| 2025/06 | 2023/12 | 2022/12 | 2021/12 | 2020/12 | |
| 资产回报率 (%) | -23.363% | 15.011% | 12.584% | 13.382% | 13.178% |
| 股东资金回报率 (%) | -27.548% | 19.419% | 19.868% | 25.772% | 30.076% |
| 资本运用回报率 (%) | -30.842% | 15.452% | 17.957% | 22.434% | 21.931% |
| 2025/06 | 2023/12 | 2022/12 | 2021/12 | 2020/12 | |
| 毛利率 (%) | -1.302% | 33.076% | 33.419% | 31.719% | 32.022% |
| 未计利息、税项、折旧及摊销前利润率 (%) | -5.889% | 19.209% | 16.813% | 19.906% | 20.414% |
| 税前边际利润率 (%) | -7.512% | 17.227% | 14.831% | 16.914% | 16.725% |
| 纯利率 (%) | -11.593% | 15.165% | 13.086% | 14.121% | 14.472% |
| 2025/06 | 2023/12 | 2022/12 | 2021/12 | 2020/12 | |
| 流动比率 (X) | 6.582 X | 4.632 X | 2.790 X | 2.088 X | 1.825 X |
| 速动比率 (X) | 5.287 X | 3.488 X | 2.013 X | 1.379 X | 1.246 X |
| 2025/06 | 2023/12 | 2022/12 | 2021/12 | 2020/12 | |
| 总负债 / 总资产比率 (%) | 13.619% | 16.420% | 31.409% | 42.075% | 54.228% |
| 总债项 / 总资产比率 (%) | 0% | 3.497% | 12.251% | 24.836% | 33.840% |
| 净债项 / 总资产比率 (%) | -13.386% | -34.604% | -29.372% | -10.011% | -6.098% |
| 总债项 / 股东资金比率 (%) | 0% | 4.184% | 17.861% | 42.877% | 73.932% |
| 长期债项 / 股东资金比率 (%) | 0% | 0% | 0.619% | 1.713% | 13.352% |
| 净债项 / 股东资金比率 (%) | -15.497% | -41.403% | -42.822% | -17.283% | -13.322% |
| 净现金 / (债项) ($) | 5.46千万 | 1.81亿 | 1.11亿 | 3.66千万 | 2.17千万 |
| 每股净现金 / (债项) ($) | 0.049 | 0.226 | -- | -- | -- |
| 总债项 / 资本运用比率 (%) | 0% | 4.184% | 17.751% | 42.155% | 64.610% |
| 利息盈利率 (X) | N/A | 27.412 X | 17.244 X | 10.439 X | 7.151 X |
| 2025/06 | 2023/12 | 2022/12 | 2021/12 | 2020/12 | |
| 存货周转率日数 (日) | 32.693日 | 115.730日 | 151.421日 | 159.984日 | 152.503日 |
| 应收贸易帐周转率日数 (日) | 62.340日 | 64.076日 | 65.042日 | 61.665日 | 81.763日 |
| 应付贸易帐周转率日数 (日) | 18.497日 | 39.402日 | 46.168日 | 50.642日 | 49.781日 |
| 备注: | 实时报价更新时间为17/11/2025 18:00 |
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