Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
Power Shares德银石油基金
DBO
5
美国原油ETF
USO
| (Q1)2026/03/31 | (FY)2025/12/31 | (Q4)2025/12/31 | (Q3)2025/09/30 | (Q2)2025/06/30 | (Q1)2025/03/31 | (FY)2024/12/31 | (Q4)2024/12/31 | (Q3)2024/09/30 | (Q2)2024/06/30 | |
|---|---|---|---|---|---|---|---|---|---|---|
| 资产 | ||||||||||
| 流动资产 | ||||||||||
| 现金及现金等价物和短期投资 | -64.13%1,005.71万 | -59.01%1,464.44万 | -59.01%1,464.44万 | 125.19%1,060.45万 | 170.27%2,057.71万 | 207.69%2,804万 | 117.24%3,572.77万 | 117.24%3,572.77万 | -81.35%470.92万 | 533.78%761.34万 |
| -现金和现金等价物 | -64.13%1,005.71万 | -59.01%1,464.44万 | -59.01%1,464.44万 | 125.19%1,060.45万 | 170.27%2,057.71万 | 207.69%2,804万 | 117.24%3,572.77万 | 117.24%3,572.77万 | -81.35%470.92万 | 533.78%761.34万 |
| 应收款项 | 83.43%963.62万 | 100.43%914.6万 | 100.43%914.6万 | 58.02%710.28万 | 15.59%582.78万 | -17.06%525.34万 | 2,127.26%456.32万 | 2,127.26%456.32万 | 6,548.79%449.49万 | --504.18万 |
| -应收账款 | 186.56%193.26万 | 522.31%163.1万 | 522.31%163.1万 | -70.67%18.26万 | 83.07%62.35万 | 84.47%67.44万 | 27.92%26.21万 | 27.92%26.21万 | 820.68%62.24万 | --34.06万 |
| -应收贷款 | 86.68%687.69万 | 54.20%614.81万 | 54.20%614.81万 | 38.13%492.81万 | -6.54%405.89万 | -33.54%368.38万 | --398.7万 | --398.7万 | --356.78万 | --434.29万 |
| -应收利息 | 3.07%24.64万 | -20.27%25.05万 | -20.27%25.05万 | -30.28%21.24万 | -39.02%21.85万 | -43.89%23.9万 | --31.41万 | --31.41万 | --30.46万 | --35.83万 |
| -其他应收款 | -11.57%58.03万 | --111.65万 | --111.65万 | --177.97万 | --92.69万 | --65.62万 | ---- | ---- | ---- | ---- |
| 存货 | ---- | ---- | ---- | ---- | 98.89%254.13万 | 101.47%243.26万 | 85.06%266.34万 | 85.06%266.34万 | 1.67%150.07万 | --127.77万 |
| 受限制现金 | 571.01%158.96万 | 322.08%111.96万 | 322.08%111.96万 | -55.85%42.68万 | 125.01%30.71万 | 1.28%23.69万 | --26.53万 | --26.53万 | --96.65万 | --13.65万 |
| 其他流动资产 | -18.55%226.61万 | 8.35%245.03万 | 8.35%245.03万 | -36.03%274.35万 | 5.03%292.34万 | -5.54%278.22万 | -26.69%226.14万 | -26.69%226.14万 | 21.09%428.87万 | --278.34万 |
| 流动资产合计 | -29.24%2,741.78万 | -32.17%3,176.83万 | -32.17%3,176.83万 | 90.95%3,047.55万 | 90.93%3,217.67万 | 95.35%3,874.51万 | 121.19%4,683.72万 | 121.19%4,683.72万 | -47.40%1,596万 | 1,248.24%1,685.28万 |
| 非流动资产 | ||||||||||
| 固定资产净额 | 114.34%98.4万 | 115.60%118.61万 | 115.60%118.61万 | 124.14%145.81万 | 36.52%108.66万 | -50.79%45.91万 | 21.88%55.01万 | 21.88%55.01万 | 119.37%65.06万 | --79.59万 |
| -固定资产 | 134.85%107.82万 | 128.74%125.84万 | 128.74%125.84万 | 130.02%149.64万 | 42.42%113.35万 | -50.79%45.91万 | 17.74%55.01万 | 17.74%55.01万 | 119.37%65.06万 | --79.59万 |
| -累计折旧 | ---9.42万 | ---7.23万 | ---7.23万 | ---3.83万 | ---4.7万 | ---- | --0 | --0 | ---- | ---- |
| 商誉及其他无形资产 | -5.90%2,472.42万 | -0.24%2,550.43万 | -0.24%2,550.43万 | -2.13%2,630.81万 | 17.66%3,152.19万 | -1.56%2,627.44万 | 618.77%2,556.69万 | 618.77%2,556.69万 | 961.56%2,687.94万 | --2,678.99万 |
| -商誉 | 0.00%1,093.1万 | 0.00%1,093.1万 | 0.00%1,093.1万 | 0.00%1,093.1万 | 0.00%1,093.1万 | 0.00%1,093.1万 | --1,093.1万 | --1,093.1万 | --1,093.1万 | --1,093.1万 |
| -其他无形资产 | -10.10%1,379.33万 | -0.43%1,457.33万 | -0.43%1,457.33万 | -3.58%1,537.71万 | 29.84%2,059.09万 | -2.64%1,534.34万 | 311.47%1,463.6万 | 311.47%1,463.6万 | 529.86%1,594.84万 | --1,585.89万 |
| 长期应收票据 | 93.75%119.89万 | 61.86%118.98万 | 61.86%118.98万 | -18.88%55.19万 | 4.53%59.81万 | -45.71%61.88万 | --73.51万 | --73.51万 | --68.04万 | --57.22万 |
| 长期预付费用 | -47.39%2.99万 | 61.06%2.99万 | 61.06%2.99万 | -55.82%3.34万 | 44.53%7.17万 | 50.15%5.69万 | -70.75%1.86万 | -70.75%1.86万 | -3.31%7.56万 | --4.96万 |
| 其他非流动资产 | ---- | ---- | ---- | ---- | ---- | ---- | --118.59万 | --118.59万 | ---- | ---- |
| 非流动资产合计 | -1.72%2,693.71万 | -0.52%2,791.02万 | -0.52%2,791.02万 | 0.23%2,835.16万 | 17.98%3,327.83万 | -4.83%2,740.92万 | 589.02%2,805.67万 | 589.02%2,805.67万 | 873.10%2,828.59万 | -83.96%2,820.76万 |
| 总资产 | -17.84%5,435.49万 | -20.32%5,967.84万 | -20.32%5,967.84万 | 32.95%5,882.71万 | 45.26%6,545.5万 | 36.02%6,615.42万 | 196.65%7,489.38万 | 196.65%7,489.38万 | 33.08%4,424.59万 | -74.56%4,506.04万 |
| 负债 | ||||||||||
| 流动负债 | ||||||||||
| 应付款项 | 65.72%514.56万 | 86.52%535.17万 | 86.52%535.17万 | -37.98%227.29万 | -27.34%285.09万 | -52.90%310.5万 | 46.93%286.93万 | 46.93%286.93万 | 113.76%366.47万 | 309.54%392.33万 |
| -应付账款 | 65.72%514.56万 | 86.52%535.17万 | 86.52%535.17万 | -37.98%227.29万 | -27.34%285.09万 | -52.90%310.5万 | 56.92%286.93万 | 56.92%286.93万 | 113.76%366.47万 | --392.33万 |
| -应付税费 | ---- | ---- | ---- | ---- | ---- | ---- | -46.87%6.6万 | -46.87%6.6万 | ---- | ---- |
| 应计费用 | -8.21%146.18万 | 53.61%120.54万 | 53.61%120.54万 | 35.23%122.62万 | 26.67%141.72万 | 52.54%159.26万 | -48.28%78.47万 | -48.28%78.47万 | -14.59%90.67万 | -67.57%111.89万 |
| 短期借款与租赁负债 | 102.89%773.81万 | 66.63%649.84万 | 66.63%649.84万 | 48.72%487.29万 | 20.75%452.97万 | -29.74%381.4万 | 1,154.34%389.99万 | 1,154.34%389.99万 | 1,843.34%327.66万 | --375.12万 |
| -短期借款 | 99.88%740.42万 | 63.47%617.45万 | 63.47%617.45万 | 46.64%455.88万 | 14.23%400.66万 | -27.37%370.44万 | --377.73万 | --377.73万 | --310.89万 | --350.76万 |
| -短期租赁负债 | 204.74%33.39万 | 164.17%32.38万 | 164.17%32.38万 | 87.19%31.4万 | 114.70%52.3万 | -66.58%10.96万 | -60.57%12.26万 | -60.57%12.26万 | -0.51%16.77万 | --24.36万 |
| 递延负债 | ---- | ---- | ---- | ---- | 749.46%205.38万 | -59.79%5.78万 | -76.16%5.37万 | -76.16%5.37万 | 129.50%57.14万 | --24.18万 |
| 其他流动负债 | --189.32万 | 143.99%261.2万 | 143.99%261.2万 | --364.39万 | ---- | ---- | --107.06万 | --107.06万 | ---- | ---- |
| 流动负债总额 | 89.50%1,623.87万 | 81.66%1,566.75万 | 81.66%1,566.75万 | 42.72%1,201.59万 | 20.10%1,085.16万 | -35.12%856.93万 | 115.28%862.44万 | 115.28%862.44万 | 163.64%841.94万 | 104.96%903.52万 |
| 非流动负债 | ||||||||||
| 长期借款与租赁负债 | 0.46%2,871.72万 | 0.67%2,880.38万 | 0.67%2,880.38万 | 0.86%2,888.84万 | 54.02%2,875.25万 | 228.78%2,858.47万 | 173,766.54%2,861.32万 | 173,766.54%2,861.32万 | --2,864.1万 | --1,866.81万 |
| -长期借款 | 0.00%2,844.95万 | 0.00%2,844.95万 | 0.00%2,844.95万 | 0.00%2,844.95万 | 54.20%2,844.95万 | 236.70%2,844.95万 | --2,844.95万 | --2,844.95万 | --2,844.95万 | --1,844.95万 |
| -长期租赁负债 | 97.96%26.77万 | 116.40%35.43万 | 116.40%35.43万 | 129.19%43.89万 | 38.60%30.3万 | -44.76%13.52万 | 894.81%16.37万 | 894.81%16.37万 | --19.15万 | --21.86万 |
| 衍生品负债 | -79.60%57.2万 | -87.92%123.03万 | -87.92%123.03万 | -10.86%234.65万 | -44.06%268.95万 | -64.49%280.45万 | 0.55%1,018.6万 | 0.55%1,018.6万 | -84.14%263.25万 | -45.47%480.75万 |
| 其他非流动负债 | 195.00%50.15万 | -12.90%54万 | -12.90%54万 | 356.67%68.5万 | 121.88%71万 | -68.52%17万 | -6.06%62万 | -6.06%62万 | -92.31%15万 | --32万 |
| 非流动负债总额 | -5.60%2,979.07万 | -22.44%3,057.4万 | -22.44%3,057.4万 | 1.58%3,191.99万 | 35.12%3,215.2万 | 84.20%3,155.92万 | 264.77%3,941.92万 | 264.77%3,941.92万 | 69.40%3,142.35万 | 60.20%2,379.56万 |
| 总负债 | 14.71%4,602.94万 | -3.75%4,624.15万 | -3.75%4,624.15万 | 10.27%4,393.58万 | 30.99%4,300.36万 | 32.26%4,012.85万 | 224.34%4,804.36万 | 224.34%4,804.36万 | 83.24%3,984.29万 | 70.44%3,283.08万 |
| 所有者权益 | ||||||||||
| 股本 | 12.88%4,873 | 16.17%4,971 | 16.17%4,971 | 41.55%4,623 | 46.21%4,588 | 37.57%4,317 | 54.92%4,279 | 54.92%4,279 | 18.55%3,266 | -100.00%3,138 |
| -普通股股本 | 12.88%4,873 | 16.17%4,971 | 16.17%4,971 | 41.55%4,623 | 46.21%4,588 | 37.57%4,317 | 54.92%4,279 | 54.92%4,279 | 18.55%3,266 | -100.00%3,138 |
| -优先股股本 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
| 留存收益 | -31.06%-1.63亿 | -30.54%-1.57亿 | -30.54%-1.57亿 | -45.92%-1.45亿 | -54.27%-1.33亿 | -66.26%-1.24亿 | -92.73%-1.2亿 | -92.73%-1.2亿 | -75.41%-9,916.28万 | -407.45%-8,602.52万 |
| 资本公积 | 13.91%1.71亿 | 15.81%1.7亿 | 15.81%1.7亿 | 54.09%1.6亿 | 57.92%1.55亿 | 61.55%1.5亿 | 102.01%1.47亿 | 102.01%1.47亿 | 52.22%1.04亿 | --9,825.17万 |
| 股东权益总额 | -68.01%832.54万 | -49.96%1,343.69万 | -49.96%1,343.69万 | 238.21%1,489.12万 | 83.58%2,245.14万 | 42.27%2,602.57万 | 157.33%2,685.02万 | 157.33%2,685.02万 | -61.73%440.3万 | -92.25%1,222.96万 |
| 总权益 | -68.01%832.54万 | -49.96%1,343.69万 | -49.96%1,343.69万 | 238.21%1,489.12万 | 83.58%2,245.14万 | 42.27%2,602.57万 | 157.33%2,685.02万 | 157.33%2,685.02万 | -61.73%440.3万 | -92.25%1,222.96万 |
| 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 | -- | -- | -- | -- | 无保留意见 | -- | -- | -- |