美股市场个股详情

Regis (RGS)

添加自选
  • 22.200
  • -0.560-2.46%
收盘价 03/03 15:59 (美东)
  • 22.200
  • 0.0000.00%
盘后 16:04 (美东)
5547.29万总市值0.51市盈率TTM

Regis (RGS) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2025/12/31
(Q1)2025/09/30
(FY)2025/06/30
(Q4)2025/06/30
(Q3)2025/03/31
(Q2)2024/12/31
(Q1)2024/09/30
(FY)2024/06/30
(Q4)2024/06/30
(Q3)2024/03/31
资产
流动资产
现金及现金等价物和短期投资
80.28%1,838.5万
164.58%1,656万
68.48%1,695.9万
68.48%1,695.9万
125.74%1,328.7万
42.57%1,019.8万
-32.68%625.9万
5.87%1,006.6万
5.87%1,006.6万
-33.01%588.6万
-现金和现金等价物
80.28%1,838.5万
164.58%1,656万
68.48%1,695.9万
68.48%1,695.9万
125.74%1,328.7万
42.57%1,019.8万
-32.68%625.9万
5.87%1,006.6万
5.87%1,006.6万
-33.01%588.6万
应收款项
12.32%933.7万
1.52%922万
0.41%947.3万
0.41%947.3万
-5.62%897.9万
-30.79%831.3万
-6.34%908.2万
-13.33%943.4万
-13.33%943.4万
-30.65%951.4万
-应收账款
12.32%933.7万
1.52%922万
0.41%947.3万
0.41%947.3万
-5.62%897.9万
-30.79%831.3万
-6.34%908.2万
-13.33%943.4万
-13.33%943.4万
-30.65%951.4万
存货
--256.7万
--275.1万
242.05%279.8万
242.05%279.8万
----
----
----
-51.34%81.8万
-51.34%81.8万
-62.79%72万
预付费用
----
----
99.12%136.2万
99.12%136.2万
----
----
----
-54.70%68.4万
-54.70%68.4万
----
受限制现金
----
--1,920.7万
-5.20%1,824.6万
-5.20%1,824.6万
--1,922.1万
----
----
61.89%1,924.6万
61.89%1,924.6万
----
其他流动资产
-12.42%2,182.5万
-81.75%366.6万
-8.66%164.6万
-8.66%164.6万
-49.25%591.5万
344.62%2,492.1万
417.79%2,008.5万
2.04%180.2万
2.04%180.2万
-21.12%1,165.6万
流动资产合计
19.99%5,211.4万
45.10%5,140.4万
20.06%5,048.4万
20.06%5,048.4万
70.66%4,740.2万
22.63%4,343.2万
2.29%3,542.6万
12.92%4,205万
12.92%4,205万
-29.17%2,777.6万
非流动资产
固定资产净额
-16.55%2.31亿
-15.50%2.34亿
-17.71%2.4亿
-17.71%2.4亿
-19.33%2.55亿
-17.76%2.77亿
-19.34%2.77亿
-20.61%2.92亿
-20.61%2.92亿
-20.74%3.17亿
-固定资产
-16.55%2.31亿
-15.50%2.34亿
-19.68%2.53亿
-19.68%2.53亿
-19.33%2.55亿
-17.76%2.77亿
-19.34%2.77亿
-20.37%3.16亿
-20.37%3.16亿
-20.74%3.17亿
-累计折旧
----
----
43.66%-1,350.9万
43.66%-1,350.9万
----
----
----
17.37%-2,397.9万
17.37%-2,397.9万
----
商誉及其他无形资产
-1.17%1.89亿
7.40%1.89亿
7.80%1.89亿
7.80%1.89亿
8.17%1.9亿
8.42%1.91亿
-0.12%1.76亿
-0.57%1.76亿
-0.57%1.76亿
-0.19%1.76亿
-商誉
-2.94%1.83亿
5.59%1.83亿
5.94%1.83亿
5.94%1.83亿
6.33%1.84亿
8.74%1.89亿
0.05%1.73亿
-0.37%1.73亿
-0.37%1.73亿
-0.01%1.73亿
-其他无形资产
143.89%561.2万
139.46%569.2万
140.21%583万
140.21%583万
134.55%590.6万
-12.68%230.1万
-11.67%237.7万
-12.79%242.7万
-12.79%242.7万
-10.99%251.8万
非流动递延资产
--1.01亿
--1.02亿
--1.03亿
--1.03亿
----
----
----
--0
--0
----
其他非流动资产
-19.15%1,470.7万
-23.43%1,564.3万
-21.32%1,675.7万
-21.32%1,675.7万
-22.32%1,826.3万
-26.69%1,819.1万
-20.62%2,043万
-19.04%2,129.7万
-19.04%2,129.7万
-10.12%2,351.1万
非流动资产合计
10.18%5.36亿
14.19%5.41亿
12.29%5.48亿
12.29%5.48亿
-10.10%4.64亿
-9.59%4.87亿
-13.20%4.74亿
-14.33%4.88亿
-14.33%4.88亿
-14.26%5.16亿
总资产
10.98%5.88亿
16.34%5.92亿
12.91%5.99亿
12.91%5.99亿
-5.97%5.11亿
-7.60%5.3亿
-12.28%5.09亿
-12.66%5.3亿
-12.66%5.3亿
-15.17%5.44亿
负债
流动负债
应付款项
21.26%1,994.9万
46.20%2,219.4万
63.47%2,083.7万
63.47%2,083.7万
82.24%1,812.7万
36.56%1,645.1万
16.16%1,518.1万
-10.92%1,274.7万
-10.92%1,274.7万
-37.18%994.7万
-应付账款
21.26%1,994.9万
46.20%2,219.4万
63.47%2,083.7万
63.47%2,083.7万
82.24%1,812.7万
36.56%1,645.1万
16.16%1,518.1万
-10.92%1,274.7万
-10.92%1,274.7万
-37.18%994.7万
应计费用
-20.10%1,605.7万
-11.17%1,653.6万
-9.89%1,523.4万
-9.89%1,523.4万
-21.01%2,029.6万
-22.47%2,009.7万
-28.79%1,861.5万
-26.37%1,690.6万
-26.37%1,690.6万
-1.77%2,569.3万
短期借款与租赁负债
-12.56%6,205.8万
-8.84%6,122.5万
-10.62%6,178.5万
-10.62%6,178.5万
-14.85%6,257.2万
-7.70%7,097.1万
-13.90%6,716.1万
-15.61%6,912.7万
-15.61%6,912.7万
-15.61%7,348.5万
-短期借款
--210万
--165万
--110万
--110万
----
----
----
----
----
----
-短期租赁负债
-15.52%5,995.8万
-11.30%5,957.5万
-12.21%6,068.5万
-12.21%6,068.5万
-14.85%6,257.2万
-7.70%7,097.1万
-13.90%6,716.1万
-15.61%6,912.7万
-15.61%6,912.7万
-15.61%7,348.5万
递延负债
----
----
-19.12%383.2万
-19.12%383.2万
----
----
----
-33.72%473.8万
-33.72%473.8万
----
流动负债总额
-8.79%9,806.4万
-0.99%9,995.5万
-1.77%1.02亿
-1.77%1.02亿
-7.45%1.01亿
-6.40%1.08亿
-13.87%1.01亿
-18.06%1.04亿
-18.06%1.04亿
-15.45%1.09亿
非流动负债
长期借款与租赁负债
-11.43%2.82亿
-9.37%2.84亿
-12.47%2.89亿
-12.47%2.89亿
-28.83%3.05亿
-28.95%3.18亿
-30.64%3.13亿
-29.56%3.3亿
-29.56%3.3亿
-12.97%4.29亿
-长期借款
-0.28%1.11亿
15.16%1.1亿
10.19%1.1亿
10.19%1.1亿
-37.67%1.12亿
-38.60%1.12亿
-47.05%9,517.6万
-43.71%9,954.5万
-43.71%9,954.5万
2.88%1.8亿
-长期租赁负债
-17.45%1.71亿
-20.08%1.74亿
-22.26%1.79亿
-22.26%1.79亿
-22.46%1.93亿
-22.37%2.07亿
-19.80%2.18亿
-21.00%2.31亿
-21.00%2.31亿
-21.66%2.49亿
递延负债
----
----
-51.17%1,648.9万
-51.17%1,648.9万
----
----
----
-15.71%3,376.9万
-15.71%3,376.9万
----
其他非流动负债
-47.85%1,954.1万
-45.96%2,069.5万
-1.26%619.1万
-1.26%619.1万
-12.29%3,628.5万
-15.41%3,747万
-17.72%3,829.5万
-30.17%627万
-30.17%627万
-19.93%4,136.9万
非流动负债总额
-15.27%3.02亿
-13.36%3.05亿
-15.81%3.12亿
-15.81%3.12亿
-27.38%3.42亿
-27.73%3.56亿
-29.43%3.52亿
-28.50%3.7亿
-28.50%3.7亿
-13.63%4.7亿
总负债
-13.77%4亿
-10.60%4.05亿
-12.74%4.13亿
-12.74%4.13亿
-23.63%4.43亿
-23.70%4.63亿
-26.47%4.53亿
-26.45%4.74亿
-26.45%4.74亿
-13.98%5.8亿
所有者权益
股本
2.46%12.5万
7.89%12.3万
7.02%12.2万
7.02%12.2万
7.02%12.2万
7.02%12.2万
-95.00%11.4万
0.00%11.4万
0.00%11.4万
-95.00%11.4万
-普通股股本
2.46%12.5万
7.89%12.3万
7.02%12.2万
7.02%12.2万
7.02%12.2万
7.02%12.2万
-95.00%11.4万
0.00%11.4万
0.00%11.4万
-95.00%11.4万
留存收益
802.19%1.04亿
560.76%1.03亿
572.69%1.02亿
572.69%1.02亿
87.12%-1,452.9万
86.62%-1,477.9万
79.88%-2,242.4万
80.85%-2,157.1万
80.85%-2,157.1万
-4.59%-1.13亿
资本公积
4.57%7,659.1万
8.77%7,611万
8.01%7,524.3万
8.01%7,524.3万
10.05%7,487.8万
8.17%7,324.3万
7.38%6,997.2万
4.34%6,966万
4.34%6,966万
6.24%6,804万
不影响留存收益的损益
1.02%821.5万
-8.46%799.7万
-3.47%828.6万
-3.47%828.6万
-7.08%817.3万
-9.90%813.2万
0.02%873.6万
-4.87%858.4万
-4.87%858.4万
0.43%879.6万
股东权益总额
182.84%1.89亿
232.55%1.88亿
226.86%1.86亿
226.86%1.86亿
291.63%6,864.4万
298.62%6,671.8万
259.93%5,639.8万
254.61%5,678.7万
254.61%5,678.7万
-9.39%-3,582.2万
总权益
182.84%1.89亿
232.55%1.88亿
226.86%1.86亿
226.86%1.86亿
291.63%6,864.4万
298.62%6,671.8万
259.93%5,639.8万
254.61%5,678.7万
254.61%5,678.7万
-9.39%-3,582.2万
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)2025/12/31(Q1)2025/09/30(FY)2025/06/30(Q4)2025/06/30(Q3)2025/03/31(Q2)2024/12/31(Q1)2024/09/30(FY)2024/06/30(Q4)2024/06/30(Q3)2024/03/31
资产
流动资产
现金及现金等价物和短期投资 80.28%1,838.5万164.58%1,656万68.48%1,695.9万68.48%1,695.9万125.74%1,328.7万42.57%1,019.8万-32.68%625.9万5.87%1,006.6万5.87%1,006.6万-33.01%588.6万
-现金和现金等价物 80.28%1,838.5万164.58%1,656万68.48%1,695.9万68.48%1,695.9万125.74%1,328.7万42.57%1,019.8万-32.68%625.9万5.87%1,006.6万5.87%1,006.6万-33.01%588.6万
应收款项 12.32%933.7万1.52%922万0.41%947.3万0.41%947.3万-5.62%897.9万-30.79%831.3万-6.34%908.2万-13.33%943.4万-13.33%943.4万-30.65%951.4万
-应收账款 12.32%933.7万1.52%922万0.41%947.3万0.41%947.3万-5.62%897.9万-30.79%831.3万-6.34%908.2万-13.33%943.4万-13.33%943.4万-30.65%951.4万
存货 --256.7万--275.1万242.05%279.8万242.05%279.8万-------------51.34%81.8万-51.34%81.8万-62.79%72万
预付费用 --------99.12%136.2万99.12%136.2万-------------54.70%68.4万-54.70%68.4万----
受限制现金 ------1,920.7万-5.20%1,824.6万-5.20%1,824.6万--1,922.1万--------61.89%1,924.6万61.89%1,924.6万----
其他流动资产 -12.42%2,182.5万-81.75%366.6万-8.66%164.6万-8.66%164.6万-49.25%591.5万344.62%2,492.1万417.79%2,008.5万2.04%180.2万2.04%180.2万-21.12%1,165.6万
流动资产合计 19.99%5,211.4万45.10%5,140.4万20.06%5,048.4万20.06%5,048.4万70.66%4,740.2万22.63%4,343.2万2.29%3,542.6万12.92%4,205万12.92%4,205万-29.17%2,777.6万
非流动资产
固定资产净额 -16.55%2.31亿-15.50%2.34亿-17.71%2.4亿-17.71%2.4亿-19.33%2.55亿-17.76%2.77亿-19.34%2.77亿-20.61%2.92亿-20.61%2.92亿-20.74%3.17亿
-固定资产 -16.55%2.31亿-15.50%2.34亿-19.68%2.53亿-19.68%2.53亿-19.33%2.55亿-17.76%2.77亿-19.34%2.77亿-20.37%3.16亿-20.37%3.16亿-20.74%3.17亿
-累计折旧 --------43.66%-1,350.9万43.66%-1,350.9万------------17.37%-2,397.9万17.37%-2,397.9万----
商誉及其他无形资产 -1.17%1.89亿7.40%1.89亿7.80%1.89亿7.80%1.89亿8.17%1.9亿8.42%1.91亿-0.12%1.76亿-0.57%1.76亿-0.57%1.76亿-0.19%1.76亿
-商誉 -2.94%1.83亿5.59%1.83亿5.94%1.83亿5.94%1.83亿6.33%1.84亿8.74%1.89亿0.05%1.73亿-0.37%1.73亿-0.37%1.73亿-0.01%1.73亿
-其他无形资产 143.89%561.2万139.46%569.2万140.21%583万140.21%583万134.55%590.6万-12.68%230.1万-11.67%237.7万-12.79%242.7万-12.79%242.7万-10.99%251.8万
非流动递延资产 --1.01亿--1.02亿--1.03亿--1.03亿--------------0--0----
其他非流动资产 -19.15%1,470.7万-23.43%1,564.3万-21.32%1,675.7万-21.32%1,675.7万-22.32%1,826.3万-26.69%1,819.1万-20.62%2,043万-19.04%2,129.7万-19.04%2,129.7万-10.12%2,351.1万
非流动资产合计 10.18%5.36亿14.19%5.41亿12.29%5.48亿12.29%5.48亿-10.10%4.64亿-9.59%4.87亿-13.20%4.74亿-14.33%4.88亿-14.33%4.88亿-14.26%5.16亿
总资产 10.98%5.88亿16.34%5.92亿12.91%5.99亿12.91%5.99亿-5.97%5.11亿-7.60%5.3亿-12.28%5.09亿-12.66%5.3亿-12.66%5.3亿-15.17%5.44亿
负债
流动负债
应付款项 21.26%1,994.9万46.20%2,219.4万63.47%2,083.7万63.47%2,083.7万82.24%1,812.7万36.56%1,645.1万16.16%1,518.1万-10.92%1,274.7万-10.92%1,274.7万-37.18%994.7万
-应付账款 21.26%1,994.9万46.20%2,219.4万63.47%2,083.7万63.47%2,083.7万82.24%1,812.7万36.56%1,645.1万16.16%1,518.1万-10.92%1,274.7万-10.92%1,274.7万-37.18%994.7万
应计费用 -20.10%1,605.7万-11.17%1,653.6万-9.89%1,523.4万-9.89%1,523.4万-21.01%2,029.6万-22.47%2,009.7万-28.79%1,861.5万-26.37%1,690.6万-26.37%1,690.6万-1.77%2,569.3万
短期借款与租赁负债 -12.56%6,205.8万-8.84%6,122.5万-10.62%6,178.5万-10.62%6,178.5万-14.85%6,257.2万-7.70%7,097.1万-13.90%6,716.1万-15.61%6,912.7万-15.61%6,912.7万-15.61%7,348.5万
-短期借款 --210万--165万--110万--110万------------------------
-短期租赁负债 -15.52%5,995.8万-11.30%5,957.5万-12.21%6,068.5万-12.21%6,068.5万-14.85%6,257.2万-7.70%7,097.1万-13.90%6,716.1万-15.61%6,912.7万-15.61%6,912.7万-15.61%7,348.5万
递延负债 ---------19.12%383.2万-19.12%383.2万-------------33.72%473.8万-33.72%473.8万----
流动负债总额 -8.79%9,806.4万-0.99%9,995.5万-1.77%1.02亿-1.77%1.02亿-7.45%1.01亿-6.40%1.08亿-13.87%1.01亿-18.06%1.04亿-18.06%1.04亿-15.45%1.09亿
非流动负债
长期借款与租赁负债 -11.43%2.82亿-9.37%2.84亿-12.47%2.89亿-12.47%2.89亿-28.83%3.05亿-28.95%3.18亿-30.64%3.13亿-29.56%3.3亿-29.56%3.3亿-12.97%4.29亿
-长期借款 -0.28%1.11亿15.16%1.1亿10.19%1.1亿10.19%1.1亿-37.67%1.12亿-38.60%1.12亿-47.05%9,517.6万-43.71%9,954.5万-43.71%9,954.5万2.88%1.8亿
-长期租赁负债 -17.45%1.71亿-20.08%1.74亿-22.26%1.79亿-22.26%1.79亿-22.46%1.93亿-22.37%2.07亿-19.80%2.18亿-21.00%2.31亿-21.00%2.31亿-21.66%2.49亿
递延负债 ---------51.17%1,648.9万-51.17%1,648.9万-------------15.71%3,376.9万-15.71%3,376.9万----
其他非流动负债 -47.85%1,954.1万-45.96%2,069.5万-1.26%619.1万-1.26%619.1万-12.29%3,628.5万-15.41%3,747万-17.72%3,829.5万-30.17%627万-30.17%627万-19.93%4,136.9万
非流动负债总额 -15.27%3.02亿-13.36%3.05亿-15.81%3.12亿-15.81%3.12亿-27.38%3.42亿-27.73%3.56亿-29.43%3.52亿-28.50%3.7亿-28.50%3.7亿-13.63%4.7亿
总负债 -13.77%4亿-10.60%4.05亿-12.74%4.13亿-12.74%4.13亿-23.63%4.43亿-23.70%4.63亿-26.47%4.53亿-26.45%4.74亿-26.45%4.74亿-13.98%5.8亿
所有者权益
股本 2.46%12.5万7.89%12.3万7.02%12.2万7.02%12.2万7.02%12.2万7.02%12.2万-95.00%11.4万0.00%11.4万0.00%11.4万-95.00%11.4万
-普通股股本 2.46%12.5万7.89%12.3万7.02%12.2万7.02%12.2万7.02%12.2万7.02%12.2万-95.00%11.4万0.00%11.4万0.00%11.4万-95.00%11.4万
留存收益 802.19%1.04亿560.76%1.03亿572.69%1.02亿572.69%1.02亿87.12%-1,452.9万86.62%-1,477.9万79.88%-2,242.4万80.85%-2,157.1万80.85%-2,157.1万-4.59%-1.13亿
资本公积 4.57%7,659.1万8.77%7,611万8.01%7,524.3万8.01%7,524.3万10.05%7,487.8万8.17%7,324.3万7.38%6,997.2万4.34%6,966万4.34%6,966万6.24%6,804万
不影响留存收益的损益 1.02%821.5万-8.46%799.7万-3.47%828.6万-3.47%828.6万-7.08%817.3万-9.90%813.2万0.02%873.6万-4.87%858.4万-4.87%858.4万0.43%879.6万
股东权益总额 182.84%1.89亿232.55%1.88亿226.86%1.86亿226.86%1.86亿291.63%6,864.4万298.62%6,671.8万259.93%5,639.8万254.61%5,678.7万254.61%5,678.7万-9.39%-3,582.2万
总权益 182.84%1.89亿232.55%1.88亿226.86%1.86亿226.86%1.86亿291.63%6,864.4万298.62%6,671.8万259.93%5,639.8万254.61%5,678.7万254.61%5,678.7万-9.39%-3,582.2万
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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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