马来西亚市场个股详情

SWIFT (5303)

添加自选
  • 0.380
  • 0.0000.00%
延时15分钟行情交易中 03/27 10:31 (北京)
3.25亿总市值12.26市盈率TTM

5303 SWIFT

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q1)2024/03/31
资产
流动资产
现金及现金等价物与短期投资
4.73%5,398.2万
4.73%5,398.2万
23.25%5,660.1万
-26.16%5,053.4万
-22.60%6,463.1万
-67.62%5,154.3万
-67.62%5,154.3万
-52.74%4,592.2万
-32.27%6,843.3万
-15.47%8,350.1万
-现金及现金等价物
3.16%5,055.2万
3.16%5,055.2万
21.16%5,379.6万
-28.46%4,844.8万
47.28%6,136.8万
-69.22%4,900.5万
-69.22%4,900.5万
25.05%4,440.1万
69.79%6,772.3万
-13.39%4,166.7万
-其中:现金
9.80%5,055.2万
9.80%5,055.2万
21.16%5,379.6万
-28.46%4,844.8万
47.28%6,136.8万
-70.53%4,604.2万
-70.53%4,604.2万
25.05%4,440.1万
69.79%6,772.3万
-13.39%4,166.7万
-其中:现金等价物
----
----
----
----
----
-0.03%296.3万
-0.03%296.3万
----
----
----
-短期投资
35.15%343万
35.15%343万
84.42%280.5万
193.80%208.6万
-92.20%326.3万
--253.8万
--253.8万
-97.53%152.1万
-98.84%71万
-17.43%4,183.4万
应收款项
16.27%2.69亿
16.27%2.69亿
-5.20%2.8亿
0.91%2.79亿
10.06%2.68亿
24.31%2.31亿
24.31%2.31亿
19.00%2.96亿
8.61%2.77亿
10.07%2.43亿
-应收账款净额
30.56%2.43亿
30.56%2.43亿
-16.05%2.48亿
-10.24%2.48亿
-2.62%2.37亿
27.53%1.86亿
27.53%1.86亿
19.00%2.96亿
8.61%2.77亿
10.07%2.43亿
-其中:应收账款
----
----
----
----
----
26.10%1.98亿
26.10%1.98亿
----
----
----
-其中:坏账准备
----
----
----
----
----
-7.39%-1,201.9万
-7.39%-1,201.9万
----
----
----
-其他应收款
-42.91%2,567.3万
-42.91%2,567.3万
--3,208.5万
--3,084.7万
--3,086.5万
12.51%4,497.2万
12.51%4,497.2万
----
----
----
存货
-4.50%758.1万
-4.50%758.1万
10.20%1,006.9万
-20.22%1,056.4万
-52.11%895.9万
-58.21%793.8万
-58.21%793.8万
-29.49%913.7万
45.76%1,324.1万
94.56%1,870.7万
预付费用
----
----
----
----
----
24.37%4,366万
24.37%4,366万
----
----
----
税项资产
-23.23%556.3万
-23.23%556.3万
27.02%937.3万
12.71%943.8万
-18.08%849.2万
-6.89%724.6万
-6.89%724.6万
-6.71%737.9万
14.84%837.4万
37.66%1,036.6万
流动资产合计
-1.65%3.36亿
-1.65%3.36亿
-0.49%3.56亿
-4.63%3.5亿
-1.69%3.5亿
-16.08%3.42亿
-16.08%3.42亿
-2.28%3.58亿
-1.47%3.67亿
4.76%3.56亿
非流动资产
物业厂房及设备净额
3.10%11.18亿
3.10%11.18亿
1.13%10.86亿
4.12%10.74亿
4.96%10.77亿
6.89%10.84亿
6.89%10.84亿
11.90%10.74亿
6.41%10.32亿
3.77%10.27亿
-物业、厂房及设备
-37.12%11.18亿
-37.12%11.18亿
1.13%10.86亿
4.12%10.74亿
4.96%10.77亿
7.46%17.78亿
7.46%17.78亿
11.90%10.74亿
6.41%10.32亿
3.77%10.27亿
-累计折旧
----
----
----
----
----
-8.36%-6.94亿
-8.36%-6.94亿
----
----
----
投资物业
-1.26%7,489万
-1.26%7,489万
-1.26%7,512.9万
-1.25%7,536.9万
-1.25%7,560.8万
-1.25%7,584.7万
-1.25%7,584.7万
-1.24%7,608.7万
-1.24%7,632.6万
-1.23%7,656.5万
投资总额
5.04%1.36亿
5.04%1.36亿
23.78%1.3亿
27.33%1.3亿
27.05%1.3亿
27.18%1.3亿
27.18%1.3亿
-14.15%1.05亿
33.92%1.02亿
122.23%1.02亿
-长期股权投资
6.11%1.35亿
6.11%1.35亿
24.48%1.27亿
28.06%1.27亿
27.94%1.27亿
27.86%1.27亿
27.86%1.27亿
-14.47%1.02亿
32.63%9,950.6万
122.33%9,960.1万
-金融资产投资
----
----
----
--237万
----
-1.85%228.2万
-1.85%228.2万
----
----
----
-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
----
----
----
--237万
----
-1.85%228.2万
-1.85%228.2万
----
----
----
-其他投资
-55.25%103.2万
-55.25%103.2万
-4.93%239.3万
----
-8.38%230.8万
--230.6万
--230.6万
1.21%251.7万
122.73%243万
118.28%251.9万
商誉及其他无形资产
1.05%7,557.2万
1.05%7,557.2万
-0.35%7,482.7万
3.39%7,478.9万
3.40%7,479.5万
3.36%7,478.9万
3.36%7,478.9万
4.11%7,508.8万
-0.21%7,233.8万
0.28%7,233.7万
-商誉
0.00%7,293.4万
0.00%7,293.4万
-1.15%7,293.4万
2.40%7,293.4万
2.40%7,293.4万
2.40%7,293.4万
2.40%7,293.4万
3.60%7,378.3万
-0.53%7,122.6万
-0.06%7,122.6万
-其他无形资产
42.21%263.8万
42.21%263.8万
45.06%189.3万
66.82%185.5万
67.51%186.1万
63.72%185.5万
63.72%185.5万
45.16%130.5万
26.22%111.2万
28.29%111.1万
非流动递延所得税资产
-0.45%1,884.2万
-0.45%1,884.2万
39.93%1,878.6万
-4.05%1,881.1万
-5.80%1,883.1万
11.21%1,892.7万
11.21%1,892.7万
66.79%1,342.5万
98.12%1,960.6万
144.26%1,999万
长期持有待售资产
-48.20%86.4万
-48.20%86.4万
-48.20%86.4万
-49.71%86.4万
--158万
-94.59%166.8万
-94.59%166.8万
--166.8万
--171.8万
--0
非流动资产合计
2.82%14.24亿
2.82%14.24亿
3.00%13.85亿
5.38%13.74亿
6.20%13.78亿
5.47%13.85亿
5.47%13.85亿
8.56%13.45亿
8.15%13.04亿
4.91%12.98亿
总资产
1.94%17.6亿
1.94%17.6亿
2.27%17.42亿
3.19%17.24亿
4.50%17.28亿
0.37%17.27亿
0.37%17.27亿
6.08%17.03亿
5.89%16.7亿
4.88%16.53亿
负债
流动负债
金融负债
-10.75%2.01亿
-10.75%2.01亿
-9.56%2.26亿
-16.62%2.17亿
-16.37%1.96亿
-19.52%2.25亿
-19.52%2.25亿
-6.18%2.5亿
0.90%2.6亿
-9.79%2.35亿
-短期借款及资本租赁负债
-10.75%2.01亿
-10.75%2.01亿
-9.56%2.26亿
-16.62%2.17亿
-16.37%1.96亿
-19.52%2.25亿
-19.52%2.25亿
-6.18%2.5亿
0.90%2.6亿
-9.79%2.35亿
-其中:短期借款
-8.85%1.94亿
-8.85%1.94亿
-8.47%2.18亿
-16.69%2.07亿
-16.43%1.83亿
-19.00%2.13亿
-19.00%2.13亿
-7.52%2.38亿
-0.18%2.48亿
-7.95%2.19亿
-其中:资本租赁负债
-43.63%693.9万
-43.63%693.9万
-31.49%813.6万
-15.12%993万
-15.61%1,314.2万
-27.52%1,230.9万
-27.52%1,230.9万
32.35%1,187.6万
30.99%1,169.9万
-29.62%1,557.3万
应付款项
30.68%1.08亿
30.68%1.08亿
-3.33%1.03亿
-4.22%1.01亿
-7.78%1.09亿
-27.68%8,265.1万
-27.68%8,265.1万
8.63%1.06亿
-3.59%1.06亿
-3.70%1.18亿
-应付账款
84.32%1.07亿
84.32%1.07亿
-1.01%1.01亿
-2.58%9,929.6万
-7.71%1.06亿
-24.11%5,803.8万
-24.11%5,803.8万
10.46%1.02亿
-2.07%1.02亿
-3.42%1.15亿
-应交税费
-54.51%103.5万
-54.51%103.5万
-63.44%144.1万
-46.83%208万
-11.42%210.9万
43.81%227.5万
43.81%227.5万
-24.09%394.1万
-31.37%391.2万
-15.63%238.1万
-其他应付款
----
----
----
----
----
-38.33%2,233.8万
-38.33%2,233.8万
----
----
----
应计及递延所得
----
----
----
----
----
9.72%3,205.5万
9.72%3,205.5万
----
----
----
流动负债合计
-9.10%3.09亿
-9.10%3.09亿
-7.70%3.29亿
-13.03%3.18亿
-13.50%3.05亿
-19.70%3.4亿
-19.70%3.4亿
-2.21%3.56亿
-0.44%3.66亿
-7.84%3.52亿
非流动负债
非流动金融负债
6.75%6.34亿
6.75%6.34亿
7.41%6亿
15.41%6亿
19.90%6.21亿
10.31%5.94亿
10.31%5.94亿
12.39%5.59亿
5.59%5.2亿
8.99%5.18亿
-长期借款及资本租赁
6.75%6.34亿
6.75%6.34亿
7.41%6亿
15.41%6亿
19.90%6.21亿
10.31%5.94亿
10.31%5.94亿
12.39%5.59亿
5.59%5.2亿
8.99%5.18亿
-其中:长期借款
7.22%6.04亿
7.22%6.04亿
8.01%5.68亿
16.50%5.67亿
22.19%5.94亿
11.78%5.63亿
11.78%5.63亿
17.70%5.26亿
10.01%4.86亿
13.19%4.86亿
-其中:长期资本租赁负债
-1.97%2,995.4万
-1.97%2,995.4万
-2.31%3,162.6万
-0.54%3,291.2万
-14.93%2,713.1万
-11.14%3,055.7万
-11.14%3,055.7万
-35.18%3,237.4万
-33.63%3,309.1万
-30.37%3,189.3万
非流动递延所得税负债
8.80%6,322.9万
8.80%6,322.9万
20.17%6,177万
8.07%6,145.5万
3.80%5,974.1万
6.32%5,811.6万
6.32%5,811.6万
8.36%5,140.4万
11.34%5,686.8万
8.21%5,755.6万
非流动负债合计
6.93%6.97亿
6.93%6.97亿
8.49%6.62亿
14.69%6.61亿
18.29%6.81亿
9.94%6.52亿
9.94%6.52亿
12.04%6.1亿
6.13%5.76亿
8.91%5.76亿
负债总额
1.44%10.06亿
1.44%10.06亿
2.52%9.9亿
3.93%9.79亿
6.23%9.86亿
-2.41%9.92亿
-2.41%9.92亿
6.33%9.66亿
3.48%9.42亿
1.88%9.28亿
所有者权益
股本
0.00%3.87亿
0.00%3.87亿
0.00%3.87亿
0.02%3.87亿
0.41%3.87亿
0.44%3.87亿
0.44%3.87亿
0.49%3.87亿
0.46%3.86亿
0.08%3.85亿
-普通股
0.00%3.87亿
0.00%3.87亿
0.00%3.87亿
0.02%3.87亿
0.41%3.87亿
0.44%3.87亿
0.44%3.87亿
0.49%3.87亿
0.46%3.86亿
0.08%3.85亿
留存收益
3.90%3.59亿
3.90%3.59亿
3.34%3.59亿
3.00%3.52亿
3.48%3.53亿
8.07%3.45亿
8.07%3.45亿
11.08%3.48亿
20.13%3.42亿
20.04%3.41亿
减:库存股
58.60%1,105.9万
58.60%1,105.9万
97.50%1,089.6万
76.24%875.2万
67.07%752.3万
54.85%697.3万
54.85%697.3万
27.35%551.7万
15.01%496.6万
8.66%450.3万
其他储备
-25.18%10.4万
-25.18%10.4万
73.17%14.2万
-49.57%17.5万
-54.29%16万
-70.80%13.9万
-70.80%13.9万
-68.70%8.2万
47.03%34.7万
186.89%35万
其他股本权益
21.60%260.7万
21.60%260.7万
89.40%214.4万
85.31%214.4万
82.00%214.4万
77.48%214.4万
77.48%214.4万
-9.87%113.2万
--115.7万
--117.8万
股东权益
1.35%7.37亿
1.35%7.37亿
1.00%7.37亿
1.02%7.32亿
1.55%7.34亿
3.65%7.27亿
3.65%7.27亿
5.05%7.3亿
8.97%7.25亿
8.76%7.23亿
非控制性权益
120.64%1,712.4万
120.64%1,712.4万
99.40%1,404.6万
290.41%1,188.8万
195.31%831万
203.88%776.1万
203.88%776.1万
254.15%704.4万
91.27%304.5万
126.75%281.4万
总权益
2.61%7.54亿
2.61%7.54亿
1.94%7.51亿
2.23%7.44亿
2.30%7.42亿
4.37%7.35亿
4.37%7.35亿
5.76%7.37亿
9.17%7.28亿
8.98%7.26亿
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)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(Q1)2024/03/31
资产
流动资产
现金及现金等价物与短期投资 4.73%5,398.2万4.73%5,398.2万23.25%5,660.1万-26.16%5,053.4万-22.60%6,463.1万-67.62%5,154.3万-67.62%5,154.3万-52.74%4,592.2万-32.27%6,843.3万-15.47%8,350.1万
-现金及现金等价物 3.16%5,055.2万3.16%5,055.2万21.16%5,379.6万-28.46%4,844.8万47.28%6,136.8万-69.22%4,900.5万-69.22%4,900.5万25.05%4,440.1万69.79%6,772.3万-13.39%4,166.7万
-其中:现金 9.80%5,055.2万9.80%5,055.2万21.16%5,379.6万-28.46%4,844.8万47.28%6,136.8万-70.53%4,604.2万-70.53%4,604.2万25.05%4,440.1万69.79%6,772.3万-13.39%4,166.7万
-其中:现金等价物 ---------------------0.03%296.3万-0.03%296.3万------------
-短期投资 35.15%343万35.15%343万84.42%280.5万193.80%208.6万-92.20%326.3万--253.8万--253.8万-97.53%152.1万-98.84%71万-17.43%4,183.4万
应收款项 16.27%2.69亿16.27%2.69亿-5.20%2.8亿0.91%2.79亿10.06%2.68亿24.31%2.31亿24.31%2.31亿19.00%2.96亿8.61%2.77亿10.07%2.43亿
-应收账款净额 30.56%2.43亿30.56%2.43亿-16.05%2.48亿-10.24%2.48亿-2.62%2.37亿27.53%1.86亿27.53%1.86亿19.00%2.96亿8.61%2.77亿10.07%2.43亿
-其中:应收账款 --------------------26.10%1.98亿26.10%1.98亿------------
-其中:坏账准备 ---------------------7.39%-1,201.9万-7.39%-1,201.9万------------
-其他应收款 -42.91%2,567.3万-42.91%2,567.3万--3,208.5万--3,084.7万--3,086.5万12.51%4,497.2万12.51%4,497.2万------------
存货 -4.50%758.1万-4.50%758.1万10.20%1,006.9万-20.22%1,056.4万-52.11%895.9万-58.21%793.8万-58.21%793.8万-29.49%913.7万45.76%1,324.1万94.56%1,870.7万
预付费用 --------------------24.37%4,366万24.37%4,366万------------
税项资产 -23.23%556.3万-23.23%556.3万27.02%937.3万12.71%943.8万-18.08%849.2万-6.89%724.6万-6.89%724.6万-6.71%737.9万14.84%837.4万37.66%1,036.6万
流动资产合计 -1.65%3.36亿-1.65%3.36亿-0.49%3.56亿-4.63%3.5亿-1.69%3.5亿-16.08%3.42亿-16.08%3.42亿-2.28%3.58亿-1.47%3.67亿4.76%3.56亿
非流动资产
物业厂房及设备净额 3.10%11.18亿3.10%11.18亿1.13%10.86亿4.12%10.74亿4.96%10.77亿6.89%10.84亿6.89%10.84亿11.90%10.74亿6.41%10.32亿3.77%10.27亿
-物业、厂房及设备 -37.12%11.18亿-37.12%11.18亿1.13%10.86亿4.12%10.74亿4.96%10.77亿7.46%17.78亿7.46%17.78亿11.90%10.74亿6.41%10.32亿3.77%10.27亿
-累计折旧 ---------------------8.36%-6.94亿-8.36%-6.94亿------------
投资物业 -1.26%7,489万-1.26%7,489万-1.26%7,512.9万-1.25%7,536.9万-1.25%7,560.8万-1.25%7,584.7万-1.25%7,584.7万-1.24%7,608.7万-1.24%7,632.6万-1.23%7,656.5万
投资总额 5.04%1.36亿5.04%1.36亿23.78%1.3亿27.33%1.3亿27.05%1.3亿27.18%1.3亿27.18%1.3亿-14.15%1.05亿33.92%1.02亿122.23%1.02亿
-长期股权投资 6.11%1.35亿6.11%1.35亿24.48%1.27亿28.06%1.27亿27.94%1.27亿27.86%1.27亿27.86%1.27亿-14.47%1.02亿32.63%9,950.6万122.33%9,960.1万
-金融资产投资 --------------237万-----1.85%228.2万-1.85%228.2万------------
-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 --------------237万-----1.85%228.2万-1.85%228.2万------------
-其他投资 -55.25%103.2万-55.25%103.2万-4.93%239.3万-----8.38%230.8万--230.6万--230.6万1.21%251.7万122.73%243万118.28%251.9万
商誉及其他无形资产 1.05%7,557.2万1.05%7,557.2万-0.35%7,482.7万3.39%7,478.9万3.40%7,479.5万3.36%7,478.9万3.36%7,478.9万4.11%7,508.8万-0.21%7,233.8万0.28%7,233.7万
-商誉 0.00%7,293.4万0.00%7,293.4万-1.15%7,293.4万2.40%7,293.4万2.40%7,293.4万2.40%7,293.4万2.40%7,293.4万3.60%7,378.3万-0.53%7,122.6万-0.06%7,122.6万
-其他无形资产 42.21%263.8万42.21%263.8万45.06%189.3万66.82%185.5万67.51%186.1万63.72%185.5万63.72%185.5万45.16%130.5万26.22%111.2万28.29%111.1万
非流动递延所得税资产 -0.45%1,884.2万-0.45%1,884.2万39.93%1,878.6万-4.05%1,881.1万-5.80%1,883.1万11.21%1,892.7万11.21%1,892.7万66.79%1,342.5万98.12%1,960.6万144.26%1,999万
长期持有待售资产 -48.20%86.4万-48.20%86.4万-48.20%86.4万-49.71%86.4万--158万-94.59%166.8万-94.59%166.8万--166.8万--171.8万--0
非流动资产合计 2.82%14.24亿2.82%14.24亿3.00%13.85亿5.38%13.74亿6.20%13.78亿5.47%13.85亿5.47%13.85亿8.56%13.45亿8.15%13.04亿4.91%12.98亿
总资产 1.94%17.6亿1.94%17.6亿2.27%17.42亿3.19%17.24亿4.50%17.28亿0.37%17.27亿0.37%17.27亿6.08%17.03亿5.89%16.7亿4.88%16.53亿
负债
流动负债
金融负债 -10.75%2.01亿-10.75%2.01亿-9.56%2.26亿-16.62%2.17亿-16.37%1.96亿-19.52%2.25亿-19.52%2.25亿-6.18%2.5亿0.90%2.6亿-9.79%2.35亿
-短期借款及资本租赁负债 -10.75%2.01亿-10.75%2.01亿-9.56%2.26亿-16.62%2.17亿-16.37%1.96亿-19.52%2.25亿-19.52%2.25亿-6.18%2.5亿0.90%2.6亿-9.79%2.35亿
-其中:短期借款 -8.85%1.94亿-8.85%1.94亿-8.47%2.18亿-16.69%2.07亿-16.43%1.83亿-19.00%2.13亿-19.00%2.13亿-7.52%2.38亿-0.18%2.48亿-7.95%2.19亿
-其中:资本租赁负债 -43.63%693.9万-43.63%693.9万-31.49%813.6万-15.12%993万-15.61%1,314.2万-27.52%1,230.9万-27.52%1,230.9万32.35%1,187.6万30.99%1,169.9万-29.62%1,557.3万
应付款项 30.68%1.08亿30.68%1.08亿-3.33%1.03亿-4.22%1.01亿-7.78%1.09亿-27.68%8,265.1万-27.68%8,265.1万8.63%1.06亿-3.59%1.06亿-3.70%1.18亿
-应付账款 84.32%1.07亿84.32%1.07亿-1.01%1.01亿-2.58%9,929.6万-7.71%1.06亿-24.11%5,803.8万-24.11%5,803.8万10.46%1.02亿-2.07%1.02亿-3.42%1.15亿
-应交税费 -54.51%103.5万-54.51%103.5万-63.44%144.1万-46.83%208万-11.42%210.9万43.81%227.5万43.81%227.5万-24.09%394.1万-31.37%391.2万-15.63%238.1万
-其他应付款 ---------------------38.33%2,233.8万-38.33%2,233.8万------------
应计及递延所得 --------------------9.72%3,205.5万9.72%3,205.5万------------
流动负债合计 -9.10%3.09亿-9.10%3.09亿-7.70%3.29亿-13.03%3.18亿-13.50%3.05亿-19.70%3.4亿-19.70%3.4亿-2.21%3.56亿-0.44%3.66亿-7.84%3.52亿
非流动负债
非流动金融负债 6.75%6.34亿6.75%6.34亿7.41%6亿15.41%6亿19.90%6.21亿10.31%5.94亿10.31%5.94亿12.39%5.59亿5.59%5.2亿8.99%5.18亿
-长期借款及资本租赁 6.75%6.34亿6.75%6.34亿7.41%6亿15.41%6亿19.90%6.21亿10.31%5.94亿10.31%5.94亿12.39%5.59亿5.59%5.2亿8.99%5.18亿
-其中:长期借款 7.22%6.04亿7.22%6.04亿8.01%5.68亿16.50%5.67亿22.19%5.94亿11.78%5.63亿11.78%5.63亿17.70%5.26亿10.01%4.86亿13.19%4.86亿
-其中:长期资本租赁负债 -1.97%2,995.4万-1.97%2,995.4万-2.31%3,162.6万-0.54%3,291.2万-14.93%2,713.1万-11.14%3,055.7万-11.14%3,055.7万-35.18%3,237.4万-33.63%3,309.1万-30.37%3,189.3万
非流动递延所得税负债 8.80%6,322.9万8.80%6,322.9万20.17%6,177万8.07%6,145.5万3.80%5,974.1万6.32%5,811.6万6.32%5,811.6万8.36%5,140.4万11.34%5,686.8万8.21%5,755.6万
非流动负债合计 6.93%6.97亿6.93%6.97亿8.49%6.62亿14.69%6.61亿18.29%6.81亿9.94%6.52亿9.94%6.52亿12.04%6.1亿6.13%5.76亿8.91%5.76亿
负债总额 1.44%10.06亿1.44%10.06亿2.52%9.9亿3.93%9.79亿6.23%9.86亿-2.41%9.92亿-2.41%9.92亿6.33%9.66亿3.48%9.42亿1.88%9.28亿
所有者权益
股本 0.00%3.87亿0.00%3.87亿0.00%3.87亿0.02%3.87亿0.41%3.87亿0.44%3.87亿0.44%3.87亿0.49%3.87亿0.46%3.86亿0.08%3.85亿
-普通股 0.00%3.87亿0.00%3.87亿0.00%3.87亿0.02%3.87亿0.41%3.87亿0.44%3.87亿0.44%3.87亿0.49%3.87亿0.46%3.86亿0.08%3.85亿
留存收益 3.90%3.59亿3.90%3.59亿3.34%3.59亿3.00%3.52亿3.48%3.53亿8.07%3.45亿8.07%3.45亿11.08%3.48亿20.13%3.42亿20.04%3.41亿
减:库存股 58.60%1,105.9万58.60%1,105.9万97.50%1,089.6万76.24%875.2万67.07%752.3万54.85%697.3万54.85%697.3万27.35%551.7万15.01%496.6万8.66%450.3万
其他储备 -25.18%10.4万-25.18%10.4万73.17%14.2万-49.57%17.5万-54.29%16万-70.80%13.9万-70.80%13.9万-68.70%8.2万47.03%34.7万186.89%35万
其他股本权益 21.60%260.7万21.60%260.7万89.40%214.4万85.31%214.4万82.00%214.4万77.48%214.4万77.48%214.4万-9.87%113.2万--115.7万--117.8万
股东权益 1.35%7.37亿1.35%7.37亿1.00%7.37亿1.02%7.32亿1.55%7.34亿3.65%7.27亿3.65%7.27亿5.05%7.3亿8.97%7.25亿8.76%7.23亿
非控制性权益 120.64%1,712.4万120.64%1,712.4万99.40%1,404.6万290.41%1,188.8万195.31%831万203.88%776.1万203.88%776.1万254.15%704.4万91.27%304.5万126.75%281.4万
总权益 2.61%7.54亿2.61%7.54亿1.94%7.51亿2.23%7.44亿2.30%7.42亿4.37%7.35亿4.37%7.35亿5.76%7.37亿9.17%7.28亿8.98%7.26亿
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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