美股市場個股詳情

Klaviyo (KVYO)

添加自選
  • 26.440
  • +1.190+4.71%
收盤價 01/22 15:59 (美東)
79.83億總市值-110.17市盈率TTM

Klaviyo (KVYO) 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
18.57%9.8億
17.89%9.36億
17.54%8.88億
19.35%8.81億
19.35%8.81億
14.28%8.27億
80.87%7.94億
--7.56億
91.43%7.39億
91.43%7.39億
-現金和現金等價物
18.57%9.8億
17.89%9.36億
17.54%8.88億
19.35%8.81億
19.35%8.81億
14.28%8.27億
80.87%7.94億
--7.56億
91.43%7.39億
91.43%7.39億
應收款項
77.70%6,124.4萬
101.34%5,884.3萬
131.96%5,390.9萬
86.75%4,309.5萬
86.75%4,309.5萬
98.30%3,446.4萬
121.98%2,922.6萬
--2,324.1萬
115.20%2,307.6萬
115.20%2,307.6萬
-應收賬款
77.70%6,124.4萬
101.34%5,884.3萬
131.96%5,390.9萬
86.75%4,309.5萬
86.75%4,309.5萬
98.30%3,446.4萬
121.98%2,922.6萬
--2,324.1萬
115.20%2,307.6萬
115.20%2,307.6萬
受限制現金
--0
--0
--0
-8.31%37.5萬
-8.31%37.5萬
8.03%41.7萬
1.26%40.2萬
--39.3萬
0.00%40.9萬
0.00%40.9萬
遞延資產
41.93%2,700.4萬
39.04%2,507萬
33.87%2,299.5萬
35.18%2,054.4萬
35.18%2,054.4萬
34.35%1,902.6萬
37.20%1,803.1萬
--1,717.7萬
35.51%1,519.8萬
35.51%1,519.8萬
其他流動資產
16.66%4,149.4萬
33.69%4,164.2萬
40.60%4,190.3萬
30.55%3,426.2萬
30.55%3,426.2萬
36.75%3,556.8萬
20.22%3,114.9萬
--2,980.4萬
35.73%2,624.4萬
35.73%2,624.4萬
流動資產合計
21.15%11.1億
21.63%10.61億
21.88%10.07億
21.94%9.8億
21.94%9.8億
17.26%9.16億
77.54%8.72億
--8.26億
87.95%8.03億
87.95%8.03億
非流動資產
固定資產淨額
115.29%1.62億
87.43%1.43億
84.02%1.43億
13.28%9,111.7萬
13.28%9,111.7萬
-8.40%7,533萬
-8.73%7,644萬
--7,747萬
-12.12%8,043.7萬
-12.12%8,043.7萬
-固定資產
88.00%2.19億
73.34%1.96億
74.31%1.91億
25.14%1.36億
25.14%1.36億
8.75%1.16億
7.32%1.13億
--1.1億
2.19%1.09億
2.19%1.09億
-累計折舊
-37.89%-5,657.8萬
-43.81%-5,246.8萬
-51.05%-4,888.3萬
-58.57%-4,524.7萬
-58.57%-4,524.7萬
-65.68%-4,103.1萬
-69.94%-3,648.4萬
---3,236.3萬
-88.96%-2,853.5萬
-88.96%-2,853.5萬
非流動遞延資產
32.32%3,970.6萬
37.84%3,679.9萬
40.65%3,446.9萬
40.34%3,252.7萬
40.34%3,252.7萬
45.05%3,000.7萬
41.77%2,669.6萬
--2,450.7萬
45.01%2,317.7萬
45.01%2,317.7萬
長期預付費用
-12.93%1.38億
-12.53%1.43億
-12.15%1.48億
-11.79%1.53億
-11.79%1.53億
-11.45%1.58億
90.81%1.64億
--1.69億
105.94%1.74億
105.94%1.74億
其他非流動資產
15.35%1,519.6萬
27.00%1,364.5萬
31.64%1,481.9萬
104.48%1,656.9萬
104.48%1,656.9萬
61.03%1,317.4萬
-1.50%1,074.4萬
--1,125.7萬
-16.00%810.3萬
-16.00%810.3萬
非流動資產合計
28.19%3.55億
21.38%3.37億
20.61%3.4億
2.80%2.94億
2.80%2.94億
-4.51%2.77億
39.27%2.77億
--2.82億
41.66%2.86億
41.66%2.86億
總資產
22.78%14.65億
21.57%13.98億
21.56%13.47億
16.92%12.73億
16.92%12.73億
11.37%11.93億
66.50%11.5億
--11.08億
73.12%10.89億
73.12%10.89億
負債
流動負債
應付款項
27.74%2,567.4萬
17.27%2,841萬
-11.07%2,129.9萬
-19.04%2,263.4萬
-19.04%2,263.4萬
-12.53%2,009.8萬
31.78%2,422.7萬
--2,395.1萬
79.43%2,795.7萬
79.43%2,795.7萬
-應付賬款
80.73%2,051.5萬
142.93%2,287.9萬
68.83%1,429萬
7.22%1,457.9萬
7.22%1,457.9萬
16.56%1,135.1萬
3.05%941.8萬
--846.4萬
52.95%1,359.7萬
52.95%1,359.7萬
-應付稅費
-41.02%515.9萬
-62.65%553.1萬
-54.74%700.9萬
-43.91%805.5萬
-43.91%805.5萬
-33.94%874.7萬
60.17%1,480.9萬
--1,548.7萬
114.62%1,436萬
114.62%1,436萬
應計費用
48.00%3,788.9萬
80.84%3,492.7萬
89.37%3,474.9萬
79.47%3,488.8萬
79.47%3,488.8萬
17.39%2,560.1萬
9.86%1,931.4萬
--1,835萬
55.41%1,944萬
55.41%1,944萬
短期借款與租賃負債
86.73%2,451萬
46.71%1,908.6萬
36.33%1,857.5萬
49.06%2,098.9萬
49.06%2,098.9萬
-9.16%1,312.6萬
-5.27%1,300.9萬
--1,362.5萬
-5.27%1,408.1萬
-5.27%1,408.1萬
-短期租賃負債
86.73%2,451萬
46.71%1,908.6萬
36.33%1,857.5萬
49.06%2,098.9萬
49.06%2,098.9萬
-9.16%1,312.6萬
-5.27%1,300.9萬
--1,362.5萬
-5.27%1,408.1萬
-5.27%1,408.1萬
遞延負債
66.11%8,792.6萬
76.80%8,271.1萬
79.18%7,618.7萬
60.84%6,449.7萬
60.84%6,449.7萬
61.05%5,293.2萬
60.43%4,678.2萬
--4,251.9萬
59.70%4,010萬
59.70%4,010萬
流動負債總額
59.84%2.27億
62.78%2.14億
48.62%1.93億
53.04%2億
53.04%2億
18.95%1.42億
26.92%1.32億
--1.3億
53.69%1.31億
53.69%1.31億
非流動負債
長期借款與租賃負債
203.05%8,889.5萬
149.78%8,010.1萬
141.99%8,411.5萬
-13.46%3,244.9萬
-13.46%3,244.9萬
-26.70%2,933.3萬
-24.81%3,206.9萬
--3,475.9萬
-21.13%3,749.8萬
-21.13%3,749.8萬
-長期租賃負債
203.05%8,889.5萬
149.78%8,010.1萬
141.99%8,411.5萬
-13.46%3,244.9萬
-13.46%3,244.9萬
-26.70%2,933.3萬
-24.81%3,206.9萬
--3,475.9萬
-21.13%3,749.8萬
-21.13%3,749.8萬
可轉換優先證券
----
----
----
----
----
----
----
--0
----
----
其他非流動負債
-3.02%659.4萬
2.01%679萬
-0.05%644萬
13.31%697.9萬
13.31%697.9萬
6.09%679.9萬
652.09%665.6萬
--644.3萬
603.08%615.9萬
603.08%615.9萬
非流動負債總額
164.28%9,548.9萬
124.38%8,689.1萬
119.78%9,055.5萬
-9.69%3,942.8萬
-9.69%3,942.8萬
-22.17%3,613.2萬
-97.68%3,872.5萬
--4,120.2萬
-97.24%4,365.7萬
-97.24%4,365.7萬
總負債
80.99%3.23億
76.78%3.01億
65.77%2.83億
37.33%2.39億
37.33%2.39億
7.45%1.78億
-90.39%1.7億
--1.71億
-89.53%1.74億
-89.53%1.74億
所有者權益
股本
12.27%30.2萬
12.36%30萬
4.55%27.6萬
5.00%27.3萬
5.00%27.3萬
3.86%26.9萬
54.34%26.7萬
--26.4萬
52.05%26萬
52.05%26萬
-普通股股本
12.27%30.2萬
12.36%30萬
4.55%27.6萬
5.00%27.3萬
5.00%27.3萬
3.86%26.9萬
54.34%26.7萬
--26.4萬
52.05%26萬
52.05%26萬
-優先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
-8.04%-8.84億
-8.16%-8.84億
-5.83%-8.59億
-5.77%-8.45億
-5.77%-8.45億
-5.88%-8.18億
64.02%-8.17億
---8.12億
65.04%-7.99億
65.04%-7.99億
資本公積
10.53%20.26億
10.24%19.8億
9.94%19.23億
9.65%18.79億
9.65%18.79億
9.23%18.33億
51.24%17.96億
--17.49億
37.19%17.14億
37.19%17.14億
股東權益總額
12.55%11.42億
11.97%10.97億
13.49%10.64億
13.03%10.34億
13.03%10.34億
12.08%10.15億
190.49%9.8億
--9.37億
188.28%9.15億
188.28%9.15億
總權益
12.55%11.42億
11.97%10.97億
13.49%10.64億
13.03%10.34億
13.03%10.34億
12.08%10.15億
190.49%9.8億
--9.37億
188.28%9.15億
188.28%9.15億
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
--
--
--
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 18.57%9.8億17.89%9.36億17.54%8.88億19.35%8.81億19.35%8.81億14.28%8.27億80.87%7.94億--7.56億91.43%7.39億91.43%7.39億
-現金和現金等價物 18.57%9.8億17.89%9.36億17.54%8.88億19.35%8.81億19.35%8.81億14.28%8.27億80.87%7.94億--7.56億91.43%7.39億91.43%7.39億
應收款項 77.70%6,124.4萬101.34%5,884.3萬131.96%5,390.9萬86.75%4,309.5萬86.75%4,309.5萬98.30%3,446.4萬121.98%2,922.6萬--2,324.1萬115.20%2,307.6萬115.20%2,307.6萬
-應收賬款 77.70%6,124.4萬101.34%5,884.3萬131.96%5,390.9萬86.75%4,309.5萬86.75%4,309.5萬98.30%3,446.4萬121.98%2,922.6萬--2,324.1萬115.20%2,307.6萬115.20%2,307.6萬
受限制現金 --0--0--0-8.31%37.5萬-8.31%37.5萬8.03%41.7萬1.26%40.2萬--39.3萬0.00%40.9萬0.00%40.9萬
遞延資產 41.93%2,700.4萬39.04%2,507萬33.87%2,299.5萬35.18%2,054.4萬35.18%2,054.4萬34.35%1,902.6萬37.20%1,803.1萬--1,717.7萬35.51%1,519.8萬35.51%1,519.8萬
其他流動資產 16.66%4,149.4萬33.69%4,164.2萬40.60%4,190.3萬30.55%3,426.2萬30.55%3,426.2萬36.75%3,556.8萬20.22%3,114.9萬--2,980.4萬35.73%2,624.4萬35.73%2,624.4萬
流動資產合計 21.15%11.1億21.63%10.61億21.88%10.07億21.94%9.8億21.94%9.8億17.26%9.16億77.54%8.72億--8.26億87.95%8.03億87.95%8.03億
非流動資產
固定資產淨額 115.29%1.62億87.43%1.43億84.02%1.43億13.28%9,111.7萬13.28%9,111.7萬-8.40%7,533萬-8.73%7,644萬--7,747萬-12.12%8,043.7萬-12.12%8,043.7萬
-固定資產 88.00%2.19億73.34%1.96億74.31%1.91億25.14%1.36億25.14%1.36億8.75%1.16億7.32%1.13億--1.1億2.19%1.09億2.19%1.09億
-累計折舊 -37.89%-5,657.8萬-43.81%-5,246.8萬-51.05%-4,888.3萬-58.57%-4,524.7萬-58.57%-4,524.7萬-65.68%-4,103.1萬-69.94%-3,648.4萬---3,236.3萬-88.96%-2,853.5萬-88.96%-2,853.5萬
非流動遞延資產 32.32%3,970.6萬37.84%3,679.9萬40.65%3,446.9萬40.34%3,252.7萬40.34%3,252.7萬45.05%3,000.7萬41.77%2,669.6萬--2,450.7萬45.01%2,317.7萬45.01%2,317.7萬
長期預付費用 -12.93%1.38億-12.53%1.43億-12.15%1.48億-11.79%1.53億-11.79%1.53億-11.45%1.58億90.81%1.64億--1.69億105.94%1.74億105.94%1.74億
其他非流動資產 15.35%1,519.6萬27.00%1,364.5萬31.64%1,481.9萬104.48%1,656.9萬104.48%1,656.9萬61.03%1,317.4萬-1.50%1,074.4萬--1,125.7萬-16.00%810.3萬-16.00%810.3萬
非流動資產合計 28.19%3.55億21.38%3.37億20.61%3.4億2.80%2.94億2.80%2.94億-4.51%2.77億39.27%2.77億--2.82億41.66%2.86億41.66%2.86億
總資產 22.78%14.65億21.57%13.98億21.56%13.47億16.92%12.73億16.92%12.73億11.37%11.93億66.50%11.5億--11.08億73.12%10.89億73.12%10.89億
負債
流動負債
應付款項 27.74%2,567.4萬17.27%2,841萬-11.07%2,129.9萬-19.04%2,263.4萬-19.04%2,263.4萬-12.53%2,009.8萬31.78%2,422.7萬--2,395.1萬79.43%2,795.7萬79.43%2,795.7萬
-應付賬款 80.73%2,051.5萬142.93%2,287.9萬68.83%1,429萬7.22%1,457.9萬7.22%1,457.9萬16.56%1,135.1萬3.05%941.8萬--846.4萬52.95%1,359.7萬52.95%1,359.7萬
-應付稅費 -41.02%515.9萬-62.65%553.1萬-54.74%700.9萬-43.91%805.5萬-43.91%805.5萬-33.94%874.7萬60.17%1,480.9萬--1,548.7萬114.62%1,436萬114.62%1,436萬
應計費用 48.00%3,788.9萬80.84%3,492.7萬89.37%3,474.9萬79.47%3,488.8萬79.47%3,488.8萬17.39%2,560.1萬9.86%1,931.4萬--1,835萬55.41%1,944萬55.41%1,944萬
短期借款與租賃負債 86.73%2,451萬46.71%1,908.6萬36.33%1,857.5萬49.06%2,098.9萬49.06%2,098.9萬-9.16%1,312.6萬-5.27%1,300.9萬--1,362.5萬-5.27%1,408.1萬-5.27%1,408.1萬
-短期租賃負債 86.73%2,451萬46.71%1,908.6萬36.33%1,857.5萬49.06%2,098.9萬49.06%2,098.9萬-9.16%1,312.6萬-5.27%1,300.9萬--1,362.5萬-5.27%1,408.1萬-5.27%1,408.1萬
遞延負債 66.11%8,792.6萬76.80%8,271.1萬79.18%7,618.7萬60.84%6,449.7萬60.84%6,449.7萬61.05%5,293.2萬60.43%4,678.2萬--4,251.9萬59.70%4,010萬59.70%4,010萬
流動負債總額 59.84%2.27億62.78%2.14億48.62%1.93億53.04%2億53.04%2億18.95%1.42億26.92%1.32億--1.3億53.69%1.31億53.69%1.31億
非流動負債
長期借款與租賃負債 203.05%8,889.5萬149.78%8,010.1萬141.99%8,411.5萬-13.46%3,244.9萬-13.46%3,244.9萬-26.70%2,933.3萬-24.81%3,206.9萬--3,475.9萬-21.13%3,749.8萬-21.13%3,749.8萬
-長期租賃負債 203.05%8,889.5萬149.78%8,010.1萬141.99%8,411.5萬-13.46%3,244.9萬-13.46%3,244.9萬-26.70%2,933.3萬-24.81%3,206.9萬--3,475.9萬-21.13%3,749.8萬-21.13%3,749.8萬
可轉換優先證券 ------------------------------0--------
其他非流動負債 -3.02%659.4萬2.01%679萬-0.05%644萬13.31%697.9萬13.31%697.9萬6.09%679.9萬652.09%665.6萬--644.3萬603.08%615.9萬603.08%615.9萬
非流動負債總額 164.28%9,548.9萬124.38%8,689.1萬119.78%9,055.5萬-9.69%3,942.8萬-9.69%3,942.8萬-22.17%3,613.2萬-97.68%3,872.5萬--4,120.2萬-97.24%4,365.7萬-97.24%4,365.7萬
總負債 80.99%3.23億76.78%3.01億65.77%2.83億37.33%2.39億37.33%2.39億7.45%1.78億-90.39%1.7億--1.71億-89.53%1.74億-89.53%1.74億
所有者權益
股本 12.27%30.2萬12.36%30萬4.55%27.6萬5.00%27.3萬5.00%27.3萬3.86%26.9萬54.34%26.7萬--26.4萬52.05%26萬52.05%26萬
-普通股股本 12.27%30.2萬12.36%30萬4.55%27.6萬5.00%27.3萬5.00%27.3萬3.86%26.9萬54.34%26.7萬--26.4萬52.05%26萬52.05%26萬
-優先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 -8.04%-8.84億-8.16%-8.84億-5.83%-8.59億-5.77%-8.45億-5.77%-8.45億-5.88%-8.18億64.02%-8.17億---8.12億65.04%-7.99億65.04%-7.99億
資本公積 10.53%20.26億10.24%19.8億9.94%19.23億9.65%18.79億9.65%18.79億9.23%18.33億51.24%17.96億--17.49億37.19%17.14億37.19%17.14億
股東權益總額 12.55%11.42億11.97%10.97億13.49%10.64億13.03%10.34億13.03%10.34億12.08%10.15億190.49%9.8億--9.37億188.28%9.15億188.28%9.15億
總權益 12.55%11.42億11.97%10.97億13.49%10.64億13.03%10.34億13.03%10.34億12.08%10.15億190.49%9.8億--9.37億188.28%9.15億188.28%9.15億
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