(Q2)2024/06/30 | (FY)2023/12/31 | (Q4)2023/12/31 | (Q2)2023/06/30 | (FY)2022/12/31 | (Q4)2022/12/31 | (Q2)2022/06/30 | (FY)2021/12/31 | (Q4)2021/12/31 | (Q2)2021/06/30 | |
---|---|---|---|---|---|---|---|---|---|---|
资产 | ||||||||||
流动资产 | ||||||||||
现金及现金等价物和短期投资 | -8.19%967.63万 | -35.10%835.22万 | -58.96%835.22万 | 580.21%1,053.97万 | 349.77%1,286.95万 | 611.22%2,035.04万 | -62.25%154.95万 | 51.00%286.13万 | 51.00%286.13万 | 63.19%410.51万 |
-现金和现金等价物 | -8.19%967.63万 | -35.10%835.22万 | -58.96%835.22万 | 580.21%1,053.97万 | 349.77%1,286.95万 | 611.22%2,035.04万 | -62.25%154.95万 | 51.00%286.13万 | 51.00%286.13万 | 63.19%410.51万 |
应收款项 | -5.61%44.36万 | 72.79%97.37万 | 9.61%97.37万 | 50.38%46.99万 | 11.77%56.35万 | 76.18%88.83万 | -46.53%31.25万 | 70.26%50.42万 | 70.26%50.42万 | 37.18%58.44万 |
-应收账款 | -26.72%18.72万 | 377.40%66.17万 | -25.51%66.17万 | 10.21%25.54万 | -43.58%13.86万 | 261.63%88.83万 | -60.34%23.18万 | 22.88%24.56万 | 22.88%24.56万 | 37.18%58.44万 |
-其他应收款 | 19.53%25.64万 | -26.57%31.2万 | --31.2万 | 165.71%21.45万 | 64.34%42.49万 | ---- | --8.07万 | 168.70%25.86万 | 168.70%25.86万 | ---- |
存货 | -1.25%70.93万 | 63.19%93.11万 | 40.63%93.11万 | 48.42%71.83万 | 60.30%57.05万 | 86.01%66.21万 | -0.35%48.4万 | -42.35%35.59万 | -42.35%35.59万 | 1.55%48.57万 |
受限制现金 | -0.50%5.8万 | 47.16%5.92万 | --5.92万 | --5.83万 | 12.91%4.02万 | ---- | ---- | --3.56万 | --3.56万 | ---- |
其他流动资产 | ---- | ---- | ---- | ---- | ---- | ---- | --49.32万 | ---- | ---- | ---- |
流动资产合计 | -7.63%1,088.72万 | -26.54%1,031.62万 | -52.90%1,031.62万 | 315.14%1,178.63万 | 273.79%1,404.38万 | 482.92%2,190.08万 | -45.14%283.91万 | 33.78%375.71万 | 33.78%375.71万 | 51.33%517.51万 |
非流动资产 | ||||||||||
固定资产净额 | 28.22%41.59万 | 40.73%53.87万 | -10.73%53.87万 | -23.58%32.43万 | -30.77%38.28万 | 9.13%60.34万 | -29.62%42.44万 | -21.31%55.29万 | -21.31%55.29万 | -14.17%60.3万 |
-固定资产 | 28.22%41.59万 | 27.12%79.51万 | 31.76%79.51万 | -23.58%32.43万 | -19.82%62.55万 | -22.65%60.34万 | -29.62%42.44万 | -15.86%78.01万 | -15.86%78.01万 | -14.17%60.3万 |
-累计折旧 | ---- | -5.64%-25.64万 | ---25.64万 | ---- | -6.82%-24.27万 | ---- | ---- | -1.21%-22.72万 | -1.21%-22.72万 | ---- |
非流动资产合计 | 28.22%41.59万 | 40.73%53.87万 | -10.73%53.87万 | -23.58%32.43万 | -30.77%38.28万 | 9.13%60.34万 | -29.62%42.44万 | -21.31%55.29万 | -21.31%55.29万 | -14.17%60.3万 |
总资产 | -6.67%1,130.31万 | -24.76%1,085.49万 | -51.76%1,085.49万 | 271.09%1,211.06万 | 234.72%1,442.66万 | 422.14%2,250.42万 | -43.52%326.35万 | 22.75%431万 | 22.75%431万 | 40.17%577.81万 |
负债 | ||||||||||
流动负债 | ||||||||||
应付款项 | -19.67%104.44万 | 29.23%141.44万 | -18.02%141.44万 | -0.41%130.01万 | 31.12%109.45万 | 106.70%172.53万 | 43.55%130.55万 | 6.52%83.47万 | 6.52%83.47万 | 18.51%90.94万 |
-应付账款 | -11.43%34.9万 | 145.30%49.94万 | -71.05%49.94万 | 3.88%39.4万 | 30.77%20.36万 | 1,008.14%172.53万 | -58.30%37.93万 | -19.54%15.57万 | -19.54%15.57万 | 18.51%90.94万 |
-其他应付款 | -23.25%69.55万 | 2.70%91.5万 | --91.5万 | -2.17%90.61万 | 31.20%89.09万 | ---- | --92.62万 | 15.06%67.9万 | 15.06%67.9万 | ---- |
短期借款与租赁负债 | 30.12%20.78万 | -1.89%22.28万 | -37.76%22.28万 | -23.59%15.97万 | 2.58%22.71万 | 61.71%35.8万 | 5.96%20.9万 | 6.15%22.14万 | 6.15%22.14万 | 8.63%19.73万 |
-短期借款 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 8.63%19.73万 |
-短期租赁负债 | 30.12%20.78万 | -1.89%22.28万 | -37.76%22.28万 | -23.59%15.97万 | 2.58%22.71万 | 61.71%35.8万 | --20.9万 | 6.15%22.14万 | 6.15%22.14万 | ---- |
其他流动负债 | 165.64%155.56万 | 43.52%107.16万 | -8.96%107.16万 | --58.56万 | --74.66万 | --117.7万 | ---- | ---- | ---- | ---- |
流动负债总额 | 37.27%280.79万 | 30.97%270.88万 | -16.92%270.88万 | 35.06%204.55万 | 95.84%206.83万 | 208.71%326.03万 | 36.85%151.45万 | 6.44%105.61万 | 6.44%105.61万 | 16.62%110.67万 |
非流动负债 | ||||||||||
长期拨备 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 14.49%55.23万 |
长期借款与租赁负债 | 58.60%11.55万 | 251.56%22.82万 | 123.02%22.82万 | -44.78%7.28万 | -73.37%6.49万 | -58.03%10.23万 | -59.77%13.19万 | -42.05%24.37万 | -42.05%24.37万 | -24.86%32.79万 |
-长期借款 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -24.86%32.79万 |
-长期租赁负债 | 58.60%11.55万 | 251.56%22.82万 | 123.02%22.82万 | -44.78%7.28万 | -73.37%6.49万 | -58.03%10.23万 | --13.19万 | -42.05%24.37万 | -42.05%24.37万 | ---- |
递延负债 | 10.11%1.32万 | 9.73%4,541.5525 | -30.39%4,541.5525 | 228.86%1.2万 | 10.33%4,138.9444 | 73.92%6,524.4668 | --3,654.8621 | --3,751.4136 | --3,751.4136 | ---- |
员工福利 | 49.37%20.34万 | 45.35%20.14万 | -7.80%20.14万 | -74.70%13.62万 | -76.64%13.85万 | -63.18%21.84万 | --53.82万 | 9.72%59.31万 | 9.72%59.31万 | ---- |
其他非流动负债 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -21.46%5,027.9498 |
非流动负债总额 | 50.28%33.22万 | 109.11%43.41万 | 32.66%43.41万 | -67.19%22.1万 | -75.31%20.76万 | -61.07%32.72万 | -23.88%67.38万 | -13.02%84.06万 | -13.02%84.06万 | -4.32%88.52万 |
总负债 | 38.54%314.01万 | 38.10%314.29万 | -12.39%314.29万 | 3.58%226.65万 | 19.99%227.58万 | 89.14%358.75万 | 9.86%218.83万 | -3.16%189.67万 | -3.16%189.67万 | 6.28%199.19万 |
所有者权益 | ||||||||||
股本 | 19.25%3,287.83万 | 0.67%2,851.63万 | -36.14%2,851.63万 | 51.22%2,757.06万 | 47.43%2,832.55万 | 132.40%4,465.12万 | -8.43%1,823.24万 | 9.20%1,921.31万 | 9.20%1,921.31万 | 26.63%1,991.2万 |
-普通股股本 | 19.25%3,287.83万 | 0.67%2,851.63万 | -36.14%2,851.63万 | 51.22%2,757.06万 | 47.43%2,832.55万 | 132.40%4,465.12万 | -8.43%1,823.24万 | 9.20%1,921.31万 | 9.20%1,921.31万 | 26.63%1,991.2万 |
留存收益 | -38.60%-2,403.49万 | -28.76%-2,106.91万 | 20.12%-2,106.91万 | 3.21%-1,734.15万 | 6.41%-1,636.31万 | -50.86%-2,637.58万 | -7.24%-1,791.64万 | -5.10%-1,748.36万 | -5.10%-1,748.36万 | -18.43%-1,670.75万 |
不影响留存收益的损益 | -76.70%-68.04万 | 40.53%26.48万 | -58.71%26.48万 | -150.72%-38.5万 | -72.44%18.84万 | -6.21%64.14万 | 30.51%75.91万 | 15.46%68.38万 | 15.46%68.38万 | -7.80%58.17万 |
股东权益总额 | -17.08%816.3万 | -36.53%771.2万 | -59.23%771.2万 | 815.54%984.41万 | 403.49%1,215.08万 | 683.85%1,891.67万 | -71.60%107.52万 | 55.44%241.33万 | 55.44%241.33万 | 68.41%378.62万 |
总权益 | -17.08%816.3万 | -36.53%771.2万 | -59.23%771.2万 | 815.54%984.41万 | 403.49%1,215.08万 | 683.85%1,891.67万 | -71.60%107.52万 | 55.44%241.33万 | 55.44%241.33万 | 68.41%378.62万 |
货币单位 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 |
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 | -- | -- | -- | -- | -- | -- | -- | -- |
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