美股市场个股详情

SMXT SolarMax Technology

添加自选
  • 1.195
  • +0.005+0.42%
交易中 05/02 14:29 (美东)
5477.00万总市值-1.55市盈率TTM

SolarMax Technology关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(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
资产
流动资产
现金及现金等价物和短期投资
180.54%712.39万
180.54%712.39万
160.86%858.43万
211.01%904.82万
49.76%1,192.98万
-33.56%253.93万
-33.56%253.93万
-31.08%329.08万
-32.35%290.93万
57.73%796.62万
-现金和现金等价物
-69.03%78.63万
-69.03%78.63万
-73.52%87.14万
-53.25%136万
-38.12%492.98万
-33.56%253.93万
-33.56%253.93万
-31.08%329.08万
-32.35%290.93万
57.73%796.62万
-短期投资
--633.76万
--633.76万
--771.29万
--768.82万
--700万
--0
--0
----
----
----
应收款项
-15.70%938.79万
-15.70%938.79万
-40.71%1,071.17万
-50.73%1,086.7万
-50.41%1,035.16万
-39.55%1,113.61万
-39.55%1,113.61万
-3.15%1,806.68万
11.84%2,205.64万
-13.43%2,087.61万
-应收账款
1.32%423.16万
1.32%423.16万
-5.07%459.15万
-9.35%442.36万
-19.44%398.04万
-29.61%417.63万
-29.61%417.63万
59.37%483.67万
74.43%487.98万
64.53%494.1万
-应收贷款
-41.81%128.74万
-41.81%128.74万
-41.08%142.19万
-40.99%154.86万
-48.58%139.57万
-35.64%221.26万
-35.64%221.26万
-35.34%241.3万
-34.17%262.45万
-40.33%271.46万
-应收利息
-63.36%1.19万
-63.36%1.19万
37.52%4.12万
508.73%17.3万
2,150.27%60.35万
11.73%3.25万
11.73%3.25万
-1.34%2.99万
-2.96%2.84万
-17.10%2.68万
-应收税费
----
----
----
----
----
----
----
--0
--0
-70.92%33.97万
-应收关联方款项
-20.53%296.33万
-20.53%296.33万
4.00%375.86万
-0.15%362.86万
-4.88%365.18万
-2.44%372.89万
-2.44%372.89万
-2.70%361.42万
-7.97%363.41万
-7.77%383.92万
-其他应收款
-9.34%89.38万
-9.34%89.38万
-87.47%89.85万
-89.96%109.31万
-92.01%72.02万
-80.81%98.58万
-80.81%98.58万
-11.40%717.31万
29.99%1,088.97万
1.49%901.48万
存货
-2.89%130.26万
-2.89%130.26万
-7.43%151.54万
-23.19%155.74万
-55.31%124.84万
-60.60%134.14万
-60.60%134.14万
-62.44%163.69万
-19.23%202.76万
-14.23%279.37万
预付费用
-48.68%66.71万
-48.68%66.71万
-58.29%86.1万
--60.89万
--117万
--130万
--130万
--206.44万
----
----
受限制现金
----
----
-99.10%4,920
----
----
----
----
--54.84万
--75.72万
-90.94%21.74万
递延资产
-18.59%184.15万
-18.59%184.15万
-46.83%168.38万
-56.02%149.2万
-59.49%138.3万
9.89%226.19万
9.89%226.19万
103.66%316.7万
205.95%339.23万
97.84%341.37万
其他流动资产
-53.32%62.68万
-53.32%62.68万
-46.11%80.81万
-67.59%112.3万
-60.22%118.36万
-2.66%134.28万
-2.66%134.28万
12.60%149.95万
157.17%346.56万
128.19%297.49万
流动资产合计
5.16%2,094.99万
5.16%2,094.99万
-20.16%2,416.92万
-28.64%2,469.65万
-28.70%2,726.64万
-31.51%1,992.16万
-31.51%1,992.16万
-1.31%3,027.39万
19.39%3,460.85万
1.03%3,824.21万
非流动资产
固定资产净额
-40.74%337.99万
-40.74%337.99万
-38.23%376.98万
-73.22%415.88万
-71.68%454.24万
-22.18%570.32万
-22.18%570.32万
-55.73%610.33万
9.00%1,553.01万
192.85%1,604.17万
-固定资产
-21.70%922.94万
-21.70%922.94万
-20.75%961.58万
-52.75%1,016.71万
-52.16%1,052.99万
-11.78%1,178.74万
-11.78%1,178.74万
-38.58%1,213.37万
6.25%2,151.94万
91.98%2,201.25万
-累计折旧
3.86%-584.96万
3.86%-584.96万
3.06%-584.6万
-0.32%-600.83万
-0.28%-598.76万
-0.85%-608.42万
-0.85%-608.42万
-1.01%-603.03万
0.28%-598.93万
0.29%-597.08万
商誉及其他无形资产
--0
--0
--0
-0.15%738.09万
-4.88%742.8万
-2.44%758.48万
-2.44%758.48万
-2.53%735.14万
-7.69%739.2万
-7.64%780.91万
-商誉
--0
--0
--0
-0.15%738.09万
-4.88%742.8万
-2.44%758.48万
-2.44%758.48万
-2.53%735.14万
-7.69%739.2万
-7.64%780.91万
投资和预付款
3.33%1,002.09万
3.33%1,002.09万
9.83%1,034.2万
--973.38万
--955.75万
7.11%969.83万
7.11%969.83万
--941.67万
----
----
长期应收票据
-28.84%307.62万
-28.84%307.62万
-28.89%349.16万
-32.10%377.29万
-30.73%444.43万
-36.83%432.29万
-36.83%432.29万
-36.69%491.04万
-36.87%555.64万
-32.71%641.61万
关联方资产
-20.53%296.33万
-20.53%296.33万
4.00%375.86万
-0.15%362.86万
-4.88%365.18万
-2.44%372.89万
-2.44%372.89万
-2.70%361.42万
-7.97%363.41万
-7.77%383.92万
非流动递延资产
--0
--0
465.70%7.3万
--12.69万
-71.65%18.65万
75.81%18.92万
75.81%18.92万
--1.29万
--0
3,425.65%65.8万
其他非流动资产
-2.59%120.31万
-2.59%120.31万
-4.99%119.99万
-2.98%122.22万
0.73%126.7万
-3.82%123.51万
-3.82%123.51万
114.88%126.29万
171.58%125.97万
170.26%125.78万
非流动资产合计
-38.47%1,768万
-38.47%1,768万
-35.04%1,887.63万
-11.24%2,639.55万
-14.78%2,742.57万
-11.30%2,873.36万
-11.30%2,873.36万
-2.07%2,905.77万
-5.71%2,973.82万
-3.33%3,218.28万
总资产
-20.60%3,862.99万
-20.60%3,862.99万
-27.45%4,304.56万
-20.60%5,109.2万
-22.34%5,469.21万
-20.86%4,865.52万
-20.86%4,865.52万
-1.68%5,933.15万
6.31%6,434.67万
-1.01%7,042.49万
负债
流动负债
应付款项
-11.50%806.54万
-11.50%806.54万
-13.77%840.03万
-26.99%767.86万
-41.45%769.54万
1.48%911.37万
1.48%911.37万
1.99%974.16万
14.78%1,051.78万
3.70%1,314.42万
-应付账款
-21.23%266.57万
-21.23%266.57万
-34.48%274.53万
-53.25%211.23万
5.64%204.22万
51.66%338.42万
51.66%338.42万
77.09%418.96万
194.24%451.86万
-33.05%193.31万
-应付税费
-9.99%75.92万
-9.99%75.92万
2.56%78.78万
-14.08%85.36万
143.63%82.81万
393.05%84.34万
393.05%84.34万
1,615.33%76.81万
2,045.64%99.35万
6,875.13%33.99万
-其他应付款
-5.03%464.05万
-5.03%464.05万
1.74%486.72万
-5.85%471.26万
-55.62%482.51万
-25.72%488.61万
-25.72%488.61万
-33.01%478.38万
-33.98%500.56万
11.12%1,087.12万
应计费用
-42.64%217.05万
-42.64%217.05万
-42.04%380.44万
-47.27%374.3万
-24.77%532.46万
-29.60%378.38万
-29.60%378.38万
32.61%656.33万
84.58%709.81万
89.59%707.74万
短期借款与租赁负债
-16.73%1,959.97万
-16.73%1,959.97万
1.49%2,147.38万
-30.16%1,943.86万
5.91%2,140.4万
15.62%2,353.62万
15.62%2,353.62万
-9.85%2,115.87万
32.81%2,783.35万
-10.29%2,020.88万
-短期借款
-18.20%1,802.87万
-18.20%1,802.87万
1.23%1,993.87万
-32.06%1,793.87万
5.98%1,993.87万
17.02%2,203.87万
17.02%2,203.87万
-11.85%1,969.6万
32.98%2,640.49万
-12.30%1,881.36万
-短期租赁负债
4.91%157.11万
4.91%157.11万
4.95%153.51万
4.99%150万
5.03%146.53万
-1.68%149.76万
-1.68%149.76万
29.60%146.27万
29.70%142.87万
29.81%139.51万
递延负债
-34.79%162.19万
-34.79%162.19万
-81.74%204.86万
-85.75%207.81万
-98.06%26.92万
-73.57%248.72万
-73.57%248.72万
38.69%1,121.72万
117.32%1,458.23万
151.48%1,386.43万
流动负债总额
-19.96%3,474万
-19.96%3,474万
-26.29%3,772万
-44.34%3,488.03万
-36.11%3,639.34万
-6.69%4,340.13万
-6.69%4,340.13万
1.66%5,117.05万
39.60%6,266.2万
16.99%5,696.4万
非流动负债
长期借款与租赁负债
-16.93%1,524.28万
-16.93%1,524.28万
-36.08%1,390.51万
4.91%1,655.85万
-34.70%1,626.47万
-33.58%1,834.83万
-33.58%1,834.83万
-10.40%2,175.41万
-43.08%1,578.41万
-14.44%2,490.84万
-长期借款
-5.18%1,353.04万
-5.18%1,353.04万
-31.83%1,178.48万
28.36%1,404.46万
-32.15%1,336.32万
-35.59%1,426.98万
-35.59%1,426.98万
-12.86%1,728.63万
-52.42%1,094.12万
-18.25%1,969.62万
-长期租赁负债
-58.02%171.23万
-58.02%171.23万
-52.54%212.04万
-48.09%251.39万
-44.33%290.15万
-25.43%407.86万
-25.43%407.86万
0.58%446.77万
2.32%484.28万
3.84%521.23万
递延负债
--162.05万
--162.05万
----
----
----
--0
--0
----
--6.75万
----
其他非流动负债
-24.62%210.55万
-24.62%210.55万
-12.93%235.81万
-30.64%246.74万
-31.01%261.91万
-21.29%279.34万
-21.29%279.34万
-0.90%270.83万
30.30%355.72万
49.13%379.62万
非流动负债总额
-10.28%1,896.88万
-10.28%1,896.88万
-33.52%1,626.32万
-1.97%1,902.58万
-34.21%1,888.39万
-32.18%2,114.17万
-32.18%2,114.17万
-10.36%2,446.24万
-36.28%1,940.88万
-9.33%2,870.46万
总负债
-16.79%5,370.88万
-16.79%5,370.88万
-28.62%5,398.32万
-34.32%5,390.61万
-35.48%5,527.73万
-16.92%6,454.3万
-16.92%6,454.3万
-2.57%7,563.29万
8.92%8,207.08万
6.62%8,566.86万
所有者权益
股本
13.54%4.65万
13.54%4.65万
13.54%4.65万
12.89%4.63万
12.80%4.62万
0.00%4.1万
0.00%4.1万
0.00%4.1万
0.00%4.1万
0.00%4.1万
-普通股股本
13.54%4.65万
13.54%4.65万
13.54%4.65万
12.89%4.63万
12.80%4.62万
0.00%4.1万
0.00%4.1万
0.00%4.1万
0.00%4.1万
0.00%4.1万
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
-50.95%-1.04亿
-50.95%-1.04亿
-45.08%-9,968.27万
-28.34%-9,006万
-28.66%-8,789.58万
0.63%-6,862.4万
0.63%-6,862.4万
1.63%-6,870.89万
-3.21%-7,017.42万
-8.47%-6,831.59万
资本公积
64.72%9,188.93万
64.72%9,188.93万
64.72%9,188.93万
62.34%9,056.37万
62.34%9,056.37万
0.00%5,578.66万
0.00%5,578.66万
0.00%5,578.66万
0.00%5,578.66万
0.00%5,578.66万
减:库存股
9.42%197.93万
9.42%197.93万
0.00%180.89万
0.00%180.89万
0.00%180.89万
0.00%180.89万
0.00%180.89万
0.00%180.89万
0.00%180.89万
0.00%180.89万
不影响留存收益的损益
-12.99%-144.92万
-12.99%-144.92万
14.23%-138.19万
0.86%-155.51万
-57.48%-149.05万
-9.86%-128.26万
-9.86%-128.26万
-11.02%-161.12万
-84.88%-156.87万
-279.45%-94.65万
股东权益总额
5.09%-1,507.89万
5.09%-1,507.89万
32.90%-1,093.76万
84.12%-281.4万
96.16%-58.52万
1.97%-1,588.78万
1.97%-1,588.78万
5.66%-1,630.13万
-19.60%-1,772.42万
-65.50%-1,524.37万
总权益
5.09%-1,507.89万
5.09%-1,507.89万
32.90%-1,093.76万
84.12%-281.4万
96.16%-58.52万
1.97%-1,588.78万
1.97%-1,588.78万
5.66%-1,630.13万
-19.60%-1,772.42万
-65.50%-1,524.37万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
审计意见
带解释段的无保留意见
--
--
--
--
带解释段的无保留意见
--
--
--
--
(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(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
资产
流动资产
现金及现金等价物和短期投资 180.54%712.39万180.54%712.39万160.86%858.43万211.01%904.82万49.76%1,192.98万-33.56%253.93万-33.56%253.93万-31.08%329.08万-32.35%290.93万57.73%796.62万
-现金和现金等价物 -69.03%78.63万-69.03%78.63万-73.52%87.14万-53.25%136万-38.12%492.98万-33.56%253.93万-33.56%253.93万-31.08%329.08万-32.35%290.93万57.73%796.62万
-短期投资 --633.76万--633.76万--771.29万--768.82万--700万--0--0------------
应收款项 -15.70%938.79万-15.70%938.79万-40.71%1,071.17万-50.73%1,086.7万-50.41%1,035.16万-39.55%1,113.61万-39.55%1,113.61万-3.15%1,806.68万11.84%2,205.64万-13.43%2,087.61万
-应收账款 1.32%423.16万1.32%423.16万-5.07%459.15万-9.35%442.36万-19.44%398.04万-29.61%417.63万-29.61%417.63万59.37%483.67万74.43%487.98万64.53%494.1万
-应收贷款 -41.81%128.74万-41.81%128.74万-41.08%142.19万-40.99%154.86万-48.58%139.57万-35.64%221.26万-35.64%221.26万-35.34%241.3万-34.17%262.45万-40.33%271.46万
-应收利息 -63.36%1.19万-63.36%1.19万37.52%4.12万508.73%17.3万2,150.27%60.35万11.73%3.25万11.73%3.25万-1.34%2.99万-2.96%2.84万-17.10%2.68万
-应收税费 ------------------------------0--0-70.92%33.97万
-应收关联方款项 -20.53%296.33万-20.53%296.33万4.00%375.86万-0.15%362.86万-4.88%365.18万-2.44%372.89万-2.44%372.89万-2.70%361.42万-7.97%363.41万-7.77%383.92万
-其他应收款 -9.34%89.38万-9.34%89.38万-87.47%89.85万-89.96%109.31万-92.01%72.02万-80.81%98.58万-80.81%98.58万-11.40%717.31万29.99%1,088.97万1.49%901.48万
存货 -2.89%130.26万-2.89%130.26万-7.43%151.54万-23.19%155.74万-55.31%124.84万-60.60%134.14万-60.60%134.14万-62.44%163.69万-19.23%202.76万-14.23%279.37万
预付费用 -48.68%66.71万-48.68%66.71万-58.29%86.1万--60.89万--117万--130万--130万--206.44万--------
受限制现金 ---------99.10%4,920------------------54.84万--75.72万-90.94%21.74万
递延资产 -18.59%184.15万-18.59%184.15万-46.83%168.38万-56.02%149.2万-59.49%138.3万9.89%226.19万9.89%226.19万103.66%316.7万205.95%339.23万97.84%341.37万
其他流动资产 -53.32%62.68万-53.32%62.68万-46.11%80.81万-67.59%112.3万-60.22%118.36万-2.66%134.28万-2.66%134.28万12.60%149.95万157.17%346.56万128.19%297.49万
流动资产合计 5.16%2,094.99万5.16%2,094.99万-20.16%2,416.92万-28.64%2,469.65万-28.70%2,726.64万-31.51%1,992.16万-31.51%1,992.16万-1.31%3,027.39万19.39%3,460.85万1.03%3,824.21万
非流动资产
固定资产净额 -40.74%337.99万-40.74%337.99万-38.23%376.98万-73.22%415.88万-71.68%454.24万-22.18%570.32万-22.18%570.32万-55.73%610.33万9.00%1,553.01万192.85%1,604.17万
-固定资产 -21.70%922.94万-21.70%922.94万-20.75%961.58万-52.75%1,016.71万-52.16%1,052.99万-11.78%1,178.74万-11.78%1,178.74万-38.58%1,213.37万6.25%2,151.94万91.98%2,201.25万
-累计折旧 3.86%-584.96万3.86%-584.96万3.06%-584.6万-0.32%-600.83万-0.28%-598.76万-0.85%-608.42万-0.85%-608.42万-1.01%-603.03万0.28%-598.93万0.29%-597.08万
商誉及其他无形资产 --0--0--0-0.15%738.09万-4.88%742.8万-2.44%758.48万-2.44%758.48万-2.53%735.14万-7.69%739.2万-7.64%780.91万
-商誉 --0--0--0-0.15%738.09万-4.88%742.8万-2.44%758.48万-2.44%758.48万-2.53%735.14万-7.69%739.2万-7.64%780.91万
投资和预付款 3.33%1,002.09万3.33%1,002.09万9.83%1,034.2万--973.38万--955.75万7.11%969.83万7.11%969.83万--941.67万--------
长期应收票据 -28.84%307.62万-28.84%307.62万-28.89%349.16万-32.10%377.29万-30.73%444.43万-36.83%432.29万-36.83%432.29万-36.69%491.04万-36.87%555.64万-32.71%641.61万
关联方资产 -20.53%296.33万-20.53%296.33万4.00%375.86万-0.15%362.86万-4.88%365.18万-2.44%372.89万-2.44%372.89万-2.70%361.42万-7.97%363.41万-7.77%383.92万
非流动递延资产 --0--0465.70%7.3万--12.69万-71.65%18.65万75.81%18.92万75.81%18.92万--1.29万--03,425.65%65.8万
其他非流动资产 -2.59%120.31万-2.59%120.31万-4.99%119.99万-2.98%122.22万0.73%126.7万-3.82%123.51万-3.82%123.51万114.88%126.29万171.58%125.97万170.26%125.78万
非流动资产合计 -38.47%1,768万-38.47%1,768万-35.04%1,887.63万-11.24%2,639.55万-14.78%2,742.57万-11.30%2,873.36万-11.30%2,873.36万-2.07%2,905.77万-5.71%2,973.82万-3.33%3,218.28万
总资产 -20.60%3,862.99万-20.60%3,862.99万-27.45%4,304.56万-20.60%5,109.2万-22.34%5,469.21万-20.86%4,865.52万-20.86%4,865.52万-1.68%5,933.15万6.31%6,434.67万-1.01%7,042.49万
负债
流动负债
应付款项 -11.50%806.54万-11.50%806.54万-13.77%840.03万-26.99%767.86万-41.45%769.54万1.48%911.37万1.48%911.37万1.99%974.16万14.78%1,051.78万3.70%1,314.42万
-应付账款 -21.23%266.57万-21.23%266.57万-34.48%274.53万-53.25%211.23万5.64%204.22万51.66%338.42万51.66%338.42万77.09%418.96万194.24%451.86万-33.05%193.31万
-应付税费 -9.99%75.92万-9.99%75.92万2.56%78.78万-14.08%85.36万143.63%82.81万393.05%84.34万393.05%84.34万1,615.33%76.81万2,045.64%99.35万6,875.13%33.99万
-其他应付款 -5.03%464.05万-5.03%464.05万1.74%486.72万-5.85%471.26万-55.62%482.51万-25.72%488.61万-25.72%488.61万-33.01%478.38万-33.98%500.56万11.12%1,087.12万
应计费用 -42.64%217.05万-42.64%217.05万-42.04%380.44万-47.27%374.3万-24.77%532.46万-29.60%378.38万-29.60%378.38万32.61%656.33万84.58%709.81万89.59%707.74万
短期借款与租赁负债 -16.73%1,959.97万-16.73%1,959.97万1.49%2,147.38万-30.16%1,943.86万5.91%2,140.4万15.62%2,353.62万15.62%2,353.62万-9.85%2,115.87万32.81%2,783.35万-10.29%2,020.88万
-短期借款 -18.20%1,802.87万-18.20%1,802.87万1.23%1,993.87万-32.06%1,793.87万5.98%1,993.87万17.02%2,203.87万17.02%2,203.87万-11.85%1,969.6万32.98%2,640.49万-12.30%1,881.36万
-短期租赁负债 4.91%157.11万4.91%157.11万4.95%153.51万4.99%150万5.03%146.53万-1.68%149.76万-1.68%149.76万29.60%146.27万29.70%142.87万29.81%139.51万
递延负债 -34.79%162.19万-34.79%162.19万-81.74%204.86万-85.75%207.81万-98.06%26.92万-73.57%248.72万-73.57%248.72万38.69%1,121.72万117.32%1,458.23万151.48%1,386.43万
流动负债总额 -19.96%3,474万-19.96%3,474万-26.29%3,772万-44.34%3,488.03万-36.11%3,639.34万-6.69%4,340.13万-6.69%4,340.13万1.66%5,117.05万39.60%6,266.2万16.99%5,696.4万
非流动负债
长期借款与租赁负债 -16.93%1,524.28万-16.93%1,524.28万-36.08%1,390.51万4.91%1,655.85万-34.70%1,626.47万-33.58%1,834.83万-33.58%1,834.83万-10.40%2,175.41万-43.08%1,578.41万-14.44%2,490.84万
-长期借款 -5.18%1,353.04万-5.18%1,353.04万-31.83%1,178.48万28.36%1,404.46万-32.15%1,336.32万-35.59%1,426.98万-35.59%1,426.98万-12.86%1,728.63万-52.42%1,094.12万-18.25%1,969.62万
-长期租赁负债 -58.02%171.23万-58.02%171.23万-52.54%212.04万-48.09%251.39万-44.33%290.15万-25.43%407.86万-25.43%407.86万0.58%446.77万2.32%484.28万3.84%521.23万
递延负债 --162.05万--162.05万--------------0--0------6.75万----
其他非流动负债 -24.62%210.55万-24.62%210.55万-12.93%235.81万-30.64%246.74万-31.01%261.91万-21.29%279.34万-21.29%279.34万-0.90%270.83万30.30%355.72万49.13%379.62万
非流动负债总额 -10.28%1,896.88万-10.28%1,896.88万-33.52%1,626.32万-1.97%1,902.58万-34.21%1,888.39万-32.18%2,114.17万-32.18%2,114.17万-10.36%2,446.24万-36.28%1,940.88万-9.33%2,870.46万
总负债 -16.79%5,370.88万-16.79%5,370.88万-28.62%5,398.32万-34.32%5,390.61万-35.48%5,527.73万-16.92%6,454.3万-16.92%6,454.3万-2.57%7,563.29万8.92%8,207.08万6.62%8,566.86万
所有者权益
股本 13.54%4.65万13.54%4.65万13.54%4.65万12.89%4.63万12.80%4.62万0.00%4.1万0.00%4.1万0.00%4.1万0.00%4.1万0.00%4.1万
-普通股股本 13.54%4.65万13.54%4.65万13.54%4.65万12.89%4.63万12.80%4.62万0.00%4.1万0.00%4.1万0.00%4.1万0.00%4.1万0.00%4.1万
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 -50.95%-1.04亿-50.95%-1.04亿-45.08%-9,968.27万-28.34%-9,006万-28.66%-8,789.58万0.63%-6,862.4万0.63%-6,862.4万1.63%-6,870.89万-3.21%-7,017.42万-8.47%-6,831.59万
资本公积 64.72%9,188.93万64.72%9,188.93万64.72%9,188.93万62.34%9,056.37万62.34%9,056.37万0.00%5,578.66万0.00%5,578.66万0.00%5,578.66万0.00%5,578.66万0.00%5,578.66万
减:库存股 9.42%197.93万9.42%197.93万0.00%180.89万0.00%180.89万0.00%180.89万0.00%180.89万0.00%180.89万0.00%180.89万0.00%180.89万0.00%180.89万
不影响留存收益的损益 -12.99%-144.92万-12.99%-144.92万14.23%-138.19万0.86%-155.51万-57.48%-149.05万-9.86%-128.26万-9.86%-128.26万-11.02%-161.12万-84.88%-156.87万-279.45%-94.65万
股东权益总额 5.09%-1,507.89万5.09%-1,507.89万32.90%-1,093.76万84.12%-281.4万96.16%-58.52万1.97%-1,588.78万1.97%-1,588.78万5.66%-1,630.13万-19.60%-1,772.42万-65.50%-1,524.37万
总权益 5.09%-1,507.89万5.09%-1,507.89万32.90%-1,093.76万84.12%-281.4万96.16%-58.52万1.97%-1,588.78万1.97%-1,588.78万5.66%-1,630.13万-19.60%-1,772.42万-65.50%-1,524.37万
货币单位 美元美元美元美元美元美元美元美元美元美元
审计意见 带解释段的无保留意见--------带解释段的无保留意见--------

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