美股市场个股详情

Clearwater Analytics (CWAN)

添加自选
  • 24.360
  • -0.040-0.16%
收盘价 05/21 15:59 (美东)
  • 24.360
  • 0.0000.00%
盘后 17:34 (美东)
72.44亿总市值-135.33市盈率TTM

Clearwater Analytics (CWAN) 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
-71.18%8,150.7万
-64.29%9,124.5万
-64.29%9,124.5万
-79.02%6,414.8万
-72.11%7,192.2万
5.71%2.83亿
-13.75%2.55亿
-13.75%2.55亿
7.22%3.06亿
1.73%2.58亿
-现金和现金等价物
-70.38%8,150.7万
-48.55%9,124.5万
-48.55%9,124.5万
-73.44%6,075万
-64.02%6,840.4万
45.09%2.75亿
-20.03%1.77亿
-20.03%1.77亿
11.20%2.29亿
-0.06%1.9亿
-短期投资
----
--0
--0
-95.59%339.8万
-94.81%351.8万
-90.13%769.5万
4.95%7,813.9万
4.95%7,813.9万
-3.06%7,713.4万
7.11%6,781.9万
应收款项
51.79%1.74亿
56.06%1.72亿
56.06%1.72亿
44.96%1.57亿
46.65%1.54亿
7.28%1.14亿
9.15%1.1亿
9.15%1.1亿
10.26%1.08亿
17.39%1.05亿
-应收账款
57.17%1.1亿
88.76%1.13亿
88.76%1.13亿
102.97%1亿
15.74%5,651.3万
43.42%7,002.3万
30.98%5,999.5万
30.98%5,999.5万
18.81%4,948.9万
-4.75%4,882.8万
-应收税费
--169.2万
110.63%144.7万
110.63%144.7万
--156.5万
--225.5万
--0
-84.32%68.7万
-84.32%68.7万
----
----
-其他应收款
42.03%6,393.7万
18.67%5,892.1万
18.67%5,892.1万
-4.46%5,630.8万
70.49%9,600万
-22.71%4,501.6万
-2.76%4,965万
-2.76%4,965万
4.11%5,893.7万
47.52%5,630.9万
-应收账款调整额
-246.35%-189.8万
-951.88%-168.3万
-951.88%-168.3万
-480.23%-152.6万
-233.55%-104.4万
-60.70%-54.8万
48.22%-16万
48.22%-16万
-55.62%-26.3万
-133.58%-31.3万
预付费用
28.15%2,354.2万
73.93%2,232.2万
73.93%2,232.2万
94.50%2,107.2万
59.97%2,325.7万
14.65%1,837.1万
-3.02%1,283.4万
-3.02%1,283.4万
2.45%1,083.4万
1.42%1,453.8万
递延资产
36.71%645万
-9.00%459.3万
-9.00%459.3万
-13.88%409.5万
-4.55%438.7万
7.37%471.8万
8.68%504.7万
8.68%504.7万
12.12%475.5万
11.85%459.6万
其他流动资产
449.91%895.8万
396.01%547.6万
396.01%547.6万
273.02%470万
413.47%430.8万
57.85%162.9万
15.12%110.4万
15.12%110.4万
-59.14%126万
-79.43%83.9万
流动资产合计
-30.28%2.94亿
-23.16%2.96亿
-23.16%2.96亿
-41.79%2.51亿
-32.69%2.58亿
6.65%4.22亿
-7.54%3.85亿
-7.54%3.85亿
7.38%4.31亿
4.75%3.83亿
非流动资产
固定资产净额
116.77%8,209.3万
53.83%6,090.7万
53.83%6,090.7万
62.26%6,657.7万
57.74%6,821.1万
-11.49%3,787.1万
4.46%3,959.4万
4.46%3,959.4万
8.71%4,103.1万
7.38%4,324.2万
-固定资产
74.79%1.09亿
42.44%8,896.9万
42.44%8,896.9万
50.91%9,617.7万
153.71%1.1亿
46.01%6,247.1万
11.19%6,245.9万
11.19%6,245.9万
13.11%6,373.1万
7.38%4,324.2万
-累计折旧
-10.16%-2,710万
-22.73%-2,806.2万
-22.73%-2,806.2万
-30.40%-2,960万
---4,150万
---2,460万
-25.14%-2,286.5万
-25.14%-2,286.5万
-22.04%-2,270万
----
商誉及其他无形资产
795.19%19.29亿
1,822.28%19.58亿
1,822.28%19.58亿
1,731.52%19.81亿
1,779.04%20.08亿
212.96%2.15亿
42.49%1.02亿
42.49%1.02亿
57.64%1.08亿
49.73%1.07亿
-商誉
1,646.51%12.68亿
1,689.54%12.7亿
1,689.54%12.7亿
1,608.61%12.67亿
1,654.12%12.67亿
63.83%7,262.7万
56.54%7,097.1万
56.54%7,097.1万
74.15%7,416万
65.62%7,224.5万
-其他无形资产
362.42%6.61亿
2,127.48%6.88亿
2,127.48%6.88亿
1,999.48%7.14亿
2,039.84%7.41亿
482.52%1.43亿
18.12%3,086.8万
18.12%3,086.8万
30.64%3,401.4万
24.75%3,460.7万
投资和预付款
----
--0
--0
--0
--0
--0
40.97%3,030.1万
40.97%3,030.1万
75.51%3,088.9万
63.46%3,971.8万
长期应收款
----
40.45%125万
40.45%125万
----
----
----
-53.38%89万
-53.38%89万
----
----
非流动递延资产
17.59%7.13亿
16.32%7.09亿
16.32%7.09亿
10,939.40%6.81亿
11,492.57%6.78亿
9,655.73%6.07亿
7,731.34%6.1亿
7,731.34%6.1亿
9.51%617.2万
4.28%584.5万
长期预付费用
----
66.78%408.6万
66.78%408.6万
----
----
----
48.13%245万
48.13%245万
----
----
其他非流动资产
146.39%808.4万
922.71%346.7万
922.71%346.7万
66.17%1,054.7万
48.00%1,003.3万
-38.07%328.1万
-36.40%33.9万
-36.40%33.9万
35.76%634.7万
41.94%677.9万
非流动资产合计
216.55%27.33亿
248.61%27.36亿
248.61%27.36亿
1,322.39%27.4亿
1,265.18%27.64亿
467.74%8.63亿
449.87%7.85亿
449.87%7.85亿
43.44%1.93亿
38.36%2.02亿
总资产
135.49%30.27亿
159.23%30.32亿
159.23%30.32亿
379.67%29.91亿
416.32%30.21亿
134.63%12.85亿
109.32%11.7亿
109.32%11.7亿
16.42%6.23亿
14.36%5.85亿
负债
流动负债
应付款项
38.60%314.2万
67.79%565.8万
67.79%565.8万
-75.50%645.6万
-71.60%679.7万
-90.04%226.7万
-86.70%337.2万
-86.70%337.2万
53.40%2,635万
23.12%2,393万
-应付账款
-20.18%163万
39.60%409.6万
39.60%409.6万
-21.76%331.6万
107.33%614.1万
-24.90%204.2万
-4.18%293.4万
-4.18%293.4万
48.55%423.8万
4.19%296.2万
-应付税费
572.00%151.2万
256.62%156.2万
256.62%156.2万
-85.80%314万
-96.87%65.6万
-98.88%22.5万
-98.04%43.8万
-98.04%43.8万
54.37%2,211.2万
26.36%2,096.8万
应计费用
50.79%3,395.3万
153.68%8,030.9万
153.68%8,030.9万
124.99%4,952.6万
153.19%4,038.1万
109.13%2,251.7万
39.29%3,165.7万
39.29%3,165.7万
34.05%2,201.3万
23.04%1,594.9万
短期借款与租赁负债
95.96%2,221万
108.45%2,313.8万
108.45%2,313.8万
122.97%2,353.7万
105.47%2,146.3万
8.98%1,133.4万
19.34%1,110万
19.34%1,110万
15.34%1,055.6万
13.57%1,044.6万
-短期借款
190.91%800万
190.91%800万
190.91%800万
190.91%800万
118.18%600万
0.00%275万
0.00%275万
0.00%275万
0.00%275万
0.00%275万
-短期租赁负债
65.54%1,421万
81.29%1,513.8万
81.29%1,513.8万
99.04%1,553.7万
100.92%1,546.3万
12.21%858.4万
27.46%835万
27.46%835万
21.93%780.6万
19.35%769.6万
递延负债
209.31%2,802.7万
198.27%2,186万
198.27%2,186万
42.72%1,715.2万
92.78%2,081.1万
52.47%906.1万
164.97%732.9万
164.97%732.9万
246.04%1,201.8万
284.85%1,079.5万
其他流动负债
-20.11%1,580.8万
61.47%1,310.5万
61.47%1,310.5万
20.33%1,304.4万
72.44%2,031.2万
74.36%1,978.6万
-21.29%811.6万
-21.29%811.6万
21.32%1,084万
41.08%1,177.9万
流动负债总额
57.29%1.3亿
109.39%1.61亿
109.39%1.61亿
38.11%1.28亿
59.56%1.28亿
17.13%8,295.1万
-4.63%7,705.2万
-4.63%7,705.2万
46.35%9,240.2万
37.68%8,000.1万
非流动负债
长期拨备
58.18%26.1万
65.63%26.5万
65.63%26.5万
0.00%17.1万
67.70%27万
3.13%16.5万
-0.62%16万
-0.62%16万
10.32%17.1万
0.00%16.1万
长期借款与租赁负债
1,340.54%8.39亿
1,276.54%8.37亿
1,276.54%8.37亿
1,265.06%8.59亿
1,258.73%9.03亿
-12.18%5,821.6万
-3.12%6,081.9万
-3.12%6,081.9万
-1.90%6,295.1万
-0.31%6,648.9万
-长期借款
1,778.72%7.98亿
1,787.32%8.15亿
1,787.32%8.15亿
1,795.66%8.31亿
1,830.14%8.72亿
-5.90%4,249.7万
-5.81%4,316.4万
-5.81%4,316.4万
-5.73%4,383万
-4.19%4,518.3万
-长期租赁负债
155.92%4,022.8万
27.75%2,255.5万
27.75%2,255.5万
48.78%2,844.8万
46.96%3,131.1万
-25.60%1,571.9万
4.17%1,765.5万
4.17%1,765.5万
8.16%1,912.1万
9.07%2,130.6万
递延负债
73.36%119.1万
-6.79%122.1万
-6.79%122.1万
-54.73%109.1万
-64.45%118.2万
-82.91%68.7万
-75.54%131万
-75.54%131万
-49.33%241万
-37.29%332.5万
长期应计费用
150.29%174.2万
--81万
--81万
--76.7万
--74.1万
--69.6万
--0
--0
----
----
非流动负债总额
1,308.58%8.42亿
1,247.74%8.39亿
1,247.74%8.39亿
1,012.39%8.61亿
1,084.18%9.06亿
-15.55%5,976.4万
-8.79%6,228.9万
-8.79%6,228.9万
-4.33%7,743.2万
-7.68%7,647.5万
总负债
581.28%9.72亿
618.26%10.01亿
618.26%10.01亿
482.31%9.89亿
560.33%10.33亿
0.80%1.43亿
-6.54%1.39亿
-6.54%1.39亿
17.88%1.7亿
11.02%1.56亿
所有者权益
股本
16.86%29.8万
18.15%29.3万
18.15%29.3万
18.62%29.3万
19.59%29.3万
4.08%25.5万
1.64%24.8万
1.64%24.8万
2.07%24.7万
1.66%24.5万
-普通股股本
16.86%29.8万
18.15%29.3万
18.15%29.3万
18.62%29.3万
19.59%29.3万
4.08%25.5万
1.64%24.8万
1.64%24.8万
2.07%24.7万
1.66%24.5万
留存收益
-8.61%2.62亿
-8.45%2.6亿
-8.45%2.6亿
257.28%2.61亿
259.18%2.71亿
268.75%2.86亿
256.59%2.84亿
256.59%2.84亿
12.93%-1.66亿
10.09%-1.7亿
资本公积
115.72%17.85亿
141.93%17.54亿
141.93%17.54亿
203.51%17.13亿
207.20%16.88亿
56.49%8.27亿
36.18%7.25亿
36.18%7.25亿
9.26%5.64亿
10.93%5.5亿
不影响留存收益的损益
40.39%277.7万
736.93%708.9万
736.93%708.9万
61.00%744.8万
895.91%828.6万
50.53%197.8万
-138.26%-111.3万
-138.26%-111.3万
1,025.20%462.6万
-43.36%83.2万
股东权益总额
83.67%20.5亿
100.52%20.22亿
100.52%20.22亿
391.40%19.82亿
416.96%19.68亿
209.38%11.16亿
184.55%10.08亿
184.55%10.08亿
23.84%4.03亿
23.56%3.81亿
非控制性权益
-81.10%506.2万
-57.41%936万
-57.41%936万
-60.29%2,000.1万
-57.58%2,039.1万
-41.21%2,677.7万
-60.28%2,197.6万
-60.28%2,197.6万
-23.45%5,037.2万
-23.34%4,806.4万
总权益
79.81%20.55亿
97.15%20.31亿
97.15%20.31亿
341.24%20.02亿
363.75%19.88亿
181.28%11.43亿
151.49%10.3亿
151.49%10.3亿
15.89%4.54亿
15.63%4.29亿
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 -71.18%8,150.7万-64.29%9,124.5万-64.29%9,124.5万-79.02%6,414.8万-72.11%7,192.2万5.71%2.83亿-13.75%2.55亿-13.75%2.55亿7.22%3.06亿1.73%2.58亿
-现金和现金等价物 -70.38%8,150.7万-48.55%9,124.5万-48.55%9,124.5万-73.44%6,075万-64.02%6,840.4万45.09%2.75亿-20.03%1.77亿-20.03%1.77亿11.20%2.29亿-0.06%1.9亿
-短期投资 ------0--0-95.59%339.8万-94.81%351.8万-90.13%769.5万4.95%7,813.9万4.95%7,813.9万-3.06%7,713.4万7.11%6,781.9万
应收款项 51.79%1.74亿56.06%1.72亿56.06%1.72亿44.96%1.57亿46.65%1.54亿7.28%1.14亿9.15%1.1亿9.15%1.1亿10.26%1.08亿17.39%1.05亿
-应收账款 57.17%1.1亿88.76%1.13亿88.76%1.13亿102.97%1亿15.74%5,651.3万43.42%7,002.3万30.98%5,999.5万30.98%5,999.5万18.81%4,948.9万-4.75%4,882.8万
-应收税费 --169.2万110.63%144.7万110.63%144.7万--156.5万--225.5万--0-84.32%68.7万-84.32%68.7万--------
-其他应收款 42.03%6,393.7万18.67%5,892.1万18.67%5,892.1万-4.46%5,630.8万70.49%9,600万-22.71%4,501.6万-2.76%4,965万-2.76%4,965万4.11%5,893.7万47.52%5,630.9万
-应收账款调整额 -246.35%-189.8万-951.88%-168.3万-951.88%-168.3万-480.23%-152.6万-233.55%-104.4万-60.70%-54.8万48.22%-16万48.22%-16万-55.62%-26.3万-133.58%-31.3万
预付费用 28.15%2,354.2万73.93%2,232.2万73.93%2,232.2万94.50%2,107.2万59.97%2,325.7万14.65%1,837.1万-3.02%1,283.4万-3.02%1,283.4万2.45%1,083.4万1.42%1,453.8万
递延资产 36.71%645万-9.00%459.3万-9.00%459.3万-13.88%409.5万-4.55%438.7万7.37%471.8万8.68%504.7万8.68%504.7万12.12%475.5万11.85%459.6万
其他流动资产 449.91%895.8万396.01%547.6万396.01%547.6万273.02%470万413.47%430.8万57.85%162.9万15.12%110.4万15.12%110.4万-59.14%126万-79.43%83.9万
流动资产合计 -30.28%2.94亿-23.16%2.96亿-23.16%2.96亿-41.79%2.51亿-32.69%2.58亿6.65%4.22亿-7.54%3.85亿-7.54%3.85亿7.38%4.31亿4.75%3.83亿
非流动资产
固定资产净额 116.77%8,209.3万53.83%6,090.7万53.83%6,090.7万62.26%6,657.7万57.74%6,821.1万-11.49%3,787.1万4.46%3,959.4万4.46%3,959.4万8.71%4,103.1万7.38%4,324.2万
-固定资产 74.79%1.09亿42.44%8,896.9万42.44%8,896.9万50.91%9,617.7万153.71%1.1亿46.01%6,247.1万11.19%6,245.9万11.19%6,245.9万13.11%6,373.1万7.38%4,324.2万
-累计折旧 -10.16%-2,710万-22.73%-2,806.2万-22.73%-2,806.2万-30.40%-2,960万---4,150万---2,460万-25.14%-2,286.5万-25.14%-2,286.5万-22.04%-2,270万----
商誉及其他无形资产 795.19%19.29亿1,822.28%19.58亿1,822.28%19.58亿1,731.52%19.81亿1,779.04%20.08亿212.96%2.15亿42.49%1.02亿42.49%1.02亿57.64%1.08亿49.73%1.07亿
-商誉 1,646.51%12.68亿1,689.54%12.7亿1,689.54%12.7亿1,608.61%12.67亿1,654.12%12.67亿63.83%7,262.7万56.54%7,097.1万56.54%7,097.1万74.15%7,416万65.62%7,224.5万
-其他无形资产 362.42%6.61亿2,127.48%6.88亿2,127.48%6.88亿1,999.48%7.14亿2,039.84%7.41亿482.52%1.43亿18.12%3,086.8万18.12%3,086.8万30.64%3,401.4万24.75%3,460.7万
投资和预付款 ------0--0--0--0--040.97%3,030.1万40.97%3,030.1万75.51%3,088.9万63.46%3,971.8万
长期应收款 ----40.45%125万40.45%125万-------------53.38%89万-53.38%89万--------
非流动递延资产 17.59%7.13亿16.32%7.09亿16.32%7.09亿10,939.40%6.81亿11,492.57%6.78亿9,655.73%6.07亿7,731.34%6.1亿7,731.34%6.1亿9.51%617.2万4.28%584.5万
长期预付费用 ----66.78%408.6万66.78%408.6万------------48.13%245万48.13%245万--------
其他非流动资产 146.39%808.4万922.71%346.7万922.71%346.7万66.17%1,054.7万48.00%1,003.3万-38.07%328.1万-36.40%33.9万-36.40%33.9万35.76%634.7万41.94%677.9万
非流动资产合计 216.55%27.33亿248.61%27.36亿248.61%27.36亿1,322.39%27.4亿1,265.18%27.64亿467.74%8.63亿449.87%7.85亿449.87%7.85亿43.44%1.93亿38.36%2.02亿
总资产 135.49%30.27亿159.23%30.32亿159.23%30.32亿379.67%29.91亿416.32%30.21亿134.63%12.85亿109.32%11.7亿109.32%11.7亿16.42%6.23亿14.36%5.85亿
负债
流动负债
应付款项 38.60%314.2万67.79%565.8万67.79%565.8万-75.50%645.6万-71.60%679.7万-90.04%226.7万-86.70%337.2万-86.70%337.2万53.40%2,635万23.12%2,393万
-应付账款 -20.18%163万39.60%409.6万39.60%409.6万-21.76%331.6万107.33%614.1万-24.90%204.2万-4.18%293.4万-4.18%293.4万48.55%423.8万4.19%296.2万
-应付税费 572.00%151.2万256.62%156.2万256.62%156.2万-85.80%314万-96.87%65.6万-98.88%22.5万-98.04%43.8万-98.04%43.8万54.37%2,211.2万26.36%2,096.8万
应计费用 50.79%3,395.3万153.68%8,030.9万153.68%8,030.9万124.99%4,952.6万153.19%4,038.1万109.13%2,251.7万39.29%3,165.7万39.29%3,165.7万34.05%2,201.3万23.04%1,594.9万
短期借款与租赁负债 95.96%2,221万108.45%2,313.8万108.45%2,313.8万122.97%2,353.7万105.47%2,146.3万8.98%1,133.4万19.34%1,110万19.34%1,110万15.34%1,055.6万13.57%1,044.6万
-短期借款 190.91%800万190.91%800万190.91%800万190.91%800万118.18%600万0.00%275万0.00%275万0.00%275万0.00%275万0.00%275万
-短期租赁负债 65.54%1,421万81.29%1,513.8万81.29%1,513.8万99.04%1,553.7万100.92%1,546.3万12.21%858.4万27.46%835万27.46%835万21.93%780.6万19.35%769.6万
递延负债 209.31%2,802.7万198.27%2,186万198.27%2,186万42.72%1,715.2万92.78%2,081.1万52.47%906.1万164.97%732.9万164.97%732.9万246.04%1,201.8万284.85%1,079.5万
其他流动负债 -20.11%1,580.8万61.47%1,310.5万61.47%1,310.5万20.33%1,304.4万72.44%2,031.2万74.36%1,978.6万-21.29%811.6万-21.29%811.6万21.32%1,084万41.08%1,177.9万
流动负债总额 57.29%1.3亿109.39%1.61亿109.39%1.61亿38.11%1.28亿59.56%1.28亿17.13%8,295.1万-4.63%7,705.2万-4.63%7,705.2万46.35%9,240.2万37.68%8,000.1万
非流动负债
长期拨备 58.18%26.1万65.63%26.5万65.63%26.5万0.00%17.1万67.70%27万3.13%16.5万-0.62%16万-0.62%16万10.32%17.1万0.00%16.1万
长期借款与租赁负债 1,340.54%8.39亿1,276.54%8.37亿1,276.54%8.37亿1,265.06%8.59亿1,258.73%9.03亿-12.18%5,821.6万-3.12%6,081.9万-3.12%6,081.9万-1.90%6,295.1万-0.31%6,648.9万
-长期借款 1,778.72%7.98亿1,787.32%8.15亿1,787.32%8.15亿1,795.66%8.31亿1,830.14%8.72亿-5.90%4,249.7万-5.81%4,316.4万-5.81%4,316.4万-5.73%4,383万-4.19%4,518.3万
-长期租赁负债 155.92%4,022.8万27.75%2,255.5万27.75%2,255.5万48.78%2,844.8万46.96%3,131.1万-25.60%1,571.9万4.17%1,765.5万4.17%1,765.5万8.16%1,912.1万9.07%2,130.6万
递延负债 73.36%119.1万-6.79%122.1万-6.79%122.1万-54.73%109.1万-64.45%118.2万-82.91%68.7万-75.54%131万-75.54%131万-49.33%241万-37.29%332.5万
长期应计费用 150.29%174.2万--81万--81万--76.7万--74.1万--69.6万--0--0--------
非流动负债总额 1,308.58%8.42亿1,247.74%8.39亿1,247.74%8.39亿1,012.39%8.61亿1,084.18%9.06亿-15.55%5,976.4万-8.79%6,228.9万-8.79%6,228.9万-4.33%7,743.2万-7.68%7,647.5万
总负债 581.28%9.72亿618.26%10.01亿618.26%10.01亿482.31%9.89亿560.33%10.33亿0.80%1.43亿-6.54%1.39亿-6.54%1.39亿17.88%1.7亿11.02%1.56亿
所有者权益
股本 16.86%29.8万18.15%29.3万18.15%29.3万18.62%29.3万19.59%29.3万4.08%25.5万1.64%24.8万1.64%24.8万2.07%24.7万1.66%24.5万
-普通股股本 16.86%29.8万18.15%29.3万18.15%29.3万18.62%29.3万19.59%29.3万4.08%25.5万1.64%24.8万1.64%24.8万2.07%24.7万1.66%24.5万
留存收益 -8.61%2.62亿-8.45%2.6亿-8.45%2.6亿257.28%2.61亿259.18%2.71亿268.75%2.86亿256.59%2.84亿256.59%2.84亿12.93%-1.66亿10.09%-1.7亿
资本公积 115.72%17.85亿141.93%17.54亿141.93%17.54亿203.51%17.13亿207.20%16.88亿56.49%8.27亿36.18%7.25亿36.18%7.25亿9.26%5.64亿10.93%5.5亿
不影响留存收益的损益 40.39%277.7万736.93%708.9万736.93%708.9万61.00%744.8万895.91%828.6万50.53%197.8万-138.26%-111.3万-138.26%-111.3万1,025.20%462.6万-43.36%83.2万
股东权益总额 83.67%20.5亿100.52%20.22亿100.52%20.22亿391.40%19.82亿416.96%19.68亿209.38%11.16亿184.55%10.08亿184.55%10.08亿23.84%4.03亿23.56%3.81亿
非控制性权益 -81.10%506.2万-57.41%936万-57.41%936万-60.29%2,000.1万-57.58%2,039.1万-41.21%2,677.7万-60.28%2,197.6万-60.28%2,197.6万-23.45%5,037.2万-23.34%4,806.4万
总权益 79.81%20.55亿97.15%20.31亿97.15%20.31亿341.24%20.02亿363.75%19.88亿181.28%11.43亿151.49%10.3亿151.49%10.3亿15.89%4.54亿15.63%4.29亿
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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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