加拿大市場個股詳情

Andean Precious Metals Corp (APM)

添加自選
  • 7.560
  • +0.180+2.44%
延時15分鐘行情已收盤 04/14 16:00 (美東)
11.33億總市值7.06市盈率TTM

Andean Precious Metals Corp (APM) 資產負債表

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
現金及現金等價物和短期投資
71.49%1.4億
71.49%1.4億
23.68%1.21億
0.38%8,729.4萬
34.77%9,615.7萬
16.42%8,157.5萬
16.42%8,157.5萬
22.33%9,813.9萬
15.77%8,696萬
-12.90%7,134.8萬
-現金和現金等價物
26.86%7,921.1萬
26.86%7,921.1萬
-5.69%5,477萬
-23.33%3,607.3萬
28.05%5,313.3萬
-3.80%6,244.1萬
-3.80%6,244.1萬
-24.41%5,807.4萬
-33.19%4,704.9萬
-45.25%4,149.5萬
-短期投資
217.16%6,068.6萬
217.16%6,068.6萬
66.24%6,660.4萬
28.34%5,122.1萬
44.12%4,302.4萬
270.67%1,913.4萬
270.67%1,913.4萬
1,076.65%4,006.5萬
751.53%3,991.1萬
387.87%2,985.3萬
應收款項
3.11%504.1萬
3.11%504.1萬
-5.11%536.5萬
-27.59%408.7萬
-12.18%420.9萬
450.56%488.9萬
450.56%488.9萬
9.34%565.4萬
-2.01%564.4萬
-31.45%479.3萬
-應收賬款
259.74%136.7萬
259.74%136.7萬
59.06%288.7萬
-21.93%215萬
80.80%197.8萬
-57.21%38萬
-57.21%38萬
--181.5萬
--275.4萬
--109.4萬
-應收稅費
-18.52%367.4萬
-18.52%367.4萬
-35.45%247.8萬
-32.98%193.7萬
-39.69%223.1萬
-25.19%450.9萬
-25.19%450.9萬
-25.76%383.9萬
-49.83%289萬
-47.10%369.9萬
存貨
-14.58%6,096.4萬
-14.58%6,096.4萬
39.72%1.01億
26.77%8,881.8萬
12.95%8,411.8萬
22.18%7,136.9萬
22.18%7,136.9萬
305.40%7,240.8萬
184.83%7,006萬
509.68%7,447.3萬
預付費用
15.35%644.8萬
15.35%644.8萬
-60.94%175.9萬
-38.52%387.7萬
5.82%808.6萬
-27.49%559萬
-27.49%559萬
-6.38%450.3萬
115.74%630.6萬
140.59%764.1萬
套期保值資產
----
----
----
----
----
--0
--0
--469.8萬
--297萬
--99.1萬
其他流動資產
185.41%93.9萬
185.41%93.9萬
-85.01%10萬
-89.08%8.7萬
-88.99%11.9萬
-97.84%32.9萬
-97.84%32.9萬
-62.36%66.7萬
-67.94%79.7萬
59.20%108.1萬
流動資產合計
30.25%2.13億
30.25%2.13億
23.48%2.3億
6.61%1.84億
20.18%1.93億
13.23%1.64億
13.23%1.64億
69.40%1.86億
55.79%1.73億
52.73%1.6億
非流動資產
固定資產淨額
15.11%1.22億
15.11%1.22億
2.71%1.11億
16.24%1.13億
16.67%1.11億
15.20%1.06億
15.20%1.06億
764.62%1.08億
623.32%9,704萬
572.84%9,495.8萬
-固定資產
20.21%2.26億
20.21%2.26億
14.55%2.08億
22.74%2.05億
23.04%1.98億
21.24%1.88億
21.24%1.88億
1,352.65%1.82億
1,142.61%1.67億
1,040.32%1.61億
-累計折舊
-26.85%-1.04億
-26.85%-1.04億
-31.96%-9,701.2萬
-31.79%-9,181.9萬
-32.21%-8,722.7萬
-30.11%-8,173.9萬
-30.11%-8,173.9萬
---7,351.5萬
---6,966.9萬
---6,597.5萬
投資和預付款
38.83%2,694.2萬
38.83%2,694.2萬
--0
--0
--211.8萬
--1,940.7萬
--1,940.7萬
----
----
----
-金融資產投資
38.83%2,694.2萬
38.83%2,694.2萬
--0
--0
--211.8萬
--1,940.7萬
--1,940.7萬
----
----
----
-其中:以公允價值計量且其變動計入當期損益的金融資產總額
----
----
--0
----
----
----
----
----
----
----
-其中:可供出售證券
----
----
----
----
--211.8萬
----
----
----
----
----
-其中:持至到期證券
38.83%2,694.2萬
38.83%2,694.2萬
----
----
----
--1,940.7萬
--1,940.7萬
----
----
----
長期應收款
193.07%2,345.4萬
193.07%2,345.4萬
30.35%1,263.5萬
47.47%1,305萬
-7.45%681.7萬
11.00%800.3萬
11.00%800.3萬
50.70%969.3萬
81.85%884.9萬
90.78%736.6萬
商譽及其他無形資產
--766.6萬
--766.6萬
--560.2萬
----
----
--0
--0
----
----
----
-其他無形資產
--766.6萬
--766.6萬
--560.2萬
----
----
----
----
----
----
----
非流動遞延資產
-27.60%223.5萬
-27.60%223.5萬
-25.77%335.3萬
-21.51%311.6萬
-65.63%297.7萬
-49.85%308.7萬
-49.85%308.7萬
-17.21%451.7萬
-31.95%397萬
54.94%866.1萬
其他非流動資產
745.95%3,787.3萬
745.95%3,787.3萬
-8.71%843.6萬
-23.88%779.8萬
-28.08%503.1萬
-73.32%447.7萬
-73.32%447.7萬
372.44%924.1萬
5,073.74%1,024.4萬
3,432.83%699.5萬
非流動資產合計
56.08%2.21億
56.08%2.21億
7.22%1.41億
13.87%1.37億
8.26%1.28億
22.62%1.41億
22.62%1.41億
383.45%1.32億
393.97%1.2億
396.51%1.18億
總資產
42.22%4.34億
42.22%4.34億
16.75%3.71億
9.59%3.21億
15.13%3.2億
17.39%3.05億
17.39%3.05億
131.75%3.18億
116.61%2.93億
116.18%2.78億
負債
流動負債
短期借款與資本租賃負債
-88.43%454.1萬
-88.43%454.1萬
304.96%4,030.6萬
344.12%3,995.3萬
554.55%6,010.1萬
342.41%3,924.2萬
342.41%3,924.2萬
--995.3萬
--899.6萬
--918.2萬
-短期借款
-89.09%428.3萬
-89.09%428.3萬
304.96%4,030.6萬
344.12%3,995.3萬
331.59%3,962.9萬
342.41%3,924.2萬
342.41%3,924.2萬
--995.3萬
--899.6萬
--918.2萬
-銀行債務
--25.8萬
--25.8萬
--0
--0
--2,047.2萬
--0
--0
--0
--0
--0
應付款項
63.94%6,994.8萬
63.94%6,994.8萬
24.78%3,920萬
44.04%3,732.1萬
22.17%3,550.8萬
15.09%4,266.7萬
15.09%4,266.7萬
64.71%3,141.6萬
60.67%2,591萬
177.79%2,906.5萬
-應付帳款
45.87%4,637.5萬
45.87%4,637.5萬
12.17%2,450.3萬
9.44%2,204.8萬
5.73%2,680.1萬
6.97%3,179.1萬
6.97%3,179.1萬
52.31%2,184.4萬
45.30%2,014.7萬
142.26%2,534.8萬
-應付稅費
116.74%2,357.3萬
116.74%2,357.3萬
53.54%1,469.7萬
165.02%1,527.3萬
134.25%870.7萬
47.91%1,087.6萬
47.91%1,087.6萬
102.33%957.2萬
155.00%576.3萬
--371.7萬
應計費用
6.70%360萬
6.70%360萬
-45.60%381.2萬
-36.35%439.8萬
-76.65%134.5萬
-35.77%337.4萬
-35.77%337.4萬
--700.7萬
--691萬
--576.1萬
現行撥備
----
----
----
----
--15.4萬
--107.2萬
--107.2萬
-61.18%164.3萬
-71.28%128.8萬
----
養老金及其他退休福利計劃
39.63%286.8萬
39.63%286.8萬
-24.64%248.4萬
-48.84%169.1萬
-48.98%175.8萬
--205.4萬
--205.4萬
--329.6萬
--330.5萬
--344.6萬
遞延負債
--0
--0
--0
--0
--0
-73.13%126.9萬
-73.13%126.9萬
--495.4萬
--488.4萬
--472.2萬
其他流動負債
----
----
-24.64%248.4萬
-48.84%169.1萬
-48.98%175.8萬
-75.21%205.4萬
-75.21%205.4萬
692.31%329.6萬
--330.5萬
--344.6萬
流動負債總額
-9.72%8,095.7萬
-9.72%8,095.7萬
47.25%8,580.2萬
62.52%8,336.3萬
89.49%9,886.6萬
65.38%8,967.8萬
65.38%8,967.8萬
145.64%5,826.9萬
148.86%5,129.3萬
256.13%5,217.6萬
非流動負債
長期借款與租賃負債
30.44%4,053.5萬
30.44%4,053.5萬
-79.73%1,236.2萬
-78.28%1,204.7萬
-72.58%1,391.3萬
-19.47%3,107.5萬
-19.47%3,107.5萬
--6,098.9萬
--5,547.3萬
--5,074.3萬
-長期借款
30.44%4,053.5萬
30.44%4,053.5萬
-79.73%1,236.2萬
-78.28%1,204.7萬
-72.58%1,391.3萬
-19.47%3,107.5萬
-19.47%3,107.5萬
--6,098.9萬
--5,547.3萬
--5,074.3萬
長期撥備
19.85%3,508萬
19.85%3,508萬
4.59%3,187.5萬
6.88%3,016.1萬
8.22%2,954.8萬
9.48%2,927萬
9.48%2,927萬
55.41%3,047.5萬
36.80%2,821.9萬
38.52%2,730.3萬
遞延負債
22.08%1,371.2萬
22.08%1,371.2萬
-32.03%1,513.9萬
-33.05%1,387.1萬
-34.98%1,279.8萬
5.66%1,123.2萬
5.66%1,123.2萬
--2,227.2萬
--2,071.7萬
--1,968.2萬
非流動負債總額
24.80%8,932.7萬
24.80%8,932.7萬
-47.79%5,937.6萬
-46.29%5,607.9萬
-42.43%5,625.9萬
-7.64%7,157.7萬
-7.64%7,157.7萬
479.99%1.14億
404.93%1.04億
395.83%9,772.8萬
負債總額
5.60%1.7億
5.60%1.7億
-15.60%1.45億
-10.44%1.39億
3.48%1.55億
22.42%1.61億
22.42%1.61億
296.96%1.72億
277.10%1.56億
336.26%1.5億
所有者權益
股本
0.12%1,874.2萬
0.12%1,874.2萬
-1.20%1,831.7萬
-2.45%1,809.5萬
-5.68%1,803.4萬
-17.99%1,872萬
-17.99%1,872萬
-18.72%1,853.9萬
-20.19%1,854.9萬
-19.97%1,912.1萬
-普通股股本
0.12%1,874.2萬
0.12%1,874.2萬
-1.20%1,831.7萬
-2.45%1,809.5萬
-5.68%1,803.4萬
-17.99%1,872萬
-17.99%1,872萬
-18.72%1,853.9萬
-20.19%1,854.9萬
-19.97%1,912.1萬
資本公積
55.77%448萬
55.77%448萬
-22.47%211.8萬
-21.76%192.4萬
26.53%321萬
23.86%287.6萬
23.86%287.6萬
26.01%273.2萬
23.32%245.9萬
27.94%253.7萬
留存收益
96.95%2.4億
96.95%2.4億
65.24%2.05億
39.17%1.61億
35.08%1.44億
18.73%1.22億
18.73%1.22億
81.33%1.24億
69.51%1.16億
56.15%1.06億
不影響留存收益的損益
0.00%39萬
0.00%39萬
0.00%39萬
0.00%39萬
0.00%39萬
0.00%39萬
0.00%39萬
0.00%39萬
0.00%39萬
0.00%39萬
股東權益總額
83.26%2.64億
83.26%2.64億
54.96%2.26億
32.34%1.81億
28.73%1.65億
12.23%1.44億
12.23%1.44億
55.37%1.46億
46.04%1.37億
36.06%1.28億
總權益
83.26%2.64億
83.26%2.64億
54.96%2.26億
32.34%1.81億
28.73%1.65億
12.23%1.44億
12.23%1.44億
55.37%1.46億
46.04%1.37億
36.06%1.28億
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
審計意見
帶解釋段的無保留意見
--
--
--
--
無保留意見
--
--
--
--
(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
現金及現金等價物和短期投資 71.49%1.4億71.49%1.4億23.68%1.21億0.38%8,729.4萬34.77%9,615.7萬16.42%8,157.5萬16.42%8,157.5萬22.33%9,813.9萬15.77%8,696萬-12.90%7,134.8萬
-現金和現金等價物 26.86%7,921.1萬26.86%7,921.1萬-5.69%5,477萬-23.33%3,607.3萬28.05%5,313.3萬-3.80%6,244.1萬-3.80%6,244.1萬-24.41%5,807.4萬-33.19%4,704.9萬-45.25%4,149.5萬
-短期投資 217.16%6,068.6萬217.16%6,068.6萬66.24%6,660.4萬28.34%5,122.1萬44.12%4,302.4萬270.67%1,913.4萬270.67%1,913.4萬1,076.65%4,006.5萬751.53%3,991.1萬387.87%2,985.3萬
應收款項 3.11%504.1萬3.11%504.1萬-5.11%536.5萬-27.59%408.7萬-12.18%420.9萬450.56%488.9萬450.56%488.9萬9.34%565.4萬-2.01%564.4萬-31.45%479.3萬
-應收賬款 259.74%136.7萬259.74%136.7萬59.06%288.7萬-21.93%215萬80.80%197.8萬-57.21%38萬-57.21%38萬--181.5萬--275.4萬--109.4萬
-應收稅費 -18.52%367.4萬-18.52%367.4萬-35.45%247.8萬-32.98%193.7萬-39.69%223.1萬-25.19%450.9萬-25.19%450.9萬-25.76%383.9萬-49.83%289萬-47.10%369.9萬
存貨 -14.58%6,096.4萬-14.58%6,096.4萬39.72%1.01億26.77%8,881.8萬12.95%8,411.8萬22.18%7,136.9萬22.18%7,136.9萬305.40%7,240.8萬184.83%7,006萬509.68%7,447.3萬
預付費用 15.35%644.8萬15.35%644.8萬-60.94%175.9萬-38.52%387.7萬5.82%808.6萬-27.49%559萬-27.49%559萬-6.38%450.3萬115.74%630.6萬140.59%764.1萬
套期保值資產 ----------------------0--0--469.8萬--297萬--99.1萬
其他流動資產 185.41%93.9萬185.41%93.9萬-85.01%10萬-89.08%8.7萬-88.99%11.9萬-97.84%32.9萬-97.84%32.9萬-62.36%66.7萬-67.94%79.7萬59.20%108.1萬
流動資產合計 30.25%2.13億30.25%2.13億23.48%2.3億6.61%1.84億20.18%1.93億13.23%1.64億13.23%1.64億69.40%1.86億55.79%1.73億52.73%1.6億
非流動資產
固定資產淨額 15.11%1.22億15.11%1.22億2.71%1.11億16.24%1.13億16.67%1.11億15.20%1.06億15.20%1.06億764.62%1.08億623.32%9,704萬572.84%9,495.8萬
-固定資產 20.21%2.26億20.21%2.26億14.55%2.08億22.74%2.05億23.04%1.98億21.24%1.88億21.24%1.88億1,352.65%1.82億1,142.61%1.67億1,040.32%1.61億
-累計折舊 -26.85%-1.04億-26.85%-1.04億-31.96%-9,701.2萬-31.79%-9,181.9萬-32.21%-8,722.7萬-30.11%-8,173.9萬-30.11%-8,173.9萬---7,351.5萬---6,966.9萬---6,597.5萬
投資和預付款 38.83%2,694.2萬38.83%2,694.2萬--0--0--211.8萬--1,940.7萬--1,940.7萬------------
-金融資產投資 38.83%2,694.2萬38.83%2,694.2萬--0--0--211.8萬--1,940.7萬--1,940.7萬------------
-其中:以公允價值計量且其變動計入當期損益的金融資產總額 ----------0----------------------------
-其中:可供出售證券 ------------------211.8萬--------------------
-其中:持至到期證券 38.83%2,694.2萬38.83%2,694.2萬--------------1,940.7萬--1,940.7萬------------
長期應收款 193.07%2,345.4萬193.07%2,345.4萬30.35%1,263.5萬47.47%1,305萬-7.45%681.7萬11.00%800.3萬11.00%800.3萬50.70%969.3萬81.85%884.9萬90.78%736.6萬
商譽及其他無形資產 --766.6萬--766.6萬--560.2萬----------0--0------------
-其他無形資產 --766.6萬--766.6萬--560.2萬----------------------------
非流動遞延資產 -27.60%223.5萬-27.60%223.5萬-25.77%335.3萬-21.51%311.6萬-65.63%297.7萬-49.85%308.7萬-49.85%308.7萬-17.21%451.7萬-31.95%397萬54.94%866.1萬
其他非流動資產 745.95%3,787.3萬745.95%3,787.3萬-8.71%843.6萬-23.88%779.8萬-28.08%503.1萬-73.32%447.7萬-73.32%447.7萬372.44%924.1萬5,073.74%1,024.4萬3,432.83%699.5萬
非流動資產合計 56.08%2.21億56.08%2.21億7.22%1.41億13.87%1.37億8.26%1.28億22.62%1.41億22.62%1.41億383.45%1.32億393.97%1.2億396.51%1.18億
總資產 42.22%4.34億42.22%4.34億16.75%3.71億9.59%3.21億15.13%3.2億17.39%3.05億17.39%3.05億131.75%3.18億116.61%2.93億116.18%2.78億
負債
流動負債
短期借款與資本租賃負債 -88.43%454.1萬-88.43%454.1萬304.96%4,030.6萬344.12%3,995.3萬554.55%6,010.1萬342.41%3,924.2萬342.41%3,924.2萬--995.3萬--899.6萬--918.2萬
-短期借款 -89.09%428.3萬-89.09%428.3萬304.96%4,030.6萬344.12%3,995.3萬331.59%3,962.9萬342.41%3,924.2萬342.41%3,924.2萬--995.3萬--899.6萬--918.2萬
-銀行債務 --25.8萬--25.8萬--0--0--2,047.2萬--0--0--0--0--0
應付款項 63.94%6,994.8萬63.94%6,994.8萬24.78%3,920萬44.04%3,732.1萬22.17%3,550.8萬15.09%4,266.7萬15.09%4,266.7萬64.71%3,141.6萬60.67%2,591萬177.79%2,906.5萬
-應付帳款 45.87%4,637.5萬45.87%4,637.5萬12.17%2,450.3萬9.44%2,204.8萬5.73%2,680.1萬6.97%3,179.1萬6.97%3,179.1萬52.31%2,184.4萬45.30%2,014.7萬142.26%2,534.8萬
-應付稅費 116.74%2,357.3萬116.74%2,357.3萬53.54%1,469.7萬165.02%1,527.3萬134.25%870.7萬47.91%1,087.6萬47.91%1,087.6萬102.33%957.2萬155.00%576.3萬--371.7萬
應計費用 6.70%360萬6.70%360萬-45.60%381.2萬-36.35%439.8萬-76.65%134.5萬-35.77%337.4萬-35.77%337.4萬--700.7萬--691萬--576.1萬
現行撥備 ------------------15.4萬--107.2萬--107.2萬-61.18%164.3萬-71.28%128.8萬----
養老金及其他退休福利計劃 39.63%286.8萬39.63%286.8萬-24.64%248.4萬-48.84%169.1萬-48.98%175.8萬--205.4萬--205.4萬--329.6萬--330.5萬--344.6萬
遞延負債 --0--0--0--0--0-73.13%126.9萬-73.13%126.9萬--495.4萬--488.4萬--472.2萬
其他流動負債 ---------24.64%248.4萬-48.84%169.1萬-48.98%175.8萬-75.21%205.4萬-75.21%205.4萬692.31%329.6萬--330.5萬--344.6萬
流動負債總額 -9.72%8,095.7萬-9.72%8,095.7萬47.25%8,580.2萬62.52%8,336.3萬89.49%9,886.6萬65.38%8,967.8萬65.38%8,967.8萬145.64%5,826.9萬148.86%5,129.3萬256.13%5,217.6萬
非流動負債
長期借款與租賃負債 30.44%4,053.5萬30.44%4,053.5萬-79.73%1,236.2萬-78.28%1,204.7萬-72.58%1,391.3萬-19.47%3,107.5萬-19.47%3,107.5萬--6,098.9萬--5,547.3萬--5,074.3萬
-長期借款 30.44%4,053.5萬30.44%4,053.5萬-79.73%1,236.2萬-78.28%1,204.7萬-72.58%1,391.3萬-19.47%3,107.5萬-19.47%3,107.5萬--6,098.9萬--5,547.3萬--5,074.3萬
長期撥備 19.85%3,508萬19.85%3,508萬4.59%3,187.5萬6.88%3,016.1萬8.22%2,954.8萬9.48%2,927萬9.48%2,927萬55.41%3,047.5萬36.80%2,821.9萬38.52%2,730.3萬
遞延負債 22.08%1,371.2萬22.08%1,371.2萬-32.03%1,513.9萬-33.05%1,387.1萬-34.98%1,279.8萬5.66%1,123.2萬5.66%1,123.2萬--2,227.2萬--2,071.7萬--1,968.2萬
非流動負債總額 24.80%8,932.7萬24.80%8,932.7萬-47.79%5,937.6萬-46.29%5,607.9萬-42.43%5,625.9萬-7.64%7,157.7萬-7.64%7,157.7萬479.99%1.14億404.93%1.04億395.83%9,772.8萬
負債總額 5.60%1.7億5.60%1.7億-15.60%1.45億-10.44%1.39億3.48%1.55億22.42%1.61億22.42%1.61億296.96%1.72億277.10%1.56億336.26%1.5億
所有者權益
股本 0.12%1,874.2萬0.12%1,874.2萬-1.20%1,831.7萬-2.45%1,809.5萬-5.68%1,803.4萬-17.99%1,872萬-17.99%1,872萬-18.72%1,853.9萬-20.19%1,854.9萬-19.97%1,912.1萬
-普通股股本 0.12%1,874.2萬0.12%1,874.2萬-1.20%1,831.7萬-2.45%1,809.5萬-5.68%1,803.4萬-17.99%1,872萬-17.99%1,872萬-18.72%1,853.9萬-20.19%1,854.9萬-19.97%1,912.1萬
資本公積 55.77%448萬55.77%448萬-22.47%211.8萬-21.76%192.4萬26.53%321萬23.86%287.6萬23.86%287.6萬26.01%273.2萬23.32%245.9萬27.94%253.7萬
留存收益 96.95%2.4億96.95%2.4億65.24%2.05億39.17%1.61億35.08%1.44億18.73%1.22億18.73%1.22億81.33%1.24億69.51%1.16億56.15%1.06億
不影響留存收益的損益 0.00%39萬0.00%39萬0.00%39萬0.00%39萬0.00%39萬0.00%39萬0.00%39萬0.00%39萬0.00%39萬0.00%39萬
股東權益總額 83.26%2.64億83.26%2.64億54.96%2.26億32.34%1.81億28.73%1.65億12.23%1.44億12.23%1.44億55.37%1.46億46.04%1.37億36.06%1.28億
總權益 83.26%2.64億83.26%2.64億54.96%2.26億32.34%1.81億28.73%1.65億12.23%1.44億12.23%1.44億55.37%1.46億46.04%1.37億36.06%1.28億
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 帶解釋段的無保留意見--------無保留意見--------

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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