美股市場個股詳情

PaySign (PAYS)

添加自選
  • 5.620
  • -0.170-2.94%
收盤價 05/15 15:59 (美東)
  • 5.530
  • -0.090-1.60%
盤後 20:01 (美東)
3.14億總市值33.06市盈率TTM

PaySign (PAYS) 資產負債表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2026/03/31
(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
資產
流動資產
現金及現金等價物和短期投資
200.06%2,054.51萬
95.67%2,106.77萬
95.67%2,106.77萬
-26.85%752.9萬
-62.44%1,175.32萬
-2.37%684.7萬
-36.65%1,076.7萬
-36.65%1,076.7萬
3.59%1,029.32萬
307.93%3,129.09萬
-現金和現金等價物
200.06%2,054.51萬
95.67%2,106.77萬
95.67%2,106.77萬
-26.85%752.9萬
-62.44%1,175.32萬
-2.37%684.7萬
-36.65%1,076.7萬
-36.65%1,076.7萬
3.59%1,029.32萬
307.93%3,129.09萬
應收款項
77.53%9,459.38萬
113.51%7,311.85萬
113.51%7,311.85萬
45.64%5,029.57萬
54.68%4,238.25萬
43.68%5,328.37萬
92.30%3,424.55萬
92.30%3,424.55萬
299.19%3,453.33萬
204.87%2,740.05萬
-應收賬款
80.43%9,424.86萬
121.18%7,219.2萬
121.18%7,219.2萬
51.37%4,964.44萬
60.50%4,133.04萬
47.26%5,223.48萬
101.20%3,263.92萬
101.20%3,263.92萬
350.62%3,279.69萬
232.29%2,575.03萬
-其他應收款
-67.09%34.52萬
-42.32%92.65萬
-42.32%92.65萬
-62.49%65.13萬
-36.24%105.22萬
-34.98%104.89萬
1.28%160.63萬
1.28%160.63萬
26.50%173.64萬
33.29%165.02萬
受限制現金
51.90%1.59億
28.99%1.44億
28.99%1.44億
10.72%1.11億
-0.08%1.02億
-3.38%1.05億
20.81%1.12億
20.81%1.12億
28.52%1億
30.47%1.02億
其他流動資產
37.22%326.55萬
-13.09%195.37萬
-13.09%195.37萬
2.31%245.61萬
-2.52%241.23萬
0.81%237.98萬
11.24%224.79萬
11.24%224.79萬
6.90%240.07萬
8.03%247.47萬
流動資產合計
65.93%2.77億
51.13%2.4億
51.13%2.4億
16.14%1.71億
-2.88%1.59億
8.00%1.67億
22.96%1.59億
22.96%1.59億
49.21%1.47億
67.92%1.63億
非流動資產
固定資產淨額
97.20%753.02萬
93.06%762.74萬
93.06%762.74萬
82.90%738.74萬
-10.29%369.15萬
-8.24%381.85萬
-8.22%395.09萬
-8.22%395.09萬
-9.57%403.91萬
-9.41%411.47萬
-固定資產
56.29%1,095.2萬
54.77%1,089.23萬
54.77%1,089.23萬
49.50%1,050.8萬
-0.43%698.29萬
0.49%700.73萬
0.20%703.78萬
0.20%703.78萬
-0.74%702.88萬
-0.51%701.3萬
-累計折舊
-7.31%-342.18萬
-5.76%-326.48萬
-5.76%-326.48萬
-4.38%-312.06萬
-13.57%-329.14萬
-13.41%-318.88萬
-13.53%-308.69萬
-13.53%-308.69萬
-14.34%-298.97萬
-15.61%-289.83萬
商譽及其他無形資產
-14.68%2,616.35萬
119.24%2,683.39萬
119.24%2,683.39萬
140.70%2,782.95萬
163.03%2,817.04萬
211.61%3,066.44萬
38.86%1,223.97萬
38.86%1,223.97萬
46.64%1,156.17萬
53.03%1,071.01萬
-商譽
-18.59%448.76萬
--448.76萬
--448.76萬
--448.76萬
--448.76萬
--551.26萬
--0
--0
----
----
-其他無形資產
-13.82%2,167.59萬
82.57%2,234.62萬
82.57%2,234.62萬
101.89%2,334.19萬
121.12%2,368.28萬
155.59%2,515.18萬
38.86%1,223.97萬
38.86%1,223.97萬
46.64%1,156.17萬
53.03%1,071.01萬
非流動遞延資產
-51.82%167.71萬
-56.64%173.5萬
-56.64%173.5萬
-22.86%298.85萬
-18.41%332.64萬
-17.58%348.12萬
-6.95%400.1萬
-6.95%400.1萬
--387.4萬
--407.72萬
非流動資產合計
-6.83%3,537.08萬
79.26%3,619.63萬
79.26%3,619.63萬
96.18%3,820.54萬
86.16%3,518.83萬
108.30%3,796.42萬
15.92%2,019.16萬
15.92%2,019.16萬
57.68%1,947.48萬
63.79%1,890.2萬
總資產
52.46%3.13億
54.31%2.76億
54.31%2.76億
25.47%2.1億
6.36%1.94億
18.57%2.05億
22.12%1.79億
22.12%1.79億
50.15%1.67億
67.48%1.82億
負債
流動負債
短期借款與租賃負債
84.64%87.15萬
67.74%75.15萬
67.74%75.15萬
37.56%58.38萬
22.33%49.06萬
21.19%47.2萬
16.76%44.8萬
16.76%44.8萬
12.27%42.44萬
7.70%40.11萬
-短期租賃負債
84.64%87.15萬
67.74%75.15萬
67.74%75.15萬
37.56%58.38萬
22.33%49.06萬
21.19%47.2萬
16.76%44.8萬
16.76%44.8萬
12.27%42.44萬
7.70%40.11萬
遞延負債
51.61%1.58億
28.62%1.43億
28.62%1.43億
10.26%1.1億
-0.32%1.02億
-3.60%1.04億
20.64%1.11億
20.64%1.11億
28.29%1億
30.26%1.02億
其他流動負債
-20.70%158.6萬
--186.31萬
--186.31萬
--172.89萬
--159.72萬
--200萬
----
----
----
----
流動負債總額
59.37%2.48億
48.08%2.16億
48.08%2.16億
11.96%1.52億
-6.17%1.43億
7.58%1.56億
22.59%1.46億
22.59%1.46億
50.94%1.36億
71.18%1.53億
非流動負債
長期借款與租賃負債
114.24%504.86萬
112.65%527.39萬
112.65%527.39萬
111.22%549.55萬
-18.03%223.11萬
-16.69%235.65萬
-15.30%248.01萬
-15.30%248.01萬
-14.02%260.18萬
-12.84%272.17萬
-長期租賃負債
114.24%504.86萬
112.65%527.39萬
112.65%527.39萬
111.22%549.55萬
-18.03%223.11萬
-16.69%235.65萬
-15.30%248.01萬
-15.30%248.01萬
-14.02%260.18萬
-12.84%272.17萬
其他非流動負債
-41.67%455.47萬
--614.07萬
--614.07萬
--614.07萬
--614.07萬
--780.86萬
----
----
----
----
非流動負債總額
-5.53%960.32萬
360.25%1,141.45萬
360.25%1,141.45萬
347.23%1,163.61萬
207.59%837.17萬
259.38%1,016.51萬
-15.30%248.01萬
-15.30%248.01萬
-14.02%260.18萬
-12.84%272.17萬
總負債
55.39%2.58億
53.29%2.28億
53.29%2.28億
18.26%1.64億
-2.42%1.52億
12.41%1.66億
21.68%1.49億
21.68%1.49億
48.83%1.38億
68.34%1.55億
所有者權益
股本
3.00%5.67萬
3.06%5.6萬
3.06%5.6萬
3.04%5.6萬
2.91%5.53萬
2.64%5.51萬
1.69%5.44萬
1.69%5.44萬
1.76%5.43萬
1.78%5.38萬
-普通股股本
3.00%5.67萬
3.06%5.6萬
3.06%5.6萬
3.04%5.6萬
2.91%5.53萬
2.64%5.51萬
1.69%5.44萬
1.69%5.44萬
1.76%5.43萬
1.78%5.38萬
-優先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
102.87%2,051.85萬
100.31%1,507.96萬
100.31%1,507.96萬
122.85%1,371.7萬
143.77%1,150.19萬
151.52%1,011.41萬
102.80%752.8萬
102.80%752.8萬
422.20%615.51萬
256.71%471.83萬
資本公積
17.70%3,678.65萬
44.13%3,550.33萬
44.13%3,550.33萬
42.61%3,413.35萬
40.42%3,279.95萬
37.90%3,125.38萬
11.97%2,463.22萬
11.97%2,463.22萬
12.35%2,393.52萬
13.41%2,335.75萬
減:庫存股
9.29%234.84萬
21.20%214.87萬
21.20%214.87萬
31.15%214.87萬
68.15%214.87萬
68.15%214.87萬
38.74%177.29萬
38.74%177.29萬
28.21%163.84萬
13.32%127.79萬
股東權益總額
40.07%5,501.34萬
59.29%4,849.02萬
59.29%4,849.02萬
60.52%4,575.78萬
57.19%4,220.8萬
54.26%3,927.43萬
24.32%3,044.16萬
24.32%3,044.16萬
56.89%2,850.63萬
62.64%2,685.17萬
總權益
40.07%5,501.34萬
59.29%4,849.02萬
59.29%4,849.02萬
60.52%4,575.78萬
57.19%4,220.8萬
54.26%3,927.43萬
24.32%3,044.16萬
24.32%3,044.16萬
56.89%2,850.63萬
62.64%2,685.17萬
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
--
--
--
(Q1)2026/03/31(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
資產
流動資產
現金及現金等價物和短期投資 200.06%2,054.51萬95.67%2,106.77萬95.67%2,106.77萬-26.85%752.9萬-62.44%1,175.32萬-2.37%684.7萬-36.65%1,076.7萬-36.65%1,076.7萬3.59%1,029.32萬307.93%3,129.09萬
-現金和現金等價物 200.06%2,054.51萬95.67%2,106.77萬95.67%2,106.77萬-26.85%752.9萬-62.44%1,175.32萬-2.37%684.7萬-36.65%1,076.7萬-36.65%1,076.7萬3.59%1,029.32萬307.93%3,129.09萬
應收款項 77.53%9,459.38萬113.51%7,311.85萬113.51%7,311.85萬45.64%5,029.57萬54.68%4,238.25萬43.68%5,328.37萬92.30%3,424.55萬92.30%3,424.55萬299.19%3,453.33萬204.87%2,740.05萬
-應收賬款 80.43%9,424.86萬121.18%7,219.2萬121.18%7,219.2萬51.37%4,964.44萬60.50%4,133.04萬47.26%5,223.48萬101.20%3,263.92萬101.20%3,263.92萬350.62%3,279.69萬232.29%2,575.03萬
-其他應收款 -67.09%34.52萬-42.32%92.65萬-42.32%92.65萬-62.49%65.13萬-36.24%105.22萬-34.98%104.89萬1.28%160.63萬1.28%160.63萬26.50%173.64萬33.29%165.02萬
受限制現金 51.90%1.59億28.99%1.44億28.99%1.44億10.72%1.11億-0.08%1.02億-3.38%1.05億20.81%1.12億20.81%1.12億28.52%1億30.47%1.02億
其他流動資產 37.22%326.55萬-13.09%195.37萬-13.09%195.37萬2.31%245.61萬-2.52%241.23萬0.81%237.98萬11.24%224.79萬11.24%224.79萬6.90%240.07萬8.03%247.47萬
流動資產合計 65.93%2.77億51.13%2.4億51.13%2.4億16.14%1.71億-2.88%1.59億8.00%1.67億22.96%1.59億22.96%1.59億49.21%1.47億67.92%1.63億
非流動資產
固定資產淨額 97.20%753.02萬93.06%762.74萬93.06%762.74萬82.90%738.74萬-10.29%369.15萬-8.24%381.85萬-8.22%395.09萬-8.22%395.09萬-9.57%403.91萬-9.41%411.47萬
-固定資產 56.29%1,095.2萬54.77%1,089.23萬54.77%1,089.23萬49.50%1,050.8萬-0.43%698.29萬0.49%700.73萬0.20%703.78萬0.20%703.78萬-0.74%702.88萬-0.51%701.3萬
-累計折舊 -7.31%-342.18萬-5.76%-326.48萬-5.76%-326.48萬-4.38%-312.06萬-13.57%-329.14萬-13.41%-318.88萬-13.53%-308.69萬-13.53%-308.69萬-14.34%-298.97萬-15.61%-289.83萬
商譽及其他無形資產 -14.68%2,616.35萬119.24%2,683.39萬119.24%2,683.39萬140.70%2,782.95萬163.03%2,817.04萬211.61%3,066.44萬38.86%1,223.97萬38.86%1,223.97萬46.64%1,156.17萬53.03%1,071.01萬
-商譽 -18.59%448.76萬--448.76萬--448.76萬--448.76萬--448.76萬--551.26萬--0--0--------
-其他無形資產 -13.82%2,167.59萬82.57%2,234.62萬82.57%2,234.62萬101.89%2,334.19萬121.12%2,368.28萬155.59%2,515.18萬38.86%1,223.97萬38.86%1,223.97萬46.64%1,156.17萬53.03%1,071.01萬
非流動遞延資產 -51.82%167.71萬-56.64%173.5萬-56.64%173.5萬-22.86%298.85萬-18.41%332.64萬-17.58%348.12萬-6.95%400.1萬-6.95%400.1萬--387.4萬--407.72萬
非流動資產合計 -6.83%3,537.08萬79.26%3,619.63萬79.26%3,619.63萬96.18%3,820.54萬86.16%3,518.83萬108.30%3,796.42萬15.92%2,019.16萬15.92%2,019.16萬57.68%1,947.48萬63.79%1,890.2萬
總資產 52.46%3.13億54.31%2.76億54.31%2.76億25.47%2.1億6.36%1.94億18.57%2.05億22.12%1.79億22.12%1.79億50.15%1.67億67.48%1.82億
負債
流動負債
短期借款與租賃負債 84.64%87.15萬67.74%75.15萬67.74%75.15萬37.56%58.38萬22.33%49.06萬21.19%47.2萬16.76%44.8萬16.76%44.8萬12.27%42.44萬7.70%40.11萬
-短期租賃負債 84.64%87.15萬67.74%75.15萬67.74%75.15萬37.56%58.38萬22.33%49.06萬21.19%47.2萬16.76%44.8萬16.76%44.8萬12.27%42.44萬7.70%40.11萬
遞延負債 51.61%1.58億28.62%1.43億28.62%1.43億10.26%1.1億-0.32%1.02億-3.60%1.04億20.64%1.11億20.64%1.11億28.29%1億30.26%1.02億
其他流動負債 -20.70%158.6萬--186.31萬--186.31萬--172.89萬--159.72萬--200萬----------------
流動負債總額 59.37%2.48億48.08%2.16億48.08%2.16億11.96%1.52億-6.17%1.43億7.58%1.56億22.59%1.46億22.59%1.46億50.94%1.36億71.18%1.53億
非流動負債
長期借款與租賃負債 114.24%504.86萬112.65%527.39萬112.65%527.39萬111.22%549.55萬-18.03%223.11萬-16.69%235.65萬-15.30%248.01萬-15.30%248.01萬-14.02%260.18萬-12.84%272.17萬
-長期租賃負債 114.24%504.86萬112.65%527.39萬112.65%527.39萬111.22%549.55萬-18.03%223.11萬-16.69%235.65萬-15.30%248.01萬-15.30%248.01萬-14.02%260.18萬-12.84%272.17萬
其他非流動負債 -41.67%455.47萬--614.07萬--614.07萬--614.07萬--614.07萬--780.86萬----------------
非流動負債總額 -5.53%960.32萬360.25%1,141.45萬360.25%1,141.45萬347.23%1,163.61萬207.59%837.17萬259.38%1,016.51萬-15.30%248.01萬-15.30%248.01萬-14.02%260.18萬-12.84%272.17萬
總負債 55.39%2.58億53.29%2.28億53.29%2.28億18.26%1.64億-2.42%1.52億12.41%1.66億21.68%1.49億21.68%1.49億48.83%1.38億68.34%1.55億
所有者權益
股本 3.00%5.67萬3.06%5.6萬3.06%5.6萬3.04%5.6萬2.91%5.53萬2.64%5.51萬1.69%5.44萬1.69%5.44萬1.76%5.43萬1.78%5.38萬
-普通股股本 3.00%5.67萬3.06%5.6萬3.06%5.6萬3.04%5.6萬2.91%5.53萬2.64%5.51萬1.69%5.44萬1.69%5.44萬1.76%5.43萬1.78%5.38萬
-優先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 102.87%2,051.85萬100.31%1,507.96萬100.31%1,507.96萬122.85%1,371.7萬143.77%1,150.19萬151.52%1,011.41萬102.80%752.8萬102.80%752.8萬422.20%615.51萬256.71%471.83萬
資本公積 17.70%3,678.65萬44.13%3,550.33萬44.13%3,550.33萬42.61%3,413.35萬40.42%3,279.95萬37.90%3,125.38萬11.97%2,463.22萬11.97%2,463.22萬12.35%2,393.52萬13.41%2,335.75萬
減:庫存股 9.29%234.84萬21.20%214.87萬21.20%214.87萬31.15%214.87萬68.15%214.87萬68.15%214.87萬38.74%177.29萬38.74%177.29萬28.21%163.84萬13.32%127.79萬
股東權益總額 40.07%5,501.34萬59.29%4,849.02萬59.29%4,849.02萬60.52%4,575.78萬57.19%4,220.8萬54.26%3,927.43萬24.32%3,044.16萬24.32%3,044.16萬56.89%2,850.63萬62.64%2,685.17萬
總權益 40.07%5,501.34萬59.29%4,849.02萬59.29%4,849.02萬60.52%4,575.78萬57.19%4,220.8萬54.26%3,927.43萬24.32%3,044.16萬24.32%3,044.16萬56.89%2,850.63萬62.64%2,685.17萬
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會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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