美股市场个股详情

TPIC TPI Composites

添加自选
  • 1.970
  • -0.070-3.43%
收盘价 12/02 16:00 (美东)
  • 1.980
  • +0.010+0.51%
盘后 19:39 (美东)
9369.85万总市值-529市盈率TTM

TPI Composites关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2024/09/30
(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
资产
流动资产
现金及现金等价物和短期投资
-21.65%1.26亿
-40.12%1.02亿
-28.85%1.17亿
20.60%1.61亿
20.60%1.61亿
24.40%1.61亿
9.73%1.7亿
25.47%1.64亿
-38.24%1.34亿
-38.24%1.34亿
-现金和现金等价物
-21.65%1.26亿
-40.12%1.02亿
-28.85%1.17亿
20.60%1.61亿
20.60%1.61亿
24.40%1.61亿
9.73%1.7亿
25.47%1.64亿
-38.24%1.34亿
-38.24%1.34亿
应收款项
-14.06%2.75亿
-32.07%2.57亿
-46.92%2.19亿
-33.36%2.84亿
-33.36%2.84亿
-19.13%3.2亿
-2.56%3.79亿
4.70%4.13亿
27.87%4.26亿
27.87%4.26亿
-应收账款
10.71%1.5亿
-7.89%1.46亿
-29.54%1.26亿
-28.68%1.29亿
-28.68%1.29亿
-26.28%1.36亿
-18.73%1.58亿
-4.97%1.79亿
21.06%1.81亿
21.06%1.81亿
-应收税费
----
----
----
33.00%3,369.1万
33.00%3,369.1万
----
----
----
31.99%2,533.1万
31.99%2,533.1万
-其他应收款
-32.29%1.25亿
-49.47%1.11亿
-60.18%9,314.9万
-44.88%1.21亿
-44.88%1.21亿
-12.92%1.84亿
13.72%2.2亿
13.52%2.34亿
33.60%2.19亿
33.60%2.19亿
存货
-21.82%451.8万
-23.90%545.4万
-5.92%1,367.9万
-11.64%942万
-11.64%942万
-61.75%577.9万
-47.78%716.7万
-17.62%1,453.9万
5.01%1,066.1万
5.01%1,066.1万
预付费用
-27.02%1,994万
-30.92%1,938万
-43.15%1,853.6万
-38.67%1,821.8万
-38.67%1,821.8万
28.69%2,732.1万
34.81%2,805.6万
9.95%3,260.6万
88.13%2,970.5万
88.13%2,970.5万
受限制现金
2.97%957.6万
-8.53%845.1万
36.87%1,203.5万
9.99%1,083.8万
9.99%1,083.8万
-5.31%930万
6.78%923.9万
-10.90%879.3万
-1.98%985.4万
-1.98%985.4万
其他流动资产
-22.36%2,677.5万
-20.04%2,927.8万
33.28%4,100.3万
104.44%27.6万
104.44%27.6万
27.06%3,448.4万
45.95%3,661.4万
25.08%3,076.4万
-91.50%13.5万
-91.50%13.5万
流动资产合计
-16.87%4.68亿
-34.28%4.22亿
-35.24%4.44亿
-22.02%5.03亿
-22.02%5.03亿
-7.30%5.62亿
3.63%6.43亿
11.53%6.86亿
-2.29%6.45亿
-2.29%6.45亿
非流动资产
固定资产净额
-6.01%2.47亿
-6.43%2.55亿
-6.02%2.62亿
-8.38%2.65亿
-8.38%2.65亿
-13.69%2.63亿
-15.45%2.72亿
-17.74%2.79亿
6.38%2.89亿
6.38%2.89亿
-固定资产
-6.01%2.47亿
-6.43%2.55亿
-6.02%2.62亿
-0.96%4.8亿
-0.96%4.8亿
-13.69%2.63亿
-15.45%2.72亿
-17.74%2.79亿
20.87%4.85亿
20.87%4.85亿
-累计折旧
----
----
----
-10.00%-2.15亿
-10.00%-2.15亿
----
----
----
-51.33%-1.96亿
-51.33%-1.96亿
商誉及其他无形资产
----
----
----
-13.51%524.9万
-13.51%524.9万
----
----
----
6.87%606.9万
6.87%606.9万
-商誉
----
----
----
0.00%280.7万
0.00%280.7万
----
----
----
0.00%280.7万
0.00%280.7万
-其他无形资产
----
----
----
-25.14%244.2万
-25.14%244.2万
----
----
----
13.58%326.2万
13.58%326.2万
非流动递延资产
----
----
----
92.12%1,835.7万
92.12%1,835.7万
----
----
----
-11.63%955.5万
-11.63%955.5万
长期预付费用
----
----
----
12.03%1,048.8万
12.03%1,048.8万
----
----
----
-9.42%936.2万
-9.42%936.2万
其他非流动资产
26.00%3,807.6万
27.72%3,846.4万
41.75%3,920.5万
-31.17%197.9万
-31.17%197.9万
-22.85%3,021.9万
-24.24%3,011.5万
-33.76%2,765.8万
-94.11%287.5万
-94.11%287.5万
非流动资产合计
-2.70%2.85亿
-3.02%2.93亿
-1.71%3.01亿
-5.05%3.01亿
-5.05%3.01亿
-14.73%2.93亿
-16.42%3.02亿
-19.49%3.07亿
-8.75%3.17亿
-8.75%3.17亿
总资产
-12.02%7.53亿
-24.29%7.15亿
-24.88%7.46亿
-16.43%8.04亿
-16.43%8.04亿
-9.99%8.55亿
-3.75%9.45亿
-0.33%9.93亿
-4.52%9.62亿
-4.52%9.62亿
负债
流动负债
应付款项
15.63%2.86亿
-8.49%2.51亿
-20.95%2.2亿
-18.82%2.28亿
-18.82%2.28亿
-19.86%2.48亿
-12.18%2.74亿
-11.94%2.79亿
-1.07%2.8亿
-1.07%2.8亿
-应付账款
15.63%2.86亿
-8.49%2.51亿
-20.95%2.2亿
-18.82%2.28亿
-18.82%2.28亿
-19.86%2.48亿
-12.18%2.74亿
-11.94%2.79亿
-1.07%2.8亿
-1.07%2.8亿
应计费用
-17.94%3,525.1万
-31.02%3,400万
63.24%3,750万
67.73%3,748.3万
67.73%3,748.3万
112.52%4,295.5万
38.54%4,928.8万
-41.01%2,297.3万
-46.82%2,234.7万
-46.82%2,234.7万
短期借款与租赁负债
94.77%1.66亿
54.91%1.31亿
19.87%1.01亿
12.52%9,248.2万
12.52%9,248.2万
3.57%8,520.2万
2.26%8,455.2万
22.43%8,421.5万
-7.35%8,219.5万
-7.35%8,219.5万
-短期借款
123.79%1.4亿
73.19%1.06亿
27.51%7,857.6万
17.49%7,046.5万
17.49%7,046.5万
2.62%6,248.8万
1.12%6,129.7万
33.57%6,162.4万
-9.73%5,997.5万
-9.73%5,997.5万
-短期租赁负债
14.91%2,610万
6.71%2,481.5万
-0.96%2,237.3万
-0.91%2,201.7万
-0.91%2,201.7万
6.28%2,271.4万
5.39%2,325.5万
-0.27%2,259.1万
-0.25%2,222万
-0.25%2,222万
递延负债
54.46%276.8万
--440.8万
--1,023.4万
40.47%2,402.1万
40.47%2,402.1万
--179.2万
--0
--0
1,242.23%1,710万
1,242.23%1,710万
其他流动负债
-64.11%285.5万
-81.72%177.7万
-69.28%478.4万
-91.34%471.2万
-91.34%471.2万
--795.4万
--972.3万
--1,557.4万
1.63%5,444万
1.63%5,444万
流动负债总额
27.91%4.93亿
1.04%4.22亿
-6.89%3.74亿
-15.37%3.86亿
-15.37%3.86亿
-6.30%3.85亿
-3.24%4.17亿
-5.65%4.01亿
-2.67%4.57亿
-2.67%4.57亿
非流动负债
长期借款与租赁负债
133.49%5.74亿
121.05%5.61亿
111.94%5.48亿
295.26%5.32亿
295.26%5.32亿
83.04%2.46亿
76.97%2.54亿
68.09%2.58亿
-7.08%1.35亿
-7.08%1.35亿
-长期借款
263.37%4.66亿
250.21%4.48亿
234.89%4.31亿
34,518.36%4.15亿
34,518.36%4.15亿
--1.28亿
7,483.23%1.28亿
2,209.53%1.29亿
-85.40%119.8万
-85.40%119.8万
-长期租赁负债
-8.11%1.08亿
-10.52%1.12亿
-10.02%1.17亿
-12.17%1.17亿
-12.17%1.17亿
-12.43%1.18亿
-11.29%1.26亿
-12.44%1.3亿
-2.38%1.33亿
-2.38%1.33亿
其他非流动负债
-50.95%749.1万
-41.41%721.3万
-25.05%836万
-24.07%810.2万
-24.07%810.2万
-2.97%1,527.2万
4.51%1,231.2万
3.23%1,115.4万
0.52%1,067万
0.52%1,067万
非流动负债总额
122.70%5.82亿
113.53%5.68亿
106.28%5.56亿
271.80%5.4亿
271.80%5.4亿
74.02%2.61亿
71.46%2.66亿
63.83%2.7亿
-12.33%1.45亿
-12.33%1.45亿
总负债
66.20%10.75亿
44.82%9.9亿
38.57%9.3亿
53.93%9.26亿
53.93%9.26亿
15.17%6.47亿
16.52%6.83亿
13.73%6.71亿
-5.19%6.02亿
-5.19%6.02亿
所有者权益
股本
-99.86%48.6万
-99.86%48.6万
-99.85%48.5万
-99.85%47万
-99.85%47万
21.03%3.57亿
21.80%3.41亿
22.60%3.25亿
23.45%3.1亿
23.45%3.1亿
-普通股股本
12.76%48.6万
12.76%48.6万
12.79%48.5万
10.85%47万
10.85%47万
2.13%43.1万
14.63%43.1万
14.67%43万
13.37%42.4万
13.37%42.4万
-优先股股本
----
----
----
--0
--0
21.06%3.57亿
21.81%3.41亿
22.61%3.25亿
23.47%3.1亿
23.47%3.1亿
留存收益
-52.27%-7.29亿
-63.27%-6.89亿
-67.60%-5.98亿
-60.31%-5.36亿
-60.31%-5.36亿
-63.93%-4.79亿
-45.21%-4.22亿
-25.13%-3.57亿
-24.25%-3.35亿
-24.25%-3.35亿
资本公积
24.23%4.37亿
19.22%4.35亿
15.24%4.34亿
5.83%4.31亿
5.83%4.31亿
-16.02%3.51亿
-15.10%3.65亿
-14.54%3.77亿
-9.72%4.08亿
-9.72%4.08亿
减:库存股
16.58%1,181.4万
16.27%1,178.3万
16.58%1,177.5万
34.21%1,013.4万
34.21%1,013.4万
45.19%1,013.4万
45.19%1,013.4万
45.64%1,010万
14.55%755.1万
14.55%755.1万
不影响留存收益的损益
-69.01%-1,831.1万
26.62%-903.2万
33.58%-888.5万
50.43%-762.7万
50.43%-762.7万
57.74%-1,083.4万
27.45%-1,230.8万
-68.65%-1,337.7万
71.51%-1,538.7万
71.51%-1,538.7万
股东权益总额
-254.18%-3.22亿
-204.86%-2.74亿
-157.19%-1.84亿
-133.94%-1.22亿
-133.94%-1.22亿
-46.30%2.09亿
-33.83%2.62亿
-20.76%3.22亿
-3.37%3.6亿
-3.37%3.6亿
总权益
-254.18%-3.22亿
-204.86%-2.74亿
-157.19%-1.84亿
-133.94%-1.22亿
-133.94%-1.22亿
-46.30%2.09亿
-33.83%2.62亿
-20.76%3.22亿
-3.37%3.6亿
-3.37%3.6亿
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
--
--
--
--
--
--
(Q3)2024/09/30(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
资产
流动资产
现金及现金等价物和短期投资 -21.65%1.26亿-40.12%1.02亿-28.85%1.17亿20.60%1.61亿20.60%1.61亿24.40%1.61亿9.73%1.7亿25.47%1.64亿-38.24%1.34亿-38.24%1.34亿
-现金和现金等价物 -21.65%1.26亿-40.12%1.02亿-28.85%1.17亿20.60%1.61亿20.60%1.61亿24.40%1.61亿9.73%1.7亿25.47%1.64亿-38.24%1.34亿-38.24%1.34亿
应收款项 -14.06%2.75亿-32.07%2.57亿-46.92%2.19亿-33.36%2.84亿-33.36%2.84亿-19.13%3.2亿-2.56%3.79亿4.70%4.13亿27.87%4.26亿27.87%4.26亿
-应收账款 10.71%1.5亿-7.89%1.46亿-29.54%1.26亿-28.68%1.29亿-28.68%1.29亿-26.28%1.36亿-18.73%1.58亿-4.97%1.79亿21.06%1.81亿21.06%1.81亿
-应收税费 ------------33.00%3,369.1万33.00%3,369.1万------------31.99%2,533.1万31.99%2,533.1万
-其他应收款 -32.29%1.25亿-49.47%1.11亿-60.18%9,314.9万-44.88%1.21亿-44.88%1.21亿-12.92%1.84亿13.72%2.2亿13.52%2.34亿33.60%2.19亿33.60%2.19亿
存货 -21.82%451.8万-23.90%545.4万-5.92%1,367.9万-11.64%942万-11.64%942万-61.75%577.9万-47.78%716.7万-17.62%1,453.9万5.01%1,066.1万5.01%1,066.1万
预付费用 -27.02%1,994万-30.92%1,938万-43.15%1,853.6万-38.67%1,821.8万-38.67%1,821.8万28.69%2,732.1万34.81%2,805.6万9.95%3,260.6万88.13%2,970.5万88.13%2,970.5万
受限制现金 2.97%957.6万-8.53%845.1万36.87%1,203.5万9.99%1,083.8万9.99%1,083.8万-5.31%930万6.78%923.9万-10.90%879.3万-1.98%985.4万-1.98%985.4万
其他流动资产 -22.36%2,677.5万-20.04%2,927.8万33.28%4,100.3万104.44%27.6万104.44%27.6万27.06%3,448.4万45.95%3,661.4万25.08%3,076.4万-91.50%13.5万-91.50%13.5万
流动资产合计 -16.87%4.68亿-34.28%4.22亿-35.24%4.44亿-22.02%5.03亿-22.02%5.03亿-7.30%5.62亿3.63%6.43亿11.53%6.86亿-2.29%6.45亿-2.29%6.45亿
非流动资产
固定资产净额 -6.01%2.47亿-6.43%2.55亿-6.02%2.62亿-8.38%2.65亿-8.38%2.65亿-13.69%2.63亿-15.45%2.72亿-17.74%2.79亿6.38%2.89亿6.38%2.89亿
-固定资产 -6.01%2.47亿-6.43%2.55亿-6.02%2.62亿-0.96%4.8亿-0.96%4.8亿-13.69%2.63亿-15.45%2.72亿-17.74%2.79亿20.87%4.85亿20.87%4.85亿
-累计折旧 -------------10.00%-2.15亿-10.00%-2.15亿-------------51.33%-1.96亿-51.33%-1.96亿
商誉及其他无形资产 -------------13.51%524.9万-13.51%524.9万------------6.87%606.9万6.87%606.9万
-商誉 ------------0.00%280.7万0.00%280.7万------------0.00%280.7万0.00%280.7万
-其他无形资产 -------------25.14%244.2万-25.14%244.2万------------13.58%326.2万13.58%326.2万
非流动递延资产 ------------92.12%1,835.7万92.12%1,835.7万-------------11.63%955.5万-11.63%955.5万
长期预付费用 ------------12.03%1,048.8万12.03%1,048.8万-------------9.42%936.2万-9.42%936.2万
其他非流动资产 26.00%3,807.6万27.72%3,846.4万41.75%3,920.5万-31.17%197.9万-31.17%197.9万-22.85%3,021.9万-24.24%3,011.5万-33.76%2,765.8万-94.11%287.5万-94.11%287.5万
非流动资产合计 -2.70%2.85亿-3.02%2.93亿-1.71%3.01亿-5.05%3.01亿-5.05%3.01亿-14.73%2.93亿-16.42%3.02亿-19.49%3.07亿-8.75%3.17亿-8.75%3.17亿
总资产 -12.02%7.53亿-24.29%7.15亿-24.88%7.46亿-16.43%8.04亿-16.43%8.04亿-9.99%8.55亿-3.75%9.45亿-0.33%9.93亿-4.52%9.62亿-4.52%9.62亿
负债
流动负债
应付款项 15.63%2.86亿-8.49%2.51亿-20.95%2.2亿-18.82%2.28亿-18.82%2.28亿-19.86%2.48亿-12.18%2.74亿-11.94%2.79亿-1.07%2.8亿-1.07%2.8亿
-应付账款 15.63%2.86亿-8.49%2.51亿-20.95%2.2亿-18.82%2.28亿-18.82%2.28亿-19.86%2.48亿-12.18%2.74亿-11.94%2.79亿-1.07%2.8亿-1.07%2.8亿
应计费用 -17.94%3,525.1万-31.02%3,400万63.24%3,750万67.73%3,748.3万67.73%3,748.3万112.52%4,295.5万38.54%4,928.8万-41.01%2,297.3万-46.82%2,234.7万-46.82%2,234.7万
短期借款与租赁负债 94.77%1.66亿54.91%1.31亿19.87%1.01亿12.52%9,248.2万12.52%9,248.2万3.57%8,520.2万2.26%8,455.2万22.43%8,421.5万-7.35%8,219.5万-7.35%8,219.5万
-短期借款 123.79%1.4亿73.19%1.06亿27.51%7,857.6万17.49%7,046.5万17.49%7,046.5万2.62%6,248.8万1.12%6,129.7万33.57%6,162.4万-9.73%5,997.5万-9.73%5,997.5万
-短期租赁负债 14.91%2,610万6.71%2,481.5万-0.96%2,237.3万-0.91%2,201.7万-0.91%2,201.7万6.28%2,271.4万5.39%2,325.5万-0.27%2,259.1万-0.25%2,222万-0.25%2,222万
递延负债 54.46%276.8万--440.8万--1,023.4万40.47%2,402.1万40.47%2,402.1万--179.2万--0--01,242.23%1,710万1,242.23%1,710万
其他流动负债 -64.11%285.5万-81.72%177.7万-69.28%478.4万-91.34%471.2万-91.34%471.2万--795.4万--972.3万--1,557.4万1.63%5,444万1.63%5,444万
流动负债总额 27.91%4.93亿1.04%4.22亿-6.89%3.74亿-15.37%3.86亿-15.37%3.86亿-6.30%3.85亿-3.24%4.17亿-5.65%4.01亿-2.67%4.57亿-2.67%4.57亿
非流动负债
长期借款与租赁负债 133.49%5.74亿121.05%5.61亿111.94%5.48亿295.26%5.32亿295.26%5.32亿83.04%2.46亿76.97%2.54亿68.09%2.58亿-7.08%1.35亿-7.08%1.35亿
-长期借款 263.37%4.66亿250.21%4.48亿234.89%4.31亿34,518.36%4.15亿34,518.36%4.15亿--1.28亿7,483.23%1.28亿2,209.53%1.29亿-85.40%119.8万-85.40%119.8万
-长期租赁负债 -8.11%1.08亿-10.52%1.12亿-10.02%1.17亿-12.17%1.17亿-12.17%1.17亿-12.43%1.18亿-11.29%1.26亿-12.44%1.3亿-2.38%1.33亿-2.38%1.33亿
其他非流动负债 -50.95%749.1万-41.41%721.3万-25.05%836万-24.07%810.2万-24.07%810.2万-2.97%1,527.2万4.51%1,231.2万3.23%1,115.4万0.52%1,067万0.52%1,067万
非流动负债总额 122.70%5.82亿113.53%5.68亿106.28%5.56亿271.80%5.4亿271.80%5.4亿74.02%2.61亿71.46%2.66亿63.83%2.7亿-12.33%1.45亿-12.33%1.45亿
总负债 66.20%10.75亿44.82%9.9亿38.57%9.3亿53.93%9.26亿53.93%9.26亿15.17%6.47亿16.52%6.83亿13.73%6.71亿-5.19%6.02亿-5.19%6.02亿
所有者权益
股本 -99.86%48.6万-99.86%48.6万-99.85%48.5万-99.85%47万-99.85%47万21.03%3.57亿21.80%3.41亿22.60%3.25亿23.45%3.1亿23.45%3.1亿
-普通股股本 12.76%48.6万12.76%48.6万12.79%48.5万10.85%47万10.85%47万2.13%43.1万14.63%43.1万14.67%43万13.37%42.4万13.37%42.4万
-优先股股本 --------------0--021.06%3.57亿21.81%3.41亿22.61%3.25亿23.47%3.1亿23.47%3.1亿
留存收益 -52.27%-7.29亿-63.27%-6.89亿-67.60%-5.98亿-60.31%-5.36亿-60.31%-5.36亿-63.93%-4.79亿-45.21%-4.22亿-25.13%-3.57亿-24.25%-3.35亿-24.25%-3.35亿
资本公积 24.23%4.37亿19.22%4.35亿15.24%4.34亿5.83%4.31亿5.83%4.31亿-16.02%3.51亿-15.10%3.65亿-14.54%3.77亿-9.72%4.08亿-9.72%4.08亿
减:库存股 16.58%1,181.4万16.27%1,178.3万16.58%1,177.5万34.21%1,013.4万34.21%1,013.4万45.19%1,013.4万45.19%1,013.4万45.64%1,010万14.55%755.1万14.55%755.1万
不影响留存收益的损益 -69.01%-1,831.1万26.62%-903.2万33.58%-888.5万50.43%-762.7万50.43%-762.7万57.74%-1,083.4万27.45%-1,230.8万-68.65%-1,337.7万71.51%-1,538.7万71.51%-1,538.7万
股东权益总额 -254.18%-3.22亿-204.86%-2.74亿-157.19%-1.84亿-133.94%-1.22亿-133.94%-1.22亿-46.30%2.09亿-33.83%2.62亿-20.76%3.22亿-3.37%3.6亿-3.37%3.6亿
总权益 -254.18%-3.22亿-204.86%-2.74亿-157.19%-1.84亿-133.94%-1.22亿-133.94%-1.22亿-46.30%2.09亿-33.83%2.62亿-20.76%3.22亿-3.37%3.6亿-3.37%3.6亿
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------------

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