美股市场个股详情

H2O America (HTO)

添加自选
  • 57.195
  • -0.455-0.79%
交易中 06/03 10:22 (美东)
23.93亿总市值19.59市盈率TTM

H2O America (HTO) 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
545.71%1.53亿
86.13%2,068.6万
86.13%2,068.6万
185.20%1,131.4万
-12.96%1,984.9万
421.71%2,369.6万
14.31%1,111.4万
14.31%1,111.4万
-81.17%396.7万
-10.48%2,280.4万
-现金和现金等价物
545.71%1.53亿
86.13%2,068.6万
86.13%2,068.6万
185.20%1,131.4万
-12.96%1,984.9万
421.71%2,369.6万
14.31%1,111.4万
14.31%1,111.4万
-81.17%396.7万
-10.48%2,280.4万
应收款项
3.16%1.4亿
-0.47%1.42亿
-0.47%1.42亿
2.41%1.66亿
14.02%1.52亿
21.09%1.36亿
12.87%1.43亿
12.87%1.43亿
18.05%1.62亿
17.32%1.34亿
-应收账款
-5.75%6,206.9万
-9.04%6,247.1万
-9.04%6,247.1万
13.39%8,600.8万
9.28%7,675.8万
5.12%6,585.4万
1.19%6,867.9万
1.19%6,867.9万
7.78%7,584.9万
19.97%7,023.8万
-应收税费
-66.27%152万
-54.31%272万
-54.31%272万
--0
--0
54.83%450.7万
14.77%595.3万
14.77%595.3万
--1,126.2万
--0
-其他应收款
66.24%1,126.3万
9.22%771万
9.22%771万
3.25%649万
37.29%766.6万
208.09%677.5万
91.61%705.9万
91.61%705.9万
43.48%628.6万
16.00%558.4万
预付费用
10.58%1,474.7万
12.98%1,163.4万
12.98%1,163.4万
3.75%1,598.9万
-14.50%842.7万
4.01%1,333.6万
-7.32%1,029.7万
-7.32%1,029.7万
2.77%1,541.1万
7.69%985.6万
其他流动资产
-36.22%1,561.8万
-38.72%1,640.1万
-38.72%1,640.1万
131.76%1,427.4万
187.85%1,979万
215.40%2,448.8万
156.81%2,676.5万
156.81%2,676.5万
-58.53%615.9万
-42.91%687.5万
流动资产合计
63.94%3.23亿
-0.06%1.91亿
-0.06%1.91亿
10.64%2.07亿
15.75%2亿
10.78%1.97亿
-3.87%1.91亿
-3.87%1.91亿
-18.14%1.87亿
-14.03%1.73亿
非流动资产
固定资产净额
12.94%39.49亿
12.95%38.93亿
12.95%38.93亿
12.12%37.46亿
10.65%36.03亿
10.20%34.97亿
9.22%34.47亿
9.22%34.47亿
22.45%33.42亿
22.08%32.56亿
-固定资产
11.71%50.89亿
11.83%50.03亿
11.83%50.03亿
10.47%48.49亿
9.46%46.82亿
8.99%45.56亿
8.68%44.73亿
8.68%44.73亿
8.80%43.89亿
8.45%42.78亿
-累计折旧
-7.68%-11.4亿
-8.05%-11.1亿
-8.05%-11.1亿
-5.22%-11.02亿
-5.68%-10.8亿
-5.15%-10.59亿
-6.89%-10.27亿
-6.89%-10.27亿
19.73%-10.48亿
20.02%-10.21亿
商誉及其他无形资产
0.01%6.92亿
-0.15%6.81亿
-0.15%6.81亿
-1.80%6.92亿
-0.60%6.92亿
-1.81%6.92亿
-0.20%6.82亿
-0.20%6.82亿
0.01%7.05亿
2.93%6.96亿
-商誉
0.00%6.4亿
0.00%6.4亿
0.00%6.4亿
0.00%6.4亿
0.00%6.4亿
0.00%6.4亿
0.00%6.4亿
0.00%6.4亿
0.00%6.4亿
0.00%6.4亿
-其他无形资产
0.15%5,168.3万
-2.41%4,106.3万
-2.41%4,106.3万
-19.71%5,168.3万
-7.48%5,160.4万
-19.78%5,160.4万
-3.14%4,207.9万
-3.14%4,207.9万
0.06%6,437.2万
55.17%5,577.85万
投资和预付款
8.70%2,024.3万
8.98%1,971.1万
8.98%1,971.1万
5.81%1,927.1万
8.69%1,887.8万
6.81%1,862.2万
10.21%1,808.7万
10.21%1,808.7万
14.54%1,821.3万
7.64%1,736.8万
确认的养老福利金
21.59%8,249.3万
21.90%8,096.7万
21.90%8,096.7万
77.96%7,009.2万
86.55%6,868.2万
98.13%6,784.8万
96.55%6,642.2万
96.55%6,642.2万
--3,938.7万
--3,681.6万
其他非流动资产
38.22%3,965.7万
24.22%3,589万
24.22%3,589万
372.81%3,206.1万
294.33%3,034.4万
250.62%2,869.1万
258.65%2,889.3万
258.65%2,889.3万
-67.41%678.1万
-61.36%769.5万
非流动资产合计
11.00%50.3亿
11.00%49.59亿
11.00%49.59亿
10.04%48.03亿
8.91%46.46亿
8.17%45.32亿
7.74%44.68亿
7.74%44.68亿
20.76%43.65亿
21.52%42.66亿
总资产
13.21%53.53亿
10.55%51.5亿
10.55%51.5亿
10.07%50.11亿
9.18%48.47亿
8.27%47.29亿
7.21%46.58亿
7.21%46.58亿
18.44%45.52亿
19.59%44.39亿
负债
流动负债
应付款项
34.78%6,288万
34.08%7,542.7万
34.08%7,542.7万
37.68%6,123.8万
20.60%4,823.1万
35.63%4,665.4万
21.97%5,625.6万
21.97%5,625.6万
-6.82%4,448万
-2.58%3,999.1万
-应付账款
34.78%6,288万
34.08%7,542.7万
34.08%7,542.7万
37.68%6,123.8万
27.15%4,823.1万
35.63%4,665.4万
21.97%5,625.6万
21.97%5,625.6万
23.81%4,448万
4.08%3,793.2万
-应付税费
----
----
----
----
----
----
----
----
----
-55.28%205.9万
应计费用
17.02%6,244.3万
15.37%6,667.1万
15.37%6,667.1万
6.00%7,437.2万
12.18%6,601.5万
18.37%5,335.9万
10.02%5,778.7万
10.02%5,778.7万
10.32%7,016.2万
20.84%5,884.6万
短期借款与租赁负债
-94.96%863.3万
-10.13%1.1亿
-10.13%1.1亿
42.49%1.44亿
-20.64%1.8亿
-22.07%1.71亿
-44.31%1.23亿
-44.31%1.23亿
-41.06%1.01亿
77.47%2.27亿
-短期借款
-94.96%863.3万
-10.13%1.1亿
-10.13%1.1亿
42.49%1.44亿
-20.64%1.8亿
-22.07%1.71亿
-44.31%1.23亿
-44.31%1.23亿
-41.06%1.01亿
77.47%2.27亿
其他流动负债
2.68%2,609.2万
-14.02%2,094.2万
-14.02%2,094.2万
-13.92%2,417.5万
-18.38%2,022.5万
5.73%2,541.1万
2.11%2,435.8万
2.11%2,435.8万
12.86%2,808.4万
20.46%2,477.8万
流动负债总额
-46.05%1.6亿
4.67%2.73亿
4.67%2.73亿
24.63%3.04亿
-10.25%3.14亿
-8.22%2.97亿
-23.85%2.61亿
-23.85%2.61亿
-20.79%2.44亿
47.14%3.5亿
非流动负债
长期借款与租赁负债
10.29%18.66亿
9.37%18.67亿
9.37%18.67亿
4.97%17.57亿
9.20%16.92亿
9.11%16.91亿
11.80%17.07亿
11.80%17.07亿
9.12%16.74亿
1.99%15.5亿
-长期借款
10.29%18.66亿
9.37%18.67亿
9.37%18.67亿
4.97%17.57亿
9.20%16.92亿
9.11%16.91亿
11.80%17.07亿
11.80%17.07亿
9.12%16.74亿
1.99%15.5亿
递延负债
18.14%5.23亿
18.05%5.09亿
18.05%5.09亿
16.22%4.87亿
19.13%4.59亿
16.01%4.42亿
12.03%4.31亿
12.03%4.31亿
10.72%4.19亿
4.34%3.85亿
员工福利
5.13%4,584.9万
1.81%4,587.8万
1.81%4,587.8万
-8.09%4,426.4万
-7.33%4,403.3万
-7.84%4,361.3万
-3.79%4,506.3万
-3.79%4,506.3万
-5.85%4,815.8万
-10.35%4,751.6万
其他非流动负债
1.50%3.69亿
0.99%3.67亿
0.99%3.67亿
1.89%3.67亿
1.55%3.63亿
2.32%3.63亿
4.04%3.63亿
4.04%3.63亿
2.27%3.6亿
2.02%3.57亿
非流动负债总额
10.69%33.59亿
10.07%33.35亿
10.07%33.35亿
7.01%31.83亿
8.95%30.67亿
8.23%30.35亿
9.44%30.3亿
9.44%30.3亿
28.48%29.74亿
22.83%28.15亿
总负债
5.64%35.19亿
9.65%36.09亿
9.65%36.09亿
8.34%34.87亿
6.83%33.81亿
6.53%33.31亿
5.77%32.91亿
5.77%32.91亿
22.69%32.18亿
25.12%31.65亿
所有者权益
股本
23.53%4.2万
5.88%3.6万
5.88%3.6万
9.09%3.6万
6.06%3.5万
6.25%3.4万
6.25%3.4万
6.25%3.4万
3.13%3.3万
3.13%3.3万
-普通股股本
23.53%4.2万
5.88%3.6万
5.88%3.6万
9.09%3.6万
6.06%3.5万
6.25%3.4万
6.25%3.4万
6.25%3.4万
3.13%3.3万
3.13%3.3万
留存收益
8.26%5.84亿
8.17%5.81亿
8.17%5.81亿
9.92%5.8亿
9.48%5.5亿
9.17%5.4亿
8.44%5.37亿
8.44%5.37亿
7.98%5.28亿
8.09%5.02亿
资本公积
45.88%12.48亿
15.75%9.58亿
15.75%9.58亿
17.01%9.42亿
18.56%9.14亿
14.93%8.56亿
12.44%8.28亿
12.44%8.28亿
10.29%8.05亿
7.61%7.71亿
不影响留存收益的损益
-25.15%146.7万
-25.15%146.7万
-25.15%146.7万
45.29%196万
45.29%196万
45.29%196万
9.44%196万
9.44%196万
-28.85%134.9万
-14.51%134.9万
股东权益总额
31.26%18.34亿
12.71%15.41亿
12.71%15.41亿
14.23%15.24亿
15.01%14.66亿
12.67%13.97亿
10.83%13.67亿
10.83%13.67亿
9.31%13.34亿
7.77%12.75亿
总权益
31.26%18.34亿
12.71%15.41亿
12.71%15.41亿
14.23%15.24亿
15.01%14.66亿
12.67%13.97亿
10.83%13.67亿
10.83%13.67亿
9.31%13.34亿
7.77%12.75亿
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
--
--
--
--
带解释段的无保留意见
--
--
--
(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 545.71%1.53亿86.13%2,068.6万86.13%2,068.6万185.20%1,131.4万-12.96%1,984.9万421.71%2,369.6万14.31%1,111.4万14.31%1,111.4万-81.17%396.7万-10.48%2,280.4万
-现金和现金等价物 545.71%1.53亿86.13%2,068.6万86.13%2,068.6万185.20%1,131.4万-12.96%1,984.9万421.71%2,369.6万14.31%1,111.4万14.31%1,111.4万-81.17%396.7万-10.48%2,280.4万
应收款项 3.16%1.4亿-0.47%1.42亿-0.47%1.42亿2.41%1.66亿14.02%1.52亿21.09%1.36亿12.87%1.43亿12.87%1.43亿18.05%1.62亿17.32%1.34亿
-应收账款 -5.75%6,206.9万-9.04%6,247.1万-9.04%6,247.1万13.39%8,600.8万9.28%7,675.8万5.12%6,585.4万1.19%6,867.9万1.19%6,867.9万7.78%7,584.9万19.97%7,023.8万
-应收税费 -66.27%152万-54.31%272万-54.31%272万--0--054.83%450.7万14.77%595.3万14.77%595.3万--1,126.2万--0
-其他应收款 66.24%1,126.3万9.22%771万9.22%771万3.25%649万37.29%766.6万208.09%677.5万91.61%705.9万91.61%705.9万43.48%628.6万16.00%558.4万
预付费用 10.58%1,474.7万12.98%1,163.4万12.98%1,163.4万3.75%1,598.9万-14.50%842.7万4.01%1,333.6万-7.32%1,029.7万-7.32%1,029.7万2.77%1,541.1万7.69%985.6万
其他流动资产 -36.22%1,561.8万-38.72%1,640.1万-38.72%1,640.1万131.76%1,427.4万187.85%1,979万215.40%2,448.8万156.81%2,676.5万156.81%2,676.5万-58.53%615.9万-42.91%687.5万
流动资产合计 63.94%3.23亿-0.06%1.91亿-0.06%1.91亿10.64%2.07亿15.75%2亿10.78%1.97亿-3.87%1.91亿-3.87%1.91亿-18.14%1.87亿-14.03%1.73亿
非流动资产
固定资产净额 12.94%39.49亿12.95%38.93亿12.95%38.93亿12.12%37.46亿10.65%36.03亿10.20%34.97亿9.22%34.47亿9.22%34.47亿22.45%33.42亿22.08%32.56亿
-固定资产 11.71%50.89亿11.83%50.03亿11.83%50.03亿10.47%48.49亿9.46%46.82亿8.99%45.56亿8.68%44.73亿8.68%44.73亿8.80%43.89亿8.45%42.78亿
-累计折旧 -7.68%-11.4亿-8.05%-11.1亿-8.05%-11.1亿-5.22%-11.02亿-5.68%-10.8亿-5.15%-10.59亿-6.89%-10.27亿-6.89%-10.27亿19.73%-10.48亿20.02%-10.21亿
商誉及其他无形资产 0.01%6.92亿-0.15%6.81亿-0.15%6.81亿-1.80%6.92亿-0.60%6.92亿-1.81%6.92亿-0.20%6.82亿-0.20%6.82亿0.01%7.05亿2.93%6.96亿
-商誉 0.00%6.4亿0.00%6.4亿0.00%6.4亿0.00%6.4亿0.00%6.4亿0.00%6.4亿0.00%6.4亿0.00%6.4亿0.00%6.4亿0.00%6.4亿
-其他无形资产 0.15%5,168.3万-2.41%4,106.3万-2.41%4,106.3万-19.71%5,168.3万-7.48%5,160.4万-19.78%5,160.4万-3.14%4,207.9万-3.14%4,207.9万0.06%6,437.2万55.17%5,577.85万
投资和预付款 8.70%2,024.3万8.98%1,971.1万8.98%1,971.1万5.81%1,927.1万8.69%1,887.8万6.81%1,862.2万10.21%1,808.7万10.21%1,808.7万14.54%1,821.3万7.64%1,736.8万
确认的养老福利金 21.59%8,249.3万21.90%8,096.7万21.90%8,096.7万77.96%7,009.2万86.55%6,868.2万98.13%6,784.8万96.55%6,642.2万96.55%6,642.2万--3,938.7万--3,681.6万
其他非流动资产 38.22%3,965.7万24.22%3,589万24.22%3,589万372.81%3,206.1万294.33%3,034.4万250.62%2,869.1万258.65%2,889.3万258.65%2,889.3万-67.41%678.1万-61.36%769.5万
非流动资产合计 11.00%50.3亿11.00%49.59亿11.00%49.59亿10.04%48.03亿8.91%46.46亿8.17%45.32亿7.74%44.68亿7.74%44.68亿20.76%43.65亿21.52%42.66亿
总资产 13.21%53.53亿10.55%51.5亿10.55%51.5亿10.07%50.11亿9.18%48.47亿8.27%47.29亿7.21%46.58亿7.21%46.58亿18.44%45.52亿19.59%44.39亿
负债
流动负债
应付款项 34.78%6,288万34.08%7,542.7万34.08%7,542.7万37.68%6,123.8万20.60%4,823.1万35.63%4,665.4万21.97%5,625.6万21.97%5,625.6万-6.82%4,448万-2.58%3,999.1万
-应付账款 34.78%6,288万34.08%7,542.7万34.08%7,542.7万37.68%6,123.8万27.15%4,823.1万35.63%4,665.4万21.97%5,625.6万21.97%5,625.6万23.81%4,448万4.08%3,793.2万
-应付税费 -------------------------------------55.28%205.9万
应计费用 17.02%6,244.3万15.37%6,667.1万15.37%6,667.1万6.00%7,437.2万12.18%6,601.5万18.37%5,335.9万10.02%5,778.7万10.02%5,778.7万10.32%7,016.2万20.84%5,884.6万
短期借款与租赁负债 -94.96%863.3万-10.13%1.1亿-10.13%1.1亿42.49%1.44亿-20.64%1.8亿-22.07%1.71亿-44.31%1.23亿-44.31%1.23亿-41.06%1.01亿77.47%2.27亿
-短期借款 -94.96%863.3万-10.13%1.1亿-10.13%1.1亿42.49%1.44亿-20.64%1.8亿-22.07%1.71亿-44.31%1.23亿-44.31%1.23亿-41.06%1.01亿77.47%2.27亿
其他流动负债 2.68%2,609.2万-14.02%2,094.2万-14.02%2,094.2万-13.92%2,417.5万-18.38%2,022.5万5.73%2,541.1万2.11%2,435.8万2.11%2,435.8万12.86%2,808.4万20.46%2,477.8万
流动负债总额 -46.05%1.6亿4.67%2.73亿4.67%2.73亿24.63%3.04亿-10.25%3.14亿-8.22%2.97亿-23.85%2.61亿-23.85%2.61亿-20.79%2.44亿47.14%3.5亿
非流动负债
长期借款与租赁负债 10.29%18.66亿9.37%18.67亿9.37%18.67亿4.97%17.57亿9.20%16.92亿9.11%16.91亿11.80%17.07亿11.80%17.07亿9.12%16.74亿1.99%15.5亿
-长期借款 10.29%18.66亿9.37%18.67亿9.37%18.67亿4.97%17.57亿9.20%16.92亿9.11%16.91亿11.80%17.07亿11.80%17.07亿9.12%16.74亿1.99%15.5亿
递延负债 18.14%5.23亿18.05%5.09亿18.05%5.09亿16.22%4.87亿19.13%4.59亿16.01%4.42亿12.03%4.31亿12.03%4.31亿10.72%4.19亿4.34%3.85亿
员工福利 5.13%4,584.9万1.81%4,587.8万1.81%4,587.8万-8.09%4,426.4万-7.33%4,403.3万-7.84%4,361.3万-3.79%4,506.3万-3.79%4,506.3万-5.85%4,815.8万-10.35%4,751.6万
其他非流动负债 1.50%3.69亿0.99%3.67亿0.99%3.67亿1.89%3.67亿1.55%3.63亿2.32%3.63亿4.04%3.63亿4.04%3.63亿2.27%3.6亿2.02%3.57亿
非流动负债总额 10.69%33.59亿10.07%33.35亿10.07%33.35亿7.01%31.83亿8.95%30.67亿8.23%30.35亿9.44%30.3亿9.44%30.3亿28.48%29.74亿22.83%28.15亿
总负债 5.64%35.19亿9.65%36.09亿9.65%36.09亿8.34%34.87亿6.83%33.81亿6.53%33.31亿5.77%32.91亿5.77%32.91亿22.69%32.18亿25.12%31.65亿
所有者权益
股本 23.53%4.2万5.88%3.6万5.88%3.6万9.09%3.6万6.06%3.5万6.25%3.4万6.25%3.4万6.25%3.4万3.13%3.3万3.13%3.3万
-普通股股本 23.53%4.2万5.88%3.6万5.88%3.6万9.09%3.6万6.06%3.5万6.25%3.4万6.25%3.4万6.25%3.4万3.13%3.3万3.13%3.3万
留存收益 8.26%5.84亿8.17%5.81亿8.17%5.81亿9.92%5.8亿9.48%5.5亿9.17%5.4亿8.44%5.37亿8.44%5.37亿7.98%5.28亿8.09%5.02亿
资本公积 45.88%12.48亿15.75%9.58亿15.75%9.58亿17.01%9.42亿18.56%9.14亿14.93%8.56亿12.44%8.28亿12.44%8.28亿10.29%8.05亿7.61%7.71亿
不影响留存收益的损益 -25.15%146.7万-25.15%146.7万-25.15%146.7万45.29%196万45.29%196万45.29%196万9.44%196万9.44%196万-28.85%134.9万-14.51%134.9万
股东权益总额 31.26%18.34亿12.71%15.41亿12.71%15.41亿14.23%15.24亿15.01%14.66亿12.67%13.97亿10.83%13.67亿10.83%13.67亿9.31%13.34亿7.77%12.75亿
总权益 31.26%18.34亿12.71%15.41亿12.71%15.41亿14.23%15.24亿15.01%14.66亿12.67%13.97亿10.83%13.67亿10.83%13.67亿9.31%13.34亿7.77%12.75亿
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