加拿大市场个股详情

SSR Mining Inc (SSRM)

添加自选
  • 42.020
  • +1.070+2.61%
延时15分钟行情已收盘 03/10 16:00 (美东)
85.44亿总市值16.55市盈率TTM

SSR Mining Inc (SSRM) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q1)2024/03/31
资产
流动资产
现金及现金等价物和短期投资
37.92%5.76亿
37.92%5.76亿
21.78%4.45亿
14.08%4.38亿
-30.63%3.41亿
-18.70%4.17亿
-18.70%4.17亿
-21.66%3.66亿
-6.73%3.84亿
-17.38%4.92亿
-现金和现金等价物
37.89%5.35亿
37.89%5.35亿
22.43%4.09亿
15.01%4.12亿
-31.56%3.2亿
-21.23%3.88亿
-21.23%3.88亿
-23.61%3.34亿
-5.52%3.58亿
-16.87%4.67亿
-短期投资
38.40%4,077.9万
38.40%4,077.9万
14.89%3,608.8万
1.21%2,638.9万
-13.24%2,167.7万
40.68%2,946.5万
40.68%2,946.5万
7.55%3,141.1万
-20.67%2,607.3万
-25.88%2,498.5万
应收款项
9.87%1.37亿
9.87%1.37亿
5.97%1.22亿
5.60%1.17亿
13.24%1.17亿
-12.48%1.24亿
-12.48%1.24亿
-14.66%1.15亿
-11.47%1.11亿
-35.85%1.04亿
-应收账款
11.62%9,403.1万
11.62%9,403.1万
6.73%7,823.1万
20.65%7,399.4万
24.71%7,060.8万
-7.77%8,423.9万
-7.77%8,423.9万
-2.15%7,329.7万
-4.77%6,132.9万
-36.16%5,661.8万
-应收税费
6.43%4,049.2万
6.43%4,049.2万
8.02%4,088.2万
-12.14%4,033.7万
-0.38%4,454万
-16.31%3,804.4万
-16.31%3,804.4万
-33.56%3,784.7万
-20.17%4,590.8万
-36.02%4,471万
-其他应收款
2.00%219.8万
2.00%219.8万
-30.44%253.9万
-24.47%272.3万
-3.41%234.8万
-59.94%215.5万
-59.94%215.5万
38.10%365万
9.24%360.5万
-23.63%243.1万
存货
11.26%5.16亿
11.26%5.16亿
18.51%5.86亿
12.02%5.69亿
17.03%5.44亿
-9.91%4.64亿
-9.91%4.64亿
-7.14%4.95亿
-9.58%5.08亿
-10.42%4.65亿
预付费用
--2,354.9万
--2,354.9万
--2,453.2万
----
----
--0
--0
----
----
----
受限制现金
----
----
----
----
----
----
----
--0
-99.70%10.1万
-99.70%10.2万
其他流动资产
50.67%3,491.7万
50.67%3,491.7万
32.87%2,830.8万
22.16%2,310万
3.69%2,167.6万
-10.23%2,317.5万
-10.23%2,317.5万
-10.67%2,130.5万
-17.82%1,890.9万
-34.35%2,090.5万
流动资产合计
25.08%12.87亿
25.08%12.87亿
21.03%12.06亿
12.28%11.47亿
-5.28%10.25亿
-13.99%10.29亿
-13.99%10.29亿
-13.95%9.96亿
-11.55%10.22亿
-19.40%10.82亿
非流动资产
固定资产净额
9.18%41.5亿
9.18%41.5亿
8.38%41.16亿
7.51%41亿
7.00%40.92亿
-2.38%38.01亿
-2.38%38.01亿
-10.54%37.98亿
-10.26%38.14亿
7.77%38.25亿
-固定资产
10.06%58.22亿
10.06%58.22亿
9.77%57.44亿
9.07%56.79亿
8.72%56.23亿
1.44%52.9亿
1.44%52.9亿
-4.92%52.33亿
-4.67%52.07亿
9.67%51.72亿
-累计折旧
-12.30%-16.72亿
-12.30%-16.72亿
-13.43%-16.28亿
-13.32%-15.79亿
-13.62%-15.31亿
-12.68%-14.89亿
-12.68%-14.89亿
-14.01%-14.36亿
-14.90%-13.93亿
-15.45%-13.47亿
投资和预付款
--0
--0
----
----
----
-31.43%516.6万
-31.43%516.6万
--11万
----
164.56%104.5万
-长期股权投资
----
----
----
----
----
-73.23%3.4万
-73.23%3.4万
--11万
----
164.56%104.5万
-金融资产投资
--0
--0
----
----
----
-30.26%516.6万
-30.26%516.6万
----
----
----
长期应收款
7.32%886.5万
7.32%886.5万
----
----
----
121.21%826万
121.21%826万
----
----
----
长期预付费用
-37.94%1,428.5万
-37.94%1,428.5万
----
----
----
10.74%2,301.9万
10.74%2,301.9万
----
----
----
非流动递延资产
-4.44%2,962.9万
-4.44%2,962.9万
-43.32%1,130.1万
-77.28%557.8万
-78.88%577万
-28.74%3,100.7万
-28.74%3,100.7万
--1,993.7万
--2,454.7万
1,326.58%2,731.9万
其他非流动资产
107.35%6.04亿
107.35%6.04亿
74.19%5.74亿
72.08%5.43亿
64.62%5.21亿
32.48%2.91亿
32.48%2.91亿
11.07%3.3亿
10.73%3.15亿
8.71%3.17亿
非流动资产合计
15.55%48.07亿
15.55%48.07亿
13.36%47.02亿
11.91%46.48亿
10.79%46.2亿
-0.70%41.6亿
-0.70%41.6亿
-9.67%41.47亿
-9.39%41.54亿
7.13%41.7亿
总资产
17.44%60.94亿
17.44%60.94亿
14.85%59.08亿
11.99%57.96亿
7.48%56.45亿
-3.65%51.89亿
-3.65%51.89亿
-10.54%51.44亿
-9.83%51.76亿
0.32%52.52亿
负债
流动负债
短期借款与资本租赁负债
1,333.08%2.5亿
1,333.08%2.5亿
1,331.87%2.48亿
3,870.67%2.47亿
146.94%1,766.6万
148.56%1,744.9万
148.56%1,744.9万
158.90%1,731万
-85.11%622.2万
-88.00%715.4万
-短期借款
2,087.64%2.41亿
2,087.64%2.41亿
2,085.14%2.4亿
--2.4亿
1,051.83%1,100万
1,095.65%1,100万
1,095.65%1,100万
1,114.13%1,100万
----
6.82%95.5万
-短期资本租赁负债
46.04%941.8万
46.04%941.8万
18.72%749.1万
11.91%696.3万
7.53%666.6万
5.72%644.9万
5.72%644.9万
9.17%631万
-0.81%622.2万
-0.13%619.9万
应付款项
45.33%1.29亿
45.33%1.29亿
89.35%9,902.1万
131.60%9,891.1万
64.42%1.1亿
8.04%8,863.2万
8.04%8,863.2万
-32.49%5,229.6万
-45.75%4,270.7万
-41.64%6,710.4万
-应付账款
33.78%4,085.4万
33.78%4,085.4万
54.04%4,120.3万
55.91%3,724.9万
36.81%4,182万
-17.68%3,053.8万
-17.68%3,053.8万
-49.91%2,674.9万
-57.54%2,389.2万
-61.89%3,056.7万
-应付税费
59.08%6,534.7万
59.08%6,534.7万
181.43%4,303.3万
267.87%4,734.1万
246.19%5,118.7万
150.59%4,107.7万
150.59%4,107.7万
134.24%1,529.1万
44.09%1,286.9万
3.81%1,478.6万
-其他应付款
32.86%2,260.8万
32.86%2,260.8万
44.16%1,478.5万
140.85%1,432.1万
-20.35%1,732.5万
-40.40%1,701.7万
-40.40%1,701.7万
-41.50%1,025.6万
-56.05%594.6万
5.95%2,175.1万
应计费用
31.24%9,419.6万
31.24%9,419.6万
18.08%1.02亿
-0.73%8,693.8万
-9.67%7,668.7万
7.97%7,177.6万
7.97%7,177.6万
31.09%8,608.1万
34.93%8,758万
50.73%8,489.5万
现行拨备
3.10%3,419.3万
3.10%3,419.3万
-69.92%2,830.7万
-77.47%3,233.6万
-76.84%4,302.4万
885.91%3,316.6万
885.91%3,316.6万
1,651.86%9,411万
2,362.46%1.44亿
1,747.99%1.86亿
养老金及其他退休福利计划
235.83%2,172.5万
235.83%2,172.5万
372.88%2,401.3万
296.73%1,406.8万
252.12%1,187.7万
-28.50%646.9万
-28.50%646.9万
-53.66%507.8万
-66.57%354.6万
-66.18%337.3万
其他流动负债
6,353.14%8,937.6万
6,353.14%8,937.6万
715.00%16.3万
-69.27%152.4万
-99.66%1.5万
-47.26%138.5万
-47.26%138.5万
--2万
171.58%495.9万
14,238.71%444.5万
流动负债总额
182.51%6.18亿
182.51%6.18亿
96.55%5.01亿
66.64%4.81亿
-26.41%2.6亿
28.32%2.19亿
28.32%2.19亿
53.42%2.55亿
41.67%2.89亿
40.57%3.53亿
非流动负债
长期借款与租赁负债
-61.02%1.28亿
-61.02%1.28亿
-63.15%1.2亿
-64.86%1.1亿
5.62%3.3亿
2.35%3.28亿
2.35%3.28亿
-0.56%3.25亿
-4.75%3.12亿
-4.69%3.13亿
-长期借款
-79.13%5,141.9万
-79.13%5,141.9万
-82.62%4,208.9万
-86.54%3,068.9万
9.85%2.5亿
5.26%2.46亿
5.26%2.46亿
6.59%2.42亿
0.46%2.28亿
0.46%2.28亿
-长期租赁负债
-6.18%7,634.4万
-6.18%7,634.4万
-6.02%7,762.2万
-5.87%7,888.7万
-5.72%8,013.7万
-5.54%8,137.3万
-5.54%8,137.3万
-16.89%8,259.6万
-16.53%8,380.5万
-16.20%8,500万
长期拨备
91.03%5.97亿
91.03%5.97亿
160.18%6.05亿
159.13%5.96亿
117.19%5.22亿
83.43%3.13亿
83.43%3.13亿
42.03%2.32亿
42.38%2.3亿
54.38%2.4亿
递延负债
-12.16%2.87亿
-12.16%2.87亿
-2.88%3.2亿
-4.28%3.25亿
-3.53%3.34亿
-10.05%3.27亿
-10.05%3.27亿
-25.75%3.3亿
-11.99%3.4亿
1.65%3.46亿
其他非流动负债
167.53%1.49亿
167.53%1.49亿
308.92%2.17亿
208.52%1.99亿
220.00%1.95亿
-1.57%5,560万
-1.57%5,560万
-4.87%5,318万
30.68%6,446.9万
181.11%6,086.4万
非流动负债总额
13.49%11.61亿
13.49%11.61亿
34.25%12.62亿
29.98%12.29亿
43.86%13.81亿
12.33%10.23亿
12.33%10.23亿
-5.06%9.4亿
2.36%9.46亿
13.49%9.6亿
负债总额
43.27%17.8亿
43.27%17.8亿
47.54%17.63亿
38.55%17.1亿
24.98%16.41亿
14.85%12.42亿
14.85%12.42亿
3.34%11.95亿
9.46%12.34亿
19.69%13.13亿
所有者权益
股本
0.17%29.99亿
0.17%29.99亿
0.23%29.99亿
0.22%29.98亿
0.16%29.96亿
-0.38%29.94亿
-0.38%29.94亿
-0.84%29.92亿
-0.85%29.91亿
-2.09%29.91亿
-普通股股本
0.17%29.99亿
0.17%29.99亿
0.23%29.99亿
0.22%29.98亿
0.16%29.96亿
-0.38%29.94亿
-0.38%29.94亿
-0.84%29.92亿
-0.85%29.91亿
-2.09%29.91亿
留存收益
349.10%5.09亿
349.10%5.09亿
203.93%3.28亿
169.63%2.62亿
96.60%1.72亿
-69.20%1.13亿
-69.20%1.13亿
-81.96%1.08亿
-83.71%9,725.3万
-83.70%8,756万
股东权益总额
12.90%35.08亿
12.90%35.08亿
7.32%33.27亿
5.55%32.6亿
2.90%31.68亿
-7.89%31.07亿
-7.89%31.07亿
-14.25%31亿
-14.54%30.88亿
-14.29%30.79亿
非控制性权益
-3.97%8.06亿
-3.97%8.06亿
-3.66%8.17亿
-3.17%8.26亿
-2.86%8.35亿
-9.81%8.4亿
-9.81%8.4亿
-13.21%8.49亿
-14.55%8.53亿
57.62%8.6亿
总权益
9.31%43.14亿
9.31%43.14亿
4.96%41.44亿
3.67%40.86亿
1.64%40.04亿
-8.30%39.47亿
-8.30%39.47亿
-14.03%39.49亿
-14.54%39.41亿
-4.81%39.39亿
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
审计意见
无保留意见
--
--
--
--
无保留意见
--
--
--
--
(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(Q1)2024/03/31
资产
流动资产
现金及现金等价物和短期投资 37.92%5.76亿37.92%5.76亿21.78%4.45亿14.08%4.38亿-30.63%3.41亿-18.70%4.17亿-18.70%4.17亿-21.66%3.66亿-6.73%3.84亿-17.38%4.92亿
-现金和现金等价物 37.89%5.35亿37.89%5.35亿22.43%4.09亿15.01%4.12亿-31.56%3.2亿-21.23%3.88亿-21.23%3.88亿-23.61%3.34亿-5.52%3.58亿-16.87%4.67亿
-短期投资 38.40%4,077.9万38.40%4,077.9万14.89%3,608.8万1.21%2,638.9万-13.24%2,167.7万40.68%2,946.5万40.68%2,946.5万7.55%3,141.1万-20.67%2,607.3万-25.88%2,498.5万
应收款项 9.87%1.37亿9.87%1.37亿5.97%1.22亿5.60%1.17亿13.24%1.17亿-12.48%1.24亿-12.48%1.24亿-14.66%1.15亿-11.47%1.11亿-35.85%1.04亿
-应收账款 11.62%9,403.1万11.62%9,403.1万6.73%7,823.1万20.65%7,399.4万24.71%7,060.8万-7.77%8,423.9万-7.77%8,423.9万-2.15%7,329.7万-4.77%6,132.9万-36.16%5,661.8万
-应收税费 6.43%4,049.2万6.43%4,049.2万8.02%4,088.2万-12.14%4,033.7万-0.38%4,454万-16.31%3,804.4万-16.31%3,804.4万-33.56%3,784.7万-20.17%4,590.8万-36.02%4,471万
-其他应收款 2.00%219.8万2.00%219.8万-30.44%253.9万-24.47%272.3万-3.41%234.8万-59.94%215.5万-59.94%215.5万38.10%365万9.24%360.5万-23.63%243.1万
存货 11.26%5.16亿11.26%5.16亿18.51%5.86亿12.02%5.69亿17.03%5.44亿-9.91%4.64亿-9.91%4.64亿-7.14%4.95亿-9.58%5.08亿-10.42%4.65亿
预付费用 --2,354.9万--2,354.9万--2,453.2万----------0--0------------
受限制现金 ------------------------------0-99.70%10.1万-99.70%10.2万
其他流动资产 50.67%3,491.7万50.67%3,491.7万32.87%2,830.8万22.16%2,310万3.69%2,167.6万-10.23%2,317.5万-10.23%2,317.5万-10.67%2,130.5万-17.82%1,890.9万-34.35%2,090.5万
流动资产合计 25.08%12.87亿25.08%12.87亿21.03%12.06亿12.28%11.47亿-5.28%10.25亿-13.99%10.29亿-13.99%10.29亿-13.95%9.96亿-11.55%10.22亿-19.40%10.82亿
非流动资产
固定资产净额 9.18%41.5亿9.18%41.5亿8.38%41.16亿7.51%41亿7.00%40.92亿-2.38%38.01亿-2.38%38.01亿-10.54%37.98亿-10.26%38.14亿7.77%38.25亿
-固定资产 10.06%58.22亿10.06%58.22亿9.77%57.44亿9.07%56.79亿8.72%56.23亿1.44%52.9亿1.44%52.9亿-4.92%52.33亿-4.67%52.07亿9.67%51.72亿
-累计折旧 -12.30%-16.72亿-12.30%-16.72亿-13.43%-16.28亿-13.32%-15.79亿-13.62%-15.31亿-12.68%-14.89亿-12.68%-14.89亿-14.01%-14.36亿-14.90%-13.93亿-15.45%-13.47亿
投资和预付款 --0--0-------------31.43%516.6万-31.43%516.6万--11万----164.56%104.5万
-长期股权投资 ---------------------73.23%3.4万-73.23%3.4万--11万----164.56%104.5万
-金融资产投资 --0--0-------------30.26%516.6万-30.26%516.6万------------
长期应收款 7.32%886.5万7.32%886.5万------------121.21%826万121.21%826万------------
长期预付费用 -37.94%1,428.5万-37.94%1,428.5万------------10.74%2,301.9万10.74%2,301.9万------------
非流动递延资产 -4.44%2,962.9万-4.44%2,962.9万-43.32%1,130.1万-77.28%557.8万-78.88%577万-28.74%3,100.7万-28.74%3,100.7万--1,993.7万--2,454.7万1,326.58%2,731.9万
其他非流动资产 107.35%6.04亿107.35%6.04亿74.19%5.74亿72.08%5.43亿64.62%5.21亿32.48%2.91亿32.48%2.91亿11.07%3.3亿10.73%3.15亿8.71%3.17亿
非流动资产合计 15.55%48.07亿15.55%48.07亿13.36%47.02亿11.91%46.48亿10.79%46.2亿-0.70%41.6亿-0.70%41.6亿-9.67%41.47亿-9.39%41.54亿7.13%41.7亿
总资产 17.44%60.94亿17.44%60.94亿14.85%59.08亿11.99%57.96亿7.48%56.45亿-3.65%51.89亿-3.65%51.89亿-10.54%51.44亿-9.83%51.76亿0.32%52.52亿
负债
流动负债
短期借款与资本租赁负债 1,333.08%2.5亿1,333.08%2.5亿1,331.87%2.48亿3,870.67%2.47亿146.94%1,766.6万148.56%1,744.9万148.56%1,744.9万158.90%1,731万-85.11%622.2万-88.00%715.4万
-短期借款 2,087.64%2.41亿2,087.64%2.41亿2,085.14%2.4亿--2.4亿1,051.83%1,100万1,095.65%1,100万1,095.65%1,100万1,114.13%1,100万----6.82%95.5万
-短期资本租赁负债 46.04%941.8万46.04%941.8万18.72%749.1万11.91%696.3万7.53%666.6万5.72%644.9万5.72%644.9万9.17%631万-0.81%622.2万-0.13%619.9万
应付款项 45.33%1.29亿45.33%1.29亿89.35%9,902.1万131.60%9,891.1万64.42%1.1亿8.04%8,863.2万8.04%8,863.2万-32.49%5,229.6万-45.75%4,270.7万-41.64%6,710.4万
-应付账款 33.78%4,085.4万33.78%4,085.4万54.04%4,120.3万55.91%3,724.9万36.81%4,182万-17.68%3,053.8万-17.68%3,053.8万-49.91%2,674.9万-57.54%2,389.2万-61.89%3,056.7万
-应付税费 59.08%6,534.7万59.08%6,534.7万181.43%4,303.3万267.87%4,734.1万246.19%5,118.7万150.59%4,107.7万150.59%4,107.7万134.24%1,529.1万44.09%1,286.9万3.81%1,478.6万
-其他应付款 32.86%2,260.8万32.86%2,260.8万44.16%1,478.5万140.85%1,432.1万-20.35%1,732.5万-40.40%1,701.7万-40.40%1,701.7万-41.50%1,025.6万-56.05%594.6万5.95%2,175.1万
应计费用 31.24%9,419.6万31.24%9,419.6万18.08%1.02亿-0.73%8,693.8万-9.67%7,668.7万7.97%7,177.6万7.97%7,177.6万31.09%8,608.1万34.93%8,758万50.73%8,489.5万
现行拨备 3.10%3,419.3万3.10%3,419.3万-69.92%2,830.7万-77.47%3,233.6万-76.84%4,302.4万885.91%3,316.6万885.91%3,316.6万1,651.86%9,411万2,362.46%1.44亿1,747.99%1.86亿
养老金及其他退休福利计划 235.83%2,172.5万235.83%2,172.5万372.88%2,401.3万296.73%1,406.8万252.12%1,187.7万-28.50%646.9万-28.50%646.9万-53.66%507.8万-66.57%354.6万-66.18%337.3万
其他流动负债 6,353.14%8,937.6万6,353.14%8,937.6万715.00%16.3万-69.27%152.4万-99.66%1.5万-47.26%138.5万-47.26%138.5万--2万171.58%495.9万14,238.71%444.5万
流动负债总额 182.51%6.18亿182.51%6.18亿96.55%5.01亿66.64%4.81亿-26.41%2.6亿28.32%2.19亿28.32%2.19亿53.42%2.55亿41.67%2.89亿40.57%3.53亿
非流动负债
长期借款与租赁负债 -61.02%1.28亿-61.02%1.28亿-63.15%1.2亿-64.86%1.1亿5.62%3.3亿2.35%3.28亿2.35%3.28亿-0.56%3.25亿-4.75%3.12亿-4.69%3.13亿
-长期借款 -79.13%5,141.9万-79.13%5,141.9万-82.62%4,208.9万-86.54%3,068.9万9.85%2.5亿5.26%2.46亿5.26%2.46亿6.59%2.42亿0.46%2.28亿0.46%2.28亿
-长期租赁负债 -6.18%7,634.4万-6.18%7,634.4万-6.02%7,762.2万-5.87%7,888.7万-5.72%8,013.7万-5.54%8,137.3万-5.54%8,137.3万-16.89%8,259.6万-16.53%8,380.5万-16.20%8,500万
长期拨备 91.03%5.97亿91.03%5.97亿160.18%6.05亿159.13%5.96亿117.19%5.22亿83.43%3.13亿83.43%3.13亿42.03%2.32亿42.38%2.3亿54.38%2.4亿
递延负债 -12.16%2.87亿-12.16%2.87亿-2.88%3.2亿-4.28%3.25亿-3.53%3.34亿-10.05%3.27亿-10.05%3.27亿-25.75%3.3亿-11.99%3.4亿1.65%3.46亿
其他非流动负债 167.53%1.49亿167.53%1.49亿308.92%2.17亿208.52%1.99亿220.00%1.95亿-1.57%5,560万-1.57%5,560万-4.87%5,318万30.68%6,446.9万181.11%6,086.4万
非流动负债总额 13.49%11.61亿13.49%11.61亿34.25%12.62亿29.98%12.29亿43.86%13.81亿12.33%10.23亿12.33%10.23亿-5.06%9.4亿2.36%9.46亿13.49%9.6亿
负债总额 43.27%17.8亿43.27%17.8亿47.54%17.63亿38.55%17.1亿24.98%16.41亿14.85%12.42亿14.85%12.42亿3.34%11.95亿9.46%12.34亿19.69%13.13亿
所有者权益
股本 0.17%29.99亿0.17%29.99亿0.23%29.99亿0.22%29.98亿0.16%29.96亿-0.38%29.94亿-0.38%29.94亿-0.84%29.92亿-0.85%29.91亿-2.09%29.91亿
-普通股股本 0.17%29.99亿0.17%29.99亿0.23%29.99亿0.22%29.98亿0.16%29.96亿-0.38%29.94亿-0.38%29.94亿-0.84%29.92亿-0.85%29.91亿-2.09%29.91亿
留存收益 349.10%5.09亿349.10%5.09亿203.93%3.28亿169.63%2.62亿96.60%1.72亿-69.20%1.13亿-69.20%1.13亿-81.96%1.08亿-83.71%9,725.3万-83.70%8,756万
股东权益总额 12.90%35.08亿12.90%35.08亿7.32%33.27亿5.55%32.6亿2.90%31.68亿-7.89%31.07亿-7.89%31.07亿-14.25%31亿-14.54%30.88亿-14.29%30.79亿
非控制性权益 -3.97%8.06亿-3.97%8.06亿-3.66%8.17亿-3.17%8.26亿-2.86%8.35亿-9.81%8.4亿-9.81%8.4亿-13.21%8.49亿-14.55%8.53亿57.62%8.6亿
总权益 9.31%43.14亿9.31%43.14亿4.96%41.44亿3.67%40.86亿1.64%40.04亿-8.30%39.47亿-8.30%39.47亿-14.03%39.49亿-14.54%39.41亿-4.81%39.39亿
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 无保留意见--------无保留意见--------

FY:Financial Year 年度报告,相当于上市公司向SEC披露的10-K文件。

Q:Quarter 季度报告,相当于上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4为单季报,跨度为3个月;Q6、Q9为累计季报,Q6为6个月,Q9为9个月。

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