美股市場個股詳情

LifeMD (LFMD)

添加自選
  • 3.620
  • +0.080+2.26%
收盤價 01/22 16:00 (美東)
  • 3.620
  • 0.0000.00%
盤後 20:01 (美東)
1.74億總市值-14.48市盈率TTM

LifeMD (LFMD) 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
-36.72%2,378.58萬
1.47%3,622.83萬
-2.04%3,439.34萬
5.61%3,500.49萬
5.61%3,500.49萬
145.86%3,758.73萬
199.86%3,570.32萬
204.65%3,511.09萬
737.26%3,314.67萬
737.26%3,314.67萬
-現金和現金等價物
-36.72%2,378.58萬
1.47%3,622.83萬
-2.04%3,439.34萬
5.61%3,500.49萬
5.61%3,500.49萬
145.86%3,758.73萬
199.86%3,570.32萬
204.65%3,511.09萬
737.26%3,314.67萬
737.26%3,314.67萬
應收款項
52.81%924.43萬
29.33%733.01萬
91.00%1,019.28萬
55.72%821.78萬
55.72%821.78萬
36.91%604.95萬
54.50%566.79萬
81.70%533.65萬
86.16%527.73萬
86.16%527.73萬
-應收賬款
52.81%924.43萬
29.33%733.01萬
91.00%1,019.28萬
55.72%821.78萬
55.72%821.78萬
36.91%604.95萬
54.50%566.79萬
81.70%533.65萬
86.16%527.73萬
86.16%527.73萬
存貨
29.75%343.24萬
57.78%325.14萬
25.03%296.77萬
1.36%279.74萬
1.36%279.74萬
-30.21%264.54萬
-44.28%206.07萬
-29.83%237.36萬
-25.47%275.99萬
-25.47%275.99萬
預付費用
170.94%37.05萬
116.13%25.1萬
-33.61%19.18萬
-91.61%4.08萬
-91.61%4.08萬
61.33%13.68萬
-50.61%11.61萬
17.32%28.89萬
281.76%48.59萬
281.76%48.59萬
其他流動資產
90.02%425.26萬
29.15%196.5萬
71.49%222.72萬
185.95%267.22萬
185.95%267.22萬
71.63%223.8萬
126.34%152.14萬
20.92%129.87萬
36.02%93.45萬
36.02%93.45萬
流動資產合計
-15.56%4,108.56萬
8.78%4,902.58萬
12.53%4,997.29萬
14.39%4,873.31萬
14.39%4,873.31萬
95.52%4,865.7萬
123.33%4,506.94萬
131.72%4,440.87萬
276.65%4,260.43萬
276.65%4,260.43萬
非流動資產
固定資產淨額
-0.08%816.38萬
115.21%787.32萬
233.79%754.37萬
635.60%787.98萬
635.60%787.98萬
567.65%817.03萬
166.46%365.83萬
43.29%226萬
-36.33%107.12萬
-36.33%107.12萬
-固定資產
-0.08%816.38萬
115.21%787.32萬
233.79%754.37萬
635.60%787.98萬
635.60%787.98萬
567.65%817.03萬
166.46%365.83萬
43.29%226萬
-36.33%107.12萬
-36.33%107.12萬
商譽及其他無形資產
6.36%1,673.4萬
10.42%1,666.57萬
8.87%1,609.77萬
7.04%1,584.72萬
7.04%1,584.72萬
7.90%1,573.27萬
8.64%1,509.27萬
12.64%1,478.65萬
16.83%1,480.52萬
16.83%1,480.52萬
-其他無形資產
6.36%1,673.4萬
10.42%1,666.57萬
8.87%1,609.77萬
7.04%1,584.72萬
7.04%1,584.72萬
7.90%1,573.27萬
8.64%1,509.27萬
12.64%1,478.65萬
16.83%1,480.52萬
16.83%1,480.52萬
非流動資產合計
4.16%2,489.78萬
30.87%2,453.89萬
38.69%2,364.14萬
49.45%2,372.69萬
49.45%2,372.69萬
51.24%2,390.3萬
22.83%1,875.11萬
15.92%1,704.65萬
10.60%1,587.64萬
10.60%1,587.64萬
總資產
-9.06%6,598.34萬
15.27%7,356.47萬
19.79%7,361.43萬
23.90%7,246萬
23.90%7,246萬
78.32%7,255.99萬
80.05%6,382.05萬
81.45%6,145.53萬
127.85%5,848.07萬
127.85%5,848.07萬
負債
流動負債
應付款項
15.27%2,179.87萬
51.07%2,733.69萬
19.72%1,872.3萬
26.99%1,905.35萬
26.99%1,905.35萬
33.37%1,891.15萬
22.74%1,809.57萬
23.67%1,563.9萬
-5.33%1,500.35萬
-5.33%1,500.35萬
-應付賬款
23.24%1,955.47萬
61.40%2,429.29萬
26.49%1,567.9萬
44.43%1,600.95萬
44.43%1,600.95萬
64.64%1,586.75萬
56.90%1,505.17萬
79.56%1,239.5萬
9.68%1,108.49萬
9.68%1,108.49萬
-應付稅費
-35.28%146.74萬
0.00%226.74萬
-8.11%226.74萬
-9.34%226.74萬
-9.34%226.74萬
-9.34%226.74萬
-9.34%226.74萬
-1.34%246.74萬
0.00%250.1萬
0.00%250.1萬
-應付股利
0.00%77.66萬
0.00%77.66萬
0.00%77.66萬
0.00%77.66萬
0.00%77.66萬
0.00%77.66萬
0.00%77.66萬
0.00%77.66萬
0.00%77.66萬
0.00%77.66萬
-其他應付款
----
----
----
----
----
----
----
----
-73.97%64.1萬
-73.97%64.1萬
應計費用
13.80%1,662.29萬
-2.93%955.19萬
34.42%1,302.48萬
80.46%1,266.08萬
80.46%1,266.08萬
64.54%1,460.65萬
22.33%983.98萬
117.22%968.99萬
19.93%701.58萬
19.93%701.58萬
短期借款與租賃負債
-88.15%67.35萬
87.07%1,250.28萬
167.44%1,209.33萬
861.88%895.3萬
861.88%895.3萬
393.13%568.11萬
347.23%668.36萬
70.99%452.18萬
-73.81%93.08萬
-73.81%93.08萬
-短期借款
----
88.47%1,196.08萬
184.99%1,161.11萬
2,477.69%844.44萬
2,477.69%844.44萬
1,138.27%527.78萬
762.82%634.64萬
123.55%407.42萬
-88.29%32.76萬
-88.29%32.76萬
-短期租賃負債
66.98%67.35萬
60.69%54.2萬
7.73%48.21萬
-15.69%50.85萬
-15.69%50.85萬
-44.43%40.33萬
-55.56%33.73萬
-45.55%44.76萬
-20.22%60.32萬
-20.22%60.32萬
遞延負債
-12.42%1,435.55萬
-22.24%1,179萬
10.78%1,462.59萬
64.02%1,448.09萬
64.02%1,448.09萬
162.70%1,639.05萬
167.49%1,516.17萬
123.94%1,320.28萬
59.15%882.86萬
59.15%882.86萬
流動負債總額
-3.88%5,666.36萬
23.01%6,353.22萬
36.32%6,090.16萬
73.24%6,025.51萬
73.24%6,025.51萬
81.27%5,895.23萬
63.87%5,164.85萬
65.35%4,467.51萬
10.86%3,478.17萬
10.86%3,478.17萬
非流動負債
長期借款與租賃負債
-69.93%585.17萬
-32.42%955.02萬
-15.45%1,300.55萬
-10.28%1,615.02萬
-10.28%1,615.02萬
2.45%1,946.27萬
2.29%1,413.15萬
11.21%1,538.13萬
3,035.42%1,800.16萬
3,035.42%1,800.16萬
-長期借款
----
-70.18%351.73萬
-51.54%681.88萬
-44.86%988.51萬
-44.86%988.51萬
-31.21%1,295.13萬
-12.88%1,179.53萬
4.82%1,406.98萬
--1,792.77萬
--1,792.77萬
-長期租賃負債
-10.13%585.17萬
158.23%603.28萬
371.74%618.67萬
8,383.79%626.52萬
8,383.79%626.52萬
3,734.29%651.14萬
745.41%233.62萬
221.55%131.15萬
-87.14%7.38萬
-87.14%7.38萬
可轉換優先證券
----
--0
--0
----
----
--0
--0
--0
----
----
其他非流動負債
0.00%10萬
0.00%10萬
0.00%10萬
-23.81%10萬
-23.81%10萬
-60.98%10萬
-68.63%10萬
-73.77%10萬
-70.42%13.13萬
-70.42%13.13萬
非流動負債總額
-69.58%595.17萬
-32.19%965.02萬
-15.35%1,310.55萬
-10.38%1,625.02萬
-10.38%1,625.02萬
1.61%1,956.27萬
0.69%1,423.15萬
8.93%1,548.13萬
1,035.28%1,813.28萬
1,035.28%1,813.28萬
總負債
-20.25%6,261.52萬
11.08%7,318.23萬
23.02%7,400.71萬
44.58%7,650.54萬
44.58%7,650.54萬
51.65%7,851.5萬
44.31%6,588萬
45.90%6,015.64萬
60.49%5,291.46萬
60.49%5,291.46萬
所有者權益
股本
11.39%46.7萬
8.10%45.16萬
7.12%43.65萬
10.26%42.31萬
10.26%42.31萬
20.56%41.92萬
-92.20%41.77萬
-91.85%40.75萬
-92.14%38.37萬
-92.14%38.37萬
-普通股股本
11.40%46.69萬
8.10%45.14萬
7.12%43.63萬
10.26%42.29萬
10.26%42.29萬
20.57%41.91萬
28.24%41.76萬
27.13%40.73萬
21.57%38.36萬
21.57%38.36萬
-優先股股本
0.00%140
0.00%140
0.00%140
0.00%140
0.00%140
0.00%140
-100.00%140
-100.00%140
-100.00%140
-100.00%140
留存收益
-5.28%-2.48億
-3.94%-2.38億
-6.24%-2.36億
-10.26%-2.36億
-10.26%-2.36億
-12.21%-2.35億
-13.12%-2.29億
-13.55%-2.22億
-12.44%-2.14億
-12.44%-2.14億
資本公積
9.41%2.49億
5.08%2.36億
5.58%2.33億
5.96%2.31億
5.96%2.31億
15.49%2.27億
20.53%2.25億
20.49%2.21億
21.53%2.18億
21.53%2.18億
減:庫存股
0.00%16.37萬
0.00%16.37萬
0.00%16.37萬
0.00%16.37萬
0.00%16.37萬
0.00%16.37萬
0.00%16.37萬
0.00%16.37萬
0.00%16.37萬
0.00%16.37萬
股東權益總額
117.02%131.43萬
57.62%-178.26萬
-175.49%-232.87萬
-256.49%-548.55萬
-256.49%-548.55萬
39.07%-772.01萬
61.72%-420.63萬
88.47%-84.53萬
151.32%350.54萬
151.32%350.54萬
非控制性權益
16.36%205.38萬
0.84%216.49萬
-9.71%193.6萬
-30.12%144.01萬
-30.12%144.01萬
11.23%176.51萬
173.96%214.68萬
6,907.69%214.42萬
533.35%206.08萬
533.35%206.08萬
總權益
156.56%336.82萬
118.57%38.24萬
-130.24%-39.28萬
-172.68%-404.54萬
-172.68%-404.54萬
46.27%-595.51萬
79.82%-205.95萬
117.65%129.89萬
176.19%556.62萬
176.19%556.62萬
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
--
--
--
--
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 -36.72%2,378.58萬1.47%3,622.83萬-2.04%3,439.34萬5.61%3,500.49萬5.61%3,500.49萬145.86%3,758.73萬199.86%3,570.32萬204.65%3,511.09萬737.26%3,314.67萬737.26%3,314.67萬
-現金和現金等價物 -36.72%2,378.58萬1.47%3,622.83萬-2.04%3,439.34萬5.61%3,500.49萬5.61%3,500.49萬145.86%3,758.73萬199.86%3,570.32萬204.65%3,511.09萬737.26%3,314.67萬737.26%3,314.67萬
應收款項 52.81%924.43萬29.33%733.01萬91.00%1,019.28萬55.72%821.78萬55.72%821.78萬36.91%604.95萬54.50%566.79萬81.70%533.65萬86.16%527.73萬86.16%527.73萬
-應收賬款 52.81%924.43萬29.33%733.01萬91.00%1,019.28萬55.72%821.78萬55.72%821.78萬36.91%604.95萬54.50%566.79萬81.70%533.65萬86.16%527.73萬86.16%527.73萬
存貨 29.75%343.24萬57.78%325.14萬25.03%296.77萬1.36%279.74萬1.36%279.74萬-30.21%264.54萬-44.28%206.07萬-29.83%237.36萬-25.47%275.99萬-25.47%275.99萬
預付費用 170.94%37.05萬116.13%25.1萬-33.61%19.18萬-91.61%4.08萬-91.61%4.08萬61.33%13.68萬-50.61%11.61萬17.32%28.89萬281.76%48.59萬281.76%48.59萬
其他流動資產 90.02%425.26萬29.15%196.5萬71.49%222.72萬185.95%267.22萬185.95%267.22萬71.63%223.8萬126.34%152.14萬20.92%129.87萬36.02%93.45萬36.02%93.45萬
流動資產合計 -15.56%4,108.56萬8.78%4,902.58萬12.53%4,997.29萬14.39%4,873.31萬14.39%4,873.31萬95.52%4,865.7萬123.33%4,506.94萬131.72%4,440.87萬276.65%4,260.43萬276.65%4,260.43萬
非流動資產
固定資產淨額 -0.08%816.38萬115.21%787.32萬233.79%754.37萬635.60%787.98萬635.60%787.98萬567.65%817.03萬166.46%365.83萬43.29%226萬-36.33%107.12萬-36.33%107.12萬
-固定資產 -0.08%816.38萬115.21%787.32萬233.79%754.37萬635.60%787.98萬635.60%787.98萬567.65%817.03萬166.46%365.83萬43.29%226萬-36.33%107.12萬-36.33%107.12萬
商譽及其他無形資產 6.36%1,673.4萬10.42%1,666.57萬8.87%1,609.77萬7.04%1,584.72萬7.04%1,584.72萬7.90%1,573.27萬8.64%1,509.27萬12.64%1,478.65萬16.83%1,480.52萬16.83%1,480.52萬
-其他無形資產 6.36%1,673.4萬10.42%1,666.57萬8.87%1,609.77萬7.04%1,584.72萬7.04%1,584.72萬7.90%1,573.27萬8.64%1,509.27萬12.64%1,478.65萬16.83%1,480.52萬16.83%1,480.52萬
非流動資產合計 4.16%2,489.78萬30.87%2,453.89萬38.69%2,364.14萬49.45%2,372.69萬49.45%2,372.69萬51.24%2,390.3萬22.83%1,875.11萬15.92%1,704.65萬10.60%1,587.64萬10.60%1,587.64萬
總資產 -9.06%6,598.34萬15.27%7,356.47萬19.79%7,361.43萬23.90%7,246萬23.90%7,246萬78.32%7,255.99萬80.05%6,382.05萬81.45%6,145.53萬127.85%5,848.07萬127.85%5,848.07萬
負債
流動負債
應付款項 15.27%2,179.87萬51.07%2,733.69萬19.72%1,872.3萬26.99%1,905.35萬26.99%1,905.35萬33.37%1,891.15萬22.74%1,809.57萬23.67%1,563.9萬-5.33%1,500.35萬-5.33%1,500.35萬
-應付賬款 23.24%1,955.47萬61.40%2,429.29萬26.49%1,567.9萬44.43%1,600.95萬44.43%1,600.95萬64.64%1,586.75萬56.90%1,505.17萬79.56%1,239.5萬9.68%1,108.49萬9.68%1,108.49萬
-應付稅費 -35.28%146.74萬0.00%226.74萬-8.11%226.74萬-9.34%226.74萬-9.34%226.74萬-9.34%226.74萬-9.34%226.74萬-1.34%246.74萬0.00%250.1萬0.00%250.1萬
-應付股利 0.00%77.66萬0.00%77.66萬0.00%77.66萬0.00%77.66萬0.00%77.66萬0.00%77.66萬0.00%77.66萬0.00%77.66萬0.00%77.66萬0.00%77.66萬
-其他應付款 ---------------------------------73.97%64.1萬-73.97%64.1萬
應計費用 13.80%1,662.29萬-2.93%955.19萬34.42%1,302.48萬80.46%1,266.08萬80.46%1,266.08萬64.54%1,460.65萬22.33%983.98萬117.22%968.99萬19.93%701.58萬19.93%701.58萬
短期借款與租賃負債 -88.15%67.35萬87.07%1,250.28萬167.44%1,209.33萬861.88%895.3萬861.88%895.3萬393.13%568.11萬347.23%668.36萬70.99%452.18萬-73.81%93.08萬-73.81%93.08萬
-短期借款 ----88.47%1,196.08萬184.99%1,161.11萬2,477.69%844.44萬2,477.69%844.44萬1,138.27%527.78萬762.82%634.64萬123.55%407.42萬-88.29%32.76萬-88.29%32.76萬
-短期租賃負債 66.98%67.35萬60.69%54.2萬7.73%48.21萬-15.69%50.85萬-15.69%50.85萬-44.43%40.33萬-55.56%33.73萬-45.55%44.76萬-20.22%60.32萬-20.22%60.32萬
遞延負債 -12.42%1,435.55萬-22.24%1,179萬10.78%1,462.59萬64.02%1,448.09萬64.02%1,448.09萬162.70%1,639.05萬167.49%1,516.17萬123.94%1,320.28萬59.15%882.86萬59.15%882.86萬
流動負債總額 -3.88%5,666.36萬23.01%6,353.22萬36.32%6,090.16萬73.24%6,025.51萬73.24%6,025.51萬81.27%5,895.23萬63.87%5,164.85萬65.35%4,467.51萬10.86%3,478.17萬10.86%3,478.17萬
非流動負債
長期借款與租賃負債 -69.93%585.17萬-32.42%955.02萬-15.45%1,300.55萬-10.28%1,615.02萬-10.28%1,615.02萬2.45%1,946.27萬2.29%1,413.15萬11.21%1,538.13萬3,035.42%1,800.16萬3,035.42%1,800.16萬
-長期借款 -----70.18%351.73萬-51.54%681.88萬-44.86%988.51萬-44.86%988.51萬-31.21%1,295.13萬-12.88%1,179.53萬4.82%1,406.98萬--1,792.77萬--1,792.77萬
-長期租賃負債 -10.13%585.17萬158.23%603.28萬371.74%618.67萬8,383.79%626.52萬8,383.79%626.52萬3,734.29%651.14萬745.41%233.62萬221.55%131.15萬-87.14%7.38萬-87.14%7.38萬
可轉換優先證券 ------0--0----------0--0--0--------
其他非流動負債 0.00%10萬0.00%10萬0.00%10萬-23.81%10萬-23.81%10萬-60.98%10萬-68.63%10萬-73.77%10萬-70.42%13.13萬-70.42%13.13萬
非流動負債總額 -69.58%595.17萬-32.19%965.02萬-15.35%1,310.55萬-10.38%1,625.02萬-10.38%1,625.02萬1.61%1,956.27萬0.69%1,423.15萬8.93%1,548.13萬1,035.28%1,813.28萬1,035.28%1,813.28萬
總負債 -20.25%6,261.52萬11.08%7,318.23萬23.02%7,400.71萬44.58%7,650.54萬44.58%7,650.54萬51.65%7,851.5萬44.31%6,588萬45.90%6,015.64萬60.49%5,291.46萬60.49%5,291.46萬
所有者權益
股本 11.39%46.7萬8.10%45.16萬7.12%43.65萬10.26%42.31萬10.26%42.31萬20.56%41.92萬-92.20%41.77萬-91.85%40.75萬-92.14%38.37萬-92.14%38.37萬
-普通股股本 11.40%46.69萬8.10%45.14萬7.12%43.63萬10.26%42.29萬10.26%42.29萬20.57%41.91萬28.24%41.76萬27.13%40.73萬21.57%38.36萬21.57%38.36萬
-優先股股本 0.00%1400.00%1400.00%1400.00%1400.00%1400.00%140-100.00%140-100.00%140-100.00%140-100.00%140
留存收益 -5.28%-2.48億-3.94%-2.38億-6.24%-2.36億-10.26%-2.36億-10.26%-2.36億-12.21%-2.35億-13.12%-2.29億-13.55%-2.22億-12.44%-2.14億-12.44%-2.14億
資本公積 9.41%2.49億5.08%2.36億5.58%2.33億5.96%2.31億5.96%2.31億15.49%2.27億20.53%2.25億20.49%2.21億21.53%2.18億21.53%2.18億
減:庫存股 0.00%16.37萬0.00%16.37萬0.00%16.37萬0.00%16.37萬0.00%16.37萬0.00%16.37萬0.00%16.37萬0.00%16.37萬0.00%16.37萬0.00%16.37萬
股東權益總額 117.02%131.43萬57.62%-178.26萬-175.49%-232.87萬-256.49%-548.55萬-256.49%-548.55萬39.07%-772.01萬61.72%-420.63萬88.47%-84.53萬151.32%350.54萬151.32%350.54萬
非控制性權益 16.36%205.38萬0.84%216.49萬-9.71%193.6萬-30.12%144.01萬-30.12%144.01萬11.23%176.51萬173.96%214.68萬6,907.69%214.42萬533.35%206.08萬533.35%206.08萬
總權益 156.56%336.82萬118.57%38.24萬-130.24%-39.28萬-172.68%-404.54萬-172.68%-404.54萬46.27%-595.51萬79.82%-205.95萬117.65%129.89萬176.19%556.62萬176.19%556.62萬
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