美股市场个股详情

CWST Casella Waste Systems

添加自选
  • 90.060
  • -4.260-4.52%
收盘价 04/26 16:00 (美东)
  • 90.060
  • 0.0000.00%
盘后 16:31 (美东)
52.33亿总市值281.44市盈率TTM

Casella Waste Systems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
214.58%1.89亿
210.48%2.21亿
210.48%2.21亿
357.06%2.19亿
1,084.75%4.66亿
378.21%6,022.6万
110.45%7,115.2万
110.45%7,115.2万
3.13%4,793.4万
-76.49%3,930.9万
-现金和现金等价物
214.58%1.89亿
210.48%2.21亿
210.48%2.21亿
357.06%2.19亿
1,084.75%4.66亿
378.21%6,022.6万
110.45%7,115.2万
110.45%7,115.2万
3.13%4,793.4万
-76.49%3,930.9万
应收款项
58.52%1.51亿
59.00%1.6亿
59.00%1.6亿
33.37%1.44亿
12.09%1.21亿
2.09%9,519.2万
15.99%1.01亿
15.99%1.01亿
19.35%1.08亿
37.23%1.08亿
-应收账款
54.21%1.47亿
55.94%1.57亿
55.94%1.57亿
29.93%1.4亿
8.65%1.18亿
2.09%9,519.2万
15.99%1.01亿
15.99%1.01亿
19.35%1.08亿
37.23%1.08亿
-应收税费
--410.8万
--308.9万
--308.9万
--372.6万
--372.6万
----
--0
--0
----
----
存货
30.77%1,853.7万
32.56%1,785.9万
32.56%1,785.9万
30.43%1,751.9万
28.41%1,678.4万
20.43%1,417.5万
38.47%1,347.2万
38.47%1,347.2万
37.10%1,343.2万
63.51%1,307.1万
预付费用
28.80%1,497.5万
13.44%1,722.3万
13.44%1,722.3万
36.34%2,044.8万
3.45%1,812.2万
-15.99%1,162.7万
18.93%1,518.2万
18.93%1,518.2万
-10.76%1,499.8万
27.54%1,751.7万
其他流动资产
74.49%1,153万
46.13%991.8万
46.13%991.8万
71.99%1,222.7万
149.76%735.8万
160.47%660.8万
112.36%678.7万
112.36%678.7万
98.85%710.9万
107.32%294.6万
流动资产合计
105.19%3.85亿
105.48%4.26亿
105.48%4.26亿
115.86%4.13亿
247.43%6.29亿
40.19%1.88亿
41.64%2.07亿
41.64%2.07亿
14.55%1.91亿
-32.72%1.81亿
非流动资产
固定资产净额
33.64%10.78亿
33.08%10.81亿
33.08%10.81亿
33.41%10.39亿
21.21%9.23亿
8.94%8.07亿
10.05%8.13亿
10.05%8.13亿
9.01%7.78亿
22.15%7.62亿
-固定资产
19.87%22.75亿
19.79%22.49亿
19.79%22.49亿
19.73%21.75亿
14.80%20.41亿
9.19%18.98亿
9.69%18.77亿
9.69%18.77亿
9.06%18.17亿
14.01%17.78亿
-累计折旧
-9.68%-11.97亿
-9.65%-11.68亿
-9.65%-11.68亿
-9.47%-11.37亿
-9.99%-11.18亿
-9.37%-10.91亿
-9.42%-10.65亿
-9.42%-10.65亿
-9.09%-10.39亿
-8.58%-10.16亿
商誉及其他无形资产
166.55%9.65亿
166.79%9.77亿
166.79%9.77亿
170.63%9.94亿
124.58%8.07亿
0.80%3.62亿
12.14%3.66亿
12.14%3.66亿
14.46%3.67亿
42.22%3.59亿
-商誉
168.35%7.37亿
168.04%7.36亿
168.04%7.36亿
170.57%7.37亿
136.06%6.2亿
6.21%2.74亿
17.86%2.74亿
17.86%2.74亿
19.53%2.72亿
33.47%2.63亿
-其他无形资产
160.93%2.29亿
163.04%2.41亿
163.04%2.41亿
170.79%2.57亿
93.41%1.87亿
-13.04%8,771.2万
-2.07%9,178.3万
-2.07%9,178.3万
2.03%9,479.2万
73.01%9,676.2万
投资和预付款
0.00%1,096.7万
0.00%1,096.7万
0.00%1,096.7万
0.00%1,096.7万
-2.64%1,096.7万
-2.64%1,096.7万
-2.64%1,096.7万
-2.64%1,096.7万
-2.64%1,096.7万
0.00%1,126.4万
非流动递延资产
-53.10%1,101.8万
-50.99%1,122.4万
-50.99%1,122.4万
-74.15%660.4万
-51.83%1,640.8万
-43.03%2,349.1万
-47.90%2,290.3万
-47.90%2,290.3万
-45.38%2,554.9万
-35.84%3,406万
其他非流动资产
-8.40%2,618.8万
-1.91%2,845.8万
-1.91%2,845.8万
35.20%3,474.6万
30.86%3,053.7万
39.08%2,858.8万
71.73%2,901.2万
71.73%2,901.2万
26.60%2,570万
29.04%2,333.5万
非流动资产合计
69.78%20.92亿
69.85%21.09亿
69.85%21.09亿
72.59%20.85亿
50.30%17.88亿
5.04%12.32亿
9.20%12.42亿
9.20%12.42亿
8.50%12.08亿
24.10%11.9亿
总资产
74.47%24.77亿
74.95%25.35亿
74.95%25.35亿
78.51%24.98亿
76.35%24.17亿
8.64%14.2亿
12.90%14.49亿
12.90%14.49亿
9.29%13.99亿
11.64%13.71亿
负债
流动负债
应付款项
20.03%7,998.9万
57.40%1.17亿
57.40%1.17亿
40.85%1亿
19.56%8,760.2万
2.14%6,664万
17.62%7,420.3万
17.62%7,420.3万
2.24%7,107.4万
21.99%7,327万
-应付账款
20.03%7,998.9万
57.40%1.17亿
57.40%1.17亿
40.85%1亿
19.56%8,760.2万
2.14%6,664万
17.62%7,420.3万
17.62%7,420.3万
2.24%7,107.4万
21.99%7,327万
应计费用
24.00%6,222.4万
2.49%8,577.2万
2.49%8,577.2万
26.17%9,164.1万
2.94%7,406.3万
-10.08%5,018.1万
22.18%8,368.7万
22.18%8,368.7万
-10.94%7,263.2万
15.23%7,195万
现行拨备
----
----
----
----
----
--769.1万
----
----
----
----
短期借款与租赁负债
338.49%7,219.3万
180.69%4,482万
180.69%4,482万
179.51%4,258.3万
193.41%4,125.7万
-3.14%1,646.4万
-7.21%1,596.8万
-7.21%1,596.8万
-36.20%1,523.5万
-35.86%1,406.1万
-短期借款
583.29%6,336.8万
298.99%3,578.1万
298.99%3,578.1万
307.30%3,395.7万
328.85%3,274.7万
-6.07%927.4万
-9.42%896.8万
-9.42%896.8万
-50.23%833.7万
-48.11%763.6万
-短期租赁负债
22.74%882.5万
29.13%903.9万
29.13%903.9万
25.05%862.6万
32.45%851万
0.91%719万
-4.20%700万
-4.20%700万
-3.23%689.8万
-10.85%642.5万
递延负债
616.71%2,971.5万
741.05%3,147.2万
741.05%3,147.2万
384.50%1,885.2万
335.57%1,626万
-24.62%414.6万
9.93%374.2万
9.93%374.2万
13.71%389.1万
19.15%373.3万
流动负债总额
68.22%2.44亿
57.01%2.79亿
57.01%2.79亿
55.49%2.53亿
34.46%2.19亿
1.10%1.45亿
16.69%1.78亿
16.69%1.78亿
-8.71%1.63亿
10.47%1.63亿
非流动负债
长期借款与租赁负债
63.74%10.48亿
67.15%10.74亿
67.15%10.74亿
69.67%10.81亿
66.15%10.54亿
3.37%6.4亿
7.26%6.42亿
7.26%6.42亿
7.28%6.37亿
8.22%6.35亿
-长期借款
69.83%9.81亿
72.25%10.08亿
72.25%10.08亿
74.98%10.12亿
70.85%9.83亿
3.03%5.78亿
7.84%5.85亿
7.84%5.85亿
8.17%5.78亿
9.25%5.76亿
-长期租赁负债
7.20%6,663万
15.22%6,607.4万
15.22%6,607.4万
17.18%6,858.4万
20.35%7,103.9万
6.68%6,215.5万
1.72%5,734.5万
1.72%5,734.5万
-0.80%5,852.8万
-0.85%5,902.7万
递延负债
107.31%90.8万
43.48%62.7万
43.48%62.7万
-1.15%51.6万
-46.90%47.9万
-50.51%43.8万
-49.65%43.7万
-49.65%43.7万
-40.61%52.2万
-3.32%90.2万
长期应计费用
20.94%1.27亿
19.96%1.23亿
19.96%1.23亿
24.69%1.04亿
24.71%1.08亿
30.51%1.05亿
29.93%1.03亿
29.93%1.03亿
22.36%8,372.7万
16.28%8,655.8万
其他非流动负债
13.75%3,160.9万
32.01%3,732.7万
32.01%3,732.7万
-1.47%2,829.4万
-4.20%2,691.6万
-0.96%2,778.8万
-6.32%2,827.6万
-6.32%2,827.6万
-7.42%2,871.7万
-6.48%2,809.6万
非流动负债总额
56.15%12.07亿
59.60%12.35亿
59.60%12.35亿
61.87%12.14亿
58.60%11.9亿
6.14%7.73亿
9.14%7.74亿
9.14%7.74亿
8.05%7.5亿
8.44%7.5亿
总负债
58.06%14.51亿
59.11%15.14亿
59.11%15.14亿
60.73%14.67亿
54.29%14.09亿
5.31%9.18亿
10.47%9.51亿
10.47%9.51亿
4.62%9.13亿
8.79%9.13亿
所有者权益
股本
11.95%58.1万
12.19%58万
12.19%58万
12.19%58万
12.19%58万
0.58%51.9万
0.58%51.7万
0.58%51.7万
0.58%51.7万
0.58%51.7万
-普通股股本
11.95%58.1万
12.19%58万
12.19%58万
12.19%58万
12.19%58万
0.58%51.9万
0.58%51.7万
0.58%51.7万
0.58%51.7万
0.58%51.7万
留存收益
10.53%-1.51亿
14.77%-1.47亿
14.77%-1.47亿
19.76%-1.45亿
19.77%-1.63亿
23.75%-1.68亿
23.59%-1.72亿
23.59%-1.72亿
22.98%-1.8亿
18.80%-2.03亿
资本公积
76.42%11.71亿
76.62%11.69亿
76.62%11.69亿
77.01%11.66亿
77.29%11.63亿
1.44%6.64亿
1.49%6.62亿
1.49%6.62亿
1.52%6.58亿
1.57%6.56亿
不影响留存收益的损益
-12.78%503.5万
-114.32%-108万
-114.32%-108万
19.55%948万
89.25%760.8万
455.10%577.3万
247.80%754.2万
247.80%754.2万
212.80%793万
150.74%402万
股东权益总额
104.51%10.26亿
105.22%10.22亿
105.22%10.22亿
111.87%10.31亿
120.38%10.08亿
15.31%5.02亿
17.86%4.98亿
17.86%4.98亿
19.27%4.87亿
17.78%4.58亿
总权益
104.51%10.26亿
105.22%10.22亿
105.22%10.22亿
111.87%10.31亿
120.38%10.08亿
15.31%5.02亿
17.86%4.98亿
17.86%4.98亿
19.27%4.87亿
17.78%4.58亿
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)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 214.58%1.89亿210.48%2.21亿210.48%2.21亿357.06%2.19亿1,084.75%4.66亿378.21%6,022.6万110.45%7,115.2万110.45%7,115.2万3.13%4,793.4万-76.49%3,930.9万
-现金和现金等价物 214.58%1.89亿210.48%2.21亿210.48%2.21亿357.06%2.19亿1,084.75%4.66亿378.21%6,022.6万110.45%7,115.2万110.45%7,115.2万3.13%4,793.4万-76.49%3,930.9万
应收款项 58.52%1.51亿59.00%1.6亿59.00%1.6亿33.37%1.44亿12.09%1.21亿2.09%9,519.2万15.99%1.01亿15.99%1.01亿19.35%1.08亿37.23%1.08亿
-应收账款 54.21%1.47亿55.94%1.57亿55.94%1.57亿29.93%1.4亿8.65%1.18亿2.09%9,519.2万15.99%1.01亿15.99%1.01亿19.35%1.08亿37.23%1.08亿
-应收税费 --410.8万--308.9万--308.9万--372.6万--372.6万------0--0--------
存货 30.77%1,853.7万32.56%1,785.9万32.56%1,785.9万30.43%1,751.9万28.41%1,678.4万20.43%1,417.5万38.47%1,347.2万38.47%1,347.2万37.10%1,343.2万63.51%1,307.1万
预付费用 28.80%1,497.5万13.44%1,722.3万13.44%1,722.3万36.34%2,044.8万3.45%1,812.2万-15.99%1,162.7万18.93%1,518.2万18.93%1,518.2万-10.76%1,499.8万27.54%1,751.7万
其他流动资产 74.49%1,153万46.13%991.8万46.13%991.8万71.99%1,222.7万149.76%735.8万160.47%660.8万112.36%678.7万112.36%678.7万98.85%710.9万107.32%294.6万
流动资产合计 105.19%3.85亿105.48%4.26亿105.48%4.26亿115.86%4.13亿247.43%6.29亿40.19%1.88亿41.64%2.07亿41.64%2.07亿14.55%1.91亿-32.72%1.81亿
非流动资产
固定资产净额 33.64%10.78亿33.08%10.81亿33.08%10.81亿33.41%10.39亿21.21%9.23亿8.94%8.07亿10.05%8.13亿10.05%8.13亿9.01%7.78亿22.15%7.62亿
-固定资产 19.87%22.75亿19.79%22.49亿19.79%22.49亿19.73%21.75亿14.80%20.41亿9.19%18.98亿9.69%18.77亿9.69%18.77亿9.06%18.17亿14.01%17.78亿
-累计折旧 -9.68%-11.97亿-9.65%-11.68亿-9.65%-11.68亿-9.47%-11.37亿-9.99%-11.18亿-9.37%-10.91亿-9.42%-10.65亿-9.42%-10.65亿-9.09%-10.39亿-8.58%-10.16亿
商誉及其他无形资产 166.55%9.65亿166.79%9.77亿166.79%9.77亿170.63%9.94亿124.58%8.07亿0.80%3.62亿12.14%3.66亿12.14%3.66亿14.46%3.67亿42.22%3.59亿
-商誉 168.35%7.37亿168.04%7.36亿168.04%7.36亿170.57%7.37亿136.06%6.2亿6.21%2.74亿17.86%2.74亿17.86%2.74亿19.53%2.72亿33.47%2.63亿
-其他无形资产 160.93%2.29亿163.04%2.41亿163.04%2.41亿170.79%2.57亿93.41%1.87亿-13.04%8,771.2万-2.07%9,178.3万-2.07%9,178.3万2.03%9,479.2万73.01%9,676.2万
投资和预付款 0.00%1,096.7万0.00%1,096.7万0.00%1,096.7万0.00%1,096.7万-2.64%1,096.7万-2.64%1,096.7万-2.64%1,096.7万-2.64%1,096.7万-2.64%1,096.7万0.00%1,126.4万
非流动递延资产 -53.10%1,101.8万-50.99%1,122.4万-50.99%1,122.4万-74.15%660.4万-51.83%1,640.8万-43.03%2,349.1万-47.90%2,290.3万-47.90%2,290.3万-45.38%2,554.9万-35.84%3,406万
其他非流动资产 -8.40%2,618.8万-1.91%2,845.8万-1.91%2,845.8万35.20%3,474.6万30.86%3,053.7万39.08%2,858.8万71.73%2,901.2万71.73%2,901.2万26.60%2,570万29.04%2,333.5万
非流动资产合计 69.78%20.92亿69.85%21.09亿69.85%21.09亿72.59%20.85亿50.30%17.88亿5.04%12.32亿9.20%12.42亿9.20%12.42亿8.50%12.08亿24.10%11.9亿
总资产 74.47%24.77亿74.95%25.35亿74.95%25.35亿78.51%24.98亿76.35%24.17亿8.64%14.2亿12.90%14.49亿12.90%14.49亿9.29%13.99亿11.64%13.71亿
负债
流动负债
应付款项 20.03%7,998.9万57.40%1.17亿57.40%1.17亿40.85%1亿19.56%8,760.2万2.14%6,664万17.62%7,420.3万17.62%7,420.3万2.24%7,107.4万21.99%7,327万
-应付账款 20.03%7,998.9万57.40%1.17亿57.40%1.17亿40.85%1亿19.56%8,760.2万2.14%6,664万17.62%7,420.3万17.62%7,420.3万2.24%7,107.4万21.99%7,327万
应计费用 24.00%6,222.4万2.49%8,577.2万2.49%8,577.2万26.17%9,164.1万2.94%7,406.3万-10.08%5,018.1万22.18%8,368.7万22.18%8,368.7万-10.94%7,263.2万15.23%7,195万
现行拨备 ----------------------769.1万----------------
短期借款与租赁负债 338.49%7,219.3万180.69%4,482万180.69%4,482万179.51%4,258.3万193.41%4,125.7万-3.14%1,646.4万-7.21%1,596.8万-7.21%1,596.8万-36.20%1,523.5万-35.86%1,406.1万
-短期借款 583.29%6,336.8万298.99%3,578.1万298.99%3,578.1万307.30%3,395.7万328.85%3,274.7万-6.07%927.4万-9.42%896.8万-9.42%896.8万-50.23%833.7万-48.11%763.6万
-短期租赁负债 22.74%882.5万29.13%903.9万29.13%903.9万25.05%862.6万32.45%851万0.91%719万-4.20%700万-4.20%700万-3.23%689.8万-10.85%642.5万
递延负债 616.71%2,971.5万741.05%3,147.2万741.05%3,147.2万384.50%1,885.2万335.57%1,626万-24.62%414.6万9.93%374.2万9.93%374.2万13.71%389.1万19.15%373.3万
流动负债总额 68.22%2.44亿57.01%2.79亿57.01%2.79亿55.49%2.53亿34.46%2.19亿1.10%1.45亿16.69%1.78亿16.69%1.78亿-8.71%1.63亿10.47%1.63亿
非流动负债
长期借款与租赁负债 63.74%10.48亿67.15%10.74亿67.15%10.74亿69.67%10.81亿66.15%10.54亿3.37%6.4亿7.26%6.42亿7.26%6.42亿7.28%6.37亿8.22%6.35亿
-长期借款 69.83%9.81亿72.25%10.08亿72.25%10.08亿74.98%10.12亿70.85%9.83亿3.03%5.78亿7.84%5.85亿7.84%5.85亿8.17%5.78亿9.25%5.76亿
-长期租赁负债 7.20%6,663万15.22%6,607.4万15.22%6,607.4万17.18%6,858.4万20.35%7,103.9万6.68%6,215.5万1.72%5,734.5万1.72%5,734.5万-0.80%5,852.8万-0.85%5,902.7万
递延负债 107.31%90.8万43.48%62.7万43.48%62.7万-1.15%51.6万-46.90%47.9万-50.51%43.8万-49.65%43.7万-49.65%43.7万-40.61%52.2万-3.32%90.2万
长期应计费用 20.94%1.27亿19.96%1.23亿19.96%1.23亿24.69%1.04亿24.71%1.08亿30.51%1.05亿29.93%1.03亿29.93%1.03亿22.36%8,372.7万16.28%8,655.8万
其他非流动负债 13.75%3,160.9万32.01%3,732.7万32.01%3,732.7万-1.47%2,829.4万-4.20%2,691.6万-0.96%2,778.8万-6.32%2,827.6万-6.32%2,827.6万-7.42%2,871.7万-6.48%2,809.6万
非流动负债总额 56.15%12.07亿59.60%12.35亿59.60%12.35亿61.87%12.14亿58.60%11.9亿6.14%7.73亿9.14%7.74亿9.14%7.74亿8.05%7.5亿8.44%7.5亿
总负债 58.06%14.51亿59.11%15.14亿59.11%15.14亿60.73%14.67亿54.29%14.09亿5.31%9.18亿10.47%9.51亿10.47%9.51亿4.62%9.13亿8.79%9.13亿
所有者权益
股本 11.95%58.1万12.19%58万12.19%58万12.19%58万12.19%58万0.58%51.9万0.58%51.7万0.58%51.7万0.58%51.7万0.58%51.7万
-普通股股本 11.95%58.1万12.19%58万12.19%58万12.19%58万12.19%58万0.58%51.9万0.58%51.7万0.58%51.7万0.58%51.7万0.58%51.7万
留存收益 10.53%-1.51亿14.77%-1.47亿14.77%-1.47亿19.76%-1.45亿19.77%-1.63亿23.75%-1.68亿23.59%-1.72亿23.59%-1.72亿22.98%-1.8亿18.80%-2.03亿
资本公积 76.42%11.71亿76.62%11.69亿76.62%11.69亿77.01%11.66亿77.29%11.63亿1.44%6.64亿1.49%6.62亿1.49%6.62亿1.52%6.58亿1.57%6.56亿
不影响留存收益的损益 -12.78%503.5万-114.32%-108万-114.32%-108万19.55%948万89.25%760.8万455.10%577.3万247.80%754.2万247.80%754.2万212.80%793万150.74%402万
股东权益总额 104.51%10.26亿105.22%10.22亿105.22%10.22亿111.87%10.31亿120.38%10.08亿15.31%5.02亿17.86%4.98亿17.86%4.98亿19.27%4.87亿17.78%4.58亿
总权益 104.51%10.26亿105.22%10.22亿105.22%10.22亿111.87%10.31亿120.38%10.08亿15.31%5.02亿17.86%4.98亿17.86%4.98亿19.27%4.87亿17.78%4.58亿
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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