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賽富時
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(Q3)2021/09/30 | (Q2)2021/06/30 | (Q1)2021/03/31 | (FY)2020/12/31 | (Q4)2020/12/31 | (Q3)2020/09/30 | (Q2)2020/06/30 | (Q1)2020/03/31 | (FY)2019/12/31 | (Q4)2019/12/31 | |
---|---|---|---|---|---|---|---|---|---|---|
資產 | ||||||||||
流動資產 | ||||||||||
現金及現金等價物和短期投資 | 28.43%510.07萬 | 128.29%727.77萬 | 532.37%720.74萬 | 107.37%413.07萬 | 107.37%413.07萬 | 1,228.38%397.16萬 | 109.27%318.79萬 | -7.40%113.97萬 | -29.46%199.2萬 | -29.46%199.2萬 |
-現金和現金等價物 | 118.10%494.37萬 | 381.93%712.06萬 | 1,098.09%705.03萬 | 220.00%397.36萬 | 220.00%397.36萬 | 658.13%226.67萬 | -3.01%147.75萬 | -51.30%58.85萬 | 199.20%124.17萬 | 199.20%124.17萬 |
-短期投資 | -90.79%15.71萬 | -90.82%15.71萬 | -71.51%15.71萬 | -79.06%15.71萬 | -79.06%15.71萬 | --170.5萬 | --171.04萬 | 2,355.61%55.13萬 | -68.86%75.02萬 | -68.86%75.02萬 |
應收款項 | 609.14%163.34萬 | 692.05%148.54萬 | 551.83%142.44萬 | 6,602.27%51.38萬 | 6,602.27%51.38萬 | 689.24%23.03萬 | 128.64%18.75萬 | 1,146.23%21.85萬 | -86.54%7,666 | -86.54%7,666 |
-應收賬款 | 609.14%163.34萬 | 692.05%148.54萬 | 551.83%142.44萬 | ---- | ---- | --23.03萬 | --18.75萬 | --21.85萬 | ---- | ---- |
-應收利息 | ---- | ---- | ---- | 6,602.27%51.38萬 | 6,602.27%51.38萬 | ---- | ---- | ---- | -86.54%7,666 | -86.54%7,666 |
存貨 | 52.26%227.9萬 | 21.87%181.17萬 | -22.33%200.04萬 | 18.47%226.07萬 | 18.47%226.07萬 | -13.66%149.67萬 | 345.46%148.66萬 | 2,580.62%257.56萬 | --190.82萬 | --190.82萬 |
預付費用 | 401.94%3萬 | -71.10%1,658 | -96.21%2,802 | -90.17%2.46萬 | -90.17%2.46萬 | -88.03%5,986 | -75.28%5,738 | 23.71%7.4萬 | 333.95%24.99萬 | 333.95%24.99萬 |
遞延資產 | --58.88萬 | --51.12萬 | --15.94萬 | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
其他流動資產 | ---- | ---- | --1 | --1,000 | --1,000 | ---- | ---- | ---- | ---- | ---- |
流動資產合計 | 68.84%963.2萬 | 127.78%1,108.77萬 | 169.33%1,079.44萬 | 66.69%693.07萬 | 66.69%693.07萬 | 170.15%570.47萬 | 148.06%486.78萬 | 185.42%400.79萬 | 41.49%415.78萬 | 41.49%415.78萬 |
非流動資產 | ||||||||||
固定資產淨額 | -2.91%1,305.72萬 | -3.97%1,311.18萬 | 14.37%1,320.23萬 | 14.31%1,336.3萬 | 14.31%1,336.3萬 | -5.02%1,344.8萬 | -2.12%1,365.43萬 | -10.78%1,154.37萬 | -3.96%1,168.99萬 | -3.96%1,168.99萬 |
-固定資產 | 1.96%1,489.99萬 | 1.72%1,486.47萬 | 20.18%1,482.29萬 | 0.32%1,476.6萬 | 0.32%1,476.6萬 | 0.63%1,461.33萬 | 3.76%1,461.33萬 | -4.67%1,233.43萬 | 20.93%1,471.95萬 | 20.93%1,471.95萬 |
-累計折舊 | -58.13%-184.28萬 | -82.78%-175.29萬 | -104.98%-162.05萬 | 53.69%-140.3萬 | 53.69%-140.3萬 | -221.07%-116.53萬 | -616.96%-95.9萬 | ---79.06萬 | ---302.96萬 | ---302.96萬 |
非流動資產合計 | -2.91%1,305.72萬 | -3.97%1,311.18萬 | 14.37%1,320.23萬 | 14.31%1,336.3萬 | 14.31%1,336.3萬 | -48.86%1,344.8萬 | -48.35%1,365.43萬 | -10.78%1,154.37萬 | -3.96%1,168.99萬 | -3.96%1,168.99萬 |
總資產 | 18.46%2,268.92萬 | 30.65%2,419.95萬 | 54.30%2,399.67萬 | 28.05%2,029.37萬 | 28.05%2,029.37萬 | -32.58%1,915.27萬 | -34.77%1,852.21萬 | 8.42%1,555.16萬 | 4.88%1,584.77萬 | 4.88%1,584.77萬 |
負債 | ||||||||||
流動負債 | ||||||||||
應付款項 | 14.23%49.58萬 | 114.16%90.92萬 | 431.58%94.58萬 | 76.91%36.03萬 | 76.91%36.03萬 | 201.15%43.4萬 | 29.15%42.45萬 | 171.76%17.79萬 | -17.93%20.36萬 | -17.93%20.36萬 |
-應付賬款 | -75.50%10.63萬 | 3.40%43.9萬 | 100.94%35.75萬 | 76.91%36.03萬 | 76.91%36.03萬 | 201.15%43.4萬 | 29.15%42.45萬 | 171.76%17.79萬 | -17.93%20.36萬 | -17.93%20.36萬 |
-應付稅費 | --38.95萬 | --47.02萬 | --58.83萬 | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
應計費用 | 463.28%16.31萬 | 786.47%19.51萬 | 33.27%23.06萬 | 24.10%17.37萬 | 24.10%17.37萬 | -42.99%2.9萬 | -15.98%2.2萬 | 478.09%17.3萬 | 218.20%13.99萬 | 218.20%13.99萬 |
短期借款與租賃負債 | --3.62萬 | 96.62%290.6萬 | 268.31%280.74萬 | 2,970.12%270.92萬 | 2,970.12%270.92萬 | ---- | 672.77%147.79萬 | --76.22萬 | --8.82萬 | --8.82萬 |
-短期借款 | ---- | 94.18%286.98萬 | 311.16%277.12萬 | --267.3萬 | --267.3萬 | ---- | 672.77%147.79萬 | --67.4萬 | ---- | ---- |
-短期租賃負債 | --3.62萬 | --3.62萬 | -59.00%3.62萬 | -59.00%3.62萬 | -59.00%3.62萬 | --0 | --0 | --8.82萬 | --8.82萬 | --8.82萬 |
遞延負債 | ---- | ---- | ---- | ---- | ---- | --572 | --18.26萬 | ---- | ---- | ---- |
流動負債總額 | 49.94%69.51萬 | 90.33%401.03萬 | 257.87%398.38萬 | 651.03%324.31萬 | 651.03%324.31萬 | 90.65%46.36萬 | 368.18%210.71萬 | 1,066.82%111.32萬 | 47.84%43.18萬 | 47.84%43.18萬 |
非流動負債 | ||||||||||
長期借款與租賃負債 | -98.94%3.77萬 | -98.41%4.67萬 | -98.50%5.57萬 | -98.48%6.47萬 | -98.48%6.47萬 | 292.00%355.75萬 | 651.79%293.53萬 | --371.05萬 | --424.91萬 | --424.91萬 |
-長期借款 | ---- | ---- | ---- | ---- | ---- | 399.78%355.75萬 | 651.79%293.53萬 | --362.91萬 | --415.19萬 | --415.19萬 |
-長期租賃負債 | --3.77萬 | --4.67萬 | -31.50%5.57萬 | -33.41%6.47萬 | -33.41%6.47萬 | --0 | --0 | --8.14萬 | --9.72萬 | --9.72萬 |
非流動負債總額 | -98.94%3.77萬 | -98.41%4.67萬 | -98.50%5.57萬 | -98.48%6.47萬 | -98.48%6.47萬 | 292.00%355.75萬 | 651.79%293.53萬 | --371.05萬 | --424.91萬 | --424.91萬 |
總負債 | -81.78%73.27萬 | -19.54%405.7萬 | -16.26%403.96萬 | -29.33%330.79萬 | -29.33%330.79萬 | 249.45%402.1萬 | 499.93%504.24萬 | 4,955.98%482.37萬 | 1,502.56%468.09萬 | 1,502.56%468.09萬 |
所有者權益 | ||||||||||
股本 | 16.49%3,044.47萬 | 19.78%2,995.62萬 | 15.77%2,918.8萬 | 10.41%2,783.58萬 | 10.41%2,783.58萬 | 3.87%2,613.42萬 | 0.73%2,500.97萬 | 65.10%2,521.12萬 | 73.84%2,521.12萬 | 73.84%2,521.12萬 |
-普通股股本 | 16.49%3,044.47萬 | 19.78%2,995.62萬 | 15.77%2,918.8萬 | 10.41%2,783.58萬 | 10.41%2,783.58萬 | 3.87%2,613.42萬 | 0.73%2,500.97萬 | 65.10%2,521.12萬 | 73.84%2,521.12萬 | 73.84%2,521.12萬 |
留存收益 | 19.16%-1,344.72萬 | 12.28%-1,494.27萬 | 28.65%-1,420.68萬 | 17.81%-1,595.01萬 | 17.81%-1,595.01萬 | -102.03%-1,663.34萬 | -128.87%-1,703.54萬 | -284.98%-1,991.22萬 | -506.36%-1,940.58萬 | -506.36%-1,940.58萬 |
不影響留存收益的損益 | -11.93%495.9萬 | -4.29%512.9萬 | -5.80%497.6萬 | -2.20%510.01萬 | -2.20%510.01萬 | -45.22%563.09萬 | -47.04%535.89萬 | 27.30%528.23萬 | 48.31%521.48萬 | 48.31%521.48萬 |
其他權益 | ---- | ---- | ---- | ---- | ---- | ---- | 173.59%14.66萬 | --14.66萬 | --14.66萬 | --14.66萬 |
股東權益總額 | 45.10%2,195.65萬 | 49.43%2,014.25萬 | 86.03%1,995.72萬 | 52.11%1,698.58萬 | 52.11%1,698.58萬 | -44.49%1,513.17萬 | -51.08%1,347.97萬 | -24.71%1,072.79萬 | -24.64%1,116.67萬 | -24.64%1,116.67萬 |
總權益 | 45.10%2,195.65萬 | 49.43%2,014.25萬 | 86.03%1,995.72萬 | 52.11%1,698.58萬 | 52.11%1,698.58萬 | -44.49%1,513.17萬 | -51.08%1,347.97萬 | -24.71%1,072.79萬 | -24.64%1,116.67萬 | -24.64%1,116.67萬 |
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 | -- | -- | -- | 帶解釋段的無保留意見 | -- | -- | -- | -- | 帶解釋段的無保留意見 | -- |