国恒退 终止上市
000594
天津
民营

天津国恒铁路控股股份有限公司

铁路建设、营运;房屋开发及租赁;国内贸易。

成立: 1995-04-30 上市: 1996-03-20

危险
¥0.00
PE:-0.00   PB:0.00
主板
 
2019年02月21日 10:20
总市值:0.0亿   流通市值:0.0亿
净利率X翻桌率X每股净值X权益乘数X市盈率= MJPrice
-54.8,125.6,--,--,--
-- %
X0.10,0.00,--,--,--
-- 次
X1.68,1.74,2.48,2.07,2.06,2.03,1.89,1.74,,,
X1.45,1.58,,,
X30倍=高点: ¥0.0
20倍=常态: ¥0.0
10倍=低点: ¥0.0
参数取自上一年年终报表,算法仅适用于财务状况良好的稳定大型企业,算法供参考,投资需谨慎!
这家公司的财务状况...

CBS(财报评分): 33.2

(非权威评分,不构成投资指导与核心依据!)

现金流
气很短现金流状况不佳.收款速度也太慢了罢!
营运能力
重资产,周转很慢,风险高!而且现金水位过低!基本无存货,产品火爆.做一轮生意要 245 天.而且现金水位过低!而且毛利也不高!
盈利能力
这...根本谈不上生意!费用率 12 个点.市场规模很大!这个生意赚不到钱!股东在亏钱!每股在去年赔了 0.15 元钱!
财务结构
不需举债就能存活的很好,长期资金来源稳健.
偿债能力即便发生债务纠纷,公司也能立即清偿.
审计意见

"拒绝/无法表示意见!!!"(严重财务欺诈)

by 姚庚春 , 金建海 @中兴财光华会计师事务所

CBS(财报评分): 35.0

(非权威评分,不构成投资指导与核心依据!)

现金流
气很短现金流状况不佳.收款速度也太慢了罢!
营运能力
重资产,周转很慢,风险高!而且现金水位过低!货卖的一般.做一轮生意要 14683 天.而且现金水位过低!而且毛利也不高!
盈利能力
这...根本谈不上生意!费用率 514 个点.即便是税后,公司也非常赚钱!去年有不少额外收入!收益率不高.每股在去年赔了 -0.0 元钱!
财务结构
不需举债就能存活的很好,长期资金来源稳健.
偿债能力即便发生债务纠纷,公司也能立即清偿.
审计意见

"拒绝/无法表示意见!!!"(严重财务欺诈)

by 孙政军 , 唐文彬 @亚太

CBS(财报评分): 21.6

(非权威评分,不构成投资指导与核心依据!)

现金流
气很短现金流状况不佳.天天收现金!
营运能力
重资产,周转很慢,风险高!而且现金水位过低!天天收现金!无需存货!做一轮生意要 0 天.缺钱天数为 0 天,不需要资金就可以做生意哦!
盈利能力
生意很难做,费用率 0 个点.可能是营运超牛的公司!税后利润一般,收益率不高.每股在去年赔了 -0.0 元钱!
财务结构
基本没什么杠杆,看来股东非常看好公司!长期资金来源不稳!
偿债能力如果发生债务纠纷,可能缺乏立即清偿能力.
审计意见

"拒绝/无法表示意见!!!"(严重财务欺诈)

by 郭莉莉 , 刘燕 @大信会计师事务所

CBS(财报评分): 21.6

(非权威评分,不构成投资指导与核心依据!)

现金流
气很短现金流状况不佳.天天收现金!
营运能力
重资产,周转很慢,风险高!而且现金水位过低!天天收现金!无需存货!做一轮生意要 0 天.缺钱天数为 0 天,不需要资金就可以做生意哦!
盈利能力
生意很难做,费用率 0 个点.可能是营运超牛的公司!税后利润一般,收益率不高.每股在去年赔了 -0.0 元钱!
财务结构
基本没什么杠杆,看来股东非常看好公司!长期资金来源不稳!
偿债能力如果发生债务纠纷,可能缺乏立即清偿能力.
审计意见

"拒绝/无法表示意见!!!"(严重财务欺诈)

by 郭东星 , 朱昕武 @大信会计师事务所

CBS(财报评分): 21.6

(非权威评分,不构成投资指导与核心依据!)

现金流
气很短现金流状况一般.天天收现金!
营运能力
重资产,周转很慢,风险高!而且现金水位过低!天天收现金!无需存货!做一轮生意要 0 天.缺钱天数为 0 天,不需要资金就可以做生意哦!
盈利能力
生意很难做,费用率 0 个点.可能是营运超牛的公司!税后利润一般,收益率不高.每股在去年赔了 -0.0 元钱!
财务结构
基本没什么杠杆,看来股东非常看好公司!长期资金来源不稳!
偿债能力如果发生债务纠纷,可能缺乏立即清偿能力.
审计意见

"拒绝/无法表示意见!!!"(严重财务欺诈)

by 郭东星 , 朱昕武 @大信会计师事务所
资产负债比率(重要科目)
类别比率(占总资产%)20132014201520162017
4224170000.0,4258570000.0,,,
资产
现金与约当现金(%)0.4/1000.40.0/1000.0--/100----/100----/100--
应收款项(%)6.7/1006.78.3/1008.3--/100----/100----/100--
存货(%)0.1/1000.10.1/1000.1--/100----/100----/100--
其他流动资产(%)20.2/10020.220.1/10020.1--/100----/100----/100--
流动资产(%)50.5/10050.551.3/10051.3--/100----/100----/100--
商誉(%)0.2/1000.20.2/1000.2--/100----/100----/100--
非流动资产(%)49.5/10049.548.7/10048.7--/100----/100----/100--
1306730000.0,1555260000.0,,,
负债
应付款项(%)6.1/1006.16.0/1006.0--/100----/100----/100--
流动负债(%)27.0/10027.032.4/10032.4--/100----/100----/100--
非流动负债(%)3.9/1003.94.1/1004.1--/100----/100----/100--
4224170000.0,4258570000.0,,,
股权
股东权益(%)69.1/10069.163.5/10063.5--/100----/100----/100--
五大财务比率(+成长能力)
类别财务比率20132014201520162017
财务结构负债占资产比率(%)30.9,36.5,0.0,0.0,0.030.936.5------
长期资金占重资产比率(%)152.4,143.5,0.0,0.0,0.0152.4143.5------
偿债能力流动比率(%)186.7,158.2,0.0,0.0,0.0186.7158.2------
速动比率(%)117.8,101.4,0.0,0.0,0.0117.8101.4------
运营能力应收款项周转率(次/年)1.5,0.0,0.0,0.0,0.01.50.0------
应收款项周转天数(天)236.3,14620.7,0.0,0.0,0.0236.314620.7------
存货周转率(次/年)38.9,5.7,0.0,0.0,0.038.95.7------
存货周转天数(天)9.2,62.9,0.0,0.0,0.09.262.9------
固定资产周转率(次/年)0.4,0.0,0.0,0.0,0.00.40.0------
完整生意周期(天)245.6,14683.6,0.0,0.0,0.0245.614683.60.00.00.0
应付款项周转天数(天)207.0,2959.7,0.0,0.0,0.0207.02959.7------
缺钱天数(天)38.6,11723.9,0.0,0.0,0.038.611723.9------
总资产周转率(次/年)0.1,0.0,0.0,0.0,0.00.100.00------
盈利能力ROA=资产收益率(%)-5.5,0.2,0.0,0.0,0.0-5.50.2------
ROE=净资产收益率(%)-7.7,0.2,0.0,0.0,0.0-7.70.2------
税前纯益占实收资本(%)-15.4,0.7,0.0,0.0,0.0-15.40.7------
毛利率(%)-2.9,-303.2,0.0,0.0,0.0-2.9-303.2------
营业利润率(%)-20.5,-494.6,0.0,0.0,0.0-20.5-494.6------
净利率(%)-54.8,125.6,0.0,0.0,0.0-54.8125.6------
营业费用率(%)12.0,514.3,0.0,0.0,0.012.0514.3------
经营安全边际率(%)707.9,163.1,0.0,0.0,0.0707.9163.1------
EPS=基本每股收益(元)-0.15,0.0,0.0,0.0,0.0-0.150.000.000.000.00
成长能力营收增长率(%)-51.8,-98.1,-100.0,0.0,0.0-51.8-98.1-100.0----
营业利润增长率(%)7.1,-54.9,-100.0,0.0,0.07.1-54.9-100.0----
净资本增长率(%)-7.2,-7.3,-100.0,0.0,0.0-7.2-7.3-100.0----
现金流量现金流量比率(%)-71.0,-1.4,0.0,0.0,0.0-71.0-1.4------
现金流量允当比率(%)-90.8,-183.6,-284.0,-5239.8,16634.4-90.8-183.6-284.0-5239.816634.4
现金再投资比率(%)-26.4,-0.7,0.0,0.0,0.0-26.4-0.7------
现金流量表
20132014201520162017
期初现金
857210000.0,18291600.0,0.0,0.0,0.08.57 亿0.18 亿0.0 元0.0 元0.0 元
+ 营业活动现金流量
(from 损益表)
-809974000.0,-19228200.0,0.0,0.0,0.0(8.1 亿)(0.19 亿)0.0 元0.0 元0.0 元
+ 投资活动现金流量
(from 资产负债表左)
5482020.0,2131230.0,0.0,0.0,0.05.48 百万2.13 百万0.0 元0.0 元0.0 元
+ 融资活动现金流量
(from 资产负债表右)
-34426500.0,0.0,0.0,0.0,0.0(0.34 亿)0.0 元0.0 元0.0 元0.0 元
期末现金
18291600.0,1194630.0,0.0,0.0,0.00.18 亿1.19 百万0.0 元0.0 元0.0 元
自由现金流(FCF)
-810587000.0,-21604300.0,0.0,0.0,0.0(8.11 亿)(0.22 亿)0.0 元0.0 元0.0 元
资产负债表
年份->趋势20132014201520162017
资产总计4224170000.0,4258570000.0,0.0,0.0,0.042.24 亿42.59 亿------
   流动资产2131440000.0,2185300000.0,0.0,0.0,0.021.31 亿21.85 亿------
      货币资金18866400.0,1194630.0,0.0,0.0,0.00.19 亿1.19 百万------
      交易性金融资产0.0,0.0,0.0,0.0,0.0----------
      应收票据0.0,0.0,0.0,0.0,0.0----------
      应收利息0.0,0.0,0.0,0.0,0.0----------
      应收股利12214000.0,12214000.0,0.0,0.0,0.00.12 亿0.12 亿------
      应收账款282630000.0,353507000.0,0.0,0.0,0.02.83 亿3.54 亿------
      其他应收款176350000.0,178856000.0,0.0,0.0,0.01.76 亿1.79 亿------
      预付款项781635000.0,779423000.0,0.0,0.0,0.07.82 亿7.79 亿------
      存货5522560.0,5508440.0,0.0,0.0,0.05.52 百万5.51 百万------
      其中:消耗性生物资产0.0,0.0,0.0,0.0,0.0----------
      待摊费用0.0,0.0,0.0,0.0,0.0----------
      其他资产0.0,0.0,0.0,0.0,0.0----------
      一年内到期的非流动资产0.0,0.0,0.0,0.0,0.0----------
      其他流动资产854223000.0,854594000.0,0.0,0.0,0.08.54 亿8.55 亿------
   非流动资产2092730000.0,2073280000.0,0.0,0.0,0.020.93 亿20.73 亿------
      可供出售金融资产0.0,0.0,0.0,0.0,0.0----------
      持有至到期投资0.0,0.0,0.0,0.0,0.0----------
      投资性房地产0.0,0.0,0.0,0.0,0.0----------
      长期股权投资0.0,0.0,0.0,0.0,0.0----------
      长期应收款0.0,0.0,0.0,0.0,0.0----------
      固定资产934366000.0,914309000.0,0.0,0.0,0.09.34 亿9.14 亿------
      工程物资140390.0,140390.0,0.0,0.0,0.014.04 万14.04 万------
      在建工程1087640000.0,1090390000.0,0.0,0.0,0.010.88 亿10.9 亿------
      固定资产清理0.0,0.0,0.0,0.0,0.0----------
      生产性生物资产0.0,0.0,0.0,0.0,0.0----------
      油气资产0.0,0.0,0.0,0.0,0.0----------
      无形资产54225500.0,52081400.0,0.0,0.0,0.00.54 亿0.52 亿------
      开发支出0.0,0.0,0.0,0.0,0.0----------
      商誉9538660.0,9538660.0,0.0,0.0,0.09.54 百万9.54 百万------
      长期待摊费用0.0,0.0,0.0,0.0,0.0----------
      递延所得税资产6818530.0,6818530.0,0.0,0.0,0.06.82 百万6.82 百万------
      其他非流动资产0.0,0.0,0.0,0.0,0.0----------
负债合计1306730000.0,1555260000.0,0.0,0.0,0.013.07 亿15.55 亿------
   流动负债1141590000.0,1381130000.0,0.0,0.0,0.011.42 亿13.81 亿------
      短期借款209908000.0,201046000.0,0.0,0.0,0.02.1 亿2.01 亿------
      其中:质押借款0.0,0.0,0.0,0.0,0.0----------
      交易性金融负债0.0,0.0,0.0,0.0,0.0----------
      应付票据37135000.0,37135000.0,0.0,0.0,0.00.37 亿0.37 亿------
      应付账款219199000.0,218671000.0,0.0,0.0,0.02.19 亿2.19 亿------
      应付短期债券0.0,0.0,0.0,0.0,0.0----------
      预收款项109181000.0,109026000.0,0.0,0.0,0.01.09 亿1.09 亿------
      应付职工薪酬5784720.0,11494800.0,0.0,0.0,0.05.78 百万0.11 亿------
      应付股利0.0,0.0,0.0,0.0,0.0----------
      应交税费35868300.0,35541300.0,0.0,0.0,0.00.36 亿0.36 亿------
      应付利息21306400.0,36270900.0,0.0,0.0,0.00.21 亿0.36 亿------
      其他应付款503204000.0,731942000.0,0.0,0.0,0.05.03 亿7.32 亿------
      预提费用0.0,0.0,0.0,0.0,0.0----------
      递延收益0.0,0.0,0.0,0.0,0.0----------
      一年内到期的非流动负债0.0,0.0,0.0,0.0,0.0----------
      其他流动负债0.0,0.0,0.0,0.0,0.0----------
   非流动负债165147000.0,174130000.0,0.0,0.0,0.01.65 亿1.74 亿------
      长期借款0.0,0.0,0.0,0.0,0.0----------
      应付债券0.0,0.0,0.0,0.0,0.0----------
      长期应付款0.0,0.0,0.0,0.0,0.0----------
      专项应付款0.0,0.0,0.0,0.0,0.0----------
      预计负债165147000.0,174130000.0,0.0,0.0,0.01.65 亿1.74 亿------
      递延所得税负债0.0,0.0,0.0,0.0,0.0----------
      其他非流动负债0.0,0.0,0.0,0.0,0.0----------
所有者权益合计2917440000.0,2703310000.0,0.0,0.0,0.029.17 亿27.03 亿------
   所有者权益2917440000.0,2703310000.0,0.0,0.0,0.029.17 亿27.03 亿------
      实收资本(或股本)1493770000.0,1493770000.0,0.0,0.0,0.014.94 亿14.94 亿------
      其中:优先股0.0,0.0,0.0,0.0,0.0----------
      其中:永续债0.0,0.0,0.0,0.0,0.0----------
      资本公积金1288620000.0,1288620000.0,0.0,0.0,0.012.89 亿12.89 亿------
      减:库存股0.0,0.0,0.0,0.0,0.0----------
      其他综合收益0.0,2058930.0,0.0,0.0,0.0--2.06 百万------
      专项储备0.0,0.0,0.0,0.0,0.0----------
      盈余公积86563000.0,86563000.0,0.0,0.0,0.00.87 亿0.87 亿------
      未分配利润-50701900.0,-271369000.0,0.0,0.0,0.0(0.51 亿)(2.71 亿)------
      一般风险准备0.0,0.0,0.0,0.0,0.0----------
      外币报表折算差额0.0,0.0,0.0,0.0,0.0----------
      未确认投资损失0.0,0.0,0.0,0.0,0.0----------
      其他储备(公允价值变动储备)0.0,0.0,0.0,0.0,0.0----------
      归属母公司股东权益合计2818250000.0,2599640000.0,0.0,0.0,0.028.18 亿26.0 亿------
      少数股东权益99187100.0,103670000.0,0.0,0.0,0.00.99 亿1.04 亿------
      少数股东权益99187100.0,103670000.0,0.0,0.0,0.00.99 亿1.04 亿------
      其他权益工具0.0,0.0,0.0,0.0,0.0----------
利润表
年份->趋势20132014201520162017
营业总收入419795000.0,7831680.0,0.0,0.0,0.04.2 亿7.83 百万------
 + 营业收入419795000.0,7831680.0,0.0,0.0,0.04.2 亿7.83 百万------
 + 利息收入0.0,0.0,0.0,0.0,0.0----------
 + 手续费及佣金收入0.0,0.0,0.0,0.0,0.0----------
 + 已赚保费0.0,0.0,0.0,0.0,0.0----------
 + 其他营业收入0.0,0.0,0.0,0.0,0.0----------
营业总成本505720000.0,46566700.0,0.0,0.0,0.05.06 亿0.47 亿------
 - 营业成本431934000.0,31579300.0,0.0,0.0,0.04.32 亿0.32 亿------
 - 利息支出0.0,0.0,0.0,0.0,0.0----------
 - 手续费及佣金支出0.0,0.0,0.0,0.0,0.0----------
 - 其他营业成本0.0,0.0,0.0,0.0,0.0----------
 - 营业税金及附加876716.0,135534.0,0.0,0.0,0.087.67 万13.55 万------
 - 销售费用0.0,0.0,0.0,0.0,0.0----------
 - 管理费用18628400.0,16214800.0,0.0,0.0,0.00.19 亿0.16 亿------
 - 财务费用31841000.0,24064300.0,0.0,0.0,0.00.32 亿0.24 亿------
 - 资产减值损失22440200.0,-25427300.0,0.0,0.0,0.00.22 亿(0.25 亿)------
非经营性净收益0.0,0.0,0.0,0.0,0.00.0 元0.0 元------
 + 公允价值变动净收益0.0,0.0,0.0,0.0,0.0----------
 + 投资收益0.0,0.0,0.0,0.0,0.0----------
   其中:对联营合营企业的投资收益0.0,0.0,0.0,0.0,0.0----------
 + 汇兑收益0.0,0.0,0.0,0.0,0.0----------
营业利润-85925300.0,-38735000.0,0.0,0.0,0.0(0.86 亿)(0.39 亿)------
 + 营业外收入3200960.0,54756900.0,0.0,0.0,0.03.2 百万0.55 亿------
 - 营业外支出147319000.0,6247970.0,0.0,0.0,0.01.47 亿6.25 百万------
   其中:非流动资产处置净损失0.0,0.0,0.0,0.0,0.0----------
利润总额-230043000.0,9773920.0,0.0,0.0,0.0(2.3 亿)9.77 百万------
 - 所得税费用162463.0,-63818.6,0.0,0.0,0.016.25 万(6.38 万)------
 - 未确认的投资损失0.0,0.0,0.0,0.0,0.0----------
净利润-230206000.0,9837740.0,0.0,0.0,0.0(2.3 亿)9.84 百万------
 - 少数股东损益-4493220.0,4074360.0,0.0,0.0,0.0(4.49 百万)4.07 百万------
 = 归属于母公司所有者的净利润-225712000.0,5763380.0,0.0,0.0,0.0(2.26 亿)5.76 百万------
综合收益总额-225985000.0,11896700.0,0.0,0.0,0.0(2.26 亿)0.12 亿------
 归属于母公司所有者的综合收益总额-221492000.0,7822310.0,0.0,0.0,0.0(2.21 亿)7.82 百万------
 归属于少数股东的综合收益总额-4493220.0,4074360.0,0.0,0.0,0.0(4.49 百万)4.07 百万------
 其他综合收益4220410.0,2058930.0,0.0,0.0,0.04.22 百万2.06 百万------
 归属于母公司所有者的其他综合收益总额0.0,2058930.0,0.0,0.0,0.0--2.06 百万------
 归属于少数股东的其他综合收益总额0.0,0.0,0.0,0.0,0.0----------
每股收益
 基本每股收益-0.15,0.0,0.0,0.0,0.0(0.15 元)0.0 元------
 稀释每股收益-0.15,0.0,0.0,0.0,0.0(0.15 元)0.0 元------
现金流量表
年份->趋势20132014201520162017
现金的期初余额857210000.0,18291600.0,0.0,0.0,0.08.57 亿0.18 亿------
经营活动产生的现金流量净额-809974000.0,-19228200.0,0.0,0.0,0.0(8.1 亿)(0.19 亿)------
 + 销售商品、提供劳务收到的现金220809000.0,27780700.0,0.0,0.0,0.02.21 亿0.28 亿------
 + 收到的税费返还0.0,63818.6,0.0,0.0,0.0--6.38 万------
 + 收到其他与经营活动有关的现金147178000.0,44339600.0,0.0,0.0,0.01.47 亿0.44 亿------
 + 经营活动现金流入小计367987000.0,72184100.0,0.0,0.0,0.03.68 亿0.72 亿------
 + 购买商品、接受劳务支付的现金228909000.0,7294590.0,0.0,0.0,0.02.29 亿7.29 百万------
 + 支付给职工以及为职工支付的现金19708400.0,11281300.0,0.0,0.0,0.00.2 亿0.11 亿------
 + 支付的各项税费2366500.0,467878.0,0.0,0.0,0.02.37 百万46.79 万------
 + 支付其他与经营活动有关的现金926977000.0,72368500.0,0.0,0.0,0.09.27 亿0.72 亿------
 + 经营活动现金流出小计1177960000.0,91412300.0,0.0,0.0,0.011.78 亿0.91 亿------
投资活动产生的现金流量净额5482020.0,2131230.0,0.0,0.0,0.05.48 百万2.13 百万------
 + 收回投资收到的现金6095050.0,0.0,0.0,0.0,0.06.1 百万--------
 + 取得投资收益收到的现金0.0,0.0,0.0,0.0,0.0----------
 + 处置固定资产、无形资产和其他长期资产收回的现金净额0.0,4877860.0,0.0,0.0,0.0--4.88 百万------
 + 处置子公司及其他营业单位收到的现金净额0.0,0.0,0.0,0.0,0.0----------
 + 收到其他与投资活动有关的现金0.0,0.0,0.0,0.0,0.0----------
 => 投资活动现金流入小计6095050.0,4877860.0,0.0,0.0,0.06.1 百万4.88 百万------
 - 购建固定资产、无形资产和其他长期资产支付的现金613036.0,2376040.0,0.0,0.0,0.061.3 万2.38 百万------
 - 投资支付的现金0.0,0.0,0.0,0.0,0.0----------
 - 取得子公司及其他营业单位支付的现金净额0.0,0.0,0.0,0.0,0.0----------
 - 质押贷款净增加额0.0,0.0,0.0,0.0,0.0----------
 - 支付其他与投资活动有关的现金0.0,370584.0,0.0,0.0,0.0--37.06 万------
 => 投资活动现金流出小计613036.0,2746630.0,0.0,0.0,0.061.3 万2.75 百万------
筹资活动产生的现金流量净额-34426500.0,0.0,0.0,0.0,0.0(0.34 亿)--------
 + 吸收投资收到的现金0.0,0.0,0.0,0.0,0.0----------
 + 其中:子公司吸收少数股东投资受到的现金0.0,0.0,0.0,0.0,0.0----------
 + 发行债券收到的现金0.0,0.0,0.0,0.0,0.0----------
 + 取得借款收到的现金5000000.0,0.0,0.0,0.0,0.05.0 百万--------
 + 收到其他与筹资活动有关的现金0.0,0.0,0.0,0.0,0.0----------
 => 筹资活动现金流入小计5000000.0,0.0,0.0,0.0,0.05.0 百万--------
 - 偿还债务支付的现金37000000.0,0.0,0.0,0.0,0.00.37 亿--------
 - 分配股利、利润或偿付利息支付的现金2426490.0,0.0,0.0,0.0,0.02.43 百万--------
 - 其中:子公司支付给少数股东的股利、利润或偿付的利息0.0,0.0,0.0,0.0,0.0----------
 - 支付其他与筹资活动有关的现金0.0,0.0,0.0,0.0,0.0----------
 => 筹资活动现金流出小计39426500.0,0.0,0.0,0.0,0.00.39 亿--------
汇率变动对现金及现金等价物的影响0.0,0.0,0.0,0.0,0.0----------
= 现金及现金等价物净增加额(净现金流)-838918000.0,-17097000.0,0.0,0.0,0.0(8.39 亿)(0.17 亿)------
现金的期末余额18291600.0,1194630.0,0.0,0.0,0.00.18 亿1.19 百万------

动态
暂时还有没有动态