美股市场个股详情

EOSEW EOS ENERGY ENTERPRISES INC C/WTS 06/05/2026(TO PUR COM)

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  • 0.2579
  • +0.0329+14.62%
收盘价 09/13 16:00 (美东)
  • 0.2500
  • -0.0079-3.06%
盘后 18:21 (美东)
0总市值0.00市盈率TTM

EOS ENERGY ENTERPRISES INC C/WTS 06/05/2026(TO PUR COM)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
125.68%5,245.4万
97.02%3,177.3万
306.85%6,947.3万
306.85%6,947.3万
50.84%5,797万
42.83%2,324.3万
-70.87%1,612.7万
-83.71%1,707.6万
-83.71%1,707.6万
-73.35%3,843.1万
-现金和现金等价物
125.68%5,245.4万
97.02%3,177.3万
306.85%6,947.3万
306.85%6,947.3万
50.84%5,797万
42.83%2,324.3万
-70.87%1,612.7万
-83.71%1,707.6万
-83.71%1,707.6万
-73.35%3,843.1万
应收款项
2,689.37%1.01亿
261.98%2,732.6万
441.95%2,052.9万
441.95%2,052.9万
-36.49%404.3万
33.23%361.2万
170.77%754.9万
11.81%378.8万
11.81%378.8万
160.37%636.6万
-应收账款
199.87%456.1万
8.01%395.3万
103.30%338.7万
103.30%338.7万
-34.14%157.8万
-41.41%152.1万
36.36%366万
-13.05%166.6万
-13.05%166.6万
70.41%239.6万
-应收贷款
--7,609.1万
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----
----
----
----
----
----
----
----
-应收票据
----
----
----
----
-44.83%6.4万
-52.17%5.5万
-56.73%4.5万
----
----
27.47%11.6万
-其他应收款
887.23%2,010万
508.04%2,337.3万
707.82%1,714.2万
707.82%1,714.2万
-37.70%240.1万
--203.6万
--384.4万
55.00%212.2万
55.00%212.2万
306.54%385.4万
存货
7.27%1,783.9万
2.26%1,439.3万
-26.61%1,707万
-26.61%1,707万
-11.32%2,056.8万
28.51%1,663万
36.76%1,407.5万
79.25%2,326万
79.25%2,326万
364.23%2,319.3万
预付费用
-53.92%674.6万
3.16%779.1万
16.46%824.3万
16.46%824.3万
97.91%2,018.3万
-40.80%1,463.9万
-68.81%755.2万
-63.23%707.8万
-63.23%707.8万
-39.72%1,019.8万
受限制现金
-21.94%262.5万
-3.67%262.5万
26.20%343.9万
26.20%343.9万
82.44%343.9万
167.97%336.3万
117.13%272.5万
216.49%272.5万
216.49%272.5万
259.05%188.5万
其他流动资产
26.01%313万
55.58%311万
193.20%357.7万
193.20%357.7万
46.61%229万
-2.51%248.4万
-10.88%199.9万
-3.79%122万
-3.79%122万
--156.2万
流动资产合计
186.92%1.84亿
73.94%8,701.8万
121.83%1.22亿
121.83%1.22亿
32.90%1.08亿
5.81%6,397.1万
-47.97%5,002.7万
-61.32%5,514.7万
-61.32%5,514.7万
-51.72%8,163.5万
非流动资产
固定资产净额
126.20%5,402万
61.94%4,647.7万
33.04%4,188.8万
33.04%4,188.8万
-29.36%2,427.8万
-7.31%2,388.1万
47.11%2,870万
92.47%3,148.5万
92.47%3,148.5万
234.36%3,436.9万
-固定资产
96.38%7,436.1万
51.50%6,553.8万
37.92%5,992万
37.92%5,992万
-9.28%3,989.8万
11.26%3,786.5万
57.75%4,325.9万
81.19%4,344.5万
81.19%4,344.5万
157.06%4,397.7万
-累计折旧
-45.46%-2,034.1万
-30.92%-1,906.1万
-50.77%-1,803.2万
-50.77%-1,803.2万
-62.57%-1,562万
-69.09%-1,398.4万
-83.99%-1,455.9万
-56.98%-1,196万
-56.98%-1,196万
-40.69%-960.8万
商誉及其他无形资产
-1.48%459.1万
-1.45%461.3万
1.20%462.6万
1.20%462.6万
1.29%464万
1.50%466万
1.74%468.1万
-0.87%457.1万
-0.87%457.1万
-0.87%458.1万
-商誉
0.00%433.1万
0.00%433.1万
0.00%433.1万
0.00%433.1万
0.00%433.1万
0.00%433.1万
0.00%433.1万
0.00%433.1万
0.00%433.1万
0.00%433.1万
-其他无形资产
-20.97%26万
-19.43%28.2万
22.92%29.5万
22.92%29.5万
23.60%30.9万
26.54%32.9万
29.63%35万
-14.29%24万
-14.29%24万
-13.79%25万
长期应收票据
----
----
----
----
-78.28%79.9万
-78.40%80.8万
-76.76%81.7万
----
----
-21.01%367.8万
其他非流动资产
-57.65%661.9万
13.38%1,757.4万
13.23%1,764.7万
13.23%1,764.7万
11.61%1,586.8万
696.23%1,563万
736.93%1,550万
646.77%1,558.5万
646.77%1,558.5万
7,228.87%1,421.8万
非流动资产合计
45.02%6,523万
38.16%6,866.4万
24.24%6,416.1万
24.24%6,416.1万
-19.81%4,558.5万
20.64%4,497.9万
61.86%4,969.8万
94.12%5,164.1万
94.12%5,164.1万
170.71%5,684.6万
总资产
128.34%2.49亿
56.11%1.56亿
74.64%1.86亿
74.64%1.86亿
11.26%1.54亿
11.47%1.09亿
-21.39%9,972.5万
-36.88%1.07亿
-36.88%1.07亿
-27.14%1.38亿
负债
流动负债
应付款项
32.03%2,411.2万
-40.25%2,106.9万
-37.91%2,314.5万
-37.91%2,314.5万
-57.02%1,626.5万
-37.22%1,826.2万
202.41%3,526.1万
171.47%3,727.6万
171.47%3,727.6万
187.26%3,784.6万
-应付账款
56.56%2,411.2万
-43.63%1,833.9万
-40.75%2,054万
-40.75%2,054万
-61.04%1,382.7万
-47.05%1,540.1万
179.00%3,253.1万
176.67%3,466.9万
176.67%3,466.9万
169.37%3,549万
-其他应付款
----
0.00%273万
-0.08%260.5万
-0.08%260.5万
3.48%243.8万
--286.1万
--273万
--260.7万
--260.7万
--235.6万
应计费用
127.90%2,606.9万
131.93%2,716.6万
217.53%2,017.9万
217.53%2,017.9万
62.54%1,294万
16.68%1,143.9万
22.55%1,171.3万
14.26%635.5万
14.26%635.5万
--796.1万
现行拨备
31.74%867.8万
47.56%871.8万
49.26%954.8万
49.26%954.8万
71.57%969.2万
34.84%658.7万
82.35%590.8万
202.89%639.7万
202.89%639.7万
--564.9万
短期借款与租赁负债
8.27%469.8万
-59.32%503.2万
-27.57%482.8万
-27.57%482.8万
15.94%450.9万
-70.98%433.9万
63.37%1,237万
-12.91%666.6万
-12.91%666.6万
-40.26%388.9万
-短期借款
-1.68%304.1万
-69.18%345.8万
-40.07%333.2万
-40.07%333.2万
13.78%321.1万
-77.81%309.3万
68.16%1,122.1万
-15.37%556万
-15.37%556万
-56.61%282.2万
-短期租赁负债
32.99%165.7万
36.99%157.4万
35.26%149.6万
35.26%149.6万
21.65%129.8万
23.00%124.6万
27.81%114.9万
2.03%110.6万
2.03%110.6万
17,683.33%106.7万
递延负债
102.35%481.4万
607.00%282.8万
-20.26%307万
-20.26%307万
606.45%328.5万
170.65%237.9万
-77.31%40万
353.47%385万
353.47%385万
-61.22%46.5万
其他流动负债
234.29%11.7万
217.65%10.8万
212.50%10万
212.50%10万
200.00%9.3万
169.23%3.5万
466.67%3.4万
255.56%3.2万
255.56%3.2万
--3.1万
流动负债总额
59.12%6,848.8万
-1.16%6,492.1万
0.49%6,087万
0.49%6,087万
-16.22%4,678.4万
-27.81%4,304.1万
94.34%6,568.6万
102.48%6,057.6万
102.48%6,057.6万
167.39%5,584.1万
非流动负债
长期借款与租赁负债
-34.55%1.53亿
1.34%2.05亿
16.90%2.04亿
16.90%2.04亿
25.68%2.08亿
145.87%2.33亿
101.99%2.02亿
64.73%1.74亿
64.73%1.74亿
54.55%1.65亿
-长期借款
-34.54%1.5亿
1.82%2.02亿
17.77%2.01亿
17.77%2.01亿
26.98%2.04亿
154.46%2.3亿
108.46%1.99亿
65.89%1.7亿
65.89%1.7亿
50.41%1.61亿
-长期租赁负债
-35.01%247.8万
-23.61%292.2万
-18.89%335万
-18.89%335万
-21.58%347.1万
-18.96%381.3万
-22.62%382.5万
28.10%413万
28.10%413万
--442.6万
递延负债
359.00%438.8万
348.01%428.3万
270.29%354万
270.29%354万
0.00%95.6万
9.13%95.6万
-17.59%95.6万
--95.6万
--95.6万
20.10%95.6万
衍生品负债
203.00%1.74亿
10,396.15%2,456.1万
35,106.41%2,746.1万
35,106.41%2,746.1万
16,654.74%2,295.4万
64,349.44%5,736万
-34.82%23.4万
-91.58%7.8万
-91.58%7.8万
-91.62%13.7万
可转换优先证券
--4,011.7万
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其他非流动负债
-97.74%8.6万
-55.93%160.4万
-55.73%154.4万
-55.73%154.4万
-53.21%148.5万
4,534.15%380万
18,100.00%364万
20,417.65%348.8万
20,417.65%348.8万
--317.4万
非流动负债总额
25.61%3.71亿
13.74%2.38亿
32.14%2.36亿
32.14%2.36亿
37.81%2.36亿
207.92%2.95亿
102.98%2.1亿
67.51%1.79亿
67.51%1.79亿
54.35%1.71亿
总负债
29.87%4.4亿
10.18%3.03亿
24.13%2.97亿
24.13%2.97亿
24.51%2.82亿
117.58%3.38亿
100.85%2.75亿
75.16%2.39亿
75.16%2.39亿
72.28%2.27亿
所有者权益
股本
64.29%2.3万
120.00%2.2万
133.33%2.1万
133.33%2.1万
100.00%1.6万
133.33%1.4万
100.00%1万
80.00%9,000
80.00%9,000
60.00%8,000
-普通股股本
64.29%2.3万
120.00%2.2万
133.33%2.1万
133.33%2.1万
100.00%1.6万
133.33%1.4万
100.00%1万
80.00%9,000
80.00%9,000
60.00%8,000
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
-11.91%-9.51亿
-28.50%-9.23亿
-35.51%-8.76亿
-35.51%-8.76亿
-41.53%-8.35亿
-63.69%-8.5亿
-55.29%-7.18亿
-55.17%-6.46亿
-55.17%-6.46亿
-52.81%-5.9亿
资本公积
22.56%7.6亿
42.88%7.75亿
48.95%7.65亿
48.95%7.65亿
40.87%7.06亿
34.44%6.2亿
19.96%5.42亿
14.40%5.14亿
14.40%5.14亿
12.83%5.01亿
不影响留存收益的损益
-66.67%3,000
-71.43%2,000
16.67%7,000
16.67%7,000
-25.00%3,000
80.00%9,000
--7,000
--6,000
--6,000
--4,000
股东权益总额
16.87%-1.91亿
15.90%-1.48亿
16.51%-1.11亿
16.51%-1.11亿
-45.27%-1.28亿
-296.93%-2.3亿
-1,618.17%-1.76亿
-509.01%-1.33亿
-509.01%-1.33亿
-251.21%-8,833.9万
总权益
16.87%-1.91亿
15.90%-1.48亿
16.51%-1.11亿
16.51%-1.11亿
-45.27%-1.28亿
-296.93%-2.3亿
-1,618.17%-1.76亿
-509.01%-1.33亿
-509.01%-1.33亿
-251.21%-8,833.9万
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
--
--
--
--
--
--
--
带解释段的无保留意见
--
--
(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 125.68%5,245.4万97.02%3,177.3万306.85%6,947.3万306.85%6,947.3万50.84%5,797万42.83%2,324.3万-70.87%1,612.7万-83.71%1,707.6万-83.71%1,707.6万-73.35%3,843.1万
-现金和现金等价物 125.68%5,245.4万97.02%3,177.3万306.85%6,947.3万306.85%6,947.3万50.84%5,797万42.83%2,324.3万-70.87%1,612.7万-83.71%1,707.6万-83.71%1,707.6万-73.35%3,843.1万
应收款项 2,689.37%1.01亿261.98%2,732.6万441.95%2,052.9万441.95%2,052.9万-36.49%404.3万33.23%361.2万170.77%754.9万11.81%378.8万11.81%378.8万160.37%636.6万
-应收账款 199.87%456.1万8.01%395.3万103.30%338.7万103.30%338.7万-34.14%157.8万-41.41%152.1万36.36%366万-13.05%166.6万-13.05%166.6万70.41%239.6万
-应收贷款 --7,609.1万------------------------------------
-应收票据 -----------------44.83%6.4万-52.17%5.5万-56.73%4.5万--------27.47%11.6万
-其他应收款 887.23%2,010万508.04%2,337.3万707.82%1,714.2万707.82%1,714.2万-37.70%240.1万--203.6万--384.4万55.00%212.2万55.00%212.2万306.54%385.4万
存货 7.27%1,783.9万2.26%1,439.3万-26.61%1,707万-26.61%1,707万-11.32%2,056.8万28.51%1,663万36.76%1,407.5万79.25%2,326万79.25%2,326万364.23%2,319.3万
预付费用 -53.92%674.6万3.16%779.1万16.46%824.3万16.46%824.3万97.91%2,018.3万-40.80%1,463.9万-68.81%755.2万-63.23%707.8万-63.23%707.8万-39.72%1,019.8万
受限制现金 -21.94%262.5万-3.67%262.5万26.20%343.9万26.20%343.9万82.44%343.9万167.97%336.3万117.13%272.5万216.49%272.5万216.49%272.5万259.05%188.5万
其他流动资产 26.01%313万55.58%311万193.20%357.7万193.20%357.7万46.61%229万-2.51%248.4万-10.88%199.9万-3.79%122万-3.79%122万--156.2万
流动资产合计 186.92%1.84亿73.94%8,701.8万121.83%1.22亿121.83%1.22亿32.90%1.08亿5.81%6,397.1万-47.97%5,002.7万-61.32%5,514.7万-61.32%5,514.7万-51.72%8,163.5万
非流动资产
固定资产净额 126.20%5,402万61.94%4,647.7万33.04%4,188.8万33.04%4,188.8万-29.36%2,427.8万-7.31%2,388.1万47.11%2,870万92.47%3,148.5万92.47%3,148.5万234.36%3,436.9万
-固定资产 96.38%7,436.1万51.50%6,553.8万37.92%5,992万37.92%5,992万-9.28%3,989.8万11.26%3,786.5万57.75%4,325.9万81.19%4,344.5万81.19%4,344.5万157.06%4,397.7万
-累计折旧 -45.46%-2,034.1万-30.92%-1,906.1万-50.77%-1,803.2万-50.77%-1,803.2万-62.57%-1,562万-69.09%-1,398.4万-83.99%-1,455.9万-56.98%-1,196万-56.98%-1,196万-40.69%-960.8万
商誉及其他无形资产 -1.48%459.1万-1.45%461.3万1.20%462.6万1.20%462.6万1.29%464万1.50%466万1.74%468.1万-0.87%457.1万-0.87%457.1万-0.87%458.1万
-商誉 0.00%433.1万0.00%433.1万0.00%433.1万0.00%433.1万0.00%433.1万0.00%433.1万0.00%433.1万0.00%433.1万0.00%433.1万0.00%433.1万
-其他无形资产 -20.97%26万-19.43%28.2万22.92%29.5万22.92%29.5万23.60%30.9万26.54%32.9万29.63%35万-14.29%24万-14.29%24万-13.79%25万
长期应收票据 -----------------78.28%79.9万-78.40%80.8万-76.76%81.7万---------21.01%367.8万
其他非流动资产 -57.65%661.9万13.38%1,757.4万13.23%1,764.7万13.23%1,764.7万11.61%1,586.8万696.23%1,563万736.93%1,550万646.77%1,558.5万646.77%1,558.5万7,228.87%1,421.8万
非流动资产合计 45.02%6,523万38.16%6,866.4万24.24%6,416.1万24.24%6,416.1万-19.81%4,558.5万20.64%4,497.9万61.86%4,969.8万94.12%5,164.1万94.12%5,164.1万170.71%5,684.6万
总资产 128.34%2.49亿56.11%1.56亿74.64%1.86亿74.64%1.86亿11.26%1.54亿11.47%1.09亿-21.39%9,972.5万-36.88%1.07亿-36.88%1.07亿-27.14%1.38亿
负债
流动负债
应付款项 32.03%2,411.2万-40.25%2,106.9万-37.91%2,314.5万-37.91%2,314.5万-57.02%1,626.5万-37.22%1,826.2万202.41%3,526.1万171.47%3,727.6万171.47%3,727.6万187.26%3,784.6万
-应付账款 56.56%2,411.2万-43.63%1,833.9万-40.75%2,054万-40.75%2,054万-61.04%1,382.7万-47.05%1,540.1万179.00%3,253.1万176.67%3,466.9万176.67%3,466.9万169.37%3,549万
-其他应付款 ----0.00%273万-0.08%260.5万-0.08%260.5万3.48%243.8万--286.1万--273万--260.7万--260.7万--235.6万
应计费用 127.90%2,606.9万131.93%2,716.6万217.53%2,017.9万217.53%2,017.9万62.54%1,294万16.68%1,143.9万22.55%1,171.3万14.26%635.5万14.26%635.5万--796.1万
现行拨备 31.74%867.8万47.56%871.8万49.26%954.8万49.26%954.8万71.57%969.2万34.84%658.7万82.35%590.8万202.89%639.7万202.89%639.7万--564.9万
短期借款与租赁负债 8.27%469.8万-59.32%503.2万-27.57%482.8万-27.57%482.8万15.94%450.9万-70.98%433.9万63.37%1,237万-12.91%666.6万-12.91%666.6万-40.26%388.9万
-短期借款 -1.68%304.1万-69.18%345.8万-40.07%333.2万-40.07%333.2万13.78%321.1万-77.81%309.3万68.16%1,122.1万-15.37%556万-15.37%556万-56.61%282.2万
-短期租赁负债 32.99%165.7万36.99%157.4万35.26%149.6万35.26%149.6万21.65%129.8万23.00%124.6万27.81%114.9万2.03%110.6万2.03%110.6万17,683.33%106.7万
递延负债 102.35%481.4万607.00%282.8万-20.26%307万-20.26%307万606.45%328.5万170.65%237.9万-77.31%40万353.47%385万353.47%385万-61.22%46.5万
其他流动负债 234.29%11.7万217.65%10.8万212.50%10万212.50%10万200.00%9.3万169.23%3.5万466.67%3.4万255.56%3.2万255.56%3.2万--3.1万
流动负债总额 59.12%6,848.8万-1.16%6,492.1万0.49%6,087万0.49%6,087万-16.22%4,678.4万-27.81%4,304.1万94.34%6,568.6万102.48%6,057.6万102.48%6,057.6万167.39%5,584.1万
非流动负债
长期借款与租赁负债 -34.55%1.53亿1.34%2.05亿16.90%2.04亿16.90%2.04亿25.68%2.08亿145.87%2.33亿101.99%2.02亿64.73%1.74亿64.73%1.74亿54.55%1.65亿
-长期借款 -34.54%1.5亿1.82%2.02亿17.77%2.01亿17.77%2.01亿26.98%2.04亿154.46%2.3亿108.46%1.99亿65.89%1.7亿65.89%1.7亿50.41%1.61亿
-长期租赁负债 -35.01%247.8万-23.61%292.2万-18.89%335万-18.89%335万-21.58%347.1万-18.96%381.3万-22.62%382.5万28.10%413万28.10%413万--442.6万
递延负债 359.00%438.8万348.01%428.3万270.29%354万270.29%354万0.00%95.6万9.13%95.6万-17.59%95.6万--95.6万--95.6万20.10%95.6万
衍生品负债 203.00%1.74亿10,396.15%2,456.1万35,106.41%2,746.1万35,106.41%2,746.1万16,654.74%2,295.4万64,349.44%5,736万-34.82%23.4万-91.58%7.8万-91.58%7.8万-91.62%13.7万
可转换优先证券 --4,011.7万------------------------------------
其他非流动负债 -97.74%8.6万-55.93%160.4万-55.73%154.4万-55.73%154.4万-53.21%148.5万4,534.15%380万18,100.00%364万20,417.65%348.8万20,417.65%348.8万--317.4万
非流动负债总额 25.61%3.71亿13.74%2.38亿32.14%2.36亿32.14%2.36亿37.81%2.36亿207.92%2.95亿102.98%2.1亿67.51%1.79亿67.51%1.79亿54.35%1.71亿
总负债 29.87%4.4亿10.18%3.03亿24.13%2.97亿24.13%2.97亿24.51%2.82亿117.58%3.38亿100.85%2.75亿75.16%2.39亿75.16%2.39亿72.28%2.27亿
所有者权益
股本 64.29%2.3万120.00%2.2万133.33%2.1万133.33%2.1万100.00%1.6万133.33%1.4万100.00%1万80.00%9,00080.00%9,00060.00%8,000
-普通股股本 64.29%2.3万120.00%2.2万133.33%2.1万133.33%2.1万100.00%1.6万133.33%1.4万100.00%1万80.00%9,00080.00%9,00060.00%8,000
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 -11.91%-9.51亿-28.50%-9.23亿-35.51%-8.76亿-35.51%-8.76亿-41.53%-8.35亿-63.69%-8.5亿-55.29%-7.18亿-55.17%-6.46亿-55.17%-6.46亿-52.81%-5.9亿
资本公积 22.56%7.6亿42.88%7.75亿48.95%7.65亿48.95%7.65亿40.87%7.06亿34.44%6.2亿19.96%5.42亿14.40%5.14亿14.40%5.14亿12.83%5.01亿
不影响留存收益的损益 -66.67%3,000-71.43%2,00016.67%7,00016.67%7,000-25.00%3,00080.00%9,000--7,000--6,000--6,000--4,000
股东权益总额 16.87%-1.91亿15.90%-1.48亿16.51%-1.11亿16.51%-1.11亿-45.27%-1.28亿-296.93%-2.3亿-1,618.17%-1.76亿-509.01%-1.33亿-509.01%-1.33亿-251.21%-8,833.9万
总权益 16.87%-1.91亿15.90%-1.48亿16.51%-1.11亿16.51%-1.11亿-45.27%-1.28亿-296.93%-2.3亿-1,618.17%-1.76亿-509.01%-1.33亿-509.01%-1.33亿-251.21%-8,833.9万
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 --------------带解释段的无保留意见----

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