美股市場個股詳情

MBCF ITAFOS INC

添加自選
  • 0.939
  • -0.046-4.63%
延時15分鐘行情收盤價 07/02 16:00 (美東)
  • 0.972
  • +0.033+3.51%
盤後 17:01 (美東)
1.80億總市值-93935市盈率TTM

ITAFOS INC關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
資產
流動資產
現金及現金等價物和短期投資
-25.70%3,770.4萬
-28.17%3,075.3萬
-28.17%3,075.3萬
0.48%3,635.1萬
11.54%6,861.9萬
37.18%5,074.5萬
35.63%4,281.1萬
35.63%4,281.1萬
49.99%3,617.7萬
76.41%6,151.7萬
-現金和現金等價物
-25.70%3,770.4萬
-28.17%3,075.3萬
-28.17%3,075.3萬
0.48%3,635.1萬
11.54%6,861.9萬
37.18%5,074.5萬
35.63%4,281.1萬
35.63%4,281.1萬
49.99%3,617.7萬
76.41%6,151.7萬
應收款項
54.44%4,419.5萬
54.81%4,189.1萬
54.81%4,189.1萬
-21.71%3,560.9萬
-73.70%1,330.9萬
-50.04%2,861.6萬
-38.19%2,705.9萬
-38.19%2,705.9萬
3.17%4,548.2萬
84.99%5,061萬
-應收賬款
54.44%4,419.5萬
63.59%3,744.9萬
63.59%3,744.9萬
-13.94%3,560.9萬
-71.30%1,330.9萬
-45.37%2,861.6萬
-42.32%2,289.2萬
-42.32%2,289.2萬
3.65%4,137.8萬
102.21%4,637.4萬
-應收稅費
----
6.60%444.2萬
6.60%444.2萬
----
----
----
1.93%416.7萬
1.93%416.7萬
-1.44%410.4萬
-4.25%423.6萬
存貨
-6.01%1.16億
-2.06%1.2億
-2.06%1.2億
0.00%1.19億
5.20%1.28億
6.82%1.23億
8.55%1.22億
8.55%1.22億
10.44%1.19億
37.51%1.22億
預付費用
----
4.84%602.6萬
4.84%602.6萬
----
----
----
-13.75%574.8萬
-13.75%574.8萬
35.99%344.6萬
91.55%637.3萬
其他流動資產
6.44%848.4萬
13.84%51萬
13.84%51萬
1,883.21%779.4萬
2,703.94%995.4萬
2,337.61%797.1萬
6.41%44.8萬
6.41%44.8萬
88.04%39.3萬
62.84%35.5萬
流動資產合計
-2.07%2.06億
0.30%1.99億
0.30%1.99億
-2.80%1.99億
-8.58%2.2億
-1.43%2.11億
1.68%1.98億
1.68%1.98億
14.43%2.05億
55.92%2.41億
非流動資產
固定資產淨額
-11.30%3.65億
-9.53%3.72億
-9.53%3.72億
-6.02%4.15億
-4.83%4.21億
-5.15%4.12億
-5.31%4.11億
-5.31%4.11億
28.36%4.42億
28.47%4.42億
-固定資產
----
-0.97%6.57億
-0.97%6.57億
----
----
----
1.78%6.64億
1.78%6.64億
23.27%6.85億
23.34%6.76億
-累計折舊
----
-12.92%-2.86億
-12.92%-2.86億
----
----
----
-15.88%-2.53億
-15.88%-2.53億
-14.98%-2.43億
-14.68%-2.34億
長期應收款
----
31.18%338.7萬
31.18%338.7萬
----
----
----
--258.2萬
--258.2萬
-1.96%265.7萬
-13.55%289.6萬
非流動遞延資產
29.06%1,148.8萬
--1,108.2萬
--1,108.2萬
--1,034.1萬
--760.9萬
--890.1萬
--0
--0
----
----
長期預付費用
----
-15.19%67萬
-15.19%67萬
----
----
----
--79萬
--79萬
1.63%75萬
-20.28%74.3萬
其他非流動資產
-64.60%171.4萬
1.10%147.6萬
1.10%147.6萬
219.16%464.7萬
221.64%488.9萬
214.82%484.2萬
-70.23%146萬
-70.23%146萬
-3.96%145.6萬
-1.75%152萬
非流動資產合計
-11.06%3.79億
-6.59%3.88億
-6.59%3.88億
-3.69%4.3億
-3.13%4.33億
-3.12%4.26億
-5.27%4.16億
-5.27%4.16億
27.17%4.47億
27.45%4.47億
總資產
-8.08%5.85億
-4.36%5.87億
-4.36%5.87億
-3.41%6.29億
-5.04%6.53億
-2.57%6.36億
-3.13%6.14億
-3.13%6.14億
22.87%6.51億
36.15%6.88億
負債
流動負債
應付款項
----
1.71%5,122.8萬
1.71%5,122.8萬
----
----
----
-3.02%5,036.5萬
-3.02%5,036.5萬
22.64%6,617.5萬
23.49%5,329.5萬
-應付賬款
----
-3.15%3,166萬
-3.15%3,166萬
----
----
----
29.24%3,269萬
29.24%3,269萬
58.95%3,487.3萬
90.91%3,650.4萬
-應付稅費
----
12.33%1,141.7萬
12.33%1,141.7萬
----
----
----
-53.92%1,016.4萬
-53.92%1,016.4萬
-0.96%2,396.6萬
-40.78%1,004.5萬
-其他應付款
----
8.52%815.1萬
8.52%815.1萬
----
----
----
64.07%751.1萬
64.07%751.1萬
-6.23%733.6萬
-4.65%674.6萬
應計費用
----
44.09%1,509.1萬
44.09%1,509.1萬
----
----
----
9.81%1,047.3萬
9.81%1,047.3萬
9.76%1,068.3萬
-22.23%1,207萬
現行撥備
633.37%723.1萬
125.33%690.2萬
125.33%690.2萬
-55.09%136.2萬
-74.43%100.8萬
-58.36%98.6萬
-24.78%306.3萬
-24.78%306.3萬
31.93%303.3萬
51.62%394.2萬
短期借款與租賃負債
-0.28%2,913.3萬
0.39%3,231.3萬
0.39%3,231.3萬
-9.16%2,913萬
-19.42%2,915.4萬
-18.99%2,921.4萬
-41.88%3,218.9萬
-41.88%3,218.9萬
-11.78%3,206.9萬
-81.80%3,618.1萬
-短期借款
-0.28%2,913.3萬
-0.31%2,912.7萬
-0.31%2,912.7萬
-1.40%2,913萬
-13.44%2,915.4萬
-12.74%2,921.4萬
-44.70%2,921.7萬
-44.70%2,921.7萬
-12.48%2,954.4萬
-82.82%3,367.9萬
-短期租賃負債
----
7.20%318.6萬
7.20%318.6萬
----
----
----
16.82%297.2萬
16.82%297.2萬
-2.62%252.5萬
-8.35%250.2萬
遞延負債
-95.14%9.3萬
-60.89%38.6萬
-60.89%38.6萬
-50.24%52.8萬
-66.36%87.5萬
-11.52%191.2萬
8.11%98.7萬
8.11%98.7萬
-13.88%106.1萬
2,581.44%260.1萬
其他流動負債
33.85%399.4萬
--69.6萬
--69.6萬
--307.8萬
--298.7萬
--298.4萬
----
----
----
----
流動負債總額
1.73%9,128.8萬
9.83%1.07億
9.83%1.07億
-13.46%9,780.8萬
-3.56%1.04億
-22.46%8,973.9萬
-20.32%9,707.7萬
-20.32%9,707.7萬
9.12%1.13億
-58.45%1.08億
非流動負債
長期撥備
-8.45%1.4億
-0.88%1.43億
-0.88%1.43億
-21.75%1.39億
-14.20%1.52億
-12.53%1.53億
-15.42%1.44億
-15.42%1.44億
117.46%1.78億
118.61%1.78億
長期借款與租賃負債
-41.09%5,434.5萬
-35.98%7,152.1萬
-35.98%7,152.1萬
-46.93%6,863.1萬
-57.49%7,561.6萬
-49.14%9,225萬
-43.78%1.12億
-43.78%1.12億
-43.45%1.29億
180.46%1.78億
-長期借款
-41.09%5,434.5萬
-37.88%6,144.1萬
-37.88%6,144.1萬
-42.73%6,863.1萬
-54.92%7,561.6萬
-45.88%9,225萬
-47.11%9,890.7萬
-47.11%9,890.7萬
-44.62%1.2億
233.01%1.68億
-長期租賃負債
----
-21.29%1,008萬
-21.29%1,008萬
----
----
----
9.45%1,280.6萬
9.45%1,280.6萬
-22.81%949.1萬
-22.40%1,012.4萬
遞延負債
----
--0
--0
--0
--0
--0
-95.33%7.8萬
-95.33%7.8萬
--73.1萬
--210.6萬
員工福利
----
-12.93%254.5萬
-12.93%254.5萬
----
----
----
-16.46%292.3萬
-16.46%292.3萬
25.97%326.9萬
15.73%301.6萬
衍生品負債
----
--0
--0
----
----
----
--0
--0
----
----
其他非流動負債
-14.12%1,530.7萬
-6.07%60.3萬
-6.07%60.3萬
2,348.25%1,613.4萬
2,340.98%1,650.1萬
2,475.72%1,782.4萬
-7.49%64.2萬
-7.49%64.2萬
9.29%65.9萬
12.29%67.6萬
非流動負債總額
-20.26%2.1億
-15.90%2.22億
-15.90%2.22億
-28.81%2.24億
-32.82%2.45億
-28.08%2.63億
-30.10%2.64億
-30.10%2.64億
-0.49%3.15億
142.12%3.64億
總負債
-14.67%3.01億
-8.98%3.28億
-8.98%3.28億
-24.76%3.22億
-26.12%3.49億
-26.73%3.53億
-27.71%3.61億
-27.71%3.61億
1.88%4.28億
15.01%4.72億
所有者權益
股本
0.33%5.4億
0.47%5.39億
0.47%5.39億
0.49%5.39億
0.49%5.39億
0.41%5.38億
0.72%5.36億
0.72%5.36億
0.69%5.36億
0.70%5.36億
-普通股股本
0.33%5.4億
0.47%5.39億
0.47%5.39億
0.49%5.39億
0.49%5.39億
0.41%5.38億
0.72%5.36億
0.72%5.36億
0.69%5.36億
0.70%5.36億
留存收益
-0.12%-5.08億
0.72%-5.31億
0.72%-5.31億
14.42%-4.83億
15.09%-4.87億
17.87%-5.07億
17.70%-5.35億
17.70%-5.35億
16.26%-5.65億
16.94%-5.73億
資本公積
0.00%2.47億
0.00%2.47億
0.00%2.47億
0.00%2.47億
0.00%2.47億
0.00%2.47億
0.00%2.47億
0.00%2.47億
0.00%2.47億
0.00%2.47億
不影響留存收益的損益
0.00%466萬
0.00%466萬
0.00%466萬
0.00%466萬
0.00%466萬
0.00%466萬
0.00%466萬
0.00%466萬
0.00%466萬
0.00%466萬
股東權益總額
0.40%2.84億
2.53%2.59億
2.53%2.59億
37.79%3.07億
41.55%3.04億
66.10%2.83億
89.11%2.52億
89.11%2.52億
103.83%2.23億
128.52%2.14億
非控制性權益
--0
--0
--0
-33.99%76.9萬
-33.99%76.9萬
-33.99%76.9萬
-33.99%76.9萬
-33.99%76.9萬
0.00%116.5萬
54.51%116.5萬
總權益
0.13%2.84億
2.22%2.59億
2.22%2.59億
37.42%3.07億
41.15%3.04億
65.42%2.83億
88.05%2.53億
88.05%2.53億
102.73%2.24億
127.93%2.16億
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
審計意見
--
無保留意見
--
--
--
--
無保留意見
--
--
--
(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30
資產
流動資產
現金及現金等價物和短期投資 -25.70%3,770.4萬-28.17%3,075.3萬-28.17%3,075.3萬0.48%3,635.1萬11.54%6,861.9萬37.18%5,074.5萬35.63%4,281.1萬35.63%4,281.1萬49.99%3,617.7萬76.41%6,151.7萬
-現金和現金等價物 -25.70%3,770.4萬-28.17%3,075.3萬-28.17%3,075.3萬0.48%3,635.1萬11.54%6,861.9萬37.18%5,074.5萬35.63%4,281.1萬35.63%4,281.1萬49.99%3,617.7萬76.41%6,151.7萬
應收款項 54.44%4,419.5萬54.81%4,189.1萬54.81%4,189.1萬-21.71%3,560.9萬-73.70%1,330.9萬-50.04%2,861.6萬-38.19%2,705.9萬-38.19%2,705.9萬3.17%4,548.2萬84.99%5,061萬
-應收賬款 54.44%4,419.5萬63.59%3,744.9萬63.59%3,744.9萬-13.94%3,560.9萬-71.30%1,330.9萬-45.37%2,861.6萬-42.32%2,289.2萬-42.32%2,289.2萬3.65%4,137.8萬102.21%4,637.4萬
-應收稅費 ----6.60%444.2萬6.60%444.2萬------------1.93%416.7萬1.93%416.7萬-1.44%410.4萬-4.25%423.6萬
存貨 -6.01%1.16億-2.06%1.2億-2.06%1.2億0.00%1.19億5.20%1.28億6.82%1.23億8.55%1.22億8.55%1.22億10.44%1.19億37.51%1.22億
預付費用 ----4.84%602.6萬4.84%602.6萬-------------13.75%574.8萬-13.75%574.8萬35.99%344.6萬91.55%637.3萬
其他流動資產 6.44%848.4萬13.84%51萬13.84%51萬1,883.21%779.4萬2,703.94%995.4萬2,337.61%797.1萬6.41%44.8萬6.41%44.8萬88.04%39.3萬62.84%35.5萬
流動資產合計 -2.07%2.06億0.30%1.99億0.30%1.99億-2.80%1.99億-8.58%2.2億-1.43%2.11億1.68%1.98億1.68%1.98億14.43%2.05億55.92%2.41億
非流動資產
固定資產淨額 -11.30%3.65億-9.53%3.72億-9.53%3.72億-6.02%4.15億-4.83%4.21億-5.15%4.12億-5.31%4.11億-5.31%4.11億28.36%4.42億28.47%4.42億
-固定資產 -----0.97%6.57億-0.97%6.57億------------1.78%6.64億1.78%6.64億23.27%6.85億23.34%6.76億
-累計折舊 -----12.92%-2.86億-12.92%-2.86億-------------15.88%-2.53億-15.88%-2.53億-14.98%-2.43億-14.68%-2.34億
長期應收款 ----31.18%338.7萬31.18%338.7萬--------------258.2萬--258.2萬-1.96%265.7萬-13.55%289.6萬
非流動遞延資產 29.06%1,148.8萬--1,108.2萬--1,108.2萬--1,034.1萬--760.9萬--890.1萬--0--0--------
長期預付費用 -----15.19%67萬-15.19%67萬--------------79萬--79萬1.63%75萬-20.28%74.3萬
其他非流動資產 -64.60%171.4萬1.10%147.6萬1.10%147.6萬219.16%464.7萬221.64%488.9萬214.82%484.2萬-70.23%146萬-70.23%146萬-3.96%145.6萬-1.75%152萬
非流動資產合計 -11.06%3.79億-6.59%3.88億-6.59%3.88億-3.69%4.3億-3.13%4.33億-3.12%4.26億-5.27%4.16億-5.27%4.16億27.17%4.47億27.45%4.47億
總資產 -8.08%5.85億-4.36%5.87億-4.36%5.87億-3.41%6.29億-5.04%6.53億-2.57%6.36億-3.13%6.14億-3.13%6.14億22.87%6.51億36.15%6.88億
負債
流動負債
應付款項 ----1.71%5,122.8萬1.71%5,122.8萬-------------3.02%5,036.5萬-3.02%5,036.5萬22.64%6,617.5萬23.49%5,329.5萬
-應付賬款 -----3.15%3,166萬-3.15%3,166萬------------29.24%3,269萬29.24%3,269萬58.95%3,487.3萬90.91%3,650.4萬
-應付稅費 ----12.33%1,141.7萬12.33%1,141.7萬-------------53.92%1,016.4萬-53.92%1,016.4萬-0.96%2,396.6萬-40.78%1,004.5萬
-其他應付款 ----8.52%815.1萬8.52%815.1萬------------64.07%751.1萬64.07%751.1萬-6.23%733.6萬-4.65%674.6萬
應計費用 ----44.09%1,509.1萬44.09%1,509.1萬------------9.81%1,047.3萬9.81%1,047.3萬9.76%1,068.3萬-22.23%1,207萬
現行撥備 633.37%723.1萬125.33%690.2萬125.33%690.2萬-55.09%136.2萬-74.43%100.8萬-58.36%98.6萬-24.78%306.3萬-24.78%306.3萬31.93%303.3萬51.62%394.2萬
短期借款與租賃負債 -0.28%2,913.3萬0.39%3,231.3萬0.39%3,231.3萬-9.16%2,913萬-19.42%2,915.4萬-18.99%2,921.4萬-41.88%3,218.9萬-41.88%3,218.9萬-11.78%3,206.9萬-81.80%3,618.1萬
-短期借款 -0.28%2,913.3萬-0.31%2,912.7萬-0.31%2,912.7萬-1.40%2,913萬-13.44%2,915.4萬-12.74%2,921.4萬-44.70%2,921.7萬-44.70%2,921.7萬-12.48%2,954.4萬-82.82%3,367.9萬
-短期租賃負債 ----7.20%318.6萬7.20%318.6萬------------16.82%297.2萬16.82%297.2萬-2.62%252.5萬-8.35%250.2萬
遞延負債 -95.14%9.3萬-60.89%38.6萬-60.89%38.6萬-50.24%52.8萬-66.36%87.5萬-11.52%191.2萬8.11%98.7萬8.11%98.7萬-13.88%106.1萬2,581.44%260.1萬
其他流動負債 33.85%399.4萬--69.6萬--69.6萬--307.8萬--298.7萬--298.4萬----------------
流動負債總額 1.73%9,128.8萬9.83%1.07億9.83%1.07億-13.46%9,780.8萬-3.56%1.04億-22.46%8,973.9萬-20.32%9,707.7萬-20.32%9,707.7萬9.12%1.13億-58.45%1.08億
非流動負債
長期撥備 -8.45%1.4億-0.88%1.43億-0.88%1.43億-21.75%1.39億-14.20%1.52億-12.53%1.53億-15.42%1.44億-15.42%1.44億117.46%1.78億118.61%1.78億
長期借款與租賃負債 -41.09%5,434.5萬-35.98%7,152.1萬-35.98%7,152.1萬-46.93%6,863.1萬-57.49%7,561.6萬-49.14%9,225萬-43.78%1.12億-43.78%1.12億-43.45%1.29億180.46%1.78億
-長期借款 -41.09%5,434.5萬-37.88%6,144.1萬-37.88%6,144.1萬-42.73%6,863.1萬-54.92%7,561.6萬-45.88%9,225萬-47.11%9,890.7萬-47.11%9,890.7萬-44.62%1.2億233.01%1.68億
-長期租賃負債 -----21.29%1,008萬-21.29%1,008萬------------9.45%1,280.6萬9.45%1,280.6萬-22.81%949.1萬-22.40%1,012.4萬
遞延負債 ------0--0--0--0--0-95.33%7.8萬-95.33%7.8萬--73.1萬--210.6萬
員工福利 -----12.93%254.5萬-12.93%254.5萬-------------16.46%292.3萬-16.46%292.3萬25.97%326.9萬15.73%301.6萬
衍生品負債 ------0--0--------------0--0--------
其他非流動負債 -14.12%1,530.7萬-6.07%60.3萬-6.07%60.3萬2,348.25%1,613.4萬2,340.98%1,650.1萬2,475.72%1,782.4萬-7.49%64.2萬-7.49%64.2萬9.29%65.9萬12.29%67.6萬
非流動負債總額 -20.26%2.1億-15.90%2.22億-15.90%2.22億-28.81%2.24億-32.82%2.45億-28.08%2.63億-30.10%2.64億-30.10%2.64億-0.49%3.15億142.12%3.64億
總負債 -14.67%3.01億-8.98%3.28億-8.98%3.28億-24.76%3.22億-26.12%3.49億-26.73%3.53億-27.71%3.61億-27.71%3.61億1.88%4.28億15.01%4.72億
所有者權益
股本 0.33%5.4億0.47%5.39億0.47%5.39億0.49%5.39億0.49%5.39億0.41%5.38億0.72%5.36億0.72%5.36億0.69%5.36億0.70%5.36億
-普通股股本 0.33%5.4億0.47%5.39億0.47%5.39億0.49%5.39億0.49%5.39億0.41%5.38億0.72%5.36億0.72%5.36億0.69%5.36億0.70%5.36億
留存收益 -0.12%-5.08億0.72%-5.31億0.72%-5.31億14.42%-4.83億15.09%-4.87億17.87%-5.07億17.70%-5.35億17.70%-5.35億16.26%-5.65億16.94%-5.73億
資本公積 0.00%2.47億0.00%2.47億0.00%2.47億0.00%2.47億0.00%2.47億0.00%2.47億0.00%2.47億0.00%2.47億0.00%2.47億0.00%2.47億
不影響留存收益的損益 0.00%466萬0.00%466萬0.00%466萬0.00%466萬0.00%466萬0.00%466萬0.00%466萬0.00%466萬0.00%466萬0.00%466萬
股東權益總額 0.40%2.84億2.53%2.59億2.53%2.59億37.79%3.07億41.55%3.04億66.10%2.83億89.11%2.52億89.11%2.52億103.83%2.23億128.52%2.14億
非控制性權益 --0--0--0-33.99%76.9萬-33.99%76.9萬-33.99%76.9萬-33.99%76.9萬-33.99%76.9萬0.00%116.5萬54.51%116.5萬
總權益 0.13%2.84億2.22%2.59億2.22%2.59億37.42%3.07億41.15%3.04億65.42%2.83億88.05%2.53億88.05%2.53億102.73%2.24億127.93%2.16億
貨幣單位 美元美元美元美元美元美元美元美元美元美元
審計意見 --無保留意見--------無保留意見------

分析

分析師評級

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目標價預測

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