美股市場個股詳情

Hydrofarm (HYFM)

添加自選
  • 1.010
  • +0.010+1.00%
收盤價 04/30 16:00 (美東)
  • 1.010
  • 0.0000.00%
盤後 20:01 (美東)
481.23萬總市值-0.02市盈率TTM

Hydrofarm (HYFM) 資產負債表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2025/12/31
(Q4)2025/12/31
(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
資產
流動資產
現金及現金等價物和短期投資
-75.84%630.9萬
-75.84%630.9萬
-56.35%1,065.2萬
-63.74%1,099.1萬
-43.16%1,372.8萬
-13.86%2,611.1萬
-13.86%2,611.1萬
-24.81%2,440.4萬
13.61%3,031.4萬
29.13%2,415.2萬
-現金和現金等價物
-75.84%630.9萬
-75.84%630.9萬
-56.35%1,065.2萬
-63.74%1,099.1萬
-43.16%1,372.8萬
-13.86%2,611.1萬
-13.86%2,611.1萬
-24.81%2,440.4萬
13.61%3,031.4萬
29.13%2,415.2萬
應收款項
-44.52%818.6萬
-44.52%818.6萬
-36.48%1,000.8萬
-22.95%1,430.4萬
-6.89%2,091.9萬
-12.63%1,475.6萬
-12.63%1,475.6萬
-7.70%1,575.6萬
1.96%1,856.5萬
-0.59%2,246.8萬
-應收賬款
-45.22%734.4萬
-45.22%734.4萬
-39.12%908.5萬
-25.73%1,309.1萬
-7.97%1,968.8萬
-15.26%1,340.6萬
-15.26%1,340.6萬
-6.66%1,492.2萬
0.65%1,762.7萬
-1.61%2,139.2萬
-其他應收款
-37.63%84.2萬
-37.63%84.2萬
10.67%92.3萬
29.32%121.3萬
14.41%123.1萬
26.17%135萬
26.17%135萬
-22.99%83.4萬
34.77%93.8萬
25.41%107.6萬
存貨
-34.19%3,332.4萬
-34.19%3,332.4萬
-34.15%3,833.8萬
-24.79%4,416.4萬
-30.99%4,990.2萬
-32.81%5,063.3萬
-32.81%5,063.3萬
-27.32%5,822.1萬
-38.27%5,871.9萬
-30.08%7,231.5萬
其他流動資產
-2.42%362.2萬
-2.42%362.2萬
-20.28%362.8萬
-0.17%358.1萬
-17.90%413.7萬
-32.63%371.2萬
-32.63%371.2萬
6.53%455.1萬
-39.73%358.7萬
-17.45%503.9萬
流動資產合計
-45.97%5,144.1萬
-45.97%5,144.1萬
-39.43%6,262.6萬
-34.58%7,304萬
-28.46%8,868.6萬
-25.65%9,521.2萬
-25.65%9,521.2萬
-22.78%1.03億
-23.50%1.12億
-17.81%1.24億
非流動資產
固定資產淨額
-15.31%6,809.9萬
-15.31%6,809.9萬
-13.09%7,430.4萬
-11.84%7,809.8萬
-21.50%7,731.9萬
-21.05%8,041.4萬
-21.05%8,041.4萬
-18.40%8,549.3萬
-19.33%8,858.3萬
-12.17%9,849.8萬
-固定資產
-9.86%9,447.5萬
-9.86%9,447.5萬
-6.23%1.03億
-4.78%1.06億
-15.21%1.03億
-14.95%1.05億
-14.95%1.05億
-12.08%1.09億
-13.45%1.11億
-5.28%1.22億
-累計折舊
-8.10%-2,637.6萬
-8.10%-2,637.6萬
-18.31%-2,825.1萬
-23.32%-2,742.6萬
-11.70%-2,572.7萬
-14.08%-2,440萬
-14.08%-2,440萬
-21.68%-2,387.8萬
-21.97%-2,224萬
-42.53%-2,303.3萬
商譽及其他無形資產
-98.88%280.1萬
-98.88%280.1萬
-9.43%2.31億
-9.22%2.37億
-9.91%2.43億
-9.74%2.49億
-9.74%2.49億
-9.48%2.55億
-9.50%2.61億
-8.34%2.7億
-其他無形資產
-98.88%280.1萬
-98.88%280.1萬
-9.43%2.31億
-9.22%2.37億
-9.91%2.43億
-9.74%2.49億
-9.74%2.49億
-9.48%2.55億
-9.50%2.61億
-8.34%2.7億
其他非流動資產
-0.88%146.3萬
-0.88%146.3萬
-12.98%155.6萬
-16.21%160.8萬
-15.83%147.3萬
-19.87%147.6萬
-19.87%147.6萬
1.25%178.8萬
3.62%191.9萬
-9.19%175萬
非流動資產合計
-78.13%7,236.3萬
-78.13%7,236.3萬
-10.36%3.07億
-9.91%3.17億
-13.02%3.22億
-12.83%3.31億
-12.83%3.31億
-11.84%3.43億
-12.13%3.52億
-9.40%3.7億
總資產
-70.95%1.24億
-70.95%1.24億
-17.10%3.7億
-15.86%3.9億
-16.89%4.11億
-16.06%4.26億
-16.06%4.26億
-14.64%4.46億
-15.17%4.63億
-11.67%4.94億
負債
流動負債
應付款項
-20.86%981.8萬
-20.86%981.8萬
13.51%1,191.3萬
-8.62%1,291.5萬
4.74%1,632.1萬
-1.64%1,240.6萬
-1.64%1,240.6萬
-21.14%1,049.5萬
14.04%1,413.4萬
17.77%1,558.3萬
-應付賬款
-20.58%975.2萬
-20.58%975.2萬
16.10%1,180.6萬
-7.98%1,270萬
4.24%1,609.2萬
-2.65%1,227.9萬
-2.65%1,227.9萬
-21.95%1,016.9萬
11.35%1,380.1萬
16.66%1,543.7萬
-應付稅費
-48.03%6.6萬
-48.03%6.6萬
-67.18%10.7萬
-35.44%21.5萬
56.85%22.9萬
--12.7萬
--12.7萬
16.01%32.6萬
--33.3萬
--14.6萬
應計費用
-35.07%535.6萬
-35.07%535.6萬
-1.18%552.8萬
-1.98%628.3萬
-42.27%446.3萬
23.60%824.9萬
23.60%824.9萬
4.78%559.4萬
-8.06%641萬
4.91%773.1萬
現行撥備
-40.14%17萬
-40.14%17萬
-37.31%24.7萬
--27.2萬
--27.4萬
-62.58%28.4萬
-62.58%28.4萬
--39.4萬
----
----
短期借款與租賃負債
1,168.26%1.2億
1,168.26%1.2億
-13.60%817.5萬
-14.06%820.9萬
33.67%1,412.8萬
-23.04%945萬
-23.04%945萬
-12.18%946.2萬
-15.70%955.2萬
-6.85%1,056.9萬
-短期借款
8,777.22%1.12億
8,777.22%1.12億
-96.97%4萬
-98.15%2.9萬
359.78%587.6萬
-57.85%126萬
-57.85%126萬
1.78%131.8萬
8.28%157萬
-6.51%127.8萬
-短期租賃負債
-2.34%799.8萬
-2.34%799.8萬
-0.11%813.5萬
2.48%818萬
-11.18%825.2萬
-11.84%819萬
-11.84%819萬
-14.08%814.4萬
-19.22%798.2萬
-6.89%929.1萬
遞延負債
5.02%274.2萬
5.02%274.2萬
-7.55%260.8萬
-23.16%209.7萬
-18.80%230.7萬
-19.19%261.1萬
-19.19%261.1萬
-20.85%282.1萬
15.15%272.9萬
11.89%284.1萬
流動負債總額
300.24%1.4億
300.24%1.4億
-5.65%3,014.4萬
-11.28%3,147.9萬
1.57%3,994.1萬
-7.08%3,498.7萬
-7.08%3,498.7萬
-9.72%3,194.9萬
-0.45%3,548.2萬
5.62%3,932.4萬
非流動負債
長期借款與租賃負債
-74.87%4,023.1萬
-74.87%4,023.1萬
-5.79%1.54億
-5.66%1.56億
-9.31%1.53億
-6.74%1.6億
-6.74%1.6億
-7.26%1.63億
-7.61%1.65億
-6.43%1.69億
-長期借款
-99.96%5萬
-99.96%5萬
-2.68%1.12億
-2.95%1.12億
-4.70%1.1億
-0.62%1.15億
-0.62%1.15億
-2.00%1.15億
-1.98%1.15億
-1.68%1.15億
-長期租賃負債
-11.46%4,018.1萬
-11.46%4,018.1萬
-13.18%4,200.1萬
-11.85%4,427萬
-19.23%4,334萬
-19.30%4,538.3萬
-19.30%4,538.3萬
-17.73%4,837.6萬
-18.36%5,022.2萬
-15.24%5,365.9萬
遞延負債
-30.10%213萬
-30.10%213萬
-8.66%295.2萬
-8.66%295.2萬
-5.72%304.7萬
-5.72%304.7萬
-5.72%304.7萬
20.42%323.2萬
20.33%323.2萬
20.37%323.2萬
其他非流動負債
10.16%470.6萬
10.16%470.6萬
-0.41%456.3萬
3.16%460.6萬
-1.51%431.6萬
-5.00%427.2萬
-5.00%427.2萬
2.62%458.2萬
-2.21%446.5萬
-1.92%438.2萬
非流動負債總額
-71.88%4,706.7萬
-71.88%4,706.7萬
-5.70%1.61億
-5.48%1.63億
-9.05%1.61億
-6.68%1.67億
-6.68%1.67億
-6.61%1.71億
-7.08%1.73億
-5.94%1.77億
總負債
-7.55%1.87億
-7.55%1.87億
-5.70%1.91億
-6.47%1.95億
-7.12%2.01億
-6.75%2.02億
-6.75%2.02億
-7.12%2.03億
-6.01%2.08億
-4.03%2.16億
所有者權益
股本
--0
--0
--0
--0
--0
--0
--0
0.00%5,000
0.00%5,000
0.00%5,000
-普通股股本
--0
--0
--0
--0
--0
--0
--0
0.00%5,000
0.00%5,000
0.00%5,000
留存收益
-51.98%-8.47億
-51.98%-8.47億
-12.07%-6.05億
-11.75%-5.89億
-13.61%-5.72億
-13.60%-5.57億
-13.60%-5.57億
-13.55%-5.4億
-15.62%-5.27億
-13.68%-5.03億
資本公積
0.14%7.91億
0.14%7.91億
0.13%7.91億
0.18%7.91億
0.25%7.91億
0.28%7.9億
0.28%7.9億
0.40%7.9億
0.44%7.89億
0.57%7.89億
不影響留存收益的損益
18.39%-727.2萬
18.39%-727.2萬
-7.70%-763.3萬
6.05%-710.9萬
-21.42%-877.4萬
-37.16%-891.1萬
-37.16%-891.1萬
3.98%-708.7萬
-32.87%-756.7萬
-1.45%-722.6萬
股東權益總額
-128.29%-6,329.6萬
-128.29%-6,329.6萬
-26.63%1.78億
-23.53%1.95億
-24.49%2.1億
-23.02%2.24億
-23.02%2.24億
-20.05%2.43億
-21.43%2.55億
-16.81%2.78億
總權益
-128.29%-6,329.6萬
-128.29%-6,329.6萬
-26.63%1.78億
-23.53%1.95億
-24.49%2.1億
-23.02%2.24億
-23.02%2.24億
-20.05%2.43億
-21.43%2.55億
-16.81%2.78億
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
帶解釋段的無保留意見
--
--
--
--
無保留意見
--
--
--
--
(FY)2025/12/31(Q4)2025/12/31(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
資產
流動資產
現金及現金等價物和短期投資 -75.84%630.9萬-75.84%630.9萬-56.35%1,065.2萬-63.74%1,099.1萬-43.16%1,372.8萬-13.86%2,611.1萬-13.86%2,611.1萬-24.81%2,440.4萬13.61%3,031.4萬29.13%2,415.2萬
-現金和現金等價物 -75.84%630.9萬-75.84%630.9萬-56.35%1,065.2萬-63.74%1,099.1萬-43.16%1,372.8萬-13.86%2,611.1萬-13.86%2,611.1萬-24.81%2,440.4萬13.61%3,031.4萬29.13%2,415.2萬
應收款項 -44.52%818.6萬-44.52%818.6萬-36.48%1,000.8萬-22.95%1,430.4萬-6.89%2,091.9萬-12.63%1,475.6萬-12.63%1,475.6萬-7.70%1,575.6萬1.96%1,856.5萬-0.59%2,246.8萬
-應收賬款 -45.22%734.4萬-45.22%734.4萬-39.12%908.5萬-25.73%1,309.1萬-7.97%1,968.8萬-15.26%1,340.6萬-15.26%1,340.6萬-6.66%1,492.2萬0.65%1,762.7萬-1.61%2,139.2萬
-其他應收款 -37.63%84.2萬-37.63%84.2萬10.67%92.3萬29.32%121.3萬14.41%123.1萬26.17%135萬26.17%135萬-22.99%83.4萬34.77%93.8萬25.41%107.6萬
存貨 -34.19%3,332.4萬-34.19%3,332.4萬-34.15%3,833.8萬-24.79%4,416.4萬-30.99%4,990.2萬-32.81%5,063.3萬-32.81%5,063.3萬-27.32%5,822.1萬-38.27%5,871.9萬-30.08%7,231.5萬
其他流動資產 -2.42%362.2萬-2.42%362.2萬-20.28%362.8萬-0.17%358.1萬-17.90%413.7萬-32.63%371.2萬-32.63%371.2萬6.53%455.1萬-39.73%358.7萬-17.45%503.9萬
流動資產合計 -45.97%5,144.1萬-45.97%5,144.1萬-39.43%6,262.6萬-34.58%7,304萬-28.46%8,868.6萬-25.65%9,521.2萬-25.65%9,521.2萬-22.78%1.03億-23.50%1.12億-17.81%1.24億
非流動資產
固定資產淨額 -15.31%6,809.9萬-15.31%6,809.9萬-13.09%7,430.4萬-11.84%7,809.8萬-21.50%7,731.9萬-21.05%8,041.4萬-21.05%8,041.4萬-18.40%8,549.3萬-19.33%8,858.3萬-12.17%9,849.8萬
-固定資產 -9.86%9,447.5萬-9.86%9,447.5萬-6.23%1.03億-4.78%1.06億-15.21%1.03億-14.95%1.05億-14.95%1.05億-12.08%1.09億-13.45%1.11億-5.28%1.22億
-累計折舊 -8.10%-2,637.6萬-8.10%-2,637.6萬-18.31%-2,825.1萬-23.32%-2,742.6萬-11.70%-2,572.7萬-14.08%-2,440萬-14.08%-2,440萬-21.68%-2,387.8萬-21.97%-2,224萬-42.53%-2,303.3萬
商譽及其他無形資產 -98.88%280.1萬-98.88%280.1萬-9.43%2.31億-9.22%2.37億-9.91%2.43億-9.74%2.49億-9.74%2.49億-9.48%2.55億-9.50%2.61億-8.34%2.7億
-其他無形資產 -98.88%280.1萬-98.88%280.1萬-9.43%2.31億-9.22%2.37億-9.91%2.43億-9.74%2.49億-9.74%2.49億-9.48%2.55億-9.50%2.61億-8.34%2.7億
其他非流動資產 -0.88%146.3萬-0.88%146.3萬-12.98%155.6萬-16.21%160.8萬-15.83%147.3萬-19.87%147.6萬-19.87%147.6萬1.25%178.8萬3.62%191.9萬-9.19%175萬
非流動資產合計 -78.13%7,236.3萬-78.13%7,236.3萬-10.36%3.07億-9.91%3.17億-13.02%3.22億-12.83%3.31億-12.83%3.31億-11.84%3.43億-12.13%3.52億-9.40%3.7億
總資產 -70.95%1.24億-70.95%1.24億-17.10%3.7億-15.86%3.9億-16.89%4.11億-16.06%4.26億-16.06%4.26億-14.64%4.46億-15.17%4.63億-11.67%4.94億
負債
流動負債
應付款項 -20.86%981.8萬-20.86%981.8萬13.51%1,191.3萬-8.62%1,291.5萬4.74%1,632.1萬-1.64%1,240.6萬-1.64%1,240.6萬-21.14%1,049.5萬14.04%1,413.4萬17.77%1,558.3萬
-應付賬款 -20.58%975.2萬-20.58%975.2萬16.10%1,180.6萬-7.98%1,270萬4.24%1,609.2萬-2.65%1,227.9萬-2.65%1,227.9萬-21.95%1,016.9萬11.35%1,380.1萬16.66%1,543.7萬
-應付稅費 -48.03%6.6萬-48.03%6.6萬-67.18%10.7萬-35.44%21.5萬56.85%22.9萬--12.7萬--12.7萬16.01%32.6萬--33.3萬--14.6萬
應計費用 -35.07%535.6萬-35.07%535.6萬-1.18%552.8萬-1.98%628.3萬-42.27%446.3萬23.60%824.9萬23.60%824.9萬4.78%559.4萬-8.06%641萬4.91%773.1萬
現行撥備 -40.14%17萬-40.14%17萬-37.31%24.7萬--27.2萬--27.4萬-62.58%28.4萬-62.58%28.4萬--39.4萬--------
短期借款與租賃負債 1,168.26%1.2億1,168.26%1.2億-13.60%817.5萬-14.06%820.9萬33.67%1,412.8萬-23.04%945萬-23.04%945萬-12.18%946.2萬-15.70%955.2萬-6.85%1,056.9萬
-短期借款 8,777.22%1.12億8,777.22%1.12億-96.97%4萬-98.15%2.9萬359.78%587.6萬-57.85%126萬-57.85%126萬1.78%131.8萬8.28%157萬-6.51%127.8萬
-短期租賃負債 -2.34%799.8萬-2.34%799.8萬-0.11%813.5萬2.48%818萬-11.18%825.2萬-11.84%819萬-11.84%819萬-14.08%814.4萬-19.22%798.2萬-6.89%929.1萬
遞延負債 5.02%274.2萬5.02%274.2萬-7.55%260.8萬-23.16%209.7萬-18.80%230.7萬-19.19%261.1萬-19.19%261.1萬-20.85%282.1萬15.15%272.9萬11.89%284.1萬
流動負債總額 300.24%1.4億300.24%1.4億-5.65%3,014.4萬-11.28%3,147.9萬1.57%3,994.1萬-7.08%3,498.7萬-7.08%3,498.7萬-9.72%3,194.9萬-0.45%3,548.2萬5.62%3,932.4萬
非流動負債
長期借款與租賃負債 -74.87%4,023.1萬-74.87%4,023.1萬-5.79%1.54億-5.66%1.56億-9.31%1.53億-6.74%1.6億-6.74%1.6億-7.26%1.63億-7.61%1.65億-6.43%1.69億
-長期借款 -99.96%5萬-99.96%5萬-2.68%1.12億-2.95%1.12億-4.70%1.1億-0.62%1.15億-0.62%1.15億-2.00%1.15億-1.98%1.15億-1.68%1.15億
-長期租賃負債 -11.46%4,018.1萬-11.46%4,018.1萬-13.18%4,200.1萬-11.85%4,427萬-19.23%4,334萬-19.30%4,538.3萬-19.30%4,538.3萬-17.73%4,837.6萬-18.36%5,022.2萬-15.24%5,365.9萬
遞延負債 -30.10%213萬-30.10%213萬-8.66%295.2萬-8.66%295.2萬-5.72%304.7萬-5.72%304.7萬-5.72%304.7萬20.42%323.2萬20.33%323.2萬20.37%323.2萬
其他非流動負債 10.16%470.6萬10.16%470.6萬-0.41%456.3萬3.16%460.6萬-1.51%431.6萬-5.00%427.2萬-5.00%427.2萬2.62%458.2萬-2.21%446.5萬-1.92%438.2萬
非流動負債總額 -71.88%4,706.7萬-71.88%4,706.7萬-5.70%1.61億-5.48%1.63億-9.05%1.61億-6.68%1.67億-6.68%1.67億-6.61%1.71億-7.08%1.73億-5.94%1.77億
總負債 -7.55%1.87億-7.55%1.87億-5.70%1.91億-6.47%1.95億-7.12%2.01億-6.75%2.02億-6.75%2.02億-7.12%2.03億-6.01%2.08億-4.03%2.16億
所有者權益
股本 --0--0--0--0--0--0--00.00%5,0000.00%5,0000.00%5,000
-普通股股本 --0--0--0--0--0--0--00.00%5,0000.00%5,0000.00%5,000
留存收益 -51.98%-8.47億-51.98%-8.47億-12.07%-6.05億-11.75%-5.89億-13.61%-5.72億-13.60%-5.57億-13.60%-5.57億-13.55%-5.4億-15.62%-5.27億-13.68%-5.03億
資本公積 0.14%7.91億0.14%7.91億0.13%7.91億0.18%7.91億0.25%7.91億0.28%7.9億0.28%7.9億0.40%7.9億0.44%7.89億0.57%7.89億
不影響留存收益的損益 18.39%-727.2萬18.39%-727.2萬-7.70%-763.3萬6.05%-710.9萬-21.42%-877.4萬-37.16%-891.1萬-37.16%-891.1萬3.98%-708.7萬-32.87%-756.7萬-1.45%-722.6萬
股東權益總額 -128.29%-6,329.6萬-128.29%-6,329.6萬-26.63%1.78億-23.53%1.95億-24.49%2.1億-23.02%2.24億-23.02%2.24億-20.05%2.43億-21.43%2.55億-16.81%2.78億
總權益 -128.29%-6,329.6萬-128.29%-6,329.6萬-26.63%1.78億-23.53%1.95億-24.49%2.1億-23.02%2.24億-23.02%2.24億-20.05%2.43億-21.43%2.55億-16.81%2.78億
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會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 帶解釋段的無保留意見--------無保留意見--------
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