美股市场个股详情

REAX The Real Brokerage

添加自选
  • 5.640
  • +0.160+2.92%
收盘价 11/06 16:00 (美东)
  • 5.850
  • +0.210+3.72%
盘后 17:06 (美东)
11.15亿总市值-31333市盈率TTM

The Real Brokerage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
19.65%3,359.2万
77.16%3,448.5万
54.39%2,892.9万
54.39%2,892.9万
4.11%3,303.4万
-24.01%2,807.6万
-47.97%1,946.6万
-45.89%1,873.8万
-45.89%1,873.8万
-29.44%3,172.9万
-现金和现金等价物
35.83%2,331.6万
82.89%2,007.2万
35.60%1,470.7万
35.60%1,470.7万
-13.38%1,900.6万
-47.22%1,716.5万
-62.08%1,097.5万
-57.99%1,084.6万
-57.99%1,084.6万
-39.18%2,194.3万
-短期投资
-5.82%1,027.6万
69.74%1,441.3万
80.21%1,422.2万
80.21%1,422.2万
43.35%1,402.8万
146.35%1,091.1万
0.19%849.1万
-10.43%789.2万
-10.43%789.2万
10.04%978.6万
应收款项
845.22%1,868.7万
552.99%962.5万
301.23%650.4万
301.23%650.4万
205.02%261.4万
546.08%197.7万
236.53%147.4万
485.20%162.1万
485.20%162.1万
187.58%85.7万
-应收账款
867.84%1,863.1万
581.56%953.5万
316.35%644.1万
316.35%644.1万
224.27%253.9万
702.08%192.5万
298.58%139.9万
509.06%154.7万
509.06%154.7万
184.73%78.3万
-其他应收款
7.69%5.6万
20.00%9万
-14.86%6.3万
-14.86%6.3万
1.35%7.5万
-21.21%5.2万
-13.79%7.5万
221.74%7.4万
221.74%7.4万
221.74%7.4万
预付费用
45.51%154.1万
62.28%122.2万
303.02%213.2万
303.02%213.2万
69.44%132.5万
-18.48%105.9万
-48.00%75.3万
18.08%52.9万
18.08%52.9万
39.64%78.2万
受限制现金
43.25%4,237.4万
58.33%2,444万
73.08%1,294.8万
73.08%1,294.8万
--1,633.3万
--2,958万
32,742.55%1,543.6万
125.94%748.1万
125.94%748.1万
--0
流动资产合计
58.50%9,619.4万
87.92%6,977.2万
78.06%5,051.3万
78.06%5,051.3万
59.75%5,330.6万
57.42%6,069.2万
-5.64%3,712.9万
-26.63%2,836.9万
-26.63%2,836.9万
-27.26%3,336.8万
非流动资产
固定资产净额
34.76%197.7万
11.17%159.3万
12.44%160万
12.44%160万
46.57%156.1万
78.90%146.7万
131.13%143.3万
410.04%142.3万
410.04%142.3万
429.85%106.5万
-固定资产
3.61%267.2万
-14.05%217.1万
19.64%263.2万
19.64%263.2万
47.15%250.6万
84.35%257.9万
119.27%252.6万
183.51%220万
183.51%220万
154.56%170.3万
-累计折旧
37.50%-69.5万
47.12%-57.8万
-32.82%-103.2万
-32.82%-103.2万
-48.12%-94.5万
-92.06%-111.2万
-105.45%-109.3万
-56.34%-77.7万
-56.34%-77.7万
-36.32%-63.8万
商誉及其他无形资产
-11.11%1,198.9万
-10.77%1,221.2万
-10.99%1,243.5万
-10.99%1,243.5万
3.09%1,329.2万
4.38%1,348.8万
5.20%1,368.6万
1,227.95%1,397万
1,227.95%1,397万
1,064.68%1,289.3万
-商誉
-11.61%899.3万
-11.62%899.3万
-12.37%899.3万
-12.37%899.3万
-18.78%1,017.4万
-18.78%1,017.4万
-18.78%1,017.5万
1,604.65%1,026.2万
1,604.65%1,026.2万
--1,252.7万
-其他无形资产
-9.60%299.6万
-8.32%321.9万
-7.17%344.2万
-7.17%344.2万
751.91%311.8万
738.99%331.4万
626.92%351.1万
724.00%370.8万
724.00%370.8万
-66.94%36.6万
其他非流动资产
----
----
----
----
----
-200.00%-1,000
----
----
----
----
非流动资产合计
-6.61%1,396.6万
-8.69%1,380.5万
-8.82%1,403.5万
-8.82%1,403.5万
6.41%1,485.3万
8.81%1,495.4万
10.93%1,511.9万
1,055.63%1,539.3万
1,055.63%1,539.3万
967.13%1,395.8万
总资产
45.63%1.1亿
59.96%8,357.7万
47.50%6,454.8万
47.50%6,454.8万
44.02%6,815.9万
44.65%7,564.6万
-1.38%5,224.8万
9.41%4,376.2万
9.41%4,376.2万
0.30%4,732.6万
负债
流动负债
应付款项
388.96%1,222.4万
985.78%1,175.9万
-47.47%87.3万
-47.47%87.3万
-89.40%272.5万
-90.82%250万
-95.62%108.3万
1,668.09%166.2万
1,668.09%166.2万
266.99%2,570万
-应付账款
4.36%119.6万
195.41%109.3万
20.46%57.1万
20.46%57.1万
-95.37%65.3万
-90.55%114.6万
-95.41%37万
777.78%47.4万
777.78%47.4万
136.61%1,409万
-其他应付款
714.48%1,102.8万
1,395.93%1,066.6万
-74.58%30.2万
-74.58%30.2万
-82.15%207.2万
-91.03%135.4万
-95.73%71.3万
2,870.00%118.8万
2,870.00%118.8万
1,007.82%1,161万
应计费用
58.03%3,362.9万
41.93%2,121.4万
12.71%1,337.4万
12.71%1,337.4万
--2,393.4万
--2,128万
--1,494.7万
34.57%1,186.6万
34.57%1,186.6万
----
短期借款与租赁负债
----
----
----
----
----
----
-80.95%1.6万
5.49%9.6万
5.49%9.6万
-23.17%6.3万
-短期租赁负债
----
----
--0
--0
--0
--0
-80.95%1.6万
5.49%9.6万
5.49%9.6万
-23.17%6.3万
递延负债
11.98%3,312.4万
58.33%2,444万
73.08%1,294.8万
73.08%1,294.8万
--1,633.3万
--2,958万
--1,543.6万
125.94%748.1万
125.94%748.1万
----
其他流动负债
--35.6万
--54万
----
----
----
----
----
----
----
----
流动负债总额
48.68%7,933.3万
84.08%5,795.3万
28.86%2,719.5万
28.86%2,719.5万
66.87%4,299.2万
95.36%5,336万
26.83%3,148.2万
71.39%2,110.5万
71.39%2,110.5万
263.63%2,576.3万
非流动负债
长期借款与租赁负债
----
----
----
----
----
----
----
----
----
--0
-长期租赁负债
----
----
----
----
----
----
----
----
----
--0
员工福利
----
----
----
----
----
----
----
----
----
630.81%792.2万
衍生品负债
--0
--0
11.16%26.9万
11.16%26.9万
2.50%24.6万
27.56%32.4万
-48.19%20万
-62.13%24.2万
-62.13%24.2万
-22.58%24万
非流动负债总额
--0
--0
11.16%26.9万
11.16%26.9万
-96.99%24.6万
-95.07%32.4万
-95.29%20万
-64.36%24.2万
-64.36%24.2万
457.13%816.2万
总负债
47.78%7,933.3万
82.92%5,795.3万
28.66%2,746.4万
28.66%2,746.4万
27.45%4,323.8万
58.43%5,368.4万
8.98%3,168.2万
64.30%2,134.7万
64.30%2,134.7万
296.78%3,392.5万
所有者权益
股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
-普通股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
-53.52%-9,551.7万
-62.31%-9,430.2万
-54.24%-7,820.5万
-54.24%-7,820.5万
-50.91%-6,624.1万
-60.98%-6,221.7万
-68.70%-5,809.9万
-68.30%-5,070.4万
-68.30%-5,070.4万
-67.01%-4,389.5万
资本公积
40.54%7,907.5万
12.82%6,842.2万
-1.01%6,256.7万
-1.01%6,256.7万
-6.81%5,940万
-11.44%5,626.6万
-4.80%6,064.9万
-0.30%6,320.4万
-0.30%6,320.4万
7.60%6,373.8万
减:库存股
141.10%1,043.5万
-81.50%211万
-98.28%25.7万
-98.28%25.7万
-94.36%92.5万
-74.69%432.8万
-32.44%1,140.3万
18.33%1,496.2万
18.33%1,496.2万
--1,639万
不影响留存收益的损益
255.15%42.2万
97.82%-5,000
64.39%-16.7万
64.39%-16.7万
54.55%-24.5万
21.39%-27.2万
45.48%-22.9万
-35.16%-46.9万
-35.16%-46.9万
---53.9万
其他权益
78.05%5,702万
82.39%5,344.8万
111.05%5,293.7万
111.05%5,293.7万
217.90%3,266.1万
195.53%3,202.4万
147.13%2,930.5万
272.98%2,508.3万
272.98%2,508.3万
80.88%1,027.4万
股东权益总额
42.34%3,056.5万
25.86%2,545.3万
66.46%3,687.5万
66.46%3,687.5万
86.91%2,465万
17.49%2,147.3万
-15.11%2,022.3万
-17.97%2,215.2万
-17.97%2,215.2万
-65.86%1,318.8万
非控制性权益
-46.42%26.2万
-50.15%17.1万
-20.53%20.9万
-20.53%20.9万
27.23%27.1万
262.22%48.9万
308.33%34.3万
--26.3万
--26.3万
--21.3万
总权益
40.37%3,082.7万
24.59%2,562.4万
65.44%3,708.4万
65.44%3,708.4万
85.96%2,492.1万
19.29%2,196.2万
-13.97%2,056.6万
-16.99%2,241.5万
-16.99%2,241.5万
-65.31%1,340.1万
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
--
--
(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 19.65%3,359.2万77.16%3,448.5万54.39%2,892.9万54.39%2,892.9万4.11%3,303.4万-24.01%2,807.6万-47.97%1,946.6万-45.89%1,873.8万-45.89%1,873.8万-29.44%3,172.9万
-现金和现金等价物 35.83%2,331.6万82.89%2,007.2万35.60%1,470.7万35.60%1,470.7万-13.38%1,900.6万-47.22%1,716.5万-62.08%1,097.5万-57.99%1,084.6万-57.99%1,084.6万-39.18%2,194.3万
-短期投资 -5.82%1,027.6万69.74%1,441.3万80.21%1,422.2万80.21%1,422.2万43.35%1,402.8万146.35%1,091.1万0.19%849.1万-10.43%789.2万-10.43%789.2万10.04%978.6万
应收款项 845.22%1,868.7万552.99%962.5万301.23%650.4万301.23%650.4万205.02%261.4万546.08%197.7万236.53%147.4万485.20%162.1万485.20%162.1万187.58%85.7万
-应收账款 867.84%1,863.1万581.56%953.5万316.35%644.1万316.35%644.1万224.27%253.9万702.08%192.5万298.58%139.9万509.06%154.7万509.06%154.7万184.73%78.3万
-其他应收款 7.69%5.6万20.00%9万-14.86%6.3万-14.86%6.3万1.35%7.5万-21.21%5.2万-13.79%7.5万221.74%7.4万221.74%7.4万221.74%7.4万
预付费用 45.51%154.1万62.28%122.2万303.02%213.2万303.02%213.2万69.44%132.5万-18.48%105.9万-48.00%75.3万18.08%52.9万18.08%52.9万39.64%78.2万
受限制现金 43.25%4,237.4万58.33%2,444万73.08%1,294.8万73.08%1,294.8万--1,633.3万--2,958万32,742.55%1,543.6万125.94%748.1万125.94%748.1万--0
流动资产合计 58.50%9,619.4万87.92%6,977.2万78.06%5,051.3万78.06%5,051.3万59.75%5,330.6万57.42%6,069.2万-5.64%3,712.9万-26.63%2,836.9万-26.63%2,836.9万-27.26%3,336.8万
非流动资产
固定资产净额 34.76%197.7万11.17%159.3万12.44%160万12.44%160万46.57%156.1万78.90%146.7万131.13%143.3万410.04%142.3万410.04%142.3万429.85%106.5万
-固定资产 3.61%267.2万-14.05%217.1万19.64%263.2万19.64%263.2万47.15%250.6万84.35%257.9万119.27%252.6万183.51%220万183.51%220万154.56%170.3万
-累计折旧 37.50%-69.5万47.12%-57.8万-32.82%-103.2万-32.82%-103.2万-48.12%-94.5万-92.06%-111.2万-105.45%-109.3万-56.34%-77.7万-56.34%-77.7万-36.32%-63.8万
商誉及其他无形资产 -11.11%1,198.9万-10.77%1,221.2万-10.99%1,243.5万-10.99%1,243.5万3.09%1,329.2万4.38%1,348.8万5.20%1,368.6万1,227.95%1,397万1,227.95%1,397万1,064.68%1,289.3万
-商誉 -11.61%899.3万-11.62%899.3万-12.37%899.3万-12.37%899.3万-18.78%1,017.4万-18.78%1,017.4万-18.78%1,017.5万1,604.65%1,026.2万1,604.65%1,026.2万--1,252.7万
-其他无形资产 -9.60%299.6万-8.32%321.9万-7.17%344.2万-7.17%344.2万751.91%311.8万738.99%331.4万626.92%351.1万724.00%370.8万724.00%370.8万-66.94%36.6万
其他非流动资产 ---------------------200.00%-1,000----------------
非流动资产合计 -6.61%1,396.6万-8.69%1,380.5万-8.82%1,403.5万-8.82%1,403.5万6.41%1,485.3万8.81%1,495.4万10.93%1,511.9万1,055.63%1,539.3万1,055.63%1,539.3万967.13%1,395.8万
总资产 45.63%1.1亿59.96%8,357.7万47.50%6,454.8万47.50%6,454.8万44.02%6,815.9万44.65%7,564.6万-1.38%5,224.8万9.41%4,376.2万9.41%4,376.2万0.30%4,732.6万
负债
流动负债
应付款项 388.96%1,222.4万985.78%1,175.9万-47.47%87.3万-47.47%87.3万-89.40%272.5万-90.82%250万-95.62%108.3万1,668.09%166.2万1,668.09%166.2万266.99%2,570万
-应付账款 4.36%119.6万195.41%109.3万20.46%57.1万20.46%57.1万-95.37%65.3万-90.55%114.6万-95.41%37万777.78%47.4万777.78%47.4万136.61%1,409万
-其他应付款 714.48%1,102.8万1,395.93%1,066.6万-74.58%30.2万-74.58%30.2万-82.15%207.2万-91.03%135.4万-95.73%71.3万2,870.00%118.8万2,870.00%118.8万1,007.82%1,161万
应计费用 58.03%3,362.9万41.93%2,121.4万12.71%1,337.4万12.71%1,337.4万--2,393.4万--2,128万--1,494.7万34.57%1,186.6万34.57%1,186.6万----
短期借款与租赁负债 -------------------------80.95%1.6万5.49%9.6万5.49%9.6万-23.17%6.3万
-短期租赁负债 ----------0--0--0--0-80.95%1.6万5.49%9.6万5.49%9.6万-23.17%6.3万
递延负债 11.98%3,312.4万58.33%2,444万73.08%1,294.8万73.08%1,294.8万--1,633.3万--2,958万--1,543.6万125.94%748.1万125.94%748.1万----
其他流动负债 --35.6万--54万--------------------------------
流动负债总额 48.68%7,933.3万84.08%5,795.3万28.86%2,719.5万28.86%2,719.5万66.87%4,299.2万95.36%5,336万26.83%3,148.2万71.39%2,110.5万71.39%2,110.5万263.63%2,576.3万
非流动负债
长期借款与租赁负债 --------------------------------------0
-长期租赁负债 --------------------------------------0
员工福利 ------------------------------------630.81%792.2万
衍生品负债 --0--011.16%26.9万11.16%26.9万2.50%24.6万27.56%32.4万-48.19%20万-62.13%24.2万-62.13%24.2万-22.58%24万
非流动负债总额 --0--011.16%26.9万11.16%26.9万-96.99%24.6万-95.07%32.4万-95.29%20万-64.36%24.2万-64.36%24.2万457.13%816.2万
总负债 47.78%7,933.3万82.92%5,795.3万28.66%2,746.4万28.66%2,746.4万27.45%4,323.8万58.43%5,368.4万8.98%3,168.2万64.30%2,134.7万64.30%2,134.7万296.78%3,392.5万
所有者权益
股本 --0--0--0--0--0--0--0--0--0--0
-普通股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 -53.52%-9,551.7万-62.31%-9,430.2万-54.24%-7,820.5万-54.24%-7,820.5万-50.91%-6,624.1万-60.98%-6,221.7万-68.70%-5,809.9万-68.30%-5,070.4万-68.30%-5,070.4万-67.01%-4,389.5万
资本公积 40.54%7,907.5万12.82%6,842.2万-1.01%6,256.7万-1.01%6,256.7万-6.81%5,940万-11.44%5,626.6万-4.80%6,064.9万-0.30%6,320.4万-0.30%6,320.4万7.60%6,373.8万
减:库存股 141.10%1,043.5万-81.50%211万-98.28%25.7万-98.28%25.7万-94.36%92.5万-74.69%432.8万-32.44%1,140.3万18.33%1,496.2万18.33%1,496.2万--1,639万
不影响留存收益的损益 255.15%42.2万97.82%-5,00064.39%-16.7万64.39%-16.7万54.55%-24.5万21.39%-27.2万45.48%-22.9万-35.16%-46.9万-35.16%-46.9万---53.9万
其他权益 78.05%5,702万82.39%5,344.8万111.05%5,293.7万111.05%5,293.7万217.90%3,266.1万195.53%3,202.4万147.13%2,930.5万272.98%2,508.3万272.98%2,508.3万80.88%1,027.4万
股东权益总额 42.34%3,056.5万25.86%2,545.3万66.46%3,687.5万66.46%3,687.5万86.91%2,465万17.49%2,147.3万-15.11%2,022.3万-17.97%2,215.2万-17.97%2,215.2万-65.86%1,318.8万
非控制性权益 -46.42%26.2万-50.15%17.1万-20.53%20.9万-20.53%20.9万27.23%27.1万262.22%48.9万308.33%34.3万--26.3万--26.3万--21.3万
总权益 40.37%3,082.7万24.59%2,562.4万65.44%3,708.4万65.44%3,708.4万85.96%2,492.1万19.29%2,196.2万-13.97%2,056.6万-16.99%2,241.5万-16.99%2,241.5万-65.31%1,340.1万
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 ----无保留意见--------无保留意见----

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