美股市场个股详情

CDPYF CANADIAN APARTMENT PROPERTIES REAL

添加自选
  • 29.650
  • +0.340+1.16%
延时15分钟行情收盘价 12/20 16:00 (美东)
  • 29.611
  • -0.039-0.13%
盘后 16:41 (美东)
49.58亿总市值20.66市盈率TTM

CANADIAN APARTMENT PROPERTIES REAL关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2024/09/30
(Q2)2024/06/30
(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
资产
流动资产
现金及现金等价物和短期投资
-34.54%3,471.3万
117.71%8,027.4万
516.04%1.64亿
-31.86%3,521.5万
-31.86%3,521.5万
-48.46%5,303.1万
-83.84%3,687.2万
-58.37%2,655.7万
-29.60%5,168.1万
-29.60%5,168.1万
-现金和现金等价物
-51.59%2,336.5万
134.59%7,823.8万
137.84%5,849.5万
-37.58%2,952.8万
-37.58%2,952.8万
-52.35%4,826.6万
-85.38%3,335.1万
-61.45%2,459.4万
-35.56%4,730.3万
-35.56%4,730.3万
-短期投资
138.15%1,134.8万
-42.18%203.6万
5,254.36%1.05亿
29.90%568.7万
29.90%568.7万
199.12%476.5万
--352.1万
--196.3万
--437.8万
--437.8万
应收款项
4.41%6,574.3万
260.33%6,578.5万
206.20%6,741.4万
298.10%6,332.6万
298.10%6,332.6万
236.35%6,296.9万
-6.90%1,825.7万
-16.13%2,201.6万
-10.96%1,590.7万
-10.96%1,590.7万
-应收账款
23.34%1,994.3万
3.99%1,898.5万
1.34%2,061.4万
3.89%1,652.6万
3.89%1,652.6万
--1,616.9万
--1,825.7万
--2,034.1万
--1,590.7万
--1,590.7万
-应收贷款
-2.14%4,580万
--4,680万
--4,680万
--4,680万
--4,680万
--4,680万
----
----
--0
--0
-其他应收款
----
----
----
----
----
----
----
-93.62%167.5万
----
----
存货
--0
-61.17%489.9万
-71.63%517.8万
-60.66%637.6万
-60.66%637.6万
-21.08%886.1万
25.46%1,261.8万
84.46%1,825万
99.15%1,620.7万
99.15%1,620.7万
预付费用
----
----
----
----
----
-27.68%3,155.1万
-4.89%4,183.1万
13.81%2,704.6万
----
----
受限制现金
7.35%1,153.9万
4.84%1,079.3万
11.09%1,093.9万
11.41%1,075.6万
11.41%1,075.6万
12.35%1,074.9万
8.99%1,029.5万
3.48%984.7万
-12.12%965.4万
-12.12%965.4万
其他流动资产
2,274.70%3,528.8万
3,130.24%4,774.3万
--3,646万
-28.50%1,701.4万
-28.50%1,701.4万
--148.6万
--147.8万
----
--2,379.7万
--2,379.7万
流动资产合计
775.06%20.29亿
186.55%4.38亿
202.84%3.25亿
-24.12%1.89亿
-24.12%1.89亿
9.07%2.32亿
-54.27%1.53亿
-28.60%1.07亿
81.94%2.5亿
81.94%2.5亿
非流动资产
固定资产净额
-6.99%1,352.9万
-6.87%1,420.4万
-5.92%1,489.7万
-11.71%1,552.8万
-11.71%1,552.8万
-7.80%1,454.5万
-1.88%1,525.2万
-9.19%1,583.5万
2.32%1,758.7万
2.32%1,758.7万
-固定资产
8.47%6,630.8万
8.29%6,534.7万
8.73%6,449.9万
6.61%6,362.4万
6.61%6,362.4万
12.95%6,113.3万
15.82%6,034.4万
13.54%5,932.1万
17.49%5,967.8万
17.49%5,967.8万
-累计折旧
-13.29%-5,277.9万
-13.42%-5,114.3万
-14.06%-4,960.2万
-14.27%-4,809.6万
-14.27%-4,809.6万
-21.49%-4,658.8万
-23.35%-4,509.2万
-24.92%-4,348.6万
-25.25%-4,209.1万
-25.25%-4,209.1万
投资和预付款
-89.48%1,537.7万
-88.80%1,669.4万
-89.72%1,874.6万
-14.09%1.76亿
-14.09%1.76亿
-25.21%1.46亿
-30.72%1.49亿
-28.29%1.82亿
-31.01%2.05亿
-31.01%2.05亿
长期应收票据
--1,807.4万
----
----
--0
--0
--0
0.00%4,680万
-59.30%4,680万
-59.30%4,680万
-59.30%4,680万
长期应收款
----
----
----
----
----
-1.64%185.7万
-0.16%185.6万
4.42%196万
----
----
金融资产
-55.89%2,426.6万
-34.98%3,669.5万
-31.41%3,644.1万
-43.10%3,561.9万
-43.10%3,561.9万
-34.56%5,501.8万
-12.21%5,644万
34.72%5,313.2万
179.21%6,259.9万
179.21%6,259.9万
非流动递延资产
23.62%1,691.8万
47.13%1,979.4万
52.93%2,083.7万
216.26%1,952.3万
216.26%1,952.3万
184.71%1,368.6万
143.01%1,345.3万
158.29%1,362.5万
-2.77%617.3万
-2.77%617.3万
非流动资产合计
-9.40%151.43亿
-3.53%166.88亿
-3.72%167.87亿
-4.08%167.79亿
-4.08%167.79亿
-3.07%167.14亿
0.43%172.98亿
-2.99%174.35亿
-0.48%174.92亿
-0.48%174.92亿
总资产
1.33%171.72亿
-1.86%171.26亿
-2.46%171.11亿
-4.36%169.69亿
-4.36%169.69亿
-2.92%169.46亿
-0.61%174.51亿
-3.20%175.42亿
0.16%177.42亿
0.16%177.42亿
负债
流动负债
应付款项
0.84%6,716.1万
0.47%6,441.4万
-19.40%5,889.8万
-15.20%6,743.9万
-15.20%6,743.9万
-2.29%6,660.3万
-6.73%6,411.1万
3.92%7,307.8万
-2.23%7,952.9万
-2.23%7,952.9万
-应付账款
-6.69%4,025.2万
-8.33%3,537.5万
-32.91%3,213.1万
-24.60%4,170.5万
-24.60%4,170.5万
-4.61%4,313.7万
-9.36%3,858.8万
8.58%4,789.1万
-2.68%5,531.3万
-2.68%5,531.3万
-应付税费
168.69%600.8万
105.18%884.1万
67.39%657.5万
62.06%446.3万
62.06%446.3万
51.90%223.6万
1,141.79%430.9万
192.92%392.8万
-1.92%275.4万
-1.92%275.4万
-应付股利
-1.55%2,090.1万
-4.79%2,019.8万
-5.02%2,019.2万
-0.89%2,127.1万
-0.89%2,127.1万
-1.10%2,123万
-2.75%2,121.4万
-3.11%2,125.9万
-1.09%2,146.2万
-1.09%2,146.2万
应计费用
-7.15%6,925.9万
7.27%6,942.1万
5.28%7,080.9万
0.96%8,078.1万
0.96%8,078.1万
-5.43%7,458.9万
-7.49%6,471.6万
-15.93%6,725.6万
0.30%8,001.4万
0.30%8,001.4万
短期借款与租赁负债
-20.49%5.91亿
27.60%7.65亿
32.43%8.45亿
6.21%6.51亿
6.21%6.51亿
18.96%7.43亿
31.57%5.99亿
28.72%6.38亿
-4.86%6.13亿
-4.86%6.13亿
-短期借款
-20.35%5.91亿
27.87%7.65亿
32.68%8.45亿
6.21%6.51亿
6.21%6.51亿
18.98%7.42亿
31.63%5.98亿
28.78%6.37亿
-4.69%6.13亿
-4.69%6.13亿
-短期租赁负债
----
----
----
----
----
7.71%125.8万
7.95%123.6万
3.76%121.4万
----
----
递延负债
7.09%1,741万
-1.88%1,606.6万
-12.22%1,539.1万
-9.61%1,496.3万
-9.61%1,496.3万
0.08%1,625.8万
4.65%1,637.4万
4.18%1,753.3万
5.39%1,655.4万
5.39%1,655.4万
其他流动负债
220.94%4.2亿
101.61%2.95亿
120.61%3.11亿
-3.41%1.61亿
-3.41%1.61亿
12.42%1.31亿
21.60%1.46亿
4.22%1.41亿
13.60%1.67亿
13.60%1.67亿
流动负债总额
13.15%11.79亿
35.16%12.21亿
38.36%13.13亿
2.21%9.88亿
2.21%9.88亿
13.97%10.42亿
21.75%9.03亿
15.57%9.49亿
-2.44%9.67亿
-2.44%9.67亿
非流动负债
长期借款与租赁负债
2.55%64.95亿
-1.74%64.07亿
-1.65%63.62亿
0.84%64.54亿
0.84%64.54亿
0.14%63.33亿
1.55%65.21亿
1.28%64.68亿
10.05%64亿
10.05%64亿
-长期借款
2.59%64.5亿
-1.74%63.62亿
-1.63%63.16亿
0.87%64.08亿
0.87%64.08亿
0.16%62.87亿
1.58%64.74亿
1.30%64.21亿
10.15%63.53亿
10.15%63.53亿
-长期租赁负债
-2.90%4,516万
-2.84%4,550.2万
-4.10%4,584.5万
-2.70%4,617.8万
-2.70%4,617.8万
-2.63%4,650.9万
-2.57%4,683万
-0.38%4,780.4万
-1.77%4,746万
-1.77%4,746万
递延负债
-45.82%3,149.4万
-18.50%5,307.4万
-37.66%5,011.4万
-58.95%4,948.1万
-58.95%4,948.1万
-58.83%5,812.4万
-53.56%6,512.3万
-44.45%8,039.1万
-10.04%1.21亿
-10.04%1.21亿
员工福利
70.92%1,618.3万
14.08%1,221.3万
28.79%1,156.5万
41.81%1,107万
41.81%1,107万
35.76%946.8万
29.99%1,070.6万
-21.11%898万
-45.31%780.6万
-45.31%780.6万
其他非流动负债
-99.67%65.9万
-99.71%65.9万
-99.75%65.9万
-22.84%1.87亿
-22.84%1.87亿
-15.77%1.99亿
-18.80%2.31亿
-34.15%2.61亿
-31.99%2.43亿
-31.99%2.43亿
非流动负债总额
-0.86%65.44亿
-5.20%64.73亿
-5.79%64.24亿
-1.03%67.02亿
-1.03%67.02亿
-1.63%66亿
-0.39%68.28亿
-1.73%68.19亿
7.11%67.71亿
7.11%67.71亿
总负债
1.05%77.23亿
-0.48%76.94亿
-0.40%77.37亿
-0.62%76.9亿
-0.62%76.9亿
0.24%76.42亿
1.77%77.31亿
0.10%77.68亿
5.81%77.38亿
5.81%77.38亿
所有者权益
股本
1.90%42.2亿
1.99%42.17亿
1.85%42.15亿
1.05%42.27亿
1.05%42.27亿
-0.00%41.41亿
-1.82%41.35亿
-1.89%41.38亿
-0.26%41.83亿
-0.26%41.83亿
-普通股股本
1.90%42.2亿
1.99%42.17亿
1.85%42.15亿
1.05%42.27亿
1.05%42.27亿
-0.00%41.41亿
-1.82%41.35亿
-1.89%41.38亿
-0.26%41.83亿
-0.26%41.83亿
留存收益
0.24%52.1亿
-6.97%52.25亿
-8.30%51.73亿
-13.38%50.64亿
-13.38%50.64亿
-10.82%51.98亿
-4.60%56.16亿
-9.48%56.41亿
-6.45%58.46亿
-6.45%58.46亿
不影响留存收益的损益
158.38%2,018.8万
68.17%-979.7万
-185.98%-1,311.2万
51.52%-1,254.2万
51.52%-1,254.2万
74.69%-3,458.1万
77.49%-3,078万
94.77%-458.5万
40.38%-2,587.3万
40.38%-2,587.3万
股东权益总额
1.57%94.5亿
-2.96%94.32亿
-4.09%93.74亿
-7.25%92.79亿
-7.25%92.79亿
-5.38%93.04亿
-2.42%97.2亿
-5.67%97.74亿
-3.81%100.04亿
-3.81%100.04亿
总权益
1.57%94.5亿
-2.96%94.32亿
-4.09%93.74亿
-7.25%92.79亿
-7.25%92.79亿
-5.38%93.04亿
-2.42%97.2亿
-5.67%97.74亿
-3.81%100.04亿
-3.81%100.04亿
货币单位
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
审计意见
--
--
--
无保留意见
--
--
--
--
无保留意见
--
(Q3)2024/09/30(Q2)2024/06/30(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
资产
流动资产
现金及现金等价物和短期投资 -34.54%3,471.3万117.71%8,027.4万516.04%1.64亿-31.86%3,521.5万-31.86%3,521.5万-48.46%5,303.1万-83.84%3,687.2万-58.37%2,655.7万-29.60%5,168.1万-29.60%5,168.1万
-现金和现金等价物 -51.59%2,336.5万134.59%7,823.8万137.84%5,849.5万-37.58%2,952.8万-37.58%2,952.8万-52.35%4,826.6万-85.38%3,335.1万-61.45%2,459.4万-35.56%4,730.3万-35.56%4,730.3万
-短期投资 138.15%1,134.8万-42.18%203.6万5,254.36%1.05亿29.90%568.7万29.90%568.7万199.12%476.5万--352.1万--196.3万--437.8万--437.8万
应收款项 4.41%6,574.3万260.33%6,578.5万206.20%6,741.4万298.10%6,332.6万298.10%6,332.6万236.35%6,296.9万-6.90%1,825.7万-16.13%2,201.6万-10.96%1,590.7万-10.96%1,590.7万
-应收账款 23.34%1,994.3万3.99%1,898.5万1.34%2,061.4万3.89%1,652.6万3.89%1,652.6万--1,616.9万--1,825.7万--2,034.1万--1,590.7万--1,590.7万
-应收贷款 -2.14%4,580万--4,680万--4,680万--4,680万--4,680万--4,680万----------0--0
-其他应收款 -----------------------------93.62%167.5万--------
存货 --0-61.17%489.9万-71.63%517.8万-60.66%637.6万-60.66%637.6万-21.08%886.1万25.46%1,261.8万84.46%1,825万99.15%1,620.7万99.15%1,620.7万
预付费用 ---------------------27.68%3,155.1万-4.89%4,183.1万13.81%2,704.6万--------
受限制现金 7.35%1,153.9万4.84%1,079.3万11.09%1,093.9万11.41%1,075.6万11.41%1,075.6万12.35%1,074.9万8.99%1,029.5万3.48%984.7万-12.12%965.4万-12.12%965.4万
其他流动资产 2,274.70%3,528.8万3,130.24%4,774.3万--3,646万-28.50%1,701.4万-28.50%1,701.4万--148.6万--147.8万------2,379.7万--2,379.7万
流动资产合计 775.06%20.29亿186.55%4.38亿202.84%3.25亿-24.12%1.89亿-24.12%1.89亿9.07%2.32亿-54.27%1.53亿-28.60%1.07亿81.94%2.5亿81.94%2.5亿
非流动资产
固定资产净额 -6.99%1,352.9万-6.87%1,420.4万-5.92%1,489.7万-11.71%1,552.8万-11.71%1,552.8万-7.80%1,454.5万-1.88%1,525.2万-9.19%1,583.5万2.32%1,758.7万2.32%1,758.7万
-固定资产 8.47%6,630.8万8.29%6,534.7万8.73%6,449.9万6.61%6,362.4万6.61%6,362.4万12.95%6,113.3万15.82%6,034.4万13.54%5,932.1万17.49%5,967.8万17.49%5,967.8万
-累计折旧 -13.29%-5,277.9万-13.42%-5,114.3万-14.06%-4,960.2万-14.27%-4,809.6万-14.27%-4,809.6万-21.49%-4,658.8万-23.35%-4,509.2万-24.92%-4,348.6万-25.25%-4,209.1万-25.25%-4,209.1万
投资和预付款 -89.48%1,537.7万-88.80%1,669.4万-89.72%1,874.6万-14.09%1.76亿-14.09%1.76亿-25.21%1.46亿-30.72%1.49亿-28.29%1.82亿-31.01%2.05亿-31.01%2.05亿
长期应收票据 --1,807.4万----------0--0--00.00%4,680万-59.30%4,680万-59.30%4,680万-59.30%4,680万
长期应收款 ---------------------1.64%185.7万-0.16%185.6万4.42%196万--------
金融资产 -55.89%2,426.6万-34.98%3,669.5万-31.41%3,644.1万-43.10%3,561.9万-43.10%3,561.9万-34.56%5,501.8万-12.21%5,644万34.72%5,313.2万179.21%6,259.9万179.21%6,259.9万
非流动递延资产 23.62%1,691.8万47.13%1,979.4万52.93%2,083.7万216.26%1,952.3万216.26%1,952.3万184.71%1,368.6万143.01%1,345.3万158.29%1,362.5万-2.77%617.3万-2.77%617.3万
非流动资产合计 -9.40%151.43亿-3.53%166.88亿-3.72%167.87亿-4.08%167.79亿-4.08%167.79亿-3.07%167.14亿0.43%172.98亿-2.99%174.35亿-0.48%174.92亿-0.48%174.92亿
总资产 1.33%171.72亿-1.86%171.26亿-2.46%171.11亿-4.36%169.69亿-4.36%169.69亿-2.92%169.46亿-0.61%174.51亿-3.20%175.42亿0.16%177.42亿0.16%177.42亿
负债
流动负债
应付款项 0.84%6,716.1万0.47%6,441.4万-19.40%5,889.8万-15.20%6,743.9万-15.20%6,743.9万-2.29%6,660.3万-6.73%6,411.1万3.92%7,307.8万-2.23%7,952.9万-2.23%7,952.9万
-应付账款 -6.69%4,025.2万-8.33%3,537.5万-32.91%3,213.1万-24.60%4,170.5万-24.60%4,170.5万-4.61%4,313.7万-9.36%3,858.8万8.58%4,789.1万-2.68%5,531.3万-2.68%5,531.3万
-应付税费 168.69%600.8万105.18%884.1万67.39%657.5万62.06%446.3万62.06%446.3万51.90%223.6万1,141.79%430.9万192.92%392.8万-1.92%275.4万-1.92%275.4万
-应付股利 -1.55%2,090.1万-4.79%2,019.8万-5.02%2,019.2万-0.89%2,127.1万-0.89%2,127.1万-1.10%2,123万-2.75%2,121.4万-3.11%2,125.9万-1.09%2,146.2万-1.09%2,146.2万
应计费用 -7.15%6,925.9万7.27%6,942.1万5.28%7,080.9万0.96%8,078.1万0.96%8,078.1万-5.43%7,458.9万-7.49%6,471.6万-15.93%6,725.6万0.30%8,001.4万0.30%8,001.4万
短期借款与租赁负债 -20.49%5.91亿27.60%7.65亿32.43%8.45亿6.21%6.51亿6.21%6.51亿18.96%7.43亿31.57%5.99亿28.72%6.38亿-4.86%6.13亿-4.86%6.13亿
-短期借款 -20.35%5.91亿27.87%7.65亿32.68%8.45亿6.21%6.51亿6.21%6.51亿18.98%7.42亿31.63%5.98亿28.78%6.37亿-4.69%6.13亿-4.69%6.13亿
-短期租赁负债 --------------------7.71%125.8万7.95%123.6万3.76%121.4万--------
递延负债 7.09%1,741万-1.88%1,606.6万-12.22%1,539.1万-9.61%1,496.3万-9.61%1,496.3万0.08%1,625.8万4.65%1,637.4万4.18%1,753.3万5.39%1,655.4万5.39%1,655.4万
其他流动负债 220.94%4.2亿101.61%2.95亿120.61%3.11亿-3.41%1.61亿-3.41%1.61亿12.42%1.31亿21.60%1.46亿4.22%1.41亿13.60%1.67亿13.60%1.67亿
流动负债总额 13.15%11.79亿35.16%12.21亿38.36%13.13亿2.21%9.88亿2.21%9.88亿13.97%10.42亿21.75%9.03亿15.57%9.49亿-2.44%9.67亿-2.44%9.67亿
非流动负债
长期借款与租赁负债 2.55%64.95亿-1.74%64.07亿-1.65%63.62亿0.84%64.54亿0.84%64.54亿0.14%63.33亿1.55%65.21亿1.28%64.68亿10.05%64亿10.05%64亿
-长期借款 2.59%64.5亿-1.74%63.62亿-1.63%63.16亿0.87%64.08亿0.87%64.08亿0.16%62.87亿1.58%64.74亿1.30%64.21亿10.15%63.53亿10.15%63.53亿
-长期租赁负债 -2.90%4,516万-2.84%4,550.2万-4.10%4,584.5万-2.70%4,617.8万-2.70%4,617.8万-2.63%4,650.9万-2.57%4,683万-0.38%4,780.4万-1.77%4,746万-1.77%4,746万
递延负债 -45.82%3,149.4万-18.50%5,307.4万-37.66%5,011.4万-58.95%4,948.1万-58.95%4,948.1万-58.83%5,812.4万-53.56%6,512.3万-44.45%8,039.1万-10.04%1.21亿-10.04%1.21亿
员工福利 70.92%1,618.3万14.08%1,221.3万28.79%1,156.5万41.81%1,107万41.81%1,107万35.76%946.8万29.99%1,070.6万-21.11%898万-45.31%780.6万-45.31%780.6万
其他非流动负债 -99.67%65.9万-99.71%65.9万-99.75%65.9万-22.84%1.87亿-22.84%1.87亿-15.77%1.99亿-18.80%2.31亿-34.15%2.61亿-31.99%2.43亿-31.99%2.43亿
非流动负债总额 -0.86%65.44亿-5.20%64.73亿-5.79%64.24亿-1.03%67.02亿-1.03%67.02亿-1.63%66亿-0.39%68.28亿-1.73%68.19亿7.11%67.71亿7.11%67.71亿
总负债 1.05%77.23亿-0.48%76.94亿-0.40%77.37亿-0.62%76.9亿-0.62%76.9亿0.24%76.42亿1.77%77.31亿0.10%77.68亿5.81%77.38亿5.81%77.38亿
所有者权益
股本 1.90%42.2亿1.99%42.17亿1.85%42.15亿1.05%42.27亿1.05%42.27亿-0.00%41.41亿-1.82%41.35亿-1.89%41.38亿-0.26%41.83亿-0.26%41.83亿
-普通股股本 1.90%42.2亿1.99%42.17亿1.85%42.15亿1.05%42.27亿1.05%42.27亿-0.00%41.41亿-1.82%41.35亿-1.89%41.38亿-0.26%41.83亿-0.26%41.83亿
留存收益 0.24%52.1亿-6.97%52.25亿-8.30%51.73亿-13.38%50.64亿-13.38%50.64亿-10.82%51.98亿-4.60%56.16亿-9.48%56.41亿-6.45%58.46亿-6.45%58.46亿
不影响留存收益的损益 158.38%2,018.8万68.17%-979.7万-185.98%-1,311.2万51.52%-1,254.2万51.52%-1,254.2万74.69%-3,458.1万77.49%-3,078万94.77%-458.5万40.38%-2,587.3万40.38%-2,587.3万
股东权益总额 1.57%94.5亿-2.96%94.32亿-4.09%93.74亿-7.25%92.79亿-7.25%92.79亿-5.38%93.04亿-2.42%97.2亿-5.67%97.74亿-3.81%100.04亿-3.81%100.04亿
总权益 1.57%94.5亿-2.96%94.32亿-4.09%93.74亿-7.25%92.79亿-7.25%92.79亿-5.38%93.04亿-2.42%97.2亿-5.67%97.74亿-3.81%100.04亿-3.81%100.04亿
货币单位 加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元
审计意见 ------无保留意见--------无保留意见--
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