美股市場個股詳情

GRAPHITE ONE INC (GPHOF)

添加自選
  • 1.670
  • +0.030+1.83%
延時15分鐘行情收盤價 01/22 15:59 (美東)
3.03億總市值-27.83市盈率TTM

GRAPHITE ONE INC (GPHOF) 資產負債表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(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
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
資產
流動資產
現金及現金等價物和短期投資
-25.29%358.73萬
-90.61%65.28萬
-29.51%248.7萬
125.73%411.8萬
125.73%411.8萬
95.33%480.18萬
116.12%695.03萬
195.66%352.82萬
263.63%182.43萬
263.63%182.43萬
-現金和現金等價物
-25.29%358.73萬
-90.61%65.28萬
-29.51%248.7萬
125.73%411.8萬
125.73%411.8萬
95.33%480.18萬
116.12%695.03萬
195.66%352.82萬
263.63%182.43萬
263.63%182.43萬
應收款項
-83.46%22.11萬
-97.91%7.99萬
-68.44%42.96萬
-8.62%68.06萬
-8.62%68.06萬
-76.28%133.67萬
8,013.81%382.24萬
1,612.86%136.12萬
889.95%74.48萬
889.95%74.48萬
-應收稅費
816.87%12.3萬
-25.60%7.79萬
-35.35%5.7萬
-44.18%3.94萬
-44.18%3.94萬
-73.66%1.34萬
212.56%10.48萬
44.74%8.82萬
49.82%7.06萬
49.82%7.06萬
-其他應收款
-92.59%9.8萬
-99.95%1,995
-70.73%37.26萬
-4.90%64.12萬
-4.90%64.12萬
-76.30%132.33萬
27,245.78%371.77萬
6,768.97%127.3萬
2,296.88%67.43萬
2,296.88%67.43萬
預付費用
388.98%41.7萬
67.96%15.28萬
55.47%23.58萬
83.58%20.25萬
83.58%20.25萬
-45.74%8.53萬
-83.10%9.1萬
-75.67%15.17萬
-66.45%11.03萬
-66.45%11.03萬
其他流動資產
----
----
----
---1
---1
---1
-200.00%-1
----
----
----
流動資產合計
-32.11%422.53萬
-91.85%88.56萬
-37.46%315.24萬
86.64%500.11萬
86.64%500.11萬
-24.56%622.37萬
185.79%1,086.37萬
165.84%504.1萬
195.83%267.95萬
195.83%267.95萬
非流動資產
固定資產淨額
10.94%6,657.99萬
13.66%6,405.31萬
5.64%6,287.23萬
5.23%6,161.11萬
5.23%6,161.11萬
-3.14%6,001.33萬
0.28%5,635.28萬
14.52%5,951.44萬
14.40%5,855.07萬
14.40%5,855.07萬
-固定資產
11.16%6,768.39萬
13.84%6,506.58萬
5.89%6,379.3萬
5.45%6,244.04萬
5.45%6,244.04萬
-2.95%6,089.1萬
0.50%5,715.78萬
14.66%6,024.68萬
14.63%5,921.21萬
14.63%5,921.21萬
-累計折舊
-25.78%-110.4萬
-25.80%-101.28萬
-25.72%-92.07萬
-25.40%-82.93萬
-25.40%-82.93萬
-11.42%-87.77萬
-18.71%-80.5萬
-28.01%-73.24萬
-40.19%-66.13萬
-40.19%-66.13萬
商譽及其他無形資產
2,904.02%100.71萬
799.00%38.26萬
664.61%39.78萬
583.55%42.35萬
583.55%42.35萬
-52.55%3.35萬
-47.24%4.26萬
-45.02%5.2萬
-37.06%6.2萬
-37.06%6.2萬
-其他無形資產
--100.71萬
--38.26萬
--39.78萬
----
----
----
----
----
----
----
長期預付費用
29.11%9.52萬
-76.90%12.87萬
-76.20%8.61萬
37.07%16.23萬
37.07%16.23萬
-60.79%7.38萬
-61.58%55.71萬
--36.16萬
--11.84萬
--11.84萬
其他非流動資產
-32.98%13.47萬
80.44%18.14萬
80.40%18.09萬
80.36%18.04萬
80.36%18.04萬
--20.09萬
--10.05萬
--10.03萬
--10萬
--10萬
非流動資產合計
12.43%6,781.69萬
13.48%6,474.57萬
5.85%6,353.71萬
6.03%6,237.74萬
6.03%6,237.74萬
-3.04%6,032.15萬
-1.17%5,705.3萬
15.29%6,002.83萬
14.73%5,883.12萬
14.73%5,883.12萬
總資產
8.26%7,204.23萬
-3.37%6,563.12萬
2.49%6,668.95萬
9.54%6,737.85萬
9.54%6,737.85萬
-5.56%6,654.53萬
10.38%6,791.66萬
20.58%6,506.94萬
17.87%6,151.07萬
17.87%6,151.07萬
負債
流動負債
應付款項
-68.68%100.08萬
-61.66%150.98萬
26.23%146.55萬
202.55%223.61萬
202.55%223.61萬
-27.55%319.51萬
110.57%393.79萬
145.00%116.1萬
-78.40%73.91萬
-78.40%73.91萬
-應付賬款
28.93%29.52萬
219.77%34.3萬
34.84%33.79萬
55.36%54.21萬
55.36%54.21萬
19.64%22.9萬
-44.81%10.73萬
23.77%25.06萬
70.96%34.89萬
70.96%34.89萬
-其他應付款
-76.21%70.56萬
-69.54%116.68萬
23.85%112.76萬
334.15%169.41萬
334.15%169.41萬
-29.69%296.61萬
128.59%383.06萬
235.44%91.04萬
-87.87%39.02萬
-87.87%39.02萬
應計費用
32.01%332.77萬
111.36%390.89萬
117.31%358.5萬
45.65%240.32萬
45.65%240.32萬
293.50%252.08萬
188.37%184.94萬
157.54%164.97萬
100.64%165萬
100.64%165萬
短期借款與租賃負債
1,230.08%16.25萬
477.57%15.77萬
264.89%15.31萬
----
----
-99.77%1.22萬
-64.24%2.73萬
-63.90%4.2萬
-64.12%5.62萬
-64.12%5.62萬
-短期租賃負債
1,230.08%16.25萬
477.57%15.77萬
264.89%15.31萬
--0
--0
-88.56%1.22萬
-64.24%2.73萬
-63.90%4.2萬
-64.12%5.62萬
-64.12%5.62萬
其他流動負債
---1
-100.00%-1
----
36.11%21.74萬
36.11%21.74萬
----
--82.99萬
--1.02萬
-41.74%15.97萬
-41.74%15.97萬
流動負債總額
-21.60%449.1萬
-16.07%557.65萬
81.76%520.36萬
86.44%485.67萬
86.44%485.67萬
-44.22%572.81萬
156.76%664.45萬
132.63%286.28萬
-44.28%260.5萬
-44.28%260.5萬
非流動負債
長期借款與租賃負債
--4.37萬
--8.62萬
--12.74萬
----
----
----
----
----
----
----
-長期租賃負債
--4.37萬
--8.62萬
--12.74萬
----
----
----
----
----
----
----
其他非流動負債
--1
----
----
----
----
----
----
----
----
----
非流動負債總額
2,187,300.00%4.37萬
--8.62萬
--12.74萬
---1
---1
--2
--0
--0
--0
--0
總負債
-20.83%453.48萬
-14.78%566.27萬
86.21%533.1萬
86.44%485.67萬
86.44%485.67萬
-44.22%572.81萬
156.76%664.45萬
132.63%286.28萬
-44.28%260.5萬
-44.28%260.5萬
所有者權益
股本
12.71%1.04億
4.52%9,608.51萬
9.09%9,574.7萬
8.55%9,526.96萬
8.55%9,526.96萬
5.38%9,210.54萬
7.75%9,193.18萬
12.53%8,776.56萬
22.76%8,776.56萬
22.76%8,776.56萬
-普通股股本
12.71%1.04億
4.52%9,608.51萬
9.09%9,574.7萬
8.55%9,526.96萬
8.55%9,526.96萬
5.38%9,210.54萬
7.75%9,193.18萬
12.53%8,776.56萬
22.76%8,776.56萬
22.76%8,776.56萬
留存收益
-15.71%-6,049.19萬
-14.54%-5,817.35萬
-14.58%-5,629.15萬
-14.18%-5,472.82萬
-14.18%-5,472.82萬
-14.62%-5,227.79萬
-16.17%-5,078.69萬
-18.33%-4,912.71萬
-21.41%-4,793.17萬
-21.41%-4,793.17萬
不影響留存收益的損益
15.23%2,418.55萬
9.59%2,205.69萬
10.77%2,190.3萬
15.25%2,198.03萬
15.25%2,198.03萬
14.03%2,098.97萬
16.07%2,012.73萬
21.64%1,977.37萬
23.05%1,907.17萬
23.05%1,907.17萬
其他權益
----
----
----
----
----
----
----
--379.43萬
----
----
股東權益總額
11.00%6,750.75萬
-2.13%5,996.86萬
-1.36%6,135.86萬
6.14%6,252.18萬
6.14%6,252.18萬
1.03%6,081.71萬
3.95%6,127.21萬
17.97%6,220.65萬
23.99%5,890.57萬
23.99%5,890.57萬
總權益
11.00%6,750.75萬
-2.13%5,996.86萬
-1.36%6,135.86萬
6.14%6,252.18萬
6.14%6,252.18萬
1.03%6,081.71萬
3.95%6,127.21萬
17.97%6,220.65萬
23.99%5,890.57萬
23.99%5,890.57萬
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
審計意見
--
--
--
帶解釋段的無保留意見
--
--
--
--
帶解釋段的無保留意見
--
(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(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31
資產
流動資產
現金及現金等價物和短期投資 -25.29%358.73萬-90.61%65.28萬-29.51%248.7萬125.73%411.8萬125.73%411.8萬95.33%480.18萬116.12%695.03萬195.66%352.82萬263.63%182.43萬263.63%182.43萬
-現金和現金等價物 -25.29%358.73萬-90.61%65.28萬-29.51%248.7萬125.73%411.8萬125.73%411.8萬95.33%480.18萬116.12%695.03萬195.66%352.82萬263.63%182.43萬263.63%182.43萬
應收款項 -83.46%22.11萬-97.91%7.99萬-68.44%42.96萬-8.62%68.06萬-8.62%68.06萬-76.28%133.67萬8,013.81%382.24萬1,612.86%136.12萬889.95%74.48萬889.95%74.48萬
-應收稅費 816.87%12.3萬-25.60%7.79萬-35.35%5.7萬-44.18%3.94萬-44.18%3.94萬-73.66%1.34萬212.56%10.48萬44.74%8.82萬49.82%7.06萬49.82%7.06萬
-其他應收款 -92.59%9.8萬-99.95%1,995-70.73%37.26萬-4.90%64.12萬-4.90%64.12萬-76.30%132.33萬27,245.78%371.77萬6,768.97%127.3萬2,296.88%67.43萬2,296.88%67.43萬
預付費用 388.98%41.7萬67.96%15.28萬55.47%23.58萬83.58%20.25萬83.58%20.25萬-45.74%8.53萬-83.10%9.1萬-75.67%15.17萬-66.45%11.03萬-66.45%11.03萬
其他流動資產 ---------------1---1---1-200.00%-1------------
流動資產合計 -32.11%422.53萬-91.85%88.56萬-37.46%315.24萬86.64%500.11萬86.64%500.11萬-24.56%622.37萬185.79%1,086.37萬165.84%504.1萬195.83%267.95萬195.83%267.95萬
非流動資產
固定資產淨額 10.94%6,657.99萬13.66%6,405.31萬5.64%6,287.23萬5.23%6,161.11萬5.23%6,161.11萬-3.14%6,001.33萬0.28%5,635.28萬14.52%5,951.44萬14.40%5,855.07萬14.40%5,855.07萬
-固定資產 11.16%6,768.39萬13.84%6,506.58萬5.89%6,379.3萬5.45%6,244.04萬5.45%6,244.04萬-2.95%6,089.1萬0.50%5,715.78萬14.66%6,024.68萬14.63%5,921.21萬14.63%5,921.21萬
-累計折舊 -25.78%-110.4萬-25.80%-101.28萬-25.72%-92.07萬-25.40%-82.93萬-25.40%-82.93萬-11.42%-87.77萬-18.71%-80.5萬-28.01%-73.24萬-40.19%-66.13萬-40.19%-66.13萬
商譽及其他無形資產 2,904.02%100.71萬799.00%38.26萬664.61%39.78萬583.55%42.35萬583.55%42.35萬-52.55%3.35萬-47.24%4.26萬-45.02%5.2萬-37.06%6.2萬-37.06%6.2萬
-其他無形資產 --100.71萬--38.26萬--39.78萬----------------------------
長期預付費用 29.11%9.52萬-76.90%12.87萬-76.20%8.61萬37.07%16.23萬37.07%16.23萬-60.79%7.38萬-61.58%55.71萬--36.16萬--11.84萬--11.84萬
其他非流動資產 -32.98%13.47萬80.44%18.14萬80.40%18.09萬80.36%18.04萬80.36%18.04萬--20.09萬--10.05萬--10.03萬--10萬--10萬
非流動資產合計 12.43%6,781.69萬13.48%6,474.57萬5.85%6,353.71萬6.03%6,237.74萬6.03%6,237.74萬-3.04%6,032.15萬-1.17%5,705.3萬15.29%6,002.83萬14.73%5,883.12萬14.73%5,883.12萬
總資產 8.26%7,204.23萬-3.37%6,563.12萬2.49%6,668.95萬9.54%6,737.85萬9.54%6,737.85萬-5.56%6,654.53萬10.38%6,791.66萬20.58%6,506.94萬17.87%6,151.07萬17.87%6,151.07萬
負債
流動負債
應付款項 -68.68%100.08萬-61.66%150.98萬26.23%146.55萬202.55%223.61萬202.55%223.61萬-27.55%319.51萬110.57%393.79萬145.00%116.1萬-78.40%73.91萬-78.40%73.91萬
-應付賬款 28.93%29.52萬219.77%34.3萬34.84%33.79萬55.36%54.21萬55.36%54.21萬19.64%22.9萬-44.81%10.73萬23.77%25.06萬70.96%34.89萬70.96%34.89萬
-其他應付款 -76.21%70.56萬-69.54%116.68萬23.85%112.76萬334.15%169.41萬334.15%169.41萬-29.69%296.61萬128.59%383.06萬235.44%91.04萬-87.87%39.02萬-87.87%39.02萬
應計費用 32.01%332.77萬111.36%390.89萬117.31%358.5萬45.65%240.32萬45.65%240.32萬293.50%252.08萬188.37%184.94萬157.54%164.97萬100.64%165萬100.64%165萬
短期借款與租賃負債 1,230.08%16.25萬477.57%15.77萬264.89%15.31萬---------99.77%1.22萬-64.24%2.73萬-63.90%4.2萬-64.12%5.62萬-64.12%5.62萬
-短期租賃負債 1,230.08%16.25萬477.57%15.77萬264.89%15.31萬--0--0-88.56%1.22萬-64.24%2.73萬-63.90%4.2萬-64.12%5.62萬-64.12%5.62萬
其他流動負債 ---1-100.00%-1----36.11%21.74萬36.11%21.74萬------82.99萬--1.02萬-41.74%15.97萬-41.74%15.97萬
流動負債總額 -21.60%449.1萬-16.07%557.65萬81.76%520.36萬86.44%485.67萬86.44%485.67萬-44.22%572.81萬156.76%664.45萬132.63%286.28萬-44.28%260.5萬-44.28%260.5萬
非流動負債
長期借款與租賃負債 --4.37萬--8.62萬--12.74萬----------------------------
-長期租賃負債 --4.37萬--8.62萬--12.74萬----------------------------
其他非流動負債 --1------------------------------------
非流動負債總額 2,187,300.00%4.37萬--8.62萬--12.74萬---1---1--2--0--0--0--0
總負債 -20.83%453.48萬-14.78%566.27萬86.21%533.1萬86.44%485.67萬86.44%485.67萬-44.22%572.81萬156.76%664.45萬132.63%286.28萬-44.28%260.5萬-44.28%260.5萬
所有者權益
股本 12.71%1.04億4.52%9,608.51萬9.09%9,574.7萬8.55%9,526.96萬8.55%9,526.96萬5.38%9,210.54萬7.75%9,193.18萬12.53%8,776.56萬22.76%8,776.56萬22.76%8,776.56萬
-普通股股本 12.71%1.04億4.52%9,608.51萬9.09%9,574.7萬8.55%9,526.96萬8.55%9,526.96萬5.38%9,210.54萬7.75%9,193.18萬12.53%8,776.56萬22.76%8,776.56萬22.76%8,776.56萬
留存收益 -15.71%-6,049.19萬-14.54%-5,817.35萬-14.58%-5,629.15萬-14.18%-5,472.82萬-14.18%-5,472.82萬-14.62%-5,227.79萬-16.17%-5,078.69萬-18.33%-4,912.71萬-21.41%-4,793.17萬-21.41%-4,793.17萬
不影響留存收益的損益 15.23%2,418.55萬9.59%2,205.69萬10.77%2,190.3萬15.25%2,198.03萬15.25%2,198.03萬14.03%2,098.97萬16.07%2,012.73萬21.64%1,977.37萬23.05%1,907.17萬23.05%1,907.17萬
其他權益 ------------------------------379.43萬--------
股東權益總額 11.00%6,750.75萬-2.13%5,996.86萬-1.36%6,135.86萬6.14%6,252.18萬6.14%6,252.18萬1.03%6,081.71萬3.95%6,127.21萬17.97%6,220.65萬23.99%5,890.57萬23.99%5,890.57萬
總權益 11.00%6,750.75萬-2.13%5,996.86萬-1.36%6,135.86萬6.14%6,252.18萬6.14%6,252.18萬1.03%6,081.71萬3.95%6,127.21萬17.97%6,220.65萬23.99%5,890.57萬23.99%5,890.57萬
貨幣單位 美元美元美元美元美元美元美元美元美元美元
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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