美股市场个股详情

FTFT 富册金融科技

添加自选
  • 0.3470
  • -0.0288-7.66%
收盘价 10/01 16:00 (美东)
  • 0.3463
  • -0.0007-0.20%
盘后 19:40 (美东)
705.77万总市值-151市盈率TTM

富册金融科技关键统计数据

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
-71.43%982.47万
-14.14%1,488.65万
-26.12%1,999.13万
-26.12%1,999.13万
-0.80%3,366.24万
-20.57%3,438.91万
-68.72%1,733.86万
-48.42%2,705.94万
-48.42%2,705.94万
-35.94%3,393.39万
-现金和现金等价物
-70.52%982.47万
-7.89%1,488.65万
-27.00%1,903.23万
-27.00%1,903.23万
-0.78%3,270.77万
-20.71%3,332.71万
-69.87%1,616.17万
-48.14%2,607.13万
-48.14%2,607.13万
-37.77%3,296.47万
-短期投资
--0
--0
-2.94%95.9万
-2.94%95.9万
-1.50%95.47万
-15.95%106.2万
-34.59%117.69万
-54.91%98.81万
-54.91%98.81万
--96.93万
应收款项
55.54%2,086.69万
-29.84%2,033.8万
3.44%3,066.14万
3.44%3,066.14万
-41.29%1,408.95万
-22.61%1,341.58万
86.76%2,899万
71.06%2,964.26万
71.06%2,964.26万
33.93%2,399.93万
-应收账款
114.08%303.11万
-41.40%184.88万
-50.91%325.18万
-50.91%325.18万
25.05%181.69万
2.59%141.59万
-59.64%315.51万
-16.55%662.47万
-16.55%662.47万
-84.61%145.3万
-应收贷款
202.38%1,485.14万
-21.83%1,488.28万
-22.25%1,489.51万
-22.25%1,489.51万
-74.74%492.48万
-57.61%491.15万
280.78%1,903.92万
219.29%1,915.75万
219.29%1,915.75万
209.06%1,949.67万
-应收票据
--64.55万
--64.83万
----
----
----
----
----
----
----
----
-应收关联方款项
-23.60%4.24万
-13.19%8.68万
-77.13%1.22万
-77.13%1.22万
597.70%5.1万
171.81%5.55万
-67.13%10万
-79.68%5.31万
-79.68%5.31万
-97.94%7,307
-其他应收款
-67.35%229.65万
-57.12%287.11万
228.38%1,250.24万
228.38%1,250.24万
139.84%729.67万
121.61%703.28万
178.93%669.56万
21.68%380.72万
21.68%380.72万
67.60%304.23万
预付费用
2.23%1,942.74万
23.62%1,708.67万
-27.77%277.32万
-27.77%277.32万
-79.74%163.29万
242.25%1,900.42万
602.26%1,382.23万
43.11%383.92万
43.11%383.92万
--805.83万
受限制现金
----
----
--0
--0
--69.64万
--345.98万
--363.81万
--358.96万
--358.96万
----
其他流动资产
17.09%109.11万
-7.04%130.47万
28.09%106.45万
28.09%106.45万
55.92%57.92万
245.30%93.18万
254.79%140.35万
239.22%83.11万
239.22%83.11万
-93.44%37.15万
流动资产合计
-28.08%5,120.99万
-17.76%5,361.59万
-16.50%5,449.05万
-16.50%5,449.05万
-23.66%5,066.04万
7.15%7,120.06万
-11.09%6,519.25万
-10.26%6,525.85万
-10.26%6,525.85万
-13.33%6,636.3万
非流动资产
固定资产净额
10.69%582.63万
6.20%572万
11.32%586.13万
11.32%586.13万
48.30%543.04万
77.18%526.36万
68.25%538.62万
60.71%526.51万
60.71%526.51万
366.79%366.18万
-固定资产
13.79%648.52万
13.21%650.42万
18.68%658.37万
18.68%658.37万
52.34%592.7万
80.28%569.92万
71.40%574.54万
64.05%554.76万
64.05%554.76万
395.98%389.08万
-累计折旧
-51.24%-65.88万
-118.37%-78.43万
-155.69%-72.24万
-155.69%-72.24万
-116.87%-49.66万
-128.68%-43.56万
-138.47%-35.91万
-167.72%-28.25万
-167.72%-28.25万
---22.9万
商誉及其他无形资产
-96.12%56.06万
-96.03%57.45万
-95.94%58.9万
-95.94%58.9万
-11.82%1,445.14万
-11.32%1,446.56万
-10.85%1,447.99万
-7.44%1,449.42万
-7.44%1,449.42万
-2.25%1,638.81万
-商誉
----
----
--0
--0
-11.17%1,397.61万
-10.94%1,397.61万
-10.45%1,397.61万
-10.32%1,397.61万
-10.32%1,397.61万
-5.94%1,573.44万
-其他无形资产
14.51%56.06万
14.04%57.45万
13.69%58.9万
13.69%58.9万
-27.30%47.53万
-20.86%48.96万
-20.66%50.38万
580.42%51.81万
580.42%51.81万
1,633.09%65.38万
投资和预付款
--70.16万
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----
----
----
----
----
----
----
----
关联方资产
-23.60%4.24万
-13.19%8.68万
-77.13%1.22万
-77.13%1.22万
597.70%5.1万
171.81%5.55万
-67.13%10万
-79.68%5.31万
-79.68%5.31万
-97.94%7,307
非流动资产合计
-64.07%708.85万
-68.32%629.45万
-67.36%645.03万
-67.36%645.03万
-0.84%1,988.18万
2.32%1,972.92万
2.18%1,986.61万
4.35%1,975.92万
4.35%1,975.92万
14.24%2,004.99万
总资产
-35.89%5,829.84万
-29.57%5,991.05万
-28.32%6,094.08万
-28.32%6,094.08万
-18.37%7,054.22万
6.06%9,092.98万
-8.31%8,505.87万
-7.24%8,501.77万
-7.24%8,501.77万
-8.19%8,641.29万
负债
流动负债
应付款项
408.31%316.66万
49.20%279.2万
-0.37%382.51万
-0.37%382.51万
115.11%58.76万
133.13%62.3万
109.80%187.13万
263.48%383.93万
263.48%383.93万
-84.70%27.32万
-应付账款
-92.57%2.81万
-92.63%11.83万
-79.69%72.8万
-79.69%72.8万
861.37%33.42万
1,226.59%37.86万
2,032,020.25%160.54万
--358.49万
--358.49万
-97.13%3.48万
-应付股利
----
----
----
----
----
----
----
----
----
--0
-应付关联方款项
30.96%29.65万
129.66%54.68万
114.24%50.5万
114.24%50.5万
-1.28%23.54万
-5.16%22.64万
-73.31%23.81万
-76.25%23.57万
-76.25%23.57万
-58.49%23.84万
-其他应付款
15,703.74%284.2万
7,530.54%212.7万
13,793.18%259.21万
13,793.18%259.21万
--1.81万
--1.8万
--2.79万
23,516.46%1.87万
23,516.46%1.87万
----
应计费用
-25.13%219.38万
66.68%259.1万
48.06%312.22万
48.06%312.22万
61.11%249.12万
125.01%293.02万
73.93%155.45万
62.39%210.88万
62.39%210.88万
401.98%154.63万
现行拨备
--1,059.84万
--1,059.84万
--887.53万
--887.53万
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短期借款与租赁负债
-58.93%154.31万
-61.79%150.48万
-58.82%159.95万
-58.82%159.95万
-66.78%98.62万
23,885.93%375.74万
-16.43%393.8万
242.96%388.45万
242.96%388.45万
766.05%296.87万
-短期借款
-66.92%114.46万
-69.14%112.27万
-69.34%110.07万
-69.34%110.07万
-75.28%69.64万
--345.98万
-21.71%363.81万
252.09%358.96万
252.09%358.96万
1,422.44%281.7万
-短期租赁负债
33.93%39.85万
27.42%38.22万
69.10%49.87万
69.10%49.87万
91.03%28.98万
1,799.59%29.76万
358.38%29.99万
160.64%29.49万
160.64%29.49万
-3.84%15.17万
递延负债
-98.96%22.93万
-99.59%5.35万
-96.45%30.63万
-96.45%30.63万
6.75%745.34万
310.20%2,210.25万
247.15%1,299.44万
130.39%862.39万
130.39%862.39万
245,412.87%698.24万
其他流动负债
----
----
----
----
----
----
----
--11.46万
--11.46万
----
流动负债总额
-39.72%1,773.12万
-13.84%1,753.98万
-4.54%1,772.84万
-4.54%1,772.84万
-2.14%1,151.84万
321.79%2,941.3万
98.79%2,035.82万
156.84%1,857.11万
156.84%1,857.11万
242.57%1,177.05万
非流动负债
长期借款与租赁负债
45.74%85.5万
10.17%74.63万
4.78%79.73万
4.78%79.73万
222.57%51.32万
228.12%58.67万
258.35%67.74万
304.30%76.1万
304.30%76.1万
--15.91万
-长期租赁负债
45.74%85.5万
10.17%74.63万
4.78%79.73万
4.78%79.73万
222.57%51.32万
--58.67万
--67.74万
--76.1万
--76.1万
--15.91万
递延负债
----
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----
----
----
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-47.94%364.79万
非流动负债总额
45.74%85.5万
10.17%74.63万
4.78%79.73万
4.78%79.73万
-86.52%51.32万
-84.30%58.67万
-81.49%67.74万
-78.70%76.1万
-78.70%76.1万
-45.67%380.7万
总负债
-38.05%1,858.63万
-13.07%1,828.6万
-4.17%1,852.57万
-4.17%1,852.57万
-22.76%1,203.16万
180.11%2,999.97万
51.33%2,103.56万
78.95%1,933.21万
78.95%1,933.21万
49.16%1,557.75万
所有者权益
股本
36.45%2万
36.45%2万
21.77%1.78万
21.77%1.78万
-79.97%1.46万
-79.10%1.46万
-79.10%1.46万
4.35%1.46万
4.35%1.46万
4.35%7.31万
-普通股股本
36.45%2万
36.45%2万
21.77%1.78万
21.77%1.78万
-79.97%1.46万
-79.10%1.46万
-79.10%1.46万
4.35%1.46万
4.35%1.46万
4.35%7.31万
留存收益
-22.51%-1.91亿
-22.53%-1.89亿
-22.10%-1.86亿
-22.10%-1.86亿
-7.87%-1.58亿
-8.85%-1.56亿
-9.44%-1.54亿
-9.86%-1.52亿
-9.86%-1.52亿
-8.01%-1.47亿
资本公积
6.16%2.36亿
6.16%2.36亿
5.00%2.34亿
5.00%2.34亿
0.03%2.23亿
0.60%2.23亿
0.60%2.23亿
0.98%2.23亿
0.98%2.23亿
0.98%2.23亿
不影响留存收益的损益
7.52%-415.68万
-37.55%-404.35万
-13.37%-399.59万
-13.37%-399.59万
-9.99%-446.47万
-102.08%-449.49万
-308.81%-293.97万
-557.00%-352.46万
-557.00%-352.46万
-415.67%-405.92万
股东权益总额
-33.73%4,131.48万
-33.94%4,318.91万
-34.32%4,398.33万
-34.32%4,398.33万
-16.63%5,996.84万
-17.98%6,234.65万
-17.91%6,537.37万
-17.78%6,696.52万
-17.78%6,696.52万
-14.28%7,193.01万
非控制性权益
-13.15%-160.27万
-15.85%-156.46万
-22.56%-156.82万
-22.56%-156.82万
-33.17%-145.78万
-42.74%-141.64万
-76.32%-135.06万
-116.60%-127.96万
-116.60%-127.96万
-372.96%-109.47万
总权益
-34.82%3,971.22万
-34.99%4,162.44万
-35.43%4,241.5万
-35.43%4,241.5万
-17.40%5,851.06万
-18.79%6,093.01万
-18.82%6,402.31万
-18.76%6,568.56万
-18.76%6,568.56万
-15.35%7,083.54万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
审计意见
--
--
带解释段的无保留意见
--
--
--
--
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 -71.43%982.47万-14.14%1,488.65万-26.12%1,999.13万-26.12%1,999.13万-0.80%3,366.24万-20.57%3,438.91万-68.72%1,733.86万-48.42%2,705.94万-48.42%2,705.94万-35.94%3,393.39万
-现金和现金等价物 -70.52%982.47万-7.89%1,488.65万-27.00%1,903.23万-27.00%1,903.23万-0.78%3,270.77万-20.71%3,332.71万-69.87%1,616.17万-48.14%2,607.13万-48.14%2,607.13万-37.77%3,296.47万
-短期投资 --0--0-2.94%95.9万-2.94%95.9万-1.50%95.47万-15.95%106.2万-34.59%117.69万-54.91%98.81万-54.91%98.81万--96.93万
应收款项 55.54%2,086.69万-29.84%2,033.8万3.44%3,066.14万3.44%3,066.14万-41.29%1,408.95万-22.61%1,341.58万86.76%2,899万71.06%2,964.26万71.06%2,964.26万33.93%2,399.93万
-应收账款 114.08%303.11万-41.40%184.88万-50.91%325.18万-50.91%325.18万25.05%181.69万2.59%141.59万-59.64%315.51万-16.55%662.47万-16.55%662.47万-84.61%145.3万
-应收贷款 202.38%1,485.14万-21.83%1,488.28万-22.25%1,489.51万-22.25%1,489.51万-74.74%492.48万-57.61%491.15万280.78%1,903.92万219.29%1,915.75万219.29%1,915.75万209.06%1,949.67万
-应收票据 --64.55万--64.83万--------------------------------
-应收关联方款项 -23.60%4.24万-13.19%8.68万-77.13%1.22万-77.13%1.22万597.70%5.1万171.81%5.55万-67.13%10万-79.68%5.31万-79.68%5.31万-97.94%7,307
-其他应收款 -67.35%229.65万-57.12%287.11万228.38%1,250.24万228.38%1,250.24万139.84%729.67万121.61%703.28万178.93%669.56万21.68%380.72万21.68%380.72万67.60%304.23万
预付费用 2.23%1,942.74万23.62%1,708.67万-27.77%277.32万-27.77%277.32万-79.74%163.29万242.25%1,900.42万602.26%1,382.23万43.11%383.92万43.11%383.92万--805.83万
受限制现金 ----------0--0--69.64万--345.98万--363.81万--358.96万--358.96万----
其他流动资产 17.09%109.11万-7.04%130.47万28.09%106.45万28.09%106.45万55.92%57.92万245.30%93.18万254.79%140.35万239.22%83.11万239.22%83.11万-93.44%37.15万
流动资产合计 -28.08%5,120.99万-17.76%5,361.59万-16.50%5,449.05万-16.50%5,449.05万-23.66%5,066.04万7.15%7,120.06万-11.09%6,519.25万-10.26%6,525.85万-10.26%6,525.85万-13.33%6,636.3万
非流动资产
固定资产净额 10.69%582.63万6.20%572万11.32%586.13万11.32%586.13万48.30%543.04万77.18%526.36万68.25%538.62万60.71%526.51万60.71%526.51万366.79%366.18万
-固定资产 13.79%648.52万13.21%650.42万18.68%658.37万18.68%658.37万52.34%592.7万80.28%569.92万71.40%574.54万64.05%554.76万64.05%554.76万395.98%389.08万
-累计折旧 -51.24%-65.88万-118.37%-78.43万-155.69%-72.24万-155.69%-72.24万-116.87%-49.66万-128.68%-43.56万-138.47%-35.91万-167.72%-28.25万-167.72%-28.25万---22.9万
商誉及其他无形资产 -96.12%56.06万-96.03%57.45万-95.94%58.9万-95.94%58.9万-11.82%1,445.14万-11.32%1,446.56万-10.85%1,447.99万-7.44%1,449.42万-7.44%1,449.42万-2.25%1,638.81万
-商誉 ----------0--0-11.17%1,397.61万-10.94%1,397.61万-10.45%1,397.61万-10.32%1,397.61万-10.32%1,397.61万-5.94%1,573.44万
-其他无形资产 14.51%56.06万14.04%57.45万13.69%58.9万13.69%58.9万-27.30%47.53万-20.86%48.96万-20.66%50.38万580.42%51.81万580.42%51.81万1,633.09%65.38万
投资和预付款 --70.16万------------------------------------
关联方资产 -23.60%4.24万-13.19%8.68万-77.13%1.22万-77.13%1.22万597.70%5.1万171.81%5.55万-67.13%10万-79.68%5.31万-79.68%5.31万-97.94%7,307
非流动资产合计 -64.07%708.85万-68.32%629.45万-67.36%645.03万-67.36%645.03万-0.84%1,988.18万2.32%1,972.92万2.18%1,986.61万4.35%1,975.92万4.35%1,975.92万14.24%2,004.99万
总资产 -35.89%5,829.84万-29.57%5,991.05万-28.32%6,094.08万-28.32%6,094.08万-18.37%7,054.22万6.06%9,092.98万-8.31%8,505.87万-7.24%8,501.77万-7.24%8,501.77万-8.19%8,641.29万
负债
流动负债
应付款项 408.31%316.66万49.20%279.2万-0.37%382.51万-0.37%382.51万115.11%58.76万133.13%62.3万109.80%187.13万263.48%383.93万263.48%383.93万-84.70%27.32万
-应付账款 -92.57%2.81万-92.63%11.83万-79.69%72.8万-79.69%72.8万861.37%33.42万1,226.59%37.86万2,032,020.25%160.54万--358.49万--358.49万-97.13%3.48万
-应付股利 --------------------------------------0
-应付关联方款项 30.96%29.65万129.66%54.68万114.24%50.5万114.24%50.5万-1.28%23.54万-5.16%22.64万-73.31%23.81万-76.25%23.57万-76.25%23.57万-58.49%23.84万
-其他应付款 15,703.74%284.2万7,530.54%212.7万13,793.18%259.21万13,793.18%259.21万--1.81万--1.8万--2.79万23,516.46%1.87万23,516.46%1.87万----
应计费用 -25.13%219.38万66.68%259.1万48.06%312.22万48.06%312.22万61.11%249.12万125.01%293.02万73.93%155.45万62.39%210.88万62.39%210.88万401.98%154.63万
现行拨备 --1,059.84万--1,059.84万--887.53万--887.53万------------------------
短期借款与租赁负债 -58.93%154.31万-61.79%150.48万-58.82%159.95万-58.82%159.95万-66.78%98.62万23,885.93%375.74万-16.43%393.8万242.96%388.45万242.96%388.45万766.05%296.87万
-短期借款 -66.92%114.46万-69.14%112.27万-69.34%110.07万-69.34%110.07万-75.28%69.64万--345.98万-21.71%363.81万252.09%358.96万252.09%358.96万1,422.44%281.7万
-短期租赁负债 33.93%39.85万27.42%38.22万69.10%49.87万69.10%49.87万91.03%28.98万1,799.59%29.76万358.38%29.99万160.64%29.49万160.64%29.49万-3.84%15.17万
递延负债 -98.96%22.93万-99.59%5.35万-96.45%30.63万-96.45%30.63万6.75%745.34万310.20%2,210.25万247.15%1,299.44万130.39%862.39万130.39%862.39万245,412.87%698.24万
其他流动负债 ------------------------------11.46万--11.46万----
流动负债总额 -39.72%1,773.12万-13.84%1,753.98万-4.54%1,772.84万-4.54%1,772.84万-2.14%1,151.84万321.79%2,941.3万98.79%2,035.82万156.84%1,857.11万156.84%1,857.11万242.57%1,177.05万
非流动负债
长期借款与租赁负债 45.74%85.5万10.17%74.63万4.78%79.73万4.78%79.73万222.57%51.32万228.12%58.67万258.35%67.74万304.30%76.1万304.30%76.1万--15.91万
-长期租赁负债 45.74%85.5万10.17%74.63万4.78%79.73万4.78%79.73万222.57%51.32万--58.67万--67.74万--76.1万--76.1万--15.91万
递延负债 -------------------------------------47.94%364.79万
非流动负债总额 45.74%85.5万10.17%74.63万4.78%79.73万4.78%79.73万-86.52%51.32万-84.30%58.67万-81.49%67.74万-78.70%76.1万-78.70%76.1万-45.67%380.7万
总负债 -38.05%1,858.63万-13.07%1,828.6万-4.17%1,852.57万-4.17%1,852.57万-22.76%1,203.16万180.11%2,999.97万51.33%2,103.56万78.95%1,933.21万78.95%1,933.21万49.16%1,557.75万
所有者权益
股本 36.45%2万36.45%2万21.77%1.78万21.77%1.78万-79.97%1.46万-79.10%1.46万-79.10%1.46万4.35%1.46万4.35%1.46万4.35%7.31万
-普通股股本 36.45%2万36.45%2万21.77%1.78万21.77%1.78万-79.97%1.46万-79.10%1.46万-79.10%1.46万4.35%1.46万4.35%1.46万4.35%7.31万
留存收益 -22.51%-1.91亿-22.53%-1.89亿-22.10%-1.86亿-22.10%-1.86亿-7.87%-1.58亿-8.85%-1.56亿-9.44%-1.54亿-9.86%-1.52亿-9.86%-1.52亿-8.01%-1.47亿
资本公积 6.16%2.36亿6.16%2.36亿5.00%2.34亿5.00%2.34亿0.03%2.23亿0.60%2.23亿0.60%2.23亿0.98%2.23亿0.98%2.23亿0.98%2.23亿
不影响留存收益的损益 7.52%-415.68万-37.55%-404.35万-13.37%-399.59万-13.37%-399.59万-9.99%-446.47万-102.08%-449.49万-308.81%-293.97万-557.00%-352.46万-557.00%-352.46万-415.67%-405.92万
股东权益总额 -33.73%4,131.48万-33.94%4,318.91万-34.32%4,398.33万-34.32%4,398.33万-16.63%5,996.84万-17.98%6,234.65万-17.91%6,537.37万-17.78%6,696.52万-17.78%6,696.52万-14.28%7,193.01万
非控制性权益 -13.15%-160.27万-15.85%-156.46万-22.56%-156.82万-22.56%-156.82万-33.17%-145.78万-42.74%-141.64万-76.32%-135.06万-116.60%-127.96万-116.60%-127.96万-372.96%-109.47万
总权益 -34.82%3,971.22万-34.99%4,162.44万-35.43%4,241.5万-35.43%4,241.5万-17.40%5,851.06万-18.79%6,093.01万-18.82%6,402.31万-18.76%6,568.56万-18.76%6,568.56万-15.35%7,083.54万
货币单位 美元美元美元美元美元美元美元美元美元美元
审计意见 ----带解释段的无保留意见--------带解释段的无保留意见----

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