馬來西亞市場個股詳情

SMETRIC (0203)

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  • 0.130
  • +0.005+4.00%
延時15分鐘行情休市中 04/17 16:50 (北京)
7501.86萬總市值32.50市盈率TTM

0203 SMETRIC

季報+年報
顯示同比 yoy
隱藏空行 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
資產
流動資產
現金及現金等價物與短期投資
12.59%2,774.7萬
12.59%2,774.7萬
13.18%2,761.7萬
1.29%2,164.5萬
1.08%2,220.3萬
10.07%2,464.34萬
10.07%2,464.34萬
2.00%2,440萬
-21.56%2,136.9萬
-6.81%2,196.5萬
-現金及現金等價物
4.41%1,561.6萬
4.41%1,561.6萬
9.53%1,695.8萬
-39.44%1,091.4萬
-38.97%1,002.1萬
-13.44%1,495.71萬
-13.44%1,495.71萬
9.18%1,548.3萬
-0.54%1,802.2萬
9.19%1,641.9萬
-其中:現金
4.41%1,561.6萬
4.41%1,561.6萬
9.53%1,695.8萬
-39.44%1,091.4萬
-38.97%1,002.1萬
-13.44%1,495.71萬
-13.44%1,495.71萬
9.18%1,548.3萬
-0.54%1,802.2萬
9.19%1,641.9萬
-短期投資
25.24%1,213.1萬
25.24%1,213.1萬
19.54%1,065.9萬
220.62%1,073.1萬
119.65%1,218.2萬
89.57%968.63萬
89.57%968.63萬
-8.46%891.7萬
-63.30%334.7萬
-35.01%554.6萬
應收款項
28.96%1,906.4萬
28.96%1,906.4萬
7.32%2,262.6萬
32.55%3,370.1萬
-0.68%2,974.2萬
45.23%1,478.28萬
45.23%1,478.28萬
63.70%2,108.3萬
127.24%2,542.6萬
119.64%2,994.6萬
-應收賬款淨額
-10.25%1,106.4萬
-10.25%1,106.4萬
50.79%1,359.1萬
84.37%2,460.4萬
-27.50%1,519.4萬
77.63%1,232.71萬
77.63%1,232.71萬
30.06%901.3萬
112.97%1,334.5萬
128.67%2,095.8萬
-其中:應收賬款
----
----
----
----
----
74.98%1,279.33萬
74.98%1,279.33萬
----
----
----
-其中:壞賬準備
----
----
----
----
----
-25.43%-46.62萬
-25.43%-46.62萬
----
----
----
-其他應收款
225.77%800萬
225.77%800萬
-25.14%903.5萬
-24.70%909.7萬
61.86%1,454.8萬
-24.19%245.57萬
-24.19%245.57萬
102.89%1,207萬
145.40%1,208.1萬
101.12%898.8萬
存貨
-0.14%129.5萬
-0.14%129.5萬
-47.74%93.7萬
-15.13%94.8萬
-23.11%75.2萬
-30.55%129.68萬
-30.55%129.68萬
7.69%179.3萬
-45.14%111.7萬
-57.01%97.8萬
預付費用
----
----
----
----
----
-22.70%88.28萬
-22.70%88.28萬
----
----
----
受限制現金
----
----
----
----
----
2.81%45.18萬
2.81%45.18萬
----
----
----
稅項資產
-49.49%16.8萬
-49.49%16.8萬
5.78%29.3萬
-4.00%28.8萬
-3.55%32.6萬
2.46%33.26萬
2.46%33.26萬
4.92%27.7萬
-56.20%30萬
-50.15%33.8萬
遞延資產
----
----
----
----
----
27.54%524.67萬
27.54%524.67萬
----
----
----
流動資產合計
1.34%4,827.4萬
1.34%4,827.4萬
8.24%5,147.3萬
17.36%5,658.2萬
-0.38%5,302.3萬
17.75%4,763.69萬
17.75%4,763.69萬
22.78%4,755.3萬
17.16%4,821.2萬
32.55%5,322.7萬
非流動資產
物業廠房及設備淨額
-22.17%391.8萬
-22.17%391.8萬
-20.35%412.5萬
-8.93%448.7萬
52.10%467.7萬
54.71%503.41萬
54.71%503.41萬
115.16%517.9萬
152.28%492.7萬
72.27%307.5萬
-物業、廠房及設備
-59.05%391.8萬
-59.05%391.8萬
-20.35%412.5萬
-8.93%448.7萬
52.10%467.7萬
28.49%956.69萬
28.49%956.69萬
115.16%517.9萬
152.28%492.7萬
72.27%307.5萬
-累計折舊
----
----
----
----
----
-8.15%-453.28萬
-8.15%-453.28萬
----
----
----
長期預付費用
----
----
----
----
----
--675
--675
----
----
----
投資總額
-0.28%1,177.8萬
-0.28%1,177.8萬
-9.66%1,186萬
-8.18%1,182.8萬
-9.61%1,179.1萬
-8.48%1,181.13萬
-8.48%1,181.13萬
-28.72%1,312.8萬
-30.95%1,288.2萬
-27.69%1,304.4萬
-長期股權投資
-0.58%568.3萬
-0.58%568.3萬
-18.03%576.5萬
-15.53%573.3萬
-18.03%569.6萬
-16.06%571.61萬
-16.06%571.61萬
-15.49%703.3萬
-20.71%678.7萬
-12.51%694.9萬
-金融資產投資
----
----
----
----
----
0.00%609.53萬
0.00%609.53萬
----
----
----
-其中:可供出售證券
----
----
----
----
----
0.00%609.53萬
0.00%609.53萬
----
----
----
-其他投資
0.00%609.5萬
0.00%609.5萬
0.00%609.5萬
0.00%609.5萬
0.00%609.5萬
--609.5萬
--609.5萬
-39.62%609.5萬
-39.62%609.5萬
-39.62%609.5萬
長期應收賬款及其他應收款
25.38%125.1萬
25.38%125.1萬
-1.63%138.6萬
-12.92%118萬
-5.62%127.6萬
-45.85%99.78萬
-45.85%99.78萬
-15.68%140.9萬
-19.49%135.5萬
-15.66%135.2萬
非流動遞延所得稅資產
-11.12%17萬
-11.12%17萬
-19.72%17.1萬
-22.61%17.8萬
-21.94%18.5萬
-19.19%19.13萬
-19.19%19.13萬
43.92%21.3萬
50.33%23萬
61.22%23.7萬
非流動遞延資產
----
----
----
----
----
--59.3萬
--59.3萬
----
----
----
非流動資產合計
-8.11%1,711.7萬
-8.11%1,711.7萬
-11.98%1,754.2萬
-8.87%1,767.3萬
1.25%1,792.9萬
2.14%1,862.82萬
2.14%1,862.82萬
-11.99%1,992.9萬
-13.59%1,939.4萬
-17.92%1,770.8萬
總資產
-1.32%6,539.1萬
-1.32%6,539.1萬
2.27%6,901.5萬
9.83%7,425.5萬
0.02%7,095.2萬
12.90%6,626.51萬
12.90%6,626.51萬
9.95%6,748.2萬
6.31%6,760.6萬
14.91%7,093.5萬
負債
流動負債
金融負債
2.91%93.1萬
2.91%93.1萬
6.93%97.2萬
8.78%96.6萬
67.10%89.4萬
35.55%90.47萬
35.55%90.47萬
311.31%90.9萬
150.85%88.8萬
9.86%53.5萬
-短期借款及資本租賃負債
2.91%93.1萬
2.91%93.1萬
6.93%97.2萬
8.78%96.6萬
67.10%89.4萬
35.55%90.47萬
35.55%90.47萬
311.31%90.9萬
150.85%88.8萬
9.86%53.5萬
-其中:資本租賃負債
2.91%93.1萬
2.91%93.1萬
6.93%97.2萬
8.78%96.6萬
67.10%89.4萬
35.55%90.47萬
35.55%90.47萬
311.31%90.9萬
150.85%88.8萬
9.86%53.5萬
應付款項
30.66%662.8萬
30.66%662.8萬
-21.98%559.9萬
-2.99%881.1萬
-36.06%964.8萬
-25.35%507.27萬
-25.35%507.27萬
-28.28%717.6萬
-23.16%908.3萬
30.61%1,508.8萬
-應付帳款
99.46%448.7萬
99.46%448.7萬
-24.50%287.5萬
-42.08%214萬
-69.93%257.1萬
-33.07%224.96萬
-33.07%224.96萬
-0.13%380.8萬
-9.17%369.5萬
54.07%855.1萬
-應交稅費
-79.70%25.5萬
-79.70%25.5萬
52.77%104.8萬
13.15%49.9萬
98.27%126.3萬
66.14%125.64萬
66.14%125.64萬
72.36%68.6萬
145.00%44.1萬
336.30%63.7萬
-其他應付款
20.39%188.6萬
20.39%188.6萬
-37.51%167.6萬
24.76%617.2萬
-1.46%581.4萬
-41.50%156.66萬
-41.50%156.66萬
-53.72%268.2萬
-34.67%494.7萬
0.75%590萬
應計及遞延所得
5.47%1,332.2萬
5.47%1,332.2萬
8.30%1,602.5萬
34.35%1,878.7萬
12.12%1,385.8萬
61.83%1,263.1萬
61.83%1,263.1萬
128.88%1,479.7萬
73.95%1,398.4萬
46.71%1,236萬
流動負債合計
12.21%2,088.1萬
12.21%2,088.1萬
-1.25%2,259.6萬
19.24%2,856.4萬
-12.80%2,440萬
21.88%1,860.84萬
21.88%1,860.84萬
37.08%2,288.2萬
18.51%2,395.5萬
36.74%2,798.3萬
非流動負債
非流動金融負債
-33.57%137萬
-33.57%137萬
-37.77%138.4萬
-17.14%159.5萬
103.66%183.5萬
111.42%206.24萬
111.42%206.24萬
308.82%222.4萬
206.04%192.5萬
217.25%90.1萬
-長期借款及資本租賃
-33.57%137萬
-33.57%137萬
-37.77%138.4萬
-17.14%159.5萬
103.66%183.5萬
111.42%206.24萬
111.42%206.24萬
308.82%222.4萬
206.04%192.5萬
217.25%90.1萬
-其中:長期資本租賃負債
-33.57%137萬
-33.57%137萬
-37.77%138.4萬
-17.14%159.5萬
103.66%183.5萬
111.42%206.24萬
111.42%206.24萬
308.82%222.4萬
206.04%192.5萬
217.25%90.1萬
長期養老金及其他退休後福利計畫
-6.15%18.7萬
-6.15%18.7萬
-10.10%17.8萬
-13.15%18.5萬
-12.73%19.2萬
-9.51%19.93萬
-9.51%19.93萬
-32.65%19.8萬
-29.93%21.3萬
-25.17%22萬
長期應計及遞延收入
-24.74%70.4萬
-24.74%70.4萬
-33.76%46.5萬
-32.99%39.4萬
-6.61%33.9萬
-11.75%93.54萬
-11.75%93.54萬
29.04%70.2萬
124.43%58.8萬
172.93%36.3萬
非流動負債合計
-29.28%226.1萬
-29.28%226.1萬
-35.12%202.7萬
-20.25%217.4萬
59.43%236.6萬
41.74%319.71萬
41.74%319.71萬
126.05%312.4萬
128.12%272.6萬
108.72%148.4萬
負債總額
6.13%2,314.2萬
6.13%2,314.2萬
-5.32%2,462.3萬
15.21%3,073.8萬
-9.17%2,676.6萬
24.43%2,180.55萬
24.43%2,180.55萬
43.89%2,600.6萬
24.63%2,668.1萬
39.16%2,946.7萬
所有者權益
股本
0.00%4,140萬
0.00%4,140萬
0.00%4,140萬
0.00%4,140萬
0.00%4,140萬
0.00%4,139.96萬
0.00%4,139.96萬
0.00%4,140萬
0.00%4,140萬
0.00%4,140萬
-普通股
0.00%4,140萬
0.00%4,140萬
0.00%4,140萬
0.00%4,140萬
0.00%4,140萬
0.00%4,139.96萬
0.00%4,139.96萬
0.00%4,140萬
0.00%4,140萬
0.00%4,140萬
留存收益
13.74%1,744.3萬
13.74%1,744.3萬
37.46%1,829.1萬
52.50%1,635.1萬
50.97%1,589萬
49.12%1,533.58萬
49.12%1,533.58萬
7.43%1,330.6萬
1.18%1,072.2萬
8.49%1,052.5萬
其他儲備
-34.54%-1,676.6萬
-34.54%-1,676.6萬
-15.22%-1,545.3萬
-26.55%-1,439.2萬
-24.67%-1,327.5萬
-16.28%-1,246.18萬
-16.28%-1,246.18萬
-25.24%-1,341.2萬
-13.13%-1,137.3萬
1.39%-1,064.8萬
股東權益
-4.96%4,207.7萬
-4.96%4,207.7萬
7.13%4,423.8萬
6.41%4,335.9萬
6.63%4,401.5萬
8.07%4,427.37萬
8.07%4,427.37萬
-4.14%4,129.4萬
-2.85%4,074.9萬
2.42%4,127.7萬
非控制性權益
-7.45%17.2萬
-7.45%17.2萬
-15.38%15.4萬
-10.23%15.8萬
-10.47%17.1萬
-8.66%18.58萬
-8.66%18.58萬
-18.02%18.2萬
-27.57%17.6萬
-24.21%19.1萬
總權益
-4.97%4,224.9萬
-4.97%4,224.9萬
7.03%4,439.2萬
6.33%4,351.7萬
6.55%4,418.6萬
7.99%4,445.96萬
7.99%4,445.96萬
-4.21%4,147.6萬
-2.99%4,092.5萬
2.25%4,146.8萬
會計準則
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(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
資產
流動資產
現金及現金等價物與短期投資 12.59%2,774.7萬12.59%2,774.7萬13.18%2,761.7萬1.29%2,164.5萬1.08%2,220.3萬10.07%2,464.34萬10.07%2,464.34萬2.00%2,440萬-21.56%2,136.9萬-6.81%2,196.5萬
-現金及現金等價物 4.41%1,561.6萬4.41%1,561.6萬9.53%1,695.8萬-39.44%1,091.4萬-38.97%1,002.1萬-13.44%1,495.71萬-13.44%1,495.71萬9.18%1,548.3萬-0.54%1,802.2萬9.19%1,641.9萬
-其中:現金 4.41%1,561.6萬4.41%1,561.6萬9.53%1,695.8萬-39.44%1,091.4萬-38.97%1,002.1萬-13.44%1,495.71萬-13.44%1,495.71萬9.18%1,548.3萬-0.54%1,802.2萬9.19%1,641.9萬
-短期投資 25.24%1,213.1萬25.24%1,213.1萬19.54%1,065.9萬220.62%1,073.1萬119.65%1,218.2萬89.57%968.63萬89.57%968.63萬-8.46%891.7萬-63.30%334.7萬-35.01%554.6萬
應收款項 28.96%1,906.4萬28.96%1,906.4萬7.32%2,262.6萬32.55%3,370.1萬-0.68%2,974.2萬45.23%1,478.28萬45.23%1,478.28萬63.70%2,108.3萬127.24%2,542.6萬119.64%2,994.6萬
-應收賬款淨額 -10.25%1,106.4萬-10.25%1,106.4萬50.79%1,359.1萬84.37%2,460.4萬-27.50%1,519.4萬77.63%1,232.71萬77.63%1,232.71萬30.06%901.3萬112.97%1,334.5萬128.67%2,095.8萬
-其中:應收賬款 --------------------74.98%1,279.33萬74.98%1,279.33萬------------
-其中:壞賬準備 ---------------------25.43%-46.62萬-25.43%-46.62萬------------
-其他應收款 225.77%800萬225.77%800萬-25.14%903.5萬-24.70%909.7萬61.86%1,454.8萬-24.19%245.57萬-24.19%245.57萬102.89%1,207萬145.40%1,208.1萬101.12%898.8萬
存貨 -0.14%129.5萬-0.14%129.5萬-47.74%93.7萬-15.13%94.8萬-23.11%75.2萬-30.55%129.68萬-30.55%129.68萬7.69%179.3萬-45.14%111.7萬-57.01%97.8萬
預付費用 ---------------------22.70%88.28萬-22.70%88.28萬------------
受限制現金 --------------------2.81%45.18萬2.81%45.18萬------------
稅項資產 -49.49%16.8萬-49.49%16.8萬5.78%29.3萬-4.00%28.8萬-3.55%32.6萬2.46%33.26萬2.46%33.26萬4.92%27.7萬-56.20%30萬-50.15%33.8萬
遞延資產 --------------------27.54%524.67萬27.54%524.67萬------------
流動資產合計 1.34%4,827.4萬1.34%4,827.4萬8.24%5,147.3萬17.36%5,658.2萬-0.38%5,302.3萬17.75%4,763.69萬17.75%4,763.69萬22.78%4,755.3萬17.16%4,821.2萬32.55%5,322.7萬
非流動資產
物業廠房及設備淨額 -22.17%391.8萬-22.17%391.8萬-20.35%412.5萬-8.93%448.7萬52.10%467.7萬54.71%503.41萬54.71%503.41萬115.16%517.9萬152.28%492.7萬72.27%307.5萬
-物業、廠房及設備 -59.05%391.8萬-59.05%391.8萬-20.35%412.5萬-8.93%448.7萬52.10%467.7萬28.49%956.69萬28.49%956.69萬115.16%517.9萬152.28%492.7萬72.27%307.5萬
-累計折舊 ---------------------8.15%-453.28萬-8.15%-453.28萬------------
長期預付費用 ----------------------675--675------------
投資總額 -0.28%1,177.8萬-0.28%1,177.8萬-9.66%1,186萬-8.18%1,182.8萬-9.61%1,179.1萬-8.48%1,181.13萬-8.48%1,181.13萬-28.72%1,312.8萬-30.95%1,288.2萬-27.69%1,304.4萬
-長期股權投資 -0.58%568.3萬-0.58%568.3萬-18.03%576.5萬-15.53%573.3萬-18.03%569.6萬-16.06%571.61萬-16.06%571.61萬-15.49%703.3萬-20.71%678.7萬-12.51%694.9萬
-金融資產投資 --------------------0.00%609.53萬0.00%609.53萬------------
-其中:可供出售證券 --------------------0.00%609.53萬0.00%609.53萬------------
-其他投資 0.00%609.5萬0.00%609.5萬0.00%609.5萬0.00%609.5萬0.00%609.5萬--609.5萬--609.5萬-39.62%609.5萬-39.62%609.5萬-39.62%609.5萬
長期應收賬款及其他應收款 25.38%125.1萬25.38%125.1萬-1.63%138.6萬-12.92%118萬-5.62%127.6萬-45.85%99.78萬-45.85%99.78萬-15.68%140.9萬-19.49%135.5萬-15.66%135.2萬
非流動遞延所得稅資產 -11.12%17萬-11.12%17萬-19.72%17.1萬-22.61%17.8萬-21.94%18.5萬-19.19%19.13萬-19.19%19.13萬43.92%21.3萬50.33%23萬61.22%23.7萬
非流動遞延資產 ----------------------59.3萬--59.3萬------------
非流動資產合計 -8.11%1,711.7萬-8.11%1,711.7萬-11.98%1,754.2萬-8.87%1,767.3萬1.25%1,792.9萬2.14%1,862.82萬2.14%1,862.82萬-11.99%1,992.9萬-13.59%1,939.4萬-17.92%1,770.8萬
總資產 -1.32%6,539.1萬-1.32%6,539.1萬2.27%6,901.5萬9.83%7,425.5萬0.02%7,095.2萬12.90%6,626.51萬12.90%6,626.51萬9.95%6,748.2萬6.31%6,760.6萬14.91%7,093.5萬
負債
流動負債
金融負債 2.91%93.1萬2.91%93.1萬6.93%97.2萬8.78%96.6萬67.10%89.4萬35.55%90.47萬35.55%90.47萬311.31%90.9萬150.85%88.8萬9.86%53.5萬
-短期借款及資本租賃負債 2.91%93.1萬2.91%93.1萬6.93%97.2萬8.78%96.6萬67.10%89.4萬35.55%90.47萬35.55%90.47萬311.31%90.9萬150.85%88.8萬9.86%53.5萬
-其中:資本租賃負債 2.91%93.1萬2.91%93.1萬6.93%97.2萬8.78%96.6萬67.10%89.4萬35.55%90.47萬35.55%90.47萬311.31%90.9萬150.85%88.8萬9.86%53.5萬
應付款項 30.66%662.8萬30.66%662.8萬-21.98%559.9萬-2.99%881.1萬-36.06%964.8萬-25.35%507.27萬-25.35%507.27萬-28.28%717.6萬-23.16%908.3萬30.61%1,508.8萬
-應付帳款 99.46%448.7萬99.46%448.7萬-24.50%287.5萬-42.08%214萬-69.93%257.1萬-33.07%224.96萬-33.07%224.96萬-0.13%380.8萬-9.17%369.5萬54.07%855.1萬
-應交稅費 -79.70%25.5萬-79.70%25.5萬52.77%104.8萬13.15%49.9萬98.27%126.3萬66.14%125.64萬66.14%125.64萬72.36%68.6萬145.00%44.1萬336.30%63.7萬
-其他應付款 20.39%188.6萬20.39%188.6萬-37.51%167.6萬24.76%617.2萬-1.46%581.4萬-41.50%156.66萬-41.50%156.66萬-53.72%268.2萬-34.67%494.7萬0.75%590萬
應計及遞延所得 5.47%1,332.2萬5.47%1,332.2萬8.30%1,602.5萬34.35%1,878.7萬12.12%1,385.8萬61.83%1,263.1萬61.83%1,263.1萬128.88%1,479.7萬73.95%1,398.4萬46.71%1,236萬
流動負債合計 12.21%2,088.1萬12.21%2,088.1萬-1.25%2,259.6萬19.24%2,856.4萬-12.80%2,440萬21.88%1,860.84萬21.88%1,860.84萬37.08%2,288.2萬18.51%2,395.5萬36.74%2,798.3萬
非流動負債
非流動金融負債 -33.57%137萬-33.57%137萬-37.77%138.4萬-17.14%159.5萬103.66%183.5萬111.42%206.24萬111.42%206.24萬308.82%222.4萬206.04%192.5萬217.25%90.1萬
-長期借款及資本租賃 -33.57%137萬-33.57%137萬-37.77%138.4萬-17.14%159.5萬103.66%183.5萬111.42%206.24萬111.42%206.24萬308.82%222.4萬206.04%192.5萬217.25%90.1萬
-其中:長期資本租賃負債 -33.57%137萬-33.57%137萬-37.77%138.4萬-17.14%159.5萬103.66%183.5萬111.42%206.24萬111.42%206.24萬308.82%222.4萬206.04%192.5萬217.25%90.1萬
長期養老金及其他退休後福利計畫 -6.15%18.7萬-6.15%18.7萬-10.10%17.8萬-13.15%18.5萬-12.73%19.2萬-9.51%19.93萬-9.51%19.93萬-32.65%19.8萬-29.93%21.3萬-25.17%22萬
長期應計及遞延收入 -24.74%70.4萬-24.74%70.4萬-33.76%46.5萬-32.99%39.4萬-6.61%33.9萬-11.75%93.54萬-11.75%93.54萬29.04%70.2萬124.43%58.8萬172.93%36.3萬
非流動負債合計 -29.28%226.1萬-29.28%226.1萬-35.12%202.7萬-20.25%217.4萬59.43%236.6萬41.74%319.71萬41.74%319.71萬126.05%312.4萬128.12%272.6萬108.72%148.4萬
負債總額 6.13%2,314.2萬6.13%2,314.2萬-5.32%2,462.3萬15.21%3,073.8萬-9.17%2,676.6萬24.43%2,180.55萬24.43%2,180.55萬43.89%2,600.6萬24.63%2,668.1萬39.16%2,946.7萬
所有者權益
股本 0.00%4,140萬0.00%4,140萬0.00%4,140萬0.00%4,140萬0.00%4,140萬0.00%4,139.96萬0.00%4,139.96萬0.00%4,140萬0.00%4,140萬0.00%4,140萬
-普通股 0.00%4,140萬0.00%4,140萬0.00%4,140萬0.00%4,140萬0.00%4,140萬0.00%4,139.96萬0.00%4,139.96萬0.00%4,140萬0.00%4,140萬0.00%4,140萬
留存收益 13.74%1,744.3萬13.74%1,744.3萬37.46%1,829.1萬52.50%1,635.1萬50.97%1,589萬49.12%1,533.58萬49.12%1,533.58萬7.43%1,330.6萬1.18%1,072.2萬8.49%1,052.5萬
其他儲備 -34.54%-1,676.6萬-34.54%-1,676.6萬-15.22%-1,545.3萬-26.55%-1,439.2萬-24.67%-1,327.5萬-16.28%-1,246.18萬-16.28%-1,246.18萬-25.24%-1,341.2萬-13.13%-1,137.3萬1.39%-1,064.8萬
股東權益 -4.96%4,207.7萬-4.96%4,207.7萬7.13%4,423.8萬6.41%4,335.9萬6.63%4,401.5萬8.07%4,427.37萬8.07%4,427.37萬-4.14%4,129.4萬-2.85%4,074.9萬2.42%4,127.7萬
非控制性權益 -7.45%17.2萬-7.45%17.2萬-15.38%15.4萬-10.23%15.8萬-10.47%17.1萬-8.66%18.58萬-8.66%18.58萬-18.02%18.2萬-27.57%17.6萬-24.21%19.1萬
總權益 -4.97%4,224.9萬-4.97%4,224.9萬7.03%4,439.2萬6.33%4,351.7萬6.55%4,418.6萬7.99%4,445.96萬7.99%4,445.96萬-4.21%4,147.6萬-2.99%4,092.5萬2.25%4,146.8萬
會計準則 NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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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