澳洲市場個股詳情

CM8O Unith Ltd

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延時20分鐘行情未開盤 12/07 16:00 (悉尼)
223.31萬總市值0.00市盈率(靜)

Unith Ltd關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2024/06/30
(Q4)2024/06/30
(FY)2023/06/30
(Q4)2023/06/30
(FY)2022/06/30
(Q4)2022/06/30
(FY)2021/06/30
(Q4)2021/06/30
(FY)2020/06/30
(Q4)2020/06/30
資產
流動資產
現金及現金等價物和短期投資
-10.67%380.57萬
-10.67%380.57萬
91.18%426.04萬
91.18%426.04萬
-29.10%222.85萬
-29.10%222.85萬
64.21%314.3萬
64.21%314.3萬
128.00%191.4萬
128.00%191.4萬
-現金和現金等價物
-10.67%380.57萬
-10.67%380.57萬
91.18%426.04萬
91.18%426.04萬
-29.10%222.85萬
-29.10%222.85萬
64.21%314.3萬
64.21%314.3萬
128.00%191.4萬
128.00%191.4萬
應收款項
40.12%42.78萬
40.12%42.78萬
-48.07%30.53萬
-48.07%30.53萬
-52.65%58.79萬
-52.65%58.79萬
-42.94%124.18萬
-42.94%124.18萬
-55.79%217.64萬
-55.79%217.64萬
-應收賬款
-38.09%44.55萬
-38.09%44.55萬
-17.86%71.95萬
-17.86%71.95萬
-41.58%87.59萬
-41.58%87.59萬
-32.61%149.94萬
-32.61%149.94萬
-43.00%222.5萬
-43.00%222.5萬
-其他應收款
--555
--555
----
----
----
----
-95.53%1.87萬
-95.53%1.87萬
-85.11%41.85萬
-85.11%41.85萬
-應收賬款調整額
95.61%-1.82萬
95.61%-1.82萬
-43.81%-41.42萬
-43.81%-41.42萬
-4.24%-28.8萬
-4.24%-28.8萬
40.84%-27.63萬
40.84%-27.63萬
73.94%-46.7萬
73.94%-46.7萬
存貨
----
----
----
----
----
----
248.93%41.26萬
248.93%41.26萬
--11.82萬
--11.82萬
預付費用
-1.40%16.3萬
-1.40%16.3萬
-43.17%16.53萬
-43.17%16.53萬
58.34%29.09萬
58.34%29.09萬
-17.96%18.37萬
-17.96%18.37萬
-7.20%22.4萬
-7.20%22.4萬
遞延資產
----
----
----
----
----
----
----
----
41.28%47.2萬
41.28%47.2萬
其他流動資產
4.61%51.21萬
4.61%51.21萬
-29.74%48.96萬
-29.74%48.96萬
-40.41%69.68萬
-40.41%69.68萬
-40.47%116.94萬
-40.47%116.94萬
2,515.88%196.44萬
2,515.88%196.44萬
流動資產合計
-5.98%490.86萬
-5.98%490.86萬
37.24%522.07萬
37.24%522.07萬
-38.15%380.42萬
-38.15%380.42萬
-10.46%615.04萬
-10.46%615.04萬
7.12%686.9萬
7.12%686.9萬
非流動資產
固定資產淨額
-30.37%69.76萬
-30.37%69.76萬
-17.83%100.19萬
-17.83%100.19萬
-26.11%121.93萬
-26.11%121.93萬
-24.15%165.02萬
-24.15%165.02萬
516.46%217.55萬
516.46%217.55萬
-固定資產
-5.80%294.72萬
-5.80%294.72萬
8.94%312.85萬
8.94%312.85萬
-4.17%287.17萬
-4.17%287.17萬
-10.54%299.67萬
-10.54%299.67萬
240.43%334.97萬
240.43%334.97萬
-累計折舊
-5.78%-224.96萬
-5.78%-224.96萬
-28.70%-212.67萬
-28.70%-212.67萬
-22.71%-165.24萬
-22.71%-165.24萬
-14.67%-134.65萬
-14.67%-134.65萬
-86.08%-117.43萬
-86.08%-117.43萬
投資和預付款
45.42%630.1萬
45.42%630.1萬
282.42%433.29萬
282.42%433.29萬
-13.00%113.3萬
-13.00%113.3萬
--130.23萬
--130.23萬
----
----
-長期股權投資
----
----
----
----
----
----
--31.88萬
--31.88萬
----
----
-其他投資
45.42%630.1萬
45.42%630.1萬
282.42%433.29萬
282.42%433.29萬
15.20%113.3萬
15.20%113.3萬
--98.35萬
--98.35萬
----
----
商譽及其他無形資產
11.30%180.21萬
11.30%180.21萬
70.02%161.92萬
70.02%161.92萬
87.83%95.24萬
87.83%95.24萬
-38.55%50.7萬
-38.55%50.7萬
34.39%82.52萬
34.39%82.52萬
-商譽
----
----
----
----
----
----
----
----
0.00%31.72萬
0.00%31.72萬
-其他無形資產
11.30%180.21萬
11.30%180.21萬
70.02%161.92萬
70.02%161.92萬
87.83%95.24萬
87.83%95.24萬
-0.18%50.7萬
-0.18%50.7萬
71.15%50.79萬
71.15%50.79萬
非流動遞延資產
----
----
----
----
----
----
----
----
42.06%224.44萬
42.06%224.44萬
其他非流動資產
----
----
----
----
3.49%24.38萬
3.49%24.38萬
--23.56萬
--23.56萬
----
----
非流動資產合計
26.56%880.08萬
26.56%880.08萬
95.97%695.39萬
95.97%695.39萬
-3.97%354.84萬
-3.97%354.84萬
-29.55%369.5萬
-29.55%369.5萬
105.95%524.51萬
105.95%524.51萬
總資產
12.61%1,370.94萬
12.61%1,370.94萬
65.58%1,217.46萬
65.58%1,217.46萬
-25.32%735.26萬
-25.32%735.26萬
-18.73%984.55萬
-18.73%984.55萬
35.21%1,211.41萬
35.21%1,211.41萬
負債
流動負債
短期借款與資本租賃負債
5.26%36.09萬
5.26%36.09萬
15.73%34.29萬
15.73%34.29萬
-67.51%29.63萬
-67.51%29.63萬
-71.42%91.2萬
-71.42%91.2萬
--319.07萬
--319.07萬
-短期借款
----
----
----
----
----
----
-78.50%62.47萬
-78.50%62.47萬
--290.53萬
--290.53萬
-短期資本租賃負債
5.26%36.09萬
5.26%36.09萬
15.73%34.29萬
15.73%34.29萬
3.16%29.63萬
3.16%29.63萬
0.63%28.72萬
0.63%28.72萬
--28.54萬
--28.54萬
應付款項
-37.76%114.84萬
-37.76%114.84萬
30.64%184.53萬
30.64%184.53萬
-36.99%141.25萬
-36.99%141.25萬
-39.85%224.19萬
-39.85%224.19萬
-8.94%372.74萬
-8.94%372.74萬
-應付帳款
-31.28%59.53萬
-31.28%59.53萬
34.06%86.62萬
34.06%86.62萬
-41.23%64.62萬
-41.23%64.62萬
-36.62%109.94萬
-36.62%109.94萬
-9.75%173.46萬
-9.75%173.46萬
-其他應付款
-43.50%55.32萬
-43.50%55.32萬
27.75%97.91萬
27.75%97.91萬
-32.92%76.64萬
-32.92%76.64萬
-42.67%114.25萬
-42.67%114.25萬
-8.23%199.28萬
-8.23%199.28萬
現行撥備
----
----
----
----
----
----
-92.76%1.11萬
-92.76%1.11萬
-72.25%15.29萬
-72.25%15.29萬
養老金及其他退休福利計劃
-10.08%1.02萬
-10.08%1.02萬
-8.87%1.14萬
-8.87%1.14萬
-71.07%1.25萬
-71.07%1.25萬
221.46%4.32萬
221.46%4.32萬
-70.87%1.34萬
-70.87%1.34萬
遞延負債
----
----
----
----
----
----
28.41%10.92萬
28.41%10.92萬
-51.76%8.51萬
-51.76%8.51萬
其他流動負債
343.59%2.88萬
343.59%2.88萬
--6,499
--6,499
----
----
----
----
----
----
流動負債總額
-29.81%154.85萬
-29.81%154.85萬
28.16%220.61萬
28.16%220.61萬
-48.11%172.13萬
-48.11%172.13萬
-53.73%331.73萬
-53.73%331.73萬
47.31%716.94萬
47.31%716.94萬
非流動負債
長期借款與租賃負債
-56.51%28.7萬
-56.51%28.7萬
-29.03%66萬
-29.03%66萬
-27.16%92.99萬
-27.16%92.99萬
-45.97%127.67萬
-45.97%127.67萬
-21.02%236.28萬
-21.02%236.28萬
-長期借款
----
----
----
----
----
----
----
----
-78.30%64.93萬
-78.30%64.93萬
-長期租賃負債
-56.51%28.7萬
-56.51%28.7萬
-29.03%66萬
-29.03%66萬
-27.16%92.99萬
-27.16%92.99萬
-25.49%127.67萬
-25.49%127.67萬
--171.35萬
--171.35萬
非流動負債總額
-56.51%28.7萬
-56.51%28.7萬
-29.03%66萬
-29.03%66萬
-27.16%92.99萬
-27.16%92.99萬
-45.97%127.67萬
-45.97%127.67萬
-24.85%236.28萬
-24.85%236.28萬
負債總額
-35.96%183.54萬
-35.96%183.54萬
8.10%286.61萬
8.10%286.61萬
-42.29%265.12萬
-42.29%265.12萬
-51.81%459.4萬
-51.81%459.4萬
18.99%953.23萬
18.99%953.23萬
所有者權益
股本
8.86%5,206.36萬
8.86%5,206.36萬
12.04%4,782.48萬
12.04%4,782.48萬
6.58%4,268.55萬
6.58%4,268.55萬
26.75%4,005.2萬
26.75%4,005.2萬
10.03%3,159.98萬
10.03%3,159.98萬
-普通股股本
8.86%5,206.36萬
8.86%5,206.36萬
12.04%4,782.48萬
12.04%4,782.48萬
6.58%4,268.55萬
6.58%4,268.55萬
26.75%4,005.2萬
26.75%4,005.2萬
10.03%3,159.98萬
10.03%3,159.98萬
留存收益
-4.25%-4,632.17萬
-4.25%-4,632.17萬
-1.19%-4,443.29萬
-1.19%-4,443.29萬
-7.14%-4,391.2萬
-7.14%-4,391.2萬
-17.95%-4,098.72萬
-17.95%-4,098.72萬
-5.83%-3,474.92萬
-5.83%-3,474.92萬
不影響留存收益的損益
4.05%616.41萬
4.05%616.41萬
-0.06%592.42萬
-0.06%592.42萬
-4.18%592.77萬
-4.18%592.77萬
7.95%618.66萬
7.95%618.66萬
13.20%573.12萬
13.20%573.12萬
股東權益總額
27.80%1,190.6萬
27.80%1,190.6萬
98.16%931.61萬
98.16%931.61萬
-10.48%470.13萬
-10.48%470.13萬
103.40%525.14萬
103.40%525.14萬
172.31%258.18萬
172.31%258.18萬
非控制性權益
-318.11%-3.2萬
-318.11%-3.2萬
---7,654
---7,654
----
----
----
----
----
----
總權益
27.56%1,187.4萬
27.56%1,187.4萬
98.00%930.85萬
98.00%930.85萬
-10.48%470.13萬
-10.48%470.13萬
103.40%525.14萬
103.40%525.14萬
172.31%258.18萬
172.31%258.18萬
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)2024/06/30(Q4)2024/06/30(FY)2023/06/30(Q4)2023/06/30(FY)2022/06/30(Q4)2022/06/30(FY)2021/06/30(Q4)2021/06/30(FY)2020/06/30(Q4)2020/06/30
資產
流動資產
現金及現金等價物和短期投資 -10.67%380.57萬-10.67%380.57萬91.18%426.04萬91.18%426.04萬-29.10%222.85萬-29.10%222.85萬64.21%314.3萬64.21%314.3萬128.00%191.4萬128.00%191.4萬
-現金和現金等價物 -10.67%380.57萬-10.67%380.57萬91.18%426.04萬91.18%426.04萬-29.10%222.85萬-29.10%222.85萬64.21%314.3萬64.21%314.3萬128.00%191.4萬128.00%191.4萬
應收款項 40.12%42.78萬40.12%42.78萬-48.07%30.53萬-48.07%30.53萬-52.65%58.79萬-52.65%58.79萬-42.94%124.18萬-42.94%124.18萬-55.79%217.64萬-55.79%217.64萬
-應收賬款 -38.09%44.55萬-38.09%44.55萬-17.86%71.95萬-17.86%71.95萬-41.58%87.59萬-41.58%87.59萬-32.61%149.94萬-32.61%149.94萬-43.00%222.5萬-43.00%222.5萬
-其他應收款 --555--555-----------------95.53%1.87萬-95.53%1.87萬-85.11%41.85萬-85.11%41.85萬
-應收賬款調整額 95.61%-1.82萬95.61%-1.82萬-43.81%-41.42萬-43.81%-41.42萬-4.24%-28.8萬-4.24%-28.8萬40.84%-27.63萬40.84%-27.63萬73.94%-46.7萬73.94%-46.7萬
存貨 ------------------------248.93%41.26萬248.93%41.26萬--11.82萬--11.82萬
預付費用 -1.40%16.3萬-1.40%16.3萬-43.17%16.53萬-43.17%16.53萬58.34%29.09萬58.34%29.09萬-17.96%18.37萬-17.96%18.37萬-7.20%22.4萬-7.20%22.4萬
遞延資產 --------------------------------41.28%47.2萬41.28%47.2萬
其他流動資產 4.61%51.21萬4.61%51.21萬-29.74%48.96萬-29.74%48.96萬-40.41%69.68萬-40.41%69.68萬-40.47%116.94萬-40.47%116.94萬2,515.88%196.44萬2,515.88%196.44萬
流動資產合計 -5.98%490.86萬-5.98%490.86萬37.24%522.07萬37.24%522.07萬-38.15%380.42萬-38.15%380.42萬-10.46%615.04萬-10.46%615.04萬7.12%686.9萬7.12%686.9萬
非流動資產
固定資產淨額 -30.37%69.76萬-30.37%69.76萬-17.83%100.19萬-17.83%100.19萬-26.11%121.93萬-26.11%121.93萬-24.15%165.02萬-24.15%165.02萬516.46%217.55萬516.46%217.55萬
-固定資產 -5.80%294.72萬-5.80%294.72萬8.94%312.85萬8.94%312.85萬-4.17%287.17萬-4.17%287.17萬-10.54%299.67萬-10.54%299.67萬240.43%334.97萬240.43%334.97萬
-累計折舊 -5.78%-224.96萬-5.78%-224.96萬-28.70%-212.67萬-28.70%-212.67萬-22.71%-165.24萬-22.71%-165.24萬-14.67%-134.65萬-14.67%-134.65萬-86.08%-117.43萬-86.08%-117.43萬
投資和預付款 45.42%630.1萬45.42%630.1萬282.42%433.29萬282.42%433.29萬-13.00%113.3萬-13.00%113.3萬--130.23萬--130.23萬--------
-長期股權投資 --------------------------31.88萬--31.88萬--------
-其他投資 45.42%630.1萬45.42%630.1萬282.42%433.29萬282.42%433.29萬15.20%113.3萬15.20%113.3萬--98.35萬--98.35萬--------
商譽及其他無形資產 11.30%180.21萬11.30%180.21萬70.02%161.92萬70.02%161.92萬87.83%95.24萬87.83%95.24萬-38.55%50.7萬-38.55%50.7萬34.39%82.52萬34.39%82.52萬
-商譽 --------------------------------0.00%31.72萬0.00%31.72萬
-其他無形資產 11.30%180.21萬11.30%180.21萬70.02%161.92萬70.02%161.92萬87.83%95.24萬87.83%95.24萬-0.18%50.7萬-0.18%50.7萬71.15%50.79萬71.15%50.79萬
非流動遞延資產 --------------------------------42.06%224.44萬42.06%224.44萬
其他非流動資產 ----------------3.49%24.38萬3.49%24.38萬--23.56萬--23.56萬--------
非流動資產合計 26.56%880.08萬26.56%880.08萬95.97%695.39萬95.97%695.39萬-3.97%354.84萬-3.97%354.84萬-29.55%369.5萬-29.55%369.5萬105.95%524.51萬105.95%524.51萬
總資產 12.61%1,370.94萬12.61%1,370.94萬65.58%1,217.46萬65.58%1,217.46萬-25.32%735.26萬-25.32%735.26萬-18.73%984.55萬-18.73%984.55萬35.21%1,211.41萬35.21%1,211.41萬
負債
流動負債
短期借款與資本租賃負債 5.26%36.09萬5.26%36.09萬15.73%34.29萬15.73%34.29萬-67.51%29.63萬-67.51%29.63萬-71.42%91.2萬-71.42%91.2萬--319.07萬--319.07萬
-短期借款 -------------------------78.50%62.47萬-78.50%62.47萬--290.53萬--290.53萬
-短期資本租賃負債 5.26%36.09萬5.26%36.09萬15.73%34.29萬15.73%34.29萬3.16%29.63萬3.16%29.63萬0.63%28.72萬0.63%28.72萬--28.54萬--28.54萬
應付款項 -37.76%114.84萬-37.76%114.84萬30.64%184.53萬30.64%184.53萬-36.99%141.25萬-36.99%141.25萬-39.85%224.19萬-39.85%224.19萬-8.94%372.74萬-8.94%372.74萬
-應付帳款 -31.28%59.53萬-31.28%59.53萬34.06%86.62萬34.06%86.62萬-41.23%64.62萬-41.23%64.62萬-36.62%109.94萬-36.62%109.94萬-9.75%173.46萬-9.75%173.46萬
-其他應付款 -43.50%55.32萬-43.50%55.32萬27.75%97.91萬27.75%97.91萬-32.92%76.64萬-32.92%76.64萬-42.67%114.25萬-42.67%114.25萬-8.23%199.28萬-8.23%199.28萬
現行撥備 -------------------------92.76%1.11萬-92.76%1.11萬-72.25%15.29萬-72.25%15.29萬
養老金及其他退休福利計劃 -10.08%1.02萬-10.08%1.02萬-8.87%1.14萬-8.87%1.14萬-71.07%1.25萬-71.07%1.25萬221.46%4.32萬221.46%4.32萬-70.87%1.34萬-70.87%1.34萬
遞延負債 ------------------------28.41%10.92萬28.41%10.92萬-51.76%8.51萬-51.76%8.51萬
其他流動負債 343.59%2.88萬343.59%2.88萬--6,499--6,499------------------------
流動負債總額 -29.81%154.85萬-29.81%154.85萬28.16%220.61萬28.16%220.61萬-48.11%172.13萬-48.11%172.13萬-53.73%331.73萬-53.73%331.73萬47.31%716.94萬47.31%716.94萬
非流動負債
長期借款與租賃負債 -56.51%28.7萬-56.51%28.7萬-29.03%66萬-29.03%66萬-27.16%92.99萬-27.16%92.99萬-45.97%127.67萬-45.97%127.67萬-21.02%236.28萬-21.02%236.28萬
-長期借款 ---------------------------------78.30%64.93萬-78.30%64.93萬
-長期租賃負債 -56.51%28.7萬-56.51%28.7萬-29.03%66萬-29.03%66萬-27.16%92.99萬-27.16%92.99萬-25.49%127.67萬-25.49%127.67萬--171.35萬--171.35萬
非流動負債總額 -56.51%28.7萬-56.51%28.7萬-29.03%66萬-29.03%66萬-27.16%92.99萬-27.16%92.99萬-45.97%127.67萬-45.97%127.67萬-24.85%236.28萬-24.85%236.28萬
負債總額 -35.96%183.54萬-35.96%183.54萬8.10%286.61萬8.10%286.61萬-42.29%265.12萬-42.29%265.12萬-51.81%459.4萬-51.81%459.4萬18.99%953.23萬18.99%953.23萬
所有者權益
股本 8.86%5,206.36萬8.86%5,206.36萬12.04%4,782.48萬12.04%4,782.48萬6.58%4,268.55萬6.58%4,268.55萬26.75%4,005.2萬26.75%4,005.2萬10.03%3,159.98萬10.03%3,159.98萬
-普通股股本 8.86%5,206.36萬8.86%5,206.36萬12.04%4,782.48萬12.04%4,782.48萬6.58%4,268.55萬6.58%4,268.55萬26.75%4,005.2萬26.75%4,005.2萬10.03%3,159.98萬10.03%3,159.98萬
留存收益 -4.25%-4,632.17萬-4.25%-4,632.17萬-1.19%-4,443.29萬-1.19%-4,443.29萬-7.14%-4,391.2萬-7.14%-4,391.2萬-17.95%-4,098.72萬-17.95%-4,098.72萬-5.83%-3,474.92萬-5.83%-3,474.92萬
不影響留存收益的損益 4.05%616.41萬4.05%616.41萬-0.06%592.42萬-0.06%592.42萬-4.18%592.77萬-4.18%592.77萬7.95%618.66萬7.95%618.66萬13.20%573.12萬13.20%573.12萬
股東權益總額 27.80%1,190.6萬27.80%1,190.6萬98.16%931.61萬98.16%931.61萬-10.48%470.13萬-10.48%470.13萬103.40%525.14萬103.40%525.14萬172.31%258.18萬172.31%258.18萬
非控制性權益 -318.11%-3.2萬-318.11%-3.2萬---7,654---7,654------------------------
總權益 27.56%1,187.4萬27.56%1,187.4萬98.00%930.85萬98.00%930.85萬-10.48%470.13萬-10.48%470.13萬103.40%525.14萬103.40%525.14萬172.31%258.18萬172.31%258.18萬
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
熱議
澳大利亞
綜合熱度
股票代碼
最新價
升跌幅

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