美股市场个股详情

UFPT UFP技术

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  • 285.945
  • +7.005+2.51%
交易中 11/19 10:34 (美东)
21.94亿总市值40.91市盈率TTM

UFP技术关键统计数据

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
156.52%1,635.6万
216.16%1,672.8万
74.87%1,137.2万
18.24%526.3万
18.24%526.3万
-35.84%637.6万
-5.11%529.1万
78.07%650.3万
-59.96%445.1万
-59.96%445.1万
-现金和现金等价物
156.52%1,635.6万
216.16%1,672.8万
74.87%1,137.2万
18.24%526.3万
18.24%526.3万
-35.84%637.6万
-5.11%529.1万
78.07%650.3万
-59.96%445.1万
-59.96%445.1万
应收款项
48.75%9,140.3万
-1.45%6,316.1万
1.84%6,125万
19.28%6,574.6万
19.28%6,574.6万
-9.18%6,144.9万
10.47%6,409万
30.23%6,014.2万
39.95%5,511.7万
39.95%5,511.7万
-应收账款
46.23%8,915.1万
-4.84%6,098.5万
1.84%6,125万
16.93%6,444.9万
16.93%6,444.9万
-6.31%6,096.8万
10.67%6,409万
30.23%6,014.2万
39.95%5,511.7万
39.95%5,511.7万
-应收税费
368.19%225.2万
--217.6万
--0
--129.7万
--129.7万
-81.43%48.1万
----
----
--0
--0
存货
27.10%8,869万
23.68%7,797.6万
30.45%7,390万
31.11%7,019.1万
31.11%7,019.1万
29.65%6,977.7万
24.71%6,304.9万
30.84%5,664.9万
60.11%5,353.6万
60.11%5,353.6万
预付费用
----
----
----
5.89%343.3万
5.89%343.3万
----
----
----
-4.17%324.2万
-4.17%324.2万
其他流动资产
59.09%455.8万
-7.43%429.6万
10.91%401.7万
----
----
--286.5万
--464.1万
--362.2万
----
----
流动资产合计
43.10%2.01亿
18.30%1.62亿
18.61%1.51亿
24.31%1.45亿
24.31%1.45亿
4.95%1.4亿
9.05%1.37亿
28.93%1.27亿
33.24%1.16亿
33.24%1.16亿
非流动资产
固定资产净额
14.48%8,575.8万
2.97%7,595.9万
1.88%7,492.6万
6.32%7,572.5万
6.32%7,572.5万
9.06%7,491.2万
-6.36%7,377.1万
1.89%7,354.1万
8.09%7,122.5万
8.09%7,122.5万
-固定资产
12.38%1.49亿
5.52%1.37亿
4.82%1.34亿
7.34%1.33亿
7.34%1.33亿
10.17%1.32亿
-13.55%1.3亿
-11.33%1.28亿
-9.06%1.24亿
-9.06%1.24亿
-累计折旧
-9.65%-6,300.3万
-8.89%-6,097.3万
-8.80%-5,904.7万
-8.73%-5,718.5万
-8.73%-5,718.5万
-11.65%-5,745.6万
21.49%-5,599.6万
24.58%-5,427.1万
25.15%-5,259.4万
25.15%-5,259.4万
商誉及其他无形资产
90.72%3.39亿
-0.79%1.78亿
-2.49%1.76亿
-2.21%1.77亿
-2.21%1.77亿
-2.04%1.78亿
-3.24%1.79亿
-3.54%1.81亿
3.36%1.81亿
3.36%1.81亿
-商誉
81.23%2.05亿
2.16%1.16亿
-0.05%1.13亿
0.21%1.13亿
0.21%1.13亿
0.28%1.13亿
-1.53%1.13亿
-2.09%1.13亿
4.75%1.13亿
4.75%1.13亿
-其他无形资产
107.19%1.35亿
-5.84%6,238.2万
-6.58%6,291.4万
-6.21%6,411.6万
-6.21%6,411.6万
-5.82%6,502万
-6.04%6,625.3万
-5.90%6,734.6万
1.15%6,836.1万
1.15%6,836.1万
投资和预付款
--562.3万
----
----
----
----
----
----
----
----
----
非流动递延资产
7.30%623.4万
-14.66%586.4万
-7.52%578.3万
5.97%593万
5.97%593万
49.67%581万
71.43%687.1万
41.31%625.3万
29.33%559.6万
29.33%559.6万
其他非流动资产
-31.12%43.6万
-51.75%41.4万
-88.42%41.3万
-87.10%46.9万
-87.10%46.9万
-83.37%63.3万
-24.07%85.8万
205.66%356.7万
229.95%363.6万
229.95%363.6万
非流动资产合计
68.70%4.38亿
-0.26%2.6亿
-2.55%2.57亿
-0.89%2.6亿
-0.89%2.6亿
0.49%2.59亿
-3.13%2.61亿
-0.39%2.64亿
6.09%2.62亿
6.09%2.62亿
总资产
59.70%6.39亿
6.13%4.22亿
4.32%4.08亿
6.86%4.04亿
6.86%4.04亿
2.01%4亿
0.74%3.98亿
7.55%3.91亿
13.19%3.78亿
13.19%3.78亿
负债
流动负债
应付款项
-1.96%2,642.1万
-8.35%2,322.4万
-3.33%2,407.4万
2.97%2,228.6万
2.97%2,228.6万
10.01%2,694.8万
8.10%2,534.1万
40.09%2,490.4万
87.87%2,164.3万
87.87%2,164.3万
-应付账款
-2.52%2,626.8万
-8.59%2,296.6万
15.64%2,365.4万
11.65%2,228.6万
11.65%2,228.6万
10.01%2,694.8万
7.17%2,512.5万
30.55%2,045.4万
88.12%1,996.1万
88.12%1,996.1万
-应付税费
--15.3万
19.44%25.8万
-90.56%42万
--0
--0
--0
--21.6万
111.00%445万
85.04%168.2万
85.04%168.2万
应计费用
58.87%2,964.9万
23.60%2,073.1万
-1.80%1,646.6万
-12.05%1,334.4万
-12.05%1,334.4万
-28.27%1,866.3万
-6.45%1,677.2万
68.44%1,676.8万
171.92%1,517.3万
171.92%1,517.3万
短期借款与租赁负债
130.06%1,647.9万
-50.41%328万
6.21%736.9万
10.82%722.2万
10.82%722.2万
13.54%716.3万
3.36%661.4万
14.64%693.8万
4.46%651.7万
4.46%651.7万
-短期借款
212.50%1,250万
----
0.00%400万
0.00%400万
0.00%400万
0.00%400万
0.00%400万
0.00%400万
0.00%400万
0.00%400万
-短期租赁负债
25.80%397.9万
25.48%328万
14.67%336.9万
28.01%322.2万
28.01%322.2万
36.99%316.3万
8.96%261.4万
43.18%293.8万
12.42%251.7万
12.42%251.7万
递延负债
52.02%579.8万
6.70%455.2万
26.38%452.7万
41.40%661.6万
41.40%661.6万
-8.60%381.4万
-23.98%426.6万
-28.93%358.2万
10.17%467.9万
10.17%467.9万
流动负债总额
38.45%7,834.7万
-2.28%5,178.7万
0.47%5,243.6万
4.02%5,820.9万
4.02%5,820.9万
-7.23%5,658.8万
-0.73%5,299.3万
34.43%5,219.2万
44.29%5,596.1万
44.29%5,596.1万
非流动负债
长期借款与租赁负债
319.03%2.11亿
-30.92%4,467.3万
-40.89%4,011.8万
-37.24%3,881.5万
-37.24%3,881.5万
-34.63%5,046.4万
-39.23%6,466.7万
-30.73%6,787.3万
-20.82%6,185.1万
-20.82%6,185.1万
-长期借款
411.54%2亿
-33.58%3,520万
-46.43%3,000万
-45.10%2,800万
-45.10%2,800万
-41.79%3,900万
-44.79%5,300万
-38.46%5,600万
-28.17%5,100万
-28.17%5,100万
-长期租赁负债
4.34%1,196.1万
-18.81%947.3万
-14.78%1,011.8万
-0.33%1,081.5万
-0.33%1,081.5万
12.39%1,146.4万
12.02%1,166.7万
69.91%1,187.3万
52.44%1,085.1万
52.44%1,085.1万
递延负债
61.39%861万
9.87%600万
32.38%628.8万
26.54%584万
26.54%584万
-33.42%533.5万
-26.03%546.1万
-39.85%475万
-39.28%461.5万
-39.28%461.5万
长期应计费用
-39.53%475.1万
-47.87%397.2万
-32.90%833.4万
-15.38%809.6万
-15.38%809.6万
-13.46%785.7万
-29.01%761.9万
--1,242.1万
--956.8万
--956.8万
其他非流动负债
-13.78%619.3万
-16.92%578.8万
-22.30%548.7万
-18.11%708.5万
-18.11%708.5万
-31.38%718.3万
-29.25%696.7万
-63.89%706.2万
-43.02%865.2万
-43.02%865.2万
非流动负债总额
226.11%2.31亿
-28.66%6,043.3万
-34.61%6,022.7万
-29.34%5,983.6万
-29.34%5,983.6万
-32.38%7,083.9万
-36.96%8,471.4万
-26.58%9,210.6万
-16.07%8,468.6万
-16.07%8,468.6万
总负债
142.78%3.09亿
-18.51%1.12亿
-21.92%1.13亿
-16.07%1.18亿
-16.07%1.18亿
-23.12%1.27亿
-26.66%1.38亿
-12.16%1.44亿
0.69%1.41亿
0.69%1.41亿
所有者权益
股本
1.32%7.7万
1.32%7.7万
1.32%7.7万
0.00%7.6万
0.00%7.6万
0.00%7.6万
0.00%7.6万
0.00%7.6万
1.33%7.6万
1.33%7.6万
-普通股股本
1.32%7.7万
1.32%7.7万
1.32%7.7万
0.00%7.6万
0.00%7.6万
0.00%7.6万
0.00%7.6万
0.00%7.6万
1.33%7.6万
1.33%7.6万
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
22.98%2.9亿
22.10%2.74亿
22.55%2.6亿
22.17%2.48亿
22.17%2.48亿
21.52%2.36亿
28.42%2.24亿
28.17%2.12亿
25.99%2.03亿
25.99%2.03亿
资本公积
2.92%3,895.7万
2.08%3,741.8万
2.45%3,562.9万
7.61%3,881.4万
7.61%3,881.4万
6.94%3,785.1万
6.73%3,665.4万
3.68%3,477.7万
5.62%3,607万
5.62%3,607万
减:库存股
0.00%58.7万
0.00%58.7万
0.00%58.7万
0.00%58.7万
0.00%58.7万
0.00%58.7万
0.00%58.7万
0.00%58.7万
0.00%58.7万
0.00%58.7万
不影响留存收益的损益
165.94%57.3万
-553.95%-49.7万
-170.09%-31.6万
143.93%26.8万
143.93%26.8万
69.62%-86.9万
93.30%-7.6万
-130.71%-11.7万
---61万
---61万
股东权益总额
20.84%3.29亿
19.17%3.1亿
19.69%2.95亿
20.44%2.86亿
20.44%2.86亿
20.44%2.72亿
25.57%2.6亿
23.81%2.46亿
22.17%2.38亿
22.17%2.38亿
总权益
20.84%3.29亿
19.17%3.1亿
19.69%2.95亿
20.44%2.86亿
20.44%2.86亿
20.44%2.72亿
25.57%2.6亿
23.81%2.46亿
22.17%2.38亿
22.17%2.38亿
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
--
--
--
--
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 156.52%1,635.6万216.16%1,672.8万74.87%1,137.2万18.24%526.3万18.24%526.3万-35.84%637.6万-5.11%529.1万78.07%650.3万-59.96%445.1万-59.96%445.1万
-现金和现金等价物 156.52%1,635.6万216.16%1,672.8万74.87%1,137.2万18.24%526.3万18.24%526.3万-35.84%637.6万-5.11%529.1万78.07%650.3万-59.96%445.1万-59.96%445.1万
应收款项 48.75%9,140.3万-1.45%6,316.1万1.84%6,125万19.28%6,574.6万19.28%6,574.6万-9.18%6,144.9万10.47%6,409万30.23%6,014.2万39.95%5,511.7万39.95%5,511.7万
-应收账款 46.23%8,915.1万-4.84%6,098.5万1.84%6,125万16.93%6,444.9万16.93%6,444.9万-6.31%6,096.8万10.67%6,409万30.23%6,014.2万39.95%5,511.7万39.95%5,511.7万
-应收税费 368.19%225.2万--217.6万--0--129.7万--129.7万-81.43%48.1万----------0--0
存货 27.10%8,869万23.68%7,797.6万30.45%7,390万31.11%7,019.1万31.11%7,019.1万29.65%6,977.7万24.71%6,304.9万30.84%5,664.9万60.11%5,353.6万60.11%5,353.6万
预付费用 ------------5.89%343.3万5.89%343.3万-------------4.17%324.2万-4.17%324.2万
其他流动资产 59.09%455.8万-7.43%429.6万10.91%401.7万----------286.5万--464.1万--362.2万--------
流动资产合计 43.10%2.01亿18.30%1.62亿18.61%1.51亿24.31%1.45亿24.31%1.45亿4.95%1.4亿9.05%1.37亿28.93%1.27亿33.24%1.16亿33.24%1.16亿
非流动资产
固定资产净额 14.48%8,575.8万2.97%7,595.9万1.88%7,492.6万6.32%7,572.5万6.32%7,572.5万9.06%7,491.2万-6.36%7,377.1万1.89%7,354.1万8.09%7,122.5万8.09%7,122.5万
-固定资产 12.38%1.49亿5.52%1.37亿4.82%1.34亿7.34%1.33亿7.34%1.33亿10.17%1.32亿-13.55%1.3亿-11.33%1.28亿-9.06%1.24亿-9.06%1.24亿
-累计折旧 -9.65%-6,300.3万-8.89%-6,097.3万-8.80%-5,904.7万-8.73%-5,718.5万-8.73%-5,718.5万-11.65%-5,745.6万21.49%-5,599.6万24.58%-5,427.1万25.15%-5,259.4万25.15%-5,259.4万
商誉及其他无形资产 90.72%3.39亿-0.79%1.78亿-2.49%1.76亿-2.21%1.77亿-2.21%1.77亿-2.04%1.78亿-3.24%1.79亿-3.54%1.81亿3.36%1.81亿3.36%1.81亿
-商誉 81.23%2.05亿2.16%1.16亿-0.05%1.13亿0.21%1.13亿0.21%1.13亿0.28%1.13亿-1.53%1.13亿-2.09%1.13亿4.75%1.13亿4.75%1.13亿
-其他无形资产 107.19%1.35亿-5.84%6,238.2万-6.58%6,291.4万-6.21%6,411.6万-6.21%6,411.6万-5.82%6,502万-6.04%6,625.3万-5.90%6,734.6万1.15%6,836.1万1.15%6,836.1万
投资和预付款 --562.3万------------------------------------
非流动递延资产 7.30%623.4万-14.66%586.4万-7.52%578.3万5.97%593万5.97%593万49.67%581万71.43%687.1万41.31%625.3万29.33%559.6万29.33%559.6万
其他非流动资产 -31.12%43.6万-51.75%41.4万-88.42%41.3万-87.10%46.9万-87.10%46.9万-83.37%63.3万-24.07%85.8万205.66%356.7万229.95%363.6万229.95%363.6万
非流动资产合计 68.70%4.38亿-0.26%2.6亿-2.55%2.57亿-0.89%2.6亿-0.89%2.6亿0.49%2.59亿-3.13%2.61亿-0.39%2.64亿6.09%2.62亿6.09%2.62亿
总资产 59.70%6.39亿6.13%4.22亿4.32%4.08亿6.86%4.04亿6.86%4.04亿2.01%4亿0.74%3.98亿7.55%3.91亿13.19%3.78亿13.19%3.78亿
负债
流动负债
应付款项 -1.96%2,642.1万-8.35%2,322.4万-3.33%2,407.4万2.97%2,228.6万2.97%2,228.6万10.01%2,694.8万8.10%2,534.1万40.09%2,490.4万87.87%2,164.3万87.87%2,164.3万
-应付账款 -2.52%2,626.8万-8.59%2,296.6万15.64%2,365.4万11.65%2,228.6万11.65%2,228.6万10.01%2,694.8万7.17%2,512.5万30.55%2,045.4万88.12%1,996.1万88.12%1,996.1万
-应付税费 --15.3万19.44%25.8万-90.56%42万--0--0--0--21.6万111.00%445万85.04%168.2万85.04%168.2万
应计费用 58.87%2,964.9万23.60%2,073.1万-1.80%1,646.6万-12.05%1,334.4万-12.05%1,334.4万-28.27%1,866.3万-6.45%1,677.2万68.44%1,676.8万171.92%1,517.3万171.92%1,517.3万
短期借款与租赁负债 130.06%1,647.9万-50.41%328万6.21%736.9万10.82%722.2万10.82%722.2万13.54%716.3万3.36%661.4万14.64%693.8万4.46%651.7万4.46%651.7万
-短期借款 212.50%1,250万----0.00%400万0.00%400万0.00%400万0.00%400万0.00%400万0.00%400万0.00%400万0.00%400万
-短期租赁负债 25.80%397.9万25.48%328万14.67%336.9万28.01%322.2万28.01%322.2万36.99%316.3万8.96%261.4万43.18%293.8万12.42%251.7万12.42%251.7万
递延负债 52.02%579.8万6.70%455.2万26.38%452.7万41.40%661.6万41.40%661.6万-8.60%381.4万-23.98%426.6万-28.93%358.2万10.17%467.9万10.17%467.9万
流动负债总额 38.45%7,834.7万-2.28%5,178.7万0.47%5,243.6万4.02%5,820.9万4.02%5,820.9万-7.23%5,658.8万-0.73%5,299.3万34.43%5,219.2万44.29%5,596.1万44.29%5,596.1万
非流动负债
长期借款与租赁负债 319.03%2.11亿-30.92%4,467.3万-40.89%4,011.8万-37.24%3,881.5万-37.24%3,881.5万-34.63%5,046.4万-39.23%6,466.7万-30.73%6,787.3万-20.82%6,185.1万-20.82%6,185.1万
-长期借款 411.54%2亿-33.58%3,520万-46.43%3,000万-45.10%2,800万-45.10%2,800万-41.79%3,900万-44.79%5,300万-38.46%5,600万-28.17%5,100万-28.17%5,100万
-长期租赁负债 4.34%1,196.1万-18.81%947.3万-14.78%1,011.8万-0.33%1,081.5万-0.33%1,081.5万12.39%1,146.4万12.02%1,166.7万69.91%1,187.3万52.44%1,085.1万52.44%1,085.1万
递延负债 61.39%861万9.87%600万32.38%628.8万26.54%584万26.54%584万-33.42%533.5万-26.03%546.1万-39.85%475万-39.28%461.5万-39.28%461.5万
长期应计费用 -39.53%475.1万-47.87%397.2万-32.90%833.4万-15.38%809.6万-15.38%809.6万-13.46%785.7万-29.01%761.9万--1,242.1万--956.8万--956.8万
其他非流动负债 -13.78%619.3万-16.92%578.8万-22.30%548.7万-18.11%708.5万-18.11%708.5万-31.38%718.3万-29.25%696.7万-63.89%706.2万-43.02%865.2万-43.02%865.2万
非流动负债总额 226.11%2.31亿-28.66%6,043.3万-34.61%6,022.7万-29.34%5,983.6万-29.34%5,983.6万-32.38%7,083.9万-36.96%8,471.4万-26.58%9,210.6万-16.07%8,468.6万-16.07%8,468.6万
总负债 142.78%3.09亿-18.51%1.12亿-21.92%1.13亿-16.07%1.18亿-16.07%1.18亿-23.12%1.27亿-26.66%1.38亿-12.16%1.44亿0.69%1.41亿0.69%1.41亿
所有者权益
股本 1.32%7.7万1.32%7.7万1.32%7.7万0.00%7.6万0.00%7.6万0.00%7.6万0.00%7.6万0.00%7.6万1.33%7.6万1.33%7.6万
-普通股股本 1.32%7.7万1.32%7.7万1.32%7.7万0.00%7.6万0.00%7.6万0.00%7.6万0.00%7.6万0.00%7.6万1.33%7.6万1.33%7.6万
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 22.98%2.9亿22.10%2.74亿22.55%2.6亿22.17%2.48亿22.17%2.48亿21.52%2.36亿28.42%2.24亿28.17%2.12亿25.99%2.03亿25.99%2.03亿
资本公积 2.92%3,895.7万2.08%3,741.8万2.45%3,562.9万7.61%3,881.4万7.61%3,881.4万6.94%3,785.1万6.73%3,665.4万3.68%3,477.7万5.62%3,607万5.62%3,607万
减:库存股 0.00%58.7万0.00%58.7万0.00%58.7万0.00%58.7万0.00%58.7万0.00%58.7万0.00%58.7万0.00%58.7万0.00%58.7万0.00%58.7万
不影响留存收益的损益 165.94%57.3万-553.95%-49.7万-170.09%-31.6万143.93%26.8万143.93%26.8万69.62%-86.9万93.30%-7.6万-130.71%-11.7万---61万---61万
股东权益总额 20.84%3.29亿19.17%3.1亿19.69%2.95亿20.44%2.86亿20.44%2.86亿20.44%2.72亿25.57%2.6亿23.81%2.46亿22.17%2.38亿22.17%2.38亿
总权益 20.84%3.29亿19.17%3.1亿19.69%2.95亿20.44%2.86亿20.44%2.86亿20.44%2.72亿25.57%2.6亿23.81%2.46亿22.17%2.38亿22.17%2.38亿
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--------无保留意见--

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