美股市場個股詳情

Inventiva (IVA)

添加自選
  • 5.670
  • +0.040+0.71%
收盤價 04/17 16:00 (美東)
  • 5.670
  • 0.0000.00%
盤後 20:01 (美東)
11.77億總市值-2.53市盈率TTM

Inventiva (IVA) 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
(Q2)2025/06/30
(FY)2024/12/31
(Q4)2024/12/31
(Q2)2024/06/30
(FY)2023/12/31
(Q4)2023/12/31
(Q2)2023/06/30
(FY)2022/12/31
資產
流動資產
現金及現金等價物和短期投資
139.09%2.31億
139.09%2.31億
1,345.29%1.47億
257.80%9,656.3萬
257.80%9,656.3萬
-67.57%1,014.7萬
-69.26%2,698.8萬
--2,698.8萬
-64.10%3,129萬
-7.96%8,778.5萬
-現金和現金等價物
2.85%9,931.2萬
2.85%9,931.2萬
1,103.07%1.22億
258.73%9,656.3萬
258.73%9,656.3萬
-67.52%1,014.7萬
-68.97%2,691.8萬
--2,691.8萬
-59.11%3,124萬
0.21%8,673.7萬
-短期投資
--1.32億
--1.32億
--2,457.8萬
--0
--0
--0
-93.32%7萬
--7萬
-99.53%5萬
-88.13%104.8萬
應收款項
-24.97%912.1萬
-24.97%912.1萬
112.22%2,279.2萬
-22.60%1,215.7萬
-22.60%1,215.7萬
-9.07%1,074萬
68.12%1,570.7萬
--1,570.7萬
79.63%1,181.1萬
-19.37%934.3萬
-應收賬款
279.66%201.6萬
279.66%201.6萬
1,230.53%1,076.4萬
-86.05%53.1萬
-86.05%53.1萬
-63.62%80.9萬
--380.7萬
--380.7萬
222,300.00%222.4萬
--0
-應收稅費
-45.69%542.9萬
-45.69%542.9萬
24.17%746.9萬
-4.05%999.6萬
-4.05%999.6萬
-18.77%601.5萬
14.94%1,041.8萬
--1,041.8萬
13.89%740.5萬
25.87%906.4萬
-其他應收款
2.82%167.6萬
2.82%167.6萬
16.42%455.9萬
9.99%163萬
9.99%163萬
79.47%391.6萬
431.18%148.2萬
--148.2萬
2,930.56%218.2萬
-27.72%27.9萬
存貨
--0
--0
----
--0
--0
-2.00%39.3萬
11.80%41.7萬
--41.7萬
12.96%40.1萬
-4.85%37.3萬
預付費用
61.83%395.2萬
61.83%395.2萬
-58.40%292.8萬
-47.55%244.2萬
-47.55%244.2萬
-17.92%703.9萬
-45.87%465.6萬
--465.6萬
55.11%857.6萬
15.39%860.1萬
其他流動資產
50.72%52.6萬
50.72%52.6萬
51.21%43.7萬
-17.10%34.9萬
-17.10%34.9萬
-1.03%28.9萬
49.29%42.1萬
--42.1萬
-7.89%29.2萬
-63.04%28.2萬
流動資產合計
119.23%2.44億
119.23%2.44億
504.07%1.73億
131.40%1.12億
131.40%1.12億
-45.37%2,860.8萬
-54.70%4,818.9萬
--4,818.9萬
-47.59%5,237萬
-7.95%1.06億
非流動資產
固定資產淨額
-40.44%298.1萬
-40.44%298.1萬
-50.06%398.5萬
-45.16%500.5萬
-45.16%500.5萬
6.24%798萬
23.57%912.7萬
--912.7萬
21.81%751.1萬
130.96%738.6萬
-固定資產
-1.27%1,994.1萬
-1.27%1,994.1萬
2.06%2,079.5萬
1.80%2,019.8萬
1.80%2,019.8萬
19.91%2,037.6萬
24.45%1,984萬
--1,984萬
22.52%1,699.3萬
54.46%1,594.2萬
-累計折舊
-11.63%-1,696萬
-11.63%-1,696萬
-35.61%-1,681萬
-41.82%-1,519.3萬
-41.82%-1,519.3萬
-30.73%-1,239.6萬
-25.21%-1,071.3萬
---1,071.3萬
-23.08%-948.2萬
-20.12%-855.6萬
商譽及其他無形資產
281.25%18.3萬
281.25%18.3萬
-81.15%8.5萬
-91.14%4.8萬
-91.14%4.8萬
-31.35%45.1萬
-4.58%54.2萬
--54.2萬
-1.94%65.7萬
-26.23%56.8萬
-其他無形資產
281.25%18.3萬
281.25%18.3萬
--8.5萬
-91.14%4.8萬
-91.14%4.8萬
----
-4.58%54.2萬
--54.2萬
----
-26.23%56.8萬
投資和預付款
-53.73%52.7萬
-53.73%52.7萬
-26.17%83.5萬
-20.07%113.9萬
-20.07%113.9萬
--113.1萬
--142.5萬
--142.5萬
----
--0
長期應收款
----
----
----
----
----
----
----
----
154.84%7.9萬
--6.5萬
非流動遞延資產
-11.98%19.1萬
-11.98%19.1萬
-8.57%19.2萬
-3.56%21.7萬
-3.56%21.7萬
--21萬
--22.5萬
--22.5萬
----
--0
長期預付費用
10.98%116.2萬
10.98%116.2萬
0.00%104.7萬
-89.59%104.7萬
-89.59%104.7萬
-89.74%104.7萬
527.26%1,005.5萬
--1,005.5萬
538.09%1,020.3萬
-34.36%160.3萬
非流動資產合計
-32.35%504.4萬
-32.35%504.4萬
-43.21%614.4萬
-65.12%745.6萬
-65.12%745.6萬
-41.36%1,081.9萬
122.14%2,137.4萬
--2,137.4萬
117.93%1,845萬
50.11%962.2萬
總資產
109.73%2.5億
109.73%2.5億
353.90%1.79億
71.03%1.19億
71.03%1.19億
-44.33%3,942.6萬
-40.04%6,956.1萬
--6,956.1萬
-34.67%7,081.9萬
-4.90%1.16億
負債
流動負債
應付款項
-16.27%3,325.9萬
-16.27%3,325.9萬
14.71%4,659.1萬
-8.27%3,972.1萬
-8.27%3,972.1萬
25.39%4,061.6萬
84.23%4,330.4萬
--4,330.4萬
81.43%3,239.1萬
16.62%2,350.5萬
-應付賬款
-20.83%2,601.7萬
-20.83%2,601.7萬
-5.14%3,470.3萬
-12.78%3,286.2萬
-12.78%3,286.2萬
27.51%3,658.3萬
94.63%3,767.9萬
--3,767.9萬
101.30%2,869.1萬
32.58%1,935.9萬
-應付稅費
-54.89%177萬
-54.89%177萬
145.09%559.3萬
5.12%392.4萬
5.12%392.4萬
7.79%228.2萬
64.59%373.3萬
--373.3萬
-4.21%211.7萬
114.57%226.8萬
-其他應付款
86.44%547.2萬
86.44%547.2萬
259.51%629.5萬
55.13%293.5萬
55.13%293.5萬
10.61%175.1萬
0.75%189.2萬
--189.2萬
13.88%158.3萬
-58.24%187.8萬
應計費用
516.83%1,073.9萬
516.83%1,073.9萬
82.23%328.2萬
13.05%174.1萬
13.05%174.1萬
40.59%180.1萬
14.93%154萬
--154萬
16.67%128.1萬
8.59%134萬
現行撥備
--107.1萬
--107.1萬
--305.1萬
----
----
----
----
----
----
----
短期借款與租賃負債
450.58%3,230.8萬
450.58%3,230.8萬
-3.37%553.3萬
10.55%586.8萬
10.55%586.8萬
38.98%572.6萬
-9.28%530.8萬
--530.8萬
-19.14%412萬
356.40%585.1萬
-短期借款
804.18%3,027.2萬
804.18%3,027.2萬
69.15%553.3萬
11.23%334.8萬
11.23%334.8萬
28.17%327.1萬
-34.19%301萬
--301萬
-40.18%255.2萬
267.68%457.4萬
-短期租賃負債
-19.21%203.6萬
-19.21%203.6萬
----
9.66%252萬
9.66%252萬
56.57%245.5萬
79.95%229.8萬
--229.8萬
89.14%156.8萬
3,260.53%127.7萬
遞延負債
--0
--0
----
--0
--0
-50.00%3,000
0.00%6,000
--6,000
--6,000
--6,000
其他流動負債
-100.00%1,000
-100.00%1,000
--1,000
--7,340.1萬
--7,340.1萬
----
----
----
----
-200.00%-1,000
流動負債總額
-35.91%7,737.8萬
-35.91%7,737.8萬
21.42%5,845.8萬
140.70%1.21億
140.70%1.21億
27.38%4,814.6萬
63.38%5,015.8萬
--5,015.8萬
57.19%3,779.8萬
34.34%3,070.1萬
非流動負債
長期借款與租賃負債
-43.15%2,755.1萬
-43.15%2,755.1萬
10.15%5,159.9萬
50.59%4,846.1萬
50.59%4,846.1萬
51.05%4,684.5萬
12.27%3,218.1萬
--3,218.1萬
130.80%3,101.3萬
224.33%2,866.4萬
-長期借款
-42.11%2,681.6萬
-42.11%2,681.6萬
18.51%5,159.9萬
65.96%4,632.6萬
65.96%4,632.6萬
57.46%4,353.9萬
9.76%2,791.4萬
--2,791.4萬
149.73%2,765萬
190.77%2,543.1萬
-長期租賃負債
-65.57%73.5萬
-65.57%73.5萬
----
-49.96%213.5萬
-49.96%213.5萬
-1.69%330.6萬
31.98%426.7萬
--426.7萬
42.20%336.3萬
3,414.13%323.3萬
遞延負債
17.76%12.6萬
17.76%12.6萬
65.79%12.6萬
52.86%10.7萬
52.86%10.7萬
24.59%7.6萬
27.27%7萬
--7萬
--6.1萬
--5.5萬
員工福利
-57.15%75.5萬
-57.15%75.5萬
-42.70%89.1萬
13.02%176.2萬
13.02%176.2萬
14.34%155.5萬
26.34%155.9萬
--155.9萬
14.86%136萬
-13.65%123.4萬
衍生品負債
390.99%1.19億
390.99%1.19億
211.38%4,225.1萬
136.87%2,431.5萬
136.87%2,431.5萬
64.41%1,356.9萬
3.94%1,026.5萬
--1,026.5萬
--825.3萬
--987.6萬
其他非流動負債
74.75%5,283.8萬
74.75%5,283.8萬
316.42%3,453.8萬
310.88%3,023.7萬
310.88%3,023.7萬
829,300.00%829.4萬
368,050.00%735.9萬
--735.9萬
--1,000
0.00%-2,000
非流動負債總額
91.32%2.01億
91.32%2.01億
83.97%1.29億
103.92%1.05億
103.92%1.05億
72.87%7,033.9萬
29.14%5,143.4萬
--5,143.4萬
178.28%4,068.8萬
287.99%3,982.7萬
總負債
23.23%2.78億
23.23%2.78億
58.55%1.88億
122.08%2.26億
122.08%2.26億
50.96%1.18億
44.04%1.02億
--1.02億
102.98%7,848.6萬
112.96%7,052.8萬
所有者權益
股本
101.88%193.2萬
101.88%193.2萬
165.14%139.2萬
83.69%95.7萬
83.69%95.7萬
24.70%52.5萬
23.75%52.1萬
--52.1萬
0.00%42.1萬
2.93%42.1萬
-普通股股本
101.88%193.2萬
101.88%193.2萬
165.14%139.2萬
83.69%95.7萬
83.69%95.7萬
24.70%52.5萬
23.75%52.1萬
--52.1萬
0.00%42.1萬
2.93%42.1萬
留存收益
-92.24%-3.54億
-92.24%-3.54億
-258.73%-1.76億
-66.82%-1.84億
-66.82%-1.84億
11.29%-4,902.9萬
-103.46%-1.1億
---1.1億
-87.57%-5,526.9萬
-9.35%-5,427.4萬
資本公積
112.00%5.28億
112.00%5.28億
86.64%3.77億
23.43%2.49億
23.43%2.49億
16.09%2.02億
16.09%2.02億
--2.02億
-0.00%1.74億
5.34%1.74億
不影響留存收益的損益
-18.54%-2.05億
-18.54%-2.05億
9.14%-2.11億
-39.17%-1.73億
-39.17%-1.73億
-83.43%-2.32億
-66.30%-1.24億
---1.24億
-68.67%-1.27億
-176.35%-7,455.7萬
股東權益總額
73.26%-2,852.2萬
73.26%-2,852.2萬
88.73%-890.8萬
-232.95%-1.07億
-232.95%-1.07億
-931.16%-7,905.9萬
-170.43%-3,203.1萬
---3,203.1萬
-111.00%-766.7萬
-48.83%4,547.6萬
總權益
73.26%-2,852.2萬
73.26%-2,852.2萬
88.73%-890.8萬
-232.95%-1.07億
-232.95%-1.07億
-931.16%-7,905.9萬
-170.43%-3,203.1萬
---3,203.1萬
-111.00%-766.7萬
-48.83%4,547.6萬
貨幣單位
歐元
歐元
歐元
歐元
歐元
歐元
歐元
歐元
歐元
歐元
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
--
--
帶解釋段的無保留意見
--
--
帶解釋段的無保留意見
--
--
--
(FY)2025/12/31(Q4)2025/12/31(Q2)2025/06/30(FY)2024/12/31(Q4)2024/12/31(Q2)2024/06/30(FY)2023/12/31(Q4)2023/12/31(Q2)2023/06/30(FY)2022/12/31
資產
流動資產
現金及現金等價物和短期投資 139.09%2.31億139.09%2.31億1,345.29%1.47億257.80%9,656.3萬257.80%9,656.3萬-67.57%1,014.7萬-69.26%2,698.8萬--2,698.8萬-64.10%3,129萬-7.96%8,778.5萬
-現金和現金等價物 2.85%9,931.2萬2.85%9,931.2萬1,103.07%1.22億258.73%9,656.3萬258.73%9,656.3萬-67.52%1,014.7萬-68.97%2,691.8萬--2,691.8萬-59.11%3,124萬0.21%8,673.7萬
-短期投資 --1.32億--1.32億--2,457.8萬--0--0--0-93.32%7萬--7萬-99.53%5萬-88.13%104.8萬
應收款項 -24.97%912.1萬-24.97%912.1萬112.22%2,279.2萬-22.60%1,215.7萬-22.60%1,215.7萬-9.07%1,074萬68.12%1,570.7萬--1,570.7萬79.63%1,181.1萬-19.37%934.3萬
-應收賬款 279.66%201.6萬279.66%201.6萬1,230.53%1,076.4萬-86.05%53.1萬-86.05%53.1萬-63.62%80.9萬--380.7萬--380.7萬222,300.00%222.4萬--0
-應收稅費 -45.69%542.9萬-45.69%542.9萬24.17%746.9萬-4.05%999.6萬-4.05%999.6萬-18.77%601.5萬14.94%1,041.8萬--1,041.8萬13.89%740.5萬25.87%906.4萬
-其他應收款 2.82%167.6萬2.82%167.6萬16.42%455.9萬9.99%163萬9.99%163萬79.47%391.6萬431.18%148.2萬--148.2萬2,930.56%218.2萬-27.72%27.9萬
存貨 --0--0------0--0-2.00%39.3萬11.80%41.7萬--41.7萬12.96%40.1萬-4.85%37.3萬
預付費用 61.83%395.2萬61.83%395.2萬-58.40%292.8萬-47.55%244.2萬-47.55%244.2萬-17.92%703.9萬-45.87%465.6萬--465.6萬55.11%857.6萬15.39%860.1萬
其他流動資產 50.72%52.6萬50.72%52.6萬51.21%43.7萬-17.10%34.9萬-17.10%34.9萬-1.03%28.9萬49.29%42.1萬--42.1萬-7.89%29.2萬-63.04%28.2萬
流動資產合計 119.23%2.44億119.23%2.44億504.07%1.73億131.40%1.12億131.40%1.12億-45.37%2,860.8萬-54.70%4,818.9萬--4,818.9萬-47.59%5,237萬-7.95%1.06億
非流動資產
固定資產淨額 -40.44%298.1萬-40.44%298.1萬-50.06%398.5萬-45.16%500.5萬-45.16%500.5萬6.24%798萬23.57%912.7萬--912.7萬21.81%751.1萬130.96%738.6萬
-固定資產 -1.27%1,994.1萬-1.27%1,994.1萬2.06%2,079.5萬1.80%2,019.8萬1.80%2,019.8萬19.91%2,037.6萬24.45%1,984萬--1,984萬22.52%1,699.3萬54.46%1,594.2萬
-累計折舊 -11.63%-1,696萬-11.63%-1,696萬-35.61%-1,681萬-41.82%-1,519.3萬-41.82%-1,519.3萬-30.73%-1,239.6萬-25.21%-1,071.3萬---1,071.3萬-23.08%-948.2萬-20.12%-855.6萬
商譽及其他無形資產 281.25%18.3萬281.25%18.3萬-81.15%8.5萬-91.14%4.8萬-91.14%4.8萬-31.35%45.1萬-4.58%54.2萬--54.2萬-1.94%65.7萬-26.23%56.8萬
-其他無形資產 281.25%18.3萬281.25%18.3萬--8.5萬-91.14%4.8萬-91.14%4.8萬-----4.58%54.2萬--54.2萬-----26.23%56.8萬
投資和預付款 -53.73%52.7萬-53.73%52.7萬-26.17%83.5萬-20.07%113.9萬-20.07%113.9萬--113.1萬--142.5萬--142.5萬------0
長期應收款 --------------------------------154.84%7.9萬--6.5萬
非流動遞延資產 -11.98%19.1萬-11.98%19.1萬-8.57%19.2萬-3.56%21.7萬-3.56%21.7萬--21萬--22.5萬--22.5萬------0
長期預付費用 10.98%116.2萬10.98%116.2萬0.00%104.7萬-89.59%104.7萬-89.59%104.7萬-89.74%104.7萬527.26%1,005.5萬--1,005.5萬538.09%1,020.3萬-34.36%160.3萬
非流動資產合計 -32.35%504.4萬-32.35%504.4萬-43.21%614.4萬-65.12%745.6萬-65.12%745.6萬-41.36%1,081.9萬122.14%2,137.4萬--2,137.4萬117.93%1,845萬50.11%962.2萬
總資產 109.73%2.5億109.73%2.5億353.90%1.79億71.03%1.19億71.03%1.19億-44.33%3,942.6萬-40.04%6,956.1萬--6,956.1萬-34.67%7,081.9萬-4.90%1.16億
負債
流動負債
應付款項 -16.27%3,325.9萬-16.27%3,325.9萬14.71%4,659.1萬-8.27%3,972.1萬-8.27%3,972.1萬25.39%4,061.6萬84.23%4,330.4萬--4,330.4萬81.43%3,239.1萬16.62%2,350.5萬
-應付賬款 -20.83%2,601.7萬-20.83%2,601.7萬-5.14%3,470.3萬-12.78%3,286.2萬-12.78%3,286.2萬27.51%3,658.3萬94.63%3,767.9萬--3,767.9萬101.30%2,869.1萬32.58%1,935.9萬
-應付稅費 -54.89%177萬-54.89%177萬145.09%559.3萬5.12%392.4萬5.12%392.4萬7.79%228.2萬64.59%373.3萬--373.3萬-4.21%211.7萬114.57%226.8萬
-其他應付款 86.44%547.2萬86.44%547.2萬259.51%629.5萬55.13%293.5萬55.13%293.5萬10.61%175.1萬0.75%189.2萬--189.2萬13.88%158.3萬-58.24%187.8萬
應計費用 516.83%1,073.9萬516.83%1,073.9萬82.23%328.2萬13.05%174.1萬13.05%174.1萬40.59%180.1萬14.93%154萬--154萬16.67%128.1萬8.59%134萬
現行撥備 --107.1萬--107.1萬--305.1萬----------------------------
短期借款與租賃負債 450.58%3,230.8萬450.58%3,230.8萬-3.37%553.3萬10.55%586.8萬10.55%586.8萬38.98%572.6萬-9.28%530.8萬--530.8萬-19.14%412萬356.40%585.1萬
-短期借款 804.18%3,027.2萬804.18%3,027.2萬69.15%553.3萬11.23%334.8萬11.23%334.8萬28.17%327.1萬-34.19%301萬--301萬-40.18%255.2萬267.68%457.4萬
-短期租賃負債 -19.21%203.6萬-19.21%203.6萬----9.66%252萬9.66%252萬56.57%245.5萬79.95%229.8萬--229.8萬89.14%156.8萬3,260.53%127.7萬
遞延負債 --0--0------0--0-50.00%3,0000.00%6,000--6,000--6,000--6,000
其他流動負債 -100.00%1,000-100.00%1,000--1,000--7,340.1萬--7,340.1萬-----------------200.00%-1,000
流動負債總額 -35.91%7,737.8萬-35.91%7,737.8萬21.42%5,845.8萬140.70%1.21億140.70%1.21億27.38%4,814.6萬63.38%5,015.8萬--5,015.8萬57.19%3,779.8萬34.34%3,070.1萬
非流動負債
長期借款與租賃負債 -43.15%2,755.1萬-43.15%2,755.1萬10.15%5,159.9萬50.59%4,846.1萬50.59%4,846.1萬51.05%4,684.5萬12.27%3,218.1萬--3,218.1萬130.80%3,101.3萬224.33%2,866.4萬
-長期借款 -42.11%2,681.6萬-42.11%2,681.6萬18.51%5,159.9萬65.96%4,632.6萬65.96%4,632.6萬57.46%4,353.9萬9.76%2,791.4萬--2,791.4萬149.73%2,765萬190.77%2,543.1萬
-長期租賃負債 -65.57%73.5萬-65.57%73.5萬-----49.96%213.5萬-49.96%213.5萬-1.69%330.6萬31.98%426.7萬--426.7萬42.20%336.3萬3,414.13%323.3萬
遞延負債 17.76%12.6萬17.76%12.6萬65.79%12.6萬52.86%10.7萬52.86%10.7萬24.59%7.6萬27.27%7萬--7萬--6.1萬--5.5萬
員工福利 -57.15%75.5萬-57.15%75.5萬-42.70%89.1萬13.02%176.2萬13.02%176.2萬14.34%155.5萬26.34%155.9萬--155.9萬14.86%136萬-13.65%123.4萬
衍生品負債 390.99%1.19億390.99%1.19億211.38%4,225.1萬136.87%2,431.5萬136.87%2,431.5萬64.41%1,356.9萬3.94%1,026.5萬--1,026.5萬--825.3萬--987.6萬
其他非流動負債 74.75%5,283.8萬74.75%5,283.8萬316.42%3,453.8萬310.88%3,023.7萬310.88%3,023.7萬829,300.00%829.4萬368,050.00%735.9萬--735.9萬--1,0000.00%-2,000
非流動負債總額 91.32%2.01億91.32%2.01億83.97%1.29億103.92%1.05億103.92%1.05億72.87%7,033.9萬29.14%5,143.4萬--5,143.4萬178.28%4,068.8萬287.99%3,982.7萬
總負債 23.23%2.78億23.23%2.78億58.55%1.88億122.08%2.26億122.08%2.26億50.96%1.18億44.04%1.02億--1.02億102.98%7,848.6萬112.96%7,052.8萬
所有者權益
股本 101.88%193.2萬101.88%193.2萬165.14%139.2萬83.69%95.7萬83.69%95.7萬24.70%52.5萬23.75%52.1萬--52.1萬0.00%42.1萬2.93%42.1萬
-普通股股本 101.88%193.2萬101.88%193.2萬165.14%139.2萬83.69%95.7萬83.69%95.7萬24.70%52.5萬23.75%52.1萬--52.1萬0.00%42.1萬2.93%42.1萬
留存收益 -92.24%-3.54億-92.24%-3.54億-258.73%-1.76億-66.82%-1.84億-66.82%-1.84億11.29%-4,902.9萬-103.46%-1.1億---1.1億-87.57%-5,526.9萬-9.35%-5,427.4萬
資本公積 112.00%5.28億112.00%5.28億86.64%3.77億23.43%2.49億23.43%2.49億16.09%2.02億16.09%2.02億--2.02億-0.00%1.74億5.34%1.74億
不影響留存收益的損益 -18.54%-2.05億-18.54%-2.05億9.14%-2.11億-39.17%-1.73億-39.17%-1.73億-83.43%-2.32億-66.30%-1.24億---1.24億-68.67%-1.27億-176.35%-7,455.7萬
股東權益總額 73.26%-2,852.2萬73.26%-2,852.2萬88.73%-890.8萬-232.95%-1.07億-232.95%-1.07億-931.16%-7,905.9萬-170.43%-3,203.1萬---3,203.1萬-111.00%-766.7萬-48.83%4,547.6萬
總權益 73.26%-2,852.2萬73.26%-2,852.2萬88.73%-890.8萬-232.95%-1.07億-232.95%-1.07億-931.16%-7,905.9萬-170.43%-3,203.1萬---3,203.1萬-111.00%-766.7萬-48.83%4,547.6萬
貨幣單位 歐元歐元歐元歐元歐元歐元歐元歐元歐元歐元
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----帶解釋段的無保留意見----帶解釋段的無保留意見------
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