马来西亚市场个股详情

BENALEC (5190)

添加自选
  • 0.070
  • 0.0000.00%
延时15分钟行情午间休市 06/04 11:46 (北京)
7132.21万总市值0.00市盈率TTM

5190 BENALEC

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2026/03/31
(FY)2025/12/31
(Q4)2025/12/31
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
资产
流动资产
现金及现金等价物与短期投资
1.17%2,749.4万
-28.83%73.11万
-28.83%73.11万
2.53%2,701.1万
2.28%2,697万
2.90%2,717.6万
25.72%102.73万
25.72%102.73万
1.17%2,634.5万
1.84%2,636.9万
-现金及现金等价物
211.18%52.9万
-34.97%55.83万
-34.97%55.83万
16.09%60.6万
3.29%56.5万
-71.28%17万
31.34%85.86万
31.34%85.86万
-30.12%52.2万
-8.68%54.7万
-其中:现金
211.18%52.9万
-34.97%55.83万
-34.97%55.83万
16.09%60.6万
3.29%56.5万
-71.28%17万
31.34%85.86万
31.34%85.86万
-30.12%52.2万
-8.68%54.7万
-短期投资
-0.15%2,696.5万
2.41%17.28万
2.41%17.28万
2.25%2,640.5万
2.26%2,640.5万
4.60%2,700.6万
3.22%16.87万
3.22%16.87万
2.09%2,582.3万
2.09%2,582.2万
应收款项
8.91%4,803.6万
23.50%5,645.65万
23.50%5,645.65万
20.49%5,573.7万
-8.22%4,296万
-5.23%4,410.6万
-37.33%4,571.45万
-37.33%4,571.45万
-43.59%4,625.8万
-42.09%4,680.8万
-应收账款净额
14.33%1,201.1万
9.01%658.66万
9.01%658.66万
62.15%2,160.3万
-33.36%924.7万
-5.73%1,050.6万
1.37%604.22万
1.37%604.22万
-56.45%1,332.3万
-53.10%1,387.6万
-其中:应收账款
----
8.93%664.07万
8.93%664.07万
----
----
----
-1.26%609.63万
-1.26%609.63万
----
----
-其中:坏账准备
----
0.00%-5.41万
0.00%-5.41万
----
----
----
74.64%-5.41万
74.64%-5.41万
----
----
-其他应收款
7.22%3,602.5万
25.70%4,986.99万
25.70%4,986.99万
3.64%3,413.4万
2.37%3,371.3万
-5.08%3,360万
-40.77%3,967.23万
-40.77%3,967.23万
-35.94%3,293.5万
-35.73%3,293.2万
存货
-0.20%4.82亿
-0.20%4.82亿
-0.20%4.82亿
-0.96%4.82亿
-0.94%4.83亿
-0.75%4.83亿
-3.66%4.83亿
-3.66%4.83亿
-5.83%4.87亿
-4.93%4.87亿
预付费用
----
33.53%185.07万
33.53%185.07万
----
----
----
-74.27%138.6万
-74.27%138.6万
----
----
受限制现金
----
2.11%2,678.98万
2.11%2,678.98万
----
----
----
2.26%2,623.53万
2.26%2,623.53万
----
----
税项资产
-68.69%18.1万
-79.62%15.15万
-79.62%15.15万
-20.89%69.7万
-35.37%58.3万
-35.85%57.8万
-17.34%74.34万
-17.34%74.34万
-2.22%88.1万
101.34%90.2万
流动资产合计
0.52%5.57亿
1.78%5.68亿
1.78%5.68亿
0.94%5.66亿
-1.45%5.53亿
-1.01%5.54亿
-8.06%5.58亿
-8.06%5.58亿
-10.48%5.61亿
-9.42%5.61亿
非流动资产
物业厂房及设备净额
-14.69%3,316.6万
-9.07%3,417.14万
-9.07%3,417.14万
1.52%3,672.6万
9.93%3,775.5万
7.81%3,887.9万
-2.45%3,758.14万
-2.45%3,758.14万
-26.72%3,617.7万
-41.09%3,434.4万
-物业、厂房及设备
-14.69%3,316.6万
-20.21%1.26亿
-20.21%1.26亿
1.52%3,672.6万
9.93%3,775.5万
7.81%3,887.9万
-18.17%1.58亿
-18.17%1.58亿
-26.72%3,617.7万
-41.09%3,434.4万
-累计折旧
----
23.69%-9,186.72万
23.69%-9,186.72万
----
----
----
22.09%-1.2亿
22.09%-1.2亿
----
----
投资总额
-9.76%3.7万
-10.09%3.66万
-10.09%3.66万
-7.14%3.9万
-13.95%3.7万
5.13%4.1万
14.32%4.08万
14.32%4.08万
13.51%4.2万
19.44%4.3万
-长期股权投资
----
--0
--0
----
----
----
--0
--0
----
----
-金融资产投资
----
-10.09%3.66万
-10.09%3.66万
----
----
----
14.32%4.08万
14.32%4.08万
----
----
-其中:以公允价值计量且其变动计入当期损益的金融资产总额
----
-10.09%3.66万
-10.09%3.66万
----
----
----
14.32%4.08万
14.32%4.08万
----
----
-其他投资
-9.76%3.7万
-9.76%3.7万
-9.76%3.7万
-7.14%3.9万
-13.95%3.7万
5.13%4.1万
--4.1万
--4.1万
13.51%4.2万
19.44%4.3万
长期应收账款及其他应收款
--111.2万
--111.22万
--111.22万
----
----
----
----
----
----
----
非流动递延所得税资产
-10.39%2,092.3万
-10.39%2,092.29万
-10.39%2,092.29万
-3.54%2,334.9万
-3.54%2,334.9万
-3.54%2,334.9万
-3.54%2,334.94万
-3.54%2,334.94万
-0.71%2,420.6万
-0.71%2,420.6万
非流动资产合计
-11.29%5,523.8万
-7.76%5,624.32万
-7.76%5,624.32万
-0.51%6,011.4万
4.35%6,114.1万
3.25%6,226.9万
-2.86%6,097.16万
-2.86%6,097.16万
-18.11%6,042.5万
-29.16%5,859.3万
总资产
-0.67%6.13亿
0.84%6.24亿
0.84%6.24亿
0.80%6.26亿
-0.91%6.14亿
-0.59%6.17亿
-7.58%6.19亿
-7.58%6.19亿
-11.28%6.21亿
-11.75%6.2亿
负债
流动负债
金融负债
8.65%2,948.5万
-3.45%2,917.74万
-3.45%2,917.74万
-9.27%2,977.7万
-29.47%2,635.1万
-19.03%2,713.7万
-19.47%3,022.14万
-19.47%3,022.14万
-13.61%3,281.8万
-9.18%3,736.1万
-短期借款及资本租赁负债
8.65%2,948.5万
-3.45%2,917.74万
-3.45%2,917.74万
-9.27%2,977.7万
-29.47%2,635.1万
-19.03%2,713.7万
-19.47%3,022.14万
-19.47%3,022.14万
-13.61%3,281.8万
-9.18%3,736.1万
-其中:短期借款
9.15%2,583.9万
-1.11%2,557.45万
-1.11%2,557.45万
-7.91%2,620.1万
-30.48%2,283.1万
-18.00%2,367.3万
-21.80%2,586.1万
-21.80%2,586.1万
-15.17%2,845.1万
-3.25%3,284万
-其中:资本租赁负债
5.25%364.6万
-17.37%360.28万
-17.37%360.28万
-18.11%357.6万
-22.14%352万
-25.41%346.4万
-2.17%436.04万
-2.17%436.04万
-1.89%436.7万
-37.16%452.1万
应付款项
6.78%9,242.6万
5.58%8,911.99万
5.58%8,911.99万
6.59%9,522.6万
-4.65%8,232.9万
-7.73%8,655.4万
-11.29%8,440.69万
-11.29%8,440.69万
-3.27%8,933.5万
30.84%8,634.8万
-应付账款
6.77%9,241.8万
-21.52%2,528.49万
-21.52%2,528.49万
6.59%9,522.6万
-4.65%8,232.9万
-7.73%8,655.4万
-18.24%3,221.74万
-18.24%3,221.74万
-3.27%8,933.5万
30.84%8,634.8万
-应交税费
--8,000
--7,811
--7,811
--0
--0
--0
--0
--0
--0
--0
-其他应付款
----
22.30%6,382.71万
22.30%6,382.71万
----
----
----
-6.37%5,218.94万
-6.37%5,218.94万
----
----
现行拨备
----
--309.26万
--309.26万
----
----
----
----
----
----
----
应计及递延所得
----
82.79%902.79万
82.79%902.79万
0.00%4.2万
0.00%4.2万
0.00%4.2万
-30.23%493.9万
-30.23%493.9万
0.00%4.2万
0.00%4.2万
流动负债合计
7.19%1.22亿
9.07%1.3亿
9.07%1.3亿
2.33%1.25亿
-12.14%1.09亿
-10.70%1.14亿
-14.44%1.2亿
-14.44%1.2亿
-6.28%1.22亿
15.47%1.24亿
非流动负债
非流动金融负债
-26.93%1,244.5万
-8.45%1,353.08万
-8.45%1,353.08万
-7.12%1,491.7万
33.41%1,599万
30.24%1,703.1万
-49.08%1,477.98万
-49.08%1,477.98万
-47.00%1,606.1万
-66.77%1,198.6万
-长期借款及资本租赁
-26.93%1,244.5万
-8.45%1,353.08万
-8.45%1,353.08万
-7.12%1,491.7万
33.41%1,599万
30.24%1,703.1万
-49.08%1,477.98万
-49.08%1,477.98万
-47.00%1,606.1万
-66.77%1,198.6万
-其中:长期借款
-15.43%368.9万
-14.61%386.21万
-14.61%386.21万
-13.82%403.4万
-13.11%420.3万
-12.66%436.2万
-77.55%452.3万
-77.55%452.3万
-76.93%468.1万
-76.42%483.7万
-其中:长期资本租赁负债
-30.89%875.6万
-5.73%966.87万
-5.73%966.87万
-4.37%1,088.3万
64.88%1,178.7万
56.74%1,266.9万
15.50%1,025.68万
15.50%1,025.68万
13.71%1,138万
-54.04%714.9万
长期应付账款及其他应付款
13.27%5,378.8万
13.05%5,363.32万
13.05%5,363.32万
12.47%4,910.3万
9.25%4,900.2万
19.85%4,748.7万
-34.76%4,744.31万
-34.76%4,744.31万
-46.79%4,365.9万
-48.26%4,485.3万
非流动递延所得税负债
----
--0
--0
--0
--0
--0
--0
--0
--0
--0
长期应计及递延收入
-21.19%5,346.9万
-19.35%5,486.59万
-19.35%5,486.59万
-10.11%6,783.1万
-14.89%6,784.7万
-18.46%6,784.6万
-4.98%6,802.67万
-4.98%6,802.67万
7.54%7,546.4万
13.58%7,971.6万
非流动负债合计
-9.57%1.2亿
-6.31%1.22亿
-6.31%1.22亿
-2.47%1.32亿
-2.72%1.33亿
-2.60%1.32亿
-24.86%1.3亿
-24.86%1.3亿
-25.94%1.35亿
-29.23%1.37亿
负债总额
-1.82%2.42亿
1.05%2.52亿
1.05%2.52亿
-0.19%2.57亿
-7.20%2.42亿
-6.52%2.46亿
-20.21%2.5亿
-20.21%2.5亿
-17.75%2.57亿
-13.27%2.6亿
所有者权益
股本
0.00%3.92亿
0.00%3.92亿
0.00%3.92亿
0.00%3.92亿
0.00%3.92亿
0.00%3.92亿
0.00%3.92亿
0.00%3.92亿
0.00%3.92亿
0.00%3.92亿
-普通股
0.00%3.92亿
0.00%3.92亿
0.00%3.92亿
0.00%3.92亿
0.00%3.92亿
0.00%3.92亿
0.00%3.92亿
0.00%3.92亿
0.00%3.92亿
0.00%3.92亿
留存收益
0.26%1.48亿
2.24%1.48亿
2.24%1.48亿
1.59%1.46亿
12.20%1.51亿
11.76%1.47亿
9.59%1.45亿
9.59%1.45亿
22.12%1.44亿
1.10%1.34亿
减:库存股
0.00%1,270.3万
0.00%1,270.32万
0.00%1,270.32万
0.00%1,270.3万
0.00%1,270.3万
0.00%1,270.3万
0.00%1,270.32万
0.00%1,270.32万
0.00%1,270.3万
0.00%1,270.3万
其他储备
0.46%-1.51亿
0.13%-1.51亿
0.13%-1.51亿
2.76%-1.52亿
-1.90%-1.53亿
-1.06%-1.52亿
0.35%-1.51亿
0.35%-1.51亿
-46.04%-1.56亿
-40.07%-1.5亿
其他股本权益
----
----
----
----
----
---1,000
----
----
----
----
股东权益
0.29%3.76亿
0.93%3.76亿
0.93%3.76亿
1.79%3.74亿
3.72%3.77亿
3.85%3.75亿
3.67%3.73亿
3.67%3.73亿
-5.93%3.67亿
-10.24%3.63亿
非控制性权益
-18.67%-474.2万
-23.39%-471.88万
-23.39%-471.88万
-35.42%-439.3万
-9.96%-422.7万
-11.03%-399.6万
-19.90%-382.42万
-19.90%-382.42万
-11.52%-324.4万
-46.61%-384.4万
总权益
0.09%3.71亿
0.69%3.71亿
0.69%3.71亿
1.49%3.69亿
3.65%3.73亿
3.78%3.71亿
3.53%3.69亿
3.53%3.69亿
-6.06%3.64亿
-10.61%3.6亿
会计准则
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q1)2026/03/31(FY)2025/12/31(Q4)2025/12/31(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30
资产
流动资产
现金及现金等价物与短期投资 1.17%2,749.4万-28.83%73.11万-28.83%73.11万2.53%2,701.1万2.28%2,697万2.90%2,717.6万25.72%102.73万25.72%102.73万1.17%2,634.5万1.84%2,636.9万
-现金及现金等价物 211.18%52.9万-34.97%55.83万-34.97%55.83万16.09%60.6万3.29%56.5万-71.28%17万31.34%85.86万31.34%85.86万-30.12%52.2万-8.68%54.7万
-其中:现金 211.18%52.9万-34.97%55.83万-34.97%55.83万16.09%60.6万3.29%56.5万-71.28%17万31.34%85.86万31.34%85.86万-30.12%52.2万-8.68%54.7万
-短期投资 -0.15%2,696.5万2.41%17.28万2.41%17.28万2.25%2,640.5万2.26%2,640.5万4.60%2,700.6万3.22%16.87万3.22%16.87万2.09%2,582.3万2.09%2,582.2万
应收款项 8.91%4,803.6万23.50%5,645.65万23.50%5,645.65万20.49%5,573.7万-8.22%4,296万-5.23%4,410.6万-37.33%4,571.45万-37.33%4,571.45万-43.59%4,625.8万-42.09%4,680.8万
-应收账款净额 14.33%1,201.1万9.01%658.66万9.01%658.66万62.15%2,160.3万-33.36%924.7万-5.73%1,050.6万1.37%604.22万1.37%604.22万-56.45%1,332.3万-53.10%1,387.6万
-其中:应收账款 ----8.93%664.07万8.93%664.07万-------------1.26%609.63万-1.26%609.63万--------
-其中:坏账准备 ----0.00%-5.41万0.00%-5.41万------------74.64%-5.41万74.64%-5.41万--------
-其他应收款 7.22%3,602.5万25.70%4,986.99万25.70%4,986.99万3.64%3,413.4万2.37%3,371.3万-5.08%3,360万-40.77%3,967.23万-40.77%3,967.23万-35.94%3,293.5万-35.73%3,293.2万
存货 -0.20%4.82亿-0.20%4.82亿-0.20%4.82亿-0.96%4.82亿-0.94%4.83亿-0.75%4.83亿-3.66%4.83亿-3.66%4.83亿-5.83%4.87亿-4.93%4.87亿
预付费用 ----33.53%185.07万33.53%185.07万-------------74.27%138.6万-74.27%138.6万--------
受限制现金 ----2.11%2,678.98万2.11%2,678.98万------------2.26%2,623.53万2.26%2,623.53万--------
税项资产 -68.69%18.1万-79.62%15.15万-79.62%15.15万-20.89%69.7万-35.37%58.3万-35.85%57.8万-17.34%74.34万-17.34%74.34万-2.22%88.1万101.34%90.2万
流动资产合计 0.52%5.57亿1.78%5.68亿1.78%5.68亿0.94%5.66亿-1.45%5.53亿-1.01%5.54亿-8.06%5.58亿-8.06%5.58亿-10.48%5.61亿-9.42%5.61亿
非流动资产
物业厂房及设备净额 -14.69%3,316.6万-9.07%3,417.14万-9.07%3,417.14万1.52%3,672.6万9.93%3,775.5万7.81%3,887.9万-2.45%3,758.14万-2.45%3,758.14万-26.72%3,617.7万-41.09%3,434.4万
-物业、厂房及设备 -14.69%3,316.6万-20.21%1.26亿-20.21%1.26亿1.52%3,672.6万9.93%3,775.5万7.81%3,887.9万-18.17%1.58亿-18.17%1.58亿-26.72%3,617.7万-41.09%3,434.4万
-累计折旧 ----23.69%-9,186.72万23.69%-9,186.72万------------22.09%-1.2亿22.09%-1.2亿--------
投资总额 -9.76%3.7万-10.09%3.66万-10.09%3.66万-7.14%3.9万-13.95%3.7万5.13%4.1万14.32%4.08万14.32%4.08万13.51%4.2万19.44%4.3万
-长期股权投资 ------0--0--------------0--0--------
-金融资产投资 -----10.09%3.66万-10.09%3.66万------------14.32%4.08万14.32%4.08万--------
-其中:以公允价值计量且其变动计入当期损益的金融资产总额 -----10.09%3.66万-10.09%3.66万------------14.32%4.08万14.32%4.08万--------
-其他投资 -9.76%3.7万-9.76%3.7万-9.76%3.7万-7.14%3.9万-13.95%3.7万5.13%4.1万--4.1万--4.1万13.51%4.2万19.44%4.3万
长期应收账款及其他应收款 --111.2万--111.22万--111.22万----------------------------
非流动递延所得税资产 -10.39%2,092.3万-10.39%2,092.29万-10.39%2,092.29万-3.54%2,334.9万-3.54%2,334.9万-3.54%2,334.9万-3.54%2,334.94万-3.54%2,334.94万-0.71%2,420.6万-0.71%2,420.6万
非流动资产合计 -11.29%5,523.8万-7.76%5,624.32万-7.76%5,624.32万-0.51%6,011.4万4.35%6,114.1万3.25%6,226.9万-2.86%6,097.16万-2.86%6,097.16万-18.11%6,042.5万-29.16%5,859.3万
总资产 -0.67%6.13亿0.84%6.24亿0.84%6.24亿0.80%6.26亿-0.91%6.14亿-0.59%6.17亿-7.58%6.19亿-7.58%6.19亿-11.28%6.21亿-11.75%6.2亿
负债
流动负债
金融负债 8.65%2,948.5万-3.45%2,917.74万-3.45%2,917.74万-9.27%2,977.7万-29.47%2,635.1万-19.03%2,713.7万-19.47%3,022.14万-19.47%3,022.14万-13.61%3,281.8万-9.18%3,736.1万
-短期借款及资本租赁负债 8.65%2,948.5万-3.45%2,917.74万-3.45%2,917.74万-9.27%2,977.7万-29.47%2,635.1万-19.03%2,713.7万-19.47%3,022.14万-19.47%3,022.14万-13.61%3,281.8万-9.18%3,736.1万
-其中:短期借款 9.15%2,583.9万-1.11%2,557.45万-1.11%2,557.45万-7.91%2,620.1万-30.48%2,283.1万-18.00%2,367.3万-21.80%2,586.1万-21.80%2,586.1万-15.17%2,845.1万-3.25%3,284万
-其中:资本租赁负债 5.25%364.6万-17.37%360.28万-17.37%360.28万-18.11%357.6万-22.14%352万-25.41%346.4万-2.17%436.04万-2.17%436.04万-1.89%436.7万-37.16%452.1万
应付款项 6.78%9,242.6万5.58%8,911.99万5.58%8,911.99万6.59%9,522.6万-4.65%8,232.9万-7.73%8,655.4万-11.29%8,440.69万-11.29%8,440.69万-3.27%8,933.5万30.84%8,634.8万
-应付账款 6.77%9,241.8万-21.52%2,528.49万-21.52%2,528.49万6.59%9,522.6万-4.65%8,232.9万-7.73%8,655.4万-18.24%3,221.74万-18.24%3,221.74万-3.27%8,933.5万30.84%8,634.8万
-应交税费 --8,000--7,811--7,811--0--0--0--0--0--0--0
-其他应付款 ----22.30%6,382.71万22.30%6,382.71万-------------6.37%5,218.94万-6.37%5,218.94万--------
现行拨备 ------309.26万--309.26万----------------------------
应计及递延所得 ----82.79%902.79万82.79%902.79万0.00%4.2万0.00%4.2万0.00%4.2万-30.23%493.9万-30.23%493.9万0.00%4.2万0.00%4.2万
流动负债合计 7.19%1.22亿9.07%1.3亿9.07%1.3亿2.33%1.25亿-12.14%1.09亿-10.70%1.14亿-14.44%1.2亿-14.44%1.2亿-6.28%1.22亿15.47%1.24亿
非流动负债
非流动金融负债 -26.93%1,244.5万-8.45%1,353.08万-8.45%1,353.08万-7.12%1,491.7万33.41%1,599万30.24%1,703.1万-49.08%1,477.98万-49.08%1,477.98万-47.00%1,606.1万-66.77%1,198.6万
-长期借款及资本租赁 -26.93%1,244.5万-8.45%1,353.08万-8.45%1,353.08万-7.12%1,491.7万33.41%1,599万30.24%1,703.1万-49.08%1,477.98万-49.08%1,477.98万-47.00%1,606.1万-66.77%1,198.6万
-其中:长期借款 -15.43%368.9万-14.61%386.21万-14.61%386.21万-13.82%403.4万-13.11%420.3万-12.66%436.2万-77.55%452.3万-77.55%452.3万-76.93%468.1万-76.42%483.7万
-其中:长期资本租赁负债 -30.89%875.6万-5.73%966.87万-5.73%966.87万-4.37%1,088.3万64.88%1,178.7万56.74%1,266.9万15.50%1,025.68万15.50%1,025.68万13.71%1,138万-54.04%714.9万
长期应付账款及其他应付款 13.27%5,378.8万13.05%5,363.32万13.05%5,363.32万12.47%4,910.3万9.25%4,900.2万19.85%4,748.7万-34.76%4,744.31万-34.76%4,744.31万-46.79%4,365.9万-48.26%4,485.3万
非流动递延所得税负债 ------0--0--0--0--0--0--0--0--0
长期应计及递延收入 -21.19%5,346.9万-19.35%5,486.59万-19.35%5,486.59万-10.11%6,783.1万-14.89%6,784.7万-18.46%6,784.6万-4.98%6,802.67万-4.98%6,802.67万7.54%7,546.4万13.58%7,971.6万
非流动负债合计 -9.57%1.2亿-6.31%1.22亿-6.31%1.22亿-2.47%1.32亿-2.72%1.33亿-2.60%1.32亿-24.86%1.3亿-24.86%1.3亿-25.94%1.35亿-29.23%1.37亿
负债总额 -1.82%2.42亿1.05%2.52亿1.05%2.52亿-0.19%2.57亿-7.20%2.42亿-6.52%2.46亿-20.21%2.5亿-20.21%2.5亿-17.75%2.57亿-13.27%2.6亿
所有者权益
股本 0.00%3.92亿0.00%3.92亿0.00%3.92亿0.00%3.92亿0.00%3.92亿0.00%3.92亿0.00%3.92亿0.00%3.92亿0.00%3.92亿0.00%3.92亿
-普通股 0.00%3.92亿0.00%3.92亿0.00%3.92亿0.00%3.92亿0.00%3.92亿0.00%3.92亿0.00%3.92亿0.00%3.92亿0.00%3.92亿0.00%3.92亿
留存收益 0.26%1.48亿2.24%1.48亿2.24%1.48亿1.59%1.46亿12.20%1.51亿11.76%1.47亿9.59%1.45亿9.59%1.45亿22.12%1.44亿1.10%1.34亿
减:库存股 0.00%1,270.3万0.00%1,270.32万0.00%1,270.32万0.00%1,270.3万0.00%1,270.3万0.00%1,270.3万0.00%1,270.32万0.00%1,270.32万0.00%1,270.3万0.00%1,270.3万
其他储备 0.46%-1.51亿0.13%-1.51亿0.13%-1.51亿2.76%-1.52亿-1.90%-1.53亿-1.06%-1.52亿0.35%-1.51亿0.35%-1.51亿-46.04%-1.56亿-40.07%-1.5亿
其他股本权益 -----------------------1,000----------------
股东权益 0.29%3.76亿0.93%3.76亿0.93%3.76亿1.79%3.74亿3.72%3.77亿3.85%3.75亿3.67%3.73亿3.67%3.73亿-5.93%3.67亿-10.24%3.63亿
非控制性权益 -18.67%-474.2万-23.39%-471.88万-23.39%-471.88万-35.42%-439.3万-9.96%-422.7万-11.03%-399.6万-19.90%-382.42万-19.90%-382.42万-11.52%-324.4万-46.61%-384.4万
总权益 0.09%3.71亿0.69%3.71亿0.69%3.71亿1.49%3.69亿3.65%3.73亿3.78%3.71亿3.53%3.69亿3.53%3.69亿-6.06%3.64亿-10.61%3.6亿
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。

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