(FY)2022/12/30 | (Q4)2022/12/30 | (FY)2021/12/30 | (Q4)2021/12/30 | (FY)2020/12/30 | (Q4)2020/12/30 | (FY)2019/12/30 | (Q4)2019/12/30 | (FY)2018/12/30 | (Q4)2018/12/30 | |
---|---|---|---|---|---|---|---|---|---|---|
资产 | ||||||||||
流动资产 | ||||||||||
现金及现金等价物和短期投资 | -53.97%82.58万 | -53.97%82.58万 | -59.75%179.43万 | -59.75%179.43万 | 57.93%445.73万 | 57.93%445.73万 | -17.72%282.24万 | -17.72%282.24万 | 28.77%343.01万 | 28.77%343.01万 |
-现金和现金等价物 | -53.97%82.58万 | -53.97%82.58万 | -59.75%179.43万 | -59.75%179.43万 | 62.41%445.73万 | 62.41%445.73万 | -19.99%274.44万 | -19.99%274.44万 | 28.77%343.01万 | 28.77%343.01万 |
-短期投资 | ---- | ---- | ---- | ---- | ---- | ---- | --7.8万 | --7.8万 | ---- | ---- |
应收款项 | 118.19%145.68万 | 118.19%145.68万 | 242.93%66.77万 | 242.93%66.77万 | -77.16%19.47万 | -77.16%19.47万 | 820.75%85.25万 | 820.75%85.25万 | 1,034.52%9.26万 | 1,034.52%9.26万 |
-应收账款 | 128.67%134.04万 | 128.67%134.04万 | 242.57%58.62万 | 242.57%58.62万 | -44.94%17.11万 | -44.94%17.11万 | 1,123.39%31.08万 | 1,123.39%31.08万 | 211.29%2.54万 | 211.29%2.54万 |
-其他应收款 | 131.66%18.88万 | 131.66%18.88万 | 245.53%8.15万 | 245.53%8.15万 | -95.65%2.36万 | -95.65%2.36万 | 706.32%54.17万 | 706.32%54.17万 | --6.72万 | --6.72万 |
-应收账款调整额 | ---7.24万 | ---7.24万 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
存货 | 205.18%428.21万 | 205.18%428.21万 | 22.16%140.32万 | 22.16%140.32万 | 612.29%114.86万 | 612.29%114.86万 | 32.84%16.13万 | 32.84%16.13万 | --12.14万 | --12.14万 |
预付费用 | ---- | ---- | 0.36%53.81万 | 0.36%53.81万 | 62.03%53.62万 | 62.03%53.62万 | 44.25%33.09万 | 44.25%33.09万 | --22.94万 | --22.94万 |
其他流动资产 | --23.48万 | --23.48万 | ---- | ---- | 262.65%32.81万 | 262.65%32.81万 | 51.57%9.05万 | 51.57%9.05万 | --5.97万 | --5.97万 |
流动资产合计 | 54.42%679.95万 | 54.42%679.95万 | -33.93%440.32万 | -33.93%440.32万 | 56.54%666.49万 | 56.54%666.49万 | 8.25%425.75万 | 8.25%425.75万 | 47.20%393.32万 | 47.20%393.32万 |
非流动资产 | ||||||||||
固定资产净额 | -13.11%24.99万 | -13.11%24.99万 | 50.84%28.76万 | 50.84%28.76万 | -49.14%19.07万 | -49.14%19.07万 | 1,071.29%37.49万 | 1,071.29%37.49万 | --3.2万 | --3.2万 |
-固定资产 | -8.16%29.75万 | -8.16%29.75万 | 55.13%32.4万 | 55.13%32.4万 | -46.83%20.88万 | -46.83%20.88万 | 913.98%39.28万 | 913.98%39.28万 | -66.91%3.87万 | -66.91%3.87万 |
-累计折旧 | -30.99%-4.76万 | -30.99%-4.76万 | -100.19%-3.64万 | -100.19%-3.64万 | -1.79%-1.82万 | -1.79%-1.82万 | -165.31%-1.78万 | -165.31%-1.78万 | 94.25%-6,726 | 94.25%-6,726 |
商誉及其他无形资产 | -72.46%1.46万 | -72.46%1.46万 | -63.92%5.29万 | -63.92%5.29万 | -89.43%14.65万 | -89.43%14.65万 | 63.86%138.55万 | 63.86%138.55万 | --84.55万 | --84.55万 |
-其他无形资产 | -72.46%1.46万 | -72.46%1.46万 | -63.92%5.29万 | -63.92%5.29万 | -89.43%14.65万 | -89.43%14.65万 | 63.86%138.55万 | 63.86%138.55万 | --84.55万 | --84.55万 |
非流动资产合计 | -22.32%26.45万 | -22.32%26.45万 | 0.98%34.05万 | 0.98%34.05万 | -80.85%33.72万 | -80.85%33.72万 | 100.61%176.04万 | 100.61%176.04万 | --87.76万 | --87.76万 |
总资产 | 48.91%706.39万 | 48.91%706.39万 | -32.25%474.36万 | -32.25%474.36万 | 16.35%700.21万 | 16.35%700.21万 | 25.09%601.79万 | 25.09%601.79万 | 80.05%481.07万 | 80.05%481.07万 |
负债 | ||||||||||
流动负债 | ||||||||||
短期借款与资本租赁负债 | 9.65%6.94万 | 9.65%6.94万 | -50.77%6.33万 | -50.77%6.33万 | -80.79%12.86万 | -80.79%12.86万 | --66.92万 | --66.92万 | ---- | ---- |
-短期借款 | ---- | ---- | ---- | ---- | ---- | ---- | --51.41万 | --51.41万 | ---- | ---- |
-短期资本租赁负债 | 9.65%6.94万 | 9.65%6.94万 | -50.77%6.33万 | -50.77%6.33万 | -17.14%12.86万 | -17.14%12.86万 | --15.52万 | --15.52万 | ---- | ---- |
应付款项 | 318.85%280.95万 | 318.85%280.95万 | -40.47%67.08万 | -40.47%67.08万 | -21.02%112.67万 | -21.02%112.67万 | 148.76%142.65万 | 148.76%142.65万 | 893.90%57.35万 | 893.90%57.35万 |
-应付账款 | 584.07%280.95万 | 584.07%280.95万 | -54.68%41.07万 | -54.68%41.07万 | 100.07%90.63万 | 100.07%90.63万 | 159.58%45.3万 | 159.58%45.3万 | 364.16%17.45万 | 364.16%17.45万 |
-其他应付款 | ---- | ---- | 18.01%26.01万 | 18.01%26.01万 | -77.36%22.04万 | -77.36%22.04万 | 144.02%97.35万 | 144.02%97.35万 | 1,884.86%39.89万 | 1,884.86%39.89万 |
养老金及其他退休福利计划 | 81.28%7.06万 | 81.28%7.06万 | 11.69%3.89万 | 11.69%3.89万 | 3,114.01%3.49万 | 3,114.01%3.49万 | -98.06%1,085 | -98.06%1,085 | --5.59万 | --5.59万 |
递延负债 | 13.64%30.44万 | 13.64%30.44万 | -17.73%26.79万 | -17.73%26.79万 | 20.37%32.56万 | 20.37%32.56万 | --27.05万 | --27.05万 | ---- | ---- |
流动负债总额 | 212.61%325.39万 | 212.61%325.39万 | -35.58%104.09万 | -35.58%104.09万 | -31.75%161.57万 | -31.75%161.57万 | 276.17%236.73万 | 276.17%236.73万 | 990.73%62.93万 | 990.73%62.93万 |
非流动负债 | ||||||||||
长期借款与租赁负债 | -24.82%17.94万 | -24.82%17.94万 | 568.28%23.87万 | 568.28%23.87万 | -80.23%3.57万 | -80.23%3.57万 | --18.06万 | --18.06万 | ---- | ---- |
-长期租赁负债 | -24.82%17.94万 | -24.82%17.94万 | 568.28%23.87万 | 568.28%23.87万 | -80.23%3.57万 | -80.23%3.57万 | --18.06万 | --18.06万 | ---- | ---- |
非流动负债总额 | -24.82%17.94万 | -24.82%17.94万 | 568.28%23.87万 | 568.28%23.87万 | -80.23%3.57万 | -80.23%3.57万 | --18.06万 | --18.06万 | --0 | --0 |
负债总额 | 168.33%343.33万 | 168.33%343.33万 | -22.52%127.95万 | -22.52%127.95万 | -35.19%165.14万 | -35.19%165.14万 | 304.87%254.79万 | 304.87%254.79万 | 990.73%62.93万 | 990.73%62.93万 |
所有者权益 | ||||||||||
股本 | 9.55%1,775.32万 | 9.55%1,775.32万 | 1.38%1,620.51万 | 1.38%1,620.51万 | 34.13%1,598.51万 | 34.13%1,598.51万 | 43.65%1,191.73万 | 43.65%1,191.73万 | -77.07%829.6万 | -77.07%829.6万 |
-普通股股本 | 9.55%1,775.32万 | 9.55%1,775.32万 | 1.38%1,620.51万 | 1.38%1,620.51万 | 34.13%1,598.51万 | 34.13%1,598.51万 | 43.65%1,191.73万 | 43.65%1,191.73万 | -77.07%829.6万 | -77.07%829.6万 |
留存收益 | -11.05%-1,533.48万 | -11.05%-1,533.48万 | -17.59%-1,380.94万 | -17.59%-1,380.94万 | -25.24%-1,174.38万 | -25.24%-1,174.38万 | -88.88%-937.73万 | -88.88%-937.73万 | 83.94%-496.48万 | 83.94%-496.48万 |
不影响留存收益的损益 | 13.45%121.21万 | 13.45%121.21万 | -3.69%106.84万 | -3.69%106.84万 | 19.27%110.93万 | 19.27%110.93万 | 9.39%93.01万 | 9.39%93.01万 | 132.11%85.03万 | 132.11%85.03万 |
股东权益总额 | 4.81%363.06万 | 4.81%363.06万 | -35.26%346.41万 | -35.26%346.41万 | 54.20%535.06万 | 54.20%535.06万 | -17.01%347万 | -17.01%347万 | 59.95%418.14万 | 59.95%418.14万 |
总权益 | 4.81%363.06万 | 4.81%363.06万 | -35.26%346.41万 | -35.26%346.41万 | 54.20%535.06万 | 54.20%535.06万 | -17.01%347万 | -17.01%347万 | 59.95%418.14万 | 59.95%418.14万 |
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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