美股市场个股详情

Beyond Meat (BYND)

添加自选
  • 0.7564
  • -0.0240-3.08%
交易中 05/14 09:43 (美东)
3.90亿总市值-0.69市盈率TTM

Beyond Meat (BYND) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2026/03/28
(FY)2025/12/31
(Q4)2025/12/31
(Q3)2025/09/27
(Q2)2025/06/28
(Q1)2025/03/29
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/27
(Q2)2024/06/29
资产
流动资产
现金及现金等价物和短期投资
87.00%1.91亿
54.56%2.04亿
54.56%2.04亿
-3.64%1.17亿
-28.56%1.03亿
-35.32%1.02亿
-30.76%1.32亿
-30.76%1.32亿
-44.04%1.22亿
-31.27%1.45亿
-现金和现金等价物
87.00%1.91亿
54.56%2.04亿
54.56%2.04亿
-3.64%1.17亿
-28.56%1.03亿
-35.32%1.02亿
-30.76%1.32亿
-30.76%1.32亿
-44.04%1.22亿
-31.27%1.45亿
应收款项
-22.05%2,593.1万
-2.99%2,606万
-2.99%2,606万
-19.48%2,792万
8.34%3,733.8万
-6.68%3,326.7万
-15.34%2,686.2万
-15.34%2,686.2万
-3.05%3,467.4万
-32.19%3,446.3万
-应收账款
-22.05%2,593.1万
-2.99%2,606万
-2.99%2,606万
-19.48%2,792万
8.34%3,733.8万
-6.68%3,326.7万
-15.34%2,686.2万
-15.34%2,686.2万
-3.05%3,467.4万
-32.19%3,446.3万
存货
-31.16%6,889.1万
-25.93%8,403.2万
-25.93%8,403.2万
-11.88%1.1亿
-7.25%1.11亿
-18.34%1亿
-12.96%1.13亿
-12.96%1.13亿
-35.67%1.25亿
-42.29%1.2亿
受限制现金
301.66%435万
317.87%435万
317.87%435万
109.68%117万
118.66%117.2万
-63.55%108.3万
-63.22%104.1万
-63.22%104.1万
-79.25%55.8万
-79.00%53.6万
其他流动资产
-41.30%1,123.3万
21.41%1,375.8万
21.41%1,375.8万
138.54%3,104.8万
174.14%4,259.6万
27.30%1,913.5万
-12.18%1,133.2万
-12.18%1,133.2万
-37.84%1,301.6万
-40.36%1,553.8万
流动资产合计
20.89%3.11亿
19.21%3.41亿
19.21%3.41亿
-2.95%2.89亿
-6.34%2.97亿
-23.55%2.57亿
-23.17%2.86亿
-23.17%2.86亿
-36.94%2.97亿
-36.22%3.17亿
非流动资产
固定资产净额
-31.73%2.54亿
-31.05%2.6亿
-31.05%2.6亿
-22.42%2.95亿
0.19%3.8亿
-3.08%3.72亿
-2.40%3.77亿
-2.40%3.77亿
-13.24%3.81亿
-15.27%3.79亿
-固定资产
-24.65%3.61亿
-24.20%3.62亿
-24.20%3.62亿
-12.77%4.16亿
8.81%5.11亿
0.95%4.79亿
-0.21%4.77亿
-0.21%4.77亿
-11.55%4.77亿
-13.37%4.7亿
-累计折旧
0.20%-1.07亿
-1.49%-1.02亿
-1.49%-1.02亿
-25.48%-1.2亿
-44.79%-1.32亿
-17.85%-1.08亿
-8.98%-1亿
-8.98%-1亿
4.18%-9,597.6万
4.44%-9,088.3万
投资和预付款
-5.16%150.7万
-4.87%152.3万
-4.87%152.3万
-5.52%152.3万
-7.21%153.1万
-5.42%158.9万
-4.30%160.1万
-4.30%160.1万
-5.79%161.2万
-10.18%165万
其他非流动资产
-0.63%1,316万
-10.10%1,188.6万
-10.10%1,188.6万
7.07%1,419.9万
0.41%1,328.8万
-0.46%1,324.3万
-4.13%1,322.2万
-4.13%1,322.2万
-22.67%1,326.2万
-39.61%1,323.4万
非流动资产合计
-30.55%2.68亿
-30.23%2.73亿
-30.23%2.73亿
-21.36%3.11亿
0.16%3.95亿
-3.00%3.87亿
-2.47%3.92亿
-2.47%3.92亿
-13.56%3.96亿
-16.38%3.94亿
总资产
-10.00%5.79亿
-9.35%6.15亿
-9.35%6.15亿
-13.46%6亿
-2.74%6.92亿
-12.41%6.44亿
-12.44%6.78亿
-12.44%6.78亿
-25.43%6.93亿
-26.57%7.11亿
负债
流动负债
应付款项
-55.29%2,258.5万
-45.37%2,052.5万
-45.37%2,052.5万
-22.71%4,609.1万
15.79%6,883.7万
-9.54%5,051.2万
-32.95%3,757.1万
-32.95%3,757.1万
-3.60%5,963.3万
50.47%5,944.9万
-应付账款
-55.29%2,258.5万
-45.37%2,052.5万
-45.37%2,052.5万
-22.71%4,609.1万
15.79%6,883.7万
-9.54%5,051.2万
-32.95%3,757.1万
-32.95%3,757.1万
-3.60%5,963.3万
50.47%5,944.9万
应计费用
135.94%5,060.6万
153.23%4,787.5万
153.23%4,787.5万
-50.05%1,124.4万
-20.12%1,561.8万
18.08%2,144.9万
91.84%1,890.6万
91.84%1,890.6万
61.78%2,251万
62.80%1,955.1万
短期借款与租赁负债
809.11%3,582.8万
30.97%651.7万
30.97%651.7万
53.72%630.7万
38.96%573.2万
-0.88%394.1万
35.33%497.6万
35.33%497.6万
33.08%410.3万
31.92%412.5万
-短期借款
--2,945.9万
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----
----
----
----
----
----
----
----
-短期租赁负债
61.61%636.9万
30.97%651.7万
30.97%651.7万
53.72%630.7万
38.96%573.2万
-0.88%394.1万
35.33%497.6万
35.33%497.6万
33.08%410.3万
31.92%412.5万
流动负债总额
43.63%1.09亿
21.91%7,491.7万
21.91%7,491.7万
-26.50%6,364.2万
7.99%9,018.7万
-3.68%7,590.2万
-17.35%6,145.3万
-17.35%6,145.3万
9.81%8,659.1万
52.84%8,351.8万
非流动负债
长期借款与租赁负债
-61.79%4.65亿
-58.83%5.01亿
-58.83%5.01亿
8.36%13.2亿
5.00%12.79亿
-0.01%12.17亿
0.37%12.18亿
0.37%12.18亿
0.41%12.18亿
0.39%12.18亿
-长期借款
-66.22%3.86亿
-63.13%4.21亿
-63.13%4.21亿
8.46%12.37亿
4.79%11.94亿
0.35%11.42亿
0.35%11.41亿
0.35%11.41亿
0.35%11.4亿
0.35%11.4亿
-长期租赁负债
5.63%7,922.5万
5.53%8,064.9万
5.53%8,064.9万
6.85%8,310.6万
7.97%8,446.6万
-5.20%7,500万
0.66%7,642.5万
0.66%7,642.5万
1.41%7,777.9万
0.97%7,823.2万
衍生品负债
--2,613.7万
--3,915.2万
--3,915.2万
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----
----
--0
--0
----
----
其他非流动负债
--22.2万
--22万
--22万
----
----
----
----
----
----
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非流动负债总额
-59.63%4.92亿
-55.59%5.41亿
-55.59%5.41亿
8.36%13.2亿
5.00%12.79亿
-0.01%12.17亿
0.37%12.18亿
0.37%12.18亿
0.41%12.18亿
0.39%12.18亿
总负债
-53.57%6.01亿
-51.87%6.16亿
-51.87%6.16亿
6.04%13.84亿
5.19%13.69亿
-0.24%12.93亿
-0.66%12.79亿
-0.66%12.79亿
0.99%13.05亿
2.65%13.01亿
所有者权益
股本
475.00%4.6万
462.50%4.5万
462.50%4.5万
33.33%8,000
33.33%8,000
33.33%8,000
33.33%8,000
33.33%8,000
0.00%6,000
0.00%6,000
-普通股股本
475.00%4.6万
462.50%4.5万
462.50%4.5万
33.33%8,000
33.33%8,000
33.33%8,000
33.33%8,000
33.33%8,000
0.00%6,000
0.00%6,000
-优先股股本
--0
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----
--0
--0
--0
--0
--0
--0
--0
留存收益
18.81%-10.51亿
17.64%-10.23亿
17.64%-10.23亿
-19.86%-14.34亿
-13.13%-13.24亿
-13.99%-12.94亿
-14.82%-12.42亿
-14.82%-12.42亿
-29.21%-11.97亿
-36.75%-11.7亿
资本公积
59.68%10.37亿
59.83%10.29亿
59.83%10.29亿
11.40%6.58亿
11.88%6.54亿
12.24%6.5亿
12.37%6.44亿
12.37%6.44亿
3.94%5.9亿
4.09%5.84亿
不影响留存收益的损益
-57.75%-746万
-112.61%-784.3万
-112.61%-784.3万
-30.71%-724.5万
-64.35%-719.7万
-3.34%-472.9万
29.72%-368.9万
29.72%-368.9万
-18.04%-554.3万
11.66%-437.9万
股东权益总额
96.75%-2,108.3万
99.83%-99.7万
99.83%-99.7万
-28.13%-7.84亿
-14.74%-6.77亿
-15.70%-6.5亿
-17.11%-6.01亿
-17.11%-6.01亿
-68.62%-6.12亿
-97.25%-5.9亿
总权益
96.75%-2,108.3万
99.83%-99.7万
99.83%-99.7万
-28.13%-7.84亿
-14.74%-6.77亿
-15.70%-6.5亿
-17.11%-6.01亿
-17.11%-6.01亿
-68.62%-6.12亿
-97.25%-5.9亿
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
审计意见
--
无保留意见
--
--
--
--
无保留意见
--
--
--
(Q1)2026/03/28(FY)2025/12/31(Q4)2025/12/31(Q3)2025/09/27(Q2)2025/06/28(Q1)2025/03/29(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/27(Q2)2024/06/29
资产
流动资产
现金及现金等价物和短期投资 87.00%1.91亿54.56%2.04亿54.56%2.04亿-3.64%1.17亿-28.56%1.03亿-35.32%1.02亿-30.76%1.32亿-30.76%1.32亿-44.04%1.22亿-31.27%1.45亿
-现金和现金等价物 87.00%1.91亿54.56%2.04亿54.56%2.04亿-3.64%1.17亿-28.56%1.03亿-35.32%1.02亿-30.76%1.32亿-30.76%1.32亿-44.04%1.22亿-31.27%1.45亿
应收款项 -22.05%2,593.1万-2.99%2,606万-2.99%2,606万-19.48%2,792万8.34%3,733.8万-6.68%3,326.7万-15.34%2,686.2万-15.34%2,686.2万-3.05%3,467.4万-32.19%3,446.3万
-应收账款 -22.05%2,593.1万-2.99%2,606万-2.99%2,606万-19.48%2,792万8.34%3,733.8万-6.68%3,326.7万-15.34%2,686.2万-15.34%2,686.2万-3.05%3,467.4万-32.19%3,446.3万
存货 -31.16%6,889.1万-25.93%8,403.2万-25.93%8,403.2万-11.88%1.1亿-7.25%1.11亿-18.34%1亿-12.96%1.13亿-12.96%1.13亿-35.67%1.25亿-42.29%1.2亿
受限制现金 301.66%435万317.87%435万317.87%435万109.68%117万118.66%117.2万-63.55%108.3万-63.22%104.1万-63.22%104.1万-79.25%55.8万-79.00%53.6万
其他流动资产 -41.30%1,123.3万21.41%1,375.8万21.41%1,375.8万138.54%3,104.8万174.14%4,259.6万27.30%1,913.5万-12.18%1,133.2万-12.18%1,133.2万-37.84%1,301.6万-40.36%1,553.8万
流动资产合计 20.89%3.11亿19.21%3.41亿19.21%3.41亿-2.95%2.89亿-6.34%2.97亿-23.55%2.57亿-23.17%2.86亿-23.17%2.86亿-36.94%2.97亿-36.22%3.17亿
非流动资产
固定资产净额 -31.73%2.54亿-31.05%2.6亿-31.05%2.6亿-22.42%2.95亿0.19%3.8亿-3.08%3.72亿-2.40%3.77亿-2.40%3.77亿-13.24%3.81亿-15.27%3.79亿
-固定资产 -24.65%3.61亿-24.20%3.62亿-24.20%3.62亿-12.77%4.16亿8.81%5.11亿0.95%4.79亿-0.21%4.77亿-0.21%4.77亿-11.55%4.77亿-13.37%4.7亿
-累计折旧 0.20%-1.07亿-1.49%-1.02亿-1.49%-1.02亿-25.48%-1.2亿-44.79%-1.32亿-17.85%-1.08亿-8.98%-1亿-8.98%-1亿4.18%-9,597.6万4.44%-9,088.3万
投资和预付款 -5.16%150.7万-4.87%152.3万-4.87%152.3万-5.52%152.3万-7.21%153.1万-5.42%158.9万-4.30%160.1万-4.30%160.1万-5.79%161.2万-10.18%165万
其他非流动资产 -0.63%1,316万-10.10%1,188.6万-10.10%1,188.6万7.07%1,419.9万0.41%1,328.8万-0.46%1,324.3万-4.13%1,322.2万-4.13%1,322.2万-22.67%1,326.2万-39.61%1,323.4万
非流动资产合计 -30.55%2.68亿-30.23%2.73亿-30.23%2.73亿-21.36%3.11亿0.16%3.95亿-3.00%3.87亿-2.47%3.92亿-2.47%3.92亿-13.56%3.96亿-16.38%3.94亿
总资产 -10.00%5.79亿-9.35%6.15亿-9.35%6.15亿-13.46%6亿-2.74%6.92亿-12.41%6.44亿-12.44%6.78亿-12.44%6.78亿-25.43%6.93亿-26.57%7.11亿
负债
流动负债
应付款项 -55.29%2,258.5万-45.37%2,052.5万-45.37%2,052.5万-22.71%4,609.1万15.79%6,883.7万-9.54%5,051.2万-32.95%3,757.1万-32.95%3,757.1万-3.60%5,963.3万50.47%5,944.9万
-应付账款 -55.29%2,258.5万-45.37%2,052.5万-45.37%2,052.5万-22.71%4,609.1万15.79%6,883.7万-9.54%5,051.2万-32.95%3,757.1万-32.95%3,757.1万-3.60%5,963.3万50.47%5,944.9万
应计费用 135.94%5,060.6万153.23%4,787.5万153.23%4,787.5万-50.05%1,124.4万-20.12%1,561.8万18.08%2,144.9万91.84%1,890.6万91.84%1,890.6万61.78%2,251万62.80%1,955.1万
短期借款与租赁负债 809.11%3,582.8万30.97%651.7万30.97%651.7万53.72%630.7万38.96%573.2万-0.88%394.1万35.33%497.6万35.33%497.6万33.08%410.3万31.92%412.5万
-短期借款 --2,945.9万------------------------------------
-短期租赁负债 61.61%636.9万30.97%651.7万30.97%651.7万53.72%630.7万38.96%573.2万-0.88%394.1万35.33%497.6万35.33%497.6万33.08%410.3万31.92%412.5万
流动负债总额 43.63%1.09亿21.91%7,491.7万21.91%7,491.7万-26.50%6,364.2万7.99%9,018.7万-3.68%7,590.2万-17.35%6,145.3万-17.35%6,145.3万9.81%8,659.1万52.84%8,351.8万
非流动负债
长期借款与租赁负债 -61.79%4.65亿-58.83%5.01亿-58.83%5.01亿8.36%13.2亿5.00%12.79亿-0.01%12.17亿0.37%12.18亿0.37%12.18亿0.41%12.18亿0.39%12.18亿
-长期借款 -66.22%3.86亿-63.13%4.21亿-63.13%4.21亿8.46%12.37亿4.79%11.94亿0.35%11.42亿0.35%11.41亿0.35%11.41亿0.35%11.4亿0.35%11.4亿
-长期租赁负债 5.63%7,922.5万5.53%8,064.9万5.53%8,064.9万6.85%8,310.6万7.97%8,446.6万-5.20%7,500万0.66%7,642.5万0.66%7,642.5万1.41%7,777.9万0.97%7,823.2万
衍生品负债 --2,613.7万--3,915.2万--3,915.2万--------------0--0--------
其他非流动负债 --22.2万--22万--22万----------------------------
非流动负债总额 -59.63%4.92亿-55.59%5.41亿-55.59%5.41亿8.36%13.2亿5.00%12.79亿-0.01%12.17亿0.37%12.18亿0.37%12.18亿0.41%12.18亿0.39%12.18亿
总负债 -53.57%6.01亿-51.87%6.16亿-51.87%6.16亿6.04%13.84亿5.19%13.69亿-0.24%12.93亿-0.66%12.79亿-0.66%12.79亿0.99%13.05亿2.65%13.01亿
所有者权益
股本 475.00%4.6万462.50%4.5万462.50%4.5万33.33%8,00033.33%8,00033.33%8,00033.33%8,00033.33%8,0000.00%6,0000.00%6,000
-普通股股本 475.00%4.6万462.50%4.5万462.50%4.5万33.33%8,00033.33%8,00033.33%8,00033.33%8,00033.33%8,0000.00%6,0000.00%6,000
-优先股股本 --0----------0--0--0--0--0--0--0
留存收益 18.81%-10.51亿17.64%-10.23亿17.64%-10.23亿-19.86%-14.34亿-13.13%-13.24亿-13.99%-12.94亿-14.82%-12.42亿-14.82%-12.42亿-29.21%-11.97亿-36.75%-11.7亿
资本公积 59.68%10.37亿59.83%10.29亿59.83%10.29亿11.40%6.58亿11.88%6.54亿12.24%6.5亿12.37%6.44亿12.37%6.44亿3.94%5.9亿4.09%5.84亿
不影响留存收益的损益 -57.75%-746万-112.61%-784.3万-112.61%-784.3万-30.71%-724.5万-64.35%-719.7万-3.34%-472.9万29.72%-368.9万29.72%-368.9万-18.04%-554.3万11.66%-437.9万
股东权益总额 96.75%-2,108.3万99.83%-99.7万99.83%-99.7万-28.13%-7.84亿-14.74%-6.77亿-15.70%-6.5亿-17.11%-6.01亿-17.11%-6.01亿-68.62%-6.12亿-97.25%-5.9亿
总权益 96.75%-2,108.3万99.83%-99.7万99.83%-99.7万-28.13%-7.84亿-14.74%-6.77亿-15.70%-6.5亿-17.11%-6.01亿-17.11%-6.01亿-68.62%-6.12亿-97.25%-5.9亿
货币单位 美元美元美元美元美元美元美元美元美元美元
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 --无保留意见--------无保留意见------
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