美股市场个股详情

AGEN 艾吉纳斯

添加自选
  • 4.200
  • -0.190-4.33%
收盘价 10/31 16:00 (美东)
  • 4.200
  • 0.0000.00%
盘后 16:02 (美东)
9060.22万总市值-377市盈率TTM

艾吉纳斯关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q3)2022/09/30
资产
流动资产
现金及现金等价物和短期投资
-40.63%9,372.3万
-72.07%5,285.6万
-60.64%7,611万
-60.64%7,611万
-51.29%1.06亿
-33.77%1.58亿
-27.96%1.89亿
-37.00%1.93亿
-37.00%1.93亿
-16.56%2.18亿
-现金和现金等价物
-34.55%9,372.3万
-67.93%5,285.6万
-57.40%7,611万
-57.40%7,611万
-48.98%1.06亿
-37.30%1.43亿
-33.46%1.65亿
-38.80%1.79亿
-38.80%1.79亿
-18.78%2.08亿
-短期投资
----
----
--0
--0
--0
47.28%1,464.7万
63.00%2,441.4万
-2.05%1,468.4万
-2.05%1,468.4万
97.56%987.6万
应收款项
-46.38%71.9万
-66.41%47.6万
842.58%2,583.6万
842.58%2,583.6万
-88.33%103万
-92.94%134.1万
10.19%141.7万
80.57%274.1万
80.57%274.1万
-59.48%882.3万
-应收账款
-46.38%71.9万
-66.41%47.6万
842.58%2,583.6万
842.58%2,583.6万
-88.33%103万
-92.94%134.1万
10.19%141.7万
80.57%274.1万
80.57%274.1万
-59.48%882.3万
预付费用
-74.63%220.7万
-65.05%389.5万
-41.44%809.8万
-41.44%809.8万
-27.75%1,588.6万
-69.61%869.9万
-48.72%1,114.3万
-32.08%1,382.9万
-32.08%1,382.9万
19.88%2,198.9万
其他流动资产
18.01%335.5万
-19.79%312.5万
-25.74%237.2万
-25.74%237.2万
-2.55%232.9万
-4.85%284.3万
-18.49%389.6万
0.73%319.4万
0.73%319.4万
-64.63%239万
流动资产合计
-41.43%1亿
-70.66%6,035.2万
-47.25%1.12亿
-47.25%1.12亿
-50.07%1.26亿
-40.91%1.71亿
-29.19%2.06亿
-35.80%2.13亿
-35.80%2.13亿
-18.47%2.51亿
非流动资产
固定资产净额
-9.98%1.57亿
-6.88%1.6亿
-0.77%1.63亿
-0.77%1.63亿
22.21%1.7亿
36.75%1.74亿
61.88%1.71亿
80.37%1.64亿
80.37%1.64亿
70.32%1.39亿
-固定资产
-3.32%2.25亿
-1.24%2.25亿
3.03%2.25亿
3.03%2.25亿
20.02%2.3亿
29.42%2.32亿
44.56%2.28亿
54.19%2.18亿
54.19%2.18亿
46.62%1.92亿
-累计折旧
-16.50%-6,813.7万
-15.97%-6,508万
-14.55%-6,194.3万
-14.55%-6,194.3万
-14.28%-6,075万
-11.64%-5,848.9万
-8.95%-5,611.9万
-7.00%-5,407.5万
-7.00%-5,407.5万
-7.54%-5,315.8万
商誉及其他无形资产
-2.79%2,888.4万
-7.53%2,892.8万
-8.08%2,913.4万
-8.08%2,913.4万
-5.35%2,916.3万
-7.61%2,971.4万
-3.36%3,128.3万
-5.00%3,169.5万
-5.00%3,169.5万
-8.08%3,081.3万
-商誉
0.08%2,474.8万
-3.61%2,469.8万
-2.92%2,472.3万
-2.92%2,472.3万
3.05%2,466.6万
1.19%2,472.8万
4.09%2,562.3万
2.38%2,546.7万
2.38%2,546.7万
-2.41%2,393.6万
-其他无形资产
-17.05%413.6万
-25.27%423万
-29.17%441.1万
-29.17%441.1万
-34.61%449.7万
-35.43%498.6万
-27.00%566万
-26.63%622.8万
-26.63%622.8万
-23.53%687.7万
其他非流动资产
-24.45%699.4万
72.19%760.9万
109.66%933.6万
109.66%933.6万
39.67%1,106.2万
16.86%925.8万
-64.74%441.9万
-53.31%445.3万
-53.31%445.3万
-44.19%792万
非流动资产合计
-9.61%1.92亿
-5.29%1.96亿
0.53%2.01亿
0.53%2.01亿
18.21%2.1亿
27.28%2.13亿
37.36%2.07亿
49.60%2亿
49.60%2亿
37.41%1.78亿
总资产
-23.77%2.92亿
-37.86%2.57亿
-24.09%3.14亿
-24.09%3.14亿
-21.80%3.35亿
-15.91%3.84亿
-6.45%4.13亿
-11.25%4.14亿
-11.25%4.14亿
-1.97%4.29亿
负债
流动负债
应付款项
-3.11%5,084.3万
8.39%5,069.3万
50.09%6,144.6万
50.09%6,144.6万
2.92%4,087.1万
27.98%5,247.3万
35.39%4,676.8万
34.29%4,093.9万
34.29%4,093.9万
58.10%3,971.1万
-应付账款
-3.11%5,084.3万
8.39%5,069.3万
50.09%6,144.6万
50.09%6,144.6万
2.92%4,087.1万
27.98%5,247.3万
35.39%4,676.8万
34.29%4,093.9万
34.29%4,093.9万
58.10%3,971.1万
应计费用
36.02%3,413.5万
27.78%3,631.7万
26.13%4,003.3万
26.13%4,003.3万
34.72%3,231.2万
-0.27%2,509.6万
1.50%2,842.1万
-9.35%3,174万
-9.35%3,174万
-11.99%2,398.5万
短期借款与租赁负债
101.98%2,508.8万
121.11%2,712.4万
8.54%273.3万
8.54%273.3万
-14.46%1,313.6万
-20.45%1,242.1万
-27.37%1,226.7万
-24.95%251.8万
-24.95%251.8万
427.70%1,535.6万
-短期借款
2,058.36%1,342.5万
1,228.28%1,357.5万
-74.61%14.6万
-74.61%14.6万
-97.12%38.7万
-95.46%62.2万
-92.79%102.2万
-21.02%57.5万
-21.02%57.5万
2,383.03%1,345.8万
-短期租赁负债
-1.15%1,166.3万
20.49%1,354.9万
33.14%258.7万
33.14%258.7万
571.71%1,274.9万
515.81%1,179.9万
315.25%1,124.5万
-26.04%194.3万
-26.04%194.3万
-19.85%189.8万
递延负债
-99.89%9,000
-99.87%1.3万
-99.85%1.8万
-99.85%1.8万
-60.87%499.4万
-44.85%782.8万
-26.92%988.6万
-1.26%1,226.9万
-1.26%1,226.9万
-35.16%1,276.2万
其他流动负债
51.14%1.61亿
51.63%1.42亿
49.45%1.52亿
49.45%1.52亿
31.73%1.07亿
66.67%1.06亿
33.46%9,355.6万
34.13%1.01亿
34.13%1.01亿
8.10%8,125.9万
流动负债总额
32.64%2.71亿
34.10%2.56亿
35.43%2.56亿
35.43%2.56亿
14.61%1.98亿
27.76%2.04亿
17.07%1.91亿
20.40%1.89亿
20.40%1.89亿
15.28%1.73亿
非流动负债
长期借款与租赁负债
-25.55%5,578.6万
-18.19%6,175.6万
-0.83%7,527.9万
-0.83%7,527.9万
18.91%7,588.6万
16.03%7,492.6万
59.17%7,548.4万
38.19%7,591万
38.19%7,591万
23.47%6,381.7万
-长期借款
----
----
1.46%1,276.8万
1.46%1,276.8万
--1,272万
--1,267.3万
--1,262.7万
-1.86%1,258.4万
-1.86%1,258.4万
----
-长期租赁负债
-10.39%5,578.6万
-1.75%6,175.6万
-1.29%6,251.1万
-1.29%6,251.1万
-1.02%6,316.6万
-3.59%6,225.3万
32.54%6,285.7万
50.39%6,332.6万
50.39%6,332.6万
64.05%6,381.7万
递延负债
0.00%114.3万
0.00%114.3万
0.00%114.3万
0.00%114.3万
-62.76%114.3万
-81.48%114.3万
-86.84%114.3万
-89.79%114.3万
-89.79%114.3万
-43.24%306.9万
其他非流动负债
3.02%1.86亿
-35.51%1.28亿
-35.80%1.3亿
-35.80%1.3亿
-12.70%1.75亿
-15.02%1.8亿
2.03%1.98亿
3.84%2.02亿
3.84%2.02亿
3.10%2.01亿
非流动负债总额
-5.34%2.43亿
-30.61%1.91亿
-26.16%2.06亿
-26.16%2.06亿
-5.74%2.52亿
-9.38%2.56亿
9.77%2.75亿
7.05%2.8亿
7.05%2.8亿
6.28%2.68亿
总负债
11.49%5.13亿
-4.09%4.47亿
-1.32%4.62亿
-1.32%4.62亿
2.25%4.51亿
4.03%4.6亿
12.65%4.66亿
12.06%4.68亿
12.06%4.68亿
9.64%4.41亿
所有者权益
股本
-94.26%21.1万
-93.85%21万
29.06%394.4万
29.06%394.4万
29.33%381.4万
29.90%367.5万
28.12%341.7万
18.96%305.6万
18.96%305.6万
19.15%294.9万
-普通股股本
-94.26%21.1万
-93.85%21万
29.06%394.4万
29.06%394.4万
29.33%381.4万
29.90%367.5万
28.12%341.7万
18.96%305.6万
18.96%305.6万
19.15%294.9万
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
-12.10%-20.71亿
-13.46%-20.18亿
-14.37%-19.56亿
-14.37%-19.56亿
-16.51%-19.09亿
-16.57%-18.47亿
-15.60%-17.78亿
-14.77%-17.1亿
-14.77%-17.1亿
-15.06%-16.39亿
资本公积
4.52%18.3亿
5.93%18.17亿
8.98%17.92亿
8.98%17.92亿
10.07%17.77亿
10.61%17.51亿
10.65%17.15亿
8.19%16.45亿
8.19%16.45亿
10.34%16.15亿
减:库存股
----
----
--0
--0
----
----
----
--0
--0
----
不影响留存收益的损益
-39.61%-100.1万
-216.79%-107.1万
-204.37%-95.5万
-204.37%-95.5万
-259.63%-102.8万
-133.36%-71.7万
-5.46%91.7万
-38.67%91.5万
-38.67%91.5万
263.84%64.4万
股东权益总额
-158.93%-2.41亿
-244.11%-2.01亿
-161.65%-1.6亿
-161.65%-1.6亿
-533.37%-1.29亿
-2,828.19%-9,319.5万
-472.41%-5,853.6万
-277.93%-6,127.8万
-277.93%-6,127.8万
-148.71%-2,038.5万
非控制性权益
24.57%2,047.2万
104.66%1,110.7万
87.41%1,194.9万
87.41%1,194.9万
61.66%1,382万
60.77%1,643.4万
-54.52%542.7万
-52.66%637.6万
-52.66%637.6万
235.68%854.9万
总权益
-187.70%-2.21亿
-258.36%-1.9亿
-170.27%-1.48亿
-170.27%-1.48亿
-874.08%-1.15亿
-662.85%-7,676.1万
-292.08%-5,310.9万
-214.60%-5,490.2万
-214.60%-5,490.2万
-133.29%-1,183.6万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
审计意见
--
--
无保留意见
--
--
--
--
--
--
--
(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(Q3)2022/09/30
资产
流动资产
现金及现金等价物和短期投资 -40.63%9,372.3万-72.07%5,285.6万-60.64%7,611万-60.64%7,611万-51.29%1.06亿-33.77%1.58亿-27.96%1.89亿-37.00%1.93亿-37.00%1.93亿-16.56%2.18亿
-现金和现金等价物 -34.55%9,372.3万-67.93%5,285.6万-57.40%7,611万-57.40%7,611万-48.98%1.06亿-37.30%1.43亿-33.46%1.65亿-38.80%1.79亿-38.80%1.79亿-18.78%2.08亿
-短期投资 ----------0--0--047.28%1,464.7万63.00%2,441.4万-2.05%1,468.4万-2.05%1,468.4万97.56%987.6万
应收款项 -46.38%71.9万-66.41%47.6万842.58%2,583.6万842.58%2,583.6万-88.33%103万-92.94%134.1万10.19%141.7万80.57%274.1万80.57%274.1万-59.48%882.3万
-应收账款 -46.38%71.9万-66.41%47.6万842.58%2,583.6万842.58%2,583.6万-88.33%103万-92.94%134.1万10.19%141.7万80.57%274.1万80.57%274.1万-59.48%882.3万
预付费用 -74.63%220.7万-65.05%389.5万-41.44%809.8万-41.44%809.8万-27.75%1,588.6万-69.61%869.9万-48.72%1,114.3万-32.08%1,382.9万-32.08%1,382.9万19.88%2,198.9万
其他流动资产 18.01%335.5万-19.79%312.5万-25.74%237.2万-25.74%237.2万-2.55%232.9万-4.85%284.3万-18.49%389.6万0.73%319.4万0.73%319.4万-64.63%239万
流动资产合计 -41.43%1亿-70.66%6,035.2万-47.25%1.12亿-47.25%1.12亿-50.07%1.26亿-40.91%1.71亿-29.19%2.06亿-35.80%2.13亿-35.80%2.13亿-18.47%2.51亿
非流动资产
固定资产净额 -9.98%1.57亿-6.88%1.6亿-0.77%1.63亿-0.77%1.63亿22.21%1.7亿36.75%1.74亿61.88%1.71亿80.37%1.64亿80.37%1.64亿70.32%1.39亿
-固定资产 -3.32%2.25亿-1.24%2.25亿3.03%2.25亿3.03%2.25亿20.02%2.3亿29.42%2.32亿44.56%2.28亿54.19%2.18亿54.19%2.18亿46.62%1.92亿
-累计折旧 -16.50%-6,813.7万-15.97%-6,508万-14.55%-6,194.3万-14.55%-6,194.3万-14.28%-6,075万-11.64%-5,848.9万-8.95%-5,611.9万-7.00%-5,407.5万-7.00%-5,407.5万-7.54%-5,315.8万
商誉及其他无形资产 -2.79%2,888.4万-7.53%2,892.8万-8.08%2,913.4万-8.08%2,913.4万-5.35%2,916.3万-7.61%2,971.4万-3.36%3,128.3万-5.00%3,169.5万-5.00%3,169.5万-8.08%3,081.3万
-商誉 0.08%2,474.8万-3.61%2,469.8万-2.92%2,472.3万-2.92%2,472.3万3.05%2,466.6万1.19%2,472.8万4.09%2,562.3万2.38%2,546.7万2.38%2,546.7万-2.41%2,393.6万
-其他无形资产 -17.05%413.6万-25.27%423万-29.17%441.1万-29.17%441.1万-34.61%449.7万-35.43%498.6万-27.00%566万-26.63%622.8万-26.63%622.8万-23.53%687.7万
其他非流动资产 -24.45%699.4万72.19%760.9万109.66%933.6万109.66%933.6万39.67%1,106.2万16.86%925.8万-64.74%441.9万-53.31%445.3万-53.31%445.3万-44.19%792万
非流动资产合计 -9.61%1.92亿-5.29%1.96亿0.53%2.01亿0.53%2.01亿18.21%2.1亿27.28%2.13亿37.36%2.07亿49.60%2亿49.60%2亿37.41%1.78亿
总资产 -23.77%2.92亿-37.86%2.57亿-24.09%3.14亿-24.09%3.14亿-21.80%3.35亿-15.91%3.84亿-6.45%4.13亿-11.25%4.14亿-11.25%4.14亿-1.97%4.29亿
负债
流动负债
应付款项 -3.11%5,084.3万8.39%5,069.3万50.09%6,144.6万50.09%6,144.6万2.92%4,087.1万27.98%5,247.3万35.39%4,676.8万34.29%4,093.9万34.29%4,093.9万58.10%3,971.1万
-应付账款 -3.11%5,084.3万8.39%5,069.3万50.09%6,144.6万50.09%6,144.6万2.92%4,087.1万27.98%5,247.3万35.39%4,676.8万34.29%4,093.9万34.29%4,093.9万58.10%3,971.1万
应计费用 36.02%3,413.5万27.78%3,631.7万26.13%4,003.3万26.13%4,003.3万34.72%3,231.2万-0.27%2,509.6万1.50%2,842.1万-9.35%3,174万-9.35%3,174万-11.99%2,398.5万
短期借款与租赁负债 101.98%2,508.8万121.11%2,712.4万8.54%273.3万8.54%273.3万-14.46%1,313.6万-20.45%1,242.1万-27.37%1,226.7万-24.95%251.8万-24.95%251.8万427.70%1,535.6万
-短期借款 2,058.36%1,342.5万1,228.28%1,357.5万-74.61%14.6万-74.61%14.6万-97.12%38.7万-95.46%62.2万-92.79%102.2万-21.02%57.5万-21.02%57.5万2,383.03%1,345.8万
-短期租赁负债 -1.15%1,166.3万20.49%1,354.9万33.14%258.7万33.14%258.7万571.71%1,274.9万515.81%1,179.9万315.25%1,124.5万-26.04%194.3万-26.04%194.3万-19.85%189.8万
递延负债 -99.89%9,000-99.87%1.3万-99.85%1.8万-99.85%1.8万-60.87%499.4万-44.85%782.8万-26.92%988.6万-1.26%1,226.9万-1.26%1,226.9万-35.16%1,276.2万
其他流动负债 51.14%1.61亿51.63%1.42亿49.45%1.52亿49.45%1.52亿31.73%1.07亿66.67%1.06亿33.46%9,355.6万34.13%1.01亿34.13%1.01亿8.10%8,125.9万
流动负债总额 32.64%2.71亿34.10%2.56亿35.43%2.56亿35.43%2.56亿14.61%1.98亿27.76%2.04亿17.07%1.91亿20.40%1.89亿20.40%1.89亿15.28%1.73亿
非流动负债
长期借款与租赁负债 -25.55%5,578.6万-18.19%6,175.6万-0.83%7,527.9万-0.83%7,527.9万18.91%7,588.6万16.03%7,492.6万59.17%7,548.4万38.19%7,591万38.19%7,591万23.47%6,381.7万
-长期借款 --------1.46%1,276.8万1.46%1,276.8万--1,272万--1,267.3万--1,262.7万-1.86%1,258.4万-1.86%1,258.4万----
-长期租赁负债 -10.39%5,578.6万-1.75%6,175.6万-1.29%6,251.1万-1.29%6,251.1万-1.02%6,316.6万-3.59%6,225.3万32.54%6,285.7万50.39%6,332.6万50.39%6,332.6万64.05%6,381.7万
递延负债 0.00%114.3万0.00%114.3万0.00%114.3万0.00%114.3万-62.76%114.3万-81.48%114.3万-86.84%114.3万-89.79%114.3万-89.79%114.3万-43.24%306.9万
其他非流动负债 3.02%1.86亿-35.51%1.28亿-35.80%1.3亿-35.80%1.3亿-12.70%1.75亿-15.02%1.8亿2.03%1.98亿3.84%2.02亿3.84%2.02亿3.10%2.01亿
非流动负债总额 -5.34%2.43亿-30.61%1.91亿-26.16%2.06亿-26.16%2.06亿-5.74%2.52亿-9.38%2.56亿9.77%2.75亿7.05%2.8亿7.05%2.8亿6.28%2.68亿
总负债 11.49%5.13亿-4.09%4.47亿-1.32%4.62亿-1.32%4.62亿2.25%4.51亿4.03%4.6亿12.65%4.66亿12.06%4.68亿12.06%4.68亿9.64%4.41亿
所有者权益
股本 -94.26%21.1万-93.85%21万29.06%394.4万29.06%394.4万29.33%381.4万29.90%367.5万28.12%341.7万18.96%305.6万18.96%305.6万19.15%294.9万
-普通股股本 -94.26%21.1万-93.85%21万29.06%394.4万29.06%394.4万29.33%381.4万29.90%367.5万28.12%341.7万18.96%305.6万18.96%305.6万19.15%294.9万
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 -12.10%-20.71亿-13.46%-20.18亿-14.37%-19.56亿-14.37%-19.56亿-16.51%-19.09亿-16.57%-18.47亿-15.60%-17.78亿-14.77%-17.1亿-14.77%-17.1亿-15.06%-16.39亿
资本公积 4.52%18.3亿5.93%18.17亿8.98%17.92亿8.98%17.92亿10.07%17.77亿10.61%17.51亿10.65%17.15亿8.19%16.45亿8.19%16.45亿10.34%16.15亿
减:库存股 ----------0--0--------------0--0----
不影响留存收益的损益 -39.61%-100.1万-216.79%-107.1万-204.37%-95.5万-204.37%-95.5万-259.63%-102.8万-133.36%-71.7万-5.46%91.7万-38.67%91.5万-38.67%91.5万263.84%64.4万
股东权益总额 -158.93%-2.41亿-244.11%-2.01亿-161.65%-1.6亿-161.65%-1.6亿-533.37%-1.29亿-2,828.19%-9,319.5万-472.41%-5,853.6万-277.93%-6,127.8万-277.93%-6,127.8万-148.71%-2,038.5万
非控制性权益 24.57%2,047.2万104.66%1,110.7万87.41%1,194.9万87.41%1,194.9万61.66%1,382万60.77%1,643.4万-54.52%542.7万-52.66%637.6万-52.66%637.6万235.68%854.9万
总权益 -187.70%-2.21亿-258.36%-1.9亿-170.27%-1.48亿-170.27%-1.48亿-874.08%-1.15亿-662.85%-7,676.1万-292.08%-5,310.9万-214.60%-5,490.2万-214.60%-5,490.2万-133.29%-1,183.6万
货币单位 美元美元美元美元美元美元美元美元美元美元
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ----无保留意见--------------

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