gōng sī / zài / nián mò / àn / gōng yǔn jià zhí / chóng xīn / jì liàng / chí yǒu de / jīn róng zī chǎn公司在年末按公允价值重新计量持有的金融资产。At the end of the year, the company remeasures its financial assets at fair value.