美股市场个股详情

宝盛 (BAOS)

添加自选
  • 2.980
  • +0.140+4.93%
收盘价 01/16 16:00 (美东)
457.28万总市值-0.16市盈率TTM

宝盛 (BAOS) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2025/06/30
(FY)2024/12/31
(Q4)2024/12/31
(Q2)2024/06/30
(FY)2023/12/31
(Q4)2023/12/31
(Q2)2023/06/30
(FY)2022/12/31
(Q4)2022/12/31
(Q2)2022/06/30
资产
流动资产
现金及现金等价物和短期投资
-64.50%166.78万
-52.19%280.68万
-52.19%280.68万
-38.80%469.82万
-39.87%587.04万
-39.87%587.04万
52.56%767.64万
105.45%976.21万
105.45%976.21万
-58.48%503.18万
-现金和现金等价物
-57.75%122.09万
-55.35%148.05万
-55.35%148.05万
-22.25%288.98万
-50.35%331.61万
-50.35%331.61万
-26.13%371.69万
40.57%667.91万
40.57%667.91万
-58.48%503.18万
-短期投资
-75.28%44.7万
-48.08%132.62万
-48.08%132.62万
-54.33%180.83万
-17.15%255.43万
-17.15%255.43万
--395.95万
--308.3万
--308.3万
----
应收款项
-78.15%639.56万
-79.60%585.71万
-79.60%585.71万
2.99%2,927.54万
-17.53%2,870.92万
-17.53%2,870.92万
-44.32%2,842.59万
-44.11%3,481.28万
-44.11%3,481.28万
-9.88%5,105.4万
-应收账款
-84.81%410.32万
-85.95%366.35万
-85.95%366.35万
-4.86%2,701.84万
-18.75%2,608.28万
-18.75%2,608.28万
-44.36%2,839.73万
-43.04%3,210.18万
-43.04%3,210.18万
-9.76%5,103.67万
-应收税费
1.80%228.1万
-14.66%222.15万
-14.66%222.15万
--224.06万
-3.20%260.3万
-3.20%260.3万
----
-35.94%268.92万
-35.94%268.92万
----
-应收关联方款项
-16.09%2.87万
-4.68%2.87万
-4.68%2.87万
19.18%3.42万
4.91%3.01万
4.91%3.01万
66.32%2.87万
-98.36%2.87万
-98.36%2.87万
-80.60%1.72万
-应收账款调整额
2.81%-1.72万
-746.84%-5.66万
-746.84%-5.66万
---1.77万
2.85%-6,678
2.85%-6,678
----
66.67%-6,874
66.67%-6,874
----
预付费用
-17.35%329.07万
-23.04%362.16万
-23.04%362.16万
41.22%398.15万
-14.51%470.57万
-14.51%470.57万
-73.51%281.94万
-61.80%550.45万
-61.80%550.45万
-50.30%1,064.39万
受限制现金
----
----
----
----
----
----
----
----
----
-98.06%7.56万
其他流动资产
-33.41%29.54万
81.34%42.71万
81.34%42.71万
-83.00%44.36万
291.80%23.55万
291.80%23.55万
-39.64%260.91万
-90.31%6.01万
-90.31%6.01万
11.11%432.29万
流动资产合计
-69.66%1,164.95万
-67.83%1,271.26万
-67.83%1,271.26万
-7.54%3,839.87万
-21.18%3,952.08万
-21.18%3,952.08万
-41.61%4,153.09万
-41.83%5,013.95万
-41.83%5,013.95万
-27.40%7,112.82万
非流动资产
固定资产净额
-11.36%168.98万
-16.48%171.75万
-16.48%171.75万
-10.10%190.63万
-12.54%205.64万
-12.54%205.64万
10.75%212.04万
-8.63%235.13万
-8.63%235.13万
-27.16%191.46万
-固定资产
-8.67%254.72万
-13.19%247.81万
-13.19%247.81万
3.95%278.89万
1.07%285.46万
1.07%285.46万
40.13%268.3万
-2.21%282.44万
-2.21%282.44万
-27.16%191.46万
-累计折旧
2.85%-85.74万
4.71%-76.06万
4.71%-76.06万
-56.88%-88.26万
-68.74%-79.82万
-68.74%-79.82万
---56.26万
-50.39%-47.3万
-50.39%-47.3万
----
商誉及其他无形资产
-46.82%17.01万
-39.93%24.12万
-39.93%24.12万
-32.24%31.99万
-28.07%40.15万
-28.07%40.15万
-86.43%47.21万
-28.03%55.82万
-28.03%55.82万
-7.30%347.93万
-其他无形资产
-46.82%17.01万
-39.93%24.12万
-39.93%24.12万
-32.24%31.99万
-28.07%40.15万
-28.07%40.15万
-86.43%47.21万
-28.03%55.82万
-28.03%55.82万
-7.30%347.93万
投资和预付款
0.07%662.1万
-3.98%657.67万
-3.98%657.67万
-3.27%661.62万
202.81%684.9万
202.81%684.9万
422.02%684.02万
44.13%226.18万
44.13%226.18万
-15.40%131.03万
关联方资产
-16.09%2.87万
-4.68%2.87万
-4.68%2.87万
19.18%3.42万
4.91%3.01万
4.91%3.01万
66.32%2.87万
-98.36%2.87万
-98.36%2.87万
-80.60%1.72万
长期预付费用
----
----
----
----
--0
--0
--260.2万
-7.61%273.56万
-7.61%273.56万
----
非流动资产合计
-4.09%848.09万
-8.29%853.54万
-8.29%853.54万
-26.53%884.25万
17.71%930.69万
17.71%930.69万
79.51%1,203.47万
0.35%790.69万
0.35%790.69万
-15.46%670.42万
总资产
-57.39%2,013.04万
-56.48%2,124.8万
-56.48%2,124.8万
-11.81%4,724.11万
-15.88%4,882.77万
-15.88%4,882.77万
-31.18%5,356.56万
-38.30%5,804.64万
-38.30%5,804.64万
-26.50%7,783.24万
负债
流动负债
应付款项
104.63%725.26万
51.78%387.8万
51.78%387.8万
-51.37%354.43万
-72.00%255.5万
-72.00%255.5万
-31.76%728.88万
-33.37%912.54万
-33.37%912.54万
-47.80%1,068.09万
-应付账款
112.33%698.76万
57.83%361.88万
57.83%361.88万
-53.19%329.09万
-74.10%229.29万
-74.10%229.29万
-32.50%702.97万
-27.20%885.37万
-27.20%885.37万
-30.99%1,041.4万
-应付税费
4.68%26.15万
2.30%25.57万
2.30%25.57万
2.09%24.98万
-2.86%24.99万
-2.86%24.99万
-7.76%24.47万
-7.61%25.73万
-7.61%25.73万
-29.52%26.53万
-应付股利
----
----
----
----
----
----
----
----
----
--0
-应付关联方款项
-0.54%3,529
-70.71%3,566
-70.71%3,566
-75.42%3,548
-16.02%1.22万
-16.02%1.22万
761.73%1.44万
--1.45万
--1.45万
-99.89%1,675
应计费用
-2.41%83.07万
8.79%79.18万
8.79%79.18万
85.46%85.12万
-2.20%72.78万
-2.20%72.78万
-72.57%45.9万
-72.72%74.42万
-72.72%74.42万
132.09%167.31万
短期借款与租赁负债
----
-69.60%68.5万
-69.60%68.5万
59.65%220.17万
55.43%225.36万
55.43%225.36万
175.45%137.91万
181.20%144.99万
181.20%144.99万
1.69%50.07万
-短期借款
----
-69.60%68.5万
-69.60%68.5万
59.65%220.17万
55.43%225.36万
55.43%225.36万
--137.91万
--144.99万
--144.99万
----
-短期租赁负债
----
----
----
----
----
----
----
----
----
1.69%50.07万
递延负债
20.38%114.9万
14.83%106.94万
14.83%106.94万
-17.27%95.44万
-27.78%93.13万
-27.78%93.13万
150.04%115.36万
-49.21%128.95万
-49.21%128.95万
-85.41%46.14万
其他流动负债
----
----
----
----
----
----
-99.93%2
-69.68%832
-69.68%832
-99.42%2,728
流动负债总额
22.26%923.23万
-0.67%642.42万
-0.67%642.42万
-26.54%755.16万
-48.71%646.76万
-48.71%646.76万
-22.81%1,028.05万
-35.27%1,260.98万
-35.27%1,260.98万
-47.37%1,331.88万
非流动负债
长期借款与租赁负债
----
----
----
----
----
----
----
----
----
-65.28%27.99万
-长期租赁负债
----
----
----
----
----
----
----
----
----
-65.28%27.99万
非流动负债总额
--0
--0
--0
--0
--0
--0
--0
--0
--0
-65.28%27.99万
总负债
22.26%923.23万
-0.67%642.42万
-0.67%642.42万
-26.54%755.16万
-48.71%646.76万
-48.71%646.76万
-24.40%1,028.05万
-37.01%1,260.98万
-37.01%1,260.98万
-47.92%1,359.87万
所有者权益
股本
0.00%1.47万
0.00%1.47万
0.00%1.47万
0.00%1.47万
0.00%1.47万
0.00%1.47万
0.69%1.47万
0.00%1.47万
0.00%1.47万
0.00%1.46万
-普通股股本
0.00%1.47万
0.00%1.47万
0.00%1.47万
0.00%1.47万
0.00%1.47万
0.00%1.47万
0.69%1.47万
0.00%1.47万
0.00%1.47万
0.00%1.46万
留存收益
-1,752.75%-2,763.47万
-787.45%-2,345.88万
-787.45%-2,345.88万
-68.17%167.2万
-35.10%341.25万
-35.10%341.25万
-76.84%525.35万
-81.87%525.76万
-81.87%525.76万
-36.05%2,268.61万
资本公积
0.00%4,156.44万
0.00%4,156.44万
0.00%4,156.44万
0.00%4,156.44万
0.00%4,156.44万
0.00%4,156.44万
-0.00%4,156.44万
0.00%4,156.44万
0.00%4,156.44万
0.14%4,156.45万
不影响留存收益的损益
14.47%-304.64万
-25.28%-329.66万
-25.28%-329.66万
-0.40%-356.16万
-87.94%-263.15万
-87.94%-263.15万
-11,141.78%-354.76万
-140.17%-140.02万
-140.17%-140.02万
-101.13%-3.16万
股东权益总额
-72.54%1,089.81万
-65.01%1,482.38万
-65.01%1,482.38万
-8.31%3,968.96万
-6.77%4,236.01万
-6.77%4,236.01万
-32.61%4,328.51万
-38.65%4,543.66万
-38.65%4,543.66万
-19.49%6,423.37万
总权益
-72.54%1,089.81万
-65.01%1,482.38万
-65.01%1,482.38万
-8.31%3,968.96万
-6.77%4,236.01万
-6.77%4,236.01万
-32.61%4,328.51万
-38.65%4,543.66万
-38.65%4,543.66万
-19.49%6,423.37万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
审计意见
--
带解释段的无保留意见
--
--
带解释段的无保留意见
--
--
带解释段的无保留意见
--
--
(Q2)2025/06/30(FY)2024/12/31(Q4)2024/12/31(Q2)2024/06/30(FY)2023/12/31(Q4)2023/12/31(Q2)2023/06/30(FY)2022/12/31(Q4)2022/12/31(Q2)2022/06/30
资产
流动资产
现金及现金等价物和短期投资 -64.50%166.78万-52.19%280.68万-52.19%280.68万-38.80%469.82万-39.87%587.04万-39.87%587.04万52.56%767.64万105.45%976.21万105.45%976.21万-58.48%503.18万
-现金和现金等价物 -57.75%122.09万-55.35%148.05万-55.35%148.05万-22.25%288.98万-50.35%331.61万-50.35%331.61万-26.13%371.69万40.57%667.91万40.57%667.91万-58.48%503.18万
-短期投资 -75.28%44.7万-48.08%132.62万-48.08%132.62万-54.33%180.83万-17.15%255.43万-17.15%255.43万--395.95万--308.3万--308.3万----
应收款项 -78.15%639.56万-79.60%585.71万-79.60%585.71万2.99%2,927.54万-17.53%2,870.92万-17.53%2,870.92万-44.32%2,842.59万-44.11%3,481.28万-44.11%3,481.28万-9.88%5,105.4万
-应收账款 -84.81%410.32万-85.95%366.35万-85.95%366.35万-4.86%2,701.84万-18.75%2,608.28万-18.75%2,608.28万-44.36%2,839.73万-43.04%3,210.18万-43.04%3,210.18万-9.76%5,103.67万
-应收税费 1.80%228.1万-14.66%222.15万-14.66%222.15万--224.06万-3.20%260.3万-3.20%260.3万-----35.94%268.92万-35.94%268.92万----
-应收关联方款项 -16.09%2.87万-4.68%2.87万-4.68%2.87万19.18%3.42万4.91%3.01万4.91%3.01万66.32%2.87万-98.36%2.87万-98.36%2.87万-80.60%1.72万
-应收账款调整额 2.81%-1.72万-746.84%-5.66万-746.84%-5.66万---1.77万2.85%-6,6782.85%-6,678----66.67%-6,87466.67%-6,874----
预付费用 -17.35%329.07万-23.04%362.16万-23.04%362.16万41.22%398.15万-14.51%470.57万-14.51%470.57万-73.51%281.94万-61.80%550.45万-61.80%550.45万-50.30%1,064.39万
受限制现金 -------------------------------------98.06%7.56万
其他流动资产 -33.41%29.54万81.34%42.71万81.34%42.71万-83.00%44.36万291.80%23.55万291.80%23.55万-39.64%260.91万-90.31%6.01万-90.31%6.01万11.11%432.29万
流动资产合计 -69.66%1,164.95万-67.83%1,271.26万-67.83%1,271.26万-7.54%3,839.87万-21.18%3,952.08万-21.18%3,952.08万-41.61%4,153.09万-41.83%5,013.95万-41.83%5,013.95万-27.40%7,112.82万
非流动资产
固定资产净额 -11.36%168.98万-16.48%171.75万-16.48%171.75万-10.10%190.63万-12.54%205.64万-12.54%205.64万10.75%212.04万-8.63%235.13万-8.63%235.13万-27.16%191.46万
-固定资产 -8.67%254.72万-13.19%247.81万-13.19%247.81万3.95%278.89万1.07%285.46万1.07%285.46万40.13%268.3万-2.21%282.44万-2.21%282.44万-27.16%191.46万
-累计折旧 2.85%-85.74万4.71%-76.06万4.71%-76.06万-56.88%-88.26万-68.74%-79.82万-68.74%-79.82万---56.26万-50.39%-47.3万-50.39%-47.3万----
商誉及其他无形资产 -46.82%17.01万-39.93%24.12万-39.93%24.12万-32.24%31.99万-28.07%40.15万-28.07%40.15万-86.43%47.21万-28.03%55.82万-28.03%55.82万-7.30%347.93万
-其他无形资产 -46.82%17.01万-39.93%24.12万-39.93%24.12万-32.24%31.99万-28.07%40.15万-28.07%40.15万-86.43%47.21万-28.03%55.82万-28.03%55.82万-7.30%347.93万
投资和预付款 0.07%662.1万-3.98%657.67万-3.98%657.67万-3.27%661.62万202.81%684.9万202.81%684.9万422.02%684.02万44.13%226.18万44.13%226.18万-15.40%131.03万
关联方资产 -16.09%2.87万-4.68%2.87万-4.68%2.87万19.18%3.42万4.91%3.01万4.91%3.01万66.32%2.87万-98.36%2.87万-98.36%2.87万-80.60%1.72万
长期预付费用 ------------------0--0--260.2万-7.61%273.56万-7.61%273.56万----
非流动资产合计 -4.09%848.09万-8.29%853.54万-8.29%853.54万-26.53%884.25万17.71%930.69万17.71%930.69万79.51%1,203.47万0.35%790.69万0.35%790.69万-15.46%670.42万
总资产 -57.39%2,013.04万-56.48%2,124.8万-56.48%2,124.8万-11.81%4,724.11万-15.88%4,882.77万-15.88%4,882.77万-31.18%5,356.56万-38.30%5,804.64万-38.30%5,804.64万-26.50%7,783.24万
负债
流动负债
应付款项 104.63%725.26万51.78%387.8万51.78%387.8万-51.37%354.43万-72.00%255.5万-72.00%255.5万-31.76%728.88万-33.37%912.54万-33.37%912.54万-47.80%1,068.09万
-应付账款 112.33%698.76万57.83%361.88万57.83%361.88万-53.19%329.09万-74.10%229.29万-74.10%229.29万-32.50%702.97万-27.20%885.37万-27.20%885.37万-30.99%1,041.4万
-应付税费 4.68%26.15万2.30%25.57万2.30%25.57万2.09%24.98万-2.86%24.99万-2.86%24.99万-7.76%24.47万-7.61%25.73万-7.61%25.73万-29.52%26.53万
-应付股利 --------------------------------------0
-应付关联方款项 -0.54%3,529-70.71%3,566-70.71%3,566-75.42%3,548-16.02%1.22万-16.02%1.22万761.73%1.44万--1.45万--1.45万-99.89%1,675
应计费用 -2.41%83.07万8.79%79.18万8.79%79.18万85.46%85.12万-2.20%72.78万-2.20%72.78万-72.57%45.9万-72.72%74.42万-72.72%74.42万132.09%167.31万
短期借款与租赁负债 -----69.60%68.5万-69.60%68.5万59.65%220.17万55.43%225.36万55.43%225.36万175.45%137.91万181.20%144.99万181.20%144.99万1.69%50.07万
-短期借款 -----69.60%68.5万-69.60%68.5万59.65%220.17万55.43%225.36万55.43%225.36万--137.91万--144.99万--144.99万----
-短期租赁负债 ------------------------------------1.69%50.07万
递延负债 20.38%114.9万14.83%106.94万14.83%106.94万-17.27%95.44万-27.78%93.13万-27.78%93.13万150.04%115.36万-49.21%128.95万-49.21%128.95万-85.41%46.14万
其他流动负债 -------------------------99.93%2-69.68%832-69.68%832-99.42%2,728
流动负债总额 22.26%923.23万-0.67%642.42万-0.67%642.42万-26.54%755.16万-48.71%646.76万-48.71%646.76万-22.81%1,028.05万-35.27%1,260.98万-35.27%1,260.98万-47.37%1,331.88万
非流动负债
长期借款与租赁负债 -------------------------------------65.28%27.99万
-长期租赁负债 -------------------------------------65.28%27.99万
非流动负债总额 --0--0--0--0--0--0--0--0--0-65.28%27.99万
总负债 22.26%923.23万-0.67%642.42万-0.67%642.42万-26.54%755.16万-48.71%646.76万-48.71%646.76万-24.40%1,028.05万-37.01%1,260.98万-37.01%1,260.98万-47.92%1,359.87万
所有者权益
股本 0.00%1.47万0.00%1.47万0.00%1.47万0.00%1.47万0.00%1.47万0.00%1.47万0.69%1.47万0.00%1.47万0.00%1.47万0.00%1.46万
-普通股股本 0.00%1.47万0.00%1.47万0.00%1.47万0.00%1.47万0.00%1.47万0.00%1.47万0.69%1.47万0.00%1.47万0.00%1.47万0.00%1.46万
留存收益 -1,752.75%-2,763.47万-787.45%-2,345.88万-787.45%-2,345.88万-68.17%167.2万-35.10%341.25万-35.10%341.25万-76.84%525.35万-81.87%525.76万-81.87%525.76万-36.05%2,268.61万
资本公积 0.00%4,156.44万0.00%4,156.44万0.00%4,156.44万0.00%4,156.44万0.00%4,156.44万0.00%4,156.44万-0.00%4,156.44万0.00%4,156.44万0.00%4,156.44万0.14%4,156.45万
不影响留存收益的损益 14.47%-304.64万-25.28%-329.66万-25.28%-329.66万-0.40%-356.16万-87.94%-263.15万-87.94%-263.15万-11,141.78%-354.76万-140.17%-140.02万-140.17%-140.02万-101.13%-3.16万
股东权益总额 -72.54%1,089.81万-65.01%1,482.38万-65.01%1,482.38万-8.31%3,968.96万-6.77%4,236.01万-6.77%4,236.01万-32.61%4,328.51万-38.65%4,543.66万-38.65%4,543.66万-19.49%6,423.37万
总权益 -72.54%1,089.81万-65.01%1,482.38万-65.01%1,482.38万-8.31%3,968.96万-6.77%4,236.01万-6.77%4,236.01万-32.61%4,328.51万-38.65%4,543.66万-38.65%4,543.66万-19.49%6,423.37万
货币单位 美元美元美元美元美元美元美元美元美元美元
审计意见 --带解释段的无保留意见----带解释段的无保留意见----带解释段的无保留意见----
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