(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 | -33.78%1,451.32万 | -33.78%1,451.32万 | 78.41%2,191.54万 | 78.41%2,191.54万 | -23.79%1,228.38万 | -23.79%1,228.38万 | 118.48%1,611.75万 | 118.48%1,611.75万 | -23.63%737.71万 | -23.63%737.71万 |
-现金和现金等价物 | 77.99%1,049.32万 | 77.99%1,049.32万 | -51.93%589.54万 | -51.93%589.54万 | -23.82%1,226.38万 | -23.82%1,226.38万 | 118.80%1,609.75万 | 118.80%1,609.75万 | -23.68%735.71万 | -23.68%735.71万 |
-应收账款 | -1.03%20.66万 | -1.03%20.66万 | 168.62%20.88万 | 168.62%20.88万 | 44.69%7.77万 | 44.69%7.77万 | 80.00%5.37万 | 80.00%5.37万 | --2.98万 | --2.98万 |
-应收票据 | 0.00%6,217 | 0.00%6,217 | -86.75%6,217 | -86.75%6,217 | 87.73%4.69万 | 87.73%4.69万 | 26.87%2.5万 | 26.87%2.5万 | 10.94%1.97万 | 10.94%1.97万 |
-其他应收款 | 2.28%4.63万 | 2.28%4.63万 | -71.40%4.52万 | -71.40%4.52万 | 254.98%15.81万 | 254.98%15.81万 | -75.57%4.46万 | -75.57%4.46万 | 14.83%18.24万 | 14.83%18.24万 |
流动资产合计 | -24.25%1,874.06万 | -24.25%1,874.06万 | 73.65%2,473.86万 | 73.65%2,473.86万 | -19.04%1,424.66万 | -19.04%1,424.66万 | 102.16%1,759.82万 | 102.16%1,759.82万 | -25.21%870.52万 | -25.21%870.52万 |
非流动资产 | ||||||||||
-商誉 | -50.99%165.02万 | -50.99%165.02万 | 0.00%336.69万 | 0.00%336.69万 | 0.00%336.69万 | 0.00%336.69万 | 0.00%336.69万 | 0.00%336.69万 | 0.00%336.69万 | 0.00%336.69万 |
监管资产 | -1.03%20.66万 | -1.03%20.66万 | 168.62%20.88万 | 168.62%20.88万 | 44.69%7.77万 | 44.69%7.77万 | 80.00%5.37万 | 80.00%5.37万 | -74.54%2.98万 | -74.54%2.98万 |
负债 | ||||||||||
流动负债 | ||||||||||
短期借款与资本租赁负债 | --33.05万 | --33.05万 | ---- | ---- | ---- | ---- | 5.70%16.58万 | 5.70%16.58万 | --15.69万 | --15.69万 |
-短期借款 | --33.05万 | --33.05万 | ---- | ---- | ---- | ---- | 5.70%16.58万 | 5.70%16.58万 | --15.69万 | --15.69万 |
-应付账款 | -3.16%172.22万 | -3.16%172.22万 | 251.98%177.85万 | 251.98%177.85万 | 117.22%50.53万 | 117.22%50.53万 | -51.53%23.26万 | -51.53%23.26万 | 22.07%47.99万 | 22.07%47.99万 |
-应付税费 | 0.00%6,217 | 0.00%6,217 | -86.75%6,217 | -86.75%6,217 | 87.73%4.69万 | 87.73%4.69万 | 26.87%2.5万 | 26.87%2.5万 | 10.94%1.97万 | 10.94%1.97万 |
现行拨备 | ---- | ---- | ---- | ---- | --2.56万 | --2.56万 | ---- | ---- | ---- | ---- |
流动负债总额 | 14.44%231.93万 | 14.44%231.93万 | 150.49%202.67万 | 150.49%202.67万 | 57.20%80.91万 | 57.20%80.91万 | -40.45%51.47万 | -40.45%51.47万 | 29.37%86.42万 | 29.37%86.42万 |
非流动负债 | ||||||||||
长期应计费用 | -25.46%2,099 | -25.46%2,099 | -42.58%2,816 | -42.58%2,816 | 161.27%4,904 | 161.27%4,904 | 4,839.47%1,877 | 4,839.47%1,877 | -95.97%38 | -95.97%38 |
员工福利 | 0.00%6,217 | 0.00%6,217 | -86.75%6,217 | -86.75%6,217 | 87.73%4.69万 | 87.73%4.69万 | 26.87%2.5万 | 26.87%2.5万 | 10.94%1.97万 | 10.94%1.97万 |
可转换优先证券 | 8.57%22.04万 | 8.57%22.04万 | 69.02%20.3万 | 69.02%20.3万 | 67.53%12.01万 | 67.53%12.01万 | 59.07%7.17万 | 59.07%7.17万 | -61.17%4.51万 | -61.17%4.51万 |
非流动负债总额 | 14.40%232.56万 | 14.40%232.56万 | 137.49%203.29万 | 137.49%203.29万 | 58.62%85.6万 | 58.62%85.6万 | -38.95%53.97万 | -38.95%53.97万 | 28.89%88.4万 | 28.89%88.4万 |
所有者权益 | ||||||||||
股本 | 0.03%9,327.05万 | 0.03%9,327.05万 | 20.69%9,324.64万 | 20.69%9,324.64万 | 0.77%7,726.43万 | 0.77%7,726.43万 | 19.93%7,667.12万 | 19.93%7,667.12万 | 0.00%6,393.04万 | 0.00%6,393.04万 |
-普通股股本 | 0.03%9,327.05万 | 0.03%9,327.05万 | 20.69%9,324.64万 | 20.69%9,324.64万 | 0.77%7,726.43万 | 0.77%7,726.43万 | 19.93%7,667.12万 | 19.93%7,667.12万 | 0.00%6,393.04万 | 0.00%6,393.04万 |
不影响留存收益的损益 | 2.40%219.38万 | 2.40%219.38万 | 9.85%214.24万 | 9.85%214.24万 | 54.33%195.02万 | 54.33%195.02万 | 76.53%126.37万 | 76.53%126.37万 | -34.91%71.58万 | -34.91%71.58万 |
其他股本权益 | 56.76%371.24万 | 56.76%371.24万 | 44.35%236.81万 | 44.35%236.81万 | 38.38%164.05万 | 38.38%164.05万 | 15.03%118.55万 | 15.03%118.55万 | -36.82%103.06万 | -36.82%103.06万 |
总权益 | -27.45%2,039.29万 | -27.45%2,039.29万 | 59.54%2,810.84万 | 59.54%2,810.84万 | -15.97%1,761.84万 | -15.97%1,761.84万 | 73.68%2,096.69万 | 73.68%2,096.69万 | -19.56%1,207.21万 | -19.56%1,207.21万 |
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