美股市场个股详情

GROW 美国全球投资者

添加自选
  • 2.490
  • +0.090+3.75%
收盘价 11/06 16:00 (美东)
3406.48万总市值27.67市盈率TTM

美国全球投资者关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2024/06/30
(Q4)2024/06/30
(Q3)2024/03/31
(Q2)2023/12/31
(Q1)2023/09/30
(FY)2023/06/30
(Q4)2023/06/30
(Q3)2023/03/31
(Q2)2022/12/31
(Q1)2022/09/30
资产
流动资产
现金及现金等价物和短期投资
0.00%3,704.3万
0.00%3,704.3万
2.41%3,753.1万
6.08%3,755.8万
6.79%3,764.2万
7.52%3,704.3万
7.52%3,704.3万
11.27%3,664.8万
20.15%3,540.7万
35.34%3,525万
-现金和现金等价物
7.87%2,739.9万
7.87%2,739.9万
10.07%2,746万
17.30%2,746.6万
15.30%2,684.9万
13.83%2,540.1万
13.83%2,540.1万
-6.79%2,494.7万
1.02%2,341.6万
17.88%2,328.7万
-短期投资
-17.16%964.4万
-17.16%964.4万
-13.93%1,007.1万
-15.84%1,009.2万
-9.78%1,079.3万
-4.09%1,164.2万
-4.09%1,164.2万
89.61%1,170.1万
90.61%1,199.1万
90.16%1,196.3万
应收款项
-2.47%177.6万
-2.47%177.6万
24.54%177.6万
-7.16%160.8万
-8.49%153万
-16.47%182.1万
-16.47%182.1万
-36.23%142.6万
-26.61%173.2万
-52.69%167.2万
-应收账款
-15.90%104.7万
-15.90%104.7万
-22.61%102.7万
-4.31%137.6万
-29.63%110.9万
-30.68%124.5万
-30.68%124.5万
-38.16%132.7万
-36.06%143.8万
-39.17%157.6万
-应收税费
26.56%72.9万
26.56%72.9万
656.57%74.9万
-21.09%23.2万
338.54%42.1万
50.00%57.6万
50.00%57.6万
10.00%9.9万
164.86%29.4万
-89.82%9.6万
-应收账款调整额
--0
--0
----
----
----
--0
--0
----
----
----
预付费用
-2.35%49.8万
-2.35%49.8万
12.19%63.5万
-56.41%26.2万
8.01%33.7万
27.50%51万
27.50%51万
17.43%56.6万
30.09%60.1万
16.85%31.2万
受限制现金
0.00%100万
0.00%100万
0.00%100万
0.00%100万
0.00%100万
0.00%100万
0.00%100万
0.00%100万
0.00%100万
0.00%100万
流动资产合计
-0.14%4,031.7万
-0.14%4,031.7万
3.28%4,094.2万
4.36%4,042.8万
5.95%4,050.9万
6.16%4,037.4万
6.16%4,037.4万
8.15%3,964万
16.36%3,874万
23.95%3,823.4万
非流动资产
固定资产净额
-0.91%119.2万
-0.91%119.2万
-5.59%119.9万
-11.88%117.9万
-14.94%119.6万
-17.77%120.3万
-17.77%120.3万
-11.06%127万
-10.44%133.8万
1.15%140.6万
-固定资产
3.09%583.7万
3.09%583.7万
-5.59%119.9万
-11.88%117.9万
-14.94%119.6万
-0.42%566.2万
-0.42%566.2万
-11.06%127万
-10.44%133.8万
1.15%140.6万
-累计折旧
-4.17%-464.5万
-4.17%-464.5万
----
----
----
-5.59%-445.9万
-5.59%-445.9万
----
----
----
投资和预付款
-29.61%841.8万
-29.61%841.8万
-33.78%858.2万
-25.69%968.5万
-47.17%987.8万
-32.74%1,195.9万
-32.74%1,195.9万
-46.50%1,295.9万
-55.37%1,303.3万
-36.56%1,869.9万
非流动递延资产
-4.53%183.3万
-4.53%183.3万
10.91%184万
32.38%213万
204.53%228.7万
120.18%192万
120.18%192万
--165.9万
--160.9万
--75.1万
其他非流动资产
-6.45%20.3万
-6.45%20.3万
-3.69%20.9万
-9.09%21万
-4.72%22.2万
0.46%21.7万
0.46%21.7万
2.36%21.7万
13.24%23.1万
13.11%23.3万
非流动资产合计
-23.88%1,164.6万
-23.88%1,164.6万
-26.54%1,183万
-18.55%1,320.4万
-35.59%1,358.3万
-24.75%1,529.9万
-24.75%1,529.9万
-37.72%1,610.5万
-47.54%1,621.1万
-32.12%2,108.9万
总资产
-6.66%5,196.3万
-6.66%5,196.3万
-5.33%5,277.2万
-2.40%5,363.2万
-8.82%5,409.2万
-4.61%5,567.3万
-4.61%5,567.3万
-10.83%5,574.5万
-14.39%5,495.1万
-4.19%5,932.3万
负债
流动负债
应付款项
-16.60%58.8万
-16.60%58.8万
-33.16%37.5万
-0.72%41.5万
-36.09%32.4万
-27.09%70.5万
-27.09%70.5万
-47.86%56.1万
-6.90%41.8万
1.40%50.7万
-应付账款
-19.08%50.9万
-19.08%50.9万
-19.35%37.5万
-0.72%41.5万
-7.43%32.4万
-27.70%62.9万
-27.70%62.9万
29.53%46.5万
22.22%41.8万
3.55%35万
-应付税费
3.95%7.9万
3.95%7.9万
----
----
----
-21.65%7.6万
-21.65%7.6万
-86.61%9.6万
----
-3.09%15.7万
应计费用
-10.09%93.6万
-10.09%93.6万
18.99%162.9万
-9.59%123.5万
12.31%127.7万
-18.29%104.1万
-18.29%104.1万
-31.24%136.9万
-1.66%136.6万
-21.91%113.7万
短期借款与租赁负债
10.71%3.1万
10.71%3.1万
10.71%3.1万
7.14%3万
7.14%3万
3.70%2.8万
3.70%2.8万
600.00%2.8万
64.71%2.8万
-6.67%2.8万
-短期租赁负债
10.71%3.1万
10.71%3.1万
10.71%3.1万
7.14%3万
7.14%3万
3.70%2.8万
3.70%2.8万
600.00%2.8万
64.71%2.8万
-6.67%2.8万
流动负债总额
-26.37%216.4万
-26.37%216.4万
-15.73%234.1万
-14.36%215.3万
-21.38%282.8万
-28.87%293.9万
-28.87%293.9万
-42.29%277.8万
-26.71%251.4万
-12.84%359.7万
非流动负债
长期借款与租赁负债
-78.95%8,000
-78.95%8,000
-64.44%1.6万
-53.85%2.4万
-45.76%3.2万
-42.42%3.8万
-42.42%3.8万
--4.5万
--5.2万
--5.9万
-长期租赁负债
-78.95%8,000
-78.95%8,000
-64.44%1.6万
-53.85%2.4万
-45.76%3.2万
-42.42%3.8万
-42.42%3.8万
--4.5万
--5.2万
--5.9万
递延负债
16.30%78.5万
16.30%78.5万
28,350.00%56.9万
11,200.00%56.5万
--53.1万
78.10%67.5万
78.10%67.5万
-99.61%2,000
-99.71%5,000
----
非流动负债总额
11.22%79.3万
11.22%79.3万
1,144.68%58.5万
933.33%58.9万
854.24%56.3万
60.22%71.3万
60.22%71.3万
-90.73%4.7万
-96.71%5.7万
-96.59%5.9万
总负债
-19.03%295.7万
-19.03%295.7万
3.58%292.6万
6.65%274.2万
-7.25%339.1万
-20.21%365.2万
-20.21%365.2万
-46.91%282.5万
-50.19%257.1万
-37.57%365.6万
所有者权益
股本
0.00%39.9万
0.00%39.9万
0.00%39.9万
0.00%39.9万
0.00%39.9万
0.00%39.9万
0.00%39.9万
0.00%39.9万
0.00%39.9万
0.00%39.9万
-普通股股本
0.00%39.9万
0.00%39.9万
0.00%39.9万
0.00%39.9万
0.00%39.9万
0.00%39.9万
0.00%39.9万
0.00%39.9万
0.00%39.9万
0.00%39.9万
留存收益
-0.30%3,746万
-0.30%3,746万
-0.77%3,762.8万
3.73%3,797.5万
-1.85%3,706.6万
4.59%3,757.2万
4.59%3,757.2万
-0.09%3,791.9万
-6.46%3,660.8万
5.24%3,776.5万
资本公积
0.01%1,644.3万
0.01%1,644.3万
0.01%1,644.4万
0.02%1,644.4万
0.02%1,644.4万
0.02%1,644.2万
0.02%1,644.2万
0.06%1,644.2万
0.10%1,644.1万
2.28%1,644万
减:库存股
57.22%588万
57.22%588万
55.93%545.6万
65.35%489.1万
59.52%434.2万
43.90%374万
43.90%374万
46.52%349.9万
28.78%295.8万
21.09%272.2万
不影响留存收益的损益
-56.68%58.4万
-56.68%58.4万
-49.91%83.1万
-49.05%96.3万
-70.04%113.4万
-62.80%134.8万
-62.80%134.8万
-65.42%165.9万
-64.77%189万
-36.41%378.5万
股东权益总额
-5.80%4,900.6万
-5.80%4,900.6万
-5.81%4,984.6万
-2.84%5,089万
-8.92%5,070.1万
-3.28%5,202.1万
-3.28%5,202.1万
-7.47%5,292万
-11.26%5,238万
-0.70%5,566.7万
总权益
-5.80%4,900.6万
-5.80%4,900.6万
-5.81%4,984.6万
-2.84%5,089万
-8.92%5,070.1万
-3.28%5,202.1万
-3.28%5,202.1万
-7.47%5,292万
-11.26%5,238万
-0.70%5,566.7万
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
无保留意见
--
--
--
--
无保留意见
--
--
--
--
(FY)2024/06/30(Q4)2024/06/30(Q3)2024/03/31(Q2)2023/12/31(Q1)2023/09/30(FY)2023/06/30(Q4)2023/06/30(Q3)2023/03/31(Q2)2022/12/31(Q1)2022/09/30
资产
流动资产
现金及现金等价物和短期投资 0.00%3,704.3万0.00%3,704.3万2.41%3,753.1万6.08%3,755.8万6.79%3,764.2万7.52%3,704.3万7.52%3,704.3万11.27%3,664.8万20.15%3,540.7万35.34%3,525万
-现金和现金等价物 7.87%2,739.9万7.87%2,739.9万10.07%2,746万17.30%2,746.6万15.30%2,684.9万13.83%2,540.1万13.83%2,540.1万-6.79%2,494.7万1.02%2,341.6万17.88%2,328.7万
-短期投资 -17.16%964.4万-17.16%964.4万-13.93%1,007.1万-15.84%1,009.2万-9.78%1,079.3万-4.09%1,164.2万-4.09%1,164.2万89.61%1,170.1万90.61%1,199.1万90.16%1,196.3万
应收款项 -2.47%177.6万-2.47%177.6万24.54%177.6万-7.16%160.8万-8.49%153万-16.47%182.1万-16.47%182.1万-36.23%142.6万-26.61%173.2万-52.69%167.2万
-应收账款 -15.90%104.7万-15.90%104.7万-22.61%102.7万-4.31%137.6万-29.63%110.9万-30.68%124.5万-30.68%124.5万-38.16%132.7万-36.06%143.8万-39.17%157.6万
-应收税费 26.56%72.9万26.56%72.9万656.57%74.9万-21.09%23.2万338.54%42.1万50.00%57.6万50.00%57.6万10.00%9.9万164.86%29.4万-89.82%9.6万
-应收账款调整额 --0--0--------------0--0------------
预付费用 -2.35%49.8万-2.35%49.8万12.19%63.5万-56.41%26.2万8.01%33.7万27.50%51万27.50%51万17.43%56.6万30.09%60.1万16.85%31.2万
受限制现金 0.00%100万0.00%100万0.00%100万0.00%100万0.00%100万0.00%100万0.00%100万0.00%100万0.00%100万0.00%100万
流动资产合计 -0.14%4,031.7万-0.14%4,031.7万3.28%4,094.2万4.36%4,042.8万5.95%4,050.9万6.16%4,037.4万6.16%4,037.4万8.15%3,964万16.36%3,874万23.95%3,823.4万
非流动资产
固定资产净额 -0.91%119.2万-0.91%119.2万-5.59%119.9万-11.88%117.9万-14.94%119.6万-17.77%120.3万-17.77%120.3万-11.06%127万-10.44%133.8万1.15%140.6万
-固定资产 3.09%583.7万3.09%583.7万-5.59%119.9万-11.88%117.9万-14.94%119.6万-0.42%566.2万-0.42%566.2万-11.06%127万-10.44%133.8万1.15%140.6万
-累计折旧 -4.17%-464.5万-4.17%-464.5万-------------5.59%-445.9万-5.59%-445.9万------------
投资和预付款 -29.61%841.8万-29.61%841.8万-33.78%858.2万-25.69%968.5万-47.17%987.8万-32.74%1,195.9万-32.74%1,195.9万-46.50%1,295.9万-55.37%1,303.3万-36.56%1,869.9万
非流动递延资产 -4.53%183.3万-4.53%183.3万10.91%184万32.38%213万204.53%228.7万120.18%192万120.18%192万--165.9万--160.9万--75.1万
其他非流动资产 -6.45%20.3万-6.45%20.3万-3.69%20.9万-9.09%21万-4.72%22.2万0.46%21.7万0.46%21.7万2.36%21.7万13.24%23.1万13.11%23.3万
非流动资产合计 -23.88%1,164.6万-23.88%1,164.6万-26.54%1,183万-18.55%1,320.4万-35.59%1,358.3万-24.75%1,529.9万-24.75%1,529.9万-37.72%1,610.5万-47.54%1,621.1万-32.12%2,108.9万
总资产 -6.66%5,196.3万-6.66%5,196.3万-5.33%5,277.2万-2.40%5,363.2万-8.82%5,409.2万-4.61%5,567.3万-4.61%5,567.3万-10.83%5,574.5万-14.39%5,495.1万-4.19%5,932.3万
负债
流动负债
应付款项 -16.60%58.8万-16.60%58.8万-33.16%37.5万-0.72%41.5万-36.09%32.4万-27.09%70.5万-27.09%70.5万-47.86%56.1万-6.90%41.8万1.40%50.7万
-应付账款 -19.08%50.9万-19.08%50.9万-19.35%37.5万-0.72%41.5万-7.43%32.4万-27.70%62.9万-27.70%62.9万29.53%46.5万22.22%41.8万3.55%35万
-应付税费 3.95%7.9万3.95%7.9万-------------21.65%7.6万-21.65%7.6万-86.61%9.6万-----3.09%15.7万
应计费用 -10.09%93.6万-10.09%93.6万18.99%162.9万-9.59%123.5万12.31%127.7万-18.29%104.1万-18.29%104.1万-31.24%136.9万-1.66%136.6万-21.91%113.7万
短期借款与租赁负债 10.71%3.1万10.71%3.1万10.71%3.1万7.14%3万7.14%3万3.70%2.8万3.70%2.8万600.00%2.8万64.71%2.8万-6.67%2.8万
-短期租赁负债 10.71%3.1万10.71%3.1万10.71%3.1万7.14%3万7.14%3万3.70%2.8万3.70%2.8万600.00%2.8万64.71%2.8万-6.67%2.8万
流动负债总额 -26.37%216.4万-26.37%216.4万-15.73%234.1万-14.36%215.3万-21.38%282.8万-28.87%293.9万-28.87%293.9万-42.29%277.8万-26.71%251.4万-12.84%359.7万
非流动负债
长期借款与租赁负债 -78.95%8,000-78.95%8,000-64.44%1.6万-53.85%2.4万-45.76%3.2万-42.42%3.8万-42.42%3.8万--4.5万--5.2万--5.9万
-长期租赁负债 -78.95%8,000-78.95%8,000-64.44%1.6万-53.85%2.4万-45.76%3.2万-42.42%3.8万-42.42%3.8万--4.5万--5.2万--5.9万
递延负债 16.30%78.5万16.30%78.5万28,350.00%56.9万11,200.00%56.5万--53.1万78.10%67.5万78.10%67.5万-99.61%2,000-99.71%5,000----
非流动负债总额 11.22%79.3万11.22%79.3万1,144.68%58.5万933.33%58.9万854.24%56.3万60.22%71.3万60.22%71.3万-90.73%4.7万-96.71%5.7万-96.59%5.9万
总负债 -19.03%295.7万-19.03%295.7万3.58%292.6万6.65%274.2万-7.25%339.1万-20.21%365.2万-20.21%365.2万-46.91%282.5万-50.19%257.1万-37.57%365.6万
所有者权益
股本 0.00%39.9万0.00%39.9万0.00%39.9万0.00%39.9万0.00%39.9万0.00%39.9万0.00%39.9万0.00%39.9万0.00%39.9万0.00%39.9万
-普通股股本 0.00%39.9万0.00%39.9万0.00%39.9万0.00%39.9万0.00%39.9万0.00%39.9万0.00%39.9万0.00%39.9万0.00%39.9万0.00%39.9万
留存收益 -0.30%3,746万-0.30%3,746万-0.77%3,762.8万3.73%3,797.5万-1.85%3,706.6万4.59%3,757.2万4.59%3,757.2万-0.09%3,791.9万-6.46%3,660.8万5.24%3,776.5万
资本公积 0.01%1,644.3万0.01%1,644.3万0.01%1,644.4万0.02%1,644.4万0.02%1,644.4万0.02%1,644.2万0.02%1,644.2万0.06%1,644.2万0.10%1,644.1万2.28%1,644万
减:库存股 57.22%588万57.22%588万55.93%545.6万65.35%489.1万59.52%434.2万43.90%374万43.90%374万46.52%349.9万28.78%295.8万21.09%272.2万
不影响留存收益的损益 -56.68%58.4万-56.68%58.4万-49.91%83.1万-49.05%96.3万-70.04%113.4万-62.80%134.8万-62.80%134.8万-65.42%165.9万-64.77%189万-36.41%378.5万
股东权益总额 -5.80%4,900.6万-5.80%4,900.6万-5.81%4,984.6万-2.84%5,089万-8.92%5,070.1万-3.28%5,202.1万-3.28%5,202.1万-7.47%5,292万-11.26%5,238万-0.70%5,566.7万
总权益 -5.80%4,900.6万-5.80%4,900.6万-5.81%4,984.6万-2.84%5,089万-8.92%5,070.1万-3.28%5,202.1万-3.28%5,202.1万-7.47%5,292万-11.26%5,238万-0.70%5,566.7万
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 无保留意见--------无保留意见--------

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