美股市场个股详情

商用汽车集团 (CVGI)

添加自选
  • 4.930
  • +0.120+2.49%
交易中 05/22 13:04 (美东)
1.79亿总市值-9.30市盈率TTM

商用汽车集团 (CVGI) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 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
资产
流动资产
现金及现金等价物和短期投资
41.91%2,868.4万
24.98%3,328.2万
24.98%3,328.2万
1.43%3,132.6万
15.12%4,529万
-56.82%2,021.3万
-29.64%2,663万
-29.64%2,663万
-33.28%3,088.5万
-7.30%3,934.1万
-现金和现金等价物
41.91%2,868.4万
24.98%3,328.2万
24.98%3,328.2万
1.43%3,132.6万
15.12%4,529万
-56.82%2,021.3万
-29.64%2,663万
-29.64%2,663万
-33.28%3,088.5万
-7.30%3,934.1万
应收款项
-15.60%1.01亿
-27.32%8,626.2万
-27.32%8,626.2万
-38.49%9,056.8万
-22.58%1.07亿
-17.68%1.19亿
-8.24%1.19亿
-8.24%1.19亿
-7.89%1.47亿
-20.05%1.39亿
-应收账款
-15.60%1.01亿
-27.32%8,626.2万
-27.32%8,626.2万
-28.83%9,056.8万
-22.58%1.07亿
-17.68%1.19亿
-8.24%1.19亿
-8.24%1.19亿
-20.40%1.27亿
-20.05%1.39亿
-应收票据
----
----
----
----
----
----
----
----
--2,000万
----
存货
-1.20%1.22亿
-7.54%1.19亿
-7.54%1.19亿
-6.01%1.23亿
-11.99%1.17亿
-3.43%1.23亿
9.34%1.28亿
9.34%1.28亿
2.13%1.31亿
0.65%1.33亿
其他流动资产
-16.77%2,552.3万
-15.24%2,522.6万
-15.24%2,522.6万
-3.74%3,105.7万
-5.46%3,368.7万
-16.63%3,066.7万
7.53%2,976.3万
7.53%2,976.3万
7.93%3,226.3万
60.66%3,563.4万
流动资产合计
-5.72%2.77亿
-13.18%2.63亿
-13.18%2.63亿
-20.29%2.76亿
-12.48%3.03亿
-17.62%2.93亿
-7.46%3.03亿
-7.46%3.03亿
-4.94%3.46亿
-6.37%3.46亿
非流动资产
固定资产净额
-39.83%6,254.9万
4.66%1.03亿
4.66%1.03亿
-5.02%6,612.7万
-10.27%6,777.1万
40.74%1.04亿
-1.29%9,879.2万
-1.29%9,879.2万
-2.70%6,961.9万
7.33%7,553万
-固定资产
-10.91%2.55亿
7.22%2.97亿
7.22%2.97亿
1.42%2.57亿
-4.14%2.56亿
--2.87亿
-0.13%2.77亿
-0.13%2.77亿
-2.41%2.54亿
3.91%2.67亿
-累计折旧
-5.56%-1.93亿
-8.64%-1.93亿
-8.64%-1.93亿
-3.86%-1.91亿
1.72%-1.88亿
---1.83亿
-0.53%-1.78亿
-0.53%-1.78亿
2.31%-1.84亿
-2.62%-1.91亿
商誉及其他无形资产
-15.34%320.1万
-14.50%335万
-14.50%335万
-15.51%349.2万
-52.78%365.6万
-55.27%378.1万
-40.58%391.8万
-40.58%391.8万
-65.68%413.3万
-40.09%774.3万
-其他无形资产
-15.34%320.1万
-14.50%335万
-14.50%335万
-15.51%349.2万
-52.78%365.6万
-55.27%378.1万
-40.58%391.8万
-40.58%391.8万
-65.68%413.3万
-40.09%774.3万
非流动递延资产
-1.68%1,119万
2.39%1,134.9万
2.39%1,134.9万
-69.57%1,196.9万
-64.63%1,208.1万
-65.53%1,138.1万
-66.98%1,108.4万
-66.98%1,108.4万
251.74%3,932.8万
210.41%3,415.8万
其他非流动资产
712.59%5,894.5万
37.65%1,029.5万
37.65%1,029.5万
18.54%4,267.2万
9.44%4,327.8万
-80.77%725.4万
-50.87%747.9万
-50.87%747.9万
-2.78%3,599.8万
8.60%3,954.5万
非流动资产合计
7.53%1.36亿
5.87%1.28亿
5.87%1.28亿
-16.65%1.24亿
-19.23%1.27亿
-17.43%1.26亿
-22.00%1.21亿
-22.00%1.21亿
13.11%1.49亿
20.09%1.57亿
总资产
-1.73%4.13亿
-7.74%3.92亿
-7.74%3.92亿
-19.19%4亿
-14.59%4.3亿
-17.56%4.2亿
-12.14%4.25亿
-12.14%4.25亿
-0.14%4.95亿
0.54%5.03亿
负债
流动负债
应付款项
0.41%8,930.2万
-2.48%7,716万
-2.48%7,716万
-27.54%7,079万
-19.22%8,380.4万
-7.89%8,894.1万
-1.42%7,912.4万
-1.42%7,912.4万
-12.60%9,769.6万
-9.34%1.04亿
-应付账款
-1.80%8,401.8万
-3.66%7,418万
-3.66%7,418万
-27.91%6,705万
-20.77%7,987.4万
-5.36%8,555.6万
2.33%7,700.2万
2.33%7,700.2万
-11.51%9,300.8万
-5.17%1.01亿
-应付税费
56.10%528.4万
40.43%298万
40.43%298万
-20.22%374万
34.04%393万
-45.08%338.5万
-57.73%212.2万
-57.73%212.2万
-29.75%468.8万
-63.90%293.2万
应计费用
-1.88%667.5万
-24.88%556.1万
-24.88%556.1万
-33.69%557万
17.48%694.1万
12.32%680.3万
7.46%740.3万
7.46%740.3万
75.15%840万
33.27%590.8万
短期借款与租赁负债
-44.08%1,233.9万
-37.56%1,028.5万
-37.56%1,028.5万
37.51%1,324.5万
-47.17%1,317.3万
-5.90%2,206.6万
-27.81%1,647.1万
-27.81%1,647.1万
-61.62%963.2万
-4.04%2,493.4万
-短期借款
-72.41%383.7万
-71.90%237.1万
-71.90%237.1万
73.69%515.7万
-70.67%513.2万
-15.24%1,390.6万
-44.90%843.8万
-44.90%843.8万
-83.80%296.9万
1.39%1,750万
-短期租赁负债
4.19%850.2万
-1.48%791.4万
-1.48%791.4万
21.39%808.8万
8.17%804.1万
15.84%816万
7.08%803.3万
7.08%803.3万
-1.51%666.3万
-14.78%743.4万
其他流动负债
-17.16%502.2万
-69.42%313.7万
-69.42%313.7万
-70.37%392.8万
-74.43%320.4万
-44.74%606.2万
-11.68%1,025.8万
-11.68%1,025.8万
60.33%1,325.8万
39.74%1,252.9万
流动负债总额
-6.38%1.3亿
-13.87%1.08亿
-13.87%1.08亿
-25.12%1.12亿
-25.12%1.26亿
-10.56%1.39亿
-13.36%1.26亿
-13.36%1.26亿
-14.91%1.5亿
-5.82%1.68亿
非流动负债
长期借款与租赁负债
-31.82%8,973.2万
-10.69%1.34亿
-10.69%1.34亿
-14.73%1.07亿
-5.83%1.17亿
-5.54%1.32亿
-0.51%1.5亿
-0.51%1.5亿
-7.22%1.26亿
-13.54%1.24亿
-长期借款
-13.30%8,973.2万
-18.15%1.04亿
-18.15%1.04亿
-14.73%1.07亿
-5.83%1.17亿
-25.72%1.03亿
0.68%1.27亿
0.68%1.27亿
-7.22%1.26亿
-13.54%1.24亿
-长期租赁负债
----
30.88%2,983.3万
30.88%2,983.3万
----
----
--2,811.2万
-6.64%2,279.5万
-6.64%2,279.5万
----
----
员工福利
-20.40%674.4万
-15.24%690.2万
-15.24%690.2万
-14.03%876.5万
-6.60%896万
-11.16%847.2万
-11.45%814.3万
-11.45%814.3万
9.33%1,019.5万
9.26%959.3万
其他非流动负债
1,132.06%5,533.2万
78.80%926.7万
78.80%926.7万
17.80%3,528.4万
11.44%3,529.3万
-84.97%449.1万
-1.24%518.3万
-1.24%518.3万
6.40%2,995.3万
22.96%3,167.1万
非流动负债总额
5.01%1.52亿
-8.07%1.5亿
-8.07%1.5亿
-8.81%1.51亿
-2.57%1.61亿
-19.12%1.45亿
-1.16%1.63亿
-1.16%1.63亿
-4.11%1.66亿
-7.15%1.66亿
总负债
-0.57%2.82亿
-10.60%2.58亿
-10.60%2.58亿
-16.56%2.64亿
-13.92%2.87亿
-15.14%2.83亿
-6.87%2.89亿
-6.87%2.89亿
-9.56%3.16亿
-6.49%3.34亿
所有者权益
股本
2.67%34.6万
1.48%34.2万
1.48%34.2万
1.49%34万
1.50%33.9万
1.20%33.7万
1.20%33.7万
1.20%33.7万
1.52%33.5万
1.21%33.4万
-普通股股本
2.67%34.6万
1.48%34.2万
1.48%34.2万
1.49%34万
1.50%33.9万
1.20%33.7万
1.20%33.7万
1.20%33.7万
1.52%33.5万
1.21%33.4万
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
-22.42%-9,593万
-30.76%-9,683.2万
-30.76%-9,683.2万
-155.30%-9,020.4万
-85.35%-8,312.4万
-81.21%-7,836.3万
-60.34%-7,405.1万
-60.34%-7,405.1万
49.14%-3,533.2万
41.57%-4,484.6万
资本公积
1.46%2.74亿
1.41%2.73亿
1.41%2.73亿
1.38%2.72亿
1.36%2.71亿
1.51%2.7亿
1.47%2.69亿
1.47%2.69亿
1.73%2.68亿
1.65%2.67亿
减:库存股
4.94%1,728.1万
1.45%1,670.6万
1.45%1,670.6万
2.23%1,657万
1.91%1,647.9万
1.96%1,646.8万
1.97%1,646.8万
1.97%1,646.8万
5.79%1,620.9万
5.67%1,617万
不影响留存收益的损益
22.61%-2,997.7万
39.21%-2,635万
39.21%-2,635万
23.27%-2,894.4万
21.58%-2,896.9万
-23.85%-3,873.7万
-43.12%-4,334.3万
-43.12%-4,334.3万
-15.61%-3,772.4万
-34.77%-3,694.1万
股东权益总额
-4.15%1.31亿
-1.65%1.33亿
-1.65%1.33亿
-23.84%1.37亿
-15.90%1.43亿
-22.15%1.37亿
-21.59%1.36亿
-21.59%1.36亿
22.32%1.79亿
17.98%1.7亿
总权益
-4.15%1.31亿
-1.65%1.33亿
-1.65%1.33亿
-23.84%1.37亿
-15.90%1.43亿
-22.15%1.37亿
-21.59%1.36亿
-21.59%1.36亿
22.32%1.79亿
17.98%1.7亿
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)2026/03/31(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
资产
流动资产
现金及现金等价物和短期投资 41.91%2,868.4万24.98%3,328.2万24.98%3,328.2万1.43%3,132.6万15.12%4,529万-56.82%2,021.3万-29.64%2,663万-29.64%2,663万-33.28%3,088.5万-7.30%3,934.1万
-现金和现金等价物 41.91%2,868.4万24.98%3,328.2万24.98%3,328.2万1.43%3,132.6万15.12%4,529万-56.82%2,021.3万-29.64%2,663万-29.64%2,663万-33.28%3,088.5万-7.30%3,934.1万
应收款项 -15.60%1.01亿-27.32%8,626.2万-27.32%8,626.2万-38.49%9,056.8万-22.58%1.07亿-17.68%1.19亿-8.24%1.19亿-8.24%1.19亿-7.89%1.47亿-20.05%1.39亿
-应收账款 -15.60%1.01亿-27.32%8,626.2万-27.32%8,626.2万-28.83%9,056.8万-22.58%1.07亿-17.68%1.19亿-8.24%1.19亿-8.24%1.19亿-20.40%1.27亿-20.05%1.39亿
-应收票据 ----------------------------------2,000万----
存货 -1.20%1.22亿-7.54%1.19亿-7.54%1.19亿-6.01%1.23亿-11.99%1.17亿-3.43%1.23亿9.34%1.28亿9.34%1.28亿2.13%1.31亿0.65%1.33亿
其他流动资产 -16.77%2,552.3万-15.24%2,522.6万-15.24%2,522.6万-3.74%3,105.7万-5.46%3,368.7万-16.63%3,066.7万7.53%2,976.3万7.53%2,976.3万7.93%3,226.3万60.66%3,563.4万
流动资产合计 -5.72%2.77亿-13.18%2.63亿-13.18%2.63亿-20.29%2.76亿-12.48%3.03亿-17.62%2.93亿-7.46%3.03亿-7.46%3.03亿-4.94%3.46亿-6.37%3.46亿
非流动资产
固定资产净额 -39.83%6,254.9万4.66%1.03亿4.66%1.03亿-5.02%6,612.7万-10.27%6,777.1万40.74%1.04亿-1.29%9,879.2万-1.29%9,879.2万-2.70%6,961.9万7.33%7,553万
-固定资产 -10.91%2.55亿7.22%2.97亿7.22%2.97亿1.42%2.57亿-4.14%2.56亿--2.87亿-0.13%2.77亿-0.13%2.77亿-2.41%2.54亿3.91%2.67亿
-累计折旧 -5.56%-1.93亿-8.64%-1.93亿-8.64%-1.93亿-3.86%-1.91亿1.72%-1.88亿---1.83亿-0.53%-1.78亿-0.53%-1.78亿2.31%-1.84亿-2.62%-1.91亿
商誉及其他无形资产 -15.34%320.1万-14.50%335万-14.50%335万-15.51%349.2万-52.78%365.6万-55.27%378.1万-40.58%391.8万-40.58%391.8万-65.68%413.3万-40.09%774.3万
-其他无形资产 -15.34%320.1万-14.50%335万-14.50%335万-15.51%349.2万-52.78%365.6万-55.27%378.1万-40.58%391.8万-40.58%391.8万-65.68%413.3万-40.09%774.3万
非流动递延资产 -1.68%1,119万2.39%1,134.9万2.39%1,134.9万-69.57%1,196.9万-64.63%1,208.1万-65.53%1,138.1万-66.98%1,108.4万-66.98%1,108.4万251.74%3,932.8万210.41%3,415.8万
其他非流动资产 712.59%5,894.5万37.65%1,029.5万37.65%1,029.5万18.54%4,267.2万9.44%4,327.8万-80.77%725.4万-50.87%747.9万-50.87%747.9万-2.78%3,599.8万8.60%3,954.5万
非流动资产合计 7.53%1.36亿5.87%1.28亿5.87%1.28亿-16.65%1.24亿-19.23%1.27亿-17.43%1.26亿-22.00%1.21亿-22.00%1.21亿13.11%1.49亿20.09%1.57亿
总资产 -1.73%4.13亿-7.74%3.92亿-7.74%3.92亿-19.19%4亿-14.59%4.3亿-17.56%4.2亿-12.14%4.25亿-12.14%4.25亿-0.14%4.95亿0.54%5.03亿
负债
流动负债
应付款项 0.41%8,930.2万-2.48%7,716万-2.48%7,716万-27.54%7,079万-19.22%8,380.4万-7.89%8,894.1万-1.42%7,912.4万-1.42%7,912.4万-12.60%9,769.6万-9.34%1.04亿
-应付账款 -1.80%8,401.8万-3.66%7,418万-3.66%7,418万-27.91%6,705万-20.77%7,987.4万-5.36%8,555.6万2.33%7,700.2万2.33%7,700.2万-11.51%9,300.8万-5.17%1.01亿
-应付税费 56.10%528.4万40.43%298万40.43%298万-20.22%374万34.04%393万-45.08%338.5万-57.73%212.2万-57.73%212.2万-29.75%468.8万-63.90%293.2万
应计费用 -1.88%667.5万-24.88%556.1万-24.88%556.1万-33.69%557万17.48%694.1万12.32%680.3万7.46%740.3万7.46%740.3万75.15%840万33.27%590.8万
短期借款与租赁负债 -44.08%1,233.9万-37.56%1,028.5万-37.56%1,028.5万37.51%1,324.5万-47.17%1,317.3万-5.90%2,206.6万-27.81%1,647.1万-27.81%1,647.1万-61.62%963.2万-4.04%2,493.4万
-短期借款 -72.41%383.7万-71.90%237.1万-71.90%237.1万73.69%515.7万-70.67%513.2万-15.24%1,390.6万-44.90%843.8万-44.90%843.8万-83.80%296.9万1.39%1,750万
-短期租赁负债 4.19%850.2万-1.48%791.4万-1.48%791.4万21.39%808.8万8.17%804.1万15.84%816万7.08%803.3万7.08%803.3万-1.51%666.3万-14.78%743.4万
其他流动负债 -17.16%502.2万-69.42%313.7万-69.42%313.7万-70.37%392.8万-74.43%320.4万-44.74%606.2万-11.68%1,025.8万-11.68%1,025.8万60.33%1,325.8万39.74%1,252.9万
流动负债总额 -6.38%1.3亿-13.87%1.08亿-13.87%1.08亿-25.12%1.12亿-25.12%1.26亿-10.56%1.39亿-13.36%1.26亿-13.36%1.26亿-14.91%1.5亿-5.82%1.68亿
非流动负债
长期借款与租赁负债 -31.82%8,973.2万-10.69%1.34亿-10.69%1.34亿-14.73%1.07亿-5.83%1.17亿-5.54%1.32亿-0.51%1.5亿-0.51%1.5亿-7.22%1.26亿-13.54%1.24亿
-长期借款 -13.30%8,973.2万-18.15%1.04亿-18.15%1.04亿-14.73%1.07亿-5.83%1.17亿-25.72%1.03亿0.68%1.27亿0.68%1.27亿-7.22%1.26亿-13.54%1.24亿
-长期租赁负债 ----30.88%2,983.3万30.88%2,983.3万----------2,811.2万-6.64%2,279.5万-6.64%2,279.5万--------
员工福利 -20.40%674.4万-15.24%690.2万-15.24%690.2万-14.03%876.5万-6.60%896万-11.16%847.2万-11.45%814.3万-11.45%814.3万9.33%1,019.5万9.26%959.3万
其他非流动负债 1,132.06%5,533.2万78.80%926.7万78.80%926.7万17.80%3,528.4万11.44%3,529.3万-84.97%449.1万-1.24%518.3万-1.24%518.3万6.40%2,995.3万22.96%3,167.1万
非流动负债总额 5.01%1.52亿-8.07%1.5亿-8.07%1.5亿-8.81%1.51亿-2.57%1.61亿-19.12%1.45亿-1.16%1.63亿-1.16%1.63亿-4.11%1.66亿-7.15%1.66亿
总负债 -0.57%2.82亿-10.60%2.58亿-10.60%2.58亿-16.56%2.64亿-13.92%2.87亿-15.14%2.83亿-6.87%2.89亿-6.87%2.89亿-9.56%3.16亿-6.49%3.34亿
所有者权益
股本 2.67%34.6万1.48%34.2万1.48%34.2万1.49%34万1.50%33.9万1.20%33.7万1.20%33.7万1.20%33.7万1.52%33.5万1.21%33.4万
-普通股股本 2.67%34.6万1.48%34.2万1.48%34.2万1.49%34万1.50%33.9万1.20%33.7万1.20%33.7万1.20%33.7万1.52%33.5万1.21%33.4万
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 -22.42%-9,593万-30.76%-9,683.2万-30.76%-9,683.2万-155.30%-9,020.4万-85.35%-8,312.4万-81.21%-7,836.3万-60.34%-7,405.1万-60.34%-7,405.1万49.14%-3,533.2万41.57%-4,484.6万
资本公积 1.46%2.74亿1.41%2.73亿1.41%2.73亿1.38%2.72亿1.36%2.71亿1.51%2.7亿1.47%2.69亿1.47%2.69亿1.73%2.68亿1.65%2.67亿
减:库存股 4.94%1,728.1万1.45%1,670.6万1.45%1,670.6万2.23%1,657万1.91%1,647.9万1.96%1,646.8万1.97%1,646.8万1.97%1,646.8万5.79%1,620.9万5.67%1,617万
不影响留存收益的损益 22.61%-2,997.7万39.21%-2,635万39.21%-2,635万23.27%-2,894.4万21.58%-2,896.9万-23.85%-3,873.7万-43.12%-4,334.3万-43.12%-4,334.3万-15.61%-3,772.4万-34.77%-3,694.1万
股东权益总额 -4.15%1.31亿-1.65%1.33亿-1.65%1.33亿-23.84%1.37亿-15.90%1.43亿-22.15%1.37亿-21.59%1.36亿-21.59%1.36亿22.32%1.79亿17.98%1.7亿
总权益 -4.15%1.31亿-1.65%1.33亿-1.65%1.33亿-23.84%1.37亿-15.90%1.43亿-22.15%1.37亿-21.59%1.36亿-21.59%1.36亿22.32%1.79亿17.98%1.7亿
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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中东战火燃至股市!投资者该如何应对?
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