馬來西亞市場個股詳情

03016 CRG

添加自選
  • 0.320
  • -0.015-4.48%
延時15分鐘行情已收盤 08/16 16:36 (北京)
2.58億總市值12.31市盈率TTM

CRG關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2023/12/31
(FY)2023/06/30
(Q4)2023/06/30
(Q2)2022/12/31
(FY)2022/06/30
(Q4)2022/06/30
(Q2)2021/12/31
(FY)2021/06/30
(Q4)2021/06/30
(Q2)2020/12/31
資產
流動資產
現金及現金等價物與短期投資
22.49%5,810.5萬
20.07%6,380.04萬
20.07%6,380.04萬
5.35%4,743.6萬
17.27%5,313.54萬
17.27%5,313.54萬
-3.54%4,502.9萬
-7.94%4,531.17萬
-7.94%4,531.17萬
--4,668.2萬
-現金及現金等價物
23.71%5,511.6萬
28.62%6,086.43萬
28.62%6,086.43萬
13.46%4,455.1萬
19.49%4,732.08萬
19.49%4,732.08萬
-4.28%3,926.6萬
-9.21%3,960.12萬
-9.21%3,960.12萬
--4,102.2萬
-其中:現金
23.71%5,511.6萬
6.32%3,712.93萬
6.32%3,712.93萬
13.46%4,455.1萬
-7.74%3,492.08萬
-7.74%3,492.08萬
-4.28%3,926.6萬
-8.17%3,785.12萬
-8.17%3,785.12萬
--4,102.2萬
-其中:現金等價物
----
91.41%2,373.5萬
91.41%2,373.5萬
----
608.57%1,240萬
608.57%1,240萬
----
-27.08%175萬
-27.08%175萬
----
-短期投資
3.60%298.9萬
-49.50%293.61萬
-49.50%293.61萬
-49.94%288.5萬
1.82%581.46萬
1.82%581.46萬
1.82%576.3萬
1.91%571.05萬
1.91%571.05萬
--566萬
應收款項
-17.79%1,609.2萬
-40.83%406.25萬
-40.83%406.25萬
25.53%1,957.4萬
7.44%686.54萬
7.44%686.54萬
17.12%1,559.3萬
16.58%638.99萬
16.58%638.99萬
--1,331.4萬
-應收賬款淨額
-17.79%1,609.2萬
-41.84%395.56萬
-41.84%395.56萬
25.53%1,957.4萬
9.23%680.16萬
9.23%680.16萬
17.12%1,559.3萬
27.81%622.67萬
27.81%622.67萬
--1,331.4萬
-其中:應收賬款
----
-67.45%417.14萬
-67.45%417.14萬
----
6.43%1,281.72萬
6.43%1,281.72萬
----
9.38%1,204.28萬
9.38%1,204.28萬
----
-其中:壞賬準備
----
96.41%-21.59萬
96.41%-21.59萬
----
-3.43%-601.56萬
-3.43%-601.56萬
----
5.24%-581.62萬
5.24%-581.62萬
----
-其他應收款
----
67.49%10.69萬
67.49%10.69萬
----
-60.90%6.38萬
-60.90%6.38萬
----
-73.20%16.33萬
-73.20%16.33萬
----
存貨
-15.51%1,628.4萬
30.57%1,452.01萬
30.57%1,452.01萬
126.85%1,927.3萬
15.97%1,112.04萬
15.97%1,112.04萬
-10.86%849.6萬
-0.36%958.89萬
-0.36%958.89萬
--953.1萬
預付費用
----
-62.85%473.79萬
-62.85%473.79萬
----
191.77%1,275.3萬
191.77%1,275.3萬
----
12.70%437.1萬
12.70%437.1萬
----
稅項資產
225.74%32.9萬
-52.61%15.5萬
-52.61%15.5萬
-57.74%10.1萬
67.45%32.7萬
67.45%32.7萬
60.40%23.9萬
53.72%19.53萬
53.72%19.53萬
--14.9萬
流動資產合計
5.12%9,081萬
3.65%8,727.58萬
3.65%8,727.58萬
24.55%8,638.4萬
27.86%8,420.13萬
27.86%8,420.13萬
-0.46%6,935.7萬
-3.62%6,585.68萬
-3.62%6,585.68萬
--6,967.6萬
非流動資產
物業廠房及設備淨額
55.90%6,181.1萬
34.19%5,571.01萬
34.19%5,571.01萬
-0.98%3,964.8萬
13.38%4,151.63萬
13.38%4,151.63萬
10.10%4,004.1萬
1.39%3,661.65萬
1.39%3,661.65萬
--3,636.9萬
-物業、廠房及設備
55.90%6,181.1萬
23.11%1.13億
23.11%1.13億
-0.98%3,964.8萬
7.81%9,175.18萬
7.81%9,175.18萬
10.10%4,004.1萬
10.59%8,510.18萬
10.59%8,510.18萬
--3,636.9萬
-累計折舊
----
-13.95%-5,724.48萬
-13.95%-5,724.48萬
----
-3.61%-5,023.55萬
-3.61%-5,023.55萬
----
-18.73%-4,848.52萬
-18.73%-4,848.52萬
----
投資物業
----
--0
--0
--0
0.00%480萬
0.00%480萬
0.00%480萬
0.00%480萬
0.00%480萬
--480萬
投資總額
-49.99%476.7萬
13.91%476.66萬
13.91%476.66萬
118.85%953.3萬
-6.03%418.46萬
-6.03%418.46萬
21.54%435.6萬
--445.32萬
--445.32萬
--358.4萬
-長期股權投資
----
--0
--0
--0
-6.03%418.46萬
-6.03%418.46萬
--435.6萬
--445.32萬
--445.32萬
----
-金融資產投資
----
--476.66萬
--476.66萬
----
----
----
----
----
----
----
-其中:以公允價值計量且其變動計入當期損益的金融資產總額
----
--0
--0
----
----
----
----
----
----
----
-其中:可供出售證券
----
--476.66萬
--476.66萬
----
----
----
----
----
----
----
-其他投資
-49.99%476.7萬
----
----
--953.3萬
----
----
----
----
----
--358.4萬
商譽及其他無形資產
----
--0
--0
----
--0
--0
0.00%2萬
0.00%1.98萬
0.00%1.98萬
--2萬
-商譽
----
--0
--0
----
--0
--0
0.00%2萬
0.00%1.98萬
0.00%1.98萬
--2萬
非流動遞延所得稅資產
-5.87%134.8萬
-8.83%128.1萬
-8.83%128.1萬
24.31%143.2萬
36.14%140.5萬
36.14%140.5萬
-2.37%115.2萬
-11.34%103.2萬
-11.34%103.2萬
--118萬
長期持有待售資產
----
----
----
--480萬
----
----
----
----
----
----
非流動資產合計
22.58%6,792.6萬
18.98%6,175.77萬
18.98%6,175.77萬
10.01%5,541.3萬
10.62%5,190.59萬
10.62%5,190.59萬
9.61%5,036.9萬
11.45%4,692.15萬
11.45%4,692.15萬
--4,595.3萬
總資產
11.95%1.59億
9.50%1.49億
9.50%1.49億
18.43%1.42億
20.69%1.36億
20.69%1.36億
3.54%1.2億
2.13%1.13億
2.13%1.13億
--1.16億
負債
流動負債
金融負債
7.58%731.1萬
-2.86%655.52萬
-2.86%655.52萬
-4.23%679.6萬
7.63%674.85萬
7.63%674.85萬
15.57%709.6萬
-1.17%627萬
-1.17%627萬
--614萬
-短期借款及資本租賃負債
7.58%731.1萬
-2.86%655.52萬
-2.86%655.52萬
-4.23%679.6萬
7.63%674.85萬
7.63%674.85萬
15.57%709.6萬
-1.17%627萬
-1.17%627萬
--614萬
-其中:短期借款
13.56%121.4萬
5.73%110.29萬
5.73%110.29萬
4.60%106.9萬
1.86%104.31萬
1.86%104.31萬
8.61%102.2萬
6.62%102.41萬
6.62%102.41萬
--94.1萬
-其中:資本租賃負債
6.46%609.7萬
-4.44%545.23萬
-4.44%545.23萬
-5.71%572.7萬
8.76%570.54萬
8.76%570.54萬
16.83%607.4萬
-2.56%524.6萬
-2.56%524.6萬
--519.9萬
應付款項
-14.90%1,211萬
-39.66%307.57萬
-39.66%307.57萬
31.91%1,423萬
31.07%509.71萬
31.07%509.71萬
-13.15%1,078.8萬
-8.72%388.89萬
-8.72%388.89萬
--1,242.1萬
-應付帳款
-8.25%1,076.4萬
-68.66%26.03萬
-68.66%26.03萬
20.35%1,173.2萬
-35.73%83.05萬
-35.73%83.05萬
-6.31%974.8萬
-0.88%129.2萬
-0.88%129.2萬
--1,040.4萬
-應交稅費
-46.12%134.6萬
-47.28%129.85萬
-47.28%129.85萬
140.19%249.8萬
211.07%246.3萬
211.07%246.3萬
-48.44%104萬
5.53%79.18萬
5.53%79.18萬
--201.7萬
-其他應付款
----
-15.90%151.69萬
-15.90%151.69萬
----
-0.08%180.37萬
-0.08%180.37萬
----
-18.20%180.51萬
-18.20%180.51萬
----
現行撥備
87.24%71.9萬
19.06%34.22萬
19.06%34.22萬
28.00%38.4萬
10.80%28.74萬
10.80%28.74萬
-13.54%30萬
-12.52%25.94萬
-12.52%25.94萬
--34.7萬
應計及遞延所得
----
-7.37%720.98萬
-7.37%720.98萬
----
30.04%778.35萬
30.04%778.35萬
----
1.58%598.57萬
1.58%598.57萬
----
流動負債合計
-5.93%2,014萬
-13.73%1,718.28萬
-13.73%1,718.28萬
17.74%2,141萬
21.41%1,991.64萬
21.41%1,991.64萬
-3.83%1,818.4萬
-2.32%1,640.39萬
-2.32%1,640.39萬
--1,890.8萬
非流動負債
非流動金融負債
48.42%3,351.3萬
24.01%3,052.72萬
24.01%3,052.72萬
-12.37%2,258萬
4.21%2,461.71萬
4.21%2,461.71萬
16.88%2,576.6萬
12.95%2,362.22萬
12.95%2,362.22萬
--2,204.5萬
-長期借款及資本租賃
48.42%3,351.3萬
24.01%3,052.72萬
24.01%3,052.72萬
-12.37%2,258萬
4.21%2,461.71萬
4.21%2,461.71萬
16.88%2,576.6萬
12.95%2,362.22萬
12.95%2,362.22萬
--2,204.5萬
-其中:長期借款
82.01%1,786.1萬
75.98%1,859.77萬
75.98%1,859.77萬
-13.21%981.3萬
-12.02%1,056.83萬
-12.02%1,056.83萬
-11.75%1,130.7萬
-7.30%1,201.21萬
-7.30%1,201.21萬
--1,281.3萬
-其中:長期資本租賃負債
22.60%1,565.2萬
-15.09%1,192.94萬
-15.09%1,192.94萬
-11.70%1,276.7萬
21.01%1,404.88萬
21.01%1,404.88萬
56.62%1,445.9萬
45.93%1,161.01萬
45.93%1,161.01萬
--923.2萬
長期撥備
-26.76%80.2萬
-5.73%113.47萬
-5.73%113.47萬
84.34%109.5萬
103.84%120.37萬
103.84%120.37萬
28.29%59.4萬
21.98%59.05萬
21.98%59.05萬
--46.3萬
非流動遞延所得稅負債
-84.00%8,000
-82.00%9,000
-82.00%9,000
0.00%5萬
0.00%5萬
0.00%5萬
-27.54%5萬
-27.54%5萬
-27.54%5萬
--6.9萬
非流動負債合計
44.67%3,432.3萬
22.42%3,167.09萬
22.42%3,167.09萬
-10.17%2,372.5萬
6.63%2,587.08萬
6.63%2,587.08萬
16.98%2,641萬
13.02%2,426.27萬
13.02%2,426.27萬
--2,257.7萬
負債總額
20.67%5,446.3萬
6.70%4,885.37萬
6.70%4,885.37萬
1.21%4,513.5萬
12.59%4,578.72萬
12.59%4,578.72萬
7.49%4,459.4萬
6.29%4,066.66萬
6.29%4,066.66萬
--4,148.5萬
所有者權益
股本
0.00%6,800萬
0.00%6,800萬
0.00%6,800萬
0.00%6,800萬
0.00%6,800萬
0.00%6,800萬
0.00%6,800萬
0.00%6,800萬
0.00%6,800萬
--6,800萬
-普通股
0.00%6,800萬
0.00%6,800萬
0.00%6,800萬
0.00%6,800萬
0.00%6,800萬
0.00%6,800萬
0.00%6,800萬
0.00%6,800萬
0.00%6,800萬
--6,800萬
留存收益
--3,646.1萬
----
----
----
511.01%2,176.44萬
511.01%2,176.44萬
----
-1.21%356.2萬
-1.21%356.2萬
----
固定資產重估價值準備
--0
----
----
----
0.00%80.57萬
0.00%80.57萬
----
0.00%80.57萬
0.00%80.57萬
----
其他儲備
-100.66%-18.8萬
12,969.17%3,217.97萬
12,969.17%3,217.97萬
301.88%2,866.2萬
2.36%-25.01萬
2.36%-25.01萬
16.08%713.2萬
-5.85%-25.61萬
-5.85%-25.61萬
--614.4萬
股東權益
7.87%1.04億
10.92%1億
10.92%1億
28.66%9,666.2萬
25.25%9,032萬
25.25%9,032萬
1.33%7,513.2萬
-0.08%7,211.17萬
-0.08%7,211.17萬
--7,414.4萬
總權益
7.87%1.04億
10.92%1億
10.92%1億
28.66%9,666.2萬
25.25%9,032萬
25.25%9,032萬
1.33%7,513.2萬
-0.08%7,211.17萬
-0.08%7,211.17萬
--7,414.4萬
會計準則
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q2)2023/12/31(FY)2023/06/30(Q4)2023/06/30(Q2)2022/12/31(FY)2022/06/30(Q4)2022/06/30(Q2)2021/12/31(FY)2021/06/30(Q4)2021/06/30(Q2)2020/12/31
資產
流動資產
現金及現金等價物與短期投資 22.49%5,810.5萬20.07%6,380.04萬20.07%6,380.04萬5.35%4,743.6萬17.27%5,313.54萬17.27%5,313.54萬-3.54%4,502.9萬-7.94%4,531.17萬-7.94%4,531.17萬--4,668.2萬
-現金及現金等價物 23.71%5,511.6萬28.62%6,086.43萬28.62%6,086.43萬13.46%4,455.1萬19.49%4,732.08萬19.49%4,732.08萬-4.28%3,926.6萬-9.21%3,960.12萬-9.21%3,960.12萬--4,102.2萬
-其中:現金 23.71%5,511.6萬6.32%3,712.93萬6.32%3,712.93萬13.46%4,455.1萬-7.74%3,492.08萬-7.74%3,492.08萬-4.28%3,926.6萬-8.17%3,785.12萬-8.17%3,785.12萬--4,102.2萬
-其中:現金等價物 ----91.41%2,373.5萬91.41%2,373.5萬----608.57%1,240萬608.57%1,240萬-----27.08%175萬-27.08%175萬----
-短期投資 3.60%298.9萬-49.50%293.61萬-49.50%293.61萬-49.94%288.5萬1.82%581.46萬1.82%581.46萬1.82%576.3萬1.91%571.05萬1.91%571.05萬--566萬
應收款項 -17.79%1,609.2萬-40.83%406.25萬-40.83%406.25萬25.53%1,957.4萬7.44%686.54萬7.44%686.54萬17.12%1,559.3萬16.58%638.99萬16.58%638.99萬--1,331.4萬
-應收賬款淨額 -17.79%1,609.2萬-41.84%395.56萬-41.84%395.56萬25.53%1,957.4萬9.23%680.16萬9.23%680.16萬17.12%1,559.3萬27.81%622.67萬27.81%622.67萬--1,331.4萬
-其中:應收賬款 -----67.45%417.14萬-67.45%417.14萬----6.43%1,281.72萬6.43%1,281.72萬----9.38%1,204.28萬9.38%1,204.28萬----
-其中:壞賬準備 ----96.41%-21.59萬96.41%-21.59萬-----3.43%-601.56萬-3.43%-601.56萬----5.24%-581.62萬5.24%-581.62萬----
-其他應收款 ----67.49%10.69萬67.49%10.69萬-----60.90%6.38萬-60.90%6.38萬-----73.20%16.33萬-73.20%16.33萬----
存貨 -15.51%1,628.4萬30.57%1,452.01萬30.57%1,452.01萬126.85%1,927.3萬15.97%1,112.04萬15.97%1,112.04萬-10.86%849.6萬-0.36%958.89萬-0.36%958.89萬--953.1萬
預付費用 -----62.85%473.79萬-62.85%473.79萬----191.77%1,275.3萬191.77%1,275.3萬----12.70%437.1萬12.70%437.1萬----
稅項資產 225.74%32.9萬-52.61%15.5萬-52.61%15.5萬-57.74%10.1萬67.45%32.7萬67.45%32.7萬60.40%23.9萬53.72%19.53萬53.72%19.53萬--14.9萬
流動資產合計 5.12%9,081萬3.65%8,727.58萬3.65%8,727.58萬24.55%8,638.4萬27.86%8,420.13萬27.86%8,420.13萬-0.46%6,935.7萬-3.62%6,585.68萬-3.62%6,585.68萬--6,967.6萬
非流動資產
物業廠房及設備淨額 55.90%6,181.1萬34.19%5,571.01萬34.19%5,571.01萬-0.98%3,964.8萬13.38%4,151.63萬13.38%4,151.63萬10.10%4,004.1萬1.39%3,661.65萬1.39%3,661.65萬--3,636.9萬
-物業、廠房及設備 55.90%6,181.1萬23.11%1.13億23.11%1.13億-0.98%3,964.8萬7.81%9,175.18萬7.81%9,175.18萬10.10%4,004.1萬10.59%8,510.18萬10.59%8,510.18萬--3,636.9萬
-累計折舊 -----13.95%-5,724.48萬-13.95%-5,724.48萬-----3.61%-5,023.55萬-3.61%-5,023.55萬-----18.73%-4,848.52萬-18.73%-4,848.52萬----
投資物業 ------0--0--00.00%480萬0.00%480萬0.00%480萬0.00%480萬0.00%480萬--480萬
投資總額 -49.99%476.7萬13.91%476.66萬13.91%476.66萬118.85%953.3萬-6.03%418.46萬-6.03%418.46萬21.54%435.6萬--445.32萬--445.32萬--358.4萬
-長期股權投資 ------0--0--0-6.03%418.46萬-6.03%418.46萬--435.6萬--445.32萬--445.32萬----
-金融資產投資 ------476.66萬--476.66萬----------------------------
-其中:以公允價值計量且其變動計入當期損益的金融資產總額 ------0--0----------------------------
-其中:可供出售證券 ------476.66萬--476.66萬----------------------------
-其他投資 -49.99%476.7萬----------953.3萬----------------------358.4萬
商譽及其他無形資產 ------0--0------0--00.00%2萬0.00%1.98萬0.00%1.98萬--2萬
-商譽 ------0--0------0--00.00%2萬0.00%1.98萬0.00%1.98萬--2萬
非流動遞延所得稅資產 -5.87%134.8萬-8.83%128.1萬-8.83%128.1萬24.31%143.2萬36.14%140.5萬36.14%140.5萬-2.37%115.2萬-11.34%103.2萬-11.34%103.2萬--118萬
長期持有待售資產 --------------480萬------------------------
非流動資產合計 22.58%6,792.6萬18.98%6,175.77萬18.98%6,175.77萬10.01%5,541.3萬10.62%5,190.59萬10.62%5,190.59萬9.61%5,036.9萬11.45%4,692.15萬11.45%4,692.15萬--4,595.3萬
總資產 11.95%1.59億9.50%1.49億9.50%1.49億18.43%1.42億20.69%1.36億20.69%1.36億3.54%1.2億2.13%1.13億2.13%1.13億--1.16億
負債
流動負債
金融負債 7.58%731.1萬-2.86%655.52萬-2.86%655.52萬-4.23%679.6萬7.63%674.85萬7.63%674.85萬15.57%709.6萬-1.17%627萬-1.17%627萬--614萬
-短期借款及資本租賃負債 7.58%731.1萬-2.86%655.52萬-2.86%655.52萬-4.23%679.6萬7.63%674.85萬7.63%674.85萬15.57%709.6萬-1.17%627萬-1.17%627萬--614萬
-其中:短期借款 13.56%121.4萬5.73%110.29萬5.73%110.29萬4.60%106.9萬1.86%104.31萬1.86%104.31萬8.61%102.2萬6.62%102.41萬6.62%102.41萬--94.1萬
-其中:資本租賃負債 6.46%609.7萬-4.44%545.23萬-4.44%545.23萬-5.71%572.7萬8.76%570.54萬8.76%570.54萬16.83%607.4萬-2.56%524.6萬-2.56%524.6萬--519.9萬
應付款項 -14.90%1,211萬-39.66%307.57萬-39.66%307.57萬31.91%1,423萬31.07%509.71萬31.07%509.71萬-13.15%1,078.8萬-8.72%388.89萬-8.72%388.89萬--1,242.1萬
-應付帳款 -8.25%1,076.4萬-68.66%26.03萬-68.66%26.03萬20.35%1,173.2萬-35.73%83.05萬-35.73%83.05萬-6.31%974.8萬-0.88%129.2萬-0.88%129.2萬--1,040.4萬
-應交稅費 -46.12%134.6萬-47.28%129.85萬-47.28%129.85萬140.19%249.8萬211.07%246.3萬211.07%246.3萬-48.44%104萬5.53%79.18萬5.53%79.18萬--201.7萬
-其他應付款 -----15.90%151.69萬-15.90%151.69萬-----0.08%180.37萬-0.08%180.37萬-----18.20%180.51萬-18.20%180.51萬----
現行撥備 87.24%71.9萬19.06%34.22萬19.06%34.22萬28.00%38.4萬10.80%28.74萬10.80%28.74萬-13.54%30萬-12.52%25.94萬-12.52%25.94萬--34.7萬
應計及遞延所得 -----7.37%720.98萬-7.37%720.98萬----30.04%778.35萬30.04%778.35萬----1.58%598.57萬1.58%598.57萬----
流動負債合計 -5.93%2,014萬-13.73%1,718.28萬-13.73%1,718.28萬17.74%2,141萬21.41%1,991.64萬21.41%1,991.64萬-3.83%1,818.4萬-2.32%1,640.39萬-2.32%1,640.39萬--1,890.8萬
非流動負債
非流動金融負債 48.42%3,351.3萬24.01%3,052.72萬24.01%3,052.72萬-12.37%2,258萬4.21%2,461.71萬4.21%2,461.71萬16.88%2,576.6萬12.95%2,362.22萬12.95%2,362.22萬--2,204.5萬
-長期借款及資本租賃 48.42%3,351.3萬24.01%3,052.72萬24.01%3,052.72萬-12.37%2,258萬4.21%2,461.71萬4.21%2,461.71萬16.88%2,576.6萬12.95%2,362.22萬12.95%2,362.22萬--2,204.5萬
-其中:長期借款 82.01%1,786.1萬75.98%1,859.77萬75.98%1,859.77萬-13.21%981.3萬-12.02%1,056.83萬-12.02%1,056.83萬-11.75%1,130.7萬-7.30%1,201.21萬-7.30%1,201.21萬--1,281.3萬
-其中:長期資本租賃負債 22.60%1,565.2萬-15.09%1,192.94萬-15.09%1,192.94萬-11.70%1,276.7萬21.01%1,404.88萬21.01%1,404.88萬56.62%1,445.9萬45.93%1,161.01萬45.93%1,161.01萬--923.2萬
長期撥備 -26.76%80.2萬-5.73%113.47萬-5.73%113.47萬84.34%109.5萬103.84%120.37萬103.84%120.37萬28.29%59.4萬21.98%59.05萬21.98%59.05萬--46.3萬
非流動遞延所得稅負債 -84.00%8,000-82.00%9,000-82.00%9,0000.00%5萬0.00%5萬0.00%5萬-27.54%5萬-27.54%5萬-27.54%5萬--6.9萬
非流動負債合計 44.67%3,432.3萬22.42%3,167.09萬22.42%3,167.09萬-10.17%2,372.5萬6.63%2,587.08萬6.63%2,587.08萬16.98%2,641萬13.02%2,426.27萬13.02%2,426.27萬--2,257.7萬
負債總額 20.67%5,446.3萬6.70%4,885.37萬6.70%4,885.37萬1.21%4,513.5萬12.59%4,578.72萬12.59%4,578.72萬7.49%4,459.4萬6.29%4,066.66萬6.29%4,066.66萬--4,148.5萬
所有者權益
股本 0.00%6,800萬0.00%6,800萬0.00%6,800萬0.00%6,800萬0.00%6,800萬0.00%6,800萬0.00%6,800萬0.00%6,800萬0.00%6,800萬--6,800萬
-普通股 0.00%6,800萬0.00%6,800萬0.00%6,800萬0.00%6,800萬0.00%6,800萬0.00%6,800萬0.00%6,800萬0.00%6,800萬0.00%6,800萬--6,800萬
留存收益 --3,646.1萬------------511.01%2,176.44萬511.01%2,176.44萬-----1.21%356.2萬-1.21%356.2萬----
固定資產重估價值準備 --0------------0.00%80.57萬0.00%80.57萬----0.00%80.57萬0.00%80.57萬----
其他儲備 -100.66%-18.8萬12,969.17%3,217.97萬12,969.17%3,217.97萬301.88%2,866.2萬2.36%-25.01萬2.36%-25.01萬16.08%713.2萬-5.85%-25.61萬-5.85%-25.61萬--614.4萬
股東權益 7.87%1.04億10.92%1億10.92%1億28.66%9,666.2萬25.25%9,032萬25.25%9,032萬1.33%7,513.2萬-0.08%7,211.17萬-0.08%7,211.17萬--7,414.4萬
總權益 7.87%1.04億10.92%1億10.92%1億28.66%9,666.2萬25.25%9,032萬25.25%9,032萬1.33%7,513.2萬-0.08%7,211.17萬-0.08%7,211.17萬--7,414.4萬
會計準則 NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

FY:Financial Year 年度報告,相當於上市公司向SEC披露的10-K文件。

Q:Quarter 季度報告,相當於上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4為單季報,跨度為3個月;Q6、Q9為累計季報,Q6為6個月,Q9為9個月。

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