(FY)2024/06/30 | (Q4)2024/06/30 | (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 | |
---|---|---|---|---|---|---|---|---|---|---|
资产 | ||||||||||
流动资产 | ||||||||||
现金及现金等价物和短期投资 | 73.76%133.23万 | 73.76%133.23万 | 11.41%76.67万 | 11.41%76.67万 | -41.66%68.82万 | -41.66%68.82万 | 197.28%117.96万 | 197.28%117.96万 | -71.14%39.68万 | -71.14%39.68万 |
-现金和现金等价物 | 73.76%133.23万 | 73.76%133.23万 | 11.41%76.67万 | 11.41%76.67万 | -41.66%68.82万 | -41.66%68.82万 | 197.28%117.96万 | 197.28%117.96万 | -71.14%39.68万 | -71.14%39.68万 |
应收款项 | 147.72%296.79万 | 147.72%296.79万 | 41.95%119.81万 | 41.95%119.81万 | -66.06%84.4万 | -66.06%84.4万 | -46.08%248.66万 | -46.08%248.66万 | -56.19%461.19万 | -56.19%461.19万 |
-应收账款 | 97.54%359.33万 | 97.54%359.33万 | 45.11%181.91万 | 45.11%181.91万 | -45.77%125.36万 | -45.77%125.36万 | -27.97%231.18万 | -27.97%231.18万 | -62.82%320.97万 | -62.82%320.97万 |
-其他应收款 | ---- | ---- | ---- | ---- | ---- | ---- | -75.61%36.32万 | -75.61%36.32万 | -21.44%148.92万 | -21.44%148.92万 |
-应收账款调整额 | -0.72%-62.54万 | -0.72%-62.54万 | -51.60%-62.09万 | -51.60%-62.09万 | -117.46%-40.96万 | -117.46%-40.96万 | -116.45%-18.83万 | -116.45%-18.83万 | ---8.7万 | ---8.7万 |
存货 | ---- | ---- | ---- | ---- | ---- | ---- | -66.21%253.01万 | -66.21%253.01万 | 24.39%748.79万 | 24.39%748.79万 |
预付费用 | 14,710.07%69.43万 | 14,710.07%69.43万 | -98.38%4,688 | -98.38%4,688 | -47.82%29万 | -47.82%29万 | --55.57万 | --55.57万 | ---- | ---- |
其他流动资产 | -38.29%75.37万 | -38.29%75.37万 | 253.01%122.14万 | 253.01%122.14万 | --34.6万 | --34.6万 | ---- | ---- | 10.65%187 | 10.65%187 |
流动资产合计 | 80.14%574.82万 | 80.14%574.82万 | 47.17%319.09万 | 47.17%319.09万 | -67.89%216.82万 | -67.89%216.82万 | -45.97%675.21万 | -45.97%675.21万 | -30.28%1,249.68万 | -30.28%1,249.68万 |
非流动资产 | ||||||||||
固定资产净额 | -25.02%147.07万 | -25.02%147.07万 | 10.83%196.16万 | 10.83%196.16万 | 103.75%176.98万 | 103.75%176.98万 | 61.39%86.86万 | 61.39%86.86万 | -14.23%53.82万 | -14.23%53.82万 |
-固定资产 | 0.76%255.6万 | 0.76%255.6万 | 34.25%253.67万 | 34.25%253.67万 | 35.33%188.95万 | 35.33%188.95万 | 58.76%139.62万 | 58.76%139.62万 | -0.90%87.94万 | -0.90%87.94万 |
-累计折旧 | -88.72%-108.54万 | -88.72%-108.54万 | -380.48%-57.51万 | -380.48%-57.51万 | 77.31%-11.97万 | 77.31%-11.97万 | -54.62%-52.76万 | -54.62%-52.76万 | -31.29%-34.12万 | -31.29%-34.12万 |
投资和预付款 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 5.75%5.14万 | 5.75%5.14万 |
-长期股权投资 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 5.75%5.14万 | 5.75%5.14万 |
商誉及其他无形资产 | -23.09%650.11万 | -23.09%650.11万 | 24.67%845.24万 | 24.67%845.24万 | 8.75%678万 | 8.75%678万 | 86.95%623.48万 | 86.95%623.48万 | -14.15%333.5万 | -14.15%333.5万 |
-其他无形资产 | -23.09%650.11万 | -23.09%650.11万 | 24.67%845.24万 | 24.67%845.24万 | 8.75%678万 | 8.75%678万 | 86.95%623.48万 | 86.95%623.48万 | -14.15%333.5万 | -14.15%333.5万 |
其他非流动资产 | ---- | ---- | ---- | ---- | --281.65万 | --281.65万 | ---- | ---- | ---- | ---- |
非流动资产合计 | -23.45%797.18万 | -23.45%797.18万 | -8.38%1,041.39万 | -8.38%1,041.39万 | 60.01%1,136.63万 | 60.01%1,136.63万 | 81.00%710.34万 | 81.00%710.34万 | -14.43%392.46万 | -14.43%392.46万 |
总资产 | 0.85%1,372万 | 0.85%1,372万 | 0.52%1,360.49万 | 0.52%1,360.49万 | -2.32%1,353.45万 | -2.32%1,353.45万 | -15.63%1,385.55万 | -15.63%1,385.55万 | -27.05%1,642.14万 | -27.05%1,642.14万 |
负债 | ||||||||||
流动负债 | ||||||||||
应付款项 | 93.56%567.49万 | 93.56%567.49万 | 185.22%293.19万 | 185.22%293.19万 | -43.93%102.79万 | -43.93%102.79万 | -56.25%183.34万 | -56.25%183.34万 | -58.79%419.06万 | -58.79%419.06万 |
-应付账款 | 153.20%479.13万 | 153.20%479.13万 | 609.62%189.23万 | 609.62%189.23万 | -82.76%26.67万 | -82.76%26.67万 | -49.88%154.69万 | -49.88%154.69万 | -54.78%308.64万 | -54.78%308.64万 |
-其他应付款 | -15.01%88.35万 | -15.01%88.35万 | 36.56%103.96万 | 36.56%103.96万 | 165.77%76.13万 | 165.77%76.13万 | -74.06%28.64万 | -74.06%28.64万 | -66.97%110.42万 | -66.97%110.42万 |
养老金及其他退休福利计划 | 25.70%4.06万 | 25.70%4.06万 | 34.58%3.23万 | 34.58%3.23万 | 52.86%2.4万 | 52.86%2.4万 | --1.57万 | --1.57万 | ---- | ---- |
递延负债 | 0.77%31.63万 | 0.77%31.63万 | -10.09%31.39万 | -10.09%31.39万 | --34.92万 | --34.92万 | ---- | ---- | 16.70%23.63万 | 16.70%23.63万 |
其他流动负债 | 213.03%108.49万 | 213.03%108.49万 | -0.32%34.66万 | -0.32%34.66万 | -51.92%34.77万 | -51.92%34.77万 | 508.90%72.31万 | 508.90%72.31万 | -91.52%11.88万 | -91.52%11.88万 |
流动负债总额 | 96.34%711.68万 | 96.34%711.68万 | 107.27%362.47万 | 107.27%362.47万 | -32.01%174.88万 | -32.01%174.88万 | -43.41%257.22万 | -43.41%257.22万 | -61.38%454.57万 | -61.38%454.57万 |
非流动负债 | ||||||||||
员工福利 | 20.67%1.05万 | 20.67%1.05万 | 29.79%8,713 | 29.79%8,713 | 42.47%6,713 | 42.47%6,713 | --4,712 | --4,712 | ---- | ---- |
非流动负债总额 | 20.67%1.05万 | 20.67%1.05万 | 29.79%8,713 | 29.79%8,713 | 42.47%6,713 | 42.47%6,713 | --4,712 | --4,712 | --0 | --0 |
负债总额 | 96.16%712.73万 | 96.16%712.73万 | 106.97%363.35万 | 106.97%363.35万 | -31.87%175.55万 | -31.87%175.55万 | -43.31%257.69万 | -43.31%257.69万 | -61.38%454.57万 | -61.38%454.57万 |
所有者权益 | ||||||||||
股本 | 0.00%549.44万 | 0.00%549.44万 | 0.00%549.44万 | 0.00%549.44万 | 0.00%549.44万 | 0.00%549.44万 | 0.00%549.44万 | 0.00%549.44万 | 40.36%549.44万 | 40.36%549.44万 |
-普通股股本 | 0.00%549.44万 | 0.00%549.44万 | 0.00%549.44万 | 0.00%549.44万 | 0.00%549.44万 | 0.00%549.44万 | 0.00%549.44万 | 0.00%549.44万 | 40.36%549.44万 | 40.36%549.44万 |
留存收益 | -94.24%21.57万 | -94.24%21.57万 | -25.86%374.69万 | -25.86%374.69万 | -2.91%505.4万 | -2.91%505.4万 | -10.95%520.56万 | -10.95%520.56万 | -1.88%584.57万 | -1.88%584.57万 |
不影响留存收益的损益 | 20.89%88.26万 | 20.89%88.26万 | -40.67%73万 | -40.67%73万 | 112.72%123.05万 | 112.72%123.05万 | 8.00%57.85万 | 8.00%57.85万 | -31.34%53.56万 | -31.34%53.56万 |
股东权益总额 | -33.88%659.27万 | -33.88%659.27万 | -15.35%997.14万 | -15.35%997.14万 | 4.44%1,177.9万 | 4.44%1,177.9万 | -5.03%1,127.86万 | -5.03%1,127.86万 | 11.49%1,187.58万 | 11.49%1,187.58万 |
总权益 | -33.88%659.27万 | -33.88%659.27万 | -15.35%997.14万 | -15.35%997.14万 | 4.44%1,177.9万 | 4.44%1,177.9万 | -5.03%1,127.86万 | -5.03%1,127.86万 | 10.58%1,187.58万 | 10.58%1,187.58万 |
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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