美股市场个股详情

NFG National Fuel Gas

添加自选
  • 63.990
  • -0.240-0.37%
收盘价 11/25 16:00 (美东)
  • 63.990
  • 0.0000.00%
盘前 08:02 (美东)
58.12亿总市值76.18市盈率TTM

National Fuel Gas关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2024/09/30
(Q4)2024/09/30
(Q3)2024/06/30
(Q2)2024/03/31
(Q1)2023/12/31
(FY)2023/09/30
(Q4)2023/09/30
(Q3)2023/06/30
(Q2)2023/03/31
(Q1)2022/12/31
资产
流动资产
现金及现金等价物和短期投资
-31.07%3,822.2万
-31.07%3,822.2万
52.42%8,141.4万
-29.03%5,076.9万
-82.95%4,168.5万
20.41%5,544.7万
20.41%5,544.7万
-87.65%5,341.5万
36.07%7,153.3万
209.21%2.44亿
-现金和现金等价物
-31.07%3,822.2万
-31.07%3,822.2万
52.42%8,141.4万
-29.03%5,076.9万
-82.95%4,168.5万
20.41%5,544.7万
20.41%5,544.7万
-87.65%5,341.5万
36.07%7,153.3万
209.21%2.44亿
应收款项
-19.76%1.78亿
-19.76%1.78亿
-6.07%1.96亿
-22.96%2.63亿
-35.10%2.82亿
-46.08%2.22亿
-46.08%2.22亿
-51.82%2.08亿
-18.09%3.41亿
27.68%4.34亿
-应收账款
-20.78%1.27亿
-20.78%1.27亿
-14.47%1.57亿
-29.95%1.81亿
-42.94%1.9亿
-55.59%1.61亿
-55.59%1.61亿
-54.04%1.83亿
-24.00%2.58亿
25.79%3.32亿
-应收税费
-20.97%3,550.2万
-20.97%3,550.2万
108.06%2,376万
53.26%3,558.5万
200.64%4,378.5万
121.79%4,492.1万
121.79%4,492.1万
-22.64%1,142万
-15.84%2,321.8万
-22.87%1,456.4万
-其他应收款
-6.62%1,552.1万
-6.62%1,552.1万
11.55%1,503.2万
-22.40%4,657.1万
-44.59%4,826.5万
-44.73%1,662.2万
-44.73%1,662.2万
-27.26%1,347.6万
21.12%6,001.8万
53.27%8,711万
存货
1.51%8,272.5万
1.51%8,272.5万
-26.82%6,251.7万
-28.99%5,582.3万
-48.96%7,458.3万
-52.71%8,149.8万
-52.71%8,149.8万
1.25%8,543.3万
33.37%7,860.9万
42.25%1.46亿
预付费用
-2.65%1,846.3万
-2.65%1,846.3万
-19.73%2,397.2万
-31.37%1,369.3万
-29.26%1,799.3万
6.81%1,896.6万
6.81%1,896.6万
81.89%2,986.4万
94.82%1,995.3万
95.71%2,543.6万
受限制现金
----
----
----
----
----
----
----
--0
--0
--160万
其他流动资产
5.20%3,826.4万
5.20%3,826.4万
16.13%3,519.1万
11.80%3,584.5万
78.16%3,762.2万
70.30%3,637.3万
70.30%3,637.3万
0.41%3,030.2万
5.34%3,206.2万
-34.89%2,111.7万
流动资产合计
-14.12%3.56亿
-14.12%3.56亿
-2.10%3.99亿
-22.89%4.19亿
-48.03%4.54亿
-45.55%4.14亿
-45.55%4.14亿
-64.59%4.07亿
-19.04%5.43亿
53.89%8.73亿
非流动资产
固定资产净额
0.54%73.39亿
0.54%73.39亿
4.66%74.11亿
10.15%75.08亿
10.79%74.22亿
11.17%73亿
11.17%73亿
10.89%70.81亿
3.67%68.16亿
3.21%66.99亿
-固定资产
6.52%145.25亿
6.52%145.25亿
6.90%142.46亿
8.31%140.56亿
8.48%138.57亿
8.63%136.35亿
8.63%136.35亿
8.35%133.27亿
-3.56%129.78亿
-3.91%127.73亿
-累计折旧
-13.42%-71.86亿
-13.42%-71.86亿
-9.43%-68.35亿
-6.27%-65.49亿
-5.93%-64.35亿
-5.85%-63.35亿
-5.85%-63.35亿
-5.61%-62.46亿
10.47%-61.62亿
10.70%-60.75亿
商誉及其他无形资产
0.00%547.6万
0.00%547.6万
0.00%547.6万
0.00%547.6万
0.00%547.6万
0.00%547.6万
0.00%547.6万
0.00%547.6万
0.00%547.6万
0.00%547.6万
-商誉
0.00%547.6万
0.00%547.6万
0.00%547.6万
0.00%547.6万
0.00%547.6万
0.00%547.6万
0.00%547.6万
0.00%547.6万
0.00%547.6万
0.00%547.6万
投资和预付款
10.45%8,170.5万
10.45%8,170.5万
6.38%7,954.7万
5.53%7,874.4万
5.16%7,663.3万
-22.15%7,397.6万
-22.15%7,397.6万
-22.56%7,477.7万
-27.67%7,461.8万
-31.57%7,287万
长期应收款
15.99%8,008.4万
15.99%8,008.4万
-22.88%8,082万
-25.87%7,741.6万
-31.81%7,328.3万
-35.01%6,904.5万
-35.01%6,904.5万
-16.55%1.05亿
-15.59%1.04亿
-13.64%1.07亿
金融资产
74.11%8,790.5万
74.11%8,790.5万
116.76%1亿
362.69%1.96亿
1,417.99%1.85亿
450.27%5,048.7万
450.27%5,048.7万
268.15%4,628万
4,242,300.00%4,242.4万
--1,217万
非流动递延资产
-16.05%7,526.6万
-16.05%7,526.6万
11.94%9,574.7万
2.48%9,542.2万
4.12%8,717.6万
3.82%8,965.6万
3.82%8,965.6万
-1.51%8,553.7万
1.90%9,311.5万
4.47%8,372.6万
确认的养老福利金
-10.02%1.8亿
-10.02%1.8亿
-1.64%2.31亿
-0.83%2.23亿
0.67%2.08亿
1.88%2亿
1.88%2亿
24.90%2.34亿
26.16%2.25亿
30.77%2.07亿
其他非流动资产
47.97%1.14亿
47.97%1.14亿
17.57%7,894.1万
17.26%7,433.2万
2.32%7,663.7万
10.39%7,702.9万
10.39%7,702.9万
9.07%6,714.3万
9.88%6,339.3万
31.00%7,490.2万
非流动资产合计
1.25%79.64亿
1.25%79.64亿
4.97%80.82亿
11.24%82.58亿
12.00%81.34亿
10.24%78.66亿
10.24%78.66亿
10.60%76.99亿
4.06%74.24亿
3.41%72.62亿
总资产
0.48%83.2亿
0.48%83.2亿
4.62%84.81亿
8.91%86.77亿
5.56%85.87亿
4.86%82.8亿
4.86%82.8亿
-0.07%81.07亿
2.08%79.67亿
7.18%81.35亿
负债
流动负债
应付款项
-0.78%2.55亿
-0.78%2.55亿
32.79%2.12亿
34.79%2.24亿
-0.53%2.11亿
15.19%2.57亿
15.19%2.57亿
-15.63%1.6亿
-8.30%1.66亿
23.59%2.12亿
-应付账款
8.46%1.65亿
8.46%1.65亿
10.23%1.01亿
-21.34%9,399.6万
-37.41%1.05亿
-14.95%1.52亿
-14.95%1.52亿
-36.82%9,180.8万
-11.99%1.19亿
29.59%1.68亿
-应付税费
----
----
--102.7万
--1,174.7万
----
----
----
----
----
----
-应付股利
3.13%4,687.2万
3.13%4,687.2万
3.85%4,719.5万
4.50%4,556.3万
4.59%4,559.7万
4.60%4,545.1万
4.60%4,545.1万
4.60%4,544.4万
4.79%4,360.2万
4.79%4,359.8万
-其他应付款
-27.62%4,272万
-27.62%4,272万
179.44%6,256.9万
2,456.40%7,234.6万
38,881.82%6,003.2万
13,985.68%5,901.9万
13,985.68%5,901.9万
7,568.15%2,239.1万
-17.30%283万
327.78%15.4万
应计费用
17.06%7,459.1万
17.06%7,459.1万
9.14%9,954.6万
17.52%6,291.4万
2.80%1.18亿
-22.38%6,372.2万
-22.38%6,372.2万
-13.02%9,121.2万
-8.63%5,353.5万
18.47%1.15亿
现行拨备
----
----
-92.30%665.7万
-81.15%2,013.9万
-92.95%124.7万
----
----
297.29%8,650.9万
144.18%1.07亿
549.60%1,769.5万
短期借款与租赁负债
105.46%5.91亿
105.46%5.91亿
-63.90%5,000万
-31.98%2.79亿
-53.78%3亿
-52.79%2.88亿
-52.79%2.88亿
-85.41%1.39亿
-46.54%4.1亿
290.96%6.49亿
-短期借款
105.46%5.91亿
105.46%5.91亿
-63.90%5,000万
-31.98%2.79亿
-53.78%3亿
-52.79%2.88亿
-52.79%2.88亿
-85.41%1.39亿
-46.54%4.1亿
290.96%6.49亿
递延负债
11.80%5,563.8万
11.80%5,563.8万
7.79%3,667.4万
-11.00%3,060万
-10.33%5,392.9万
-1.24%4,976.7万
-1.24%4,976.7万
35.02%3,402.4万
65.57%3,438.2万
72.36%6,014.3万
其他流动负债
-21.71%1.06亿
-21.71%1.06亿
-28.64%9,871.8万
-23.60%9,866.7万
-76.25%1.1亿
-85.89%1.36亿
-85.89%1.36亿
-83.93%1.38亿
-85.96%1.29亿
13.52%4.64亿
流动负债总额
35.91%10.96亿
35.91%10.96亿
-22.39%5.17亿
-20.64%7.28亿
-47.41%8.07亿
-58.49%8.06亿
-58.49%8.06亿
-69.27%6.66亿
-54.28%9.17亿
71.30%15.35亿
非流动负债
长期拨备
22.67%2.03亿
22.67%2.03亿
-1.72%1.58亿
0.07%1.61亿
2.21%1.65亿
2.44%1.65亿
2.44%1.65亿
5.47%1.6亿
-22.28%1.61亿
-22.54%1.61亿
长期借款与租赁负债
-8.23%21.88亿
-8.23%21.88亿
10.63%26.37亿
14.45%23.87亿
14.45%23.86亿
14.45%23.84亿
14.45%23.84亿
14.46%23.84亿
0.18%20.85亿
-20.73%20.84亿
-长期借款
-8.23%21.88亿
-8.23%21.88亿
10.63%26.37亿
14.45%23.87亿
14.45%23.86亿
14.45%23.84亿
14.45%23.84亿
14.46%23.84亿
0.18%20.85亿
-20.73%20.84亿
递延负债
-1.16%11.11亿
-1.16%11.11亿
13.73%11.72亿
19.93%12亿
32.38%11.65亿
61.00%11.24亿
61.00%11.24亿
34.32%10.31亿
41.00%10.01亿
10.01%8.8亿
员工福利
20.45%351.1万
20.45%351.1万
-6.16%274.1万
-5.84%280.3万
-4.64%285.9万
-4.89%291.5万
-4.89%291.5万
-38.27%292.1万
-37.41%297.7万
-37.21%299.8万
其他非流动负债
-0.17%5.64亿
-0.17%5.64亿
-0.32%5.79亿
2.04%5.79亿
-0.65%5.71亿
-0.09%5.65亿
-0.09%5.65亿
-1.39%5.8亿
-2.83%5.67亿
-2.73%5.74亿
非流动负债总额
-2.99%43.76亿
-2.99%43.76亿
7.68%48.51亿
11.37%46.46亿
13.37%46.06亿
16.44%45.11亿
16.44%45.11亿
14.29%45.05亿
6.00%41.71亿
-11.35%40.63亿
总负债
2.91%54.71亿
2.91%54.71亿
3.81%53.68亿
5.60%53.74亿
-3.30%54.13亿
-8.59%53.17亿
-8.59%53.17亿
-15.35%51.71亿
-14.35%50.89亿
2.16%55.98亿
所有者权益
股本
-0.89%9,100.6万
-0.89%9,100.6万
-0.21%9,161.2万
0.26%9,203.2万
0.36%9,211.6万
0.37%9,181.9万
0.37%9,181.9万
0.37%9,180.4万
0.38%9,179.5万
0.38%9,178.7万
-普通股股本
-0.89%9,100.6万
-0.89%9,100.6万
-0.21%9,161.2万
0.26%9,203.2万
0.36%9,211.6万
0.37%9,181.9万
0.37%9,181.9万
0.37%9,180.4万
0.38%9,179.5万
0.38%9,178.7万
留存收益
-8.41%17.27亿
-8.41%17.27亿
6.07%19.7亿
15.45%20.9亿
15.18%19.73亿
18.83%18.86亿
18.83%18.86亿
26.16%18.58亿
28.61%18.1亿
33.64%17.13亿
资本公积
0.45%10.45亿
0.45%10.45亿
1.03%10.46亿
1.41%10.46亿
1.52%10.41亿
1.33%10.41亿
1.33%10.41亿
1.26%10.36亿
1.23%10.31亿
1.17%10.26亿
不影响留存收益的损益
71.89%-1,547.6万
71.89%-1,547.6万
110.23%505万
237.32%7,534万
122.94%6,738.1万
91.20%-5,506万
91.20%-5,506万
91.53%-4,938.4万
91.61%-5,486.4万
-6.04%-2.94亿
股东权益总额
-3.88%28.48亿
-3.88%28.48亿
6.05%31.14亿
14.75%33.03亿
25.12%31.74亿
42.48%29.63亿
42.48%29.63亿
46.51%29.36亿
54.47%28.79亿
20.22%25.37亿
总权益
-3.88%28.48亿
-3.88%28.48亿
6.05%31.14亿
14.75%33.03亿
25.12%31.74亿
42.48%29.63亿
42.48%29.63亿
46.51%29.36亿
54.47%28.79亿
20.22%25.37亿
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
无保留意见
--
--
--
--
无保留意见
--
--
--
--
(FY)2024/09/30(Q4)2024/09/30(Q3)2024/06/30(Q2)2024/03/31(Q1)2023/12/31(FY)2023/09/30(Q4)2023/09/30(Q3)2023/06/30(Q2)2023/03/31(Q1)2022/12/31
资产
流动资产
现金及现金等价物和短期投资 -31.07%3,822.2万-31.07%3,822.2万52.42%8,141.4万-29.03%5,076.9万-82.95%4,168.5万20.41%5,544.7万20.41%5,544.7万-87.65%5,341.5万36.07%7,153.3万209.21%2.44亿
-现金和现金等价物 -31.07%3,822.2万-31.07%3,822.2万52.42%8,141.4万-29.03%5,076.9万-82.95%4,168.5万20.41%5,544.7万20.41%5,544.7万-87.65%5,341.5万36.07%7,153.3万209.21%2.44亿
应收款项 -19.76%1.78亿-19.76%1.78亿-6.07%1.96亿-22.96%2.63亿-35.10%2.82亿-46.08%2.22亿-46.08%2.22亿-51.82%2.08亿-18.09%3.41亿27.68%4.34亿
-应收账款 -20.78%1.27亿-20.78%1.27亿-14.47%1.57亿-29.95%1.81亿-42.94%1.9亿-55.59%1.61亿-55.59%1.61亿-54.04%1.83亿-24.00%2.58亿25.79%3.32亿
-应收税费 -20.97%3,550.2万-20.97%3,550.2万108.06%2,376万53.26%3,558.5万200.64%4,378.5万121.79%4,492.1万121.79%4,492.1万-22.64%1,142万-15.84%2,321.8万-22.87%1,456.4万
-其他应收款 -6.62%1,552.1万-6.62%1,552.1万11.55%1,503.2万-22.40%4,657.1万-44.59%4,826.5万-44.73%1,662.2万-44.73%1,662.2万-27.26%1,347.6万21.12%6,001.8万53.27%8,711万
存货 1.51%8,272.5万1.51%8,272.5万-26.82%6,251.7万-28.99%5,582.3万-48.96%7,458.3万-52.71%8,149.8万-52.71%8,149.8万1.25%8,543.3万33.37%7,860.9万42.25%1.46亿
预付费用 -2.65%1,846.3万-2.65%1,846.3万-19.73%2,397.2万-31.37%1,369.3万-29.26%1,799.3万6.81%1,896.6万6.81%1,896.6万81.89%2,986.4万94.82%1,995.3万95.71%2,543.6万
受限制现金 ------------------------------0--0--160万
其他流动资产 5.20%3,826.4万5.20%3,826.4万16.13%3,519.1万11.80%3,584.5万78.16%3,762.2万70.30%3,637.3万70.30%3,637.3万0.41%3,030.2万5.34%3,206.2万-34.89%2,111.7万
流动资产合计 -14.12%3.56亿-14.12%3.56亿-2.10%3.99亿-22.89%4.19亿-48.03%4.54亿-45.55%4.14亿-45.55%4.14亿-64.59%4.07亿-19.04%5.43亿53.89%8.73亿
非流动资产
固定资产净额 0.54%73.39亿0.54%73.39亿4.66%74.11亿10.15%75.08亿10.79%74.22亿11.17%73亿11.17%73亿10.89%70.81亿3.67%68.16亿3.21%66.99亿
-固定资产 6.52%145.25亿6.52%145.25亿6.90%142.46亿8.31%140.56亿8.48%138.57亿8.63%136.35亿8.63%136.35亿8.35%133.27亿-3.56%129.78亿-3.91%127.73亿
-累计折旧 -13.42%-71.86亿-13.42%-71.86亿-9.43%-68.35亿-6.27%-65.49亿-5.93%-64.35亿-5.85%-63.35亿-5.85%-63.35亿-5.61%-62.46亿10.47%-61.62亿10.70%-60.75亿
商誉及其他无形资产 0.00%547.6万0.00%547.6万0.00%547.6万0.00%547.6万0.00%547.6万0.00%547.6万0.00%547.6万0.00%547.6万0.00%547.6万0.00%547.6万
-商誉 0.00%547.6万0.00%547.6万0.00%547.6万0.00%547.6万0.00%547.6万0.00%547.6万0.00%547.6万0.00%547.6万0.00%547.6万0.00%547.6万
投资和预付款 10.45%8,170.5万10.45%8,170.5万6.38%7,954.7万5.53%7,874.4万5.16%7,663.3万-22.15%7,397.6万-22.15%7,397.6万-22.56%7,477.7万-27.67%7,461.8万-31.57%7,287万
长期应收款 15.99%8,008.4万15.99%8,008.4万-22.88%8,082万-25.87%7,741.6万-31.81%7,328.3万-35.01%6,904.5万-35.01%6,904.5万-16.55%1.05亿-15.59%1.04亿-13.64%1.07亿
金融资产 74.11%8,790.5万74.11%8,790.5万116.76%1亿362.69%1.96亿1,417.99%1.85亿450.27%5,048.7万450.27%5,048.7万268.15%4,628万4,242,300.00%4,242.4万--1,217万
非流动递延资产 -16.05%7,526.6万-16.05%7,526.6万11.94%9,574.7万2.48%9,542.2万4.12%8,717.6万3.82%8,965.6万3.82%8,965.6万-1.51%8,553.7万1.90%9,311.5万4.47%8,372.6万
确认的养老福利金 -10.02%1.8亿-10.02%1.8亿-1.64%2.31亿-0.83%2.23亿0.67%2.08亿1.88%2亿1.88%2亿24.90%2.34亿26.16%2.25亿30.77%2.07亿
其他非流动资产 47.97%1.14亿47.97%1.14亿17.57%7,894.1万17.26%7,433.2万2.32%7,663.7万10.39%7,702.9万10.39%7,702.9万9.07%6,714.3万9.88%6,339.3万31.00%7,490.2万
非流动资产合计 1.25%79.64亿1.25%79.64亿4.97%80.82亿11.24%82.58亿12.00%81.34亿10.24%78.66亿10.24%78.66亿10.60%76.99亿4.06%74.24亿3.41%72.62亿
总资产 0.48%83.2亿0.48%83.2亿4.62%84.81亿8.91%86.77亿5.56%85.87亿4.86%82.8亿4.86%82.8亿-0.07%81.07亿2.08%79.67亿7.18%81.35亿
负债
流动负债
应付款项 -0.78%2.55亿-0.78%2.55亿32.79%2.12亿34.79%2.24亿-0.53%2.11亿15.19%2.57亿15.19%2.57亿-15.63%1.6亿-8.30%1.66亿23.59%2.12亿
-应付账款 8.46%1.65亿8.46%1.65亿10.23%1.01亿-21.34%9,399.6万-37.41%1.05亿-14.95%1.52亿-14.95%1.52亿-36.82%9,180.8万-11.99%1.19亿29.59%1.68亿
-应付税费 ----------102.7万--1,174.7万------------------------
-应付股利 3.13%4,687.2万3.13%4,687.2万3.85%4,719.5万4.50%4,556.3万4.59%4,559.7万4.60%4,545.1万4.60%4,545.1万4.60%4,544.4万4.79%4,360.2万4.79%4,359.8万
-其他应付款 -27.62%4,272万-27.62%4,272万179.44%6,256.9万2,456.40%7,234.6万38,881.82%6,003.2万13,985.68%5,901.9万13,985.68%5,901.9万7,568.15%2,239.1万-17.30%283万327.78%15.4万
应计费用 17.06%7,459.1万17.06%7,459.1万9.14%9,954.6万17.52%6,291.4万2.80%1.18亿-22.38%6,372.2万-22.38%6,372.2万-13.02%9,121.2万-8.63%5,353.5万18.47%1.15亿
现行拨备 ---------92.30%665.7万-81.15%2,013.9万-92.95%124.7万--------297.29%8,650.9万144.18%1.07亿549.60%1,769.5万
短期借款与租赁负债 105.46%5.91亿105.46%5.91亿-63.90%5,000万-31.98%2.79亿-53.78%3亿-52.79%2.88亿-52.79%2.88亿-85.41%1.39亿-46.54%4.1亿290.96%6.49亿
-短期借款 105.46%5.91亿105.46%5.91亿-63.90%5,000万-31.98%2.79亿-53.78%3亿-52.79%2.88亿-52.79%2.88亿-85.41%1.39亿-46.54%4.1亿290.96%6.49亿
递延负债 11.80%5,563.8万11.80%5,563.8万7.79%3,667.4万-11.00%3,060万-10.33%5,392.9万-1.24%4,976.7万-1.24%4,976.7万35.02%3,402.4万65.57%3,438.2万72.36%6,014.3万
其他流动负债 -21.71%1.06亿-21.71%1.06亿-28.64%9,871.8万-23.60%9,866.7万-76.25%1.1亿-85.89%1.36亿-85.89%1.36亿-83.93%1.38亿-85.96%1.29亿13.52%4.64亿
流动负债总额 35.91%10.96亿35.91%10.96亿-22.39%5.17亿-20.64%7.28亿-47.41%8.07亿-58.49%8.06亿-58.49%8.06亿-69.27%6.66亿-54.28%9.17亿71.30%15.35亿
非流动负债
长期拨备 22.67%2.03亿22.67%2.03亿-1.72%1.58亿0.07%1.61亿2.21%1.65亿2.44%1.65亿2.44%1.65亿5.47%1.6亿-22.28%1.61亿-22.54%1.61亿
长期借款与租赁负债 -8.23%21.88亿-8.23%21.88亿10.63%26.37亿14.45%23.87亿14.45%23.86亿14.45%23.84亿14.45%23.84亿14.46%23.84亿0.18%20.85亿-20.73%20.84亿
-长期借款 -8.23%21.88亿-8.23%21.88亿10.63%26.37亿14.45%23.87亿14.45%23.86亿14.45%23.84亿14.45%23.84亿14.46%23.84亿0.18%20.85亿-20.73%20.84亿
递延负债 -1.16%11.11亿-1.16%11.11亿13.73%11.72亿19.93%12亿32.38%11.65亿61.00%11.24亿61.00%11.24亿34.32%10.31亿41.00%10.01亿10.01%8.8亿
员工福利 20.45%351.1万20.45%351.1万-6.16%274.1万-5.84%280.3万-4.64%285.9万-4.89%291.5万-4.89%291.5万-38.27%292.1万-37.41%297.7万-37.21%299.8万
其他非流动负债 -0.17%5.64亿-0.17%5.64亿-0.32%5.79亿2.04%5.79亿-0.65%5.71亿-0.09%5.65亿-0.09%5.65亿-1.39%5.8亿-2.83%5.67亿-2.73%5.74亿
非流动负债总额 -2.99%43.76亿-2.99%43.76亿7.68%48.51亿11.37%46.46亿13.37%46.06亿16.44%45.11亿16.44%45.11亿14.29%45.05亿6.00%41.71亿-11.35%40.63亿
总负债 2.91%54.71亿2.91%54.71亿3.81%53.68亿5.60%53.74亿-3.30%54.13亿-8.59%53.17亿-8.59%53.17亿-15.35%51.71亿-14.35%50.89亿2.16%55.98亿
所有者权益
股本 -0.89%9,100.6万-0.89%9,100.6万-0.21%9,161.2万0.26%9,203.2万0.36%9,211.6万0.37%9,181.9万0.37%9,181.9万0.37%9,180.4万0.38%9,179.5万0.38%9,178.7万
-普通股股本 -0.89%9,100.6万-0.89%9,100.6万-0.21%9,161.2万0.26%9,203.2万0.36%9,211.6万0.37%9,181.9万0.37%9,181.9万0.37%9,180.4万0.38%9,179.5万0.38%9,178.7万
留存收益 -8.41%17.27亿-8.41%17.27亿6.07%19.7亿15.45%20.9亿15.18%19.73亿18.83%18.86亿18.83%18.86亿26.16%18.58亿28.61%18.1亿33.64%17.13亿
资本公积 0.45%10.45亿0.45%10.45亿1.03%10.46亿1.41%10.46亿1.52%10.41亿1.33%10.41亿1.33%10.41亿1.26%10.36亿1.23%10.31亿1.17%10.26亿
不影响留存收益的损益 71.89%-1,547.6万71.89%-1,547.6万110.23%505万237.32%7,534万122.94%6,738.1万91.20%-5,506万91.20%-5,506万91.53%-4,938.4万91.61%-5,486.4万-6.04%-2.94亿
股东权益总额 -3.88%28.48亿-3.88%28.48亿6.05%31.14亿14.75%33.03亿25.12%31.74亿42.48%29.63亿42.48%29.63亿46.51%29.36亿54.47%28.79亿20.22%25.37亿
总权益 -3.88%28.48亿-3.88%28.48亿6.05%31.14亿14.75%33.03亿25.12%31.74亿42.48%29.63亿42.48%29.63亿46.51%29.36亿54.47%28.79亿20.22%25.37亿
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-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 无保留意见--------无保留意见--------

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