(FY)2023/06/30 | (Q4)2023/06/30 | (FY)2022/06/30 | (Q4)2022/06/30 | (FY)2021/06/30 | (Q4)2021/06/30 | (FY)2020/06/30 | (Q4)2020/06/30 | (FY)2019/06/30 | (Q4)2019/06/30 | |
---|---|---|---|---|---|---|---|---|---|---|
资产 | ||||||||||
流动资产 | ||||||||||
现金及现金等价物和短期投资 | 56.78%244.2万 | 56.78%244.2万 | 1.20%155.77万 | 1.20%155.77万 | -41.89%153.92万 | -41.89%153.92万 | -48.06%264.87万 | -48.06%264.87万 | 165.82%509.97万 | 165.82%509.97万 |
-现金和现金等价物 | 56.78%244.2万 | 56.78%244.2万 | 1.20%155.77万 | 1.20%155.77万 | -41.89%153.92万 | -41.89%153.92万 | -48.06%264.87万 | -48.06%264.87万 | 165.82%509.97万 | 165.82%509.97万 |
应收款项 | -68.36%166.51万 | -68.36%166.51万 | -1.14%526.31万 | -1.14%526.31万 | -12.71%532.37万 | -12.71%532.37万 | -21.91%609.92万 | -21.91%609.92万 | -38.76%781.04万 | -38.76%781.04万 |
-应收账款 | 3.15%332.29万 | 3.15%332.29万 | 82.04%322.15万 | 82.04%322.15万 | 232.35%176.97万 | 232.35%176.97万 | -78.52%53.25万 | -78.52%53.25万 | -20.34%247.84万 | -20.34%247.84万 |
-其他应收款 | -36.58%129.47万 | -36.58%129.47万 | -52.24%204.16万 | -52.24%204.16万 | -23.21%427.46万 | -23.21%427.46万 | 4.40%556.67万 | 4.40%556.67万 | -44.70%533.2万 | -44.70%533.2万 |
-应收账款调整额 | ---295.25万 | ---295.25万 | ---- | ---- | ---72.06万 | ---72.06万 | ---- | ---- | ---- | ---- |
存货 | -43.18%737.02万 | -43.18%737.02万 | 21.86%1,297.02万 | 21.86%1,297.02万 | -9.11%1,064.34万 | -9.11%1,064.34万 | -1.69%1,171.03万 | -1.69%1,171.03万 | 129.42%1,191.2万 | 129.42%1,191.2万 |
预付费用 | -44.93%11.95万 | -44.93%11.95万 | -85.59%21.7万 | -85.59%21.7万 | -26.66%150.62万 | -26.66%150.62万 | -19.96%205.36万 | -19.96%205.36万 | 322.05%256.59万 | 322.05%256.59万 |
其他流动资产 | -92.70%11.26万 | -92.70%11.26万 | 1,059.26%154.09万 | 1,059.26%154.09万 | 14.75%13.29万 | 14.75%13.29万 | 102.97%11.58万 | 102.97%11.58万 | -88.90%5.71万 | -88.90%5.71万 |
流动资产合计 | -45.66%1,170.94万 | -45.66%1,170.94万 | 12.55%2,154.9万 | 12.55%2,154.9万 | -15.39%1,914.54万 | -15.39%1,914.54万 | -17.55%2,262.76万 | -17.55%2,262.76万 | 29.49%2,744.51万 | 29.49%2,744.51万 |
非流动资产 | ||||||||||
固定资产净额 | -32.42%352.79万 | -32.42%352.79万 | -15.75%522.02万 | -15.75%522.02万 | -23.77%619.62万 | -23.77%619.62万 | 6.86%812.81万 | 6.86%812.81万 | 353.55%760.65万 | 353.55%760.65万 |
-固定资产 | 1.02%1,278.91万 | 1.02%1,278.91万 | 10.47%1,266.06万 | 10.47%1,266.06万 | -5.99%1,146.05万 | -5.99%1,146.05万 | 27.15%1,219.13万 | 27.15%1,219.13万 | 212.42%958.82万 | 212.42%958.82万 |
-累计折旧 | -24.47%-926.12万 | -24.47%-926.12万 | -41.34%-744.04万 | -41.34%-744.04万 | -29.56%-526.43万 | -29.56%-526.43万 | -105.02%-406.32万 | -105.02%-406.32万 | -42.38%-198.18万 | -42.38%-198.18万 |
商誉及其他无形资产 | 1.92%105.7万 | 1.92%105.7万 | 3.92%103.71万 | 3.92%103.71万 | -6.58%99.8万 | -6.58%99.8万 | 0.87%106.82万 | 0.87%106.82万 | 4.27%105.9万 | 4.27%105.9万 |
-其他无形资产 | 1.92%105.7万 | 1.92%105.7万 | 3.92%103.71万 | 3.92%103.71万 | -6.58%99.8万 | -6.58%99.8万 | 0.87%106.82万 | 0.87%106.82万 | 4.27%105.9万 | 4.27%105.9万 |
非流动递延资产 | 20.73%7.01万 | 20.73%7.01万 | 6.57%5.81万 | 6.57%5.81万 | -8.62%5.45万 | -8.62%5.45万 | 41.12%5.96万 | 41.12%5.96万 | -0.24%4.23万 | -0.24%4.23万 |
其他非流动资产 | -22.20%47.53万 | -22.20%47.53万 | 7.94%61.1万 | 7.94%61.1万 | -5.71%56.6万 | -5.71%56.6万 | 14.19%60.03万 | 14.19%60.03万 | 27.94%52.57万 | 27.94%52.57万 |
非流动资产合计 | -25.93%513.04万 | -25.93%513.04万 | -11.37%692.63万 | -11.37%692.63万 | -20.71%781.47万 | -20.71%781.47万 | 6.75%985.63万 | 6.75%985.63万 | 193.50%923.34万 | 193.50%923.34万 |
总资产 | -40.86%1,683.98万 | -40.86%1,683.98万 | 5.62%2,847.53万 | 5.62%2,847.53万 | -17.00%2,696.01万 | -17.00%2,696.01万 | -11.44%3,248.4万 | -11.44%3,248.4万 | 50.68%3,667.85万 | 50.68%3,667.85万 |
负债 | ||||||||||
流动负债 | ||||||||||
短期借款与资本租赁负债 | 6.85%1,320.94万 | 6.85%1,320.94万 | 32.94%1,236.24万 | 32.94%1,236.24万 | -13.21%929.93万 | -13.21%929.93万 | 235.68%1,071.5万 | 235.68%1,071.5万 | 87.10%319.2万 | 87.10%319.2万 |
-短期借款 | 7.45%1,301.68万 | 7.45%1,301.68万 | 37.18%1,211.4万 | 37.18%1,211.4万 | -10.71%883.09万 | -10.71%883.09万 | 209.85%989.04万 | 209.85%989.04万 | 87.10%319.2万 | 87.10%319.2万 |
-短期资本租赁负债 | -22.48%19.26万 | -22.48%19.26万 | -46.96%24.84万 | -46.96%24.84万 | -43.20%46.84万 | -43.20%46.84万 | --82.46万 | --82.46万 | ---- | ---- |
应付款项 | -13.12%282.34万 | -13.12%282.34万 | -14.47%324.98万 | -14.47%324.98万 | -6.19%379.99万 | -6.19%379.99万 | -73.86%405.08万 | -73.86%405.08万 | 131.46%1,549.93万 | 131.46%1,549.93万 |
-应付账款 | -20.85%217.78万 | -20.85%217.78万 | -19.48%275.16万 | -19.48%275.16万 | -9.82%341.71万 | -9.82%341.71万 | -38.74%378.93万 | -38.74%378.93万 | 426.05%618.54万 | 426.05%618.54万 |
-其他应付款 | 29.57%64.56万 | 29.57%64.56万 | 30.18%49.83万 | 30.18%49.83万 | 46.38%38.28万 | 46.38%38.28万 | -97.19%26.15万 | -97.19%26.15万 | 68.71%931.39万 | 68.71%931.39万 |
流动负债总额 | 2.69%1,603.28万 | 2.69%1,603.28万 | 19.19%1,561.23万 | 19.19%1,561.23万 | -11.29%1,309.92万 | -11.29%1,309.92万 | -21.00%1,476.58万 | -21.00%1,476.58万 | 107.62%1,869.13万 | 107.62%1,869.13万 |
非流动负债 | ||||||||||
长期借款与租赁负债 | -26.50%81.95万 | -26.50%81.95万 | 81.93%111.49万 | 81.93%111.49万 | 8.04%61.28万 | 8.04%61.28万 | --56.72万 | --56.72万 | ---- | ---- |
-长期租赁负债 | -26.50%81.95万 | -26.50%81.95万 | 81.93%111.49万 | 81.93%111.49万 | 8.04%61.28万 | 8.04%61.28万 | --56.72万 | --56.72万 | ---- | ---- |
长期应付账款及其他应付款项 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 17.54%145.88万 | 17.54%145.88万 |
员工福利 | 2.87%34.83万 | 2.87%34.83万 | 22.10%33.86万 | 22.10%33.86万 | 16.26%27.73万 | 16.26%27.73万 | 41.11%23.85万 | 41.11%23.85万 | -0.24%16.9万 | -0.24%16.9万 |
非流动负债总额 | -19.65%116.78万 | -19.65%116.78万 | 63.29%145.35万 | 63.29%145.35万 | 10.47%89.01万 | 10.47%89.01万 | -50.50%80.57万 | -50.50%80.57万 | 15.41%162.79万 | 15.41%162.79万 |
负债总额 | 0.79%1,720.06万 | 0.79%1,720.06万 | 21.99%1,706.58万 | 21.99%1,706.58万 | -10.16%1,398.93万 | -10.16%1,398.93万 | -23.37%1,557.16万 | -23.37%1,557.16万 | 95.13%2,031.92万 | 95.13%2,031.92万 |
所有者权益 | ||||||||||
股本 | 0.00%963.11万 | 0.00%963.11万 | 0.00%963.11万 | 0.00%963.11万 | 1.09%963.11万 | 1.09%963.11万 | 26.49%952.73万 | 26.49%952.73万 | 8.59%753.22万 | 8.59%753.22万 |
-普通股股本 | 0.00%963.11万 | 0.00%963.11万 | 0.00%963.11万 | 0.00%963.11万 | 1.09%963.11万 | 1.09%963.11万 | 26.49%952.73万 | 26.49%952.73万 | 8.59%753.22万 | 8.59%753.22万 |
留存收益 | -473.64%-879.73万 | -473.64%-879.73万 | -47.37%235.45万 | -47.37%235.45万 | -34.09%447.41万 | -34.09%447.41万 | -13.88%678.84万 | -13.88%678.84万 | 15.51%788.26万 | 15.51%788.26万 |
不影响留存收益的损益 | 64.56%-29.68万 | 64.56%-29.68万 | 47.04%-83.74万 | 47.04%-83.74万 | -3,426.63%-158.11万 | -3,426.63%-158.11万 | -86.51%4.75万 | -86.51%4.75万 | 205.82%35.24万 | 205.82%35.24万 |
股东权益总额 | -95.18%53.7万 | -95.18%53.7万 | -10.99%1,114.82万 | -10.99%1,114.82万 | -23.46%1,252.41万 | -23.46%1,252.41万 | 3.78%1,636.32万 | 3.78%1,636.32万 | 17.42%1,576.72万 | 17.42%1,576.72万 |
非控制性权益 | -443.59%-89.77万 | -443.59%-89.77万 | -41.51%26.13万 | -41.51%26.13万 | -18.65%44.67万 | -18.65%44.67万 | -7.25%54.92万 | -7.25%54.92万 | 18.32%59.21万 | 18.32%59.21万 |
总权益 | -103.16%-36.08万 | -103.16%-36.08万 | -12.04%1,140.95万 | -12.04%1,140.95万 | -23.31%1,297.08万 | -23.31%1,297.08万 | 3.38%1,691.24万 | 3.38%1,691.24万 | 17.45%1,635.93万 | 17.45%1,635.93万 |
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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