美股市场个股详情

Workiva (WK)

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  • 51.200
  • -4.210-7.60%
交易中 05/06 12:40 (美东)
28.73亿总市值213.33市盈率TTM

Workiva (WK) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2026/03/31
(FY)2025/12/31
(Q4)2025/12/31
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
资产
流动资产
现金及现金等价物和短期投资
12.56%8.63亿
9.21%8.92亿
9.21%8.92亿
10.36%8.57亿
9.83%8.14亿
-8.51%7.67亿
0.33%8.16亿
0.33%8.16亿
-0.78%7.76亿
58.90%7.41亿
-现金和现金等价物
38.11%3.34亿
12.24%3.39亿
12.24%3.39亿
27.26%3.16亿
6.11%2.84亿
-18.25%2.42亿
17.86%3.02亿
17.86%3.02亿
-38.69%2.48亿
34.66%2.68亿
-短期投资
0.78%5.29亿
7.44%5.53亿
7.44%5.53亿
2.42%5.41亿
11.95%5.29亿
-3.19%5.25亿
-7.72%5.15亿
-7.72%5.15亿
39.89%5.28亿
76.93%4.73亿
应收款项
14.15%1.46亿
13.02%1.79亿
13.02%1.79亿
5.46%1.55亿
2.16%1.31亿
34.58%1.28亿
19.73%1.59亿
19.73%1.59亿
38.43%1.47亿
42.89%1.28亿
-应收账款
16.43%1.38亿
13.85%1.69亿
13.85%1.69亿
4.72%1.44亿
0.17%1.22亿
34.95%1.19亿
18.56%1.48亿
18.56%1.48亿
39.51%1.38亿
44.01%1.21亿
-其他应收款
-14.86%792.5万
1.04%1,038.3万
1.04%1,038.3万
17.28%1,014万
37.28%944.1万
29.96%930.8万
39.49%1,027.6万
39.49%1,027.6万
23.22%864.6万
25.68%687.7万
递延资产
26.59%6,479.3万
22.99%6,261.9万
22.99%6,261.9万
23.60%5,528.2万
26.80%5,325万
35.33%5,118.4万
30.47%5,091.4万
30.47%5,091.4万
21.03%4,472.6万
9.16%4,199.4万
其他流动资产
20.52%3,393.9万
29.64%2,877.8万
29.64%2,877.8万
21.69%2,562.2万
18.20%2,518.4万
9.27%2,816.1万
-6.06%2,219.9万
-6.06%2,219.9万
-3.87%2,105.5万
-16.18%2,130.7万
流动资产合计
13.74%11.08亿
10.89%11.62亿
10.89%11.62亿
10.47%10.92亿
9.73%10.23亿
-2.28%9.74亿
3.90%10.48亿
3.90%10.48亿
4.39%9.89亿
50.41%9.32亿
非流动资产
固定资产净额
-10.10%3,040.9万
2.74%3,453.2万
2.74%3,453.2万
-1.86%3,066.1万
0.14%3,284.9万
-2.09%3,382.6万
-8.97%3,361.1万
-8.97%3,361.1万
-11.57%3,124.2万
-11.04%3,280.3万
-固定资产
-10.10%3,040.9万
2.79%6,430.3万
2.79%6,430.3万
-1.86%3,066.1万
0.14%3,284.9万
-2.09%3,382.6万
-0.22%6,255.9万
-0.22%6,255.9万
-11.57%3,124.2万
-11.04%3,280.3万
-累计折旧
----
-2.84%-2,977.1万
-2.84%-2,977.1万
----
----
----
-12.32%-2,894.8万
-12.32%-2,894.8万
----
----
商誉及其他无形资产
-0.03%2.26亿
1.87%2.28亿
1.87%2.28亿
-1.26%2.29亿
0.21%2.31亿
71.71%2.26亿
66.11%2.24亿
66.11%2.24亿
75.49%2.32亿
68.67%2.31亿
-商誉
2.23%2.04亿
4.73%2.06亿
4.73%2.06亿
1.89%2.06亿
3.42%2.06亿
81.05%2亿
75.60%1.97亿
75.60%1.97亿
85.70%2.02亿
79.21%1.99亿
-其他无形资产
-17.36%2,151.1万
-18.69%2,227万
-18.69%2,227万
-22.28%2,353.3万
-20.04%2,521.5万
23.05%2,603.1万
19.64%2,738.9万
19.64%2,738.9万
28.38%3,027.8万
22.97%3,153.3万
非流动递延资产
4.86%5,395.8万
8.95%5,976.7万
8.95%5,976.7万
18.96%5,181.6万
28.15%5,147.6万
56.65%5,145.6万
64.51%5,485.8万
64.51%5,485.8万
51.16%4,355.7万
30.38%4,016.9万
其他非流动资产
-13.45%718.4万
12.33%845.3万
12.33%845.3万
14.64%707.8万
6.90%704.7万
37.51%830万
61.31%752.5万
61.31%752.5万
14.44%617.4万
2.52%659.2万
非流动资产合计
-0.66%3.17亿
3.42%3.31亿
3.42%3.31亿
1.81%3.19亿
3.96%3.23亿
55.85%3.19亿
52.54%3.2亿
52.54%3.2亿
55.16%3.13亿
47.12%3.1亿
总资产
10.18%14.25亿
9.14%14.94亿
9.14%14.94亿
8.39%14.11亿
8.29%13.46亿
7.63%12.94亿
12.27%13.68亿
12.27%13.68亿
13.31%13.02亿
49.58%12.43亿
负债
流动负债
应付款项
-27.75%1,066.5万
15.30%893.2万
15.30%893.2万
-17.50%1,101万
32.52%1,090.5万
48.94%1,476.1万
48.87%774.7万
48.87%774.7万
171.87%1,334.6万
54.91%822.9万
-应付账款
-27.75%1,066.5万
15.30%893.2万
15.30%893.2万
-17.50%1,101万
32.52%1,090.5万
48.94%1,476.1万
48.87%774.7万
48.87%774.7万
171.87%1,334.6万
54.91%822.9万
应计费用
21.47%3,795.3万
-12.62%5,488.8万
-12.62%5,488.8万
12.69%3,936.9万
-3.18%4,118.9万
-3.28%3,124.6万
64.51%6,281.3万
64.51%6,281.3万
50.25%3,493.7万
72.41%4,254.2万
短期借款与租赁负债
1,290.82%7,663.4万
1,317.92%7,739万
1,317.92%7,739万
1,573.99%7,626.7万
1,427.72%7,644.7万
9.56%551万
-5.70%545.8万
-5.70%545.8万
-8.66%455.6万
-10.50%500.4万
-短期借款
--7,114万
--7,107.2万
--7,107.2万
--7,100.4万
--7,093.7万
----
----
----
----
----
-短期租赁负债
-0.29%549.4万
15.76%631.8万
15.76%631.8万
15.52%526.3万
10.11%551万
9.56%551万
-5.70%545.8万
-5.70%545.8万
-8.66%455.6万
-10.50%500.4万
递延负债
16.80%5.37亿
18.93%5.73亿
18.93%5.73亿
17.15%5.15亿
18.92%4.85亿
18.18%4.6亿
18.86%4.82亿
18.86%4.82亿
21.08%4.4亿
16.20%4.08亿
流动负债总额
25.34%6.86亿
25.19%7.42亿
25.19%7.42亿
28.43%6.92亿
30.83%6.62亿
17.22%5.47亿
22.28%5.92亿
22.28%5.92亿
23.09%5.39亿
19.30%5.06亿
非流动负债
长期借款与租赁负债
-9.11%7.17亿
-8.61%7.2亿
-8.61%7.2亿
-8.82%7.17亿
-8.78%7.17亿
0.24%7.89亿
0.05%7.88亿
0.05%7.88亿
0.12%7.86亿
115.44%7.86亿
-长期借款
-8.97%6.97亿
-8.97%6.96亿
-8.97%6.96亿
-8.97%6.96亿
-8.97%6.95亿
0.32%7.66亿
0.32%7.65亿
0.32%7.65亿
0.32%7.64亿
124.01%7.64亿
-长期租赁负债
-13.62%2,002.9万
3.34%2,369.5万
3.34%2,369.5万
-3.38%2,096万
-2.40%2,208.5万
-2.38%2,318.7万
-8.06%2,292.9万
-8.06%2,292.9万
-6.53%2,169.3万
-5.98%2,262.9万
递延负债
5.73%3,500.1万
25.69%3,730.5万
25.69%3,730.5万
41.03%3,882.2万
17.15%3,244.3万
6.50%3,310.4万
-17.96%2,968.1万
-17.96%2,968.1万
-27.97%2,752.7万
-30.46%2,769.4万
其他非流动负债
-57.14%10.2万
-59.47%9.2万
-59.47%9.2万
20.34%28.4万
32.13%29.2万
12.26%23.8万
27.53%22.7万
27.53%22.7万
-84.67%23.6万
-85.53%22.1万
非流动负债总额
-8.53%7.52亿
-7.38%7.57亿
-7.38%7.57亿
-7.12%7.56亿
-7.89%7.5亿
0.48%8.22亿
-0.73%8.18亿
-0.73%8.18亿
-1.34%8.14亿
100.39%8.14亿
总负债
5.01%14.38亿
6.30%14.99亿
6.30%14.99亿
7.05%14.48亿
6.95%14.12亿
6.56%13.69亿
7.79%14.1亿
7.79%14.1亿
7.13%13.53亿
58.97%13.2亿
所有者权益
股本
1.79%5.7万
1.79%5.7万
1.79%5.7万
0.00%5.6万
1.82%5.6万
1.82%5.6万
3.70%5.6万
3.70%5.6万
3.70%5.6万
1.85%5.5万
-普通股股本
1.79%5.7万
1.79%5.7万
1.79%5.7万
0.00%5.6万
1.82%5.6万
1.82%5.6万
3.70%5.6万
3.70%5.6万
3.70%5.6万
1.85%5.5万
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
1.95%-7.15亿
-3.70%-7.34亿
-3.70%-7.34亿
-6.70%-7.46亿
-9.76%-7.48亿
-9.74%-7.29亿
-8.43%-7.08亿
-8.43%-7.08亿
-7.78%-6.99亿
-15.15%-6.82亿
资本公积
6.76%7亿
7.22%7.21亿
7.22%7.21亿
8.81%7.02亿
10.89%6.75亿
12.08%6.55亿
19.44%6.72亿
19.44%6.72亿
19.22%6.45亿
2.20%6.09亿
不影响留存收益的损益
219.91%253.5万
215.83%743.6万
215.83%743.6万
132.61%679万
243.64%679.4万
41.84%-211.4万
-2,617.65%-642万
-2,617.65%-642万
145.65%291.9万
-38.55%-473万
股东权益总额
83.34%-1,261.5万
86.96%-543.6万
86.96%-543.6万
27.32%-3,692.7万
14.43%-6,652.8万
8.92%-7,573.5万
53.37%-4,168.4万
53.37%-4,168.4万
55.31%-5,081万
-49,620.38%-7,774.7万
总权益
83.34%-1,261.5万
86.96%-543.6万
86.96%-543.6万
27.32%-3,692.7万
14.43%-6,652.8万
8.92%-7,573.5万
53.37%-4,168.4万
53.37%-4,168.4万
55.31%-5,081万
-49,620.38%-7,774.7万
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
--
--
--
(Q1)2026/03/31(FY)2025/12/31(Q4)2025/12/31(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30
资产
流动资产
现金及现金等价物和短期投资 12.56%8.63亿9.21%8.92亿9.21%8.92亿10.36%8.57亿9.83%8.14亿-8.51%7.67亿0.33%8.16亿0.33%8.16亿-0.78%7.76亿58.90%7.41亿
-现金和现金等价物 38.11%3.34亿12.24%3.39亿12.24%3.39亿27.26%3.16亿6.11%2.84亿-18.25%2.42亿17.86%3.02亿17.86%3.02亿-38.69%2.48亿34.66%2.68亿
-短期投资 0.78%5.29亿7.44%5.53亿7.44%5.53亿2.42%5.41亿11.95%5.29亿-3.19%5.25亿-7.72%5.15亿-7.72%5.15亿39.89%5.28亿76.93%4.73亿
应收款项 14.15%1.46亿13.02%1.79亿13.02%1.79亿5.46%1.55亿2.16%1.31亿34.58%1.28亿19.73%1.59亿19.73%1.59亿38.43%1.47亿42.89%1.28亿
-应收账款 16.43%1.38亿13.85%1.69亿13.85%1.69亿4.72%1.44亿0.17%1.22亿34.95%1.19亿18.56%1.48亿18.56%1.48亿39.51%1.38亿44.01%1.21亿
-其他应收款 -14.86%792.5万1.04%1,038.3万1.04%1,038.3万17.28%1,014万37.28%944.1万29.96%930.8万39.49%1,027.6万39.49%1,027.6万23.22%864.6万25.68%687.7万
递延资产 26.59%6,479.3万22.99%6,261.9万22.99%6,261.9万23.60%5,528.2万26.80%5,325万35.33%5,118.4万30.47%5,091.4万30.47%5,091.4万21.03%4,472.6万9.16%4,199.4万
其他流动资产 20.52%3,393.9万29.64%2,877.8万29.64%2,877.8万21.69%2,562.2万18.20%2,518.4万9.27%2,816.1万-6.06%2,219.9万-6.06%2,219.9万-3.87%2,105.5万-16.18%2,130.7万
流动资产合计 13.74%11.08亿10.89%11.62亿10.89%11.62亿10.47%10.92亿9.73%10.23亿-2.28%9.74亿3.90%10.48亿3.90%10.48亿4.39%9.89亿50.41%9.32亿
非流动资产
固定资产净额 -10.10%3,040.9万2.74%3,453.2万2.74%3,453.2万-1.86%3,066.1万0.14%3,284.9万-2.09%3,382.6万-8.97%3,361.1万-8.97%3,361.1万-11.57%3,124.2万-11.04%3,280.3万
-固定资产 -10.10%3,040.9万2.79%6,430.3万2.79%6,430.3万-1.86%3,066.1万0.14%3,284.9万-2.09%3,382.6万-0.22%6,255.9万-0.22%6,255.9万-11.57%3,124.2万-11.04%3,280.3万
-累计折旧 -----2.84%-2,977.1万-2.84%-2,977.1万-------------12.32%-2,894.8万-12.32%-2,894.8万--------
商誉及其他无形资产 -0.03%2.26亿1.87%2.28亿1.87%2.28亿-1.26%2.29亿0.21%2.31亿71.71%2.26亿66.11%2.24亿66.11%2.24亿75.49%2.32亿68.67%2.31亿
-商誉 2.23%2.04亿4.73%2.06亿4.73%2.06亿1.89%2.06亿3.42%2.06亿81.05%2亿75.60%1.97亿75.60%1.97亿85.70%2.02亿79.21%1.99亿
-其他无形资产 -17.36%2,151.1万-18.69%2,227万-18.69%2,227万-22.28%2,353.3万-20.04%2,521.5万23.05%2,603.1万19.64%2,738.9万19.64%2,738.9万28.38%3,027.8万22.97%3,153.3万
非流动递延资产 4.86%5,395.8万8.95%5,976.7万8.95%5,976.7万18.96%5,181.6万28.15%5,147.6万56.65%5,145.6万64.51%5,485.8万64.51%5,485.8万51.16%4,355.7万30.38%4,016.9万
其他非流动资产 -13.45%718.4万12.33%845.3万12.33%845.3万14.64%707.8万6.90%704.7万37.51%830万61.31%752.5万61.31%752.5万14.44%617.4万2.52%659.2万
非流动资产合计 -0.66%3.17亿3.42%3.31亿3.42%3.31亿1.81%3.19亿3.96%3.23亿55.85%3.19亿52.54%3.2亿52.54%3.2亿55.16%3.13亿47.12%3.1亿
总资产 10.18%14.25亿9.14%14.94亿9.14%14.94亿8.39%14.11亿8.29%13.46亿7.63%12.94亿12.27%13.68亿12.27%13.68亿13.31%13.02亿49.58%12.43亿
负债
流动负债
应付款项 -27.75%1,066.5万15.30%893.2万15.30%893.2万-17.50%1,101万32.52%1,090.5万48.94%1,476.1万48.87%774.7万48.87%774.7万171.87%1,334.6万54.91%822.9万
-应付账款 -27.75%1,066.5万15.30%893.2万15.30%893.2万-17.50%1,101万32.52%1,090.5万48.94%1,476.1万48.87%774.7万48.87%774.7万171.87%1,334.6万54.91%822.9万
应计费用 21.47%3,795.3万-12.62%5,488.8万-12.62%5,488.8万12.69%3,936.9万-3.18%4,118.9万-3.28%3,124.6万64.51%6,281.3万64.51%6,281.3万50.25%3,493.7万72.41%4,254.2万
短期借款与租赁负债 1,290.82%7,663.4万1,317.92%7,739万1,317.92%7,739万1,573.99%7,626.7万1,427.72%7,644.7万9.56%551万-5.70%545.8万-5.70%545.8万-8.66%455.6万-10.50%500.4万
-短期借款 --7,114万--7,107.2万--7,107.2万--7,100.4万--7,093.7万--------------------
-短期租赁负债 -0.29%549.4万15.76%631.8万15.76%631.8万15.52%526.3万10.11%551万9.56%551万-5.70%545.8万-5.70%545.8万-8.66%455.6万-10.50%500.4万
递延负债 16.80%5.37亿18.93%5.73亿18.93%5.73亿17.15%5.15亿18.92%4.85亿18.18%4.6亿18.86%4.82亿18.86%4.82亿21.08%4.4亿16.20%4.08亿
流动负债总额 25.34%6.86亿25.19%7.42亿25.19%7.42亿28.43%6.92亿30.83%6.62亿17.22%5.47亿22.28%5.92亿22.28%5.92亿23.09%5.39亿19.30%5.06亿
非流动负债
长期借款与租赁负债 -9.11%7.17亿-8.61%7.2亿-8.61%7.2亿-8.82%7.17亿-8.78%7.17亿0.24%7.89亿0.05%7.88亿0.05%7.88亿0.12%7.86亿115.44%7.86亿
-长期借款 -8.97%6.97亿-8.97%6.96亿-8.97%6.96亿-8.97%6.96亿-8.97%6.95亿0.32%7.66亿0.32%7.65亿0.32%7.65亿0.32%7.64亿124.01%7.64亿
-长期租赁负债 -13.62%2,002.9万3.34%2,369.5万3.34%2,369.5万-3.38%2,096万-2.40%2,208.5万-2.38%2,318.7万-8.06%2,292.9万-8.06%2,292.9万-6.53%2,169.3万-5.98%2,262.9万
递延负债 5.73%3,500.1万25.69%3,730.5万25.69%3,730.5万41.03%3,882.2万17.15%3,244.3万6.50%3,310.4万-17.96%2,968.1万-17.96%2,968.1万-27.97%2,752.7万-30.46%2,769.4万
其他非流动负债 -57.14%10.2万-59.47%9.2万-59.47%9.2万20.34%28.4万32.13%29.2万12.26%23.8万27.53%22.7万27.53%22.7万-84.67%23.6万-85.53%22.1万
非流动负债总额 -8.53%7.52亿-7.38%7.57亿-7.38%7.57亿-7.12%7.56亿-7.89%7.5亿0.48%8.22亿-0.73%8.18亿-0.73%8.18亿-1.34%8.14亿100.39%8.14亿
总负债 5.01%14.38亿6.30%14.99亿6.30%14.99亿7.05%14.48亿6.95%14.12亿6.56%13.69亿7.79%14.1亿7.79%14.1亿7.13%13.53亿58.97%13.2亿
所有者权益
股本 1.79%5.7万1.79%5.7万1.79%5.7万0.00%5.6万1.82%5.6万1.82%5.6万3.70%5.6万3.70%5.6万3.70%5.6万1.85%5.5万
-普通股股本 1.79%5.7万1.79%5.7万1.79%5.7万0.00%5.6万1.82%5.6万1.82%5.6万3.70%5.6万3.70%5.6万3.70%5.6万1.85%5.5万
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 1.95%-7.15亿-3.70%-7.34亿-3.70%-7.34亿-6.70%-7.46亿-9.76%-7.48亿-9.74%-7.29亿-8.43%-7.08亿-8.43%-7.08亿-7.78%-6.99亿-15.15%-6.82亿
资本公积 6.76%7亿7.22%7.21亿7.22%7.21亿8.81%7.02亿10.89%6.75亿12.08%6.55亿19.44%6.72亿19.44%6.72亿19.22%6.45亿2.20%6.09亿
不影响留存收益的损益 219.91%253.5万215.83%743.6万215.83%743.6万132.61%679万243.64%679.4万41.84%-211.4万-2,617.65%-642万-2,617.65%-642万145.65%291.9万-38.55%-473万
股东权益总额 83.34%-1,261.5万86.96%-543.6万86.96%-543.6万27.32%-3,692.7万14.43%-6,652.8万8.92%-7,573.5万53.37%-4,168.4万53.37%-4,168.4万55.31%-5,081万-49,620.38%-7,774.7万
总权益 83.34%-1,261.5万86.96%-543.6万86.96%-543.6万27.32%-3,692.7万14.43%-6,652.8万8.92%-7,573.5万53.37%-4,168.4万53.37%-4,168.4万55.31%-5,081万-49,620.38%-7,774.7万
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审计意见 --无保留意见--------无保留意见------
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