(FY)2024/06/30 | (Q4)2024/06/30 | (FY)2023/06/30 | (Q4)2023/06/30 | (FY)2022/06/30 | (Q4)2022/06/30 | (FY)2021/06/30 | (Q4)2021/06/30 | (FY)2020/06/30 | (Q4)2020/06/30 | |
---|---|---|---|---|---|---|---|---|---|---|
资产 | ||||||||||
流动资产 | ||||||||||
现金及现金等价物和短期投资 | 669.42%8.67亿 | 669.42%8.67亿 | 77.50%1.13亿 | 77.50%1.13亿 | -10.51%6,349.42万 | -10.51%6,349.42万 | 152.02%7,094.97万 | 152.02%7,094.97万 | 2,008.18%2,815.26万 | 2,008.18%2,815.26万 |
-现金和现金等价物 | 509.23%6.87亿 | 509.23%6.87亿 | 77.50%1.13亿 | 77.50%1.13亿 | -10.51%6,349.42万 | -10.51%6,349.42万 | 152.02%7,094.97万 | 152.02%7,094.97万 | 2,008.18%2,815.26万 | 2,008.18%2,815.26万 |
-短期投资 | --1.81亿 | --1.81亿 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
应收款项 | 500.86%1,059.58万 | 500.86%1,059.58万 | -6.10%176.34万 | -6.10%176.34万 | 24.93%187.81万 | 24.93%187.81万 | 250.97%150.34万 | 250.97%150.34万 | -41.72%42.83万 | -41.72%42.83万 |
-应收账款 | 215.67%25.28万 | 215.67%25.28万 | -68.85%8.01万 | -68.85%8.01万 | -52.12%25.71万 | -52.12%25.71万 | 1,006.85%53.69万 | 1,006.85%53.69万 | -86.51%4.85万 | -86.51%4.85万 |
-其他应收款 | 514.42%1,034.3万 | 514.42%1,034.3万 | 3.85%168.34万 | 3.85%168.34万 | 67.73%162.1万 | 67.73%162.1万 | 154.43%96.64万 | 154.43%96.64万 | 1.16%37.98万 | 1.16%37.98万 |
存货 | 6.70%19.15万 | 6.70%19.15万 | -35.68%17.95万 | -35.68%17.95万 | 35.04%27.91万 | 35.04%27.91万 | 135.48%20.67万 | 135.48%20.67万 | 698.31%8.78万 | 698.31%8.78万 |
预付费用 | 42.96%276.99万 | 42.96%276.99万 | 48.03%193.76万 | 48.03%193.76万 | 42.53%130.89万 | 42.53%130.89万 | --91.84万 | --91.84万 | ---- | ---- |
其他流动资产 | ---- | ---- | ---- | ---- | ---- | ---- | 264.39%6,548 | 264.39%6,548 | 0.00%1,797 | 0.00%1,797 |
流动资产合计 | 655.44%8.81亿 | 655.44%8.81亿 | 74.11%1.17亿 | 74.11%1.17亿 | -9.00%6,696.03万 | -9.00%6,696.03万 | 156.66%7,358.47万 | 156.66%7,358.47万 | 1,258.41%2,867.05万 | 1,258.41%2,867.05万 |
非流动资产 | ||||||||||
固定资产净额 | 34.33%4.3亿 | 34.33%4.3亿 | 30.97%3.2亿 | 30.97%3.2亿 | 98.54%2.45亿 | 98.54%2.45亿 | 142.09%1.23亿 | 142.09%1.23亿 | 62.06%5,089.34万 | 62.06%5,089.34万 |
-固定资产 | 34.60%4.38亿 | 34.60%4.38亿 | 31.57%3.25亿 | 31.57%3.25亿 | 99.07%2.47亿 | 99.07%2.47亿 | 141.26%1.24亿 | 141.26%1.24亿 | 60.77%5,148.65万 | 60.77%5,148.65万 |
-累计折旧 | -52.39%-757.39万 | -52.39%-757.39万 | -87.67%-497.02万 | -87.67%-497.02万 | -162.70%-264.84万 | -162.70%-264.84万 | -69.98%-100.82万 | -69.98%-100.82万 | 4.43%-59.31万 | 4.43%-59.31万 |
投资和预付款 | -59.19%352.74万 | -59.19%352.74万 | 34,660.58%864.36万 | 34,660.58%864.36万 | -77.77%2.49万 | -77.77%2.49万 | -44.42%11.19万 | -44.42%11.19万 | 74.87%20.13万 | 74.87%20.13万 |
-金融资产投资 | -59.19%352.74万 | -59.19%352.74万 | 34,660.58%864.36万 | 34,660.58%864.36万 | -77.77%2.49万 | -77.77%2.49万 | -44.42%11.19万 | -44.42%11.19万 | 74.87%20.13万 | 74.87%20.13万 |
-其中:交易性证券 | -59.19%352.74万 | -59.19%352.74万 | 34,660.58%864.36万 | 34,660.58%864.36万 | -77.77%2.49万 | -77.77%2.49万 | -44.42%11.19万 | -44.42%11.19万 | 74.87%20.13万 | 74.87%20.13万 |
非流动资产合计 | 31.87%4.34亿 | 31.87%4.34亿 | 34.49%3.29亿 | 34.49%3.29亿 | 98.38%2.45亿 | 98.38%2.45亿 | 141.36%1.23亿 | 141.36%1.23亿 | 62.10%5,109.47万 | 62.10%5,109.47万 |
总资产 | 195.02%13.15亿 | 195.02%13.15亿 | 43.00%4.46亿 | 43.00%4.46亿 | 58.25%3.12亿 | 58.25%3.12亿 | 146.86%1.97亿 | 146.86%1.97亿 | 137.18%7,976.52万 | 137.18%7,976.52万 |
负债 | ||||||||||
流动负债 | ||||||||||
短期借款与资本租赁负债 | 45.97%74.71万 | 45.97%74.71万 | 21.64%51.18万 | 21.64%51.18万 | 19.12%42.07万 | 19.12%42.07万 | 204.85%35.32万 | 204.85%35.32万 | --11.59万 | --11.59万 |
-短期资本租赁负债 | 45.97%74.71万 | 45.97%74.71万 | 21.64%51.18万 | 21.64%51.18万 | 19.12%42.07万 | 19.12%42.07万 | 204.85%35.32万 | 204.85%35.32万 | --11.59万 | --11.59万 |
应付款项 | 10.18%2,677.37万 | 10.18%2,677.37万 | 33.39%2,429.96万 | 33.39%2,429.96万 | 5.06%1,821.7万 | 5.06%1,821.7万 | 494.72%1,733.91万 | 494.72%1,733.91万 | 126.53%291.55万 | 126.53%291.55万 |
-应付账款 | -49.46%725.59万 | -49.46%725.59万 | -14.57%1,435.54万 | -14.57%1,435.54万 | 5.35%1,680.35万 | 5.35%1,680.35万 | 469.89%1,595.09万 | 469.89%1,595.09万 | 208.33%279.9万 | 208.33%279.9万 |
-其他应付款 | 96.27%1,951.78万 | 96.27%1,951.78万 | 603.49%994.42万 | 603.49%994.42万 | 1.82%141.36万 | 1.82%141.36万 | 1,090.93%138.83万 | 1,090.93%138.83万 | -69.26%11.66万 | -69.26%11.66万 |
养老金及其他退休福利计划 | 12.43%134.1万 | 12.43%134.1万 | 25.99%119.28万 | 25.99%119.28万 | 53.54%94.67万 | 53.54%94.67万 | 677.34%61.66万 | 677.34%61.66万 | 169.52%7.93万 | 169.52%7.93万 |
流动负债总额 | 10.99%2,886.18万 | 10.99%2,886.18万 | 32.78%2,600.41万 | 32.78%2,600.41万 | 6.97%1,958.45万 | 6.97%1,958.45万 | 488.58%1,830.89万 | 488.58%1,830.89万 | -77.81%311.07万 | -77.81%311.07万 |
非流动负债 | ||||||||||
长期借款与租赁负债 | 528.36%737.03万 | 528.36%737.03万 | -20.44%117.3万 | -20.44%117.3万 | -21.18%147.44万 | -21.18%147.44万 | 367.86%187.06万 | 367.86%187.06万 | --39.98万 | --39.98万 |
-长期租赁负债 | 528.36%737.03万 | 528.36%737.03万 | -20.44%117.3万 | -20.44%117.3万 | -21.18%147.44万 | -21.18%147.44万 | 367.86%187.06万 | 367.86%187.06万 | --39.98万 | --39.98万 |
长期拨备 | -1.10%219.39万 | -1.10%219.39万 | -2.32%221.83万 | -2.32%221.83万 | 122.16%227.1万 | 122.16%227.1万 | 0.00%102.22万 | 0.00%102.22万 | --102.22万 | --102.22万 |
员工福利 | 53.76%23.04万 | 53.76%23.04万 | 9.66%14.98万 | 9.66%14.98万 | 109.22%13.66万 | 109.22%13.66万 | --6.53万 | --6.53万 | ---- | ---- |
非流动负债总额 | 176.60%979.45万 | 176.60%979.45万 | -8.78%354.1万 | -8.78%354.1万 | 31.23%388.19万 | 31.23%388.19万 | 108.02%295.81万 | 108.02%295.81万 | --142.2万 | --142.2万 |
负债总额 | 30.84%3,865.64万 | 30.84%3,865.64万 | 25.90%2,954.52万 | 25.90%2,954.52万 | 10.34%2,346.64万 | 10.34%2,346.64万 | 369.19%2,126.7万 | 369.19%2,126.7万 | -67.66%453.27万 | -67.66%453.27万 |
所有者权益 | ||||||||||
股本 | 173.81%13.77亿 | 173.81%13.77亿 | 41.03%5.03亿 | 41.03%5.03亿 | 51.22%3.57亿 | 51.22%3.57亿 | 80.47%2.36亿 | 80.47%2.36亿 | 84.66%1.31亿 | 84.66%1.31亿 |
-普通股股本 | 173.81%13.77亿 | 173.81%13.77亿 | 41.03%5.03亿 | 41.03%5.03亿 | 51.22%3.57亿 | 51.22%3.57亿 | 80.47%2.36亿 | 80.47%2.36亿 | 84.66%1.31亿 | 84.66%1.31亿 |
留存收益 | -18.89%-1.08亿 | -18.89%-1.08亿 | -26.35%-9,113.58万 | -26.35%-9,113.58万 | -17.11%-7,213.06万 | -17.11%-7,213.06万 | -9.32%-6,159.39万 | -9.32%-6,159.39万 | -7.14%-5,634.36万 | -7.14%-5,634.36万 |
不影响留存收益的损益 | 65.73%682.27万 | 65.73%682.27万 | 15.47%411.68万 | 15.47%411.68万 | 166.25%356.52万 | 166.25%356.52万 | 55.23%133.9万 | 55.23%133.9万 | -39.02%86.26万 | -39.02%86.26万 |
股东权益总额 | 206.68%12.76亿 | 206.68%12.76亿 | 44.39%4.16亿 | 44.39%4.16亿 | 64.05%2.88亿 | 64.05%2.88亿 | 133.46%1.76亿 | 133.46%1.76亿 | 283.57%7,523.24万 | 283.57%7,523.24万 |
总权益 | 206.68%12.76亿 | 206.68%12.76亿 | 44.39%4.16亿 | 44.39%4.16亿 | 64.05%2.88亿 | 64.05%2.88亿 | 133.46%1.76亿 | 133.46%1.76亿 | 283.57%7,523.24万 | 283.57%7,523.24万 |
会计准则 | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
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