美股市場個股詳情

AOSL 阿爾法和歐米伽半導體

添加自選
  • 19.100
  • +0.060+0.32%
收盤價 04/29 16:00 (美東)
  • 19.100
  • 0.0000.00%
盤後 16:11 (美東)
5.62億總市值-23.88市盈率TTM

阿爾法和歐米伽半導體關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2024/12/31
(Q1)2024/09/30
(FY)2024/06/30
(Q4)2024/06/30
(Q3)2024/03/31
(Q2)2023/12/31
(Q1)2023/09/30
(FY)2023/06/30
(Q4)2023/06/30
(Q3)2023/03/31
資產
流動資產
現金及現金等價物和短期投資
12.53%1.83億
-9.08%1.76億
-10.28%1.75億
-10.28%1.75億
-34.43%1.74億
-43.62%1.62億
-38.76%1.94億
-37.91%1.95億
-37.91%1.95億
-17.70%2.66億
-現金和現金等價物
12.53%1.83億
-9.08%1.76億
-10.28%1.75億
-10.28%1.75億
-34.43%1.74億
-43.62%1.62億
-38.76%1.94億
-37.91%1.95億
-37.91%1.95億
-17.70%2.66億
應收款項
-8.44%3,054.2萬
-15.57%3,110.3萬
-33.45%1,595.1萬
-33.45%1,595.1萬
-32.98%1,431.7萬
-39.52%3,335.7萬
-35.20%3,683.7萬
-64.33%2,396.8萬
-64.33%2,396.8萬
-47.11%2,136.3萬
-應收賬款
-37.73%1,987.9萬
-28.52%2,459.1萬
-44.04%1,254.6萬
-44.04%1,254.6萬
-31.80%1,325.4萬
-40.02%3,192.3萬
-38.31%3,440.3萬
-65.87%2,242萬
-65.87%2,242萬
-50.43%1,943.4萬
-應收利息
-15.04%33.9萬
6.68%39.9萬
183.70%38.3萬
183.70%38.3萬
111.63%36.4萬
235.29%39.9萬
152.70%37.4萬
440.00%13.5萬
440.00%13.5萬
--17.2萬
-應收稅費
8.82%37萬
-19.61%36.9萬
10.55%30.4萬
10.55%30.4萬
56.42%28萬
39.92%34萬
112.50%45.9萬
-62.69%27.5萬
-62.69%27.5萬
-67.45%17.9萬
-其他應收款
1,332.23%995.4萬
258.78%574.4萬
138.84%271.8萬
138.84%271.8萬
-73.45%41.9萬
-55.70%69.5萬
123.29%160.1萬
52.75%113.8萬
52.75%113.8萬
147.34%157.8萬
存貨
-4.16%1.84億
-1.48%1.85億
6.82%1.96億
6.82%1.96億
10.19%1.98億
17.02%1.92億
13.83%1.88億
15.95%1.83億
15.95%1.83億
25.25%1.8億
預付費用
-30.69%1,322.1萬
-51.56%1,044.4萬
-49.05%1,076萬
-49.05%1,076萬
-6.21%754.1萬
89.37%1,907.5萬
116.70%2,155.9萬
117.42%2,111.8萬
117.42%2,111.8萬
-23.50%804萬
受限制現金
-2.83%20.6萬
3.88%21.4萬
-0.48%41.3萬
-0.48%41.3萬
-4.59%20.8萬
-26.39%21.2萬
-25.90%20.6萬
38.80%41.5萬
38.80%41.5萬
-7.63%21.8萬
流動資產合計
0.90%4.1億
-8.45%4.03億
-6.12%3.98億
-6.12%3.98億
-17.00%3.95億
-21.37%4.07億
-19.74%4.4億
-22.86%4.24億
-22.86%4.24億
-8.20%4.75億
非流動資產
固定資產淨額
-9.15%3.44億
-8.12%3.54億
-5.57%3.64億
-5.57%3.64億
-3.88%3.69億
0.34%3.79億
4.94%3.85億
9.97%3.85億
9.97%3.85億
32.10%3.83億
-固定資產
2.01%6.89億
2.56%6.87億
4.07%6.84億
4.07%6.84億
4.92%6.77億
7.32%6.75億
9.91%6.7億
12.70%6.58億
12.70%6.58億
24.40%6.45億
-累計折舊
-16.25%-3.45億
-17.05%-3.33億
-17.71%-3.21億
-17.71%-3.21億
-17.81%-3.08億
-17.78%-2.97億
-17.45%-2.84億
-16.78%-2.73億
-16.78%-2.73億
-14.61%-2.62億
商譽及其他無形資產
-63.18%189.3萬
-54.58%270.4萬
-48.03%351.6萬
-48.03%351.6萬
-42.88%432.8萬
-38.72%514.1萬
-35.37%595.3萬
-32.69%676.5萬
-32.69%676.5萬
-30.42%757.7萬
-商譽
0.00%26.9萬
0.00%26.9萬
0.00%26.9萬
0.00%26.9萬
0.00%26.9萬
0.00%26.9萬
0.00%26.9萬
0.00%26.9萬
0.00%26.9萬
0.00%26.9萬
-其他無形資產
-66.67%162.4萬
-57.16%243.5萬
-50.02%324.7萬
-50.02%324.7萬
-44.46%405.9萬
-40.00%487.2萬
-36.43%568.4萬
-33.59%649.6萬
-33.59%649.6萬
-31.19%730.8萬
投資和預付款
0.48%3.58億
-1.01%3.54億
-2.88%3.56億
-2.88%3.56億
-2.39%3.59億
-2.46%3.56億
-4.80%3.58億
-3.11%3.67億
-3.11%3.67億
-3.10%3.68億
非流動遞延資產
4.25%54萬
6.95%55.4萬
2.43%54.9萬
2.43%54.9萬
-11.05%49.9萬
-8.48%51.8萬
-6.33%51.8萬
-9.46%53.6萬
-9.46%53.6萬
28.67%56.1萬
長期預付費用
-25.10%1,881.8萬
71.35%2,265.8萬
72.02%2,280.6萬
72.02%2,280.6萬
58.19%2,403萬
84.62%2,512.3萬
63.07%1,322.3萬
63.24%1,325.8萬
63.24%1,325.8萬
84.36%1,519.1萬
其他非流動資產
-87.94%49.5萬
-86.78%43.5萬
-91.20%29.5萬
-91.20%29.5萬
-10.48%278.5萬
20.30%410.6萬
58.63%329萬
115.97%335.4萬
115.97%335.4萬
87.30%311.1萬
非流動資產合計
-5.99%7.24億
-4.12%7.35億
-3.71%7.47億
-3.71%7.47億
-2.37%7.59億
0.16%7.7億
0.41%7.66億
3.57%7.76億
3.57%7.76億
12.53%7.78億
總資產
-3.60%11.34億
-5.70%11.38億
-4.56%11.45億
-4.56%11.45億
-7.92%11.54億
-8.50%11.76億
-8.01%12.06億
-7.62%12億
-7.62%12億
3.65%12.53億
負債
流動負債
應付款項
-1.43%6,325.7萬
-18.49%6,559.6萬
-9.73%6,287萬
-9.73%6,287萬
-22.20%6,464.9萬
-31.99%6,417.6萬
-25.05%8,047.8萬
-42.72%6,964.8萬
-42.72%6,964.8萬
-11.85%8,309.7萬
-應付賬款
-9.61%4,081.6萬
-19.94%4,184.8萬
-11.21%4,508.4萬
-11.21%4,508.4萬
-22.26%4,251.3萬
-31.37%4,515.6萬
-34.75%5,226.8萬
-41.89%5,077.5萬
-41.89%5,077.5萬
-21.60%5,468.9萬
-應付稅費
-37.12%294.3萬
-28.16%337萬
-49.55%279.8萬
-49.55%279.8萬
-32.49%449萬
-16.73%468萬
0.09%469.1萬
30.56%554.6萬
30.56%554.6萬
-1.22%665.1萬
-應付關聯方款項
39.88%1,813.7萬
-14.52%1,719.4萬
14.49%1,368.2萬
14.49%1,368.2萬
-22.39%1,427.5萬
-39.89%1,296.6萬
3.07%2,011.5萬
-58.78%1,195萬
-58.78%1,195萬
21.24%1,839.3萬
-其他應付款
-0.95%136.1萬
-6.46%318.4萬
-5.16%130.6萬
-5.16%130.6萬
0.21%337.1萬
0.22%137.4萬
10.92%340.4萬
41.81%137.7萬
41.81%137.7萬
29.09%336.4萬
應計費用
-9.08%2,206.8萬
-8.83%2,255.5萬
-2.08%2,393.8萬
-2.08%2,393.8萬
-11.69%2,172.4萬
-9.18%2,427.2萬
-16.38%2,473.9萬
-39.88%2,444.7萬
-39.88%2,444.7萬
-12.35%2,460.1萬
短期借款與租賃負債
2.00%1,774.4萬
3.14%1,788.8萬
6.13%1,770.7萬
6.13%1,770.7萬
-42.32%1,741萬
-42.84%1,739.6萬
-45.25%1,734.4萬
-44.78%1,668.4萬
-44.78%1,668.4萬
82.97%3,018.5萬
-短期借款
1.81%1,174.2萬
1.79%1,168.8萬
1.76%1,163.5萬
1.76%1,163.5萬
-53.43%1,158.4萬
-53.95%1,153.3萬
-57.05%1,148.3萬
-55.27%1,143.4萬
-55.27%1,143.4萬
119.53%2,487.7萬
-短期租賃負債
2.37%600.2萬
5.78%620萬
15.66%607.2萬
15.66%607.2萬
9.76%582.6萬
8.82%586.3萬
18.67%586.1萬
12.85%525萬
12.85%525萬
2.77%530.8萬
遞延負債
-23.07%2,737萬
-42.81%2,563.5萬
-24.66%3,477.3萬
-24.66%3,477.3萬
-29.36%4,074.9萬
1.49%3,557.6萬
23.89%4,482.7萬
13.74%4,615.5萬
13.74%4,615.5萬
64.29%5,768.4萬
流動負債總額
-6.54%1.51億
-19.09%1.52億
-10.62%1.54億
-10.62%1.54億
-25.37%1.6億
-27.05%1.62億
-23.24%1.88億
-35.54%1.73億
-35.54%1.73億
7.43%2.14億
非流動負債
長期借款與租賃負債
-26.66%4,146.4萬
-23.95%4,609.4萬
-20.31%4,950.5萬
-20.31%4,950.5萬
-18.33%5,227.4萬
-16.20%5,654萬
-15.31%6,061.4萬
-7.69%6,212萬
-7.69%6,212萬
-19.83%6,400.8萬
-長期借款
-36.05%2,082.6萬
-32.95%2,378.2萬
-30.33%2,672.4萬
-30.33%2,672.4萬
-28.09%2,965.3萬
-26.15%3,256.8萬
-24.46%3,547萬
-9.71%3,836萬
-9.71%3,836萬
-23.48%4,123.7萬
-長期租賃負債
-13.91%2,063.8萬
-11.26%2,231.2萬
-4.12%2,278.1萬
-4.12%2,278.1萬
-0.66%2,262.1萬
2.57%2,397.2萬
2.12%2,514.4萬
-4.23%2,376萬
-4.23%2,376萬
-12.26%2,277.1萬
遞延負債
-40.33%3,475.4萬
-38.53%4,086.1萬
-37.46%4,607.7萬
-37.46%4,607.7萬
-38.89%4,869.8萬
-33.70%5,824.3萬
-33.70%6,647.6萬
-25.62%7,367.6萬
-25.62%7,367.6萬
-21.55%7,969萬
其他非流動負債
-84.31%39萬
----
----
----
-78.82%122.3萬
-63.93%248.5萬
-52.89%358萬
-44.06%464.4萬
-44.06%464.4萬
--577.3萬
非流動負債總額
-33.16%8,033.2萬
-32.14%9,061.6萬
-30.77%9,917.3萬
-30.77%9,917.3萬
-30.69%1.05億
-26.91%1.2億
-26.48%1.34億
-18.98%1.43億
-18.98%1.43億
-16.98%1.52億
總負債
-17.89%2.31億
-24.52%2.42億
-19.76%2.53億
-19.76%2.53億
-27.57%2.65億
-26.99%2.82億
-24.62%3.21億
-28.96%3.16億
-28.96%3.16億
-4.24%3.66億
所有者權益
股本
4.29%7.3萬
2.86%7.2萬
2.86%7.2萬
2.86%7.2萬
4.35%7.2萬
2.94%7萬
2.94%7萬
2.94%7萬
2.94%7萬
2.99%6.9萬
-普通股股本
4.29%7.3萬
2.86%7.2萬
2.86%7.2萬
2.86%7.2萬
4.35%7.2萬
2.94%7萬
2.94%7萬
2.94%7萬
2.94%7萬
2.99%6.9萬
-優先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
-3.60%6.22億
-3.01%6.29億
-1.75%6.31億
-1.75%6.31億
-1.49%6.34億
-2.60%6.45億
-1.21%6.48億
1.95%6.42億
1.95%6.42億
4.63%6.43億
資本公積
8.13%3.7億
8.91%3.59億
7.32%3.53億
7.32%3.53億
7.42%3.45億
8.38%3.43億
10.30%3.3億
13.87%3.29億
13.87%3.29億
16.29%3.22億
減:庫存股
-0.19%7,919.2萬
-0.19%7,921.3萬
-0.19%7,921.3萬
-0.19%7,921.3萬
15.47%7,922萬
20.23%7,934.3萬
20.26%7,936.5萬
20.25%7,936.5萬
20.25%7,936.5萬
3.94%6,860.5萬
不影響留存收益的損益
23.07%-1,072.2萬
-0.44%-1,357.8萬
-65.44%-1,341.9萬
-65.44%-1,341.9萬
-21.51%-1,112.5萬
-8.01%-1,393.7萬
-253.23%-1,351.8萬
-851.02%-811.1萬
-851.02%-811.1萬
-743.88%-915.6萬
股東權益總額
0.90%9.03億
1.13%8.95億
0.87%8.92億
0.87%8.92億
0.19%8.89億
-0.57%8.95億
-0.02%8.85億
3.49%8.84億
3.49%8.84億
7.30%8.87億
總權益
0.90%9.03億
1.13%8.95億
0.87%8.92億
0.87%8.92億
0.19%8.89億
-0.57%8.95億
-0.02%8.85億
3.49%8.84億
3.49%8.84億
7.30%8.87億
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
審計意見
--
--
無保留意見
--
--
--
--
無保留意見
--
--
(Q2)2024/12/31(Q1)2024/09/30(FY)2024/06/30(Q4)2024/06/30(Q3)2024/03/31(Q2)2023/12/31(Q1)2023/09/30(FY)2023/06/30(Q4)2023/06/30(Q3)2023/03/31
資產
流動資產
現金及現金等價物和短期投資 12.53%1.83億-9.08%1.76億-10.28%1.75億-10.28%1.75億-34.43%1.74億-43.62%1.62億-38.76%1.94億-37.91%1.95億-37.91%1.95億-17.70%2.66億
-現金和現金等價物 12.53%1.83億-9.08%1.76億-10.28%1.75億-10.28%1.75億-34.43%1.74億-43.62%1.62億-38.76%1.94億-37.91%1.95億-37.91%1.95億-17.70%2.66億
應收款項 -8.44%3,054.2萬-15.57%3,110.3萬-33.45%1,595.1萬-33.45%1,595.1萬-32.98%1,431.7萬-39.52%3,335.7萬-35.20%3,683.7萬-64.33%2,396.8萬-64.33%2,396.8萬-47.11%2,136.3萬
-應收賬款 -37.73%1,987.9萬-28.52%2,459.1萬-44.04%1,254.6萬-44.04%1,254.6萬-31.80%1,325.4萬-40.02%3,192.3萬-38.31%3,440.3萬-65.87%2,242萬-65.87%2,242萬-50.43%1,943.4萬
-應收利息 -15.04%33.9萬6.68%39.9萬183.70%38.3萬183.70%38.3萬111.63%36.4萬235.29%39.9萬152.70%37.4萬440.00%13.5萬440.00%13.5萬--17.2萬
-應收稅費 8.82%37萬-19.61%36.9萬10.55%30.4萬10.55%30.4萬56.42%28萬39.92%34萬112.50%45.9萬-62.69%27.5萬-62.69%27.5萬-67.45%17.9萬
-其他應收款 1,332.23%995.4萬258.78%574.4萬138.84%271.8萬138.84%271.8萬-73.45%41.9萬-55.70%69.5萬123.29%160.1萬52.75%113.8萬52.75%113.8萬147.34%157.8萬
存貨 -4.16%1.84億-1.48%1.85億6.82%1.96億6.82%1.96億10.19%1.98億17.02%1.92億13.83%1.88億15.95%1.83億15.95%1.83億25.25%1.8億
預付費用 -30.69%1,322.1萬-51.56%1,044.4萬-49.05%1,076萬-49.05%1,076萬-6.21%754.1萬89.37%1,907.5萬116.70%2,155.9萬117.42%2,111.8萬117.42%2,111.8萬-23.50%804萬
受限制現金 -2.83%20.6萬3.88%21.4萬-0.48%41.3萬-0.48%41.3萬-4.59%20.8萬-26.39%21.2萬-25.90%20.6萬38.80%41.5萬38.80%41.5萬-7.63%21.8萬
流動資產合計 0.90%4.1億-8.45%4.03億-6.12%3.98億-6.12%3.98億-17.00%3.95億-21.37%4.07億-19.74%4.4億-22.86%4.24億-22.86%4.24億-8.20%4.75億
非流動資產
固定資產淨額 -9.15%3.44億-8.12%3.54億-5.57%3.64億-5.57%3.64億-3.88%3.69億0.34%3.79億4.94%3.85億9.97%3.85億9.97%3.85億32.10%3.83億
-固定資產 2.01%6.89億2.56%6.87億4.07%6.84億4.07%6.84億4.92%6.77億7.32%6.75億9.91%6.7億12.70%6.58億12.70%6.58億24.40%6.45億
-累計折舊 -16.25%-3.45億-17.05%-3.33億-17.71%-3.21億-17.71%-3.21億-17.81%-3.08億-17.78%-2.97億-17.45%-2.84億-16.78%-2.73億-16.78%-2.73億-14.61%-2.62億
商譽及其他無形資產 -63.18%189.3萬-54.58%270.4萬-48.03%351.6萬-48.03%351.6萬-42.88%432.8萬-38.72%514.1萬-35.37%595.3萬-32.69%676.5萬-32.69%676.5萬-30.42%757.7萬
-商譽 0.00%26.9萬0.00%26.9萬0.00%26.9萬0.00%26.9萬0.00%26.9萬0.00%26.9萬0.00%26.9萬0.00%26.9萬0.00%26.9萬0.00%26.9萬
-其他無形資產 -66.67%162.4萬-57.16%243.5萬-50.02%324.7萬-50.02%324.7萬-44.46%405.9萬-40.00%487.2萬-36.43%568.4萬-33.59%649.6萬-33.59%649.6萬-31.19%730.8萬
投資和預付款 0.48%3.58億-1.01%3.54億-2.88%3.56億-2.88%3.56億-2.39%3.59億-2.46%3.56億-4.80%3.58億-3.11%3.67億-3.11%3.67億-3.10%3.68億
非流動遞延資產 4.25%54萬6.95%55.4萬2.43%54.9萬2.43%54.9萬-11.05%49.9萬-8.48%51.8萬-6.33%51.8萬-9.46%53.6萬-9.46%53.6萬28.67%56.1萬
長期預付費用 -25.10%1,881.8萬71.35%2,265.8萬72.02%2,280.6萬72.02%2,280.6萬58.19%2,403萬84.62%2,512.3萬63.07%1,322.3萬63.24%1,325.8萬63.24%1,325.8萬84.36%1,519.1萬
其他非流動資產 -87.94%49.5萬-86.78%43.5萬-91.20%29.5萬-91.20%29.5萬-10.48%278.5萬20.30%410.6萬58.63%329萬115.97%335.4萬115.97%335.4萬87.30%311.1萬
非流動資產合計 -5.99%7.24億-4.12%7.35億-3.71%7.47億-3.71%7.47億-2.37%7.59億0.16%7.7億0.41%7.66億3.57%7.76億3.57%7.76億12.53%7.78億
總資產 -3.60%11.34億-5.70%11.38億-4.56%11.45億-4.56%11.45億-7.92%11.54億-8.50%11.76億-8.01%12.06億-7.62%12億-7.62%12億3.65%12.53億
負債
流動負債
應付款項 -1.43%6,325.7萬-18.49%6,559.6萬-9.73%6,287萬-9.73%6,287萬-22.20%6,464.9萬-31.99%6,417.6萬-25.05%8,047.8萬-42.72%6,964.8萬-42.72%6,964.8萬-11.85%8,309.7萬
-應付賬款 -9.61%4,081.6萬-19.94%4,184.8萬-11.21%4,508.4萬-11.21%4,508.4萬-22.26%4,251.3萬-31.37%4,515.6萬-34.75%5,226.8萬-41.89%5,077.5萬-41.89%5,077.5萬-21.60%5,468.9萬
-應付稅費 -37.12%294.3萬-28.16%337萬-49.55%279.8萬-49.55%279.8萬-32.49%449萬-16.73%468萬0.09%469.1萬30.56%554.6萬30.56%554.6萬-1.22%665.1萬
-應付關聯方款項 39.88%1,813.7萬-14.52%1,719.4萬14.49%1,368.2萬14.49%1,368.2萬-22.39%1,427.5萬-39.89%1,296.6萬3.07%2,011.5萬-58.78%1,195萬-58.78%1,195萬21.24%1,839.3萬
-其他應付款 -0.95%136.1萬-6.46%318.4萬-5.16%130.6萬-5.16%130.6萬0.21%337.1萬0.22%137.4萬10.92%340.4萬41.81%137.7萬41.81%137.7萬29.09%336.4萬
應計費用 -9.08%2,206.8萬-8.83%2,255.5萬-2.08%2,393.8萬-2.08%2,393.8萬-11.69%2,172.4萬-9.18%2,427.2萬-16.38%2,473.9萬-39.88%2,444.7萬-39.88%2,444.7萬-12.35%2,460.1萬
短期借款與租賃負債 2.00%1,774.4萬3.14%1,788.8萬6.13%1,770.7萬6.13%1,770.7萬-42.32%1,741萬-42.84%1,739.6萬-45.25%1,734.4萬-44.78%1,668.4萬-44.78%1,668.4萬82.97%3,018.5萬
-短期借款 1.81%1,174.2萬1.79%1,168.8萬1.76%1,163.5萬1.76%1,163.5萬-53.43%1,158.4萬-53.95%1,153.3萬-57.05%1,148.3萬-55.27%1,143.4萬-55.27%1,143.4萬119.53%2,487.7萬
-短期租賃負債 2.37%600.2萬5.78%620萬15.66%607.2萬15.66%607.2萬9.76%582.6萬8.82%586.3萬18.67%586.1萬12.85%525萬12.85%525萬2.77%530.8萬
遞延負債 -23.07%2,737萬-42.81%2,563.5萬-24.66%3,477.3萬-24.66%3,477.3萬-29.36%4,074.9萬1.49%3,557.6萬23.89%4,482.7萬13.74%4,615.5萬13.74%4,615.5萬64.29%5,768.4萬
流動負債總額 -6.54%1.51億-19.09%1.52億-10.62%1.54億-10.62%1.54億-25.37%1.6億-27.05%1.62億-23.24%1.88億-35.54%1.73億-35.54%1.73億7.43%2.14億
非流動負債
長期借款與租賃負債 -26.66%4,146.4萬-23.95%4,609.4萬-20.31%4,950.5萬-20.31%4,950.5萬-18.33%5,227.4萬-16.20%5,654萬-15.31%6,061.4萬-7.69%6,212萬-7.69%6,212萬-19.83%6,400.8萬
-長期借款 -36.05%2,082.6萬-32.95%2,378.2萬-30.33%2,672.4萬-30.33%2,672.4萬-28.09%2,965.3萬-26.15%3,256.8萬-24.46%3,547萬-9.71%3,836萬-9.71%3,836萬-23.48%4,123.7萬
-長期租賃負債 -13.91%2,063.8萬-11.26%2,231.2萬-4.12%2,278.1萬-4.12%2,278.1萬-0.66%2,262.1萬2.57%2,397.2萬2.12%2,514.4萬-4.23%2,376萬-4.23%2,376萬-12.26%2,277.1萬
遞延負債 -40.33%3,475.4萬-38.53%4,086.1萬-37.46%4,607.7萬-37.46%4,607.7萬-38.89%4,869.8萬-33.70%5,824.3萬-33.70%6,647.6萬-25.62%7,367.6萬-25.62%7,367.6萬-21.55%7,969萬
其他非流動負債 -84.31%39萬-------------78.82%122.3萬-63.93%248.5萬-52.89%358萬-44.06%464.4萬-44.06%464.4萬--577.3萬
非流動負債總額 -33.16%8,033.2萬-32.14%9,061.6萬-30.77%9,917.3萬-30.77%9,917.3萬-30.69%1.05億-26.91%1.2億-26.48%1.34億-18.98%1.43億-18.98%1.43億-16.98%1.52億
總負債 -17.89%2.31億-24.52%2.42億-19.76%2.53億-19.76%2.53億-27.57%2.65億-26.99%2.82億-24.62%3.21億-28.96%3.16億-28.96%3.16億-4.24%3.66億
所有者權益
股本 4.29%7.3萬2.86%7.2萬2.86%7.2萬2.86%7.2萬4.35%7.2萬2.94%7萬2.94%7萬2.94%7萬2.94%7萬2.99%6.9萬
-普通股股本 4.29%7.3萬2.86%7.2萬2.86%7.2萬2.86%7.2萬4.35%7.2萬2.94%7萬2.94%7萬2.94%7萬2.94%7萬2.99%6.9萬
-優先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 -3.60%6.22億-3.01%6.29億-1.75%6.31億-1.75%6.31億-1.49%6.34億-2.60%6.45億-1.21%6.48億1.95%6.42億1.95%6.42億4.63%6.43億
資本公積 8.13%3.7億8.91%3.59億7.32%3.53億7.32%3.53億7.42%3.45億8.38%3.43億10.30%3.3億13.87%3.29億13.87%3.29億16.29%3.22億
減:庫存股 -0.19%7,919.2萬-0.19%7,921.3萬-0.19%7,921.3萬-0.19%7,921.3萬15.47%7,922萬20.23%7,934.3萬20.26%7,936.5萬20.25%7,936.5萬20.25%7,936.5萬3.94%6,860.5萬
不影響留存收益的損益 23.07%-1,072.2萬-0.44%-1,357.8萬-65.44%-1,341.9萬-65.44%-1,341.9萬-21.51%-1,112.5萬-8.01%-1,393.7萬-253.23%-1,351.8萬-851.02%-811.1萬-851.02%-811.1萬-743.88%-915.6萬
股東權益總額 0.90%9.03億1.13%8.95億0.87%8.92億0.87%8.92億0.19%8.89億-0.57%8.95億-0.02%8.85億3.49%8.84億3.49%8.84億7.30%8.87億
總權益 0.90%9.03億1.13%8.95億0.87%8.92億0.87%8.92億0.19%8.89億-0.57%8.95億-0.02%8.85億3.49%8.84億3.49%8.84億7.30%8.87億
貨幣單位 美元美元美元美元美元美元美元美元美元美元
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 ----無保留意見--------無保留意見----

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