美股市场个股详情

CJJD 九洲大药房

添加自选
  • 2.1200
  • +0.0600+2.91%
收盘价 11/12 16:00 (美东)
  • 2.1200
  • 0.00000.00%
盘后 20:01 (美东)
1410.66万总市值-723市盈率TTM

九洲大药房关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2024/03/31
(Q4)2024/03/31
(Q2)2023/09/30
(FY)2023/03/31
(Q4)2023/03/31
(Q2)2022/09/30
(FY)2022/03/31
(Q4)2022/03/31
(Q2)2021/09/30
(FY)2021/03/31
资产
流动资产
现金及现金等价物和短期投资
7.13%2,014.98万
7.13%2,014.98万
31.13%1,864.99万
1.89%1,880.79万
1.89%1,880.79万
-42.43%1,422.28万
-16.62%1,845.86万
--1,845.86万
13.27%2,470.41万
35.53%2,213.71万
-现金和现金等价物
7.13%2,014.98万
7.13%2,014.98万
31.91%1,864.99万
1.89%1,880.79万
1.89%1,880.79万
-42.55%1,413.85万
-16.27%1,845.86万
--1,845.86万
13.70%2,461.12万
36.28%2,204.56万
-短期投资
----
----
----
----
----
-9.24%8.44万
----
----
-43.27%9.29万
-41.80%9.15万
应收款项
13.24%1,907.55万
13.24%1,907.55万
-17.86%1,966.49万
-25.14%1,684.46万
-25.14%1,684.46万
20.03%2,394.11万
21.53%2,250.12万
--2,250.12万
30.44%1,994.53万
24.29%1,851.51万
-应收账款
12.24%1,582.41万
12.24%1,582.41万
-2.46%1,751.27万
-15.76%1,409.88万
-15.76%1,409.88万
27.53%1,795.53万
24.68%1,673.65万
--1,673.65万
40.90%1,407.93万
37.39%1,342.37万
-应收票据
--0
--0
----
--2.08万
--2.08万
129.81%22.34万
--0
--0
32.25%9.72万
-30.90%3.94万
-应收关联方款项
--31.33万
--31.33万
----
--0
--0
----
----
----
----
----
-其他应收款
7.82%293.8万
7.82%293.8万
-62.65%215.21万
-52.73%272.5万
-52.73%272.5万
-0.11%576.25万
14.11%576.47万
--576.47万
10.40%576.87万
-0.34%505.2万
存货
6.14%1,624.84万
6.14%1,624.84万
13.90%1,959.11万
-4.44%1,530.91万
-4.44%1,530.91万
-1.39%1,720.07万
-5.61%1,602.01万
--1,602.01万
31.87%1,744.35万
38.59%1,697.3万
预付费用
112.17%142.79万
112.17%142.79万
16.13%44.43万
-52.58%67.3万
-52.58%67.3万
-86.89%38.26万
-23.85%141.93万
--141.93万
-19.43%291.91万
-26.61%186.38万
受限制现金
-0.30%1,272.44万
-0.30%1,272.44万
-28.49%1,095.04万
-24.40%1,276.27万
-24.40%1,276.27万
5.06%1,531.36万
33.69%1,688.1万
--1,688.1万
6.22%1,457.62万
-14.72%1,262.7万
其他流动资产
-33.99%5.64万
-33.99%5.64万
-48.08%52.05万
10.74%8.54万
10.74%8.54万
-37.76%100.26万
-34.78%7.71万
--7.71万
1,053.03%161.07万
-27.71%11.82万
流动资产合计
8.06%6,968.24万
8.06%6,968.24万
-3.11%6,982.12万
-14.43%6,448.28万
-14.43%6,448.28万
-11.25%7,206.34万
4.32%7,535.72万
--7,535.72万
19.74%8,119.88万
18.44%7,223.42万
非流动资产
固定资产净额
-1.53%1,873.39万
-1.53%1,873.39万
-6.99%1,835.59万
-3.23%1,902.51万
-3.23%1,902.51万
-20.40%1,973.61万
-15.72%1,966.03万
--1,966.03万
-7.19%2,479.35万
-20.51%2,332.78万
-固定资产
-0.93%3,075.58万
-0.93%3,075.58万
-6.99%1,835.59万
-20.46%3,104.38万
-20.46%3,104.38万
-20.40%1,973.61万
-4.67%3,902.7万
--3,902.7万
-42.86%2,479.35万
-8.26%4,093.89万
-累计折旧
-0.03%-1,202.18万
-0.03%-1,202.18万
----
37.94%-1,201.87万
37.94%-1,201.87万
----
-9.97%-1,936.67万
---1,936.67万
----
-15.26%-1,761.11万
商誉及其他无形资产
-6.12%364.93万
-6.12%364.93万
-4.08%299.08万
-11.07%388.73万
-11.07%388.73万
-11.88%311.81万
-0.31%437.09万
--437.09万
-21.66%353.87万
-1.27%438.44万
-其他无形资产
-6.12%364.93万
-6.12%364.93万
----
-11.07%388.73万
-11.07%388.73万
----
-0.31%437.09万
--437.09万
----
-1.27%438.44万
投资和预付款
-32.55%119.53万
-32.55%119.53万
-70.55%115.93万
-60.72%177.21万
-60.72%177.21万
-1.14%393.66万
13.30%451.15万
--451.15万
-3.25%398.2万
56.50%398.2万
关联方资产
--31.33万
--31.33万
----
--0
--0
----
----
----
----
----
长期预付费用
7.79%111.9万
7.79%111.9万
-28.12%108.77万
-41.08%103.81万
-41.08%103.81万
-10.00%151.32万
13.91%176.19万
--176.19万
9.64%168.14万
6.21%154.68万
其他非流动资产
-11.51%67.72万
-11.51%67.72万
-3.26%135.27万
5.95%76.52万
5.95%76.52万
-17.33%139.83万
-13.54%72.23万
--72.23万
114.21%169.15万
12.54%83.54万
非流动资产合计
-4.20%2,537.47万
-4.20%2,537.47万
-16.01%2,494.63万
-14.63%2,648.78万
-14.63%2,648.78万
-16.77%2,970.23万
-8.95%3,102.7万
--3,102.7万
-5.27%3,568.71万
-11.56%3,407.64万
总资产
4.49%9,505.71万
4.49%9,505.71万
-6.88%9,476.75万
-14.49%9,097.06万
-14.49%9,097.06万
-12.94%1.02亿
0.07%1.06亿
--1.06亿
10.81%1.17亿
6.83%1.06亿
负债
流动负债
应付款项
19.36%3,663.94万
19.36%3,663.94万
8.33%3,918.55万
-5.68%3,069.56万
-5.68%3,069.56万
-5.62%3,617.1万
-2.80%3,254.27万
--3,254.27万
38.80%3,832.46万
35.59%3,347.89万
-应付账款
17.19%3,163.01万
17.19%3,163.01万
17.58%3,440.13万
-1.25%2,699.03万
-1.25%2,699.03万
-10.88%2,925.79万
-8.58%2,733.14万
--2,733.14万
31.82%3,282.83万
38.67%2,989.58万
-应付税费
-60.03%68.22万
-60.03%68.22万
-20.11%165.67万
23.59%170.69万
23.59%170.69万
299.15%207.37万
598.47%138.11万
--138.11万
111.88%51.95万
65.82%19.77万
-应付关联方款项
168.23%183.35万
168.23%183.35万
6.90%145.04万
-56.22%68.36万
-56.22%68.36万
19.67%135.68万
250.60%156.12万
--156.12万
97.49%113.38万
-9.16%44.53万
-其他应付款
89.63%249.35万
89.63%249.35万
-51.85%167.71万
-42.05%131.49万
-42.05%131.49万
-9.38%348.27万
-22.82%226.9万
--226.9万
103.49%384.3万
16.56%294万
应计费用
-48.92%38.64万
-48.92%38.64万
-40.44%37.82万
36.05%75.65万
36.05%75.65万
60.03%63.5万
10.96%55.6万
--55.6万
-39.27%39.68万
-33.51%50.11万
短期借款与租赁负债
7.06%3,681.61万
7.06%3,681.61万
-10.91%2,956.59万
-12.89%3,438.71万
-12.89%3,438.71万
-6.53%3,318.81万
32.60%3,947.66万
--3,947.66万
22.58%3,550.49万
-4.84%2,977.17万
-短期借款
9.22%3,195.33万
9.22%3,195.33万
-12.81%2,452.29万
-19.06%2,925.58万
-19.06%2,925.58万
-17.14%2,812.52万
24.72%3,614.7万
--3,614.7万
21.62%3,394.26万
-4.36%2,898.35万
-短期租赁负债
-5.23%486.28万
-5.23%486.28万
-0.39%504.3万
54.11%513.14万
54.11%513.14万
224.06%506.28万
322.45%332.96万
--332.96万
47.92%156.23万
-19.66%78.82万
递延负债
-25.53%51.82万
-25.53%51.82万
-52.14%65.47万
-62.85%69.59万
-62.85%69.59万
-16.73%136.78万
63.41%187.31万
--187.31万
30.10%164.26万
61.87%114.62万
流动负债总额
11.76%7,436.01万
11.76%7,436.01万
-2.21%6,978.43万
-10.63%6,653.52万
-10.63%6,653.52万
-5.94%7,136.18万
14.72%7,444.84万
--7,444.84万
29.71%7,586.88万
12.99%6,489.79万
非流动负债
长期借款与租赁负债
-17.56%640.39万
-17.56%640.39万
-12.11%744.53万
-15.54%776.82万
-15.54%776.82万
-49.13%847.13万
-45.93%919.7万
--919.7万
-14.99%1,665.39万
-26.57%1,701.04万
-长期借款
----
----
----
----
----
----
----
----
-80.88%59.06万
-54.03%189.23万
-长期租赁负债
-17.56%640.39万
-17.56%640.39万
-12.11%744.53万
-15.54%776.82万
-15.54%776.82万
-47.26%847.13万
-39.17%919.7万
--919.7万
-2.65%1,606.33万
-20.64%1,511.81万
衍生品负债
----
----
----
----
----
----
----
----
----
--0
非流动负债总额
-17.56%640.39万
-17.56%640.39万
-12.11%744.53万
-15.54%776.82万
-15.54%776.82万
-49.13%847.13万
-45.93%919.7万
--919.7万
-15.21%1,665.39万
-26.99%1,701.04万
总负债
8.69%8,076.4万
8.69%8,076.4万
-3.26%7,722.96万
-11.17%7,430.35万
-11.17%7,430.35万
-13.72%7,983.31万
2.12%8,364.54万
--8,364.54万
18.42%9,252.28万
1.45%8,190.83万
所有者权益
股本
47.14%41.84万
47.14%41.84万
530.59%40.39万
581.09%28.44万
581.09%28.44万
53.40%6.4万
0.00%4.18万
--4.18万
9.98%4.18万
26.76%4.18万
-普通股股本
47.14%41.84万
47.14%41.84万
530.59%40.39万
581.09%28.44万
581.09%28.44万
53.40%6.4万
0.00%4.18万
--4.18万
9.98%4.18万
26.76%4.18万
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
-6.11%-7,350.72万
-6.11%-7,350.72万
-44.06%-7,019.73万
-43.92%-6,927.3万
-43.92%-6,927.3万
-7.80%-4,872.93万
-7.10%-4,813.45万
---4,813.45万
-18.57%-4,520.51万
-23.47%-4,494.24万
资本公积
2.92%8,641.4万
2.92%8,641.4万
23.98%8,642.85万
26.22%8,395.84万
26.22%8,395.84万
4.80%6,971.07万
0.00%6,651.6万
--6,651.6万
4.64%6,651.6万
22.70%6,651.6万
不影响留存收益的损益
-23.96%231.49万
-23.96%231.49万
0.71%224.97万
-46.23%304.42万
-46.23%304.42万
-48.71%223.39万
37.19%566.21万
--566.21万
12.42%435.59万
50.11%412.73万
股东权益总额
-13.18%1,564万
-13.18%1,564万
-18.88%1,888.48万
-25.21%1,801.4万
-25.21%1,801.4万
-9.45%2,327.95万
-6.44%2,408.54万
--2,408.54万
-12.42%2,570.85万
25.02%2,574.27万
非控制性权益
-0.00%-134.69万
-0.00%-134.69万
-0.00%-134.69万
-0.02%-134.69万
-0.02%-134.69万
-0.10%-134.69万
-0.47%-134.66万
---134.66万
32.84%-134.55万
26.06%-134.04万
总权益
-14.24%1,429.31万
-14.24%1,429.31万
-20.04%1,753.79万
-26.70%1,666.72万
-26.70%1,666.72万
-9.98%2,193.26万
-6.82%2,273.88万
--2,273.88万
-10.93%2,436.31万
29.95%2,440.23万
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
--
--
无保留意见
--
--
无保留意见
--
--
无保留意见
(FY)2024/03/31(Q4)2024/03/31(Q2)2023/09/30(FY)2023/03/31(Q4)2023/03/31(Q2)2022/09/30(FY)2022/03/31(Q4)2022/03/31(Q2)2021/09/30(FY)2021/03/31
资产
流动资产
现金及现金等价物和短期投资 7.13%2,014.98万7.13%2,014.98万31.13%1,864.99万1.89%1,880.79万1.89%1,880.79万-42.43%1,422.28万-16.62%1,845.86万--1,845.86万13.27%2,470.41万35.53%2,213.71万
-现金和现金等价物 7.13%2,014.98万7.13%2,014.98万31.91%1,864.99万1.89%1,880.79万1.89%1,880.79万-42.55%1,413.85万-16.27%1,845.86万--1,845.86万13.70%2,461.12万36.28%2,204.56万
-短期投资 ---------------------9.24%8.44万---------43.27%9.29万-41.80%9.15万
应收款项 13.24%1,907.55万13.24%1,907.55万-17.86%1,966.49万-25.14%1,684.46万-25.14%1,684.46万20.03%2,394.11万21.53%2,250.12万--2,250.12万30.44%1,994.53万24.29%1,851.51万
-应收账款 12.24%1,582.41万12.24%1,582.41万-2.46%1,751.27万-15.76%1,409.88万-15.76%1,409.88万27.53%1,795.53万24.68%1,673.65万--1,673.65万40.90%1,407.93万37.39%1,342.37万
-应收票据 --0--0------2.08万--2.08万129.81%22.34万--0--032.25%9.72万-30.90%3.94万
-应收关联方款项 --31.33万--31.33万------0--0--------------------
-其他应收款 7.82%293.8万7.82%293.8万-62.65%215.21万-52.73%272.5万-52.73%272.5万-0.11%576.25万14.11%576.47万--576.47万10.40%576.87万-0.34%505.2万
存货 6.14%1,624.84万6.14%1,624.84万13.90%1,959.11万-4.44%1,530.91万-4.44%1,530.91万-1.39%1,720.07万-5.61%1,602.01万--1,602.01万31.87%1,744.35万38.59%1,697.3万
预付费用 112.17%142.79万112.17%142.79万16.13%44.43万-52.58%67.3万-52.58%67.3万-86.89%38.26万-23.85%141.93万--141.93万-19.43%291.91万-26.61%186.38万
受限制现金 -0.30%1,272.44万-0.30%1,272.44万-28.49%1,095.04万-24.40%1,276.27万-24.40%1,276.27万5.06%1,531.36万33.69%1,688.1万--1,688.1万6.22%1,457.62万-14.72%1,262.7万
其他流动资产 -33.99%5.64万-33.99%5.64万-48.08%52.05万10.74%8.54万10.74%8.54万-37.76%100.26万-34.78%7.71万--7.71万1,053.03%161.07万-27.71%11.82万
流动资产合计 8.06%6,968.24万8.06%6,968.24万-3.11%6,982.12万-14.43%6,448.28万-14.43%6,448.28万-11.25%7,206.34万4.32%7,535.72万--7,535.72万19.74%8,119.88万18.44%7,223.42万
非流动资产
固定资产净额 -1.53%1,873.39万-1.53%1,873.39万-6.99%1,835.59万-3.23%1,902.51万-3.23%1,902.51万-20.40%1,973.61万-15.72%1,966.03万--1,966.03万-7.19%2,479.35万-20.51%2,332.78万
-固定资产 -0.93%3,075.58万-0.93%3,075.58万-6.99%1,835.59万-20.46%3,104.38万-20.46%3,104.38万-20.40%1,973.61万-4.67%3,902.7万--3,902.7万-42.86%2,479.35万-8.26%4,093.89万
-累计折旧 -0.03%-1,202.18万-0.03%-1,202.18万----37.94%-1,201.87万37.94%-1,201.87万-----9.97%-1,936.67万---1,936.67万-----15.26%-1,761.11万
商誉及其他无形资产 -6.12%364.93万-6.12%364.93万-4.08%299.08万-11.07%388.73万-11.07%388.73万-11.88%311.81万-0.31%437.09万--437.09万-21.66%353.87万-1.27%438.44万
-其他无形资产 -6.12%364.93万-6.12%364.93万-----11.07%388.73万-11.07%388.73万-----0.31%437.09万--437.09万-----1.27%438.44万
投资和预付款 -32.55%119.53万-32.55%119.53万-70.55%115.93万-60.72%177.21万-60.72%177.21万-1.14%393.66万13.30%451.15万--451.15万-3.25%398.2万56.50%398.2万
关联方资产 --31.33万--31.33万------0--0--------------------
长期预付费用 7.79%111.9万7.79%111.9万-28.12%108.77万-41.08%103.81万-41.08%103.81万-10.00%151.32万13.91%176.19万--176.19万9.64%168.14万6.21%154.68万
其他非流动资产 -11.51%67.72万-11.51%67.72万-3.26%135.27万5.95%76.52万5.95%76.52万-17.33%139.83万-13.54%72.23万--72.23万114.21%169.15万12.54%83.54万
非流动资产合计 -4.20%2,537.47万-4.20%2,537.47万-16.01%2,494.63万-14.63%2,648.78万-14.63%2,648.78万-16.77%2,970.23万-8.95%3,102.7万--3,102.7万-5.27%3,568.71万-11.56%3,407.64万
总资产 4.49%9,505.71万4.49%9,505.71万-6.88%9,476.75万-14.49%9,097.06万-14.49%9,097.06万-12.94%1.02亿0.07%1.06亿--1.06亿10.81%1.17亿6.83%1.06亿
负债
流动负债
应付款项 19.36%3,663.94万19.36%3,663.94万8.33%3,918.55万-5.68%3,069.56万-5.68%3,069.56万-5.62%3,617.1万-2.80%3,254.27万--3,254.27万38.80%3,832.46万35.59%3,347.89万
-应付账款 17.19%3,163.01万17.19%3,163.01万17.58%3,440.13万-1.25%2,699.03万-1.25%2,699.03万-10.88%2,925.79万-8.58%2,733.14万--2,733.14万31.82%3,282.83万38.67%2,989.58万
-应付税费 -60.03%68.22万-60.03%68.22万-20.11%165.67万23.59%170.69万23.59%170.69万299.15%207.37万598.47%138.11万--138.11万111.88%51.95万65.82%19.77万
-应付关联方款项 168.23%183.35万168.23%183.35万6.90%145.04万-56.22%68.36万-56.22%68.36万19.67%135.68万250.60%156.12万--156.12万97.49%113.38万-9.16%44.53万
-其他应付款 89.63%249.35万89.63%249.35万-51.85%167.71万-42.05%131.49万-42.05%131.49万-9.38%348.27万-22.82%226.9万--226.9万103.49%384.3万16.56%294万
应计费用 -48.92%38.64万-48.92%38.64万-40.44%37.82万36.05%75.65万36.05%75.65万60.03%63.5万10.96%55.6万--55.6万-39.27%39.68万-33.51%50.11万
短期借款与租赁负债 7.06%3,681.61万7.06%3,681.61万-10.91%2,956.59万-12.89%3,438.71万-12.89%3,438.71万-6.53%3,318.81万32.60%3,947.66万--3,947.66万22.58%3,550.49万-4.84%2,977.17万
-短期借款 9.22%3,195.33万9.22%3,195.33万-12.81%2,452.29万-19.06%2,925.58万-19.06%2,925.58万-17.14%2,812.52万24.72%3,614.7万--3,614.7万21.62%3,394.26万-4.36%2,898.35万
-短期租赁负债 -5.23%486.28万-5.23%486.28万-0.39%504.3万54.11%513.14万54.11%513.14万224.06%506.28万322.45%332.96万--332.96万47.92%156.23万-19.66%78.82万
递延负债 -25.53%51.82万-25.53%51.82万-52.14%65.47万-62.85%69.59万-62.85%69.59万-16.73%136.78万63.41%187.31万--187.31万30.10%164.26万61.87%114.62万
流动负债总额 11.76%7,436.01万11.76%7,436.01万-2.21%6,978.43万-10.63%6,653.52万-10.63%6,653.52万-5.94%7,136.18万14.72%7,444.84万--7,444.84万29.71%7,586.88万12.99%6,489.79万
非流动负债
长期借款与租赁负债 -17.56%640.39万-17.56%640.39万-12.11%744.53万-15.54%776.82万-15.54%776.82万-49.13%847.13万-45.93%919.7万--919.7万-14.99%1,665.39万-26.57%1,701.04万
-长期借款 ---------------------------------80.88%59.06万-54.03%189.23万
-长期租赁负债 -17.56%640.39万-17.56%640.39万-12.11%744.53万-15.54%776.82万-15.54%776.82万-47.26%847.13万-39.17%919.7万--919.7万-2.65%1,606.33万-20.64%1,511.81万
衍生品负债 --------------------------------------0
非流动负债总额 -17.56%640.39万-17.56%640.39万-12.11%744.53万-15.54%776.82万-15.54%776.82万-49.13%847.13万-45.93%919.7万--919.7万-15.21%1,665.39万-26.99%1,701.04万
总负债 8.69%8,076.4万8.69%8,076.4万-3.26%7,722.96万-11.17%7,430.35万-11.17%7,430.35万-13.72%7,983.31万2.12%8,364.54万--8,364.54万18.42%9,252.28万1.45%8,190.83万
所有者权益
股本 47.14%41.84万47.14%41.84万530.59%40.39万581.09%28.44万581.09%28.44万53.40%6.4万0.00%4.18万--4.18万9.98%4.18万26.76%4.18万
-普通股股本 47.14%41.84万47.14%41.84万530.59%40.39万581.09%28.44万581.09%28.44万53.40%6.4万0.00%4.18万--4.18万9.98%4.18万26.76%4.18万
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 -6.11%-7,350.72万-6.11%-7,350.72万-44.06%-7,019.73万-43.92%-6,927.3万-43.92%-6,927.3万-7.80%-4,872.93万-7.10%-4,813.45万---4,813.45万-18.57%-4,520.51万-23.47%-4,494.24万
资本公积 2.92%8,641.4万2.92%8,641.4万23.98%8,642.85万26.22%8,395.84万26.22%8,395.84万4.80%6,971.07万0.00%6,651.6万--6,651.6万4.64%6,651.6万22.70%6,651.6万
不影响留存收益的损益 -23.96%231.49万-23.96%231.49万0.71%224.97万-46.23%304.42万-46.23%304.42万-48.71%223.39万37.19%566.21万--566.21万12.42%435.59万50.11%412.73万
股东权益总额 -13.18%1,564万-13.18%1,564万-18.88%1,888.48万-25.21%1,801.4万-25.21%1,801.4万-9.45%2,327.95万-6.44%2,408.54万--2,408.54万-12.42%2,570.85万25.02%2,574.27万
非控制性权益 -0.00%-134.69万-0.00%-134.69万-0.00%-134.69万-0.02%-134.69万-0.02%-134.69万-0.10%-134.69万-0.47%-134.66万---134.66万32.84%-134.55万26.06%-134.04万
总权益 -14.24%1,429.31万-14.24%1,429.31万-20.04%1,753.79万-26.70%1,666.72万-26.70%1,666.72万-9.98%2,193.26万-6.82%2,273.88万--2,273.88万-10.93%2,436.31万29.95%2,440.23万
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----无保留意见----无保留意见----无保留意见

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