美股市場個股詳情

Cadre Holdings (CDRE)

添加自選
  • 32.650
  • -0.750-2.25%
收盤價 04/10 16:00 (美東)
  • 32.650
  • 0.0000.00%
盤後 16:30 (美東)
13.95億總市值32.01市盈率TTM

Cadre Holdings (CDRE) 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
-1.63%1.23億
-1.63%1.23億
62.25%1.51億
29.81%1.37億
53.28%1.33億
42.47%1.25億
42.47%1.25億
33.97%9,298.9萬
89.85%1.06億
80.25%8,705.2萬
-現金和現金等價物
-1.63%1.23億
-1.63%1.23億
62.25%1.51億
29.81%1.37億
53.28%1.33億
42.47%1.25億
42.47%1.25億
33.97%9,298.9萬
89.85%1.06億
80.25%8,705.2萬
應收款項
18.27%1.11億
18.27%1.11億
43.20%9,942.6萬
48.76%1.08億
21.72%8,290.2萬
60.25%9,352.3萬
60.25%9,352.3萬
13.34%6,943.2萬
26.72%7,268.5萬
22.27%6,810.7萬
-應收賬款
18.27%1.11億
18.27%1.11億
43.20%9,942.6萬
48.76%1.08億
21.72%8,290.2萬
60.25%9,352.3萬
60.25%9,352.3萬
13.34%6,943.2萬
26.72%7,268.5萬
22.27%6,810.7萬
存貨
21.75%1億
21.75%1億
12.67%1.12億
14.60%1.1億
-4.15%9,178.6萬
1.70%8,235.1萬
1.70%8,235.1萬
20.64%9,958.3萬
15.54%9,563.7萬
25.43%9,575.9萬
預付費用
-23.40%1,457.4萬
-23.40%1,457.4萬
-20.05%1,247.4萬
21.38%1,183.6萬
37.80%1,703.9萬
59.49%1,902.7萬
59.49%1,902.7萬
6.38%1,560.3萬
-2.58%975.1萬
4.95%1,236.5萬
受限制現金
--242.9萬
--242.9萬
----
----
----
--0
--0
----
----
----
其他流動資產
95.10%1,509.5萬
95.10%1,509.5萬
35.34%1,124萬
26.93%1,398萬
21.70%735.7萬
12.36%773.7萬
12.36%773.7萬
-6.01%830.5萬
71.93%1,101.4萬
-5.19%604.5萬
流動資產合計
11.69%3.66億
11.69%3.66億
35.08%3.86億
29.16%3.81億
23.46%3.33億
33.24%3.28億
33.24%3.28億
20.78%2.86億
38.93%2.95億
35.68%2.69億
非流動資產
固定資產淨額
62.45%9,860萬
62.45%9,860萬
57.28%9,930.9萬
83.21%1.03億
7.02%6,067.5萬
18.55%6,069.7萬
18.55%6,069.7萬
25.53%6,314.3萬
10.07%5,634.2萬
7.41%5,669.6萬
-固定資產
40.53%1.62億
40.53%1.62億
37.82%1.6億
50.55%1.62億
9.68%1.17億
12.64%1.15億
12.64%1.15億
17.07%1.16億
9.46%1.08億
9.19%1.07億
-累計折舊
-16.07%-6,312.5萬
-16.07%-6,312.5萬
-14.68%-6,089.3萬
-14.60%-5,865.8萬
-12.70%-5,624.4萬
-6.70%-5,438.4萬
-6.70%-5,438.4萬
-8.38%-5,309.8萬
-8.80%-5,118.6萬
-11.29%-4,990.4萬
商譽及其他無形資產
15.91%2.96億
15.91%2.96億
14.27%2.97億
15.56%3.01億
-3.57%2.54億
104.33%2.56億
104.33%2.56億
107.07%2.6億
102.66%2.6億
102.93%2.64億
-商譽
22.44%1.81億
22.44%1.81億
20.29%1.79億
17.77%1.74億
-0.20%1.49億
81.42%1.48億
81.42%1.48億
83.40%1.49億
81.63%1.48億
83.18%1.49億
-其他無形資產
6.92%1.15億
6.92%1.15億
6.20%1.18億
12.64%1.26億
-7.94%1.06億
147.39%1.08億
147.39%1.08億
150.43%1.11億
139.20%1.12億
135.87%1.15億
非流動遞延資產
5.80%481.6萬
5.80%481.6萬
25.50%485.7萬
28.21%491.7萬
16.91%464萬
13.69%455.2萬
13.69%455.2萬
68.33%387萬
63.12%383.5萬
73.39%396.9萬
其他非流動資產
3.98%435.9萬
3.98%435.9萬
23.46%459.5萬
-13.48%440.8萬
-28.19%396.8萬
-16.03%419.2萬
-16.03%419.2萬
-34.00%372.2萬
-8.46%509.5萬
3.33%552.6萬
非流動資產合計
24.30%4.04億
24.30%4.04億
22.72%4.06億
26.96%4.13億
-1.92%3.24億
75.43%3.25億
75.43%3.25億
79.94%3.31億
73.60%3.26億
73.31%3.3億
總資產
17.97%7.7億
17.97%7.7億
28.45%7.92億
28.00%7.94億
9.48%6.56億
51.38%6.53億
51.38%6.53億
46.64%6.17億
55.19%6.21億
54.11%5.99億
負債
流動負債
應付款項
-25.25%2,716.3萬
-25.25%2,716.3萬
-18.13%2,841.5萬
-0.02%3,327.2萬
23.82%4,068.2萬
-5.28%3,633.7萬
-5.28%3,633.7萬
-8.14%3,470.6萬
-1.89%3,327.7萬
4.64%3,285.5萬
-應付賬款
-24.69%2,232.5萬
-24.69%2,232.5萬
-2.06%2,699.7萬
1.64%3,200.4萬
6.08%3,212.2萬
4.31%2,964.4萬
4.31%2,964.4萬
-10.31%2,756.5萬
6.24%3,148.9萬
10.87%3,028.2萬
-應付稅費
-27.72%483.8萬
-27.72%483.8萬
-80.14%141.8萬
-29.08%126.8萬
232.69%856萬
-32.69%669.3萬
-32.69%669.3萬
1.31%714.1萬
-58.21%178.8萬
-37.03%257.3萬
應計費用
24.10%1,602.4萬
24.10%1,602.4萬
29.89%6,136.3萬
21.19%5,653.1萬
-12.35%4,160.4萬
14.56%1,291.2萬
14.56%1,291.2萬
22.15%4,724.1萬
35.28%4,664.5萬
44.28%4,746.7萬
短期借款與租賃負債
34.63%2,180.9萬
34.63%2,180.9萬
23.85%1,626.6萬
23.90%1,626.5萬
-25.30%1,138萬
2.33%1,619.9萬
2.33%1,619.9萬
-0.88%1,313.4萬
30.99%1,312.8萬
37.01%1,523.4萬
-短期借款
43.00%1,626.6萬
43.00%1,626.6萬
23.85%1,626.6萬
23.90%1,626.5萬
-25.30%1,138萬
-7.67%1,137.5萬
-7.67%1,137.5萬
-0.88%1,313.4萬
30.99%1,312.8萬
37.01%1,523.4萬
-短期租賃負債
14.90%554.3萬
14.90%554.3萬
----
----
----
37.44%482.4萬
37.44%482.4萬
----
----
----
遞延負債
159.15%1,273.7萬
159.15%1,273.7萬
----
----
----
-4.04%491.5萬
-4.04%491.5萬
----
----
----
流動負債總額
11.02%1.04億
11.02%1.04億
11.53%1.06億
13.99%1.06億
-1.98%9,366.6萬
-1.14%9,412.5萬
-1.14%9,412.5萬
5.99%9,508.1萬
18.65%9,305萬
26.70%9,555.6萬
非流動負債
長期借款與租賃負債
37.50%3.06億
37.50%3.06億
50.26%3.11億
53.96%3.15億
6.63%2.2億
69.90%2.23億
69.90%2.23億
54.56%2.07億
50.30%2.04億
48.18%2.06億
-長期借款
37.37%2.91億
37.37%2.91億
51.31%2.95億
50.77%2.99億
4.25%2.09億
65.74%2.12億
65.74%2.12億
49.61%1.95億
49.37%1.98億
48.49%2.01億
-長期租賃負債
40.12%1,503.9萬
40.12%1,503.9萬
33.25%1,603.3萬
158.08%1,564.5萬
88.65%1,098.3萬
236.88%1,073.3萬
236.88%1,073.3萬
233.94%1,203.2萬
88.79%606.2萬
38.49%582.2萬
遞延負債
60.24%3,005.8萬
60.24%3,005.8萬
174.54%2,411萬
60.76%3,030.6萬
-16.02%1,810.1萬
287.32%1,875.8萬
287.32%1,875.8萬
74.00%878.2萬
401.52%1,885.2萬
497.73%2,155.4萬
可轉換優先證券
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
其他非流動負債
102.50%1,164.8萬
102.50%1,164.8萬
91.68%1,052.3萬
119.05%1,107.3萬
31.47%684.7萬
93.67%575.2萬
93.67%575.2萬
197.88%549萬
284.70%505.5萬
334.00%520.8萬
非流動負債總額
40.74%3.48億
40.74%3.48億
56.22%3.46億
55.96%3.56億
5.09%2.45億
77.99%2.47億
77.99%2.47億
57.14%2.21億
61.85%2.28億
61.81%2.33億
總負債
32.54%4.52億
32.54%4.52億
42.79%4.52億
43.81%4.62億
3.04%3.39億
45.80%3.41億
45.80%3.41億
37.23%3.16億
46.41%3.21億
49.75%3.29億
所有者權益
股本
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
-普通股股本
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
留存收益
471.97%3,477萬
471.97%3,477萬
902.60%2,689.5萬
673.91%1,981.7萬
191.99%1,146.8萬
137.74%607.9萬
137.74%607.9萬
85.23%-335.1萬
88.77%-345.3萬
67.81%-1,246.7萬
資本公積
-7.90%2.83億
-7.90%2.83億
2.69%3.13億
2.48%3.1億
9.02%3.08億
44.30%3.07億
44.30%3.07億
44.72%3.05億
45.14%3.03億
36.68%2.82億
不影響留存收益的損益
133.12%46萬
133.12%46萬
152.36%56.5萬
1,023.89%254萬
-255.36%-153.5萬
-319.09%-138.9萬
-319.09%-138.9萬
-150.35%-107.9萬
-91.77%22.6萬
-42.56%98.8萬
股東權益總額
2.02%3.18億
2.02%3.18億
13.35%3.4億
11.05%3.32億
17.31%3.18億
58.00%3.12億
58.00%3.12億
58.05%3億
65.86%2.99億
59.75%2.71億
總權益
2.02%3.18億
2.02%3.18億
13.35%3.4億
11.05%3.32億
17.31%3.18億
58.00%3.12億
58.00%3.12億
58.05%3億
65.86%2.99億
59.75%2.71億
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
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
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--
--
--
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 -1.63%1.23億-1.63%1.23億62.25%1.51億29.81%1.37億53.28%1.33億42.47%1.25億42.47%1.25億33.97%9,298.9萬89.85%1.06億80.25%8,705.2萬
-現金和現金等價物 -1.63%1.23億-1.63%1.23億62.25%1.51億29.81%1.37億53.28%1.33億42.47%1.25億42.47%1.25億33.97%9,298.9萬89.85%1.06億80.25%8,705.2萬
應收款項 18.27%1.11億18.27%1.11億43.20%9,942.6萬48.76%1.08億21.72%8,290.2萬60.25%9,352.3萬60.25%9,352.3萬13.34%6,943.2萬26.72%7,268.5萬22.27%6,810.7萬
-應收賬款 18.27%1.11億18.27%1.11億43.20%9,942.6萬48.76%1.08億21.72%8,290.2萬60.25%9,352.3萬60.25%9,352.3萬13.34%6,943.2萬26.72%7,268.5萬22.27%6,810.7萬
存貨 21.75%1億21.75%1億12.67%1.12億14.60%1.1億-4.15%9,178.6萬1.70%8,235.1萬1.70%8,235.1萬20.64%9,958.3萬15.54%9,563.7萬25.43%9,575.9萬
預付費用 -23.40%1,457.4萬-23.40%1,457.4萬-20.05%1,247.4萬21.38%1,183.6萬37.80%1,703.9萬59.49%1,902.7萬59.49%1,902.7萬6.38%1,560.3萬-2.58%975.1萬4.95%1,236.5萬
受限制現金 --242.9萬--242.9萬--------------0--0------------
其他流動資產 95.10%1,509.5萬95.10%1,509.5萬35.34%1,124萬26.93%1,398萬21.70%735.7萬12.36%773.7萬12.36%773.7萬-6.01%830.5萬71.93%1,101.4萬-5.19%604.5萬
流動資產合計 11.69%3.66億11.69%3.66億35.08%3.86億29.16%3.81億23.46%3.33億33.24%3.28億33.24%3.28億20.78%2.86億38.93%2.95億35.68%2.69億
非流動資產
固定資產淨額 62.45%9,860萬62.45%9,860萬57.28%9,930.9萬83.21%1.03億7.02%6,067.5萬18.55%6,069.7萬18.55%6,069.7萬25.53%6,314.3萬10.07%5,634.2萬7.41%5,669.6萬
-固定資產 40.53%1.62億40.53%1.62億37.82%1.6億50.55%1.62億9.68%1.17億12.64%1.15億12.64%1.15億17.07%1.16億9.46%1.08億9.19%1.07億
-累計折舊 -16.07%-6,312.5萬-16.07%-6,312.5萬-14.68%-6,089.3萬-14.60%-5,865.8萬-12.70%-5,624.4萬-6.70%-5,438.4萬-6.70%-5,438.4萬-8.38%-5,309.8萬-8.80%-5,118.6萬-11.29%-4,990.4萬
商譽及其他無形資產 15.91%2.96億15.91%2.96億14.27%2.97億15.56%3.01億-3.57%2.54億104.33%2.56億104.33%2.56億107.07%2.6億102.66%2.6億102.93%2.64億
-商譽 22.44%1.81億22.44%1.81億20.29%1.79億17.77%1.74億-0.20%1.49億81.42%1.48億81.42%1.48億83.40%1.49億81.63%1.48億83.18%1.49億
-其他無形資產 6.92%1.15億6.92%1.15億6.20%1.18億12.64%1.26億-7.94%1.06億147.39%1.08億147.39%1.08億150.43%1.11億139.20%1.12億135.87%1.15億
非流動遞延資產 5.80%481.6萬5.80%481.6萬25.50%485.7萬28.21%491.7萬16.91%464萬13.69%455.2萬13.69%455.2萬68.33%387萬63.12%383.5萬73.39%396.9萬
其他非流動資產 3.98%435.9萬3.98%435.9萬23.46%459.5萬-13.48%440.8萬-28.19%396.8萬-16.03%419.2萬-16.03%419.2萬-34.00%372.2萬-8.46%509.5萬3.33%552.6萬
非流動資產合計 24.30%4.04億24.30%4.04億22.72%4.06億26.96%4.13億-1.92%3.24億75.43%3.25億75.43%3.25億79.94%3.31億73.60%3.26億73.31%3.3億
總資產 17.97%7.7億17.97%7.7億28.45%7.92億28.00%7.94億9.48%6.56億51.38%6.53億51.38%6.53億46.64%6.17億55.19%6.21億54.11%5.99億
負債
流動負債
應付款項 -25.25%2,716.3萬-25.25%2,716.3萬-18.13%2,841.5萬-0.02%3,327.2萬23.82%4,068.2萬-5.28%3,633.7萬-5.28%3,633.7萬-8.14%3,470.6萬-1.89%3,327.7萬4.64%3,285.5萬
-應付賬款 -24.69%2,232.5萬-24.69%2,232.5萬-2.06%2,699.7萬1.64%3,200.4萬6.08%3,212.2萬4.31%2,964.4萬4.31%2,964.4萬-10.31%2,756.5萬6.24%3,148.9萬10.87%3,028.2萬
-應付稅費 -27.72%483.8萬-27.72%483.8萬-80.14%141.8萬-29.08%126.8萬232.69%856萬-32.69%669.3萬-32.69%669.3萬1.31%714.1萬-58.21%178.8萬-37.03%257.3萬
應計費用 24.10%1,602.4萬24.10%1,602.4萬29.89%6,136.3萬21.19%5,653.1萬-12.35%4,160.4萬14.56%1,291.2萬14.56%1,291.2萬22.15%4,724.1萬35.28%4,664.5萬44.28%4,746.7萬
短期借款與租賃負債 34.63%2,180.9萬34.63%2,180.9萬23.85%1,626.6萬23.90%1,626.5萬-25.30%1,138萬2.33%1,619.9萬2.33%1,619.9萬-0.88%1,313.4萬30.99%1,312.8萬37.01%1,523.4萬
-短期借款 43.00%1,626.6萬43.00%1,626.6萬23.85%1,626.6萬23.90%1,626.5萬-25.30%1,138萬-7.67%1,137.5萬-7.67%1,137.5萬-0.88%1,313.4萬30.99%1,312.8萬37.01%1,523.4萬
-短期租賃負債 14.90%554.3萬14.90%554.3萬------------37.44%482.4萬37.44%482.4萬------------
遞延負債 159.15%1,273.7萬159.15%1,273.7萬-------------4.04%491.5萬-4.04%491.5萬------------
流動負債總額 11.02%1.04億11.02%1.04億11.53%1.06億13.99%1.06億-1.98%9,366.6萬-1.14%9,412.5萬-1.14%9,412.5萬5.99%9,508.1萬18.65%9,305萬26.70%9,555.6萬
非流動負債
長期借款與租賃負債 37.50%3.06億37.50%3.06億50.26%3.11億53.96%3.15億6.63%2.2億69.90%2.23億69.90%2.23億54.56%2.07億50.30%2.04億48.18%2.06億
-長期借款 37.37%2.91億37.37%2.91億51.31%2.95億50.77%2.99億4.25%2.09億65.74%2.12億65.74%2.12億49.61%1.95億49.37%1.98億48.49%2.01億
-長期租賃負債 40.12%1,503.9萬40.12%1,503.9萬33.25%1,603.3萬158.08%1,564.5萬88.65%1,098.3萬236.88%1,073.3萬236.88%1,073.3萬233.94%1,203.2萬88.79%606.2萬38.49%582.2萬
遞延負債 60.24%3,005.8萬60.24%3,005.8萬174.54%2,411萬60.76%3,030.6萬-16.02%1,810.1萬287.32%1,875.8萬287.32%1,875.8萬74.00%878.2萬401.52%1,885.2萬497.73%2,155.4萬
可轉換優先證券 --0--0--0--0--0--0--0--0--0--0
其他非流動負債 102.50%1,164.8萬102.50%1,164.8萬91.68%1,052.3萬119.05%1,107.3萬31.47%684.7萬93.67%575.2萬93.67%575.2萬197.88%549萬284.70%505.5萬334.00%520.8萬
非流動負債總額 40.74%3.48億40.74%3.48億56.22%3.46億55.96%3.56億5.09%2.45億77.99%2.47億77.99%2.47億57.14%2.21億61.85%2.28億61.81%2.33億
總負債 32.54%4.52億32.54%4.52億42.79%4.52億43.81%4.62億3.04%3.39億45.80%3.41億45.80%3.41億37.23%3.16億46.41%3.21億49.75%3.29億
所有者權益
股本 0.00%4,0000.00%4,0000.00%4,0000.00%4,0000.00%4,0000.00%4,0000.00%4,0000.00%4,0000.00%4,0000.00%4,000
-普通股股本 0.00%4,0000.00%4,0000.00%4,0000.00%4,0000.00%4,0000.00%4,0000.00%4,0000.00%4,0000.00%4,0000.00%4,000
留存收益 471.97%3,477萬471.97%3,477萬902.60%2,689.5萬673.91%1,981.7萬191.99%1,146.8萬137.74%607.9萬137.74%607.9萬85.23%-335.1萬88.77%-345.3萬67.81%-1,246.7萬
資本公積 -7.90%2.83億-7.90%2.83億2.69%3.13億2.48%3.1億9.02%3.08億44.30%3.07億44.30%3.07億44.72%3.05億45.14%3.03億36.68%2.82億
不影響留存收益的損益 133.12%46萬133.12%46萬152.36%56.5萬1,023.89%254萬-255.36%-153.5萬-319.09%-138.9萬-319.09%-138.9萬-150.35%-107.9萬-91.77%22.6萬-42.56%98.8萬
股東權益總額 2.02%3.18億2.02%3.18億13.35%3.4億11.05%3.32億17.31%3.18億58.00%3.12億58.00%3.12億58.05%3億65.86%2.99億59.75%2.71億
總權益 2.02%3.18億2.02%3.18億13.35%3.4億11.05%3.32億17.31%3.18億58.00%3.12億58.00%3.12億58.05%3億65.86%2.99億59.75%2.71億
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