美股市场个股详情

AXT Inc (AXTI)

添加自选
  • 96.000
  • +16.780+21.18%
收盘价 05/01 15:59 (美东)
  • 98.000
  • +2.000+2.08%
盘后 19:59 (美东)
61.57亿总市值-300.00市盈率TTM

AXT Inc (AXTI) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2026/03/31
(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
资产
流动资产
现金及现金等价物和短期投资
239.24%1.07亿
426.72%1.2亿
426.72%1.2亿
-7.18%2,311万
-8.40%2,700.7万
15.02%3,158.4万
-42.76%2,283.3万
-42.76%2,283.3万
-24.07%2,489.8万
-20.70%2,948.3万
-现金和现金等价物
32.25%4,176.9万
426.72%1.2亿
426.72%1.2亿
-7.18%2,311万
-2.88%2,700.7万
22.45%3,158.4万
-39.52%2,283.3万
-39.52%2,283.3万
-12.71%2,489.8万
-7.59%2,780.8万
-短期投资
--6,537.5万
----
----
----
----
----
--0
--0
--0
-76.37%167.5万
应收款项
40.03%3,201.6万
4.72%2,684.9万
4.72%2,684.9万
20.98%3,383.7万
-16.08%2,279.4万
-8.76%2,286.3万
33.15%2,564万
33.15%2,564万
48.12%2,797万
36.79%2,716.3万
-应收账款
40.03%3,201.6万
4.72%2,684.9万
4.72%2,684.9万
20.98%3,383.7万
-16.08%2,279.4万
-8.76%2,286.3万
33.15%2,564万
33.15%2,564万
48.12%2,797万
36.79%2,716.3万
存货
12.14%9,016.8万
-4.03%8,165.1万
-4.03%8,165.1万
-9.82%7,765.6万
-6.66%8,006.3万
-6.44%8,040.9万
-1.65%8,507.7万
-1.65%8,507.7万
-0.32%8,610.9万
-1.48%8,577.4万
受限制现金
143.94%1,610万
-26.22%810万
-26.22%810万
-41.70%810万
-41.26%810万
-52.20%660万
-11.20%1,097.8万
-11.20%1,097.8万
28.90%1,389.3万
27.75%1,378.9万
其他流动资产
3.37%834.7万
-29.50%969万
-29.50%969万
-52.96%705.2万
-37.46%699.6万
-29.62%807.5万
8.71%1,374.4万
8.71%1,374.4万
30.65%1,499.1万
5.78%1,118.7万
流动资产合计
69.71%2.54亿
55.78%2.47亿
55.78%2.47亿
-10.79%1.5亿
-13.40%1.45亿
-8.68%1.5亿
-7.26%1.58亿
-7.26%1.58亿
4.71%1.68亿
1.16%1.67亿
非流动资产
固定资产净额
3.15%1.66亿
1.01%1.64亿
1.01%1.64亿
-4.45%1.61亿
-1.17%1.62亿
-2.65%1.61亿
-4.11%1.62亿
-4.11%1.62亿
4.49%1.69亿
2.32%1.64亿
-固定资产
-30.49%1.66亿
4.40%2.49亿
4.40%2.49亿
-0.50%2.45亿
2.38%2.43亿
0.78%2.4亿
-0.69%2.39亿
-0.69%2.39亿
7.29%2.46亿
4.87%2.37亿
-累计折旧
----
-11.55%-8,558.6万
-11.55%-8,558.6万
-8.14%-8,363.1万
-10.30%-8,103.8万
-8.70%-7,812.6万
-7.40%-7,672.2万
-7.40%-7,672.2万
-13.97%-7,733.8万
-11.05%-7,347万
商誉及其他无形资产
----
-2.16%167.3万
-2.16%167.3万
----
----
----
-6.10%171万
-6.10%171万
----
----
-其他无形资产
----
-2.16%167.3万
-2.16%167.3万
----
----
----
-6.10%171万
-6.10%171万
----
----
投资和预付款
----
6.41%1,496.8万
6.41%1,496.8万
----
----
----
12.74%1,406.6万
12.74%1,406.6万
----
----
长期应收款
----
2,208.25%447.8万
2,208.25%447.8万
----
----
----
-84.97%19.4万
-84.97%19.4万
----
----
非流动递延资产
----
6.21%150.6万
6.21%150.6万
----
----
----
-15.75%141.8万
-15.75%141.8万
----
----
其他非流动资产
7.93%2,434.7万
-49.93%72.8万
-49.93%72.8万
21.71%2,289.3万
21.71%2,209.6万
16.02%2,255.8万
-10.63%145.4万
-10.63%145.4万
-7.02%1,880.9万
-4.18%1,815.4万
非流动资产合计
3.74%1.91亿
3.40%1.87亿
3.40%1.87亿
-1.83%1.84亿
1.11%1.84亿
-0.69%1.84亿
-3.72%1.81亿
-3.72%1.81亿
3.21%1.88亿
0.71%1.82亿
总资产
33.32%4.45亿
27.83%4.34亿
27.83%4.34亿
-6.06%3.34亿
-5.84%3.29亿
-4.44%3.33亿
-5.40%3.39亿
-5.40%3.39亿
3.91%3.56亿
0.93%3.49亿
负债
流动负债
应付款项
-4.16%1,614.1万
6.14%1,885.9万
6.14%1,885.9万
-8.37%1,684.1万
0.55%1,701.6万
7.27%1,684.1万
-12.30%1,776.8万
-12.30%1,776.8万
34.21%1,838万
20.99%1,692.3万
-应付账款
45.34%1,614.1万
4.78%1,294.7万
4.78%1,294.7万
-15.12%1,084.8万
-3.54%1,124.2万
8.22%1,110.6万
28.48%1,235.6万
28.48%1,235.6万
100.66%1,278万
148.40%1,165.5万
-应付税费
----
153.80%133.5万
153.80%133.5万
-6.49%113.9万
6.19%94.4万
-8.44%84.6万
6.69%52.6万
6.69%52.6万
88.54%121.8万
-24.47%88.9万
-应付股利
----
0.00%290.1万
0.00%290.1万
0.00%290.1万
0.00%290.1万
0.00%290.1万
0.00%290.1万
0.00%290.1万
0.00%290.1万
0.00%290.1万
-其他应付款
----
-15.57%167.6万
-15.57%167.6万
31.87%195.3万
30.51%192.9万
23.25%198.8万
-72.62%198.5万
-72.62%198.5万
-60.81%148.1万
-71.67%147.8万
应计费用
411.90%1,286.4万
-27.79%283.8万
-27.79%283.8万
-35.42%259.3万
-13.95%254.2万
-17.44%251.3万
8.56%393万
8.56%393万
9.07%401.5万
-13.04%295.4万
短期借款与租赁负债
29.82%6,887.1万
32.58%6,337.5万
32.58%6,337.5万
13.88%6,210.9万
10.32%5,647.8万
7.15%5,305.2万
-10.45%4,780万
-10.45%4,780万
18.00%5,454万
11.42%5,119.5万
-短期借款
31.13%6,887.1万
32.86%6,279.6万
32.86%6,279.6万
13.87%6,154.7万
10.26%5,592.8万
7.08%5,252万
-10.69%4,726.4万
-10.69%4,726.4万
18.08%5,405.2万
11.18%5,072.4万
-短期租赁负债
----
8.02%57.9万
8.02%57.9万
15.16%56.2万
16.77%55万
14.90%53.2万
17.03%53.6万
17.03%53.6万
10.16%48.8万
44.04%47.1万
递延负债
----
-93.52%10.3万
-93.52%10.3万
37.87%50.6万
-70.07%33.1万
-63.93%19.3万
421.31%159万
421.31%159万
-34.81%36.7万
504.37%110.6万
流动负债总额
30.06%9,787.6万
22.06%9,054.1万
22.06%9,054.1万
7.77%8,489.7万
6.56%7,954.2万
4.51%7,525.6万
-9.05%7,417.6万
-9.05%7,417.6万
16.42%7,877.3万
10.98%7,464.7万
非流动负债
长期借款与租赁负债
-29.43%130.9万
-27.11%144.1万
-27.11%144.1万
-20.37%158.7万
-17.71%171.4万
-16.10%185.5万
-15.91%197.7万
-15.91%197.7万
-18.22%199.3万
80.03%208.3万
-长期租赁负债
-29.43%130.9万
-27.11%144.1万
-27.11%144.1万
-20.37%158.7万
-17.71%171.4万
-16.10%185.5万
-15.91%197.7万
-15.91%197.7万
-18.22%199.3万
80.03%208.3万
其他非流动负债
-17.14%844.7万
-13.51%713.8万
-13.51%713.8万
-17.46%709.4万
-25.64%711.6万
5.58%1,019.4万
46.15%825.3万
46.15%825.3万
114.50%859.5万
181.64%957万
非流动负债总额
-19.03%975.6万
-16.14%857.9万
-16.14%857.9万
-18.01%868.1万
-24.23%883万
1.54%1,204.9万
27.91%1,023万
27.91%1,023万
64.31%1,058.8万
155.83%1,165.3万
总负债
23.28%1.08亿
17.43%9,912万
17.43%9,912万
4.72%9,357.8万
2.40%8,837.2万
4.09%8,730.5万
-5.75%8,440.6万
-5.75%8,440.6万
20.58%8,936.1万
20.16%8,630万
所有者权益
股本
0.28%358.8万
0.28%358.7万
0.28%358.7万
0.03%357.8万
0.06%357.8万
0.06%357.8万
0.03%357.7万
0.03%357.7万
0.03%357.7万
0.00%357.6万
-普通股股本
21.74%5.6万
22.22%5.5万
22.22%5.5万
2.22%4.6万
4.55%4.6万
4.55%4.6万
2.27%4.5万
2.27%4.5万
2.27%4.5万
0.00%4.4万
-优先股股本
0.00%353.2万
0.00%353.2万
0.00%353.2万
0.00%353.2万
0.00%353.2万
0.00%353.2万
0.00%353.2万
0.00%353.2万
0.00%353.2万
0.00%353.2万
留存收益
-26.84%-6,654.4万
-48.69%-6,492.4万
-48.69%-6,492.4万
-59.10%-6,137.6万
-66.87%-5,947万
-53.74%-5,246.2万
-36.28%-4,366.4万
-36.28%-4,366.4万
-35.74%-3,857.6万
-57.72%-3,563.9万
资本公积
41.42%3.42亿
40.75%3.4亿
40.75%3.4亿
1.18%2.44亿
1.17%2.43亿
1.21%2.42亿
1.28%2.42亿
1.28%2.42亿
1.31%2.41亿
1.25%2.4亿
不影响留存收益的损益
44.03%-460.4万
38.84%-529.5万
38.84%-529.5万
-32.20%-666万
12.85%-717万
-7.87%-822.6万
-44.31%-865.7万
-44.31%-865.7万
41.29%-503.8万
-0.64%-822.7万
股东权益总额
48.55%2.75亿
41.77%2.73亿
41.77%2.73亿
-10.75%1.79亿
-10.00%1.8亿
-7.98%1.85亿
-5.50%1.93亿
-5.50%1.93亿
-1.71%2.01亿
-4.82%2亿
非控制性权益
1.57%6,209.2万
-1.28%6,134.1万
-1.28%6,134.1万
-6.38%6,130.8万
-3.98%6,091.7万
-4.49%6,113.5万
-4.63%6,213.8万
-4.63%6,213.8万
2.56%6,548.6万
-1.78%6,344.1万
总权益
36.88%3.37亿
31.28%3.35亿
31.28%3.35亿
-9.68%2.4亿
-8.54%2.41亿
-7.14%2.46亿
-5.29%2.55亿
-5.29%2.55亿
-0.69%2.66亿
-4.11%2.63亿
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
--
--
--
--
无保留意见
--
--
--
(Q1)2026/03/31(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
资产
流动资产
现金及现金等价物和短期投资 239.24%1.07亿426.72%1.2亿426.72%1.2亿-7.18%2,311万-8.40%2,700.7万15.02%3,158.4万-42.76%2,283.3万-42.76%2,283.3万-24.07%2,489.8万-20.70%2,948.3万
-现金和现金等价物 32.25%4,176.9万426.72%1.2亿426.72%1.2亿-7.18%2,311万-2.88%2,700.7万22.45%3,158.4万-39.52%2,283.3万-39.52%2,283.3万-12.71%2,489.8万-7.59%2,780.8万
-短期投资 --6,537.5万----------------------0--0--0-76.37%167.5万
应收款项 40.03%3,201.6万4.72%2,684.9万4.72%2,684.9万20.98%3,383.7万-16.08%2,279.4万-8.76%2,286.3万33.15%2,564万33.15%2,564万48.12%2,797万36.79%2,716.3万
-应收账款 40.03%3,201.6万4.72%2,684.9万4.72%2,684.9万20.98%3,383.7万-16.08%2,279.4万-8.76%2,286.3万33.15%2,564万33.15%2,564万48.12%2,797万36.79%2,716.3万
存货 12.14%9,016.8万-4.03%8,165.1万-4.03%8,165.1万-9.82%7,765.6万-6.66%8,006.3万-6.44%8,040.9万-1.65%8,507.7万-1.65%8,507.7万-0.32%8,610.9万-1.48%8,577.4万
受限制现金 143.94%1,610万-26.22%810万-26.22%810万-41.70%810万-41.26%810万-52.20%660万-11.20%1,097.8万-11.20%1,097.8万28.90%1,389.3万27.75%1,378.9万
其他流动资产 3.37%834.7万-29.50%969万-29.50%969万-52.96%705.2万-37.46%699.6万-29.62%807.5万8.71%1,374.4万8.71%1,374.4万30.65%1,499.1万5.78%1,118.7万
流动资产合计 69.71%2.54亿55.78%2.47亿55.78%2.47亿-10.79%1.5亿-13.40%1.45亿-8.68%1.5亿-7.26%1.58亿-7.26%1.58亿4.71%1.68亿1.16%1.67亿
非流动资产
固定资产净额 3.15%1.66亿1.01%1.64亿1.01%1.64亿-4.45%1.61亿-1.17%1.62亿-2.65%1.61亿-4.11%1.62亿-4.11%1.62亿4.49%1.69亿2.32%1.64亿
-固定资产 -30.49%1.66亿4.40%2.49亿4.40%2.49亿-0.50%2.45亿2.38%2.43亿0.78%2.4亿-0.69%2.39亿-0.69%2.39亿7.29%2.46亿4.87%2.37亿
-累计折旧 -----11.55%-8,558.6万-11.55%-8,558.6万-8.14%-8,363.1万-10.30%-8,103.8万-8.70%-7,812.6万-7.40%-7,672.2万-7.40%-7,672.2万-13.97%-7,733.8万-11.05%-7,347万
商誉及其他无形资产 -----2.16%167.3万-2.16%167.3万-------------6.10%171万-6.10%171万--------
-其他无形资产 -----2.16%167.3万-2.16%167.3万-------------6.10%171万-6.10%171万--------
投资和预付款 ----6.41%1,496.8万6.41%1,496.8万------------12.74%1,406.6万12.74%1,406.6万--------
长期应收款 ----2,208.25%447.8万2,208.25%447.8万-------------84.97%19.4万-84.97%19.4万--------
非流动递延资产 ----6.21%150.6万6.21%150.6万-------------15.75%141.8万-15.75%141.8万--------
其他非流动资产 7.93%2,434.7万-49.93%72.8万-49.93%72.8万21.71%2,289.3万21.71%2,209.6万16.02%2,255.8万-10.63%145.4万-10.63%145.4万-7.02%1,880.9万-4.18%1,815.4万
非流动资产合计 3.74%1.91亿3.40%1.87亿3.40%1.87亿-1.83%1.84亿1.11%1.84亿-0.69%1.84亿-3.72%1.81亿-3.72%1.81亿3.21%1.88亿0.71%1.82亿
总资产 33.32%4.45亿27.83%4.34亿27.83%4.34亿-6.06%3.34亿-5.84%3.29亿-4.44%3.33亿-5.40%3.39亿-5.40%3.39亿3.91%3.56亿0.93%3.49亿
负债
流动负债
应付款项 -4.16%1,614.1万6.14%1,885.9万6.14%1,885.9万-8.37%1,684.1万0.55%1,701.6万7.27%1,684.1万-12.30%1,776.8万-12.30%1,776.8万34.21%1,838万20.99%1,692.3万
-应付账款 45.34%1,614.1万4.78%1,294.7万4.78%1,294.7万-15.12%1,084.8万-3.54%1,124.2万8.22%1,110.6万28.48%1,235.6万28.48%1,235.6万100.66%1,278万148.40%1,165.5万
-应付税费 ----153.80%133.5万153.80%133.5万-6.49%113.9万6.19%94.4万-8.44%84.6万6.69%52.6万6.69%52.6万88.54%121.8万-24.47%88.9万
-应付股利 ----0.00%290.1万0.00%290.1万0.00%290.1万0.00%290.1万0.00%290.1万0.00%290.1万0.00%290.1万0.00%290.1万0.00%290.1万
-其他应付款 -----15.57%167.6万-15.57%167.6万31.87%195.3万30.51%192.9万23.25%198.8万-72.62%198.5万-72.62%198.5万-60.81%148.1万-71.67%147.8万
应计费用 411.90%1,286.4万-27.79%283.8万-27.79%283.8万-35.42%259.3万-13.95%254.2万-17.44%251.3万8.56%393万8.56%393万9.07%401.5万-13.04%295.4万
短期借款与租赁负债 29.82%6,887.1万32.58%6,337.5万32.58%6,337.5万13.88%6,210.9万10.32%5,647.8万7.15%5,305.2万-10.45%4,780万-10.45%4,780万18.00%5,454万11.42%5,119.5万
-短期借款 31.13%6,887.1万32.86%6,279.6万32.86%6,279.6万13.87%6,154.7万10.26%5,592.8万7.08%5,252万-10.69%4,726.4万-10.69%4,726.4万18.08%5,405.2万11.18%5,072.4万
-短期租赁负债 ----8.02%57.9万8.02%57.9万15.16%56.2万16.77%55万14.90%53.2万17.03%53.6万17.03%53.6万10.16%48.8万44.04%47.1万
递延负债 -----93.52%10.3万-93.52%10.3万37.87%50.6万-70.07%33.1万-63.93%19.3万421.31%159万421.31%159万-34.81%36.7万504.37%110.6万
流动负债总额 30.06%9,787.6万22.06%9,054.1万22.06%9,054.1万7.77%8,489.7万6.56%7,954.2万4.51%7,525.6万-9.05%7,417.6万-9.05%7,417.6万16.42%7,877.3万10.98%7,464.7万
非流动负债
长期借款与租赁负债 -29.43%130.9万-27.11%144.1万-27.11%144.1万-20.37%158.7万-17.71%171.4万-16.10%185.5万-15.91%197.7万-15.91%197.7万-18.22%199.3万80.03%208.3万
-长期租赁负债 -29.43%130.9万-27.11%144.1万-27.11%144.1万-20.37%158.7万-17.71%171.4万-16.10%185.5万-15.91%197.7万-15.91%197.7万-18.22%199.3万80.03%208.3万
其他非流动负债 -17.14%844.7万-13.51%713.8万-13.51%713.8万-17.46%709.4万-25.64%711.6万5.58%1,019.4万46.15%825.3万46.15%825.3万114.50%859.5万181.64%957万
非流动负债总额 -19.03%975.6万-16.14%857.9万-16.14%857.9万-18.01%868.1万-24.23%883万1.54%1,204.9万27.91%1,023万27.91%1,023万64.31%1,058.8万155.83%1,165.3万
总负债 23.28%1.08亿17.43%9,912万17.43%9,912万4.72%9,357.8万2.40%8,837.2万4.09%8,730.5万-5.75%8,440.6万-5.75%8,440.6万20.58%8,936.1万20.16%8,630万
所有者权益
股本 0.28%358.8万0.28%358.7万0.28%358.7万0.03%357.8万0.06%357.8万0.06%357.8万0.03%357.7万0.03%357.7万0.03%357.7万0.00%357.6万
-普通股股本 21.74%5.6万22.22%5.5万22.22%5.5万2.22%4.6万4.55%4.6万4.55%4.6万2.27%4.5万2.27%4.5万2.27%4.5万0.00%4.4万
-优先股股本 0.00%353.2万0.00%353.2万0.00%353.2万0.00%353.2万0.00%353.2万0.00%353.2万0.00%353.2万0.00%353.2万0.00%353.2万0.00%353.2万
留存收益 -26.84%-6,654.4万-48.69%-6,492.4万-48.69%-6,492.4万-59.10%-6,137.6万-66.87%-5,947万-53.74%-5,246.2万-36.28%-4,366.4万-36.28%-4,366.4万-35.74%-3,857.6万-57.72%-3,563.9万
资本公积 41.42%3.42亿40.75%3.4亿40.75%3.4亿1.18%2.44亿1.17%2.43亿1.21%2.42亿1.28%2.42亿1.28%2.42亿1.31%2.41亿1.25%2.4亿
不影响留存收益的损益 44.03%-460.4万38.84%-529.5万38.84%-529.5万-32.20%-666万12.85%-717万-7.87%-822.6万-44.31%-865.7万-44.31%-865.7万41.29%-503.8万-0.64%-822.7万
股东权益总额 48.55%2.75亿41.77%2.73亿41.77%2.73亿-10.75%1.79亿-10.00%1.8亿-7.98%1.85亿-5.50%1.93亿-5.50%1.93亿-1.71%2.01亿-4.82%2亿
非控制性权益 1.57%6,209.2万-1.28%6,134.1万-1.28%6,134.1万-6.38%6,130.8万-3.98%6,091.7万-4.49%6,113.5万-4.63%6,213.8万-4.63%6,213.8万2.56%6,548.6万-1.78%6,344.1万
总权益 36.88%3.37亿31.28%3.35亿31.28%3.35亿-9.68%2.4亿-8.54%2.41亿-7.14%2.46亿-5.29%2.55亿-5.29%2.55亿-0.69%2.66亿-4.11%2.63亿
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会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 --无保留意见--------无保留意见------
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