美股市场个股详情

Kaltura (KLTR)

添加自选
  • 1.460
  • +0.090+6.57%
收盘价 05/01 16:00 (美东)
  • 1.421
  • -0.039-2.70%
盘后 20:01 (美东)
2.17亿总市值-18.25市盈率TTM

Kaltura (KLTR) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2025/12/31
(Q4)2025/12/31
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
资产
流动资产
现金及现金等价物和短期投资
-36.21%5,187.9万
-36.21%5,187.9万
-7.09%7,220.1万
4.24%7,120.2万
-8.63%6,291.8万
17.24%8,133.4万
17.24%8,133.4万
12.37%7,771.3万
-1.88%6,830.3万
-9.36%6,885.9万
-现金和现金等价物
-16.75%2,752.1万
-16.75%2,752.1万
12.68%4,151.3万
3.44%3,544.6万
0.41%3,169.5万
-9.88%3,305.9万
-9.88%3,305.9万
8.12%3,684万
-14.72%3,426.8万
-24.08%3,156.5万
-短期投资
-49.54%2,435.8万
-49.54%2,435.8万
-24.92%3,068.8万
5.06%3,575.6万
-16.28%3,122.3万
47.67%4,827.5万
47.67%4,827.5万
16.50%4,087.3万
15.64%3,403.5万
8.43%3,729.4万
应收款项
-18.12%1,635.8万
-18.12%1,635.8万
-10.54%2,025.8万
-3.96%2,124.1万
2.09%1,820.9万
-14.30%1,997.8万
-14.30%1,997.8万
3.57%2,264.6万
-25.70%2,211.6万
-2.17%1,783.7万
-应收账款
-18.12%1,635.8万
-18.12%1,635.8万
-10.54%2,025.8万
-3.96%2,124.1万
2.09%1,820.9万
-14.30%1,997.8万
-14.30%1,997.8万
3.57%2,264.6万
-25.70%2,211.6万
-2.17%1,783.7万
预付费用
50.53%614.9万
50.53%614.9万
-5.67%323万
25.36%398.4万
46.71%540.2万
53.80%408.5万
53.80%408.5万
-4.60%342.4万
3.25%317.8万
-10.15%368.2万
受限制现金
3.91%364.4万
3.91%364.4万
3.24%350.7万
3.24%350.7万
3.24%350.7万
3.24%350.7万
3.24%350.7万
30.65%339.7万
30.65%339.7万
30.65%339.7万
递延资产
-20.97%850.8万
-20.97%850.8万
-12.82%895.7万
-6.88%967万
-0.96%1,032.6万
1.21%1,076.5万
1.21%1,076.5万
-3.08%1,027.4万
-3.50%1,038.4万
-2.42%1,042.6万
其他流动资产
55.87%144.8万
55.87%144.8万
36.61%107.1万
-1.69%93.1万
-12.11%76.9万
-31.64%92.9万
-31.64%92.9万
-35.26%78.4万
-45.13%94.7万
-36.32%87.5万
流动资产合计
-25.40%9,068.3万
-25.40%9,068.3万
-5.13%1.12亿
5.63%1.14亿
-3.82%1.01亿
8.79%1.22亿
8.79%1.22亿
8.71%1.19亿
-7.84%1.08亿
-6.68%1.05亿
非流动资产
固定资产净额
-20.44%2,267.2万
-20.44%2,267.2万
-19.02%2,406.8万
-18.03%2,552.1万
-17.13%2,691.2万
-16.15%2,849.8万
-16.15%2,849.8万
-16.27%2,972.1万
-13.86%3,113.5万
-10.18%3,247.6万
-固定资产
-3.99%3,569.7万
-3.99%3,569.7万
-10.79%3,598.8万
-10.50%3,636万
-10.14%3,666.9万
-9.61%3,718.1万
-9.61%3,718.1万
-5.09%4,034.2万
-3.34%4,062.5万
-0.57%4,080.8万
-累计折旧
-50.01%-1,302.5万
-50.01%-1,302.5万
-12.23%-1,192万
-14.21%-1,083.9万
-17.10%-975.7万
-21.49%-868.3万
-21.49%-868.3万
-51.53%-1,062.1万
-61.26%-949万
-70.49%-833.2万
商誉及其他无形资产
144.24%2,755.5万
144.24%2,755.5万
-2.25%1,114.6万
-3.15%1,115.9万
-4.05%1,117.1万
-4.06%1,128.2万
-4.06%1,128.2万
-4.01%1,140.2万
-3.98%1,152.2万
-4.16%1,164.2万
-商誉
129.61%2,541.8万
129.61%2,541.8万
0.00%1,107万
0.00%1,107万
0.00%1,107万
0.00%1,107万
0.00%1,107万
0.00%1,107万
0.00%1,107万
0.00%1,107万
-其他无形资产
908.02%213.7万
908.02%213.7万
-77.11%7.6万
-80.31%8.9万
-82.34%10.1万
-69.23%21.2万
-69.23%21.2万
-58.91%33.2万
-51.35%45.2万
-46.89%57.2万
投资和预付款
222.08%1,088.3万
222.08%1,088.3万
433.78%1,189.8万
39.93%413.2万
267.13%1,800.4万
-42.18%337.9万
-42.18%337.9万
17.19%222.9万
193.25%295.3万
378.91%490.4万
非流动递延资产
-30.89%940.3万
-30.89%940.3万
-31.43%944万
-25.80%1,077.8万
-22.61%1,219.5万
-21.42%1,360.5万
-21.42%1,360.5万
-24.68%1,376.6万
-24.93%1,452.6万
-23.27%1,575.7万
确认的养老福利金
26.95%200.2万
26.95%200.2万
40.10%213.8万
34.01%199万
18.47%177万
-6.41%157.7万
-6.41%157.7万
-2.80%152.6万
-6.72%148.5万
-10.75%149.4万
其他非流动资产
6.61%149.9万
6.61%149.9万
5.25%146.3万
6.63%144.8万
-2.53%135万
-0.64%140.6万
-0.64%140.6万
3.73%139万
6.85%135.8万
5.97%138.5万
非流动资产合计
23.88%7,401.4万
23.88%7,401.4万
0.20%6,015.3万
-12.62%5,502.8万
5.53%7,140.2万
-17.02%5,974.7万
-17.02%5,974.7万
-14.80%6,003.4万
-11.75%6,297.9万
-7.12%6,765.8万
总资产
-9.16%1.65亿
-9.16%1.65亿
-3.34%1.73亿
-1.08%1.69亿
-0.16%1.73亿
-1.32%1.81亿
-1.32%1.81亿
-0.52%1.79亿
-9.32%1.71亿
-6.85%1.73亿
负债
流动负债
应付款项
63.87%1,458.9万
63.87%1,458.9万
-49.32%1,000.7万
-32.31%1,407.7万
-38.50%1,298.5万
-42.13%890.3万
-42.13%890.3万
47.56%1,974.4万
8.26%2,079.7万
31.95%2,111.5万
-应付账款
16.02%378.8万
16.02%378.8万
-16.45%486.2万
30.29%918.8万
3.00%831.1万
-10.03%326.5万
-10.03%326.5万
31.21%581.9万
-33.31%705.2万
-1.77%806.9万
-应付税费
91.58%1,080.1万
91.58%1,080.1万
-63.05%514.5万
-64.43%488.9万
-64.17%467.4万
-52.04%563.8万
-52.04%563.8万
55.67%1,392.5万
59.16%1,374.5万
67.51%1,304.6万
应计费用
-16.22%1,823.4万
-16.22%1,823.4万
19.29%2,045.3万
28.50%2,075.6万
31.09%2,151.5万
28.00%2,176.5万
28.00%2,176.5万
-10.40%1,714.6万
-15.37%1,615.2万
-18.75%1,641.2万
短期借款与租赁负债
468.86%3,193.6万
468.86%3,193.6万
58.28%783万
52.86%715.7万
40.66%630万
40.84%561.4万
40.84%561.4万
-85.36%494.7万
-86.75%468.2万
-87.86%447.9万
-短期借款
833.60%2,903.5万
833.60%2,903.5万
101.28%503万
93.99%442.3万
82.19%376.4万
92.93%311万
92.93%311万
-92.06%249.9万
-93.07%228万
-93.99%206.6万
-短期租赁负债
15.85%290.1万
15.85%290.1万
14.38%280万
13.82%273.4万
5.10%253.6万
5.48%250.4万
5.48%250.4万
4.75%244.8万
-1.56%240.2万
-4.74%241.3万
递延负债
-4.49%6,029.1万
-4.49%6,029.1万
-3.42%6,105.2万
-0.69%5,507.5万
-0.06%5,387.9万
1.22%6,312.3万
1.22%6,312.3万
6.70%6,321.4万
-2.83%5,545.8万
6.78%5,391.3万
其他流动负债
-36.54%143.3万
-36.54%143.3万
29.48%138.8万
-35.57%90.4万
12.40%114.2万
92.83%225.8万
92.83%225.8万
-27.71%107.2万
37.55%140.3万
-24.46%101.6万
流动负债总额
24.41%1.26亿
24.41%1.26亿
-5.08%1.01亿
-0.53%9,796.9万
-1.15%9,582.1万
1.76%1.02亿
1.76%1.02亿
-16.46%1.06亿
-25.23%9,849.2万
-22.40%9,693.5万
非流动负债
长期借款与租赁负债
-67.58%1,439.8万
-67.58%1,439.8万
-13.42%3,994.4万
-11.75%4,164.8万
-13.31%4,225.1万
-12.64%4,441.6万
-12.64%4,441.6万
162.40%4,613.3万
152.64%4,719.1万
148.03%4,873.7万
-长期借款
----
----
-16.91%2,532.8万
-14.45%2,661.6万
-12.15%2,788.6万
-11.78%2,915.3万
-11.78%2,915.3万
--3,048.1万
--3,111万
--3,174.1万
-长期租赁负债
-5.67%1,439.8万
-5.67%1,439.8万
-6.62%1,461.6万
-6.52%1,503.2万
-15.48%1,436.5万
-14.23%1,526.3万
-14.23%1,526.3万
-10.97%1,565.2万
-13.91%1,608.1万
-13.51%1,699.6万
递延负债
403.02%266.6万
403.02%266.6万
588.46%53.7万
565.00%53.2万
161.08%53万
-32.66%53万
-32.66%53万
-86.51%7.8万
-89.97%8万
-80.14%20.3万
长期应计费用
----
----
----
----
----
--859.9万
--859.9万
----
----
----
其他非流动负债
406.84%866.7万
406.84%866.7万
7.87%227.4万
2.62%211.8万
-9.05%188万
-8.90%171万
-8.90%171万
-1.82%210.8万
-5.02%206.4万
-7.93%206.7万
非流动负债总额
-42.30%3,188.2万
-42.30%3,188.2万
12.09%5,415.9万
10.52%5,452.4万
6.49%5,431.8万
3.27%5,525.5万
3.27%5,525.5万
137.95%4,831.9万
127.88%4,933.5万
122.57%5,100.7万
总负债
0.92%1.58亿
0.92%1.58亿
0.29%1.55亿
3.16%1.52亿
1.49%1.5亿
2.28%1.57亿
2.28%1.57亿
4.82%1.54亿
-3.62%1.48亿
0.07%1.48亿
所有者权益
股本
20.00%1.8万
20.00%1.8万
13.33%1.7万
13.33%1.7万
14.29%1.6万
7.14%1.5万
7.14%1.5万
15.38%1.5万
15.38%1.5万
7.69%1.4万
-普通股股本
20.00%1.8万
20.00%1.8万
13.33%1.7万
13.33%1.7万
14.29%1.6万
7.14%1.5万
7.14%1.5万
15.38%1.5万
15.38%1.5万
7.69%1.4万
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
-2.58%-4.81亿
-2.58%-4.81亿
-3.92%-4.8亿
-4.16%-4.78亿
-4.76%-4.7亿
-7.16%-4.69亿
-7.16%-4.69亿
-8.64%-4.62亿
-10.58%-4.59亿
-11.06%-4.49亿
资本公积
3.68%5.18亿
3.68%5.18亿
3.85%5.12亿
4.25%5.08亿
5.09%5.03亿
6.02%5亿
6.02%5亿
6.48%4.93亿
7.04%4.87亿
6.92%4.78亿
减:库存股
335.92%3,400.6万
335.92%3,400.6万
144.53%1,739.6万
250.30%1,739.6万
107.31%1,011.9万
59.82%780.1万
59.82%780.1万
45.75%711.4万
1.74%496.6万
0.00%488.1万
不影响留存收益的损益
187.70%275.9万
187.70%275.9万
1,010.10%329.7万
1,119.84%390.6万
-84.44%4.7万
-8.40%95.9万
-8.40%95.9万
143.55%29.7万
-46.74%-38.3万
154.61%30.2万
股东权益总额
-74.04%633.2万
-74.04%633.2万
-26.54%1,773.5万
-27.78%1,695.4万
-9.85%2,265.9万
-19.57%2,438.7万
-19.57%2,438.7万
-24.97%2,414.1万
-33.91%2,347.7万
-33.80%2,513.6万
总权益
-74.04%633.2万
-74.04%633.2万
-26.54%1,773.5万
-27.78%1,695.4万
-9.85%2,265.9万
-19.57%2,438.7万
-19.57%2,438.7万
-24.97%2,414.1万
-33.91%2,347.7万
-33.80%2,513.6万
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
无保留意见
--
--
--
--
无保留意见
--
--
--
--
(FY)2025/12/31(Q4)2025/12/31(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31
资产
流动资产
现金及现金等价物和短期投资 -36.21%5,187.9万-36.21%5,187.9万-7.09%7,220.1万4.24%7,120.2万-8.63%6,291.8万17.24%8,133.4万17.24%8,133.4万12.37%7,771.3万-1.88%6,830.3万-9.36%6,885.9万
-现金和现金等价物 -16.75%2,752.1万-16.75%2,752.1万12.68%4,151.3万3.44%3,544.6万0.41%3,169.5万-9.88%3,305.9万-9.88%3,305.9万8.12%3,684万-14.72%3,426.8万-24.08%3,156.5万
-短期投资 -49.54%2,435.8万-49.54%2,435.8万-24.92%3,068.8万5.06%3,575.6万-16.28%3,122.3万47.67%4,827.5万47.67%4,827.5万16.50%4,087.3万15.64%3,403.5万8.43%3,729.4万
应收款项 -18.12%1,635.8万-18.12%1,635.8万-10.54%2,025.8万-3.96%2,124.1万2.09%1,820.9万-14.30%1,997.8万-14.30%1,997.8万3.57%2,264.6万-25.70%2,211.6万-2.17%1,783.7万
-应收账款 -18.12%1,635.8万-18.12%1,635.8万-10.54%2,025.8万-3.96%2,124.1万2.09%1,820.9万-14.30%1,997.8万-14.30%1,997.8万3.57%2,264.6万-25.70%2,211.6万-2.17%1,783.7万
预付费用 50.53%614.9万50.53%614.9万-5.67%323万25.36%398.4万46.71%540.2万53.80%408.5万53.80%408.5万-4.60%342.4万3.25%317.8万-10.15%368.2万
受限制现金 3.91%364.4万3.91%364.4万3.24%350.7万3.24%350.7万3.24%350.7万3.24%350.7万3.24%350.7万30.65%339.7万30.65%339.7万30.65%339.7万
递延资产 -20.97%850.8万-20.97%850.8万-12.82%895.7万-6.88%967万-0.96%1,032.6万1.21%1,076.5万1.21%1,076.5万-3.08%1,027.4万-3.50%1,038.4万-2.42%1,042.6万
其他流动资产 55.87%144.8万55.87%144.8万36.61%107.1万-1.69%93.1万-12.11%76.9万-31.64%92.9万-31.64%92.9万-35.26%78.4万-45.13%94.7万-36.32%87.5万
流动资产合计 -25.40%9,068.3万-25.40%9,068.3万-5.13%1.12亿5.63%1.14亿-3.82%1.01亿8.79%1.22亿8.79%1.22亿8.71%1.19亿-7.84%1.08亿-6.68%1.05亿
非流动资产
固定资产净额 -20.44%2,267.2万-20.44%2,267.2万-19.02%2,406.8万-18.03%2,552.1万-17.13%2,691.2万-16.15%2,849.8万-16.15%2,849.8万-16.27%2,972.1万-13.86%3,113.5万-10.18%3,247.6万
-固定资产 -3.99%3,569.7万-3.99%3,569.7万-10.79%3,598.8万-10.50%3,636万-10.14%3,666.9万-9.61%3,718.1万-9.61%3,718.1万-5.09%4,034.2万-3.34%4,062.5万-0.57%4,080.8万
-累计折旧 -50.01%-1,302.5万-50.01%-1,302.5万-12.23%-1,192万-14.21%-1,083.9万-17.10%-975.7万-21.49%-868.3万-21.49%-868.3万-51.53%-1,062.1万-61.26%-949万-70.49%-833.2万
商誉及其他无形资产 144.24%2,755.5万144.24%2,755.5万-2.25%1,114.6万-3.15%1,115.9万-4.05%1,117.1万-4.06%1,128.2万-4.06%1,128.2万-4.01%1,140.2万-3.98%1,152.2万-4.16%1,164.2万
-商誉 129.61%2,541.8万129.61%2,541.8万0.00%1,107万0.00%1,107万0.00%1,107万0.00%1,107万0.00%1,107万0.00%1,107万0.00%1,107万0.00%1,107万
-其他无形资产 908.02%213.7万908.02%213.7万-77.11%7.6万-80.31%8.9万-82.34%10.1万-69.23%21.2万-69.23%21.2万-58.91%33.2万-51.35%45.2万-46.89%57.2万
投资和预付款 222.08%1,088.3万222.08%1,088.3万433.78%1,189.8万39.93%413.2万267.13%1,800.4万-42.18%337.9万-42.18%337.9万17.19%222.9万193.25%295.3万378.91%490.4万
非流动递延资产 -30.89%940.3万-30.89%940.3万-31.43%944万-25.80%1,077.8万-22.61%1,219.5万-21.42%1,360.5万-21.42%1,360.5万-24.68%1,376.6万-24.93%1,452.6万-23.27%1,575.7万
确认的养老福利金 26.95%200.2万26.95%200.2万40.10%213.8万34.01%199万18.47%177万-6.41%157.7万-6.41%157.7万-2.80%152.6万-6.72%148.5万-10.75%149.4万
其他非流动资产 6.61%149.9万6.61%149.9万5.25%146.3万6.63%144.8万-2.53%135万-0.64%140.6万-0.64%140.6万3.73%139万6.85%135.8万5.97%138.5万
非流动资产合计 23.88%7,401.4万23.88%7,401.4万0.20%6,015.3万-12.62%5,502.8万5.53%7,140.2万-17.02%5,974.7万-17.02%5,974.7万-14.80%6,003.4万-11.75%6,297.9万-7.12%6,765.8万
总资产 -9.16%1.65亿-9.16%1.65亿-3.34%1.73亿-1.08%1.69亿-0.16%1.73亿-1.32%1.81亿-1.32%1.81亿-0.52%1.79亿-9.32%1.71亿-6.85%1.73亿
负债
流动负债
应付款项 63.87%1,458.9万63.87%1,458.9万-49.32%1,000.7万-32.31%1,407.7万-38.50%1,298.5万-42.13%890.3万-42.13%890.3万47.56%1,974.4万8.26%2,079.7万31.95%2,111.5万
-应付账款 16.02%378.8万16.02%378.8万-16.45%486.2万30.29%918.8万3.00%831.1万-10.03%326.5万-10.03%326.5万31.21%581.9万-33.31%705.2万-1.77%806.9万
-应付税费 91.58%1,080.1万91.58%1,080.1万-63.05%514.5万-64.43%488.9万-64.17%467.4万-52.04%563.8万-52.04%563.8万55.67%1,392.5万59.16%1,374.5万67.51%1,304.6万
应计费用 -16.22%1,823.4万-16.22%1,823.4万19.29%2,045.3万28.50%2,075.6万31.09%2,151.5万28.00%2,176.5万28.00%2,176.5万-10.40%1,714.6万-15.37%1,615.2万-18.75%1,641.2万
短期借款与租赁负债 468.86%3,193.6万468.86%3,193.6万58.28%783万52.86%715.7万40.66%630万40.84%561.4万40.84%561.4万-85.36%494.7万-86.75%468.2万-87.86%447.9万
-短期借款 833.60%2,903.5万833.60%2,903.5万101.28%503万93.99%442.3万82.19%376.4万92.93%311万92.93%311万-92.06%249.9万-93.07%228万-93.99%206.6万
-短期租赁负债 15.85%290.1万15.85%290.1万14.38%280万13.82%273.4万5.10%253.6万5.48%250.4万5.48%250.4万4.75%244.8万-1.56%240.2万-4.74%241.3万
递延负债 -4.49%6,029.1万-4.49%6,029.1万-3.42%6,105.2万-0.69%5,507.5万-0.06%5,387.9万1.22%6,312.3万1.22%6,312.3万6.70%6,321.4万-2.83%5,545.8万6.78%5,391.3万
其他流动负债 -36.54%143.3万-36.54%143.3万29.48%138.8万-35.57%90.4万12.40%114.2万92.83%225.8万92.83%225.8万-27.71%107.2万37.55%140.3万-24.46%101.6万
流动负债总额 24.41%1.26亿24.41%1.26亿-5.08%1.01亿-0.53%9,796.9万-1.15%9,582.1万1.76%1.02亿1.76%1.02亿-16.46%1.06亿-25.23%9,849.2万-22.40%9,693.5万
非流动负债
长期借款与租赁负债 -67.58%1,439.8万-67.58%1,439.8万-13.42%3,994.4万-11.75%4,164.8万-13.31%4,225.1万-12.64%4,441.6万-12.64%4,441.6万162.40%4,613.3万152.64%4,719.1万148.03%4,873.7万
-长期借款 ---------16.91%2,532.8万-14.45%2,661.6万-12.15%2,788.6万-11.78%2,915.3万-11.78%2,915.3万--3,048.1万--3,111万--3,174.1万
-长期租赁负债 -5.67%1,439.8万-5.67%1,439.8万-6.62%1,461.6万-6.52%1,503.2万-15.48%1,436.5万-14.23%1,526.3万-14.23%1,526.3万-10.97%1,565.2万-13.91%1,608.1万-13.51%1,699.6万
递延负债 403.02%266.6万403.02%266.6万588.46%53.7万565.00%53.2万161.08%53万-32.66%53万-32.66%53万-86.51%7.8万-89.97%8万-80.14%20.3万
长期应计费用 ----------------------859.9万--859.9万------------
其他非流动负债 406.84%866.7万406.84%866.7万7.87%227.4万2.62%211.8万-9.05%188万-8.90%171万-8.90%171万-1.82%210.8万-5.02%206.4万-7.93%206.7万
非流动负债总额 -42.30%3,188.2万-42.30%3,188.2万12.09%5,415.9万10.52%5,452.4万6.49%5,431.8万3.27%5,525.5万3.27%5,525.5万137.95%4,831.9万127.88%4,933.5万122.57%5,100.7万
总负债 0.92%1.58亿0.92%1.58亿0.29%1.55亿3.16%1.52亿1.49%1.5亿2.28%1.57亿2.28%1.57亿4.82%1.54亿-3.62%1.48亿0.07%1.48亿
所有者权益
股本 20.00%1.8万20.00%1.8万13.33%1.7万13.33%1.7万14.29%1.6万7.14%1.5万7.14%1.5万15.38%1.5万15.38%1.5万7.69%1.4万
-普通股股本 20.00%1.8万20.00%1.8万13.33%1.7万13.33%1.7万14.29%1.6万7.14%1.5万7.14%1.5万15.38%1.5万15.38%1.5万7.69%1.4万
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 -2.58%-4.81亿-2.58%-4.81亿-3.92%-4.8亿-4.16%-4.78亿-4.76%-4.7亿-7.16%-4.69亿-7.16%-4.69亿-8.64%-4.62亿-10.58%-4.59亿-11.06%-4.49亿
资本公积 3.68%5.18亿3.68%5.18亿3.85%5.12亿4.25%5.08亿5.09%5.03亿6.02%5亿6.02%5亿6.48%4.93亿7.04%4.87亿6.92%4.78亿
减:库存股 335.92%3,400.6万335.92%3,400.6万144.53%1,739.6万250.30%1,739.6万107.31%1,011.9万59.82%780.1万59.82%780.1万45.75%711.4万1.74%496.6万0.00%488.1万
不影响留存收益的损益 187.70%275.9万187.70%275.9万1,010.10%329.7万1,119.84%390.6万-84.44%4.7万-8.40%95.9万-8.40%95.9万143.55%29.7万-46.74%-38.3万154.61%30.2万
股东权益总额 -74.04%633.2万-74.04%633.2万-26.54%1,773.5万-27.78%1,695.4万-9.85%2,265.9万-19.57%2,438.7万-19.57%2,438.7万-24.97%2,414.1万-33.91%2,347.7万-33.80%2,513.6万
总权益 -74.04%633.2万-74.04%633.2万-26.54%1,773.5万-27.78%1,695.4万-9.85%2,265.9万-19.57%2,438.7万-19.57%2,438.7万-24.97%2,414.1万-33.91%2,347.7万-33.80%2,513.6万
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