美股市場個股詳情

Snail (SNAL)

添加自選
  • 0.3970
  • -0.0377-8.67%
收盤價 04/10 16:00 (美東)
  • 0.3950
  • -0.0020-0.50%
盤後 17:09 (美東)
1499.89萬總市值-0.54市盈率TTM

Snail (SNAL) 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
17.31%856.82萬
17.31%856.82萬
16.26%1,228.47萬
-48.98%790.54萬
-41.76%935.91萬
-51.94%730.39萬
-51.94%730.39萬
113.51%1,056.63萬
423.42%1,549.42萬
291.13%1,606.87萬
-現金和現金等價物
17.31%856.82萬
17.31%856.82萬
16.26%1,228.47萬
-48.98%790.54萬
-41.76%935.91萬
-51.94%730.39萬
-51.94%730.39萬
113.51%1,056.63萬
423.42%1,549.42萬
291.13%1,606.87萬
應收款項
6.32%1,361.52萬
6.32%1,361.52萬
-27.78%782.26萬
52.59%1,803.29萬
-8.92%1,081.96萬
-49.26%1,280.6萬
-49.26%1,280.6萬
-37.33%1,083.23萬
-36.76%1,181.8萬
-35.40%1,187.89萬
-應收賬款
3.10%1,252.83萬
3.10%1,252.83萬
10.20%749.86萬
115.23%1,767.57萬
4.93%1,045.11萬
-51.66%1,215.11萬
-51.66%1,215.11萬
-56.61%680.43萬
65.45%821.23萬
42.52%996.04萬
-應收貸款
1.89%10.78萬
1.89%10.78萬
1.90%10.73萬
1.91%10.68萬
1.92%10.63萬
1.93%10.58萬
1.93%10.58萬
1.94%10.53萬
1.95%10.48萬
1.96%10.43萬
-應收關聯方款項
----
----
--0
--0
-48.44%133.29萬
--233.63萬
--233.63萬
-73.83%303.56萬
-77.07%269.03萬
-77.11%258.52萬
-其他應收款
78.32%97.91萬
78.32%97.91萬
-75.57%21.67萬
-69.10%25.04萬
-85.55%26.22萬
--54.91萬
--54.91萬
-40.86%88.71萬
-57.03%81.06萬
--181.43萬
預付費用
-20.39%827.14萬
-20.39%827.14萬
-4.28%1,415.69萬
-9.89%1,249.68萬
-25.32%1,034.57萬
-33.59%1,039萬
-33.59%1,039萬
20.62%1,478.95萬
10.94%1,386.82萬
5.04%1,385.38萬
受限制現金
--18.7萬
--18.7萬
----
----
----
--0
--0
----
----
----
遞延資產
--0
--0
0.00%10.54萬
0.00%10.54萬
0.00%10.54萬
0.00%10.54萬
0.00%10.54萬
0.00%10.54萬
--10.54萬
--10.54萬
其他流動資產
-35.05%41.65萬
-35.05%41.65萬
30.14%28.65萬
-9.05%27.09萬
5.40%46.65萬
38.40%64.12萬
38.40%64.12萬
90.61%22.01萬
-9.53%29.78萬
-12.95%44.26萬
流動資產合計
-0.60%3,105.82萬
-0.60%3,105.82萬
-5.09%3,465.61萬
-6.67%3,881.15萬
-26.57%3,109.63萬
-44.84%3,124.65萬
-44.84%3,124.65萬
2.12%3,651.36萬
17.13%4,158.36萬
13.82%4,234.95萬
非流動資產
固定資產淨額
56.75%886.85萬
56.75%886.85萬
-24.07%459.14萬
-22.53%491.96萬
-21.88%526.35萬
-20.57%565.77萬
-20.57%565.77萬
-19.45%604.73萬
-19.75%635.04萬
-19.02%673.8萬
-固定資產
27.79%1,380.24萬
27.79%1,380.24萬
-14.76%948.09萬
-10.17%1,019.87萬
-10.16%1,047.48萬
-9.71%1,080.11萬
-9.71%1,080.11萬
-9.38%1,112.23萬
-9.66%1,135.3萬
-9.30%1,166萬
-累計折舊
4.07%-493.39萬
4.07%-493.39萬
3.65%-488.95萬
-5.53%-527.91萬
-5.88%-521.13萬
-6.28%-514.34萬
-6.28%-514.34萬
-6.49%-507.5萬
-7.52%-500.26萬
-8.54%-492.2萬
商譽及其他無形資產
797.88%874.46萬
797.88%874.46萬
1,516.85%438.35萬
1,195.43%351.47萬
695.21%215.91萬
258.43%97.39萬
258.43%97.39萬
-32.62%27.11萬
-54.65%27.13萬
-71.74%27.15萬
-其他無形資產
797.88%874.46萬
797.88%874.46萬
1,516.85%438.35萬
1,195.43%351.47萬
695.21%215.91萬
258.43%97.39萬
258.43%97.39萬
-32.62%27.11萬
-54.65%27.13萬
-71.74%27.15萬
長期應收款
----
----
----
----
-99.99%592
-79.99%150.06萬
-79.99%150.06萬
--300.06萬
--450.06萬
--600.06萬
關聯方資產
----
----
--0
--0
-48.44%133.29萬
--233.63萬
--233.63萬
-73.83%303.56萬
-77.07%269.03萬
-77.11%258.52萬
非流動遞延資產
--0
--0
-99.97%3,471
-99.98%2,486
18.97%1,285.23萬
5.56%1,081.71萬
5.56%1,081.71萬
-5.89%1,026.04萬
7.34%1,018.73萬
42.10%1,080.33萬
長期預付費用
-11.68%828.3萬
-11.68%828.3萬
-37.94%558.25萬
-28.90%797萬
-8.62%990.77萬
20.48%937.86萬
20.48%937.86萬
61.12%899.46萬
100.80%1,120.96萬
94.23%1,084.27萬
其他非流動資產
-10.16%235.28萬
-10.16%235.28萬
9.16%184.61萬
113.21%273.92萬
150.14%321.77萬
104.55%261.89萬
104.55%261.89萬
31.45%169.13萬
-0.77%128.47萬
-80.42%128.64萬
非流動資產合計
-8.72%2,824.89萬
-8.72%2,824.89萬
-45.79%1,640.71萬
-43.36%1,914.6萬
-7.07%3,340.09萬
-9.53%3,094.68萬
-9.53%3,094.68萬
17.85%3,026.53萬
35.87%3,380.39萬
23.78%3,594.25萬
總資產
-4.64%5,930.71萬
-4.64%5,930.71萬
-23.53%5,106.31萬
-23.12%5,795.74萬
-17.62%6,449.72萬
-31.55%6,219.34萬
-31.55%6,219.34萬
8.70%6,677.9萬
24.85%7,538.76萬
18.19%7,829.2萬
負債
流動負債
應付款項
27.61%2,557.33萬
27.61%2,557.33萬
-0.09%1,961.87萬
-5.28%2,061.42萬
-25.68%1,995.8萬
-43.07%2,003.95萬
-43.07%2,003.95萬
-33.72%1,963.71萬
-23.01%2,176.36萬
-2.89%2,685.24萬
-應付賬款
27.61%2,557.33萬
27.61%2,557.33萬
-0.09%1,961.87萬
-5.28%2,061.42萬
-25.68%1,995.8萬
-43.07%2,003.95萬
-43.07%2,003.95萬
-33.72%1,963.71萬
151.35%2,176.36萬
-2.89%2,685.24萬
應計費用
-22.58%389.19萬
-22.58%389.19萬
53.68%501.34萬
111.39%569.66萬
15.59%341.42萬
47.21%502.71萬
47.21%502.71萬
15.16%326.23萬
-15.96%269.48萬
17.29%295.37萬
短期借款與租賃負債
-22.68%554.15萬
-22.68%554.15萬
46.00%1,076.49萬
66.72%1,224.85萬
19.47%959.82萬
-46.70%716.69萬
-46.70%716.69萬
-51.42%737.32萬
-44.34%734.66萬
-45.17%803.38萬
-短期借款
-10.04%514.81萬
-10.04%514.81萬
82.56%1,048.51萬
100.91%1,159.46萬
31.75%855.55萬
-52.08%572.25萬
-52.08%572.25萬
-58.10%574.34萬
-50.93%577.1萬
-50.98%649.37萬
-短期租賃負債
-72.76%39.34萬
-72.76%39.34萬
-82.83%27.99萬
-58.50%65.39萬
-32.30%104.27萬
-4.03%144.44萬
-4.03%144.44萬
10.82%162.98萬
9.63%157.56萬
9.69%154.01萬
遞延負債
274.91%1,479.98萬
274.91%1,479.98萬
126.31%3,021.11萬
-22.61%1,660.16萬
-82.38%386.45萬
-79.50%394.76萬
-79.50%394.76萬
128.26%1,334.96萬
419.97%2,145.13萬
385.60%2,193.74萬
流動負債總額
37.66%4,980.66萬
37.66%4,980.66萬
50.40%6,560.81萬
3.58%5,516.08萬
-38.38%3,683.49萬
-49.26%3,618.11萬
-49.26%3,618.11萬
-18.44%4,362.23萬
9.13%5,325.63萬
21.15%5,977.73萬
非流動負債
長期借款與租賃負債
23,404.78%1,362.88萬
23,404.78%1,362.88萬
-59.60%10.76萬
-86.67%8.21萬
-94.83%5.29萬
-95.93%5.8萬
-95.93%5.8萬
-85.32%26.64萬
-71.90%61.59萬
-80.87%102.32萬
-長期借款
--929.25萬
--929.25萬
----
----
----
----
----
----
----
----
-長期租賃負債
7,378.47%433.62萬
7,378.47%433.62萬
-59.60%10.76萬
-86.67%8.21萬
-94.83%5.29萬
-95.93%5.8萬
-95.93%5.8萬
-85.32%26.64萬
-71.90%61.59萬
-60.08%102.32萬
遞延負債
-19.69%1,728.27萬
-19.69%1,728.27萬
-69.12%615.8萬
-15.51%1,594.09萬
38.81%2,374.1萬
42.86%2,151.99萬
42.86%2,151.99萬
251.05%1,994.1萬
304.83%1,886.64萬
250.27%1,710.27萬
長期應計費用
76.48%46.81萬
76.48%46.81萬
4.13%26.53萬
4.13%26.53萬
4.13%26.53萬
4.13%26.53萬
4.13%26.53萬
-18.17%25.47萬
-33.69%25.47萬
-33.69%25.47萬
非流動負債總額
43.66%3,137.96萬
43.66%3,137.96萬
-68.08%653.09萬
-17.47%1,628.82萬
30.89%2,405.92萬
30.45%2,184.31萬
30.45%2,184.31萬
162.11%2,046.21萬
172.76%1,973.7萬
73.16%1,838.07萬
總負債
39.92%8,118.62萬
39.92%8,118.62萬
12.57%7,213.9萬
-2.12%7,144.91萬
-22.09%6,089.4萬
-34.11%5,802.42萬
-34.11%5,802.42萬
4.56%6,408.44萬
30.26%7,299.33萬
30.36%7,815.8萬
所有者權益
股本
1.98%3,913
1.98%3,913
2.23%3,897
1.71%3,876
1.21%3,856
0.92%3,837
0.92%3,837
0.32%3,812
0.29%3,811
0.26%3,810
-普通股股本
1.98%3,913
1.98%3,913
2.23%3,897
1.71%3,876
1.21%3,856
0.92%3,837
0.92%3,837
0.32%3,812
0.29%3,811
0.26%3,810
留存收益
-224.76%-3,935.25萬
-224.76%-3,935.25萬
-190.77%-3,849.04萬
-127.32%-3,062.58萬
10.59%-1,406.34萬
13.13%-1,211.74萬
13.13%-1,211.74萬
19.02%-1,323.74萬
-13.08%-1,347.25萬
-100.76%-1,572.87萬
資本公積
4.60%2,692.31萬
4.60%2,692.31萬
5.69%2,677.71萬
4.67%2,650.1萬
6.95%2,706.38萬
-1.66%2,573.81萬
-1.66%2,573.81萬
-2.35%2,533.47萬
-1.51%2,531.97萬
7.27%2,530.47萬
減:庫存股
0.00%367.18萬
0.00%367.18萬
0.00%367.18萬
0.00%367.18萬
0.00%367.18萬
0.00%367.18萬
0.00%367.18萬
0.00%367.18萬
0.00%367.18萬
0.00%367.18萬
不影響留存收益的損益
1.58%-27.5萬
1.58%-27.5萬
18.50%-18.82萬
31.58%-19.36萬
18.08%-22.42萬
-9.86%-27.95萬
-9.86%-27.95萬
19.75%-23.09萬
1.12%-28.3萬
10.23%-27.37萬
股東權益總額
-269.25%-1,637.23萬
-269.25%-1,637.23萬
-289.91%-1,556.93萬
-201.14%-798.63萬
61.66%910.83萬
16.55%967.33萬
16.55%967.33萬
45.28%819.85萬
-19.76%789.62萬
-52.18%563.44萬
非控制性權益
-0.05%-550.67萬
-0.05%-550.67萬
-0.05%-550.65萬
-0.06%-550.53萬
-0.09%-550.51萬
-0.09%-550.41萬
-0.09%-550.41萬
-0.11%-550.39萬
-0.10%-550.19萬
-0.15%-550.04萬
總權益
-624.78%-2,187.91萬
-624.78%-2,187.91萬
-882.16%-2,107.58萬
-663.49%-1,349.17萬
2,589.17%360.32萬
48.87%416.92萬
48.87%416.92萬
1,757.68%269.46萬
-44.88%239.43萬
-97.87%13.4萬
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
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 17.31%856.82萬17.31%856.82萬16.26%1,228.47萬-48.98%790.54萬-41.76%935.91萬-51.94%730.39萬-51.94%730.39萬113.51%1,056.63萬423.42%1,549.42萬291.13%1,606.87萬
-現金和現金等價物 17.31%856.82萬17.31%856.82萬16.26%1,228.47萬-48.98%790.54萬-41.76%935.91萬-51.94%730.39萬-51.94%730.39萬113.51%1,056.63萬423.42%1,549.42萬291.13%1,606.87萬
應收款項 6.32%1,361.52萬6.32%1,361.52萬-27.78%782.26萬52.59%1,803.29萬-8.92%1,081.96萬-49.26%1,280.6萬-49.26%1,280.6萬-37.33%1,083.23萬-36.76%1,181.8萬-35.40%1,187.89萬
-應收賬款 3.10%1,252.83萬3.10%1,252.83萬10.20%749.86萬115.23%1,767.57萬4.93%1,045.11萬-51.66%1,215.11萬-51.66%1,215.11萬-56.61%680.43萬65.45%821.23萬42.52%996.04萬
-應收貸款 1.89%10.78萬1.89%10.78萬1.90%10.73萬1.91%10.68萬1.92%10.63萬1.93%10.58萬1.93%10.58萬1.94%10.53萬1.95%10.48萬1.96%10.43萬
-應收關聯方款項 ----------0--0-48.44%133.29萬--233.63萬--233.63萬-73.83%303.56萬-77.07%269.03萬-77.11%258.52萬
-其他應收款 78.32%97.91萬78.32%97.91萬-75.57%21.67萬-69.10%25.04萬-85.55%26.22萬--54.91萬--54.91萬-40.86%88.71萬-57.03%81.06萬--181.43萬
預付費用 -20.39%827.14萬-20.39%827.14萬-4.28%1,415.69萬-9.89%1,249.68萬-25.32%1,034.57萬-33.59%1,039萬-33.59%1,039萬20.62%1,478.95萬10.94%1,386.82萬5.04%1,385.38萬
受限制現金 --18.7萬--18.7萬--------------0--0------------
遞延資產 --0--00.00%10.54萬0.00%10.54萬0.00%10.54萬0.00%10.54萬0.00%10.54萬0.00%10.54萬--10.54萬--10.54萬
其他流動資產 -35.05%41.65萬-35.05%41.65萬30.14%28.65萬-9.05%27.09萬5.40%46.65萬38.40%64.12萬38.40%64.12萬90.61%22.01萬-9.53%29.78萬-12.95%44.26萬
流動資產合計 -0.60%3,105.82萬-0.60%3,105.82萬-5.09%3,465.61萬-6.67%3,881.15萬-26.57%3,109.63萬-44.84%3,124.65萬-44.84%3,124.65萬2.12%3,651.36萬17.13%4,158.36萬13.82%4,234.95萬
非流動資產
固定資產淨額 56.75%886.85萬56.75%886.85萬-24.07%459.14萬-22.53%491.96萬-21.88%526.35萬-20.57%565.77萬-20.57%565.77萬-19.45%604.73萬-19.75%635.04萬-19.02%673.8萬
-固定資產 27.79%1,380.24萬27.79%1,380.24萬-14.76%948.09萬-10.17%1,019.87萬-10.16%1,047.48萬-9.71%1,080.11萬-9.71%1,080.11萬-9.38%1,112.23萬-9.66%1,135.3萬-9.30%1,166萬
-累計折舊 4.07%-493.39萬4.07%-493.39萬3.65%-488.95萬-5.53%-527.91萬-5.88%-521.13萬-6.28%-514.34萬-6.28%-514.34萬-6.49%-507.5萬-7.52%-500.26萬-8.54%-492.2萬
商譽及其他無形資產 797.88%874.46萬797.88%874.46萬1,516.85%438.35萬1,195.43%351.47萬695.21%215.91萬258.43%97.39萬258.43%97.39萬-32.62%27.11萬-54.65%27.13萬-71.74%27.15萬
-其他無形資產 797.88%874.46萬797.88%874.46萬1,516.85%438.35萬1,195.43%351.47萬695.21%215.91萬258.43%97.39萬258.43%97.39萬-32.62%27.11萬-54.65%27.13萬-71.74%27.15萬
長期應收款 -----------------99.99%592-79.99%150.06萬-79.99%150.06萬--300.06萬--450.06萬--600.06萬
關聯方資產 ----------0--0-48.44%133.29萬--233.63萬--233.63萬-73.83%303.56萬-77.07%269.03萬-77.11%258.52萬
非流動遞延資產 --0--0-99.97%3,471-99.98%2,48618.97%1,285.23萬5.56%1,081.71萬5.56%1,081.71萬-5.89%1,026.04萬7.34%1,018.73萬42.10%1,080.33萬
長期預付費用 -11.68%828.3萬-11.68%828.3萬-37.94%558.25萬-28.90%797萬-8.62%990.77萬20.48%937.86萬20.48%937.86萬61.12%899.46萬100.80%1,120.96萬94.23%1,084.27萬
其他非流動資產 -10.16%235.28萬-10.16%235.28萬9.16%184.61萬113.21%273.92萬150.14%321.77萬104.55%261.89萬104.55%261.89萬31.45%169.13萬-0.77%128.47萬-80.42%128.64萬
非流動資產合計 -8.72%2,824.89萬-8.72%2,824.89萬-45.79%1,640.71萬-43.36%1,914.6萬-7.07%3,340.09萬-9.53%3,094.68萬-9.53%3,094.68萬17.85%3,026.53萬35.87%3,380.39萬23.78%3,594.25萬
總資產 -4.64%5,930.71萬-4.64%5,930.71萬-23.53%5,106.31萬-23.12%5,795.74萬-17.62%6,449.72萬-31.55%6,219.34萬-31.55%6,219.34萬8.70%6,677.9萬24.85%7,538.76萬18.19%7,829.2萬
負債
流動負債
應付款項 27.61%2,557.33萬27.61%2,557.33萬-0.09%1,961.87萬-5.28%2,061.42萬-25.68%1,995.8萬-43.07%2,003.95萬-43.07%2,003.95萬-33.72%1,963.71萬-23.01%2,176.36萬-2.89%2,685.24萬
-應付賬款 27.61%2,557.33萬27.61%2,557.33萬-0.09%1,961.87萬-5.28%2,061.42萬-25.68%1,995.8萬-43.07%2,003.95萬-43.07%2,003.95萬-33.72%1,963.71萬151.35%2,176.36萬-2.89%2,685.24萬
應計費用 -22.58%389.19萬-22.58%389.19萬53.68%501.34萬111.39%569.66萬15.59%341.42萬47.21%502.71萬47.21%502.71萬15.16%326.23萬-15.96%269.48萬17.29%295.37萬
短期借款與租賃負債 -22.68%554.15萬-22.68%554.15萬46.00%1,076.49萬66.72%1,224.85萬19.47%959.82萬-46.70%716.69萬-46.70%716.69萬-51.42%737.32萬-44.34%734.66萬-45.17%803.38萬
-短期借款 -10.04%514.81萬-10.04%514.81萬82.56%1,048.51萬100.91%1,159.46萬31.75%855.55萬-52.08%572.25萬-52.08%572.25萬-58.10%574.34萬-50.93%577.1萬-50.98%649.37萬
-短期租賃負債 -72.76%39.34萬-72.76%39.34萬-82.83%27.99萬-58.50%65.39萬-32.30%104.27萬-4.03%144.44萬-4.03%144.44萬10.82%162.98萬9.63%157.56萬9.69%154.01萬
遞延負債 274.91%1,479.98萬274.91%1,479.98萬126.31%3,021.11萬-22.61%1,660.16萬-82.38%386.45萬-79.50%394.76萬-79.50%394.76萬128.26%1,334.96萬419.97%2,145.13萬385.60%2,193.74萬
流動負債總額 37.66%4,980.66萬37.66%4,980.66萬50.40%6,560.81萬3.58%5,516.08萬-38.38%3,683.49萬-49.26%3,618.11萬-49.26%3,618.11萬-18.44%4,362.23萬9.13%5,325.63萬21.15%5,977.73萬
非流動負債
長期借款與租賃負債 23,404.78%1,362.88萬23,404.78%1,362.88萬-59.60%10.76萬-86.67%8.21萬-94.83%5.29萬-95.93%5.8萬-95.93%5.8萬-85.32%26.64萬-71.90%61.59萬-80.87%102.32萬
-長期借款 --929.25萬--929.25萬--------------------------------
-長期租賃負債 7,378.47%433.62萬7,378.47%433.62萬-59.60%10.76萬-86.67%8.21萬-94.83%5.29萬-95.93%5.8萬-95.93%5.8萬-85.32%26.64萬-71.90%61.59萬-60.08%102.32萬
遞延負債 -19.69%1,728.27萬-19.69%1,728.27萬-69.12%615.8萬-15.51%1,594.09萬38.81%2,374.1萬42.86%2,151.99萬42.86%2,151.99萬251.05%1,994.1萬304.83%1,886.64萬250.27%1,710.27萬
長期應計費用 76.48%46.81萬76.48%46.81萬4.13%26.53萬4.13%26.53萬4.13%26.53萬4.13%26.53萬4.13%26.53萬-18.17%25.47萬-33.69%25.47萬-33.69%25.47萬
非流動負債總額 43.66%3,137.96萬43.66%3,137.96萬-68.08%653.09萬-17.47%1,628.82萬30.89%2,405.92萬30.45%2,184.31萬30.45%2,184.31萬162.11%2,046.21萬172.76%1,973.7萬73.16%1,838.07萬
總負債 39.92%8,118.62萬39.92%8,118.62萬12.57%7,213.9萬-2.12%7,144.91萬-22.09%6,089.4萬-34.11%5,802.42萬-34.11%5,802.42萬4.56%6,408.44萬30.26%7,299.33萬30.36%7,815.8萬
所有者權益
股本 1.98%3,9131.98%3,9132.23%3,8971.71%3,8761.21%3,8560.92%3,8370.92%3,8370.32%3,8120.29%3,8110.26%3,810
-普通股股本 1.98%3,9131.98%3,9132.23%3,8971.71%3,8761.21%3,8560.92%3,8370.92%3,8370.32%3,8120.29%3,8110.26%3,810
留存收益 -224.76%-3,935.25萬-224.76%-3,935.25萬-190.77%-3,849.04萬-127.32%-3,062.58萬10.59%-1,406.34萬13.13%-1,211.74萬13.13%-1,211.74萬19.02%-1,323.74萬-13.08%-1,347.25萬-100.76%-1,572.87萬
資本公積 4.60%2,692.31萬4.60%2,692.31萬5.69%2,677.71萬4.67%2,650.1萬6.95%2,706.38萬-1.66%2,573.81萬-1.66%2,573.81萬-2.35%2,533.47萬-1.51%2,531.97萬7.27%2,530.47萬
減:庫存股 0.00%367.18萬0.00%367.18萬0.00%367.18萬0.00%367.18萬0.00%367.18萬0.00%367.18萬0.00%367.18萬0.00%367.18萬0.00%367.18萬0.00%367.18萬
不影響留存收益的損益 1.58%-27.5萬1.58%-27.5萬18.50%-18.82萬31.58%-19.36萬18.08%-22.42萬-9.86%-27.95萬-9.86%-27.95萬19.75%-23.09萬1.12%-28.3萬10.23%-27.37萬
股東權益總額 -269.25%-1,637.23萬-269.25%-1,637.23萬-289.91%-1,556.93萬-201.14%-798.63萬61.66%910.83萬16.55%967.33萬16.55%967.33萬45.28%819.85萬-19.76%789.62萬-52.18%563.44萬
非控制性權益 -0.05%-550.67萬-0.05%-550.67萬-0.05%-550.65萬-0.06%-550.53萬-0.09%-550.51萬-0.09%-550.41萬-0.09%-550.41萬-0.11%-550.39萬-0.10%-550.19萬-0.15%-550.04萬
總權益 -624.78%-2,187.91萬-624.78%-2,187.91萬-882.16%-2,107.58萬-663.49%-1,349.17萬2,589.17%360.32萬48.87%416.92萬48.87%416.92萬1,757.68%269.46萬-44.88%239.43萬-97.87%13.4萬
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