(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 | 34.88%6.67万 | 34.88%6.67万 | -39.76%4.94万 | -39.76%4.94万 | -33.33%8.21万 | -33.33%8.21万 | 344.78%12.31万 | 344.78%12.31万 | -7.56%2.77万 | -7.56%2.77万 |
-现金和现金等价物 | 34.88%6.67万 | 34.88%6.67万 | -39.76%4.94万 | -39.76%4.94万 | -33.33%8.21万 | -33.33%8.21万 | 344.78%12.31万 | 344.78%12.31万 | -7.56%2.77万 | -7.56%2.77万 |
应收款项 | -22.66%215.84万 | -22.66%215.84万 | -13.60%279.06万 | -13.60%279.06万 | -24.94%322.99万 | -24.94%322.99万 | 2.74%430.32万 | 2.74%430.32万 | -20.19%418.84万 | -20.19%418.84万 |
-应收账款 | -37.73%164.79万 | -37.73%164.79万 | 37.81%264.62万 | 37.81%264.62万 | -16.57%192.02万 | -16.57%192.02万 | -17.46%230.16万 | -17.46%230.16万 | 0.60%278.86万 | 0.60%278.86万 |
-其他应收款 | 270.79%53.55万 | 270.79%53.55万 | -88.97%14.44万 | -88.97%14.44万 | -34.57%130.97万 | -34.57%130.97万 | 42.99%200.16万 | 42.99%200.16万 | -43.47%139.98万 | -43.47%139.98万 |
-应收账款调整额 | ---2.5万 | ---2.5万 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
存货 | -8.48%483.19万 | -8.48%483.19万 | 3.60%527.94万 | 3.60%527.94万 | 28.39%509.58万 | 28.39%509.58万 | 70.57%396.9万 | 70.57%396.9万 | -33.13%232.7万 | -33.13%232.7万 |
预付费用 | -64.79%8.88万 | -64.79%8.88万 | -37.80%25.23万 | -37.80%25.23万 | -25.74%40.56万 | -25.74%40.56万 | 52.83%54.62万 | 52.83%54.62万 | 68.28%35.74万 | 68.28%35.74万 |
流动资产合计 | -14.64%714.58万 | -14.64%714.58万 | -5.01%837.18万 | -5.01%837.18万 | -1.43%881.34万 | -1.43%881.34万 | 29.58%894.14万 | 29.58%894.14万 | -23.07%690.04万 | -23.07%690.04万 |
非流动资产 | ||||||||||
固定资产净额 | 1.39%1,276.16万 | 1.39%1,276.16万 | -6.07%1,258.69万 | -6.07%1,258.69万 | -12.23%1,340.1万 | -12.23%1,340.1万 | -8.83%1,526.85万 | -8.83%1,526.85万 | 42.32%1,674.81万 | 42.32%1,674.81万 |
-固定资产 | -21.30%1,487.81万 | -21.30%1,487.81万 | 1.96%1,890.42万 | 1.96%1,890.42万 | -0.83%1,853.99万 | -0.83%1,853.99万 | 3.02%1,869.6万 | 3.02%1,869.6万 | 49.61%1,814.71万 | 49.61%1,814.71万 |
-累计折旧 | 66.50%-211.65万 | 66.50%-211.65万 | -22.93%-631.73万 | -22.93%-631.73万 | -49.93%-513.89万 | -49.93%-513.89万 | -145.00%-342.75万 | -145.00%-342.75万 | -287.35%-139.9万 | -287.35%-139.9万 |
投资和预付款 | 1.38%10.21万 | 1.38%10.21万 | -22.94%10.07万 | -22.94%10.07万 | -9.62%13.06万 | -9.62%13.06万 | 80.28%14.45万 | 80.28%14.45万 | -3.24%8.02万 | -3.24%8.02万 |
-其他投资 | 1.38%10.21万 | 1.38%10.21万 | -22.94%10.07万 | -22.94%10.07万 | -9.62%13.06万 | -9.62%13.06万 | 80.28%14.45万 | 80.28%14.45万 | -3.24%8.02万 | -3.24%8.02万 |
长期应收款 | ---- | ---- | ---- | ---- | ---- | ---- | 0.00%13.52万 | 0.00%13.52万 | 7.19%13.52万 | 7.19%13.52万 |
商誉及其他无形资产 | 852.86%11.91万 | 852.86%11.91万 | -99.79%1.25万 | -99.79%1.25万 | -4.30%597.78万 | -4.30%597.78万 | 31.86%624.63万 | 31.86%624.63万 | 16.01%473.71万 | 16.01%473.71万 |
-其他无形资产 | 852.86%11.91万 | 852.86%11.91万 | -99.79%1.25万 | -99.79%1.25万 | -4.30%597.78万 | -4.30%597.78万 | 31.86%624.63万 | 31.86%624.63万 | 16.01%473.71万 | 16.01%473.71万 |
非流动递延资产 | ---- | ---- | 26.33%20.55万 | 26.33%20.55万 | -25.07%16.27万 | -25.07%16.27万 | -5.17%21.71万 | -5.17%21.71万 | -14.15%22.89万 | -14.15%22.89万 |
其他非流动资产 | ---- | ---- | ---- | ---- | ---- | ---- | --1 | --1 | ---- | ---- |
非流动资产合计 | 0.60%1,298.27万 | 0.60%1,298.27万 | -34.40%1,290.56万 | -34.40%1,290.56万 | -10.63%1,967.21万 | -10.63%1,967.21万 | 0.37%2,201.16万 | 0.37%2,201.16万 | 34.31%2,192.96万 | 34.31%2,192.96万 |
总资产 | -5.40%2,012.85万 | -5.40%2,012.85万 | -25.30%2,127.73万 | -25.30%2,127.73万 | -7.97%2,848.55万 | -7.97%2,848.55万 | 7.36%3,095.31万 | 7.36%3,095.31万 | 13.96%2,883万 | 13.96%2,883万 |
负债 | ||||||||||
流动负债 | ||||||||||
短期借款与资本租赁负债 | -36.21%704.75万 | -36.21%704.75万 | 48.67%1,104.87万 | 48.67%1,104.87万 | 12.78%743.16万 | 12.78%743.16万 | 38.80%658.97万 | 38.80%658.97万 | 94.69%474.75万 | 94.69%474.75万 |
-短期借款 | -38.57%628.32万 | -38.57%628.32万 | 51.75%1,022.82万 | 51.75%1,022.82万 | 18.95%674万 | 18.95%674万 | 46.59%566.62万 | 46.59%566.62万 | 92.34%386.52万 | 92.34%386.52万 |
-短期资本租赁负债 | -6.84%76.44万 | -6.84%76.44万 | 18.63%82.05万 | 18.63%82.05万 | -25.11%69.16万 | -25.11%69.16万 | 4.67%92.34万 | 4.67%92.34万 | 105.71%88.23万 | 105.71%88.23万 |
应付款项 | 8.34%251.95万 | 8.34%251.95万 | 2.82%232.55万 | 2.82%232.55万 | -45.28%226.18万 | -45.28%226.18万 | -34.06%413.35万 | -34.06%413.35万 | 36.65%626.89万 | 36.65%626.89万 |
-应付账款 | -3.16%105.37万 | -3.16%105.37万 | 2.32%108.81万 | 2.32%108.81万 | -20.34%106.35万 | -20.34%106.35万 | -44.04%133.5万 | -44.04%133.5万 | -18.23%238.55万 | -18.23%238.55万 |
-其他应付款 | 18.46%146.58万 | 18.46%146.58万 | 3.25%123.73万 | 3.25%123.73万 | -57.18%119.83万 | -57.18%119.83万 | -27.94%279.85万 | -27.94%279.85万 | 132.54%388.34万 | 132.54%388.34万 |
养老金及其他退休福利计划 | -2.61%83.66万 | -2.61%83.66万 | 4.22%85.91万 | 4.22%85.91万 | -19.94%82.43万 | -19.94%82.43万 | 21.63%102.96万 | 21.63%102.96万 | 2.83%84.65万 | 2.83%84.65万 |
递延负债 | ---- | ---- | ---- | ---- | ---- | ---- | --48.68万 | --48.68万 | ---- | ---- |
流动负债总额 | -26.91%1,040.37万 | -26.91%1,040.37万 | 35.33%1,423.33万 | 35.33%1,423.33万 | -14.07%1,051.77万 | -14.07%1,051.77万 | 3.17%1,223.96万 | 3.17%1,223.96万 | 51.14%1,186.29万 | 51.14%1,186.29万 |
非流动负债 | ||||||||||
长期借款与租赁负债 | 310.24%1,350.84万 | 310.24%1,350.84万 | 52.84%329.28万 | 52.84%329.28万 | -53.64%215.44万 | -53.64%215.44万 | 24.45%464.7万 | 24.45%464.7万 | 2,779.90%373.41万 | 2,779.90%373.41万 |
-长期借款 | 640.22%1,087.47万 | 640.22%1,087.47万 | --146.91万 | --146.91万 | ---- | ---- | 453.16%187.5万 | 453.16%187.5万 | --33.9万 | --33.9万 |
-长期租赁负债 | 44.42%263.37万 | 44.42%263.37万 | -15.35%182.36万 | -15.35%182.36万 | -22.28%215.44万 | -22.28%215.44万 | -18.36%277.2万 | -18.36%277.2万 | 2,518.48%339.52万 | 2,518.48%339.52万 |
员工福利 | 7.72%2.69万 | 7.72%2.69万 | 12.85%2.5万 | 12.85%2.5万 | -83.21%2.22万 | -83.21%2.22万 | -15.76%13.2万 | -15.76%13.2万 | -20.08%15.67万 | -20.08%15.67万 |
非流动负债总额 | 307.96%1,353.53万 | 307.96%1,353.53万 | 52.44%331.78万 | 52.44%331.78万 | -54.46%217.65万 | -54.46%217.65万 | 22.83%477.9万 | 22.83%477.9万 | 1,094.56%389.08万 | 1,094.56%389.08万 |
负债总额 | 36.40%2,393.9万 | 36.40%2,393.9万 | 38.26%1,755.11万 | 38.26%1,755.11万 | -25.41%1,269.42万 | -25.41%1,269.42万 | 8.03%1,701.85万 | 8.03%1,701.85万 | 92.71%1,575.37万 | 92.71%1,575.37万 |
所有者权益 | ||||||||||
股本 | 6.23%4,805.56万 | 6.23%4,805.56万 | 8.31%4,523.9万 | 8.31%4,523.9万 | 32.67%4,176.89万 | 32.67%4,176.89万 | 24.19%3,148.39万 | 24.19%3,148.39万 | 0.29%2,535.17万 | 0.29%2,535.17万 |
-普通股股本 | 6.23%4,805.56万 | 6.23%4,805.56万 | 8.31%4,523.9万 | 8.31%4,523.9万 | 32.67%4,176.89万 | 32.67%4,176.89万 | 24.19%3,148.39万 | 24.19%3,148.39万 | 0.29%2,535.17万 | 0.29%2,535.17万 |
留存收益 | -22.34%-5,770.06万 | -22.34%-5,770.06万 | -48.23%-4,716.34万 | -48.23%-4,716.34万 | -37.82%-3,181.84万 | -37.82%-3,181.84万 | -30.10%-2,308.66万 | -30.10%-2,308.66万 | -32.99%-1,774.55万 | -32.99%-1,774.55万 |
不影响留存收益的损益 | 2.96%645.97万 | 2.96%645.97万 | -2.91%627.42万 | -2.91%627.42万 | 4.97%646.2万 | 4.97%646.2万 | 1.22%615.59万 | 1.22%615.59万 | 5.16%608.18万 | 5.16%608.18万 |
股东权益总额 | -173.23%-318.53万 | -173.23%-318.53万 | -73.50%434.99万 | -73.50%434.99万 | 12.78%1,641.25万 | 12.78%1,641.25万 | 6.32%1,455.31万 | 6.32%1,455.31万 | -22.75%1,368.81万 | -22.75%1,368.81万 |
非控制性权益 | -0.26%-62.52万 | -0.26%-62.52万 | -0.38%-62.36万 | -0.38%-62.36万 | -0.42%-62.12万 | -0.42%-62.12万 | -1.10%-61.86万 | -1.10%-61.86万 | -2.50%-61.18万 | -2.50%-61.18万 |
总权益 | -202.26%-381.05万 | -202.26%-381.05万 | -76.40%372.63万 | -76.40%372.63万 | 13.33%1,579.13万 | 13.33%1,579.13万 | 6.56%1,393.45万 | 6.56%1,393.45万 | -23.63%1,307.63万 | -23.63%1,307.63万 |
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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