美股市場個股詳情

ATA Creativity Global (AACG)

添加自選
  • 1.010
  • -0.020-1.94%
收盤價 04/17 16:00 (美東)
  • 1.010
  • 0.0000.00%
盤後 20:01 (美東)
4346.03萬總市值-4.53市盈率TTM

ATA Creativity Global (AACG) 資產負債表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2025/12/31
(Q4)2025/12/31
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
資產
流動資產
現金及現金等價物和短期投資
133.37%8,523.63萬
133.37%8,523.63萬
145.76%9,680.73萬
-13.55%3,467.36萬
-31.57%3,941.09萬
-39.30%3,652.4萬
-39.30%3,652.4萬
-39.87%3,939.11萬
-29.45%4,010.65萬
-12.26%5,759.26萬
-現金和現金等價物
133.37%8,523.63萬
133.37%8,523.63萬
145.76%9,680.73萬
-13.55%3,467.36萬
-31.57%3,941.09萬
-39.30%3,652.4萬
-39.30%3,652.4萬
-39.87%3,939.11萬
-29.45%4,010.65萬
-12.26%5,759.26萬
應收款項
-18.88%1,450.98萬
-18.88%1,450.98萬
1,321.85%1,633.79萬
-78.02%29.84萬
68.96%231.04萬
297.59%1,788.72萬
297.59%1,788.72萬
287.74%114.91萬
121.49%135.74萬
218.11%136.74萬
-應收賬款
-89.00%29.84萬
-89.00%29.84萬
-74.03%29.84萬
-78.02%29.84萬
68.96%231.04萬
21.35%271.28萬
21.35%271.28萬
287.74%114.91萬
121.49%135.74萬
218.11%136.74萬
-應收稅費
-35.37%55.15萬
-35.37%55.15萬
--68.33萬
----
----
36.56%85.34萬
36.56%85.34萬
----
----
----
-應收關聯方款項
-4.62%1,365.99萬
-4.62%1,365.99萬
--1,535.62萬
----
----
773.99%1,432.1萬
773.99%1,432.1萬
----
----
----
預付費用
-13.23%870.29萬
-13.23%870.29萬
--876.59萬
----
----
273.72%1,003.04萬
273.72%1,003.04萬
----
----
----
其他流動資產
32.76%291.82萬
32.76%291.82萬
-76.55%462.78萬
58.45%3,521.12萬
59.22%3,151.9萬
-28.98%219.81萬
-28.98%219.81萬
104.19%1,973.31萬
130.30%2,222.26萬
181.80%1,979.6萬
流動資產合計
67.12%1.11億
67.12%1.11億
109.94%1.27億
10.20%7,018.32萬
-7.00%7,324.03萬
-5.40%6,663.97萬
-5.40%6,663.97萬
-20.13%6,027.33萬
-5.10%6,368.65萬
7.75%7,875.61萬
非流動資產
固定資產淨額
-15.82%6,277.86萬
-15.82%6,277.86萬
-27.16%5,817.9萬
-11.82%6,628.11萬
7.50%7,245.59萬
39.07%7,457.7萬
39.07%7,457.7萬
28.92%7,987.47萬
13.33%7,516.27萬
0.93%6,739.83萬
-固定資產
-5.65%1.04億
-5.65%1.04億
37.89%1.1億
-11.82%6,628.11萬
7.50%7,245.59萬
23.72%1.11億
23.72%1.11億
28.92%7,987.47萬
13.33%7,516.27萬
0.93%6,739.83萬
-累計折舊
-15.36%-4,163.99萬
-15.36%-4,163.99萬
---5,195.66萬
----
----
-0.75%-3,609.71萬
-0.75%-3,609.71萬
----
----
----
商譽及其他無形資產
-19.66%1.95億
-19.66%1.95億
-6.55%2.31億
-7.05%2.34億
-5.09%2.38億
-4.95%2.43億
-4.95%2.43億
-4.83%2.47億
-4.70%2.51億
-6.43%2.51億
-商譽
-17.27%1.62億
-17.27%1.62億
0.00%1.96億
0.00%1.96億
0.00%1.96億
0.00%1.96億
0.00%1.96億
0.00%1.96億
0.00%1.96億
0.00%1.96億
-其他無形資產
-29.79%3,248.25萬
-29.79%3,248.25萬
-31.93%3,449.17萬
-32.18%3,736.94萬
-23.41%4,180.28萬
-21.43%4,626.49萬
-21.43%4,626.49萬
-19.82%5,066.94萬
-18.37%5,510.28萬
-24.00%5,457.78萬
投資和預付款
--0
--0
--0
0.00%3,800萬
0.00%3,800萬
0.00%3,800萬
0.00%3,800萬
0.00%3,800萬
0.00%3,800萬
0.00%3,800萬
關聯方資產
-4.62%1,365.99萬
-4.62%1,365.99萬
--1,535.62萬
----
----
773.99%1,432.1萬
773.99%1,432.1萬
----
----
----
非流動遞延資產
----
----
--158.2萬
--67.43萬
----
----
----
----
----
----
其他非流動資產
11.76%3,928.9萬
11.76%3,928.9萬
0.77%3,460.69萬
-2.67%3,544.37萬
6.06%3,555.51萬
10.93%3,515.61萬
10.93%3,515.61萬
9.55%3,434.23萬
17.04%3,641.53萬
14.57%3,352.34萬
非流動資產合計
-23.92%2.97億
-23.92%2.97億
-18.54%3.25億
-6.71%3.74億
-1.46%3.84億
3.12%3.9億
3.12%3.9億
2.15%3.99億
0.44%4.01億
-3.07%3.9億
總資產
-10.64%4.08億
-10.64%4.08億
0.67%4.63億
-4.39%4.44億
-2.39%4.57億
1.78%4.57億
1.78%4.57億
-1.46%4.59億
-0.36%4.65億
-1.41%4.69億
負債
流動負債
-應付稅費
----
----
----
----
----
--0
--0
----
----
----
應計費用
-16.50%1,872.18萬
-16.50%1,872.18萬
-72.57%1,400.85萬
-3.81%4,825.53萬
4.38%5,243.3萬
6.75%2,242.21萬
6.75%2,242.21萬
4.55%5,106.4萬
0.95%5,016.92萬
-9.76%5,023.11萬
短期借款與租賃負債
-9.85%1,630.38萬
-9.85%1,630.38萬
145.78%4,830.21萬
63.01%3,131.4萬
83.30%2,995.44萬
37.95%1,808.56萬
37.95%1,808.56萬
22.14%1,965.28萬
16.23%1,921萬
-2.55%1,634.17萬
-短期借款
--100萬
--100萬
--3,206.38萬
--1,603.19萬
--1,303.19萬
----
----
----
----
----
-短期租賃負債
-15.38%1,530.38萬
-15.38%1,530.38萬
-17.37%1,623.82萬
-20.45%1,528.21萬
3.55%1,692.24萬
37.95%1,808.56萬
37.95%1,808.56萬
22.14%1,965.28萬
16.23%1,921萬
-2.55%1,634.17萬
遞延負債
-2.95%2.72億
-2.95%2.72億
-2.62%2.92億
1.45%2.95億
3.89%2.89億
11.06%2.8億
11.06%2.8億
10.04%3億
11.05%2.9億
13.96%2.78億
其他流動負債
11.25%3,777.2萬
11.25%3,777.2萬
--3,140.82萬
----
----
20.65%3,395.09萬
20.65%3,395.09萬
----
----
----
流動負債總額
-2.80%3.45億
-2.80%3.45億
4.08%3.86億
4.01%3.74億
7.72%3.72億
12.75%3.54億
12.75%3.54億
9.82%3.71億
9.78%3.6億
8.92%3.45億
非流動負債
長期借款與租賃負債
73.18%2,964.9萬
73.18%2,964.9萬
-12.07%1,757.9萬
-27.71%1,423.37萬
-9.16%1,696.1萬
80.29%1,712.08萬
80.29%1,712.08萬
46.02%1,999.3萬
16.89%1,968.99萬
12.25%1,867.12萬
-長期借款
--1,503.19萬
--1,503.19萬
----
----
----
----
----
----
----
----
-長期租賃負債
-14.62%1,461.71萬
-14.62%1,461.71萬
-12.07%1,757.9萬
-27.71%1,423.37萬
-9.16%1,696.1萬
80.29%1,712.08萬
80.29%1,712.08萬
46.02%1,999.3萬
16.89%1,968.99萬
12.25%1,867.12萬
遞延負債
-63.17%208.66萬
-63.17%208.66萬
--0
--0
-73.75%227.87萬
-53.05%566.48萬
-53.05%566.48萬
-80.05%224.29萬
-56.98%498.24萬
-43.96%868.23萬
非流動負債總額
39.28%3,173.56萬
39.28%3,173.56萬
-20.94%1,757.9萬
-42.31%1,423.37萬
-29.66%1,923.97萬
5.67%2,278.57萬
5.67%2,278.57萬
-10.82%2,223.59萬
-13.20%2,467.23萬
-14.85%2,735.36萬
總負債
-0.26%3.76億
-0.26%3.76億
2.67%4.04億
1.03%3.88億
4.98%3.91億
12.30%3.77億
12.30%3.77億
8.40%3.93億
7.95%3.84億
6.73%3.72億
所有者權益
股本
0.52%478.01萬
0.52%478.01萬
0.65%476.46萬
0.65%476.46萬
0.61%475.89萬
0.54%475.56萬
0.54%475.56萬
0.22%473.4萬
0.27%473.4萬
0.21%473.01萬
-普通股股本
0.52%478.01萬
0.52%478.01萬
0.65%476.46萬
0.65%476.46萬
0.61%475.89萬
0.54%475.56萬
0.54%475.56萬
0.22%473.4萬
0.27%473.4萬
0.21%473.01萬
留存收益
-11.23%-4.76億
-11.23%-4.76億
-1.93%-4.5億
-5.99%-4.52億
-7.69%-4.41億
-9.22%-4.28億
-9.22%-4.28億
-10.19%-4.41億
-8.49%-4.26億
-9.00%-4.1億
資本公積
0.16%5.49億
0.16%5.49億
0.15%5.49億
0.20%5.48億
0.31%5.48億
0.49%5.48億
0.49%5.48億
0.61%5.48億
0.72%5.47億
0.70%5.46億
減:庫存股
0.00%820.1萬
0.00%820.1萬
0.00%820.1萬
0.00%820.1萬
0.00%820.1萬
0.00%820.1萬
0.00%820.1萬
0.00%820.1萬
0.00%820.1萬
-3.65%820.1萬
不影響留存收益的損益
-1.34%-3,744.68萬
-1.34%-3,744.68萬
0.61%-3,683.95萬
0.05%-3,694.79萬
0.14%-3,693.99萬
0.14%-3,695.22萬
0.14%-3,695.22萬
-0.36%-3,706.65萬
-0.15%-3,696.81萬
0.16%-3,699.17萬
股東權益總額
-59.80%3,204.71萬
-59.80%3,204.71萬
-11.17%5,888.5萬
-30.38%5,587.9萬
-30.91%6,645.88萬
-29.48%7,971.04萬
-29.48%7,971.04萬
-36.19%6,628.59萬
-26.88%8,026.68萬
-23.57%9,619.22萬
非控制性權益
-0.05%-6.43萬
-0.05%-6.43萬
-0.08%-6.43萬
-0.11%-6.43萬
-0.15%-6.43萬
-0.15%-6.43萬
-0.15%-6.43萬
82.28%-6.42萬
-115.40%-6.42萬
-114.78%-6.42萬
總權益
-59.84%3,198.29萬
-59.84%3,198.29萬
-11.18%5,882.07萬
-30.41%5,581.47萬
-30.93%6,639.45萬
-29.50%7,964.62萬
-29.50%7,964.62萬
-36.03%6,622.17萬
-27.21%8,020.26萬
-23.88%9,612.8萬
貨幣單位
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
人民幣
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
審計意見
無保留意見
--
--
--
--
無保留意見
--
--
--
--
(FY)2025/12/31(Q4)2025/12/31(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31
資產
流動資產
現金及現金等價物和短期投資 133.37%8,523.63萬133.37%8,523.63萬145.76%9,680.73萬-13.55%3,467.36萬-31.57%3,941.09萬-39.30%3,652.4萬-39.30%3,652.4萬-39.87%3,939.11萬-29.45%4,010.65萬-12.26%5,759.26萬
-現金和現金等價物 133.37%8,523.63萬133.37%8,523.63萬145.76%9,680.73萬-13.55%3,467.36萬-31.57%3,941.09萬-39.30%3,652.4萬-39.30%3,652.4萬-39.87%3,939.11萬-29.45%4,010.65萬-12.26%5,759.26萬
應收款項 -18.88%1,450.98萬-18.88%1,450.98萬1,321.85%1,633.79萬-78.02%29.84萬68.96%231.04萬297.59%1,788.72萬297.59%1,788.72萬287.74%114.91萬121.49%135.74萬218.11%136.74萬
-應收賬款 -89.00%29.84萬-89.00%29.84萬-74.03%29.84萬-78.02%29.84萬68.96%231.04萬21.35%271.28萬21.35%271.28萬287.74%114.91萬121.49%135.74萬218.11%136.74萬
-應收稅費 -35.37%55.15萬-35.37%55.15萬--68.33萬--------36.56%85.34萬36.56%85.34萬------------
-應收關聯方款項 -4.62%1,365.99萬-4.62%1,365.99萬--1,535.62萬--------773.99%1,432.1萬773.99%1,432.1萬------------
預付費用 -13.23%870.29萬-13.23%870.29萬--876.59萬--------273.72%1,003.04萬273.72%1,003.04萬------------
其他流動資產 32.76%291.82萬32.76%291.82萬-76.55%462.78萬58.45%3,521.12萬59.22%3,151.9萬-28.98%219.81萬-28.98%219.81萬104.19%1,973.31萬130.30%2,222.26萬181.80%1,979.6萬
流動資產合計 67.12%1.11億67.12%1.11億109.94%1.27億10.20%7,018.32萬-7.00%7,324.03萬-5.40%6,663.97萬-5.40%6,663.97萬-20.13%6,027.33萬-5.10%6,368.65萬7.75%7,875.61萬
非流動資產
固定資產淨額 -15.82%6,277.86萬-15.82%6,277.86萬-27.16%5,817.9萬-11.82%6,628.11萬7.50%7,245.59萬39.07%7,457.7萬39.07%7,457.7萬28.92%7,987.47萬13.33%7,516.27萬0.93%6,739.83萬
-固定資產 -5.65%1.04億-5.65%1.04億37.89%1.1億-11.82%6,628.11萬7.50%7,245.59萬23.72%1.11億23.72%1.11億28.92%7,987.47萬13.33%7,516.27萬0.93%6,739.83萬
-累計折舊 -15.36%-4,163.99萬-15.36%-4,163.99萬---5,195.66萬---------0.75%-3,609.71萬-0.75%-3,609.71萬------------
商譽及其他無形資產 -19.66%1.95億-19.66%1.95億-6.55%2.31億-7.05%2.34億-5.09%2.38億-4.95%2.43億-4.95%2.43億-4.83%2.47億-4.70%2.51億-6.43%2.51億
-商譽 -17.27%1.62億-17.27%1.62億0.00%1.96億0.00%1.96億0.00%1.96億0.00%1.96億0.00%1.96億0.00%1.96億0.00%1.96億0.00%1.96億
-其他無形資產 -29.79%3,248.25萬-29.79%3,248.25萬-31.93%3,449.17萬-32.18%3,736.94萬-23.41%4,180.28萬-21.43%4,626.49萬-21.43%4,626.49萬-19.82%5,066.94萬-18.37%5,510.28萬-24.00%5,457.78萬
投資和預付款 --0--0--00.00%3,800萬0.00%3,800萬0.00%3,800萬0.00%3,800萬0.00%3,800萬0.00%3,800萬0.00%3,800萬
關聯方資產 -4.62%1,365.99萬-4.62%1,365.99萬--1,535.62萬--------773.99%1,432.1萬773.99%1,432.1萬------------
非流動遞延資產 ----------158.2萬--67.43萬------------------------
其他非流動資產 11.76%3,928.9萬11.76%3,928.9萬0.77%3,460.69萬-2.67%3,544.37萬6.06%3,555.51萬10.93%3,515.61萬10.93%3,515.61萬9.55%3,434.23萬17.04%3,641.53萬14.57%3,352.34萬
非流動資產合計 -23.92%2.97億-23.92%2.97億-18.54%3.25億-6.71%3.74億-1.46%3.84億3.12%3.9億3.12%3.9億2.15%3.99億0.44%4.01億-3.07%3.9億
總資產 -10.64%4.08億-10.64%4.08億0.67%4.63億-4.39%4.44億-2.39%4.57億1.78%4.57億1.78%4.57億-1.46%4.59億-0.36%4.65億-1.41%4.69億
負債
流動負債
-應付稅費 ----------------------0--0------------
應計費用 -16.50%1,872.18萬-16.50%1,872.18萬-72.57%1,400.85萬-3.81%4,825.53萬4.38%5,243.3萬6.75%2,242.21萬6.75%2,242.21萬4.55%5,106.4萬0.95%5,016.92萬-9.76%5,023.11萬
短期借款與租賃負債 -9.85%1,630.38萬-9.85%1,630.38萬145.78%4,830.21萬63.01%3,131.4萬83.30%2,995.44萬37.95%1,808.56萬37.95%1,808.56萬22.14%1,965.28萬16.23%1,921萬-2.55%1,634.17萬
-短期借款 --100萬--100萬--3,206.38萬--1,603.19萬--1,303.19萬--------------------
-短期租賃負債 -15.38%1,530.38萬-15.38%1,530.38萬-17.37%1,623.82萬-20.45%1,528.21萬3.55%1,692.24萬37.95%1,808.56萬37.95%1,808.56萬22.14%1,965.28萬16.23%1,921萬-2.55%1,634.17萬
遞延負債 -2.95%2.72億-2.95%2.72億-2.62%2.92億1.45%2.95億3.89%2.89億11.06%2.8億11.06%2.8億10.04%3億11.05%2.9億13.96%2.78億
其他流動負債 11.25%3,777.2萬11.25%3,777.2萬--3,140.82萬--------20.65%3,395.09萬20.65%3,395.09萬------------
流動負債總額 -2.80%3.45億-2.80%3.45億4.08%3.86億4.01%3.74億7.72%3.72億12.75%3.54億12.75%3.54億9.82%3.71億9.78%3.6億8.92%3.45億
非流動負債
長期借款與租賃負債 73.18%2,964.9萬73.18%2,964.9萬-12.07%1,757.9萬-27.71%1,423.37萬-9.16%1,696.1萬80.29%1,712.08萬80.29%1,712.08萬46.02%1,999.3萬16.89%1,968.99萬12.25%1,867.12萬
-長期借款 --1,503.19萬--1,503.19萬--------------------------------
-長期租賃負債 -14.62%1,461.71萬-14.62%1,461.71萬-12.07%1,757.9萬-27.71%1,423.37萬-9.16%1,696.1萬80.29%1,712.08萬80.29%1,712.08萬46.02%1,999.3萬16.89%1,968.99萬12.25%1,867.12萬
遞延負債 -63.17%208.66萬-63.17%208.66萬--0--0-73.75%227.87萬-53.05%566.48萬-53.05%566.48萬-80.05%224.29萬-56.98%498.24萬-43.96%868.23萬
非流動負債總額 39.28%3,173.56萬39.28%3,173.56萬-20.94%1,757.9萬-42.31%1,423.37萬-29.66%1,923.97萬5.67%2,278.57萬5.67%2,278.57萬-10.82%2,223.59萬-13.20%2,467.23萬-14.85%2,735.36萬
總負債 -0.26%3.76億-0.26%3.76億2.67%4.04億1.03%3.88億4.98%3.91億12.30%3.77億12.30%3.77億8.40%3.93億7.95%3.84億6.73%3.72億
所有者權益
股本 0.52%478.01萬0.52%478.01萬0.65%476.46萬0.65%476.46萬0.61%475.89萬0.54%475.56萬0.54%475.56萬0.22%473.4萬0.27%473.4萬0.21%473.01萬
-普通股股本 0.52%478.01萬0.52%478.01萬0.65%476.46萬0.65%476.46萬0.61%475.89萬0.54%475.56萬0.54%475.56萬0.22%473.4萬0.27%473.4萬0.21%473.01萬
留存收益 -11.23%-4.76億-11.23%-4.76億-1.93%-4.5億-5.99%-4.52億-7.69%-4.41億-9.22%-4.28億-9.22%-4.28億-10.19%-4.41億-8.49%-4.26億-9.00%-4.1億
資本公積 0.16%5.49億0.16%5.49億0.15%5.49億0.20%5.48億0.31%5.48億0.49%5.48億0.49%5.48億0.61%5.48億0.72%5.47億0.70%5.46億
減:庫存股 0.00%820.1萬0.00%820.1萬0.00%820.1萬0.00%820.1萬0.00%820.1萬0.00%820.1萬0.00%820.1萬0.00%820.1萬0.00%820.1萬-3.65%820.1萬
不影響留存收益的損益 -1.34%-3,744.68萬-1.34%-3,744.68萬0.61%-3,683.95萬0.05%-3,694.79萬0.14%-3,693.99萬0.14%-3,695.22萬0.14%-3,695.22萬-0.36%-3,706.65萬-0.15%-3,696.81萬0.16%-3,699.17萬
股東權益總額 -59.80%3,204.71萬-59.80%3,204.71萬-11.17%5,888.5萬-30.38%5,587.9萬-30.91%6,645.88萬-29.48%7,971.04萬-29.48%7,971.04萬-36.19%6,628.59萬-26.88%8,026.68萬-23.57%9,619.22萬
非控制性權益 -0.05%-6.43萬-0.05%-6.43萬-0.08%-6.43萬-0.11%-6.43萬-0.15%-6.43萬-0.15%-6.43萬-0.15%-6.43萬82.28%-6.42萬-115.40%-6.42萬-114.78%-6.42萬
總權益 -59.84%3,198.29萬-59.84%3,198.29萬-11.18%5,882.07萬-30.41%5,581.47萬-30.93%6,639.45萬-29.50%7,964.62萬-29.50%7,964.62萬-36.03%6,622.17萬-27.21%8,020.26萬-23.88%9,612.8萬
貨幣單位 人民幣人民幣人民幣人民幣人民幣人民幣人民幣人民幣人民幣人民幣
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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