马来西亚市场个股详情

0203 SMETRIC

添加自选
  • 0.185
  • 0.0000.00%
延时15分钟行情已收盘 09/30 16:41 (北京)
1.07亿总市值0.00市盈率TTM

SMETRIC关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
资产
流动资产
现金及现金等价物与短期投资
-21.56%2,136.9万
-6.81%2,196.5万
-0.78%2,238.98万
-0.78%2,238.98万
39.41%2,392.2万
12.73%2,724.1万
-10.98%2,357万
3.93%2,256.5万
3.93%2,256.5万
-44.09%1,716万
-现金及现金等价物
-0.54%1,802.2万
9.19%1,641.9万
11.05%1,728.01万
11.05%1,728.01万
32.20%1,418.1万
28.43%1,812万
-9.76%1,503.7万
-18.13%1,556.11万
-18.13%1,556.11万
-52.01%1,072.7万
-其中:现金
-0.54%1,802.2万
9.19%1,641.9万
11.05%1,728.01万
11.05%1,728.01万
32.20%1,418.1万
28.43%1,812万
-9.76%1,503.7万
-18.13%1,556.11万
-18.13%1,556.11万
-52.01%1,072.7万
-短期投资
-63.30%334.7万
-35.01%554.6万
-27.05%510.97万
-27.05%510.97万
51.42%974.1万
-9.29%912.1万
-13.04%853.3万
159.08%700.4万
159.08%700.4万
-22.86%643.3万
应收款项
127.24%2,542.6万
119.64%2,994.6万
50.86%1,017.92万
50.86%1,017.92万
-18.61%1,287.9万
59.21%1,118.9万
57.15%1,363.4万
-25.28%674.73万
-25.28%674.73万
36.64%1,582.3万
-应收账款净额
112.97%1,334.5万
128.67%2,095.8万
7.06%693.98万
7.06%693.98万
-23.34%693万
62.29%626.6万
63.40%916.5万
-20.43%648.24万
-20.43%648.24万
18.90%904万
-其中:应收账款
----
----
6.76%731.15万
6.76%731.15万
----
----
----
-19.73%684.85万
-19.73%684.85万
----
-其中:坏账准备
----
----
-1.51%-37.17万
-1.51%-37.17万
----
----
----
5.01%-36.62万
5.01%-36.62万
----
-其他应收款
145.40%1,208.1万
101.12%898.8万
1,122.65%323.94万
1,122.65%323.94万
-12.30%594.9万
55.45%492.3万
45.71%446.9万
-70.00%26.5万
-70.00%26.5万
70.56%678.3万
存货
-45.14%111.7万
-57.01%97.8万
3.61%186.73万
3.61%186.73万
83.57%166.5万
97.48%203.6万
146.48%227.5万
27.04%180.23万
27.04%180.23万
-39.05%90.7万
预付费用
----
----
80.03%114.21万
80.03%114.21万
----
----
----
-53.18%63.44万
-53.18%63.44万
----
受限制现金
----
----
2.81%43.95万
2.81%43.95万
----
----
----
1.85%42.75万
1.85%42.75万
----
税项资产
-56.20%30万
-50.15%33.8万
-51.65%32.47万
-51.65%32.47万
-56.58%26.4万
11.56%68.5万
11.51%67.8万
3.10%67.15万
3.10%67.15万
-8.71%60.8万
递延资产
----
----
74.40%411.36万
74.40%411.36万
----
----
----
23.37%235.87万
23.37%235.87万
----
流动资产合计
17.16%4,821.2万
32.55%5,322.7万
14.91%4,045.61万
14.91%4,045.61万
12.27%3,873万
25.32%4,115.1万
9.47%4,015.7万
-3.54%3,520.67万
-3.54%3,520.67万
-22.35%3,449.8万
非流动资产
物业厂房及设备净额
152.28%492.7万
72.27%307.5万
67.20%325.4万
67.20%325.4万
14.08%240.7万
-19.13%195.3万
-32.77%178.5万
-26.60%194.61万
-26.60%194.61万
2.23%211万
-物业、厂房及设备
152.28%492.7万
72.27%307.5万
21.05%744.54万
21.05%744.54万
14.08%240.7万
-19.13%195.3万
-32.77%178.5万
7.68%615.06万
7.68%615.06万
2.23%211万
-累计折旧
----
----
0.31%-419.14万
0.31%-419.14万
----
----
----
-37.37%-420.45万
-37.37%-420.45万
----
投资总额
-30.95%1,288.2万
-27.69%1,304.4万
-29.58%1,290.52万
-29.58%1,290.52万
30.12%1,841.7万
31.74%1,865.5万
25.74%1,803.8万
26.79%1,832.65万
26.79%1,832.65万
124.99%1,415.4万
-长期股权投资
-20.71%678.7万
-12.51%694.9万
-17.27%681万
-17.27%681万
3.26%832.2万
6.12%856万
-3.73%794.3万
1.25%823.13万
1.25%823.13万
--805.9万
-金融资产投资
----
----
-39.62%609.53万
-39.62%609.53万
----
----
----
59.64%1,009.53万
59.64%1,009.53万
----
-其中:可供出售证券
----
----
-39.62%609.53万
-39.62%609.53万
----
----
----
59.64%1,009.53万
59.64%1,009.53万
----
-其他投资
-39.62%609.5万
-39.62%609.5万
----
----
65.63%1,009.5万
65.63%1,009.5万
65.63%1,009.5万
----
----
-3.12%609.5万
长期应收账款及其他应收款
-19.49%135.5万
-15.66%135.2万
15.30%184.25万
15.30%184.25万
83.83%167.1万
85.15%168.3万
66.98%160.3万
3.49%159.81万
3.49%159.81万
--90.9万
非流动递延所得税资产
50.33%23万
61.22%23.7万
70.81%23.67万
70.81%23.67万
21.31%14.8万
25.41%15.3万
25.64%14.7万
18.28%13.86万
18.28%13.86万
29.79%12.2万
非流动资产合计
-13.59%1,939.4万
-17.92%1,770.8万
-17.13%1,823.85万
-17.13%1,823.85万
30.92%2,264.3万
27.47%2,244.4万
19.33%2,157.3万
17.28%2,200.93万
17.28%2,200.93万
101.81%1,729.5万
总资产
6.31%6,760.6万
14.91%7,093.5万
2.58%5,869.46万
2.58%5,869.46万
18.50%6,137.3万
26.07%6,359.5万
12.73%6,173万
3.53%5,721.6万
3.53%5,721.6万
-2.27%5,179.3万
负债
流动负债
金融负债
150.85%88.8万
9.86%53.5万
8.85%66.74万
8.85%66.74万
-69.35%22.1万
-50.28%35.4万
-30.33%48.7万
-1.78%61.32万
-1.78%61.32万
227.73%72.1万
-短期借款及资本租赁负债
150.85%88.8万
9.86%53.5万
8.85%66.74万
8.85%66.74万
-69.35%22.1万
-50.28%35.4万
-30.33%48.7万
-1.78%61.32万
-1.78%61.32万
227.73%72.1万
-其中:资本租赁负债
150.85%88.8万
9.86%53.5万
8.85%66.74万
8.85%66.74万
-69.35%22.1万
-50.28%35.4万
-30.33%48.7万
-1.78%61.32万
-1.78%61.32万
227.73%72.1万
应付款项
-23.16%908.3万
30.61%1,508.8万
0.49%679.54万
0.49%679.54万
125.46%1,000.6万
289.07%1,182万
167.28%1,155.2万
71.58%676.25万
71.58%676.25万
-9.00%443.8万
-应付账款
-9.17%369.5万
54.07%855.1万
-10.38%336.1万
-10.38%336.1万
114.45%381.3万
232.90%406.8万
159.22%555万
74.49%375.03万
74.49%375.03万
-29.78%177.8万
-应交税费
145.00%44.1万
336.30%63.7万
257.35%62.65万
257.35%62.65万
-19.11%39.8万
328.57%18万
-29.13%14.6万
7.94%17.53万
7.94%17.53万
12.33%49.2万
-其他应付款
-34.67%494.7万
0.75%590万
-1.02%280.79万
-1.02%280.79万
167.30%579.5万
326.83%757.2万
196.51%585.6万
74.09%283.68万
74.09%283.68万
13.69%216.8万
现行拨备
----
----
----
----
----
----
----
0.00%78.25万
0.00%78.25万
----
应计及递延所得
73.95%1,398.4万
46.71%1,236万
10.45%780.51万
10.45%780.51万
47.13%646.5万
64.36%803.9万
39.51%842.5万
37.43%706.63万
37.43%706.63万
2.21%439.4万
流动负债合计
18.51%2,395.5万
36.74%2,798.3万
0.29%1,526.79万
0.29%1,526.79万
74.73%1,669.2万
133.92%2,021.3万
85.03%2,046.4万
45.14%1,522.45万
45.14%1,522.45万
1.67%955.3万
非流动负债
非流动金融负债
206.04%192.5万
217.25%90.1万
193.67%97.55万
193.67%97.55万
34.99%54.4万
6.97%62.9万
-62.92%28.4万
-54.56%33.22万
-54.56%33.22万
-9.44%40.3万
-长期借款及资本租赁
206.04%192.5万
217.25%90.1万
193.67%97.55万
193.67%97.55万
34.99%54.4万
6.97%62.9万
-62.92%28.4万
-54.56%33.22万
-54.56%33.22万
-9.44%40.3万
-其中:长期资本租赁负债
206.04%192.5万
217.25%90.1万
193.67%97.55万
193.67%97.55万
34.99%54.4万
6.97%62.9万
-62.92%28.4万
-54.56%33.22万
-54.56%33.22万
-9.44%40.3万
长期养老金及其他退休后福利计划
-29.93%21.3万
-25.17%22万
-19.79%22.02万
-19.79%22.02万
0.00%29.4万
3.40%30.4万
3.52%29.4万
-17.27%27.45万
-17.27%27.45万
9.29%29.4万
长期应计及递延收入
124.43%58.8万
172.93%36.3万
127.20%105.99万
127.20%105.99万
--54.4万
--26.2万
--13.3万
-38.88%46.65万
-38.88%46.65万
----
非流动负债合计
128.12%272.6万
108.72%148.4万
110.17%225.57万
110.17%225.57万
98.28%138.2万
35.49%119.5万
-32.29%71.1万
-41.23%107.33万
-41.23%107.33万
-2.38%69.7万
负债总额
24.63%2,668.1万
39.16%2,946.7万
7.52%1,752.36万
7.52%1,752.36万
76.33%1,807.4万
124.80%2,140.8万
74.86%2,117.5万
32.33%1,629.78万
32.33%1,629.78万
1.38%1,025万
所有者权益
股本
0.00%4,140万
0.00%4,140万
0.22%4,139.96万
0.22%4,139.96万
0.22%4,140万
0.22%4,140万
0.22%4,140万
0.00%4,131万
0.00%4,131万
0.00%4,131万
-普通股
0.00%4,140万
0.00%4,140万
0.22%4,139.96万
0.22%4,139.96万
0.22%4,140万
0.22%4,140万
0.22%4,140万
0.00%4,131万
0.00%4,131万
0.00%4,131万
留存收益
1.18%1,072.2万
8.49%1,052.5万
-7.24%1,028.46万
-7.24%1,028.46万
14.04%1,238.6万
4.06%1,059.7万
-21.73%970.1万
-11.14%1,108.73万
-11.14%1,108.73万
-12.62%1,086.1万
其他储备
-13.13%-1,137.3万
1.39%-1,064.8万
78.54%-1,071.67万
78.54%-1,071.67万
78.20%-1,070.9万
79.52%-1,005.3万
78.21%-1,079.8万
-1.15%-4,992.69万
-1.15%-4,992.69万
-339.25%-4,913万
其他股本权益
----
----
----
----
----
----
----
0.00%3,820.52万
0.00%3,820.52万
--3,820.5万
股东权益
-2.85%4,074.9万
2.42%4,127.7万
0.72%4,096.75万
0.72%4,096.75万
4.44%4,307.7万
3.25%4,194.4万
-4.84%4,030.3万
-4.59%4,067.56万
-4.59%4,067.56万
-3.07%4,124.6万
非控制性权益
-27.57%17.6万
-24.21%19.1万
-16.17%20.35万
-16.17%20.35万
-25.25%22.2万
-18.46%24.3万
-16.00%25.2万
-23.05%24.27万
-23.05%24.27万
-10.54%29.7万
总权益
-2.99%4,092.5万
2.25%4,146.8万
0.62%4,117.1万
0.62%4,117.1万
4.23%4,329.9万
3.09%4,218.7万
-4.91%4,055.5万
-4.73%4,091.83万
-4.73%4,091.83万
-3.13%4,154.3万
会计准则
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30
资产
流动资产
现金及现金等价物与短期投资 -21.56%2,136.9万-6.81%2,196.5万-0.78%2,238.98万-0.78%2,238.98万39.41%2,392.2万12.73%2,724.1万-10.98%2,357万3.93%2,256.5万3.93%2,256.5万-44.09%1,716万
-现金及现金等价物 -0.54%1,802.2万9.19%1,641.9万11.05%1,728.01万11.05%1,728.01万32.20%1,418.1万28.43%1,812万-9.76%1,503.7万-18.13%1,556.11万-18.13%1,556.11万-52.01%1,072.7万
-其中:现金 -0.54%1,802.2万9.19%1,641.9万11.05%1,728.01万11.05%1,728.01万32.20%1,418.1万28.43%1,812万-9.76%1,503.7万-18.13%1,556.11万-18.13%1,556.11万-52.01%1,072.7万
-短期投资 -63.30%334.7万-35.01%554.6万-27.05%510.97万-27.05%510.97万51.42%974.1万-9.29%912.1万-13.04%853.3万159.08%700.4万159.08%700.4万-22.86%643.3万
应收款项 127.24%2,542.6万119.64%2,994.6万50.86%1,017.92万50.86%1,017.92万-18.61%1,287.9万59.21%1,118.9万57.15%1,363.4万-25.28%674.73万-25.28%674.73万36.64%1,582.3万
-应收账款净额 112.97%1,334.5万128.67%2,095.8万7.06%693.98万7.06%693.98万-23.34%693万62.29%626.6万63.40%916.5万-20.43%648.24万-20.43%648.24万18.90%904万
-其中:应收账款 --------6.76%731.15万6.76%731.15万-------------19.73%684.85万-19.73%684.85万----
-其中:坏账准备 ---------1.51%-37.17万-1.51%-37.17万------------5.01%-36.62万5.01%-36.62万----
-其他应收款 145.40%1,208.1万101.12%898.8万1,122.65%323.94万1,122.65%323.94万-12.30%594.9万55.45%492.3万45.71%446.9万-70.00%26.5万-70.00%26.5万70.56%678.3万
存货 -45.14%111.7万-57.01%97.8万3.61%186.73万3.61%186.73万83.57%166.5万97.48%203.6万146.48%227.5万27.04%180.23万27.04%180.23万-39.05%90.7万
预付费用 --------80.03%114.21万80.03%114.21万-------------53.18%63.44万-53.18%63.44万----
受限制现金 --------2.81%43.95万2.81%43.95万------------1.85%42.75万1.85%42.75万----
税项资产 -56.20%30万-50.15%33.8万-51.65%32.47万-51.65%32.47万-56.58%26.4万11.56%68.5万11.51%67.8万3.10%67.15万3.10%67.15万-8.71%60.8万
递延资产 --------74.40%411.36万74.40%411.36万------------23.37%235.87万23.37%235.87万----
流动资产合计 17.16%4,821.2万32.55%5,322.7万14.91%4,045.61万14.91%4,045.61万12.27%3,873万25.32%4,115.1万9.47%4,015.7万-3.54%3,520.67万-3.54%3,520.67万-22.35%3,449.8万
非流动资产
物业厂房及设备净额 152.28%492.7万72.27%307.5万67.20%325.4万67.20%325.4万14.08%240.7万-19.13%195.3万-32.77%178.5万-26.60%194.61万-26.60%194.61万2.23%211万
-物业、厂房及设备 152.28%492.7万72.27%307.5万21.05%744.54万21.05%744.54万14.08%240.7万-19.13%195.3万-32.77%178.5万7.68%615.06万7.68%615.06万2.23%211万
-累计折旧 --------0.31%-419.14万0.31%-419.14万-------------37.37%-420.45万-37.37%-420.45万----
投资总额 -30.95%1,288.2万-27.69%1,304.4万-29.58%1,290.52万-29.58%1,290.52万30.12%1,841.7万31.74%1,865.5万25.74%1,803.8万26.79%1,832.65万26.79%1,832.65万124.99%1,415.4万
-长期股权投资 -20.71%678.7万-12.51%694.9万-17.27%681万-17.27%681万3.26%832.2万6.12%856万-3.73%794.3万1.25%823.13万1.25%823.13万--805.9万
-金融资产投资 ---------39.62%609.53万-39.62%609.53万------------59.64%1,009.53万59.64%1,009.53万----
-其中:可供出售证券 ---------39.62%609.53万-39.62%609.53万------------59.64%1,009.53万59.64%1,009.53万----
-其他投资 -39.62%609.5万-39.62%609.5万--------65.63%1,009.5万65.63%1,009.5万65.63%1,009.5万---------3.12%609.5万
长期应收账款及其他应收款 -19.49%135.5万-15.66%135.2万15.30%184.25万15.30%184.25万83.83%167.1万85.15%168.3万66.98%160.3万3.49%159.81万3.49%159.81万--90.9万
非流动递延所得税资产 50.33%23万61.22%23.7万70.81%23.67万70.81%23.67万21.31%14.8万25.41%15.3万25.64%14.7万18.28%13.86万18.28%13.86万29.79%12.2万
非流动资产合计 -13.59%1,939.4万-17.92%1,770.8万-17.13%1,823.85万-17.13%1,823.85万30.92%2,264.3万27.47%2,244.4万19.33%2,157.3万17.28%2,200.93万17.28%2,200.93万101.81%1,729.5万
总资产 6.31%6,760.6万14.91%7,093.5万2.58%5,869.46万2.58%5,869.46万18.50%6,137.3万26.07%6,359.5万12.73%6,173万3.53%5,721.6万3.53%5,721.6万-2.27%5,179.3万
负债
流动负债
金融负债 150.85%88.8万9.86%53.5万8.85%66.74万8.85%66.74万-69.35%22.1万-50.28%35.4万-30.33%48.7万-1.78%61.32万-1.78%61.32万227.73%72.1万
-短期借款及资本租赁负债 150.85%88.8万9.86%53.5万8.85%66.74万8.85%66.74万-69.35%22.1万-50.28%35.4万-30.33%48.7万-1.78%61.32万-1.78%61.32万227.73%72.1万
-其中:资本租赁负债 150.85%88.8万9.86%53.5万8.85%66.74万8.85%66.74万-69.35%22.1万-50.28%35.4万-30.33%48.7万-1.78%61.32万-1.78%61.32万227.73%72.1万
应付款项 -23.16%908.3万30.61%1,508.8万0.49%679.54万0.49%679.54万125.46%1,000.6万289.07%1,182万167.28%1,155.2万71.58%676.25万71.58%676.25万-9.00%443.8万
-应付账款 -9.17%369.5万54.07%855.1万-10.38%336.1万-10.38%336.1万114.45%381.3万232.90%406.8万159.22%555万74.49%375.03万74.49%375.03万-29.78%177.8万
-应交税费 145.00%44.1万336.30%63.7万257.35%62.65万257.35%62.65万-19.11%39.8万328.57%18万-29.13%14.6万7.94%17.53万7.94%17.53万12.33%49.2万
-其他应付款 -34.67%494.7万0.75%590万-1.02%280.79万-1.02%280.79万167.30%579.5万326.83%757.2万196.51%585.6万74.09%283.68万74.09%283.68万13.69%216.8万
现行拨备 ----------------------------0.00%78.25万0.00%78.25万----
应计及递延所得 73.95%1,398.4万46.71%1,236万10.45%780.51万10.45%780.51万47.13%646.5万64.36%803.9万39.51%842.5万37.43%706.63万37.43%706.63万2.21%439.4万
流动负债合计 18.51%2,395.5万36.74%2,798.3万0.29%1,526.79万0.29%1,526.79万74.73%1,669.2万133.92%2,021.3万85.03%2,046.4万45.14%1,522.45万45.14%1,522.45万1.67%955.3万
非流动负债
非流动金融负债 206.04%192.5万217.25%90.1万193.67%97.55万193.67%97.55万34.99%54.4万6.97%62.9万-62.92%28.4万-54.56%33.22万-54.56%33.22万-9.44%40.3万
-长期借款及资本租赁 206.04%192.5万217.25%90.1万193.67%97.55万193.67%97.55万34.99%54.4万6.97%62.9万-62.92%28.4万-54.56%33.22万-54.56%33.22万-9.44%40.3万
-其中:长期资本租赁负债 206.04%192.5万217.25%90.1万193.67%97.55万193.67%97.55万34.99%54.4万6.97%62.9万-62.92%28.4万-54.56%33.22万-54.56%33.22万-9.44%40.3万
长期养老金及其他退休后福利计划 -29.93%21.3万-25.17%22万-19.79%22.02万-19.79%22.02万0.00%29.4万3.40%30.4万3.52%29.4万-17.27%27.45万-17.27%27.45万9.29%29.4万
长期应计及递延收入 124.43%58.8万172.93%36.3万127.20%105.99万127.20%105.99万--54.4万--26.2万--13.3万-38.88%46.65万-38.88%46.65万----
非流动负债合计 128.12%272.6万108.72%148.4万110.17%225.57万110.17%225.57万98.28%138.2万35.49%119.5万-32.29%71.1万-41.23%107.33万-41.23%107.33万-2.38%69.7万
负债总额 24.63%2,668.1万39.16%2,946.7万7.52%1,752.36万7.52%1,752.36万76.33%1,807.4万124.80%2,140.8万74.86%2,117.5万32.33%1,629.78万32.33%1,629.78万1.38%1,025万
所有者权益
股本 0.00%4,140万0.00%4,140万0.22%4,139.96万0.22%4,139.96万0.22%4,140万0.22%4,140万0.22%4,140万0.00%4,131万0.00%4,131万0.00%4,131万
-普通股 0.00%4,140万0.00%4,140万0.22%4,139.96万0.22%4,139.96万0.22%4,140万0.22%4,140万0.22%4,140万0.00%4,131万0.00%4,131万0.00%4,131万
留存收益 1.18%1,072.2万8.49%1,052.5万-7.24%1,028.46万-7.24%1,028.46万14.04%1,238.6万4.06%1,059.7万-21.73%970.1万-11.14%1,108.73万-11.14%1,108.73万-12.62%1,086.1万
其他储备 -13.13%-1,137.3万1.39%-1,064.8万78.54%-1,071.67万78.54%-1,071.67万78.20%-1,070.9万79.52%-1,005.3万78.21%-1,079.8万-1.15%-4,992.69万-1.15%-4,992.69万-339.25%-4,913万
其他股本权益 ----------------------------0.00%3,820.52万0.00%3,820.52万--3,820.5万
股东权益 -2.85%4,074.9万2.42%4,127.7万0.72%4,096.75万0.72%4,096.75万4.44%4,307.7万3.25%4,194.4万-4.84%4,030.3万-4.59%4,067.56万-4.59%4,067.56万-3.07%4,124.6万
非控制性权益 -27.57%17.6万-24.21%19.1万-16.17%20.35万-16.17%20.35万-25.25%22.2万-18.46%24.3万-16.00%25.2万-23.05%24.27万-23.05%24.27万-10.54%29.7万
总权益 -2.99%4,092.5万2.25%4,146.8万0.62%4,117.1万0.62%4,117.1万4.23%4,329.9万3.09%4,218.7万-4.91%4,055.5万-4.73%4,091.83万-4.73%4,091.83万-3.13%4,154.3万
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。

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