加拿大市场个股详情

HBM Hudbay Minerals Inc

添加自选
  • 12.280
  • -0.710-5.47%
延时15分钟行情交易中 11/11 13:57 (美东)
48.33亿总市值32.83市盈率TTM

Hudbay Minerals Inc关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
资产
流动资产
现金及现金等价物和短期投资
192.67%5.26亿
11.52%2.85亿
11.01%2.51亿
11.01%2.51亿
-13.85%2.46亿
-30.49%1.8亿
19.78%2.56亿
-16.73%2.26亿
-16.73%2.26亿
-3.81%2.86亿
-现金和现金等价物
169.16%4.84亿
11.28%2.84亿
10.69%2.5亿
10.69%2.5亿
-14.29%2.45亿
-30.49%1.8亿
19.78%2.56亿
-16.73%2.26亿
-16.73%2.26亿
-3.81%2.86亿
-短期投资
--4,226万
--62.2万
--72.2万
--72.2万
--127.2万
----
----
--0
--0
----
应收款项
80.10%1.84亿
83.11%1.98亿
68.17%2.06亿
68.17%2.06亿
73.59%1.22亿
-1.18%1.02亿
-41.53%1.08亿
-40.06%1.22亿
-40.06%1.22亿
-44.23%7,005.5万
-应收账款
222.60%1.51亿
102.06%1.5亿
101.92%1.7亿
101.92%1.7亿
525.79%9,050.8万
-31.45%4,688万
-47.04%7,437.6万
-49.50%8,409.6万
-49.50%8,409.6万
-84.72%1,446.3万
-应收税费
-95.47%56.1万
-89.56%57.8万
-74.87%230万
-74.87%230万
-84.44%152.9万
649.33%1,237.9万
--553.8万
--915.3万
--915.3万
--982.6万
-其他应收款
-25.54%3,176.8万
67.15%4,745万
15.60%3,362.3万
15.60%3,362.3万
-35.39%2,956.9万
28.90%4,266.4万
-36.61%2,838.7万
-22.56%2,908.6万
-22.56%2,908.6万
47.86%4,576.6万
存货
-15.70%1.86亿
7.75%2.02亿
33.75%2.07亿
33.75%2.07亿
77.47%2.38亿
14.43%2.2亿
-5.92%1.87亿
-2.17%1.55亿
-2.17%1.55亿
0.60%1.34亿
受限制现金
-93.18%53.1万
10.29%53.6万
304.12%196.4万
304.12%196.4万
2,238.60%902.7万
1,682.61%779万
11.21%48.6万
11.21%48.6万
11.21%48.6万
14.54%38.6万
套期保值资产
-64.28%522.2万
-52.55%52万
145.41%141.6万
145.41%141.6万
-62.55%635.4万
-71.14%1,461.8万
-82.34%109.6万
-92.23%57.7万
-92.23%57.7万
-10.95%1,696.8万
其他流动资产
-17.73%1,272.4万
-26.64%1,413.8万
-68.72%628.9万
-68.72%628.9万
-16.45%985.9万
8.28%1,546.7万
22.28%1,927.2万
31.09%2,010.6万
31.09%2,010.6万
49.22%1,180万
流动资产合计
69.24%9.14亿
22.43%7亿
28.44%6.73亿
28.44%6.73亿
21.54%6.31亿
-12.86%5.4亿
-7.75%5.72亿
-20.18%5.24亿
-20.18%5.24亿
-11.01%5.19亿
非流动资产
固定资产净额
-3.53%42.3亿
19.32%42.32亿
21.49%43.16亿
21.49%43.16亿
21.95%43.19亿
22.46%43.85亿
-4.51%35.46亿
-5.04%35.52亿
-5.04%35.52亿
-4.91%35.41亿
-固定资产
-1.66%69.82亿
18.56%68.96亿
19.91%68.98亿
19.91%68.98亿
34.83%71.06亿
20.44%70.99亿
-13.23%58.17亿
-13.15%57.53亿
-13.15%57.53亿
-19.08%52.7亿
-累计折旧
-1.38%-27.52亿
-17.37%-26.65亿
-17.36%-25.82亿
-17.36%-25.82亿
-61.22%-27.87亿
-17.32%-27.14亿
24.06%-22.7亿
23.68%-22亿
23.68%-22亿
38.01%-17.29亿
投资和预付款
-32.01%597.3万
-28.83%684.6万
-27.66%708.9万
-27.66%708.9万
-29.54%749.6万
-6.37%878.5万
-27.18%961.9万
-12.18%979.9万
-12.18%979.9万
-2.97%1,063.8万
-金融资产投资
-32.01%597.3万
-28.83%684.6万
-27.66%708.9万
-27.66%708.9万
-29.54%749.6万
-6.37%878.5万
-27.18%961.9万
-12.18%979.9万
-12.18%979.9万
-2.97%1,063.8万
-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
-32.01%597.3万
-36.20%613.7万
-34.16%645.2万
-34.16%645.2万
-36.12%679.6万
-6.37%878.5万
-27.18%961.9万
-12.18%979.9万
-12.18%979.9万
-2.97%1,063.8万
-其中:可供出售证券
----
--70.9万
--63.7万
--63.7万
--70万
----
----
----
----
----
长期应收款
-14.88%1,175.7万
-10.61%1,201万
-8.79%1,215.7万
-8.79%1,215.7万
-14.08%1,338万
-15.93%1,381.2万
-20.05%1,343.5万
-17.13%1,332.9万
-17.13%1,332.9万
-1.16%1,557.3万
商誉及其他无形资产
8.37%1.23亿
2,602.57%1.24亿
1,563.73%7,931万
1,563.73%7,931万
1,993.14%1.11亿
1,936.77%1.14亿
-20.19%459.8万
-19.18%476.7万
-19.18%476.7万
-4.87%529.4万
-商誉
9.28%7,274.9万
--7,348.4万
--7,528.5万
--7,528.5万
--6,518.6万
--6,656.9万
----
--0
--0
----
-其他无形资产
7.09%5,037.5万
1,004.39%5,078万
-15.57%402.5万
-15.57%402.5万
761.82%4,562.5万
743.35%4,704.2万
-20.19%459.8万
-19.18%476.7万
-19.18%476.7万
-4.87%529.4万
非流动递延资产
-0.25%1.38亿
1.98%1.4亿
20.94%1.52亿
20.94%1.52亿
32.33%1.43亿
25.67%1.39亿
4.67%1.37亿
-5.95%1.26亿
-5.95%1.26亿
-7.94%1.08亿
其他非流动资产
-54.38%1,931万
-80.73%1,632.1万
-23.93%7,287.8万
-23.93%7,287.8万
-70.22%2,609.8万
4.42%4,233.2万
125.98%8,469.2万
84.89%9,579.9万
84.89%9,579.9万
84.77%8,764.9万
非流动资产合计
-3.69%45.28亿
19.36%45.31亿
22.03%46.39亿
22.03%46.39亿
22.58%46.19亿
24.96%47.02亿
-3.12%37.96亿
-3.98%38.02亿
-3.98%38.02亿
-3.89%37.68亿
总资产
3.82%54.42亿
19.76%52.31亿
22.81%53.13亿
22.81%53.13亿
22.45%52.51亿
19.61%52.42亿
-3.75%43.68亿
-6.29%43.26亿
-6.29%43.26亿
-4.81%42.88亿
负债
流动负债
短期借款与资本租赁负债
-83.16%2,962.9万
-44.60%3,192万
78.89%2,890.2万
78.89%2,890.2万
107.56%4,289.3万
602.29%1.76亿
95.20%5,762万
-51.81%1,615.6万
-51.81%1,615.6万
-36.63%2,066.5万
-短期借款
----
----
----
----
--1,000万
--1.45亿
--4,000万
----
----
----
-短期资本租赁负债
-4.16%2,962.9万
81.16%3,192万
78.89%2,890.2万
78.89%2,890.2万
59.17%3,289.3万
23.43%3,091.5万
-40.31%1,762万
-51.81%1,615.6万
-51.81%1,615.6万
-36.63%2,066.5万
应付款项
15.46%2.77亿
32.87%2.79亿
37.59%1.43亿
37.59%1.43亿
24.80%2.66亿
7.11%2.4亿
8.51%2.1亿
-14.94%1.04亿
-14.94%1.04亿
14.69%2.13亿
-应付账款
-0.85%2.26亿
18.87%2.39亿
-17.38%6,925.7万
-17.38%6,925.7万
10.44%2.34亿
6.41%2.28亿
8.62%2.01亿
-0.54%8,382.4万
-0.54%8,382.4万
19.31%2.11亿
-应付税费
331.79%5,076.5万
350.14%3,994.1万
1,219.21%5,344.1万
1,219.21%5,344.1万
2,120.08%3,216.9万
22.94%1,175.7万
6.00%887.3万
-73.42%405.1万
-73.42%405.1万
-82.74%144.9万
-其他应付款
----
----
26.24%1,997.7万
26.24%1,997.7万
----
----
----
-29.31%1,582.4万
-29.31%1,582.4万
----
应计费用
----
----
34.07%1.5亿
34.07%1.5亿
----
----
----
10.59%1.12亿
10.59%1.12亿
----
现行拨备
57.03%3,160.3万
32.67%2,633.3万
-7.47%2,229.2万
-7.47%2,229.2万
2.69%2,047.7万
-30.56%2,012.6万
-52.17%1,984.9万
-41.27%2,409.1万
-41.27%2,409.1万
-38.39%1,994.1万
养老金及其他退休福利计划
-40.27%452.8万
6.16%804.8万
-6.58%712.7万
-6.58%712.7万
-29.91%748.1万
-35.75%758.1万
-39.97%758.1万
-45.51%762.9万
-45.51%762.9万
-24.01%1,067.3万
递延负债
-2.19%9,141.3万
-36.25%8,254.2万
9.55%9,800.1万
9.55%9,800.1万
11.80%8,984.9万
37.56%9,346万
55.19%1.29亿
-16.13%8,945.7万
-16.13%8,945.7万
-13.77%8,036.6万
其他流动负债
-13.01%5,616.9万
53.78%7,186.5万
-6.72%8,842.3万
-6.72%8,842.3万
1.79%7,634.8万
-21.04%6,457万
-52.24%4,673.3万
4.18%9,479.6万
4.18%9,479.6万
13.94%7,500.3万
流动负债总额
-18.50%4.9亿
6.04%5亿
20.04%5.37亿
20.04%5.37亿
19.83%5.03亿
36.87%6.01亿
2.79%4.71亿
-12.09%4.48亿
-12.09%4.48亿
-0.97%4.2亿
非流动负债
长期借款与租赁负债
-6.41%12.12亿
9.37%13.39亿
9.76%13.49亿
9.76%13.49亿
17.33%14.41亿
5.45%12.95亿
-0.37%12.24亿
0.35%12.29亿
0.35%12.29亿
0.83%12.28亿
-长期借款
-5.72%11.56亿
7.90%12.79亿
8.73%12.88亿
8.73%12.88亿
15.57%13.67亿
3.68%12.26亿
0.33%11.85亿
0.33%11.84亿
0.33%11.84亿
0.05%11.83亿
-长期租赁负债
-18.52%5,649.2万
54.27%6,023.6万
36.93%6,143.3万
36.93%6,143.3万
63.43%7,374.1万
50.69%6,932.9万
-17.81%3,904.5万
0.88%4,486.3万
0.88%4,486.3万
26.50%4,512.2万
长期拨备
-4.59%2.98亿
8.81%3.01亿
15.28%3.22亿
15.28%3.22亿
2.50%2.63亿
10.75%3.12亿
-24.90%2.77亿
-39.49%2.79亿
-39.49%2.79亿
-38.42%2.57亿
员工福利
-2.54%9,566.5万
10.28%1.04亿
20.38%1.08亿
20.38%1.08亿
-10.58%9,383万
-5.59%9,815.7万
-21.31%9,399.1万
-33.55%8,960.2万
-33.55%8,960.2万
-21.43%1.05亿
递延负债
-9.21%6.91亿
11.00%7.18亿
10.92%7.38亿
10.92%7.38亿
17.00%7.59亿
15.23%7.61亿
-9.17%6.47亿
-5.75%6.65亿
-5.75%6.65亿
-8.33%6.48亿
其他非流动负债
12.33%7,386.4万
-26.86%5,883.5万
19.49%5,172万
19.49%5,172万
-29.88%4,143.1万
-3.44%6,575.8万
-9.49%8,044.4万
-58.05%4,328.3万
-58.05%4,328.3万
-48.63%5,908.5万
非流动负债总额
-6.39%23.7亿
8.54%25.21亿
11.36%25.68亿
11.36%25.68亿
13.09%25.98亿
8.09%25.32亿
-7.77%23.22亿
-12.31%23.06亿
-12.31%23.06亿
-11.33%22.97亿
负债总额
-8.71%28.6亿
8.12%30.2亿
12.77%31.06亿
12.77%31.06亿
14.13%31.01亿
12.64%31.33亿
-6.14%27.93亿
-12.27%27.54亿
-12.27%27.54亿
-9.87%27.17亿
所有者权益
股本
18.60%26.3亿
25.88%22.42亿
25.80%22.4亿
25.80%22.4亿
25.26%22.3亿
24.56%22.17亿
0.04%17.81亿
0.11%17.81亿
0.11%17.81亿
0.10%17.8亿
-普通股股本
18.60%26.3亿
25.88%22.42亿
25.80%22.4亿
25.80%22.4亿
25.26%22.3亿
24.56%22.17亿
0.04%17.81亿
0.11%17.81亿
0.11%17.81亿
0.10%17.8亿
留存收益
30.97%-1.7亿
33.68%-1.54亿
26.29%-1.74亿
26.29%-1.74亿
6.30%-2.04亿
-18.72%-2.47亿
3.39%-2.32亿
21.98%-2.36亿
21.98%-2.36亿
25.16%-2.18亿
不影响留存收益的损益
-26.65%2,304.6万
-23.69%1,952.3万
13.71%3,017.7万
13.71%3,017.7万
118.87%1,903.5万
8.77%3,141.8万
16.85%2,558.3万
14,681.32%2,653.8万
14,681.32%2,653.8万
183.20%869.7万
股东权益总额
24.01%24.83亿
33.85%21.08亿
33.40%20.97亿
33.40%20.97亿
30.16%20.45亿
25.04%20.02亿
0.80%15.75亿
6.43%15.72亿
6.43%15.72亿
5.42%15.71亿
非控制性权益
-6.84%9,965.9万
--1.04亿
--1.1亿
--1.1亿
--1.05亿
--1.07亿
----
--0
--0
----
总权益
22.44%25.82亿
40.43%22.11亿
40.40%22.07亿
40.40%22.07亿
36.85%21.5亿
31.72%21.09亿
0.80%15.75亿
6.43%15.72亿
6.43%15.72亿
5.42%15.71亿
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
--
--
(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30
资产
流动资产
现金及现金等价物和短期投资 192.67%5.26亿11.52%2.85亿11.01%2.51亿11.01%2.51亿-13.85%2.46亿-30.49%1.8亿19.78%2.56亿-16.73%2.26亿-16.73%2.26亿-3.81%2.86亿
-现金和现金等价物 169.16%4.84亿11.28%2.84亿10.69%2.5亿10.69%2.5亿-14.29%2.45亿-30.49%1.8亿19.78%2.56亿-16.73%2.26亿-16.73%2.26亿-3.81%2.86亿
-短期投资 --4,226万--62.2万--72.2万--72.2万--127.2万----------0--0----
应收款项 80.10%1.84亿83.11%1.98亿68.17%2.06亿68.17%2.06亿73.59%1.22亿-1.18%1.02亿-41.53%1.08亿-40.06%1.22亿-40.06%1.22亿-44.23%7,005.5万
-应收账款 222.60%1.51亿102.06%1.5亿101.92%1.7亿101.92%1.7亿525.79%9,050.8万-31.45%4,688万-47.04%7,437.6万-49.50%8,409.6万-49.50%8,409.6万-84.72%1,446.3万
-应收税费 -95.47%56.1万-89.56%57.8万-74.87%230万-74.87%230万-84.44%152.9万649.33%1,237.9万--553.8万--915.3万--915.3万--982.6万
-其他应收款 -25.54%3,176.8万67.15%4,745万15.60%3,362.3万15.60%3,362.3万-35.39%2,956.9万28.90%4,266.4万-36.61%2,838.7万-22.56%2,908.6万-22.56%2,908.6万47.86%4,576.6万
存货 -15.70%1.86亿7.75%2.02亿33.75%2.07亿33.75%2.07亿77.47%2.38亿14.43%2.2亿-5.92%1.87亿-2.17%1.55亿-2.17%1.55亿0.60%1.34亿
受限制现金 -93.18%53.1万10.29%53.6万304.12%196.4万304.12%196.4万2,238.60%902.7万1,682.61%779万11.21%48.6万11.21%48.6万11.21%48.6万14.54%38.6万
套期保值资产 -64.28%522.2万-52.55%52万145.41%141.6万145.41%141.6万-62.55%635.4万-71.14%1,461.8万-82.34%109.6万-92.23%57.7万-92.23%57.7万-10.95%1,696.8万
其他流动资产 -17.73%1,272.4万-26.64%1,413.8万-68.72%628.9万-68.72%628.9万-16.45%985.9万8.28%1,546.7万22.28%1,927.2万31.09%2,010.6万31.09%2,010.6万49.22%1,180万
流动资产合计 69.24%9.14亿22.43%7亿28.44%6.73亿28.44%6.73亿21.54%6.31亿-12.86%5.4亿-7.75%5.72亿-20.18%5.24亿-20.18%5.24亿-11.01%5.19亿
非流动资产
固定资产净额 -3.53%42.3亿19.32%42.32亿21.49%43.16亿21.49%43.16亿21.95%43.19亿22.46%43.85亿-4.51%35.46亿-5.04%35.52亿-5.04%35.52亿-4.91%35.41亿
-固定资产 -1.66%69.82亿18.56%68.96亿19.91%68.98亿19.91%68.98亿34.83%71.06亿20.44%70.99亿-13.23%58.17亿-13.15%57.53亿-13.15%57.53亿-19.08%52.7亿
-累计折旧 -1.38%-27.52亿-17.37%-26.65亿-17.36%-25.82亿-17.36%-25.82亿-61.22%-27.87亿-17.32%-27.14亿24.06%-22.7亿23.68%-22亿23.68%-22亿38.01%-17.29亿
投资和预付款 -32.01%597.3万-28.83%684.6万-27.66%708.9万-27.66%708.9万-29.54%749.6万-6.37%878.5万-27.18%961.9万-12.18%979.9万-12.18%979.9万-2.97%1,063.8万
-金融资产投资 -32.01%597.3万-28.83%684.6万-27.66%708.9万-27.66%708.9万-29.54%749.6万-6.37%878.5万-27.18%961.9万-12.18%979.9万-12.18%979.9万-2.97%1,063.8万
-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 -32.01%597.3万-36.20%613.7万-34.16%645.2万-34.16%645.2万-36.12%679.6万-6.37%878.5万-27.18%961.9万-12.18%979.9万-12.18%979.9万-2.97%1,063.8万
-其中:可供出售证券 ------70.9万--63.7万--63.7万--70万--------------------
长期应收款 -14.88%1,175.7万-10.61%1,201万-8.79%1,215.7万-8.79%1,215.7万-14.08%1,338万-15.93%1,381.2万-20.05%1,343.5万-17.13%1,332.9万-17.13%1,332.9万-1.16%1,557.3万
商誉及其他无形资产 8.37%1.23亿2,602.57%1.24亿1,563.73%7,931万1,563.73%7,931万1,993.14%1.11亿1,936.77%1.14亿-20.19%459.8万-19.18%476.7万-19.18%476.7万-4.87%529.4万
-商誉 9.28%7,274.9万--7,348.4万--7,528.5万--7,528.5万--6,518.6万--6,656.9万------0--0----
-其他无形资产 7.09%5,037.5万1,004.39%5,078万-15.57%402.5万-15.57%402.5万761.82%4,562.5万743.35%4,704.2万-20.19%459.8万-19.18%476.7万-19.18%476.7万-4.87%529.4万
非流动递延资产 -0.25%1.38亿1.98%1.4亿20.94%1.52亿20.94%1.52亿32.33%1.43亿25.67%1.39亿4.67%1.37亿-5.95%1.26亿-5.95%1.26亿-7.94%1.08亿
其他非流动资产 -54.38%1,931万-80.73%1,632.1万-23.93%7,287.8万-23.93%7,287.8万-70.22%2,609.8万4.42%4,233.2万125.98%8,469.2万84.89%9,579.9万84.89%9,579.9万84.77%8,764.9万
非流动资产合计 -3.69%45.28亿19.36%45.31亿22.03%46.39亿22.03%46.39亿22.58%46.19亿24.96%47.02亿-3.12%37.96亿-3.98%38.02亿-3.98%38.02亿-3.89%37.68亿
总资产 3.82%54.42亿19.76%52.31亿22.81%53.13亿22.81%53.13亿22.45%52.51亿19.61%52.42亿-3.75%43.68亿-6.29%43.26亿-6.29%43.26亿-4.81%42.88亿
负债
流动负债
短期借款与资本租赁负债 -83.16%2,962.9万-44.60%3,192万78.89%2,890.2万78.89%2,890.2万107.56%4,289.3万602.29%1.76亿95.20%5,762万-51.81%1,615.6万-51.81%1,615.6万-36.63%2,066.5万
-短期借款 ------------------1,000万--1.45亿--4,000万------------
-短期资本租赁负债 -4.16%2,962.9万81.16%3,192万78.89%2,890.2万78.89%2,890.2万59.17%3,289.3万23.43%3,091.5万-40.31%1,762万-51.81%1,615.6万-51.81%1,615.6万-36.63%2,066.5万
应付款项 15.46%2.77亿32.87%2.79亿37.59%1.43亿37.59%1.43亿24.80%2.66亿7.11%2.4亿8.51%2.1亿-14.94%1.04亿-14.94%1.04亿14.69%2.13亿
-应付账款 -0.85%2.26亿18.87%2.39亿-17.38%6,925.7万-17.38%6,925.7万10.44%2.34亿6.41%2.28亿8.62%2.01亿-0.54%8,382.4万-0.54%8,382.4万19.31%2.11亿
-应付税费 331.79%5,076.5万350.14%3,994.1万1,219.21%5,344.1万1,219.21%5,344.1万2,120.08%3,216.9万22.94%1,175.7万6.00%887.3万-73.42%405.1万-73.42%405.1万-82.74%144.9万
-其他应付款 --------26.24%1,997.7万26.24%1,997.7万-------------29.31%1,582.4万-29.31%1,582.4万----
应计费用 --------34.07%1.5亿34.07%1.5亿------------10.59%1.12亿10.59%1.12亿----
现行拨备 57.03%3,160.3万32.67%2,633.3万-7.47%2,229.2万-7.47%2,229.2万2.69%2,047.7万-30.56%2,012.6万-52.17%1,984.9万-41.27%2,409.1万-41.27%2,409.1万-38.39%1,994.1万
养老金及其他退休福利计划 -40.27%452.8万6.16%804.8万-6.58%712.7万-6.58%712.7万-29.91%748.1万-35.75%758.1万-39.97%758.1万-45.51%762.9万-45.51%762.9万-24.01%1,067.3万
递延负债 -2.19%9,141.3万-36.25%8,254.2万9.55%9,800.1万9.55%9,800.1万11.80%8,984.9万37.56%9,346万55.19%1.29亿-16.13%8,945.7万-16.13%8,945.7万-13.77%8,036.6万
其他流动负债 -13.01%5,616.9万53.78%7,186.5万-6.72%8,842.3万-6.72%8,842.3万1.79%7,634.8万-21.04%6,457万-52.24%4,673.3万4.18%9,479.6万4.18%9,479.6万13.94%7,500.3万
流动负债总额 -18.50%4.9亿6.04%5亿20.04%5.37亿20.04%5.37亿19.83%5.03亿36.87%6.01亿2.79%4.71亿-12.09%4.48亿-12.09%4.48亿-0.97%4.2亿
非流动负债
长期借款与租赁负债 -6.41%12.12亿9.37%13.39亿9.76%13.49亿9.76%13.49亿17.33%14.41亿5.45%12.95亿-0.37%12.24亿0.35%12.29亿0.35%12.29亿0.83%12.28亿
-长期借款 -5.72%11.56亿7.90%12.79亿8.73%12.88亿8.73%12.88亿15.57%13.67亿3.68%12.26亿0.33%11.85亿0.33%11.84亿0.33%11.84亿0.05%11.83亿
-长期租赁负债 -18.52%5,649.2万54.27%6,023.6万36.93%6,143.3万36.93%6,143.3万63.43%7,374.1万50.69%6,932.9万-17.81%3,904.5万0.88%4,486.3万0.88%4,486.3万26.50%4,512.2万
长期拨备 -4.59%2.98亿8.81%3.01亿15.28%3.22亿15.28%3.22亿2.50%2.63亿10.75%3.12亿-24.90%2.77亿-39.49%2.79亿-39.49%2.79亿-38.42%2.57亿
员工福利 -2.54%9,566.5万10.28%1.04亿20.38%1.08亿20.38%1.08亿-10.58%9,383万-5.59%9,815.7万-21.31%9,399.1万-33.55%8,960.2万-33.55%8,960.2万-21.43%1.05亿
递延负债 -9.21%6.91亿11.00%7.18亿10.92%7.38亿10.92%7.38亿17.00%7.59亿15.23%7.61亿-9.17%6.47亿-5.75%6.65亿-5.75%6.65亿-8.33%6.48亿
其他非流动负债 12.33%7,386.4万-26.86%5,883.5万19.49%5,172万19.49%5,172万-29.88%4,143.1万-3.44%6,575.8万-9.49%8,044.4万-58.05%4,328.3万-58.05%4,328.3万-48.63%5,908.5万
非流动负债总额 -6.39%23.7亿8.54%25.21亿11.36%25.68亿11.36%25.68亿13.09%25.98亿8.09%25.32亿-7.77%23.22亿-12.31%23.06亿-12.31%23.06亿-11.33%22.97亿
负债总额 -8.71%28.6亿8.12%30.2亿12.77%31.06亿12.77%31.06亿14.13%31.01亿12.64%31.33亿-6.14%27.93亿-12.27%27.54亿-12.27%27.54亿-9.87%27.17亿
所有者权益
股本 18.60%26.3亿25.88%22.42亿25.80%22.4亿25.80%22.4亿25.26%22.3亿24.56%22.17亿0.04%17.81亿0.11%17.81亿0.11%17.81亿0.10%17.8亿
-普通股股本 18.60%26.3亿25.88%22.42亿25.80%22.4亿25.80%22.4亿25.26%22.3亿24.56%22.17亿0.04%17.81亿0.11%17.81亿0.11%17.81亿0.10%17.8亿
留存收益 30.97%-1.7亿33.68%-1.54亿26.29%-1.74亿26.29%-1.74亿6.30%-2.04亿-18.72%-2.47亿3.39%-2.32亿21.98%-2.36亿21.98%-2.36亿25.16%-2.18亿
不影响留存收益的损益 -26.65%2,304.6万-23.69%1,952.3万13.71%3,017.7万13.71%3,017.7万118.87%1,903.5万8.77%3,141.8万16.85%2,558.3万14,681.32%2,653.8万14,681.32%2,653.8万183.20%869.7万
股东权益总额 24.01%24.83亿33.85%21.08亿33.40%20.97亿33.40%20.97亿30.16%20.45亿25.04%20.02亿0.80%15.75亿6.43%15.72亿6.43%15.72亿5.42%15.71亿
非控制性权益 -6.84%9,965.9万--1.04亿--1.1亿--1.1亿--1.05亿--1.07亿------0--0----
总权益 22.44%25.82亿40.43%22.11亿40.40%22.07亿40.40%22.07亿36.85%21.5亿31.72%21.09亿0.80%15.75亿6.43%15.72亿6.43%15.72亿5.42%15.71亿
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。

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