马来西亚市场个股详情

0181 AEMULUS

添加自选
  • 0.310
  • +0.005+1.64%
延时15分钟行情午间休市 12/16 12:25 (北京)
2.08亿总市值-9.39市盈率TTM

AEMULUS关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2024/09/30
(Q4)2024/09/30
(Q3)2024/06/30
(Q2)2024/03/31
(Q1)2023/12/31
(FY)2023/09/30
(Q4)2023/09/30
(Q3)2023/06/30
(Q2)2023/03/31
(Q1)2022/12/31
资产
流动资产
现金及现金等价物与短期投资
-20.34%2,389.6万
-20.34%2,389.6万
-40.77%2,556万
-35.72%3,186.3万
-36.57%3,181.5万
-42.52%2,999.86万
-42.52%2,999.86万
-36.05%4,315.5万
-32.57%4,957.2万
-44.60%5,015.4万
-现金及现金等价物
34.27%750.8万
34.27%750.8万
-70.92%410.2万
-36.51%439.6万
76.39%474.3万
53.58%559.18万
53.58%559.18万
20.69%1,410.6万
6.42%692.4万
-79.91%268.9万
-其中:现金
34.27%750.8万
34.27%750.8万
-70.92%410.2万
-36.51%439.6万
76.39%474.3万
53.58%559.18万
53.58%559.18万
20.69%1,410.6万
6.42%692.4万
-79.91%268.9万
-短期投资
-32.85%1,638.8万
-32.85%1,638.8万
-26.13%2,145.8万
-35.60%2,746.7万
-42.96%2,707.2万
-49.73%2,440.68万
-49.73%2,440.68万
-47.93%2,904.9万
-36.35%4,264.8万
-38.47%4,746.5万
应收款项
6.74%4,936万
6.74%4,936万
-6.97%5,449.9万
-12.74%5,276.9万
-28.79%4,924.5万
-29.07%4,624.26万
-29.07%4,624.26万
-2.27%5,858.5万
4.32%6,047.2万
51.02%6,915.3万
-应收账款净额
-0.25%4,530.9万
-0.25%4,530.9万
-6.93%5,000.6万
-7.41%5,058.2万
-21.56%4,628.2万
-19.32%4,542.38万
-19.32%4,542.38万
1.87%5,373万
7.49%5,462.9万
56.55%5,900万
-其中:应收账款
----
----
----
----
----
0.65%5,912.43万
0.65%5,912.43万
----
----
----
-其中:坏账准备
----
----
----
----
----
-461.94%-1,370.05万
-461.94%-1,370.05万
----
----
----
-其他应收款
394.77%405.1万
394.77%405.1万
-7.46%449.3万
-62.57%218.7万
-70.82%296.3万
-90.80%81.88万
-90.80%81.88万
-32.60%485.5万
-18.23%584.3万
25.28%1,015.3万
存货
3.38%3,358.4万
3.38%3,358.4万
0.02%3,270.4万
-0.74%3,287.7万
0.24%3,209.9万
-4.39%3,248.68万
-4.39%3,248.68万
-0.70%3,269.9万
18.42%3,312.1万
41.75%3,202.1万
预付费用
----
----
----
----
----
-3.27%135.07万
-3.27%135.07万
----
----
----
受限制现金
----
----
----
----
----
-10.80%686.08万
-10.80%686.08万
----
----
----
税项资产
90.58%71.3万
90.58%71.3万
-17.30%56.4万
-17.56%50.7万
-24.59%46.3万
-41.69%37.41万
-41.69%37.41万
52.91%68.2万
43.36%61.5万
1,179.17%61.4万
套期保值资产
--0
--0
--0
--0
--0
-58.68%5.89万
-58.68%5.89万
--4.3万
--1.7万
--3.4万
流动资产合计
-8.37%1.08亿
-8.37%1.08亿
-16.16%1.13亿
-17.93%1.18亿
-25.24%1.14亿
-27.21%1.17亿
-27.21%1.17亿
-15.94%1.35亿
-10.06%1.44亿
-4.39%1.52亿
非流动资产
物业厂房及设备净额
-3.49%4,054.3万
-3.49%4,054.3万
-4.28%4,073.2万
-3.61%4,134.8万
-5.60%4,134万
-5.19%4,201.11万
-5.19%4,201.11万
3.03%4,255.2万
3.93%4,289.8万
7.15%4,379.4万
-物业、厂房及设备
----
----
----
----
----
1.33%5,809.19万
1.33%5,809.19万
3.03%4,255.2万
3.93%4,289.8万
7.15%4,379.4万
-累计折旧
----
----
----
----
----
-23.51%-1,608.08万
-23.51%-1,608.08万
----
----
----
投资总额
-55.69%248.7万
-55.69%248.7万
-21.87%431.6万
-10.25%488.6万
-6.54%478.9万
-7.24%561.24万
-7.24%561.24万
-44.57%552.4万
49.23%544.4万
39.54%512.4万
-长期股权投资
-55.69%248.7万
-55.69%248.7万
-20.94%431.6万
-9.17%488.6万
-5.34%478.9万
-6.22%561.24万
-6.22%561.24万
-44.86%545.9万
50.13%537.9万
40.26%505.9万
-金融资产投资
----
----
----
----
----
--0
--0
----
----
----
-其他投资
----
----
----
----
----
----
----
0.00%6.5万
0.00%6.5万
0.00%6.5万
长期应收账款及其他应收款
----
----
----
----
----
----
----
-19.94%55.8万
136.87%165.1万
136.87%165.1万
商誉及其他无形资产
3.86%1,642.8万
3.86%1,642.8万
-44.36%1,815.6万
-45.07%1,742.3万
-45.94%1,663.9万
-47.07%1,581.76万
-47.07%1,581.76万
12.71%3,262.9万
15.33%3,171.7万
18.57%3,077.6万
-商誉
----
----
----
----
----
--0
--0
----
----
----
-其他无形资产
3.86%1,642.8万
3.86%1,642.8万
-44.36%1,815.6万
-45.07%1,742.3万
-45.94%1,663.9万
-2.50%1,581.76万
-2.50%1,581.76万
12.71%3,262.9万
15.33%3,171.7万
18.57%3,077.6万
非流动资产合计
-6.28%5,945.8万
-6.28%5,945.8万
-22.22%6,320.4万
-22.09%6,365.7万
-22.84%6,276.8万
-22.54%6,344.1万
-22.54%6,344.1万
0.43%8,126.3万
11.75%8,171万
14.25%8,134.5万
总资产
-7.63%1.67亿
-7.63%1.67亿
-18.43%1.77亿
-19.44%1.82亿
-24.40%1.76亿
-25.63%1.81亿
-25.63%1.81亿
-10.46%2.16亿
-3.22%2.26亿
1.37%2.33亿
负债
流动负债
金融负债
36.64%3,145.8万
36.64%3,145.8万
33.84%2,853.1万
35.23%2,906万
-6.21%2,117.3万
-5.27%2,302.19万
-5.27%2,302.19万
6.20%2,131.8万
125.29%2,149万
142.12%2,257.5万
-短期借款及资本租赁负债
36.64%3,145.8万
36.64%3,145.8万
33.84%2,853.1万
35.23%2,906万
-6.21%2,117.3万
-5.27%2,302.19万
-5.27%2,302.19万
6.80%2,131.8万
126.23%2,149万
142.66%2,257.5万
-其中:短期借款
43.39%3,093万
43.39%3,093万
30.66%2,730.7万
----
-6.13%2,076.1万
-9.58%2,157.01万
-9.58%2,157.01万
7.36%2,090万
131.62%2,105.2万
146.64%2,211.6万
-其中:资本租赁负债
-63.63%52.8万
-63.63%52.8万
192.82%122.4万
----
-10.24%41.2万
223.24%145.19万
223.24%145.19万
-15.21%41.8万
6.83%43.8万
36.61%45.9万
应付款项
233.20%901.1万
233.20%901.1万
0.17%528.1万
5.32%685万
-12.04%732.5万
-74.02%270.44万
-74.02%270.44万
-67.67%527.2万
-63.34%650.4万
-58.28%832.8万
-应付账款
284.51%471.3万
284.51%471.3万
136.05%234.4万
21.44%394.8万
-70.85%154.7万
-85.75%122.57万
-85.75%122.57万
-90.04%99.3万
-71.30%325.1万
-57.71%530.7万
-应交税费
----
----
----
----
----
--0
--0
--5.6万
157.14%1.8万
--1.5万
-其他应付款
190.66%429.8万
190.66%429.8万
-30.45%293.7万
-10.29%290.2万
92.22%577.8万
-13.59%147.87万
-13.59%147.87万
-33.40%422.3万
-49.48%323.5万
-59.46%300.6万
现行拨备
96.85%32.6万
96.85%32.6万
-37.89%21.8万
-64.83%17.2万
-81.10%12.7万
-77.75%16.56万
-77.75%16.56万
-48.15%35.1万
-22.38%48.9万
12.19%67.2万
应计及递延所得
-91.44%46.6万
-91.44%46.6万
109.14%125.9万
31.49%114万
81.03%116.4万
212.49%544.12万
212.49%544.12万
61.39%60.2万
-65.01%86.7万
-73.41%64.3万
流动负债合计
31.68%4,126.1万
31.68%4,126.1万
28.12%3,528.9万
26.82%3,722.2万
-7.54%2,978.9万
-15.76%3,133.31万
-15.76%3,133.31万
-26.42%2,754.3万
-3.41%2,935万
-0.27%3,221.8万
非流动负债
非流动金融负债
-7.90%1,258.2万
-7.90%1,258.2万
-9.47%1,354.4万
-11.63%1,365.6万
-11.15%1,417.2万
-16.72%1,366.09万
-16.72%1,366.09万
-11.17%1,496.1万
-9.72%1,545.4万
-7.73%1,595.1万
-长期借款及资本租赁
-7.90%1,258.2万
-7.90%1,258.2万
-9.47%1,354.4万
-11.63%1,365.6万
-11.15%1,417.2万
-16.72%1,366.09万
-16.72%1,366.09万
-11.17%1,496.1万
-9.72%1,545.4万
-7.73%1,595.1万
-其中:长期借款
-11.10%1,202万
-11.10%1,202万
-2.55%1,354.4万
-11.01%1,271.9万
-10.72%1,311.2万
-10.47%1,352.07万
-10.47%1,352.07万
-10.17%1,389.9万
-9.91%1,429.2万
-9.66%1,468.6万
-其中:长期资本租赁负债
300.80%56.2万
300.80%56.2万
--0
-19.36%93.7万
-16.21%106万
-89.24%14.02万
-89.24%14.02万
-22.48%106.2万
-7.19%116.2万
22.70%126.5万
非流动递延所得税负债
--0
--0
0.00%53万
0.00%53万
0.00%53万
0.00%53万
0.00%53万
27.10%53万
27.10%53万
27.10%53万
其他非流动负债
----
----
----
--23.3万
----
----
----
----
----
----
非流动负债合计
-11.34%1,258.2万
-11.34%1,258.2万
-9.15%1,407.4万
-9.79%1,441.9万
-10.79%1,470.2万
-16.20%1,419.09万
-16.20%1,419.09万
-10.24%1,549.1万
-8.84%1,598.4万
-6.91%1,648.1万
负债总额
18.27%5,384.3万
18.27%5,384.3万
14.71%4,936.3万
13.91%5,164.1万
-8.64%4,449.1万
-15.90%4,552.41万
-15.90%4,552.41万
-21.32%4,303.4万
-5.40%4,533.4万
-2.62%4,869.9万
所有者权益
股本
0.49%1.57亿
0.49%1.57亿
0.48%1.57亿
0.54%1.56亿
0.86%1.56亿
0.68%1.56亿
0.68%1.56亿
0.82%1.56亿
0.66%1.55亿
0.33%1.55亿
-普通股
0.49%1.57亿
0.49%1.57亿
0.48%1.57亿
0.54%1.56亿
0.86%1.56亿
0.68%1.56亿
0.68%1.56亿
0.82%1.56亿
0.66%1.55亿
0.33%1.55亿
留存收益
-283.66%-2,980.7万
-283.66%-2,980.7万
-153.63%-1,637.1万
-135.74%-1,337.7万
-126.91%-1,133.5万
-116.57%-776.92万
-116.57%-776.92万
-32.48%3,052.8万
-13.98%3,742.8万
8.27%4,211.5万
其他储备
95.31%-59.6万
95.31%-59.6万
-137.93%-2.2万
-34.79%31.3万
-81.48%13.8万
-0.83%-1,270.21万
-0.83%-1,270.21万
100.46%5.8万
103.80%48万
105.75%74.5万
其他股本权益
---1,295.4万
---1,295.4万
0.00%-1,295.4万
0.00%-1,295.4万
0.00%-1,295.4万
----
----
---1,295.4万
---1,295.4万
---1,295.4万
股东权益
-16.35%1.13亿
-16.35%1.13亿
-26.66%1.27亿
-27.83%1.3亿
-28.56%1.32亿
-28.42%1.35亿
-28.42%1.35亿
-7.29%1.73亿
-2.65%1.8亿
2.48%1.85亿
总权益
-16.35%1.13亿
-16.35%1.13亿
-26.66%1.27亿
-27.83%1.3亿
-28.56%1.32亿
-28.42%1.35亿
-28.42%1.35亿
-7.29%1.73亿
-2.65%1.8亿
2.48%1.85亿
会计准则
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(FY)2024/09/30(Q4)2024/09/30(Q3)2024/06/30(Q2)2024/03/31(Q1)2023/12/31(FY)2023/09/30(Q4)2023/09/30(Q3)2023/06/30(Q2)2023/03/31(Q1)2022/12/31
资产
流动资产
现金及现金等价物与短期投资 -20.34%2,389.6万-20.34%2,389.6万-40.77%2,556万-35.72%3,186.3万-36.57%3,181.5万-42.52%2,999.86万-42.52%2,999.86万-36.05%4,315.5万-32.57%4,957.2万-44.60%5,015.4万
-现金及现金等价物 34.27%750.8万34.27%750.8万-70.92%410.2万-36.51%439.6万76.39%474.3万53.58%559.18万53.58%559.18万20.69%1,410.6万6.42%692.4万-79.91%268.9万
-其中:现金 34.27%750.8万34.27%750.8万-70.92%410.2万-36.51%439.6万76.39%474.3万53.58%559.18万53.58%559.18万20.69%1,410.6万6.42%692.4万-79.91%268.9万
-短期投资 -32.85%1,638.8万-32.85%1,638.8万-26.13%2,145.8万-35.60%2,746.7万-42.96%2,707.2万-49.73%2,440.68万-49.73%2,440.68万-47.93%2,904.9万-36.35%4,264.8万-38.47%4,746.5万
应收款项 6.74%4,936万6.74%4,936万-6.97%5,449.9万-12.74%5,276.9万-28.79%4,924.5万-29.07%4,624.26万-29.07%4,624.26万-2.27%5,858.5万4.32%6,047.2万51.02%6,915.3万
-应收账款净额 -0.25%4,530.9万-0.25%4,530.9万-6.93%5,000.6万-7.41%5,058.2万-21.56%4,628.2万-19.32%4,542.38万-19.32%4,542.38万1.87%5,373万7.49%5,462.9万56.55%5,900万
-其中:应收账款 --------------------0.65%5,912.43万0.65%5,912.43万------------
-其中:坏账准备 ---------------------461.94%-1,370.05万-461.94%-1,370.05万------------
-其他应收款 394.77%405.1万394.77%405.1万-7.46%449.3万-62.57%218.7万-70.82%296.3万-90.80%81.88万-90.80%81.88万-32.60%485.5万-18.23%584.3万25.28%1,015.3万
存货 3.38%3,358.4万3.38%3,358.4万0.02%3,270.4万-0.74%3,287.7万0.24%3,209.9万-4.39%3,248.68万-4.39%3,248.68万-0.70%3,269.9万18.42%3,312.1万41.75%3,202.1万
预付费用 ---------------------3.27%135.07万-3.27%135.07万------------
受限制现金 ---------------------10.80%686.08万-10.80%686.08万------------
税项资产 90.58%71.3万90.58%71.3万-17.30%56.4万-17.56%50.7万-24.59%46.3万-41.69%37.41万-41.69%37.41万52.91%68.2万43.36%61.5万1,179.17%61.4万
套期保值资产 --0--0--0--0--0-58.68%5.89万-58.68%5.89万--4.3万--1.7万--3.4万
流动资产合计 -8.37%1.08亿-8.37%1.08亿-16.16%1.13亿-17.93%1.18亿-25.24%1.14亿-27.21%1.17亿-27.21%1.17亿-15.94%1.35亿-10.06%1.44亿-4.39%1.52亿
非流动资产
物业厂房及设备净额 -3.49%4,054.3万-3.49%4,054.3万-4.28%4,073.2万-3.61%4,134.8万-5.60%4,134万-5.19%4,201.11万-5.19%4,201.11万3.03%4,255.2万3.93%4,289.8万7.15%4,379.4万
-物业、厂房及设备 --------------------1.33%5,809.19万1.33%5,809.19万3.03%4,255.2万3.93%4,289.8万7.15%4,379.4万
-累计折旧 ---------------------23.51%-1,608.08万-23.51%-1,608.08万------------
投资总额 -55.69%248.7万-55.69%248.7万-21.87%431.6万-10.25%488.6万-6.54%478.9万-7.24%561.24万-7.24%561.24万-44.57%552.4万49.23%544.4万39.54%512.4万
-长期股权投资 -55.69%248.7万-55.69%248.7万-20.94%431.6万-9.17%488.6万-5.34%478.9万-6.22%561.24万-6.22%561.24万-44.86%545.9万50.13%537.9万40.26%505.9万
-金融资产投资 ----------------------0--0------------
-其他投资 ----------------------------0.00%6.5万0.00%6.5万0.00%6.5万
长期应收账款及其他应收款 -----------------------------19.94%55.8万136.87%165.1万136.87%165.1万
商誉及其他无形资产 3.86%1,642.8万3.86%1,642.8万-44.36%1,815.6万-45.07%1,742.3万-45.94%1,663.9万-47.07%1,581.76万-47.07%1,581.76万12.71%3,262.9万15.33%3,171.7万18.57%3,077.6万
-商誉 ----------------------0--0------------
-其他无形资产 3.86%1,642.8万3.86%1,642.8万-44.36%1,815.6万-45.07%1,742.3万-45.94%1,663.9万-2.50%1,581.76万-2.50%1,581.76万12.71%3,262.9万15.33%3,171.7万18.57%3,077.6万
非流动资产合计 -6.28%5,945.8万-6.28%5,945.8万-22.22%6,320.4万-22.09%6,365.7万-22.84%6,276.8万-22.54%6,344.1万-22.54%6,344.1万0.43%8,126.3万11.75%8,171万14.25%8,134.5万
总资产 -7.63%1.67亿-7.63%1.67亿-18.43%1.77亿-19.44%1.82亿-24.40%1.76亿-25.63%1.81亿-25.63%1.81亿-10.46%2.16亿-3.22%2.26亿1.37%2.33亿
负债
流动负债
金融负债 36.64%3,145.8万36.64%3,145.8万33.84%2,853.1万35.23%2,906万-6.21%2,117.3万-5.27%2,302.19万-5.27%2,302.19万6.20%2,131.8万125.29%2,149万142.12%2,257.5万
-短期借款及资本租赁负债 36.64%3,145.8万36.64%3,145.8万33.84%2,853.1万35.23%2,906万-6.21%2,117.3万-5.27%2,302.19万-5.27%2,302.19万6.80%2,131.8万126.23%2,149万142.66%2,257.5万
-其中:短期借款 43.39%3,093万43.39%3,093万30.66%2,730.7万-----6.13%2,076.1万-9.58%2,157.01万-9.58%2,157.01万7.36%2,090万131.62%2,105.2万146.64%2,211.6万
-其中:资本租赁负债 -63.63%52.8万-63.63%52.8万192.82%122.4万-----10.24%41.2万223.24%145.19万223.24%145.19万-15.21%41.8万6.83%43.8万36.61%45.9万
应付款项 233.20%901.1万233.20%901.1万0.17%528.1万5.32%685万-12.04%732.5万-74.02%270.44万-74.02%270.44万-67.67%527.2万-63.34%650.4万-58.28%832.8万
-应付账款 284.51%471.3万284.51%471.3万136.05%234.4万21.44%394.8万-70.85%154.7万-85.75%122.57万-85.75%122.57万-90.04%99.3万-71.30%325.1万-57.71%530.7万
-应交税费 ----------------------0--0--5.6万157.14%1.8万--1.5万
-其他应付款 190.66%429.8万190.66%429.8万-30.45%293.7万-10.29%290.2万92.22%577.8万-13.59%147.87万-13.59%147.87万-33.40%422.3万-49.48%323.5万-59.46%300.6万
现行拨备 96.85%32.6万96.85%32.6万-37.89%21.8万-64.83%17.2万-81.10%12.7万-77.75%16.56万-77.75%16.56万-48.15%35.1万-22.38%48.9万12.19%67.2万
应计及递延所得 -91.44%46.6万-91.44%46.6万109.14%125.9万31.49%114万81.03%116.4万212.49%544.12万212.49%544.12万61.39%60.2万-65.01%86.7万-73.41%64.3万
流动负债合计 31.68%4,126.1万31.68%4,126.1万28.12%3,528.9万26.82%3,722.2万-7.54%2,978.9万-15.76%3,133.31万-15.76%3,133.31万-26.42%2,754.3万-3.41%2,935万-0.27%3,221.8万
非流动负债
非流动金融负债 -7.90%1,258.2万-7.90%1,258.2万-9.47%1,354.4万-11.63%1,365.6万-11.15%1,417.2万-16.72%1,366.09万-16.72%1,366.09万-11.17%1,496.1万-9.72%1,545.4万-7.73%1,595.1万
-长期借款及资本租赁 -7.90%1,258.2万-7.90%1,258.2万-9.47%1,354.4万-11.63%1,365.6万-11.15%1,417.2万-16.72%1,366.09万-16.72%1,366.09万-11.17%1,496.1万-9.72%1,545.4万-7.73%1,595.1万
-其中:长期借款 -11.10%1,202万-11.10%1,202万-2.55%1,354.4万-11.01%1,271.9万-10.72%1,311.2万-10.47%1,352.07万-10.47%1,352.07万-10.17%1,389.9万-9.91%1,429.2万-9.66%1,468.6万
-其中:长期资本租赁负债 300.80%56.2万300.80%56.2万--0-19.36%93.7万-16.21%106万-89.24%14.02万-89.24%14.02万-22.48%106.2万-7.19%116.2万22.70%126.5万
非流动递延所得税负债 --0--00.00%53万0.00%53万0.00%53万0.00%53万0.00%53万27.10%53万27.10%53万27.10%53万
其他非流动负债 --------------23.3万------------------------
非流动负债合计 -11.34%1,258.2万-11.34%1,258.2万-9.15%1,407.4万-9.79%1,441.9万-10.79%1,470.2万-16.20%1,419.09万-16.20%1,419.09万-10.24%1,549.1万-8.84%1,598.4万-6.91%1,648.1万
负债总额 18.27%5,384.3万18.27%5,384.3万14.71%4,936.3万13.91%5,164.1万-8.64%4,449.1万-15.90%4,552.41万-15.90%4,552.41万-21.32%4,303.4万-5.40%4,533.4万-2.62%4,869.9万
所有者权益
股本 0.49%1.57亿0.49%1.57亿0.48%1.57亿0.54%1.56亿0.86%1.56亿0.68%1.56亿0.68%1.56亿0.82%1.56亿0.66%1.55亿0.33%1.55亿
-普通股 0.49%1.57亿0.49%1.57亿0.48%1.57亿0.54%1.56亿0.86%1.56亿0.68%1.56亿0.68%1.56亿0.82%1.56亿0.66%1.55亿0.33%1.55亿
留存收益 -283.66%-2,980.7万-283.66%-2,980.7万-153.63%-1,637.1万-135.74%-1,337.7万-126.91%-1,133.5万-116.57%-776.92万-116.57%-776.92万-32.48%3,052.8万-13.98%3,742.8万8.27%4,211.5万
其他储备 95.31%-59.6万95.31%-59.6万-137.93%-2.2万-34.79%31.3万-81.48%13.8万-0.83%-1,270.21万-0.83%-1,270.21万100.46%5.8万103.80%48万105.75%74.5万
其他股本权益 ---1,295.4万---1,295.4万0.00%-1,295.4万0.00%-1,295.4万0.00%-1,295.4万-----------1,295.4万---1,295.4万---1,295.4万
股东权益 -16.35%1.13亿-16.35%1.13亿-26.66%1.27亿-27.83%1.3亿-28.56%1.32亿-28.42%1.35亿-28.42%1.35亿-7.29%1.73亿-2.65%1.8亿2.48%1.85亿
总权益 -16.35%1.13亿-16.35%1.13亿-26.66%1.27亿-27.83%1.3亿-28.56%1.32亿-28.42%1.35亿-28.42%1.35亿-7.29%1.73亿-2.65%1.8亿2.48%1.85亿
会计准则 NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

FY:Financial Year 年度报告,相当于上市公司向SEC披露的10-K文件。

Q:Quarter 季度报告,相当于上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4为单季报,跨度为3个月;Q6、Q9为累计季报,Q6为6个月,Q9为9个月。