美股市場個股詳情

TATT TAT Technologies

添加自選
  • 26.000
  • -0.160-0.61%
收盤價 12/20 16:00 (美東)
2.82億總市值35.62市盈率TTM

TAT Technologies關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2024/09/30
(Q2)2024/06/30
(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
資產
流動資產
現金及現金等價物和短期投資
17.59%857萬
-25.03%805.8萬
-2.42%897.3萬
106.93%1,597.9萬
106.93%1,597.9萬
-0.31%728.8萬
28.93%1,074.8萬
-28.15%919.6萬
-40.01%772.2萬
-40.01%772.2萬
-現金和現金等價物
17.59%857萬
-25.03%805.8萬
-2.42%897.3萬
106.93%1,597.9萬
106.93%1,597.9萬
-0.31%728.8萬
28.93%1,074.8萬
-28.15%919.6萬
-40.01%772.2萬
-40.01%772.2萬
應收款項
65.98%2,969.3萬
80.62%2,619.7萬
18.06%2,082.9萬
28.08%2,000.9萬
28.08%2,000.9萬
33.83%1,789萬
0.10%1,450.4萬
20.13%1,764.3萬
12.49%1,562.2萬
12.49%1,562.2萬
-應收賬款
65.98%2,969.3萬
80.62%2,619.7萬
18.06%2,082.9萬
28.08%2,000.9萬
28.08%2,000.9萬
33.83%1,789萬
0.10%1,450.4萬
20.13%1,764.3萬
12.49%1,562.2萬
12.49%1,562.2萬
存貨
26.26%6,187.5萬
26.86%5,676.3萬
25.69%5,385.7萬
12.07%5,128萬
12.07%5,128萬
2.95%4,900.5萬
1.18%4,474.4萬
-0.84%4,284.8萬
11.60%4,575.9萬
11.60%4,575.9萬
受限制現金
--0
--0
--13.9萬
--66.1萬
--66.1萬
----
----
----
--0
--0
其他流動資產
42.70%726.9萬
12.31%672.2萬
33.92%657.8萬
5.79%639.7萬
5.79%639.7萬
-2.64%509.4萬
28.46%598.5萬
13.52%491.2萬
43.33%604.7萬
43.33%604.7萬
流動資產合計
35.48%1.07億
28.64%9,774萬
21.15%9,037.6萬
25.52%9,432.6萬
25.52%9,432.6萬
7.84%7,927.7萬
5.96%7,598.1萬
-0.56%7,459.9萬
4.40%7,515萬
4.40%7,515萬
非流動資產
固定資產淨額
-2.68%4,373.5萬
-2.07%4,359萬
-1.31%4,422.9萬
-1.31%4,530萬
-1.31%4,530萬
5.51%4,493.9萬
14.29%4,451萬
23.42%4,481.7萬
36.70%4,590萬
36.70%4,590萬
-固定資產
-2.68%4,373.5萬
-2.07%4,359萬
-1.31%4,422.9萬
4.32%1.05億
4.32%1.05億
5.51%4,493.9萬
14.29%4,451萬
23.42%4,481.7萬
12.36%1億
12.36%1億
-累計折舊
----
----
----
-9.05%-5,943.2萬
-9.05%-5,943.2萬
----
----
----
2.29%-5,449.9萬
2.29%-5,449.9萬
商譽及其他無形資產
0.75%162萬
1.32%168.7萬
1.92%175.5萬
12.32%182.3萬
12.32%182.3萬
-4.00%160.8萬
-3.59%166.5萬
-3.10%172.2萬
-11.26%162.3萬
-11.26%162.3萬
-其他無形資產
----
----
----
12.32%182.3萬
12.32%182.3萬
----
----
----
-11.26%162.3萬
-11.26%162.3萬
投資和預付款
43.64%289萬
46.50%276.3萬
36.53%236.6萬
30.21%216.8萬
30.21%216.8萬
25.28%201.2萬
20.05%188.6萬
159.43%173.3萬
139.57%166.5萬
139.57%166.5萬
非流動遞延資產
-35.91%108.5萬
-15.94%109.7萬
16.24%140.3萬
-19.12%99.4萬
-19.12%99.4萬
22.68%169.3萬
-2.10%130.5萬
5.23%120.7萬
-1.84%122.9萬
-1.84%122.9萬
確認的養老福利金
-1.36%65.2萬
-5.71%64.4萬
-7.18%65.9萬
-14.87%66.4萬
-14.87%66.4萬
-18.29%66.1萬
-17.11%68.3萬
-34.62%71萬
-32.58%78萬
-32.58%78萬
其他非流動資產
4.20%29.8萬
-0.68%29.4萬
-46.69%16.1萬
-0.66%30.2萬
-0.66%30.2萬
-11.46%28.6萬
-3.58%29.6萬
-9.31%30.2萬
-11.37%30.4萬
-11.37%30.4萬
非流動資產合計
-1.79%5,028萬
-0.54%5,007.5萬
0.16%5,057.3萬
-0.49%5,125.1萬
-0.49%5,125.1萬
5.81%5,119.9萬
12.61%5,034.5萬
22.18%5,049.1萬
32.56%5,150.1萬
32.56%5,150.1萬
總資產
20.86%1.58億
17.01%1.48億
12.68%1.41億
14.94%1.46億
14.94%1.46億
7.04%1.3億
8.52%1.26億
7.52%1.25億
14.27%1.27億
14.27%1.27億
負債
流動負債
應付款項
50.78%1,290.4萬
12.39%907.9萬
1.93%928.8萬
-2.39%998.8萬
-2.39%998.8萬
-0.24%855.8萬
0.20%807.8萬
-7.59%911.2萬
12.54%1,023.3萬
12.54%1,023.3萬
-應付賬款
50.78%1,290.4萬
12.39%907.9萬
1.93%928.8萬
-2.39%998.8萬
-2.39%998.8萬
-0.24%855.8萬
0.20%807.8萬
-7.59%911.2萬
12.54%1,023.3萬
12.54%1,023.3萬
應計費用
52.60%1,661.7萬
20.09%1,290.7萬
31.78%1,238.1萬
24.91%832.5萬
24.91%832.5萬
45.40%1,088.9萬
53.24%1,074.8萬
35.82%939.5萬
33.92%666.5萬
33.92%666.5萬
現行撥備
----
----
----
-10.39%38.8萬
-10.39%38.8萬
-57.50%8.5萬
-91.02%10萬
-57.69%13.2萬
-51.89%43.3萬
-51.89%43.3萬
短期借款與租賃負債
-61.27%583.9萬
75.90%1,563.9萬
24.62%1,115.7萬
73.08%1,537.1萬
73.08%1,537.1萬
72.77%1,507.8萬
69.22%889.1萬
89.96%895.3萬
12.87%888.1萬
12.87%888.1萬
-短期借款
-66.35%471.2萬
79.57%1,448.4萬
23.94%1,002.3萬
79.74%1,433.8萬
79.74%1,433.8萬
78.43%1,400.5萬
80.04%806.6萬
97.05%808.7萬
19.08%797.7萬
19.08%797.7萬
-短期租賃負債
5.03%112.7萬
40.00%115.5萬
30.95%113.4萬
14.27%103.3萬
14.27%103.3萬
22.21%107.3萬
6.59%82.5萬
42.20%86.6萬
-22.67%90.4萬
-22.67%90.4萬
遞延負債
----
----
----
88.59%523.9萬
88.59%523.9萬
----
----
----
59.75%277.8萬
59.75%277.8萬
流動負債總額
2.17%3,536萬
35.26%3,762.5萬
18.97%3,282.6萬
35.60%3,931.1萬
35.60%3,931.1萬
38.47%3,461萬
29.72%2,781.7萬
26.56%2,759.2萬
17.96%2,899萬
17.96%2,899萬
非流動負債
長期借款與租賃負債
-12.58%1,287.2萬
-30.90%1,345.6萬
-28.83%1,431.2萬
-30.37%1,458.3萬
-30.37%1,458.3萬
-28.99%1,472.4萬
4.31%1,947.4萬
12.66%2,011.1萬
162.84%2,094.3萬
162.84%2,094.3萬
-長期借款
-11.21%1,138.3萬
-34.32%1,197萬
-33.13%1,254.7萬
-33.60%1,288.6萬
-33.60%1,288.6萬
-31.91%1,282萬
10.23%1,822.4萬
17.89%1,876.4萬
224.60%1,940.8萬
224.60%1,940.8萬
-長期租賃負債
-21.80%148.9萬
18.88%148.6萬
31.03%176.5萬
10.55%169.7萬
10.55%169.7萬
-0.21%190.4萬
-41.51%125萬
-30.35%134.7萬
-22.83%153.5萬
-22.83%153.5萬
員工福利
-4.03%95.3萬
-2.25%99.8萬
-6.17%100.3萬
-12.89%100萬
-12.89%100萬
-16.34%99.3萬
-13.33%102.1萬
-22.93%106.9萬
-23.67%114.8萬
-23.67%114.8萬
非流動負債總額
-12.04%1,382.5萬
-29.48%1,445.4萬
-27.69%1,531.5萬
-29.46%1,558.3萬
-29.46%1,558.3萬
-28.31%1,571.7萬
3.26%2,049.5萬
10.09%2,118萬
133.22%2,209.1萬
133.22%2,209.1萬
總負債
-2.27%4,918.5萬
7.80%5,207.9萬
-1.29%4,814.1萬
7.46%5,489.4萬
7.46%5,489.4萬
7.27%5,032.7萬
17.00%4,831.2萬
18.84%4,877.2萬
50.02%5,108.1萬
50.02%5,108.1萬
所有者權益
股本
--0
10.60%315.2萬
10.52%314.1萬
10.49%314萬
10.49%314萬
0.25%285萬
1.06%285萬
0.78%284.2萬
1.17%284.2萬
1.17%284.2萬
-普通股股本
--0
10.60%315.2萬
10.52%314.1萬
10.49%314萬
10.49%314萬
0.25%285萬
1.06%285萬
0.78%284.2萬
1.17%284.2萬
1.17%284.2萬
留存收益
61.96%2,086.1萬
67.72%1,799.6萬
66.17%1,537.9萬
54.34%1,326.9萬
54.34%1,326.9萬
58.78%1,288萬
26.76%1,073萬
7.65%925.5萬
-15.38%859.7萬
-15.38%859.7萬
資本公積
34.69%8,960.8萬
15.02%7,651.2萬
15.14%7,637.6萬
15.23%7,633.5萬
15.23%7,633.5萬
0.51%6,653.1萬
0.73%6,652.2萬
0.54%6,633.5萬
0.57%6,624.5萬
0.57%6,624.5萬
減:庫存股
0.00%208.8萬
0.00%208.8萬
0.00%208.8萬
0.00%208.8萬
0.00%208.8萬
0.00%208.8萬
0.00%208.8萬
0.00%208.8萬
0.00%208.8萬
0.00%208.8萬
不影響留存收益的損益
604.17%12.1萬
--16.4萬
--0
203.85%2.7萬
203.85%2.7萬
70.37%-2.4萬
--0
-2,700.00%-2.6萬
-178.79%-2.6萬
-178.79%-2.6萬
股東權益總額
35.38%1.09億
22.72%9,573.6萬
21.61%9,280.8萬
20.00%9,068.3萬
20.00%9,068.3萬
6.89%8,014.9萬
3.85%7,801.4萬
1.34%7,631.8萬
-1.58%7,557萬
-1.58%7,557萬
總權益
35.38%1.09億
22.72%9,573.6萬
21.61%9,280.8萬
20.00%9,068.3萬
20.00%9,068.3萬
6.89%8,014.9萬
3.85%7,801.4萬
1.34%7,631.8萬
-1.58%7,557萬
-1.58%7,557萬
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
--
--
--
--
無保留意見
--
(Q3)2024/09/30(Q2)2024/06/30(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
資產
流動資產
現金及現金等價物和短期投資 17.59%857萬-25.03%805.8萬-2.42%897.3萬106.93%1,597.9萬106.93%1,597.9萬-0.31%728.8萬28.93%1,074.8萬-28.15%919.6萬-40.01%772.2萬-40.01%772.2萬
-現金和現金等價物 17.59%857萬-25.03%805.8萬-2.42%897.3萬106.93%1,597.9萬106.93%1,597.9萬-0.31%728.8萬28.93%1,074.8萬-28.15%919.6萬-40.01%772.2萬-40.01%772.2萬
應收款項 65.98%2,969.3萬80.62%2,619.7萬18.06%2,082.9萬28.08%2,000.9萬28.08%2,000.9萬33.83%1,789萬0.10%1,450.4萬20.13%1,764.3萬12.49%1,562.2萬12.49%1,562.2萬
-應收賬款 65.98%2,969.3萬80.62%2,619.7萬18.06%2,082.9萬28.08%2,000.9萬28.08%2,000.9萬33.83%1,789萬0.10%1,450.4萬20.13%1,764.3萬12.49%1,562.2萬12.49%1,562.2萬
存貨 26.26%6,187.5萬26.86%5,676.3萬25.69%5,385.7萬12.07%5,128萬12.07%5,128萬2.95%4,900.5萬1.18%4,474.4萬-0.84%4,284.8萬11.60%4,575.9萬11.60%4,575.9萬
受限制現金 --0--0--13.9萬--66.1萬--66.1萬--------------0--0
其他流動資產 42.70%726.9萬12.31%672.2萬33.92%657.8萬5.79%639.7萬5.79%639.7萬-2.64%509.4萬28.46%598.5萬13.52%491.2萬43.33%604.7萬43.33%604.7萬
流動資產合計 35.48%1.07億28.64%9,774萬21.15%9,037.6萬25.52%9,432.6萬25.52%9,432.6萬7.84%7,927.7萬5.96%7,598.1萬-0.56%7,459.9萬4.40%7,515萬4.40%7,515萬
非流動資產
固定資產淨額 -2.68%4,373.5萬-2.07%4,359萬-1.31%4,422.9萬-1.31%4,530萬-1.31%4,530萬5.51%4,493.9萬14.29%4,451萬23.42%4,481.7萬36.70%4,590萬36.70%4,590萬
-固定資產 -2.68%4,373.5萬-2.07%4,359萬-1.31%4,422.9萬4.32%1.05億4.32%1.05億5.51%4,493.9萬14.29%4,451萬23.42%4,481.7萬12.36%1億12.36%1億
-累計折舊 -------------9.05%-5,943.2萬-9.05%-5,943.2萬------------2.29%-5,449.9萬2.29%-5,449.9萬
商譽及其他無形資產 0.75%162萬1.32%168.7萬1.92%175.5萬12.32%182.3萬12.32%182.3萬-4.00%160.8萬-3.59%166.5萬-3.10%172.2萬-11.26%162.3萬-11.26%162.3萬
-其他無形資產 ------------12.32%182.3萬12.32%182.3萬-------------11.26%162.3萬-11.26%162.3萬
投資和預付款 43.64%289萬46.50%276.3萬36.53%236.6萬30.21%216.8萬30.21%216.8萬25.28%201.2萬20.05%188.6萬159.43%173.3萬139.57%166.5萬139.57%166.5萬
非流動遞延資產 -35.91%108.5萬-15.94%109.7萬16.24%140.3萬-19.12%99.4萬-19.12%99.4萬22.68%169.3萬-2.10%130.5萬5.23%120.7萬-1.84%122.9萬-1.84%122.9萬
確認的養老福利金 -1.36%65.2萬-5.71%64.4萬-7.18%65.9萬-14.87%66.4萬-14.87%66.4萬-18.29%66.1萬-17.11%68.3萬-34.62%71萬-32.58%78萬-32.58%78萬
其他非流動資產 4.20%29.8萬-0.68%29.4萬-46.69%16.1萬-0.66%30.2萬-0.66%30.2萬-11.46%28.6萬-3.58%29.6萬-9.31%30.2萬-11.37%30.4萬-11.37%30.4萬
非流動資產合計 -1.79%5,028萬-0.54%5,007.5萬0.16%5,057.3萬-0.49%5,125.1萬-0.49%5,125.1萬5.81%5,119.9萬12.61%5,034.5萬22.18%5,049.1萬32.56%5,150.1萬32.56%5,150.1萬
總資產 20.86%1.58億17.01%1.48億12.68%1.41億14.94%1.46億14.94%1.46億7.04%1.3億8.52%1.26億7.52%1.25億14.27%1.27億14.27%1.27億
負債
流動負債
應付款項 50.78%1,290.4萬12.39%907.9萬1.93%928.8萬-2.39%998.8萬-2.39%998.8萬-0.24%855.8萬0.20%807.8萬-7.59%911.2萬12.54%1,023.3萬12.54%1,023.3萬
-應付賬款 50.78%1,290.4萬12.39%907.9萬1.93%928.8萬-2.39%998.8萬-2.39%998.8萬-0.24%855.8萬0.20%807.8萬-7.59%911.2萬12.54%1,023.3萬12.54%1,023.3萬
應計費用 52.60%1,661.7萬20.09%1,290.7萬31.78%1,238.1萬24.91%832.5萬24.91%832.5萬45.40%1,088.9萬53.24%1,074.8萬35.82%939.5萬33.92%666.5萬33.92%666.5萬
現行撥備 -------------10.39%38.8萬-10.39%38.8萬-57.50%8.5萬-91.02%10萬-57.69%13.2萬-51.89%43.3萬-51.89%43.3萬
短期借款與租賃負債 -61.27%583.9萬75.90%1,563.9萬24.62%1,115.7萬73.08%1,537.1萬73.08%1,537.1萬72.77%1,507.8萬69.22%889.1萬89.96%895.3萬12.87%888.1萬12.87%888.1萬
-短期借款 -66.35%471.2萬79.57%1,448.4萬23.94%1,002.3萬79.74%1,433.8萬79.74%1,433.8萬78.43%1,400.5萬80.04%806.6萬97.05%808.7萬19.08%797.7萬19.08%797.7萬
-短期租賃負債 5.03%112.7萬40.00%115.5萬30.95%113.4萬14.27%103.3萬14.27%103.3萬22.21%107.3萬6.59%82.5萬42.20%86.6萬-22.67%90.4萬-22.67%90.4萬
遞延負債 ------------88.59%523.9萬88.59%523.9萬------------59.75%277.8萬59.75%277.8萬
流動負債總額 2.17%3,536萬35.26%3,762.5萬18.97%3,282.6萬35.60%3,931.1萬35.60%3,931.1萬38.47%3,461萬29.72%2,781.7萬26.56%2,759.2萬17.96%2,899萬17.96%2,899萬
非流動負債
長期借款與租賃負債 -12.58%1,287.2萬-30.90%1,345.6萬-28.83%1,431.2萬-30.37%1,458.3萬-30.37%1,458.3萬-28.99%1,472.4萬4.31%1,947.4萬12.66%2,011.1萬162.84%2,094.3萬162.84%2,094.3萬
-長期借款 -11.21%1,138.3萬-34.32%1,197萬-33.13%1,254.7萬-33.60%1,288.6萬-33.60%1,288.6萬-31.91%1,282萬10.23%1,822.4萬17.89%1,876.4萬224.60%1,940.8萬224.60%1,940.8萬
-長期租賃負債 -21.80%148.9萬18.88%148.6萬31.03%176.5萬10.55%169.7萬10.55%169.7萬-0.21%190.4萬-41.51%125萬-30.35%134.7萬-22.83%153.5萬-22.83%153.5萬
員工福利 -4.03%95.3萬-2.25%99.8萬-6.17%100.3萬-12.89%100萬-12.89%100萬-16.34%99.3萬-13.33%102.1萬-22.93%106.9萬-23.67%114.8萬-23.67%114.8萬
非流動負債總額 -12.04%1,382.5萬-29.48%1,445.4萬-27.69%1,531.5萬-29.46%1,558.3萬-29.46%1,558.3萬-28.31%1,571.7萬3.26%2,049.5萬10.09%2,118萬133.22%2,209.1萬133.22%2,209.1萬
總負債 -2.27%4,918.5萬7.80%5,207.9萬-1.29%4,814.1萬7.46%5,489.4萬7.46%5,489.4萬7.27%5,032.7萬17.00%4,831.2萬18.84%4,877.2萬50.02%5,108.1萬50.02%5,108.1萬
所有者權益
股本 --010.60%315.2萬10.52%314.1萬10.49%314萬10.49%314萬0.25%285萬1.06%285萬0.78%284.2萬1.17%284.2萬1.17%284.2萬
-普通股股本 --010.60%315.2萬10.52%314.1萬10.49%314萬10.49%314萬0.25%285萬1.06%285萬0.78%284.2萬1.17%284.2萬1.17%284.2萬
留存收益 61.96%2,086.1萬67.72%1,799.6萬66.17%1,537.9萬54.34%1,326.9萬54.34%1,326.9萬58.78%1,288萬26.76%1,073萬7.65%925.5萬-15.38%859.7萬-15.38%859.7萬
資本公積 34.69%8,960.8萬15.02%7,651.2萬15.14%7,637.6萬15.23%7,633.5萬15.23%7,633.5萬0.51%6,653.1萬0.73%6,652.2萬0.54%6,633.5萬0.57%6,624.5萬0.57%6,624.5萬
減:庫存股 0.00%208.8萬0.00%208.8萬0.00%208.8萬0.00%208.8萬0.00%208.8萬0.00%208.8萬0.00%208.8萬0.00%208.8萬0.00%208.8萬0.00%208.8萬
不影響留存收益的損益 604.17%12.1萬--16.4萬--0203.85%2.7萬203.85%2.7萬70.37%-2.4萬--0-2,700.00%-2.6萬-178.79%-2.6萬-178.79%-2.6萬
股東權益總額 35.38%1.09億22.72%9,573.6萬21.61%9,280.8萬20.00%9,068.3萬20.00%9,068.3萬6.89%8,014.9萬3.85%7,801.4萬1.34%7,631.8萬-1.58%7,557萬-1.58%7,557萬
總權益 35.38%1.09億22.72%9,573.6萬21.61%9,280.8萬20.00%9,068.3萬20.00%9,068.3萬6.89%8,014.9萬3.85%7,801.4萬1.34%7,631.8萬-1.58%7,557萬-1.58%7,557萬
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-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 ------無保留意見--------無保留意見--
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