港股市場個股詳情

09688 再鼎醫藥

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  • 13.560
  • +0.560+4.31%
交易中 05/02 13:27 (北京)
134.53億總市值-5144市盈率TTM

再鼎醫藥關鍵統計數據

全部
顯示同比 yoy
隱藏空行 yoy
(FY)2023/12/31
(Q9)2023/09/30
(Q6)2023/06/30
(Q3)2023/03/31
(FY)2022/12/31
(Q9)2022/12/31
(Q6)2022/12/31
(Q3)2022/12/31
(FY)2021/12/31
(Q9)2021/12/31
資產
流動資產
存貨
41.76%4,482.7萬
39.87%4,422.9萬
14.96%3,635.3萬
21.45%3,840.5萬
66.86%3,162.1萬
66.86%3,162.1萬
66.86%3,162.1萬
66.86%3,162.1萬
44.18%1,895.1萬
44.18%1,895.1萬
應收賬款
48.13%5,919.9萬
4.09%4,159.6萬
18.32%4,728.3萬
8.47%4,334.6萬
-15.82%3,996.3萬
-15.82%3,996.3萬
-15.82%3,996.3萬
-15.82%3,996.3萬
819.15%4,747.4萬
819.15%4,747.4萬
應收票據
-28.74%613.4萬
175.08%2,367.9萬
141.41%2,078.1萬
101.92%1,738.1萬
17.36%860.8萬
17.36%860.8萬
17.36%860.8萬
17.36%860.8萬
--733.5萬
--733.5萬
預付款按金及其他應收款
-35.54%2,299.5萬
-16.41%2,982.1萬
7.73%3,843.3萬
19.90%4,277.2萬
97.96%3,567.4萬
97.96%3,567.4萬
97.96%3,567.4萬
97.96%3,567.4萬
64.80%1,802.1萬
64.80%1,802.1萬
現金及等價物
-21.65%7.9億
-21.78%7.89億
-14.81%8.59億
-12.75%8.8億
4.60%10.08億
4.60%10.08億
4.60%10.08億
4.60%10.08億
118.06%9.64億
118.06%9.64億
短期投資
--1,630萬
--3,160萬
--1,550萬
--5,055萬
----
----
----
----
-40.24%4.45億
-40.24%4.45億
流動資產合計
-16.43%9.4億
-14.64%9.6億
-9.50%10.18億
-4.63%10.72億
-25.09%11.24億
-25.09%11.24億
-25.09%11.24億
-25.09%11.24億
23.42%15.01億
23.42%15.01億
非流動資產
物業廠房及設備
-7.14%5,373.4萬
-4.46%5,528.2萬
-2.51%5,641萬
0.77%5,830.9萬
34.25%5,786.3萬
34.25%5,786.3萬
34.25%5,786.3萬
34.25%5,786.3萬
47.80%4,310.2萬
47.80%4,310.2萬
土地使用權
-55.47%306.9萬
-55.64%305.7萬
-55.50%306.7萬
0.41%692萬
-11.77%689.2萬
-11.77%689.2萬
-11.77%689.2萬
-11.77%689.2萬
-1.23%781.1萬
-1.23%781.1萬
預付款項
-52.72%132萬
-49.86%140萬
-19.59%224.5萬
9.06%304.5萬
50.19%279.2萬
50.19%279.2萬
50.19%279.2萬
50.19%279.2萬
63.64%185.9萬
63.64%185.9萬
長期投資
43.37%922萬
-30.56%446.6萬
-20.26%512.8萬
6.86%687.2萬
-58.79%643.1萬
-58.79%643.1萬
-58.79%643.1萬
-58.79%643.1萬
1,120.09%1,560.5萬
1,120.09%1,560.5萬
無形資產
786.10%1,338.9萬
3.77%156.8萬
11.85%169萬
-2.12%147.9萬
-18.24%151.1萬
-18.24%151.1萬
-18.24%151.1萬
-18.24%151.1萬
20.63%184.8萬
20.63%184.8萬
非流動資產特殊專案
-21.45%1,595.7萬
-10.46%1,819萬
0.06%2,032.8萬
4.12%2,115.1萬
-47.71%2,031.5萬
-47.71%2,031.5萬
-47.71%2,031.5萬
-47.71%2,031.5萬
-4.27%3,885萬
-4.27%3,885萬
非流動資產合計
0.92%9,668.9萬
-12.36%8,396.3萬
-7.24%8,886.8萬
2.06%9,777.6萬
-12.17%9,580.4萬
-12.17%9,580.4萬
-12.17%9,580.4萬
-12.17%9,580.4萬
33.67%1.09億
33.67%1.09億
總資產
-15.07%10.36億
-14.46%10.44億
-9.32%11.06億
-4.10%11.7億
-24.21%12.2億
-24.21%12.2億
-24.21%12.2億
-24.21%12.2億
24.07%16.1億
24.07%16.1億
負債
流動負債
應付帳款
71.27%1.13億
-16.60%5,502萬
1.60%6,703.1萬
0.59%6,636.1萬
-47.71%6,597.4萬
-47.71%6,597.4萬
-47.71%6,597.4萬
-47.71%6,597.4萬
101.41%1.26億
101.41%1.26億
融資租賃負債-流動負債
0.77%710.4萬
-2.33%688.6萬
3.53%729.9萬
3.80%731.8萬
18.95%705萬
18.95%705萬
18.95%705萬
18.95%705萬
13.85%592.7萬
13.85%592.7萬
其他流動負債
24.18%8,297.2萬
-5.73%6,299萬
-11.66%5,902.4萬
-23.85%5,088.1萬
9.88%6,681.8萬
9.88%6,681.8萬
9.88%6,681.8萬
9.88%6,681.8萬
101.39%6,081.1萬
101.39%6,081.1萬
流動負債合計
45.21%2.03億
-10.69%1.25億
-4.64%1.33億
-10.93%1.25億
-27.51%1.4億
-27.51%1.4億
-27.51%1.4億
-27.51%1.4億
96.75%1.93億
96.75%1.93億
淨流動資產
-25.19%7.37億
-15.20%8.35億
-10.19%8.84億
-3.73%9.48億
-24.73%9.84億
-24.73%9.84億
-24.73%9.84億
-24.73%9.84億
16.99%13.08億
16.99%13.08億
總資產減流動負債
-22.87%8.33億
-14.95%9.19億
-9.93%9.73億
-3.22%10.46億
-23.76%10.8億
-23.76%10.8億
-23.76%10.8億
-23.76%10.8億
18.13%14.17億
18.13%14.17億
非流動負債
融資租賃負債-非流動負債
-39.69%804.7萬
-26.49%980.8萬
-11.90%1,175.5萬
-2.73%1,297.9萬
38.80%1,334.3萬
38.80%1,334.3萬
38.80%1,334.3萬
38.80%1,334.3萬
-28.22%961.3萬
-28.22%961.3萬
遞延收入-非流動負債
34.54%2,873.8萬
29.62%2,768.6萬
34.01%2,862.5萬
44.98%3,096.8萬
-22.29%2,136萬
-22.29%2,136萬
-22.29%2,136萬
-22.29%2,136萬
63.04%2,748.6萬
63.04%2,748.6萬
其他非流動負債
--32.5萬
--32.5萬
--32.5萬
--32.5萬
----
----
----
----
----
----
非流動負債合計
6.94%3,711萬
8.98%3,781.9萬
17.30%4,070.5萬
27.57%4,427.2萬
-6.46%3,470.3萬
-6.46%3,470.3萬
-6.46%3,470.3萬
-6.46%3,470.3萬
22.64%3,709.9萬
22.64%3,709.9萬
總負債
37.60%2.4億
-6.78%1.63億
-0.28%1.74億
-3.27%1.69億
-24.11%1.75億
-24.11%1.75億
-24.11%1.75億
-24.11%1.75億
79.28%2.3億
79.28%2.3億
總資產減總負債
-23.86%7.96億
-15.74%8.81億
-10.83%9.32億
-4.24%10.01億
-24.23%10.46億
-24.23%10.46億
-24.23%10.46億
-24.23%10.46億
18.01%13.8億
18.01%13.8億
總權益及非流動負債
-22.87%8.33億
-14.95%9.19億
-9.93%9.73億
-3.22%10.46億
-23.76%10.8億
-23.76%10.8億
-23.76%10.8億
-23.76%10.8億
18.13%14.17億
18.13%14.17億
權益
股本
0.00%6,000
0.00%6,000
0.00%6,000
0.00%6,000
0.00%6,000
0.00%6,000
0.00%6,000
0.00%6,000
20.00%6,000
20.00%6,000
資本公積
2.84%29.75億
2.12%29.54億
1.35%29.32億
0.63%29.11億
--28.93億
--28.93億
--28.93億
--28.93億
----
----
保留溢利
-17.98%-21.96億
-12.85%-21.01億
-9.14%-20.31億
-2.64%-19.11億
-31.26%-18.61億
-31.26%-18.61億
-31.26%-18.61億
-31.26%-18.61億
-98.72%-14.18億
-98.72%-14.18億
股東權益特殊項目
21.41%1,679萬
96.41%2,716.2萬
128.90%3,165.4萬
-97.93%28.6萬
-99.51%1,382.9萬
-99.51%1,382.9萬
-99.51%1,382.9萬
-99.51%1,382.9萬
48.60%27.98億
48.60%27.98億
股東權益
-23.86%7.96億
-15.74%8.81億
-10.83%9.32億
-4.24%10.01億
-24.23%10.46億
-24.23%10.46億
-24.23%10.46億
-24.23%10.46億
18.01%13.8億
18.01%13.8億
總權益
-23.86%7.96億
-15.74%8.81億
-10.83%9.32億
-4.24%10.01億
-24.23%10.46億
-24.23%10.46億
-24.23%10.46億
-24.23%10.46億
18.01%13.8億
18.01%13.8億
總權益及總負債
-15.07%10.36億
-14.46%10.44億
-9.32%11.06億
-4.10%11.7億
-24.21%12.2億
-24.21%12.2億
-24.21%12.2億
-24.21%12.2億
24.07%16.1億
24.07%16.1億
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
會計準則
美國會計準則
美國會計準則
美國會計準則
美國會計準則
美國會計準則
美國會計準則
美國會計準則
美國會計準則
美國會計準則
美國會計準則
審計意見
無保留意見
--
--
--
無保留意見
--
--
--
無保留意見
--
會計師事務所
KPMG
--
--
--
KPMG LLP
--
--
--
德勤·關黃陳方會計師行
--
(FY)2023/12/31(Q9)2023/09/30(Q6)2023/06/30(Q3)2023/03/31(FY)2022/12/31(Q9)2022/12/31(Q6)2022/12/31(Q3)2022/12/31(FY)2021/12/31(Q9)2021/12/31
資產
流動資產
存貨 41.76%4,482.7萬39.87%4,422.9萬14.96%3,635.3萬21.45%3,840.5萬66.86%3,162.1萬66.86%3,162.1萬66.86%3,162.1萬66.86%3,162.1萬44.18%1,895.1萬44.18%1,895.1萬
應收賬款 48.13%5,919.9萬4.09%4,159.6萬18.32%4,728.3萬8.47%4,334.6萬-15.82%3,996.3萬-15.82%3,996.3萬-15.82%3,996.3萬-15.82%3,996.3萬819.15%4,747.4萬819.15%4,747.4萬
應收票據 -28.74%613.4萬175.08%2,367.9萬141.41%2,078.1萬101.92%1,738.1萬17.36%860.8萬17.36%860.8萬17.36%860.8萬17.36%860.8萬--733.5萬--733.5萬
預付款按金及其他應收款 -35.54%2,299.5萬-16.41%2,982.1萬7.73%3,843.3萬19.90%4,277.2萬97.96%3,567.4萬97.96%3,567.4萬97.96%3,567.4萬97.96%3,567.4萬64.80%1,802.1萬64.80%1,802.1萬
現金及等價物 -21.65%7.9億-21.78%7.89億-14.81%8.59億-12.75%8.8億4.60%10.08億4.60%10.08億4.60%10.08億4.60%10.08億118.06%9.64億118.06%9.64億
短期投資 --1,630萬--3,160萬--1,550萬--5,055萬-----------------40.24%4.45億-40.24%4.45億
流動資產合計 -16.43%9.4億-14.64%9.6億-9.50%10.18億-4.63%10.72億-25.09%11.24億-25.09%11.24億-25.09%11.24億-25.09%11.24億23.42%15.01億23.42%15.01億
非流動資產
物業廠房及設備 -7.14%5,373.4萬-4.46%5,528.2萬-2.51%5,641萬0.77%5,830.9萬34.25%5,786.3萬34.25%5,786.3萬34.25%5,786.3萬34.25%5,786.3萬47.80%4,310.2萬47.80%4,310.2萬
土地使用權 -55.47%306.9萬-55.64%305.7萬-55.50%306.7萬0.41%692萬-11.77%689.2萬-11.77%689.2萬-11.77%689.2萬-11.77%689.2萬-1.23%781.1萬-1.23%781.1萬
預付款項 -52.72%132萬-49.86%140萬-19.59%224.5萬9.06%304.5萬50.19%279.2萬50.19%279.2萬50.19%279.2萬50.19%279.2萬63.64%185.9萬63.64%185.9萬
長期投資 43.37%922萬-30.56%446.6萬-20.26%512.8萬6.86%687.2萬-58.79%643.1萬-58.79%643.1萬-58.79%643.1萬-58.79%643.1萬1,120.09%1,560.5萬1,120.09%1,560.5萬
無形資產 786.10%1,338.9萬3.77%156.8萬11.85%169萬-2.12%147.9萬-18.24%151.1萬-18.24%151.1萬-18.24%151.1萬-18.24%151.1萬20.63%184.8萬20.63%184.8萬
非流動資產特殊專案 -21.45%1,595.7萬-10.46%1,819萬0.06%2,032.8萬4.12%2,115.1萬-47.71%2,031.5萬-47.71%2,031.5萬-47.71%2,031.5萬-47.71%2,031.5萬-4.27%3,885萬-4.27%3,885萬
非流動資產合計 0.92%9,668.9萬-12.36%8,396.3萬-7.24%8,886.8萬2.06%9,777.6萬-12.17%9,580.4萬-12.17%9,580.4萬-12.17%9,580.4萬-12.17%9,580.4萬33.67%1.09億33.67%1.09億
總資產 -15.07%10.36億-14.46%10.44億-9.32%11.06億-4.10%11.7億-24.21%12.2億-24.21%12.2億-24.21%12.2億-24.21%12.2億24.07%16.1億24.07%16.1億
負債
流動負債
應付帳款 71.27%1.13億-16.60%5,502萬1.60%6,703.1萬0.59%6,636.1萬-47.71%6,597.4萬-47.71%6,597.4萬-47.71%6,597.4萬-47.71%6,597.4萬101.41%1.26億101.41%1.26億
融資租賃負債-流動負債 0.77%710.4萬-2.33%688.6萬3.53%729.9萬3.80%731.8萬18.95%705萬18.95%705萬18.95%705萬18.95%705萬13.85%592.7萬13.85%592.7萬
其他流動負債 24.18%8,297.2萬-5.73%6,299萬-11.66%5,902.4萬-23.85%5,088.1萬9.88%6,681.8萬9.88%6,681.8萬9.88%6,681.8萬9.88%6,681.8萬101.39%6,081.1萬101.39%6,081.1萬
流動負債合計 45.21%2.03億-10.69%1.25億-4.64%1.33億-10.93%1.25億-27.51%1.4億-27.51%1.4億-27.51%1.4億-27.51%1.4億96.75%1.93億96.75%1.93億
淨流動資產 -25.19%7.37億-15.20%8.35億-10.19%8.84億-3.73%9.48億-24.73%9.84億-24.73%9.84億-24.73%9.84億-24.73%9.84億16.99%13.08億16.99%13.08億
總資產減流動負債 -22.87%8.33億-14.95%9.19億-9.93%9.73億-3.22%10.46億-23.76%10.8億-23.76%10.8億-23.76%10.8億-23.76%10.8億18.13%14.17億18.13%14.17億
非流動負債
融資租賃負債-非流動負債 -39.69%804.7萬-26.49%980.8萬-11.90%1,175.5萬-2.73%1,297.9萬38.80%1,334.3萬38.80%1,334.3萬38.80%1,334.3萬38.80%1,334.3萬-28.22%961.3萬-28.22%961.3萬
遞延收入-非流動負債 34.54%2,873.8萬29.62%2,768.6萬34.01%2,862.5萬44.98%3,096.8萬-22.29%2,136萬-22.29%2,136萬-22.29%2,136萬-22.29%2,136萬63.04%2,748.6萬63.04%2,748.6萬
其他非流動負債 --32.5萬--32.5萬--32.5萬--32.5萬------------------------
非流動負債合計 6.94%3,711萬8.98%3,781.9萬17.30%4,070.5萬27.57%4,427.2萬-6.46%3,470.3萬-6.46%3,470.3萬-6.46%3,470.3萬-6.46%3,470.3萬22.64%3,709.9萬22.64%3,709.9萬
總負債 37.60%2.4億-6.78%1.63億-0.28%1.74億-3.27%1.69億-24.11%1.75億-24.11%1.75億-24.11%1.75億-24.11%1.75億79.28%2.3億79.28%2.3億
總資產減總負債 -23.86%7.96億-15.74%8.81億-10.83%9.32億-4.24%10.01億-24.23%10.46億-24.23%10.46億-24.23%10.46億-24.23%10.46億18.01%13.8億18.01%13.8億
總權益及非流動負債 -22.87%8.33億-14.95%9.19億-9.93%9.73億-3.22%10.46億-23.76%10.8億-23.76%10.8億-23.76%10.8億-23.76%10.8億18.13%14.17億18.13%14.17億
權益
股本 0.00%6,0000.00%6,0000.00%6,0000.00%6,0000.00%6,0000.00%6,0000.00%6,0000.00%6,00020.00%6,00020.00%6,000
資本公積 2.84%29.75億2.12%29.54億1.35%29.32億0.63%29.11億--28.93億--28.93億--28.93億--28.93億--------
保留溢利 -17.98%-21.96億-12.85%-21.01億-9.14%-20.31億-2.64%-19.11億-31.26%-18.61億-31.26%-18.61億-31.26%-18.61億-31.26%-18.61億-98.72%-14.18億-98.72%-14.18億
股東權益特殊項目 21.41%1,679萬96.41%2,716.2萬128.90%3,165.4萬-97.93%28.6萬-99.51%1,382.9萬-99.51%1,382.9萬-99.51%1,382.9萬-99.51%1,382.9萬48.60%27.98億48.60%27.98億
股東權益 -23.86%7.96億-15.74%8.81億-10.83%9.32億-4.24%10.01億-24.23%10.46億-24.23%10.46億-24.23%10.46億-24.23%10.46億18.01%13.8億18.01%13.8億
總權益 -23.86%7.96億-15.74%8.81億-10.83%9.32億-4.24%10.01億-24.23%10.46億-24.23%10.46億-24.23%10.46億-24.23%10.46億18.01%13.8億18.01%13.8億
總權益及總負債 -15.07%10.36億-14.46%10.44億-9.32%11.06億-4.10%11.7億-24.21%12.2億-24.21%12.2億-24.21%12.2億-24.21%12.2億24.07%16.1億24.07%16.1億
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審計意見 無保留意見------無保留意見------無保留意見--
會計師事務所 KPMG------KPMG LLP------德勤·關黃陳方會計師行--

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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