美股市场个股详情

FTC Solar (FTCI)

添加自选
  • 4.480
  • +0.200+4.67%
收盘价 04/16 16:00 (美东)
  • 4.570
  • +0.090+2.01%
盘后 20:01 (美东)
6982.17万总市值-0.79市盈率TTM

FTC Solar (FTCI) 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
87.65%2,110.5万
87.65%2,110.5万
195.20%2,436.9万
-67.35%351.9万
-57.92%590.9万
-55.43%1,124.7万
-55.43%1,124.7万
-73.81%825.5万
-68.13%1,077.9万
-66.16%1,404.1万
-现金和现金等价物
87.65%2,110.5万
87.65%2,110.5万
195.20%2,436.9万
-67.35%351.9万
-57.92%590.9万
-55.43%1,124.7万
-55.43%1,124.7万
-73.81%825.5万
-68.13%1,077.9万
-66.16%1,404.1万
应收款项
40.38%5,574.3万
40.38%5,574.3万
31.73%4,919.3万
9.97%4,564.8万
-33.36%4,423.8万
-39.17%3,970.9万
-39.17%3,970.9万
-47.68%3,734.5万
-40.47%4,151.1万
8.27%6,637.9万
-应收账款
1.58%2,272.2万
1.58%2,272.2万
-3.34%1,979.7万
5.60%2,323.9万
-51.45%2,402.2万
-51.53%2,236.9万
-51.53%2,236.9万
-59.01%2,048.2万
-47.48%2,200.6万
32.49%4,947.4万
-应收关联方款项
--0
--0
23.48%379.7万
56.20%400.5万
27.15%212.6万
259.56%312.1万
259.56%312.1万
295.75%307.5万
--256.4万
--167.2万
-其他应收款
126.47%3,609万
126.47%3,609万
88.86%2,788.2万
18.28%2,031.3万
-19.40%1,971.5万
-40.57%1,593.6万
-40.57%1,593.6万
-43.48%1,476.3万
-41.22%1,717.3万
-2.73%2,446万
-应收账款调整额
-78.74%-306.9万
-78.74%-306.9万
-134.15%-228.3万
-722.84%-190.9万
82.39%-162.5万
79.93%-171.7万
79.93%-171.7万
82.23%-97.5万
83.27%-23.2万
-679.31%-922.7万
存货
-5.10%962.7万
-5.10%962.7万
-49.39%765.5万
-57.12%731.6万
77.63%682.8万
159.77%1,014.4万
159.77%1,014.4万
224.90%1,512.4万
182.23%1,706.1万
-55.35%384.4万
预付费用
-26.24%783.8万
-26.24%783.8万
23.17%1,158.7万
-3.15%982.1万
15.65%992.2万
34.76%1,062.6万
34.76%1,062.6万
20.74%940.7万
16.78%1,014万
4.47%857.9万
受限制现金
----
----
----
----
----
----
----
----
----
--189.6万
递延资产
-16.86%36万
-16.86%36万
-84.38%30.2万
-45.65%33.7万
6.55%65.1万
-34.98%43.3万
-34.98%43.3万
93.98%193.4万
53.47%62万
1,751.52%61.1万
其他流动资产
-22.00%309.6万
-22.00%309.6万
-16.25%348.5万
-13.16%365.5万
-27.24%355万
-28.33%396.9万
-28.33%396.9万
-11.09%416.1万
253.99%420.9万
292.83%487.9万
流动资产合计
28.43%9,776.9万
28.43%9,776.9万
26.72%9,659.1万
-16.63%7,029.6万
-29.06%7,109.8万
-29.84%7,612.8万
-29.84%7,612.8万
-37.01%7,622.6万
-29.65%8,432万
-17.09%1亿
非流动资产
固定资产净额
41.89%477.6万
41.89%477.6万
-21.17%325.5万
-34.56%286.1万
-19.86%291万
-7.58%336.6万
-7.58%336.6万
11.87%412.9万
17.37%437.2万
-8.26%363.1万
-固定资产
44.03%880.3万
44.03%880.3万
4.92%689万
-4.84%621万
8.09%595.7万
16.37%611.2万
16.37%611.2万
29.71%656.7万
32.08%652.6万
10.68%551.1万
-累计折旧
-46.65%-402.7万
-46.65%-402.7万
-49.10%-363.5万
-55.48%-334.9万
-62.07%-304.7万
-70.56%-274.6万
-70.56%-274.6万
-77.70%-243.8万
-77.14%-215.4万
-84.13%-188万
商誉及其他无形资产
4.27%744.4万
4.27%744.4万
-3.25%731.2万
-2.22%726.8万
-5.77%717.3万
-9.58%713.9万
-9.58%713.9万
-3.10%755.8万
-6.68%743.3万
-10.86%761.2万
-商誉
4.27%744.4万
4.27%744.4万
-1.47%731.2万
1.38%726.8万
-0.55%717.3万
-2.91%713.9万
-2.91%713.9万
3.89%742.1万
-0.06%716.9万
-4.62%721.3万
-其他无形资产
----
----
----
----
----
----
----
-79.15%13.7万
-66.67%26.4万
-59.16%39.9万
投资和预付款
--0
--0
80.52%229.8万
-74.43%39.1万
-16.63%84.2万
297.50%95.4万
297.50%95.4万
125.71%127.3万
69.89%152.9万
12.22%101万
关联方资产
--0
--0
23.48%379.7万
56.20%400.5万
27.15%212.6万
259.56%312.1万
259.56%312.1万
295.75%307.5万
--256.4万
--167.2万
其他非流动资产
-22.13%182.3万
-22.13%182.3万
-17.47%206.9万
-20.66%213.9万
-20.02%203.8万
-15.94%234.1万
-15.94%234.1万
-21.31%250.7万
-45.85%269.6万
-46.29%254.8万
非流动资产合计
1.76%1,404.3万
1.76%1,404.3万
-3.45%1,493.4万
-21.03%1,265.9万
-12.42%1,296.3万
-5.23%1,380万
-5.23%1,380万
1.48%1,546.7万
-8.76%1,603万
-18.41%1,480.1万
总资产
24.34%1.12亿
24.34%1.12亿
21.63%1.12亿
-17.33%8,295.5万
-26.92%8,406.1万
-26.93%8,992.8万
-26.93%8,992.8万
-32.71%9,169.3万
-26.98%1亿
-17.27%1.15亿
负债
流动负债
应付款项
3.32%1,384.1万
3.32%1,384.1万
-12.51%1,672.4万
3.43%1,837.7万
24.05%1,514.8万
63.65%1,339.6万
63.65%1,339.6万
88.28%1,911.6万
-35.56%1,776.7万
-51.18%1,221.1万
-应付账款
1.94%1,324.7万
1.94%1,324.7万
-12.96%1,631.3万
1.63%1,786.7万
21.37%1,463.6万
62.87%1,299.5万
62.87%1,299.5万
91.60%1,874.2万
-35.01%1,758万
-49.13%1,205.9万
-应付税费
48.13%59.4万
48.13%59.4万
9.89%41.1万
172.73%51万
236.84%51.2万
93.72%40.1万
93.72%40.1万
0.81%37.4万
-64.18%18.7万
-88.36%15.2万
应计费用
28.11%2,107.1万
28.11%2,107.1万
17.07%2,373万
42.84%2,771.1万
-20.23%2,077.3万
-46.93%1,644.7万
-46.93%1,644.7万
-15.93%2,027万
61.21%1,940万
49.02%2,604万
现行拨备
9.23%1,035.7万
9.23%1,035.7万
8.70%972.8万
35.75%986.1万
37.94%964.5万
30.27%948.2万
30.27%948.2万
15.65%894.9万
-6.76%726.4万
-13.52%699.2万
短期借款与租赁负债
1,633.11%1,308.5万
1,633.11%1,308.5万
-51.38%42.4万
-42.47%49.3万
-16.04%62.3万
2.03%75.5万
2.03%75.5万
17.52%87.2万
7.26%85.7万
-5.60%74.2万
-短期借款
--1,268.1万
--1,268.1万
----
----
----
----
----
----
----
----
-短期租赁负债
-46.49%40.4万
-46.49%40.4万
-51.38%42.4万
-42.47%49.3万
-16.04%62.3万
2.03%75.5万
2.03%75.5万
17.52%87.2万
7.26%85.7万
-5.60%74.2万
递延负债
35.17%717.2万
35.17%717.2万
-0.81%440.8万
-42.50%149.2万
-54.32%223.7万
46.90%530.6万
46.90%530.6万
-60.24%444.4万
3.30%259.5万
-43.32%489.7万
流动负债总额
39.03%6,822.5万
39.03%6,822.5万
1.37%5,813.4万
18.15%6,063.3万
-6.66%5,089.8万
-10.23%4,907.3万
-10.23%4,907.3万
3.16%5,734.6万
0.78%5,131.8万
-13.50%5,453.2万
非流动负债
长期借款与租赁负债
6.04%1,047.4万
6.04%1,047.4万
1,851.42%1,723.1万
923.58%1,133.1万
1,025.59%1,051.3万
778.74%987.7万
778.74%987.7万
-32.60%88.3万
-26.05%110.7万
-44.44%93.4万
-长期借款
4.81%992.1万
4.81%992.1万
--1,664.8万
--1,089.5万
--1,016.9万
--946.6万
--946.6万
----
----
----
-长期租赁负债
34.55%55.3万
34.55%55.3万
-33.98%58.3万
-60.61%43.6万
-63.17%34.4万
-63.43%41.1万
-63.43%41.1万
-32.60%88.3万
-26.05%110.7万
-44.44%93.4万
长期应计费用
----
----
--176.5万
--194.9万
----
----
----
----
----
----
衍生品负债
682.72%7,451.5万
682.72%7,451.5万
--4,812.7万
--0
--491.6万
--952万
--952万
----
----
----
其他非流动负债
-35.76%155.6万
-35.76%155.6万
----
----
-49.93%220.6万
-49.65%242.2万
-49.65%242.2万
-42.19%305.6万
-34.48%368.4万
-27.44%440.6万
非流动负债总额
296.65%8,654.5万
296.65%8,654.5万
1,604.06%6,712.3万
177.19%1,328万
230.24%1,763.5万
267.69%2,181.9万
267.69%2,181.9万
-40.28%393.9万
-32.71%479.1万
-31.12%534万
总负债
118.32%1.55亿
118.32%1.55亿
104.38%1.25亿
31.73%7,391.3万
14.47%6,853.3万
16.99%7,089.2万
16.99%7,089.2万
-1.45%6,128.5万
-3.33%5,610.9万
-15.43%5,987.2万
所有者权益
股本
100.00%2,000
100.00%2,000
-92.31%1,000
-92.31%1,000
-92.31%1,000
0.00%1,000
0.00%1,000
8.33%1.3万
8.33%1.3万
18.18%1.3万
-普通股股本
100.00%2,000
100.00%2,000
-92.31%1,000
-92.31%1,000
-92.31%1,000
0.00%1,000
0.00%1,000
8.33%1.3万
8.33%1.3万
18.18%1.3万
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
-22.88%-4.27亿
-22.88%-4.27亿
-16.52%-3.91亿
-14.63%-3.67亿
-14.18%-3.52亿
-16.25%-3.48亿
-16.25%-3.48亿
-16.51%-3.36亿
-18.13%-3.2亿
-18.15%-3.08亿
资本公积
4.72%3.85亿
4.72%3.85亿
3.13%3.78亿
3.19%3.76亿
1.12%3.68亿
1.50%3.67亿
1.50%3.67亿
0.99%3.66亿
3.97%3.65亿
10.53%3.64亿
减:库存股
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
不影响留存收益的损益
46.49%-29万
46.49%-29万
-71.43%-39.6万
1.14%-43.3万
-8.44%-51.4万
-84.98%-54.2万
-84.98%-54.2万
54.88%-23.1万
7.59%-43.8万
-618.18%-47.4万
股东权益总额
-325.67%-4,295.8万
-325.67%-4,295.8万
-145.16%-1,373.2万
-79.56%904.2万
-71.85%1,552.8万
-69.53%1,903.6万
-69.53%1,903.6万
-58.95%3,040.8万
-44.28%4,424.1万
-19.17%5,515.8万
总权益
-325.67%-4,295.8万
-325.67%-4,295.8万
-145.16%-1,373.2万
-79.56%904.2万
-71.85%1,552.8万
-69.53%1,903.6万
-69.53%1,903.6万
-58.95%3,040.8万
-44.28%4,424.1万
-19.17%5,515.8万
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 87.65%2,110.5万87.65%2,110.5万195.20%2,436.9万-67.35%351.9万-57.92%590.9万-55.43%1,124.7万-55.43%1,124.7万-73.81%825.5万-68.13%1,077.9万-66.16%1,404.1万
-现金和现金等价物 87.65%2,110.5万87.65%2,110.5万195.20%2,436.9万-67.35%351.9万-57.92%590.9万-55.43%1,124.7万-55.43%1,124.7万-73.81%825.5万-68.13%1,077.9万-66.16%1,404.1万
应收款项 40.38%5,574.3万40.38%5,574.3万31.73%4,919.3万9.97%4,564.8万-33.36%4,423.8万-39.17%3,970.9万-39.17%3,970.9万-47.68%3,734.5万-40.47%4,151.1万8.27%6,637.9万
-应收账款 1.58%2,272.2万1.58%2,272.2万-3.34%1,979.7万5.60%2,323.9万-51.45%2,402.2万-51.53%2,236.9万-51.53%2,236.9万-59.01%2,048.2万-47.48%2,200.6万32.49%4,947.4万
-应收关联方款项 --0--023.48%379.7万56.20%400.5万27.15%212.6万259.56%312.1万259.56%312.1万295.75%307.5万--256.4万--167.2万
-其他应收款 126.47%3,609万126.47%3,609万88.86%2,788.2万18.28%2,031.3万-19.40%1,971.5万-40.57%1,593.6万-40.57%1,593.6万-43.48%1,476.3万-41.22%1,717.3万-2.73%2,446万
-应收账款调整额 -78.74%-306.9万-78.74%-306.9万-134.15%-228.3万-722.84%-190.9万82.39%-162.5万79.93%-171.7万79.93%-171.7万82.23%-97.5万83.27%-23.2万-679.31%-922.7万
存货 -5.10%962.7万-5.10%962.7万-49.39%765.5万-57.12%731.6万77.63%682.8万159.77%1,014.4万159.77%1,014.4万224.90%1,512.4万182.23%1,706.1万-55.35%384.4万
预付费用 -26.24%783.8万-26.24%783.8万23.17%1,158.7万-3.15%982.1万15.65%992.2万34.76%1,062.6万34.76%1,062.6万20.74%940.7万16.78%1,014万4.47%857.9万
受限制现金 --------------------------------------189.6万
递延资产 -16.86%36万-16.86%36万-84.38%30.2万-45.65%33.7万6.55%65.1万-34.98%43.3万-34.98%43.3万93.98%193.4万53.47%62万1,751.52%61.1万
其他流动资产 -22.00%309.6万-22.00%309.6万-16.25%348.5万-13.16%365.5万-27.24%355万-28.33%396.9万-28.33%396.9万-11.09%416.1万253.99%420.9万292.83%487.9万
流动资产合计 28.43%9,776.9万28.43%9,776.9万26.72%9,659.1万-16.63%7,029.6万-29.06%7,109.8万-29.84%7,612.8万-29.84%7,612.8万-37.01%7,622.6万-29.65%8,432万-17.09%1亿
非流动资产
固定资产净额 41.89%477.6万41.89%477.6万-21.17%325.5万-34.56%286.1万-19.86%291万-7.58%336.6万-7.58%336.6万11.87%412.9万17.37%437.2万-8.26%363.1万
-固定资产 44.03%880.3万44.03%880.3万4.92%689万-4.84%621万8.09%595.7万16.37%611.2万16.37%611.2万29.71%656.7万32.08%652.6万10.68%551.1万
-累计折旧 -46.65%-402.7万-46.65%-402.7万-49.10%-363.5万-55.48%-334.9万-62.07%-304.7万-70.56%-274.6万-70.56%-274.6万-77.70%-243.8万-77.14%-215.4万-84.13%-188万
商誉及其他无形资产 4.27%744.4万4.27%744.4万-3.25%731.2万-2.22%726.8万-5.77%717.3万-9.58%713.9万-9.58%713.9万-3.10%755.8万-6.68%743.3万-10.86%761.2万
-商誉 4.27%744.4万4.27%744.4万-1.47%731.2万1.38%726.8万-0.55%717.3万-2.91%713.9万-2.91%713.9万3.89%742.1万-0.06%716.9万-4.62%721.3万
-其他无形资产 -----------------------------79.15%13.7万-66.67%26.4万-59.16%39.9万
投资和预付款 --0--080.52%229.8万-74.43%39.1万-16.63%84.2万297.50%95.4万297.50%95.4万125.71%127.3万69.89%152.9万12.22%101万
关联方资产 --0--023.48%379.7万56.20%400.5万27.15%212.6万259.56%312.1万259.56%312.1万295.75%307.5万--256.4万--167.2万
其他非流动资产 -22.13%182.3万-22.13%182.3万-17.47%206.9万-20.66%213.9万-20.02%203.8万-15.94%234.1万-15.94%234.1万-21.31%250.7万-45.85%269.6万-46.29%254.8万
非流动资产合计 1.76%1,404.3万1.76%1,404.3万-3.45%1,493.4万-21.03%1,265.9万-12.42%1,296.3万-5.23%1,380万-5.23%1,380万1.48%1,546.7万-8.76%1,603万-18.41%1,480.1万
总资产 24.34%1.12亿24.34%1.12亿21.63%1.12亿-17.33%8,295.5万-26.92%8,406.1万-26.93%8,992.8万-26.93%8,992.8万-32.71%9,169.3万-26.98%1亿-17.27%1.15亿
负债
流动负债
应付款项 3.32%1,384.1万3.32%1,384.1万-12.51%1,672.4万3.43%1,837.7万24.05%1,514.8万63.65%1,339.6万63.65%1,339.6万88.28%1,911.6万-35.56%1,776.7万-51.18%1,221.1万
-应付账款 1.94%1,324.7万1.94%1,324.7万-12.96%1,631.3万1.63%1,786.7万21.37%1,463.6万62.87%1,299.5万62.87%1,299.5万91.60%1,874.2万-35.01%1,758万-49.13%1,205.9万
-应付税费 48.13%59.4万48.13%59.4万9.89%41.1万172.73%51万236.84%51.2万93.72%40.1万93.72%40.1万0.81%37.4万-64.18%18.7万-88.36%15.2万
应计费用 28.11%2,107.1万28.11%2,107.1万17.07%2,373万42.84%2,771.1万-20.23%2,077.3万-46.93%1,644.7万-46.93%1,644.7万-15.93%2,027万61.21%1,940万49.02%2,604万
现行拨备 9.23%1,035.7万9.23%1,035.7万8.70%972.8万35.75%986.1万37.94%964.5万30.27%948.2万30.27%948.2万15.65%894.9万-6.76%726.4万-13.52%699.2万
短期借款与租赁负债 1,633.11%1,308.5万1,633.11%1,308.5万-51.38%42.4万-42.47%49.3万-16.04%62.3万2.03%75.5万2.03%75.5万17.52%87.2万7.26%85.7万-5.60%74.2万
-短期借款 --1,268.1万--1,268.1万--------------------------------
-短期租赁负债 -46.49%40.4万-46.49%40.4万-51.38%42.4万-42.47%49.3万-16.04%62.3万2.03%75.5万2.03%75.5万17.52%87.2万7.26%85.7万-5.60%74.2万
递延负债 35.17%717.2万35.17%717.2万-0.81%440.8万-42.50%149.2万-54.32%223.7万46.90%530.6万46.90%530.6万-60.24%444.4万3.30%259.5万-43.32%489.7万
流动负债总额 39.03%6,822.5万39.03%6,822.5万1.37%5,813.4万18.15%6,063.3万-6.66%5,089.8万-10.23%4,907.3万-10.23%4,907.3万3.16%5,734.6万0.78%5,131.8万-13.50%5,453.2万
非流动负债
长期借款与租赁负债 6.04%1,047.4万6.04%1,047.4万1,851.42%1,723.1万923.58%1,133.1万1,025.59%1,051.3万778.74%987.7万778.74%987.7万-32.60%88.3万-26.05%110.7万-44.44%93.4万
-长期借款 4.81%992.1万4.81%992.1万--1,664.8万--1,089.5万--1,016.9万--946.6万--946.6万------------
-长期租赁负债 34.55%55.3万34.55%55.3万-33.98%58.3万-60.61%43.6万-63.17%34.4万-63.43%41.1万-63.43%41.1万-32.60%88.3万-26.05%110.7万-44.44%93.4万
长期应计费用 ----------176.5万--194.9万------------------------
衍生品负债 682.72%7,451.5万682.72%7,451.5万--4,812.7万--0--491.6万--952万--952万------------
其他非流动负债 -35.76%155.6万-35.76%155.6万---------49.93%220.6万-49.65%242.2万-49.65%242.2万-42.19%305.6万-34.48%368.4万-27.44%440.6万
非流动负债总额 296.65%8,654.5万296.65%8,654.5万1,604.06%6,712.3万177.19%1,328万230.24%1,763.5万267.69%2,181.9万267.69%2,181.9万-40.28%393.9万-32.71%479.1万-31.12%534万
总负债 118.32%1.55亿118.32%1.55亿104.38%1.25亿31.73%7,391.3万14.47%6,853.3万16.99%7,089.2万16.99%7,089.2万-1.45%6,128.5万-3.33%5,610.9万-15.43%5,987.2万
所有者权益
股本 100.00%2,000100.00%2,000-92.31%1,000-92.31%1,000-92.31%1,0000.00%1,0000.00%1,0008.33%1.3万8.33%1.3万18.18%1.3万
-普通股股本 100.00%2,000100.00%2,000-92.31%1,000-92.31%1,000-92.31%1,0000.00%1,0000.00%1,0008.33%1.3万8.33%1.3万18.18%1.3万
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 -22.88%-4.27亿-22.88%-4.27亿-16.52%-3.91亿-14.63%-3.67亿-14.18%-3.52亿-16.25%-3.48亿-16.25%-3.48亿-16.51%-3.36亿-18.13%-3.2亿-18.15%-3.08亿
资本公积 4.72%3.85亿4.72%3.85亿3.13%3.78亿3.19%3.76亿1.12%3.68亿1.50%3.67亿1.50%3.67亿0.99%3.66亿3.97%3.65亿10.53%3.64亿
减:库存股 --0--0--0--0--0--0--0--0--0--0
不影响留存收益的损益 46.49%-29万46.49%-29万-71.43%-39.6万1.14%-43.3万-8.44%-51.4万-84.98%-54.2万-84.98%-54.2万54.88%-23.1万7.59%-43.8万-618.18%-47.4万
股东权益总额 -325.67%-4,295.8万-325.67%-4,295.8万-145.16%-1,373.2万-79.56%904.2万-71.85%1,552.8万-69.53%1,903.6万-69.53%1,903.6万-58.95%3,040.8万-44.28%4,424.1万-19.17%5,515.8万
总权益 -325.67%-4,295.8万-325.67%-4,295.8万-145.16%-1,373.2万-79.56%904.2万-71.85%1,552.8万-69.53%1,903.6万-69.53%1,903.6万-58.95%3,040.8万-44.28%4,424.1万-19.17%5,515.8万
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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