美股市场个股详情

INVU INVESTVIEW INC

添加自选
  • 0.013900
  • +0.001750+14.40%
延时15分钟行情交易中 11/15 13:38 (美东)
2584.33万总市值13.90市盈率TTM

INVESTVIEW INC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
10.39%2,365.93万
27.02%2,443.22万
2.93%2,091.23万
2.93%2,091.23万
17.98%2,251.26万
5.34%2,143.2万
-22.65%1,923.43万
-34.45%2,031.73万
276.97%2,031.73万
--1,908.14万
-现金和现金等价物
10.39%2,365.93万
27.02%2,443.22万
2.93%2,091.23万
2.93%2,091.23万
17.98%2,251.26万
5.34%2,143.2万
-22.65%1,923.43万
-34.45%2,031.73万
276.97%2,031.73万
--1,908.14万
应收款项
99.72%232万
45.94%234.1万
77.83%223.27万
77.83%223.27万
-3.17%192.58万
-49.49%116.16万
-10.58%160.42万
-34.61%125.55万
-24.92%125.55万
--198.89万
-应收账款
99.72%232万
45.94%234.1万
77.83%223.27万
77.83%223.27万
-3.17%192.58万
-49.49%116.16万
-10.58%160.42万
-34.61%125.55万
-24.92%125.55万
--198.89万
存货
----
----
--0
--0
--0
--0
219.89%17.78万
--24.95万
--24.95万
--93.93万
预付费用
1,289.23%325.82万
-56.31%64.38万
-45.42%49.26万
-45.42%49.26万
18.77%111.64万
-65.87%23.45万
657.73%147.36万
449.45%90.25万
930.56%90.25万
--94万
受限制现金
-63.15%15万
-75.49%15万
-75.27%23.04万
-75.27%23.04万
-52.39%39.01万
-50.31%40.71万
-25.31%61.2万
13.69%93.15万
87.05%93.15万
--81.93万
其他流动资产
-95.53%8.63万
-88.80%23.28万
-75.20%58.56万
-75.20%58.56万
-28.72%204.76万
-52.70%192.98万
-6.74%207.95万
16.98%236.1万
-49.54%236.1万
--287.26万
流动资产合计
17.12%2,947.38万
10.40%2,779.99万
-6.01%2,445.36万
-6.01%2,445.36万
5.07%2,799.25万
-11.80%2,516.5万
-15.95%2,518.13万
-27.56%2,601.73万
111.06%2,601.73万
--2,664.15万
非流动资产
固定资产净额
-53.97%412.21万
-34.64%544.73万
-23.87%664.73万
-23.87%664.73万
-53.23%787.06万
-41.60%895.54万
-30.52%833.41万
25.68%873.2万
47.63%873.2万
--1,682.87万
-固定资产
-3.90%1,367.56万
0.41%1,418.56万
4.81%1,420.71万
4.81%1,420.71万
-40.06%1,432.76万
-35.33%1,423.03万
-18.73%1,412.84万
18.55%1,355.47万
61.36%1,355.47万
--2,390.42万
-累计折旧
-81.11%-955.35万
-50.81%-873.83万
-56.75%-755.99万
-56.75%-755.99万
8.74%-645.7万
20.92%-527.49万
-7.49%-579.43万
-7.51%-482.28万
-94.05%-482.28万
---707.54万
商誉及其他无形资产
----
----
----
----
----
----
----
----
----
--724万
-其他无形资产
----
----
----
----
----
----
----
----
----
--724万
长期预付费用
-98.36%4.2万
-2.98%258.91万
446.48%258.81万
446.48%258.81万
446.48%258.81万
441.05%256.24万
463.47%266.86万
0.00%47.36万
7.26%47.36万
--47.36万
其他非流动资产
----
----
----
----
-59.37%13.57万
-75.95%12.71万
-83.34%12.11万
-61.81%35.32万
-59.37%35.32万
--33.4万
非流动资产合计
-64.24%416.41万
-27.75%803.64万
-3.38%923.54万
-3.38%923.54万
-57.41%1,059.44万
-50.61%1,164.49万
-45.57%1,112.38万
-38.67%955.88万
32.29%955.88万
--2,487.63万
总资产
-8.62%3,363.79万
-1.29%3,583.63万
-5.30%3,368.9万
-5.30%3,368.9万
-25.10%3,858.69万
-29.36%3,680.99万
-27.96%3,630.5万
-30.93%3,557.61万
81.95%3,557.61万
--5,151.78万
负债
流动负债
应付款项
71.03%867.42万
100.55%1,014.82万
39.89%711.5万
39.89%711.5万
21.82%675.6万
-7.77%507.18万
14.58%506.03万
3.12%508.6万
78.21%508.6万
--554.59万
-应付账款
81.50%811.96万
83.57%839.91万
27.02%585.41万
27.02%585.41万
18.04%627.02万
-15.09%447.35万
35.42%457.53万
18.03%460.88万
69.50%460.88万
--531.21万
-应付税费
-15.06%30.72万
499.68%150.28万
317.51%100.45万
317.51%100.45万
--24.54万
--36.16万
-68.93%25.06万
-70.22%24.06万
--24.06万
--0
-应付股利
4.59%24.75万
5.11%24.63万
8.35%25.64万
8.35%25.64万
2.81%24.04万
2.50%23.67万
1.45%23.43万
7.70%23.66万
75.35%23.66万
--23.38万
应计费用
43.39%19.89万
30.32%10.43万
-5.01%18.74万
-5.01%18.74万
-6.55%8.35万
-44.33%13.87万
68.50%8万
11.72%19.73万
84.52%19.73万
--8.93万
短期借款与租赁负债
-59.06%174.34万
-56.11%187.53万
-52.72%202.8万
-52.72%202.8万
0.81%425.76万
-0.55%425.82万
-1.26%427.26万
-14.83%428.89万
25.23%428.89万
--422.34万
-短期借款
-59.68%166.98万
-57.18%177.3万
-53.67%191.84万
-53.67%191.84万
0.74%414.17万
0.74%414.13万
0.74%414.1万
-13.37%414.07万
22.62%414.07万
--411.11万
-短期租赁负债
-36.99%7.36万
-22.29%10.23万
-26.04%10.96万
-26.04%10.96万
3.23%11.59万
-31.65%11.68万
-39.24%13.16万
-42.08%14.82万
208.80%14.82万
--11.23万
递延负债
-28.83%201.88万
-1.55%270.74万
24.51%270.34万
24.51%270.34万
28.12%280.4万
-4.18%283.66万
-22.38%275万
-35.46%217.12万
-40.16%217.12万
--218.85万
其他流动负债
-88.77%2,332
-63.89%5,658
-76.53%5,732
-76.53%5,732
-69.79%8,827
-34.15%2.08万
-83.19%1.57万
-64.79%2.44万
-92.05%2.44万
--2.92万
流动负债总额
2.53%1,263.77万
21.86%1,484.08万
2.31%1,203.96万
2.31%1,203.96万
15.18%1,390.99万
-5.35%1,232.61万
-2.00%1,217.86万
-13.33%1,176.78万
14.02%1,176.78万
--1,207.64万
非流动负债
长期借款与租赁负债
-64.29%182.68万
-69.76%174.82万
-74.05%166.95万
-74.05%166.95万
-36.80%444.29万
-33.43%511.64万
-30.55%578.01万
-28.40%643.37万
-50.24%643.37万
--702.98万
-长期借款
-63.88%182.66万
-69.42%174.5万
-73.82%166.34万
-73.82%166.34万
-37.23%441.27万
-34.20%505.76万
-31.28%570.58万
-28.94%635.42万
-50.81%635.42万
--702.98万
-长期租赁负债
-99.52%285
-95.69%3,208
-92.39%6,048
-92.39%6,048
--3.01万
22,358.78%5.88万
279.42%7.44万
82.77%7.94万
593.12%7.94万
--0
递延负债
----
----
----
----
----
----
----
----
----
--99.43万
长期应计费用
--128.93万
--213.23万
--118.96万
--118.96万
--158.62万
----
----
--0
--0
----
非流动负债总额
-39.09%311.62万
-32.87%388.05万
-55.56%285.91万
-55.56%285.91万
-24.86%602.91万
-38.49%511.64万
-30.55%578.01万
-28.40%643.37万
-50.24%643.37万
--802.41万
总负债
-9.68%1,575.39万
4.25%1,872.13万
-18.15%1,489.87万
-18.15%1,489.87万
-0.80%1,993.89万
-18.26%1,744.25万
-13.45%1,795.88万
-19.33%1,820.15万
-21.72%1,820.15万
--2,010.05万
所有者权益
股本
-29.41%186.12万
-29.41%186.12万
-11.49%233.36万
-11.49%233.36万
-11.66%233.36万
-0.19%263.65万
-2.76%263.65万
-9.22%263.65万
-11.60%263.65万
--264.15万
-普通股股本
-29.41%186.1万
-29.41%186.1万
-11.49%233.34万
-11.49%233.34万
-11.66%233.34万
-0.19%263.63万
-2.76%263.63万
-9.23%263.63万
-11.61%263.63万
--264.13万
-优先股股本
0.00%252
0.00%252
0.00%252
0.00%252
0.00%252
0.00%252
0.00%252
0.00%252
64.71%252
--252
留存收益
3.61%-8,578.38万
3.66%-8,611.18万
2.25%-8,757.69万
2.25%-8,757.69万
-16.91%-8,719.04万
-20.33%-8,899.39万
-21.36%-8,938.64万
-18.15%-8,958.95万
-94.60%-8,958.95万
---7,458.11万
资本公积
-3.71%1.02亿
-3.55%1.01亿
-0.28%1.04亿
-0.28%1.04亿
0.14%1.04亿
3.57%1.06亿
4.48%1.05亿
2.42%1.04亿
165.00%1.04亿
--1.03亿
不影响留存收益的损益
0.00%-2.32万
0.00%-2.32万
0.00%-2.32万
0.00%-2.32万
0.00%-2.32万
0.00%-2.32万
-2.64%-2.32万
-0.95%-2.32万
-21.83%-2.32万
---2.32万
股东权益总额
-7.66%1,788.39万
-6.71%1,711.5万
8.15%1,879.03万
8.15%1,879.03万
-40.64%1,864.8万
-37.05%1,936.75万
-38.11%1,834.63万
-39.96%1,737.46万
569.86%1,737.46万
--3,141.74万
总权益
-7.66%1,788.39万
-6.71%1,711.5万
8.15%1,879.03万
8.15%1,879.03万
-40.64%1,864.8万
-37.05%1,936.75万
-38.11%1,834.63万
-39.96%1,737.46万
569.86%1,737.46万
--3,141.74万
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
--
--
(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 10.39%2,365.93万27.02%2,443.22万2.93%2,091.23万2.93%2,091.23万17.98%2,251.26万5.34%2,143.2万-22.65%1,923.43万-34.45%2,031.73万276.97%2,031.73万--1,908.14万
-现金和现金等价物 10.39%2,365.93万27.02%2,443.22万2.93%2,091.23万2.93%2,091.23万17.98%2,251.26万5.34%2,143.2万-22.65%1,923.43万-34.45%2,031.73万276.97%2,031.73万--1,908.14万
应收款项 99.72%232万45.94%234.1万77.83%223.27万77.83%223.27万-3.17%192.58万-49.49%116.16万-10.58%160.42万-34.61%125.55万-24.92%125.55万--198.89万
-应收账款 99.72%232万45.94%234.1万77.83%223.27万77.83%223.27万-3.17%192.58万-49.49%116.16万-10.58%160.42万-34.61%125.55万-24.92%125.55万--198.89万
存货 ----------0--0--0--0219.89%17.78万--24.95万--24.95万--93.93万
预付费用 1,289.23%325.82万-56.31%64.38万-45.42%49.26万-45.42%49.26万18.77%111.64万-65.87%23.45万657.73%147.36万449.45%90.25万930.56%90.25万--94万
受限制现金 -63.15%15万-75.49%15万-75.27%23.04万-75.27%23.04万-52.39%39.01万-50.31%40.71万-25.31%61.2万13.69%93.15万87.05%93.15万--81.93万
其他流动资产 -95.53%8.63万-88.80%23.28万-75.20%58.56万-75.20%58.56万-28.72%204.76万-52.70%192.98万-6.74%207.95万16.98%236.1万-49.54%236.1万--287.26万
流动资产合计 17.12%2,947.38万10.40%2,779.99万-6.01%2,445.36万-6.01%2,445.36万5.07%2,799.25万-11.80%2,516.5万-15.95%2,518.13万-27.56%2,601.73万111.06%2,601.73万--2,664.15万
非流动资产
固定资产净额 -53.97%412.21万-34.64%544.73万-23.87%664.73万-23.87%664.73万-53.23%787.06万-41.60%895.54万-30.52%833.41万25.68%873.2万47.63%873.2万--1,682.87万
-固定资产 -3.90%1,367.56万0.41%1,418.56万4.81%1,420.71万4.81%1,420.71万-40.06%1,432.76万-35.33%1,423.03万-18.73%1,412.84万18.55%1,355.47万61.36%1,355.47万--2,390.42万
-累计折旧 -81.11%-955.35万-50.81%-873.83万-56.75%-755.99万-56.75%-755.99万8.74%-645.7万20.92%-527.49万-7.49%-579.43万-7.51%-482.28万-94.05%-482.28万---707.54万
商誉及其他无形资产 --------------------------------------724万
-其他无形资产 --------------------------------------724万
长期预付费用 -98.36%4.2万-2.98%258.91万446.48%258.81万446.48%258.81万446.48%258.81万441.05%256.24万463.47%266.86万0.00%47.36万7.26%47.36万--47.36万
其他非流动资产 -----------------59.37%13.57万-75.95%12.71万-83.34%12.11万-61.81%35.32万-59.37%35.32万--33.4万
非流动资产合计 -64.24%416.41万-27.75%803.64万-3.38%923.54万-3.38%923.54万-57.41%1,059.44万-50.61%1,164.49万-45.57%1,112.38万-38.67%955.88万32.29%955.88万--2,487.63万
总资产 -8.62%3,363.79万-1.29%3,583.63万-5.30%3,368.9万-5.30%3,368.9万-25.10%3,858.69万-29.36%3,680.99万-27.96%3,630.5万-30.93%3,557.61万81.95%3,557.61万--5,151.78万
负债
流动负债
应付款项 71.03%867.42万100.55%1,014.82万39.89%711.5万39.89%711.5万21.82%675.6万-7.77%507.18万14.58%506.03万3.12%508.6万78.21%508.6万--554.59万
-应付账款 81.50%811.96万83.57%839.91万27.02%585.41万27.02%585.41万18.04%627.02万-15.09%447.35万35.42%457.53万18.03%460.88万69.50%460.88万--531.21万
-应付税费 -15.06%30.72万499.68%150.28万317.51%100.45万317.51%100.45万--24.54万--36.16万-68.93%25.06万-70.22%24.06万--24.06万--0
-应付股利 4.59%24.75万5.11%24.63万8.35%25.64万8.35%25.64万2.81%24.04万2.50%23.67万1.45%23.43万7.70%23.66万75.35%23.66万--23.38万
应计费用 43.39%19.89万30.32%10.43万-5.01%18.74万-5.01%18.74万-6.55%8.35万-44.33%13.87万68.50%8万11.72%19.73万84.52%19.73万--8.93万
短期借款与租赁负债 -59.06%174.34万-56.11%187.53万-52.72%202.8万-52.72%202.8万0.81%425.76万-0.55%425.82万-1.26%427.26万-14.83%428.89万25.23%428.89万--422.34万
-短期借款 -59.68%166.98万-57.18%177.3万-53.67%191.84万-53.67%191.84万0.74%414.17万0.74%414.13万0.74%414.1万-13.37%414.07万22.62%414.07万--411.11万
-短期租赁负债 -36.99%7.36万-22.29%10.23万-26.04%10.96万-26.04%10.96万3.23%11.59万-31.65%11.68万-39.24%13.16万-42.08%14.82万208.80%14.82万--11.23万
递延负债 -28.83%201.88万-1.55%270.74万24.51%270.34万24.51%270.34万28.12%280.4万-4.18%283.66万-22.38%275万-35.46%217.12万-40.16%217.12万--218.85万
其他流动负债 -88.77%2,332-63.89%5,658-76.53%5,732-76.53%5,732-69.79%8,827-34.15%2.08万-83.19%1.57万-64.79%2.44万-92.05%2.44万--2.92万
流动负债总额 2.53%1,263.77万21.86%1,484.08万2.31%1,203.96万2.31%1,203.96万15.18%1,390.99万-5.35%1,232.61万-2.00%1,217.86万-13.33%1,176.78万14.02%1,176.78万--1,207.64万
非流动负债
长期借款与租赁负债 -64.29%182.68万-69.76%174.82万-74.05%166.95万-74.05%166.95万-36.80%444.29万-33.43%511.64万-30.55%578.01万-28.40%643.37万-50.24%643.37万--702.98万
-长期借款 -63.88%182.66万-69.42%174.5万-73.82%166.34万-73.82%166.34万-37.23%441.27万-34.20%505.76万-31.28%570.58万-28.94%635.42万-50.81%635.42万--702.98万
-长期租赁负债 -99.52%285-95.69%3,208-92.39%6,048-92.39%6,048--3.01万22,358.78%5.88万279.42%7.44万82.77%7.94万593.12%7.94万--0
递延负债 --------------------------------------99.43万
长期应计费用 --128.93万--213.23万--118.96万--118.96万--158.62万----------0--0----
非流动负债总额 -39.09%311.62万-32.87%388.05万-55.56%285.91万-55.56%285.91万-24.86%602.91万-38.49%511.64万-30.55%578.01万-28.40%643.37万-50.24%643.37万--802.41万
总负债 -9.68%1,575.39万4.25%1,872.13万-18.15%1,489.87万-18.15%1,489.87万-0.80%1,993.89万-18.26%1,744.25万-13.45%1,795.88万-19.33%1,820.15万-21.72%1,820.15万--2,010.05万
所有者权益
股本 -29.41%186.12万-29.41%186.12万-11.49%233.36万-11.49%233.36万-11.66%233.36万-0.19%263.65万-2.76%263.65万-9.22%263.65万-11.60%263.65万--264.15万
-普通股股本 -29.41%186.1万-29.41%186.1万-11.49%233.34万-11.49%233.34万-11.66%233.34万-0.19%263.63万-2.76%263.63万-9.23%263.63万-11.61%263.63万--264.13万
-优先股股本 0.00%2520.00%2520.00%2520.00%2520.00%2520.00%2520.00%2520.00%25264.71%252--252
留存收益 3.61%-8,578.38万3.66%-8,611.18万2.25%-8,757.69万2.25%-8,757.69万-16.91%-8,719.04万-20.33%-8,899.39万-21.36%-8,938.64万-18.15%-8,958.95万-94.60%-8,958.95万---7,458.11万
资本公积 -3.71%1.02亿-3.55%1.01亿-0.28%1.04亿-0.28%1.04亿0.14%1.04亿3.57%1.06亿4.48%1.05亿2.42%1.04亿165.00%1.04亿--1.03亿
不影响留存收益的损益 0.00%-2.32万0.00%-2.32万0.00%-2.32万0.00%-2.32万0.00%-2.32万0.00%-2.32万-2.64%-2.32万-0.95%-2.32万-21.83%-2.32万---2.32万
股东权益总额 -7.66%1,788.39万-6.71%1,711.5万8.15%1,879.03万8.15%1,879.03万-40.64%1,864.8万-37.05%1,936.75万-38.11%1,834.63万-39.96%1,737.46万569.86%1,737.46万--3,141.74万
总权益 -7.66%1,788.39万-6.71%1,711.5万8.15%1,879.03万8.15%1,879.03万-40.64%1,864.8万-37.05%1,936.75万-38.11%1,834.63万-39.96%1,737.46万569.86%1,737.46万--3,141.74万
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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