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Nano Labs (NA)

Watchlist
  • 2.210
  • -0.200-8.30%
Close Apr 24 16:00 ET
  • 2.210
  • 0.0000.00%
Post 20:01 ET
51.30MMarket Cap2.21P/E (TTM)

Nano Labs (NA) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q2)Jun 30, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
37.49%378.53M
37.49%378.53M
4,750.32%1.14B
471.62%275.32M
471.62%275.32M
--50.32M
39.59%23.51M
-45.15%48.16M
-45.15%48.16M
-67.24%16.84M
-Cash and cash equivalents
-73.78%8.5M
-73.78%8.5M
1,446.12%363.44M
-32.67%32.43M
-32.67%32.43M
--50.32M
39.59%23.51M
-45.15%48.16M
-45.15%48.16M
-67.24%16.84M
-Short-term investments
52.34%370.03M
52.34%370.03M
--776.7M
--242.89M
--242.89M
----
----
--0
--0
----
Receivables
16.03%26.05M
16.03%26.05M
9,694.00%47.62M
-37.25%22.45M
-37.25%22.45M
--2.18M
-98.46%486.25K
50.77%35.78M
50.77%35.78M
--31.49M
-Accounts receivable
-50.87%281.45K
-50.87%281.45K
4.41%507.69K
-67.06%572.8K
-67.06%572.8K
--2.18M
-67.25%486.25K
--1.74M
--1.74M
--1.48M
-Taxes receivable
-75.39%5.38M
-75.39%5.38M
--47.12M
-35.72%21.88M
-35.72%21.88M
----
----
43.44%34.04M
43.44%34.04M
--30.01M
-Other receivables
--20.39M
--20.39M
----
----
----
----
----
----
----
----
Inventory
-54.15%13.69M
-54.15%13.69M
308.42%35.85M
131.97%29.87M
131.97%29.87M
--10.19M
-79.07%8.78M
-87.40%12.87M
-87.40%12.87M
-89.32%41.93M
Prepaid assets
44.09%9.81M
44.09%9.81M
-53.24%11.15M
-74.54%6.81M
-74.54%6.81M
--24.16M
-47.92%23.85M
-64.22%26.75M
-64.22%26.75M
-82.66%45.79M
Restricted cash
221.88%1.35M
221.88%1.35M
12.03%468.53K
0.18%418.72K
0.18%418.72K
--418.2K
0.15%418.2K
768.79%417.99K
768.79%417.99K
--417.57K
Other current assets
-49.36%1.43M
-49.36%1.43M
-95.33%2.51M
87.77%2.82M
87.77%2.82M
--52.52M
2,159.11%53.75M
1,273.32%1.5M
1,273.32%1.5M
-93.27%2.38M
Total current assets
27.59%430.87M
27.59%430.87M
1,017.26%1.24B
169.10%337.69M
169.10%337.69M
--139.79M
-20.22%110.78M
-56.53%125.49M
-56.53%125.49M
-81.33%138.86M
Non current assets
Net PPE
-8.31%185.72M
-8.31%185.72M
-7.33%191.73M
14.38%202.55M
14.38%202.55M
--204.51M
88.64%206.88M
492.73%177.08M
492.73%177.08M
722.62%109.67M
-Gross PPE
-3.53%212.92M
-3.53%212.92M
3.58%214.3M
18.28%220.71M
18.28%220.71M
--204.51M
75.44%206.88M
418.88%186.6M
418.88%186.6M
784.51%117.92M
-Accumulated depreciation
-49.74%-27.2M
-49.74%-27.2M
---22.57M
-90.72%-18.17M
-90.72%-18.17M
----
----
-56.46%-9.52M
-56.46%-9.52M
---8.25M
Goodwill and other intangible assets
-2.11%45.76M
-2.11%45.76M
-2.09%46.25M
-2.07%46.75M
-2.07%46.75M
--46.99M
-2.04%47.24M
-2.02%47.73M
-2.02%47.73M
-2.00%48.22M
-Other intangible assets
-2.11%45.76M
-2.11%45.76M
--46.25M
-2.07%46.75M
-2.07%46.75M
----
----
-2.02%47.73M
-2.02%47.73M
--48.22M
Investments and advances
--2M
--2M
--2M
--0
--0
----
----
----
----
----
Non current accounts receivable
5.06%30.41M
5.06%30.41M
----
--28.95M
--28.95M
----
----
----
----
----
Other non current assets
--424.74M
--424.74M
--2K
----
----
----
----
----
----
----
Total non current assets
147.50%688.64M
147.50%688.64M
-5.56%239.98M
23.77%278.24M
23.77%278.24M
--251.5M
60.94%254.12M
186.05%224.81M
186.05%224.81M
152.47%157.9M
Total assets
81.76%1.12B
81.76%1.12B
304.96%1.48B
75.83%615.93M
75.83%615.93M
--391.29M
22.97%364.91M
-4.61%350.3M
-4.61%350.3M
-63.19%296.76M
Liabilities
Current liabilities
Payables
-10.41%54.47M
-10.41%54.47M
213.41%57.06M
-20.69%60.8M
-20.69%60.8M
--12.48M
-73.14%18.2M
165.24%76.66M
165.24%76.66M
826.86%67.79M
-accounts payable
7.31%19.42M
7.31%19.42M
27.47%23.2M
7.26%18.1M
7.26%18.1M
--12.48M
-67.69%18.2M
10.35%16.88M
10.35%16.88M
670.36%56.34M
-Total tax payable
2.52%16.58M
2.52%16.58M
--14.62M
18.88%16.17M
18.88%16.17M
----
----
-0.03%13.6M
-0.03%13.6M
--11.45M
-Other payable
-30.40%18.46M
-30.40%18.46M
--19.24M
-42.57%26.52M
-42.57%26.52M
----
----
--46.18M
--46.18M
----
Current accrued expenses
-19.15%3.23M
-19.15%3.23M
--988.33K
-42.95%4M
-42.95%4M
----
----
-17.85%7.01M
-17.85%7.01M
--5.06M
Current debt and capital lease obligation
149.23%62.96M
149.23%62.96M
1,760.33%511.09M
-6.05%25.26M
-6.05%25.26M
--27.46M
412.74%27.47M
500.30%26.89M
500.30%26.89M
56.22%5.36M
-Current debt
164.83%61.84M
164.83%61.84M
1,975.13%510.07M
-0.26%23.35M
-0.26%23.35M
--24.58M
1,475.64%24.58M
8,260.71%23.41M
8,260.71%23.41M
--1.56M
-Current capital lease obligation
-41.19%1.13M
-41.19%1.13M
-64.77%1.02M
-44.99%1.91M
-44.99%1.91M
--2.88M
-23.83%2.89M
-17.14%3.48M
-17.14%3.48M
10.74%3.8M
Current deferred liabilities
-29.91%69.31M
-29.91%69.31M
-5.50%95.63M
-8.28%98.9M
-8.28%98.9M
--83.51M
-4.55%101.19M
-13.37%107.83M
-13.37%107.83M
-84.79%106.01M
Other current liabilities
-21.69%16.03M
-21.69%16.03M
-78.64%18.19M
-15.35%20.47M
-15.35%20.47M
--70.84M
507.00%85.15M
40.15%24.18M
40.15%24.18M
222.44%14.03M
Current liabilities
-1.63%206.01M
-1.63%206.01M
194.35%682.94M
-13.66%209.42M
-13.66%209.42M
--194.28M
17.03%232.02M
32.09%242.57M
32.09%242.57M
-72.16%198.25M
Non current liabilities
Long term debt and capital lease obligation
-0.58%172.6M
-0.58%172.6M
8.06%175.7M
40.01%173.6M
40.01%173.6M
--173.77M
144.50%162.6M
546.21%123.99M
546.21%123.99M
4,611.55%66.5M
-Long term debt
0.13%170.9M
0.13%170.9M
9.34%173.48M
41.93%170.68M
41.93%170.68M
--169.83M
141.35%158.66M
621.28%120.26M
621.28%120.26M
--65.74M
-Long term capital lease obligation
-41.84%1.7M
-41.84%1.7M
-43.57%2.22M
-21.80%2.92M
-21.80%2.92M
--3.94M
416.66%3.94M
48.39%3.73M
48.39%3.73M
-45.99%762.34K
Other non current liabilities
----
----
----
----
----
---4.72M
----
----
----
----
Total non current liabilities
-0.58%172.6M
-0.58%172.6M
8.06%175.7M
40.01%173.6M
40.01%173.6M
--169.06M
144.50%162.6M
546.21%123.99M
546.21%123.99M
4,611.55%66.5M
Total liabilities
-1.15%378.61M
-1.15%378.61M
117.59%858.65M
4.49%383.03M
4.49%383.03M
--363.34M
49.05%394.62M
80.73%366.56M
80.73%366.56M
-62.89%264.75M
Shareholders'equity
Share capital
49.93%320.46K
49.93%320.46K
243.40%320.37K
145.67%213.74K
145.67%213.74K
--137.48K
29.00%93.29K
20.30%87K
20.30%87K
7.99%72.32K
-common stock
49.93%320.46K
49.93%320.46K
243.40%320.37K
145.67%213.74K
145.67%213.74K
--137.48K
29.00%93.29K
20.30%87K
20.30%87K
7.99%72.32K
Retained earnings
23.97%-429.75M
23.97%-429.75M
-12.37%-572.27M
-25.04%-565.22M
-25.04%-565.22M
---519.78M
-52.69%-509.27M
-126.91%-452.03M
-126.91%-452.03M
-197.03%-333.53M
Paid-in capital
51.21%1.18B
51.21%1.18B
157.01%1.18B
82.23%780.5M
82.23%780.5M
--531.22M
29.37%459.2M
20.72%428.31M
20.72%428.31M
72.22%354.94M
Less: Treasury stock
--1.67M
--1.67M
----
--0
--0
----
----
----
----
----
Gains losses not affecting retained earnings
-105.25%-803.39K
-105.25%-803.39K
-1.82%13.45M
71.82%15.29M
71.82%15.29M
--11.66M
30.28%13.7M
1.77%8.9M
1.77%8.9M
1,030.41%10.52M
Total stockholders'equity
224.23%748.29M
224.23%748.29M
1,814.05%621.69M
1,666.48%230.79M
1,666.48%230.79M
--23.23M
-213.33%-36.27M
-108.96%-14.73M
-108.96%-14.73M
-65.49%32M
Noncontrolling interests
-449.07%-7.4M
-449.07%-7.4M
-139.69%-2.6M
238.63%2.12M
238.63%2.12M
--4.72M
--6.56M
---1.53M
---1.53M
----
Total equity
218.11%740.9M
218.11%740.9M
2,183.69%619.08M
1,532.28%232.91M
1,532.28%232.91M
--27.95M
-192.84%-29.71M
-109.89%-16.26M
-109.89%-16.26M
-65.49%32M
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
Unqualified Opinion
--
--
--
Unqualified Opinion
--
--
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q2)Jun 30, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023
Assets
Current assets
Cash, cash equivalents and short term investments 37.49%378.53M37.49%378.53M4,750.32%1.14B471.62%275.32M471.62%275.32M--50.32M39.59%23.51M-45.15%48.16M-45.15%48.16M-67.24%16.84M
-Cash and cash equivalents -73.78%8.5M-73.78%8.5M1,446.12%363.44M-32.67%32.43M-32.67%32.43M--50.32M39.59%23.51M-45.15%48.16M-45.15%48.16M-67.24%16.84M
-Short-term investments 52.34%370.03M52.34%370.03M--776.7M--242.89M--242.89M----------0--0----
Receivables 16.03%26.05M16.03%26.05M9,694.00%47.62M-37.25%22.45M-37.25%22.45M--2.18M-98.46%486.25K50.77%35.78M50.77%35.78M--31.49M
-Accounts receivable -50.87%281.45K-50.87%281.45K4.41%507.69K-67.06%572.8K-67.06%572.8K--2.18M-67.25%486.25K--1.74M--1.74M--1.48M
-Taxes receivable -75.39%5.38M-75.39%5.38M--47.12M-35.72%21.88M-35.72%21.88M--------43.44%34.04M43.44%34.04M--30.01M
-Other receivables --20.39M--20.39M--------------------------------
Inventory -54.15%13.69M-54.15%13.69M308.42%35.85M131.97%29.87M131.97%29.87M--10.19M-79.07%8.78M-87.40%12.87M-87.40%12.87M-89.32%41.93M
Prepaid assets 44.09%9.81M44.09%9.81M-53.24%11.15M-74.54%6.81M-74.54%6.81M--24.16M-47.92%23.85M-64.22%26.75M-64.22%26.75M-82.66%45.79M
Restricted cash 221.88%1.35M221.88%1.35M12.03%468.53K0.18%418.72K0.18%418.72K--418.2K0.15%418.2K768.79%417.99K768.79%417.99K--417.57K
Other current assets -49.36%1.43M-49.36%1.43M-95.33%2.51M87.77%2.82M87.77%2.82M--52.52M2,159.11%53.75M1,273.32%1.5M1,273.32%1.5M-93.27%2.38M
Total current assets 27.59%430.87M27.59%430.87M1,017.26%1.24B169.10%337.69M169.10%337.69M--139.79M-20.22%110.78M-56.53%125.49M-56.53%125.49M-81.33%138.86M
Non current assets
Net PPE -8.31%185.72M-8.31%185.72M-7.33%191.73M14.38%202.55M14.38%202.55M--204.51M88.64%206.88M492.73%177.08M492.73%177.08M722.62%109.67M
-Gross PPE -3.53%212.92M-3.53%212.92M3.58%214.3M18.28%220.71M18.28%220.71M--204.51M75.44%206.88M418.88%186.6M418.88%186.6M784.51%117.92M
-Accumulated depreciation -49.74%-27.2M-49.74%-27.2M---22.57M-90.72%-18.17M-90.72%-18.17M---------56.46%-9.52M-56.46%-9.52M---8.25M
Goodwill and other intangible assets -2.11%45.76M-2.11%45.76M-2.09%46.25M-2.07%46.75M-2.07%46.75M--46.99M-2.04%47.24M-2.02%47.73M-2.02%47.73M-2.00%48.22M
-Other intangible assets -2.11%45.76M-2.11%45.76M--46.25M-2.07%46.75M-2.07%46.75M---------2.02%47.73M-2.02%47.73M--48.22M
Investments and advances --2M--2M--2M--0--0--------------------
Non current accounts receivable 5.06%30.41M5.06%30.41M------28.95M--28.95M--------------------
Other non current assets --424.74M--424.74M--2K----------------------------
Total non current assets 147.50%688.64M147.50%688.64M-5.56%239.98M23.77%278.24M23.77%278.24M--251.5M60.94%254.12M186.05%224.81M186.05%224.81M152.47%157.9M
Total assets 81.76%1.12B81.76%1.12B304.96%1.48B75.83%615.93M75.83%615.93M--391.29M22.97%364.91M-4.61%350.3M-4.61%350.3M-63.19%296.76M
Liabilities
Current liabilities
Payables -10.41%54.47M-10.41%54.47M213.41%57.06M-20.69%60.8M-20.69%60.8M--12.48M-73.14%18.2M165.24%76.66M165.24%76.66M826.86%67.79M
-accounts payable 7.31%19.42M7.31%19.42M27.47%23.2M7.26%18.1M7.26%18.1M--12.48M-67.69%18.2M10.35%16.88M10.35%16.88M670.36%56.34M
-Total tax payable 2.52%16.58M2.52%16.58M--14.62M18.88%16.17M18.88%16.17M---------0.03%13.6M-0.03%13.6M--11.45M
-Other payable -30.40%18.46M-30.40%18.46M--19.24M-42.57%26.52M-42.57%26.52M----------46.18M--46.18M----
Current accrued expenses -19.15%3.23M-19.15%3.23M--988.33K-42.95%4M-42.95%4M---------17.85%7.01M-17.85%7.01M--5.06M
Current debt and capital lease obligation 149.23%62.96M149.23%62.96M1,760.33%511.09M-6.05%25.26M-6.05%25.26M--27.46M412.74%27.47M500.30%26.89M500.30%26.89M56.22%5.36M
-Current debt 164.83%61.84M164.83%61.84M1,975.13%510.07M-0.26%23.35M-0.26%23.35M--24.58M1,475.64%24.58M8,260.71%23.41M8,260.71%23.41M--1.56M
-Current capital lease obligation -41.19%1.13M-41.19%1.13M-64.77%1.02M-44.99%1.91M-44.99%1.91M--2.88M-23.83%2.89M-17.14%3.48M-17.14%3.48M10.74%3.8M
Current deferred liabilities -29.91%69.31M-29.91%69.31M-5.50%95.63M-8.28%98.9M-8.28%98.9M--83.51M-4.55%101.19M-13.37%107.83M-13.37%107.83M-84.79%106.01M
Other current liabilities -21.69%16.03M-21.69%16.03M-78.64%18.19M-15.35%20.47M-15.35%20.47M--70.84M507.00%85.15M40.15%24.18M40.15%24.18M222.44%14.03M
Current liabilities -1.63%206.01M-1.63%206.01M194.35%682.94M-13.66%209.42M-13.66%209.42M--194.28M17.03%232.02M32.09%242.57M32.09%242.57M-72.16%198.25M
Non current liabilities
Long term debt and capital lease obligation -0.58%172.6M-0.58%172.6M8.06%175.7M40.01%173.6M40.01%173.6M--173.77M144.50%162.6M546.21%123.99M546.21%123.99M4,611.55%66.5M
-Long term debt 0.13%170.9M0.13%170.9M9.34%173.48M41.93%170.68M41.93%170.68M--169.83M141.35%158.66M621.28%120.26M621.28%120.26M--65.74M
-Long term capital lease obligation -41.84%1.7M-41.84%1.7M-43.57%2.22M-21.80%2.92M-21.80%2.92M--3.94M416.66%3.94M48.39%3.73M48.39%3.73M-45.99%762.34K
Other non current liabilities -----------------------4.72M----------------
Total non current liabilities -0.58%172.6M-0.58%172.6M8.06%175.7M40.01%173.6M40.01%173.6M--169.06M144.50%162.6M546.21%123.99M546.21%123.99M4,611.55%66.5M
Total liabilities -1.15%378.61M-1.15%378.61M117.59%858.65M4.49%383.03M4.49%383.03M--363.34M49.05%394.62M80.73%366.56M80.73%366.56M-62.89%264.75M
Shareholders'equity
Share capital 49.93%320.46K49.93%320.46K243.40%320.37K145.67%213.74K145.67%213.74K--137.48K29.00%93.29K20.30%87K20.30%87K7.99%72.32K
-common stock 49.93%320.46K49.93%320.46K243.40%320.37K145.67%213.74K145.67%213.74K--137.48K29.00%93.29K20.30%87K20.30%87K7.99%72.32K
Retained earnings 23.97%-429.75M23.97%-429.75M-12.37%-572.27M-25.04%-565.22M-25.04%-565.22M---519.78M-52.69%-509.27M-126.91%-452.03M-126.91%-452.03M-197.03%-333.53M
Paid-in capital 51.21%1.18B51.21%1.18B157.01%1.18B82.23%780.5M82.23%780.5M--531.22M29.37%459.2M20.72%428.31M20.72%428.31M72.22%354.94M
Less: Treasury stock --1.67M--1.67M------0--0--------------------
Gains losses not affecting retained earnings -105.25%-803.39K-105.25%-803.39K-1.82%13.45M71.82%15.29M71.82%15.29M--11.66M30.28%13.7M1.77%8.9M1.77%8.9M1,030.41%10.52M
Total stockholders'equity 224.23%748.29M224.23%748.29M1,814.05%621.69M1,666.48%230.79M1,666.48%230.79M--23.23M-213.33%-36.27M-108.96%-14.73M-108.96%-14.73M-65.49%32M
Noncontrolling interests -449.07%-7.4M-449.07%-7.4M-139.69%-2.6M238.63%2.12M238.63%2.12M--4.72M--6.56M---1.53M---1.53M----
Total equity 218.11%740.9M218.11%740.9M2,183.69%619.08M1,532.28%232.91M1,532.28%232.91M--27.95M-192.84%-29.71M-109.89%-16.26M-109.89%-16.26M-65.49%32M
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion----Unqualified Opinion------Unqualified Opinion----
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