美股市场个股详情

COIN Coinbase

添加自选
  • 199.510
  • -1.410-0.70%
收盘价 05/13 16:00 (美东)
  • 194.270
  • -5.240-2.63%
盘前 09:04 (美东)
489.93亿总市值39.04市盈率TTM

Coinbase关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
资产
流动资产
现金及现金等价物和短期投资
35.09%71.88亿
8.12%57.15亿
8.12%57.15亿
2.36%55.02亿
-9.29%54.82亿
-15.49%53.21亿
-26.82%52.86亿
-26.82%52.86亿
-16.61%53.75亿
33.98%60.44亿
-现金和现金等价物
31.25%65.87亿
16.14%51.39亿
16.14%51.39亿
1.88%51.01亿
-9.07%51.67亿
-17.95%50.18亿
-37.88%44.25亿
-37.88%44.25亿
-21.19%50.07亿
30.14%56.82亿
-短期投资
98.73%6.02亿
-33.11%5.76亿
-33.11%5.76亿
8.88%4.01亿
-12.77%3.16亿
68.36%3.03亿
760.32%8.61亿
760.32%8.61亿
299.67%3.68亿
149.47%3.62亿
应收款项
103.85%11.18亿
-8.47%4.25亿
-8.47%4.25亿
55.28%4.67亿
59.72%4.92亿
36.13%5.48亿
27.02%4.65亿
27.02%4.65亿
-9.33%3.01亿
-50.29%3.08亿
-应收账款
29.56%2.8亿
-23.63%1.68亿
-23.63%1.68亿
50.58%9,266.6万
213.83%2.31亿
147.18%2.16亿
761.00%2.2亿
761.00%2.2亿
-23.38%6,154.1万
11.84%7,362.3万
-应收贷款
311.78%7.97亿
5.11%1.93亿
5.11%1.93亿
134.51%2.73亿
35.35%1.71亿
-11.29%1.94亿
-15.76%1.84亿
-15.76%1.84亿
6.66%1.17亿
31.89%1.26亿
-应收利息
----
----
----
----
----
----
----
----
22.78%7,916.4万
74.92%6,152.4万
-应收税费
-41.21%3,994.5万
5.44%6,372.6万
5.44%6,372.6万
15.21%6,972.7万
3.77%6,475.9万
19.69%6,794.7万
-1.29%6,044.1万
-1.29%6,044.1万
-36.08%6,052.2万
-85.66%6,240.6万
-其他应收款
----
----
----
--5,321.1万
--3,892万
--8,473.9万
----
----
----
----
-应收账款调整额
----
----
----
-28.93%-2,185.6万
14.33%-1,330.9万
29.50%-1,439.3万
----
----
0.15%-1,695.2万
-29.91%-1,553.5万
预付费用
-9.41%9,800.4万
-18.99%7,955.2万
-18.99%7,955.2万
-6.17%8,810.1万
-40.35%8,072.5万
-42.61%1.08亿
-26.11%9,820.4万
-26.11%9,820.4万
-7.68%9,389万
23.55%1.35亿
受限制现金
158.23%3,352.68亿
144.76%1,972.3亿
144.76%1,972.3亿
15.84%1,178.43亿
34.00%1,281.92亿
1,191.82%1,298.34亿
656.73%805.8亿
656.73%805.8亿
1,031.83%1,017.27亿
963.80%956.64亿
其他流动资产
428.50%1.68亿
-14.05%1,619.1万
-14.05%1,619.1万
-89.34%1,953.2万
37.18%1,526.5万
1,142.92%3,188.1万
539.63%1,883.7万
539.63%1,883.7万
5,193.47%1.83亿
113.63%1,112.8万
流动资产合计
153.11%3,438.41亿
135.36%2,034.67亿
135.36%2,034.67亿
15.08%1,239.19亿
31.42%1,342.62亿
701.88%1,358.44亿
370.50%864.48亿
370.50%864.48亿
578.52%1,076.8亿
617.53%1,021.62亿
非流动资产
固定资产净额
-4.01%2.03亿
-14.89%2.05亿
-14.89%2.05亿
-12.01%2.18亿
-10.49%2.04亿
34.59%2.12亿
53.04%2.41亿
53.04%2.41亿
53.45%2.47亿
44.90%2.28亿
-固定资产
-4.01%2.03亿
-0.06%3.26亿
-0.06%3.26亿
-12.01%2.18亿
-10.49%2.04亿
34.59%2.12亿
63.23%3.26亿
63.23%3.26亿
53.45%2.47亿
44.90%2.28亿
-累计折旧
----
-42.01%-1.21亿
-42.01%-1.21亿
----
----
----
-101.24%-8,501.5万
-101.24%-8,501.5万
----
----
商誉及其他无形资产
-3.93%12.19亿
1.39%12.26亿
1.39%12.26亿
-33.58%12.35亿
-1.24%12.48亿
-2.30%12.69亿
50.71%12.09亿
50.71%12.09亿
161.93%18.59亿
103.40%12.63亿
-商誉
0.00%11.4亿
6.12%11.4亿
6.12%11.4亿
6.12%11.4亿
6.12%11.4亿
5.51%11.4亿
71.62%10.74亿
71.62%10.74亿
89.26%10.74亿
114.24%10.74亿
-其他无形资产
-38.50%7,975.5万
-36.19%8,642.2万
-36.19%8,642.2万
-87.90%9,493.5万
-42.94%1.08亿
-40.81%1.3亿
-23.35%1.35亿
-23.35%1.35亿
451.92%7.85亿
58.07%1.9亿
投资和预付款
125.52%18.69亿
5.58%7.93亿
5.58%7.93亿
127.72%8.13亿
125.17%7.9亿
106.64%8.29亿
-44.45%7.51亿
-44.45%7.51亿
27.11%3.57亿
419.08%3.51亿
非流动递延资产
-22.74%8.8亿
21.54%12.72亿
21.54%12.72亿
8.99%11.06亿
23.94%11.27亿
51.69%11.39亿
82.51%10.47亿
82.51%10.47亿
72.78%10.15亿
730.34%9.1亿
长期预付费用
----
47.88%1,625万
47.88%1,625万
16.09%1,223.8万
-7.26%1,152.3万
-25.74%945.2万
-17.67%1,098.9万
-17.67%1,098.9万
-10.44%1,054.2万
17.82%1,242.5万
其他非流动资产
--2,398.5万
-79.20%359万
-79.20%359万
6,707.32%279.1万
-98.60%757万
----
1,079.56%1,725.7万
1,079.56%1,725.7万
-100.00%4.1万
-7.57%5.42亿
非流动资产合计
21.33%41.96亿
7.32%35.16亿
7.32%35.16亿
-2.92%33.86亿
2.50%33.89亿
-12.56%34.58亿
12.97%32.77亿
12.97%32.77亿
34.97%34.88亿
112.99%33.06亿
总资产
149.84%3,480.36亿
130.69%2,069.83亿
130.69%2,069.83亿
14.52%1,273.06亿
30.51%1,376.51亿
566.67%1,393.02亿
321.75%897.25亿
321.75%897.25亿
502.40%1,111.68亿
567.93%1,054.68亿
负债
流动负债
应付款项
93.47%1.85亿
-1.33%1.72亿
-1.33%1.72亿
-16.92%1.11亿
-28.68%9,499万
-8.01%9,580.5万
48.54%1.74亿
48.54%1.74亿
102.94%1.34亿
64.18%1.33亿
-应付账款
13.21%2,682.5万
-29.89%3,929.4万
-29.89%3,929.4万
-40.27%3,674.4万
-31.32%2,798.3万
87.30%2,369.4万
40.69%5,604.3万
40.69%5,604.3万
109.07%6,151.4万
13.24%4,074.5万
-应付税费
548.42%3,522.2万
213.81%1,736.6万
213.81%1,736.6万
72.61%1,466.3万
-70.58%284万
42.35%543.2万
21.55%553.4万
21.55%553.4万
79.33%849.5万
167.15%965.2万
-其他应付款
84.92%1.23亿
2.32%1.15亿
2.32%1.15亿
-6.32%5,975.3万
-22.50%6,416.7万
-23.95%6,667.9万
54.51%1.13亿
54.51%1.13亿
100.77%6,378.2万
99.37%8,279.5万
应计费用
20.35%2.44亿
63.27%3.15亿
63.27%3.15亿
33.13%3亿
-46.43%1.95亿
-50.16%2.03亿
-43.69%1.93亿
-43.69%1.93亿
0.34%2.25亿
96.44%3.64亿
短期借款与租赁负债
-30.96%882万
-79.91%1,090.2万
-79.91%1,090.2万
-64.17%1,201.5万
-64.39%1,235万
-92.98%1,277.6万
3.48%5,425.3万
3.48%5,425.3万
5.28%3,353.7万
12.11%3,467.8万
-短期借款
----
----
----
----
----
----
2.29%2,051.9万
2.29%2,051.9万
--51.2万
--50.4万
-短期租赁负债
-30.96%882万
-67.68%1,090.2万
-67.68%1,090.2万
-63.62%1,201.5万
-63.86%1,235万
-60.92%1,277.6万
4.23%3,373.4万
4.23%3,373.4万
3.68%3,302.5万
10.48%3,417.4万
递延负债
158.02%3,347.08亿
145.70%1,971.54亿
145.70%1,971.54亿
16.06%1,177.66亿
34.09%1,280.92亿
1,231.46%1,297.24亿
665.63%802.43亿
665.63%802.43亿
1,052.03%1,014.71亿
965.12%955.25亿
其他流动负债
250.31%5.88亿
-58.43%6,298万
-58.43%6,298万
-47.89%1.09亿
5.83%1.45亿
-65.44%1.68亿
-64.49%1.52亿
-64.49%1.52亿
-56.75%2.1亿
-66.81%1.37亿
流动负债总额
157.86%3,357.35亿
144.65%1,977.14亿
144.65%1,977.14亿
15.90%1,182.99亿
33.62%1,285.39亿
1,092.13%1,302.03亿
607.72%808.15亿
607.72%808.15亿
961.59%1,020.73亿
893.99%961.94亿
非流动负债
长期借款与租赁负债
24.01%42.25亿
-13.15%29.84亿
-13.15%29.84亿
-10.44%30.82亿
-3.06%33.43亿
-1.34%34.07亿
-0.68%34.35亿
-0.68%34.35亿
-0.65%34.41亿
131.55%34.48亿
-长期借款
24.43%42.25亿
-12.18%29.8亿
-12.18%29.8亿
-9.28%30.77亿
-1.62%33.34亿
0.26%33.96亿
0.26%33.93亿
0.26%33.93亿
0.27%33.91亿
140.88%33.89亿
-长期租赁负债
----
-90.91%382.1万
-90.91%382.1万
-88.66%569万
-85.48%861.1万
-83.00%1,128.9万
-43.24%4,204.4万
-43.24%4,204.4万
-38.52%5,016.7万
-27.92%5,931.7万
可转换优先证券
--0
--0
--0
----
----
----
--0
--0
----
----
其他非流动负债
-65.85%587万
-82.62%339.5万
-82.62%339.5万
-87.67%339.5万
16.74%1,425.2万
-28.35%1,718.8万
31.72%1,953.1万
31.72%1,953.1万
85.76%2,754.5万
--1,220.8万
非流动负债总额
23.56%42.31亿
-13.54%29.87亿
-13.54%29.87亿
-11.05%30.86亿
-2.99%33.57亿
-1.53%34.24亿
-0.54%34.55亿
-0.54%34.55亿
-0.28%34.69亿
132.37%34.61亿
总负债
154.41%3,399.65亿
138.16%2,007.01亿
138.16%2,007.01亿
15.01%1,213.84亿
32.35%1,318.96亿
828.02%1,336.27亿
465.85%842.7亿
465.85%842.7亿
706.05%1,055.42亿
792.42%996.55亿
所有者权益
股本
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
-普通股股本
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
留存收益
116.09%35.58亿
5.50%18.2亿
5.50%18.2亿
-32.23%15.47亿
-45.20%15.49亿
-58.00%16.47亿
-60.34%17.25亿
-60.34%17.25亿
-34.98%22.82亿
-8.92%28.27亿
资本公积
12.17%45.5亿
19.21%44.92亿
19.21%44.92亿
30.71%44.18亿
41.10%42.39亿
57.29%40.57亿
85.18%37.68亿
85.18%37.68亿
82.65%33.8亿
98.11%30.04亿
不影响留存收益的损益
-31.99%-3,749.6万
21.59%-3,027万
21.59%-3,027万
-20.88%-4,411.3万
-85.84%-3,379.2万
-630.31%-2,840.9万
-1,037.14%-3,860.6万
-1,037.14%-3,860.6万
-8,347.45%-3,649.3万
-755.48%-1,818.3万
股东权益总额
42.22%80.71亿
15.16%62.82亿
15.16%62.82亿
5.24%59.21亿
-1.01%57.55亿
-12.64%56.75亿
-14.53%54.55亿
-14.53%54.55亿
4.96%56.26亿
25.74%58.13亿
总权益
42.22%80.71亿
15.16%62.82亿
15.16%62.82亿
5.24%59.21亿
-1.01%57.55亿
-12.64%56.75亿
-14.53%54.55亿
-14.53%54.55亿
4.96%56.26亿
25.74%58.13亿
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
--
--
--
(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30
资产
流动资产
现金及现金等价物和短期投资 35.09%71.88亿8.12%57.15亿8.12%57.15亿2.36%55.02亿-9.29%54.82亿-15.49%53.21亿-26.82%52.86亿-26.82%52.86亿-16.61%53.75亿33.98%60.44亿
-现金和现金等价物 31.25%65.87亿16.14%51.39亿16.14%51.39亿1.88%51.01亿-9.07%51.67亿-17.95%50.18亿-37.88%44.25亿-37.88%44.25亿-21.19%50.07亿30.14%56.82亿
-短期投资 98.73%6.02亿-33.11%5.76亿-33.11%5.76亿8.88%4.01亿-12.77%3.16亿68.36%3.03亿760.32%8.61亿760.32%8.61亿299.67%3.68亿149.47%3.62亿
应收款项 103.85%11.18亿-8.47%4.25亿-8.47%4.25亿55.28%4.67亿59.72%4.92亿36.13%5.48亿27.02%4.65亿27.02%4.65亿-9.33%3.01亿-50.29%3.08亿
-应收账款 29.56%2.8亿-23.63%1.68亿-23.63%1.68亿50.58%9,266.6万213.83%2.31亿147.18%2.16亿761.00%2.2亿761.00%2.2亿-23.38%6,154.1万11.84%7,362.3万
-应收贷款 311.78%7.97亿5.11%1.93亿5.11%1.93亿134.51%2.73亿35.35%1.71亿-11.29%1.94亿-15.76%1.84亿-15.76%1.84亿6.66%1.17亿31.89%1.26亿
-应收利息 --------------------------------22.78%7,916.4万74.92%6,152.4万
-应收税费 -41.21%3,994.5万5.44%6,372.6万5.44%6,372.6万15.21%6,972.7万3.77%6,475.9万19.69%6,794.7万-1.29%6,044.1万-1.29%6,044.1万-36.08%6,052.2万-85.66%6,240.6万
-其他应收款 --------------5,321.1万--3,892万--8,473.9万----------------
-应收账款调整额 -------------28.93%-2,185.6万14.33%-1,330.9万29.50%-1,439.3万--------0.15%-1,695.2万-29.91%-1,553.5万
预付费用 -9.41%9,800.4万-18.99%7,955.2万-18.99%7,955.2万-6.17%8,810.1万-40.35%8,072.5万-42.61%1.08亿-26.11%9,820.4万-26.11%9,820.4万-7.68%9,389万23.55%1.35亿
受限制现金 158.23%3,352.68亿144.76%1,972.3亿144.76%1,972.3亿15.84%1,178.43亿34.00%1,281.92亿1,191.82%1,298.34亿656.73%805.8亿656.73%805.8亿1,031.83%1,017.27亿963.80%956.64亿
其他流动资产 428.50%1.68亿-14.05%1,619.1万-14.05%1,619.1万-89.34%1,953.2万37.18%1,526.5万1,142.92%3,188.1万539.63%1,883.7万539.63%1,883.7万5,193.47%1.83亿113.63%1,112.8万
流动资产合计 153.11%3,438.41亿135.36%2,034.67亿135.36%2,034.67亿15.08%1,239.19亿31.42%1,342.62亿701.88%1,358.44亿370.50%864.48亿370.50%864.48亿578.52%1,076.8亿617.53%1,021.62亿
非流动资产
固定资产净额 -4.01%2.03亿-14.89%2.05亿-14.89%2.05亿-12.01%2.18亿-10.49%2.04亿34.59%2.12亿53.04%2.41亿53.04%2.41亿53.45%2.47亿44.90%2.28亿
-固定资产 -4.01%2.03亿-0.06%3.26亿-0.06%3.26亿-12.01%2.18亿-10.49%2.04亿34.59%2.12亿63.23%3.26亿63.23%3.26亿53.45%2.47亿44.90%2.28亿
-累计折旧 -----42.01%-1.21亿-42.01%-1.21亿-------------101.24%-8,501.5万-101.24%-8,501.5万--------
商誉及其他无形资产 -3.93%12.19亿1.39%12.26亿1.39%12.26亿-33.58%12.35亿-1.24%12.48亿-2.30%12.69亿50.71%12.09亿50.71%12.09亿161.93%18.59亿103.40%12.63亿
-商誉 0.00%11.4亿6.12%11.4亿6.12%11.4亿6.12%11.4亿6.12%11.4亿5.51%11.4亿71.62%10.74亿71.62%10.74亿89.26%10.74亿114.24%10.74亿
-其他无形资产 -38.50%7,975.5万-36.19%8,642.2万-36.19%8,642.2万-87.90%9,493.5万-42.94%1.08亿-40.81%1.3亿-23.35%1.35亿-23.35%1.35亿451.92%7.85亿58.07%1.9亿
投资和预付款 125.52%18.69亿5.58%7.93亿5.58%7.93亿127.72%8.13亿125.17%7.9亿106.64%8.29亿-44.45%7.51亿-44.45%7.51亿27.11%3.57亿419.08%3.51亿
非流动递延资产 -22.74%8.8亿21.54%12.72亿21.54%12.72亿8.99%11.06亿23.94%11.27亿51.69%11.39亿82.51%10.47亿82.51%10.47亿72.78%10.15亿730.34%9.1亿
长期预付费用 ----47.88%1,625万47.88%1,625万16.09%1,223.8万-7.26%1,152.3万-25.74%945.2万-17.67%1,098.9万-17.67%1,098.9万-10.44%1,054.2万17.82%1,242.5万
其他非流动资产 --2,398.5万-79.20%359万-79.20%359万6,707.32%279.1万-98.60%757万----1,079.56%1,725.7万1,079.56%1,725.7万-100.00%4.1万-7.57%5.42亿
非流动资产合计 21.33%41.96亿7.32%35.16亿7.32%35.16亿-2.92%33.86亿2.50%33.89亿-12.56%34.58亿12.97%32.77亿12.97%32.77亿34.97%34.88亿112.99%33.06亿
总资产 149.84%3,480.36亿130.69%2,069.83亿130.69%2,069.83亿14.52%1,273.06亿30.51%1,376.51亿566.67%1,393.02亿321.75%897.25亿321.75%897.25亿502.40%1,111.68亿567.93%1,054.68亿
负债
流动负债
应付款项 93.47%1.85亿-1.33%1.72亿-1.33%1.72亿-16.92%1.11亿-28.68%9,499万-8.01%9,580.5万48.54%1.74亿48.54%1.74亿102.94%1.34亿64.18%1.33亿
-应付账款 13.21%2,682.5万-29.89%3,929.4万-29.89%3,929.4万-40.27%3,674.4万-31.32%2,798.3万87.30%2,369.4万40.69%5,604.3万40.69%5,604.3万109.07%6,151.4万13.24%4,074.5万
-应付税费 548.42%3,522.2万213.81%1,736.6万213.81%1,736.6万72.61%1,466.3万-70.58%284万42.35%543.2万21.55%553.4万21.55%553.4万79.33%849.5万167.15%965.2万
-其他应付款 84.92%1.23亿2.32%1.15亿2.32%1.15亿-6.32%5,975.3万-22.50%6,416.7万-23.95%6,667.9万54.51%1.13亿54.51%1.13亿100.77%6,378.2万99.37%8,279.5万
应计费用 20.35%2.44亿63.27%3.15亿63.27%3.15亿33.13%3亿-46.43%1.95亿-50.16%2.03亿-43.69%1.93亿-43.69%1.93亿0.34%2.25亿96.44%3.64亿
短期借款与租赁负债 -30.96%882万-79.91%1,090.2万-79.91%1,090.2万-64.17%1,201.5万-64.39%1,235万-92.98%1,277.6万3.48%5,425.3万3.48%5,425.3万5.28%3,353.7万12.11%3,467.8万
-短期借款 ------------------------2.29%2,051.9万2.29%2,051.9万--51.2万--50.4万
-短期租赁负债 -30.96%882万-67.68%1,090.2万-67.68%1,090.2万-63.62%1,201.5万-63.86%1,235万-60.92%1,277.6万4.23%3,373.4万4.23%3,373.4万3.68%3,302.5万10.48%3,417.4万
递延负债 158.02%3,347.08亿145.70%1,971.54亿145.70%1,971.54亿16.06%1,177.66亿34.09%1,280.92亿1,231.46%1,297.24亿665.63%802.43亿665.63%802.43亿1,052.03%1,014.71亿965.12%955.25亿
其他流动负债 250.31%5.88亿-58.43%6,298万-58.43%6,298万-47.89%1.09亿5.83%1.45亿-65.44%1.68亿-64.49%1.52亿-64.49%1.52亿-56.75%2.1亿-66.81%1.37亿
流动负债总额 157.86%3,357.35亿144.65%1,977.14亿144.65%1,977.14亿15.90%1,182.99亿33.62%1,285.39亿1,092.13%1,302.03亿607.72%808.15亿607.72%808.15亿961.59%1,020.73亿893.99%961.94亿
非流动负债
长期借款与租赁负债 24.01%42.25亿-13.15%29.84亿-13.15%29.84亿-10.44%30.82亿-3.06%33.43亿-1.34%34.07亿-0.68%34.35亿-0.68%34.35亿-0.65%34.41亿131.55%34.48亿
-长期借款 24.43%42.25亿-12.18%29.8亿-12.18%29.8亿-9.28%30.77亿-1.62%33.34亿0.26%33.96亿0.26%33.93亿0.26%33.93亿0.27%33.91亿140.88%33.89亿
-长期租赁负债 -----90.91%382.1万-90.91%382.1万-88.66%569万-85.48%861.1万-83.00%1,128.9万-43.24%4,204.4万-43.24%4,204.4万-38.52%5,016.7万-27.92%5,931.7万
可转换优先证券 --0--0--0--------------0--0--------
其他非流动负债 -65.85%587万-82.62%339.5万-82.62%339.5万-87.67%339.5万16.74%1,425.2万-28.35%1,718.8万31.72%1,953.1万31.72%1,953.1万85.76%2,754.5万--1,220.8万
非流动负债总额 23.56%42.31亿-13.54%29.87亿-13.54%29.87亿-11.05%30.86亿-2.99%33.57亿-1.53%34.24亿-0.54%34.55亿-0.54%34.55亿-0.28%34.69亿132.37%34.61亿
总负债 154.41%3,399.65亿138.16%2,007.01亿138.16%2,007.01亿15.01%1,213.84亿32.35%1,318.96亿828.02%1,336.27亿465.85%842.7亿465.85%842.7亿706.05%1,055.42亿792.42%996.55亿
所有者权益
股本 0.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,000
-普通股股本 0.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,000
留存收益 116.09%35.58亿5.50%18.2亿5.50%18.2亿-32.23%15.47亿-45.20%15.49亿-58.00%16.47亿-60.34%17.25亿-60.34%17.25亿-34.98%22.82亿-8.92%28.27亿
资本公积 12.17%45.5亿19.21%44.92亿19.21%44.92亿30.71%44.18亿41.10%42.39亿57.29%40.57亿85.18%37.68亿85.18%37.68亿82.65%33.8亿98.11%30.04亿
不影响留存收益的损益 -31.99%-3,749.6万21.59%-3,027万21.59%-3,027万-20.88%-4,411.3万-85.84%-3,379.2万-630.31%-2,840.9万-1,037.14%-3,860.6万-1,037.14%-3,860.6万-8,347.45%-3,649.3万-755.48%-1,818.3万
股东权益总额 42.22%80.71亿15.16%62.82亿15.16%62.82亿5.24%59.21亿-1.01%57.55亿-12.64%56.75亿-14.53%54.55亿-14.53%54.55亿4.96%56.26亿25.74%58.13亿
总权益 42.22%80.71亿15.16%62.82亿15.16%62.82亿5.24%59.21亿-1.01%57.55亿-12.64%56.75亿-14.53%54.55亿-14.53%54.55亿4.96%56.26亿25.74%58.13亿
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------

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