美股市场个股详情

SIEB Siebert Financial

添加自选
  • 2.480
  • +0.100+4.20%
收盘价 09/27 16:00 (美东)
9949.99万总市值10.78市盈率TTM

Siebert Financial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
-61.46%2.76亿
-4.94%4.06亿
15.03%4.18亿
15.03%4.18亿
-31.21%4.29亿
-1.01%7.16亿
-40.58%4.27亿
-61.60%3.64亿
-61.60%3.64亿
-22.09%6.23亿
-现金和现金等价物
-31.83%520万
-27.27%285.6万
-75.77%573.5万
-75.77%573.5万
9.87%493.2万
86.55%762.8万
-48.79%392.7万
529.91%2,367.2万
529.91%2,367.2万
5.38%448.9万
-短期投资
-61.78%2.71亿
-4.73%4.03亿
21.36%4.13亿
21.36%4.13亿
-31.51%4.24亿
-1.51%7.08亿
-40.49%4.23亿
-63.95%3.4亿
-63.95%3.4亿
-22.24%6.18亿
应收款项
23.82%8,814.7万
34.82%8,722.1万
25.22%7,935.1万
25.22%7,935.1万
11.92%8,259万
-1.44%7,118.9万
-33.11%6,469.6万
-33.88%6,337万
-33.88%6,337万
-24.12%7,379.1万
-应收账款
24.11%8,359.5万
35.60%8,395.5万
25.40%7,668.6万
25.40%7,668.6万
13.13%8,012.7万
-1.57%6,735.7万
-33.00%6,191.5万
-34.61%6,115.1万
-34.61%6,115.1万
-25.02%7,082.6万
-其他应收款
18.79%455.2万
17.44%326.6万
20.10%266.5万
20.10%266.5万
-16.93%246.3万
0.82%383.2万
-35.49%278.1万
-4.48%221.9万
-4.48%221.9万
6.50%296.5万
预付费用
----
----
----
----
----
----
----
----
----
--0
受限制现金
-15.69%2.15亿
-14.65%2.18亿
-0.67%2.74亿
-0.67%2.74亿
-19.57%2.37亿
-20.86%2.55亿
-8.19%2.56亿
-15.50%2.76亿
-15.50%2.76亿
-9.85%2.95亿
其他流动资产
-3.15%169.3万
-21.31%183.2万
-17.27%170万
-17.27%170万
-8.25%161.3万
-3.00%174.8万
24.63%232.8万
28.76%205.5万
28.76%205.5万
15.81%175.8万
流动资产合计
-44.37%5.8亿
-4.87%7.13亿
9.71%7.74亿
9.71%7.74亿
-24.51%7.5亿
-6.80%10.43亿
-31.62%7.5亿
-48.60%7.05亿
-48.60%7.05亿
-18.98%9.94亿
非流动资产
固定资产净额
16.65%1,249.2万
16.41%1,260.9万
15.07%1,214万
15.07%1,214万
16.84%1,235万
1.91%1,070.9万
8.53%1,083.2万
4.20%1,055万
4.20%1,055万
183.68%1,057万
-固定资产
5.82%1,346.3万
5.33%1,336.6万
3.45%1,275.2万
3.45%1,275.2万
18.71%1,453万
5.33%1,272.2万
10.83%1,269万
7.21%1,232.7万
7.21%1,232.7万
228.50%1,224万
-累计折旧
51.76%-97.1万
59.26%-75.7万
65.56%-61.2万
65.56%-61.2万
-30.54%-218万
-28.22%-201.3万
-26.48%-185.8万
-29.42%-177.7万
-29.42%-177.7万
---167万
商誉及其他无形资产
54.41%544.3万
40.83%457.4万
14.80%342.1万
14.80%342.1万
38.77%369万
35.06%352.5万
22.34%324.8万
8.72%298万
8.72%298万
-6.18%265.9万
-商誉
0.00%198.9万
0.00%198.9万
0.00%198.9万
0.00%198.9万
0.00%198.9万
0.00%198.9万
0.00%198.9万
0.00%198.9万
0.00%198.9万
0.00%198.9万
-其他无形资产
124.87%345.4万
105.32%258.5万
44.50%143.2万
44.50%143.2万
153.88%170.1万
147.34%153.6万
89.04%125.9万
31.78%99.1万
31.78%99.1万
-20.71%67万
投资和预付款
----
----
--0
--0
--0
-74.63%251万
-65.46%347.2万
-61.87%343.4万
-61.87%343.4万
1,046.47%974.5万
非流动递延资产
-3.34%367.2万
-0.72%412万
2.43%450.4万
2.43%450.4万
-18.30%350.4万
-13.38%379.9万
-4.40%415万
2.40%439.7万
2.40%439.7万
-5.28%428.9万
长期预付费用
392.82%727.9万
438.33%797.8万
501.45%788.5万
501.45%788.5万
-64.98%147.8万
-66.86%147.7万
-68.60%148.2万
-77.54%131.1万
-77.54%131.1万
-52.03%422.1万
非流动资产合计
31.18%2,888.6万
26.30%2,928.1万
23.28%2,795万
23.28%2,795万
-33.23%2,102.2万
-30.87%2,202万
-26.97%2,318.4万
-29.15%2,267.2万
-29.15%2,267.2万
51.82%3,148.4万
总资产
-42.81%6.09亿
-3.93%7.42亿
10.13%8.02亿
10.13%8.02亿
-24.78%7.71亿
-7.47%10.65亿
-31.49%7.73亿
-48.15%7.28亿
-48.15%7.28亿
-17.80%10.25亿
负债
流动负债
应付款项
-15.83%2.46亿
-13.76%2.61亿
-12.03%2.99亿
-12.03%2.99亿
-16.23%2.82亿
-20.30%2.93亿
-13.57%3.03亿
-15.46%3.4亿
-15.46%3.4亿
-15.68%3.37亿
-应付账款
-16.24%2.38亿
-13.17%2.53亿
-9.41%2.93亿
-9.41%2.93亿
-15.45%2.74亿
-20.19%2.84亿
-13.80%2.92亿
-14.84%3.24亿
-14.84%3.24亿
-14.16%3.24亿
-应付税费
-4.41%158.1万
72.45%334.2万
119.87%231.3万
119.87%231.3万
76.27%249.6万
57.98%165.4万
-5.74%193.8万
-39.82%105.2万
-39.82%105.2万
10.63%141.6万
-其他应付款
-1.31%672.8万
-50.41%458.6万
-79.93%292万
-79.93%292万
-50.87%545.3万
-32.26%681.7万
-7.41%924.8万
-25.34%1,455万
-25.34%1,455万
-45.60%1,109.9万
短期借款与租赁负债
-17.14%78.8万
165.58%561.7万
-62.21%84.3万
-62.21%84.3万
-82.63%93万
-87.05%95.1万
-66.00%211.5万
-75.83%223.1万
-75.83%223.1万
23.17%535.3万
-短期借款
3.61%8.6万
352.50%488.7万
-92.17%8.4万
-92.17%8.4万
-98.05%8.4万
-98.67%8.3万
-78.95%108万
-86.58%107.3万
-86.58%107.3万
43.50%430.2万
-短期租赁负债
-19.12%70.2万
-29.47%73万
-34.46%75.9万
-34.46%75.9万
-19.51%84.6万
-21.31%86.8万
-5.13%103.5万
-6.16%115.8万
-6.16%115.8万
-22.03%105.1万
递延负债
240.11%257.8万
237.29%264.1万
234.90%270.6万
234.90%270.6万
-2.27%73.3万
0.00%75.8万
0.00%78.3万
0.00%80.8万
0.00%80.8万
0.00%75万
其他流动负债
-60.70%2.73亿
-4.09%3.89亿
28.20%4.19亿
28.20%4.19亿
-33.99%4.08亿
-2.71%6.93亿
-42.65%4.06亿
-64.89%3.27亿
-64.89%3.27亿
-21.67%6.19亿
流动负债总额
-47.13%5.22亿
-7.43%6.59亿
7.75%7.22亿
7.75%7.22亿
-28.02%6.92亿
-9.21%9.88亿
-33.19%7.12亿
-50.15%6.7亿
-50.15%6.7亿
-19.49%9.62亿
非流动负债
长期借款与租赁负债
15.86%602.7万
-7.85%624.2万
-10.57%645.6万
-10.57%645.6万
-14.39%662.5万
-36.51%520.2万
-14.10%677.4万
-14.15%721.9万
-14.15%721.9万
-1.45%773.9万
-长期借款
-2.01%418.4万
-26.28%420.5万
-29.21%422.9万
-29.21%422.9万
-31.96%424.9万
-34.55%427万
-11.54%570.4万
-10.97%597.4万
-10.97%597.4万
5.69%624.5万
-长期租赁负债
97.75%184.3万
90.37%203.7万
78.88%222.7万
78.88%222.7万
59.04%237.6万
-44.19%93.2万
-25.59%107万
-26.72%124.5万
-26.72%124.5万
-23.15%149.4万
递延负债
113.53%173.6万
136.40%236.4万
152.69%300.2万
152.69%300.2万
-54.55%62.5万
-47.98%81.3万
-42.86%100万
-38.70%118.8万
-38.70%118.8万
-35.29%137.5万
非流动负债总额
29.06%776.3万
10.70%860.6万
12.50%945.8万
12.50%945.8万
-20.45%725万
-38.35%601.5万
-19.32%777.4万
-18.75%840.7万
-18.75%840.7万
-8.66%911.4万
总负债
-46.67%5.3亿
-7.24%6.67亿
7.81%7.31亿
7.81%7.31亿
-27.95%7亿
-9.47%9.94亿
-33.07%7.2亿
-49.91%6.78亿
-49.91%6.78亿
-19.40%9.71亿
所有者权益
股本
0.99%41万
25.85%40.9万
24.92%40.6万
24.92%40.6万
24.92%40.6万
25.31%40.6万
0.31%32.5万
0.31%32.5万
0.31%32.5万
5.18%32.5万
-普通股股本
0.99%41万
25.85%40.9万
24.92%40.6万
24.92%40.6万
24.92%40.6万
25.31%40.6万
0.31%32.5万
0.31%32.5万
0.31%32.5万
5.18%32.5万
留存收益
38.80%3,453.6万
37.51%3,049.6万
41.23%2,680.8万
41.23%2,680.8万
27.02%2,764.2万
20.14%2,488.1万
10.90%2,217.8万
-9.49%1,898.2万
-9.49%1,898.2万
6.24%2,176.2万
资本公积
1.62%4,574.7万
53.32%4,544.8万
51.87%4,501.6万
51.87%4,501.6万
51.20%4,501.6万
52.39%4,501.6万
0.35%2,964.2万
5.99%2,964.2万
5.99%2,964.2万
36.38%2,977.3万
减:库存股
--251万
--251万
--251万
--251万
756.66%251万
----
----
--0
--0
--29.3万
股东权益总额
11.21%7,818.3万
41.61%7,384.3万
42.43%6,972万
42.43%6,972万
36.82%7,055.4万
39.01%7,030.3万
4.58%5,214.5万
-0.64%4,894.9万
-0.64%4,894.9万
20.98%5,156.7万
非控制性权益
-1.97%99.5万
-0.20%98.8万
1.85%98.9万
1.85%98.9万
-62.26%101.1万
-63.28%101.5万
-66.61%99万
-21.88%97.1万
-21.88%97.1万
--267.9万
总权益
11.02%7,917.8万
40.83%7,483.1万
41.64%7,070.9万
41.64%7,070.9万
31.93%7,156.5万
33.71%7,131.8万
0.58%5,313.5万
-1.16%4,992万
-1.16%4,992万
27.27%5,424.6万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
审计意见
--
--
无保留意见
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--
--
--
--
--
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(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 -61.46%2.76亿-4.94%4.06亿15.03%4.18亿15.03%4.18亿-31.21%4.29亿-1.01%7.16亿-40.58%4.27亿-61.60%3.64亿-61.60%3.64亿-22.09%6.23亿
-现金和现金等价物 -31.83%520万-27.27%285.6万-75.77%573.5万-75.77%573.5万9.87%493.2万86.55%762.8万-48.79%392.7万529.91%2,367.2万529.91%2,367.2万5.38%448.9万
-短期投资 -61.78%2.71亿-4.73%4.03亿21.36%4.13亿21.36%4.13亿-31.51%4.24亿-1.51%7.08亿-40.49%4.23亿-63.95%3.4亿-63.95%3.4亿-22.24%6.18亿
应收款项 23.82%8,814.7万34.82%8,722.1万25.22%7,935.1万25.22%7,935.1万11.92%8,259万-1.44%7,118.9万-33.11%6,469.6万-33.88%6,337万-33.88%6,337万-24.12%7,379.1万
-应收账款 24.11%8,359.5万35.60%8,395.5万25.40%7,668.6万25.40%7,668.6万13.13%8,012.7万-1.57%6,735.7万-33.00%6,191.5万-34.61%6,115.1万-34.61%6,115.1万-25.02%7,082.6万
-其他应收款 18.79%455.2万17.44%326.6万20.10%266.5万20.10%266.5万-16.93%246.3万0.82%383.2万-35.49%278.1万-4.48%221.9万-4.48%221.9万6.50%296.5万
预付费用 --------------------------------------0
受限制现金 -15.69%2.15亿-14.65%2.18亿-0.67%2.74亿-0.67%2.74亿-19.57%2.37亿-20.86%2.55亿-8.19%2.56亿-15.50%2.76亿-15.50%2.76亿-9.85%2.95亿
其他流动资产 -3.15%169.3万-21.31%183.2万-17.27%170万-17.27%170万-8.25%161.3万-3.00%174.8万24.63%232.8万28.76%205.5万28.76%205.5万15.81%175.8万
流动资产合计 -44.37%5.8亿-4.87%7.13亿9.71%7.74亿9.71%7.74亿-24.51%7.5亿-6.80%10.43亿-31.62%7.5亿-48.60%7.05亿-48.60%7.05亿-18.98%9.94亿
非流动资产
固定资产净额 16.65%1,249.2万16.41%1,260.9万15.07%1,214万15.07%1,214万16.84%1,235万1.91%1,070.9万8.53%1,083.2万4.20%1,055万4.20%1,055万183.68%1,057万
-固定资产 5.82%1,346.3万5.33%1,336.6万3.45%1,275.2万3.45%1,275.2万18.71%1,453万5.33%1,272.2万10.83%1,269万7.21%1,232.7万7.21%1,232.7万228.50%1,224万
-累计折旧 51.76%-97.1万59.26%-75.7万65.56%-61.2万65.56%-61.2万-30.54%-218万-28.22%-201.3万-26.48%-185.8万-29.42%-177.7万-29.42%-177.7万---167万
商誉及其他无形资产 54.41%544.3万40.83%457.4万14.80%342.1万14.80%342.1万38.77%369万35.06%352.5万22.34%324.8万8.72%298万8.72%298万-6.18%265.9万
-商誉 0.00%198.9万0.00%198.9万0.00%198.9万0.00%198.9万0.00%198.9万0.00%198.9万0.00%198.9万0.00%198.9万0.00%198.9万0.00%198.9万
-其他无形资产 124.87%345.4万105.32%258.5万44.50%143.2万44.50%143.2万153.88%170.1万147.34%153.6万89.04%125.9万31.78%99.1万31.78%99.1万-20.71%67万
投资和预付款 ----------0--0--0-74.63%251万-65.46%347.2万-61.87%343.4万-61.87%343.4万1,046.47%974.5万
非流动递延资产 -3.34%367.2万-0.72%412万2.43%450.4万2.43%450.4万-18.30%350.4万-13.38%379.9万-4.40%415万2.40%439.7万2.40%439.7万-5.28%428.9万
长期预付费用 392.82%727.9万438.33%797.8万501.45%788.5万501.45%788.5万-64.98%147.8万-66.86%147.7万-68.60%148.2万-77.54%131.1万-77.54%131.1万-52.03%422.1万
非流动资产合计 31.18%2,888.6万26.30%2,928.1万23.28%2,795万23.28%2,795万-33.23%2,102.2万-30.87%2,202万-26.97%2,318.4万-29.15%2,267.2万-29.15%2,267.2万51.82%3,148.4万
总资产 -42.81%6.09亿-3.93%7.42亿10.13%8.02亿10.13%8.02亿-24.78%7.71亿-7.47%10.65亿-31.49%7.73亿-48.15%7.28亿-48.15%7.28亿-17.80%10.25亿
负债
流动负债
应付款项 -15.83%2.46亿-13.76%2.61亿-12.03%2.99亿-12.03%2.99亿-16.23%2.82亿-20.30%2.93亿-13.57%3.03亿-15.46%3.4亿-15.46%3.4亿-15.68%3.37亿
-应付账款 -16.24%2.38亿-13.17%2.53亿-9.41%2.93亿-9.41%2.93亿-15.45%2.74亿-20.19%2.84亿-13.80%2.92亿-14.84%3.24亿-14.84%3.24亿-14.16%3.24亿
-应付税费 -4.41%158.1万72.45%334.2万119.87%231.3万119.87%231.3万76.27%249.6万57.98%165.4万-5.74%193.8万-39.82%105.2万-39.82%105.2万10.63%141.6万
-其他应付款 -1.31%672.8万-50.41%458.6万-79.93%292万-79.93%292万-50.87%545.3万-32.26%681.7万-7.41%924.8万-25.34%1,455万-25.34%1,455万-45.60%1,109.9万
短期借款与租赁负债 -17.14%78.8万165.58%561.7万-62.21%84.3万-62.21%84.3万-82.63%93万-87.05%95.1万-66.00%211.5万-75.83%223.1万-75.83%223.1万23.17%535.3万
-短期借款 3.61%8.6万352.50%488.7万-92.17%8.4万-92.17%8.4万-98.05%8.4万-98.67%8.3万-78.95%108万-86.58%107.3万-86.58%107.3万43.50%430.2万
-短期租赁负债 -19.12%70.2万-29.47%73万-34.46%75.9万-34.46%75.9万-19.51%84.6万-21.31%86.8万-5.13%103.5万-6.16%115.8万-6.16%115.8万-22.03%105.1万
递延负债 240.11%257.8万237.29%264.1万234.90%270.6万234.90%270.6万-2.27%73.3万0.00%75.8万0.00%78.3万0.00%80.8万0.00%80.8万0.00%75万
其他流动负债 -60.70%2.73亿-4.09%3.89亿28.20%4.19亿28.20%4.19亿-33.99%4.08亿-2.71%6.93亿-42.65%4.06亿-64.89%3.27亿-64.89%3.27亿-21.67%6.19亿
流动负债总额 -47.13%5.22亿-7.43%6.59亿7.75%7.22亿7.75%7.22亿-28.02%6.92亿-9.21%9.88亿-33.19%7.12亿-50.15%6.7亿-50.15%6.7亿-19.49%9.62亿
非流动负债
长期借款与租赁负债 15.86%602.7万-7.85%624.2万-10.57%645.6万-10.57%645.6万-14.39%662.5万-36.51%520.2万-14.10%677.4万-14.15%721.9万-14.15%721.9万-1.45%773.9万
-长期借款 -2.01%418.4万-26.28%420.5万-29.21%422.9万-29.21%422.9万-31.96%424.9万-34.55%427万-11.54%570.4万-10.97%597.4万-10.97%597.4万5.69%624.5万
-长期租赁负债 97.75%184.3万90.37%203.7万78.88%222.7万78.88%222.7万59.04%237.6万-44.19%93.2万-25.59%107万-26.72%124.5万-26.72%124.5万-23.15%149.4万
递延负债 113.53%173.6万136.40%236.4万152.69%300.2万152.69%300.2万-54.55%62.5万-47.98%81.3万-42.86%100万-38.70%118.8万-38.70%118.8万-35.29%137.5万
非流动负债总额 29.06%776.3万10.70%860.6万12.50%945.8万12.50%945.8万-20.45%725万-38.35%601.5万-19.32%777.4万-18.75%840.7万-18.75%840.7万-8.66%911.4万
总负债 -46.67%5.3亿-7.24%6.67亿7.81%7.31亿7.81%7.31亿-27.95%7亿-9.47%9.94亿-33.07%7.2亿-49.91%6.78亿-49.91%6.78亿-19.40%9.71亿
所有者权益
股本 0.99%41万25.85%40.9万24.92%40.6万24.92%40.6万24.92%40.6万25.31%40.6万0.31%32.5万0.31%32.5万0.31%32.5万5.18%32.5万
-普通股股本 0.99%41万25.85%40.9万24.92%40.6万24.92%40.6万24.92%40.6万25.31%40.6万0.31%32.5万0.31%32.5万0.31%32.5万5.18%32.5万
留存收益 38.80%3,453.6万37.51%3,049.6万41.23%2,680.8万41.23%2,680.8万27.02%2,764.2万20.14%2,488.1万10.90%2,217.8万-9.49%1,898.2万-9.49%1,898.2万6.24%2,176.2万
资本公积 1.62%4,574.7万53.32%4,544.8万51.87%4,501.6万51.87%4,501.6万51.20%4,501.6万52.39%4,501.6万0.35%2,964.2万5.99%2,964.2万5.99%2,964.2万36.38%2,977.3万
减:库存股 --251万--251万--251万--251万756.66%251万----------0--0--29.3万
股东权益总额 11.21%7,818.3万41.61%7,384.3万42.43%6,972万42.43%6,972万36.82%7,055.4万39.01%7,030.3万4.58%5,214.5万-0.64%4,894.9万-0.64%4,894.9万20.98%5,156.7万
非控制性权益 -1.97%99.5万-0.20%98.8万1.85%98.9万1.85%98.9万-62.26%101.1万-63.28%101.5万-66.61%99万-21.88%97.1万-21.88%97.1万--267.9万
总权益 11.02%7,917.8万40.83%7,483.1万41.64%7,070.9万41.64%7,070.9万31.93%7,156.5万33.71%7,131.8万0.58%5,313.5万-1.16%4,992万-1.16%4,992万27.27%5,424.6万
货币单位 美元美元美元美元美元美元美元美元美元美元
审计意见 ----无保留意见--------------

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