美股市场个股详情

Flux Power (FLUX)

添加自选
  • 1.330
  • +0.030+2.31%
收盘价 05/06 16:00 (美东)
  • 1.320
  • -0.010-0.75%
盘前 04:01 (美东)
2838.24万总市值-4.43市盈率TTM

Flux Power (FLUX) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2025/12/31
(Q1)2025/09/30
(FY)2025/06/30
(Q4)2025/06/30
(Q3)2025/03/31
(Q2)2024/12/31
(Q1)2024/09/30
(FY)2024/06/30
(Q4)2024/06/30
(Q3)2024/03/31
资产
流动资产
现金及现金等价物和短期投资
5.10%92.8万
184.08%158.8万
107.47%133.4万
107.47%133.4万
-59.60%50.5万
-44.26%88.3万
-50.92%55.9万
-72.97%64.3万
-72.97%64.3万
58.23%125万
-现金和现金等价物
5.10%92.8万
184.08%158.8万
107.47%133.4万
107.47%133.4万
-59.60%50.5万
-44.26%88.3万
-50.92%55.9万
-72.97%64.3万
-72.97%64.3万
58.23%125万
应收款项
0.52%850.6万
-24.64%749.7万
31.59%1,286万
31.59%1,286万
-5.35%984.7万
-32.73%846.2万
-7.02%994.8万
11.06%977.3万
11.06%977.3万
5.59%1,040.4万
-应收账款
0.52%850.6万
-24.64%749.7万
16.38%1,137.4万
16.38%1,137.4万
-5.35%984.7万
-32.73%846.2万
-7.02%994.8万
11.06%977.3万
11.06%977.3万
5.59%1,040.4万
-其他应收款
----
----
--148.6万
--148.6万
----
----
----
----
----
----
存货
2.49%1,570.5万
2.50%1,572.6万
1.50%1,723.1万
1.50%1,723.1万
-18.54%1,643.3万
-16.19%1,532.3万
-21.30%1,534.2万
5.07%1,697.7万
5.07%1,697.7万
-3.75%2,017.4万
预付费用
----
----
-79.83%12.1万
-79.83%12.1万
----
----
----
-22.58%60万
-22.58%60万
----
其他流动资产
196.66%248.6万
114.39%214.6万
-25.22%25.8万
-25.22%25.8万
-33.10%56.2万
-11.04%83.8万
-4.94%100.1万
141.26%34.5万
141.26%34.5万
8.39%84万
流动资产合计
8.31%2,762.5万
0.40%2,695.7万
12.23%3,180.4万
12.23%3,180.4万
-16.29%2,734.7万
-23.61%2,550.6万
-17.09%2,685万
0.29%2,833.8万
0.29%2,833.8万
0.90%3,266.8万
非流动资产
固定资产净额
-28.28%239.2万
-27.57%263万
-26.42%282.9万
-26.42%282.9万
-22.42%310万
-19.87%333.5万
-17.79%363.1万
-17.19%384.5万
-17.19%384.5万
-16.03%399.6万
-固定资产
-28.28%239.2万
-27.57%263万
-2.52%649.8万
-2.52%649.8万
-22.42%310万
-19.87%333.5万
-17.79%363.1万
1.41%666.6万
1.41%666.6万
-16.03%399.6万
-累计折旧
----
----
-30.06%-366.9万
-30.06%-366.9万
----
----
----
-46.17%-282.1万
-46.17%-282.1万
----
其他非流动资产
-19.49%9.5万
-8.47%10.8万
0.85%11.9万
0.85%11.9万
0.85%11.9万
-0.84%11.8万
-0.84%11.8万
-1.67%11.8万
-1.67%11.8万
-0.84%11.8万
非流动资产合计
-27.98%248.7万
-26.97%273.8万
-25.61%294.8万
-25.61%294.8万
-21.75%321.9万
-19.34%345.3万
-17.35%374.9万
-16.80%396.3万
-16.80%396.3万
-15.66%411.4万
总资产
3.98%3,011.2万
-2.95%2,969.5万
7.59%3,475.2万
7.59%3,475.2万
-16.90%3,056.6万
-23.12%2,895.9万
-17.13%3,059.9万
-2.17%3,230.1万
-2.17%3,230.1万
-1.27%3,678.2万
负债
流动负债
应付款项
-21.79%1,019.4万
22.51%1,373.9万
43.00%1,629.5万
43.00%1,629.5万
33.43%1,474.4万
30.07%1,303.4万
11.43%1,121.5万
15.43%1,139.5万
15.43%1,139.5万
2.06%1,105万
-应付账款
-21.79%1,019.4万
22.51%1,373.9万
43.00%1,629.5万
43.00%1,629.5万
33.43%1,474.4万
30.07%1,303.4万
11.43%1,121.5万
15.43%1,139.5万
15.43%1,139.5万
2.06%1,105万
应计费用
72.52%306.4万
144.80%432.8万
279.79%392.7万
279.79%392.7万
62.34%257.8万
21.06%177.6万
-18.07%176.8万
-34.68%103.4万
-34.68%103.4万
5.10%158.8万
现行拨备
-13.94%299.5万
1.05%325.9万
11.90%337.7万
11.90%337.7万
50.52%330.1万
78.19%348万
86.85%322.5万
88.63%301.8万
88.63%301.8万
100.09%219.3万
短期借款与租赁负债
-51.16%567.6万
-23.52%1,067.6万
5.42%1,552.2万
5.42%1,552.2万
-10.95%1,292.1万
-19.37%1,162.2万
9.05%1,395.9万
37.62%1,472.4万
37.62%1,472.4万
29.01%1,451万
-短期借款
-55.67%474万
-23.82%993.5万
5.73%1,462.7万
5.73%1,462.7万
-12.03%1,200.4万
-21.23%1,069.3万
8.80%1,304.1万
39.57%1,383.4万
39.57%1,383.4万
30.06%1,364.5万
-短期租赁负债
0.75%93.6万
-19.28%74.1万
0.56%89.5万
0.56%89.5万
6.01%91.7万
10.73%92.9万
12.78%91.8万
13.09%89万
13.09%89万
14.42%86.5万
递延负债
-76.06%19.7万
-54.50%16.7万
-1.19%49.7万
-1.19%49.7万
79.22%64.7万
51.85%82.3万
3.97%36.7万
136.15%50.3万
136.15%50.3万
167.41%36.1万
流动负债总额
-28.01%2,212.6万
5.35%3,216.9万
29.16%3,961.8万
29.16%3,961.8万
15.11%3,419.1万
8.23%3,073.5万
12.66%3,053.4万
27.98%3,067.4万
27.98%3,067.4万
19.69%2,970.2万
非流动负债
长期借款与租赁负债
-86.78%12.7万
-29.09%84.6万
-62.46%53.8万
-62.46%53.8万
-55.11%74.7万
-49.13%96.1万
-43.43%119.3万
-38.45%143.3万
-38.45%143.3万
-34.33%166.4万
-长期租赁负债
-86.78%12.7万
-29.09%84.6万
-62.46%53.8万
-62.46%53.8万
-55.11%74.7万
-49.13%96.1万
-43.43%119.3万
-38.45%143.3万
-38.45%143.3万
-34.33%166.4万
递延负债
--32.3万
----
----
----
----
----
----
----
----
----
非流动负债总额
-53.17%45万
-29.09%84.6万
-62.46%53.8万
-62.46%53.8万
-55.11%74.7万
-49.13%96.1万
-43.43%119.3万
-38.45%143.3万
-38.45%143.3万
-34.33%166.4万
总负债
-28.77%2,257.6万
4.06%3,301.5万
25.07%4,015.6万
25.07%4,015.6万
11.39%3,493.8万
4.66%3,169.6万
8.61%3,172.7万
22.10%3,210.7万
22.10%3,210.7万
14.68%3,136.6万
所有者权益
股本
23.53%2.1万
0.00%1.7万
0.00%1.7万
0.00%1.7万
0.00%1.7万
0.00%1.7万
6.25%1.7万
6.25%1.7万
6.25%1.7万
6.25%1.7万
-普通股股本
23.53%2.1万
0.00%1.7万
0.00%1.7万
0.00%1.7万
0.00%1.7万
0.00%1.7万
6.25%1.7万
6.25%1.7万
6.25%1.7万
6.25%1.7万
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
-4.92%-1.08亿
-7.46%-1.09亿
-6.69%-1.06亿
-6.69%-1.06亿
-11.78%-1.05亿
-12.88%-1.03亿
-11.82%-1.01亿
-9.12%-9,971.2万
-9.12%-9,971.2万
-8.09%-9,412.1万
资本公积
15.27%1.16亿
5.36%1.06亿
1.08%1.01亿
1.08%1.01亿
1.30%1.01亿
1.69%1.01亿
1.91%1亿
1.84%9,988.9万
1.84%9,988.9万
2.63%9,952万
股东权益总额
375.34%753.6万
-194.33%-332万
-2,885.57%-540.4万
-2,885.57%-540.4万
-180.72%-437.2万
-137.07%-273.7万
-114.63%-112.8万
-97.11%19.4万
-97.11%19.4万
-45.32%541.6万
总权益
375.34%753.6万
-194.33%-332万
-2,885.57%-540.4万
-2,885.57%-540.4万
-180.72%-437.2万
-137.07%-273.7万
-114.63%-112.8万
-97.11%19.4万
-97.11%19.4万
-45.32%541.6万
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
--
--
--
--
无保留意见
--
--
(Q2)2025/12/31(Q1)2025/09/30(FY)2025/06/30(Q4)2025/06/30(Q3)2025/03/31(Q2)2024/12/31(Q1)2024/09/30(FY)2024/06/30(Q4)2024/06/30(Q3)2024/03/31
资产
流动资产
现金及现金等价物和短期投资 5.10%92.8万184.08%158.8万107.47%133.4万107.47%133.4万-59.60%50.5万-44.26%88.3万-50.92%55.9万-72.97%64.3万-72.97%64.3万58.23%125万
-现金和现金等价物 5.10%92.8万184.08%158.8万107.47%133.4万107.47%133.4万-59.60%50.5万-44.26%88.3万-50.92%55.9万-72.97%64.3万-72.97%64.3万58.23%125万
应收款项 0.52%850.6万-24.64%749.7万31.59%1,286万31.59%1,286万-5.35%984.7万-32.73%846.2万-7.02%994.8万11.06%977.3万11.06%977.3万5.59%1,040.4万
-应收账款 0.52%850.6万-24.64%749.7万16.38%1,137.4万16.38%1,137.4万-5.35%984.7万-32.73%846.2万-7.02%994.8万11.06%977.3万11.06%977.3万5.59%1,040.4万
-其他应收款 ----------148.6万--148.6万------------------------
存货 2.49%1,570.5万2.50%1,572.6万1.50%1,723.1万1.50%1,723.1万-18.54%1,643.3万-16.19%1,532.3万-21.30%1,534.2万5.07%1,697.7万5.07%1,697.7万-3.75%2,017.4万
预付费用 ---------79.83%12.1万-79.83%12.1万-------------22.58%60万-22.58%60万----
其他流动资产 196.66%248.6万114.39%214.6万-25.22%25.8万-25.22%25.8万-33.10%56.2万-11.04%83.8万-4.94%100.1万141.26%34.5万141.26%34.5万8.39%84万
流动资产合计 8.31%2,762.5万0.40%2,695.7万12.23%3,180.4万12.23%3,180.4万-16.29%2,734.7万-23.61%2,550.6万-17.09%2,685万0.29%2,833.8万0.29%2,833.8万0.90%3,266.8万
非流动资产
固定资产净额 -28.28%239.2万-27.57%263万-26.42%282.9万-26.42%282.9万-22.42%310万-19.87%333.5万-17.79%363.1万-17.19%384.5万-17.19%384.5万-16.03%399.6万
-固定资产 -28.28%239.2万-27.57%263万-2.52%649.8万-2.52%649.8万-22.42%310万-19.87%333.5万-17.79%363.1万1.41%666.6万1.41%666.6万-16.03%399.6万
-累计折旧 ---------30.06%-366.9万-30.06%-366.9万-------------46.17%-282.1万-46.17%-282.1万----
其他非流动资产 -19.49%9.5万-8.47%10.8万0.85%11.9万0.85%11.9万0.85%11.9万-0.84%11.8万-0.84%11.8万-1.67%11.8万-1.67%11.8万-0.84%11.8万
非流动资产合计 -27.98%248.7万-26.97%273.8万-25.61%294.8万-25.61%294.8万-21.75%321.9万-19.34%345.3万-17.35%374.9万-16.80%396.3万-16.80%396.3万-15.66%411.4万
总资产 3.98%3,011.2万-2.95%2,969.5万7.59%3,475.2万7.59%3,475.2万-16.90%3,056.6万-23.12%2,895.9万-17.13%3,059.9万-2.17%3,230.1万-2.17%3,230.1万-1.27%3,678.2万
负债
流动负债
应付款项 -21.79%1,019.4万22.51%1,373.9万43.00%1,629.5万43.00%1,629.5万33.43%1,474.4万30.07%1,303.4万11.43%1,121.5万15.43%1,139.5万15.43%1,139.5万2.06%1,105万
-应付账款 -21.79%1,019.4万22.51%1,373.9万43.00%1,629.5万43.00%1,629.5万33.43%1,474.4万30.07%1,303.4万11.43%1,121.5万15.43%1,139.5万15.43%1,139.5万2.06%1,105万
应计费用 72.52%306.4万144.80%432.8万279.79%392.7万279.79%392.7万62.34%257.8万21.06%177.6万-18.07%176.8万-34.68%103.4万-34.68%103.4万5.10%158.8万
现行拨备 -13.94%299.5万1.05%325.9万11.90%337.7万11.90%337.7万50.52%330.1万78.19%348万86.85%322.5万88.63%301.8万88.63%301.8万100.09%219.3万
短期借款与租赁负债 -51.16%567.6万-23.52%1,067.6万5.42%1,552.2万5.42%1,552.2万-10.95%1,292.1万-19.37%1,162.2万9.05%1,395.9万37.62%1,472.4万37.62%1,472.4万29.01%1,451万
-短期借款 -55.67%474万-23.82%993.5万5.73%1,462.7万5.73%1,462.7万-12.03%1,200.4万-21.23%1,069.3万8.80%1,304.1万39.57%1,383.4万39.57%1,383.4万30.06%1,364.5万
-短期租赁负债 0.75%93.6万-19.28%74.1万0.56%89.5万0.56%89.5万6.01%91.7万10.73%92.9万12.78%91.8万13.09%89万13.09%89万14.42%86.5万
递延负债 -76.06%19.7万-54.50%16.7万-1.19%49.7万-1.19%49.7万79.22%64.7万51.85%82.3万3.97%36.7万136.15%50.3万136.15%50.3万167.41%36.1万
流动负债总额 -28.01%2,212.6万5.35%3,216.9万29.16%3,961.8万29.16%3,961.8万15.11%3,419.1万8.23%3,073.5万12.66%3,053.4万27.98%3,067.4万27.98%3,067.4万19.69%2,970.2万
非流动负债
长期借款与租赁负债 -86.78%12.7万-29.09%84.6万-62.46%53.8万-62.46%53.8万-55.11%74.7万-49.13%96.1万-43.43%119.3万-38.45%143.3万-38.45%143.3万-34.33%166.4万
-长期租赁负债 -86.78%12.7万-29.09%84.6万-62.46%53.8万-62.46%53.8万-55.11%74.7万-49.13%96.1万-43.43%119.3万-38.45%143.3万-38.45%143.3万-34.33%166.4万
递延负债 --32.3万------------------------------------
非流动负债总额 -53.17%45万-29.09%84.6万-62.46%53.8万-62.46%53.8万-55.11%74.7万-49.13%96.1万-43.43%119.3万-38.45%143.3万-38.45%143.3万-34.33%166.4万
总负债 -28.77%2,257.6万4.06%3,301.5万25.07%4,015.6万25.07%4,015.6万11.39%3,493.8万4.66%3,169.6万8.61%3,172.7万22.10%3,210.7万22.10%3,210.7万14.68%3,136.6万
所有者权益
股本 23.53%2.1万0.00%1.7万0.00%1.7万0.00%1.7万0.00%1.7万0.00%1.7万6.25%1.7万6.25%1.7万6.25%1.7万6.25%1.7万
-普通股股本 23.53%2.1万0.00%1.7万0.00%1.7万0.00%1.7万0.00%1.7万0.00%1.7万6.25%1.7万6.25%1.7万6.25%1.7万6.25%1.7万
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 -4.92%-1.08亿-7.46%-1.09亿-6.69%-1.06亿-6.69%-1.06亿-11.78%-1.05亿-12.88%-1.03亿-11.82%-1.01亿-9.12%-9,971.2万-9.12%-9,971.2万-8.09%-9,412.1万
资本公积 15.27%1.16亿5.36%1.06亿1.08%1.01亿1.08%1.01亿1.30%1.01亿1.69%1.01亿1.91%1亿1.84%9,988.9万1.84%9,988.9万2.63%9,952万
股东权益总额 375.34%753.6万-194.33%-332万-2,885.57%-540.4万-2,885.57%-540.4万-180.72%-437.2万-137.07%-273.7万-114.63%-112.8万-97.11%19.4万-97.11%19.4万-45.32%541.6万
总权益 375.34%753.6万-194.33%-332万-2,885.57%-540.4万-2,885.57%-540.4万-180.72%-437.2万-137.07%-273.7万-114.63%-112.8万-97.11%19.4万-97.11%19.4万-45.32%541.6万
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--------无保留意见----
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