(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 | 11.25%2,965.7万 | -10.70%2,668.5万 | 81.64%3,029.1万 | 81.64%3,029.1万 | 95.34%3,548.3万 | 1.79%2,665.9万 | -13.69%2,988.4万 | -68.78%1,667.6万 | -68.78%1,667.6万 | -77.06%1,816.5万 |
-现金和现金等价物 | 11.25%2,965.7万 | -10.70%2,668.5万 | 81.64%3,029.1万 | 81.64%3,029.1万 | 95.34%3,548.3万 | 1.79%2,665.9万 | -13.69%2,988.4万 | -68.78%1,667.6万 | -68.78%1,667.6万 | -77.06%1,816.5万 |
应收款项 | -1.88%4,097万 | 28.10%3,894.1万 | -11.25%3,085.5万 | -11.25%3,085.5万 | -17.24%2,887.5万 | 5.82%4,175.4万 | -29.75%3,040万 | -7.06%3,476.7万 | -7.06%3,476.7万 | -0.77%3,489.1万 |
-应收账款 | 35.13%3,987.5万 | 44.89%3,882.6万 | 10.90%3,056.1万 | 10.90%3,056.1万 | -13.26%2,854.1万 | -20.50%2,950.9万 | -25.27%2,679.6万 | -19.80%2,755.8万 | -19.80%2,755.8万 | -3.74%3,290.5万 |
-应收税费 | -99.54%8,000 | ---- | --0 | --0 | -99.86%2,000 | -4.92%174.1万 | -8.04%333.9万 | 183.95%690万 | 183.95%690万 | 6,895.24%146.9万 |
-其他应收款 | -89.65%108.7万 | -56.60%11.5万 | -4.85%29.4万 | -4.85%29.4万 | -35.78%33.2万 | 1,975.89%1,050.4万 | -54.47%26.5万 | -49.84%30.9万 | -49.84%30.9万 | -45.98%51.7万 |
存货 | -19.94%5,902.9万 | -1.34%7,402.9万 | 11.18%7,847.2万 | 11.18%7,847.2万 | 4.03%7,705.9万 | -3.73%7,373.3万 | -5.75%7,503.4万 | 2.77%7,058.2万 | 2.77%7,058.2万 | 37.34%7,407.2万 |
预付费用 | -51.08%467.8万 | 5.09%619.7万 | 19.99%715万 | 19.99%715万 | -39.12%674.7万 | -4.04%956.3万 | -44.69%589.7万 | -41.63%595.9万 | -41.63%595.9万 | 14.16%1,108.3万 |
受限制现金 | --0 | 0.00%500万 | 0.00%500万 | 0.00%500万 | 0.00%500万 | -26.58%500万 | -26.58%500万 | -4.76%500万 | -4.76%500万 | -4.78%500万 |
流动资产合计 | -14.28%1.34亿 | 3.17%1.51亿 | 14.13%1.52亿 | 14.13%1.52亿 | 6.95%1.53亿 | -1.45%1.57亿 | -16.44%1.46亿 | -23.99%1.33亿 | -23.99%1.33亿 | -21.85%1.43亿 |
非流动资产 | ||||||||||
固定资产净额 | -4.79%2.1亿 | -0.72%2.13亿 | 0.63%2.18亿 | 0.63%2.18亿 | -0.91%2.15亿 | -2.17%2.2亿 | -5.84%2.15亿 | -2.90%2.17亿 | -2.90%2.17亿 | 6.34%2.17亿 |
-固定资产 | 0.72%3.48亿 | 3.69%3.48亿 | 4.77%3.5亿 | 4.77%3.5亿 | 3.61%3.43亿 | 2.46%3.46亿 | -0.52%3.36亿 | 1.47%3.34亿 | 1.47%3.34亿 | 8.07%3.31亿 |
-累计折旧 | -10.41%-1.38亿 | -11.49%-1.35亿 | -12.39%-1.32亿 | -12.39%-1.32亿 | -12.22%-1.28亿 | -11.78%-1.25亿 | -10.55%-1.21亿 | -10.65%-1.18亿 | -10.65%-1.18亿 | -11.53%-1.14亿 |
商誉及其他无形资产 | -30.30%7,232.9万 | -16.85%8,572万 | -14.69%8,819.3万 | -14.69%8,819.3万 | -12.75%1.01亿 | -8.65%1.04亿 | -29.44%1.03亿 | -28.17%1.03亿 | -28.17%1.03亿 | 5.13%1.16亿 |
-商誉 | -33.88%4,446万 | -17.11%5,494.2万 | -15.56%5,591.8万 | -15.56%5,591.8万 | -16.77%6,611.8万 | -27.42%6,723.9万 | -44.58%6,628.5万 | -43.65%6,622.5万 | -43.65%6,622.5万 | -14.90%7,944.3万 |
-其他无形资产 | -23.71%2,786.9万 | -16.39%3,077.8万 | -13.14%3,227.5万 | -13.14%3,227.5万 | -3.98%3,495.5万 | 74.33%3,653.2万 | 38.84%3,681万 | 40.78%3,715.7万 | 40.78%3,715.7万 | 116.25%3,640.2万 |
投资和预付款 | 25.94%265.6万 | 25.94%265.6万 | 25.94%265.6万 | 25.94%265.6万 | 0.00%210.9万 | 0.00%210.9万 | 0.00%210.9万 | 0.00%210.9万 | 0.00%210.9万 | -9.64%210.9万 |
长期应收票据 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 |
非流动递延资产 | 0.00%420.1万 | 0.00%420.1万 | 0.00%420.1万 | 0.00%420.1万 | -86.11%420.1万 | -85.37%420.1万 | -77.51%420.1万 | -74.94%420.1万 | -74.94%420.1万 | 82.43%3,023.8万 |
其他非流动资产 | 3.69%204.9万 | -64.92%204.6万 | -66.03%196.2万 | -66.03%196.2万 | -28.65%188.8万 | -64.95%197.6万 | -4.19%583.3万 | 123.79%577.6万 | 123.79%577.6万 | 0.00%264.6万 |
非流动资产合计 | -12.45%2.91亿 | -6.72%3.08亿 | -5.14%3.15亿 | -5.14%3.15亿 | -11.83%3.25亿 | -11.43%3.32亿 | -17.73%3.3亿 | -15.22%3.32亿 | -15.22%3.32亿 | 8.45%3.68亿 |
总资产 | -13.03%4.25亿 | -3.68%4.58亿 | 0.37%4.67亿 | 0.37%4.67亿 | -6.57%4.78亿 | -8.46%4.89亿 | -17.34%4.76亿 | -17.93%4.65亿 | -17.93%4.65亿 | -2.18%5.11亿 |
负债 | ||||||||||
流动负债 | ||||||||||
应付款项 | 6.34%3,590.2万 | 28.28%4,131.3万 | 3.38%3,772.2万 | 3.38%3,772.2万 | -17.99%3,340.7万 | -18.64%3,376.2万 | -3.09%3,220.5万 | 37.71%3,648.8万 | 37.71%3,648.8万 | 99.59%4,073.5万 |
-应付账款 | -2.11%2,011.7万 | 8.00%1,993.5万 | -12.62%2,175.3万 | -12.62%2,175.3万 | -23.88%1,937.8万 | -22.84%2,055.1万 | -23.08%1,845.9万 | 10.17%2,489.4万 | 10.17%2,489.4万 | 58.79%2,545.8万 |
-应付税费 | 19.48%1,578.5万 | 55.52%2,137.8万 | 37.74%1,596.9万 | 37.74%1,596.9万 | -8.17%1,402.9万 | -11.10%1,321.1万 | 48.85%1,374.6万 | 197.36%1,159.4万 | 197.36%1,159.4万 | 249.03%1,527.7万 |
应计费用 | -29.63%1,492.2万 | -17.17%1,369.2万 | 39.08%1,233.9万 | 39.08%1,233.9万 | 5.54%1,771.2万 | 9.37%2,120.5万 | -4.92%1,653.1万 | -30.67%887.2万 | -30.67%887.2万 | -32.03%1,678.3万 |
短期借款与租赁负债 | -0.60%1,503.7万 | -2.33%1,510.9万 | -20.37%1,524.5万 | -20.37%1,524.5万 | -20.05%1,523.9万 | -17.75%1,512.8万 | -27.50%1,547万 | -4.93%1,914.5万 | -4.93%1,914.5万 | 67.23%1,906.1万 |
-短期借款 | 0.00%400万 | 0.00%400万 | -46.87%400万 | -46.87%400万 | -47.71%400万 | -41.96%400万 | -59.51%400万 | -2.98%752.9万 | -2.98%752.9万 | --765万 |
-短期租赁负债 | 34.13%235.4万 | 14.09%224.3万 | 7.21%211.2万 | 7.21%211.2万 | -0.36%195.5万 | 22.13%175.5万 | 125.46%196.6万 | 104.78%197万 | 104.78%197万 | 85.80%196.2万 |
递延负债 | ---- | ---- | -27.86%451万 | -27.86%451万 | ---- | ---- | ---- | 80.17%625.2万 | 80.17%625.2万 | ---- |
其他流动负债 | 39.11%233.7万 | 47.69%256.1万 | 60.49%234万 | 60.49%234万 | 14.23%252.9万 | 6.60%168万 | 11.94%173.4万 | 3.18%145.8万 | 3.18%145.8万 | -12.28%221.4万 |
流动负债总额 | -4.98%6,819.8万 | 10.21%7,267.5万 | -0.08%7,215.6万 | -0.08%7,215.6万 | -12.57%6,888.7万 | -11.23%7,177.5万 | -10.29%6,594万 | 12.29%7,221.5万 | 12.29%7,221.5万 | 33.50%7,879.3万 |
非流动负债 | ||||||||||
长期借款与租赁负债 | -14.94%4,544.8万 | -4.19%4,775.1万 | -2.61%5,026万 | -2.61%5,026万 | -2.74%5,161.5万 | -1.06%5,343.1万 | -11.18%4,984万 | -9.67%5,160.6万 | -9.67%5,160.6万 | -11.21%5,306.7万 |
-长期借款 | -14.13%3,573.6万 | -12.48%3,721.7万 | -11.17%3,892.5万 | -11.17%3,892.5万 | -11.24%3,981.1万 | -12.61%4,161.5万 | -14.52%4,252.6万 | -13.09%4,382.1万 | -13.09%4,382.1万 | -14.93%4,485.1万 |
-长期租赁负债 | -17.81%971.2万 | 44.03%1,053.4万 | 45.60%1,133.5万 | 45.60%1,133.5万 | 43.67%1,180.4万 | 85.12%1,181.6万 | 14.89%731.4万 | 16.00%778.5万 | 16.00%778.5万 | 16.64%821.6万 |
递延负债 | 23.22%2,358.2万 | 23.56%2,355.3万 | 20.12%2,373万 | 20.12%2,373万 | 1.90%1,899.2万 | 11.31%1,913.8万 | -10.33%1,906.2万 | 5.89%1,975.6万 | 5.89%1,975.6万 | -1.92%1,863.8万 |
其他非流动负债 | 8.30%208.7万 | 11.69%204.4万 | 10.97%190.2万 | 10.97%190.2万 | 16.81%186.9万 | 16.65%192.7万 | -11.85%183万 | -13.13%171.4万 | -13.13%171.4万 | -15.97%160万 |
非流动负债总额 | -4.54%7,111.7万 | 3.70%7,334.8万 | 3.85%7,589.2万 | 3.85%7,589.2万 | -1.13%7,247.6万 | 2.26%7,449.6万 | -10.97%7,073.2万 | -6.02%7,307.6万 | -6.02%7,307.6万 | -9.13%7,330.5万 |
总负债 | -4.76%1.39亿 | 6.84%1.46亿 | 1.90%1.48亿 | 1.90%1.48亿 | -7.06%1.41亿 | -4.83%1.46亿 | -10.65%1.37亿 | 2.27%1.45亿 | 2.27%1.45亿 | 8.88%1.52亿 |
所有者权益 | ||||||||||
股本 | 0.00%3.87亿 | 0.00%3.87亿 | 3.84%3.87亿 | 3.84%3.87亿 | 5.50%3.87亿 | 5.74%3.87亿 | 5.74%3.87亿 | 1.88%3.72亿 | 1.88%3.72亿 | 6.48%3.67亿 |
-普通股股本 | 0.00%3.87亿 | 0.00%3.87亿 | 3.84%3.87亿 | 3.84%3.87亿 | 5.50%3.87亿 | 5.74%3.87亿 | 5.74%3.87亿 | 1.88%3.72亿 | 1.88%3.72亿 | 6.48%3.67亿 |
留存收益 | -60.91%-1.33亿 | -34.58%-1.09亿 | -42.76%-1.06亿 | -42.76%-1.06亿 | -234.22%-8,368.2万 | -405.63%-8,238.3万 | -499.78%-8,100.3万 | -377.71%-7,436.7万 | -377.71%-7,436.7万 | -201.35%-2,503.8万 |
资本公积 | 22.17%3,040.5万 | 7.36%2,601.6万 | 91.53%2,561.1万 | 91.53%2,561.1万 | 106.92%2,563.5万 | 117.12%2,488.8万 | 134.51%2,423.2万 | 42.73%1,337.2万 | 42.73%1,337.2万 | 64.29%1,238.9万 |
不影响留存收益的损益 | -186.05%-939.4万 | 0.08%-750.3万 | 57.71%-354万 | 57.71%-354万 | 27.00%-818.7万 | -192.12%-328.4万 | -173.44%-750.9万 | -225.01%-837.1万 | -225.01%-837.1万 | -273.53%-1,121.5万 |
股东权益总额 | -15.58%2.75亿 | -8.13%2.96亿 | -0.14%3.03亿 | -0.14%3.03亿 | -6.48%3.2亿 | -10.57%3.26亿 | -20.69%3.22亿 | -25.79%3.03亿 | -25.79%3.03亿 | -10.52%3.43亿 |
非控制性权益 | -35.62%1,087.5万 | -3.86%1,620.1万 | -3.63%1,631.6万 | -3.63%1,631.6万 | -3.91%1,585.4万 | 4.79%1,689.1万 | 3.57%1,685.2万 | 3.03%1,693.1万 | 3.03%1,693.1万 | --1,649.9万 |
总权益 | -16.57%2.86亿 | -7.92%3.12亿 | -0.33%3.19亿 | -0.33%3.19亿 | -6.36%3.36亿 | -9.92%3.43亿 | -19.76%3.39亿 | -24.68%3.2亿 | -24.68%3.2亿 | -6.21%3.59亿 |
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 | -- | -- |
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