59%1.41億5.05%1.44億-13.17%1.35億-30.12%1.37億
非流動資產
物業廠房及設備 -17.98%2,412.5萬-17.79%2,617.7萬-67.93%2,941.3萬-67.84%3,184.2萬-23.83%9,171萬-33.01%9,901.6萬-7.62%1.2億-9.48%1.48億-11.26%1.3億-1.90%1.63億
投資物業 -27.93%3,249.7萬-5.40%4,266萬-62.65%4,509.3萬-64.59%4,509.3萬45.62%1.21億53.61%1.27億-3.62%8,291.4萬-3.62%8,291.4萬0.00%8,602.7萬0.00%8,602.7萬
預付款項 --------------------0.00%69.1萬-17.81%52.6萬53.22%69.1萬97.53%64萬-96.55%45.1萬
聯營公司權益 ----------------------------0.00%15.9萬--15.9萬--15.9萬
合營公司權益 --------------------------------7.10%1,128.4萬7.55%1,130.8萬
無形資產 -----------------80.00%30.5萬-57.14%91.5萬-47.27%152.5萬-43.74%213.5萬-38.64%289.2萬-32.77%379.5萬
商譽 ----------------0.00%657.3萬0.00%657.3萬72.66%657.3萬72.66%657.3萬-94.31%380.7萬-94.31%380.7萬
遞延稅項資產 --621.2萬--367.2萬--------------------------------
非流動資產合計 -12.43%6,524.8萬-2.02%7,538.2萬-66.03%7,450.6萬-67.20%7,693.5萬-4.88%2.19億-2.38%2.35億-10.68%2.31億-10.62%2.4億-26.09%2.58億-22.88%2.69億
總資產 8.74%1.66億-31.66%2.07億-52.83%1.52億3.79%3.03億-13.14%3.23億-24.05%2.92億-5.44%3.72億-5.33%3.84億-22.11%3.93億-25.49%4.06億
負債
流動負債
應付帳款 17.12%6,700.9萬83.47%9,197.7萬25.48%5,721.6萬-24.91%5,013.2萬-74.69%4,559.9萬1.83%6,675.9萬67.35%1.8億-39.87%6,555.7萬-9.42%1.08億-21.60%1.09億
應付稅項 -0.20%585.9萬0.89%591.5萬0.60%587.1萬0.58%586.3萬34.94%583.6萬0.36%582.9萬-25.41%432.5萬0.31%580.8萬0.22%579.8萬0.09%579萬
應付關連方款項-流動負債 --2,838.9萬------------------------------------
其他應付款及應計費用 -9.17%1.13億49.40%1.44億-55.01%1.24億-6.31%9,608.9萬5,271.91%2.76億33.17%1.03億0.00%513萬1,499.85%7,701.7萬--513萬--481.4萬
預收款項 --------------1.8億------------------------
銀行貸款及透支 38.23%2,094.5萬-27.69%2,013.5萬-40.57%1,515.2萬-78.64%2,784.5萬-82.09%2,549.4萬-20.74%1.3億-12.15%1.42億7.38%1.64億--1.62億-9.99%1.53億
其他貸款-流動負債 2.15%118.6萬-56.23%208.4萬-75.43%116.1萬-73.05%476.1萬--472.5萬--1,766.9萬----------------
融資租賃負債-流動負債 -22.94%309.7萬-14.11%390.1萬82.52%401.9萬113.74%454.2萬44.02%220.2萬33.56%212.5萬-54.79%152.9萬-17.18%159.1萬-31.97%338.2萬134.27%192.1萬
遞延收入-流動負債 -39.92%250.7萬0.00%417.3萬0.00%417.3萬396.79%417.3萬396.79%417.3萬0.00%84萬113.74%84萬56.42%84萬36.93%39.3萬87.11%53.7萬
流動負債特殊專案 -67.26%1,419.5萬-66.24%1,410.7萬7.67%4,335.5萬9.24%4,178.7萬-20.33%4,026.8萬-54.78%3,825.4萬--5,054.3萬--8,458.7萬--------
流動負債合計 -0.06%2.58億-30.87%2.89億-36.31%2.58億12.81%4.18億-2.65%4.05億-14.68%3.71億26.92%4.16億33.07%4.35億-1.03%3.28億-12.58%3.27億
淨流動資產 12.59%-1.58億18.08%-1.57億40.24%-1.8億38.66%-1.92億-9.64%-3.02億-7.89%-3.13億-42.50%-2.75億-53.36%-2.91億-9.68%-1.93億-6.82%-1.89億
總資產減流動負債 12.70%-9,245.9萬28.80%-8,211.5萬-28.28%-1.06億-46.17%-1.15億-84.38%-8,256.5萬-56.97%-7,889.6萬-168.98%-4,478萬-163.32%-5,026.2萬-62.49%6,491.5萬-53.65%7,937.5萬
非流動負債
長期銀行貸款 --3,731.7萬633.23%3,446.2萬-----37.33%470萬-32.22%610萬-27.18%750萬100.00%900萬114.58%1,030萬-11.76%450萬-11.11%480萬
融資租賃負債-非流動負債 -30.70%1,010.5萬-43.08%1,131萬114.39%1,458.1萬156.27%1,986.9萬-22.01%680.1萬-20.18%775.3萬-30.68%872萬-8.78%971.3萬-37.83%1,258萬25.26%1,064.8萬
遞延稅項負債 -48.93%174.6萬-88.57%174.6萬-69.39%341.9萬19.12%1,527.8萬-3.21%1,117.1萬11.13%1,282.6萬-34.24%1,154.1萬-34.28%1,154.1萬-4.47%1,755.1萬-5.09%1,756.1萬
遞延收入-非流動負債 -36.35%438.9萬-46.45%481萬-37.70%689.6萬38.43%898.3萬51.03%1,106.9萬-11.46%648.9萬-10.57%732.9萬34.77%732.9萬128.85%819.5萬45.99%543.8萬
可轉換票據及債券 --------------------------------6.22%7,693.1萬-0.11%7,282.4萬
非流動負債合計 115.12%5,355.7萬7.16%5,232.8萬-29.15%2,489.6萬41.26%4,883萬-3.96%3,514.1萬-11.10%3,456.8萬-69.45%3,659萬-65.06%3,888.3萬-2.90%1.2億-1.99%1.11億
總負債 10.07%3.12億-26.89%3.41億-35.74%2.83億15.23%4.67億-2.76%4.41億-14.39%4.05億1.15%4.53億8.14%4.73億-1.54%4.48億-10.11%4.38億
總資產減總負債 -11.62%-1.46億18.10%-1.34億-11.13%-1.31億-44.67%-1.64億-44.66%-1.18億-27.28%-1.13億-48.37%-8,137萬-179.49%-8,914.5萬-210.27%-5,484.2萬-155.27%-3,189.6萬
總權益及非流動負債 12.70%-9,245.9萬28.80%-8,211.5萬-28.28%-1.06億-46.17%-1.15億-84.38%-8,256.5萬-56.97%-7,889.6萬-168.98%-4,478萬-163.32%-5,026.2萬-62.49%6,491.5萬-53.65%7,937.5萬
權益
股本 18.20%372.7萬14.57%315.3萬14.57%315.3萬0.00%275.2萬1.62%275.2萬7.67%275.2萬5.95%270.8萬17.30%255.6萬41.45%255.6萬20.59%217.9萬
儲備 -11.82%-1.48億17.69%-1.37億-8.18%-1.33億-50.56%-1.66億-48.27%-1.23億-23.22%-1.1億-50.25%-8,269.5萬-170.76%-8,958萬-231.35%-5,503.7萬-162.34%-3,308.5萬
股東權益 -11.66%-1.45億18.23%-1.34億-8.03%-1.29億-51.85%-1.63億-49.85%-1.2億-23.68%-1.08億-52.41%-7,998.7萬-181.58%-8,702.4萬-220.07%-5,248.1萬-156.31%-3,090.6萬
非控股權益 -8.02%-142.8萬-12.55%-80.7萬-161.26%-132.2萬87.71%-71.7萬256.04%215.8萬-175.01%-583.3萬41.42%-138.3萬-114.24%-212.1萬-139.16%-236.1萬-134.97%-99萬
總權益 -11.62%-1.46億18.10%-1.34億-11.13%-1.31億-44.67%-1.64億-44.66%-1.18億-27.28%-1.13億-48.37%-8,137萬-179.49%-8,914.5萬-210.27%-5,484.2萬-155.27%-3,189.6萬
總權益及總負債 8.74%1.66億-31.66%2.07億-52.83%1.52億3.79%3.03億-13.14%3.23億-24.05%2.92億-5.44%3.72億-5.33%3.84億-22.11%3.93億-25.49%4.06億
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 國際會計準則國際會計準則國際會計準則國際會計準則國際會計準則國際會計準則國際會計準則國際會計準則國際會計準則國際會計準則
會計師事務所 ----------尤尼泰·栢淳(香港)會計師事務所有限公司------中審衆環(香港)會計師事務所有限公司

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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