(FY)2023/12/30 | (Q4)2023/12/30 | (FY)2022/12/30 | (Q4)2022/12/30 | (FY)2021/12/30 | (Q4)2021/12/30 | (FY)2020/12/30 | (Q4)2020/12/30 | (FY)2019/12/30 | (Q4)2019/06/30 | |
---|---|---|---|---|---|---|---|---|---|---|
资产 | ||||||||||
流动资产 | ||||||||||
现金及现金等价物和短期投资 | -19.22%651.8万 | -19.22%651.8万 | 30.27%806.9万 | 30.27%806.9万 | -2.49%619.4万 | -2.49%619.4万 | 4.58%635.2万 | 13.73%635.2万 | -4.84%607.4万 | -12.50%558.5万 |
-现金和现金等价物 | -19.22%651.8万 | -19.22%651.8万 | 30.27%806.9万 | 30.27%806.9万 | -2.49%619.4万 | -2.49%619.4万 | 4.58%635.2万 | 13.73%635.2万 | -4.84%607.4万 | -12.50%558.5万 |
-应收账款 | 39.29%81.9万 | 39.29%81.9万 | -75.35%58.8万 | -75.35%58.8万 | -6.10%238.5万 | -6.10%238.5万 | -36.53%254万 | -48.58%254万 | -15.07%400.2万 | 4.84%494万 |
-其他应收款 | ---- | ---- | ---- | ---- | -51.37%67.4万 | -51.37%67.4万 | -19.75%138.6万 | -36.31%138.6万 | -10.24%172.7万 | 13.10%217.6万 |
流动资产合计 | -17.55%847.4万 | -17.55%847.4万 | -1.09%1,027.8万 | -1.09%1,027.8万 | 9.84%1,039.1万 | 9.84%1,039.1万 | -14.71%946万 | --946万 | -23.22%1,109.2万 | ---- |
非流动资产 | ||||||||||
-累计折旧 | -14.59%-2,904.4万 | -14.59%-2,904.4万 | -16.79%-2,534.5万 | -16.79%-2,534.5万 | -19.45%-2,170.1万 | -19.45%-2,170.1万 | -7,974.67%-1,816.8万 | -9,827.87%-1,816.8万 | -41.51%-22.5万 | -15.09%-18.3万 |
-长期股权投资 | -16.73%2,299.9万 | -16.73%2,299.9万 | -7.36%2,761.9万 | -7.36%2,761.9万 | -8.17%2,981.3万 | -8.17%2,981.3万 | -31.31%3,246.5万 | -32.52%3,246.5万 | 9.88%4,726.2万 | 11.85%4,811.1万 |
长期应收票据 | -3.33%1,161.3万 | -3.33%1,161.3万 | -13.61%1,201.3万 | -13.61%1,201.3万 | -0.14%1,390.6万 | -0.14%1,390.6万 | -0.48%1,392.6万 | 9.03%1,392.6万 | --1,399.3万 | --1,277.3万 |
监管资产 | -51.98%96.9万 | -51.98%96.9万 | -51.15%201.8万 | -51.15%201.8万 | 39.00%413.1万 | 39.00%413.1万 | -38.15%297.2万 | -48.14%297.2万 | -39.89%480.5万 | -28.31%573.1万 |
非流动递延资产 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 10.75%5,476.8万 | 13.50%5,613万 |
负债 | ||||||||||
流动负债 | ||||||||||
短期借款与资本租赁负债 | 0.00%1.2万 | 0.00%1.2万 | 9.09%1.2万 | 9.09%1.2万 | 10.00%1.1万 | 10.00%1.1万 | -99.64%1万 | -99.65%1万 | 2.44%276.6万 | 6.48%287.5万 |
-短期借款 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 2.11%275.7万 | 6.48%287.5万 |
-短期资本租赁负债 | 0.00%1.2万 | 0.00%1.2万 | 9.09%1.2万 | 9.09%1.2万 | 10.00%1.1万 | 10.00%1.1万 | 11.11%1万 | --1万 | --9,000 | ---- |
-应付账款 | 74.57%71.4万 | 74.57%71.4万 | --40.9万 | --40.9万 | ---- | ---- | ---- | ---- | ---- | ---- |
-应付税费 | -13.19%3,041.6万 | -13.19%3,041.6万 | -5.85%3,503.6万 | -5.85%3,503.6万 | -5.96%3,721.2万 | -5.96%3,721.2万 | -30.46%3,957.1万 | --3,957.1万 | 29.77%5,690.6万 | ---- |
流动负债总额 | 72.45%72.6万 | 72.45%72.6万 | -38.54%42.1万 | -38.54%42.1万 | -50.93%68.5万 | -50.93%68.5万 | -68.93%139.6万 | --139.6万 | -2.83%449.3万 | ---- |
非流动负债 | ||||||||||
-长期借款 | -3.70%31.2万 | -3.70%31.2万 | -3.57%32.4万 | -3.57%32.4万 | -2.89%33.6万 | -2.89%33.6万 | -2.81%34.6万 | --34.6万 | --35.6万 | ---- |
长期应计费用 | -6.91%3,406.2万 | -6.91%3,406.2万 | -7.35%3,659.1万 | -7.35%3,659.1万 | -9.01%3,949.4万 | -9.01%3,949.4万 | 4,493.12%4,340.5万 | 8,546.41%4,340.5万 | 82.79%94.5万 | -2.90%50.2万 |
长期拨备 | -16.88%2,268.7万 | -16.88%2,268.7万 | -7.40%2,729.5万 | -7.40%2,729.5万 | -8.23%2,947.7万 | -8.23%2,947.7万 | -31.52%3,211.9万 | -33.24%3,211.9万 | 9.05%4,690.6万 | 11.85%4,811.1万 |
非流动负债总额 | -12.17%3,114.2万 | -12.17%3,114.2万 | -6.44%3,545.7万 | -6.44%3,545.7万 | -7.49%3,789.7万 | -7.49%3,789.7万 | -33.28%4,096.7万 | --4,096.7万 | 26.66%6,139.9万 | ---- |
所有者权益 | ||||||||||
股本 | -1.92%4,599万 | -1.92%4,599万 | -0.45%4,689万 | -0.45%4,689万 | -0.48%4,710.4万 | -0.48%4,710.4万 | 49.25%4,733万 | 48.49%4,733万 | -0.84%3,171.1万 | -0.33%3,187.4万 |
-普通股股本 | -1.92%4,599万 | -1.92%4,599万 | -0.45%4,689万 | -0.45%4,689万 | -0.48%4,710.4万 | -0.48%4,710.4万 | 49.25%4,733万 | 48.49%4,733万 | -0.84%3,171.1万 | -0.33%3,187.4万 |
不影响留存收益的损益 | 53.85%-4.2万 | 53.85%-4.2万 | -30.00%-9.1万 | -30.00%-9.1万 | -775.00%-7万 | -775.00%-7万 | 97.22%-7,999.9999 | 96.64%-7,999.9999 | -190.91%-28.8万 | -140.40%-23.8万 |
其他股本权益 | --83.7万 | --83.7万 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
总权益 | -8.04%5,414.9万 | -8.04%5,414.9万 | -7.70%5,888.2万 | -7.70%5,888.2万 | -4.49%6,379.1万 | -4.49%6,379.1万 | -17.34%6,679.1万 | --6,679.1万 | 25.43%8,079.8万 | ---- |
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