美股市场个股详情

DRVN Driven Brands

添加自选
  • 11.590
  • -0.100-0.86%
收盘价 05/03 16:00 (美东)
  • 11.570
  • -0.020-0.17%
盘后 18:19 (美东)
19.02亿总市值-2481市盈率TTM

Driven Brands关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2024/03/30
(FY)2023/12/30
(Q4)2023/12/30
(Q3)2023/09/30
(Q2)2023/07/01
(Q1)2023/04/01
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/24
(Q2)2022/06/25
资产
流动资产
现金及现金等价物和短期投资
-13.27%1.66亿
-22.27%1.77亿
-22.27%1.77亿
10.98%2.11亿
7.21%2.12亿
-29.50%1.91亿
-56.61%2.27亿
-56.61%2.27亿
65.02%1.9亿
34.36%1.98亿
-现金和现金等价物
-13.27%1.66亿
-22.27%1.77亿
-22.27%1.77亿
10.98%2.11亿
7.21%2.12亿
-29.50%1.91亿
-56.61%2.27亿
-56.61%2.27亿
65.02%1.9亿
34.36%1.98亿
应收款项
-24.42%1.73亿
-14.25%1.67亿
-14.25%1.67亿
14.85%1.85亿
17.16%2.15亿
65.13%2.29亿
56.26%1.95亿
56.26%1.95亿
42.05%1.61亿
69.88%1.83亿
-应收账款
-23.37%1.66亿
-15.91%1.51亿
-15.91%1.51亿
6.00%1.66亿
12.44%2亿
61.89%2.17亿
52.57%1.8亿
52.57%1.8亿
40.83%1.56亿
66.78%1.78亿
-应收税费
-42.30%733.7万
5.66%1,592.8万
5.66%1,592.8万
287.40%1,964.1万
182.92%1,434.4万
150.79%1,271.5万
119.53%1,507.5万
119.53%1,507.5万
93.59%507万
388.44%507万
存货
6.46%8,287.5万
15.45%8,317.1万
15.45%8,317.1万
33.33%8,342.3万
56.31%8,303.6万
59.25%7,784.8万
53.31%7,204万
53.31%7,204万
41.37%6,256.9万
26.79%5,312.4万
受限制现金
8.01%5,336.8万
24.38%4,628.4万
24.38%4,628.4万
19.65%6,464万
-8.02%5,186.7万
-5.11%4,941万
-19.37%3,721.3万
-19.37%3,721.3万
35.63%5,402.5万
40.12%5,638.8万
其他流动资产
-7.85%4,990.1万
16.54%4,671.4万
16.54%4,671.4万
-21.04%4,220.8万
9.15%5,235.3万
119.76%5,414.9万
64.78%4,008.4万
64.78%4,008.4万
105.43%5,345.6万
70.29%4,796.4万
流动资产合计
35.61%8.16亿
43.70%8.21亿
43.70%8.21亿
64.42%8.58亿
13.33%6.14亿
11.73%6.02亿
-25.69%5.71亿
-25.69%5.71亿
53.89%5.22亿
47.88%5.42亿
非流动资产
固定资产净额
-7.06%28.09亿
-0.60%28.28亿
-0.60%28.28亿
0.73%28.03亿
24.46%31.28亿
25.35%30.23亿
21.24%28.45亿
21.24%28.45亿
37.32%27.83亿
36.25%25.13亿
-固定资产
-7.06%28.09亿
3.59%32.13亿
3.59%32.13亿
0.73%28.03亿
24.46%31.28亿
25.35%30.23亿
23.42%31.02亿
23.42%31.02亿
37.32%27.83亿
36.25%25.13亿
-累计折旧
----
-49.98%-3.85亿
-49.98%-3.85亿
----
----
----
-54.12%-2.57亿
-54.12%-2.57亿
----
----
商誉及其他无形资产
-29.01%21.65亿
-27.86%21.95亿
-27.86%21.95亿
-22.32%21.76亿
7.55%30.56亿
4.89%30.5亿
11.60%30.43亿
11.60%30.43亿
6.58%28.01亿
9.47%28.41亿
-商誉
-37.25%14.36亿
-36.06%14.56亿
-36.06%14.56亿
-31.15%14.34亿
9.11%23亿
11.90%22.88亿
19.19%22.77亿
19.19%22.77亿
15.05%20.83亿
19.21%21.08亿
-其他无形资产
-4.23%7.29亿
-3.46%7.39亿
-3.46%7.39亿
3.31%7.42亿
3.07%7.56亿
-11.73%7.62亿
-6.16%7.66亿
-6.16%7.66亿
-12.19%7.18亿
-11.35%7.33亿
长期应收票据
----
----
----
----
----
----
----
----
141.48%663.6万
41.68%509.2万
非流动递延资产
4.99%1,009.6万
-0.60%997.2万
-0.60%997.2万
-17.48%888.9万
-22.05%943万
-20.53%961.6万
-16.93%1,003.2万
-16.93%1,003.2万
9.05%1,077.2万
27.24%1,209.8万
其他非流动资产
295.97%9,017.5万
85.09%5,656.5万
85.09%5,656.5万
--4,227.3万
--3,692.3万
--2,277.3万
860.43%3,056.1万
860.43%3,056.1万
----
----
非流动资产合计
-16.87%50.75亿
-14.15%50.9亿
-14.15%50.9亿
-10.19%50.3亿
15.98%62.3亿
14.32%61.05亿
16.51%59.28亿
16.51%59.28亿
20.01%56.01亿
20.63%53.71亿
总资产
-12.17%58.9亿
-9.06%59.11亿
-9.06%59.11亿
-3.84%58.88亿
15.74%68.44亿
14.09%67.06亿
10.97%65亿
10.97%65亿
22.30%61.23亿
22.70%59.13亿
负债
流动负债
应付款项
-12.91%1.26亿
8.91%1.29亿
8.91%1.29亿
-2.06%1.49亿
-18.28%1.39亿
11.25%1.45亿
0.04%1.18亿
0.04%1.18亿
101.88%1.52亿
104.75%1.7亿
-应付账款
-6.77%8,284.3万
11.42%6,752.6万
11.42%6,752.6万
13.92%9,044万
-29.17%8,175.1万
3.97%8,886.2万
-27.01%6,060.6万
-27.01%6,060.6万
9.57%7,939.2万
45.67%1.15亿
-应付税费
-22.63%4,345.9万
6.27%6,140.5万
6.27%6,140.5万
-19.56%5,833.7万
4.88%5,692.6万
25.11%5,617.1万
63.65%5,778.2万
63.65%5,778.2万
2,498.32%7,251.9万
1,389.46%5,427.6万
应计费用
-18.05%2.47亿
-23.68%2.42亿
-23.68%2.42亿
-3.71%2.56亿
22.70%3.11亿
24.44%3.01亿
3.38%3.17亿
3.38%3.17亿
22.35%2.66亿
27.55%2.54亿
短期借款与租赁负债
-0.73%3,302万
-0.95%3,267.3万
-0.95%3,267.3万
33.70%3,186.9万
35.84%3,204.4万
44.82%3,326.3万
26.65%3,298.6万
26.65%3,298.6万
29.95%2,383.6万
32.58%2,359万
-短期借款
-0.73%3,302万
-0.95%3,267.3万
-0.95%3,267.3万
33.70%3,186.9万
35.84%3,204.4万
44.82%3,326.3万
26.65%3,298.6万
26.65%3,298.6万
29.95%2,383.6万
32.58%2,359万
其他流动负债
-30.19%3,320.8万
-36.31%2,339.2万
-36.31%2,339.2万
43.40%3,834.1万
21.96%3,691万
63.92%4,757.2万
38.90%3,672.6万
38.90%3,672.6万
5.03%2,673.8万
-5.56%3,026.4万
流动负债总额
-16.64%4.39亿
-15.48%4.27亿
-15.48%4.27亿
1.41%4.75亿
8.73%5.19亿
24.19%5.27亿
5.78%5.05亿
5.78%5.05亿
39.23%4.69亿
43.91%4.77亿
非流动负债
长期借款与租赁负债
5.13%42.25亿
9.29%42.43亿
9.29%42.43亿
14.41%42.12亿
19.38%41亿
21.07%40.19亿
18.09%38.83亿
18.09%38.83亿
46.01%36.81亿
46.23%34.35亿
-长期借款
3.14%29.05亿
7.60%29.11亿
7.60%29.11亿
8.30%28.77亿
12.76%27.8亿
19.42%28.16亿
14.81%27.05亿
14.81%27.05亿
58.38%26.57亿
63.89%24.65亿
-长期租赁负债
9.78%13.2亿
13.16%13.33亿
13.16%13.33亿
30.24%13.35亿
36.21%13.21亿
25.09%12.02亿
26.40%11.78亿
26.40%11.78亿
21.42%10.25亿
14.77%9.7亿
递延负债
-41.68%1.82亿
-39.62%1.85亿
-39.62%1.85亿
-31.98%1.72亿
24.65%3.28亿
5.45%3.12亿
7.53%3.07亿
7.53%3.07亿
-11.55%2.54亿
-5.11%2.63亿
长期应计费用
----
----
----
31.22%2,953万
34.26%3,113.2万
11.60%3,145万
----
----
-25.16%2,250.5万
-31.23%2,318.8万
其他非流动负债
--2,918.7万
-8.98%3,041.9万
-8.98%3,041.9万
----
----
----
--3,341.9万
--3,341.9万
----
----
非流动负债总额
1.43%45.44亿
5.44%45.77亿
5.44%45.77亿
10.82%45.32亿
18.81%45.77亿
18.67%44.8亿
16.24%43.41亿
16.24%43.41亿
36.57%40.89亿
36.82%38.53亿
总负债
-0.47%49.84亿
3.26%50.04亿
3.26%50.04亿
9.85%50.07亿
17.70%50.96亿
19.23%50.07亿
15.06%48.46亿
15.06%48.46亿
36.84%45.58亿
37.57%43.3亿
所有者权益
股本
-2.03%164.1万
-2.03%164万
-2.03%164万
-2.27%163.9万
-0.18%167.4万
0.00%167.5万
0.00%167.4万
0.00%167.4万
0.18%167.7万
0.18%167.7万
-普通股股本
-2.03%164.1万
-2.03%164万
-2.03%164万
-2.27%163.9万
-0.18%167.4万
0.00%167.5万
0.00%167.4万
0.00%167.4万
0.18%167.7万
0.18%167.7万
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
----
----
留存收益
-716.21%-7.06亿
-937.42%-7.1亿
-937.42%-7.1亿
-1,314.24%-6.97亿
701.29%1.52亿
50.62%1.15亿
103.80%8,479.5万
103.80%8,479.5万
-28.58%5,739.7万
-59.77%1,900.6万
资本公积
1.92%16.65亿
1.44%16.52亿
1.44%16.52亿
1.63%16.47亿
1.43%16.38亿
1.42%16.33亿
1.43%16.29亿
1.43%16.29亿
1.01%16.2亿
0.74%16.15亿
不影响留存收益的损益
-6.12%-5,440.7万
39.34%-3,787.5万
39.34%-3,787.5万
38.18%-7,123.6万
14.96%-4,489.8万
-389.05%-5,126.7万
-1,141.75%-6,243.5万
-1,141.75%-6,243.5万
-856.53%-1.15亿
-380.03%-5,279.6万
股东权益总额
-46.65%9.06亿
-45.18%9.06亿
-45.18%9.06亿
-43.73%8.8亿
10.37%17.47亿
1.23%16.98亿
0.53%16.53亿
0.53%16.53亿
-6.57%15.64亿
-5.27%15.83亿
非控制性权益
2.22%64.4万
2.06%64.4万
2.06%64.4万
0.00%63.1万
-0.31%64.4万
-5.26%63万
-42.58%63.1万
-42.58%63.1万
-45.79%63.1万
-40.13%64.6万
总权益
-46.63%9.07亿
-45.17%9.07亿
-45.17%9.07亿
-43.71%8.81亿
10.37%17.48亿
1.22%16.99亿
0.51%16.54亿
0.51%16.54亿
-6.60%15.65亿
-5.29%15.83亿
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)2024/03/30(FY)2023/12/30(Q4)2023/12/30(Q3)2023/09/30(Q2)2023/07/01(Q1)2023/04/01(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/24(Q2)2022/06/25
资产
流动资产
现金及现金等价物和短期投资 -13.27%1.66亿-22.27%1.77亿-22.27%1.77亿10.98%2.11亿7.21%2.12亿-29.50%1.91亿-56.61%2.27亿-56.61%2.27亿65.02%1.9亿34.36%1.98亿
-现金和现金等价物 -13.27%1.66亿-22.27%1.77亿-22.27%1.77亿10.98%2.11亿7.21%2.12亿-29.50%1.91亿-56.61%2.27亿-56.61%2.27亿65.02%1.9亿34.36%1.98亿
应收款项 -24.42%1.73亿-14.25%1.67亿-14.25%1.67亿14.85%1.85亿17.16%2.15亿65.13%2.29亿56.26%1.95亿56.26%1.95亿42.05%1.61亿69.88%1.83亿
-应收账款 -23.37%1.66亿-15.91%1.51亿-15.91%1.51亿6.00%1.66亿12.44%2亿61.89%2.17亿52.57%1.8亿52.57%1.8亿40.83%1.56亿66.78%1.78亿
-应收税费 -42.30%733.7万5.66%1,592.8万5.66%1,592.8万287.40%1,964.1万182.92%1,434.4万150.79%1,271.5万119.53%1,507.5万119.53%1,507.5万93.59%507万388.44%507万
存货 6.46%8,287.5万15.45%8,317.1万15.45%8,317.1万33.33%8,342.3万56.31%8,303.6万59.25%7,784.8万53.31%7,204万53.31%7,204万41.37%6,256.9万26.79%5,312.4万
受限制现金 8.01%5,336.8万24.38%4,628.4万24.38%4,628.4万19.65%6,464万-8.02%5,186.7万-5.11%4,941万-19.37%3,721.3万-19.37%3,721.3万35.63%5,402.5万40.12%5,638.8万
其他流动资产 -7.85%4,990.1万16.54%4,671.4万16.54%4,671.4万-21.04%4,220.8万9.15%5,235.3万119.76%5,414.9万64.78%4,008.4万64.78%4,008.4万105.43%5,345.6万70.29%4,796.4万
流动资产合计 35.61%8.16亿43.70%8.21亿43.70%8.21亿64.42%8.58亿13.33%6.14亿11.73%6.02亿-25.69%5.71亿-25.69%5.71亿53.89%5.22亿47.88%5.42亿
非流动资产
固定资产净额 -7.06%28.09亿-0.60%28.28亿-0.60%28.28亿0.73%28.03亿24.46%31.28亿25.35%30.23亿21.24%28.45亿21.24%28.45亿37.32%27.83亿36.25%25.13亿
-固定资产 -7.06%28.09亿3.59%32.13亿3.59%32.13亿0.73%28.03亿24.46%31.28亿25.35%30.23亿23.42%31.02亿23.42%31.02亿37.32%27.83亿36.25%25.13亿
-累计折旧 -----49.98%-3.85亿-49.98%-3.85亿-------------54.12%-2.57亿-54.12%-2.57亿--------
商誉及其他无形资产 -29.01%21.65亿-27.86%21.95亿-27.86%21.95亿-22.32%21.76亿7.55%30.56亿4.89%30.5亿11.60%30.43亿11.60%30.43亿6.58%28.01亿9.47%28.41亿
-商誉 -37.25%14.36亿-36.06%14.56亿-36.06%14.56亿-31.15%14.34亿9.11%23亿11.90%22.88亿19.19%22.77亿19.19%22.77亿15.05%20.83亿19.21%21.08亿
-其他无形资产 -4.23%7.29亿-3.46%7.39亿-3.46%7.39亿3.31%7.42亿3.07%7.56亿-11.73%7.62亿-6.16%7.66亿-6.16%7.66亿-12.19%7.18亿-11.35%7.33亿
长期应收票据 --------------------------------141.48%663.6万41.68%509.2万
非流动递延资产 4.99%1,009.6万-0.60%997.2万-0.60%997.2万-17.48%888.9万-22.05%943万-20.53%961.6万-16.93%1,003.2万-16.93%1,003.2万9.05%1,077.2万27.24%1,209.8万
其他非流动资产 295.97%9,017.5万85.09%5,656.5万85.09%5,656.5万--4,227.3万--3,692.3万--2,277.3万860.43%3,056.1万860.43%3,056.1万--------
非流动资产合计 -16.87%50.75亿-14.15%50.9亿-14.15%50.9亿-10.19%50.3亿15.98%62.3亿14.32%61.05亿16.51%59.28亿16.51%59.28亿20.01%56.01亿20.63%53.71亿
总资产 -12.17%58.9亿-9.06%59.11亿-9.06%59.11亿-3.84%58.88亿15.74%68.44亿14.09%67.06亿10.97%65亿10.97%65亿22.30%61.23亿22.70%59.13亿
负债
流动负债
应付款项 -12.91%1.26亿8.91%1.29亿8.91%1.29亿-2.06%1.49亿-18.28%1.39亿11.25%1.45亿0.04%1.18亿0.04%1.18亿101.88%1.52亿104.75%1.7亿
-应付账款 -6.77%8,284.3万11.42%6,752.6万11.42%6,752.6万13.92%9,044万-29.17%8,175.1万3.97%8,886.2万-27.01%6,060.6万-27.01%6,060.6万9.57%7,939.2万45.67%1.15亿
-应付税费 -22.63%4,345.9万6.27%6,140.5万6.27%6,140.5万-19.56%5,833.7万4.88%5,692.6万25.11%5,617.1万63.65%5,778.2万63.65%5,778.2万2,498.32%7,251.9万1,389.46%5,427.6万
应计费用 -18.05%2.47亿-23.68%2.42亿-23.68%2.42亿-3.71%2.56亿22.70%3.11亿24.44%3.01亿3.38%3.17亿3.38%3.17亿22.35%2.66亿27.55%2.54亿
短期借款与租赁负债 -0.73%3,302万-0.95%3,267.3万-0.95%3,267.3万33.70%3,186.9万35.84%3,204.4万44.82%3,326.3万26.65%3,298.6万26.65%3,298.6万29.95%2,383.6万32.58%2,359万
-短期借款 -0.73%3,302万-0.95%3,267.3万-0.95%3,267.3万33.70%3,186.9万35.84%3,204.4万44.82%3,326.3万26.65%3,298.6万26.65%3,298.6万29.95%2,383.6万32.58%2,359万
其他流动负债 -30.19%3,320.8万-36.31%2,339.2万-36.31%2,339.2万43.40%3,834.1万21.96%3,691万63.92%4,757.2万38.90%3,672.6万38.90%3,672.6万5.03%2,673.8万-5.56%3,026.4万
流动负债总额 -16.64%4.39亿-15.48%4.27亿-15.48%4.27亿1.41%4.75亿8.73%5.19亿24.19%5.27亿5.78%5.05亿5.78%5.05亿39.23%4.69亿43.91%4.77亿
非流动负债
长期借款与租赁负债 5.13%42.25亿9.29%42.43亿9.29%42.43亿14.41%42.12亿19.38%41亿21.07%40.19亿18.09%38.83亿18.09%38.83亿46.01%36.81亿46.23%34.35亿
-长期借款 3.14%29.05亿7.60%29.11亿7.60%29.11亿8.30%28.77亿12.76%27.8亿19.42%28.16亿14.81%27.05亿14.81%27.05亿58.38%26.57亿63.89%24.65亿
-长期租赁负债 9.78%13.2亿13.16%13.33亿13.16%13.33亿30.24%13.35亿36.21%13.21亿25.09%12.02亿26.40%11.78亿26.40%11.78亿21.42%10.25亿14.77%9.7亿
递延负债 -41.68%1.82亿-39.62%1.85亿-39.62%1.85亿-31.98%1.72亿24.65%3.28亿5.45%3.12亿7.53%3.07亿7.53%3.07亿-11.55%2.54亿-5.11%2.63亿
长期应计费用 ------------31.22%2,953万34.26%3,113.2万11.60%3,145万---------25.16%2,250.5万-31.23%2,318.8万
其他非流动负债 --2,918.7万-8.98%3,041.9万-8.98%3,041.9万--------------3,341.9万--3,341.9万--------
非流动负债总额 1.43%45.44亿5.44%45.77亿5.44%45.77亿10.82%45.32亿18.81%45.77亿18.67%44.8亿16.24%43.41亿16.24%43.41亿36.57%40.89亿36.82%38.53亿
总负债 -0.47%49.84亿3.26%50.04亿3.26%50.04亿9.85%50.07亿17.70%50.96亿19.23%50.07亿15.06%48.46亿15.06%48.46亿36.84%45.58亿37.57%43.3亿
所有者权益
股本 -2.03%164.1万-2.03%164万-2.03%164万-2.27%163.9万-0.18%167.4万0.00%167.5万0.00%167.4万0.00%167.4万0.18%167.7万0.18%167.7万
-普通股股本 -2.03%164.1万-2.03%164万-2.03%164万-2.27%163.9万-0.18%167.4万0.00%167.5万0.00%167.4万0.00%167.4万0.18%167.7万0.18%167.7万
-优先股股本 --0--0--0--0--0--0--0--0--------
留存收益 -716.21%-7.06亿-937.42%-7.1亿-937.42%-7.1亿-1,314.24%-6.97亿701.29%1.52亿50.62%1.15亿103.80%8,479.5万103.80%8,479.5万-28.58%5,739.7万-59.77%1,900.6万
资本公积 1.92%16.65亿1.44%16.52亿1.44%16.52亿1.63%16.47亿1.43%16.38亿1.42%16.33亿1.43%16.29亿1.43%16.29亿1.01%16.2亿0.74%16.15亿
不影响留存收益的损益 -6.12%-5,440.7万39.34%-3,787.5万39.34%-3,787.5万38.18%-7,123.6万14.96%-4,489.8万-389.05%-5,126.7万-1,141.75%-6,243.5万-1,141.75%-6,243.5万-856.53%-1.15亿-380.03%-5,279.6万
股东权益总额 -46.65%9.06亿-45.18%9.06亿-45.18%9.06亿-43.73%8.8亿10.37%17.47亿1.23%16.98亿0.53%16.53亿0.53%16.53亿-6.57%15.64亿-5.27%15.83亿
非控制性权益 2.22%64.4万2.06%64.4万2.06%64.4万0.00%63.1万-0.31%64.4万-5.26%63万-42.58%63.1万-42.58%63.1万-45.79%63.1万-40.13%64.6万
总权益 -46.63%9.07亿-45.17%9.07亿-45.17%9.07亿-43.71%8.81亿10.37%17.48亿1.22%16.99亿0.51%16.54亿0.51%16.54亿-6.60%15.65亿-5.29%15.83亿
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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