加拿大市场个股详情

Canopy Growth Corp (WEED)

添加自选
  • 1.700
  • -0.010-0.58%
延时15分钟行情已收盘 01/15 16:00 (美东)
6.42亿总市值-0.64市盈率TTM

Canopy Growth Corp (WEED) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2025/09/30
(Q1)2025/06/30
(FY)2025/03/31
(Q4)2025/03/31
(Q3)2024/12/31
(Q2)2024/09/30
(Q1)2024/06/30
(FY)2024/03/31
(Q4)2024/03/31
(Q3)2023/12/31
资产
流动资产
现金及现金等价物和短期投资
28.91%2.98亿
-26.31%1.44亿
-35.38%1.31亿
-35.38%1.31亿
-4.21%1.78亿
-14.48%2.31亿
-65.87%1.95亿
-73.69%2.03亿
-73.69%2.03亿
-76.41%1.86亿
-现金和现金等价物
30.49%2.98亿
-34.32%1.26亿
-33.17%1.14亿
-33.17%1.14亿
13.43%1.62亿
-4.98%2.28亿
-63.97%1.92亿
-74.49%1.7亿
-74.49%1.7亿
-76.13%1.43亿
-短期投资
--0
530.04%1,742.7万
-46.76%1,765.6万
-46.76%1,765.6万
-62.16%1,643.5万
-90.65%280.5万
-92.68%276.6万
-68.58%3,316.1万
-68.58%3,316.1万
-77.27%4,343.6万
应收款项
-35.83%2,686.2万
-1.68%5,003.3万
1.80%5,278万
1.80%5,278万
-23.26%4,905.8万
-39.21%4,186万
-60.39%5,088.9万
-24.27%5,184.7万
-24.27%5,184.7万
-38.91%6,392.4万
-应收账款
-32.75%2,455.7万
10.23%4,796.6万
5.72%4,751.4万
5.72%4,751.4万
-12.88%4,439.3万
-33.05%3,651.5万
-52.96%4,351.4万
8.84%4,494.3万
8.84%4,494.3万
-40.26%5,095.7万
-应收利息
-68.41%74.9万
-79.13%32.1万
-75.00%21.9万
-75.00%21.9万
178.89%100.4万
63.74%237.1万
-39.71%153.8万
-77.91%87.6万
-77.91%87.6万
-86.07%36万
-应收税费
-2.57%155.6万
-42.81%174.6万
-12.16%221.1万
-12.16%221.1万
-46.23%365.5万
-75.73%159.7万
-61.45%305.3万
-78.20%251.7万
-78.20%251.7万
-13.24%679.8万
-其他应收款
----
----
-19.23%283.6万
-19.23%283.6万
-99.90%6,000
-78.12%137.7万
-89.08%278.4万
-69.88%351.1万
-69.88%351.1万
-34.90%580.9万
存货
13.63%1.02亿
11.01%9,382.1万
24.69%9,637.3万
24.69%9,637.3万
4.41%9,075.3万
3.00%9,009.4万
-40.51%8,451.8万
-7.13%7,729.2万
-7.13%7,729.2万
-59.37%8,691.7万
预付费用
-43.47%941.2万
-44.07%689.4万
-38.63%551.5万
-38.63%551.5万
-26.72%1,086.3万
0.63%1,664.9万
-53.47%1,232.7万
-36.61%898.6万
-36.61%898.6万
-60.22%1,482.3万
受限制现金
-24.55%565.1万
-24.22%582.8万
-12.31%641万
-12.31%641万
-2.30%710.8万
-6.26%749万
-15.77%769.1万
-37.87%731万
-37.87%731万
-43.74%727.5万
持有待售资产
----
----
--0
--0
--0
--0
--0
-93.09%803.8万
-93.09%803.8万
--2,940.1万
其他流动资产
-20.48%346万
-57.64%315.4万
-85.76%202.9万
-85.76%202.9万
-43.38%495.9万
-37.11%435.1万
24.06%744.6万
40.84%1,424.6万
40.84%1,424.6万
-41.17%875.9万
流动资产合计
13.83%4.46亿
-15.21%3.03亿
-20.64%2.95亿
-20.64%2.95亿
-14.14%3.41亿
-20.67%3.92亿
-59.49%3.58亿
-65.54%3.71亿
-65.54%3.71亿
-66.13%3.97亿
非流动资产
固定资产净额
-4.73%2.89亿
-7.54%2.91亿
-8.30%2.94亿
-8.30%2.94亿
-12.01%3亿
-12.44%3.03亿
-20.29%3.15亿
-32.08%3.2亿
-32.08%3.2亿
-61.04%3.4亿
-固定资产
0.97%4.12亿
-2.29%4.09亿
-3.06%4.05亿
-3.06%4.05亿
-8.48%4.07亿
-8.40%4.08亿
-15.51%4.18亿
-28.08%4.18亿
-28.08%4.18亿
-58.17%4.45亿
-累计折旧
-17.52%-1.23亿
-13.76%-1.17亿
-14.04%-1.12亿
-14.04%-1.12亿
-2.98%-1.08亿
-5.74%-1.05亿
-3.46%-1.03亿
11.00%-9,818万
11.00%-9,818万
44.94%-1.05亿
投资和预付款
-56.00%6,149.7万
-87.07%1,950.5万
-74.09%3,529.4万
-74.09%3,529.4万
-55.37%5,315.1万
-1.31%1.4亿
4.82%1.51亿
-76.03%1.36亿
-76.03%1.36亿
7.70%1.19亿
-长期股权投资
-56.45%5,939.5万
-88.47%1,737.3万
--3,314.4万
--3,314.4万
--4,983.4万
--1.36亿
--1.51亿
----
----
----
-金融资产投资
----
----
--0
--0
-97.21%331.7万
-97.60%340.1万
-99.90%13.9万
-76.03%1.36亿
-76.03%1.36亿
7.70%1.19亿
-其中:交易性证券
----
----
--0
--0
--0
--0
--0
--1.2亿
--1.2亿
38.36%1.01亿
-其中:以公允价值计量且其变动计入当期损益的金融资产总额
----
----
----
----
----
--9.6万
----
----
----
----
-其中:可供出售证券
----
----
----
----
-35.27%331.7万
6.79%330.5万
-94.67%13.9万
-99.22%444.1万
-99.22%444.1万
-47.37%512.4万
-其中:持至到期证券
----
----
--0
--0
--0
--0
--0
--1,178万
--1,178万
-53.41%1,297.8万
-其他投资
--210.2万
--213.2万
--215万
--215万
----
----
----
----
----
----
金融资产
----
----
--0
--0
--0
--0
--0
--2.92亿
--2.92亿
-39.56%2.64亿
长期应收款
----
----
----
----
----
----
----
--128.7万
--128.7万
-98.43%64.9万
长期应收票据
-46.56%1.28亿
-52.17%1.42亿
1,629.42%1.45亿
1,629.42%1.45亿
3,686.32%3.18亿
2,730.73%2.39亿
3,416.73%2.98亿
--836.6万
--836.6万
-10.96%840万
商誉及其他无形资产
-7.53%1.29亿
-7.46%1.32亿
-9.54%1.33亿
-9.54%1.33亿
-34.47%1.34亿
-39.85%1.4亿
-46.76%1.42亿
-40.20%1.47亿
-40.20%1.47亿
-42.55%2.04亿
-商誉
8.33%4,824万
9.24%4,737.7万
6.48%4,604.2万
6.48%4,604.2万
-48.27%4,409.3万
-46.90%4,453.1万
-48.61%4,336.8万
-49.47%4,323.9万
-49.47%4,323.9万
-40.01%8,523.7万
-其他无形资产
-14.93%8,114.8万
-14.78%8,433万
-16.20%8,720万
-16.20%8,720万
-24.59%8,979.1万
-35.88%9,538.6万
-45.91%9,895.6万
-35.27%1.04亿
-35.27%1.04亿
-44.24%1.19亿
其他非流动资产
-12.22%1,674.8万
-27.15%1,643.1万
-32.09%1,638.5万
-32.09%1,638.5万
-27.27%1,844.4万
-51.48%1,907.9万
15.61%2,255.5万
-68.49%2,412.6万
-68.49%2,412.6万
31.92%2,535.9万
非流动资产合计
-25.77%6.24亿
-35.23%6.01亿
-32.94%6.23亿
-32.94%6.23亿
-14.48%8.23亿
-28.42%8.41亿
-28.98%9.28亿
-31.80%9.29亿
-31.80%9.29亿
-47.90%9.62亿
总资产
-13.19%10.7亿
-29.66%9.05亿
-29.43%9.18亿
-29.43%9.18亿
-14.38%11.64亿
-26.13%12.32亿
-41.28%12.86亿
-46.70%13亿
-46.70%13亿
-54.98%13.6亿
负债
流动负债
短期借款与资本租赁负债
-91.97%1,445.7万
-58.52%1,892.3万
-82.54%2,080万
-82.54%2,080万
-79.36%2,174.6万
181.72%1.8亿
-82.94%4,561.6万
-79.65%1.19亿
-79.65%1.19亿
-78.54%1.05亿
-短期借款
-98.66%184.7万
156.65%630.6万
-95.90%425.8万
-95.90%425.8万
-96.53%316.7万
176.03%1.38亿
-99.03%245.7万
-81.34%1.04亿
-81.34%1.04亿
-79.95%9,133.6万
-短期资本租赁负债
-70.06%1,261万
-70.77%1,261.7万
9.02%1,654.2万
9.02%1,654.2万
32.52%1,857.9万
202.11%4,211.7万
197.42%4,315.9万
-46.61%1,517.3万
-46.61%1,517.3万
-60.55%1,402万
应付款项
16.73%3,418万
15.14%4,160.8万
-0.05%3,917.2万
-0.05%3,917.2万
5.98%4,025.5万
-18.11%2,928.1万
-43.70%3,613.6万
4.32%3,919.2万
4.32%3,919.2万
-47.01%3,798.5万
-应付账款
-1.24%1,813.6万
-5.53%2,407.8万
-8.98%2,609.9万
-8.98%2,609.9万
11.92%2,891.8万
-19.19%1,836.4万
-55.71%2,548.8万
-9.93%2,867.3万
-9.93%2,867.3万
-59.08%2,583.7万
-应付税费
46.96%1,604.4万
64.63%1,753万
24.28%1,307.3万
24.28%1,307.3万
-6.68%1,133.7万
-16.22%1,091.7万
60.48%1,064.8万
83.45%1,051.9万
83.45%1,051.9万
42.23%1,214.8万
应计费用
-34.85%233.5万
-23.91%273.7万
-53.86%269.9万
-53.86%269.9万
-71.21%312万
-58.81%358.4万
-66.33%359.7万
-1.98%584.9万
-1.98%584.9万
38.19%1,083.7万
现行拨备
-27.67%304.2万
-22.04%327.5万
-36.17%266.1万
-36.17%266.1万
-51.46%272.7万
-35.51%420.6万
-48.17%420.1万
-35.20%416.9万
-35.20%416.9万
91.28%561.8万
养老金及其他退休福利计划
-3.75%1,148.3万
-24.85%1,626.9万
-36.05%1,372.9万
-36.05%1,372.9万
-36.89%1,082.2万
-27.12%1,193.1万
49.39%2,164.9万
-21.43%2,146.8万
-21.43%2,146.8万
-41.30%1,714.7万
其他流动负债
-70.13%1,560.7万
-71.38%1,585.7万
-65.85%1,534.3万
-65.85%1,534.3万
-58.68%1,834.6万
-19.62%5,224.7万
-35.79%5,540万
-68.19%4,492.9万
-68.19%4,492.9万
-41.61%4,440.2万
流动负债总额
-71.17%8,110.4万
-40.77%9,866.9万
-59.78%9,440.4万
-59.78%9,440.4万
-56.17%9,701.6万
43.33%2.81亿
-63.07%1.67亿
-70.80%2.35亿
-70.80%2.35亿
-67.39%2.21亿
非流动负债
长期借款与租赁负债
-43.51%2.45亿
-46.55%3.09亿
-40.32%3.28亿
-40.32%3.28亿
-20.41%4.68亿
-38.18%4.33亿
-33.39%5.78亿
-33.74%5.49亿
-33.74%5.49亿
-29.45%5.88亿
-长期借款
-45.58%2.26亿
-48.25%2.89亿
-39.22%3亿
-39.22%3亿
-15.81%4.38亿
-34.11%4.16亿
-29.50%5.58亿
-34.23%4.93亿
-34.23%4.93亿
-30.58%5.21亿
-长期租赁负债
5.63%1,854.1万
2.35%1,988.2万
-50.02%2,778.6万
-50.02%2,778.6万
-56.05%2,952.4万
-74.93%1,755.3万
-74.24%1,942.6万
-29.06%5,559.7万
-29.06%5,559.7万
-19.23%6,717.6万
持有待售负债
----
----
----
----
----
----
----
--0
--0
--0
其他非流动负债
-0.81%784.7万
-7.33%814.7万
-47.67%848.7万
-47.67%848.7万
33.81%780万
-58.99%791.1万
-61.98%879.1万
-63.19%1,621.7万
-63.19%1,621.7万
-90.07%582.9万
非流动负债总额
-42.75%2.53亿
-45.97%3.17亿
-40.53%3.36亿
-40.53%3.36亿
-19.88%4.76亿
-38.91%4.41亿
-34.22%5.87亿
-35.48%5.65亿
-35.48%5.65亿
-34.15%5.94亿
负债总额
-53.81%3.34亿
-44.82%4.16亿
-46.18%4.3亿
-46.18%4.3亿
-29.73%5.73亿
-21.34%7.23亿
-43.91%7.53亿
-52.38%8亿
-52.38%8亿
-48.43%8.15亿
所有者权益
股本
6.92%90.78亿
5.27%88.37亿
6.70%87.96亿
6.70%87.96亿
5.48%86.7亿
3.29%84.91亿
4.07%83.94亿
3.85%82.44亿
3.85%82.44亿
4.48%82.2亿
-普通股股本
6.92%90.78亿
5.27%88.37亿
6.70%87.96亿
6.70%87.96亿
5.48%86.7亿
3.29%84.91亿
4.07%83.94亿
3.85%82.44亿
3.85%82.44亿
4.48%82.2亿
资本公积
-0.21%26.15亿
-0.11%26.15亿
0.63%26.18亿
0.63%26.18亿
2.28%26.37亿
1.76%26.2亿
4.71%26.18亿
3.82%26.02亿
3.82%26.02亿
2.73%25.79亿
留存收益
-3.65%-109.71亿
-4.90%-109.7亿
-5.79%-109.28亿
-5.79%-109.28亿
-4.59%-107.07亿
-5.63%-105.85亿
-7.69%-104.57亿
-6.80%-103.3亿
-6.80%-103.3亿
-14.55%-102.38亿
不影响留存收益的损益
187.44%1,401.9万
133.64%724.8万
103.33%53.5万
103.33%53.5万
43.93%-899.9万
35.35%-1,603.2万
-153.24%-2,154.8万
-15.81%-1,605.1万
-15.81%-1,605.1万
-12.64%-1,604.9万
股东权益总额
44.41%7.36亿
-8.25%4.89亿
-2.63%4.87亿
-2.63%4.87亿
8.62%5.91亿
-31.98%5.1亿
-37.00%5.33亿
-34.03%5亿
-34.03%5亿
-61.80%5.45亿
非控制性权益
----
----
--0
--0
--0
--0
--0
-91.24%13.9万
-91.24%13.9万
-99.02%13.9万
总权益
44.41%7.36亿
-8.25%4.89亿
-2.66%4.87亿
-2.66%4.87亿
8.59%5.91亿
-32.00%5.1亿
-37.12%5.33亿
-34.15%5.01亿
-34.15%5.01亿
-62.17%5.45亿
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
--
--
带解释段的无保留意见
--
--
--
--
带解释段的无保留意见
--
--
(Q2)2025/09/30(Q1)2025/06/30(FY)2025/03/31(Q4)2025/03/31(Q3)2024/12/31(Q2)2024/09/30(Q1)2024/06/30(FY)2024/03/31(Q4)2024/03/31(Q3)2023/12/31
资产
流动资产
现金及现金等价物和短期投资 28.91%2.98亿-26.31%1.44亿-35.38%1.31亿-35.38%1.31亿-4.21%1.78亿-14.48%2.31亿-65.87%1.95亿-73.69%2.03亿-73.69%2.03亿-76.41%1.86亿
-现金和现金等价物 30.49%2.98亿-34.32%1.26亿-33.17%1.14亿-33.17%1.14亿13.43%1.62亿-4.98%2.28亿-63.97%1.92亿-74.49%1.7亿-74.49%1.7亿-76.13%1.43亿
-短期投资 --0530.04%1,742.7万-46.76%1,765.6万-46.76%1,765.6万-62.16%1,643.5万-90.65%280.5万-92.68%276.6万-68.58%3,316.1万-68.58%3,316.1万-77.27%4,343.6万
应收款项 -35.83%2,686.2万-1.68%5,003.3万1.80%5,278万1.80%5,278万-23.26%4,905.8万-39.21%4,186万-60.39%5,088.9万-24.27%5,184.7万-24.27%5,184.7万-38.91%6,392.4万
-应收账款 -32.75%2,455.7万10.23%4,796.6万5.72%4,751.4万5.72%4,751.4万-12.88%4,439.3万-33.05%3,651.5万-52.96%4,351.4万8.84%4,494.3万8.84%4,494.3万-40.26%5,095.7万
-应收利息 -68.41%74.9万-79.13%32.1万-75.00%21.9万-75.00%21.9万178.89%100.4万63.74%237.1万-39.71%153.8万-77.91%87.6万-77.91%87.6万-86.07%36万
-应收税费 -2.57%155.6万-42.81%174.6万-12.16%221.1万-12.16%221.1万-46.23%365.5万-75.73%159.7万-61.45%305.3万-78.20%251.7万-78.20%251.7万-13.24%679.8万
-其他应收款 ---------19.23%283.6万-19.23%283.6万-99.90%6,000-78.12%137.7万-89.08%278.4万-69.88%351.1万-69.88%351.1万-34.90%580.9万
存货 13.63%1.02亿11.01%9,382.1万24.69%9,637.3万24.69%9,637.3万4.41%9,075.3万3.00%9,009.4万-40.51%8,451.8万-7.13%7,729.2万-7.13%7,729.2万-59.37%8,691.7万
预付费用 -43.47%941.2万-44.07%689.4万-38.63%551.5万-38.63%551.5万-26.72%1,086.3万0.63%1,664.9万-53.47%1,232.7万-36.61%898.6万-36.61%898.6万-60.22%1,482.3万
受限制现金 -24.55%565.1万-24.22%582.8万-12.31%641万-12.31%641万-2.30%710.8万-6.26%749万-15.77%769.1万-37.87%731万-37.87%731万-43.74%727.5万
持有待售资产 ----------0--0--0--0--0-93.09%803.8万-93.09%803.8万--2,940.1万
其他流动资产 -20.48%346万-57.64%315.4万-85.76%202.9万-85.76%202.9万-43.38%495.9万-37.11%435.1万24.06%744.6万40.84%1,424.6万40.84%1,424.6万-41.17%875.9万
流动资产合计 13.83%4.46亿-15.21%3.03亿-20.64%2.95亿-20.64%2.95亿-14.14%3.41亿-20.67%3.92亿-59.49%3.58亿-65.54%3.71亿-65.54%3.71亿-66.13%3.97亿
非流动资产
固定资产净额 -4.73%2.89亿-7.54%2.91亿-8.30%2.94亿-8.30%2.94亿-12.01%3亿-12.44%3.03亿-20.29%3.15亿-32.08%3.2亿-32.08%3.2亿-61.04%3.4亿
-固定资产 0.97%4.12亿-2.29%4.09亿-3.06%4.05亿-3.06%4.05亿-8.48%4.07亿-8.40%4.08亿-15.51%4.18亿-28.08%4.18亿-28.08%4.18亿-58.17%4.45亿
-累计折旧 -17.52%-1.23亿-13.76%-1.17亿-14.04%-1.12亿-14.04%-1.12亿-2.98%-1.08亿-5.74%-1.05亿-3.46%-1.03亿11.00%-9,818万11.00%-9,818万44.94%-1.05亿
投资和预付款 -56.00%6,149.7万-87.07%1,950.5万-74.09%3,529.4万-74.09%3,529.4万-55.37%5,315.1万-1.31%1.4亿4.82%1.51亿-76.03%1.36亿-76.03%1.36亿7.70%1.19亿
-长期股权投资 -56.45%5,939.5万-88.47%1,737.3万--3,314.4万--3,314.4万--4,983.4万--1.36亿--1.51亿------------
-金融资产投资 ----------0--0-97.21%331.7万-97.60%340.1万-99.90%13.9万-76.03%1.36亿-76.03%1.36亿7.70%1.19亿
-其中:交易性证券 ----------0--0--0--0--0--1.2亿--1.2亿38.36%1.01亿
-其中:以公允价值计量且其变动计入当期损益的金融资产总额 ----------------------9.6万----------------
-其中:可供出售证券 -----------------35.27%331.7万6.79%330.5万-94.67%13.9万-99.22%444.1万-99.22%444.1万-47.37%512.4万
-其中:持至到期证券 ----------0--0--0--0--0--1,178万--1,178万-53.41%1,297.8万
-其他投资 --210.2万--213.2万--215万--215万------------------------
金融资产 ----------0--0--0--0--0--2.92亿--2.92亿-39.56%2.64亿
长期应收款 ------------------------------128.7万--128.7万-98.43%64.9万
长期应收票据 -46.56%1.28亿-52.17%1.42亿1,629.42%1.45亿1,629.42%1.45亿3,686.32%3.18亿2,730.73%2.39亿3,416.73%2.98亿--836.6万--836.6万-10.96%840万
商誉及其他无形资产 -7.53%1.29亿-7.46%1.32亿-9.54%1.33亿-9.54%1.33亿-34.47%1.34亿-39.85%1.4亿-46.76%1.42亿-40.20%1.47亿-40.20%1.47亿-42.55%2.04亿
-商誉 8.33%4,824万9.24%4,737.7万6.48%4,604.2万6.48%4,604.2万-48.27%4,409.3万-46.90%4,453.1万-48.61%4,336.8万-49.47%4,323.9万-49.47%4,323.9万-40.01%8,523.7万
-其他无形资产 -14.93%8,114.8万-14.78%8,433万-16.20%8,720万-16.20%8,720万-24.59%8,979.1万-35.88%9,538.6万-45.91%9,895.6万-35.27%1.04亿-35.27%1.04亿-44.24%1.19亿
其他非流动资产 -12.22%1,674.8万-27.15%1,643.1万-32.09%1,638.5万-32.09%1,638.5万-27.27%1,844.4万-51.48%1,907.9万15.61%2,255.5万-68.49%2,412.6万-68.49%2,412.6万31.92%2,535.9万
非流动资产合计 -25.77%6.24亿-35.23%6.01亿-32.94%6.23亿-32.94%6.23亿-14.48%8.23亿-28.42%8.41亿-28.98%9.28亿-31.80%9.29亿-31.80%9.29亿-47.90%9.62亿
总资产 -13.19%10.7亿-29.66%9.05亿-29.43%9.18亿-29.43%9.18亿-14.38%11.64亿-26.13%12.32亿-41.28%12.86亿-46.70%13亿-46.70%13亿-54.98%13.6亿
负债
流动负债
短期借款与资本租赁负债 -91.97%1,445.7万-58.52%1,892.3万-82.54%2,080万-82.54%2,080万-79.36%2,174.6万181.72%1.8亿-82.94%4,561.6万-79.65%1.19亿-79.65%1.19亿-78.54%1.05亿
-短期借款 -98.66%184.7万156.65%630.6万-95.90%425.8万-95.90%425.8万-96.53%316.7万176.03%1.38亿-99.03%245.7万-81.34%1.04亿-81.34%1.04亿-79.95%9,133.6万
-短期资本租赁负债 -70.06%1,261万-70.77%1,261.7万9.02%1,654.2万9.02%1,654.2万32.52%1,857.9万202.11%4,211.7万197.42%4,315.9万-46.61%1,517.3万-46.61%1,517.3万-60.55%1,402万
应付款项 16.73%3,418万15.14%4,160.8万-0.05%3,917.2万-0.05%3,917.2万5.98%4,025.5万-18.11%2,928.1万-43.70%3,613.6万4.32%3,919.2万4.32%3,919.2万-47.01%3,798.5万
-应付账款 -1.24%1,813.6万-5.53%2,407.8万-8.98%2,609.9万-8.98%2,609.9万11.92%2,891.8万-19.19%1,836.4万-55.71%2,548.8万-9.93%2,867.3万-9.93%2,867.3万-59.08%2,583.7万
-应付税费 46.96%1,604.4万64.63%1,753万24.28%1,307.3万24.28%1,307.3万-6.68%1,133.7万-16.22%1,091.7万60.48%1,064.8万83.45%1,051.9万83.45%1,051.9万42.23%1,214.8万
应计费用 -34.85%233.5万-23.91%273.7万-53.86%269.9万-53.86%269.9万-71.21%312万-58.81%358.4万-66.33%359.7万-1.98%584.9万-1.98%584.9万38.19%1,083.7万
现行拨备 -27.67%304.2万-22.04%327.5万-36.17%266.1万-36.17%266.1万-51.46%272.7万-35.51%420.6万-48.17%420.1万-35.20%416.9万-35.20%416.9万91.28%561.8万
养老金及其他退休福利计划 -3.75%1,148.3万-24.85%1,626.9万-36.05%1,372.9万-36.05%1,372.9万-36.89%1,082.2万-27.12%1,193.1万49.39%2,164.9万-21.43%2,146.8万-21.43%2,146.8万-41.30%1,714.7万
其他流动负债 -70.13%1,560.7万-71.38%1,585.7万-65.85%1,534.3万-65.85%1,534.3万-58.68%1,834.6万-19.62%5,224.7万-35.79%5,540万-68.19%4,492.9万-68.19%4,492.9万-41.61%4,440.2万
流动负债总额 -71.17%8,110.4万-40.77%9,866.9万-59.78%9,440.4万-59.78%9,440.4万-56.17%9,701.6万43.33%2.81亿-63.07%1.67亿-70.80%2.35亿-70.80%2.35亿-67.39%2.21亿
非流动负债
长期借款与租赁负债 -43.51%2.45亿-46.55%3.09亿-40.32%3.28亿-40.32%3.28亿-20.41%4.68亿-38.18%4.33亿-33.39%5.78亿-33.74%5.49亿-33.74%5.49亿-29.45%5.88亿
-长期借款 -45.58%2.26亿-48.25%2.89亿-39.22%3亿-39.22%3亿-15.81%4.38亿-34.11%4.16亿-29.50%5.58亿-34.23%4.93亿-34.23%4.93亿-30.58%5.21亿
-长期租赁负债 5.63%1,854.1万2.35%1,988.2万-50.02%2,778.6万-50.02%2,778.6万-56.05%2,952.4万-74.93%1,755.3万-74.24%1,942.6万-29.06%5,559.7万-29.06%5,559.7万-19.23%6,717.6万
持有待售负债 ------------------------------0--0--0
其他非流动负债 -0.81%784.7万-7.33%814.7万-47.67%848.7万-47.67%848.7万33.81%780万-58.99%791.1万-61.98%879.1万-63.19%1,621.7万-63.19%1,621.7万-90.07%582.9万
非流动负债总额 -42.75%2.53亿-45.97%3.17亿-40.53%3.36亿-40.53%3.36亿-19.88%4.76亿-38.91%4.41亿-34.22%5.87亿-35.48%5.65亿-35.48%5.65亿-34.15%5.94亿
负债总额 -53.81%3.34亿-44.82%4.16亿-46.18%4.3亿-46.18%4.3亿-29.73%5.73亿-21.34%7.23亿-43.91%7.53亿-52.38%8亿-52.38%8亿-48.43%8.15亿
所有者权益
股本 6.92%90.78亿5.27%88.37亿6.70%87.96亿6.70%87.96亿5.48%86.7亿3.29%84.91亿4.07%83.94亿3.85%82.44亿3.85%82.44亿4.48%82.2亿
-普通股股本 6.92%90.78亿5.27%88.37亿6.70%87.96亿6.70%87.96亿5.48%86.7亿3.29%84.91亿4.07%83.94亿3.85%82.44亿3.85%82.44亿4.48%82.2亿
资本公积 -0.21%26.15亿-0.11%26.15亿0.63%26.18亿0.63%26.18亿2.28%26.37亿1.76%26.2亿4.71%26.18亿3.82%26.02亿3.82%26.02亿2.73%25.79亿
留存收益 -3.65%-109.71亿-4.90%-109.7亿-5.79%-109.28亿-5.79%-109.28亿-4.59%-107.07亿-5.63%-105.85亿-7.69%-104.57亿-6.80%-103.3亿-6.80%-103.3亿-14.55%-102.38亿
不影响留存收益的损益 187.44%1,401.9万133.64%724.8万103.33%53.5万103.33%53.5万43.93%-899.9万35.35%-1,603.2万-153.24%-2,154.8万-15.81%-1,605.1万-15.81%-1,605.1万-12.64%-1,604.9万
股东权益总额 44.41%7.36亿-8.25%4.89亿-2.63%4.87亿-2.63%4.87亿8.62%5.91亿-31.98%5.1亿-37.00%5.33亿-34.03%5亿-34.03%5亿-61.80%5.45亿
非控制性权益 ----------0--0--0--0--0-91.24%13.9万-91.24%13.9万-99.02%13.9万
总权益 44.41%7.36亿-8.25%4.89亿-2.66%4.87亿-2.66%4.87亿8.59%5.91亿-32.00%5.1亿-37.12%5.33亿-34.15%5.01亿-34.15%5.01亿-62.17%5.45亿
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ----带解释段的无保留意见--------带解释段的无保留意见----

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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