美股市場個股詳情

Codere Online Luxembourg (CDRO)

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  • 8.080
  • -0.060-0.74%
交易中 01/23 10:04 (美東)
3.68億總市值404.00市盈率TTM

Codere Online Luxembourg (CDRO) 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
(Q4)2024/12/31
(Q2)2024/06/30
(FY)2023/12/31
(Q4)2023/12/31
(Q2)2023/06/30
(FY)2022/12/31
(Q4)2022/12/31
(Q2)2022/06/30
資產
流動資產
現金及現金等價物和短期投資
0.50%5,298.6萬
4.11%5,380.1萬
4.11%5,380.1萬
-4.58%5,272.4萬
-14.70%5,167.6萬
-14.70%5,167.6萬
-38.13%5,525.2萬
-38.69%6,058.3萬
-38.69%6,058.3萬
800.80%8,930.5萬
-現金和現金等價物
11.60%4,512.5萬
-2.35%4,030.7萬
-2.35%4,030.7萬
-10.91%4,043.3萬
-23.29%4,127.8萬
-23.29%4,127.8萬
-46.31%4,538.3萬
-43.31%5,380.8萬
-43.31%5,380.8萬
1,183.73%8,452.1萬
-短期投資
-36.04%786.1萬
29.77%1,349.4萬
29.77%1,349.4萬
24.54%1,229.1萬
53.48%1,039.8萬
53.48%1,039.8萬
106.29%986.9萬
73.76%677.5萬
73.76%677.5萬
43.66%478.4萬
應收款項
-33.92%518.4萬
-47.50%692.5萬
-47.50%692.5萬
4.38%784.5萬
86.69%1,319萬
86.69%1,319萬
23.27%751.6萬
37.91%706.5萬
37.91%706.5萬
851.17%609.7萬
-應收賬款
11.85%166.1萬
-86.95%105萬
-86.95%105萬
-45.90%148.5萬
91.16%804.8萬
91.16%804.8萬
-26.09%274.5萬
28.20%421萬
28.20%421萬
949.15%371.4萬
-應收稅費
-51.03%319.6萬
-0.37%515萬
-0.37%515萬
65.47%652.6萬
85.07%516.9萬
85.07%516.9萬
75.76%394.4萬
83.39%279.3萬
83.39%279.3萬
1,212.28%224.4萬
-其他應收款
296.99%32.7萬
2,785.19%72.5萬
2,785.19%72.5萬
-120.07%-16.6萬
-143.55%-2.7萬
-143.55%-2.7萬
494.96%82.7萬
-80.38%6.2萬
-80.38%6.2萬
19.83%13.9萬
預付費用
-88.72%16.5萬
430.68%219.7萬
430.68%219.7萬
40.40%146.3萬
-38.85%41.4萬
-38.85%41.4萬
-2.43%104.2萬
-8.39%67.7萬
-8.39%67.7萬
100.75%106.8萬
其他流動資產
0.00%1,000
----
----
--1,000
----
----
----
----
----
----
流動資產合計
-5.96%5,833.6萬
-3.61%6,292.3萬
-3.61%6,292.3萬
-2.78%6,203.3萬
-4.46%6,528萬
-4.46%6,528萬
-33.86%6,381萬
-34.72%6,832.5萬
-34.72%6,832.5萬
770.12%9,647萬
非流動資產
固定資產淨額
163.70%242.6萬
628.40%241.1萬
628.40%241.1萬
320.09%92萬
65.50%33.1萬
65.50%33.1萬
52.08%21.9萬
50.38%20萬
50.38%20萬
24.14%14.4萬
-固定資產
118.84%290.4萬
369.03%304.4萬
369.03%304.4萬
505.94%132.7萬
60.64%64.9萬
60.64%64.9萬
52.08%21.9萬
57.20%40.4萬
57.20%40.4萬
24.14%14.4萬
-累計折舊
-17.44%-47.8萬
-99.06%-63.3萬
-99.06%-63.3萬
---40.7萬
-55.88%-31.8萬
-55.88%-31.8萬
----
-64.52%-20.4萬
-64.52%-20.4萬
----
商譽及其他無形資產
--0
--0
--0
-63.64%4,000
0.00%1萬
0.00%1萬
-93.75%1.1萬
-97.87%1萬
-97.87%1萬
-77.49%17.6萬
-其他無形資產
----
----
----
--4,000
0.00%1萬
0.00%1萬
----
-97.87%1萬
-97.87%1萬
----
投資和預付款
----
----
----
----
--0
--0
--0
-50.00%2,000
-50.00%2,000
--4,000
非流動遞延資產
0.68%887.9萬
12.58%920.7萬
12.58%920.7萬
739.90%881.9萬
960.70%817.8萬
960.70%817.8萬
316.67%105萬
--77.1萬
--77.1萬
--25.2萬
其他非流動資產
---1,000
---1,000
---1,000
----
----
----
----
----
----
----
非流動資產合計
16.02%1,130.4萬
36.37%1,161.7萬
36.37%1,161.7萬
661.17%974.3萬
766.63%851.9萬
766.63%851.9萬
122.22%128萬
62.21%98.3萬
62.21%98.3萬
-35.86%57.6萬
總資產
-2.98%6,964萬
1.00%7,454萬
1.00%7,454萬
10.27%7,177.6萬
6.48%7,379.9萬
6.48%7,379.9萬
-32.93%6,509萬
-34.16%6,930.8萬
-34.16%6,930.8萬
709.73%9,704.6萬
負債
流動負債
應付款項
-8.23%2,953.8萬
-19.52%3,001.1萬
-19.52%3,001.1萬
2.67%3,218.8萬
26.21%3,729萬
26.21%3,729萬
5.51%3,135.1萬
33.17%2,954.7萬
33.17%2,954.7萬
112.54%2,971.5萬
-應付賬款
-10.53%2,449.4萬
-22.82%2,455.2萬
-22.82%2,455.2萬
-5.38%2,737.8萬
33.71%3,181.2萬
33.71%3,181.2萬
3.37%2,893.4萬
20.85%2,379.1萬
20.85%2,379.1萬
127.52%2,799.2萬
-應付稅費
4.86%504.4萬
-0.35%545.9萬
-0.35%545.9萬
99.01%481萬
-4.83%547.8萬
-4.83%547.8萬
40.28%241.7萬
130.15%575.6萬
130.15%575.6萬
2.68%172.3萬
應計費用
72.80%194.4萬
18.61%251.7萬
18.61%251.7萬
-1.14%112.5萬
13.23%212.2萬
13.23%212.2萬
13.23%113.8萬
27.83%187.4萬
27.83%187.4萬
139.29%100.5萬
短期借款與租賃負債
-65.16%180萬
-26.95%372.9萬
-26.95%372.9萬
115.92%516.7萬
20.32%510.5萬
20.32%510.5萬
-40.03%239.3萬
42.19%424.3萬
42.19%424.3萬
249.39%399萬
-短期借款
-65.62%160.9萬
-34.08%336.5萬
-34.08%336.5萬
95.57%468萬
20.32%510.5萬
20.32%510.5萬
-40.03%239.3萬
42.19%424.3萬
42.19%424.3萬
250.31%399萬
-短期租賃負債
-60.78%19.1萬
--36.4萬
--36.4萬
--48.7萬
--0
--0
----
----
----
----
其他流動負債
1.18%830.1萬
14.72%870.5萬
14.72%870.5萬
7.99%820.4萬
7.04%758.8萬
7.04%758.8萬
-1.54%759.7萬
42.64%708.9萬
42.64%708.9萬
77.46%771.6萬
流動負債總額
-10.93%4,158.3萬
-13.71%4,496.2萬
-13.71%4,496.2萬
9.90%4,668.4萬
21.87%5,210.5萬
21.87%5,210.5萬
0.12%4,247.9萬
35.26%4,275.3萬
35.26%4,275.3萬
112.77%4,242.6萬
非流動負債
長期借款與租賃負債
--189.6萬
--163.8萬
--163.8萬
----
--0
--0
----
--71萬
--71萬
----
-長期借款
----
----
----
----
----
----
----
--71萬
--71萬
----
-長期租賃負債
--189.6萬
--163.8萬
--163.8萬
----
--0
--0
----
----
----
----
遞延負債
----
----
----
----
--0
--0
--0
--71萬
--71萬
--101.9萬
衍生品負債
-9.06%560.4萬
811.76%372萬
811.76%372萬
537.89%616.2萬
-68.57%40.8萬
-68.57%40.8萬
-49.69%96.6萬
-76.46%129.8萬
-76.46%129.8萬
--192萬
非流動負債總額
21.71%750萬
1,213.24%535.8萬
1,213.24%535.8萬
537.89%616.2萬
-79.68%40.8萬
-79.68%40.8萬
-67.13%96.6萬
-63.58%200.8萬
-63.58%200.8萬
--293.9萬
總負債
-7.12%4,908.3萬
-4.18%5,032萬
-4.18%5,032萬
21.64%5,284.6萬
17.32%5,251.3萬
17.32%5,251.3萬
-4.23%4,344.5萬
20.58%4,476.1萬
20.58%4,476.1萬
127.51%4,536.5萬
所有者權益
股本
0.33%4,564.1萬
0.43%4,549.1萬
0.43%4,549.1萬
0.43%4,549.1萬
0.39%4,529.8萬
0.39%4,529.8萬
0.39%4,529.8萬
0.00%4,512.2萬
0.00%4,512.2萬
--4,512.2萬
-普通股股本
0.33%4,564.1萬
0.43%4,549.1萬
0.43%4,549.1萬
0.43%4,549.1萬
0.39%4,529.8萬
0.39%4,529.8萬
0.39%4,529.8萬
0.00%4,512.2萬
0.00%4,512.2萬
--4,512.2萬
留存收益
0.85%-1.51億
2.59%-1.47億
2.59%-1.47億
-2.21%-1.52億
-1.63%-1.51億
-1.63%-1.51億
-25.19%-1.49億
-45.46%-1.48億
-45.46%-1.48億
---1.19億
資本公積
0.00%1.07億
0.00%1.07億
0.00%1.07億
0.00%1.07億
0.00%1.07億
0.00%1.07億
0.00%1.07億
0.00%1.07億
0.00%1.07億
--1.07億
不影響留存收益的損益
0.98%1,856.3萬
-5.92%1,858.8萬
-5.92%1,858.8萬
1.98%1,838.2萬
-4.92%1,975.7萬
-4.92%1,975.7萬
-1.45%1,802.5萬
15.42%2,077.9萬
15.42%2,077.9萬
--1,829.1萬
股東權益總額
8.65%2,040.7萬
13.87%2,407.1萬
13.87%2,407.1萬
-12.72%1,878.2萬
-13.37%2,113.9萬
-13.37%2,113.9萬
-58.24%2,151.9萬
-64.12%2,440.2萬
-64.12%2,440.2萬
737.81%5,153.5萬
非控制性權益
1.35%15萬
1.36%14.9萬
1.36%14.9萬
17.46%14.8萬
1.38%14.7萬
1.38%14.7萬
-13.70%12.6萬
-0.68%14.5萬
-0.68%14.5萬
16.80%14.6萬
總權益
8.59%2,055.7萬
13.78%2,422萬
13.78%2,422萬
-12.54%1,893萬
-13.28%2,128.6萬
-13.28%2,128.6萬
-58.12%2,164.5萬
-63.98%2,454.7萬
-63.98%2,454.7萬
749.67%5,168.1萬
貨幣單位
歐元
歐元
歐元
歐元
歐元
歐元
歐元
歐元
歐元
歐元
審計意見
--
帶解釋段的無保留意見
--
--
--
--
--
帶解釋段的無保留意見
--
--
(Q2)2025/06/30(FY)2024/12/31(Q4)2024/12/31(Q2)2024/06/30(FY)2023/12/31(Q4)2023/12/31(Q2)2023/06/30(FY)2022/12/31(Q4)2022/12/31(Q2)2022/06/30
資產
流動資產
現金及現金等價物和短期投資 0.50%5,298.6萬4.11%5,380.1萬4.11%5,380.1萬-4.58%5,272.4萬-14.70%5,167.6萬-14.70%5,167.6萬-38.13%5,525.2萬-38.69%6,058.3萬-38.69%6,058.3萬800.80%8,930.5萬
-現金和現金等價物 11.60%4,512.5萬-2.35%4,030.7萬-2.35%4,030.7萬-10.91%4,043.3萬-23.29%4,127.8萬-23.29%4,127.8萬-46.31%4,538.3萬-43.31%5,380.8萬-43.31%5,380.8萬1,183.73%8,452.1萬
-短期投資 -36.04%786.1萬29.77%1,349.4萬29.77%1,349.4萬24.54%1,229.1萬53.48%1,039.8萬53.48%1,039.8萬106.29%986.9萬73.76%677.5萬73.76%677.5萬43.66%478.4萬
應收款項 -33.92%518.4萬-47.50%692.5萬-47.50%692.5萬4.38%784.5萬86.69%1,319萬86.69%1,319萬23.27%751.6萬37.91%706.5萬37.91%706.5萬851.17%609.7萬
-應收賬款 11.85%166.1萬-86.95%105萬-86.95%105萬-45.90%148.5萬91.16%804.8萬91.16%804.8萬-26.09%274.5萬28.20%421萬28.20%421萬949.15%371.4萬
-應收稅費 -51.03%319.6萬-0.37%515萬-0.37%515萬65.47%652.6萬85.07%516.9萬85.07%516.9萬75.76%394.4萬83.39%279.3萬83.39%279.3萬1,212.28%224.4萬
-其他應收款 296.99%32.7萬2,785.19%72.5萬2,785.19%72.5萬-120.07%-16.6萬-143.55%-2.7萬-143.55%-2.7萬494.96%82.7萬-80.38%6.2萬-80.38%6.2萬19.83%13.9萬
預付費用 -88.72%16.5萬430.68%219.7萬430.68%219.7萬40.40%146.3萬-38.85%41.4萬-38.85%41.4萬-2.43%104.2萬-8.39%67.7萬-8.39%67.7萬100.75%106.8萬
其他流動資產 0.00%1,000----------1,000------------------------
流動資產合計 -5.96%5,833.6萬-3.61%6,292.3萬-3.61%6,292.3萬-2.78%6,203.3萬-4.46%6,528萬-4.46%6,528萬-33.86%6,381萬-34.72%6,832.5萬-34.72%6,832.5萬770.12%9,647萬
非流動資產
固定資產淨額 163.70%242.6萬628.40%241.1萬628.40%241.1萬320.09%92萬65.50%33.1萬65.50%33.1萬52.08%21.9萬50.38%20萬50.38%20萬24.14%14.4萬
-固定資產 118.84%290.4萬369.03%304.4萬369.03%304.4萬505.94%132.7萬60.64%64.9萬60.64%64.9萬52.08%21.9萬57.20%40.4萬57.20%40.4萬24.14%14.4萬
-累計折舊 -17.44%-47.8萬-99.06%-63.3萬-99.06%-63.3萬---40.7萬-55.88%-31.8萬-55.88%-31.8萬-----64.52%-20.4萬-64.52%-20.4萬----
商譽及其他無形資產 --0--0--0-63.64%4,0000.00%1萬0.00%1萬-93.75%1.1萬-97.87%1萬-97.87%1萬-77.49%17.6萬
-其他無形資產 --------------4,0000.00%1萬0.00%1萬-----97.87%1萬-97.87%1萬----
投資和預付款 ------------------0--0--0-50.00%2,000-50.00%2,000--4,000
非流動遞延資產 0.68%887.9萬12.58%920.7萬12.58%920.7萬739.90%881.9萬960.70%817.8萬960.70%817.8萬316.67%105萬--77.1萬--77.1萬--25.2萬
其他非流動資產 ---1,000---1,000---1,000----------------------------
非流動資產合計 16.02%1,130.4萬36.37%1,161.7萬36.37%1,161.7萬661.17%974.3萬766.63%851.9萬766.63%851.9萬122.22%128萬62.21%98.3萬62.21%98.3萬-35.86%57.6萬
總資產 -2.98%6,964萬1.00%7,454萬1.00%7,454萬10.27%7,177.6萬6.48%7,379.9萬6.48%7,379.9萬-32.93%6,509萬-34.16%6,930.8萬-34.16%6,930.8萬709.73%9,704.6萬
負債
流動負債
應付款項 -8.23%2,953.8萬-19.52%3,001.1萬-19.52%3,001.1萬2.67%3,218.8萬26.21%3,729萬26.21%3,729萬5.51%3,135.1萬33.17%2,954.7萬33.17%2,954.7萬112.54%2,971.5萬
-應付賬款 -10.53%2,449.4萬-22.82%2,455.2萬-22.82%2,455.2萬-5.38%2,737.8萬33.71%3,181.2萬33.71%3,181.2萬3.37%2,893.4萬20.85%2,379.1萬20.85%2,379.1萬127.52%2,799.2萬
-應付稅費 4.86%504.4萬-0.35%545.9萬-0.35%545.9萬99.01%481萬-4.83%547.8萬-4.83%547.8萬40.28%241.7萬130.15%575.6萬130.15%575.6萬2.68%172.3萬
應計費用 72.80%194.4萬18.61%251.7萬18.61%251.7萬-1.14%112.5萬13.23%212.2萬13.23%212.2萬13.23%113.8萬27.83%187.4萬27.83%187.4萬139.29%100.5萬
短期借款與租賃負債 -65.16%180萬-26.95%372.9萬-26.95%372.9萬115.92%516.7萬20.32%510.5萬20.32%510.5萬-40.03%239.3萬42.19%424.3萬42.19%424.3萬249.39%399萬
-短期借款 -65.62%160.9萬-34.08%336.5萬-34.08%336.5萬95.57%468萬20.32%510.5萬20.32%510.5萬-40.03%239.3萬42.19%424.3萬42.19%424.3萬250.31%399萬
-短期租賃負債 -60.78%19.1萬--36.4萬--36.4萬--48.7萬--0--0----------------
其他流動負債 1.18%830.1萬14.72%870.5萬14.72%870.5萬7.99%820.4萬7.04%758.8萬7.04%758.8萬-1.54%759.7萬42.64%708.9萬42.64%708.9萬77.46%771.6萬
流動負債總額 -10.93%4,158.3萬-13.71%4,496.2萬-13.71%4,496.2萬9.90%4,668.4萬21.87%5,210.5萬21.87%5,210.5萬0.12%4,247.9萬35.26%4,275.3萬35.26%4,275.3萬112.77%4,242.6萬
非流動負債
長期借款與租賃負債 --189.6萬--163.8萬--163.8萬------0--0------71萬--71萬----
-長期借款 ------------------------------71萬--71萬----
-長期租賃負債 --189.6萬--163.8萬--163.8萬------0--0----------------
遞延負債 ------------------0--0--0--71萬--71萬--101.9萬
衍生品負債 -9.06%560.4萬811.76%372萬811.76%372萬537.89%616.2萬-68.57%40.8萬-68.57%40.8萬-49.69%96.6萬-76.46%129.8萬-76.46%129.8萬--192萬
非流動負債總額 21.71%750萬1,213.24%535.8萬1,213.24%535.8萬537.89%616.2萬-79.68%40.8萬-79.68%40.8萬-67.13%96.6萬-63.58%200.8萬-63.58%200.8萬--293.9萬
總負債 -7.12%4,908.3萬-4.18%5,032萬-4.18%5,032萬21.64%5,284.6萬17.32%5,251.3萬17.32%5,251.3萬-4.23%4,344.5萬20.58%4,476.1萬20.58%4,476.1萬127.51%4,536.5萬
所有者權益
股本 0.33%4,564.1萬0.43%4,549.1萬0.43%4,549.1萬0.43%4,549.1萬0.39%4,529.8萬0.39%4,529.8萬0.39%4,529.8萬0.00%4,512.2萬0.00%4,512.2萬--4,512.2萬
-普通股股本 0.33%4,564.1萬0.43%4,549.1萬0.43%4,549.1萬0.43%4,549.1萬0.39%4,529.8萬0.39%4,529.8萬0.39%4,529.8萬0.00%4,512.2萬0.00%4,512.2萬--4,512.2萬
留存收益 0.85%-1.51億2.59%-1.47億2.59%-1.47億-2.21%-1.52億-1.63%-1.51億-1.63%-1.51億-25.19%-1.49億-45.46%-1.48億-45.46%-1.48億---1.19億
資本公積 0.00%1.07億0.00%1.07億0.00%1.07億0.00%1.07億0.00%1.07億0.00%1.07億0.00%1.07億0.00%1.07億0.00%1.07億--1.07億
不影響留存收益的損益 0.98%1,856.3萬-5.92%1,858.8萬-5.92%1,858.8萬1.98%1,838.2萬-4.92%1,975.7萬-4.92%1,975.7萬-1.45%1,802.5萬15.42%2,077.9萬15.42%2,077.9萬--1,829.1萬
股東權益總額 8.65%2,040.7萬13.87%2,407.1萬13.87%2,407.1萬-12.72%1,878.2萬-13.37%2,113.9萬-13.37%2,113.9萬-58.24%2,151.9萬-64.12%2,440.2萬-64.12%2,440.2萬737.81%5,153.5萬
非控制性權益 1.35%15萬1.36%14.9萬1.36%14.9萬17.46%14.8萬1.38%14.7萬1.38%14.7萬-13.70%12.6萬-0.68%14.5萬-0.68%14.5萬16.80%14.6萬
總權益 8.59%2,055.7萬13.78%2,422萬13.78%2,422萬-12.54%1,893萬-13.28%2,128.6萬-13.28%2,128.6萬-58.12%2,164.5萬-63.98%2,454.7萬-63.98%2,454.7萬749.67%5,168.1萬
貨幣單位 歐元歐元歐元歐元歐元歐元歐元歐元歐元歐元
審計意見 --帶解釋段的無保留意見----------帶解釋段的無保留意見----
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