马来西亚市场个股详情

5278 RHONEMA

添加自选
  • 0.670
  • -0.010-1.47%
延时15分钟行情休市中 07/05 14:40 (北京)
1.48亿总市值16.75市盈率TTM

RHONEMA关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q2)2022/06/30
资产
流动资产
现金及现金等价物与短期投资
160.62%3,773.8万
30.96%2,441.52万
30.96%2,441.52万
-20.72%2,262.8万
-49.37%1,531.9万
-57.54%1,448万
-9.59%1,864.38万
-9.59%1,864.38万
67.27%2,854.2万
22.54%3,025.9万
-现金及现金等价物
160.62%3,773.8万
50.12%2,414.21万
50.12%2,414.21万
-20.72%2,262.8万
-49.37%1,531.9万
-57.54%1,448万
0.28%1,608.14万
0.28%1,608.14万
67.27%2,854.2万
22.54%3,025.9万
-其中:现金
----
50.94%2,360.2万
50.94%2,360.2万
----
----
----
0.27%1,563.68万
0.27%1,563.68万
----
----
-其中:现金等价物
----
21.48%54.01万
21.48%54.01万
----
----
----
0.88%44.46万
0.88%44.46万
----
----
-短期投资
----
-89.34%27.3万
-89.34%27.3万
----
----
----
-44.11%256.23万
-44.11%256.23万
----
----
应收款项
0.64%4,152.4万
13.59%3,680.75万
13.59%3,680.75万
31.09%4,379.3万
10.47%4,147.2万
19.38%4,125.9万
0.63%3,240.44万
0.63%3,240.44万
-8.91%3,340.8万
25.12%3,754.2万
-应收账款净额
0.64%4,152.4万
9.21%3,523.18万
9.21%3,523.18万
31.09%4,379.3万
10.47%4,147.2万
19.38%4,125.9万
0.55%3,225.99万
0.55%3,225.99万
-8.91%3,340.8万
25.12%3,754.2万
-其中:应收账款
----
7.89%3,555.3万
7.89%3,555.3万
----
----
----
1.49%3,295.32万
1.49%3,295.32万
----
----
-其中:坏账准备
----
53.68%-32.12万
53.68%-32.12万
----
----
----
-79.46%-69.33万
-79.46%-69.33万
----
----
-其他应收款
----
991.06%157.57万
991.06%157.57万
----
----
----
21.79%14.44万
21.79%14.44万
----
----
存货
-4.23%5,061.8万
-3.95%5,843.04万
-3.95%5,843.04万
26.07%6,228.4万
18.94%5,858.4万
43.50%5,285.4万
82.98%6,083.11万
82.98%6,083.11万
36.02%4,940.6万
42.09%4,925.5万
预付费用
----
137.40%1,311.75万
137.40%1,311.75万
----
----
----
-13.36%552.54万
-13.36%552.54万
----
----
税项资产
-11.11%48万
-14.87%38.69万
-14.87%38.69万
249.82%95.5万
183.94%77.8万
-19.16%54万
-43.14%45.45万
-43.14%45.45万
148.18%27.3万
134.19%27.4万
流动资产合计
19.45%1.3亿
12.98%1.33亿
12.98%1.33亿
16.15%1.3亿
-1.00%1.16亿
2.80%1.09亿
26.40%1.18亿
26.40%1.18亿
23.80%1.12亿
31.12%1.17亿
非流动资产
物业厂房及设备净额
-1.26%8,681.6万
-1.12%8,745.21万
-1.12%8,745.21万
-0.31%8,772.3万
-0.94%8,801.4万
-1.27%8,792.8万
-1.37%8,843.95万
-1.37%8,843.95万
-0.06%8,799.4万
2.56%8,885.1万
-物业、厂房及设备
-1.26%8,681.6万
1.40%1.14亿
1.40%1.14亿
-0.31%8,772.3万
-0.94%8,801.4万
-1.27%8,792.8万
1.73%1.13亿
1.73%1.13亿
-0.06%8,799.4万
2.56%8,885.1万
-累计折旧
----
-10.52%-2,691.69万
-10.52%-2,691.69万
----
----
----
-14.83%-2,435.58万
-14.83%-2,435.58万
----
----
投资物业
----
--0
--0
--0
-0.78%550.3万
-0.77%551.4万
-0.77%552.48万
-0.77%552.48万
-0.77%553.5万
-0.77%554.6万
生物资产
-29.10%247.3万
-24.94%270.24万
-24.94%270.24万
-15.71%300.9万
-6.59%328.6万
0.96%348.8万
6.93%360.03万
6.93%360.03万
18.72%357万
22.84%351.8万
投资总额
455.09%332.5万
4,665.08%333.76万
4,665.08%333.76万
827.69%60.3万
705.41%59.6万
709.46%59.9万
193.21%7万
193.21%7万
116.67%6.5万
131.25%7.4万
-长期股权投资
517.90%324.4万
--325.77万
--325.77万
--52.5万
--52.5万
--52.5万
--0
--0
----
----
-金融资产投资
9.46%8.1万
14.14%7.99万
14.14%7.99万
20.00%7.8万
-4.05%7.1万
0.00%7.4万
193.21%7万
193.21%7万
116.67%6.5万
131.25%7.4万
-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
9.46%8.1万
14.14%7.99万
14.14%7.99万
20.00%7.8万
-4.05%7.1万
0.00%7.4万
193.21%7万
193.21%7万
116.67%6.5万
131.25%7.4万
商誉及其他无形资产
0.00%394.1万
0.00%394.11万
0.00%394.11万
0.00%394.1万
0.00%394.1万
0.00%394.1万
0.00%394.11万
0.00%394.11万
0.00%394.1万
0.00%394.1万
-商誉
0.00%394.1万
0.00%394.11万
0.00%394.11万
0.00%394.1万
0.00%394.1万
0.00%394.1万
0.00%394.11万
0.00%394.11万
0.00%394.1万
0.00%394.1万
非流动资产合计
-4.84%9,655.5万
-4.08%9,743.32万
-4.08%9,743.32万
-5.77%9,527.6万
-0.58%1.01亿
-0.61%1.01亿
-0.96%1.02亿
-0.96%1.02亿
0.50%1.01亿
2.90%1.02亿
总资产
7.75%2.27亿
5.08%2.31亿
5.08%2.31亿
5.74%2.25亿
-0.81%2.17亿
1.13%2.11亿
12.07%2.19亿
12.07%2.19亿
11.51%2.13亿
16.30%2.19亿
负债
流动负债
金融负债
-26.28%704万
4.42%868.07万
4.42%868.07万
5.74%831万
32.23%1,164.7万
28.30%954.9万
12.32%831.36万
12.32%831.36万
73.76%785.9万
91.94%880.8万
-短期借款及资本租赁负债
-26.28%704万
4.42%868.07万
4.42%868.07万
5.74%831万
32.23%1,164.7万
28.30%954.9万
12.32%831.36万
12.32%831.36万
73.76%785.9万
91.94%880.8万
-其中:短期借款
-27.26%676.4万
4.36%840.49万
4.36%840.49万
6.40%808.2万
34.32%1,140.8万
30.46%929.9万
13.64%805.38万
13.64%805.38万
77.02%759.6万
97.93%849.3万
-其中:资本租赁负债
10.40%27.6万
6.17%27.58万
6.17%27.58万
-13.31%22.8万
-24.13%23.9万
-20.63%25万
-17.32%25.98万
-17.32%25.98万
13.36%26.3万
5.70%31.5万
应付款项
51.44%2,038.6万
6.15%2,200.08万
6.15%2,200.08万
3.29%1,932.7万
-38.02%1,543.4万
-23.60%1,346.1万
19.75%2,072.59万
19.75%2,072.59万
-9.55%1,871.1万
32.47%2,490万
-应付账款
37.63%1,694.8万
-22.27%1,143.03万
-22.27%1,143.03万
0.81%1,800.6万
-42.32%1,351万
-23.89%1,231.4万
27.70%1,470.57万
27.70%1,470.57万
-5.66%1,786.2万
36.22%2,342.3万
-应交税费
199.74%343.8万
169.77%217.97万
169.77%217.97万
55.59%132.1万
30.26%192.4万
-20.24%114.7万
-33.17%80.8万
-33.17%80.8万
-51.60%84.9万
-7.75%147.7万
-其他应付款
----
60.99%839.09万
60.99%839.09万
----
----
----
13.71%521.22万
13.71%521.22万
----
----
应计及递延所得
0.00%1.4万
-35.77%299.38万
-35.77%299.38万
250.00%1.4万
0.00%1.4万
0.00%1.4万
24.28%466.11万
24.28%466.11万
--4,000
--1.4万
流动负债合计
19.18%2,744万
-0.07%3,367.54万
-0.07%3,367.54万
4.05%2,765.1万
-19.65%2,709.5万
-8.18%2,302.4万
18.41%3,370.07万
18.41%3,370.07万
5.41%2,657.4万
44.20%3,372.2万
非流动负债
非流动金融负债
12.93%2,243.9万
11.75%2,338.09万
11.75%2,338.09万
17.52%2,637.6万
-13.36%2,043.5万
-19.62%1,986.9万
-19.14%2,092.18万
-19.14%2,092.18万
-18.32%2,244.4万
-17.66%2,358.5万
-长期借款及资本租赁
12.93%2,243.9万
11.75%2,338.09万
11.75%2,338.09万
17.52%2,637.6万
-13.36%2,043.5万
-19.62%1,986.9万
-19.14%2,092.18万
-19.14%2,092.18万
-18.32%2,244.4万
-17.66%2,358.5万
-其中:长期借款
12.55%2,213.6万
11.69%2,307.65万
11.69%2,307.65万
17.15%2,629.4万
-13.84%2,029.3万
-20.13%1,966.8万
-19.60%2,066.18万
-19.60%2,066.18万
-17.50%2,244.4万
-16.98%2,355.3万
-其中:长期资本租赁负债
50.75%30.3万
17.04%30.44万
17.04%30.44万
--8.2万
343.75%14.2万
116.13%20.1万
46.93%26.01万
46.93%26.01万
--0
-88.32%3.2万
非流动递延所得税负债
5.11%179.1万
5.08%179.09万
5.08%179.09万
-11.16%170.4万
-11.16%170.4万
-11.16%170.4万
-11.13%170.44万
-11.13%170.44万
340.92%191.8万
340.92%191.8万
长期应计及递延收入
-17.07%6.8万
-16.80%7.15万
-16.80%7.15万
-81.25%7.5万
-79.95%7.9万
-79.35%8.2万
-78.55%8.59万
-78.55%8.59万
--40万
--39.4万
非流动负债合计
12.21%2,429.8万
11.14%2,524.33万
11.14%2,524.33万
13.70%2,815.5万
-14.21%2,221.8万
-19.90%2,165.5万
-19.44%2,271.21万
-19.44%2,271.21万
-11.29%2,476.2万
-10.94%2,589.7万
负债总额
15.80%5,173.8万
4.44%5,891.87万
4.44%5,891.87万
8.71%5,580.6万
-17.29%4,931.3万
-14.26%4,467.9万
-0.43%5,641.27万
-0.43%5,641.27万
-3.36%5,133.6万
13.64%5,961.9万
所有者权益
股本
0.00%1.17亿
0.00%1.17亿
0.00%1.17亿
0.00%1.17亿
0.00%1.17亿
0.17%1.17亿
13.18%1.17亿
13.18%1.17亿
13.18%1.17亿
13.18%1.17亿
-普通股
0.00%1.17亿
0.00%1.17亿
0.00%1.17亿
0.00%1.17亿
0.00%1.17亿
0.17%1.17亿
13.18%1.17亿
13.18%1.17亿
13.18%1.17亿
13.18%1.17亿
留存收益
7.85%1.06亿
8.01%1.03亿
8.01%1.03亿
7.76%1.02亿
8.04%1.01亿
8.80%9,867.5万
9.53%9,554.96万
9.53%9,554.96万
9.98%9,470.2万
10.31%9,371.1万
其他储备
-400.00%-1.2万
-0.02%-5,949.88万
-0.02%-5,949.88万
---6,000
---5,000
--4,000
0.01%-5,948.59万
0.01%-5,948.59万
----
----
其他股本权益
0.00%-5,948.9万
----
----
0.00%-5,948.9万
0.00%-5,948.9万
0.00%-5,948.9万
----
----
0.00%-5,948.9万
0.00%-5,948.9万
股东权益
4.94%1.64亿
4.99%1.61亿
4.99%1.61亿
4.82%1.6亿
4.97%1.59亿
5.52%1.56亿
16.72%1.53亿
16.72%1.53亿
17.08%1.52亿
17.36%1.51亿
非控制性权益
16.07%1,098.3万
10.38%1,069.26万
10.38%1,069.26万
4.32%929.8万
12.41%915.8万
20.35%946.2万
24.38%968.67万
24.38%968.67万
20.23%891.3万
16.57%814.7万
总权益
5.58%1.75亿
5.31%1.72亿
5.31%1.72亿
4.79%1.69亿
5.35%1.68亿
6.27%1.66亿
17.15%1.63亿
17.15%1.63亿
17.25%1.61亿
17.32%1.6亿
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)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(Q2)2022/06/30
资产
流动资产
现金及现金等价物与短期投资 160.62%3,773.8万30.96%2,441.52万30.96%2,441.52万-20.72%2,262.8万-49.37%1,531.9万-57.54%1,448万-9.59%1,864.38万-9.59%1,864.38万67.27%2,854.2万22.54%3,025.9万
-现金及现金等价物 160.62%3,773.8万50.12%2,414.21万50.12%2,414.21万-20.72%2,262.8万-49.37%1,531.9万-57.54%1,448万0.28%1,608.14万0.28%1,608.14万67.27%2,854.2万22.54%3,025.9万
-其中:现金 ----50.94%2,360.2万50.94%2,360.2万------------0.27%1,563.68万0.27%1,563.68万--------
-其中:现金等价物 ----21.48%54.01万21.48%54.01万------------0.88%44.46万0.88%44.46万--------
-短期投资 -----89.34%27.3万-89.34%27.3万-------------44.11%256.23万-44.11%256.23万--------
应收款项 0.64%4,152.4万13.59%3,680.75万13.59%3,680.75万31.09%4,379.3万10.47%4,147.2万19.38%4,125.9万0.63%3,240.44万0.63%3,240.44万-8.91%3,340.8万25.12%3,754.2万
-应收账款净额 0.64%4,152.4万9.21%3,523.18万9.21%3,523.18万31.09%4,379.3万10.47%4,147.2万19.38%4,125.9万0.55%3,225.99万0.55%3,225.99万-8.91%3,340.8万25.12%3,754.2万
-其中:应收账款 ----7.89%3,555.3万7.89%3,555.3万------------1.49%3,295.32万1.49%3,295.32万--------
-其中:坏账准备 ----53.68%-32.12万53.68%-32.12万-------------79.46%-69.33万-79.46%-69.33万--------
-其他应收款 ----991.06%157.57万991.06%157.57万------------21.79%14.44万21.79%14.44万--------
存货 -4.23%5,061.8万-3.95%5,843.04万-3.95%5,843.04万26.07%6,228.4万18.94%5,858.4万43.50%5,285.4万82.98%6,083.11万82.98%6,083.11万36.02%4,940.6万42.09%4,925.5万
预付费用 ----137.40%1,311.75万137.40%1,311.75万-------------13.36%552.54万-13.36%552.54万--------
税项资产 -11.11%48万-14.87%38.69万-14.87%38.69万249.82%95.5万183.94%77.8万-19.16%54万-43.14%45.45万-43.14%45.45万148.18%27.3万134.19%27.4万
流动资产合计 19.45%1.3亿12.98%1.33亿12.98%1.33亿16.15%1.3亿-1.00%1.16亿2.80%1.09亿26.40%1.18亿26.40%1.18亿23.80%1.12亿31.12%1.17亿
非流动资产
物业厂房及设备净额 -1.26%8,681.6万-1.12%8,745.21万-1.12%8,745.21万-0.31%8,772.3万-0.94%8,801.4万-1.27%8,792.8万-1.37%8,843.95万-1.37%8,843.95万-0.06%8,799.4万2.56%8,885.1万
-物业、厂房及设备 -1.26%8,681.6万1.40%1.14亿1.40%1.14亿-0.31%8,772.3万-0.94%8,801.4万-1.27%8,792.8万1.73%1.13亿1.73%1.13亿-0.06%8,799.4万2.56%8,885.1万
-累计折旧 -----10.52%-2,691.69万-10.52%-2,691.69万-------------14.83%-2,435.58万-14.83%-2,435.58万--------
投资物业 ------0--0--0-0.78%550.3万-0.77%551.4万-0.77%552.48万-0.77%552.48万-0.77%553.5万-0.77%554.6万
生物资产 -29.10%247.3万-24.94%270.24万-24.94%270.24万-15.71%300.9万-6.59%328.6万0.96%348.8万6.93%360.03万6.93%360.03万18.72%357万22.84%351.8万
投资总额 455.09%332.5万4,665.08%333.76万4,665.08%333.76万827.69%60.3万705.41%59.6万709.46%59.9万193.21%7万193.21%7万116.67%6.5万131.25%7.4万
-长期股权投资 517.90%324.4万--325.77万--325.77万--52.5万--52.5万--52.5万--0--0--------
-金融资产投资 9.46%8.1万14.14%7.99万14.14%7.99万20.00%7.8万-4.05%7.1万0.00%7.4万193.21%7万193.21%7万116.67%6.5万131.25%7.4万
-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 9.46%8.1万14.14%7.99万14.14%7.99万20.00%7.8万-4.05%7.1万0.00%7.4万193.21%7万193.21%7万116.67%6.5万131.25%7.4万
商誉及其他无形资产 0.00%394.1万0.00%394.11万0.00%394.11万0.00%394.1万0.00%394.1万0.00%394.1万0.00%394.11万0.00%394.11万0.00%394.1万0.00%394.1万
-商誉 0.00%394.1万0.00%394.11万0.00%394.11万0.00%394.1万0.00%394.1万0.00%394.1万0.00%394.11万0.00%394.11万0.00%394.1万0.00%394.1万
非流动资产合计 -4.84%9,655.5万-4.08%9,743.32万-4.08%9,743.32万-5.77%9,527.6万-0.58%1.01亿-0.61%1.01亿-0.96%1.02亿-0.96%1.02亿0.50%1.01亿2.90%1.02亿
总资产 7.75%2.27亿5.08%2.31亿5.08%2.31亿5.74%2.25亿-0.81%2.17亿1.13%2.11亿12.07%2.19亿12.07%2.19亿11.51%2.13亿16.30%2.19亿
负债
流动负债
金融负债 -26.28%704万4.42%868.07万4.42%868.07万5.74%831万32.23%1,164.7万28.30%954.9万12.32%831.36万12.32%831.36万73.76%785.9万91.94%880.8万
-短期借款及资本租赁负债 -26.28%704万4.42%868.07万4.42%868.07万5.74%831万32.23%1,164.7万28.30%954.9万12.32%831.36万12.32%831.36万73.76%785.9万91.94%880.8万
-其中:短期借款 -27.26%676.4万4.36%840.49万4.36%840.49万6.40%808.2万34.32%1,140.8万30.46%929.9万13.64%805.38万13.64%805.38万77.02%759.6万97.93%849.3万
-其中:资本租赁负债 10.40%27.6万6.17%27.58万6.17%27.58万-13.31%22.8万-24.13%23.9万-20.63%25万-17.32%25.98万-17.32%25.98万13.36%26.3万5.70%31.5万
应付款项 51.44%2,038.6万6.15%2,200.08万6.15%2,200.08万3.29%1,932.7万-38.02%1,543.4万-23.60%1,346.1万19.75%2,072.59万19.75%2,072.59万-9.55%1,871.1万32.47%2,490万
-应付账款 37.63%1,694.8万-22.27%1,143.03万-22.27%1,143.03万0.81%1,800.6万-42.32%1,351万-23.89%1,231.4万27.70%1,470.57万27.70%1,470.57万-5.66%1,786.2万36.22%2,342.3万
-应交税费 199.74%343.8万169.77%217.97万169.77%217.97万55.59%132.1万30.26%192.4万-20.24%114.7万-33.17%80.8万-33.17%80.8万-51.60%84.9万-7.75%147.7万
-其他应付款 ----60.99%839.09万60.99%839.09万------------13.71%521.22万13.71%521.22万--------
应计及递延所得 0.00%1.4万-35.77%299.38万-35.77%299.38万250.00%1.4万0.00%1.4万0.00%1.4万24.28%466.11万24.28%466.11万--4,000--1.4万
流动负债合计 19.18%2,744万-0.07%3,367.54万-0.07%3,367.54万4.05%2,765.1万-19.65%2,709.5万-8.18%2,302.4万18.41%3,370.07万18.41%3,370.07万5.41%2,657.4万44.20%3,372.2万
非流动负债
非流动金融负债 12.93%2,243.9万11.75%2,338.09万11.75%2,338.09万17.52%2,637.6万-13.36%2,043.5万-19.62%1,986.9万-19.14%2,092.18万-19.14%2,092.18万-18.32%2,244.4万-17.66%2,358.5万
-长期借款及资本租赁 12.93%2,243.9万11.75%2,338.09万11.75%2,338.09万17.52%2,637.6万-13.36%2,043.5万-19.62%1,986.9万-19.14%2,092.18万-19.14%2,092.18万-18.32%2,244.4万-17.66%2,358.5万
-其中:长期借款 12.55%2,213.6万11.69%2,307.65万11.69%2,307.65万17.15%2,629.4万-13.84%2,029.3万-20.13%1,966.8万-19.60%2,066.18万-19.60%2,066.18万-17.50%2,244.4万-16.98%2,355.3万
-其中:长期资本租赁负债 50.75%30.3万17.04%30.44万17.04%30.44万--8.2万343.75%14.2万116.13%20.1万46.93%26.01万46.93%26.01万--0-88.32%3.2万
非流动递延所得税负债 5.11%179.1万5.08%179.09万5.08%179.09万-11.16%170.4万-11.16%170.4万-11.16%170.4万-11.13%170.44万-11.13%170.44万340.92%191.8万340.92%191.8万
长期应计及递延收入 -17.07%6.8万-16.80%7.15万-16.80%7.15万-81.25%7.5万-79.95%7.9万-79.35%8.2万-78.55%8.59万-78.55%8.59万--40万--39.4万
非流动负债合计 12.21%2,429.8万11.14%2,524.33万11.14%2,524.33万13.70%2,815.5万-14.21%2,221.8万-19.90%2,165.5万-19.44%2,271.21万-19.44%2,271.21万-11.29%2,476.2万-10.94%2,589.7万
负债总额 15.80%5,173.8万4.44%5,891.87万4.44%5,891.87万8.71%5,580.6万-17.29%4,931.3万-14.26%4,467.9万-0.43%5,641.27万-0.43%5,641.27万-3.36%5,133.6万13.64%5,961.9万
所有者权益
股本 0.00%1.17亿0.00%1.17亿0.00%1.17亿0.00%1.17亿0.00%1.17亿0.17%1.17亿13.18%1.17亿13.18%1.17亿13.18%1.17亿13.18%1.17亿
-普通股 0.00%1.17亿0.00%1.17亿0.00%1.17亿0.00%1.17亿0.00%1.17亿0.17%1.17亿13.18%1.17亿13.18%1.17亿13.18%1.17亿13.18%1.17亿
留存收益 7.85%1.06亿8.01%1.03亿8.01%1.03亿7.76%1.02亿8.04%1.01亿8.80%9,867.5万9.53%9,554.96万9.53%9,554.96万9.98%9,470.2万10.31%9,371.1万
其他储备 -400.00%-1.2万-0.02%-5,949.88万-0.02%-5,949.88万---6,000---5,000--4,0000.01%-5,948.59万0.01%-5,948.59万--------
其他股本权益 0.00%-5,948.9万--------0.00%-5,948.9万0.00%-5,948.9万0.00%-5,948.9万--------0.00%-5,948.9万0.00%-5,948.9万
股东权益 4.94%1.64亿4.99%1.61亿4.99%1.61亿4.82%1.6亿4.97%1.59亿5.52%1.56亿16.72%1.53亿16.72%1.53亿17.08%1.52亿17.36%1.51亿
非控制性权益 16.07%1,098.3万10.38%1,069.26万10.38%1,069.26万4.32%929.8万12.41%915.8万20.35%946.2万24.38%968.67万24.38%968.67万20.23%891.3万16.57%814.7万
总权益 5.58%1.75亿5.31%1.72亿5.31%1.72亿4.79%1.69亿5.35%1.68亿6.27%1.66亿17.15%1.63亿17.15%1.63亿17.25%1.61亿17.32%1.6亿
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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