美股市場個股詳情

DEVELOP GLOBAL LTD (VTEXF)

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  • 3.850
  • 0.0000.00%
延時15分鐘行情收盤價 02/12 14:53 (美東)
12.70億總市值20.81市盈率TTM

DEVELOP GLOBAL LTD (VTEXF) 資產負債表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2025/06/30
(Q4)2025/06/30
(FY)2024/06/30
(Q4)2024/06/30
(FY)2023/06/30
(Q4)2023/06/30
(FY)2022/06/30
(Q4)2022/06/30
(FY)2021/06/30
(Q4)2021/06/30
資產
流動資產
現金及現金等價物和短期投資
41.27%5,862.58萬
41.27%5,862.58萬
90.63%4,149.95萬
90.63%4,149.95萬
-49.62%2,176.91萬
-49.62%2,176.91萬
156.70%4,320.65萬
156.70%4,320.65萬
645.91%1,683.14萬
645.91%1,683.14萬
-現金和現金等價物
41.27%5,862.58萬
41.27%5,862.58萬
90.63%4,149.95萬
90.63%4,149.95萬
-49.62%2,176.91萬
-49.62%2,176.91萬
156.70%4,320.65萬
156.70%4,320.65萬
645.91%1,683.14萬
645.91%1,683.14萬
應收款項
1,969.75%1.87億
1,969.75%1.87億
25.85%902.48萬
25.85%902.48萬
140.74%717.13萬
140.74%717.13萬
984.14%297.88萬
984.14%297.88萬
-63.50%27.48萬
-63.50%27.48萬
-應收賬款
39.96%1,263.15萬
39.96%1,263.15萬
25.85%902.48萬
25.85%902.48萬
114.63%717.13萬
114.63%717.13萬
424.36%334.12萬
424.36%334.12萬
-16.09%63.72萬
-16.09%63.72萬
-其他應收款
--1.74億
--1.74億
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----
----
----
----
----
----
----
-應收賬款調整額
----
----
----
----
----
----
0.00%-36.24萬
0.00%-36.24萬
-5,391.55%-36.24萬
-5,391.55%-36.24萬
存貨
249.38%2,666.25萬
249.38%2,666.25萬
26.22%763.13萬
26.22%763.13萬
50.28%604.61萬
50.28%604.61萬
93,462.14%402.32萬
93,462.14%402.32萬
-82.00%4,300
-82.00%4,300
預付費用
----
----
----
----
----
----
434.15%128.64萬
434.15%128.64萬
47.05%24.08萬
47.05%24.08萬
其他流動資產
50.96%2,342.91萬
50.96%2,342.91萬
726.44%1,551.97萬
726.44%1,551.97萬
3,093.72%187.79萬
3,093.72%187.79萬
51.55%5.88萬
51.55%5.88萬
-1.02%3.88萬
-1.02%3.88萬
流動資產合計
301.10%2.96億
301.10%2.96億
99.85%7,367.53萬
99.85%7,367.53萬
-28.49%3,686.44萬
-28.49%3,686.44萬
196.45%5,155.37萬
196.45%5,155.37萬
437.37%1,739.01萬
437.37%1,739.01萬
非流動資產
固定資產淨額
27.99%5億
27.99%5億
92.54%3.91億
92.54%3.91億
45.70%2.03億
45.70%2.03億
395.94%1.39億
395.94%1.39億
-27.34%2,807.01萬
-27.34%2,807.01萬
-固定資產
33.08%5.61億
33.08%5.61億
98.10%4.22億
98.10%4.22億
51.45%2.13億
51.45%2.13億
385.21%1.41億
385.21%1.41億
-29.57%2,896.91萬
-29.57%2,896.91萬
-累計折舊
-96.95%-6,137.13萬
-96.95%-6,137.13萬
-210.26%-3,116.06萬
-210.26%-3,116.06萬
-643.42%-1,004.33萬
-643.42%-1,004.33萬
-50.28%-135.1萬
-50.28%-135.1萬
64.06%-89.9萬
64.06%-89.9萬
商譽及其他無形資產
----
----
----
----
--252.37萬
--252.37萬
----
----
----
----
-商譽
----
----
----
----
--252.37萬
--252.37萬
----
----
----
----
投資和預付款
----
----
----
----
----
----
--358.25萬
--358.25萬
----
----
長期應收款
----
----
----
----
----
----
-11.13%1,053.74萬
-11.13%1,053.74萬
--1,185.72萬
--1,185.72萬
非流動遞延資產
--8,585.46萬
--8,585.46萬
----
----
----
----
----
----
----
----
其他非流動資產
140.68%1,686.51萬
140.68%1,686.51萬
95.89%700.71萬
95.89%700.71萬
--357.7萬
--357.7萬
----
----
---1
---1
非流動資產合計
51.57%6.03億
51.57%6.03億
90.28%3.98億
90.28%3.98億
36.26%2.09億
36.26%2.09億
284.02%1.53億
284.02%1.53億
3.36%3,992.74萬
3.36%3,992.74萬
總資產
90.58%8.98億
90.58%8.98億
91.71%4.71億
91.71%4.71億
19.97%2.46億
19.97%2.46億
257.46%2.05億
257.46%2.05億
36.90%5,731.74萬
36.90%5,731.74萬
負債
流動負債
應付款項
54.35%4,066.2萬
54.35%4,066.2萬
31.20%2,634.33萬
31.20%2,634.33萬
152.45%2,007.93萬
152.45%2,007.93萬
510.81%795.38萬
510.81%795.38萬
-10.52%130.22萬
-10.52%130.22萬
-應付賬款
25.79%2,096萬
25.79%2,096萬
68.96%1,666.3萬
68.96%1,666.3萬
70.69%986.21萬
70.69%986.21萬
1,037.47%577.79萬
1,037.47%577.79萬
-34.93%50.8萬
-34.93%50.8萬
-其他應付款
103.53%1,970.2萬
103.53%1,970.2萬
-5.26%968.03萬
-5.26%968.03萬
369.56%1,021.72萬
369.56%1,021.72萬
173.97%217.59萬
173.97%217.59萬
17.73%79.42萬
17.73%79.42萬
現行撥備
----
----
--708.21萬
--708.21萬
----
----
----
----
----
----
短期借款與租賃負債
91.38%4,240.92萬
91.38%4,240.92萬
87.20%2,216.01萬
87.20%2,216.01萬
624.16%1,183.75萬
624.16%1,183.75萬
1,475.14%163.47萬
1,475.14%163.47萬
-95.12%10.38萬
-95.12%10.38萬
-短期借款
226.03%2,494.96萬
226.03%2,494.96萬
--765.26萬
--765.26萬
----
----
----
----
----
----
-短期租賃負債
20.35%1,745.96萬
20.35%1,745.96萬
22.56%1,450.75萬
22.56%1,450.75萬
624.16%1,183.75萬
624.16%1,183.75萬
1,475.14%163.47萬
1,475.14%163.47萬
156.53%10.38萬
156.53%10.38萬
遞延負債
1,631.21%2,187.88萬
1,631.21%2,187.88萬
-73.41%126.38萬
-73.41%126.38萬
--475.32萬
--475.32萬
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----
----
----
流動負債總額
84.79%1.12億
84.79%1.12億
55.33%6,071.28萬
55.33%6,071.28萬
221.21%3,908.72萬
221.21%3,908.72萬
77.14%1,216.86萬
77.14%1,216.86萬
87.80%686.96萬
87.80%686.96萬
非流動負債
長期撥備
86.05%3,124.44萬
86.05%3,124.44萬
1.67%1,679.37萬
1.67%1,679.37萬
-39.23%1,651.85萬
-39.23%1,651.85萬
83.39%2,718.11萬
83.39%2,718.11萬
3.58%1,482.15萬
3.58%1,482.15萬
長期借款與租賃負債
521.30%1.16億
521.30%1.16億
16.02%1,865.16萬
16.02%1,865.16萬
753.70%1,607.56萬
753.70%1,607.56萬
--188.31萬
--188.31萬
----
----
-長期借款
1,043.62%1.08億
1,043.62%1.08億
--942.11萬
--942.11萬
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----
----
----
----
----
-長期租賃負債
-11.80%814.14萬
-11.80%814.14萬
-42.58%923.04萬
-42.58%923.04萬
753.70%1,607.56萬
753.70%1,607.56萬
--188.31萬
--188.31萬
----
----
遞延負債
--817.14萬
--817.14萬
----
----
----
----
----
----
----
----
員工福利
28.62%18.36萬
28.62%18.36萬
0.01%14.28萬
0.01%14.28萬
83.50%14.27萬
83.50%14.27萬
172.32%7.78萬
172.32%7.78萬
52.59%2.86萬
52.59%2.86萬
其他非流動負債
----
----
4.82%2,548.78萬
4.82%2,548.78萬
27.84%2,431.52萬
27.84%2,431.52萬
--1,901.97萬
--1,901.97萬
----
----
非流動負債總額
154.57%1.55億
154.57%1.55億
7.05%6,107.59萬
7.05%6,107.59萬
18.46%5,705.21萬
18.46%5,705.21萬
224.32%4,816.16萬
224.32%4,816.16萬
3.64%1,485.01萬
3.64%1,485.01萬
總負債
119.78%2.68億
119.78%2.68億
26.68%1.22億
26.68%1.22億
59.36%9,613.94萬
59.36%9,613.94萬
177.77%6,033.02萬
177.77%6,033.02萬
20.76%2,171.97萬
20.76%2,171.97萬
所有者權益
股本
69.06%7.25億
69.06%7.25億
87.94%4.29億
87.94%4.29億
12.97%2.28億
12.97%2.28億
53.08%2.02億
53.08%2.02億
19.69%1.32億
19.69%1.32億
-普通股股本
69.06%7.25億
69.06%7.25億
87.94%4.29億
87.94%4.29億
12.97%2.28億
12.97%2.28億
53.08%2.02億
53.08%2.02億
19.69%1.32億
19.69%1.32億
留存收益
33.50%-1.44億
33.50%-1.44億
-5.98%-2.16億
-5.98%-2.16億
-9.63%-2.04億
-9.63%-2.04億
-5.23%-1.86億
-5.23%-1.86億
-103.75%-1.77億
-103.75%-1.77億
不影響留存收益的損益
-64.63%4,812.08萬
-64.63%4,812.08萬
8.83%1.36億
8.83%1.36億
-2.50%1.25億
-2.50%1.25億
60.05%1.28億
60.05%1.28億
35,012.27%8,010.86萬
35,012.27%8,010.86萬
其他權益
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----
---1
---1
----
----
----
----
----
----
股東權益總額
80.36%6.3億
80.36%6.3億
133.37%3.49億
133.37%3.49億
3.53%1.5億
3.53%1.5億
306.08%1.45億
306.08%1.45億
49.07%3,559.78萬
49.07%3,559.78萬
非控制性權益
162.97%45.21萬
162.97%45.21萬
--17.19萬
--17.19萬
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----
----
----
----
----
總權益
80.41%6.3億
80.41%6.3億
133.49%3.49億
133.49%3.49億
3.53%1.5億
3.53%1.5億
306.08%1.45億
306.08%1.45億
49.07%3,559.78萬
49.07%3,559.78萬
貨幣單位
澳大利亞元
澳大利亞元
澳大利亞元
澳大利亞元
澳大利亞元
澳大利亞元
澳大利亞元
澳大利亞元
澳大利亞元
澳大利亞元
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)2025/06/30(Q4)2025/06/30(FY)2024/06/30(Q4)2024/06/30(FY)2023/06/30(Q4)2023/06/30(FY)2022/06/30(Q4)2022/06/30(FY)2021/06/30(Q4)2021/06/30
資產
流動資產
現金及現金等價物和短期投資 41.27%5,862.58萬41.27%5,862.58萬90.63%4,149.95萬90.63%4,149.95萬-49.62%2,176.91萬-49.62%2,176.91萬156.70%4,320.65萬156.70%4,320.65萬645.91%1,683.14萬645.91%1,683.14萬
-現金和現金等價物 41.27%5,862.58萬41.27%5,862.58萬90.63%4,149.95萬90.63%4,149.95萬-49.62%2,176.91萬-49.62%2,176.91萬156.70%4,320.65萬156.70%4,320.65萬645.91%1,683.14萬645.91%1,683.14萬
應收款項 1,969.75%1.87億1,969.75%1.87億25.85%902.48萬25.85%902.48萬140.74%717.13萬140.74%717.13萬984.14%297.88萬984.14%297.88萬-63.50%27.48萬-63.50%27.48萬
-應收賬款 39.96%1,263.15萬39.96%1,263.15萬25.85%902.48萬25.85%902.48萬114.63%717.13萬114.63%717.13萬424.36%334.12萬424.36%334.12萬-16.09%63.72萬-16.09%63.72萬
-其他應收款 --1.74億--1.74億--------------------------------
-應收賬款調整額 ------------------------0.00%-36.24萬0.00%-36.24萬-5,391.55%-36.24萬-5,391.55%-36.24萬
存貨 249.38%2,666.25萬249.38%2,666.25萬26.22%763.13萬26.22%763.13萬50.28%604.61萬50.28%604.61萬93,462.14%402.32萬93,462.14%402.32萬-82.00%4,300-82.00%4,300
預付費用 ------------------------434.15%128.64萬434.15%128.64萬47.05%24.08萬47.05%24.08萬
其他流動資產 50.96%2,342.91萬50.96%2,342.91萬726.44%1,551.97萬726.44%1,551.97萬3,093.72%187.79萬3,093.72%187.79萬51.55%5.88萬51.55%5.88萬-1.02%3.88萬-1.02%3.88萬
流動資產合計 301.10%2.96億301.10%2.96億99.85%7,367.53萬99.85%7,367.53萬-28.49%3,686.44萬-28.49%3,686.44萬196.45%5,155.37萬196.45%5,155.37萬437.37%1,739.01萬437.37%1,739.01萬
非流動資產
固定資產淨額 27.99%5億27.99%5億92.54%3.91億92.54%3.91億45.70%2.03億45.70%2.03億395.94%1.39億395.94%1.39億-27.34%2,807.01萬-27.34%2,807.01萬
-固定資產 33.08%5.61億33.08%5.61億98.10%4.22億98.10%4.22億51.45%2.13億51.45%2.13億385.21%1.41億385.21%1.41億-29.57%2,896.91萬-29.57%2,896.91萬
-累計折舊 -96.95%-6,137.13萬-96.95%-6,137.13萬-210.26%-3,116.06萬-210.26%-3,116.06萬-643.42%-1,004.33萬-643.42%-1,004.33萬-50.28%-135.1萬-50.28%-135.1萬64.06%-89.9萬64.06%-89.9萬
商譽及其他無形資產 ------------------252.37萬--252.37萬----------------
-商譽 ------------------252.37萬--252.37萬----------------
投資和預付款 --------------------------358.25萬--358.25萬--------
長期應收款 -------------------------11.13%1,053.74萬-11.13%1,053.74萬--1,185.72萬--1,185.72萬
非流動遞延資產 --8,585.46萬--8,585.46萬--------------------------------
其他非流動資產 140.68%1,686.51萬140.68%1,686.51萬95.89%700.71萬95.89%700.71萬--357.7萬--357.7萬-----------1---1
非流動資產合計 51.57%6.03億51.57%6.03億90.28%3.98億90.28%3.98億36.26%2.09億36.26%2.09億284.02%1.53億284.02%1.53億3.36%3,992.74萬3.36%3,992.74萬
總資產 90.58%8.98億90.58%8.98億91.71%4.71億91.71%4.71億19.97%2.46億19.97%2.46億257.46%2.05億257.46%2.05億36.90%5,731.74萬36.90%5,731.74萬
負債
流動負債
應付款項 54.35%4,066.2萬54.35%4,066.2萬31.20%2,634.33萬31.20%2,634.33萬152.45%2,007.93萬152.45%2,007.93萬510.81%795.38萬510.81%795.38萬-10.52%130.22萬-10.52%130.22萬
-應付賬款 25.79%2,096萬25.79%2,096萬68.96%1,666.3萬68.96%1,666.3萬70.69%986.21萬70.69%986.21萬1,037.47%577.79萬1,037.47%577.79萬-34.93%50.8萬-34.93%50.8萬
-其他應付款 103.53%1,970.2萬103.53%1,970.2萬-5.26%968.03萬-5.26%968.03萬369.56%1,021.72萬369.56%1,021.72萬173.97%217.59萬173.97%217.59萬17.73%79.42萬17.73%79.42萬
現行撥備 ----------708.21萬--708.21萬------------------------
短期借款與租賃負債 91.38%4,240.92萬91.38%4,240.92萬87.20%2,216.01萬87.20%2,216.01萬624.16%1,183.75萬624.16%1,183.75萬1,475.14%163.47萬1,475.14%163.47萬-95.12%10.38萬-95.12%10.38萬
-短期借款 226.03%2,494.96萬226.03%2,494.96萬--765.26萬--765.26萬------------------------
-短期租賃負債 20.35%1,745.96萬20.35%1,745.96萬22.56%1,450.75萬22.56%1,450.75萬624.16%1,183.75萬624.16%1,183.75萬1,475.14%163.47萬1,475.14%163.47萬156.53%10.38萬156.53%10.38萬
遞延負債 1,631.21%2,187.88萬1,631.21%2,187.88萬-73.41%126.38萬-73.41%126.38萬--475.32萬--475.32萬----------------
流動負債總額 84.79%1.12億84.79%1.12億55.33%6,071.28萬55.33%6,071.28萬221.21%3,908.72萬221.21%3,908.72萬77.14%1,216.86萬77.14%1,216.86萬87.80%686.96萬87.80%686.96萬
非流動負債
長期撥備 86.05%3,124.44萬86.05%3,124.44萬1.67%1,679.37萬1.67%1,679.37萬-39.23%1,651.85萬-39.23%1,651.85萬83.39%2,718.11萬83.39%2,718.11萬3.58%1,482.15萬3.58%1,482.15萬
長期借款與租賃負債 521.30%1.16億521.30%1.16億16.02%1,865.16萬16.02%1,865.16萬753.70%1,607.56萬753.70%1,607.56萬--188.31萬--188.31萬--------
-長期借款 1,043.62%1.08億1,043.62%1.08億--942.11萬--942.11萬------------------------
-長期租賃負債 -11.80%814.14萬-11.80%814.14萬-42.58%923.04萬-42.58%923.04萬753.70%1,607.56萬753.70%1,607.56萬--188.31萬--188.31萬--------
遞延負債 --817.14萬--817.14萬--------------------------------
員工福利 28.62%18.36萬28.62%18.36萬0.01%14.28萬0.01%14.28萬83.50%14.27萬83.50%14.27萬172.32%7.78萬172.32%7.78萬52.59%2.86萬52.59%2.86萬
其他非流動負債 --------4.82%2,548.78萬4.82%2,548.78萬27.84%2,431.52萬27.84%2,431.52萬--1,901.97萬--1,901.97萬--------
非流動負債總額 154.57%1.55億154.57%1.55億7.05%6,107.59萬7.05%6,107.59萬18.46%5,705.21萬18.46%5,705.21萬224.32%4,816.16萬224.32%4,816.16萬3.64%1,485.01萬3.64%1,485.01萬
總負債 119.78%2.68億119.78%2.68億26.68%1.22億26.68%1.22億59.36%9,613.94萬59.36%9,613.94萬177.77%6,033.02萬177.77%6,033.02萬20.76%2,171.97萬20.76%2,171.97萬
所有者權益
股本 69.06%7.25億69.06%7.25億87.94%4.29億87.94%4.29億12.97%2.28億12.97%2.28億53.08%2.02億53.08%2.02億19.69%1.32億19.69%1.32億
-普通股股本 69.06%7.25億69.06%7.25億87.94%4.29億87.94%4.29億12.97%2.28億12.97%2.28億53.08%2.02億53.08%2.02億19.69%1.32億19.69%1.32億
留存收益 33.50%-1.44億33.50%-1.44億-5.98%-2.16億-5.98%-2.16億-9.63%-2.04億-9.63%-2.04億-5.23%-1.86億-5.23%-1.86億-103.75%-1.77億-103.75%-1.77億
不影響留存收益的損益 -64.63%4,812.08萬-64.63%4,812.08萬8.83%1.36億8.83%1.36億-2.50%1.25億-2.50%1.25億60.05%1.28億60.05%1.28億35,012.27%8,010.86萬35,012.27%8,010.86萬
其他權益 -----------1---1------------------------
股東權益總額 80.36%6.3億80.36%6.3億133.37%3.49億133.37%3.49億3.53%1.5億3.53%1.5億306.08%1.45億306.08%1.45億49.07%3,559.78萬49.07%3,559.78萬
非控制性權益 162.97%45.21萬162.97%45.21萬--17.19萬--17.19萬------------------------
總權益 80.41%6.3億80.41%6.3億133.49%3.49億133.49%3.49億3.53%1.5億3.53%1.5億306.08%1.45億306.08%1.45億49.07%3,559.78萬49.07%3,559.78萬
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