美股市场个股详情

Freightos (CRGO)

添加自选
  • 1.920
  • +0.030+1.59%
收盘价 04/16 16:00 (美东)
  • 1.920
  • 0.0000.00%
盘后 16:10 (美东)
9923.23万总市值-5.49市盈率TTM

Freightos (CRGO) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q1)2024/03/31
资产
流动资产
现金及现金等价物和短期投资
-25.16%2,789.3万
-25.16%2,789.3万
-25.84%3,064.7万
-27.95%3,414.9万
-26.85%3,643.7万
-27.89%3,727.1万
-27.89%3,727.1万
-25.10%4,132.4万
-22.17%4,739.6万
-25.58%4,981.3万
-现金和现金等价物
31.91%1,334.7万
31.91%1,334.7万
11.96%1,629万
-4.86%1,998.1万
196.91%3,643.7万
-49.82%1,011.8万
-49.82%1,011.8万
186.64%1,455万
125.96%2,100.1万
-73.77%1,227.2万
-短期投资
-46.43%1,454.6万
-46.43%1,454.6万
-46.38%1,435.7万
-46.32%1,416.8万
--0
-13.85%2,715.3万
-13.85%2,715.3万
-46.56%2,677.4万
-48.85%2,639.5万
86.22%3,754.1万
应收款项
21.96%449.8万
21.96%449.8万
44.88%634万
51.67%637.6万
55.85%553.9万
-7.27%368.8万
-7.27%368.8万
-8.49%437.6万
-5.87%420.4万
6.31%355.4万
-应收账款
23.42%377.3万
23.42%377.3万
56.89%426.1万
73.07%404.3万
87.40%382.1万
62.61%305.7万
62.61%305.7万
20.28%271.6万
7.30%233.6万
-14.69%203.9万
-应收利息
17.86%3.3万
17.86%3.3万
----
----
----
-98.27%2.8万
-98.27%2.8万
----
----
----
-其他应收款
14.76%69.2万
14.76%69.2万
25.24%207.9万
24.89%233.3万
13.40%171.8万
25.36%60.3万
25.36%60.3万
-34.23%166万
-18.39%186.8万
58.97%151.5万
预付费用
28.31%83.4万
28.31%83.4万
----
----
----
29.74%65万
29.74%65万
----
----
----
其他流动资产
-35.83%288.4万
-35.83%288.4万
-31.29%307.2万
-14.23%329.8万
-23.13%334.6万
26.48%449.4万
26.48%449.4万
-5.32%447.1万
9.08%384.5万
31.55%435.3万
流动资产合计
-21.68%3,610.9万
-21.68%3,610.9万
-20.16%4,005.9万
-20.96%4,382.3万
-21.48%4,532.2万
-22.80%4,610.3万
-22.80%4,610.3万
-22.43%5,017.1万
-19.51%5,544.5万
-21.57%5,772万
非流动资产
固定资产净额
61.33%259.9万
61.33%259.9万
10.12%208.9万
33.91%230.6万
21.04%234.7万
-25.42%161.1万
-25.42%161.1万
7.91%189.7万
-10.45%172.2万
-0.87%193.9万
-固定资产
9.67%674.9万
9.67%674.9万
10.12%208.9万
33.91%230.6万
21.04%234.7万
7.01%615.4万
7.01%615.4万
7.91%189.7万
-10.45%172.2万
-0.87%193.9万
-累计折旧
8.65%-415万
8.65%-415万
----
----
----
-26.51%-454.3万
-26.51%-454.3万
----
----
----
商誉及其他无形资产
-9.59%2,160.1万
-9.59%2,160.1万
-18.47%2,276.1万
4.89%2,336.1万
3.30%2,350.3万
2.83%2,389.2万
2.83%2,389.2万
17.72%2,791.9万
-7.96%2,227.1万
-7.81%2,275.2万
-商誉
-1.54%1,480.9万
-1.54%1,480.9万
-15.75%1,535万
-1.82%1,534.3万
-3.15%1,513.5万
-3.76%1,504万
-3.76%1,504万
16.59%1,822万
0.00%1,562.8万
0.00%1,562.8万
-其他无形资产
-23.27%679.2万
-23.27%679.2万
-23.59%741.1万
20.70%801.8万
17.46%836.8万
16.37%885.2万
16.37%885.2万
19.92%969.9万
-22.48%664.3万
-21.29%712.4万
非流动递延资产
4.48%56万
4.48%56万
-57.71%47.7万
-53.33%51.9万
-51.64%50.2万
-44.69%53.6万
-44.69%53.6万
82.52%112.8万
77.64%111.2万
72.14%103.8万
长期预付费用
11.61%182.7万
11.61%182.7万
----
----
----
2.18%163.7万
2.18%163.7万
----
----
----
其他非流动资产
----
----
7.18%173.2万
1.50%162.6万
1.44%161.8万
----
----
1.96%161.6万
1.97%160.2万
-5.17%159.5万
非流动资产合计
-3.93%2,658.7万
-3.93%2,658.7万
-16.89%2,705.9万
4.14%2,781.2万
2.36%2,797万
-1.05%2,767.6万
-1.05%2,767.6万
17.64%3,256万
-5.69%2,670.7万
-5.52%2,732.4万
总资产
-15.02%6,269.6万
-15.02%6,269.6万
-18.87%6,711.8万
-12.80%7,163.5万
-13.82%7,329.2万
-15.86%7,377.9万
-15.86%7,377.9万
-10.42%8,273.1万
-15.49%8,215.2万
-17.04%8,504.4万
负债
流动负债
应付款项
49.09%563.7万
49.09%563.7万
37.93%531.3万
59.65%566.6万
63.33%565.3万
14.30%378.1万
14.30%378.1万
18.60%385.2万
0.48%354.9万
-15.73%346.1万
-应付账款
86.85%510.3万
86.85%510.3万
37.93%531.3万
59.65%566.6万
63.33%565.3万
-12.27%273.1万
-12.27%273.1万
18.60%385.2万
0.48%354.9万
-15.73%346.1万
-其他应付款
-49.14%53.4万
-49.14%53.4万
----
----
----
438.46%105万
438.46%105万
----
----
----
应计费用
-10.08%254.1万
-10.08%254.1万
-1.89%711.1万
36.66%761.2万
39.32%687万
13.86%282.6万
13.86%282.6万
23.35%724.8万
-11.14%557万
-12.37%493.1万
短期借款与租赁负债
1.95%62.7万
1.95%62.7万
-4.30%66.7万
69.11%83.2万
33.64%71.9万
4.77%61.5万
4.77%61.5万
6.90%69.7万
-26.35%49.2万
-11.95%53.8万
-短期租赁负债
1.95%62.7万
1.95%62.7万
-4.30%66.7万
69.11%83.2万
33.64%71.9万
4.77%61.5万
4.77%61.5万
6.90%69.7万
-26.35%49.2万
-11.95%53.8万
递延负债
-9.69%284.2万
-9.69%284.2万
----
----
----
39.62%314.7万
39.62%314.7万
----
----
----
其他流动负债
-26.45%510.7万
-26.45%510.7万
23.10%678.4万
-1.79%625.6万
8.37%601.9万
37.83%694.4万
37.83%694.4万
16.71%551.1万
80.71%637万
67.85%555.4万
流动负债总额
-3.23%1,675.4万
-3.23%1,675.4万
14.83%1,987.5万
27.44%2,036.6万
32.98%1,926.1万
26.66%1,731.3万
26.66%1,731.3万
19.38%1,730.8万
14.21%1,598.1万
6.08%1,448.4万
非流动负债
长期借款与租赁负债
414.75%174.5万
414.75%174.5万
104.65%110.1万
145.22%115.5万
102.04%118.8万
-52.39%33.9万
-52.39%33.9万
178.76%53.8万
133.17%47.1万
131.50%58.8万
-长期租赁负债
414.75%174.5万
414.75%174.5万
104.65%110.1万
145.22%115.5万
102.04%118.8万
-52.39%33.9万
-52.39%33.9万
178.76%53.8万
133.17%47.1万
131.50%58.8万
员工福利
2.91%127.5万
2.91%127.5万
10.36%142.7万
-3.30%134.9万
-1.59%130.3万
-1.35%123.9万
-1.35%123.9万
21.52%129.3万
9.76%139.5万
3.36%132.4万
其他非流动负债
----
----
----
----
----
----
----
----
----
-99.57%6,000
非流动负债总额
91.38%302万
91.38%302万
38.07%252.8万
34.19%250.4万
29.87%249.1万
-20.06%157.8万
-20.06%157.8万
-49.71%183.1万
-65.62%186.6万
-67.53%191.8万
总负债
4.67%1,977.4万
4.67%1,977.4万
17.05%2,240.3万
28.14%2,287万
32.62%2,175.2万
20.76%1,889.1万
20.76%1,889.1万
5.51%1,913.9万
-8.10%1,784.7万
-16.15%1,640.2万
所有者权益
股本
--1,000
--1,000
--1,000
--1,000
--1,000
--0
--0
--0
--0
--0
-普通股股本
--1,000
--1,000
--1,000
--1,000
--1,000
--0
--0
--0
--0
--0
留存收益
-8.48%-2.24亿
-8.48%-2.24亿
-11.98%-2.2亿
-10.99%-2.15亿
-11.85%-2.11亿
-12.21%-2.07亿
-12.21%-2.07亿
-8.83%-1.97亿
-11.75%-1.94亿
-12.38%-1.89亿
资本公积
1.84%2.67亿
1.84%2.67亿
1.69%2.65亿
2.09%2.64亿
2.07%2.63亿
2.18%2.62亿
2.18%2.62亿
2.11%2.6亿
2.80%2.58亿
2.63%2.57亿
不影响留存收益的损益
348.34%52.4万
348.34%52.4万
261.21%41.9万
1,425.93%41.2万
-177.78%-2.1万
-881.48%-21.1万
-881.48%-21.1万
-15.33%11.6万
-80.29%2.7万
-80.29%2.7万
股东权益总额
-21.80%4,292.2万
-21.80%4,292.2万
-29.68%4,471.5万
-24.17%4,876.5万
-24.91%5,154万
-23.81%5,488.8万
-23.81%5,488.8万
-14.31%6,359.2万
-17.33%6,430.5万
-17.25%6,864.2万
总权益
-21.80%4,292.2万
-21.80%4,292.2万
-29.68%4,471.5万
-24.17%4,876.5万
-24.91%5,154万
-23.81%5,488.8万
-23.81%5,488.8万
-14.31%6,359.2万
-17.33%6,430.5万
-17.25%6,864.2万
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
--
--
--
--
(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(Q1)2024/03/31
资产
流动资产
现金及现金等价物和短期投资 -25.16%2,789.3万-25.16%2,789.3万-25.84%3,064.7万-27.95%3,414.9万-26.85%3,643.7万-27.89%3,727.1万-27.89%3,727.1万-25.10%4,132.4万-22.17%4,739.6万-25.58%4,981.3万
-现金和现金等价物 31.91%1,334.7万31.91%1,334.7万11.96%1,629万-4.86%1,998.1万196.91%3,643.7万-49.82%1,011.8万-49.82%1,011.8万186.64%1,455万125.96%2,100.1万-73.77%1,227.2万
-短期投资 -46.43%1,454.6万-46.43%1,454.6万-46.38%1,435.7万-46.32%1,416.8万--0-13.85%2,715.3万-13.85%2,715.3万-46.56%2,677.4万-48.85%2,639.5万86.22%3,754.1万
应收款项 21.96%449.8万21.96%449.8万44.88%634万51.67%637.6万55.85%553.9万-7.27%368.8万-7.27%368.8万-8.49%437.6万-5.87%420.4万6.31%355.4万
-应收账款 23.42%377.3万23.42%377.3万56.89%426.1万73.07%404.3万87.40%382.1万62.61%305.7万62.61%305.7万20.28%271.6万7.30%233.6万-14.69%203.9万
-应收利息 17.86%3.3万17.86%3.3万-------------98.27%2.8万-98.27%2.8万------------
-其他应收款 14.76%69.2万14.76%69.2万25.24%207.9万24.89%233.3万13.40%171.8万25.36%60.3万25.36%60.3万-34.23%166万-18.39%186.8万58.97%151.5万
预付费用 28.31%83.4万28.31%83.4万------------29.74%65万29.74%65万------------
其他流动资产 -35.83%288.4万-35.83%288.4万-31.29%307.2万-14.23%329.8万-23.13%334.6万26.48%449.4万26.48%449.4万-5.32%447.1万9.08%384.5万31.55%435.3万
流动资产合计 -21.68%3,610.9万-21.68%3,610.9万-20.16%4,005.9万-20.96%4,382.3万-21.48%4,532.2万-22.80%4,610.3万-22.80%4,610.3万-22.43%5,017.1万-19.51%5,544.5万-21.57%5,772万
非流动资产
固定资产净额 61.33%259.9万61.33%259.9万10.12%208.9万33.91%230.6万21.04%234.7万-25.42%161.1万-25.42%161.1万7.91%189.7万-10.45%172.2万-0.87%193.9万
-固定资产 9.67%674.9万9.67%674.9万10.12%208.9万33.91%230.6万21.04%234.7万7.01%615.4万7.01%615.4万7.91%189.7万-10.45%172.2万-0.87%193.9万
-累计折旧 8.65%-415万8.65%-415万-------------26.51%-454.3万-26.51%-454.3万------------
商誉及其他无形资产 -9.59%2,160.1万-9.59%2,160.1万-18.47%2,276.1万4.89%2,336.1万3.30%2,350.3万2.83%2,389.2万2.83%2,389.2万17.72%2,791.9万-7.96%2,227.1万-7.81%2,275.2万
-商誉 -1.54%1,480.9万-1.54%1,480.9万-15.75%1,535万-1.82%1,534.3万-3.15%1,513.5万-3.76%1,504万-3.76%1,504万16.59%1,822万0.00%1,562.8万0.00%1,562.8万
-其他无形资产 -23.27%679.2万-23.27%679.2万-23.59%741.1万20.70%801.8万17.46%836.8万16.37%885.2万16.37%885.2万19.92%969.9万-22.48%664.3万-21.29%712.4万
非流动递延资产 4.48%56万4.48%56万-57.71%47.7万-53.33%51.9万-51.64%50.2万-44.69%53.6万-44.69%53.6万82.52%112.8万77.64%111.2万72.14%103.8万
长期预付费用 11.61%182.7万11.61%182.7万------------2.18%163.7万2.18%163.7万------------
其他非流动资产 --------7.18%173.2万1.50%162.6万1.44%161.8万--------1.96%161.6万1.97%160.2万-5.17%159.5万
非流动资产合计 -3.93%2,658.7万-3.93%2,658.7万-16.89%2,705.9万4.14%2,781.2万2.36%2,797万-1.05%2,767.6万-1.05%2,767.6万17.64%3,256万-5.69%2,670.7万-5.52%2,732.4万
总资产 -15.02%6,269.6万-15.02%6,269.6万-18.87%6,711.8万-12.80%7,163.5万-13.82%7,329.2万-15.86%7,377.9万-15.86%7,377.9万-10.42%8,273.1万-15.49%8,215.2万-17.04%8,504.4万
负债
流动负债
应付款项 49.09%563.7万49.09%563.7万37.93%531.3万59.65%566.6万63.33%565.3万14.30%378.1万14.30%378.1万18.60%385.2万0.48%354.9万-15.73%346.1万
-应付账款 86.85%510.3万86.85%510.3万37.93%531.3万59.65%566.6万63.33%565.3万-12.27%273.1万-12.27%273.1万18.60%385.2万0.48%354.9万-15.73%346.1万
-其他应付款 -49.14%53.4万-49.14%53.4万------------438.46%105万438.46%105万------------
应计费用 -10.08%254.1万-10.08%254.1万-1.89%711.1万36.66%761.2万39.32%687万13.86%282.6万13.86%282.6万23.35%724.8万-11.14%557万-12.37%493.1万
短期借款与租赁负债 1.95%62.7万1.95%62.7万-4.30%66.7万69.11%83.2万33.64%71.9万4.77%61.5万4.77%61.5万6.90%69.7万-26.35%49.2万-11.95%53.8万
-短期租赁负债 1.95%62.7万1.95%62.7万-4.30%66.7万69.11%83.2万33.64%71.9万4.77%61.5万4.77%61.5万6.90%69.7万-26.35%49.2万-11.95%53.8万
递延负债 -9.69%284.2万-9.69%284.2万------------39.62%314.7万39.62%314.7万------------
其他流动负债 -26.45%510.7万-26.45%510.7万23.10%678.4万-1.79%625.6万8.37%601.9万37.83%694.4万37.83%694.4万16.71%551.1万80.71%637万67.85%555.4万
流动负债总额 -3.23%1,675.4万-3.23%1,675.4万14.83%1,987.5万27.44%2,036.6万32.98%1,926.1万26.66%1,731.3万26.66%1,731.3万19.38%1,730.8万14.21%1,598.1万6.08%1,448.4万
非流动负债
长期借款与租赁负债 414.75%174.5万414.75%174.5万104.65%110.1万145.22%115.5万102.04%118.8万-52.39%33.9万-52.39%33.9万178.76%53.8万133.17%47.1万131.50%58.8万
-长期租赁负债 414.75%174.5万414.75%174.5万104.65%110.1万145.22%115.5万102.04%118.8万-52.39%33.9万-52.39%33.9万178.76%53.8万133.17%47.1万131.50%58.8万
员工福利 2.91%127.5万2.91%127.5万10.36%142.7万-3.30%134.9万-1.59%130.3万-1.35%123.9万-1.35%123.9万21.52%129.3万9.76%139.5万3.36%132.4万
其他非流动负债 -------------------------------------99.57%6,000
非流动负债总额 91.38%302万91.38%302万38.07%252.8万34.19%250.4万29.87%249.1万-20.06%157.8万-20.06%157.8万-49.71%183.1万-65.62%186.6万-67.53%191.8万
总负债 4.67%1,977.4万4.67%1,977.4万17.05%2,240.3万28.14%2,287万32.62%2,175.2万20.76%1,889.1万20.76%1,889.1万5.51%1,913.9万-8.10%1,784.7万-16.15%1,640.2万
所有者权益
股本 --1,000--1,000--1,000--1,000--1,000--0--0--0--0--0
-普通股股本 --1,000--1,000--1,000--1,000--1,000--0--0--0--0--0
留存收益 -8.48%-2.24亿-8.48%-2.24亿-11.98%-2.2亿-10.99%-2.15亿-11.85%-2.11亿-12.21%-2.07亿-12.21%-2.07亿-8.83%-1.97亿-11.75%-1.94亿-12.38%-1.89亿
资本公积 1.84%2.67亿1.84%2.67亿1.69%2.65亿2.09%2.64亿2.07%2.63亿2.18%2.62亿2.18%2.62亿2.11%2.6亿2.80%2.58亿2.63%2.57亿
不影响留存收益的损益 348.34%52.4万348.34%52.4万261.21%41.9万1,425.93%41.2万-177.78%-2.1万-881.48%-21.1万-881.48%-21.1万-15.33%11.6万-80.29%2.7万-80.29%2.7万
股东权益总额 -21.80%4,292.2万-21.80%4,292.2万-29.68%4,471.5万-24.17%4,876.5万-24.91%5,154万-23.81%5,488.8万-23.81%5,488.8万-14.31%6,359.2万-17.33%6,430.5万-17.25%6,864.2万
总权益 -21.80%4,292.2万-21.80%4,292.2万-29.68%4,471.5万-24.17%4,876.5万-24.91%5,154万-23.81%5,488.8万-23.81%5,488.8万-14.31%6,359.2万-17.33%6,430.5万-17.25%6,864.2万
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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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