加拿大市场个股详情

Agnico Eagle Mines Ltd (AEM)

添加自选
  • 249.670
  • -5.760-2.26%
延时15分钟行情已收盘 05/01 16:00 (美东)
1250.82亿总市值16.90市盈率TTM

Agnico Eagle Mines Ltd (AEM) 资产负债表

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
现金及现金等价物和短期投资
170.99%31.23亿
207.89%28.75亿
207.89%28.75亿
139.52%23.55亿
68.65%15.69亿
116.21%11.52亿
167.66%9.34亿
167.66%9.34亿
169.45%9.83亿
110.57%9.3亿
-现金和现金等价物
173.38%31.12亿
209.36%28.66亿
209.36%28.66亿
140.97%23.55亿
68.94%15.58亿
116.98%11.38亿
173.57%9.26亿
173.57%9.26亿
174.89%9.77亿
113.16%9.22亿
-短期投资
-23.05%1,078.8万
21.22%885.6万
21.22%885.6万
173.30%1,610.3万
37.22%1,157.9万
68.07%1,401.9万
-28.37%730.6万
-28.37%730.6万
-37.13%589.2万
-9.54%843.8万
应收款项
14.66%1.92亿
9.06%2.07亿
9.06%2.07亿
-90.55%1,550.9万
-13.00%1.56亿
-1.45%1.68亿
2.55%1.9亿
2.55%1.9亿
-13.44%1.64亿
3.35%1.79亿
-应收账款
62.53%2,419.6万
144.44%1,869万
144.44%1,869万
30.92%1,561.4万
140.48%1,819.5万
114.51%1,488.7万
-6.16%764.6万
-6.16%764.6万
57.56%1,192.6万
-25.39%756.6万
-应收税费
9.99%1.68亿
3.37%1.88亿
3.37%1.88亿
-89.81%1,550.9万
-19.78%1.37亿
-6.38%1.53亿
2.96%1.82亿
2.96%1.82亿
-16.40%1.52亿
5.14%1.71亿
存货
9.14%15.79亿
12.45%16.99亿
12.45%16.99亿
11.94%17.16亿
10.81%15.02亿
7.18%14.47亿
6.47%15.11亿
6.47%15.11亿
9.22%15.33亿
8.18%13.56亿
预付费用
32.70%1.65亿
12.42%1.4亿
12.42%1.4亿
-0.33%1.71亿
-24.75%1.55亿
-15.43%1.24亿
-17.91%1.25亿
-17.91%1.25亿
-8.90%1.71亿
8.67%2.06亿
套期保值资产
512.57%2,817.2万
2,454.01%3,442.8万
2,454.01%3,442.8万
25.87%1,981.5万
996.66%5,552.4万
-54.76%459.9万
-97.35%134.8万
-97.35%134.8万
114.88%1,574.2万
-65.77%506.3万
其他流动资产
14.63%4,238.7万
-14.05%3,892.5万
-14.05%3,892.5万
791.06%3.62亿
39.43%5,065.3万
5.15%3,697.6万
26.03%4,528.8万
26.03%4,528.8万
4.33%4,064.1万
-1.49%3,632.8万
流动资产合计
74.91%51.29亿
78.02%49.94亿
78.02%49.94亿
53.67%44.68亿
28.60%34.88亿
30.61%29.32亿
28.03%28.05亿
28.03%28.05亿
32.64%29.08亿
28.59%27.12亿
非流动资产
固定资产净额
6.35%230.28亿
6.45%228.51亿
6.45%228.51亿
3.66%221.72亿
3.94%220.07亿
2.17%216.53亿
1.15%214.66亿
1.15%214.66亿
-0.17%213.9亿
-0.24%211.73亿
-固定资产
----
8.09%371亿
8.09%371亿
----
----
----
5.71%343.25亿
5.71%343.25亿
----
----
-累计折旧
----
-10.82%-142.5亿
-10.82%-142.5亿
----
----
----
-14.31%-128.58亿
-14.31%-128.58亿
----
----
投资和预付款
113.41%17.35亿
150.31%14.31亿
150.31%14.31亿
91.96%9.52亿
156.49%9.68亿
120.04%8.13亿
70.82%5.72亿
70.82%5.72亿
80.95%4.96亿
-38.48%3.78亿
-长期股权投资
4.68%697.2万
-42.67%708.6万
-42.67%708.6万
-35.01%728.2万
-29.54%792.2万
-38.33%666万
13.77%1,236.1万
13.77%1,236.1万
2.27%1,120.5万
-96.26%1,124.3万
-金融资产投资
114.30%17.28亿
154.58%14.23亿
154.58%14.23亿
89.90%9.21亿
162.20%9.61亿
124.81%8.06亿
72.74%5.59亿
72.74%5.59亿
84.23%4.85亿
17.11%3.66亿
-其中:可供出售证券
114.30%17.28亿
154.58%14.23亿
154.58%14.23亿
89.90%9.21亿
162.20%9.61亿
124.81%8.06亿
72.74%5.59亿
72.74%5.59亿
84.23%4.85亿
17.11%3.66亿
金融资产
-7.74%8,649.3万
57.76%8,475.3万
57.76%8,475.3万
13.91%3,151.2万
272.71%1.03亿
206.68%9,374.5万
149.35%5,372.4万
149.35%5,372.4万
28.80%2,766.5万
-2.27%2,754万
长期应收票据
6.80%920.3万
-23.56%920.3万
-23.56%920.3万
-7.54%920.3万
-13.43%861.7万
-13.82%861.7万
19.10%1,203.9万
19.10%1,203.9万
-0.54%995.4万
-1.47%995.4万
长期预付费用
3.54%3,713.2万
-25.83%4,334.6万
-25.83%4,334.6万
-27.07%4,368.1万
-25.06%4,186.3万
-31.08%3,586.2万
9.86%5,843.8万
9.86%5,843.8万
47.69%5,989.6万
28.36%5,586.1万
商誉及其他无形资产
0.00%41.58亿
0.00%41.58亿
0.00%41.58亿
0.00%41.58亿
0.00%41.58亿
0.00%41.58亿
0.00%41.58亿
0.00%41.58亿
-9.23%41.58亿
-9.41%41.58亿
-商誉
0.00%41.58亿
0.00%41.58亿
0.00%41.58亿
0.00%41.58亿
0.00%41.58亿
0.00%41.58亿
0.00%41.58亿
0.00%41.58亿
-9.15%41.58亿
-9.12%41.58亿
非流动递延资产
-27.43%1,790.5万
-38.96%1,782.1万
-38.96%1,782.1万
33.44%2,478.4万
-20.35%2,538万
-52.19%2,467.2万
-45.72%2,919.8万
-45.72%2,919.8万
37.40%1,857.3万
152.84%3,186.5万
其他非流动资产
9.18%9.56亿
6.10%8.83亿
6.10%8.83亿
21.68%9.11亿
19.94%8.94亿
26.50%8.75亿
29.90%8.33亿
29.90%8.33亿
12.32%7.49亿
9.41%7.45亿
非流动资产合计
8.55%300.26亿
8.45%294.77亿
8.45%294.77亿
4.87%282.19亿
6.12%282.05亿
4.16%276.62亿
2.60%271.82亿
2.60%271.82亿
-0.46%269.09亿
-2.29%265.79亿
总资产
14.91%351.56亿
14.95%344.71亿
14.95%344.71亿
9.63%326.87亿
8.20%316.93亿
6.22%305.94亿
4.54%299.87亿
4.54%299.87亿
2.02%298.16亿
-0.07%292.91亿
负债
流动负债
短期借款与资本租赁负债
-74.95%3,257.3万
-76.61%3,048万
-76.61%3,048万
-91.40%3,969.4万
-88.83%8,724.4万
-8.24%1.3亿
-10.99%1.3亿
-10.99%1.3亿
210.12%4.61亿
1,528.04%7.81亿
-短期借款
----
----
----
----
-93.24%5,000万
-10.00%9,000万
-10.00%9,000万
-10.00%9,000万
315.00%4.15亿
--7.4亿
-短期资本租赁负债
-18.61%3,257.3万
-24.38%3,048万
-24.38%3,048万
-14.35%3,969.4万
-8.88%3,724.4万
-4.01%4,002.1万
-13.12%4,030.5万
-13.12%4,030.5万
-4.95%4,634.7万
-14.78%4,087.3万
应付款项
43.43%13.41亿
120.88%17.15亿
120.88%17.15亿
72.82%19.06亿
67.30%15.05亿
18.91%9.35亿
57.32%7.76亿
57.32%7.76亿
30.92%11.03亿
2.53%9亿
-应付账款
49.18%10.91亿
16.42%3.45亿
16.42%3.45亿
20.63%10.64亿
15.85%8.93亿
4.93%7.31亿
-6.89%2.96亿
-6.89%2.96亿
16.66%8.82亿
-4.45%7.71亿
-应付税费
22.78%2.5亿
229.49%12.26亿
229.49%12.26亿
281.37%8.42亿
374.82%6.12亿
127.71%2.04亿
358.25%3.72亿
358.25%3.72亿
155.86%2.21亿
81.94%1.29亿
-其他应付款
----
33.00%1.44亿
33.00%1.44亿
----
----
----
14.60%1.08亿
14.60%1.08亿
----
----
应计费用
----
2.68%2.84亿
2.68%2.84亿
-85.31%271.9万
-72.68%579.1万
-5.56%1,826.6万
10.57%2.76亿
10.57%2.76亿
-4.64%1,850.5万
160.09%2,120万
现行拨备
222.35%1.95亿
146.74%1.45亿
146.74%1.45亿
109.37%1.04亿
87.77%9,134.5万
75.28%6,056.4万
141.40%5,857.9万
141.40%5,857.9万
27.42%4,972.1万
13.61%4,864.7万
养老金及其他退休福利计划
75.52%3,688.1万
16.24%3,172.2万
16.24%3,172.2万
73.38%3,629.9万
43.68%2,403.8万
45.46%2,101.2万
12.23%2,729万
12.23%2,729万
77.95%2,093.6万
47.92%1,673万
其他流动负债
-67.54%2,347.5万
9.80%2.67亿
9.80%2.67亿
82.06%1,919.3万
-81.03%456万
278.85%7,231.2万
121.83%2.43亿
121.83%2.43亿
-74.77%1,054.2万
32.36%2,403.2万
流动负债总额
31.69%16.29亿
63.51%24.72亿
63.51%24.72亿
26.68%21.08亿
-4.08%17.18亿
21.83%12.37亿
44.27%15.12亿
44.27%15.12亿
50.83%16.64亿
78.06%17.91亿
非流动负债
长期借款与租赁负债
-75.09%2.87亿
-74.74%2.91亿
-74.74%2.91亿
-74.36%2.96亿
-46.44%6.46亿
-37.80%11.51亿
-38.01%11.52亿
-38.01%11.52亿
-41.09%11.54亿
-41.62%12.07亿
-长期借款
-81.34%1.97亿
-81.36%1.96亿
-81.36%1.96亿
-81.37%1.96亿
-50.56%5.45亿
-39.50%10.53亿
-39.59%10.53亿
-39.59%10.53亿
-42.89%10.52亿
-43.27%11.02亿
-长期租赁负债
-7.43%9,009.8万
-4.25%9,471.9万
-4.25%9,471.9万
-1.94%9,985.6万
-3.35%1.02亿
-10.74%9,732.7万
-14.10%9,892.1万
-14.10%9,892.1万
-12.62%1.02亿
-16.02%1.05亿
长期拨备
20.71%12.91亿
28.43%13.18亿
28.43%13.18亿
10.73%12.36亿
31.62%12.82亿
6.31%10.7亿
-2.15%10.27亿
-2.15%10.27亿
23.63%11.16亿
-1.31%9.74亿
员工福利
61.96%1,261.5万
39.05%8,940.6万
39.05%8,940.6万
85.69%1,984.3万
64.60%1,127.7万
77.55%778.9万
-4.61%6,429.8万
-4.61%6,429.8万
6.89%1,068.6万
-33.98%685.1万
递延负债
4.91%54.51亿
3.97%54.04亿
3.97%54.04亿
3.22%52.6亿
3.07%52亿
4.22%51.96亿
4.00%51.97亿
4.00%51.97亿
2.90%50.96亿
2.37%50.45亿
其他非流动负债
-27.82%2.1亿
-23.82%1.54亿
-23.82%1.54亿
-3.97%2.6亿
8.34%2.93亿
-2.49%2.91亿
-16.37%2.02亿
-16.37%2.02亿
-25.84%2.71亿
-24.75%2.71亿
非流动负债总额
-6.01%72.51亿
-5.04%72.57亿
-5.04%72.57亿
-7.53%70.72亿
-0.94%74.33亿
-5.27%77.15亿
-6.96%76.42亿
-6.96%76.42亿
-6.61%76.48亿
-10.16%75.04亿
负债总额
-0.80%88.81亿
6.28%97.29亿
6.28%97.29亿
-1.42%91.79亿
-1.55%91.51亿
-2.27%89.52亿
-1.17%91.54亿
-1.17%91.54亿
0.21%93.12亿
-0.68%92.95亿
所有者权益
股本
-0.07%187.59亿
0.13%187亿
0.13%187亿
0.80%188.12亿
1.44%187.93亿
2.03%187.72亿
1.86%186.76亿
1.86%186.76亿
2.10%186.63亿
1.65%185.26亿
-普通股股本
-0.07%187.59亿
0.13%187亿
0.13%187亿
0.80%188.12亿
1.44%187.93亿
2.03%187.72亿
1.86%186.76亿
1.86%186.76亿
2.10%186.63亿
1.65%185.26亿
资本公积
----
--0
--0
----
----
----
--0
--0
--0
--0
留存收益
161.65%68.15亿
169.66%54.64亿
169.66%54.64亿
152.89%43.68亿
148.18%34.08亿
134.63%26.05亿
110.37%20.26亿
110.37%20.26亿
12.24%17.27亿
-11.87%13.73亿
不影响留存收益的损益
439.12%5.36亿
1,101.10%4.12亿
1,101.10%4.12亿
366.88%1.61亿
288.70%1.77亿
214.97%9,949.7万
58.42%-4,114.7万
58.42%-4,114.7万
45.21%-6,041.6万
-79.34%-9,357万
其他股本权益
-0.54%1.65亿
-3.12%1.67亿
-3.12%1.67亿
-5.20%1.66亿
-13.35%1.66亿
-19.11%1.66亿
-14.68%1.72亿
-14.68%1.72亿
-13.83%1.75亿
-4.54%1.91亿
股东权益总额
21.41%262.75亿
18.77%247.42亿
18.77%247.42亿
14.64%235.07亿
12.73%225.42亿
10.18%216.42亿
7.26%208.33亿
7.26%208.33亿
2.87%205.05亿
0.22%199.96亿
总权益
21.41%262.75亿
18.77%247.42亿
18.77%247.42亿
14.64%235.07亿
12.73%225.42亿
10.18%216.42亿
7.26%208.33亿
7.26%208.33亿
2.87%205.05亿
0.22%199.96亿
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
审计意见
--
无保留意见
--
--
--
--
无保留意见
--
--
--
(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
现金及现金等价物和短期投资 170.99%31.23亿207.89%28.75亿207.89%28.75亿139.52%23.55亿68.65%15.69亿116.21%11.52亿167.66%9.34亿167.66%9.34亿169.45%9.83亿110.57%9.3亿
-现金和现金等价物 173.38%31.12亿209.36%28.66亿209.36%28.66亿140.97%23.55亿68.94%15.58亿116.98%11.38亿173.57%9.26亿173.57%9.26亿174.89%9.77亿113.16%9.22亿
-短期投资 -23.05%1,078.8万21.22%885.6万21.22%885.6万173.30%1,610.3万37.22%1,157.9万68.07%1,401.9万-28.37%730.6万-28.37%730.6万-37.13%589.2万-9.54%843.8万
应收款项 14.66%1.92亿9.06%2.07亿9.06%2.07亿-90.55%1,550.9万-13.00%1.56亿-1.45%1.68亿2.55%1.9亿2.55%1.9亿-13.44%1.64亿3.35%1.79亿
-应收账款 62.53%2,419.6万144.44%1,869万144.44%1,869万30.92%1,561.4万140.48%1,819.5万114.51%1,488.7万-6.16%764.6万-6.16%764.6万57.56%1,192.6万-25.39%756.6万
-应收税费 9.99%1.68亿3.37%1.88亿3.37%1.88亿-89.81%1,550.9万-19.78%1.37亿-6.38%1.53亿2.96%1.82亿2.96%1.82亿-16.40%1.52亿5.14%1.71亿
存货 9.14%15.79亿12.45%16.99亿12.45%16.99亿11.94%17.16亿10.81%15.02亿7.18%14.47亿6.47%15.11亿6.47%15.11亿9.22%15.33亿8.18%13.56亿
预付费用 32.70%1.65亿12.42%1.4亿12.42%1.4亿-0.33%1.71亿-24.75%1.55亿-15.43%1.24亿-17.91%1.25亿-17.91%1.25亿-8.90%1.71亿8.67%2.06亿
套期保值资产 512.57%2,817.2万2,454.01%3,442.8万2,454.01%3,442.8万25.87%1,981.5万996.66%5,552.4万-54.76%459.9万-97.35%134.8万-97.35%134.8万114.88%1,574.2万-65.77%506.3万
其他流动资产 14.63%4,238.7万-14.05%3,892.5万-14.05%3,892.5万791.06%3.62亿39.43%5,065.3万5.15%3,697.6万26.03%4,528.8万26.03%4,528.8万4.33%4,064.1万-1.49%3,632.8万
流动资产合计 74.91%51.29亿78.02%49.94亿78.02%49.94亿53.67%44.68亿28.60%34.88亿30.61%29.32亿28.03%28.05亿28.03%28.05亿32.64%29.08亿28.59%27.12亿
非流动资产
固定资产净额 6.35%230.28亿6.45%228.51亿6.45%228.51亿3.66%221.72亿3.94%220.07亿2.17%216.53亿1.15%214.66亿1.15%214.66亿-0.17%213.9亿-0.24%211.73亿
-固定资产 ----8.09%371亿8.09%371亿------------5.71%343.25亿5.71%343.25亿--------
-累计折旧 -----10.82%-142.5亿-10.82%-142.5亿-------------14.31%-128.58亿-14.31%-128.58亿--------
投资和预付款 113.41%17.35亿150.31%14.31亿150.31%14.31亿91.96%9.52亿156.49%9.68亿120.04%8.13亿70.82%5.72亿70.82%5.72亿80.95%4.96亿-38.48%3.78亿
-长期股权投资 4.68%697.2万-42.67%708.6万-42.67%708.6万-35.01%728.2万-29.54%792.2万-38.33%666万13.77%1,236.1万13.77%1,236.1万2.27%1,120.5万-96.26%1,124.3万
-金融资产投资 114.30%17.28亿154.58%14.23亿154.58%14.23亿89.90%9.21亿162.20%9.61亿124.81%8.06亿72.74%5.59亿72.74%5.59亿84.23%4.85亿17.11%3.66亿
-其中:可供出售证券 114.30%17.28亿154.58%14.23亿154.58%14.23亿89.90%9.21亿162.20%9.61亿124.81%8.06亿72.74%5.59亿72.74%5.59亿84.23%4.85亿17.11%3.66亿
金融资产 -7.74%8,649.3万57.76%8,475.3万57.76%8,475.3万13.91%3,151.2万272.71%1.03亿206.68%9,374.5万149.35%5,372.4万149.35%5,372.4万28.80%2,766.5万-2.27%2,754万
长期应收票据 6.80%920.3万-23.56%920.3万-23.56%920.3万-7.54%920.3万-13.43%861.7万-13.82%861.7万19.10%1,203.9万19.10%1,203.9万-0.54%995.4万-1.47%995.4万
长期预付费用 3.54%3,713.2万-25.83%4,334.6万-25.83%4,334.6万-27.07%4,368.1万-25.06%4,186.3万-31.08%3,586.2万9.86%5,843.8万9.86%5,843.8万47.69%5,989.6万28.36%5,586.1万
商誉及其他无形资产 0.00%41.58亿0.00%41.58亿0.00%41.58亿0.00%41.58亿0.00%41.58亿0.00%41.58亿0.00%41.58亿0.00%41.58亿-9.23%41.58亿-9.41%41.58亿
-商誉 0.00%41.58亿0.00%41.58亿0.00%41.58亿0.00%41.58亿0.00%41.58亿0.00%41.58亿0.00%41.58亿0.00%41.58亿-9.15%41.58亿-9.12%41.58亿
非流动递延资产 -27.43%1,790.5万-38.96%1,782.1万-38.96%1,782.1万33.44%2,478.4万-20.35%2,538万-52.19%2,467.2万-45.72%2,919.8万-45.72%2,919.8万37.40%1,857.3万152.84%3,186.5万
其他非流动资产 9.18%9.56亿6.10%8.83亿6.10%8.83亿21.68%9.11亿19.94%8.94亿26.50%8.75亿29.90%8.33亿29.90%8.33亿12.32%7.49亿9.41%7.45亿
非流动资产合计 8.55%300.26亿8.45%294.77亿8.45%294.77亿4.87%282.19亿6.12%282.05亿4.16%276.62亿2.60%271.82亿2.60%271.82亿-0.46%269.09亿-2.29%265.79亿
总资产 14.91%351.56亿14.95%344.71亿14.95%344.71亿9.63%326.87亿8.20%316.93亿6.22%305.94亿4.54%299.87亿4.54%299.87亿2.02%298.16亿-0.07%292.91亿
负债
流动负债
短期借款与资本租赁负债 -74.95%3,257.3万-76.61%3,048万-76.61%3,048万-91.40%3,969.4万-88.83%8,724.4万-8.24%1.3亿-10.99%1.3亿-10.99%1.3亿210.12%4.61亿1,528.04%7.81亿
-短期借款 -----------------93.24%5,000万-10.00%9,000万-10.00%9,000万-10.00%9,000万315.00%4.15亿--7.4亿
-短期资本租赁负债 -18.61%3,257.3万-24.38%3,048万-24.38%3,048万-14.35%3,969.4万-8.88%3,724.4万-4.01%4,002.1万-13.12%4,030.5万-13.12%4,030.5万-4.95%4,634.7万-14.78%4,087.3万
应付款项 43.43%13.41亿120.88%17.15亿120.88%17.15亿72.82%19.06亿67.30%15.05亿18.91%9.35亿57.32%7.76亿57.32%7.76亿30.92%11.03亿2.53%9亿
-应付账款 49.18%10.91亿16.42%3.45亿16.42%3.45亿20.63%10.64亿15.85%8.93亿4.93%7.31亿-6.89%2.96亿-6.89%2.96亿16.66%8.82亿-4.45%7.71亿
-应付税费 22.78%2.5亿229.49%12.26亿229.49%12.26亿281.37%8.42亿374.82%6.12亿127.71%2.04亿358.25%3.72亿358.25%3.72亿155.86%2.21亿81.94%1.29亿
-其他应付款 ----33.00%1.44亿33.00%1.44亿------------14.60%1.08亿14.60%1.08亿--------
应计费用 ----2.68%2.84亿2.68%2.84亿-85.31%271.9万-72.68%579.1万-5.56%1,826.6万10.57%2.76亿10.57%2.76亿-4.64%1,850.5万160.09%2,120万
现行拨备 222.35%1.95亿146.74%1.45亿146.74%1.45亿109.37%1.04亿87.77%9,134.5万75.28%6,056.4万141.40%5,857.9万141.40%5,857.9万27.42%4,972.1万13.61%4,864.7万
养老金及其他退休福利计划 75.52%3,688.1万16.24%3,172.2万16.24%3,172.2万73.38%3,629.9万43.68%2,403.8万45.46%2,101.2万12.23%2,729万12.23%2,729万77.95%2,093.6万47.92%1,673万
其他流动负债 -67.54%2,347.5万9.80%2.67亿9.80%2.67亿82.06%1,919.3万-81.03%456万278.85%7,231.2万121.83%2.43亿121.83%2.43亿-74.77%1,054.2万32.36%2,403.2万
流动负债总额 31.69%16.29亿63.51%24.72亿63.51%24.72亿26.68%21.08亿-4.08%17.18亿21.83%12.37亿44.27%15.12亿44.27%15.12亿50.83%16.64亿78.06%17.91亿
非流动负债
长期借款与租赁负债 -75.09%2.87亿-74.74%2.91亿-74.74%2.91亿-74.36%2.96亿-46.44%6.46亿-37.80%11.51亿-38.01%11.52亿-38.01%11.52亿-41.09%11.54亿-41.62%12.07亿
-长期借款 -81.34%1.97亿-81.36%1.96亿-81.36%1.96亿-81.37%1.96亿-50.56%5.45亿-39.50%10.53亿-39.59%10.53亿-39.59%10.53亿-42.89%10.52亿-43.27%11.02亿
-长期租赁负债 -7.43%9,009.8万-4.25%9,471.9万-4.25%9,471.9万-1.94%9,985.6万-3.35%1.02亿-10.74%9,732.7万-14.10%9,892.1万-14.10%9,892.1万-12.62%1.02亿-16.02%1.05亿
长期拨备 20.71%12.91亿28.43%13.18亿28.43%13.18亿10.73%12.36亿31.62%12.82亿6.31%10.7亿-2.15%10.27亿-2.15%10.27亿23.63%11.16亿-1.31%9.74亿
员工福利 61.96%1,261.5万39.05%8,940.6万39.05%8,940.6万85.69%1,984.3万64.60%1,127.7万77.55%778.9万-4.61%6,429.8万-4.61%6,429.8万6.89%1,068.6万-33.98%685.1万
递延负债 4.91%54.51亿3.97%54.04亿3.97%54.04亿3.22%52.6亿3.07%52亿4.22%51.96亿4.00%51.97亿4.00%51.97亿2.90%50.96亿2.37%50.45亿
其他非流动负债 -27.82%2.1亿-23.82%1.54亿-23.82%1.54亿-3.97%2.6亿8.34%2.93亿-2.49%2.91亿-16.37%2.02亿-16.37%2.02亿-25.84%2.71亿-24.75%2.71亿
非流动负债总额 -6.01%72.51亿-5.04%72.57亿-5.04%72.57亿-7.53%70.72亿-0.94%74.33亿-5.27%77.15亿-6.96%76.42亿-6.96%76.42亿-6.61%76.48亿-10.16%75.04亿
负债总额 -0.80%88.81亿6.28%97.29亿6.28%97.29亿-1.42%91.79亿-1.55%91.51亿-2.27%89.52亿-1.17%91.54亿-1.17%91.54亿0.21%93.12亿-0.68%92.95亿
所有者权益
股本 -0.07%187.59亿0.13%187亿0.13%187亿0.80%188.12亿1.44%187.93亿2.03%187.72亿1.86%186.76亿1.86%186.76亿2.10%186.63亿1.65%185.26亿
-普通股股本 -0.07%187.59亿0.13%187亿0.13%187亿0.80%188.12亿1.44%187.93亿2.03%187.72亿1.86%186.76亿1.86%186.76亿2.10%186.63亿1.65%185.26亿
资本公积 ------0--0--------------0--0--0--0
留存收益 161.65%68.15亿169.66%54.64亿169.66%54.64亿152.89%43.68亿148.18%34.08亿134.63%26.05亿110.37%20.26亿110.37%20.26亿12.24%17.27亿-11.87%13.73亿
不影响留存收益的损益 439.12%5.36亿1,101.10%4.12亿1,101.10%4.12亿366.88%1.61亿288.70%1.77亿214.97%9,949.7万58.42%-4,114.7万58.42%-4,114.7万45.21%-6,041.6万-79.34%-9,357万
其他股本权益 -0.54%1.65亿-3.12%1.67亿-3.12%1.67亿-5.20%1.66亿-13.35%1.66亿-19.11%1.66亿-14.68%1.72亿-14.68%1.72亿-13.83%1.75亿-4.54%1.91亿
股东权益总额 21.41%262.75亿18.77%247.42亿18.77%247.42亿14.64%235.07亿12.73%225.42亿10.18%216.42亿7.26%208.33亿7.26%208.33亿2.87%205.05亿0.22%199.96亿
总权益 21.41%262.75亿18.77%247.42亿18.77%247.42亿14.64%235.07亿12.73%225.42亿10.18%216.42亿7.26%208.33亿7.26%208.33亿2.87%205.05亿0.22%199.96亿
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 --无保留意见--------无保留意见------

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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