(FY)2023/09/30 | (Q4)2023/09/30 | (FY)2022/09/30 | (Q4)2022/09/30 | (FY)2021/09/30 | (Q4)2021/09/30 | (FY)2020/09/30 | (Q4)2020/09/30 | (FY)2019/09/30 | (Q4)2019/09/30 | |
---|---|---|---|---|---|---|---|---|---|---|
资产 | ||||||||||
流动资产 | ||||||||||
现金及现金等价物和短期投资 | 27.16%2.24亿 | 27.16%2.24亿 | 23.32%1.76亿 | 23.32%1.76亿 | 13.89%1.43亿 | 13.89%1.43亿 | 19.61%1.26亿 | 19.61%1.26亿 | 0.69%1.05亿 | 0.69%1.05亿 |
-现金和现金等价物 | 12.74%1.98亿 | 12.74%1.98亿 | 23.11%1.76亿 | 23.11%1.76亿 | 14.06%1.43亿 | 14.06%1.43亿 | 19.23%1.25亿 | 19.23%1.25亿 | 0.69%1.05亿 | 0.69%1.05亿 |
-短期投资 | 4,254.50%2,612.7万 | 4,254.50%2,612.7万 | 152.10%60万 | 152.10%60万 | -40.05%23.8万 | -40.05%23.8万 | --39.7万 | --39.7万 | ---- | ---- |
应收款项 | 8.99%6,241.6万 | 8.99%6,241.6万 | 13.22%5,726.6万 | 13.22%5,726.6万 | 35.26%5,058万 | 35.26%5,058万 | -23.73%3,739.6万 | -23.73%3,739.6万 | -17.67%4,903.2万 | -17.67%4,903.2万 |
-应收账款 | 4.75%6,276.4万 | 4.75%6,276.4万 | 16.55%5,991.7万 | 16.55%5,991.7万 | 27.50%5,141万 | 27.50%5,141万 | -19.45%4,032万 | -19.45%4,032万 | -16.31%5,005.3万 | -16.31%5,005.3万 |
-其他应收款 | 188.10%150.1万 | 188.10%150.1万 | 2.76%52.1万 | 2.76%52.1万 | 1,400.00%50.7万 | 1,400.00%50.7万 | -134.21%-3.9万 | -134.21%-3.9万 | -82.38%11.4万 | -82.38%11.4万 |
-应收账款调整额 | 41.71%-184.9万 | 41.71%-184.9万 | -137.25%-317.2万 | -137.25%-317.2万 | 53.66%-133.7万 | 53.66%-133.7万 | -154.19%-288.5万 | -154.19%-288.5万 | -25.83%-113.5万 | -25.83%-113.5万 |
预付费用 | 23.42%2,515.1万 | 23.42%2,515.1万 | 51.75%2,037.9万 | 51.75%2,037.9万 | 23.76%1,342.9万 | 23.76%1,342.9万 | -15.29%1,085.1万 | -15.29%1,085.1万 | 18.04%1,281万 | 18.04%1,281万 |
递延资产 | ---- | ---- | ---- | ---- | ---- | ---- | 19.08%807.7万 | 19.08%807.7万 | 330.94%678.3万 | 330.94%678.3万 |
其他流动资产 | 15.77%3,246.7万 | 15.77%3,246.7万 | 1.21%2,804.5万 | 1.21%2,804.5万 | 10.81%2,771万 | 10.81%2,771万 | -7.97%2,500.7万 | -7.97%2,500.7万 | 31.17%2,717.4万 | 31.17%2,717.4万 |
流动资产合计 | 22.07%3.44亿 | 22.07%3.44亿 | 20.16%2.82亿 | 20.16%2.82亿 | 13.45%2.35亿 | 13.45%2.35亿 | 3.05%2.07亿 | 3.05%2.07亿 | 1.94%2.01亿 | 1.94%2.01亿 |
非流动资产 | ||||||||||
固定资产净额 | 13.73%3,595.6万 | 13.73%3,595.6万 | 11.91%3,161.5万 | 11.91%3,161.5万 | -13.75%2,825万 | -13.75%2,825万 | 200.50%3,275.5万 | 200.50%3,275.5万 | -11.24%1,090万 | -11.24%1,090万 |
-固定资产 | 11.40%9,964万 | 11.40%9,964万 | 12.62%8,944.4万 | 12.62%8,944.4万 | 4.70%7,942万 | 4.70%7,942万 | 57.81%7,585.6万 | 57.81%7,585.6万 | 4.69%4,806.8万 | 4.69%4,806.8万 |
-累计折旧 | -10.12%-6,368.4万 | -10.12%-6,368.4万 | -13.01%-5,782.9万 | -13.01%-5,782.9万 | -18.72%-5,117万 | -18.72%-5,117万 | -15.96%-4,310.1万 | -15.96%-4,310.1万 | -10.51%-3,716.8万 | -10.51%-3,716.8万 |
商誉及其他无形资产 | 11.68%2.08亿 | 11.68%2.08亿 | 22.06%1.86亿 | 22.06%1.86亿 | 41.93%1.53亿 | 41.93%1.53亿 | 55.66%1.08亿 | 55.66%1.08亿 | 53.54%6,911.1万 | 53.54%6,911.1万 |
-商誉 | 2.94%4,795.1万 | 2.94%4,795.1万 | -17.19%4,658万 | -17.19%4,658万 | 69.16%5,624.6万 | 69.16%5,624.6万 | 0.00%3,325万 | 0.00%3,325万 | -16.88%3,325万 | -16.88%3,325万 |
-其他无形资产 | 14.59%1.6亿 | 14.59%1.6亿 | 44.95%1.4亿 | 44.95%1.4亿 | 29.74%9,643.5万 | 29.74%9,643.5万 | 107.26%7,432.7万 | 107.26%7,432.7万 | 616.07%3,586.1万 | 616.07%3,586.1万 |
非流动递延资产 | 1.53%2,138.2万 | 1.53%2,138.2万 | -20.07%2,106万 | -20.07%2,106万 | -7.89%2,634.9万 | -7.89%2,634.9万 | -11.03%2,860.5万 | -11.03%2,860.5万 | 7,858.66%3,215.3万 | 7,858.66%3,215.3万 |
其他非流动资产 | 43.14%2,684.5万 | 43.14%2,684.5万 | 48.39%1,875.4万 | 48.39%1,875.4万 | --1,263.8万 | --1,263.8万 | ---- | ---- | -79.47%541.5万 | -79.47%541.5万 |
非流动资产合计 | 13.39%2.92亿 | 13.39%2.92亿 | 17.22%2.58亿 | 17.22%2.58亿 | 30.18%2.2亿 | 30.18%2.2亿 | 43.68%1.69亿 | 43.68%1.69亿 | 39.86%1.18亿 | 39.86%1.18亿 |
总资产 | 17.93%6.37亿 | 17.93%6.37亿 | 18.74%5.4亿 | 18.74%5.4亿 | 20.97%4.55亿 | 20.97%4.55亿 | 18.05%3.76亿 | 18.05%3.76亿 | 13.28%3.18亿 | 13.28%3.18亿 |
负债 | ||||||||||
流动负债 | ||||||||||
短期借款与资本租赁负债 | 12.63%889.4万 | 12.63%889.4万 | 136.30%789.7万 | 136.30%789.7万 | 55.59%334.2万 | 55.59%334.2万 | 42,860.00%214.8万 | 42,860.00%214.8万 | 0.00%5,000 | 0.00%5,000 |
-短期资本租赁负债 | 12.63%889.4万 | 12.63%889.4万 | 136.30%789.7万 | 136.30%789.7万 | 55.59%334.2万 | 55.59%334.2万 | 42,860.00%214.8万 | 42,860.00%214.8万 | 0.00%5,000 | 0.00%5,000 |
应付款项 | 1.42%4,924.7万 | 1.42%4,924.7万 | 32.79%4,855.9万 | 32.79%4,855.9万 | -1.50%3,656.7万 | -1.50%3,656.7万 | -21.50%3,712.3万 | -21.50%3,712.3万 | -10.12%4,729万 | -10.12%4,729万 |
-应付账款 | -1.48%3,973.3万 | -1.48%3,973.3万 | 36.97%4,033.1万 | 36.97%4,033.1万 | 0.44%2,944.5万 | 0.44%2,944.5万 | -24.40%2,931.5万 | -24.40%2,931.5万 | 19.99%3,877.8万 | 19.99%3,877.8万 |
-其他应付款 | 15.63%951.4万 | 15.63%951.4万 | 15.53%822.8万 | 15.53%822.8万 | -8.79%712.2万 | -8.79%712.2万 | -8.27%780.8万 | -8.27%780.8万 | -58.06%851.2万 | -58.06%851.2万 |
现行拨备 | -5.32%530.2万 | -5.32%530.2万 | 0.14%560万 | 0.14%560万 | -6.57%559.2万 | -6.57%559.2万 | 1,782.08%598.5万 | 1,782.08%598.5万 | --31.8万 | --31.8万 |
养老金及其他退休福利计划 | 4.40%1,597.5万 | 4.40%1,597.5万 | -2.08%1,530.2万 | -2.08%1,530.2万 | 7.31%1,562.7万 | 7.31%1,562.7万 | 21.94%1,456.3万 | 21.94%1,456.3万 | -3.44%1,194.3万 | -3.44%1,194.3万 |
递延负债 | 20.14%2.24亿 | 20.14%2.24亿 | 14.81%1.87亿 | 14.81%1.87亿 | 12.86%1.63亿 | 12.86%1.63亿 | -2.31%1.44亿 | -2.31%1.44亿 | 358.35%1.48亿 | 358.35%1.48亿 |
其他流动负债 | ---- | ---- | 82.12%699.7万 | 82.12%699.7万 | --384.2万 | --384.2万 | ---- | ---- | ---- | ---- |
流动负债总额 | 12.06%3.04亿 | 12.06%3.04亿 | 19.10%2.71亿 | 19.10%2.71亿 | 11.62%2.28亿 | 11.62%2.28亿 | -1.52%2.04亿 | -1.52%2.04亿 | 113.12%2.07亿 | 113.12%2.07亿 |
非流动负债 | ||||||||||
长期借款与租赁负债 | -11.48%2,426.2万 | -11.48%2,426.2万 | 1.25%2,740.7万 | 1.25%2,740.7万 | -0.47%2,706.9万 | -0.47%2,706.9万 | --2,719.7万 | --2,719.7万 | ---- | ---- |
-长期租赁负债 | -11.48%2,426.2万 | -11.48%2,426.2万 | 1.25%2,740.7万 | 1.25%2,740.7万 | -0.47%2,706.9万 | -0.47%2,706.9万 | --2,719.7万 | --2,719.7万 | ---- | ---- |
长期拨备 | 53.73%20.6万 | 53.73%20.6万 | -6.29%13.4万 | -6.29%13.4万 | -1.38%14.3万 | -1.38%14.3万 | -79.14%14.5万 | -79.14%14.5万 | 25.00%69.5万 | 25.00%69.5万 |
员工福利 | 14.18%235.9万 | 14.18%235.9万 | 7.38%206.6万 | 7.38%206.6万 | -15.80%192.4万 | -15.80%192.4万 | -21.77%228.5万 | -21.77%228.5万 | 12.87%292.1万 | 12.87%292.1万 |
其他非流动负债 | -27.66%6.8万 | -27.66%6.8万 | -98.78%9.4万 | -98.78%9.4万 | 5,135.37%769.6万 | 5,135.37%769.6万 | -82.44%14.7万 | -82.44%14.7万 | -32.55%83.7万 | -32.55%83.7万 |
非流动负债总额 | -9.45%2,689.5万 | -9.45%2,689.5万 | -19.36%2,970.1万 | -19.36%2,970.1万 | 23.71%3,683.2万 | 23.71%3,683.2万 | 568.63%2,977.4万 | 568.63%2,977.4万 | 1.55%445.3万 | 1.55%445.3万 |
负债总额 | 9.93%3.31亿 | 9.93%3.31亿 | 13.74%3.01亿 | 13.74%3.01亿 | 13.16%2.64亿 | 13.16%2.64亿 | 10.48%2.34亿 | 10.48%2.34亿 | 108.30%2.12亿 | 108.30%2.12亿 |
所有者权益 | ||||||||||
股本 | 17.06%6,746.6万 | 17.06%6,746.6万 | 11.60%5,763.5万 | 11.60%5,763.5万 | 27.36%5,164.5万 | 27.36%5,164.5万 | 14.87%4,055.1万 | 14.87%4,055.1万 | 6.42%3,530.2万 | 6.42%3,530.2万 |
-普通股股本 | 17.06%6,746.6万 | 17.06%6,746.6万 | 11.60%5,763.5万 | 11.60%5,763.5万 | 27.36%5,164.5万 | 27.36%5,164.5万 | 14.87%4,055.1万 | 14.87%4,055.1万 | 6.42%3,530.2万 | 6.42%3,530.2万 |
留存收益 | 39.51%1.39亿 | 39.51%1.39亿 | 51.18%9,958.7万 | 51.18%9,958.7万 | 72.92%6,587.2万 | 72.92%6,587.2万 | 136.93%3,809.3万 | 136.93%3,809.3万 | -86.12%1,607.8万 | -86.12%1,607.8万 |
不影响留存收益的损益 | 21.65%9,960.4万 | 21.65%9,960.4万 | 12.59%8,187.5万 | 12.59%8,187.5万 | 14.47%7,271.7万 | 14.47%7,271.7万 | 14.51%6,352.4万 | 14.51%6,352.4万 | 81.71%5,547.7万 | 81.71%5,547.7万 |
股东权益总额 | 27.98%3.06亿 | 27.98%3.06亿 | 25.69%2.39亿 | 25.69%2.39亿 | 33.81%1.9亿 | 33.81%1.9亿 | 33.05%1.42亿 | 33.05%1.42亿 | -40.48%1.07亿 | -40.48%1.07亿 |
总权益 | 27.98%3.06亿 | 27.98%3.06亿 | 25.69%2.39亿 | 25.69%2.39亿 | 33.81%1.9亿 | 33.81%1.9亿 | 33.05%1.42亿 | 33.05%1.42亿 | -40.48%1.07亿 | -40.48%1.07亿 |
会计准则 | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
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