(Q2)2024/06/30 | (Q1)2024/03/31 | (FY)2023/12/31 | (Q4)2023/12/31 | (Q3)2023/09/30 | (Q2)2023/06/30 | (Q1)2023/03/31 | (FY)2022/12/31 | (Q4)2022/12/31 | (Q3)2022/09/30 | |
---|---|---|---|---|---|---|---|---|---|---|
资产 | ||||||||||
流动资产 | ||||||||||
现金及现金等价物和短期投资 | 13.57%20万 | -91.23%10.64万 | -13.41%13.95万 | -13.41%13.95万 | -59.42%56.86万 | -94.12%17.61万 | -56.89%121.3万 | -97.29%16.11万 | -97.29%16.11万 | -63.39%140.11万 |
-现金和现金等价物 | 25.18%12.43万 | -97.31%3.05万 | -29.45%6.02万 | -29.45%6.02万 | -62.22%50.01万 | -96.59%9.93万 | -58.24%113.5万 | -98.54%8.53万 | -98.54%8.53万 | -64.38%132.35万 |
-短期投资 | -1.44%7.57万 | -2.69%7.59万 | 4.64%7.93万 | 4.64%7.93万 | -11.68%6.85万 | -7.21%7.68万 | -18.36%7.8万 | -29.91%7.58万 | -29.91%7.58万 | -30.31%7.76万 |
应收款项 | 9.34%127.03万 | -28.71%89.99万 | -44.54%75.96万 | -44.54%75.96万 | 111.98%116.09万 | -71.97%116.18万 | -59.82%126.23万 | 221.41%136.95万 | 221.41%136.95万 | -47.05%54.77万 |
-应收账款 | -87.62%1,530 | -98.77%1,530 | -98.44%1,530 | -98.44%1,530 | -96.79%1,530 | -95.73%1.24万 | -55.86%12.41万 | -64.97%9.83万 | -64.97%9.83万 | -85.61%4.77万 |
-应收关联方款项 | 10.38%126.88万 | -21.07%89.84万 | -40.37%75.8万 | -40.37%75.8万 | 131.88%115.94万 | -70.19%114.95万 | -60.21%113.82万 | 774.26%127.12万 | 774.26%127.12万 | -28.87%50万 |
存货 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -65.86%2.05万 |
受限制现金 | -3.80%61.85万 | -4.32%62.85万 | -49.74%65.66万 | -49.74%65.66万 | -3.98%62.09万 | -6.64%64.29万 | -8.08%65.69万 | 77.35%130.65万 | 77.35%130.65万 | -11.93%64.66万 |
其他流动资产 | -31.90%10.08万 | -54.12%15.96万 | -32.74%10.11万 | -32.74%10.11万 | -50.16%14.31万 | -88.63%14.8万 | -44.90%34.79万 | -71.57%15.02万 | -71.57%15.02万 | -64.80%28.72万 |
流动资产合计 | 2.85%218.96万 | -48.44%179.45万 | -44.54%165.67万 | -44.54%165.67万 | -14.11%249.35万 | -78.25%212.88万 | -56.43%348.01万 | -60.97%298.72万 | -60.97%298.72万 | -59.17%290.31万 |
非流动资产 | ||||||||||
固定资产净额 | 445.79%853.61万 | 418.29%865.72万 | 405.93%877.86万 | 405.93%877.86万 | 388.97%885.38万 | -17.33%156.4万 | -15.70%167.03万 | -13.15%173.51万 | -13.15%173.51万 | -13.03%181.07万 |
-固定资产 | 143.27%1,186.69万 | 140.35%1,197.96万 | 140.37%1,211.36万 | 140.37%1,211.36万 | 138.57%1,216.43万 | -6.09%487.8万 | -5.79%498.42万 | -5.13%503.96万 | -5.13%503.96万 | -5.44%509.9万 |
-累计折旧 | -0.51%-333.07万 | -0.26%-332.24万 | -0.93%-333.5万 | -0.93%-333.5万 | -0.68%-331.06万 | -0.36%-331.4万 | -0.14%-331.39万 | 0.30%-330.45万 | 0.30%-330.45万 | 0.66%-328.83万 |
商誉及其他无形资产 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 |
-商誉 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 |
投资和预付款 | 185.86%237.75万 | 191.17%247.45万 | 200.18%252.77万 | 200.18%252.77万 | 228.05%267.74万 | -4.46%83.17万 | -6.02%84.98万 | -9.72%84.21万 | -9.72%84.21万 | -18.91%81.62万 |
长期应收款 | -90.56%12.14万 | -90.10%12.34万 | -86.88%11.35万 | -86.88%11.35万 | -21.83%93.04万 | --128.58万 | --124.59万 | 5.78%86.55万 | 5.78%86.55万 | --119.03万 |
关联方资产 | 10.38%126.88万 | -21.07%89.84万 | -40.37%75.8万 | -40.37%75.8万 | 131.88%115.94万 | -70.19%114.95万 | -60.21%113.82万 | 774.26%127.12万 | 774.26%127.12万 | -28.87%50万 |
非流动递延资产 | --0 | --0 | --0 | --0 | -96.62%3.43万 | -96.72%3.55万 | -88.60%11.82万 | -88.07%11.71万 | -88.07%11.71万 | -49.18%101.32万 |
长期预付费用 | -59.45%140.91万 | -58.14%141.09万 | -53.30%141.61万 | -53.30%141.61万 | -41.69%160.22万 | 2,215.24%347.46万 | 2,055.14%337.06万 | 130.85%303.26万 | 130.85%303.26万 | 1,602.11%274.75万 |
非流动资产合计 | 73.04%1,244.41万 | 74.59%1,266.6万 | 94.71%1,283.59万 | 94.71%1,283.59万 | 86.04%1,409.8万 | 80.10%719.16万 | 77.87%725.49万 | 9.07%659.23万 | 9.07%659.23万 | 44.51%757.78万 |
总资产 | 57.01%1,463.37万 | 34.70%1,446.04万 | 51.29%1,449.26万 | 51.29%1,449.26万 | 58.31%1,659.15万 | -32.38%932.04万 | -11.04%1,073.49万 | -30.07%957.96万 | -30.07%957.96万 | -15.17%1,048.06万 |
负债 | ||||||||||
流动负债 | ||||||||||
应付款项 | -66.66%32.63万 | -59.45%41.01万 | -20.53%28.61万 | -20.53%28.61万 | 6.28%48.02万 | 111.07%97.87万 | 281.62%101.13万 | -8.50%36万 | -8.50%36万 | 251.01%45.18万 |
-应付税费 | --0 | --10.81万 | --11.29万 | --11.29万 | ---- | ---- | ---- | --0 | --0 | ---- |
-应付关联方款项 | -66.66%32.63万 | -70.14%30.2万 | -51.91%17.31万 | -51.91%17.31万 | 6.28%48.02万 | 112.03%97.87万 | 281.62%101.13万 | -8.50%36万 | -8.50%36万 | 302.61%45.18万 |
应计费用 | -40.21%205.77万 | -25.38%206.19万 | 10.74%207.36万 | 10.74%207.36万 | 196.15%355.82万 | 175.99%344.14万 | 121.49%276.33万 | 43.96%187.26万 | 43.96%187.26万 | 5.98%120.15万 |
短期借款与租赁负债 | 71.38%218.21万 | 62.35%209.32万 | -17.35%187.05万 | -17.35%187.05万 | -44.16%124.52万 | -33.83%127.33万 | -39.75%128.93万 | 13.89%226.31万 | 13.89%226.31万 | 2.98%223万 |
-短期借款 | 104.35%180.39万 | 88.84%170.33万 | -22.44%146.87万 | -22.44%146.87万 | -54.32%85.25万 | -43.92%88.28万 | -49.64%90.2万 | 15.47%189.38万 | 15.47%189.38万 | 2.36%186.63万 |
-短期租赁负债 | -3.15%37.82万 | 0.65%38.99万 | 8.80%40.18万 | 8.80%40.18万 | 7.95%39.27万 | 11.48%39.05万 | 10.98%38.73万 | 6.40%36.93万 | 6.40%36.93万 | 6.32%36.38万 |
递延负债 | -0.00%7.95万 | 623.71%7.95万 | 623.71%7.95万 | 623.71%7.95万 | 623.72%7.95万 | 623.72%7.95万 | 0.00%1.1万 | 0.00%1.1万 | 0.00%1.1万 | 0.00%1.1万 |
其他流动负债 | --65.97万 | --92.79万 | -6.38%43.83万 | -6.38%43.83万 | ---- | ---- | ---- | --46.82万 | --46.82万 | ---- |
流动负债总额 | 13.44%654.89万 | 30.71%663.36万 | 7.01%593.25万 | 7.01%593.25万 | 37.72%536.31万 | 58.34%577.29万 | 38.52%507.49万 | 50.14%554.36万 | 50.14%554.36万 | 13.24%389.43万 |
非流动负债 | ||||||||||
长期借款与租赁负债 | -94.15%22.88万 | -91.88%31.82万 | -48.54%40.75万 | -48.54%40.75万 | 145.54%216.12万 | 313.96%390.89万 | 279.03%391.8万 | -29.60%79.18万 | -29.60%79.18万 | -33.13%88.02万 |
-长期借款 | ---- | ---- | ---- | ---- | --165.4万 | --329.97万 | --320.66万 | ---- | ---- | ---- |
-长期租赁负债 | -62.44%22.88万 | -55.28%31.82万 | -48.54%40.75万 | -48.54%40.75万 | -42.38%50.72万 | -35.49%60.91万 | -31.18%71.14万 | -29.60%79.18万 | -29.60%79.18万 | -27.39%88.02万 |
其他非流动负债 | 387.32%2.77万 | 189.84%2.17万 | 171.71%2.17万 | 171.71%2.17万 | -55.90%5,680 | -52.59%5,680 | -6.27%7,480 | -24.58%7,979 | -24.58%7,979 | 30.36%1.29万 |
非流动负债总额 | -93.45%25.65万 | -91.34%33.98万 | -46.34%42.91万 | -46.34%42.91万 | 142.63%216.68万 | 309.37%391.46万 | 276.85%392.55万 | -29.56%79.98万 | -29.56%79.98万 | -32.66%89.31万 |
总负债 | -29.75%680.54万 | -22.52%697.34万 | 0.29%636.16万 | 0.29%636.16万 | 57.29%752.99万 | 110.50%968.74万 | 91.28%900.04万 | 31.40%634.34万 | 31.40%634.34万 | 0.47%478.74万 |
所有者权益 | ||||||||||
股本 | 264.33%1.21万 | -67.66%1.07万 | 141.63%7,940 | 141.63%7,940 | -85.22%4,823 | -89.76%3,308 | 9.15%3.31万 | -88.64%3,286 | -88.64%3,286 | 16.81%3.26万 |
-普通股股本 | 264.33%1.21万 | -67.66%1.07万 | 141.63%7,940 | 141.63%7,940 | -85.22%4,823 | -89.76%3,308 | 9.15%3.31万 | -88.64%3,286 | -88.64%3,286 | 16.81%3.26万 |
-优先股股本 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
留存收益 | -19.28%-7,036.57万 | -22.26%-6,935.31万 | -19.15%-6,542.01万 | -19.15%-6,542.01万 | -24.52%-6,230.92万 | -27.31%-5,899.16万 | -27.55%-5,672.81万 | -42.68%-5,490.44万 | -42.68%-5,490.44万 | -63.80%-5,004.05万 |
资本公积 | 27.92%8,708.26万 | 26.42%8,602.92万 | 21.64%8,263.7万 | 21.64%8,263.7万 | 21.31%8,066.23万 | 2.77%6,807.78万 | 8.74%6,804.8万 | 16.90%6,793.71万 | 16.90%6,793.71万 | 33.75%6,649.36万 |
减:库存股 | -2.17%890.24万 | -2.17%890.24万 | -2.18%890.17万 | -2.18%890.17万 | 0.00%910万 | 0.00%910万 | 0.00%910万 | 0.00%910万 | 0.00%910万 | 0.00%910万 |
不影响留存收益的损益 | -18.40%43.59万 | -57.29%23.33万 | -0.14%51.64万 | -0.14%51.64万 | 359.07%51.91万 | 76.25%53.42万 | 28.13%54.62万 | -4.18%51.71万 | -4.18%51.71万 | -88.48%11.31万 |
其他权益 | 103.44%3.1万 | 80.00%-22.57万 | 66.67%-45.15万 | 66.67%-45.15万 | 57.14%-67.72万 | 50.00%-90.3万 | 44.44%-112.87万 | 40.00%-135.44万 | 40.00%-135.44万 | 36.36%-158.02万 |
股东权益总额 | 2,286.43%829.35万 | 366.46%779.21万 | 170.71%838.81万 | 170.71%838.81万 | 53.75%909.99万 | -104.06%-37.93万 | -77.51%167.05万 | -64.96%309.86万 | -64.96%309.86万 | -31.13%591.87万 |
非控制性权益 | -3,880.29%-46.52万 | -576.61%-30.51万 | -286.89%-25.71万 | -286.89%-25.71万 | 83.03%-3.83万 | 108.00%1.23万 | 197.76%6.4万 | 415.40%13.76万 | 415.40%13.76万 | 77.55%-22.55万 |
总权益 | 2,232.99%782.83万 | 331.65%748.7万 | 151.26%813.1万 | 151.26%813.1万 | 59.17%906.16万 | -104.00%-36.7万 | -76.44%173.45万 | -63.52%323.61万 | -63.52%323.61万 | -24.99%569.32万 |
货币单位 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 |
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 | -- | -- | -- | -- | 无保留意见 | -- | -- |
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