(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 | 94.54%1,804.96万 | 94.54%1,804.96万 | -48.53%927.83万 | -48.53%927.83万 | -26.83%1,802.79万 | -26.83%1,802.79万 | 42.93%2,464.01万 | 42.93%2,464.01万 | 187.18%1,723.99万 | 187.18%1,723.99万 |
-现金和现金等价物 | 94.54%1,804.96万 | 94.54%1,804.96万 | -48.53%927.83万 | -48.53%927.83万 | -26.83%1,802.79万 | -26.83%1,802.79万 | 42.95%2,464.01万 | 42.95%2,464.01万 | 187.12%1,723.63万 | 187.12%1,723.63万 |
-短期投资 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --3,604 | --3,604 |
应收款项 | ---- | ---- | -65.54%293.91万 | -65.54%293.91万 | 456.71%852.89万 | 456.71%852.89万 | --153.2万 | --153.2万 | ---- | ---- |
-其他应收款 | ---- | ---- | -65.54%293.91万 | -65.54%293.91万 | 456.71%852.89万 | 456.71%852.89万 | --153.2万 | --153.2万 | ---- | ---- |
预付费用 | 105.16%30.95万 | 105.16%30.95万 | -49.41%15.09万 | -49.41%15.09万 | 25.13%29.82万 | 25.13%29.82万 | 393.86%23.83万 | 393.86%23.83万 | 495.63%4.83万 | 495.63%4.83万 |
其他流动资产 | 15.08%1.22万 | 15.08%1.22万 | -25.37%1.06万 | -25.37%1.06万 | 77.43%1.42万 | 77.43%1.42万 | -91.43%8,003 | -91.43%8,003 | 62.60%9.34万 | 62.60%9.34万 |
流动资产合计 | 48.41%1,837.13万 | 48.41%1,837.13万 | -53.93%1,237.89万 | -53.93%1,237.89万 | 1.71%2,686.92万 | 1.71%2,686.92万 | 51.99%2,641.84万 | 51.99%2,641.84万 | 186.41%1,738.15万 | 186.41%1,738.15万 |
非流动资产 | ||||||||||
固定资产净额 | -26.63%21.02万 | -26.63%21.02万 | 69.87%28.65万 | 69.87%28.65万 | 296.24%16.87万 | 296.24%16.87万 | -96.20%4.26万 | -96.20%4.26万 | 2,570.73%112.08万 | 2,570.73%112.08万 |
-固定资产 | -19.28%27.47万 | -19.28%27.47万 | 58.21%34.03万 | 58.21%34.03万 | 199.37%21.51万 | 199.37%21.51万 | -93.76%7.18万 | -93.76%7.18万 | 2,644.25%115.16万 | 2,644.25%115.16万 |
-累计折旧 | -19.91%-6.44万 | -19.91%-6.44万 | -15.83%-5.37万 | -15.83%-5.37万 | -58.52%-4.64万 | -58.52%-4.64万 | 5.12%-2.93万 | 5.12%-2.93万 | ---3.09万 | ---3.09万 |
非流动资产合计 | -26.63%21.02万 | -26.63%21.02万 | 69.87%28.65万 | 69.87%28.65万 | 296.24%16.87万 | 296.24%16.87万 | -96.20%4.26万 | -96.20%4.26万 | 2,570.73%112.08万 | 2,570.73%112.08万 |
总资产 | 46.71%1,858.16万 | 46.71%1,858.16万 | -53.16%1,266.54万 | -53.16%1,266.54万 | 2.18%2,703.79万 | 2.18%2,703.79万 | 43.01%2,646.1万 | 43.01%2,646.1万 | 202.78%1,850.23万 | 202.78%1,850.23万 |
负债 | ||||||||||
流动负债 | ||||||||||
短期借款与资本租赁负债 | 18.27%10.29万 | 18.27%10.29万 | -97.67%8.7万 | -97.67%8.7万 | 36.90%373.33万 | 36.90%373.33万 | 8,078.47%272.71万 | 8,078.47%272.71万 | --3.33万 | --3.33万 |
-短期借款 | ---- | ---- | ---- | ---- | 35.34%366.61万 | 35.34%366.61万 | --270.87万 | --270.87万 | ---- | ---- |
-短期资本租赁负债 | 18.27%10.29万 | 18.27%10.29万 | 29.52%8.7万 | 29.52%8.7万 | 265.47%6.72万 | 265.47%6.72万 | -44.86%1.84万 | -44.86%1.84万 | --3.33万 | --3.33万 |
应付款项 | -56.29%224.95万 | -56.29%224.95万 | 63.22%514.63万 | 63.22%514.63万 | 74.11%315.29万 | 74.11%315.29万 | 480.65%181.09万 | 480.65%181.09万 | 65.96%31.19万 | 65.96%31.19万 |
-应付账款 | -49.67%182.55万 | -49.67%182.55万 | 44.45%362.75万 | 44.45%362.75万 | 49.59%251.13万 | 49.59%251.13万 | 1,142.89%167.88万 | 1,142.89%167.88万 | 5.85%13.51万 | 5.85%13.51万 |
-其他应付款 | -72.09%42.4万 | -72.09%42.4万 | 136.72%151.88万 | 136.72%151.88万 | 385.61%64.16万 | 385.61%64.16万 | -25.27%13.21万 | -25.27%13.21万 | 193.10%17.68万 | 193.10%17.68万 |
现行拨备 | ---- | ---- | ---- | ---- | -40.32%149.38万 | -40.32%149.38万 | --250.31万 | --250.31万 | ---- | ---- |
养老金及其他退休福利计划 | 36.90%34.82万 | 36.90%34.82万 | 49.15%25.44万 | 49.15%25.44万 | 3.56%17.05万 | 3.56%17.05万 | 25.46%16.47万 | 25.46%16.47万 | 48.22%13.13万 | 48.22%13.13万 |
其他流动负债 | -47.42%50万 | -47.42%50万 | -75.74%95.1万 | -75.74%95.1万 | 0.00%392万 | 0.00%392万 | --392万 | --392万 | ---- | ---- |
流动负债总额 | -50.29%320.06万 | -50.29%320.06万 | -48.37%643.87万 | -48.37%643.87万 | 12.09%1,247.05万 | 12.09%1,247.05万 | 2,234.98%1,112.58万 | 2,234.98%1,112.58万 | 72.33%47.65万 | 72.33%47.65万 |
非流动负债 | ||||||||||
长期借款与租赁负债 | -31.18%11.99万 | -31.18%11.99万 | 103.99%17.42万 | 103.99%17.42万 | 854.66%8.54万 | 854.66%8.54万 | -27.17%8,947 | -27.17%8,947 | --1.23万 | --1.23万 |
-长期租赁负债 | -31.18%11.99万 | -31.18%11.99万 | 103.99%17.42万 | 103.99%17.42万 | 854.66%8.54万 | 854.66%8.54万 | -27.17%8,947 | -27.17%8,947 | --1.23万 | --1.23万 |
长期拨备 | 1.31%62.1万 | 1.31%62.1万 | 15.66%61.3万 | 15.66%61.3万 | 3.92%53万 | 3.92%53万 | --51万 | --51万 | ---- | ---- |
员工福利 | --6.95万 | --6.95万 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
其他非流动负债 | -33.33%100万 | -33.33%100万 | 0.00%150万 | 0.00%150万 | 0.00%150万 | 0.00%150万 | --150万 | --150万 | ---- | ---- |
非流动负债总额 | -20.85%181.04万 | -20.85%181.04万 | 8.12%228.72万 | 8.12%228.72万 | 4.78%211.54万 | 4.78%211.54万 | 16,334.25%201.89万 | 16,334.25%201.89万 | --1.23万 | --1.23万 |
负债总额 | -42.57%501.1万 | -42.57%501.1万 | -40.18%872.59万 | -40.18%872.59万 | 10.96%1,458.59万 | 10.96%1,458.59万 | 2,589.36%1,314.47万 | 2,589.36%1,314.47万 | 76.78%48.88万 | 76.78%48.88万 |
所有者权益 | ||||||||||
股本 | 44.27%8,873.13万 | 44.27%8,873.13万 | 4.50%6,150.54万 | 4.50%6,150.54万 | 44.35%5,885.92万 | 44.35%5,885.92万 | 19.47%4,077.41万 | 19.47%4,077.41万 | 84.06%3,412.88万 | 84.06%3,412.88万 |
-普通股股本 | 44.27%8,873.13万 | 44.27%8,873.13万 | 4.50%6,150.54万 | 4.50%6,150.54万 | 44.35%5,885.92万 | 44.35%5,885.92万 | 19.47%4,077.41万 | 19.47%4,077.41万 | 84.06%3,412.88万 | 84.06%3,412.88万 |
留存收益 | -31.23%-7,768.02万 | -31.23%-7,768.02万 | -20.83%-5,919.6万 | -20.83%-5,919.6万 | -43.67%-4,899.32万 | -43.67%-4,899.32万 | -46.35%-3,410.09万 | -46.35%-3,410.09万 | -6.24%-2,330.12万 | -6.24%-2,330.12万 |
不影响留存收益的损益 | 54.56%251.94万 | 54.56%251.94万 | -36.96%163.01万 | -36.96%163.01万 | -61.07%258.6万 | -61.07%258.6万 | -7.56%664.31万 | -7.56%664.31万 | -22.10%718.6万 | -22.10%718.6万 |
股东权益总额 | 244.48%1,357.05万 | 244.48%1,357.05万 | -68.36%393.95万 | -68.36%393.95万 | -6.49%1,245.2万 | -6.49%1,245.2万 | -26.08%1,331.63万 | -26.08%1,331.63万 | 208.75%1,801.36万 | 208.75%1,801.36万 |
总权益 | 244.48%1,357.05万 | 244.48%1,357.05万 | -68.36%393.95万 | -68.36%393.95万 | -6.49%1,245.2万 | -6.49%1,245.2万 | -26.08%1,331.63万 | -26.08%1,331.63万 | 208.75%1,801.36万 | 208.75%1,801.36万 |
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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