美股市场个股详情

POET Technologies (POET)

添加自选
  • 7.310
  • +0.190+2.67%
收盘价 05/01 16:00 (美东)
  • 7.230
  • -0.080-1.09%
盘后 16:45 (美东)
11.16亿总市值-10.75市盈率TTM

POET Technologies (POET) 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
482.35%3.13亿
482.35%3.13亿
121.95%9,273.59万
243.58%7,305.3万
1,316.54%4,864.2万
1,682.56%5,381.66万
1,682.56%5,381.66万
833.39%4,178.29万
149.91%2,126.21万
-68.70%343.39万
-现金和现金等价物
7.58%3,995.92万
7.58%3,995.92万
-67.66%1,351.44万
-41.85%1,236.5万
363.05%1,590.04万
1,130.31%3,714.38万
1,130.31%3,714.38万
833.39%4,178.29万
149.91%2,126.21万
-68.70%343.39万
-短期投资
1,540.03%2.73亿
1,540.03%2.73亿
--7,922.15万
--6,068.8万
--3,274.15万
--1,667.28万
--1,667.28万
----
----
----
应收款项
-85.16%20.89万
-85.16%20.89万
25.40%57.86万
1,108.73%150.07万
961.79%129.35万
2,360.16%140.72万
2,360.16%140.72万
491.49%46.14万
71.13%12.42万
26.03%12.18万
-应收账款
--0
--0
--12.51万
--0
--0
--7,257
--7,257
----
----
----
-应收税费
-85.08%20.89万
-85.08%20.89万
-1.71%45.35万
1,108.73%150.07万
961.79%129.35万
2,347.47%140万
2,347.47%140万
491.49%46.14万
98.36%12.42万
86.23%12.18万
预付费用
230.93%85.46万
230.93%85.46万
-64.75%37.06万
-17.61%40.75万
276.14%69.33万
176.28%25.83万
176.28%25.83万
173.08%105.11万
112.31%49.46万
-37.79%18.43万
流动资产合计
466.78%3.14亿
466.78%3.14亿
116.39%9,368.51万
242.59%7,496.12万
1,253.71%5,062.87万
1,650.36%5,548.2万
1,650.36%5,548.2万
776.53%4,329.54万
148.27%2,188.09万
-67.09%374万
非流动资产
固定资产净额
-0.82%1,334.61万
-0.82%1,334.61万
100.54%1,334.76万
136.26%1,399.35万
195.94%1,354.45万
163.55%1,345.58万
163.55%1,345.58万
26.88%665.58万
23.75%592.3万
-8.15%457.67万
-固定资产
14.69%2,360.82万
14.69%2,360.82万
67.27%2,273.05万
82.16%2,252.89万
102.34%2,131.15万
94.79%2,058.4万
94.79%2,058.4万
32.83%1,358.93万
33.24%1,236.75万
16.38%1,053.24万
-累计折旧
-43.97%-1,026.21万
-43.97%-1,026.21万
-35.33%-938.29万
-32.44%-853.54万
-30.41%-776.71万
-30.52%-712.82万
-30.52%-712.82万
-39.09%-693.35万
-43.34%-644.45万
-46.43%-595.57万
商誉及其他无形资产
-8.30%55.64万
-8.30%55.64万
3.17%58.07万
18.53%60.5万
9.36%58.3万
20.84%60.67万
20.84%60.67万
7.46%56.28万
-6.41%51.05万
-6.00%53.31万
-其他无形资产
-8.30%55.64万
-8.30%55.64万
3.17%58.07万
18.53%60.5万
9.36%58.3万
20.84%60.67万
20.84%60.67万
7.46%56.28万
-6.41%51.05万
-6.00%53.31万
长期预付费用
92.90%20.81万
92.90%20.81万
--22.03万
--11.57万
--11.72万
--10.79万
--10.79万
----
----
----
非流动资产合计
-0.42%1,411.06万
-0.42%1,411.06万
96.00%1,414.86万
128.71%1,471.43万
178.77%1,424.47万
152.70%1,417.04万
152.70%1,417.04万
25.11%721.87万
20.66%643.35万
-7.93%510.99万
总资产
371.73%3.29亿
371.73%3.29亿
113.47%1.08亿
216.71%8,967.55万
633.04%6,487.34万
693.54%6,965.24万
693.54%6,965.24万
371.69%5,051.41万
100.17%2,831.43万
-47.68%884.99万
负债
流动负债
应付款项
-76.54%123.62万
-76.54%123.62万
58.05%161.83万
105.89%282.69万
243.92%405.83万
284.44%526.94万
284.44%526.94万
20.74%102.39万
0.45%137.3万
-49.15%118万
-应付账款
-76.54%123.62万
-76.54%123.62万
58.05%161.83万
105.89%282.69万
243.92%405.83万
284.44%526.94万
284.44%526.94万
20.74%102.39万
0.45%137.3万
-49.15%118万
应计费用
-42.47%40.33万
-42.47%40.33万
108.95%127.45万
130.06%82.78万
59.09%41.74万
-24.68%70.11万
-24.68%70.11万
20.75%61万
-36.81%35.98万
-28.00%26.24万
短期借款与租赁负债
-8.76%603.63万
-8.76%603.63万
4,000.87%664.79万
3,587.30%664.79万
3,244.99%675.42万
2,713.57%661.58万
2,713.57%661.58万
-17.49%16.21万
-14.21%18.03万
18.00%20.19万
-短期借款
-10.77%580万
-10.77%580万
--650万
--650万
--650万
21,423.18%650万
21,423.18%650万
----
----
----
-短期租赁负债
104.07%23.63万
104.07%23.63万
-8.78%14.79万
-17.98%14.79万
25.89%25.42万
-43.50%11.58万
-43.50%11.58万
-2.96%16.21万
0.18%18.03万
42.66%20.19万
递延负债
--44.58万
--44.58万
--61.9万
----
--27.61万
--0
--0
----
----
----
其他流动负债
279.38%1.36亿
279.38%1.36亿
70.99%3,059.96万
--2,932.86万
--2,034.25万
3,466.99%3,575.06万
3,466.99%3,575.06万
--1,789.56万
----
----
流动负债总额
197.40%1.44亿
197.40%1.44亿
106.99%4,075.93万
1,971.51%3,963.12万
1,836.84%3,184.86万
1,265.89%4,833.69万
1,265.89%4,833.69万
1,089.86%1,969.16万
-15.04%191.32万
-47.38%164.44万
非流动负债
长期借款与租赁负债
64.36%102.99万
64.36%102.99万
211.15%63.62万
202.86%67.89万
122.72%56.86万
104.02%62.66万
104.02%62.66万
-12.02%20.45万
-18.16%22.42万
151.81%25.53万
-长期租赁负债
64.36%102.99万
64.36%102.99万
211.15%63.62万
202.86%67.89万
122.72%56.86万
104.02%62.66万
104.02%62.66万
-12.02%20.45万
-18.16%22.42万
151.81%25.53万
衍生品负债
----
----
----
----
----
----
----
----
--134.8万
--159.41万
非流动负债总额
64.36%102.99万
64.36%102.99万
211.15%63.62万
-56.82%67.89万
-69.25%56.86万
104.02%62.66万
104.02%62.66万
-12.02%20.45万
474.01%157.22万
1,724.07%184.94万
总负债
195.70%1.45亿
195.70%1.45亿
108.06%4,139.55万
1,056.56%4,031.01万
827.85%3,241.72万
1,173.10%4,896.36万
1,173.10%4,896.36万
954.18%1,989.61万
38.00%348.53万
8.29%349.38万
所有者权益
股本
98.03%4.43亿
98.03%4.43亿
25.71%2.55亿
30.94%2.44亿
36.94%2.3亿
35.02%2.24亿
35.02%2.24亿
22.86%2.03亿
13.75%1.86亿
4.13%1.68亿
-普通股股本
98.03%4.43亿
98.03%4.43亿
25.71%2.55亿
30.94%2.44亿
36.94%2.3亿
35.02%2.24亿
35.02%2.24亿
22.86%2.03亿
13.75%1.86亿
4.13%1.68亿
留存收益
-9.63%-2.97亿
-9.63%-2.97亿
-21.00%-2.91亿
-23.65%-2.82亿
-20.29%-2.65亿
-26.46%-2.71亿
-26.46%-2.71亿
-15.28%-2.41亿
-11.93%-2.28亿
-10.39%-2.2亿
资本公积
-84.11%932.97万
-84.11%932.97万
-0.83%5,897.98万
0.89%5,851.39万
4.94%5,917.96万
5.91%5,872.48万
5.91%5,872.48万
9.23%5,947.24万
8.77%5,799.59万
7.64%5,639.55万
不影响留存收益的损益
-8.87%-212.19万
-8.87%-212.19万
5.95%-217.62万
87.17%-34.86万
33.50%-178.43万
25.07%-194.91万
25.07%-194.91万
13.68%-231.38万
-4.77%-271.63万
-0.98%-268.3万
其他权益
174.25%3,059.96万
174.25%3,059.96万
307.86%4,576.57万
159.00%2,921.9万
172.33%934.3万
1,565.05%1,115.77万
1,565.05%1,115.77万
1,574.47%1,122.08万
1,260.12%1,128.14万
102.61%343.07万
股东权益总额
788.35%1.84亿
788.35%1.84亿
116.99%6,643.82万
98.82%4,936.54万
505.97%3,245.62万
319.53%2,068.89万
319.53%2,068.89万
247.08%3,061.8万
113.69%2,482.9万
-60.87%535.61万
总权益
788.35%1.84亿
788.35%1.84亿
116.99%6,643.82万
98.82%4,936.54万
505.97%3,245.62万
319.53%2,068.89万
319.53%2,068.89万
247.08%3,061.8万
113.69%2,482.9万
-60.87%535.61万
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)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 482.35%3.13亿482.35%3.13亿121.95%9,273.59万243.58%7,305.3万1,316.54%4,864.2万1,682.56%5,381.66万1,682.56%5,381.66万833.39%4,178.29万149.91%2,126.21万-68.70%343.39万
-现金和现金等价物 7.58%3,995.92万7.58%3,995.92万-67.66%1,351.44万-41.85%1,236.5万363.05%1,590.04万1,130.31%3,714.38万1,130.31%3,714.38万833.39%4,178.29万149.91%2,126.21万-68.70%343.39万
-短期投资 1,540.03%2.73亿1,540.03%2.73亿--7,922.15万--6,068.8万--3,274.15万--1,667.28万--1,667.28万------------
应收款项 -85.16%20.89万-85.16%20.89万25.40%57.86万1,108.73%150.07万961.79%129.35万2,360.16%140.72万2,360.16%140.72万491.49%46.14万71.13%12.42万26.03%12.18万
-应收账款 --0--0--12.51万--0--0--7,257--7,257------------
-应收税费 -85.08%20.89万-85.08%20.89万-1.71%45.35万1,108.73%150.07万961.79%129.35万2,347.47%140万2,347.47%140万491.49%46.14万98.36%12.42万86.23%12.18万
预付费用 230.93%85.46万230.93%85.46万-64.75%37.06万-17.61%40.75万276.14%69.33万176.28%25.83万176.28%25.83万173.08%105.11万112.31%49.46万-37.79%18.43万
流动资产合计 466.78%3.14亿466.78%3.14亿116.39%9,368.51万242.59%7,496.12万1,253.71%5,062.87万1,650.36%5,548.2万1,650.36%5,548.2万776.53%4,329.54万148.27%2,188.09万-67.09%374万
非流动资产
固定资产净额 -0.82%1,334.61万-0.82%1,334.61万100.54%1,334.76万136.26%1,399.35万195.94%1,354.45万163.55%1,345.58万163.55%1,345.58万26.88%665.58万23.75%592.3万-8.15%457.67万
-固定资产 14.69%2,360.82万14.69%2,360.82万67.27%2,273.05万82.16%2,252.89万102.34%2,131.15万94.79%2,058.4万94.79%2,058.4万32.83%1,358.93万33.24%1,236.75万16.38%1,053.24万
-累计折旧 -43.97%-1,026.21万-43.97%-1,026.21万-35.33%-938.29万-32.44%-853.54万-30.41%-776.71万-30.52%-712.82万-30.52%-712.82万-39.09%-693.35万-43.34%-644.45万-46.43%-595.57万
商誉及其他无形资产 -8.30%55.64万-8.30%55.64万3.17%58.07万18.53%60.5万9.36%58.3万20.84%60.67万20.84%60.67万7.46%56.28万-6.41%51.05万-6.00%53.31万
-其他无形资产 -8.30%55.64万-8.30%55.64万3.17%58.07万18.53%60.5万9.36%58.3万20.84%60.67万20.84%60.67万7.46%56.28万-6.41%51.05万-6.00%53.31万
长期预付费用 92.90%20.81万92.90%20.81万--22.03万--11.57万--11.72万--10.79万--10.79万------------
非流动资产合计 -0.42%1,411.06万-0.42%1,411.06万96.00%1,414.86万128.71%1,471.43万178.77%1,424.47万152.70%1,417.04万152.70%1,417.04万25.11%721.87万20.66%643.35万-7.93%510.99万
总资产 371.73%3.29亿371.73%3.29亿113.47%1.08亿216.71%8,967.55万633.04%6,487.34万693.54%6,965.24万693.54%6,965.24万371.69%5,051.41万100.17%2,831.43万-47.68%884.99万
负债
流动负债
应付款项 -76.54%123.62万-76.54%123.62万58.05%161.83万105.89%282.69万243.92%405.83万284.44%526.94万284.44%526.94万20.74%102.39万0.45%137.3万-49.15%118万
-应付账款 -76.54%123.62万-76.54%123.62万58.05%161.83万105.89%282.69万243.92%405.83万284.44%526.94万284.44%526.94万20.74%102.39万0.45%137.3万-49.15%118万
应计费用 -42.47%40.33万-42.47%40.33万108.95%127.45万130.06%82.78万59.09%41.74万-24.68%70.11万-24.68%70.11万20.75%61万-36.81%35.98万-28.00%26.24万
短期借款与租赁负债 -8.76%603.63万-8.76%603.63万4,000.87%664.79万3,587.30%664.79万3,244.99%675.42万2,713.57%661.58万2,713.57%661.58万-17.49%16.21万-14.21%18.03万18.00%20.19万
-短期借款 -10.77%580万-10.77%580万--650万--650万--650万21,423.18%650万21,423.18%650万------------
-短期租赁负债 104.07%23.63万104.07%23.63万-8.78%14.79万-17.98%14.79万25.89%25.42万-43.50%11.58万-43.50%11.58万-2.96%16.21万0.18%18.03万42.66%20.19万
递延负债 --44.58万--44.58万--61.9万------27.61万--0--0------------
其他流动负债 279.38%1.36亿279.38%1.36亿70.99%3,059.96万--2,932.86万--2,034.25万3,466.99%3,575.06万3,466.99%3,575.06万--1,789.56万--------
流动负债总额 197.40%1.44亿197.40%1.44亿106.99%4,075.93万1,971.51%3,963.12万1,836.84%3,184.86万1,265.89%4,833.69万1,265.89%4,833.69万1,089.86%1,969.16万-15.04%191.32万-47.38%164.44万
非流动负债
长期借款与租赁负债 64.36%102.99万64.36%102.99万211.15%63.62万202.86%67.89万122.72%56.86万104.02%62.66万104.02%62.66万-12.02%20.45万-18.16%22.42万151.81%25.53万
-长期租赁负债 64.36%102.99万64.36%102.99万211.15%63.62万202.86%67.89万122.72%56.86万104.02%62.66万104.02%62.66万-12.02%20.45万-18.16%22.42万151.81%25.53万
衍生品负债 ----------------------------------134.8万--159.41万
非流动负债总额 64.36%102.99万64.36%102.99万211.15%63.62万-56.82%67.89万-69.25%56.86万104.02%62.66万104.02%62.66万-12.02%20.45万474.01%157.22万1,724.07%184.94万
总负债 195.70%1.45亿195.70%1.45亿108.06%4,139.55万1,056.56%4,031.01万827.85%3,241.72万1,173.10%4,896.36万1,173.10%4,896.36万954.18%1,989.61万38.00%348.53万8.29%349.38万
所有者权益
股本 98.03%4.43亿98.03%4.43亿25.71%2.55亿30.94%2.44亿36.94%2.3亿35.02%2.24亿35.02%2.24亿22.86%2.03亿13.75%1.86亿4.13%1.68亿
-普通股股本 98.03%4.43亿98.03%4.43亿25.71%2.55亿30.94%2.44亿36.94%2.3亿35.02%2.24亿35.02%2.24亿22.86%2.03亿13.75%1.86亿4.13%1.68亿
留存收益 -9.63%-2.97亿-9.63%-2.97亿-21.00%-2.91亿-23.65%-2.82亿-20.29%-2.65亿-26.46%-2.71亿-26.46%-2.71亿-15.28%-2.41亿-11.93%-2.28亿-10.39%-2.2亿
资本公积 -84.11%932.97万-84.11%932.97万-0.83%5,897.98万0.89%5,851.39万4.94%5,917.96万5.91%5,872.48万5.91%5,872.48万9.23%5,947.24万8.77%5,799.59万7.64%5,639.55万
不影响留存收益的损益 -8.87%-212.19万-8.87%-212.19万5.95%-217.62万87.17%-34.86万33.50%-178.43万25.07%-194.91万25.07%-194.91万13.68%-231.38万-4.77%-271.63万-0.98%-268.3万
其他权益 174.25%3,059.96万174.25%3,059.96万307.86%4,576.57万159.00%2,921.9万172.33%934.3万1,565.05%1,115.77万1,565.05%1,115.77万1,574.47%1,122.08万1,260.12%1,128.14万102.61%343.07万
股东权益总额 788.35%1.84亿788.35%1.84亿116.99%6,643.82万98.82%4,936.54万505.97%3,245.62万319.53%2,068.89万319.53%2,068.89万247.08%3,061.8万113.69%2,482.9万-60.87%535.61万
总权益 788.35%1.84亿788.35%1.84亿116.99%6,643.82万98.82%4,936.54万505.97%3,245.62万319.53%2,068.89万319.53%2,068.89万247.08%3,061.8万113.69%2,482.9万-60.87%535.61万
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审计意见 无保留意见--------无保留意见--------
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