加拿大市场个股详情

Caldwell Partners International Inc (CWL)

添加自选
  • 0.800
  • +0.010+1.27%
延时15分钟行情已收盘 04/10 16:00 (美东)
2359.91万总市值8.16市盈率TTM

Caldwell Partners International Inc (CWL) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2026/02/28
(Q1)2025/11/30
(FY)2025/08/31
(Q4)2025/08/31
(Q3)2025/05/31
(Q2)2025/02/28
(Q1)2024/11/30
(FY)2024/08/31
(Q4)2024/08/31
(Q3)2024/05/31
资产
流动资产
现金及现金等价物和短期投资
38.47%1,079.5万
-30.37%955.4万
-16.29%1,643.6万
-16.29%1,643.6万
-10.93%1,544.4万
3.12%779.6万
-15.87%1,372.1万
-10.97%1,963.4万
-10.97%1,963.4万
30.35%1,734万
-现金和现金等价物
38.47%1,079.5万
-30.37%955.4万
-16.29%1,643.6万
-16.29%1,643.6万
-10.93%1,544.4万
3.12%779.6万
-15.87%1,372.1万
-10.97%1,963.4万
-10.97%1,963.4万
30.35%1,734万
应收款项
28.16%2,865万
34.69%2,766.4万
51.70%2,836.7万
51.70%2,836.7万
9.70%2,323万
20.55%2,235.5万
7.56%2,053.9万
-12.29%1,870万
-12.29%1,870万
-9.47%2,117.6万
-应收账款
10.05%1,701.5万
25.42%1,757.6万
47.44%1,827.4万
47.44%1,827.4万
7.78%1,467.2万
27.96%1,546.1万
20.42%1,401.4万
-1.16%1,239.4万
-1.16%1,239.4万
-14.30%1,361.3万
-应收税费
63.11%39.8万
--0
-10.17%15.9万
-10.17%15.9万
105.64%54.7万
-15.86%24.4万
-4.94%25万
-10.15%17.7万
-10.15%17.7万
-84.44%26.6万
-其他应收款
68.98%1,123.7万
60.76%1,008.8万
62.08%993.4万
62.08%993.4万
9.78%801.1万
7.76%665万
-12.77%627.5万
-28.59%612.9万
-28.59%612.9万
25.92%729.7万
预付费用
--0
--838.7万
--412.3万
--412.3万
----
----
----
--0
--0
----
其他流动资产
64.32%324.7万
129.14%382.9万
53.33%356.8万
53.33%356.8万
12.01%216.4万
4.88%197.6万
-9.87%167.1万
-14.20%232.7万
-14.20%232.7万
-44.06%193.2万
流动资产合计
32.89%4,269.2万
37.58%4,943.4万
29.10%5,249.4万
29.10%5,249.4万
0.96%4,083.8万
14.79%3,212.7万
-3.56%3,593.1万
-11.77%4,066.1万
-11.77%4,066.1万
0.75%4,044.8万
非流动资产
固定资产净额
-16.80%563.7万
-11.97%603.2万
-19.00%575.4万
-19.00%575.4万
-39.43%452.3万
-12.40%677.5万
16.45%685.2万
-52.90%710.4万
-52.90%710.4万
-66.77%746.8万
-固定资产
-31.13%947.4万
-28.31%959.9万
-43.30%1,397.1万
-43.30%1,397.1万
-38.68%1,014万
-16.53%1,375.6万
-5.42%1,338.9万
-26.85%2,463.9万
-26.85%2,463.9万
-44.08%1,653.7万
-累计折旧
45.04%-383.7万
45.43%-356.7万
53.14%-821.7万
53.14%-821.7万
38.06%-561.7万
20.19%-698.1万
20.97%-653.7万
5.73%-1,753.5万
5.73%-1,753.5万
-27.80%-906.9万
投资和预付款
-11.86%153.1万
-7.22%159.4万
-4.82%160.1万
-4.82%160.1万
-11.03%164.6万
-5.13%173.7万
-13.19%171.8万
-17.51%168.2万
-17.51%168.2万
-16.52%185万
-长期股权投资
-17.54%75.2万
-13.21%79.5万
----
----
-19.55%86万
-15.71%91.2万
-23.15%91.6万
----
----
-27.87%106.9万
-金融资产投资
-5.58%77.9万
-0.37%79.9万
----
----
0.64%78.6万
10.15%82.5万
1.91%80.2万
----
----
6.40%78.1万
-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
-5.68%68.1万
-0.29%69.9万
----
----
0.88%68.8万
6.49%72.2万
3.09%70.1万
----
----
0.29%68.2万
-其中:可供出售证券
-4.85%9.8万
-0.99%10万
----
----
-1.01%9.8万
45.07%10.3万
-5.61%10.1万
----
----
83.33%9.9万
-其他投资
----
----
-4.82%160.1万
-4.82%160.1万
----
----
----
-17.51%168.2万
-17.51%168.2万
----
长期应收款
--135.8万
--146万
--156.2万
--156.2万
----
----
----
----
----
----
长期预付费用
25.60%157.5万
95.82%145.3万
13.72%102.8万
13.72%102.8万
38.39%116.8万
27.83%125.4万
5.70%74.2万
11.47%90.4万
11.47%90.4万
-9.25%84.4万
商誉及其他无形资产
-5.00%1,130.1万
-0.66%1,154万
1.04%1,139.1万
1.04%1,139.1万
0.25%1,141.6万
4.76%1,189.6万
2.11%1,161.7万
-0.72%1,127.4万
-0.72%1,127.4万
-0.28%1,138.8万
-商誉
-4.58%1,128.9万
-0.18%1,151.9万
1.53%1,135.7万
1.53%1,135.7万
0.73%1,136.8万
5.26%1,183.1万
2.60%1,154万
-0.25%1,118.6万
-0.25%1,118.6万
0.20%1,128.6万
-其他无形资产
-81.54%1.2万
-72.73%2.1万
-61.36%3.4万
-61.36%3.4万
-52.94%4.8万
-43.48%6.5万
-40.31%7.7万
-38.03%8.8万
-38.03%8.8万
-35.03%10.2万
非流动递延资产
-24.68%594.4万
-12.39%634.9万
-3.31%662.4万
-3.31%662.4万
-1.41%705万
4.07%789.2万
2.04%724.7万
-21.04%685.1万
-21.04%685.1万
-4.06%715.1万
其他非流动资产
289.76%114.2万
9.79%31.4万
13.04%31.2万
13.04%31.2万
573.72%184.6万
--29.3万
-5.92%28.6万
-53.46%27.6万
-53.46%27.6万
--27.4万
非流动资产合计
-4.55%2,848.8万
0.98%2,874.2万
0.64%2,827.2万
0.64%2,827.2万
-4.58%2,764.9万
1.23%2,984.7万
4.07%2,846.2万
-27.15%2,809.1万
-27.15%2,809.1万
-34.88%2,897.5万
总资产
14.85%7,118万
21.40%7,817.6万
17.47%8,076.6万
17.47%8,076.6万
-1.35%6,848.7万
7.83%6,197.4万
-0.33%6,439.3万
-18.78%6,875.2万
-18.78%6,875.2万
-17.98%6,942.3万
负债
流动负债
短期借款与资本租赁负债
9.13%179.3万
9.98%178.5万
5.29%173.1万
5.29%173.1万
-11.53%150.4万
1.99%164.3万
3.77%162.3万
-41.03%164.4万
-41.03%164.4万
-32.73%170万
-短期资本租赁负债
9.13%179.3万
9.98%178.5万
5.29%173.1万
5.29%173.1万
-11.53%150.4万
1.99%164.3万
3.77%162.3万
-41.03%164.4万
-41.03%164.4万
-32.73%170万
应付款项
799.70%2,701.8万
894.43%3,266.7万
15.27%3,381.7万
15.27%3,381.7万
-35.75%319.6万
-84.28%300.3万
-87.64%328.5万
-5.77%2,933.6万
-5.77%2,933.6万
-83.25%497.4万
-应付账款
10.24%315.5万
32.17%389.9万
-4.28%326.3万
-4.28%326.3万
9.97%312.2万
88.41%286.2万
1.97%295万
7.17%340.9万
7.17%340.9万
-35.84%283.9万
-应付税费
----
--3.9万
----
----
----
----
----
----
----
----
-应付股利
297.30%29.4万
----
----
----
--7.4万
--7.4万
--7.3万
----
----
----
-其他应付款
35,077.61%2,356.9万
10,865.27%2,872.9万
17.85%3,055.4万
17.85%3,055.4万
----
-99.62%6.7万
-98.89%26.2万
-7.24%2,592.7万
-7.24%2,592.7万
-91.55%213.5万
应计费用
----
----
----
----
2.20%2,481.8万
--1,823.1万
--2,069.2万
----
----
--2,428.4万
养老金及其他退休福利计划
43.66%38.5万
160.19%26.8万
126.04%21.7万
126.04%21.7万
208.57%21.6万
354.24%26.8万
-71.31%10.3万
-77.88%9.6万
-77.88%9.6万
-88.75%7万
递延负债
--164.6万
--160.7万
--384.6万
--384.6万
----
----
----
--0
--0
----
其他流动负债
----
--29.5万
--7.4万
--7.4万
----
----
----
----
----
----
流动负债总额
33.26%3,084.2万
42.48%3,662.2万
27.70%3,968.5万
27.70%3,968.5万
-4.17%2,973.4万
11.43%2,314.5万
-10.53%2,570.3万
-11.31%3,107.6万
-11.31%3,107.6万
-5.52%3,102.8万
非流动负债
长期借款与租赁负债
2.57%470.6万
9.64%511.9万
11.94%543.8万
11.94%543.8万
-11.76%454.5万
-15.60%458.8万
24.71%466.9万
-74.45%485.8万
-74.45%485.8万
-73.54%515.1万
-长期租赁负债
2.57%470.6万
9.64%511.9万
11.94%543.8万
11.94%543.8万
-11.76%454.5万
-15.60%458.8万
24.71%466.9万
-74.45%485.8万
-74.45%485.8万
-73.54%515.1万
长期应付账款及其他应付款项
----
----
-3.03%67.1万
-3.03%67.1万
----
----
220.78%81.8万
-64.48%69.2万
-64.48%69.2万
--0
员工福利
0.29%34.9万
--48.1万
----
----
31.69%32万
108.38%34.8万
----
----
----
-42.14%24.3万
递延负债
39.79%53.4万
--39.3万
----
----
-1.26%31.4万
50.39%38.2万
----
----
----
-40.00%31.8万
非流动负债总额
5.10%558.9万
9.22%599.3万
10.07%610.9万
10.07%610.9万
-9.33%517.9万
-10.18%531.8万
27.55%548.7万
-74.63%555万
-74.63%555万
-72.02%571.2万
负债总额
27.99%3,643.1万
36.63%4,261.5万
25.03%4,579.4万
25.03%4,579.4万
-4.97%3,491.3万
6.63%2,846.3万
-5.57%3,119万
-35.65%3,662.6万
-35.65%3,662.6万
-31.01%3,674万
所有者权益
股本
0.16%1,541.6万
-0.34%1,533.9万
-0.30%1,534.6万
-0.30%1,534.6万
-0.13%1,537.2万
0.00%1,539.2万
0.00%1,539.2万
0.00%1,539.2万
0.00%1,539.2万
22.61%1,539.2万
-普通股股本
0.16%1,541.6万
-0.34%1,533.9万
-0.30%1,534.6万
-0.30%1,534.6万
-0.13%1,537.2万
0.00%1,539.2万
0.00%1,539.2万
0.00%1,539.2万
0.00%1,539.2万
22.61%1,539.2万
资本公积
-0.20%1,563.9万
1.04%1,576.8万
1.47%1,577万
1.47%1,577万
1.58%1,572.2万
1.67%1,567.1万
1.68%1,560.6万
1.69%1,554.1万
1.69%1,554.1万
1.70%1,547.7万
留存收益
432.60%167.3万
996.31%194.5万
372.09%165.7万
372.09%165.7万
291.30%26.4万
73.30%-50.3万
78.70%-21.7万
87.30%-60.9万
87.30%-60.9万
-108.08%-13.8万
减:库存股
283.33%2.3万
--4,000
--2,000
--2,000
--2,000
--6,000
----
--0
--0
----
不影响留存收益的损益
-30.88%204.4万
3.76%251.3万
22.14%220.1万
22.14%220.1万
13.63%221.8万
59.06%295.7万
30.57%242.2万
-2.44%180.2万
-2.44%180.2万
2.41%195.2万
股东权益总额
3.69%3,474.9万
7.10%3,556.1万
8.86%3,497.2万
8.86%3,497.2万
2.73%3,357.4万
8.87%3,351.1万
5.15%3,320.3万
15.88%3,212.6万
15.88%3,212.6万
4.13%3,268.3万
总权益
3.69%3,474.9万
7.10%3,556.1万
8.86%3,497.2万
8.86%3,497.2万
2.73%3,357.4万
8.87%3,351.1万
5.15%3,320.3万
15.88%3,212.6万
15.88%3,212.6万
4.13%3,268.3万
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
--
--
(Q2)2026/02/28(Q1)2025/11/30(FY)2025/08/31(Q4)2025/08/31(Q3)2025/05/31(Q2)2025/02/28(Q1)2024/11/30(FY)2024/08/31(Q4)2024/08/31(Q3)2024/05/31
资产
流动资产
现金及现金等价物和短期投资 38.47%1,079.5万-30.37%955.4万-16.29%1,643.6万-16.29%1,643.6万-10.93%1,544.4万3.12%779.6万-15.87%1,372.1万-10.97%1,963.4万-10.97%1,963.4万30.35%1,734万
-现金和现金等价物 38.47%1,079.5万-30.37%955.4万-16.29%1,643.6万-16.29%1,643.6万-10.93%1,544.4万3.12%779.6万-15.87%1,372.1万-10.97%1,963.4万-10.97%1,963.4万30.35%1,734万
应收款项 28.16%2,865万34.69%2,766.4万51.70%2,836.7万51.70%2,836.7万9.70%2,323万20.55%2,235.5万7.56%2,053.9万-12.29%1,870万-12.29%1,870万-9.47%2,117.6万
-应收账款 10.05%1,701.5万25.42%1,757.6万47.44%1,827.4万47.44%1,827.4万7.78%1,467.2万27.96%1,546.1万20.42%1,401.4万-1.16%1,239.4万-1.16%1,239.4万-14.30%1,361.3万
-应收税费 63.11%39.8万--0-10.17%15.9万-10.17%15.9万105.64%54.7万-15.86%24.4万-4.94%25万-10.15%17.7万-10.15%17.7万-84.44%26.6万
-其他应收款 68.98%1,123.7万60.76%1,008.8万62.08%993.4万62.08%993.4万9.78%801.1万7.76%665万-12.77%627.5万-28.59%612.9万-28.59%612.9万25.92%729.7万
预付费用 --0--838.7万--412.3万--412.3万--------------0--0----
其他流动资产 64.32%324.7万129.14%382.9万53.33%356.8万53.33%356.8万12.01%216.4万4.88%197.6万-9.87%167.1万-14.20%232.7万-14.20%232.7万-44.06%193.2万
流动资产合计 32.89%4,269.2万37.58%4,943.4万29.10%5,249.4万29.10%5,249.4万0.96%4,083.8万14.79%3,212.7万-3.56%3,593.1万-11.77%4,066.1万-11.77%4,066.1万0.75%4,044.8万
非流动资产
固定资产净额 -16.80%563.7万-11.97%603.2万-19.00%575.4万-19.00%575.4万-39.43%452.3万-12.40%677.5万16.45%685.2万-52.90%710.4万-52.90%710.4万-66.77%746.8万
-固定资产 -31.13%947.4万-28.31%959.9万-43.30%1,397.1万-43.30%1,397.1万-38.68%1,014万-16.53%1,375.6万-5.42%1,338.9万-26.85%2,463.9万-26.85%2,463.9万-44.08%1,653.7万
-累计折旧 45.04%-383.7万45.43%-356.7万53.14%-821.7万53.14%-821.7万38.06%-561.7万20.19%-698.1万20.97%-653.7万5.73%-1,753.5万5.73%-1,753.5万-27.80%-906.9万
投资和预付款 -11.86%153.1万-7.22%159.4万-4.82%160.1万-4.82%160.1万-11.03%164.6万-5.13%173.7万-13.19%171.8万-17.51%168.2万-17.51%168.2万-16.52%185万
-长期股权投资 -17.54%75.2万-13.21%79.5万---------19.55%86万-15.71%91.2万-23.15%91.6万---------27.87%106.9万
-金融资产投资 -5.58%77.9万-0.37%79.9万--------0.64%78.6万10.15%82.5万1.91%80.2万--------6.40%78.1万
-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 -5.68%68.1万-0.29%69.9万--------0.88%68.8万6.49%72.2万3.09%70.1万--------0.29%68.2万
-其中:可供出售证券 -4.85%9.8万-0.99%10万---------1.01%9.8万45.07%10.3万-5.61%10.1万--------83.33%9.9万
-其他投资 ---------4.82%160.1万-4.82%160.1万-------------17.51%168.2万-17.51%168.2万----
长期应收款 --135.8万--146万--156.2万--156.2万------------------------
长期预付费用 25.60%157.5万95.82%145.3万13.72%102.8万13.72%102.8万38.39%116.8万27.83%125.4万5.70%74.2万11.47%90.4万11.47%90.4万-9.25%84.4万
商誉及其他无形资产 -5.00%1,130.1万-0.66%1,154万1.04%1,139.1万1.04%1,139.1万0.25%1,141.6万4.76%1,189.6万2.11%1,161.7万-0.72%1,127.4万-0.72%1,127.4万-0.28%1,138.8万
-商誉 -4.58%1,128.9万-0.18%1,151.9万1.53%1,135.7万1.53%1,135.7万0.73%1,136.8万5.26%1,183.1万2.60%1,154万-0.25%1,118.6万-0.25%1,118.6万0.20%1,128.6万
-其他无形资产 -81.54%1.2万-72.73%2.1万-61.36%3.4万-61.36%3.4万-52.94%4.8万-43.48%6.5万-40.31%7.7万-38.03%8.8万-38.03%8.8万-35.03%10.2万
非流动递延资产 -24.68%594.4万-12.39%634.9万-3.31%662.4万-3.31%662.4万-1.41%705万4.07%789.2万2.04%724.7万-21.04%685.1万-21.04%685.1万-4.06%715.1万
其他非流动资产 289.76%114.2万9.79%31.4万13.04%31.2万13.04%31.2万573.72%184.6万--29.3万-5.92%28.6万-53.46%27.6万-53.46%27.6万--27.4万
非流动资产合计 -4.55%2,848.8万0.98%2,874.2万0.64%2,827.2万0.64%2,827.2万-4.58%2,764.9万1.23%2,984.7万4.07%2,846.2万-27.15%2,809.1万-27.15%2,809.1万-34.88%2,897.5万
总资产 14.85%7,118万21.40%7,817.6万17.47%8,076.6万17.47%8,076.6万-1.35%6,848.7万7.83%6,197.4万-0.33%6,439.3万-18.78%6,875.2万-18.78%6,875.2万-17.98%6,942.3万
负债
流动负债
短期借款与资本租赁负债 9.13%179.3万9.98%178.5万5.29%173.1万5.29%173.1万-11.53%150.4万1.99%164.3万3.77%162.3万-41.03%164.4万-41.03%164.4万-32.73%170万
-短期资本租赁负债 9.13%179.3万9.98%178.5万5.29%173.1万5.29%173.1万-11.53%150.4万1.99%164.3万3.77%162.3万-41.03%164.4万-41.03%164.4万-32.73%170万
应付款项 799.70%2,701.8万894.43%3,266.7万15.27%3,381.7万15.27%3,381.7万-35.75%319.6万-84.28%300.3万-87.64%328.5万-5.77%2,933.6万-5.77%2,933.6万-83.25%497.4万
-应付账款 10.24%315.5万32.17%389.9万-4.28%326.3万-4.28%326.3万9.97%312.2万88.41%286.2万1.97%295万7.17%340.9万7.17%340.9万-35.84%283.9万
-应付税费 ------3.9万--------------------------------
-应付股利 297.30%29.4万--------------7.4万--7.4万--7.3万------------
-其他应付款 35,077.61%2,356.9万10,865.27%2,872.9万17.85%3,055.4万17.85%3,055.4万-----99.62%6.7万-98.89%26.2万-7.24%2,592.7万-7.24%2,592.7万-91.55%213.5万
应计费用 ----------------2.20%2,481.8万--1,823.1万--2,069.2万----------2,428.4万
养老金及其他退休福利计划 43.66%38.5万160.19%26.8万126.04%21.7万126.04%21.7万208.57%21.6万354.24%26.8万-71.31%10.3万-77.88%9.6万-77.88%9.6万-88.75%7万
递延负债 --164.6万--160.7万--384.6万--384.6万--------------0--0----
其他流动负债 ------29.5万--7.4万--7.4万------------------------
流动负债总额 33.26%3,084.2万42.48%3,662.2万27.70%3,968.5万27.70%3,968.5万-4.17%2,973.4万11.43%2,314.5万-10.53%2,570.3万-11.31%3,107.6万-11.31%3,107.6万-5.52%3,102.8万
非流动负债
长期借款与租赁负债 2.57%470.6万9.64%511.9万11.94%543.8万11.94%543.8万-11.76%454.5万-15.60%458.8万24.71%466.9万-74.45%485.8万-74.45%485.8万-73.54%515.1万
-长期租赁负债 2.57%470.6万9.64%511.9万11.94%543.8万11.94%543.8万-11.76%454.5万-15.60%458.8万24.71%466.9万-74.45%485.8万-74.45%485.8万-73.54%515.1万
长期应付账款及其他应付款项 ---------3.03%67.1万-3.03%67.1万--------220.78%81.8万-64.48%69.2万-64.48%69.2万--0
员工福利 0.29%34.9万--48.1万--------31.69%32万108.38%34.8万-------------42.14%24.3万
递延负债 39.79%53.4万--39.3万---------1.26%31.4万50.39%38.2万-------------40.00%31.8万
非流动负债总额 5.10%558.9万9.22%599.3万10.07%610.9万10.07%610.9万-9.33%517.9万-10.18%531.8万27.55%548.7万-74.63%555万-74.63%555万-72.02%571.2万
负债总额 27.99%3,643.1万36.63%4,261.5万25.03%4,579.4万25.03%4,579.4万-4.97%3,491.3万6.63%2,846.3万-5.57%3,119万-35.65%3,662.6万-35.65%3,662.6万-31.01%3,674万
所有者权益
股本 0.16%1,541.6万-0.34%1,533.9万-0.30%1,534.6万-0.30%1,534.6万-0.13%1,537.2万0.00%1,539.2万0.00%1,539.2万0.00%1,539.2万0.00%1,539.2万22.61%1,539.2万
-普通股股本 0.16%1,541.6万-0.34%1,533.9万-0.30%1,534.6万-0.30%1,534.6万-0.13%1,537.2万0.00%1,539.2万0.00%1,539.2万0.00%1,539.2万0.00%1,539.2万22.61%1,539.2万
资本公积 -0.20%1,563.9万1.04%1,576.8万1.47%1,577万1.47%1,577万1.58%1,572.2万1.67%1,567.1万1.68%1,560.6万1.69%1,554.1万1.69%1,554.1万1.70%1,547.7万
留存收益 432.60%167.3万996.31%194.5万372.09%165.7万372.09%165.7万291.30%26.4万73.30%-50.3万78.70%-21.7万87.30%-60.9万87.30%-60.9万-108.08%-13.8万
减:库存股 283.33%2.3万--4,000--2,000--2,000--2,000--6,000------0--0----
不影响留存收益的损益 -30.88%204.4万3.76%251.3万22.14%220.1万22.14%220.1万13.63%221.8万59.06%295.7万30.57%242.2万-2.44%180.2万-2.44%180.2万2.41%195.2万
股东权益总额 3.69%3,474.9万7.10%3,556.1万8.86%3,497.2万8.86%3,497.2万2.73%3,357.4万8.87%3,351.1万5.15%3,320.3万15.88%3,212.6万15.88%3,212.6万4.13%3,268.3万
总权益 3.69%3,474.9万7.10%3,556.1万8.86%3,497.2万8.86%3,497.2万2.73%3,357.4万8.87%3,351.1万5.15%3,320.3万15.88%3,212.6万15.88%3,212.6万4.13%3,268.3万
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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