美股市場個股詳情

ADTRAN NETWORKS SE (ADVOF)

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延時15分鐘行情收盤價 08/18 11:26 (美東)
12.59億總市值-12.08市盈率TTM

ADTRAN NETWORKS SE (ADVOF) 資產負債表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2025/06/30
(FY)2024/12/31
(Q2)2024/06/30
(FY)2023/12/31
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
資產
流動資產
現金及現金等價物和短期投資
-6.36%3,654.8萬
-17.71%2,304.9萬
-18.61%3,903.2萬
-49.78%2,800.9萬
-23.44%4,795.5萬
-7.89%6,724.1萬
-49.22%5,577.8萬
-49.22%5,577.8萬
-38.93%6,138.1萬
-26.83%6,263.7萬
-現金和現金等價物
-9.67%3,438.9萬
-17.71%2,304.9萬
-16.61%3,807.2萬
-49.78%2,800.9萬
-25.55%4,565.5萬
-7.89%6,724.1萬
-47.69%5,577.8萬
-47.69%5,577.8萬
-38.93%6,138.1萬
-27.87%6,132.7萬
-短期投資
124.90%215.9萬
----
-58.26%96萬
----
75.57%230萬
----
----
----
----
124.32%131萬
-應收賬款
2.07%1.02億
-6.09%1.09億
-14.02%9,945.2萬
-6.50%1.16億
3.39%1.16億
27.43%1.27億
49.03%1.24億
49.03%1.24億
28.49%1.15億
17.63%1.12億
-應收稅費
6.33%1,052.1萬
14.72%343.6萬
100.55%989.5萬
12.05%299.5萬
-15.90%493.4萬
231.57%301.4萬
-10.00%267.3萬
-10.00%267.3萬
109.09%326.6萬
107.31%586.7萬
-其他應收款
0.80%5,138.2萬
94.92%4,731.4萬
550.94%5,097.5萬
9,687.90%2,427.4萬
67.47%783.1萬
33.15%24.1萬
-92.92%24.8萬
-92.92%24.8萬
6.18%18.9萬
33.91%467.6萬
存貨
6.09%9,583.9萬
-14.24%9,114.2萬
-44.77%9,034萬
-17.51%1.06億
2.96%1.64億
28.42%1.67億
-0.29%1.29億
-0.29%1.29億
76.56%1.78億
62.53%1.59億
預付費用
-39.71%3,142.9萬
----
619.39%5,212.7萬
----
39.51%724.6萬
----
----
----
----
1.76%519.4萬
受限制現金
----
56.82%399.1萬
15.78%340.4萬
-4.65%254.5萬
58.06%294萬
----
13.43%266.9萬
13.43%266.9萬
----
--186萬
其他流動資產
-39.44%45.6萬
9.56%8,535.4萬
-72.36%75.3萬
30.98%7,790.7萬
117.05%272.4萬
58.83%2,183.3萬
6,840.49%5,948萬
6,840.49%5,948萬
49.84%1,899.7萬
95.18%125.5萬
流動資產合計
-5.31%3.28億
1.47%3.63億
-1.93%3.46億
-4.21%3.58億
0.08%3.53億
21.66%3.86億
11.22%3.73億
11.22%3.73億
23.45%3.77億
21.29%3.53億
非流動資產
固定資產淨額
-6.68%5,832.5萬
-10.66%6,091.2萬
16.46%6,249.8萬
24.99%6,817.8萬
-0.66%5,366.5萬
-5.81%5,259.2萬
-2.28%5,454.6萬
-2.28%5,454.6萬
5.23%5,552.5萬
0.22%5,402.1萬
-固定資產
-6.68%5,832.5萬
4.30%2.44億
16.46%6,249.8萬
13.05%2.34億
-0.66%5,366.5萬
-5.81%5,259.2萬
5.62%2.07億
5.62%2.07億
5.23%5,552.5萬
0.22%5,402.1萬
-累計折舊
----
-10.47%-1.83億
----
-8.76%-1.66億
----
----
-8.78%-1.52億
-8.78%-1.52億
----
----
商譽及其他無形資產
-8.29%1.88億
-3.92%1.93億
3.65%2.05億
1.79%2.01億
0.03%1.97億
0.80%1.97億
3.95%1.97億
3.95%1.97億
8.78%2.03億
5.53%1.97億
-商譽
-31.71%4,550.3萬
-22.64%5,020.6萬
-4.85%6,662.8萬
-8.99%6,489.9萬
-7.41%7,002.2萬
-3.25%7,019.6萬
-0.40%7,130.7萬
-0.40%7,130.7萬
15.05%8,037.1萬
9.87%7,562.8萬
-其他無形資產
3.02%1.42億
5.01%1.43億
8.32%1.38億
7.89%1.36億
4.66%1.27億
3.19%1.27億
6.58%1.26億
6.58%1.26億
5.03%1.23億
3.00%1.22億
長期預付費用
5.61%190萬
4.02%183.9萬
3.15%179.9萬
9.88%176.8萬
6.60%174.4萬
----
--160.9萬
--160.9萬
----
15.95%163.6萬
其他非流動資產
----
-2,466.67%-7.1萬
--7.2萬
--3,000
----
10.94%610.5萬
----
----
60.23%533.1萬
---1,000
非流動資產合計
-14.26%2.89億
-1.55%3.07億
22.82%3.37億
13.62%3.12億
0.30%2.74億
0.56%2.74億
3.28%2.75億
3.28%2.75億
14.45%2.87億
8.59%2.73億
總資產
-9.73%6.16億
0.06%6.7億
8.89%6.83億
3.35%6.7億
0.17%6.27億
11.90%6.6億
7.71%6.48億
7.71%6.48億
19.40%6.64億
15.40%6.26億
負債
流動負債
應付款項
53.88%6,664.2萬
12.34%6,011.6萬
-42.11%4,330.7萬
-48.91%5,351.4萬
-25.02%7,481.2萬
23.41%8,667萬
10.27%1.05億
10.27%1.05億
70.57%1.04億
49.36%9,978.2萬
-應付賬款
59.49%5,489.8萬
12.65%4,857.8萬
-44.03%3,442.2萬
-51.39%4,312.3萬
-29.88%6,149.6萬
25.14%8,142.2萬
6.60%8,871.3萬
6.60%8,871.3萬
66.50%9,948.6萬
45.97%8,769.9萬
-應付稅費
13.26%1,006.3萬
11.04%1,153.8萬
-33.28%888.5萬
-35.15%1,039.1萬
10.20%1,331.6萬
1.63%524.8萬
36.28%1,602.3萬
36.28%1,602.3萬
250.70%473.8萬
79.67%1,208.3萬
-其他應付款
--168.1萬
----
----
----
----
----
----
----
----
----
現行撥備
-57.17%728.1萬
-22.20%1,481.5萬
2.39%1,699.8萬
6.76%1,904.2萬
-42.77%1,660.2萬
-19.50%1,861.6萬
8.93%1,783.7萬
8.93%1,783.7萬
14.20%3,108.3萬
11.26%2,900.7萬
短期借款與租賃負債
18.91%2,598.4萬
46.20%2,755萬
42.71%2,185.2萬
-69.64%1,884.4萬
-50.52%1,531.2萬
-51.40%1,534.3萬
98.40%6,207.8萬
98.40%6,207.8萬
94.96%6,121.8萬
44.46%3,094.6萬
-短期借款
24.42%2,019.2萬
61.85%2,150.3萬
62.29%1,622.9萬
-76.46%1,328.6萬
-60.28%1,000萬
-60.46%1,000萬
123.14%5,643萬
123.14%5,643萬
118.00%5,538.6萬
63.57%2,517.4萬
-短期租賃負債
3.01%579.2萬
8.80%604.7萬
5.85%562.3萬
-1.59%555.8萬
-7.97%531.2萬
-14.97%534.3萬
-5.88%564.8萬
-5.88%564.8萬
-2.70%583.2萬
-4.31%577.2萬
其他流動負債
-0.50%2,384.6萬
19.38%2,234.7萬
215.43%2,396.6萬
162.35%1,871.9萬
57.21%759.8萬
18.48%2,850.5萬
85.81%713.5萬
85.81%713.5萬
25.38%2,697.9萬
32.16%483.3萬
流動負債總額
16.89%1.73億
10.77%1.64億
-28.90%1.48億
-38.18%1.48億
2.61%2.08億
40.32%2.46億
22.59%2.4億
22.59%2.4億
50.89%2.46億
32.34%2.03億
非流動負債
長期撥備
-49.60%93.4萬
-38.35%114.6萬
1.04%185.3萬
5.09%185.9萬
-32.65%183.4萬
-29.66%180.7萬
-27.50%176.9萬
-27.50%176.9萬
34.76%252.4萬
54.19%272.3萬
長期借款與租賃負債
-53.73%4,270.9萬
175.70%6,967萬
572.03%9,229.7萬
62.47%2,527萬
-58.62%1,373.4萬
-65.11%1,418.8萬
-62.55%1,555.4萬
-62.55%1,555.4萬
-63.72%1,759.7萬
-44.43%3,318.7萬
-長期借款
-69.51%2,136萬
--4,691.7萬
--7,006.1萬
--0
----
--0
----
----
--0
-61.85%1,520.2萬
-長期租賃負債
-3.99%2,134.9萬
-9.96%2,275.3萬
61.90%2,223.6萬
62.47%2,527萬
-23.64%1,373.4萬
-21.73%1,418.8萬
-18.19%1,555.4萬
-18.19%1,555.4萬
-5.65%1,759.7萬
-9.52%1,798.5萬
其他非流動負債
-69.65%696.3萬
-31.11%1,484.7萬
455.74%2,294.1萬
354.95%2,155.1萬
17.88%412.8萬
17.49%486.4萬
50.57%473.7萬
50.57%473.7萬
64.96%348.9萬
95.75%350.2萬
非流動負債總額
-36.88%9,769.2萬
-6.38%1.18億
249.14%1.55億
221.34%1.26億
-26.36%4,432.8萬
-34.36%4,411.4萬
-40.80%3,912.1萬
-40.80%3,912.1萬
-40.85%4,585.2萬
-38.34%6,019.3萬
總負債
-10.61%2.7億
2.90%2.82億
19.97%3.03億
-1.77%2.74億
-4.03%2.52億
19.61%2.9億
6.58%2.79億
6.58%2.79億
21.36%2.92億
4.82%2.63億
所有者權益
股本
0.00%5,205.5萬
0.00%5,205.5萬
0.07%5,205.5萬
0.10%5,205.5萬
0.22%5,201.7萬
1.09%5,200.5萬
1.09%5,200.5萬
1.09%5,200.5萬
1.68%5,195.9萬
2.46%5,190.3萬
-普通股股本
0.00%5,205.5萬
0.00%5,205.5萬
0.07%5,205.5萬
0.10%5,205.5萬
0.22%5,201.7萬
1.09%5,200.5萬
1.09%5,200.5萬
1.09%5,200.5萬
1.68%5,195.9萬
2.46%5,190.3萬
留存收益
-276.46%-3,613.3萬
-147.54%-482.2萬
4.68%-959.8萬
159.72%1,014.3萬
53.48%-1,006.9萬
53.84%-1,335.7萬
51.63%-1,698.4萬
51.63%-1,698.4萬
60.54%-2,076.5萬
69.56%-2,164.6萬
資本公積
0.62%3.38億
0.54%3.37億
0.65%3.36億
0.55%3.35億
0.68%3.34億
1.64%3.34億
1.76%3.34億
1.76%3.34億
2.07%3.32億
3.01%3.32億
其他權益
----
----
----
--1,000
----
----
----
----
----
---1,000
股東權益總額
-9.02%3.46億
-1.90%3.88億
1.43%3.8億
7.21%3.96億
3.21%3.75億
6.53%3.71億
8.58%3.69億
8.58%3.69億
17.90%3.72億
24.49%3.63億
總權益
-9.02%3.46億
-1.90%3.88億
1.43%3.8億
7.21%3.96億
3.21%3.75億
6.53%3.71億
8.58%3.69億
8.58%3.69億
17.90%3.72億
24.49%3.63億
貨幣單位
歐元
歐元
歐元
歐元
歐元
歐元
歐元
歐元
歐元
歐元
(Q2)2025/06/30(FY)2024/12/31(Q2)2024/06/30(FY)2023/12/31(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30
資產
流動資產
現金及現金等價物和短期投資 -6.36%3,654.8萬-17.71%2,304.9萬-18.61%3,903.2萬-49.78%2,800.9萬-23.44%4,795.5萬-7.89%6,724.1萬-49.22%5,577.8萬-49.22%5,577.8萬-38.93%6,138.1萬-26.83%6,263.7萬
-現金和現金等價物 -9.67%3,438.9萬-17.71%2,304.9萬-16.61%3,807.2萬-49.78%2,800.9萬-25.55%4,565.5萬-7.89%6,724.1萬-47.69%5,577.8萬-47.69%5,577.8萬-38.93%6,138.1萬-27.87%6,132.7萬
-短期投資 124.90%215.9萬-----58.26%96萬----75.57%230萬----------------124.32%131萬
-應收賬款 2.07%1.02億-6.09%1.09億-14.02%9,945.2萬-6.50%1.16億3.39%1.16億27.43%1.27億49.03%1.24億49.03%1.24億28.49%1.15億17.63%1.12億
-應收稅費 6.33%1,052.1萬14.72%343.6萬100.55%989.5萬12.05%299.5萬-15.90%493.4萬231.57%301.4萬-10.00%267.3萬-10.00%267.3萬109.09%326.6萬107.31%586.7萬
-其他應收款 0.80%5,138.2萬94.92%4,731.4萬550.94%5,097.5萬9,687.90%2,427.4萬67.47%783.1萬33.15%24.1萬-92.92%24.8萬-92.92%24.8萬6.18%18.9萬33.91%467.6萬
存貨 6.09%9,583.9萬-14.24%9,114.2萬-44.77%9,034萬-17.51%1.06億2.96%1.64億28.42%1.67億-0.29%1.29億-0.29%1.29億76.56%1.78億62.53%1.59億
預付費用 -39.71%3,142.9萬----619.39%5,212.7萬----39.51%724.6萬----------------1.76%519.4萬
受限制現金 ----56.82%399.1萬15.78%340.4萬-4.65%254.5萬58.06%294萬----13.43%266.9萬13.43%266.9萬------186萬
其他流動資產 -39.44%45.6萬9.56%8,535.4萬-72.36%75.3萬30.98%7,790.7萬117.05%272.4萬58.83%2,183.3萬6,840.49%5,948萬6,840.49%5,948萬49.84%1,899.7萬95.18%125.5萬
流動資產合計 -5.31%3.28億1.47%3.63億-1.93%3.46億-4.21%3.58億0.08%3.53億21.66%3.86億11.22%3.73億11.22%3.73億23.45%3.77億21.29%3.53億
非流動資產
固定資產淨額 -6.68%5,832.5萬-10.66%6,091.2萬16.46%6,249.8萬24.99%6,817.8萬-0.66%5,366.5萬-5.81%5,259.2萬-2.28%5,454.6萬-2.28%5,454.6萬5.23%5,552.5萬0.22%5,402.1萬
-固定資產 -6.68%5,832.5萬4.30%2.44億16.46%6,249.8萬13.05%2.34億-0.66%5,366.5萬-5.81%5,259.2萬5.62%2.07億5.62%2.07億5.23%5,552.5萬0.22%5,402.1萬
-累計折舊 -----10.47%-1.83億-----8.76%-1.66億---------8.78%-1.52億-8.78%-1.52億--------
商譽及其他無形資產 -8.29%1.88億-3.92%1.93億3.65%2.05億1.79%2.01億0.03%1.97億0.80%1.97億3.95%1.97億3.95%1.97億8.78%2.03億5.53%1.97億
-商譽 -31.71%4,550.3萬-22.64%5,020.6萬-4.85%6,662.8萬-8.99%6,489.9萬-7.41%7,002.2萬-3.25%7,019.6萬-0.40%7,130.7萬-0.40%7,130.7萬15.05%8,037.1萬9.87%7,562.8萬
-其他無形資產 3.02%1.42億5.01%1.43億8.32%1.38億7.89%1.36億4.66%1.27億3.19%1.27億6.58%1.26億6.58%1.26億5.03%1.23億3.00%1.22億
長期預付費用 5.61%190萬4.02%183.9萬3.15%179.9萬9.88%176.8萬6.60%174.4萬------160.9萬--160.9萬----15.95%163.6萬
其他非流動資產 -----2,466.67%-7.1萬--7.2萬--3,000----10.94%610.5萬--------60.23%533.1萬---1,000
非流動資產合計 -14.26%2.89億-1.55%3.07億22.82%3.37億13.62%3.12億0.30%2.74億0.56%2.74億3.28%2.75億3.28%2.75億14.45%2.87億8.59%2.73億
總資產 -9.73%6.16億0.06%6.7億8.89%6.83億3.35%6.7億0.17%6.27億11.90%6.6億7.71%6.48億7.71%6.48億19.40%6.64億15.40%6.26億
負債
流動負債
應付款項 53.88%6,664.2萬12.34%6,011.6萬-42.11%4,330.7萬-48.91%5,351.4萬-25.02%7,481.2萬23.41%8,667萬10.27%1.05億10.27%1.05億70.57%1.04億49.36%9,978.2萬
-應付賬款 59.49%5,489.8萬12.65%4,857.8萬-44.03%3,442.2萬-51.39%4,312.3萬-29.88%6,149.6萬25.14%8,142.2萬6.60%8,871.3萬6.60%8,871.3萬66.50%9,948.6萬45.97%8,769.9萬
-應付稅費 13.26%1,006.3萬11.04%1,153.8萬-33.28%888.5萬-35.15%1,039.1萬10.20%1,331.6萬1.63%524.8萬36.28%1,602.3萬36.28%1,602.3萬250.70%473.8萬79.67%1,208.3萬
-其他應付款 --168.1萬------------------------------------
現行撥備 -57.17%728.1萬-22.20%1,481.5萬2.39%1,699.8萬6.76%1,904.2萬-42.77%1,660.2萬-19.50%1,861.6萬8.93%1,783.7萬8.93%1,783.7萬14.20%3,108.3萬11.26%2,900.7萬
短期借款與租賃負債 18.91%2,598.4萬46.20%2,755萬42.71%2,185.2萬-69.64%1,884.4萬-50.52%1,531.2萬-51.40%1,534.3萬98.40%6,207.8萬98.40%6,207.8萬94.96%6,121.8萬44.46%3,094.6萬
-短期借款 24.42%2,019.2萬61.85%2,150.3萬62.29%1,622.9萬-76.46%1,328.6萬-60.28%1,000萬-60.46%1,000萬123.14%5,643萬123.14%5,643萬118.00%5,538.6萬63.57%2,517.4萬
-短期租賃負債 3.01%579.2萬8.80%604.7萬5.85%562.3萬-1.59%555.8萬-7.97%531.2萬-14.97%534.3萬-5.88%564.8萬-5.88%564.8萬-2.70%583.2萬-4.31%577.2萬
其他流動負債 -0.50%2,384.6萬19.38%2,234.7萬215.43%2,396.6萬162.35%1,871.9萬57.21%759.8萬18.48%2,850.5萬85.81%713.5萬85.81%713.5萬25.38%2,697.9萬32.16%483.3萬
流動負債總額 16.89%1.73億10.77%1.64億-28.90%1.48億-38.18%1.48億2.61%2.08億40.32%2.46億22.59%2.4億22.59%2.4億50.89%2.46億32.34%2.03億
非流動負債
長期撥備 -49.60%93.4萬-38.35%114.6萬1.04%185.3萬5.09%185.9萬-32.65%183.4萬-29.66%180.7萬-27.50%176.9萬-27.50%176.9萬34.76%252.4萬54.19%272.3萬
長期借款與租賃負債 -53.73%4,270.9萬175.70%6,967萬572.03%9,229.7萬62.47%2,527萬-58.62%1,373.4萬-65.11%1,418.8萬-62.55%1,555.4萬-62.55%1,555.4萬-63.72%1,759.7萬-44.43%3,318.7萬
-長期借款 -69.51%2,136萬--4,691.7萬--7,006.1萬--0------0----------0-61.85%1,520.2萬
-長期租賃負債 -3.99%2,134.9萬-9.96%2,275.3萬61.90%2,223.6萬62.47%2,527萬-23.64%1,373.4萬-21.73%1,418.8萬-18.19%1,555.4萬-18.19%1,555.4萬-5.65%1,759.7萬-9.52%1,798.5萬
其他非流動負債 -69.65%696.3萬-31.11%1,484.7萬455.74%2,294.1萬354.95%2,155.1萬17.88%412.8萬17.49%486.4萬50.57%473.7萬50.57%473.7萬64.96%348.9萬95.75%350.2萬
非流動負債總額 -36.88%9,769.2萬-6.38%1.18億249.14%1.55億221.34%1.26億-26.36%4,432.8萬-34.36%4,411.4萬-40.80%3,912.1萬-40.80%3,912.1萬-40.85%4,585.2萬-38.34%6,019.3萬
總負債 -10.61%2.7億2.90%2.82億19.97%3.03億-1.77%2.74億-4.03%2.52億19.61%2.9億6.58%2.79億6.58%2.79億21.36%2.92億4.82%2.63億
所有者權益
股本 0.00%5,205.5萬0.00%5,205.5萬0.07%5,205.5萬0.10%5,205.5萬0.22%5,201.7萬1.09%5,200.5萬1.09%5,200.5萬1.09%5,200.5萬1.68%5,195.9萬2.46%5,190.3萬
-普通股股本 0.00%5,205.5萬0.00%5,205.5萬0.07%5,205.5萬0.10%5,205.5萬0.22%5,201.7萬1.09%5,200.5萬1.09%5,200.5萬1.09%5,200.5萬1.68%5,195.9萬2.46%5,190.3萬
留存收益 -276.46%-3,613.3萬-147.54%-482.2萬4.68%-959.8萬159.72%1,014.3萬53.48%-1,006.9萬53.84%-1,335.7萬51.63%-1,698.4萬51.63%-1,698.4萬60.54%-2,076.5萬69.56%-2,164.6萬
資本公積 0.62%3.38億0.54%3.37億0.65%3.36億0.55%3.35億0.68%3.34億1.64%3.34億1.76%3.34億1.76%3.34億2.07%3.32億3.01%3.32億
其他權益 --------------1,000-----------------------1,000
股東權益總額 -9.02%3.46億-1.90%3.88億1.43%3.8億7.21%3.96億3.21%3.75億6.53%3.71億8.58%3.69億8.58%3.69億17.90%3.72億24.49%3.63億
總權益 -9.02%3.46億-1.90%3.88億1.43%3.8億7.21%3.96億3.21%3.75億6.53%3.71億8.58%3.69億8.58%3.69億17.90%3.72億24.49%3.63億
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