马来西亚市场个股详情

SUNWAY (5211)

添加自选
  • 5.300
  • +0.060+1.15%
延时15分钟行情未开盘 05/28 17:00 (北京)
358.30亿总市值3.41市盈率TTM

5211 SUNWAY

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
69.90%86.91亿
52.82%69.03亿
52.82%69.03亿
49.39%68.51亿
75.20%59.84亿
52.37%51.16亿
57.49%45.17亿
57.49%45.17亿
35.13%45.86亿
48.83%34.15亿
-现金及现金等价物
82.82%84.33亿
66.18%66.41亿
66.18%66.41亿
57.65%65.21亿
87.49%54.66亿
72.75%46.13亿
95.63%39.96亿
95.63%39.96亿
63.28%41.36亿
36.16%29.16亿
-其中:现金
82.82%84.33亿
-21.64%5.26亿
-21.64%5.26亿
57.65%65.21亿
87.49%54.66亿
72.75%46.13亿
9.42%6.71亿
9.42%6.71亿
63.28%41.36亿
36.16%29.16亿
-其中:现金等价物
----
83.91%61.15亿
83.91%61.15亿
----
----
----
132.65%33.25亿
132.65%33.25亿
----
----
-短期投资
-48.65%2.58亿
-49.70%2.62亿
-49.70%2.62亿
-26.47%3.31亿
3.52%5.17亿
-26.81%5.03亿
-36.92%5.21亿
-36.92%5.21亿
-47.73%4.5亿
225.73%5亿
应收款项
60.40%56.77亿
20.37%43.09亿
20.37%43.09亿
11.10%40.82亿
19.81%43.98亿
9.86%35.39亿
16.50%35.79亿
16.50%35.79亿
21.10%36.74亿
33.21%36.71亿
-应收账款净额
58.34%50.65亿
-0.52%23.87亿
-0.52%23.87亿
12.53%37.08亿
21.55%40.01亿
13.32%31.99亿
25.61%24亿
25.61%24亿
26.07%32.95亿
46.92%32.92亿
-其他应收款
79.80%6.12亿
62.85%19.22亿
62.85%19.22亿
-1.36%3.74亿
4.72%3.97亿
-14.60%3.4亿
1.51%11.8亿
1.51%11.8亿
-9.85%3.79亿
-26.44%3.79亿
融资租赁应收款
----
-39.35%170.9万
-39.35%170.9万
----
----
----
13.13%281.8万
13.13%281.8万
----
----
存货
-10.75%37.26亿
-0.46%41.05亿
-0.46%41.05亿
11.84%41.65亿
25.63%45.39亿
19.75%41.74亿
20.04%41.24亿
20.04%41.24亿
5.62%37.24亿
8.47%36.13亿
预付费用
----
17.00%3.23亿
17.00%3.23亿
----
----
----
12.95%2.76亿
12.95%2.76亿
----
----
受限制现金
----
-56.54%1.48亿
-56.54%1.48亿
----
----
----
33.76%3.4亿
33.76%3.4亿
----
----
税项资产
61.27%1.01亿
14.02%6,468.8万
14.02%6,468.8万
-18.89%6,345.3万
12.22%7,028.3万
11.51%6,270.9万
5.90%5,673.4万
5.90%5,673.4万
29.47%7,823.1万
3.69%6,262.9万
套期保值资产
76.86%290.4万
-99.76%1.8万
-99.76%1.8万
-30.53%19.8万
-99.52%13.7万
-90.18%164.2万
-45.71%758.1万
-45.71%758.1万
-98.42%28.5万
-3.49%2,882.3万
流动资产合计
41.14%181.98亿
22.86%158.54亿
22.86%158.54亿
25.69%151.62亿
38.93%149.92亿
27.19%128.93亿
29.75%129.04亿
29.75%129.04亿
20.24%120.62亿
27.37%107.91亿
非流动资产
物业厂房及设备净额
267.60%54.32亿
18.69%17.52亿
18.69%17.52亿
37.35%17.14亿
21.64%14.99亿
8.88%14.78亿
8.38%14.76亿
8.38%14.76亿
-2.89%12.48亿
-2.98%12.33亿
-物业、厂房及设备
-6.20%396.6万
13.24%35.42亿
13.24%35.42亿
-6.03%409.7万
-5.92%416.3万
-5.86%422.8万
3.97%31.28亿
3.97%31.28亿
-5.67%436万
-5.61%442.5万
-累计折旧
----
-8.37%-17.9亿
-8.37%-17.9亿
----
----
----
-0.32%-16.51亿
-0.32%-16.51亿
----
----
投资物业
44.35%41.11亿
49.14%41.07亿
49.14%41.07亿
34.92%38.21亿
2.71%28.95亿
6.32%28.48亿
3.37%27.54亿
3.37%27.54亿
12.65%28.32亿
12.17%28.19亿
生物资产
51.90%60万
17.17%54.6万
17.17%54.6万
-27.35%34万
16.22%39.4万
25.80%39.5万
29.09%46.6万
29.09%46.6万
76.60%46.8万
15.70%33.9万
投资总额
-45.67%49.84亿
2.63%90.98亿
2.63%90.98亿
-13.08%85.95亿
-9.27%91.57亿
-9.98%91.75亿
-10.46%88.64亿
-10.46%88.64亿
3.09%98.88亿
-1.93%100.92亿
-长期股权投资
-49.08%44.85亿
-2.30%85.85亿
-2.30%85.85亿
-17.07%80.77亿
-11.42%88.1亿
-12.49%88.09亿
-10.31%87.86亿
-10.31%87.86亿
2.47%97.39亿
4.32%99.45亿
-金融资产投资
----
560.26%5.13亿
560.26%5.13亿
----
----
----
-24.47%7,770.4万
-24.47%7,770.4万
----
----
-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
----
-90.94%430.3万
-90.94%430.3万
----
----
----
-43.71%4,750.5万
-43.71%4,750.5万
----
----
-其中:可供出售证券
----
1,584.65%5.09亿
1,584.65%5.09亿
----
----
----
63.33%3,019.9万
63.33%3,019.9万
----
----
-其他投资
36.24%4.99亿
559.24%5.13亿
559.24%5.13亿
248.37%5.18亿
135.68%3.48亿
188.95%3.66亿
--7,782.5万
--7,782.5万
69.74%1.49亿
-80.54%1.48亿
长期应收账款及其他应收款
45.98%43.91亿
51.67%42.97亿
51.67%42.97亿
86.28%34.03亿
59.52%30.28亿
55.42%30.08亿
67.39%28.33亿
67.39%28.33亿
12.04%18.27亿
-17.39%18.98亿
金融资产
--340.9万
----
----
----
----
----
--0
--0
--0
-36.74%1,345.4万
商誉及其他无形资产
2,122.49%98.19亿
6.68%4.72亿
6.68%4.72亿
-2.37%4.43亿
-2.58%4.42亿
-2.49%4.42亿
-2.60%4.43亿
-2.60%4.43亿
-0.24%4.53亿
2.23%4.54亿
-商誉
2,406.63%97.24亿
5.89%4.11亿
5.89%4.11亿
0.00%3.88亿
0.00%3.88亿
0.00%3.88亿
-0.08%3.88亿
-0.08%3.88亿
-0.08%3.88亿
2.59%3.88亿
-其他无形资产
76.41%9,503.9万
12.30%6,138.8万
12.30%6,138.8万
-16.46%5,462.1万
-17.76%5,413.1万
-17.34%5,387.3万
-17.38%5,466.6万
-17.38%5,466.6万
-1.15%6,538.4万
0.13%6,582.1万
非流动递延所得税资产
12.14%1.06亿
-2.56%9,147.2万
-2.56%9,147.2万
38.85%1.07亿
22.39%1.03亿
4.47%9,424.5万
8.65%9,387.9万
8.65%9,387.9万
3.61%7,677.9万
20.63%8,379.2万
其他非流动资产
43.09%32.53亿
47.45%31.7亿
47.45%31.7亿
1.55%24.67亿
-9.63%22.28亿
-9.19%22.73亿
-13.03%21.5亿
-13.03%21.5亿
1.69%24.29亿
34.71%24.66亿
非流动资产合计
66.17%321亿
23.50%229.88亿
23.50%229.88亿
9.57%205.49亿
1.54%193.53亿
0.39%193.18亿
-0.13%186.14亿
-0.13%186.14亿
4.45%187.54亿
1.72%190.59亿
总资产
56.15%502.97亿
23.24%388.42亿
23.24%388.42亿
15.88%357.1亿
15.06%343.45亿
9.63%322.11亿
10.26%315.18亿
10.26%315.18亿
10.11%308.17亿
9.71%298.5亿
负债
流动负债
金融负债
29.11%86.94亿
48.07%90.29亿
48.07%90.29亿
14.92%65.48亿
-1.61%65.47亿
-1.00%67.34亿
0.60%60.98亿
0.60%60.98亿
0.11%56.98亿
37.18%66.54亿
-金融或其他衍生品投资负债
-72.71%2,479.4万
72.54%1.55亿
72.54%1.55亿
154.41%1.63亿
9,015.45%1.59亿
4,226.14%9,084.9万
921.07%9,002.8万
921.07%9,002.8万
4,422.08%6,389.7万
-25.15%174.1万
-短期借款及资本租赁负债
30.50%86.69亿
47.70%88.74亿
47.70%88.74亿
13.33%63.85亿
-3.97%63.88亿
-2.31%66.43亿
-0.74%60.08亿
-0.74%60.08亿
-0.99%56.34亿
37.21%66.52亿
-其中:短期借款
30.57%86.28亿
47.84%88.28亿
47.84%88.28亿
13.16%63.43亿
-4.14%63.49亿
-2.38%66.07亿
-0.76%59.71亿
-0.76%59.71亿
-0.96%56.05亿
37.43%66.23亿
-其中:资本租赁负债
17.57%4,153.8万
25.08%4,560.4万
25.08%4,560.4万
48.23%4,191.4万
32.85%3,968.2万
14.80%3,533.1万
2.95%3,646.1万
2.95%3,646.1万
-6.12%2,827.6万
0.95%2,986.9万
应付款项
67.83%66.09亿
53.64%45.75亿
53.64%45.75亿
70.65%55.41亿
64.28%49.8亿
28.77%39.38亿
28.15%29.78亿
28.15%29.78亿
12.23%32.47亿
13.48%30.32亿
-应付账款
67.40%64.67亿
43.68%34.63亿
43.68%34.63亿
69.16%53.61亿
63.92%48.56亿
28.68%38.63亿
58.77%24.11亿
58.77%24.11亿
14.59%31.69亿
15.02%29.62亿
-应交税费
89.60%1.42亿
113.80%1.28亿
113.80%1.28亿
131.31%1.8亿
79.69%1.24亿
33.78%7,506.8万
-19.23%5,975.8万
-19.23%5,975.8万
-38.96%7,799万
-27.72%6,922.3万
-应付股息
----
--1.41亿
--1.41亿
----
----
----
--0
--0
----
----
-其他应付款
----
66.04%8.42亿
66.04%8.42亿
----
----
----
-30.62%5.07亿
-30.62%5.07亿
----
----
应计及递延所得
52.11%1.09亿
25.55%11.9亿
25.55%11.9亿
207.51%1.15亿
209.46%1.03亿
72.49%7,133.4万
10.63%9.47亿
10.63%9.47亿
2.66%3,729.2万
-6.96%3,320.3万
流动负债合计
43.46%154.12亿
47.60%147.94亿
47.60%147.94亿
35.86%122.03亿
19.66%116.3亿
8.50%107.43亿
8.46%100.23亿
8.46%100.23亿
4.19%89.82亿
28.60%97.19亿
非流动负债
非流动金融负债
56.74%77.89亿
20.40%62.81亿
20.40%62.81亿
17.01%63.11亿
58.26%58.64亿
28.23%49.69亿
30.51%52.17亿
30.51%52.17亿
9.54%53.94亿
-30.35%37.05亿
-长期借款及资本租赁
63.63%77.66亿
25.34%62.57亿
25.34%62.57亿
22.60%61.63亿
66.27%56.85亿
32.19%47.46亿
34.46%49.92亿
34.46%49.92亿
8.33%50.27亿
-32.14%34.19亿
-其中:长期借款
65.21%76.81亿
25.82%61.71亿
25.82%61.71亿
23.10%60.78亿
67.38%55.97亿
32.40%46.49亿
35.00%49.04亿
35.00%49.04亿
8.51%49.37亿
-32.48%33.44亿
-其中:长期资本租赁负债
-12.03%8,515.7万
-1.37%8,676.3万
-1.37%8,676.3万
-4.88%8,498.5万
16.93%8,755万
22.83%9,680.1万
9.71%8,796.6万
9.71%8,796.6万
-0.52%8,934.3万
-12.46%7,487.3万
-衍生品负债
-89.75%2,286.6万
-89.56%2,343.5万
-89.56%2,343.5万
-59.52%1.49亿
-37.48%1.79亿
-21.67%2.23亿
-21.01%2.25亿
-21.01%2.25亿
29.22%3.67亿
1.45%2.86亿
长期应付账款及其他应付款
----
199.97%5.64亿
199.97%5.64亿
----
----
----
5.49%1.88亿
5.49%1.88亿
----
----
非流动递延所得税负债
61.77%2.45亿
36.54%2.07亿
36.54%2.07亿
0.39%1.57亿
-4.48%1.52亿
-7.83%1.52亿
-8.95%1.52亿
-8.95%1.52亿
-6.73%1.56亿
-4.72%1.59亿
长期应计及递延收入
----
--0
--0
----
----
----
-2.94%9.9万
-2.94%9.9万
----
----
其他非流动负债
194.36%5.59亿
-1.60%2.13亿
-1.60%2.13亿
34.91%2.46亿
41.41%2.57亿
6.58%1.9亿
--2.17亿
--2.17亿
-7.88%1.82亿
-17.69%1.82亿
非流动负债合计
61.81%85.93亿
26.91%70.52亿
26.91%70.52亿
17.13%67.14亿
55.04%62.72亿
25.91%53.1亿
27.97%55.56亿
27.97%55.56亿
8.37%57.32亿
-29.12%40.46亿
负债总额
49.53%240.05亿
40.22%218.45亿
40.22%218.45亿
28.57%189.18亿
30.06%179.02亿
13.70%160.54亿
14.69%155.79亿
14.69%155.79亿
5.78%147.14亿
3.77%137.65亿
所有者权益
股本
5.59%79.59亿
5.59%79.59亿
5.59%79.59亿
2.83%77.33亿
3.49%77.33亿
4.33%75.38亿
5.59%75.38亿
5.59%75.38亿
16.37%75.2亿
15.63%74.72亿
-普通股
12.91%79.59亿
12.91%79.59亿
12.91%79.59亿
10.72%72.44亿
11.54%72.44亿
12.83%70.49亿
14.41%70.49亿
14.41%70.49亿
19.29%65.43亿
18.42%64.95亿
-优先股
----
--0
--0
-50.00%4.89亿
-50.00%4.89亿
-50.00%4.89亿
-50.00%4.89亿
-50.00%4.89亿
0.00%9.78亿
0.00%9.78亿
留存收益
108.50%170.46亿
9.57%87.52亿
9.57%87.52亿
--85.12亿
10.34%81.8亿
11.80%81.75亿
--79.87亿
--79.87亿
----
9.44%74.13亿
减:库存股
0.00%7,433.5万
0.00%7,433.5万
0.00%7,433.5万
0.00%7,433.5万
0.00%7,433.5万
0.00%7,433.5万
0.00%7,433.5万
0.00%7,433.5万
0.00%7,433.5万
0.00%7,433.5万
固定资产重估价值准备
28.90%3,464.7万
29.95%3,332.9万
29.95%3,332.9万
--3,150.2万
-1.55%2,905.5万
-7.88%2,688万
--2,564.8万
--2,564.8万
----
14.86%2,951.3万
其他储备
-33.94%-6.33亿
8.62%81.21亿
8.62%81.21亿
-106.89%-5.01亿
-33.73%-4.84亿
-50.87%-4.72亿
11.01%74.76亿
11.01%74.76亿
2,102.28%72.75亿
12.37%-3.62亿
其他股本权益
----
0.00%5,165.4万
0.00%5,165.4万
----
----
----
0.00%5,165.4万
0.00%5,165.4万
----
----
股东权益
60.15%243.32亿
7.11%160.56亿
7.11%160.56亿
6.66%157.01亿
6.25%153.83亿
7.15%151.93亿
8.24%149.91亿
8.24%149.91亿
13.19%147.21亿
13.34%144.79亿
非控制性权益
103.34%19.61亿
-0.73%9.4亿
-0.73%9.4亿
-20.96%10.92亿
-34.07%10.59亿
-10.89%9.65亿
-17.63%9.47亿
-17.63%9.47亿
29.06%13.81亿
37.37%16.06亿
总权益
62.73%262.93亿
6.64%169.97亿
6.64%169.97亿
4.29%167.93亿
2.22%164.42亿
5.87%161.57亿
6.25%159.38亿
6.25%159.38亿
14.39%161.02亿
15.36%160.85亿
会计准则
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(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 69.90%86.91亿52.82%69.03亿52.82%69.03亿49.39%68.51亿75.20%59.84亿52.37%51.16亿57.49%45.17亿57.49%45.17亿35.13%45.86亿48.83%34.15亿
-现金及现金等价物 82.82%84.33亿66.18%66.41亿66.18%66.41亿57.65%65.21亿87.49%54.66亿72.75%46.13亿95.63%39.96亿95.63%39.96亿63.28%41.36亿36.16%29.16亿
-其中:现金 82.82%84.33亿-21.64%5.26亿-21.64%5.26亿57.65%65.21亿87.49%54.66亿72.75%46.13亿9.42%6.71亿9.42%6.71亿63.28%41.36亿36.16%29.16亿
-其中:现金等价物 ----83.91%61.15亿83.91%61.15亿------------132.65%33.25亿132.65%33.25亿--------
-短期投资 -48.65%2.58亿-49.70%2.62亿-49.70%2.62亿-26.47%3.31亿3.52%5.17亿-26.81%5.03亿-36.92%5.21亿-36.92%5.21亿-47.73%4.5亿225.73%5亿
应收款项 60.40%56.77亿20.37%43.09亿20.37%43.09亿11.10%40.82亿19.81%43.98亿9.86%35.39亿16.50%35.79亿16.50%35.79亿21.10%36.74亿33.21%36.71亿
-应收账款净额 58.34%50.65亿-0.52%23.87亿-0.52%23.87亿12.53%37.08亿21.55%40.01亿13.32%31.99亿25.61%24亿25.61%24亿26.07%32.95亿46.92%32.92亿
-其他应收款 79.80%6.12亿62.85%19.22亿62.85%19.22亿-1.36%3.74亿4.72%3.97亿-14.60%3.4亿1.51%11.8亿1.51%11.8亿-9.85%3.79亿-26.44%3.79亿
融资租赁应收款 -----39.35%170.9万-39.35%170.9万------------13.13%281.8万13.13%281.8万--------
存货 -10.75%37.26亿-0.46%41.05亿-0.46%41.05亿11.84%41.65亿25.63%45.39亿19.75%41.74亿20.04%41.24亿20.04%41.24亿5.62%37.24亿8.47%36.13亿
预付费用 ----17.00%3.23亿17.00%3.23亿------------12.95%2.76亿12.95%2.76亿--------
受限制现金 -----56.54%1.48亿-56.54%1.48亿------------33.76%3.4亿33.76%3.4亿--------
税项资产 61.27%1.01亿14.02%6,468.8万14.02%6,468.8万-18.89%6,345.3万12.22%7,028.3万11.51%6,270.9万5.90%5,673.4万5.90%5,673.4万29.47%7,823.1万3.69%6,262.9万
套期保值资产 76.86%290.4万-99.76%1.8万-99.76%1.8万-30.53%19.8万-99.52%13.7万-90.18%164.2万-45.71%758.1万-45.71%758.1万-98.42%28.5万-3.49%2,882.3万
流动资产合计 41.14%181.98亿22.86%158.54亿22.86%158.54亿25.69%151.62亿38.93%149.92亿27.19%128.93亿29.75%129.04亿29.75%129.04亿20.24%120.62亿27.37%107.91亿
非流动资产
物业厂房及设备净额 267.60%54.32亿18.69%17.52亿18.69%17.52亿37.35%17.14亿21.64%14.99亿8.88%14.78亿8.38%14.76亿8.38%14.76亿-2.89%12.48亿-2.98%12.33亿
-物业、厂房及设备 -6.20%396.6万13.24%35.42亿13.24%35.42亿-6.03%409.7万-5.92%416.3万-5.86%422.8万3.97%31.28亿3.97%31.28亿-5.67%436万-5.61%442.5万
-累计折旧 -----8.37%-17.9亿-8.37%-17.9亿-------------0.32%-16.51亿-0.32%-16.51亿--------
投资物业 44.35%41.11亿49.14%41.07亿49.14%41.07亿34.92%38.21亿2.71%28.95亿6.32%28.48亿3.37%27.54亿3.37%27.54亿12.65%28.32亿12.17%28.19亿
生物资产 51.90%60万17.17%54.6万17.17%54.6万-27.35%34万16.22%39.4万25.80%39.5万29.09%46.6万29.09%46.6万76.60%46.8万15.70%33.9万
投资总额 -45.67%49.84亿2.63%90.98亿2.63%90.98亿-13.08%85.95亿-9.27%91.57亿-9.98%91.75亿-10.46%88.64亿-10.46%88.64亿3.09%98.88亿-1.93%100.92亿
-长期股权投资 -49.08%44.85亿-2.30%85.85亿-2.30%85.85亿-17.07%80.77亿-11.42%88.1亿-12.49%88.09亿-10.31%87.86亿-10.31%87.86亿2.47%97.39亿4.32%99.45亿
-金融资产投资 ----560.26%5.13亿560.26%5.13亿-------------24.47%7,770.4万-24.47%7,770.4万--------
-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 -----90.94%430.3万-90.94%430.3万-------------43.71%4,750.5万-43.71%4,750.5万--------
-其中:可供出售证券 ----1,584.65%5.09亿1,584.65%5.09亿------------63.33%3,019.9万63.33%3,019.9万--------
-其他投资 36.24%4.99亿559.24%5.13亿559.24%5.13亿248.37%5.18亿135.68%3.48亿188.95%3.66亿--7,782.5万--7,782.5万69.74%1.49亿-80.54%1.48亿
长期应收账款及其他应收款 45.98%43.91亿51.67%42.97亿51.67%42.97亿86.28%34.03亿59.52%30.28亿55.42%30.08亿67.39%28.33亿67.39%28.33亿12.04%18.27亿-17.39%18.98亿
金融资产 --340.9万----------------------0--0--0-36.74%1,345.4万
商誉及其他无形资产 2,122.49%98.19亿6.68%4.72亿6.68%4.72亿-2.37%4.43亿-2.58%4.42亿-2.49%4.42亿-2.60%4.43亿-2.60%4.43亿-0.24%4.53亿2.23%4.54亿
-商誉 2,406.63%97.24亿5.89%4.11亿5.89%4.11亿0.00%3.88亿0.00%3.88亿0.00%3.88亿-0.08%3.88亿-0.08%3.88亿-0.08%3.88亿2.59%3.88亿
-其他无形资产 76.41%9,503.9万12.30%6,138.8万12.30%6,138.8万-16.46%5,462.1万-17.76%5,413.1万-17.34%5,387.3万-17.38%5,466.6万-17.38%5,466.6万-1.15%6,538.4万0.13%6,582.1万
非流动递延所得税资产 12.14%1.06亿-2.56%9,147.2万-2.56%9,147.2万38.85%1.07亿22.39%1.03亿4.47%9,424.5万8.65%9,387.9万8.65%9,387.9万3.61%7,677.9万20.63%8,379.2万
其他非流动资产 43.09%32.53亿47.45%31.7亿47.45%31.7亿1.55%24.67亿-9.63%22.28亿-9.19%22.73亿-13.03%21.5亿-13.03%21.5亿1.69%24.29亿34.71%24.66亿
非流动资产合计 66.17%321亿23.50%229.88亿23.50%229.88亿9.57%205.49亿1.54%193.53亿0.39%193.18亿-0.13%186.14亿-0.13%186.14亿4.45%187.54亿1.72%190.59亿
总资产 56.15%502.97亿23.24%388.42亿23.24%388.42亿15.88%357.1亿15.06%343.45亿9.63%322.11亿10.26%315.18亿10.26%315.18亿10.11%308.17亿9.71%298.5亿
负债
流动负债
金融负债 29.11%86.94亿48.07%90.29亿48.07%90.29亿14.92%65.48亿-1.61%65.47亿-1.00%67.34亿0.60%60.98亿0.60%60.98亿0.11%56.98亿37.18%66.54亿
-金融或其他衍生品投资负债 -72.71%2,479.4万72.54%1.55亿72.54%1.55亿154.41%1.63亿9,015.45%1.59亿4,226.14%9,084.9万921.07%9,002.8万921.07%9,002.8万4,422.08%6,389.7万-25.15%174.1万
-短期借款及资本租赁负债 30.50%86.69亿47.70%88.74亿47.70%88.74亿13.33%63.85亿-3.97%63.88亿-2.31%66.43亿-0.74%60.08亿-0.74%60.08亿-0.99%56.34亿37.21%66.52亿
-其中:短期借款 30.57%86.28亿47.84%88.28亿47.84%88.28亿13.16%63.43亿-4.14%63.49亿-2.38%66.07亿-0.76%59.71亿-0.76%59.71亿-0.96%56.05亿37.43%66.23亿
-其中:资本租赁负债 17.57%4,153.8万25.08%4,560.4万25.08%4,560.4万48.23%4,191.4万32.85%3,968.2万14.80%3,533.1万2.95%3,646.1万2.95%3,646.1万-6.12%2,827.6万0.95%2,986.9万
应付款项 67.83%66.09亿53.64%45.75亿53.64%45.75亿70.65%55.41亿64.28%49.8亿28.77%39.38亿28.15%29.78亿28.15%29.78亿12.23%32.47亿13.48%30.32亿
-应付账款 67.40%64.67亿43.68%34.63亿43.68%34.63亿69.16%53.61亿63.92%48.56亿28.68%38.63亿58.77%24.11亿58.77%24.11亿14.59%31.69亿15.02%29.62亿
-应交税费 89.60%1.42亿113.80%1.28亿113.80%1.28亿131.31%1.8亿79.69%1.24亿33.78%7,506.8万-19.23%5,975.8万-19.23%5,975.8万-38.96%7,799万-27.72%6,922.3万
-应付股息 ------1.41亿--1.41亿--------------0--0--------
-其他应付款 ----66.04%8.42亿66.04%8.42亿-------------30.62%5.07亿-30.62%5.07亿--------
应计及递延所得 52.11%1.09亿25.55%11.9亿25.55%11.9亿207.51%1.15亿209.46%1.03亿72.49%7,133.4万10.63%9.47亿10.63%9.47亿2.66%3,729.2万-6.96%3,320.3万
流动负债合计 43.46%154.12亿47.60%147.94亿47.60%147.94亿35.86%122.03亿19.66%116.3亿8.50%107.43亿8.46%100.23亿8.46%100.23亿4.19%89.82亿28.60%97.19亿
非流动负债
非流动金融负债 56.74%77.89亿20.40%62.81亿20.40%62.81亿17.01%63.11亿58.26%58.64亿28.23%49.69亿30.51%52.17亿30.51%52.17亿9.54%53.94亿-30.35%37.05亿
-长期借款及资本租赁 63.63%77.66亿25.34%62.57亿25.34%62.57亿22.60%61.63亿66.27%56.85亿32.19%47.46亿34.46%49.92亿34.46%49.92亿8.33%50.27亿-32.14%34.19亿
-其中:长期借款 65.21%76.81亿25.82%61.71亿25.82%61.71亿23.10%60.78亿67.38%55.97亿32.40%46.49亿35.00%49.04亿35.00%49.04亿8.51%49.37亿-32.48%33.44亿
-其中:长期资本租赁负债 -12.03%8,515.7万-1.37%8,676.3万-1.37%8,676.3万-4.88%8,498.5万16.93%8,755万22.83%9,680.1万9.71%8,796.6万9.71%8,796.6万-0.52%8,934.3万-12.46%7,487.3万
-衍生品负债 -89.75%2,286.6万-89.56%2,343.5万-89.56%2,343.5万-59.52%1.49亿-37.48%1.79亿-21.67%2.23亿-21.01%2.25亿-21.01%2.25亿29.22%3.67亿1.45%2.86亿
长期应付账款及其他应付款 ----199.97%5.64亿199.97%5.64亿------------5.49%1.88亿5.49%1.88亿--------
非流动递延所得税负债 61.77%2.45亿36.54%2.07亿36.54%2.07亿0.39%1.57亿-4.48%1.52亿-7.83%1.52亿-8.95%1.52亿-8.95%1.52亿-6.73%1.56亿-4.72%1.59亿
长期应计及递延收入 ------0--0-------------2.94%9.9万-2.94%9.9万--------
其他非流动负债 194.36%5.59亿-1.60%2.13亿-1.60%2.13亿34.91%2.46亿41.41%2.57亿6.58%1.9亿--2.17亿--2.17亿-7.88%1.82亿-17.69%1.82亿
非流动负债合计 61.81%85.93亿26.91%70.52亿26.91%70.52亿17.13%67.14亿55.04%62.72亿25.91%53.1亿27.97%55.56亿27.97%55.56亿8.37%57.32亿-29.12%40.46亿
负债总额 49.53%240.05亿40.22%218.45亿40.22%218.45亿28.57%189.18亿30.06%179.02亿13.70%160.54亿14.69%155.79亿14.69%155.79亿5.78%147.14亿3.77%137.65亿
所有者权益
股本 5.59%79.59亿5.59%79.59亿5.59%79.59亿2.83%77.33亿3.49%77.33亿4.33%75.38亿5.59%75.38亿5.59%75.38亿16.37%75.2亿15.63%74.72亿
-普通股 12.91%79.59亿12.91%79.59亿12.91%79.59亿10.72%72.44亿11.54%72.44亿12.83%70.49亿14.41%70.49亿14.41%70.49亿19.29%65.43亿18.42%64.95亿
-优先股 ------0--0-50.00%4.89亿-50.00%4.89亿-50.00%4.89亿-50.00%4.89亿-50.00%4.89亿0.00%9.78亿0.00%9.78亿
留存收益 108.50%170.46亿9.57%87.52亿9.57%87.52亿--85.12亿10.34%81.8亿11.80%81.75亿--79.87亿--79.87亿----9.44%74.13亿
减:库存股 0.00%7,433.5万0.00%7,433.5万0.00%7,433.5万0.00%7,433.5万0.00%7,433.5万0.00%7,433.5万0.00%7,433.5万0.00%7,433.5万0.00%7,433.5万0.00%7,433.5万
固定资产重估价值准备 28.90%3,464.7万29.95%3,332.9万29.95%3,332.9万--3,150.2万-1.55%2,905.5万-7.88%2,688万--2,564.8万--2,564.8万----14.86%2,951.3万
其他储备 -33.94%-6.33亿8.62%81.21亿8.62%81.21亿-106.89%-5.01亿-33.73%-4.84亿-50.87%-4.72亿11.01%74.76亿11.01%74.76亿2,102.28%72.75亿12.37%-3.62亿
其他股本权益 ----0.00%5,165.4万0.00%5,165.4万------------0.00%5,165.4万0.00%5,165.4万--------
股东权益 60.15%243.32亿7.11%160.56亿7.11%160.56亿6.66%157.01亿6.25%153.83亿7.15%151.93亿8.24%149.91亿8.24%149.91亿13.19%147.21亿13.34%144.79亿
非控制性权益 103.34%19.61亿-0.73%9.4亿-0.73%9.4亿-20.96%10.92亿-34.07%10.59亿-10.89%9.65亿-17.63%9.47亿-17.63%9.47亿29.06%13.81亿37.37%16.06亿
总权益 62.73%262.93亿6.64%169.97亿6.64%169.97亿4.29%167.93亿2.22%164.42亿5.87%161.57亿6.25%159.38亿6.25%159.38亿14.39%161.02亿15.36%160.85亿
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。

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