港股市場個股詳情

赤子城科技 (09911)

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  • 8.310
  • -0.190-2.24%
休市中 05/22 16:01 (北京)
117.42億總市值11.35市盈率TTM

赤子城科技 (09911) 資產負債表

全部
顯示同比 yoy
隱藏空行 yoy
(FY)2025/12/31
(Q6)2025/06/30
(FY)2024/12/31
(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
資產
流動資產
存貨
-6.93%1,692萬
12.18%2,256.3萬
-5.81%1,817.9萬
--2,011.3萬
--1,930.1萬
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應收賬款
20.35%4.11億
49.37%4.09億
40.61%3.42億
56.18%2.73億
47.48%2.43億
11.03%1.75億
12.31%1.65億
16.52%1.58億
1.68%1.47億
12.04%1.35億
預付款按金及其他應收款
33.53%1.8億
82.34%2億
30.31%1.35億
-1.19%1.1億
81.96%1.04億
15.33%1.11億
-30.64%5,689.3萬
1,153.63%9,610.3萬
1,262.64%8,203.1萬
-45.87%766.6萬
現金及等價物
24.87%25.58億
48.80%22.16億
47.77%20.49億
92.18%14.89億
132.33%13.86億
5.01%7.75億
-17.65%5.97億
21.45%7.38億
68.11%7.25億
63.45%6.08億
定期存款-流動資產
--7,020.2萬
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已抵押存款
240.16%454.8萬
0.99%133萬
2.69%133.7萬
-0.23%131.7萬
2.36%130.2萬
8.02%132萬
9.37%127.2萬
3.56%122.2萬
-2.43%116.3萬
-8.81%118萬
按公平值入損益金融資產-流動資產
-30.41%1.67億
-42.98%1.54億
39.98%2.39億
613.72%2.69億
14.42%1.71億
-72.75%3,772.3萬
-10.06%1.49億
-9.06%1.38億
-6.68%1.66億
26.17%1.52億
其他流動資產
3.30%3,187.3萬
25.07%2,975萬
75.94%3,085.4萬
226.07%2,378.7萬
135.55%1,753.7萬
-11.83%729.5萬
40.92%744.5萬
69.55%827.4萬
154.85%528.3萬
109.35%488萬
流動資產合計
22.19%34.4億
38.63%30.31億
44.95%28.15億
97.50%21.87億
98.86%19.42億
-2.85%11.07億
-13.27%9.77億
25.39%11.4億
47.63%11.26億
44.05%9.09億
非流動資產
物業廠房及設備
19.70%1.1億
5.68%1.16億
-26.36%9,196.4萬
-2.64%1.1億
2.23%1.25億
766.06%1.13億
658.40%1.22億
3.09%1,304.9萬
133.91%1,610.7萬
65.36%1,265.8萬
預付款項
179.94%3,305.8萬
380.89%7,624萬
-29.98%1,180.9萬
-31.22%1,585.4萬
-26.07%1,686.5萬
-3.70%2,304.9萬
4.47%2,281.2萬
28.45%2,393.4萬
91.85%2,183.5萬
663.33%1,863.3萬
定期存款-非流動資產
--2,000萬
--2,000萬
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按公平值入損益金融資產-非流動資產
65.62%6,605.5萬
8.87%3,988.4萬
8.87%3,988.4萬
-4.16%3,663.4萬
-4.16%3,663.4萬
46.67%3,822.6萬
42.87%3,822.6萬
192.48%2,606.3萬
311.95%2,675.6萬
165.52%891.1萬
其他投資
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-6.85%278.9萬
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無形資產
8.80%2.3億
-18.33%1.93億
-18.75%2.12億
42.74%2.36億
40.31%2.6億
-19.79%1.65億
-18.01%1.86億
-16.52%2.06億
-15.26%2.26億
-14.18%2.47億
商譽
17.71%4.54億
0.00%3.86億
0.00%3.86億
95.41%3.86億
95.41%3.86億
0.00%1.97億
0.00%1.97億
0.00%1.97億
0.00%1.97億
-3.44%1.97億
遞延稅項資產
-23.27%34.3萬
14.07%51.9萬
1,931.82%44.7萬
-36.36%45.5萬
-90.18%2.2萬
188.31%71.5萬
-9.68%22.4萬
0.00%24.8萬
-98.13%24.8萬
-99.19%24.8萬
其他非流動資產
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--5萬
-95.87%5萬
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-75.80%121萬
--1,150萬
--500萬
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非流動資產特殊專案
53.38%4,087.4萬
-2.54%2,736.3萬
9.66%2,664.8萬
-88.91%2,807.6萬
-86.20%2,430萬
9,531.70%2.53億
--1.76億
-9.69%262.8萬
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--291萬
非流動資產合計
24.30%9.54億
5.66%8.58億
-9.52%7.68億
2.76%8.12億
14.14%8.49億
64.47%7.91億
49.79%7.44億
-1.38%4.81億
-1.79%4.96億
-9.06%4.87億
總資產
22.64%43.94億
29.69%38.9億
28.38%35.83億
58.03%29.99億
62.24%27.91億
17.12%18.98億
6.03%17.2億
16.05%16.2億
27.94%16.22億
19.66%13.96億
負債
流動負債
應付帳款
28.91%4.93億
49.95%4.24億
30.57%3.83億
113.87%2.83億
54.42%2.93億
-24.43%1.32億
-16.09%1.9億
11.66%1.75億
45.01%2.26億
15.49%1.57億
應付稅項
-30.51%471.2萬
-7.99%435.4萬
-61.43%678.1萬
-63.89%473.2萬
256.30%1,758萬
465.03%1,310.3萬
--493.4萬
466.99%231.9萬
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-67.10%40.9萬
其他應付款及應計費用
-23.25%7.54億
238.01%7.38億
252.90%9.82億
84.55%2.18億
152.06%2.78億
94.82%1.18億
-76.95%1.1億
-72.91%6,072.9萬
104.08%4.79億
1,139.16%2.24億
銀行貸款及透支
204.35%14萬
157.33%19.3萬
24.32%4.6萬
25.00%7.5萬
-44.78%3.7萬
46.34%6萬
109.38%6.7萬
20.59%4.1萬
88.24%3.2萬
-52.78%3.4萬
融資租賃負債-流動負債
11.88%4,345.3萬
44.50%5,417.4萬
18.46%3,884萬
56.10%3,749萬
26.70%3,278.8萬
343.43%2,401.6萬
244.87%2,587.9萬
40.60%541.6萬
132.03%750.4萬
-12.97%385.2萬
流動負債合計
-6.86%13.95億
112.17%13.19億
115.12%14.98億
99.15%6.22億
99.50%6.96億
20.86%3.12億
-52.00%3.49億
-35.90%2.58億
77.61%7.27億
136.74%4.03億
淨流動資產
55.24%20.44億
9.41%17.12億
5.72%13.17億
96.85%15.65億
98.51%12.46億
-9.80%7.95億
57.40%6.28億
74.20%8.81億
12.88%3.99億
9.81%5.06億
總資產減流動負債
43.84%29.99億
8.12%25.71億
-0.46%20.85億
49.93%23.77億
52.75%20.94億
16.41%15.86億
53.18%13.71億
37.12%13.62億
4.25%8.95億
-0.34%9.93億
非流動負債
融資租賃負債-非流動負債
-4.55%4,241.1萬
-1.06%5,749.9萬
-41.11%4,443.1萬
-22.28%5,811.5萬
-12.52%7,544.2萬
17,873.80%7,477.1萬
2,570.92%8,624.4萬
-90.57%41.6萬
3,065.69%322.9萬
261.48%441萬
遞延稅項負債
-17.89%5,183萬
-10.63%5,986.4萬
-10.35%6,312.1萬
51.83%6,698.6萬
50.16%7,040.9萬
-10.34%4,411.8萬
-9.49%4,688.9萬
-4.48%4,920.7萬
-27.61%5,180.8萬
-30.87%5,151.6萬
其他非流動負債
2.43%3.3億
40,218.50%3.23億
29,209.45%3.22億
--80萬
--110萬
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非流動負債合計
-1.27%4.24億
249.41%4.4億
192.58%4.3億
5.90%1.26億
10.38%1.47億
139.58%1.19億
141.90%1.33億
-11.27%4,962.3萬
-23.21%5,503.7萬
-26.16%5,592.6萬
總負債
-5.62%18.2億
135.28%17.59億
128.62%19.28億
73.43%7.48億
74.90%8.43億
39.99%4.31億
-38.36%4.82億
-32.89%3.08億
62.59%7.82億
86.58%4.59億
總資產減總負債
55.56%25.74億
-5.37%21.31億
-15.02%16.55億
53.50%22.51億
57.31%19.47億
11.75%14.67億
47.37%12.38億
40.00%13.12億
6.75%8.4億
1.79%9.37億
總權益及非流動負債
43.84%29.99億
8.12%25.71億
-0.46%20.85億
49.94%23.78億
52.75%20.94億
16.41%15.86億
53.18%13.71億
37.12%13.62億
4.25%8.95億
-0.34%9.93億
權益
股本
0.10%97.7萬
19.44%97.7萬
19.32%97.6萬
0.00%81.8萬
0.00%81.8萬
0.00%81.8萬
7.77%81.8萬
17.70%81.8萬
9.21%75.9萬
-0.14%69.5萬
股本溢價
0.95%14.66億
118.39%14.62億
116.83%14.52億
0.00%6.7億
0.00%6.7億
0.00%6.7億
72.93%6.7億
614.53%6.7億
313.18%3.87億
-1.60%9,370.1萬
其他儲備
29.85%-4.2億
-1,561.59%-4.81億
-5,562.38%-5.98億
-121.72%-2,892.5萬
-86.41%1,095.6萬
-54.80%1.33億
-67.49%8,063.6萬
-10.36%2.95億
-21.24%2.48億
-30.37%3.29億
保留溢利
97.78%18.85億
104.68%14.42億
98.56%9.53億
355.06%7.05億
1,677.24%4.8億
302.56%1.55億
80.88%-3,043.6萬
-146.48%-7,645.3萬
-225.20%-1.59億
81.06%1.65億
股東權益特殊項目
-86.84%-4.98億
-761.22%-4.27億
-559.05%-2.66億
---4,953.3萬
---4,040.4萬
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股東權益
57.96%24.34億
54.13%19.98億
37.48%15.41億
40.48%12.97億
58.37%11.21億
5.40%9.23億
48.45%7.08億
49.06%8.76億
-11.12%4.77億
-10.81%5.88億
非控股權益
23.03%1.4億
-86.16%1.32億
-86.24%1.14億
75.61%9.55億
55.90%8.27億
24.49%5.44億
45.94%5.3億
24.80%4.37億
45.01%3.63億
33.42%3.5億
總權益
55.56%25.74億
-5.38%21.31億
-15.02%16.55億
53.51%22.52億
57.31%19.47億
11.75%14.67億
47.37%12.38億
40.00%13.12億
6.75%8.4億
1.79%9.37億
總權益及總負債
22.64%43.94億
29.69%38.9億
28.38%35.83億
58.03%29.99億
62.24%27.91億
17.12%18.98億
6.03%17.2億
16.05%16.2億
27.94%16.22億
19.66%13.96億
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
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
畢馬威會計師事務所
--
畢馬威會計師事務所
--
畢馬威會計師事務所
--
羅兵鹹永道會計師事務所
--
羅兵鹹永道會計師事務所
--
(FY)2025/12/31(Q6)2025/06/30(FY)2024/12/31(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
資產
流動資產
存貨 -6.93%1,692萬12.18%2,256.3萬-5.81%1,817.9萬--2,011.3萬--1,930.1萬--------------------
應收賬款 20.35%4.11億49.37%4.09億40.61%3.42億56.18%2.73億47.48%2.43億11.03%1.75億12.31%1.65億16.52%1.58億1.68%1.47億12.04%1.35億
預付款按金及其他應收款 33.53%1.8億82.34%2億30.31%1.35億-1.19%1.1億81.96%1.04億15.33%1.11億-30.64%5,689.3萬1,153.63%9,610.3萬1,262.64%8,203.1萬-45.87%766.6萬
現金及等價物 24.87%25.58億48.80%22.16億47.77%20.49億92.18%14.89億132.33%13.86億5.01%7.75億-17.65%5.97億21.45%7.38億68.11%7.25億63.45%6.08億
定期存款-流動資產 --7,020.2萬------------------------------------
已抵押存款 240.16%454.8萬0.99%133萬2.69%133.7萬-0.23%131.7萬2.36%130.2萬8.02%132萬9.37%127.2萬3.56%122.2萬-2.43%116.3萬-8.81%118萬
按公平值入損益金融資產-流動資產 -30.41%1.67億-42.98%1.54億39.98%2.39億613.72%2.69億14.42%1.71億-72.75%3,772.3萬-10.06%1.49億-9.06%1.38億-6.68%1.66億26.17%1.52億
其他流動資產 3.30%3,187.3萬25.07%2,975萬75.94%3,085.4萬226.07%2,378.7萬135.55%1,753.7萬-11.83%729.5萬40.92%744.5萬69.55%827.4萬154.85%528.3萬109.35%488萬
流動資產合計 22.19%34.4億38.63%30.31億44.95%28.15億97.50%21.87億98.86%19.42億-2.85%11.07億-13.27%9.77億25.39%11.4億47.63%11.26億44.05%9.09億
非流動資產
物業廠房及設備 19.70%1.1億5.68%1.16億-26.36%9,196.4萬-2.64%1.1億2.23%1.25億766.06%1.13億658.40%1.22億3.09%1,304.9萬133.91%1,610.7萬65.36%1,265.8萬
預付款項 179.94%3,305.8萬380.89%7,624萬-29.98%1,180.9萬-31.22%1,585.4萬-26.07%1,686.5萬-3.70%2,304.9萬4.47%2,281.2萬28.45%2,393.4萬91.85%2,183.5萬663.33%1,863.3萬
定期存款-非流動資產 --2,000萬--2,000萬--------------------------------
按公平值入損益金融資產-非流動資產 65.62%6,605.5萬8.87%3,988.4萬8.87%3,988.4萬-4.16%3,663.4萬-4.16%3,663.4萬46.67%3,822.6萬42.87%3,822.6萬192.48%2,606.3萬311.95%2,675.6萬165.52%891.1萬
其他投資 ---------------------------------6.85%278.9萬----
無形資產 8.80%2.3億-18.33%1.93億-18.75%2.12億42.74%2.36億40.31%2.6億-19.79%1.65億-18.01%1.86億-16.52%2.06億-15.26%2.26億-14.18%2.47億
商譽 17.71%4.54億0.00%3.86億0.00%3.86億95.41%3.86億95.41%3.86億0.00%1.97億0.00%1.97億0.00%1.97億0.00%1.97億-3.44%1.97億
遞延稅項資產 -23.27%34.3萬14.07%51.9萬1,931.82%44.7萬-36.36%45.5萬-90.18%2.2萬188.31%71.5萬-9.68%22.4萬0.00%24.8萬-98.13%24.8萬-99.19%24.8萬
其他非流動資產 --------------5萬-95.87%5萬-----75.80%121萬--1,150萬--500萬----
非流動資產特殊專案 53.38%4,087.4萬-2.54%2,736.3萬9.66%2,664.8萬-88.91%2,807.6萬-86.20%2,430萬9,531.70%2.53億--1.76億-9.69%262.8萬------291萬
非流動資產合計 24.30%9.54億5.66%8.58億-9.52%7.68億2.76%8.12億14.14%8.49億64.47%7.91億49.79%7.44億-1.38%4.81億-1.79%4.96億-9.06%4.87億
總資產 22.64%43.94億29.69%38.9億28.38%35.83億58.03%29.99億62.24%27.91億17.12%18.98億6.03%17.2億16.05%16.2億27.94%16.22億19.66%13.96億
負債
流動負債
應付帳款 28.91%4.93億49.95%4.24億30.57%3.83億113.87%2.83億54.42%2.93億-24.43%1.32億-16.09%1.9億11.66%1.75億45.01%2.26億15.49%1.57億
應付稅項 -30.51%471.2萬-7.99%435.4萬-61.43%678.1萬-63.89%473.2萬256.30%1,758萬465.03%1,310.3萬--493.4萬466.99%231.9萬-----67.10%40.9萬
其他應付款及應計費用 -23.25%7.54億238.01%7.38億252.90%9.82億84.55%2.18億152.06%2.78億94.82%1.18億-76.95%1.1億-72.91%6,072.9萬104.08%4.79億1,139.16%2.24億
銀行貸款及透支 204.35%14萬157.33%19.3萬24.32%4.6萬25.00%7.5萬-44.78%3.7萬46.34%6萬109.38%6.7萬20.59%4.1萬88.24%3.2萬-52.78%3.4萬
融資租賃負債-流動負債 11.88%4,345.3萬44.50%5,417.4萬18.46%3,884萬56.10%3,749萬26.70%3,278.8萬343.43%2,401.6萬244.87%2,587.9萬40.60%541.6萬132.03%750.4萬-12.97%385.2萬
流動負債合計 -6.86%13.95億112.17%13.19億115.12%14.98億99.15%6.22億99.50%6.96億20.86%3.12億-52.00%3.49億-35.90%2.58億77.61%7.27億136.74%4.03億
淨流動資產 55.24%20.44億9.41%17.12億5.72%13.17億96.85%15.65億98.51%12.46億-9.80%7.95億57.40%6.28億74.20%8.81億12.88%3.99億9.81%5.06億
總資產減流動負債 43.84%29.99億8.12%25.71億-0.46%20.85億49.93%23.77億52.75%20.94億16.41%15.86億53.18%13.71億37.12%13.62億4.25%8.95億-0.34%9.93億
非流動負債
融資租賃負債-非流動負債 -4.55%4,241.1萬-1.06%5,749.9萬-41.11%4,443.1萬-22.28%5,811.5萬-12.52%7,544.2萬17,873.80%7,477.1萬2,570.92%8,624.4萬-90.57%41.6萬3,065.69%322.9萬261.48%441萬
遞延稅項負債 -17.89%5,183萬-10.63%5,986.4萬-10.35%6,312.1萬51.83%6,698.6萬50.16%7,040.9萬-10.34%4,411.8萬-9.49%4,688.9萬-4.48%4,920.7萬-27.61%5,180.8萬-30.87%5,151.6萬
其他非流動負債 2.43%3.3億40,218.50%3.23億29,209.45%3.22億--80萬--110萬--------------------
非流動負債合計 -1.27%4.24億249.41%4.4億192.58%4.3億5.90%1.26億10.38%1.47億139.58%1.19億141.90%1.33億-11.27%4,962.3萬-23.21%5,503.7萬-26.16%5,592.6萬
總負債 -5.62%18.2億135.28%17.59億128.62%19.28億73.43%7.48億74.90%8.43億39.99%4.31億-38.36%4.82億-32.89%3.08億62.59%7.82億86.58%4.59億
總資產減總負債 55.56%25.74億-5.37%21.31億-15.02%16.55億53.50%22.51億57.31%19.47億11.75%14.67億47.37%12.38億40.00%13.12億6.75%8.4億1.79%9.37億
總權益及非流動負債 43.84%29.99億8.12%25.71億-0.46%20.85億49.94%23.78億52.75%20.94億16.41%15.86億53.18%13.71億37.12%13.62億4.25%8.95億-0.34%9.93億
權益
股本 0.10%97.7萬19.44%97.7萬19.32%97.6萬0.00%81.8萬0.00%81.8萬0.00%81.8萬7.77%81.8萬17.70%81.8萬9.21%75.9萬-0.14%69.5萬
股本溢價 0.95%14.66億118.39%14.62億116.83%14.52億0.00%6.7億0.00%6.7億0.00%6.7億72.93%6.7億614.53%6.7億313.18%3.87億-1.60%9,370.1萬
其他儲備 29.85%-4.2億-1,561.59%-4.81億-5,562.38%-5.98億-121.72%-2,892.5萬-86.41%1,095.6萬-54.80%1.33億-67.49%8,063.6萬-10.36%2.95億-21.24%2.48億-30.37%3.29億
保留溢利 97.78%18.85億104.68%14.42億98.56%9.53億355.06%7.05億1,677.24%4.8億302.56%1.55億80.88%-3,043.6萬-146.48%-7,645.3萬-225.20%-1.59億81.06%1.65億
股東權益特殊項目 -86.84%-4.98億-761.22%-4.27億-559.05%-2.66億---4,953.3萬---4,040.4萬--------------------
股東權益 57.96%24.34億54.13%19.98億37.48%15.41億40.48%12.97億58.37%11.21億5.40%9.23億48.45%7.08億49.06%8.76億-11.12%4.77億-10.81%5.88億
非控股權益 23.03%1.4億-86.16%1.32億-86.24%1.14億75.61%9.55億55.90%8.27億24.49%5.44億45.94%5.3億24.80%4.37億45.01%3.63億33.42%3.5億
總權益 55.56%25.74億-5.38%21.31億-15.02%16.55億53.51%22.52億57.31%19.47億11.75%14.67億47.37%12.38億40.00%13.12億6.75%8.4億1.79%9.37億
總權益及總負債 22.64%43.94億29.69%38.9億28.38%35.83億58.03%29.99億62.24%27.91億17.12%18.98億6.03%17.2億16.05%16.2億27.94%16.22億19.66%13.96億
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
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 畢馬威會計師事務所--畢馬威會計師事務所--畢馬威會計師事務所--羅兵鹹永道會計師事務所--羅兵鹹永道會計師事務所--

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