(FY)2023/12/30 | (Q4)2023/12/30 | (FY)2022/12/30 | (Q4)2022/12/30 | (FY)2021/12/30 | (Q4)2021/12/30 | (FY)2020/12/30 | (Q4)2020/12/30 | (FY)2019/12/30 | (Q4)2019/12/30 | |
---|---|---|---|---|---|---|---|---|---|---|
资产 | ||||||||||
流动资产 | ||||||||||
现金及现金等价物和短期投资 | -41.89%1,620.79万 | -41.89%1,620.79万 | -25.22%2,789.05万 | -25.22%2,789.05万 | -37.99%3,729.51万 | -37.99%3,729.51万 | 347.42%6,014.1万 | 347.42%6,014.1万 | -33.41%1,344.17万 | -33.41%1,344.17万 |
-现金和现金等价物 | -44.22%1,484.98万 | -44.22%1,484.98万 | -26.42%2,662.17万 | -26.42%2,662.17万 | -38.84%3,618.15万 | -38.84%3,618.15万 | 374.86%5,915.96万 | 374.86%5,915.96万 | -35.36%1,245.82万 | -35.36%1,245.82万 |
-短期投资 | 7.03%135.81万 | 7.03%135.81万 | 13.95%126.89万 | 13.95%126.89万 | 13.47%111.36万 | 13.47%111.36万 | -0.21%98.14万 | -0.21%98.14万 | 7.70%98.35万 | 7.70%98.35万 |
应收款项 | -3.98%1,437.67万 | -3.98%1,437.67万 | 11.19%1,497.34万 | 11.19%1,497.34万 | 39.63%1,346.62万 | 39.63%1,346.62万 | 165.92%964.45万 | 165.92%964.45万 | 73.57%362.68万 | 73.57%362.68万 |
-应收账款 | 59.61%2,389.86万 | 59.61%2,389.86万 | -31.10%1,497.34万 | -31.10%1,497.34万 | 43.27%2,173.12万 | 43.27%2,173.12万 | 380.71%1,516.81万 | 380.71%1,516.81万 | 137.23%315.54万 | 137.23%315.54万 |
-其他应收款 | --29.07万 | --29.07万 | ---- | ---- | -10.97%136.33万 | -10.97%136.33万 | 79.83%153.12万 | 79.83%153.12万 | 8.22%85.14万 | 8.22%85.14万 |
-应收账款调整额 | ---981.26万 | ---981.26万 | ---- | ---- | -36.48%-962.83万 | -36.48%-962.83万 | -1,756.60%-705.48万 | -1,756.60%-705.48万 | -1,293.98%-38万 | -1,293.98%-38万 |
预付费用 | --119.63万 | --119.63万 | ---- | ---- | 400.99%84.87万 | 400.99%84.87万 | 60.63%16.94万 | 60.63%16.94万 | 67.70%10.55万 | 67.70%10.55万 |
递延资产 | 200.46%92.49万 | 200.46%92.49万 | 178.08%30.78万 | 178.08%30.78万 | -52.82%11.07万 | -52.82%11.07万 | 103.09%23.46万 | 103.09%23.46万 | 155.80%11.55万 | 155.80%11.55万 |
持有待售资产 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --26.46万 | --26.46万 |
其他流动资产 | -4.21%1.31万 | -4.21%1.31万 | -32.75%1.37万 | -32.75%1.37万 | -20.52%2.04万 | -20.52%2.04万 | -4.41%2.56万 | -4.41%2.56万 | -21.89%2.68万 | -21.89%2.68万 |
流动资产合计 | -24.24%3,271.88万 | -24.24%3,271.88万 | -16.54%4,318.54万 | -16.54%4,318.54万 | -26.31%5,174.1万 | -26.31%5,174.1万 | 299.38%7,021.51万 | 299.38%7,021.51万 | -21.58%1,758.09万 | -21.58%1,758.09万 |
非流动资产 | ||||||||||
固定资产净额 | -12.76%236.47万 | -12.76%236.47万 | -17.82%271.05万 | -17.82%271.05万 | 28.71%329.84万 | 28.71%329.84万 | 116.28%256.27万 | 116.28%256.27万 | 89.69%118.49万 | 89.69%118.49万 |
-固定资产 | 11.90%715.18万 | 11.90%715.18万 | 3.76%639.11万 | 3.76%639.11万 | 26.32%615.94万 | 26.32%615.94万 | 140.16%487.61万 | 140.16%487.61万 | 70.20%203.03万 | 70.20%203.03万 |
-累计折旧 | -30.07%-478.72万 | -30.07%-478.72万 | -28.65%-368.06万 | -28.65%-368.06万 | -23.67%-286.1万 | -23.67%-286.1万 | -173.64%-231.34万 | -173.64%-231.34万 | -48.78%-84.54万 | -48.78%-84.54万 |
投资和预付款 | -54.41%397.75万 | -54.41%397.75万 | -0.85%872.35万 | -0.85%872.35万 | 53.97%879.84万 | 53.97%879.84万 | -10.72%571.43万 | -10.72%571.43万 | -17.75%640.04万 | -17.75%640.04万 |
-长期股权投资 | -54.41%397.75万 | -54.41%397.75万 | -0.85%872.35万 | -0.85%872.35万 | 53.97%879.84万 | 53.97%879.84万 | -10.72%571.43万 | -10.72%571.43万 | -17.75%640.04万 | -17.75%640.04万 |
商誉及其他无形资产 | -4.50%1.1亿 | -4.50%1.1亿 | -1.22%1.15亿 | -1.22%1.15亿 | 33.30%1.16亿 | 33.30%1.16亿 | 147.21%8,729.89万 | 147.21%8,729.89万 | 52.55%3,531.36万 | 52.55%3,531.36万 |
-商誉 | -2.57%9,422万 | -2.57%9,422万 | 2.79%9,670.97万 | 2.79%9,670.97万 | 45.24%9,408.52万 | 45.24%9,408.52万 | 123.05%6,477.9万 | 123.05%6,477.9万 | 65.28%2,904.3万 | 65.28%2,904.3万 |
-其他无形资产 | -14.73%1,555.4万 | -14.73%1,555.4万 | -18.15%1,824万 | -18.15%1,824万 | -1.05%2,228.42万 | -1.05%2,228.42万 | 259.13%2,251.98万 | 259.13%2,251.98万 | 12.44%627.06万 | 12.44%627.06万 |
非流动递延资产 | -65.47%3.99万 | -65.47%3.99万 | -10.91%11.56万 | -10.91%11.56万 | -17.35%12.97万 | -17.35%12.97万 | --15.69万 | --15.69万 | ---- | ---- |
非流动资产合计 | -8.18%1.16亿 | -8.18%1.16亿 | -1.63%1.26亿 | -1.63%1.26亿 | 34.33%1.29亿 | 34.33%1.29亿 | 123.16%9,573.28万 | 123.16%9,573.28万 | 35.95%4,289.89万 | 35.95%4,289.89万 |
总资产 | -12.26%1.49亿 | -12.26%1.49亿 | -5.91%1.7亿 | -5.91%1.7亿 | 8.67%1.8亿 | 8.67%1.8亿 | 174.39%1.66亿 | 174.39%1.66亿 | 12.05%6,047.97万 | 12.05%6,047.97万 |
负债 | ||||||||||
流动负债 | ||||||||||
短期借款与资本租赁负债 | -33.56%78.12万 | -33.56%78.12万 | -4.35%117.58万 | -4.35%117.58万 | 92.18%122.92万 | 92.18%122.92万 | 81.72%63.96万 | 81.72%63.96万 | 21,520.45%35.2万 | 21,520.45%35.2万 |
-短期借款 | -5.36%18.02万 | -5.36%18.02万 | -58.40%19.04万 | -58.40%19.04万 | 87.76%45.77万 | 87.76%45.77万 | 176.29%24.38万 | 176.29%24.38万 | --8.82万 | --8.82万 |
-短期资本租赁负债 | -39.01%60.1万 | -39.01%60.1万 | 27.72%98.54万 | 27.72%98.54万 | 94.91%77.15万 | 94.91%77.15万 | 50.08%39.58万 | 50.08%39.58万 | 16,100.74%26.37万 | 16,100.74%26.37万 |
应付款项 | 16.59%1,951.49万 | 16.59%1,951.49万 | 16.48%1,673.84万 | 16.48%1,673.84万 | 71.65%1,436.98万 | 71.65%1,436.98万 | 144.81%837.18万 | 144.81%837.18万 | 76.21%341.97万 | 76.21%341.97万 |
-应付账款 | 23.26%672.96万 | 23.26%672.96万 | 8.66%545.99万 | 8.66%545.99万 | 62.46%502.47万 | 62.46%502.47万 | 196.48%309.29万 | 196.48%309.29万 | 198.57%104.32万 | 198.57%104.32万 |
-其他应付款 | 13.36%1,278.53万 | 13.36%1,278.53万 | 20.69%1,127.85万 | 20.69%1,127.85万 | 77.03%934.51万 | 77.03%934.51万 | 122.13%527.88万 | 122.13%527.88万 | 49.34%237.64万 | 49.34%237.64万 |
递延负债 | -9.96%230.76万 | -9.96%230.76万 | -31.60%256.27万 | -31.60%256.27万 | 40.46%374.68万 | 40.46%374.68万 | 196.65%266.75万 | 196.65%266.75万 | 74.73%89.92万 | 74.73%89.92万 |
其他流动负债 | ---- | ---- | 113.16%3,411.54万 | 113.16%3,411.54万 | 582,307.53%1,600.46万 | 582,307.53%1,600.46万 | -98.33%2,748 | -98.33%2,748 | 25.77%16.41万 | 25.77%16.41万 |
流动负债总额 | -58.60%2,260.37万 | -58.60%2,260.37万 | 54.43%5,459.22万 | 54.43%5,459.22万 | 202.62%3,535.04万 | 202.62%3,535.04万 | 141.61%1,168.16万 | 141.61%1,168.16万 | 86.86%483.5万 | 86.86%483.5万 |
非流动负债 | ||||||||||
长期借款与租赁负债 | 20.29%37.45万 | 20.29%37.45万 | -20.75%31.14万 | -20.75%31.14万 | -35.44%39.29万 | -35.44%39.29万 | 8.54%60.86万 | 8.54%60.86万 | 207.75%56.07万 | 207.75%56.07万 |
-长期借款 | -22.90%13.03万 | -22.90%13.03万 | 267.03%16.9万 | 267.03%16.9万 | -85.21%4.61万 | -85.21%4.61万 | -13.78%31.14万 | -13.78%31.14万 | 98.24%36.12万 | 98.24%36.12万 |
-长期租赁负债 | 71.58%24.42万 | 71.58%24.42万 | -58.96%14.23万 | -58.96%14.23万 | 16.72%34.69万 | 16.72%34.69万 | 48.96%29.72万 | 48.96%29.72万 | --19.95万 | --19.95万 |
递延负债 | -56.79%97.23万 | -56.79%97.23万 | -35.65%225.04万 | -35.65%225.04万 | 12.91%349.69万 | 12.91%349.69万 | 751.54%309.7万 | 751.54%309.7万 | 1,148.74%36.37万 | 1,148.74%36.37万 |
其他非流动负债 | ---- | ---- | ---- | ---- | --3,838.6万 | --3,838.6万 | ---- | ---- | ---- | ---- |
非流动负债总额 | -47.43%134.68万 | -47.43%134.68万 | -93.94%256.17万 | -93.94%256.17万 | 1,040.87%4,227.58万 | 1,040.87%4,227.58万 | 300.89%370.56万 | 300.89%370.56万 | 337.45%92.44万 | 337.45%92.44万 |
负债总额 | -58.09%2,395.05万 | -58.09%2,395.05万 | -26.37%5,715.4万 | -26.37%5,715.4万 | 404.49%7,762.62万 | 404.49%7,762.62万 | 167.17%1,538.72万 | 167.17%1,538.72万 | 105.78%575.93万 | 105.78%575.93万 |
所有者权益 | ||||||||||
股本 | 10.39%2.61亿 | 10.39%2.61亿 | 7.89%2.36亿 | 7.89%2.36亿 | 18.46%2.19亿 | 18.46%2.19亿 | 122.01%1.85亿 | 122.01%1.85亿 | 12.23%8,324.42万 | 12.23%8,324.42万 |
-普通股股本 | 10.39%2.61亿 | 10.39%2.61亿 | 7.89%2.36亿 | 7.89%2.36亿 | 18.46%2.19亿 | 18.46%2.19亿 | 122.01%1.85亿 | 122.01%1.85亿 | 12.23%8,324.42万 | 12.23%8,324.42万 |
留存收益 | -12.41%-7,515.06万 | -12.41%-7,515.06万 | -18.71%-6,685.35万 | -18.71%-6,685.35万 | -36.65%-5,631.81万 | -36.65%-5,631.81万 | -47.09%-4,121.37万 | -47.09%-4,121.37万 | -9.35%-2,801.85万 | -9.35%-2,801.85万 |
不影响留存收益的损益 | -2.87%-5,549.26万 | -2.87%-5,549.26万 | 5.51%-5,394.51万 | 5.51%-5,394.51万 | -883.87%-5,708.97万 | -883.87%-5,708.97万 | 454.35%728.31万 | 454.35%728.31万 | -7.46%131.38万 | -7.46%131.38万 |
股东权益总额 | 12.73%1.3亿 | 12.73%1.3亿 | 9.37%1.15亿 | 9.37%1.15亿 | -30.07%1.06亿 | -30.07%1.06亿 | 166.86%1.51亿 | 166.86%1.51亿 | 13.15%5,653.96万 | 13.15%5,653.96万 |
非控制性权益 | -80.07%-515.67万 | -80.07%-515.67万 | -2.26%-286.36万 | -2.26%-286.36万 | -780.13%-280.03万 | -780.13%-280.03万 | 82.51%-31.82万 | 82.51%-31.82万 | -250.60%-181.91万 | -250.60%-181.91万 |
总权益 | 11.01%1.25亿 | 11.01%1.25亿 | 9.56%1.13亿 | 9.56%1.13亿 | -31.78%1.03亿 | -31.78%1.03亿 | 175.15%1.51亿 | 175.15%1.51亿 | 6.93%5,472.04万 | 6.93%5,472.04万 |
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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