(FY)2024/03/30 | (Q4)2024/03/30 | (FY)2023/03/30 | (Q4)2023/03/30 | (FY)2022/03/30 | (Q4)2022/03/30 | (FY)2021/03/30 | (Q4)2021/03/30 | (FY)2020/03/30 | (Q4)2020/03/30 | |
---|---|---|---|---|---|---|---|---|---|---|
资产 | ||||||||||
流动资产 | ||||||||||
现金及现金等价物和短期投资 | 34.20%14.03亿 | 34.20%14.03亿 | 20.20%10.46亿 | 20.20%10.46亿 | -14.67%8.7亿 | -14.67%8.7亿 | 95.09%10.2亿 | 95.09%10.2亿 | 19.07%5.23亿 | 19.07%5.23亿 |
-现金和现金等价物 | 111.95%4.58亿 | 111.95%4.58亿 | -42.54%2.16亿 | -42.54%2.16亿 | -37.79%3.76亿 | -37.79%3.76亿 | 473.41%6.04亿 | 473.41%6.04亿 | -76.01%1.05亿 | -76.01%1.05亿 |
-应收账款 | 79.09%2,333.36万 | 79.09%2,333.36万 | -13.28%1,302.91万 | -13.28%1,302.91万 | 89.02%1,502.37万 | 89.02%1,502.37万 | 7.07%794.82万 | 7.07%794.82万 | 9.73%742.32万 | 9.73%742.32万 |
-其他应收款 | 116.08%6,954.96万 | 116.08%6,954.96万 | -13.78%3,218.67万 | -13.78%3,218.67万 | 29.65%3,733.06万 | 29.65%3,733.06万 | -8.67%2,879.37万 | -8.67%2,879.37万 | 54.18%3,152.87万 | 54.18%3,152.87万 |
递延资产 | 623.61%2,984.41万 | 623.61%2,984.41万 | -48.11%412.43万 | -48.11%412.43万 | 1,036.15%794.78万 | 1,036.15%794.78万 | --69.95万 | --69.95万 | ---- | ---- |
流动资产合计 | 35.52%16.03亿 | 35.52%16.03亿 | 18.74%11.83亿 | 18.74%11.83亿 | -9.90%9.96亿 | -9.90%9.96亿 | 57.83%11.06亿 | 57.83%11.06亿 | 24.69%7.01亿 | 24.69%7.01亿 |
非流动资产 | ||||||||||
-累计折旧 | -11.07%-8,867.17万 | -11.07%-8,867.17万 | -36.56%-7,983.62万 | -36.56%-7,983.62万 | -16.94%-5,846.27万 | -16.94%-5,846.27万 | -17.27%-4,999.45万 | -17.27%-4,999.45万 | -17.39%-4,263.04万 | -17.39%-4,263.04万 |
-长期股权投资 | 4.86%11.05亿 | 4.86%11.05亿 | 12.63%10.54亿 | 12.63%10.54亿 | 8.66%9.36亿 | 8.66%9.36亿 | 81.94%8.61亿 | 81.94%8.61亿 | 15.19%4.73亿 | 15.19%4.73亿 |
-其中:持至到期证券 | -28.48%372.9万 | -28.48%372.9万 | -10.00%521.39万 | -10.00%521.39万 | 632.94%579.33万 | 632.94%579.33万 | -99.35%79.04万 | -99.35%79.04万 | 64.17%1.22亿 | 64.17%1.22亿 |
金融资产 | 88.69%5,626万 | 88.69%5,626万 | -42.99%2,981.65万 | -42.99%2,981.65万 | -53.61%5,229.95万 | -53.61%5,229.95万 | --1.13亿 | --1.13亿 | ---- | ---- |
长期应收票据 | -66.22%2,909.27万 | -66.22%2,909.27万 | -4.55%8,611.81万 | -4.55%8,611.81万 | -4.83%9,022.12万 | -4.83%9,022.12万 | 2,492.31%9,480.12万 | 2,492.31%9,480.12万 | 136.74%365.7万 | 136.74%365.7万 |
-商誉 | 0.15%9.03亿 | 0.15%9.03亿 | 1.10%9.01亿 | 1.10%9.01亿 | 100.68%8.92亿 | 100.68%8.92亿 | 33.17%4.44亿 | 33.17%4.44亿 | 20.26%3.34亿 | 20.26%3.34亿 |
监管资产 | 23.25%9,750.21万 | 23.25%9,750.21万 | 24.05%7,910.98万 | 24.05%7,910.98万 | 59.81%6,377.08万 | 59.81%6,377.08万 | 23.06%3,990.36万 | 23.06%3,990.36万 | 2.42%3,242.66万 | 2.42%3,242.66万 |
负债 | ||||||||||
流动负债 | ||||||||||
短期借款与资本租赁负债 | 9.99%1,776.81万 | 9.99%1,776.81万 | 21.61%1,615.46万 | 21.61%1,615.46万 | 9.75%1,328.38万 | 9.75%1,328.38万 | 5.61%1,210.32万 | 5.61%1,210.32万 | 3.69%1,146.05万 | 3.69%1,146.05万 |
-短期借款 | ---- | ---- | ---- | ---- | ---- | ---- | --239.05万 | --239.05万 | ---- | ---- |
-短期资本租赁负债 | 9.99%1,776.81万 | 9.99%1,776.81万 | 21.61%1,615.46万 | 21.61%1,615.46万 | 36.77%1,328.38万 | 36.77%1,328.38万 | -15.25%971.27万 | -15.25%971.27万 | 3.69%1,146.05万 | 3.69%1,146.05万 |
-应付账款 | -45.76%904.78万 | -45.76%904.78万 | 17.32%1,667.98万 | 17.32%1,667.98万 | 15.70%1,421.79万 | 15.70%1,421.79万 | 18.74%1,228.86万 | 18.74%1,228.86万 | 89.92%1,034.9万 | 89.92%1,034.9万 |
-应付税费 | 7.39%11.87亿 | 7.39%11.87亿 | 6.89%11.06亿 | 6.89%11.06亿 | 1.58%10.34亿 | 1.58%10.34亿 | 69.78%10.18亿 | 69.78%10.18亿 | 22.34%6亿 | 22.34%6亿 |
-其他应付款 | -3.31%141.64万 | -3.31%141.64万 | 173.16%146.49万 | 173.16%146.49万 | 117.98%53.63万 | 117.98%53.63万 | -90.08%24.6万 | -90.08%24.6万 | 312.90%247.93万 | 312.90%247.93万 |
现行拨备 | -81.72%829.47万 | -81.72%829.47万 | 1,844.00%4,537.02万 | 1,844.00%4,537.02万 | -59.13%233.39万 | -59.13%233.39万 | 85.55%571.1万 | 85.55%571.1万 | 2,086.35%307.79万 | 2,086.35%307.79万 |
递延负债 | 36.45%4,032.02万 | 36.45%4,032.02万 | 18.17%2,954.98万 | 18.17%2,954.98万 | 92.38%2,500.6万 | 92.38%2,500.6万 | 8.52%1,299.83万 | 8.52%1,299.83万 | 29.75%1,197.82万 | 29.75%1,197.82万 |
流动负债总额 | 1.46%2.42亿 | 1.46%2.42亿 | 30.73%2.39亿 | 30.73%2.39亿 | 17.84%1.83亿 | 17.84%1.83亿 | 36.88%1.55亿 | 36.88%1.55亿 | 12.51%1.13亿 | 12.51%1.13亿 |
非流动负债 | ||||||||||
-长期借款 | -10.49%8,895.24万 | -10.49%8,895.24万 | -12.31%9,937.56万 | -12.31%9,937.56万 | 47.05%1.13亿 | 47.05%1.13亿 | 29.86%7,706.78万 | 29.86%7,706.78万 | -13.10%5,934.58万 | -13.10%5,934.58万 |
长期应计费用 | -11.13%1.15亿 | -11.13%1.15亿 | -12.15%1.29亿 | -12.15%1.29亿 | 46.57%1.47亿 | 46.57%1.47亿 | 18.85%1亿 | 18.85%1亿 | -3.60%8,446.72万 | -3.60%8,446.72万 |
衍生品负债 | 124.44%5,913.49万 | 124.44%5,913.49万 | -49.94%2,634.75万 | -49.94%2,634.75万 | -52.57%5,262.94万 | -52.57%5,262.94万 | -6.70%1.11亿 | -6.70%1.11亿 | 60.50%1.19亿 | 60.50%1.19亿 |
长期拨备 | 6.46%10.16亿 | 6.46%10.16亿 | 16.07%9.55亿 | 16.07%9.55亿 | 4.89%8.22亿 | 4.89%8.22亿 | 89.41%7.84亿 | 89.41%7.84亿 | 20.83%4.14亿 | 20.83%4.14亿 |
监管负债 | -31.69%-117.6万 | -31.69%-117.6万 | 25.58%-89.3万 | 25.58%-89.3万 | -225.14%-119.99万 | -225.14%-119.99万 | 40.20%-36.9万 | 40.20%-36.9万 | -27.86%-61.71万 | -27.86%-61.71万 |
可转换优先证券 | 5.71%9,470.6万 | 5.71%9,470.6万 | 16.51%8,958.91万 | 16.51%8,958.91万 | 7.37%7,689.1万 | 7.37%7,689.1万 | 84.12%7,161.2万 | 84.12%7,161.2万 | 7.36%3,889.34万 | 7.36%3,889.34万 |
非流动负债总额 | 6.34%14.3亿 | 6.34%14.3亿 | 10.47%13.44亿 | 10.47%13.44亿 | 3.73%12.17亿 | 3.73%12.17亿 | 64.56%11.73亿 | 64.56%11.73亿 | 20.66%7.13亿 | 20.66%7.13亿 |
所有者权益 | ||||||||||
股本 | 6.28%17.02亿 | 6.28%17.02亿 | 8.96%16.01亿 | 8.96%16.01亿 | 23.75%14.69亿 | 23.75%14.69亿 | 79.74%11.87亿 | 79.74%11.87亿 | 9.86%6.61亿 | 9.86%6.61亿 |
-普通股股本 | 6.28%17.02亿 | 6.28%17.02亿 | 8.96%16.01亿 | 8.96%16.01亿 | 23.75%14.69亿 | 23.75%14.69亿 | 79.74%11.87亿 | 79.74%11.87亿 | 9.86%6.61亿 | 9.86%6.61亿 |
不影响留存收益的损益 | 11.11%-1.77亿 | 11.11%-1.77亿 | 1.14%-1.99亿 | 1.14%-1.99亿 | 3.02%-2.02亿 | 3.02%-2.02亿 | -349.97%-2.08亿 | -349.97%-2.08亿 | 25.34%8,322.32万 | 25.34%8,322.32万 |
其他股本权益 | -40.82%412.71万 | -40.82%412.71万 | -12.77%697.37万 | -12.77%697.37万 | 54.89%799.42万 | 54.89%799.42万 | 185.22%516.11万 | 185.22%516.11万 | 27.84%180.95万 | 27.84%180.95万 |
总权益 | 16.15%27.07亿 | 16.15%27.07亿 | 7.02%23.31亿 | 7.02%23.31亿 | 17.22%21.78亿 | 17.22%21.78亿 | 65.20%18.58亿 | 65.20%18.58亿 | 21.04%11.25亿 | 21.04%11.25亿 |
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