澳洲市場個股詳情

CSX CleanSpace Holdings Ltd

添加自選
  • 0.435
  • -0.002-0.46%
延時20分鐘行情已收盤 12/23 16:00 (悉尼)
3473.59萬總市值-10.61市盈率(靜)

CleanSpace Holdings 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
資產
流動資產
現金及現金等價物和短期投資
-19.69%976.39萬
-19.69%976.39萬
-49.97%1,215.79萬
-49.97%1,215.79萬
-36.45%2,430.27萬
-36.45%2,430.27萬
23.36%3,824.14萬
--3,824.14萬
--3,100萬
-現金和現金等價物
-11.81%274.77萬
-11.81%274.77萬
-62.12%311.58萬
-62.12%311.58萬
-62.96%822.47萬
-62.96%822.47萬
-28.36%2,220.71萬
--2,220.71萬
--3,100萬
-短期投資
-22.41%701.62萬
-22.41%701.62萬
-43.76%904.21萬
-43.76%904.21萬
0.27%1,607.8萬
0.27%1,607.8萬
--1,603.43萬
--1,603.43萬
----
應收款項
6.62%364.51萬
6.62%364.51萬
38.61%341.87萬
38.61%341.87萬
0.98%246.65萬
0.98%246.65萬
-72.24%244.26萬
--244.26萬
--880萬
-應收賬款
27.56%279萬
27.56%279萬
46.58%218.71萬
46.58%218.71萬
-9.75%149.21萬
-9.75%149.21萬
-81.21%165.33萬
--165.33萬
--880萬
-其他應收款
-31.28%85.66萬
-31.28%85.66萬
26.31%124.65萬
26.31%124.65萬
18.84%98.68萬
18.84%98.68萬
--83.04萬
--83.04萬
----
-應收賬款調整額
89.61%-1,557
89.61%-1,557
-19.82%-1.5萬
-19.82%-1.5萬
69.58%-1.25萬
69.58%-1.25萬
---4.11萬
---4.11萬
----
存貨
-4.17%286.55萬
-4.17%286.55萬
-20.13%299.03萬
-20.13%299.03萬
-18.78%374.42萬
-18.78%374.42萬
156.11%460.99萬
--460.99萬
--180萬
預付費用
-24.46%41.34萬
-24.46%41.34萬
-17.46%54.73萬
-17.46%54.73萬
39.08%66.3萬
39.08%66.3萬
--47.67萬
--47.67萬
----
遞延資產
-17.00%94.9萬
-17.00%94.9萬
-59.43%114.34萬
-59.43%114.34萬
--281.86萬
--281.86萬
----
----
----
其他流動資產
----
----
----
----
----
----
----
----
--380萬
流動資產合計
-12.94%1,763.68萬
-12.94%1,763.68萬
-40.41%2,025.75萬
-40.41%2,025.75萬
-25.73%3,399.49萬
-25.73%3,399.49萬
0.82%4,577.06萬
--4,577.06萬
--4,540萬
非流動資產
固定資產淨額
-38.52%147.97萬
-38.52%147.97萬
-30.55%240.66萬
-30.55%240.66萬
-10.94%346.54萬
-10.94%346.54萬
17.91%389.1萬
--389.1萬
--330萬
-固定資產
19.20%583.22萬
19.20%583.22萬
-12.58%489.28萬
-12.58%489.28萬
-2.31%559.67萬
-2.31%559.67萬
73.60%572.9萬
--572.9萬
--330萬
-累計折舊
-75.07%-435.25萬
-75.07%-435.25萬
-16.65%-248.62萬
-16.65%-248.62萬
-15.96%-213.13萬
-15.96%-213.13萬
---183.79萬
---183.79萬
----
非流動遞延資產
9.89%693.52萬
9.89%693.52萬
604.65%631.12萬
604.65%631.12萬
-15.12%89.56萬
-15.12%89.56萬
-4.07%105.52萬
--105.52萬
--110萬
非流動資產合計
-3.47%841.49萬
-3.47%841.49萬
99.90%871.78萬
99.90%871.78萬
-11.83%436.1萬
-11.83%436.1萬
12.42%494.63萬
--494.63萬
--440萬
總資產
-10.09%2,605.17萬
-10.09%2,605.17萬
-24.46%2,897.53萬
-24.46%2,897.53萬
-24.37%3,835.6萬
-24.37%3,835.6萬
1.84%5,071.69萬
--5,071.69萬
--4,980萬
負債
流動負債
短期借款與資本租賃負債
-16.15%53.42萬
-16.15%53.42萬
-78.53%63.71萬
-78.53%63.71萬
6.72%296.79萬
6.72%296.79萬
456.22%278.11萬
--278.11萬
--50萬
-短期借款
----
----
-93.92%15.4萬
-93.92%15.4萬
6.20%253.21萬
6.20%253.21萬
--238.43萬
--238.43萬
----
-短期資本租賃負債
10.58%53.42萬
10.58%53.42萬
10.85%48.31萬
10.85%48.31萬
9.84%43.58萬
9.84%43.58萬
-20.65%39.67萬
--39.67萬
--50萬
應付款項
71.88%204.12萬
71.88%204.12萬
-53.06%118.76萬
-53.06%118.76萬
4.06%252.98萬
4.06%252.98萬
-43.46%243.11萬
--243.11萬
--430萬
-應付帳款
134.36%61.85萬
134.36%61.85萬
-58.81%26.39萬
-58.81%26.39萬
-20.00%64.08萬
-20.00%64.08萬
-81.37%80.1萬
--80.1萬
--430萬
-其他應付款
54.03%142.27萬
54.03%142.27萬
-51.10%92.37萬
-51.10%92.37萬
15.89%188.9萬
15.89%188.9萬
--163萬
--163萬
----
現行撥備
-15.13%38.88萬
-15.13%38.88萬
35.24%45.81萬
35.24%45.81萬
-32.08%33.88萬
-32.08%33.88萬
66.25%49.88萬
--49.88萬
--30萬
養老金及其他退休福利計劃
-13.84%73.25萬
-13.84%73.25萬
-24.37%85.01萬
-24.37%85.01萬
79.29%112.4萬
79.29%112.4萬
108.97%62.69萬
--62.69萬
--30萬
遞延負債
-15.39%6.73萬
-15.39%6.73萬
39.88%7.95萬
39.88%7.95萬
-96.39%5.69萬
-96.39%5.69萬
-17.01%157.68萬
--157.68萬
--190萬
其他流動負債
----
----
--8.64萬
--8.64萬
----
----
-99.71%2,921
--2,921
--100萬
流動負債總額
14.10%376.4萬
14.10%376.4萬
-52.99%329.89萬
-52.99%329.89萬
-11.37%701.73萬
-11.37%701.73萬
-4.61%791.75萬
--791.75萬
--830萬
非流動負債
長期借款與租賃負債
-13.43%291.21萬
-13.43%291.21萬
189.30%336.4萬
189.30%336.4萬
-27.39%116.28萬
-27.39%116.28萬
-15.71%160.15萬
--160.15萬
--190萬
-長期借款
3.06%276.65萬
3.06%276.65萬
--268.43萬
--268.43萬
----
----
--2,932
--2,932
----
-長期租賃負債
-78.58%14.56萬
-78.58%14.56萬
-41.54%67.98萬
-41.54%67.98萬
-27.26%116.28萬
-27.26%116.28萬
-15.86%159.86萬
--159.86萬
--190萬
員工福利
-1.80%7.77萬
-1.80%7.77萬
33.02%7.92萬
33.02%7.92萬
-81.74%5.95萬
-81.74%5.95萬
62.89%32.58萬
--32.58萬
--20萬
遞延負債
-29.48%19.59萬
-29.48%19.59萬
-23.50%27.77萬
-23.50%27.77萬
153.85%36.3萬
153.85%36.3萬
--14.3萬
--14.3萬
----
非流動負債總額
-14.38%318.57萬
-14.38%318.57萬
134.70%372.09萬
134.70%372.09萬
-23.42%158.54萬
-23.42%158.54萬
-1.41%207.03萬
--207.03萬
--210萬
負債總額
-1.00%694.97萬
-1.00%694.97萬
-18.40%701.98萬
-18.40%701.98萬
-13.87%860.27萬
-13.87%860.27萬
-3.96%998.79萬
--998.79萬
--1,040萬
所有者權益
股本
0.32%3,355.01萬
0.32%3,355.01萬
0.04%3,344.35萬
0.04%3,344.35萬
0.00%3,343.06萬
0.00%3,343.06萬
-0.80%3,343.06萬
--3,343.06萬
--3,370萬
-普通股股本
0.32%3,355.01萬
0.32%3,355.01萬
0.04%3,344.35萬
0.04%3,344.35萬
0.00%3,343.06萬
0.00%3,343.06萬
-0.80%3,343.06萬
--3,343.06萬
--3,370萬
留存收益
-24.05%-1,517.48萬
-24.05%-1,517.48萬
-194.28%-1,223.3萬
-194.28%-1,223.3萬
-161.45%-415.7萬
-161.45%-415.7萬
27.63%676.44萬
--676.44萬
--530萬
不影響留存收益的損益
-2.46%72.67萬
-2.46%72.67萬
55.31%74.5萬
55.31%74.5萬
-10.17%47.97萬
-10.17%47.97萬
33.50%53.4萬
--53.4萬
--40萬
股東權益總額
-13.00%1,910.2萬
-13.00%1,910.2萬
-26.21%2,195.55萬
-26.21%2,195.55萬
-26.95%2,975.33萬
-26.95%2,975.33萬
3.37%4,072.9萬
--4,072.9萬
--3,940萬
總權益
-13.00%1,910.2萬
-13.00%1,910.2萬
-26.21%2,195.55萬
-26.21%2,195.55萬
-26.95%2,975.33萬
-26.95%2,975.33萬
3.37%4,072.9萬
--4,072.9萬
--3,940萬
會計準則
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
資產
流動資產
現金及現金等價物和短期投資 -19.69%976.39萬-19.69%976.39萬-49.97%1,215.79萬-49.97%1,215.79萬-36.45%2,430.27萬-36.45%2,430.27萬23.36%3,824.14萬--3,824.14萬--3,100萬
-現金和現金等價物 -11.81%274.77萬-11.81%274.77萬-62.12%311.58萬-62.12%311.58萬-62.96%822.47萬-62.96%822.47萬-28.36%2,220.71萬--2,220.71萬--3,100萬
-短期投資 -22.41%701.62萬-22.41%701.62萬-43.76%904.21萬-43.76%904.21萬0.27%1,607.8萬0.27%1,607.8萬--1,603.43萬--1,603.43萬----
應收款項 6.62%364.51萬6.62%364.51萬38.61%341.87萬38.61%341.87萬0.98%246.65萬0.98%246.65萬-72.24%244.26萬--244.26萬--880萬
-應收賬款 27.56%279萬27.56%279萬46.58%218.71萬46.58%218.71萬-9.75%149.21萬-9.75%149.21萬-81.21%165.33萬--165.33萬--880萬
-其他應收款 -31.28%85.66萬-31.28%85.66萬26.31%124.65萬26.31%124.65萬18.84%98.68萬18.84%98.68萬--83.04萬--83.04萬----
-應收賬款調整額 89.61%-1,55789.61%-1,557-19.82%-1.5萬-19.82%-1.5萬69.58%-1.25萬69.58%-1.25萬---4.11萬---4.11萬----
存貨 -4.17%286.55萬-4.17%286.55萬-20.13%299.03萬-20.13%299.03萬-18.78%374.42萬-18.78%374.42萬156.11%460.99萬--460.99萬--180萬
預付費用 -24.46%41.34萬-24.46%41.34萬-17.46%54.73萬-17.46%54.73萬39.08%66.3萬39.08%66.3萬--47.67萬--47.67萬----
遞延資產 -17.00%94.9萬-17.00%94.9萬-59.43%114.34萬-59.43%114.34萬--281.86萬--281.86萬------------
其他流動資產 ----------------------------------380萬
流動資產合計 -12.94%1,763.68萬-12.94%1,763.68萬-40.41%2,025.75萬-40.41%2,025.75萬-25.73%3,399.49萬-25.73%3,399.49萬0.82%4,577.06萬--4,577.06萬--4,540萬
非流動資產
固定資產淨額 -38.52%147.97萬-38.52%147.97萬-30.55%240.66萬-30.55%240.66萬-10.94%346.54萬-10.94%346.54萬17.91%389.1萬--389.1萬--330萬
-固定資產 19.20%583.22萬19.20%583.22萬-12.58%489.28萬-12.58%489.28萬-2.31%559.67萬-2.31%559.67萬73.60%572.9萬--572.9萬--330萬
-累計折舊 -75.07%-435.25萬-75.07%-435.25萬-16.65%-248.62萬-16.65%-248.62萬-15.96%-213.13萬-15.96%-213.13萬---183.79萬---183.79萬----
非流動遞延資產 9.89%693.52萬9.89%693.52萬604.65%631.12萬604.65%631.12萬-15.12%89.56萬-15.12%89.56萬-4.07%105.52萬--105.52萬--110萬
非流動資產合計 -3.47%841.49萬-3.47%841.49萬99.90%871.78萬99.90%871.78萬-11.83%436.1萬-11.83%436.1萬12.42%494.63萬--494.63萬--440萬
總資產 -10.09%2,605.17萬-10.09%2,605.17萬-24.46%2,897.53萬-24.46%2,897.53萬-24.37%3,835.6萬-24.37%3,835.6萬1.84%5,071.69萬--5,071.69萬--4,980萬
負債
流動負債
短期借款與資本租賃負債 -16.15%53.42萬-16.15%53.42萬-78.53%63.71萬-78.53%63.71萬6.72%296.79萬6.72%296.79萬456.22%278.11萬--278.11萬--50萬
-短期借款 ---------93.92%15.4萬-93.92%15.4萬6.20%253.21萬6.20%253.21萬--238.43萬--238.43萬----
-短期資本租賃負債 10.58%53.42萬10.58%53.42萬10.85%48.31萬10.85%48.31萬9.84%43.58萬9.84%43.58萬-20.65%39.67萬--39.67萬--50萬
應付款項 71.88%204.12萬71.88%204.12萬-53.06%118.76萬-53.06%118.76萬4.06%252.98萬4.06%252.98萬-43.46%243.11萬--243.11萬--430萬
-應付帳款 134.36%61.85萬134.36%61.85萬-58.81%26.39萬-58.81%26.39萬-20.00%64.08萬-20.00%64.08萬-81.37%80.1萬--80.1萬--430萬
-其他應付款 54.03%142.27萬54.03%142.27萬-51.10%92.37萬-51.10%92.37萬15.89%188.9萬15.89%188.9萬--163萬--163萬----
現行撥備 -15.13%38.88萬-15.13%38.88萬35.24%45.81萬35.24%45.81萬-32.08%33.88萬-32.08%33.88萬66.25%49.88萬--49.88萬--30萬
養老金及其他退休福利計劃 -13.84%73.25萬-13.84%73.25萬-24.37%85.01萬-24.37%85.01萬79.29%112.4萬79.29%112.4萬108.97%62.69萬--62.69萬--30萬
遞延負債 -15.39%6.73萬-15.39%6.73萬39.88%7.95萬39.88%7.95萬-96.39%5.69萬-96.39%5.69萬-17.01%157.68萬--157.68萬--190萬
其他流動負債 ----------8.64萬--8.64萬---------99.71%2,921--2,921--100萬
流動負債總額 14.10%376.4萬14.10%376.4萬-52.99%329.89萬-52.99%329.89萬-11.37%701.73萬-11.37%701.73萬-4.61%791.75萬--791.75萬--830萬
非流動負債
長期借款與租賃負債 -13.43%291.21萬-13.43%291.21萬189.30%336.4萬189.30%336.4萬-27.39%116.28萬-27.39%116.28萬-15.71%160.15萬--160.15萬--190萬
-長期借款 3.06%276.65萬3.06%276.65萬--268.43萬--268.43萬----------2,932--2,932----
-長期租賃負債 -78.58%14.56萬-78.58%14.56萬-41.54%67.98萬-41.54%67.98萬-27.26%116.28萬-27.26%116.28萬-15.86%159.86萬--159.86萬--190萬
員工福利 -1.80%7.77萬-1.80%7.77萬33.02%7.92萬33.02%7.92萬-81.74%5.95萬-81.74%5.95萬62.89%32.58萬--32.58萬--20萬
遞延負債 -29.48%19.59萬-29.48%19.59萬-23.50%27.77萬-23.50%27.77萬153.85%36.3萬153.85%36.3萬--14.3萬--14.3萬----
非流動負債總額 -14.38%318.57萬-14.38%318.57萬134.70%372.09萬134.70%372.09萬-23.42%158.54萬-23.42%158.54萬-1.41%207.03萬--207.03萬--210萬
負債總額 -1.00%694.97萬-1.00%694.97萬-18.40%701.98萬-18.40%701.98萬-13.87%860.27萬-13.87%860.27萬-3.96%998.79萬--998.79萬--1,040萬
所有者權益
股本 0.32%3,355.01萬0.32%3,355.01萬0.04%3,344.35萬0.04%3,344.35萬0.00%3,343.06萬0.00%3,343.06萬-0.80%3,343.06萬--3,343.06萬--3,370萬
-普通股股本 0.32%3,355.01萬0.32%3,355.01萬0.04%3,344.35萬0.04%3,344.35萬0.00%3,343.06萬0.00%3,343.06萬-0.80%3,343.06萬--3,343.06萬--3,370萬
留存收益 -24.05%-1,517.48萬-24.05%-1,517.48萬-194.28%-1,223.3萬-194.28%-1,223.3萬-161.45%-415.7萬-161.45%-415.7萬27.63%676.44萬--676.44萬--530萬
不影響留存收益的損益 -2.46%72.67萬-2.46%72.67萬55.31%74.5萬55.31%74.5萬-10.17%47.97萬-10.17%47.97萬33.50%53.4萬--53.4萬--40萬
股東權益總額 -13.00%1,910.2萬-13.00%1,910.2萬-26.21%2,195.55萬-26.21%2,195.55萬-26.95%2,975.33萬-26.95%2,975.33萬3.37%4,072.9萬--4,072.9萬--3,940萬
總權益 -13.00%1,910.2萬-13.00%1,910.2萬-26.21%2,195.55萬-26.21%2,195.55萬-26.95%2,975.33萬-26.95%2,975.33萬3.37%4,072.9萬--4,072.9萬--3,940萬
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP