美股市场个股详情

Dragonfly Energy (DFLI)

添加自选
  • 2.080
  • +0.070+3.48%
收盘价 05/01 16:00 (美东)
  • 2.080
  • 0.0000.00%
盘后 20:01 (美东)
2526.95万总市值-0.14市盈率TTM

Dragonfly Energy (DFLI) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q1)2024/03/31
资产
流动资产
现金及现金等价物和短期投资
276.78%1,827万
276.78%1,827万
-52.14%383.8万
-41.84%273.3万
-67.03%280.3万
-61.86%484.9万
-61.86%484.9万
-39.41%801.9万
-85.74%469.9万
-46.17%850.1万
-现金和现金等价物
276.78%1,827万
276.78%1,827万
-52.14%383.8万
-41.84%273.3万
-67.03%280.3万
-61.86%484.9万
-61.86%484.9万
-39.41%801.9万
-85.74%469.9万
-46.17%850.1万
应收款项
74.46%421.5万
74.46%421.5万
28.58%479.2万
24.53%356.9万
88.16%422.8万
47.41%241.6万
47.41%241.6万
-14.05%372.7万
31.95%286.6万
-24.32%224.7万
-应收账款
74.46%421.5万
74.46%421.5万
28.58%479.2万
24.53%356.9万
88.16%422.8万
47.41%241.6万
47.41%241.6万
-14.05%372.7万
31.95%286.6万
-24.32%224.7万
存货
11.60%2,423.4万
11.60%2,423.4万
-5.39%2,271.8万
-26.52%2,105.3万
-35.29%2,172.8万
-44.00%2,171.6万
-44.00%2,171.6万
-42.70%2,401.3万
-35.17%2,865.3万
-35.19%3,357.8万
预付费用
-3.92%237.8万
-3.92%237.8万
-15.15%239.7万
-13.76%267.1万
23.27%327.4万
-7.37%247.5万
-7.37%247.5万
-17.54%282.5万
-33.68%309.7万
-34.39%265.6万
其他流动资产
31.27%108.3万
31.27%108.3万
1.46%76.4万
1.47%76.1万
8.74%77.1万
599.15%82.5万
599.15%82.5万
538.14%75.3万
213.81%75万
79.04%70.9万
流动资产合计
52.41%5,018万
52.41%5,018万
-12.27%3,450.9万
-23.16%3,078.7万
-29.87%3,344.8万
-41.12%3,292.5万
-41.12%3,292.5万
-37.58%3,933.7万
-52.43%4,006.5万
-36.43%4,769.1万
非流动资产
固定资产净额
-14.01%3,598.1万
-14.01%3,598.1万
-11.83%3,888.3万
-8.80%4,053.6万
-1.05%4,033.1万
116.99%4,184.4万
116.99%4,184.4万
126.25%4,409.9万
125.62%4,444.5万
163.07%4,075.8万
-固定资产
-10.75%4,106.2万
-10.75%4,106.2万
-9.03%4,358.6万
-3.93%4,604.8万
3.27%4,535.2万
108.10%4,600.6万
108.10%4,600.6万
117.92%4,791.4万
119.08%4,793.3万
152.71%4,391.4万
-累计折旧
-22.08%-508.1万
-22.08%-508.1万
-23.28%-470.3万
-58.03%-551.2万
-59.09%-502.1万
-47.38%-416.2万
-47.38%-416.2万
-52.84%-381.5万
-60.00%-348.8万
-67.52%-315.6万
其他非流动资产
-12.81%38.8万
-12.81%38.8万
1.35%45.1万
1.35%45.1万
--44.5万
--44.5万
--44.5万
--44.5万
--44.5万
----
非流动资产合计
-14.00%3,636.9万
-14.00%3,636.9万
-11.70%3,933.4万
-8.69%4,098.7万
0.04%4,077.6万
119.30%4,228.9万
119.30%4,228.9万
128.54%4,454.4万
127.88%4,489万
163.07%4,075.8万
总资产
15.07%8,654.9万
15.07%8,654.9万
-11.97%7,384.3万
-15.52%7,177.4万
-16.08%7,422.4万
0.01%7,521.4万
0.01%7,521.4万
1.66%8,388.1万
-18.26%8,495.5万
-2.28%8,844.9万
负债
流动负债
应付款项
-1.23%1,063.9万
-1.23%1,063.9万
17.71%1,192.2万
-4.12%991.3万
36.25%1,301.2万
4.08%1,077.1万
4.08%1,077.1万
2.42%1,012.8万
-48.28%1,033.9万
-49.27%955万
-应付账款
-3.68%1,032.2万
-3.68%1,032.2万
17.17%1,186.7万
-4.65%985.8万
36.25%1,301.2万
4.46%1,071.6万
4.46%1,071.6万
2.42%1,012.8万
-48.28%1,033.9万
-49.27%955万
-应付税费
--0
--0
--5.5万
--5.5万
----
-39.56%5.5万
-39.56%5.5万
----
----
----
-应付股利
--31.7万
--31.7万
----
----
----
--0
--0
----
----
----
应计费用
-26.46%499.6万
-26.46%499.6万
-17.43%871.4万
-14.04%792.7万
-29.34%713.3万
-22.97%679.4万
-22.97%679.4万
-2.18%1,055.3万
-5.49%922.2万
23.12%1,009.5万
短期借款与租赁负债
0.94%300.1万
0.94%300.1万
-86.13%378.7万
-86.30%339万
-87.12%303.3万
-85.85%297.3万
-85.85%297.3万
36.52%2,730.3万
4.81%2,474.7万
2.80%2,355.6万
-短期借款
--43.3万
--43.3万
-96.41%87.7万
-98.21%39.3万
----
----
----
30.47%2,439.8万
-2.10%2,190.3万
0.64%2,183.7万
-短期租赁负债
-13.62%256.8万
-13.62%256.8万
0.17%291万
5.38%299.7万
76.44%303.3万
124.55%297.3万
124.55%297.3万
123.46%290.5万
129.54%284.4万
41.48%171.9万
递延负债
-14.88%112.1万
-14.88%112.1万
5.30%125.2万
366.40%116.6万
392.21%113.7万
555.22%131.7万
555.22%131.7万
447.93%118.9万
64.47%25万
-44.74%23.1万
其他流动负债
----
----
----
----
-39.56%5.5万
----
----
-28.91%9.1万
-28.91%9.1万
-28.91%9.1万
流动负债总额
-9.60%1,975.7万
-9.60%1,975.7万
-47.88%2,567.5万
-49.84%2,239.6万
-44.01%2,437万
-45.87%2,185.5万
-45.87%2,185.5万
20.09%4,926.4万
-16.76%4,464.9万
-13.79%4,352.3万
非流动负债
长期借款与租赁负债
-43.19%2,971万
-43.19%2,971万
181.20%6,570.7万
151.53%6,045.7万
143.21%5,549.8万
2,173.78%5,229.7万
2,173.78%5,229.7万
785.11%2,336.7万
731.70%2,403.6万
611.09%2,281.9万
-长期借款
-68.93%921.2万
-68.93%921.2万
--4,454.6万
--3,864.7万
--3,362.4万
--2,964.6万
--2,964.6万
----
----
----
-长期租赁负债
-9.51%2,049.8万
-9.51%2,049.8万
-9.44%2,116.1万
-9.26%2,181万
-4.14%2,187.4万
884.83%2,265.1万
884.83%2,265.1万
785.11%2,336.7万
731.70%2,403.6万
611.09%2,281.9万
递延负债
-27.91%258.3万
-27.91%258.3万
-26.09%283.3万
--308.3万
--333.3万
--358.3万
--358.3万
--383.3万
----
----
长期应计费用
--0
--0
--0
--87.5万
2,436.23%175万
1,051.32%175万
1,051.32%175万
--0
--0
-80.89%6.9万
衍生品负债
-86.11%71.3万
-86.11%71.3万
-84.38%120.5万
-97.07%32.2万
-52.42%201.1万
15.01%513.3万
15.01%513.3万
-45.54%771.4万
-24.82%1,100.4万
2.08%422.7万
可转换优先证券
--2,225.6万
--2,225.6万
--0
--124.5万
--290.7万
--0
--0
----
----
----
非流动负债总额
-11.95%5,526.2万
-11.95%5,526.2万
99.76%6,974.5万
88.30%6,598.2万
141.56%6,549.9万
807.64%6,276.3万
807.64%6,276.3万
103.51%3,491.4万
93.83%3,504万
251.64%2,711.5万
总负债
-11.34%7,501.9万
-11.34%7,501.9万
13.36%9,542万
10.90%8,837.8万
27.22%8,986.9万
78.93%8,461.8万
78.93%8,461.8万
44.69%8,417.8万
11.12%7,968.9万
21.38%7,063.8万
所有者权益
股本
--1,000
--1,000
0.00%6,000
-33.33%4,000
-83.33%1,000
--0
--0
0.00%6,000
0.00%6,000
20.00%6,000
-普通股股本
--1,000
--1,000
0.00%6,000
-33.33%4,000
-83.33%1,000
--0
--0
0.00%6,000
0.00%6,000
20.00%6,000
-优先股股本
--0
--0
--0
----
--0
--0
--0
--0
--0
--0
留存收益
-85.13%-1.52亿
-85.13%-1.52亿
-48.05%-1.07亿
-46.47%-9,598.5万
-71.37%-8,895.1万
-97.78%-8,215.4万
-97.78%-8,215.4万
-64.48%-7,231.2万
-93.08%-6,553.3万
-133.38%-5,190.6万
资本公积
124.91%1.64亿
124.91%1.64亿
18.70%8,547.2万
12.13%7,937.7万
5.16%7,330.5万
4.75%7,275万
4.75%7,275万
5.44%7,200.9万
7.02%7,079.3万
27.79%6,971.1万
股东权益总额
222.61%1,153万
222.61%1,153万
-7,164.98%-2,157.7万
-415.31%-1,660.4万
-187.84%-1,564.5万
-133.69%-940.4万
-133.69%-940.4万
-101.22%-29.7万
-83.65%526.6万
-44.88%1,781.1万
总权益
222.61%1,153万
222.61%1,153万
-7,164.98%-2,157.7万
-415.31%-1,660.4万
-187.84%-1,564.5万
-133.69%-940.4万
-133.69%-940.4万
-101.22%-29.7万
-83.65%526.6万
-44.88%1,781.1万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
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
带解释段的无保留意见
--
--
--
--
带解释段的无保留意见
--
--
--
--
(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(Q1)2024/03/31
资产
流动资产
现金及现金等价物和短期投资 276.78%1,827万276.78%1,827万-52.14%383.8万-41.84%273.3万-67.03%280.3万-61.86%484.9万-61.86%484.9万-39.41%801.9万-85.74%469.9万-46.17%850.1万
-现金和现金等价物 276.78%1,827万276.78%1,827万-52.14%383.8万-41.84%273.3万-67.03%280.3万-61.86%484.9万-61.86%484.9万-39.41%801.9万-85.74%469.9万-46.17%850.1万
应收款项 74.46%421.5万74.46%421.5万28.58%479.2万24.53%356.9万88.16%422.8万47.41%241.6万47.41%241.6万-14.05%372.7万31.95%286.6万-24.32%224.7万
-应收账款 74.46%421.5万74.46%421.5万28.58%479.2万24.53%356.9万88.16%422.8万47.41%241.6万47.41%241.6万-14.05%372.7万31.95%286.6万-24.32%224.7万
存货 11.60%2,423.4万11.60%2,423.4万-5.39%2,271.8万-26.52%2,105.3万-35.29%2,172.8万-44.00%2,171.6万-44.00%2,171.6万-42.70%2,401.3万-35.17%2,865.3万-35.19%3,357.8万
预付费用 -3.92%237.8万-3.92%237.8万-15.15%239.7万-13.76%267.1万23.27%327.4万-7.37%247.5万-7.37%247.5万-17.54%282.5万-33.68%309.7万-34.39%265.6万
其他流动资产 31.27%108.3万31.27%108.3万1.46%76.4万1.47%76.1万8.74%77.1万599.15%82.5万599.15%82.5万538.14%75.3万213.81%75万79.04%70.9万
流动资产合计 52.41%5,018万52.41%5,018万-12.27%3,450.9万-23.16%3,078.7万-29.87%3,344.8万-41.12%3,292.5万-41.12%3,292.5万-37.58%3,933.7万-52.43%4,006.5万-36.43%4,769.1万
非流动资产
固定资产净额 -14.01%3,598.1万-14.01%3,598.1万-11.83%3,888.3万-8.80%4,053.6万-1.05%4,033.1万116.99%4,184.4万116.99%4,184.4万126.25%4,409.9万125.62%4,444.5万163.07%4,075.8万
-固定资产 -10.75%4,106.2万-10.75%4,106.2万-9.03%4,358.6万-3.93%4,604.8万3.27%4,535.2万108.10%4,600.6万108.10%4,600.6万117.92%4,791.4万119.08%4,793.3万152.71%4,391.4万
-累计折旧 -22.08%-508.1万-22.08%-508.1万-23.28%-470.3万-58.03%-551.2万-59.09%-502.1万-47.38%-416.2万-47.38%-416.2万-52.84%-381.5万-60.00%-348.8万-67.52%-315.6万
其他非流动资产 -12.81%38.8万-12.81%38.8万1.35%45.1万1.35%45.1万--44.5万--44.5万--44.5万--44.5万--44.5万----
非流动资产合计 -14.00%3,636.9万-14.00%3,636.9万-11.70%3,933.4万-8.69%4,098.7万0.04%4,077.6万119.30%4,228.9万119.30%4,228.9万128.54%4,454.4万127.88%4,489万163.07%4,075.8万
总资产 15.07%8,654.9万15.07%8,654.9万-11.97%7,384.3万-15.52%7,177.4万-16.08%7,422.4万0.01%7,521.4万0.01%7,521.4万1.66%8,388.1万-18.26%8,495.5万-2.28%8,844.9万
负债
流动负债
应付款项 -1.23%1,063.9万-1.23%1,063.9万17.71%1,192.2万-4.12%991.3万36.25%1,301.2万4.08%1,077.1万4.08%1,077.1万2.42%1,012.8万-48.28%1,033.9万-49.27%955万
-应付账款 -3.68%1,032.2万-3.68%1,032.2万17.17%1,186.7万-4.65%985.8万36.25%1,301.2万4.46%1,071.6万4.46%1,071.6万2.42%1,012.8万-48.28%1,033.9万-49.27%955万
-应付税费 --0--0--5.5万--5.5万-----39.56%5.5万-39.56%5.5万------------
-应付股利 --31.7万--31.7万--------------0--0------------
应计费用 -26.46%499.6万-26.46%499.6万-17.43%871.4万-14.04%792.7万-29.34%713.3万-22.97%679.4万-22.97%679.4万-2.18%1,055.3万-5.49%922.2万23.12%1,009.5万
短期借款与租赁负债 0.94%300.1万0.94%300.1万-86.13%378.7万-86.30%339万-87.12%303.3万-85.85%297.3万-85.85%297.3万36.52%2,730.3万4.81%2,474.7万2.80%2,355.6万
-短期借款 --43.3万--43.3万-96.41%87.7万-98.21%39.3万------------30.47%2,439.8万-2.10%2,190.3万0.64%2,183.7万
-短期租赁负债 -13.62%256.8万-13.62%256.8万0.17%291万5.38%299.7万76.44%303.3万124.55%297.3万124.55%297.3万123.46%290.5万129.54%284.4万41.48%171.9万
递延负债 -14.88%112.1万-14.88%112.1万5.30%125.2万366.40%116.6万392.21%113.7万555.22%131.7万555.22%131.7万447.93%118.9万64.47%25万-44.74%23.1万
其他流动负债 -----------------39.56%5.5万---------28.91%9.1万-28.91%9.1万-28.91%9.1万
流动负债总额 -9.60%1,975.7万-9.60%1,975.7万-47.88%2,567.5万-49.84%2,239.6万-44.01%2,437万-45.87%2,185.5万-45.87%2,185.5万20.09%4,926.4万-16.76%4,464.9万-13.79%4,352.3万
非流动负债
长期借款与租赁负债 -43.19%2,971万-43.19%2,971万181.20%6,570.7万151.53%6,045.7万143.21%5,549.8万2,173.78%5,229.7万2,173.78%5,229.7万785.11%2,336.7万731.70%2,403.6万611.09%2,281.9万
-长期借款 -68.93%921.2万-68.93%921.2万--4,454.6万--3,864.7万--3,362.4万--2,964.6万--2,964.6万------------
-长期租赁负债 -9.51%2,049.8万-9.51%2,049.8万-9.44%2,116.1万-9.26%2,181万-4.14%2,187.4万884.83%2,265.1万884.83%2,265.1万785.11%2,336.7万731.70%2,403.6万611.09%2,281.9万
递延负债 -27.91%258.3万-27.91%258.3万-26.09%283.3万--308.3万--333.3万--358.3万--358.3万--383.3万--------
长期应计费用 --0--0--0--87.5万2,436.23%175万1,051.32%175万1,051.32%175万--0--0-80.89%6.9万
衍生品负债 -86.11%71.3万-86.11%71.3万-84.38%120.5万-97.07%32.2万-52.42%201.1万15.01%513.3万15.01%513.3万-45.54%771.4万-24.82%1,100.4万2.08%422.7万
可转换优先证券 --2,225.6万--2,225.6万--0--124.5万--290.7万--0--0------------
非流动负债总额 -11.95%5,526.2万-11.95%5,526.2万99.76%6,974.5万88.30%6,598.2万141.56%6,549.9万807.64%6,276.3万807.64%6,276.3万103.51%3,491.4万93.83%3,504万251.64%2,711.5万
总负债 -11.34%7,501.9万-11.34%7,501.9万13.36%9,542万10.90%8,837.8万27.22%8,986.9万78.93%8,461.8万78.93%8,461.8万44.69%8,417.8万11.12%7,968.9万21.38%7,063.8万
所有者权益
股本 --1,000--1,0000.00%6,000-33.33%4,000-83.33%1,000--0--00.00%6,0000.00%6,00020.00%6,000
-普通股股本 --1,000--1,0000.00%6,000-33.33%4,000-83.33%1,000--0--00.00%6,0000.00%6,00020.00%6,000
-优先股股本 --0--0--0------0--0--0--0--0--0
留存收益 -85.13%-1.52亿-85.13%-1.52亿-48.05%-1.07亿-46.47%-9,598.5万-71.37%-8,895.1万-97.78%-8,215.4万-97.78%-8,215.4万-64.48%-7,231.2万-93.08%-6,553.3万-133.38%-5,190.6万
资本公积 124.91%1.64亿124.91%1.64亿18.70%8,547.2万12.13%7,937.7万5.16%7,330.5万4.75%7,275万4.75%7,275万5.44%7,200.9万7.02%7,079.3万27.79%6,971.1万
股东权益总额 222.61%1,153万222.61%1,153万-7,164.98%-2,157.7万-415.31%-1,660.4万-187.84%-1,564.5万-133.69%-940.4万-133.69%-940.4万-101.22%-29.7万-83.65%526.6万-44.88%1,781.1万
总权益 222.61%1,153万222.61%1,153万-7,164.98%-2,157.7万-415.31%-1,660.4万-187.84%-1,564.5万-133.69%-940.4万-133.69%-940.4万-101.22%-29.7万-83.65%526.6万-44.88%1,781.1万
货币单位 美元美元美元美元美元美元美元美元美元美元
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 带解释段的无保留意见--------带解释段的无保留意见--------
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