美股市场个股详情

MARK Remark Holdings

添加自选
  • 0.110
  • +0.002+2.09%
延时15分钟行情收盘价 11/15 16:00 (美东)
561.29万总市值-91市盈率TTM

Remark Holdings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
110.58%43.8万
-34.34%23.9万
178.85%14.5万
178.85%14.5万
-28.19%27万
-98.47%20.8万
-98.49%36.4万
-99.91%5.2万
-99.91%5.2万
-99.53%37.6万
-现金和现金等价物
110.58%43.8万
-34.34%23.9万
178.85%14.5万
178.85%14.5万
-28.19%27万
-80.43%20.8万
-86.47%36.4万
-99.63%5.2万
-99.63%5.2万
-88.13%37.6万
-短期投资
----
----
----
----
----
----
----
----
----
--0
应收款项
26.28%436.3万
-51.92%131.2万
-53.95%143.4万
-53.95%143.4万
-47.14%304.5万
-63.60%345.5万
-79.24%272.9万
-78.16%311.4万
-78.16%311.4万
-26.02%576万
-应收账款
26.59%436.1万
-57.52%115.5万
-58.36%128.7万
-58.36%128.7万
-47.11%304.3万
-63.67%344.5万
-75.92%271.9万
-69.89%309.1万
-69.89%309.1万
-21.39%575.3万
-其他应收款
-80.00%2,000
1,470.00%15.7万
539.13%14.7万
539.13%14.7万
-71.43%2,000
25.00%1万
-99.46%1万
-99.42%2.3万
-99.42%2.3万
-98.50%7,000
存货
84.05%64.6万
140.13%74.2万
143.51%75万
143.51%75万
-70.55%45.5万
-76.43%35.1万
-79.29%30.9万
-77.12%30.8万
-77.12%30.8万
-20.20%154.5万
预付费用
-42.15%49万
-45.79%68.3万
-65.28%46.7万
-65.28%46.7万
-48.47%79.2万
-51.35%84.7万
-23.77%126万
-24.40%134.5万
-24.40%134.5万
29.60%153.7万
递延资产
--0
-17.46%617.8万
-10.97%664.4万
-10.97%664.4万
4.78%589.9万
10.57%559.8万
57.12%748.5万
1,167.06%746.3万
1,167.06%746.3万
--563万
其他流动资产
----
----
----
----
16.67%7,000
--7,000
-16.67%5,000
0.00%6,000
0.00%6,000
-98.06%6,000
流动资产合计
-43.27%593.7万
-24.67%915.4万
-23.18%944万
-23.18%944万
-29.53%1,046.8万
-66.65%1,046.6万
-73.11%1,215.2万
-83.51%1,228.8万
-83.51%1,228.8万
-83.86%1,485.4万
非流动资产
固定资产净额
-54.38%100.6万
-49.30%91万
-62.43%70.6万
-62.43%70.6万
17.21%178.4万
35.86%220.5万
18.09%179.5万
241.02%187.9万
241.02%187.9万
159.73%152.2万
-固定资产
-21.40%661.4万
-19.90%646.5万
-23.35%621.5万
-23.35%621.5万
5.49%809.1万
7.75%841.5万
3.79%807.1万
20.15%810.8万
20.15%810.8万
14.14%767万
-累计折旧
9.69%-560.8万
11.49%-555.5万
11.56%-550.9万
11.56%-550.9万
-2.59%-630.7万
-0.37%-621万
-0.32%-627.6万
-0.52%-622.9万
-0.52%-622.9万
-0.23%-614.8万
非流动递延资产
--629万
----
----
----
----
----
----
----
----
----
其他非流动资产
-62.03%7.1万
-67.26%7.4万
-66.54%9万
-66.54%9万
-53.21%14.6万
-47.91%18.7万
-43.92%22.6万
-38.86%26.9万
-38.86%26.9万
-35.40%31.2万
非流动资产合计
207.98%736.7万
-51.31%98.4万
-62.94%79.6万
-62.94%79.6万
5.23%193万
20.69%239.2万
5.10%202.1万
116.75%214.8万
116.75%214.8万
71.56%183.4万
总资产
3.47%1,330.4万
-28.47%1,013.8万
-29.09%1,023.6万
-29.09%1,023.6万
-25.71%1,239.8万
-61.46%1,285.8万
-69.92%1,417.3万
-80.88%1,443.6万
-80.88%1,443.6万
-82.07%1,668.8万
负债
流动负债
应付款项
48.63%1,658.1万
8.64%1,301万
1.23%1,198.1万
1.23%1,198.1万
-6.62%1,059.6万
2.32%1,115.6万
-3.41%1,197.5万
-4.69%1,183.6万
-4.69%1,183.6万
-17.54%1,134.7万
-应付账款
42.72%1,302.3万
1.32%988万
-2.65%934.8万
-2.65%934.8万
-6.78%857.8万
6.50%912.5万
-3.45%975.1万
-4.87%960.2万
-4.87%960.2万
-18.06%920.2万
-应付税费
--135.6万
--103.1万
--49.5万
--49.5万
----
----
----
--0
--0
----
-其他应付款
8.42%220.2万
-5.62%209.9万
-4.30%213.8万
-4.30%213.8万
-5.92%201.8万
-13.02%203.1万
-3.26%222.4万
-3.87%223.4万
-3.87%223.4万
-15.22%214.5万
应计费用
100.59%607.6万
117.10%563.8万
62.78%514.7万
62.78%514.7万
89.09%393.5万
134.08%302.9万
51.87%259.7万
53.64%316.2万
53.64%316.2万
65.95%208.1万
短期借款与租赁负债
-0.85%1,674.5万
0.73%1,672.9万
13.60%1,675.1万
13.60%1,675.1万
15.92%1,683.9万
-28.55%1,688.9万
-34.66%1,660.8万
-47.34%1,474.5万
-47.34%1,474.5万
122.65%1,452.6万
-短期借款
0.10%1,649.6万
-0.08%1,647.5万
12.71%1,646.3万
12.71%1,646.3万
14.25%1,647.2万
-29.81%1,648万
-34.59%1,648.8万
-47.48%1,460.7万
-47.48%1,460.7万
128.97%1,441.8万
-短期租赁负债
-39.12%24.9万
111.67%25.4万
108.70%28.8万
108.70%28.8万
239.81%36.7万
158.86%40.9万
-42.58%12万
-26.20%13.8万
-26.20%13.8万
-52.42%10.8万
递延负债
180.64%420.4万
1.16%157.6万
19.77%177.5万
19.77%177.5万
19.78%139.3万
-22.46%149.8万
260.65%155.8万
157.29%148.2万
157.29%148.2万
55.90%116.3万
其他流动负债
132.62%1,343.4万
152.81%1,308.3万
400.23%1,066.5万
400.23%1,066.5万
733.63%939.5万
394.86%577.5万
1,361.86%517.5万
272.08%213.2万
272.08%213.2万
97.72%112.7万
流动负债总额
45.45%5,947.4万
31.11%5,233.9万
42.34%4,954万
42.34%4,954万
43.46%4,498万
3.14%4,088.9万
-2.49%3,992万
-21.69%3,480.5万
-21.69%3,480.5万
28.87%3,135.3万
非流动负债
长期借款与租赁负债
-55.03%17.9万
683.33%23.5万
410.71%28.6万
410.71%28.6万
1,244.00%33.6万
895.00%39.8万
-45.45%3万
124.00%5.6万
124.00%5.6万
-48.98%2.5万
-长期租赁负债
-55.03%17.9万
683.33%23.5万
410.71%28.6万
410.71%28.6万
1,244.00%33.6万
895.00%39.8万
-45.45%3万
124.00%5.6万
124.00%5.6万
-48.98%2.5万
非流动负债总额
-55.03%17.9万
683.33%23.5万
410.71%28.6万
410.71%28.6万
1,244.00%33.6万
895.00%39.8万
-45.45%3万
124.00%5.6万
124.00%5.6万
-48.98%2.5万
总负债
44.48%5,965.3万
31.60%5,257.4万
42.93%4,982.6万
42.93%4,982.6万
44.42%4,531.6万
4.04%4,128.7万
-2.55%3,995万
-21.61%3,486.1万
-21.61%3,486.1万
28.71%3,137.8万
所有者权益
股本
194.12%5万
192.86%4.1万
83.33%2.2万
83.33%2.2万
-81.13%2万
-83.81%1.7万
-86.67%1.4万
9.09%1.2万
9.09%1.2万
0.95%10.6万
-普通股股本
194.12%5万
192.86%4.1万
83.33%2.2万
83.33%2.2万
-81.13%2万
-83.81%1.7万
-86.67%1.4万
9.09%1.2万
9.09%1.2万
0.95%10.6万
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
-8.49%-4.37亿
-8.77%-4.31亿
-7.50%-4.18亿
-7.50%-4.18亿
-7.85%-4.1亿
-8.51%-4.03亿
-10.66%-3.97亿
-16.66%-3.89亿
-16.66%-3.89亿
-28.88%-3.8亿
资本公积
4.27%3.92亿
4.89%3.9亿
2.79%3.79亿
2.79%3.79亿
3.21%3.78亿
2.81%3.76亿
2.01%3.72亿
1.27%3.69亿
1.27%3.69亿
0.74%3.66亿
不影响留存收益的损益
13.32%-121.7万
-7.31%-126.3万
-38.07%-118.6万
-38.07%-118.6万
-8.09%-122.9万
-102.89%-140.4万
-339.18%-117.7万
-218.15%-85.9万
-218.15%-85.9万
-531.67%-113.7万
股东权益总额
-63.03%-4,634.9万
-64.63%-4,243.6万
-93.83%-3,959万
-93.83%-3,959万
-124.08%-3,291.8万
-349.68%-2,842.9万
-521.12%-2,577.7万
-165.81%-2,042.5万
-165.81%-2,042.5万
-121.38%-1,469万
总权益
-63.03%-4,634.9万
-64.63%-4,243.6万
-93.83%-3,959万
-93.83%-3,959万
-124.08%-3,291.8万
-349.68%-2,842.9万
-521.12%-2,577.7万
-165.81%-2,042.5万
-165.81%-2,042.5万
-121.38%-1,469万
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
--
--
--
--
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 110.58%43.8万-34.34%23.9万178.85%14.5万178.85%14.5万-28.19%27万-98.47%20.8万-98.49%36.4万-99.91%5.2万-99.91%5.2万-99.53%37.6万
-现金和现金等价物 110.58%43.8万-34.34%23.9万178.85%14.5万178.85%14.5万-28.19%27万-80.43%20.8万-86.47%36.4万-99.63%5.2万-99.63%5.2万-88.13%37.6万
-短期投资 --------------------------------------0
应收款项 26.28%436.3万-51.92%131.2万-53.95%143.4万-53.95%143.4万-47.14%304.5万-63.60%345.5万-79.24%272.9万-78.16%311.4万-78.16%311.4万-26.02%576万
-应收账款 26.59%436.1万-57.52%115.5万-58.36%128.7万-58.36%128.7万-47.11%304.3万-63.67%344.5万-75.92%271.9万-69.89%309.1万-69.89%309.1万-21.39%575.3万
-其他应收款 -80.00%2,0001,470.00%15.7万539.13%14.7万539.13%14.7万-71.43%2,00025.00%1万-99.46%1万-99.42%2.3万-99.42%2.3万-98.50%7,000
存货 84.05%64.6万140.13%74.2万143.51%75万143.51%75万-70.55%45.5万-76.43%35.1万-79.29%30.9万-77.12%30.8万-77.12%30.8万-20.20%154.5万
预付费用 -42.15%49万-45.79%68.3万-65.28%46.7万-65.28%46.7万-48.47%79.2万-51.35%84.7万-23.77%126万-24.40%134.5万-24.40%134.5万29.60%153.7万
递延资产 --0-17.46%617.8万-10.97%664.4万-10.97%664.4万4.78%589.9万10.57%559.8万57.12%748.5万1,167.06%746.3万1,167.06%746.3万--563万
其他流动资产 ----------------16.67%7,000--7,000-16.67%5,0000.00%6,0000.00%6,000-98.06%6,000
流动资产合计 -43.27%593.7万-24.67%915.4万-23.18%944万-23.18%944万-29.53%1,046.8万-66.65%1,046.6万-73.11%1,215.2万-83.51%1,228.8万-83.51%1,228.8万-83.86%1,485.4万
非流动资产
固定资产净额 -54.38%100.6万-49.30%91万-62.43%70.6万-62.43%70.6万17.21%178.4万35.86%220.5万18.09%179.5万241.02%187.9万241.02%187.9万159.73%152.2万
-固定资产 -21.40%661.4万-19.90%646.5万-23.35%621.5万-23.35%621.5万5.49%809.1万7.75%841.5万3.79%807.1万20.15%810.8万20.15%810.8万14.14%767万
-累计折旧 9.69%-560.8万11.49%-555.5万11.56%-550.9万11.56%-550.9万-2.59%-630.7万-0.37%-621万-0.32%-627.6万-0.52%-622.9万-0.52%-622.9万-0.23%-614.8万
非流动递延资产 --629万------------------------------------
其他非流动资产 -62.03%7.1万-67.26%7.4万-66.54%9万-66.54%9万-53.21%14.6万-47.91%18.7万-43.92%22.6万-38.86%26.9万-38.86%26.9万-35.40%31.2万
非流动资产合计 207.98%736.7万-51.31%98.4万-62.94%79.6万-62.94%79.6万5.23%193万20.69%239.2万5.10%202.1万116.75%214.8万116.75%214.8万71.56%183.4万
总资产 3.47%1,330.4万-28.47%1,013.8万-29.09%1,023.6万-29.09%1,023.6万-25.71%1,239.8万-61.46%1,285.8万-69.92%1,417.3万-80.88%1,443.6万-80.88%1,443.6万-82.07%1,668.8万
负债
流动负债
应付款项 48.63%1,658.1万8.64%1,301万1.23%1,198.1万1.23%1,198.1万-6.62%1,059.6万2.32%1,115.6万-3.41%1,197.5万-4.69%1,183.6万-4.69%1,183.6万-17.54%1,134.7万
-应付账款 42.72%1,302.3万1.32%988万-2.65%934.8万-2.65%934.8万-6.78%857.8万6.50%912.5万-3.45%975.1万-4.87%960.2万-4.87%960.2万-18.06%920.2万
-应付税费 --135.6万--103.1万--49.5万--49.5万--------------0--0----
-其他应付款 8.42%220.2万-5.62%209.9万-4.30%213.8万-4.30%213.8万-5.92%201.8万-13.02%203.1万-3.26%222.4万-3.87%223.4万-3.87%223.4万-15.22%214.5万
应计费用 100.59%607.6万117.10%563.8万62.78%514.7万62.78%514.7万89.09%393.5万134.08%302.9万51.87%259.7万53.64%316.2万53.64%316.2万65.95%208.1万
短期借款与租赁负债 -0.85%1,674.5万0.73%1,672.9万13.60%1,675.1万13.60%1,675.1万15.92%1,683.9万-28.55%1,688.9万-34.66%1,660.8万-47.34%1,474.5万-47.34%1,474.5万122.65%1,452.6万
-短期借款 0.10%1,649.6万-0.08%1,647.5万12.71%1,646.3万12.71%1,646.3万14.25%1,647.2万-29.81%1,648万-34.59%1,648.8万-47.48%1,460.7万-47.48%1,460.7万128.97%1,441.8万
-短期租赁负债 -39.12%24.9万111.67%25.4万108.70%28.8万108.70%28.8万239.81%36.7万158.86%40.9万-42.58%12万-26.20%13.8万-26.20%13.8万-52.42%10.8万
递延负债 180.64%420.4万1.16%157.6万19.77%177.5万19.77%177.5万19.78%139.3万-22.46%149.8万260.65%155.8万157.29%148.2万157.29%148.2万55.90%116.3万
其他流动负债 132.62%1,343.4万152.81%1,308.3万400.23%1,066.5万400.23%1,066.5万733.63%939.5万394.86%577.5万1,361.86%517.5万272.08%213.2万272.08%213.2万97.72%112.7万
流动负债总额 45.45%5,947.4万31.11%5,233.9万42.34%4,954万42.34%4,954万43.46%4,498万3.14%4,088.9万-2.49%3,992万-21.69%3,480.5万-21.69%3,480.5万28.87%3,135.3万
非流动负债
长期借款与租赁负债 -55.03%17.9万683.33%23.5万410.71%28.6万410.71%28.6万1,244.00%33.6万895.00%39.8万-45.45%3万124.00%5.6万124.00%5.6万-48.98%2.5万
-长期租赁负债 -55.03%17.9万683.33%23.5万410.71%28.6万410.71%28.6万1,244.00%33.6万895.00%39.8万-45.45%3万124.00%5.6万124.00%5.6万-48.98%2.5万
非流动负债总额 -55.03%17.9万683.33%23.5万410.71%28.6万410.71%28.6万1,244.00%33.6万895.00%39.8万-45.45%3万124.00%5.6万124.00%5.6万-48.98%2.5万
总负债 44.48%5,965.3万31.60%5,257.4万42.93%4,982.6万42.93%4,982.6万44.42%4,531.6万4.04%4,128.7万-2.55%3,995万-21.61%3,486.1万-21.61%3,486.1万28.71%3,137.8万
所有者权益
股本 194.12%5万192.86%4.1万83.33%2.2万83.33%2.2万-81.13%2万-83.81%1.7万-86.67%1.4万9.09%1.2万9.09%1.2万0.95%10.6万
-普通股股本 194.12%5万192.86%4.1万83.33%2.2万83.33%2.2万-81.13%2万-83.81%1.7万-86.67%1.4万9.09%1.2万9.09%1.2万0.95%10.6万
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 -8.49%-4.37亿-8.77%-4.31亿-7.50%-4.18亿-7.50%-4.18亿-7.85%-4.1亿-8.51%-4.03亿-10.66%-3.97亿-16.66%-3.89亿-16.66%-3.89亿-28.88%-3.8亿
资本公积 4.27%3.92亿4.89%3.9亿2.79%3.79亿2.79%3.79亿3.21%3.78亿2.81%3.76亿2.01%3.72亿1.27%3.69亿1.27%3.69亿0.74%3.66亿
不影响留存收益的损益 13.32%-121.7万-7.31%-126.3万-38.07%-118.6万-38.07%-118.6万-8.09%-122.9万-102.89%-140.4万-339.18%-117.7万-218.15%-85.9万-218.15%-85.9万-531.67%-113.7万
股东权益总额 -63.03%-4,634.9万-64.63%-4,243.6万-93.83%-3,959万-93.83%-3,959万-124.08%-3,291.8万-349.68%-2,842.9万-521.12%-2,577.7万-165.81%-2,042.5万-165.81%-2,042.5万-121.38%-1,469万
总权益 -63.03%-4,634.9万-64.63%-4,243.6万-93.83%-3,959万-93.83%-3,959万-124.08%-3,291.8万-349.68%-2,842.9万-521.12%-2,577.7万-165.81%-2,042.5万-165.81%-2,042.5万-121.38%-1,469万
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--------带解释段的无保留意见----

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