美股市场个股详情

RGCO RGC Resources

添加自选
  • 22.090
  • +0.050+0.23%
收盘价 07/26 16:00 (美东)
  • 22.090
  • 0.0000.00%
盘后 16:46 (美东)
2.25亿总市值16.99市盈率TTM

RGC Resources关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(FY)2022/09/30
(Q4)2022/09/30
(Q3)2022/06/30
资产
流动资产
现金及现金等价物和短期投资
-69.53%201.92万
-11.42%286.47万
-69.13%151.24万
-69.13%151.24万
-62.49%518.11万
-29.75%662.6万
84.61%323.42万
222.65%489.89万
222.65%489.89万
988.88%1,381.14万
-现金和现金等价物
-69.53%201.92万
-11.42%286.47万
-69.13%151.24万
-69.13%151.24万
-62.49%518.11万
-29.75%662.6万
84.61%323.42万
222.65%489.89万
222.65%489.89万
988.88%1,381.14万
应收款项
-6.44%945.17万
-37.43%1,315.89万
-21.64%419.49万
-21.64%419.49万
-31.53%467.53万
-8.14%1,010.21万
77.52%2,102.97万
8.15%535.33万
8.15%535.33万
42.51%682.82万
-应收账款
-6.44%945.17万
-37.43%1,315.89万
-21.64%419.49万
-21.64%419.49万
-31.53%467.53万
-8.14%1,010.21万
77.52%2,102.97万
8.15%535.33万
8.15%535.33万
42.51%682.82万
存货
6.30%672.88万
-30.14%1,159.13万
-29.13%1,286.01万
-29.13%1,286.01万
12.38%994.09万
103.73%633.01万
96.32%1,659.17万
103.90%1,814.52万
103.90%1,814.52万
67.73%884.55万
预付费用
-43.92%175.07万
-67.07%108.45万
4.53%322.75万
4.53%322.75万
-33.48%155.73万
47.36%312.19万
50.55%329.31万
-0.55%308.78万
-0.55%308.78万
1,292.24%234.12万
其他流动资产
45.92%730.05万
102.96%494.72万
21.87%346.72万
21.87%346.72万
-5.26%293.3万
-23.66%500.29万
-70.19%243.75万
-57.36%284.5万
-57.36%284.5万
-7.90%309.58万
流动资产合计
-11.85%2,852.56万
-27.33%3,476.99万
-24.62%2,679.53万
-24.62%2,679.53万
-27.63%2,575.49万
-0.49%3,236万
47.45%4,784.51万
41.38%3,554.83万
41.38%3,554.83万
139.45%3,558.99万
非流动资产
固定资产净额
6.21%2.54亿
6.60%2.5亿
7.71%2.48亿
7.71%2.48亿
8.45%2.43亿
9.41%2.39亿
9.05%2.35亿
8.60%2.3亿
8.60%2.3亿
7.77%2.24亿
-固定资产
6.54%3.44亿
6.74%3.38亿
7.49%3.33亿
7.49%3.33亿
7.71%3.28亿
8.40%3.23亿
8.15%3.17亿
7.79%3.1亿
7.79%3.1亿
7.42%3.04亿
-累计折旧
-7.51%-8,954.82万
-7.15%-8,758.46万
-6.87%-8,575.28万
-6.87%-8,575.28万
-5.62%-8,465.88万
-5.61%-8,329.08万
-5.65%-8,173.95万
-5.53%-8,024.29万
-5.53%-8,024.29万
-6.45%-8,015.28万
投资和预付款
31.73%1,988.77万
27.49%1,865.49万
24.79%1,718.71万
24.79%1,718.71万
-44.52%1,562.53万
-44.74%1,509.71万
-78.12%1,463.2万
-78.77%1,377.31万
-78.77%1,377.31万
-54.97%2,816.33万
金融资产
-17.23%223.01万
-35.83%211.3万
-13.85%308.44万
-13.85%308.44万
36.69%302.5万
157.34%269.43万
2,465.11%329.28万
--358.03万
--358.03万
--221.31万
非流动递延资产
8.42%97.85万
17.20%111.59万
10.08%116.36万
10.08%116.36万
256.76%84.07万
167.20%90.25万
--95.21万
--105.71万
--105.71万
--23.56万
确认的养老福利金
245.65%171.56万
179.88%174.32万
153.81%190.19万
153.81%190.19万
-73.34%36.98万
-63.09%49.63万
-52.17%62.28万
-40.51%74.93万
-40.51%74.93万
--138.73万
其他非流动资产
121.18%57.1万
81.70%61.23万
112.60%62.41万
112.60%62.41万
77.43%60.74万
-30.51%25.82万
-13.86%33.7万
-29.93%29.36万
-29.93%29.36万
-27.02%34.24万
非流动资产合计
7.85%2.85亿
7.62%2.8亿
8.70%2.77亿
8.70%2.77亿
2.23%2.69亿
3.23%2.64亿
-10.55%2.6亿
-10.60%2.55亿
-10.60%2.55亿
-6.68%2.63亿
总资产
5.70%3.13亿
2.19%3.15亿
4.62%3.04亿
4.62%3.04亿
-1.33%2.95亿
2.81%2.96亿
-4.73%3.08亿
-6.38%2.9亿
-6.38%2.9亿
0.63%2.99亿
负债
流动负债
应付款项
-23.46%748.6万
-40.65%826.51万
-30.95%781.7万
-30.95%781.7万
-35.52%765.56万
14.02%978.11万
42.33%1,392.63万
-0.87%1,132.07万
-0.87%1,132.07万
35.16%1,187.31万
-应付账款
-25.35%535.8万
-45.55%605.8万
-32.12%583.86万
-32.12%583.86万
-37.72%567.99万
23.56%717.77万
79.05%1,112.49万
11.27%860.09万
11.27%860.09万
69.26%911.97万
-应付税费
404.14%9.18万
--17.44万
----
----
----
-79.32%1.82万
----
----
----
----
-应付股利
3.88%203.62万
3.85%203.27万
3.29%197.84万
3.29%197.84万
3.30%197.52万
2.73%196.02万
19.18%195.74万
23.58%191.53万
23.58%191.53万
23.92%191.22万
-其他应付款
----
----
----
----
-99.94%508
-19.15%62.51万
-56.25%84.4万
-62.42%80.45万
-62.42%80.45万
-54.61%84.13万
应计费用
5.74%321.16万
23.08%295.89万
27.09%466.17万
27.09%466.17万
16.99%331.97万
7.27%303.72万
-2.75%240.41万
-3.98%366.81万
-3.98%366.81万
2.77%283.76万
短期借款与租赁负债
-73.15%673.82万
38.16%4,710.26万
1,079.12%1,532.86万
1,079.12%1,532.86万
1,133.33%1,110万
27.38%2,510万
19.45%3,409.2万
-81.43%130万
-81.43%130万
-87.14%90万
-短期借款
-73.28%670.72万
38.16%4,710.26万
1,079.12%1,532.86万
1,079.12%1,532.86万
1,133.33%1,110万
27.38%2,510万
19.45%3,409.2万
-81.43%130万
-81.43%130万
-87.14%90万
-短期租赁负债
--3.1万
----
----
----
----
----
----
----
----
----
递延负债
-26.96%169.7万
24.73%352.84万
20.64%344.85万
20.64%344.85万
17.82%263.65万
2.51%232.35万
-5.68%282.87万
-8.12%285.84万
-8.12%285.84万
-7.50%223.78万
其他流动负债
-24.22%256.95万
-66.13%234.17万
-47.51%166.3万
-47.51%166.3万
-20.96%254.1万
6.12%339.07万
617.78%691.34万
378.31%316.81万
378.31%316.81万
401.52%321.5万
流动负债总额
-50.26%2,170.24万
6.70%6,419.67万
47.52%3,291.88万
47.52%3,291.88万
29.38%2,725.28万
19.29%4,363.25万
34.42%6,016.44万
-14.22%2,231.53万
-14.22%2,231.53万
-2.51%2,106.35万
非流动负债
长期拨备
6.76%2,467.96万
6.17%2,426.08万
5.96%2,382.22万
5.96%2,382.22万
5.18%2,347.63万
5.07%2,311.72万
5.34%2,285.09万
5.70%2,248.19万
5.70%2,248.19万
6.57%2,232.06万
长期借款与租赁负债
20.82%1.36亿
-9.56%1.02亿
-7.26%1.26亿
-7.26%1.26亿
-3.08%1.26亿
7.56%1.13亿
-9.23%1.13亿
1.67%1.36亿
1.67%1.36亿
5.78%1.3亿
-长期借款
20.53%1.36亿
-9.56%1.02亿
-7.26%1.26亿
-7.26%1.26亿
-3.08%1.26亿
7.56%1.13亿
-9.23%1.13亿
1.67%1.36亿
1.67%1.36亿
5.78%1.3亿
-长期租赁负债
--31.99万
----
----
----
----
----
----
----
----
----
递延负债
-31.96%220.56万
-40.62%195.95万
-36.55%200.85万
-36.55%200.85万
-46.33%322.41万
-44.90%324.19万
-78.48%329.98万
-78.82%316.55万
-78.82%316.55万
-59.56%600.71万
员工福利
-42.42%25.54万
-80.63%7.56万
-85.88%4.77万
-85.88%4.77万
-41.35%49.79万
-49.93%44.35万
-57.53%39.05万
-64.46%33.75万
-64.46%33.75万
-85.70%84.88万
衍生品负债
----
----
----
----
----
----
----
----
----
--0
其他非流动负债
----
--32.11万
--32.32万
--32.32万
--29.35万
----
----
----
----
----
非流动负债总额
18.73%1.81亿
-3.88%1.47亿
-2.76%1.7亿
-2.76%1.7亿
-3.21%1.67亿
4.25%1.53亿
-13.21%1.53亿
-5.15%1.75亿
-5.15%1.75亿
-2.45%1.72亿
总负债
3.39%2.03亿
-0.89%2.11亿
2.93%2.03亿
2.93%2.03亿
0.34%1.94亿
7.26%1.96亿
-3.56%2.13亿
-6.27%1.97亿
-6.27%1.97亿
-2.46%1.93亿
所有者权益
股本
2.58%5,089.74万
2.11%5,029.81万
1.98%5,007.63万
1.98%5,007.63万
1.98%4,999.22万
1.36%4,961.67万
17.44%4,925.89万
17.26%4,910.27万
17.26%4,910.27万
17.76%4,902.21万
-普通股股本
2.58%5,089.74万
2.11%5,029.81万
1.98%5,007.63万
1.98%5,007.63万
1.98%4,999.22万
1.36%4,961.67万
17.44%4,925.89万
17.26%4,910.27万
17.26%4,910.27万
17.76%4,902.21万
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
82.60%1,136.68万
277.58%695.96万
629.99%397.23万
629.99%397.23万
-64.42%493.65万
-59.03%622.49万
-95.57%184.32万
-98.63%54.42万
-98.63%54.42万
-66.33%1,387.47万
资本公积
8.57%4,682.88万
7.28%4,504.74万
7.12%4,443.08万
7.12%4,443.08万
7.30%4,423.82万
5.25%4,313.16万
110.64%4,199.22万
110.50%4,147.95万
110.50%4,147.95万
119.71%4,122.73万
不影响留存收益的损益
11.16%145.09万
-30.98%123.95万
14.71%225.33万
14.71%225.33万
22.11%178.09万
283.92%130.52万
251.62%179.57万
227.94%196.44万
227.94%196.44万
152.84%145.85万
股东权益总额
10.24%1.11亿
9.12%1.04亿
8.21%1.01亿
8.21%1.01亿
-4.39%1.01亿
-4.92%1亿
-7.24%9,489万
-6.63%9,309.07万
-6.63%9,309.07万
6.82%1.06亿
总权益
10.24%1.11亿
9.12%1.04亿
8.21%1.01亿
8.21%1.01亿
-4.39%1.01亿
-4.92%1亿
-7.24%9,489万
-6.63%9,309.07万
-6.63%9,309.07万
6.82%1.06亿
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
--
--
(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(FY)2022/09/30(Q4)2022/09/30(Q3)2022/06/30
资产
流动资产
现金及现金等价物和短期投资 -69.53%201.92万-11.42%286.47万-69.13%151.24万-69.13%151.24万-62.49%518.11万-29.75%662.6万84.61%323.42万222.65%489.89万222.65%489.89万988.88%1,381.14万
-现金和现金等价物 -69.53%201.92万-11.42%286.47万-69.13%151.24万-69.13%151.24万-62.49%518.11万-29.75%662.6万84.61%323.42万222.65%489.89万222.65%489.89万988.88%1,381.14万
应收款项 -6.44%945.17万-37.43%1,315.89万-21.64%419.49万-21.64%419.49万-31.53%467.53万-8.14%1,010.21万77.52%2,102.97万8.15%535.33万8.15%535.33万42.51%682.82万
-应收账款 -6.44%945.17万-37.43%1,315.89万-21.64%419.49万-21.64%419.49万-31.53%467.53万-8.14%1,010.21万77.52%2,102.97万8.15%535.33万8.15%535.33万42.51%682.82万
存货 6.30%672.88万-30.14%1,159.13万-29.13%1,286.01万-29.13%1,286.01万12.38%994.09万103.73%633.01万96.32%1,659.17万103.90%1,814.52万103.90%1,814.52万67.73%884.55万
预付费用 -43.92%175.07万-67.07%108.45万4.53%322.75万4.53%322.75万-33.48%155.73万47.36%312.19万50.55%329.31万-0.55%308.78万-0.55%308.78万1,292.24%234.12万
其他流动资产 45.92%730.05万102.96%494.72万21.87%346.72万21.87%346.72万-5.26%293.3万-23.66%500.29万-70.19%243.75万-57.36%284.5万-57.36%284.5万-7.90%309.58万
流动资产合计 -11.85%2,852.56万-27.33%3,476.99万-24.62%2,679.53万-24.62%2,679.53万-27.63%2,575.49万-0.49%3,236万47.45%4,784.51万41.38%3,554.83万41.38%3,554.83万139.45%3,558.99万
非流动资产
固定资产净额 6.21%2.54亿6.60%2.5亿7.71%2.48亿7.71%2.48亿8.45%2.43亿9.41%2.39亿9.05%2.35亿8.60%2.3亿8.60%2.3亿7.77%2.24亿
-固定资产 6.54%3.44亿6.74%3.38亿7.49%3.33亿7.49%3.33亿7.71%3.28亿8.40%3.23亿8.15%3.17亿7.79%3.1亿7.79%3.1亿7.42%3.04亿
-累计折旧 -7.51%-8,954.82万-7.15%-8,758.46万-6.87%-8,575.28万-6.87%-8,575.28万-5.62%-8,465.88万-5.61%-8,329.08万-5.65%-8,173.95万-5.53%-8,024.29万-5.53%-8,024.29万-6.45%-8,015.28万
投资和预付款 31.73%1,988.77万27.49%1,865.49万24.79%1,718.71万24.79%1,718.71万-44.52%1,562.53万-44.74%1,509.71万-78.12%1,463.2万-78.77%1,377.31万-78.77%1,377.31万-54.97%2,816.33万
金融资产 -17.23%223.01万-35.83%211.3万-13.85%308.44万-13.85%308.44万36.69%302.5万157.34%269.43万2,465.11%329.28万--358.03万--358.03万--221.31万
非流动递延资产 8.42%97.85万17.20%111.59万10.08%116.36万10.08%116.36万256.76%84.07万167.20%90.25万--95.21万--105.71万--105.71万--23.56万
确认的养老福利金 245.65%171.56万179.88%174.32万153.81%190.19万153.81%190.19万-73.34%36.98万-63.09%49.63万-52.17%62.28万-40.51%74.93万-40.51%74.93万--138.73万
其他非流动资产 121.18%57.1万81.70%61.23万112.60%62.41万112.60%62.41万77.43%60.74万-30.51%25.82万-13.86%33.7万-29.93%29.36万-29.93%29.36万-27.02%34.24万
非流动资产合计 7.85%2.85亿7.62%2.8亿8.70%2.77亿8.70%2.77亿2.23%2.69亿3.23%2.64亿-10.55%2.6亿-10.60%2.55亿-10.60%2.55亿-6.68%2.63亿
总资产 5.70%3.13亿2.19%3.15亿4.62%3.04亿4.62%3.04亿-1.33%2.95亿2.81%2.96亿-4.73%3.08亿-6.38%2.9亿-6.38%2.9亿0.63%2.99亿
负债
流动负债
应付款项 -23.46%748.6万-40.65%826.51万-30.95%781.7万-30.95%781.7万-35.52%765.56万14.02%978.11万42.33%1,392.63万-0.87%1,132.07万-0.87%1,132.07万35.16%1,187.31万
-应付账款 -25.35%535.8万-45.55%605.8万-32.12%583.86万-32.12%583.86万-37.72%567.99万23.56%717.77万79.05%1,112.49万11.27%860.09万11.27%860.09万69.26%911.97万
-应付税费 404.14%9.18万--17.44万-------------79.32%1.82万----------------
-应付股利 3.88%203.62万3.85%203.27万3.29%197.84万3.29%197.84万3.30%197.52万2.73%196.02万19.18%195.74万23.58%191.53万23.58%191.53万23.92%191.22万
-其他应付款 -----------------99.94%508-19.15%62.51万-56.25%84.4万-62.42%80.45万-62.42%80.45万-54.61%84.13万
应计费用 5.74%321.16万23.08%295.89万27.09%466.17万27.09%466.17万16.99%331.97万7.27%303.72万-2.75%240.41万-3.98%366.81万-3.98%366.81万2.77%283.76万
短期借款与租赁负债 -73.15%673.82万38.16%4,710.26万1,079.12%1,532.86万1,079.12%1,532.86万1,133.33%1,110万27.38%2,510万19.45%3,409.2万-81.43%130万-81.43%130万-87.14%90万
-短期借款 -73.28%670.72万38.16%4,710.26万1,079.12%1,532.86万1,079.12%1,532.86万1,133.33%1,110万27.38%2,510万19.45%3,409.2万-81.43%130万-81.43%130万-87.14%90万
-短期租赁负债 --3.1万------------------------------------
递延负债 -26.96%169.7万24.73%352.84万20.64%344.85万20.64%344.85万17.82%263.65万2.51%232.35万-5.68%282.87万-8.12%285.84万-8.12%285.84万-7.50%223.78万
其他流动负债 -24.22%256.95万-66.13%234.17万-47.51%166.3万-47.51%166.3万-20.96%254.1万6.12%339.07万617.78%691.34万378.31%316.81万378.31%316.81万401.52%321.5万
流动负债总额 -50.26%2,170.24万6.70%6,419.67万47.52%3,291.88万47.52%3,291.88万29.38%2,725.28万19.29%4,363.25万34.42%6,016.44万-14.22%2,231.53万-14.22%2,231.53万-2.51%2,106.35万
非流动负债
长期拨备 6.76%2,467.96万6.17%2,426.08万5.96%2,382.22万5.96%2,382.22万5.18%2,347.63万5.07%2,311.72万5.34%2,285.09万5.70%2,248.19万5.70%2,248.19万6.57%2,232.06万
长期借款与租赁负债 20.82%1.36亿-9.56%1.02亿-7.26%1.26亿-7.26%1.26亿-3.08%1.26亿7.56%1.13亿-9.23%1.13亿1.67%1.36亿1.67%1.36亿5.78%1.3亿
-长期借款 20.53%1.36亿-9.56%1.02亿-7.26%1.26亿-7.26%1.26亿-3.08%1.26亿7.56%1.13亿-9.23%1.13亿1.67%1.36亿1.67%1.36亿5.78%1.3亿
-长期租赁负债 --31.99万------------------------------------
递延负债 -31.96%220.56万-40.62%195.95万-36.55%200.85万-36.55%200.85万-46.33%322.41万-44.90%324.19万-78.48%329.98万-78.82%316.55万-78.82%316.55万-59.56%600.71万
员工福利 -42.42%25.54万-80.63%7.56万-85.88%4.77万-85.88%4.77万-41.35%49.79万-49.93%44.35万-57.53%39.05万-64.46%33.75万-64.46%33.75万-85.70%84.88万
衍生品负债 --------------------------------------0
其他非流动负债 ------32.11万--32.32万--32.32万--29.35万--------------------
非流动负债总额 18.73%1.81亿-3.88%1.47亿-2.76%1.7亿-2.76%1.7亿-3.21%1.67亿4.25%1.53亿-13.21%1.53亿-5.15%1.75亿-5.15%1.75亿-2.45%1.72亿
总负债 3.39%2.03亿-0.89%2.11亿2.93%2.03亿2.93%2.03亿0.34%1.94亿7.26%1.96亿-3.56%2.13亿-6.27%1.97亿-6.27%1.97亿-2.46%1.93亿
所有者权益
股本 2.58%5,089.74万2.11%5,029.81万1.98%5,007.63万1.98%5,007.63万1.98%4,999.22万1.36%4,961.67万17.44%4,925.89万17.26%4,910.27万17.26%4,910.27万17.76%4,902.21万
-普通股股本 2.58%5,089.74万2.11%5,029.81万1.98%5,007.63万1.98%5,007.63万1.98%4,999.22万1.36%4,961.67万17.44%4,925.89万17.26%4,910.27万17.26%4,910.27万17.76%4,902.21万
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 82.60%1,136.68万277.58%695.96万629.99%397.23万629.99%397.23万-64.42%493.65万-59.03%622.49万-95.57%184.32万-98.63%54.42万-98.63%54.42万-66.33%1,387.47万
资本公积 8.57%4,682.88万7.28%4,504.74万7.12%4,443.08万7.12%4,443.08万7.30%4,423.82万5.25%4,313.16万110.64%4,199.22万110.50%4,147.95万110.50%4,147.95万119.71%4,122.73万
不影响留存收益的损益 11.16%145.09万-30.98%123.95万14.71%225.33万14.71%225.33万22.11%178.09万283.92%130.52万251.62%179.57万227.94%196.44万227.94%196.44万152.84%145.85万
股东权益总额 10.24%1.11亿9.12%1.04亿8.21%1.01亿8.21%1.01亿-4.39%1.01亿-4.92%1亿-7.24%9,489万-6.63%9,309.07万-6.63%9,309.07万6.82%1.06亿
总权益 10.24%1.11亿9.12%1.04亿8.21%1.01亿8.21%1.01亿-4.39%1.01亿-4.92%1亿-7.24%9,489万-6.63%9,309.07万-6.63%9,309.07万6.82%1.06亿
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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