美股市场个股详情

TAOFF IPERIONX LTD

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  • 2.500
  • +0.150+6.38%
延时15分钟行情收盘价 10/08 16:00 (美东)
6.34亿总市值-25000市盈率TTM

IPERIONX LTD关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2024/06/30
(Q4)2024/06/30
(Q2)2023/12/31
(FY)2023/06/30
(Q4)2023/06/30
(Q2)2022/12/31
(FY)2022/06/30
(Q4)2022/06/30
(FY)2021/06/30
(Q4)2021/06/30
资产
流动资产
现金及现金等价物和短期投资
177.75%3,315.74万
177.75%3,315.74万
51.51%1,733万
110.45%1,193.79万
110.45%1,193.79万
--1,143.85万
234.09%567.26万
234.09%567.26万
49.83%169.79万
49.83%169.79万
-现金和现金等价物
177.75%3,315.74万
177.75%3,315.74万
51.51%1,733万
110.45%1,193.79万
110.45%1,193.79万
--1,143.85万
234.09%567.26万
234.09%567.26万
49.83%169.79万
49.83%169.79万
应收款项
907.91%230.2万
907.91%230.2万
3,101.83%270.48万
913.29%22.84万
913.29%22.84万
--8.45万
6,509.97%2.25万
6,509.97%2.25万
-98.83%341
-98.83%341
-应收账款
907.91%230.2万
907.91%230.2万
3,101.83%270.48万
913.29%22.84万
913.29%22.84万
--8.45万
6,509.97%2.25万
6,509.97%2.25万
-98.83%341
-98.83%341
存货
--1.69万
--1.69万
----
----
----
----
----
----
----
----
预付费用
931.91%607.17万
931.91%607.17万
1,282.52%352.75万
308.09%58.84万
308.09%58.84万
--25.51万
193.84%14.42万
193.84%14.42万
187.10%4.91万
187.10%4.91万
流动资产合计
225.75%4,154.8万
225.75%4,154.8万
100.05%2,356.23万
118.43%1,275.47万
118.43%1,275.47万
--1,177.82万
234.19%583.93万
234.19%583.93万
48.15%174.73万
48.15%174.73万
非流动资产
固定资产净额
97.02%1,388.79万
97.02%1,388.79万
68.55%1,048.12万
84.56%704.88万
84.56%704.88万
--621.85万
265.70%381.92万
265.70%381.92万
21.04%104.44万
21.04%104.44万
-固定资产
97.78%1,510.56万
97.78%1,510.56万
74.01%1,136.23万
91.83%763.75万
91.83%763.75万
--652.98万
277.85%398.14万
277.85%398.14万
22.12%105.37万
22.12%105.37万
-累计折旧
-106.85%-121.77万
-106.85%-121.77万
-183.05%-88.11万
-263.04%-58.87万
-263.04%-58.87万
---31.13万
-1,639.15%-16.22万
-1,639.15%-16.22万
---9,324
---9,324
投资和预付款
----
----
----
--0
--0
--0
--25万
--25万
--0
--0
长期预付费用
--0
--0
--0
--300万
--300万
----
--0
--0
----
----
非流动资产合计
38.20%1,388.79万
38.20%1,388.79万
68.55%1,048.12万
146.95%1,004.88万
146.95%1,004.88万
--621.85万
289.63%406.92万
289.63%406.92万
21.04%104.44万
21.04%104.44万
总资产
143.10%5,543.59万
143.10%5,543.59万
89.17%3,404.35万
130.14%2,280.35万
130.14%2,280.35万
--1,799.67万
254.93%990.85万
254.93%990.85万
36.70%279.17万
36.70%279.17万
负债
流动负债
应付款项
189.52%205.85万
189.52%205.85万
198.63%106.89万
-57.62%71.1万
-57.62%71.1万
--35.79万
484.90%167.78万
484.90%167.78万
889.29%28.68万
889.29%28.68万
-应付账款
84.11%130.91万
84.11%130.91万
198.63%106.89万
-57.62%71.1万
-57.62%71.1万
--35.79万
484.90%167.78万
484.90%167.78万
7,420.47%28.68万
7,420.47%28.68万
-其他应付款
--74.94万
--74.94万
----
----
----
----
----
----
----
----
应计费用
-44.82%25.93万
-44.82%25.93万
-0.88%110.06万
112.09%47万
112.09%47万
--111.03万
-14.11%22.16万
-14.11%22.16万
--25.8万
--25.8万
现行拨备
242.58%28.78万
242.58%28.78万
----
81.09%8.4万
81.09%8.4万
----
319.12%4.64万
319.12%4.64万
--1.11万
--1.11万
短期借款与租赁负债
16.50%44.58万
16.50%44.58万
21.06%44.05万
185.02%38.26万
185.02%38.26万
--36.39万
65.52%13.42万
65.52%13.42万
354.68%8.11万
354.68%8.11万
-短期借款
6.73%6,373
6.73%6,373
7.31%6,168
6.74%5,971
6.74%5,971
--5,748
--5,594
--5,594
----
----
-短期租赁负债
16.65%43.94万
16.65%43.94万
21.28%43.43万
192.77%37.67万
192.77%37.67万
--35.81万
58.63%12.87万
58.63%12.87万
354.68%8.11万
354.68%8.11万
流动负债总额
85.20%305.14万
85.20%305.14万
43.34%262.61万
-20.79%164.76万
-20.79%164.76万
--183.21万
226.52%208万
226.52%208万
880.39%63.7万
880.39%63.7万
非流动负债
长期借款与租赁负债
76.30%104.49万
76.30%104.49万
57.45%124.16万
44.99%59.27万
44.99%59.27万
--78.86万
3.61%40.88万
3.61%40.88万
--39.45万
--39.45万
-长期借款
-25.60%1.85万
-25.60%1.85万
-22.15%2.18万
-19.35%2.49万
-19.35%2.49万
--2.8万
--3.09万
--3.09万
----
----
-长期租赁负债
80.77%102.64万
80.77%102.64万
60.37%121.99万
50.24%56.78万
50.24%56.78万
--76.06万
-4.21%37.79万
-4.21%37.79万
--39.45万
--39.45万
非流动负债总额
76.30%104.49万
76.30%104.49万
57.45%124.16万
44.99%59.27万
44.99%59.27万
--78.86万
3.61%40.88万
3.61%40.88万
--39.45万
--39.45万
总负债
82.85%409.63万
82.85%409.63万
47.58%386.77万
-9.98%224.03万
-9.98%224.03万
--262.07万
141.26%248.88万
141.26%248.88万
1,487.62%103.16万
1,487.62%103.16万
所有者权益
股本
92.23%1.13亿
92.23%1.13亿
75.66%7,889.71万
97.31%5,876.42万
97.31%5,876.42万
--4,491.46万
190.41%2,978.23万
190.41%2,978.23万
226.04%1,025.54万
226.04%1,025.54万
-普通股股本
92.23%1.13亿
92.23%1.13亿
75.66%7,889.71万
97.31%5,876.42万
97.31%5,876.42万
--4,491.46万
190.41%2,978.23万
190.41%2,978.23万
226.04%1,025.54万
226.04%1,025.54万
留存收益
-41.55%-7,388.21万
-41.55%-7,388.21万
-44.10%-6,269.18万
-50.20%-5,219.68万
-50.20%-5,219.68万
---4,350.62万
-162.66%-3,475.21万
-162.66%-3,475.21万
-558.48%-1,323.08万
-558.48%-1,323.08万
不影响留存收益的损益
-16.86%-117.83万
-16.86%-117.83万
0.02%1,397.05万
-69.07%-100.82万
-69.07%-100.82万
--1,396.75万
-112.59%-59.63万
-112.59%-59.63万
463.00%473.56万
463.00%473.56万
其他权益
-10.42%1,344.03万
-10.42%1,344.03万
----
15.54%1,500.41万
15.54%1,500.41万
----
--1,298.59万
--1,298.59万
----
----
股东权益总额
149.67%5,133.96万
149.67%5,133.96万
96.25%3,017.58万
177.14%2,056.32万
177.14%2,056.32万
--1,537.6万
321.55%741.97万
321.55%741.97万
-10.98%176.01万
-10.98%176.01万
总权益
149.67%5,133.96万
149.67%5,133.96万
96.25%3,017.58万
177.14%2,056.32万
177.14%2,056.32万
--1,537.6万
321.55%741.97万
321.55%741.97万
-10.98%176.01万
-10.98%176.01万
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
--
--
--
(FY)2024/06/30(Q4)2024/06/30(Q2)2023/12/31(FY)2023/06/30(Q4)2023/06/30(Q2)2022/12/31(FY)2022/06/30(Q4)2022/06/30(FY)2021/06/30(Q4)2021/06/30
资产
流动资产
现金及现金等价物和短期投资 177.75%3,315.74万177.75%3,315.74万51.51%1,733万110.45%1,193.79万110.45%1,193.79万--1,143.85万234.09%567.26万234.09%567.26万49.83%169.79万49.83%169.79万
-现金和现金等价物 177.75%3,315.74万177.75%3,315.74万51.51%1,733万110.45%1,193.79万110.45%1,193.79万--1,143.85万234.09%567.26万234.09%567.26万49.83%169.79万49.83%169.79万
应收款项 907.91%230.2万907.91%230.2万3,101.83%270.48万913.29%22.84万913.29%22.84万--8.45万6,509.97%2.25万6,509.97%2.25万-98.83%341-98.83%341
-应收账款 907.91%230.2万907.91%230.2万3,101.83%270.48万913.29%22.84万913.29%22.84万--8.45万6,509.97%2.25万6,509.97%2.25万-98.83%341-98.83%341
存货 --1.69万--1.69万--------------------------------
预付费用 931.91%607.17万931.91%607.17万1,282.52%352.75万308.09%58.84万308.09%58.84万--25.51万193.84%14.42万193.84%14.42万187.10%4.91万187.10%4.91万
流动资产合计 225.75%4,154.8万225.75%4,154.8万100.05%2,356.23万118.43%1,275.47万118.43%1,275.47万--1,177.82万234.19%583.93万234.19%583.93万48.15%174.73万48.15%174.73万
非流动资产
固定资产净额 97.02%1,388.79万97.02%1,388.79万68.55%1,048.12万84.56%704.88万84.56%704.88万--621.85万265.70%381.92万265.70%381.92万21.04%104.44万21.04%104.44万
-固定资产 97.78%1,510.56万97.78%1,510.56万74.01%1,136.23万91.83%763.75万91.83%763.75万--652.98万277.85%398.14万277.85%398.14万22.12%105.37万22.12%105.37万
-累计折旧 -106.85%-121.77万-106.85%-121.77万-183.05%-88.11万-263.04%-58.87万-263.04%-58.87万---31.13万-1,639.15%-16.22万-1,639.15%-16.22万---9,324---9,324
投资和预付款 --------------0--0--0--25万--25万--0--0
长期预付费用 --0--0--0--300万--300万------0--0--------
非流动资产合计 38.20%1,388.79万38.20%1,388.79万68.55%1,048.12万146.95%1,004.88万146.95%1,004.88万--621.85万289.63%406.92万289.63%406.92万21.04%104.44万21.04%104.44万
总资产 143.10%5,543.59万143.10%5,543.59万89.17%3,404.35万130.14%2,280.35万130.14%2,280.35万--1,799.67万254.93%990.85万254.93%990.85万36.70%279.17万36.70%279.17万
负债
流动负债
应付款项 189.52%205.85万189.52%205.85万198.63%106.89万-57.62%71.1万-57.62%71.1万--35.79万484.90%167.78万484.90%167.78万889.29%28.68万889.29%28.68万
-应付账款 84.11%130.91万84.11%130.91万198.63%106.89万-57.62%71.1万-57.62%71.1万--35.79万484.90%167.78万484.90%167.78万7,420.47%28.68万7,420.47%28.68万
-其他应付款 --74.94万--74.94万--------------------------------
应计费用 -44.82%25.93万-44.82%25.93万-0.88%110.06万112.09%47万112.09%47万--111.03万-14.11%22.16万-14.11%22.16万--25.8万--25.8万
现行拨备 242.58%28.78万242.58%28.78万----81.09%8.4万81.09%8.4万----319.12%4.64万319.12%4.64万--1.11万--1.11万
短期借款与租赁负债 16.50%44.58万16.50%44.58万21.06%44.05万185.02%38.26万185.02%38.26万--36.39万65.52%13.42万65.52%13.42万354.68%8.11万354.68%8.11万
-短期借款 6.73%6,3736.73%6,3737.31%6,1686.74%5,9716.74%5,971--5,748--5,594--5,594--------
-短期租赁负债 16.65%43.94万16.65%43.94万21.28%43.43万192.77%37.67万192.77%37.67万--35.81万58.63%12.87万58.63%12.87万354.68%8.11万354.68%8.11万
流动负债总额 85.20%305.14万85.20%305.14万43.34%262.61万-20.79%164.76万-20.79%164.76万--183.21万226.52%208万226.52%208万880.39%63.7万880.39%63.7万
非流动负债
长期借款与租赁负债 76.30%104.49万76.30%104.49万57.45%124.16万44.99%59.27万44.99%59.27万--78.86万3.61%40.88万3.61%40.88万--39.45万--39.45万
-长期借款 -25.60%1.85万-25.60%1.85万-22.15%2.18万-19.35%2.49万-19.35%2.49万--2.8万--3.09万--3.09万--------
-长期租赁负债 80.77%102.64万80.77%102.64万60.37%121.99万50.24%56.78万50.24%56.78万--76.06万-4.21%37.79万-4.21%37.79万--39.45万--39.45万
非流动负债总额 76.30%104.49万76.30%104.49万57.45%124.16万44.99%59.27万44.99%59.27万--78.86万3.61%40.88万3.61%40.88万--39.45万--39.45万
总负债 82.85%409.63万82.85%409.63万47.58%386.77万-9.98%224.03万-9.98%224.03万--262.07万141.26%248.88万141.26%248.88万1,487.62%103.16万1,487.62%103.16万
所有者权益
股本 92.23%1.13亿92.23%1.13亿75.66%7,889.71万97.31%5,876.42万97.31%5,876.42万--4,491.46万190.41%2,978.23万190.41%2,978.23万226.04%1,025.54万226.04%1,025.54万
-普通股股本 92.23%1.13亿92.23%1.13亿75.66%7,889.71万97.31%5,876.42万97.31%5,876.42万--4,491.46万190.41%2,978.23万190.41%2,978.23万226.04%1,025.54万226.04%1,025.54万
留存收益 -41.55%-7,388.21万-41.55%-7,388.21万-44.10%-6,269.18万-50.20%-5,219.68万-50.20%-5,219.68万---4,350.62万-162.66%-3,475.21万-162.66%-3,475.21万-558.48%-1,323.08万-558.48%-1,323.08万
不影响留存收益的损益 -16.86%-117.83万-16.86%-117.83万0.02%1,397.05万-69.07%-100.82万-69.07%-100.82万--1,396.75万-112.59%-59.63万-112.59%-59.63万463.00%473.56万463.00%473.56万
其他权益 -10.42%1,344.03万-10.42%1,344.03万----15.54%1,500.41万15.54%1,500.41万------1,298.59万--1,298.59万--------
股东权益总额 149.67%5,133.96万149.67%5,133.96万96.25%3,017.58万177.14%2,056.32万177.14%2,056.32万--1,537.6万321.55%741.97万321.55%741.97万-10.98%176.01万-10.98%176.01万
总权益 149.67%5,133.96万149.67%5,133.96万96.25%3,017.58万177.14%2,056.32万177.14%2,056.32万--1,537.6万321.55%741.97万321.55%741.97万-10.98%176.01万-10.98%176.01万
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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