(FY)2022/06/30 | (Q4)2022/06/30 | (FY)2021/06/30 | (Q4)2021/06/30 | (FY)2020/06/30 | (Q4)2020/06/30 | (FY)2019/06/30 | (Q4)2019/06/30 | (FY)2018/06/30 | (Q4)2018/06/30 | |
---|---|---|---|---|---|---|---|---|---|---|
资产 | ||||||||||
流动资产 | ||||||||||
现金及现金等价物和短期投资 | -52.81%1,803万 | -52.81%1,803万 | 3.79%3,820.8万 | 3.79%3,820.8万 | 38.02%3,681.3万 | 38.02%3,681.3万 | -15.63%2,667.2万 | -15.63%2,667.2万 | 6.53%3,161.3万 | 6.53%3,161.3万 |
-现金和现金等价物 | -52.81%1,803万 | -52.81%1,803万 | 3.79%3,820.8万 | 3.79%3,820.8万 | 38.02%3,681.3万 | 38.02%3,681.3万 | -15.63%2,667.2万 | -15.63%2,667.2万 | 6.53%3,161.3万 | 6.53%3,161.3万 |
应收款项 | -93.21%161.2万 | -93.21%161.2万 | -18.82%2,375.7万 | -18.82%2,375.7万 | 31.36%2,926.4万 | 31.36%2,926.4万 | 12.22%2,227.7万 | 12.22%2,227.7万 | -24.53%1,985.1万 | -24.53%1,985.1万 |
-应收账款 | -93.27%140万 | -93.27%140万 | -16.87%2,080.5万 | -16.87%2,080.5万 | 25.72%2,502.7万 | 25.72%2,502.7万 | 32.01%1,990.7万 | 32.01%1,990.7万 | -37.50%1,508万 | -37.50%1,508万 |
-其他应收款 | -89.32%33.3万 | -89.32%33.3万 | -33.95%311.8万 | -33.95%311.8万 | 84.27%472.1万 | 84.27%472.1万 | -54.56%256.2万 | -54.56%256.2万 | 65.34%563.8万 | 65.34%563.8万 |
-应收账款调整额 | 27.11%-12.1万 | 27.11%-12.1万 | 65.70%-16.6万 | 65.70%-16.6万 | -152.08%-48.4万 | -152.08%-48.4万 | 77.85%-19.2万 | 77.85%-19.2万 | 29.80%-86.7万 | 29.80%-86.7万 |
存货 | -94.18%123.3万 | -94.18%123.3万 | -14.05%2,118.1万 | -14.05%2,118.1万 | 1.99%2,464.2万 | 1.99%2,464.2万 | 26.75%2,416.2万 | 26.75%2,416.2万 | 15.94%1,906.3万 | 15.94%1,906.3万 |
预付费用 | ---- | ---- | ---- | ---- | -24.80%258.9万 | -24.80%258.9万 | 6.73%344.3万 | 6.73%344.3万 | 16.76%322.6万 | 16.76%322.6万 |
递延资产 | --239.6万 | --239.6万 | ---- | ---- | --35万 | --35万 | ---- | ---- | ---- | ---- |
其他流动资产 | -62.27%87.6万 | -62.27%87.6万 | 738.27%232.2万 | 738.27%232.2万 | -38.85%27.7万 | -38.85%27.7万 | 27.97%45.3万 | 27.97%45.3万 | -16.31%35.4万 | -16.31%35.4万 |
流动资产合计 | -71.75%2,414.7万 | -71.75%2,414.7万 | -9.01%8,546.8万 | -9.01%8,546.8万 | 21.98%9,393.5万 | 21.98%9,393.5万 | 3.91%7,700.7万 | 3.91%7,700.7万 | -1.98%7,410.7万 | -1.98%7,410.7万 |
非流动资产 | ||||||||||
固定资产净额 | -77.51%1,411.2万 | -77.51%1,411.2万 | -4.98%6,273.9万 | -4.98%6,273.9万 | 174.15%6,603万 | 174.15%6,603万 | 62.71%2,408.5万 | 62.71%2,408.5万 | -1.80%1,480.2万 | -1.80%1,480.2万 |
-固定资产 | -75.96%2,685.2万 | -75.96%2,685.2万 | -3.95%1.12亿 | -3.95%1.12亿 | 55.77%1.16亿 | 55.77%1.16亿 | 14.44%7,466.5万 | 14.44%7,466.5万 | 2.72%6,524.2万 | 2.72%6,524.2万 |
-累计折旧 | 73.99%-1,274万 | 73.99%-1,274万 | 2.59%-4,897.3万 | 2.59%-4,897.3万 | 0.61%-5,027.3万 | 0.61%-5,027.3万 | -0.28%-5,058万 | -0.28%-5,058万 | -4.13%-5,044万 | -4.13%-5,044万 |
投资和预付款 | --202.5万 | --202.5万 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
-其他投资 | --202.5万 | --202.5万 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
商誉及其他无形资产 | -78.03%2,478.6万 | -78.03%2,478.6万 | 2.12%1.13亿 | 2.12%1.13亿 | 3.54%1.1亿 | 3.54%1.1亿 | 6.11%1.07亿 | 6.11%1.07亿 | 24.76%1.01亿 | 24.76%1.01亿 |
-商誉 | -78.12%2,444.9万 | -78.12%2,444.9万 | 1.81%1.12亿 | 1.81%1.12亿 | 5.14%1.1亿 | 5.14%1.1亿 | 7.10%1.04亿 | 7.10%1.04亿 | 26.08%9,747.1万 | 26.08%9,747.1万 |
-其他无形资产 | -68.00%33.7万 | -68.00%33.7万 | 51.29%105.3万 | 51.29%105.3万 | -69.65%69.6万 | -69.65%69.6万 | -25.33%229.3万 | -25.33%229.3万 | -6.26%307.1万 | -6.26%307.1万 |
非流动递延资产 | -59.40%456.3万 | -59.40%456.3万 | 27.44%1,123.8万 | 27.44%1,123.8万 | 0.70%881.8万 | 0.70%881.8万 | 26.27%875.7万 | 26.27%875.7万 | 9.18%693.5万 | 9.18%693.5万 |
非流动资产合计 | -75.65%4,548.6万 | -75.65%4,548.6万 | 0.79%1.87亿 | 0.79%1.87亿 | 32.81%1.85亿 | 32.81%1.85亿 | 14.10%1.4亿 | 14.10%1.4亿 | 19.87%1.22亿 | 19.87%1.22亿 |
总资产 | -74.42%6,963.3万 | -74.42%6,963.3万 | -2.51%2.72亿 | -2.51%2.72亿 | 28.96%2.79亿 | 28.96%2.79亿 | 10.26%2.17亿 | 10.26%2.17亿 | 10.57%1.96亿 | 10.57%1.96亿 |
负债 | ||||||||||
流动负债 | ||||||||||
短期借款与资本租赁负债 | -78.47%470.7万 | -78.47%470.7万 | -14.51%2,186.1万 | -14.51%2,186.1万 | 348.91%2,557万 | 348.91%2,557万 | -34.02%569.6万 | -34.02%569.6万 | 7.58%863.3万 | 7.58%863.3万 |
-短期借款 | -78.93%131.5万 | -78.93%131.5万 | -31.87%624.1万 | -31.87%624.1万 | 60.81%916万 | 60.81%916万 | -34.02%569.6万 | -34.02%569.6万 | 7.58%863.3万 | 7.58%863.3万 |
-短期资本租赁负债 | -78.28%339.2万 | -78.28%339.2万 | -4.81%1,562万 | -4.81%1,562万 | --1,641万 | --1,641万 | ---- | ---- | ---- | ---- |
应付款项 | -93.23%419.6万 | -93.23%419.6万 | -21.46%6,195.6万 | -21.46%6,195.6万 | -6.03%7,888.9万 | -6.03%7,888.9万 | 20.78%8,394.7万 | 20.78%8,394.7万 | 3.69%6,950.4万 | 3.69%6,950.4万 |
-应付账款 | -97.23%102.2万 | -97.23%102.2万 | -0.99%3,687.4万 | -0.99%3,687.4万 | -4.91%3,724.4万 | -4.91%3,724.4万 | 10.95%3,916.9万 | 10.95%3,916.9万 | 23.95%3,530.4万 | 23.95%3,530.4万 |
-其他应付款 | -87.35%317.4万 | -87.35%317.4万 | -39.77%2,508.2万 | -39.77%2,508.2万 | -7.00%4,164.5万 | -7.00%4,164.5万 | 30.93%4,477.8万 | 30.93%4,477.8万 | -11.28%3,420万 | -11.28%3,420万 |
现行拨备 | -78.95%65.5万 | -78.95%65.5万 | -4.60%311.2万 | -4.60%311.2万 | -21.23%326.2万 | -21.23%326.2万 | 14.65%414.1万 | 14.65%414.1万 | 36.92%361.2万 | 36.92%361.2万 |
养老金及其他退休福利计划 | -62.71%60.6万 | -62.71%60.6万 | 9.95%162.5万 | 9.95%162.5万 | 15.38%147.8万 | 15.38%147.8万 | 21.65%128.1万 | 21.65%128.1万 | 15.97%105.3万 | 15.97%105.3万 |
递延负债 | -60.98%183.5万 | -60.98%183.5万 | 441.82%470.3万 | 441.82%470.3万 | -34.14%86.8万 | -34.14%86.8万 | -47.11%131.8万 | -47.11%131.8万 | -55.82%249.2万 | -55.82%249.2万 |
其他流动负债 | -55.96%71.7万 | -55.96%71.7万 | 22.68%162.8万 | 22.68%162.8万 | --132.7万 | --132.7万 | ---- | ---- | ---- | ---- |
流动负债总额 | -86.60%1,271.6万 | -86.60%1,271.6万 | -14.82%9,488.5万 | -14.82%9,488.5万 | 15.57%1.11亿 | 15.57%1.11亿 | 13.00%9,638.3万 | 13.00%9,638.3万 | 1.25%8,529.4万 | 1.25%8,529.4万 |
非流动负债 | ||||||||||
长期借款与租赁负债 | -72.88%816.9万 | -72.88%816.9万 | -10.91%3,012万 | -10.91%3,012万 | 1,045.22%3,380.7万 | 1,045.22%3,380.7万 | -54.98%295.2万 | -54.98%295.2万 | 67.83%655.7万 | 67.83%655.7万 |
-长期借款 | -70.04%27.5万 | -70.04%27.5万 | -74.23%91.8万 | -74.23%91.8万 | 20.66%356.2万 | 20.66%356.2万 | -54.98%295.2万 | -54.98%295.2万 | 67.83%655.7万 | 67.83%655.7万 |
-长期租赁负债 | -72.97%789.4万 | -72.97%789.4万 | -3.45%2,920.2万 | -3.45%2,920.2万 | --3,024.5万 | --3,024.5万 | ---- | ---- | ---- | ---- |
长期应付账款及其他应付款项 | ---- | ---- | ---- | ---- | ---- | ---- | 58.56%240.7万 | 58.56%240.7万 | 11.86%151.8万 | 11.86%151.8万 |
长期拨备 | -39.18%161万 | -39.18%161万 | -13.95%264.7万 | -13.95%264.7万 | -11.46%307.6万 | -11.46%307.6万 | -1.95%347.4万 | -1.95%347.4万 | 130.96%354.3万 | 130.96%354.3万 |
员工福利 | -85.74%27.7万 | -85.74%27.7万 | -8.31%194.3万 | -8.31%194.3万 | 1.44%211.9万 | 1.44%211.9万 | 20.26%208.9万 | 20.26%208.9万 | -2.03%173.7万 | -2.03%173.7万 |
其他非流动负债 | -33.05%103.7万 | -33.05%103.7万 | -39.75%154.9万 | -39.75%154.9万 | --257.1万 | --257.1万 | ---- | ---- | ---- | ---- |
非流动负债总额 | -69.41%1,109.3万 | -69.41%1,109.3万 | -12.78%3,625.9万 | -12.78%3,625.9万 | 280.64%4,157.3万 | 280.64%4,157.3万 | -18.22%1,092.2万 | -18.22%1,092.2万 | 55.82%1,335.5万 | 55.82%1,335.5万 |
负债总额 | -81.85%2,380.9万 | -81.85%2,380.9万 | -14.27%1.31亿 | -14.27%1.31亿 | 42.55%1.53亿 | 42.55%1.53亿 | 8.77%1.07亿 | 8.77%1.07亿 | 6.29%9,864.9万 | 6.29%9,864.9万 |
所有者权益 | ||||||||||
股本 | 6.44%4,752.6万 | 6.44%4,752.6万 | 3.80%4,465.1万 | 3.80%4,465.1万 | 4.78%4,301.7万 | 4.78%4,301.7万 | 5.47%4,105.6万 | 5.47%4,105.6万 | 32.30%3,892.5万 | 32.30%3,892.5万 |
-普通股股本 | 6.44%4,752.6万 | 6.44%4,752.6万 | 3.80%4,465.1万 | 3.80%4,465.1万 | 4.78%4,301.7万 | 4.78%4,301.7万 | 5.47%4,105.6万 | 5.47%4,105.6万 | 32.30%3,892.5万 | 32.30%3,892.5万 |
留存收益 | -101.78%-170.2万 | -101.78%-170.2万 | 16.68%9,564.3万 | 16.68%9,564.3万 | 21.51%8,196.9万 | 21.51%8,196.9万 | 15.06%6,745.7万 | 15.06%6,745.7万 | 6.17%5,862.9万 | 6.17%5,862.9万 |
不影响留存收益的损益 | ---- | ---- | -37.38%80.4万 | -37.38%80.4万 | 80.08%128.4万 | 80.08%128.4万 | 289.62%71.3万 | 289.62%71.3万 | 13.66%18.3万 | 13.66%18.3万 |
股东权益总额 | -67.52%4,582.4万 | -67.52%4,582.4万 | 11.74%1.41亿 | 11.74%1.41亿 | 15.60%1.26亿 | 15.60%1.26亿 | 11.76%1.09亿 | 11.76%1.09亿 | 15.25%9,773.7万 | 15.25%9,773.7万 |
总权益 | -67.52%4,582.4万 | -67.52%4,582.4万 | 11.74%1.41亿 | 11.74%1.41亿 | 15.60%1.26亿 | 15.60%1.26亿 | 11.76%1.09亿 | 11.76%1.09亿 | 15.25%9,773.7万 | 15.25%9,773.7万 |
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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