美股市場個股詳情

GRRR Gorilla Technology

添加自選
  • 5.590
  • -0.290-4.93%
收盤價 05/10 16:00 (美東)
  • 5.800
  • +0.210+3.76%
盤後 18:50 (美東)
4862.63萬總市值2.26市盈率TTM

Gorilla Technology關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(FY)2022/12/31
(Q4)2022/12/31
(Q2)2022/06/30
(FY)2021/12/31
(Q4)2021/12/31
(Q2)2021/06/30
資產
流動資產
現金及現金等價物和短期投資
10.31%3,412.99萬
10.31%3,412.99萬
--1,977.21萬
63.72%2,018.17萬
63.25%3,094.08萬
63.25%3,094.08萬
-4.74%1,232.71萬
-3.24%1,895.32萬
-3.24%1,895.32萬
--1,294.01萬
-現金和現金等價物
-76.92%530.69萬
-76.92%530.69萬
--1,875.75萬
85.02%1,026.86萬
131.24%2,299.64萬
131.24%2,299.64萬
31.94%555.01萬
-18.17%994.47萬
-18.17%994.47萬
--420.64萬
-短期投資
262.81%2,882.3萬
262.81%2,882.3萬
--101.46萬
46.28%991.31萬
-11.81%794.44萬
-11.81%794.44萬
-22.40%677.7萬
21.16%900.85萬
21.16%900.85萬
--873.38萬
應收款項
181.58%4,340.79萬
181.58%4,340.79萬
--2,908.75萬
-52.21%1,779.13萬
-57.74%1,541.57萬
-57.74%1,541.57萬
5.42%3,722.69萬
4.63%3,648.16萬
4.63%3,648.16萬
--3,531.16萬
-應收賬款
-35.28%908.73萬
-35.28%908.73萬
--1,884.01萬
-64.06%1,250.74萬
-59.68%1,404.16萬
-59.68%1,404.16萬
4.89%3,479.98萬
4.30%3,482.18萬
4.30%3,482.18萬
--3,317.75萬
-應收貸款
----
----
----
----
----
----
--116.53萬
----
----
----
-應收關聯方款項
----
----
----
----
--52.19萬
--52.19萬
----
--0
--0
----
-其他應收款
3,927.27%3,432.06萬
3,927.27%3,432.06萬
--1,024.73萬
318.80%528.39萬
-48.66%85.22萬
-48.66%85.22萬
-40.88%126.17萬
12.08%165.98萬
12.08%165.98萬
--213.42萬
存貨
-66.32%2.31萬
-66.32%2.31萬
--4.63萬
-24.80%5.65萬
-54.92%6.86萬
-54.92%6.86萬
-68.14%7.52萬
69.56%15.22萬
69.56%15.22萬
--23.6萬
預付費用
487.88%744.52萬
487.88%744.52萬
--104.86萬
-79.17%24.4萬
446.99%126.64萬
446.99%126.64萬
--117.14萬
--23.15萬
--23.15萬
----
受限制現金
----
----
--3,977.5萬
----
----
----
----
----
----
----
其他流動資產
175.81%17.05萬
175.81%17.05萬
--3.1萬
1,048.61%3.84萬
935.05%6.18萬
935.05%6.18萬
-99.01%3,345
-97.28%5,971
-97.28%5,971
--33.85萬
流動資產合計
78.37%8,517.66萬
78.37%8,517.66萬
--8,976.05萬
-24.59%3,831.19萬
-14.46%4,775.33萬
-14.46%4,775.33萬
4.05%5,080.39萬
1.93%5,582.46萬
1.93%5,582.46萬
--4,882.63萬
非流動資產
固定資產淨額
-1.35%1,593.2萬
-1.35%1,593.2萬
--1,514.45萬
-50.70%1,573.94萬
-53.22%1,614.92萬
-53.22%1,614.92萬
-3.68%3,192.67萬
6.45%3,451.84萬
6.45%3,451.84萬
--3,314.55萬
-固定資產
-46.47%1,593.2萬
-46.47%1,593.2萬
--1,514.45萬
-49.01%2,943.2萬
-49.14%2,976.04萬
-49.14%2,976.04萬
5.89%5,772.41萬
15.85%5,851.05萬
15.85%5,851.05萬
--5,451.09萬
-累計折舊
----
----
----
46.92%-1,369.27萬
43.27%-1,361.11萬
43.27%-1,361.11萬
-20.74%-2,579.74萬
-32.69%-2,399.21萬
-32.69%-2,399.21萬
---2,136.54萬
商譽及其他無形資產
15,154.18%859.45萬
15,154.18%859.45萬
--890.71萬
289.94%906.06萬
-98.35%5.63萬
-98.35%5.63萬
-21.21%232.36萬
-16.78%341.95萬
-16.78%341.95萬
--294.92萬
-其他無形資產
----
----
----
289.94%906.06萬
-98.35%5.63萬
-98.35%5.63萬
-21.21%232.36萬
-16.78%341.95萬
-16.78%341.95萬
--294.92萬
投資和預付款
--1,364.3萬
--1,364.3萬
----
----
--0
--0
-0.45%5.67萬
-72.02%5.06萬
-72.02%5.06萬
--5.7萬
關聯方資產
----
----
----
----
--52.19萬
--52.19萬
----
--0
--0
----
非流動遞延資產
157.68%7.71萬
157.68%7.71萬
--3.24萬
-60.60%2.95萬
-92.71%2.99萬
-92.71%2.99萬
-67.94%7.48萬
91.14%41.02萬
91.14%41.02萬
--23.32萬
長期預付費用
-62.85%45.16萬
-62.85%45.16萬
--35.36萬
--48.22萬
91.94%121.54萬
91.94%121.54萬
----
--63.32萬
--63.32萬
----
其他非流動資產
1,726.31%103.4萬
1,726.31%103.4萬
--99.65萬
46.80%93.95萬
-23.66%5.66萬
-23.66%5.66萬
-2.08%64萬
-87.47%7.42萬
-87.47%7.42萬
--65.36萬
非流動資產合計
126.94%3,973.22萬
126.94%3,973.22萬
--2,543.41萬
-25.04%2,625.11萬
-55.23%1,750.75萬
-55.23%1,750.75萬
-5.45%3,502.17萬
4.22%3,910.61萬
4.22%3,910.61萬
--3,703.86萬
總資產
91.40%1.25億
91.40%1.25億
--1.15億
-24.77%6,456.31萬
-31.25%6,526.09萬
-31.25%6,526.09萬
-0.05%8,582.56萬
2.86%9,493.07萬
2.86%9,493.07萬
--8,586.48萬
負債
流動負債
應付款項
111.65%2,179.04萬
111.65%2,179.04萬
--1,631.91萬
-36.72%916.54萬
-18.24%1,029.55萬
-18.24%1,029.55萬
95.20%1,448.45萬
38.03%1,259.31萬
38.03%1,259.31萬
--742.05萬
-應付賬款
65.49%1,104.58萬
65.49%1,104.58萬
--721.08萬
-59.14%376.52萬
-17.19%667.45萬
-17.19%667.45萬
98.52%921.46萬
20.50%806.05萬
20.50%806.05萬
--464.17萬
-應付稅費
892.78%466.41萬
892.78%466.41萬
----
--2.65萬
375.82%46.98萬
375.82%46.98萬
----
--9.87萬
--9.87萬
----
-其他應付款
92.96%608.06萬
92.96%608.06萬
--910.83萬
1.97%537.37萬
-28.93%315.12萬
-28.93%315.12萬
89.65%526.99萬
82.18%443.39萬
82.18%443.39萬
--277.88萬
現行撥備
-22.56%6.85萬
-22.56%6.85萬
--7.64萬
-40.72%7.08萬
-42.09%8.85萬
-42.09%8.85萬
23.96%11.94萬
39.31%15.28萬
39.31%15.28萬
--9.63萬
短期借款與租賃負債
66.88%2,606.52萬
66.88%2,606.52萬
--3,182.82萬
-25.82%1,797.99萬
-37.77%1,561.94萬
-37.77%1,561.94萬
20.49%2,423.85萬
30.86%2,510.1萬
30.86%2,510.1萬
--2,011.64萬
-短期借款
66.86%2,603.48萬
66.86%2,603.48萬
--3,182.17萬
-25.70%1,797.16萬
-37.71%1,560.24萬
-37.71%1,560.24萬
20.33%2,418.89萬
30.68%2,504.64萬
30.68%2,504.64萬
--2,010.19萬
-短期租賃負債
78.59%3.03萬
78.59%3.03萬
--6,501
-83.09%8,387
-68.89%1.7萬
-68.89%1.7萬
242.01%4.96萬
252.45%5.46萬
252.45%5.46萬
--1.45萬
遞延負債
84.02%10.76萬
84.02%10.76萬
--26.57萬
501.98%11.32萬
189.57%5.85萬
189.57%5.85萬
--1.88萬
--2.02萬
--2.02萬
----
其他流動負債
187.55%631.11萬
187.55%631.11萬
--1,162.95萬
1,458.00%147.21萬
1,596.70%219.48萬
1,596.70%219.48萬
-0.42%9.45萬
28.34%12.94萬
28.34%12.94萬
--9.49萬
流動負債總額
92.32%5,434.28萬
92.32%5,434.28萬
--6,011.9萬
-26.07%2,880.13萬
-25.63%2,825.67萬
-25.63%2,825.67萬
40.49%3,895.56萬
33.25%3,799.64萬
33.25%3,799.64萬
--2,772.81萬
非流動負債
長期撥備
4.73%6.39萬
4.73%6.39萬
--7.25萬
-41.34%4.69萬
-42.15%6.11萬
-42.15%6.11萬
-51.60%7.99萬
-28.60%10.55萬
-28.60%10.55萬
--16.52萬
長期借款與租賃負債
-17.04%684.54萬
-17.04%684.54萬
--699.32萬
-35.59%649.16萬
-23.74%825.18萬
-23.74%825.18萬
1.99%1,007.84萬
8.25%1,082.12萬
8.25%1,082.12萬
--988.17萬
-長期借款
-17.32%682.24萬
-17.32%682.24萬
--699.32萬
-35.33%649.16萬
-23.25%825.18萬
-23.25%825.18萬
1.71%1,003.79萬
7.76%1,075.16萬
7.76%1,075.16萬
--986.94萬
-長期租賃負債
--2.3萬
--2.3萬
----
----
--0
--0
227.68%4.04萬
262.49%6.96萬
262.49%6.96萬
--1.23萬
遞延負債
-59.64%5.98萬
-59.64%5.98萬
--14.55萬
33.19%14.6萬
89.00%14.82萬
89.00%14.82萬
21.78%10.96萬
-38.64%7.84萬
-38.64%7.84萬
--9萬
非流動負債總額
-17.63%696.92萬
-17.63%696.92萬
--721.12萬
-34.90%668.45萬
-23.12%846.1萬
-23.12%846.1萬
1.29%1,026.79萬
7.13%1,100.52萬
7.13%1,100.52萬
--1,013.69萬
總負債
66.98%6,131.2萬
66.98%6,131.2萬
--6,733.01萬
-27.91%3,548.58萬
-25.07%3,671.77萬
-25.07%3,671.77萬
30.00%4,922.35萬
26.33%4,900.16萬
26.33%4,900.16萬
--3,786.49萬
所有者權益
股本
9.95%7,846
9.95%7,846
--7,646
-99.94%7,174
-99.94%7,136
-99.94%7,136
-0.21%1,201.03萬
0.60%1,206.97萬
0.60%1,206.97萬
--1,203.6萬
-普通股股本
9.95%7,846
9.95%7,846
--7,646
-99.88%7,174
-99.89%7,136
-99.89%7,136
0.10%619.71萬
1.16%622.48萬
1.16%622.48萬
--619.11萬
-優先股股本
----
----
----
----
--0
--0
-0.54%581.32萬
0.00%584.49萬
0.00%584.49萬
--584.49萬
留存收益
20.65%-7,695.43萬
20.65%-7,695.43萬
---9,008.28萬
-476.29%-1.04億
-925.79%-9,698.44萬
-925.79%-9,698.44萬
-168.13%-1,809.06萬
-928.39%-945.46萬
-928.39%-945.46萬
---674.69萬
資本公積
9.33%1.69億
9.33%1.69億
--1.67億
291.95%1.63億
274.63%1.55億
274.63%1.55億
1.35%4,151.48萬
1.08%4,130.17萬
1.08%4,130.17萬
--4,096.31萬
減:庫存股
0.00%2,958.01萬
0.00%2,958.01萬
--2,958.01萬
--2,958.01萬
98,500.47%2,958.01萬
98,500.47%2,958.01萬
--0
0.00%3萬
0.00%3萬
--3萬
不影響留存收益的損益
157.99%95.5萬
157.99%95.5萬
--6.97萬
-84.15%18.51萬
-81.87%37.02萬
-81.87%37.02萬
-34.33%116.75萬
28.51%204.22萬
28.51%204.22萬
--177.77萬
股東權益總額
122.81%6,359.67萬
122.81%6,359.67萬
--4,786.45萬
-20.56%2,907.72萬
-37.85%2,854.32萬
-37.85%2,854.32萬
-23.75%3,660.21萬
-14.15%4,592.91萬
-14.15%4,592.91萬
--4,799.99萬
總權益
122.81%6,359.67萬
122.81%6,359.67萬
--4,786.45萬
-20.56%2,907.72萬
-37.85%2,854.32萬
-37.85%2,854.32萬
-23.75%3,660.21萬
-14.15%4,592.91萬
-14.15%4,592.91萬
--4,799.99萬
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
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
--
--
--
--
--
(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(FY)2022/12/31(Q4)2022/12/31(Q2)2022/06/30(FY)2021/12/31(Q4)2021/12/31(Q2)2021/06/30
資產
流動資產
現金及現金等價物和短期投資 10.31%3,412.99萬10.31%3,412.99萬--1,977.21萬63.72%2,018.17萬63.25%3,094.08萬63.25%3,094.08萬-4.74%1,232.71萬-3.24%1,895.32萬-3.24%1,895.32萬--1,294.01萬
-現金和現金等價物 -76.92%530.69萬-76.92%530.69萬--1,875.75萬85.02%1,026.86萬131.24%2,299.64萬131.24%2,299.64萬31.94%555.01萬-18.17%994.47萬-18.17%994.47萬--420.64萬
-短期投資 262.81%2,882.3萬262.81%2,882.3萬--101.46萬46.28%991.31萬-11.81%794.44萬-11.81%794.44萬-22.40%677.7萬21.16%900.85萬21.16%900.85萬--873.38萬
應收款項 181.58%4,340.79萬181.58%4,340.79萬--2,908.75萬-52.21%1,779.13萬-57.74%1,541.57萬-57.74%1,541.57萬5.42%3,722.69萬4.63%3,648.16萬4.63%3,648.16萬--3,531.16萬
-應收賬款 -35.28%908.73萬-35.28%908.73萬--1,884.01萬-64.06%1,250.74萬-59.68%1,404.16萬-59.68%1,404.16萬4.89%3,479.98萬4.30%3,482.18萬4.30%3,482.18萬--3,317.75萬
-應收貸款 --------------------------116.53萬------------
-應收關聯方款項 ------------------52.19萬--52.19萬------0--0----
-其他應收款 3,927.27%3,432.06萬3,927.27%3,432.06萬--1,024.73萬318.80%528.39萬-48.66%85.22萬-48.66%85.22萬-40.88%126.17萬12.08%165.98萬12.08%165.98萬--213.42萬
存貨 -66.32%2.31萬-66.32%2.31萬--4.63萬-24.80%5.65萬-54.92%6.86萬-54.92%6.86萬-68.14%7.52萬69.56%15.22萬69.56%15.22萬--23.6萬
預付費用 487.88%744.52萬487.88%744.52萬--104.86萬-79.17%24.4萬446.99%126.64萬446.99%126.64萬--117.14萬--23.15萬--23.15萬----
受限制現金 ----------3,977.5萬----------------------------
其他流動資產 175.81%17.05萬175.81%17.05萬--3.1萬1,048.61%3.84萬935.05%6.18萬935.05%6.18萬-99.01%3,345-97.28%5,971-97.28%5,971--33.85萬
流動資產合計 78.37%8,517.66萬78.37%8,517.66萬--8,976.05萬-24.59%3,831.19萬-14.46%4,775.33萬-14.46%4,775.33萬4.05%5,080.39萬1.93%5,582.46萬1.93%5,582.46萬--4,882.63萬
非流動資產
固定資產淨額 -1.35%1,593.2萬-1.35%1,593.2萬--1,514.45萬-50.70%1,573.94萬-53.22%1,614.92萬-53.22%1,614.92萬-3.68%3,192.67萬6.45%3,451.84萬6.45%3,451.84萬--3,314.55萬
-固定資產 -46.47%1,593.2萬-46.47%1,593.2萬--1,514.45萬-49.01%2,943.2萬-49.14%2,976.04萬-49.14%2,976.04萬5.89%5,772.41萬15.85%5,851.05萬15.85%5,851.05萬--5,451.09萬
-累計折舊 ------------46.92%-1,369.27萬43.27%-1,361.11萬43.27%-1,361.11萬-20.74%-2,579.74萬-32.69%-2,399.21萬-32.69%-2,399.21萬---2,136.54萬
商譽及其他無形資產 15,154.18%859.45萬15,154.18%859.45萬--890.71萬289.94%906.06萬-98.35%5.63萬-98.35%5.63萬-21.21%232.36萬-16.78%341.95萬-16.78%341.95萬--294.92萬
-其他無形資產 ------------289.94%906.06萬-98.35%5.63萬-98.35%5.63萬-21.21%232.36萬-16.78%341.95萬-16.78%341.95萬--294.92萬
投資和預付款 --1,364.3萬--1,364.3萬----------0--0-0.45%5.67萬-72.02%5.06萬-72.02%5.06萬--5.7萬
關聯方資產 ------------------52.19萬--52.19萬------0--0----
非流動遞延資產 157.68%7.71萬157.68%7.71萬--3.24萬-60.60%2.95萬-92.71%2.99萬-92.71%2.99萬-67.94%7.48萬91.14%41.02萬91.14%41.02萬--23.32萬
長期預付費用 -62.85%45.16萬-62.85%45.16萬--35.36萬--48.22萬91.94%121.54萬91.94%121.54萬------63.32萬--63.32萬----
其他非流動資產 1,726.31%103.4萬1,726.31%103.4萬--99.65萬46.80%93.95萬-23.66%5.66萬-23.66%5.66萬-2.08%64萬-87.47%7.42萬-87.47%7.42萬--65.36萬
非流動資產合計 126.94%3,973.22萬126.94%3,973.22萬--2,543.41萬-25.04%2,625.11萬-55.23%1,750.75萬-55.23%1,750.75萬-5.45%3,502.17萬4.22%3,910.61萬4.22%3,910.61萬--3,703.86萬
總資產 91.40%1.25億91.40%1.25億--1.15億-24.77%6,456.31萬-31.25%6,526.09萬-31.25%6,526.09萬-0.05%8,582.56萬2.86%9,493.07萬2.86%9,493.07萬--8,586.48萬
負債
流動負債
應付款項 111.65%2,179.04萬111.65%2,179.04萬--1,631.91萬-36.72%916.54萬-18.24%1,029.55萬-18.24%1,029.55萬95.20%1,448.45萬38.03%1,259.31萬38.03%1,259.31萬--742.05萬
-應付賬款 65.49%1,104.58萬65.49%1,104.58萬--721.08萬-59.14%376.52萬-17.19%667.45萬-17.19%667.45萬98.52%921.46萬20.50%806.05萬20.50%806.05萬--464.17萬
-應付稅費 892.78%466.41萬892.78%466.41萬------2.65萬375.82%46.98萬375.82%46.98萬------9.87萬--9.87萬----
-其他應付款 92.96%608.06萬92.96%608.06萬--910.83萬1.97%537.37萬-28.93%315.12萬-28.93%315.12萬89.65%526.99萬82.18%443.39萬82.18%443.39萬--277.88萬
現行撥備 -22.56%6.85萬-22.56%6.85萬--7.64萬-40.72%7.08萬-42.09%8.85萬-42.09%8.85萬23.96%11.94萬39.31%15.28萬39.31%15.28萬--9.63萬
短期借款與租賃負債 66.88%2,606.52萬66.88%2,606.52萬--3,182.82萬-25.82%1,797.99萬-37.77%1,561.94萬-37.77%1,561.94萬20.49%2,423.85萬30.86%2,510.1萬30.86%2,510.1萬--2,011.64萬
-短期借款 66.86%2,603.48萬66.86%2,603.48萬--3,182.17萬-25.70%1,797.16萬-37.71%1,560.24萬-37.71%1,560.24萬20.33%2,418.89萬30.68%2,504.64萬30.68%2,504.64萬--2,010.19萬
-短期租賃負債 78.59%3.03萬78.59%3.03萬--6,501-83.09%8,387-68.89%1.7萬-68.89%1.7萬242.01%4.96萬252.45%5.46萬252.45%5.46萬--1.45萬
遞延負債 84.02%10.76萬84.02%10.76萬--26.57萬501.98%11.32萬189.57%5.85萬189.57%5.85萬--1.88萬--2.02萬--2.02萬----
其他流動負債 187.55%631.11萬187.55%631.11萬--1,162.95萬1,458.00%147.21萬1,596.70%219.48萬1,596.70%219.48萬-0.42%9.45萬28.34%12.94萬28.34%12.94萬--9.49萬
流動負債總額 92.32%5,434.28萬92.32%5,434.28萬--6,011.9萬-26.07%2,880.13萬-25.63%2,825.67萬-25.63%2,825.67萬40.49%3,895.56萬33.25%3,799.64萬33.25%3,799.64萬--2,772.81萬
非流動負債
長期撥備 4.73%6.39萬4.73%6.39萬--7.25萬-41.34%4.69萬-42.15%6.11萬-42.15%6.11萬-51.60%7.99萬-28.60%10.55萬-28.60%10.55萬--16.52萬
長期借款與租賃負債 -17.04%684.54萬-17.04%684.54萬--699.32萬-35.59%649.16萬-23.74%825.18萬-23.74%825.18萬1.99%1,007.84萬8.25%1,082.12萬8.25%1,082.12萬--988.17萬
-長期借款 -17.32%682.24萬-17.32%682.24萬--699.32萬-35.33%649.16萬-23.25%825.18萬-23.25%825.18萬1.71%1,003.79萬7.76%1,075.16萬7.76%1,075.16萬--986.94萬
-長期租賃負債 --2.3萬--2.3萬----------0--0227.68%4.04萬262.49%6.96萬262.49%6.96萬--1.23萬
遞延負債 -59.64%5.98萬-59.64%5.98萬--14.55萬33.19%14.6萬89.00%14.82萬89.00%14.82萬21.78%10.96萬-38.64%7.84萬-38.64%7.84萬--9萬
非流動負債總額 -17.63%696.92萬-17.63%696.92萬--721.12萬-34.90%668.45萬-23.12%846.1萬-23.12%846.1萬1.29%1,026.79萬7.13%1,100.52萬7.13%1,100.52萬--1,013.69萬
總負債 66.98%6,131.2萬66.98%6,131.2萬--6,733.01萬-27.91%3,548.58萬-25.07%3,671.77萬-25.07%3,671.77萬30.00%4,922.35萬26.33%4,900.16萬26.33%4,900.16萬--3,786.49萬
所有者權益
股本 9.95%7,8469.95%7,846--7,646-99.94%7,174-99.94%7,136-99.94%7,136-0.21%1,201.03萬0.60%1,206.97萬0.60%1,206.97萬--1,203.6萬
-普通股股本 9.95%7,8469.95%7,846--7,646-99.88%7,174-99.89%7,136-99.89%7,1360.10%619.71萬1.16%622.48萬1.16%622.48萬--619.11萬
-優先股股本 ------------------0--0-0.54%581.32萬0.00%584.49萬0.00%584.49萬--584.49萬
留存收益 20.65%-7,695.43萬20.65%-7,695.43萬---9,008.28萬-476.29%-1.04億-925.79%-9,698.44萬-925.79%-9,698.44萬-168.13%-1,809.06萬-928.39%-945.46萬-928.39%-945.46萬---674.69萬
資本公積 9.33%1.69億9.33%1.69億--1.67億291.95%1.63億274.63%1.55億274.63%1.55億1.35%4,151.48萬1.08%4,130.17萬1.08%4,130.17萬--4,096.31萬
減:庫存股 0.00%2,958.01萬0.00%2,958.01萬--2,958.01萬--2,958.01萬98,500.47%2,958.01萬98,500.47%2,958.01萬--00.00%3萬0.00%3萬--3萬
不影響留存收益的損益 157.99%95.5萬157.99%95.5萬--6.97萬-84.15%18.51萬-81.87%37.02萬-81.87%37.02萬-34.33%116.75萬28.51%204.22萬28.51%204.22萬--177.77萬
股東權益總額 122.81%6,359.67萬122.81%6,359.67萬--4,786.45萬-20.56%2,907.72萬-37.85%2,854.32萬-37.85%2,854.32萬-23.75%3,660.21萬-14.15%4,592.91萬-14.15%4,592.91萬--4,799.99萬
總權益 122.81%6,359.67萬122.81%6,359.67萬--4,786.45萬-20.56%2,907.72萬-37.85%2,854.32萬-37.85%2,854.32萬-23.75%3,660.21萬-14.15%4,592.91萬-14.15%4,592.91萬--4,799.99萬
貨幣單位 美元美元美元美元美元美元美元美元美元美元
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 --------無保留意見----------

分析

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