加拿大市场个股详情

Canaccord Genuity Group Inc (CF)

添加自选
  • 12.130
  • -0.120-0.98%
延时15分钟行情已收盘 05/15 16:00 (美东)
12.18亿总市值-5.56市盈率TTM

Canaccord Genuity Group Inc (CF) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2025/12/31
(Q2)2025/09/30
(Q1)2025/06/30
(FY)2025/03/31
(Q4)2025/03/31
(Q3)2024/12/31
(Q2)2024/09/30
(Q1)2024/06/30
(FY)2024/03/31
(Q4)2024/03/31
资产
流动资产
现金及现金等价物和短期投资
33.62%22.98亿
13.71%20.7亿
5.67%19.63亿
32.50%18.96亿
32.50%18.96亿
39.91%17.2亿
67.82%18.2亿
72.62%18.58亿
-16.99%14.31亿
-16.99%14.31亿
-现金和现金等价物
41.75%16.71亿
18.93%13.14亿
40.54%12.61亿
39.46%11.93亿
39.46%11.93亿
78.01%11.79亿
135.26%11.05亿
48.13%8.97亿
-15.16%8.56亿
-15.16%8.56亿
-短期投资
15.91%6.27亿
5.63%7.55亿
-26.91%7.02亿
22.16%7.02亿
22.16%7.02亿
-4.60%5.41亿
16.30%7.15亿
104.17%9.6亿
-19.59%5.75亿
-19.59%5.75亿
应收款项
27.48%25.83亿
14.03%36.19亿
29.51%31.69亿
-4.05%30.62亿
-4.05%30.62亿
-6.89%20.26亿
8.17%31.74亿
-2.54%24.47亿
4.37%31.91亿
4.37%31.91亿
-应收账款
39.83%8.41亿
43.30%11.1亿
36.84%8.51亿
-15.82%6.69亿
-15.82%6.69亿
-9.39%6.02亿
-9.32%7.75亿
-21.95%6.22亿
-8.64%7.95亿
-8.64%7.95亿
-应收税费
-60.74%1,479.8万
-50.04%2,183.5万
-25.92%3,151.5万
-16.76%2,809.5万
-16.76%2,809.5万
-6.62%3,769万
-24.48%4,370.1万
-22.71%4,253.9万
-1.33%3,375.3万
-1.33%3,375.3万
-其他应收款
24.52%17.27亿
5.58%24.87亿
28.27%22.86亿
0.09%23.65亿
0.09%23.65亿
-5.77%13.87亿
16.49%23.55亿
7.45%17.82亿
9.72%23.63亿
9.72%23.63亿
受限制现金
48.87%4.1亿
38.87%3.52亿
8.94%2.82亿
8.57%2.92亿
8.57%2.92亿
2.82%2.76亿
-10.19%2.54亿
-11.63%2.59亿
-19.05%2.69亿
-19.05%2.69亿
流动资产合计
31.57%52.91亿
15.12%60.41亿
18.64%54.14亿
7.34%52.49亿
7.34%52.49亿
9.48%40.22亿
22.01%52.48亿
17.62%45.64亿
-4.35%48.9亿
-4.35%48.9亿
非流动资产
固定资产净额
-8.77%2.97亿
-5.81%2.97亿
10.85%3亿
23.09%3.13亿
23.09%3.13亿
52.17%3.25亿
97.75%3.15亿
88.62%2.71亿
67.39%2.54亿
67.39%2.54亿
-固定资产
-8.77%2.97亿
-5.81%2.97亿
10.85%3亿
20.01%6.02亿
20.01%6.02亿
52.17%3.25亿
97.75%3.15亿
88.62%2.71亿
37.74%5.02亿
37.74%5.02亿
-累计折旧
----
----
----
-16.84%-2.89亿
-16.84%-2.89亿
----
----
----
-16.53%-2.47亿
-16.53%-2.47亿
投资和预付款
-8.11%1,134.8万
-7.85%1,111.3万
-9.22%1,126.3万
-8.53%1,181.2万
-8.53%1,181.2万
-21.20%1,235万
-23.68%1,206万
-30.68%1,240.7万
-28.66%1,291.3万
-28.66%1,291.3万
-长期股权投资
----
-4.20%383.2万
-2.53%415.6万
0.09%426.9万
0.09%426.9万
-10.72%380.8万
-6.21%400万
-34.29%426.4万
-34.71%426.5万
-34.71%426.5万
-金融资产投资
----
-9.67%728.1万
-12.72%710.7万
-12.78%754.3万
-12.78%754.3万
-25.12%854.2万
-30.14%806万
-28.62%814.3万
-25.25%864.8万
-25.25%864.8万
-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
----
-9.67%728.1万
-12.72%710.7万
-12.78%754.3万
-12.78%754.3万
-25.12%854.2万
-30.14%806万
-28.62%814.3万
-25.25%864.8万
-25.25%864.8万
长期应收款
7.94%5,640.8万
8.41%5,649.7万
37.42%6,336.7万
--5,197.4万
--5,197.4万
--5,225.9万
--5,211.5万
--4,611.2万
----
----
商誉及其他无形资产
-5.61%9.22亿
-4.00%9.05亿
10.52%10.17亿
14.28%10.33亿
14.28%10.33亿
6.68%9.77亿
3.02%9.43亿
-0.86%9.2亿
-2.68%9.04亿
-2.68%9.04亿
-商誉
-13.58%5.77亿
-11.19%5.73亿
7.83%6.77亿
11.54%6.87亿
11.54%6.87亿
7.07%6.68亿
3.87%6.45亿
0.84%6.28亿
-1.17%6.16亿
-1.17%6.16亿
-其他无形资产
11.59%3.45亿
11.55%3.32亿
16.30%3.4亿
20.15%3.46亿
20.15%3.46亿
5.84%3.09亿
1.22%2.98亿
-4.31%2.92亿
-5.76%2.88亿
-5.76%2.88亿
非流动递延资产
-48.34%3,587.9万
-27.32%4,620.7万
-6.20%6,215.9万
-13.28%6,157.5万
-13.28%6,157.5万
4.93%6,944.7万
-7.63%6,357.2万
-10.03%6,627.1万
-21.74%7,100.4万
-21.74%7,100.4万
非流动资产合计
-7.92%13.22亿
-5.05%13.16亿
10.50%14.54亿
18.46%14.71亿
18.46%14.71亿
18.56%14.36亿
19.54%13.86亿
13.12%13.16亿
4.42%12.42亿
4.42%12.42亿
总资产
21.18%66.14亿
10.90%73.56亿
16.82%68.68亿
9.59%67.21亿
9.59%67.21亿
11.73%54.58亿
21.48%66.33亿
16.58%58.8亿
-2.70%61.32亿
-2.70%61.32亿
负债
流动负债
短期借款与资本租赁负债
23.29%6.08亿
-6.24%8.88亿
18.98%7.34亿
-17.42%3,778.3万
-17.42%3,778.3万
4.24%4.93亿
34.35%9.47亿
45.73%6.17亿
-3.79%4,575.1万
-3.79%4,575.1万
-短期借款
23.29%5.78亿
-7.24%8.58亿
18.78%7.03亿
-64.58%750万
-64.58%750万
4.66%4.69亿
36.23%9.25亿
49.04%5.92亿
1.58%2,117.2万
1.58%2,117.2万
-短期资本租赁负债
23.17%3,045.9万
35.86%2,982.2万
23.68%3,161.3万
23.21%3,028.3万
23.21%3,028.3万
-3.10%2,473万
-15.00%2,195万
-3.76%2,556万
-7.99%2,457.9万
-7.99%2,457.9万
应付款项
37.90%31.04亿
10.80%37.47亿
25.12%34.4亿
6.74%31.68亿
6.74%31.68亿
10.61%22.51亿
21.60%33.82亿
18.94%27.5亿
-4.34%29.68亿
-4.34%29.68亿
-应付账款
33.04%21.27亿
46.51%22.65亿
51.91%20.25亿
9.94%17.07亿
9.94%17.07亿
24.10%15.99亿
9.26%15.46亿
-6.63%13.33亿
-10.73%15.52亿
-10.73%15.52亿
-应付税费
161.75%1,642.5万
183.61%841.2万
324.91%620.8万
258.11%750.6万
258.11%750.6万
239.74%627.5万
36.68%296.6万
-23.43%146.1万
-3.72%209.6万
-3.72%209.6万
-其他应付款
48.71%9.61亿
-19.61%14.73亿
-0.41%14.09亿
2.86%14.54亿
2.86%14.54亿
-13.28%6.46亿
34.36%18.33亿
60.40%14.15亿
3.82%14.14亿
3.82%14.14亿
应计费用
32.47%6.18亿
7.10%4.79亿
-4.48%3.65亿
12.50%5.6亿
12.50%5.6亿
12.19%4.66亿
21.78%4.48亿
0.43%3.82亿
-19.73%4.98亿
-19.73%4.98亿
现行拨备
198.58%1.09亿
455.93%1.1亿
47.03%3,183.7万
78.05%3,740.2万
78.05%3,740.2万
78.58%3,636万
-21.66%1,979万
-1.77%2,165.3万
6.85%2,100.7万
6.85%2,100.7万
其他流动负债
-42.37%607万
-38.57%698.2万
-19.95%830万
20.18%6.07亿
20.18%6.07亿
13.00%1,053.3万
25.62%1,136.6万
-39.57%1,036.8万
-11.90%5.05亿
-11.90%5.05亿
流动负债总额
36.44%44.44亿
8.81%52.31亿
21.13%45.8亿
9.23%44.1亿
9.23%44.1亿
10.29%32.57亿
23.65%48.07亿
19.84%37.81亿
-7.46%40.38亿
-7.46%40.38亿
非流动负债
长期借款与租赁负债
22.00%7.85亿
166.61%7.6亿
32.17%7.47亿
31.14%7.33亿
31.14%7.33亿
48.36%6.44亿
198.31%2.85亿
47.78%5.65亿
44.70%5.59亿
44.70%5.59亿
-长期借款
30.21%5.6亿
543.52%5.34亿
42.27%5.32亿
43.14%5.28亿
43.14%5.28亿
48.20%4.3亿
--8,298.5万
25.78%3.74亿
25.55%3.69亿
25.55%3.69亿
-长期租赁负债
5.45%2.25亿
11.87%2.26亿
12.50%2.16亿
7.86%2.05亿
7.86%2.05亿
48.67%2.13亿
111.48%2.02亿
124.20%1.92亿
105.53%1.9亿
105.53%1.9亿
衍生品负债
32.50%1.78亿
37.91%1.68亿
47.47%1.58亿
18.02%1.3亿
18.02%1.3亿
--1.35亿
--1.22亿
--1.07亿
78.28%1.1亿
78.28%1.1亿
递延负债
27.74%9,007.3万
36.91%8,994.7万
26.42%8,469.2万
27.17%8,352.5万
27.17%8,352.5万
-53.86%7,051.3万
-56.83%6,569.6万
-56.56%6,699.2万
-28.92%6,568.2万
-28.92%6,568.2万
其他非流动负债
----
170.06%2,869.4万
82.86%2,222.3万
79.11%2,211.1万
79.11%2,211.1万
----
-88.99%1,062.5万
-87.41%1,215.3万
-66.34%1,234.5万
-66.34%1,234.5万
非流动负债总额
24.14%10.54亿
115.42%10.18亿
33.86%9.9亿
28.82%9.46亿
28.82%9.46亿
44.68%8.49亿
90.74%4.73亿
37.72%7.39亿
35.95%7.35亿
35.95%7.35亿
负债总额
33.90%54.98亿
18.36%62.49亿
23.21%55.7亿
12.25%53.57亿
12.25%53.57亿
15.99%41.06亿
27.67%52.8亿
22.44%45.21亿
-2.68%47.72亿
-2.68%47.72亿
所有者权益
股本
4.66%9.01亿
4.85%8.97亿
3.71%8.96亿
4.53%8.59亿
4.53%8.59亿
4.02%8.61亿
3.32%8.55亿
4.46%8.64亿
6.50%8.22亿
6.50%8.22亿
-普通股股本
6.13%6.95亿
6.38%6.91亿
4.86%6.91亿
6.05%6.54亿
6.05%6.54亿
5.35%6.55亿
4.41%6.5亿
5.93%6.59亿
8.86%6.17亿
8.86%6.17亿
-优先股股本
0.00%2.06亿
0.00%2.06亿
0.00%2.06亿
0.00%2.06亿
0.00%2.06亿
0.00%2.06亿
0.00%2.06亿
0.00%2.06亿
0.00%2.06亿
0.00%2.06亿
资本公积
----
----
----
--0
--0
--0
--0
--0
--0
--0
留存收益
-737.79%-3.14亿
-7,837.06%-3.22亿
-1,867.22%-1.08亿
-164.23%-3,760.4万
-164.23%-3,760.4万
-153.96%-3,743.5万
-106.46%-405.8万
-93.73%611.7万
-51.03%5,854.8万
-51.03%5,854.8万
不影响留存收益的损益
-22.56%1.07亿
-5.93%1.13亿
-15.06%9,787.7万
23.63%1.35亿
23.63%1.35亿
50.09%1.39亿
51.35%1.21亿
50.91%1.15亿
3.90%1.09亿
3.90%1.09亿
其他股本权益
----
-50.00%280.6万
-50.00%280.6万
-50.00%280.6万
-50.00%280.6万
-46.05%280.6万
-33.94%561.2万
-33.94%561.2万
-33.94%561.2万
-33.94%561.2万
股东权益总额
-28.01%6.94亿
-29.32%6.91亿
-10.32%8.89亿
-3.60%9.6亿
-3.60%9.6亿
-2.99%9.64亿
-0.14%9.77亿
-1.33%9.91亿
-5.59%9.96亿
-5.59%9.96亿
非控制性权益
8.81%4.21亿
10.80%4.17亿
11.37%4.09亿
10.83%4.04亿
10.83%4.04亿
10.46%3.87亿
8.67%3.76亿
6.04%3.68亿
5.95%3.64亿
5.95%3.64亿
总权益
-17.47%11.15亿
-18.17%11.08亿
-4.46%12.98亿
0.26%13.64亿
0.26%13.64亿
0.51%13.51亿
2.16%13.54亿
0.56%13.59亿
-2.75%13.6亿
-2.75%13.6亿
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
--
(Q3)2025/12/31(Q2)2025/09/30(Q1)2025/06/30(FY)2025/03/31(Q4)2025/03/31(Q3)2024/12/31(Q2)2024/09/30(Q1)2024/06/30(FY)2024/03/31(Q4)2024/03/31
资产
流动资产
现金及现金等价物和短期投资 33.62%22.98亿13.71%20.7亿5.67%19.63亿32.50%18.96亿32.50%18.96亿39.91%17.2亿67.82%18.2亿72.62%18.58亿-16.99%14.31亿-16.99%14.31亿
-现金和现金等价物 41.75%16.71亿18.93%13.14亿40.54%12.61亿39.46%11.93亿39.46%11.93亿78.01%11.79亿135.26%11.05亿48.13%8.97亿-15.16%8.56亿-15.16%8.56亿
-短期投资 15.91%6.27亿5.63%7.55亿-26.91%7.02亿22.16%7.02亿22.16%7.02亿-4.60%5.41亿16.30%7.15亿104.17%9.6亿-19.59%5.75亿-19.59%5.75亿
应收款项 27.48%25.83亿14.03%36.19亿29.51%31.69亿-4.05%30.62亿-4.05%30.62亿-6.89%20.26亿8.17%31.74亿-2.54%24.47亿4.37%31.91亿4.37%31.91亿
-应收账款 39.83%8.41亿43.30%11.1亿36.84%8.51亿-15.82%6.69亿-15.82%6.69亿-9.39%6.02亿-9.32%7.75亿-21.95%6.22亿-8.64%7.95亿-8.64%7.95亿
-应收税费 -60.74%1,479.8万-50.04%2,183.5万-25.92%3,151.5万-16.76%2,809.5万-16.76%2,809.5万-6.62%3,769万-24.48%4,370.1万-22.71%4,253.9万-1.33%3,375.3万-1.33%3,375.3万
-其他应收款 24.52%17.27亿5.58%24.87亿28.27%22.86亿0.09%23.65亿0.09%23.65亿-5.77%13.87亿16.49%23.55亿7.45%17.82亿9.72%23.63亿9.72%23.63亿
受限制现金 48.87%4.1亿38.87%3.52亿8.94%2.82亿8.57%2.92亿8.57%2.92亿2.82%2.76亿-10.19%2.54亿-11.63%2.59亿-19.05%2.69亿-19.05%2.69亿
流动资产合计 31.57%52.91亿15.12%60.41亿18.64%54.14亿7.34%52.49亿7.34%52.49亿9.48%40.22亿22.01%52.48亿17.62%45.64亿-4.35%48.9亿-4.35%48.9亿
非流动资产
固定资产净额 -8.77%2.97亿-5.81%2.97亿10.85%3亿23.09%3.13亿23.09%3.13亿52.17%3.25亿97.75%3.15亿88.62%2.71亿67.39%2.54亿67.39%2.54亿
-固定资产 -8.77%2.97亿-5.81%2.97亿10.85%3亿20.01%6.02亿20.01%6.02亿52.17%3.25亿97.75%3.15亿88.62%2.71亿37.74%5.02亿37.74%5.02亿
-累计折旧 -------------16.84%-2.89亿-16.84%-2.89亿-------------16.53%-2.47亿-16.53%-2.47亿
投资和预付款 -8.11%1,134.8万-7.85%1,111.3万-9.22%1,126.3万-8.53%1,181.2万-8.53%1,181.2万-21.20%1,235万-23.68%1,206万-30.68%1,240.7万-28.66%1,291.3万-28.66%1,291.3万
-长期股权投资 -----4.20%383.2万-2.53%415.6万0.09%426.9万0.09%426.9万-10.72%380.8万-6.21%400万-34.29%426.4万-34.71%426.5万-34.71%426.5万
-金融资产投资 -----9.67%728.1万-12.72%710.7万-12.78%754.3万-12.78%754.3万-25.12%854.2万-30.14%806万-28.62%814.3万-25.25%864.8万-25.25%864.8万
-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 -----9.67%728.1万-12.72%710.7万-12.78%754.3万-12.78%754.3万-25.12%854.2万-30.14%806万-28.62%814.3万-25.25%864.8万-25.25%864.8万
长期应收款 7.94%5,640.8万8.41%5,649.7万37.42%6,336.7万--5,197.4万--5,197.4万--5,225.9万--5,211.5万--4,611.2万--------
商誉及其他无形资产 -5.61%9.22亿-4.00%9.05亿10.52%10.17亿14.28%10.33亿14.28%10.33亿6.68%9.77亿3.02%9.43亿-0.86%9.2亿-2.68%9.04亿-2.68%9.04亿
-商誉 -13.58%5.77亿-11.19%5.73亿7.83%6.77亿11.54%6.87亿11.54%6.87亿7.07%6.68亿3.87%6.45亿0.84%6.28亿-1.17%6.16亿-1.17%6.16亿
-其他无形资产 11.59%3.45亿11.55%3.32亿16.30%3.4亿20.15%3.46亿20.15%3.46亿5.84%3.09亿1.22%2.98亿-4.31%2.92亿-5.76%2.88亿-5.76%2.88亿
非流动递延资产 -48.34%3,587.9万-27.32%4,620.7万-6.20%6,215.9万-13.28%6,157.5万-13.28%6,157.5万4.93%6,944.7万-7.63%6,357.2万-10.03%6,627.1万-21.74%7,100.4万-21.74%7,100.4万
非流动资产合计 -7.92%13.22亿-5.05%13.16亿10.50%14.54亿18.46%14.71亿18.46%14.71亿18.56%14.36亿19.54%13.86亿13.12%13.16亿4.42%12.42亿4.42%12.42亿
总资产 21.18%66.14亿10.90%73.56亿16.82%68.68亿9.59%67.21亿9.59%67.21亿11.73%54.58亿21.48%66.33亿16.58%58.8亿-2.70%61.32亿-2.70%61.32亿
负债
流动负债
短期借款与资本租赁负债 23.29%6.08亿-6.24%8.88亿18.98%7.34亿-17.42%3,778.3万-17.42%3,778.3万4.24%4.93亿34.35%9.47亿45.73%6.17亿-3.79%4,575.1万-3.79%4,575.1万
-短期借款 23.29%5.78亿-7.24%8.58亿18.78%7.03亿-64.58%750万-64.58%750万4.66%4.69亿36.23%9.25亿49.04%5.92亿1.58%2,117.2万1.58%2,117.2万
-短期资本租赁负债 23.17%3,045.9万35.86%2,982.2万23.68%3,161.3万23.21%3,028.3万23.21%3,028.3万-3.10%2,473万-15.00%2,195万-3.76%2,556万-7.99%2,457.9万-7.99%2,457.9万
应付款项 37.90%31.04亿10.80%37.47亿25.12%34.4亿6.74%31.68亿6.74%31.68亿10.61%22.51亿21.60%33.82亿18.94%27.5亿-4.34%29.68亿-4.34%29.68亿
-应付账款 33.04%21.27亿46.51%22.65亿51.91%20.25亿9.94%17.07亿9.94%17.07亿24.10%15.99亿9.26%15.46亿-6.63%13.33亿-10.73%15.52亿-10.73%15.52亿
-应付税费 161.75%1,642.5万183.61%841.2万324.91%620.8万258.11%750.6万258.11%750.6万239.74%627.5万36.68%296.6万-23.43%146.1万-3.72%209.6万-3.72%209.6万
-其他应付款 48.71%9.61亿-19.61%14.73亿-0.41%14.09亿2.86%14.54亿2.86%14.54亿-13.28%6.46亿34.36%18.33亿60.40%14.15亿3.82%14.14亿3.82%14.14亿
应计费用 32.47%6.18亿7.10%4.79亿-4.48%3.65亿12.50%5.6亿12.50%5.6亿12.19%4.66亿21.78%4.48亿0.43%3.82亿-19.73%4.98亿-19.73%4.98亿
现行拨备 198.58%1.09亿455.93%1.1亿47.03%3,183.7万78.05%3,740.2万78.05%3,740.2万78.58%3,636万-21.66%1,979万-1.77%2,165.3万6.85%2,100.7万6.85%2,100.7万
其他流动负债 -42.37%607万-38.57%698.2万-19.95%830万20.18%6.07亿20.18%6.07亿13.00%1,053.3万25.62%1,136.6万-39.57%1,036.8万-11.90%5.05亿-11.90%5.05亿
流动负债总额 36.44%44.44亿8.81%52.31亿21.13%45.8亿9.23%44.1亿9.23%44.1亿10.29%32.57亿23.65%48.07亿19.84%37.81亿-7.46%40.38亿-7.46%40.38亿
非流动负债
长期借款与租赁负债 22.00%7.85亿166.61%7.6亿32.17%7.47亿31.14%7.33亿31.14%7.33亿48.36%6.44亿198.31%2.85亿47.78%5.65亿44.70%5.59亿44.70%5.59亿
-长期借款 30.21%5.6亿543.52%5.34亿42.27%5.32亿43.14%5.28亿43.14%5.28亿48.20%4.3亿--8,298.5万25.78%3.74亿25.55%3.69亿25.55%3.69亿
-长期租赁负债 5.45%2.25亿11.87%2.26亿12.50%2.16亿7.86%2.05亿7.86%2.05亿48.67%2.13亿111.48%2.02亿124.20%1.92亿105.53%1.9亿105.53%1.9亿
衍生品负债 32.50%1.78亿37.91%1.68亿47.47%1.58亿18.02%1.3亿18.02%1.3亿--1.35亿--1.22亿--1.07亿78.28%1.1亿78.28%1.1亿
递延负债 27.74%9,007.3万36.91%8,994.7万26.42%8,469.2万27.17%8,352.5万27.17%8,352.5万-53.86%7,051.3万-56.83%6,569.6万-56.56%6,699.2万-28.92%6,568.2万-28.92%6,568.2万
其他非流动负债 ----170.06%2,869.4万82.86%2,222.3万79.11%2,211.1万79.11%2,211.1万-----88.99%1,062.5万-87.41%1,215.3万-66.34%1,234.5万-66.34%1,234.5万
非流动负债总额 24.14%10.54亿115.42%10.18亿33.86%9.9亿28.82%9.46亿28.82%9.46亿44.68%8.49亿90.74%4.73亿37.72%7.39亿35.95%7.35亿35.95%7.35亿
负债总额 33.90%54.98亿18.36%62.49亿23.21%55.7亿12.25%53.57亿12.25%53.57亿15.99%41.06亿27.67%52.8亿22.44%45.21亿-2.68%47.72亿-2.68%47.72亿
所有者权益
股本 4.66%9.01亿4.85%8.97亿3.71%8.96亿4.53%8.59亿4.53%8.59亿4.02%8.61亿3.32%8.55亿4.46%8.64亿6.50%8.22亿6.50%8.22亿
-普通股股本 6.13%6.95亿6.38%6.91亿4.86%6.91亿6.05%6.54亿6.05%6.54亿5.35%6.55亿4.41%6.5亿5.93%6.59亿8.86%6.17亿8.86%6.17亿
-优先股股本 0.00%2.06亿0.00%2.06亿0.00%2.06亿0.00%2.06亿0.00%2.06亿0.00%2.06亿0.00%2.06亿0.00%2.06亿0.00%2.06亿0.00%2.06亿
资本公积 --------------0--0--0--0--0--0--0
留存收益 -737.79%-3.14亿-7,837.06%-3.22亿-1,867.22%-1.08亿-164.23%-3,760.4万-164.23%-3,760.4万-153.96%-3,743.5万-106.46%-405.8万-93.73%611.7万-51.03%5,854.8万-51.03%5,854.8万
不影响留存收益的损益 -22.56%1.07亿-5.93%1.13亿-15.06%9,787.7万23.63%1.35亿23.63%1.35亿50.09%1.39亿51.35%1.21亿50.91%1.15亿3.90%1.09亿3.90%1.09亿
其他股本权益 -----50.00%280.6万-50.00%280.6万-50.00%280.6万-50.00%280.6万-46.05%280.6万-33.94%561.2万-33.94%561.2万-33.94%561.2万-33.94%561.2万
股东权益总额 -28.01%6.94亿-29.32%6.91亿-10.32%8.89亿-3.60%9.6亿-3.60%9.6亿-2.99%9.64亿-0.14%9.77亿-1.33%9.91亿-5.59%9.96亿-5.59%9.96亿
非控制性权益 8.81%4.21亿10.80%4.17亿11.37%4.09亿10.83%4.04亿10.83%4.04亿10.46%3.87亿8.67%3.76亿6.04%3.68亿5.95%3.64亿5.95%3.64亿
总权益 -17.47%11.15亿-18.17%11.08亿-4.46%12.98亿0.26%13.64亿0.26%13.64亿0.51%13.51亿2.16%13.54亿0.56%13.59亿-2.75%13.6亿-2.75%13.6亿
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。

热门市场机会
中东战火燃至股市!投资者该如何应对?
据Axios报道,当地时间周日,特朗普拒绝伊朗最新停火提案,伊朗随即回击:没人会为了取悦特朗普而草拟方案,以色列总理称军事行动尚未结束。周二,伊朗与伊拉克、巴基斯坦据悉已达成秘密协议,允许海湾石油和LNG经霍尔木兹海峡运输,标志着伊朗从全面封锁转向系统性管控,多国正排队洽谈通航。 展开