(Q3)2024/03/31 | (Q2)2023/12/31 | (Q1)2023/09/30 | (FY)2023/06/30 | (Q4)2023/06/30 | (Q3)2023/03/31 | (Q2)2022/12/31 | (Q1)2022/09/30 | (FY)2022/06/30 | (Q4)2022/06/30 | |
---|---|---|---|---|---|---|---|---|---|---|
資產 | ||||||||||
流動資產 | ||||||||||
現金及現金等價物與短期投資 | -37.23%1,335.1萬 | -29.05%1,344.4萬 | -20.92%1,478.8萬 | 108.92%1,836.41萬 | 108.92%1,836.41萬 | 202.98%2,126.9萬 | 96.72%1,894.8萬 | 78.09%1,870.1萬 | -39.91%879.02萬 | -39.91%879.02萬 |
-現金及現金等價物 | -37.23%1,335.1萬 | -29.05%1,344.4萬 | -20.92%1,478.8萬 | 120.88%1,742.75萬 | 120.88%1,742.75萬 | 202.98%2,126.9萬 | 96.72%1,894.8萬 | 78.09%1,870.1萬 | -46.06%789.02萬 | -46.06%789.02萬 |
-其中:現金 | ---- | ---- | ---- | 120.88%1,742.75萬 | 120.88%1,742.75萬 | ---- | ---- | ---- | -36.88%789.02萬 | -36.88%789.02萬 |
-短期投資 | ---- | ---- | ---- | 4.07%93.66萬 | 4.07%93.66萬 | ---- | ---- | ---- | --90萬 | --90萬 |
應收款項 | -9.93%3,143.1萬 | -26.35%2,732.9萬 | -26.59%2,983.3萬 | -18.68%2,875.08萬 | -18.68%2,875.08萬 | -6.27%3,489.7萬 | -5.16%3,710.9萬 | 4.92%4,064萬 | 1.41%3,535.69萬 | 1.41%3,535.69萬 |
-應收賬款淨額 | -9.93%3,143.1萬 | -26.35%2,732.9萬 | -26.59%2,983.3萬 | -16.68%2,866.97萬 | -16.68%2,866.97萬 | -6.27%3,489.7萬 | -5.16%3,710.9萬 | 4.92%4,064萬 | 3.13%3,440.88萬 | 3.13%3,440.88萬 |
-其中:應收賬款 | ---- | ---- | ---- | -18.67%3,014.97萬 | -18.67%3,014.97萬 | ---- | ---- | ---- | 2.73%3,706.86萬 | 2.73%3,706.86萬 |
-其中:壞賬準備 | ---- | ---- | ---- | 44.36%-148萬 | 44.36%-148萬 | ---- | ---- | ---- | 2.21%-265.98萬 | 2.21%-265.98萬 |
-其他應收款 | ---- | ---- | ---- | -91.45%8.11萬 | -91.45%8.11萬 | ---- | ---- | ---- | -36.81%94.81萬 | -36.81%94.81萬 |
存貨 | -18.44%5,223.4萬 | -15.11%5,461.8萬 | -8.14%5,153.8萬 | -0.47%5,804.56萬 | -0.47%5,804.56萬 | 13.38%6,404.2萬 | 29.76%6,434萬 | 16.02%5,610.2萬 | 11.90%5,831.69萬 | 11.90%5,831.69萬 |
預付費用 | ---- | ---- | ---- | -51.78%279.81萬 | -51.78%279.81萬 | ---- | ---- | ---- | 252.86%580.25萬 | 252.86%580.25萬 |
稅項資產 | 332.20%76.5萬 | 167.65%54.6萬 | 75.00%28.7萬 | 16.07%18.73萬 | 16.07%18.73萬 | 12.03%17.7萬 | 4.62%20.4萬 | -14.58%16.4萬 | -15.27%16.13萬 | -15.27%16.13萬 |
流動資產合計 | -18.78%9,778.1萬 | -20.45%9,593.7萬 | -16.57%9,644.6萬 | -0.26%1.08億 | -0.26%1.08億 | 19.32%1.2億 | 22.39%1.21億 | 18.23%1.16億 | 4.82%1.08億 | 4.82%1.08億 |
非流動資產 | ||||||||||
物業廠房及設備淨額 | -31.38%5,773萬 | -31.40%5,776.2萬 | -32.10%5,809.2萬 | -8.76%7,844.9萬 | -8.76%7,844.9萬 | -2.72%8,412.7萬 | -2.06%8,419.6萬 | 0.07%8,555.1萬 | 1.12%8,598.2萬 | 1.12%8,598.2萬 |
-物業、廠房及設備 | -31.38%5,773萬 | -31.40%5,776.2萬 | -32.10%5,809.2萬 | -0.04%1.35億 | -0.04%1.35億 | -2.72%8,412.7萬 | -2.06%8,419.6萬 | 0.07%8,555.1萬 | 4.13%1.35億 | 4.13%1.35億 |
-累計折舊 | ---- | ---- | ---- | -15.20%-5,664.54萬 | -15.20%-5,664.54萬 | ---- | ---- | ---- | -9.86%-4,916.92萬 | -9.86%-4,916.92萬 |
投資物業 | ---- | --547.8萬 | --550.6萬 | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
投資總額 | --545.1萬 | ---- | ---- | --550.56萬 | --550.56萬 | ---- | ---- | ---- | --0 | --0 |
-長期股權投資 | ---- | ---- | ---- | --0 | --0 | ---- | ---- | ---- | --0 | --0 |
-其他投資 | --545.1萬 | ---- | ---- | --550.56萬 | --550.56萬 | ---- | ---- | ---- | ---- | ---- |
商譽及其他無形資產 | 0.00%703.7萬 | 0.00%703.7萬 | 0.00%703.7萬 | 0.00%703.75萬 | 0.00%703.75萬 | 0.00%703.7萬 | 0.00%703.7萬 | 0.00%703.7萬 | 0.00%703.75萬 | 0.00%703.75萬 |
-商譽 | 0.00%703.7萬 | 0.00%703.7萬 | 0.00%703.7萬 | 0.00%703.75萬 | 0.00%703.75萬 | 0.00%703.7萬 | 0.00%703.7萬 | 0.00%703.7萬 | 0.00%703.75萬 | 0.00%703.75萬 |
非流動資產合計 | -22.98%7,021.8萬 | -22.97%7,027.7萬 | -23.71%7,063.5萬 | -2.18%9,099.21萬 | -2.18%9,099.21萬 | -2.52%9,116.4萬 | -1.91%9,123.3萬 | 0.07%9,258.8萬 | 1.03%9,301.95萬 | 1.03%9,301.95萬 |
總資產 | -20.59%1.68億 | -21.54%1.66億 | -19.75%1.67億 | -11.39%1.79億 | -11.39%1.79億 | 8.82%2.12億 | 10.59%2.12億 | 9.40%2.08億 | 3.03%2.01億 | 3.03%2.01億 |
負債 | ||||||||||
流動負債 | ||||||||||
金融負債 | -23.93%1,875.7萬 | -19.59%2,026.9萬 | 3.59%2,370萬 | 26.63%2,381.3萬 | 26.63%2,381.3萬 | 42.05%2,465.8萬 | 33.77%2,520.7萬 | 23.84%2,287.9萬 | 0.55%1,880.51萬 | 0.55%1,880.51萬 |
-短期借款及資本租賃負債 | -23.93%1,875.7萬 | -19.59%2,026.9萬 | 3.59%2,370萬 | 26.63%2,381.3萬 | 26.63%2,381.3萬 | 42.05%2,465.8萬 | 33.77%2,520.7萬 | 23.84%2,287.9萬 | 0.55%1,880.51萬 | 0.55%1,880.51萬 |
-其中:短期借款 | -23.68%1,862.9萬 | -19.37%2,014.3萬 | 3.79%2,348.7萬 | 27.27%2,358.66萬 | 27.27%2,358.66萬 | 43.64%2,440.8萬 | 35.24%2,498.3萬 | 25.01%2,263萬 | 0.89%1,853.21萬 | 0.89%1,853.21萬 |
-其中:資本租賃負債 | -48.80%12.8萬 | -43.75%12.6萬 | -14.46%21.3萬 | -17.11%22.63萬 | -17.11%22.63萬 | -31.88%25萬 | -39.46%22.4萬 | -33.24%24.9萬 | -17.95%27.31萬 | -17.95%27.31萬 |
應付款項 | 1.32%3,737.3萬 | -5.43%3,363.8萬 | -0.72%2,872.4萬 | -15.53%2,883.07萬 | -15.53%2,883.07萬 | 5.30%3,688.6萬 | 15.85%3,556.9萬 | -1.81%2,893.2萬 | 19.42%3,413.26萬 | 19.42%3,413.26萬 |
-應付帳款 | 1.36%3,737.3萬 | -5.43%3,363.8萬 | -0.18%2,872.4萬 | 0.94%2,001.03萬 | 0.94%2,001.03萬 | 5.66%3,687萬 | 15.98%3,556.9萬 | -2.18%2,877.6萬 | -0.90%1,982.37萬 | -0.90%1,982.37萬 |
-應交稅費 | --0 | --0 | --0 | -0.32%7.95萬 | -0.32%7.95萬 | -88.06%1.6萬 | --0 | 231.91%15.6萬 | -53.33%7.97萬 | -53.33%7.97萬 |
-其他應付款 | ---- | ---- | ---- | -38.57%874.09萬 | -38.57%874.09萬 | ---- | ---- | ---- | 69.27%1,422.92萬 | 69.27%1,422.92萬 |
現行撥備 | ---- | ---- | ---- | --36萬 | --36萬 | ---- | ---- | ---- | ---- | ---- |
養老金及其他退休福利計畫 | ---- | ---- | ---- | -11.72%267.18萬 | -11.72%267.18萬 | ---- | ---- | ---- | 16.35%302.65萬 | 16.35%302.65萬 |
應計及遞延所得 | 414.77%275.4萬 | 206.17%278萬 | 213.27%290.4萬 | 45.25%583.65萬 | 45.25%583.65萬 | -48.41%53.5萬 | -28.33%90.8萬 | -3.54%92.7萬 | -17.16%401.83萬 | -17.16%401.83萬 |
其他流動負債 | ---- | ---- | ---- | 452.83%329.64萬 | 452.83%329.64萬 | ---- | ---- | ---- | 2.37%59.63萬 | 2.37%59.63萬 |
流動負債合計 | -5.15%5,888.4萬 | -8.10%5,668.7萬 | 4.91%5,532.8萬 | 6.98%6,480.83萬 | 6.98%6,480.83萬 | 16.20%6,207.9萬 | 21.40%6,168.4萬 | 7.85%5,273.8萬 | 9.51%6,057.89萬 | 9.51%6,057.89萬 |
非流動負債 | ||||||||||
非流動金融負債 | -16.47%735.4萬 | -13.62%769.8萬 | -12.24%816.7萬 | -10.40%865.69萬 | -10.40%865.69萬 | -13.80%880.4萬 | -16.15%891.2萬 | -15.50%930.6萬 | -14.42%966.22萬 | -14.42%966.22萬 |
-長期借款及資本租賃 | -16.47%735.4萬 | -13.62%769.8萬 | -12.24%816.7萬 | -10.40%865.69萬 | -10.40%865.69萬 | -13.80%880.4萬 | -16.15%891.2萬 | -15.50%930.6萬 | -14.42%966.22萬 | -14.42%966.22萬 |
-其中:長期借款 | -14.62%709.4萬 | -14.01%741.4萬 | -13.83%772.1萬 | -11.79%817.9萬 | -11.79%817.9萬 | -13.00%830.9萬 | -12.71%862.2萬 | -11.90%896萬 | -11.83%927.21萬 | -11.83%927.21萬 |
-其中:長期資本租賃負債 | -47.47%26萬 | -2.07%28.4萬 | 28.90%44.6萬 | 22.52%47.79萬 | 22.52%47.79萬 | -25.34%49.5萬 | -61.44%29萬 | -58.96%34.6萬 | -49.60%39.01萬 | -49.60%39.01萬 |
非流動遞延所得稅負債 | -0.95%146.7萬 | -1.01%147萬 | -0.94%147.4萬 | -0.99%147.72萬 | -0.99%147.72萬 | -1.00%148.1萬 | -1.00%148.5萬 | -1.06%148.8萬 | -1.06%149.19萬 | -1.06%149.19萬 |
非流動負債合計 | -14.23%882.1萬 | -11.82%916.8萬 | -10.68%964.1萬 | -9.14%1,013.41萬 | -9.14%1,013.41萬 | -12.17%1,028.5萬 | -14.28%1,039.7萬 | -13.77%1,079.4萬 | -12.84%1,115.41萬 | -12.84%1,115.41萬 |
負債總額 | -6.44%6,770.5萬 | -8.64%6,585.5萬 | 2.26%6,496.9萬 | 4.47%7,494.24萬 | 4.47%7,494.24萬 | 11.10%7,236.4萬 | 14.52%7,208.1萬 | 3.44%6,353.2萬 | 5.31%7,173.29萬 | 5.31%7,173.29萬 |
所有者權益 | ||||||||||
股本 | 0.00%1.14億 | 0.00%1.14億 | -0.02%1.14億 | 16.15%1.14億 | 16.15%1.14億 | 16.15%1.14億 | 16.15%1.14億 | 16.17%1.14億 | 0.00%9,790.34萬 | 0.00%9,790.34萬 |
-普通股 | 0.00%1.14億 | 0.00%1.14億 | -0.02%1.14億 | 16.15%1.14億 | 16.15%1.14億 | 16.15%1.14億 | 16.15%1.14億 | 16.17%1.14億 | 0.00%9,790.34萬 | 0.00%9,790.34萬 |
留存收益 | -135.22%-1,050.8萬 | -131.65%-1,001.6萬 | -126.96%-903.5萬 | -124.20%-858.6萬 | -124.20%-858.6萬 | --2,983.9萬 | --3,164.9萬 | --3,351.1萬 | 3.02%3,547.8萬 | 3.02%3,547.8萬 |
其他儲備 | 22.52%-500.8萬 | 29.42%-543.5萬 | 0.32%-466.3萬 | 57.23%-156.85萬 | 57.23%-156.85萬 | -120.60%-646.4萬 | -125.08%-770.1萬 | -115.10%-467.8萬 | 25.71%-366.71萬 | 25.71%-366.71萬 |
其他股本權益 | 0.00%209.3萬 | 0.00%209.3萬 | 0.00%209.3萬 | ---- | ---- | --209.3萬 | --209.3萬 | --209.3萬 | ---- | ---- |
股東權益 | -27.94%1億 | -28.19%1億 | -29.41%1.02億 | -20.16%1.04億 | -20.16%1.04億 | 7.67%1.39億 | 8.67%1.4億 | 12.24%1.45億 | 1.81%1.3億 | 1.81%1.3億 |
總權益 | -27.94%1億 | -28.19%1億 | -29.41%1.02億 | -20.16%1.04億 | -20.16%1.04億 | 7.67%1.39億 | 8.67%1.4億 | 12.24%1.45億 | 1.81%1.3億 | 1.81%1.3億 |
會計準則 | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-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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