KH Neochem有限公司 - 资产负债表 (Quarterly)

KH Neochem有限公司
US ˙ OTCPK ˙ JP3277040006

资产负债表 (Quarterly)

KH Neochem有限公司资产负债表显示公司在某个时间点的帐户余额。资产负债表数据包括资产、流动资产、固定资产、不动产、厂房和设备、存货、无形资产、负债、流动负债、债务、资本租赁义务、普通股、留存收益、库存股和股东权益。

除每股单位外,所有数字都是 1,000,000.00。

2020
09-30
2020
12-31
2021
03-31
2021
06-30
2021
09-30
2021
12-31
2022
03-31
2022
06-30
2022
09-30
2022
12-31
2023
03-31
2023
06-30
2023
09-30
2023
12-31
2024
03-31
2024
06-30
2024
09-30
2024
12-31
2025
03-31
2025
06-30
现金 10,130 9,066 10,948 10,381 11,964 16,934 6,590 7,020 5,010 10,926 5,423 5,808 9,327 9,684 5,694 8,578 4,108 7,158 3,980 5,403
改变 (%) -10.50 20.76 -5.18 15.25 41.54 -61.08 6.53 -28.63 118.08 -50.37 7.10 60.59 3.83 -41.20 50.65 -52.11 74.25 -44.40 35.75
流动资产 41,253 43,938 46,755 50,064 57,169 70,291 56,373 51,769 58,399 74,239 61,988 61,114 62,218 66,244 62,106 63,848 61,002 69,366 62,097 62,415
改变 (%) 6.51 6.41 7.08 14.19 22.95 -19.80 -8.17 12.81 27.12 -16.50 -1.41 1.81 6.47 -6.25 2.80 -4.46 13.71 -10.48 0.51
资产 92,364 95,508 99,019 102,231 109,345 122,069 113,549 110,365 115,643 131,247 118,836 120,480 120,192 124,498 121,847 125,561 123,715 131,462 125,215 125,876
改变 (%) 3.40 3.68 3.24 6.96 11.64 -6.98 -2.80 4.78 13.49 -9.46 1.38 -0.24 3.58 -2.13 3.05 -1.47 6.26 -4.75 0.53
负债 48,552 49,624 51,978 51,984 55,609 64,565 54,493 50,495 56,068 69,182 56,628 56,497 56,281 58,007 54,883 57,000 55,458 59,544 54,676 55,230
改变 (%) 2.21 4.74 0.01 6.97 16.11 -15.60 -7.34 11.04 23.39 -18.15 -0.23 -0.38 3.07 -5.39 3.86 -2.71 7.37 -8.18 1.01
公平 43,812 45,884 47,041 50,247 53,736 57,504 59,056 59,870 59,575 62,065 62,208 63,983 63,911 66,491 66,964 68,561 68,257 71,918 70,539 70,646
改变 (%) 4.73 2.52 6.82 6.94 7.01 2.70 1.38 -0.49 4.18 0.23 2.85 -0.11 4.04 0.71 2.38 -0.44 5.36 -1.92 0.15
负债和股权 92,364 95,508 99,019 102,231 109,345 122,069 113,549 110,365 115,643 131,247 118,836 120,480 120,192 124,498 121,847 125,561 123,715 131,462 125,215 125,876
改变 (%) 3.40 3.68 3.24 6.96 11.64 -6.98 -2.80 4.78 13.49 -9.46 1.38 -0.24 3.58 -2.13 3.05 -1.47 6.26 -4.75 0.53

Source: Capital IQ

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