澳洲市场个股详情

RFG Retail Food Group Ltd

添加自选
  • 0.079
  • +0.004+5.33%
延时20分钟行情未开盘 11/13 16:00 (悉尼)
1.97亿总市值39.50市盈率(静)

Retail Food Group Ltd关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
-10.80%2,064.2万
-10.80%2,064.2万
-25.10%2,314.1万
-25.10%2,314.1万
-10.83%3,089.5万
-10.83%3,089.5万
-13.91%3,464.9万
-13.91%3,464.9万
226.77%4,024.8万
226.77%4,024.8万
-现金和现金等价物
-7.37%2,062.3万
-7.37%2,062.3万
-23.80%2,226.3万
-23.80%2,226.3万
-15.68%2,921.7万
-15.68%2,921.7万
-13.91%3,464.9万
-13.91%3,464.9万
226.77%4,024.8万
226.77%4,024.8万
-短期投资
-97.84%1.9万
-97.84%1.9万
-47.68%87.8万
-47.68%87.8万
--167.8万
--167.8万
----
----
----
----
应收款项
9.96%3,344.7万
9.96%3,344.7万
12.58%3,041.8万
12.58%3,041.8万
-19.61%2,702万
-19.61%2,702万
-34.04%3,361.1万
-34.04%3,361.1万
186.81%5,095.5万
186.81%5,095.5万
-应收账款
6.50%1,611.8万
6.50%1,611.8万
22.02%1,513.4万
22.02%1,513.4万
-12.08%1,240.3万
-12.08%1,240.3万
-54.22%1,410.7万
-54.22%1,410.7万
-10.95%3,081.6万
-10.95%3,081.6万
-应收贷款
----
----
----
----
----
----
-26.53%42.1万
-26.53%42.1万
-37.99%57.3万
-37.99%57.3万
-其他应收款
8.27%2,754万
8.27%2,754万
8.54%2,543.7万
8.54%2,543.7万
-21.41%2,343.6万
-21.41%2,343.6万
-8.56%2,982万
-8.56%2,982万
337.61%3,261.1万
337.61%3,261.1万
-应收账款调整额
-0.57%-1,021.1万
-0.57%-1,021.1万
-15.13%-1,015.3万
-15.13%-1,015.3万
17.86%-881.9万
17.86%-881.9万
17.69%-1,073.7万
17.69%-1,073.7万
48.26%-1,304.5万
48.26%-1,304.5万
存货
4.57%388.7万
4.57%388.7万
-42.23%371.7万
-42.23%371.7万
50.08%643.4万
50.08%643.4万
-60.85%428.7万
-60.85%428.7万
59.22%1,095.1万
59.22%1,095.1万
预付费用
8.01%292.5万
8.01%292.5万
144.40%270.8万
144.40%270.8万
-66.04%110.8万
-66.04%110.8万
-9.08%326.3万
-9.08%326.3万
-28.82%358.9万
-28.82%358.9万
递延资产
----
----
----
----
----
----
----
----
-86.60%2.6万
-86.60%2.6万
其他流动资产
-50.43%114.9万
-50.43%114.9万
24.62%231.8万
24.62%231.8万
69.40%186万
69.40%186万
-79.95%109.8万
-79.95%109.8万
--547.5万
--547.5万
流动资产合计
-0.40%6,205万
-0.40%6,205万
-7.45%6,230.2万
-7.45%6,230.2万
-12.47%6,731.7万
-12.47%6,731.7万
-30.87%7,690.8万
-30.87%7,690.8万
3.27%1.11亿
3.27%1.11亿
非流动资产
固定资产净额
11.69%3,072.5万
11.69%3,072.5万
16.81%2,751万
16.81%2,751万
12.30%2,355.2万
12.30%2,355.2万
-46.29%2,097.2万
-46.29%2,097.2万
69.02%3,904.5万
69.02%3,904.5万
-固定资产
-11.72%7,591.5万
-11.72%7,591.5万
7.44%8,599.5万
7.44%8,599.5万
13.21%8,004.2万
13.21%8,004.2万
-32.29%7,070.2万
-32.29%7,070.2万
56.95%1.04亿
56.95%1.04亿
-累计折旧
22.73%-4,519万
22.73%-4,519万
-3.53%-5,848.5万
-3.53%-5,848.5万
-13.59%-5,649万
-13.59%-5,649万
23.93%-4,973万
23.93%-4,973万
-50.53%-6,537.2万
-50.53%-6,537.2万
投资和预付款
-14.71%2.9万
-14.71%2.9万
-59.04%3.4万
-59.04%3.4万
--8.3万
--8.3万
----
----
----
----
-其他投资
-14.71%2.9万
-14.71%2.9万
-59.04%3.4万
-59.04%3.4万
--8.3万
--8.3万
----
----
----
----
长期应收款
11.70%3,920.6万
11.70%3,920.6万
16.39%3,509.9万
16.39%3,509.9万
-20.09%3,015.7万
-20.09%3,015.7万
-29.59%3,773.7万
-29.59%3,773.7万
2,192.39%5,359.6万
2,192.39%5,359.6万
商誉及其他无形资产
4.95%2.29亿
4.95%2.29亿
-3.13%2.18亿
-3.13%2.18亿
-2.27%2.25亿
-2.27%2.25亿
-3.10%2.31亿
-3.10%2.31亿
-7.07%2.38亿
-7.07%2.38亿
-商誉
8.47%7,077.5万
8.47%7,077.5万
-2.37%6,525万
-2.37%6,525万
0.00%6,683.7万
0.00%6,683.7万
0.00%6,683.7万
0.00%6,683.7万
-4.01%6,683.7万
-4.01%6,683.7万
-其他无形资产
3.46%1.58亿
3.46%1.58亿
-3.45%1.53亿
-3.45%1.53亿
-3.20%1.59亿
-3.20%1.59亿
-4.31%1.64亿
-4.31%1.64亿
-8.20%1.71亿
-8.20%1.71亿
非流动递延资产
----
----
----
----
----
----
----
----
46.69%8,196万
46.69%8,196万
其他非流动资产
35.40%750.4万
35.40%750.4万
57.85%554.2万
57.85%554.2万
1.98%351.1万
1.98%351.1万
8,728.21%344.3万
8,728.21%344.3万
--3.9万
--3.9万
非流动资产合计
7.01%3.07亿
7.01%3.07亿
1.35%2.87亿
1.35%2.87亿
-3.45%2.83亿
-3.45%2.83亿
-29.04%2.93亿
-29.04%2.93亿
22.29%4.13亿
22.29%4.13亿
总资产
5.69%3.69亿
5.69%3.69亿
-0.34%3.49亿
-0.34%3.49亿
-5.32%3.5亿
-5.32%3.5亿
-29.43%3.7亿
-29.43%3.7亿
17.69%5.24亿
17.69%5.24亿
负债
流动负债
短期借款与资本租赁负债
-5.58%3,286万
-5.58%3,286万
-29.13%3,480.3万
-29.13%3,480.3万
-10.89%4,910.7万
-10.89%4,910.7万
7.04%5,510.9万
7.04%5,510.9万
-80.50%5,148.5万
-80.50%5,148.5万
-短期借款
43.70%124.3万
43.70%124.3万
-91.13%86.5万
-91.13%86.5万
-0.66%974.7万
-0.66%974.7万
15.68%981.2万
15.68%981.2万
-96.79%848.2万
-96.79%848.2万
-短期资本租赁负债
-6.84%3,161.7万
-6.84%3,161.7万
-13.78%3,393.8万
-13.78%3,393.8万
-13.11%3,936万
-13.11%3,936万
5.33%4,529.7万
5.33%4,529.7万
--4,300.3万
--4,300.3万
应付款项
11.08%1,063.6万
11.08%1,063.6万
-10.77%957.5万
-10.77%957.5万
16.04%1,073.1万
16.04%1,073.1万
-78.89%924.8万
-78.89%924.8万
198.69%4,380.6万
198.69%4,380.6万
-应付账款
2.19%698.6万
2.19%698.6万
-17.16%683.6万
-17.16%683.6万
72.89%825.2万
72.89%825.2万
-86.48%477.3万
-86.48%477.3万
338.78%3,529.1万
338.78%3,529.1万
-其他应付款
33.26%365万
33.26%365万
10.49%273.9万
10.49%273.9万
-44.60%247.9万
-44.60%247.9万
-47.45%447.5万
-47.45%447.5万
28.57%851.5万
28.57%851.5万
现行拨备
45.41%193.4万
45.41%193.4万
-73.45%133万
-73.45%133万
29.83%501万
29.83%501万
-74.19%385.9万
-74.19%385.9万
-13.41%1,494.9万
-13.41%1,494.9万
养老金及其他退休福利计划
119.67%489.2万
119.67%489.2万
-11.84%222.7万
-11.84%222.7万
15.55%252.6万
15.55%252.6万
-32.05%218.6万
-32.05%218.6万
46.43%321.7万
46.43%321.7万
递延负债
-20.08%197万
-20.08%197万
-12.46%246.5万
-12.46%246.5万
-36.51%281.6万
-36.51%281.6万
-28.35%443.5万
-28.35%443.5万
-43.68%619万
-43.68%619万
其他流动负债
44.87%97.5万
44.87%97.5万
-20.17%67.3万
-20.17%67.3万
30.29%84.3万
30.29%84.3万
6.41%64.7万
6.41%64.7万
-98.88%60.8万
-98.88%60.8万
流动负债总额
4.30%5,326.7万
4.30%5,326.7万
-28.10%5,107.3万
-28.10%5,107.3万
-5.90%7,103.3万
-5.90%7,103.3万
-37.23%7,548.4万
-37.23%7,548.4万
-66.90%1.2亿
-66.90%1.2亿
非流动负债
长期借款与租赁负债
6.50%8,075.9万
6.50%8,075.9万
-4.39%7,583.3万
-4.39%7,583.3万
-19.30%7,931.1万
-19.30%7,931.1万
-22.12%9,827.4万
-22.12%9,827.4万
504,616.00%1.26亿
504,616.00%1.26亿
-长期借款
25.60%2,447.1万
25.60%2,447.1万
-28.42%1,948.3万
-28.42%1,948.3万
-21.32%2,721.8万
-21.32%2,721.8万
-23.35%3,459.2万
-23.35%3,459.2万
180,408.00%4,512.7万
180,408.00%4,512.7万
-长期租赁负债
-0.11%5,628.8万
-0.11%5,628.8万
8.17%5,635万
8.17%5,635万
-18.20%5,209.3万
-18.20%5,209.3万
-21.43%6,368.2万
-21.43%6,368.2万
--8,105.2万
--8,105.2万
长期拨备
-9.06%1,196.3万
-9.06%1,196.3万
130.02%1,315.5万
130.02%1,315.5万
-9.68%571.9万
-9.68%571.9万
66.15%633.2万
66.15%633.2万
-67.61%381.1万
-67.61%381.1万
员工福利
-1.40%14.1万
-1.40%14.1万
22.22%14.3万
22.22%14.3万
-20.41%11.7万
-20.41%11.7万
-14.04%14.7万
-14.04%14.7万
5.56%17.1万
5.56%17.1万
递延负债
38.21%1,225.1万
38.21%1,225.1万
-11.53%886.4万
-11.53%886.4万
-12.94%1,001.9万
-12.94%1,001.9万
-88.18%1,150.8万
-88.18%1,150.8万
14.27%9,738.3万
14.27%9,738.3万
其他非流动负债
2,053.21%234.7万
2,053.21%234.7万
3.81%10.9万
3.81%10.9万
-35.98%10.5万
-35.98%10.5万
86.36%16.4万
86.36%16.4万
2.33%8.8万
2.33%8.8万
非流动负债总额
9.54%1.07亿
9.54%1.07亿
2.97%9,810.4万
2.97%9,810.4万
-18.17%9,527.1万
-18.17%9,527.1万
-48.85%1.16亿
-48.85%1.16亿
133.31%2.28亿
133.31%2.28亿
负债总额
7.74%1.61亿
7.74%1.61亿
-10.30%1.49亿
-10.30%1.49亿
-13.34%1.66亿
-13.34%1.66亿
-44.84%1.92亿
-44.84%1.92亿
-24.52%3.48亿
-24.52%3.48亿
所有者权益
股本
0.38%6.43亿
0.38%6.43亿
4.02%6.4亿
4.02%6.4亿
0.06%6.16亿
0.06%6.16亿
0.03%6.15亿
0.03%6.15亿
43.46%6.15亿
43.46%6.15亿
-普通股股本
0.38%6.43亿
0.38%6.43亿
4.02%6.4亿
4.02%6.4亿
0.06%6.16亿
0.06%6.16亿
0.03%6.15亿
0.03%6.15亿
43.46%6.15亿
43.46%6.15亿
留存收益
1.60%-4.38亿
1.60%-4.38亿
-1.29%-4.45亿
-1.29%-4.45亿
0.94%-4.39亿
0.94%-4.39亿
0.50%-4.43亿
0.50%-4.43亿
0.82%-4.46亿
0.82%-4.46亿
不影响留存收益的损益
-28.96%309.4万
-28.96%309.4万
-42.23%435.5万
-42.23%435.5万
21.77%753.9万
21.77%753.9万
-9.79%619.1万
-9.79%619.1万
34.44%686.3万
34.44%686.3万
股东权益总额
4.15%2.08亿
4.15%2.08亿
8.67%2亿
8.67%2亿
3.33%1.84亿
3.33%1.84亿
1.01%1.78亿
1.01%1.78亿
1,224.14%1.76亿
1,224.14%1.76亿
总权益
4.15%2.08亿
4.15%2.08亿
8.67%2亿
8.67%2亿
3.33%1.84亿
3.33%1.84亿
1.01%1.78亿
1.01%1.78亿
1,224.14%1.76亿
1,224.14%1.76亿
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(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 -10.80%2,064.2万-10.80%2,064.2万-25.10%2,314.1万-25.10%2,314.1万-10.83%3,089.5万-10.83%3,089.5万-13.91%3,464.9万-13.91%3,464.9万226.77%4,024.8万226.77%4,024.8万
-现金和现金等价物 -7.37%2,062.3万-7.37%2,062.3万-23.80%2,226.3万-23.80%2,226.3万-15.68%2,921.7万-15.68%2,921.7万-13.91%3,464.9万-13.91%3,464.9万226.77%4,024.8万226.77%4,024.8万
-短期投资 -97.84%1.9万-97.84%1.9万-47.68%87.8万-47.68%87.8万--167.8万--167.8万----------------
应收款项 9.96%3,344.7万9.96%3,344.7万12.58%3,041.8万12.58%3,041.8万-19.61%2,702万-19.61%2,702万-34.04%3,361.1万-34.04%3,361.1万186.81%5,095.5万186.81%5,095.5万
-应收账款 6.50%1,611.8万6.50%1,611.8万22.02%1,513.4万22.02%1,513.4万-12.08%1,240.3万-12.08%1,240.3万-54.22%1,410.7万-54.22%1,410.7万-10.95%3,081.6万-10.95%3,081.6万
-应收贷款 -------------------------26.53%42.1万-26.53%42.1万-37.99%57.3万-37.99%57.3万
-其他应收款 8.27%2,754万8.27%2,754万8.54%2,543.7万8.54%2,543.7万-21.41%2,343.6万-21.41%2,343.6万-8.56%2,982万-8.56%2,982万337.61%3,261.1万337.61%3,261.1万
-应收账款调整额 -0.57%-1,021.1万-0.57%-1,021.1万-15.13%-1,015.3万-15.13%-1,015.3万17.86%-881.9万17.86%-881.9万17.69%-1,073.7万17.69%-1,073.7万48.26%-1,304.5万48.26%-1,304.5万
存货 4.57%388.7万4.57%388.7万-42.23%371.7万-42.23%371.7万50.08%643.4万50.08%643.4万-60.85%428.7万-60.85%428.7万59.22%1,095.1万59.22%1,095.1万
预付费用 8.01%292.5万8.01%292.5万144.40%270.8万144.40%270.8万-66.04%110.8万-66.04%110.8万-9.08%326.3万-9.08%326.3万-28.82%358.9万-28.82%358.9万
递延资产 ---------------------------------86.60%2.6万-86.60%2.6万
其他流动资产 -50.43%114.9万-50.43%114.9万24.62%231.8万24.62%231.8万69.40%186万69.40%186万-79.95%109.8万-79.95%109.8万--547.5万--547.5万
流动资产合计 -0.40%6,205万-0.40%6,205万-7.45%6,230.2万-7.45%6,230.2万-12.47%6,731.7万-12.47%6,731.7万-30.87%7,690.8万-30.87%7,690.8万3.27%1.11亿3.27%1.11亿
非流动资产
固定资产净额 11.69%3,072.5万11.69%3,072.5万16.81%2,751万16.81%2,751万12.30%2,355.2万12.30%2,355.2万-46.29%2,097.2万-46.29%2,097.2万69.02%3,904.5万69.02%3,904.5万
-固定资产 -11.72%7,591.5万-11.72%7,591.5万7.44%8,599.5万7.44%8,599.5万13.21%8,004.2万13.21%8,004.2万-32.29%7,070.2万-32.29%7,070.2万56.95%1.04亿56.95%1.04亿
-累计折旧 22.73%-4,519万22.73%-4,519万-3.53%-5,848.5万-3.53%-5,848.5万-13.59%-5,649万-13.59%-5,649万23.93%-4,973万23.93%-4,973万-50.53%-6,537.2万-50.53%-6,537.2万
投资和预付款 -14.71%2.9万-14.71%2.9万-59.04%3.4万-59.04%3.4万--8.3万--8.3万----------------
-其他投资 -14.71%2.9万-14.71%2.9万-59.04%3.4万-59.04%3.4万--8.3万--8.3万----------------
长期应收款 11.70%3,920.6万11.70%3,920.6万16.39%3,509.9万16.39%3,509.9万-20.09%3,015.7万-20.09%3,015.7万-29.59%3,773.7万-29.59%3,773.7万2,192.39%5,359.6万2,192.39%5,359.6万
商誉及其他无形资产 4.95%2.29亿4.95%2.29亿-3.13%2.18亿-3.13%2.18亿-2.27%2.25亿-2.27%2.25亿-3.10%2.31亿-3.10%2.31亿-7.07%2.38亿-7.07%2.38亿
-商誉 8.47%7,077.5万8.47%7,077.5万-2.37%6,525万-2.37%6,525万0.00%6,683.7万0.00%6,683.7万0.00%6,683.7万0.00%6,683.7万-4.01%6,683.7万-4.01%6,683.7万
-其他无形资产 3.46%1.58亿3.46%1.58亿-3.45%1.53亿-3.45%1.53亿-3.20%1.59亿-3.20%1.59亿-4.31%1.64亿-4.31%1.64亿-8.20%1.71亿-8.20%1.71亿
非流动递延资产 --------------------------------46.69%8,196万46.69%8,196万
其他非流动资产 35.40%750.4万35.40%750.4万57.85%554.2万57.85%554.2万1.98%351.1万1.98%351.1万8,728.21%344.3万8,728.21%344.3万--3.9万--3.9万
非流动资产合计 7.01%3.07亿7.01%3.07亿1.35%2.87亿1.35%2.87亿-3.45%2.83亿-3.45%2.83亿-29.04%2.93亿-29.04%2.93亿22.29%4.13亿22.29%4.13亿
总资产 5.69%3.69亿5.69%3.69亿-0.34%3.49亿-0.34%3.49亿-5.32%3.5亿-5.32%3.5亿-29.43%3.7亿-29.43%3.7亿17.69%5.24亿17.69%5.24亿
负债
流动负债
短期借款与资本租赁负债 -5.58%3,286万-5.58%3,286万-29.13%3,480.3万-29.13%3,480.3万-10.89%4,910.7万-10.89%4,910.7万7.04%5,510.9万7.04%5,510.9万-80.50%5,148.5万-80.50%5,148.5万
-短期借款 43.70%124.3万43.70%124.3万-91.13%86.5万-91.13%86.5万-0.66%974.7万-0.66%974.7万15.68%981.2万15.68%981.2万-96.79%848.2万-96.79%848.2万
-短期资本租赁负债 -6.84%3,161.7万-6.84%3,161.7万-13.78%3,393.8万-13.78%3,393.8万-13.11%3,936万-13.11%3,936万5.33%4,529.7万5.33%4,529.7万--4,300.3万--4,300.3万
应付款项 11.08%1,063.6万11.08%1,063.6万-10.77%957.5万-10.77%957.5万16.04%1,073.1万16.04%1,073.1万-78.89%924.8万-78.89%924.8万198.69%4,380.6万198.69%4,380.6万
-应付账款 2.19%698.6万2.19%698.6万-17.16%683.6万-17.16%683.6万72.89%825.2万72.89%825.2万-86.48%477.3万-86.48%477.3万338.78%3,529.1万338.78%3,529.1万
-其他应付款 33.26%365万33.26%365万10.49%273.9万10.49%273.9万-44.60%247.9万-44.60%247.9万-47.45%447.5万-47.45%447.5万28.57%851.5万28.57%851.5万
现行拨备 45.41%193.4万45.41%193.4万-73.45%133万-73.45%133万29.83%501万29.83%501万-74.19%385.9万-74.19%385.9万-13.41%1,494.9万-13.41%1,494.9万
养老金及其他退休福利计划 119.67%489.2万119.67%489.2万-11.84%222.7万-11.84%222.7万15.55%252.6万15.55%252.6万-32.05%218.6万-32.05%218.6万46.43%321.7万46.43%321.7万
递延负债 -20.08%197万-20.08%197万-12.46%246.5万-12.46%246.5万-36.51%281.6万-36.51%281.6万-28.35%443.5万-28.35%443.5万-43.68%619万-43.68%619万
其他流动负债 44.87%97.5万44.87%97.5万-20.17%67.3万-20.17%67.3万30.29%84.3万30.29%84.3万6.41%64.7万6.41%64.7万-98.88%60.8万-98.88%60.8万
流动负债总额 4.30%5,326.7万4.30%5,326.7万-28.10%5,107.3万-28.10%5,107.3万-5.90%7,103.3万-5.90%7,103.3万-37.23%7,548.4万-37.23%7,548.4万-66.90%1.2亿-66.90%1.2亿
非流动负债
长期借款与租赁负债 6.50%8,075.9万6.50%8,075.9万-4.39%7,583.3万-4.39%7,583.3万-19.30%7,931.1万-19.30%7,931.1万-22.12%9,827.4万-22.12%9,827.4万504,616.00%1.26亿504,616.00%1.26亿
-长期借款 25.60%2,447.1万25.60%2,447.1万-28.42%1,948.3万-28.42%1,948.3万-21.32%2,721.8万-21.32%2,721.8万-23.35%3,459.2万-23.35%3,459.2万180,408.00%4,512.7万180,408.00%4,512.7万
-长期租赁负债 -0.11%5,628.8万-0.11%5,628.8万8.17%5,635万8.17%5,635万-18.20%5,209.3万-18.20%5,209.3万-21.43%6,368.2万-21.43%6,368.2万--8,105.2万--8,105.2万
长期拨备 -9.06%1,196.3万-9.06%1,196.3万130.02%1,315.5万130.02%1,315.5万-9.68%571.9万-9.68%571.9万66.15%633.2万66.15%633.2万-67.61%381.1万-67.61%381.1万
员工福利 -1.40%14.1万-1.40%14.1万22.22%14.3万22.22%14.3万-20.41%11.7万-20.41%11.7万-14.04%14.7万-14.04%14.7万5.56%17.1万5.56%17.1万
递延负债 38.21%1,225.1万38.21%1,225.1万-11.53%886.4万-11.53%886.4万-12.94%1,001.9万-12.94%1,001.9万-88.18%1,150.8万-88.18%1,150.8万14.27%9,738.3万14.27%9,738.3万
其他非流动负债 2,053.21%234.7万2,053.21%234.7万3.81%10.9万3.81%10.9万-35.98%10.5万-35.98%10.5万86.36%16.4万86.36%16.4万2.33%8.8万2.33%8.8万
非流动负债总额 9.54%1.07亿9.54%1.07亿2.97%9,810.4万2.97%9,810.4万-18.17%9,527.1万-18.17%9,527.1万-48.85%1.16亿-48.85%1.16亿133.31%2.28亿133.31%2.28亿
负债总额 7.74%1.61亿7.74%1.61亿-10.30%1.49亿-10.30%1.49亿-13.34%1.66亿-13.34%1.66亿-44.84%1.92亿-44.84%1.92亿-24.52%3.48亿-24.52%3.48亿
所有者权益
股本 0.38%6.43亿0.38%6.43亿4.02%6.4亿4.02%6.4亿0.06%6.16亿0.06%6.16亿0.03%6.15亿0.03%6.15亿43.46%6.15亿43.46%6.15亿
-普通股股本 0.38%6.43亿0.38%6.43亿4.02%6.4亿4.02%6.4亿0.06%6.16亿0.06%6.16亿0.03%6.15亿0.03%6.15亿43.46%6.15亿43.46%6.15亿
留存收益 1.60%-4.38亿1.60%-4.38亿-1.29%-4.45亿-1.29%-4.45亿0.94%-4.39亿0.94%-4.39亿0.50%-4.43亿0.50%-4.43亿0.82%-4.46亿0.82%-4.46亿
不影响留存收益的损益 -28.96%309.4万-28.96%309.4万-42.23%435.5万-42.23%435.5万21.77%753.9万21.77%753.9万-9.79%619.1万-9.79%619.1万34.44%686.3万34.44%686.3万
股东权益总额 4.15%2.08亿4.15%2.08亿8.67%2亿8.67%2亿3.33%1.84亿3.33%1.84亿1.01%1.78亿1.01%1.78亿1,224.14%1.76亿1,224.14%1.76亿
总权益 4.15%2.08亿4.15%2.08亿8.67%2亿8.67%2亿3.33%1.84亿3.33%1.84亿1.01%1.78亿1.01%1.78亿1,224.14%1.76亿1,224.14%1.76亿
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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