| 2025/12 | 2024/12 | 2023/12 | 2022/12 | 2021/12 | |
| 资产回报率 (%) | -1.697% | 1.462% | -0.185% | -0.861% | -2.020% |
| 股东资金回报率 (%) | -3.805% | 3.213% | -0.454% | -2.335% | -5.496% |
| 资本运用回报率 (%) | -3.603% | 2.934% | -0.414% | -2.208% | -5.078% |
| 2025/12 | 2024/12 | 2023/12 | 2022/12 | 2021/12 | |
| 毛利率 (%) | 57.447% | 56.324% | 66.299% | 61.469% | 57.274% |
| 未计利息、税项、折旧及摊销前利润率 (%) | -25.774% | 16.469% | -6.500% | -15.362% | 5.760% |
| 税前边际利润率 (%) | -21.386% | 22.088% | 1.907% | -18.819% | -16.672% |
| 纯利率 (%) | -23.060% | 19.974% | -3.397% | -16.378% | -26.404% |
| 2025/12 | 2024/12 | 2023/12 | 2022/12 | 2021/12 | |
| 流动比率 (X) | 1.432 X | 1.572 X | 1.422 X | 1.362 X | 1.276 X |
| 速动比率 (X) | 1.339 X | 1.428 X | 1.301 X | 1.257 X | 1.194 X |
| 2025/12 | 2024/12 | 2023/12 | 2022/12 | 2021/12 | |
| 总负债 / 总资产比率 (%) | 58.124% | 49.371% | 56.707% | 59.675% | 64.026% |
| 总债项 / 总资产比率 (%) | 4.362% | 2.386% | 3.805% | 4.482% | 4.693% |
| 净债项 / 总资产比率 (%) | 2.152% | -3.253% | -2.259% | 0.296% | 0.079% |
| 总债项 / 股东资金比率 (%) | 10.718% | 4.841% | 9.033% | 11.418% | 13.434% |
| 长期债项 / 股东资金比率 (%) | 1.165% | 1.413% | 2.739% | 4.214% | 4.676% |
| 净债项 / 股东资金比率 (%) | 5.288% | -6.600% | -5.362% | 0.754% | 0.226% |
| 净现金 / (债项) ($) | (1.30亿) | 1.64亿 | 1.27亿 | (1.75千万) | (5.61百万) |
| 每股净现金 / (债项) ($) | (0.059) | 0.075 | 0.058 | (0.011) | (0.004) |
| 总债项 / 资本运用比率 (%) | 10.078% | 4.533% | 8.332% | 10.417% | 12.117% |
| 利息盈利率 (X) | N/A | 4.052 X | 1.164 X | N/A | N/A |
| 2025/12 | 2024/12 | 2023/12 | 2022/12 | 2021/12 | |
| 存货周转率日数 (日) | 698.171日 | 764.164日 | 1254.023日 | 984.744日 | 574.076日 |
| 应收贸易帐周转率日数 (日) | 287.696日 | 239.320日 | 238.076日 | 220.163日 | 219.970日 |
| 应付贸易帐周转率日数 (日) | 2253.704日 | 2189.843日 | 3229.490日 | 3614.708日 | 2414.398日 |
| 备注: | 实时报价更新时间为31/03/2026 17:59 |
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