美股市场个股详情

KOAN RESONATE BLENDS INC

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  • 0.025100
  • 0.0000000.00%
延时15分钟行情收盘价 05/02 16:00 (美东)
217.43万总市值-1255市盈率TTM

RESONATE BLENDS INC关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q1)2022/03/31
资产
流动资产
现金及现金等价物和短期投资
-89.23%6,938
-89.23%6,938
-99.79%588
-93.51%2,260
-99.44%1,042
398.87%6.44万
398.87%6.44万
-29.62%27.48万
-96.43%3.48万
-88.27%18.45万
-现金和现金等价物
-89.23%6,938
-89.23%6,938
-99.79%588
-93.51%2,260
-99.44%1,042
398.87%6.44万
398.87%6.44万
-29.62%27.48万
-96.43%3.48万
-88.27%18.45万
应收款项
--0
--0
-5.37%12万
--12万
--12万
--15万
--15万
--12.68万
----
----
-其他应收款
----
----
-5.37%12万
--12万
--12万
--15万
--15万
--12.68万
----
----
存货
--0
--0
-48.34%10.09万
-62.05%10.1万
-57.27%11.51万
-34.70%16.05万
-34.70%16.05万
-16.90%19.53万
55.76%26.62万
47.71%26.93万
预付费用
--97万
--97万
3,574.97%72万
2,889.49%43.5万
----
--0
--0
-16.58%1.96万
--1.46万
--2.38万
流动资产合计
160.58%97.69万
160.58%97.69万
52.70%94.15万
108.62%65.83万
-50.56%23.61万
39.10%37.49万
39.10%37.49万
-5.01%61.65万
-72.48%31.55万
-72.80%47.76万
非流动资产
固定资产净额
-36.53%1.53万
-36.53%1.53万
-29.23%1.76万
-28.00%1.92万
-25.51%2.11万
-23.06%2.41万
-23.06%2.41万
-31.13%2.48万
26.41%2.66万
39.34%2.83万
投资和预付款
0.00%100
0.00%100
0.00%100
0.00%100
0.00%100
0.00%100
0.00%100
0.00%100
0.00%100
0.00%100
金融资产
----
----
----
----
----
----
----
--0
--0
----
非流动资产合计
-36.38%1.54万
-36.38%1.54万
-29.12%1.77万
-27.89%1.93万
-25.42%2.12万
-22.99%2.42万
-22.99%2.42万
-31.05%2.49万
26.29%2.67万
39.15%2.84万
总资产
148.63%99.23万
148.63%99.23万
49.53%95.91万
97.96%67.76万
-49.15%25.73万
32.62%39.91万
32.62%39.91万
-6.38%64.15万
-70.69%34.23万
-71.51%50.6万
负债
流动负债
应付款项
6.35%51.53万
6.35%51.53万
20.57%43.15万
22.16%36.85万
1.93%30.6万
92.38%48.46万
92.38%48.46万
152.28%35.78万
--30.17万
-17.98%30.02万
-应付账款
39.30%44.52万
39.30%44.52万
14.77%36.14万
20.73%29.84万
-5.32%23.69万
54.50%31.96万
54.50%31.96万
121.96%31.48万
--24.72万
22.95%25.02万
-应付关联方款项
-57.50%7.01万
-57.50%7.01万
63.02%7.01万
28.62%7.01万
38.20%6.91万
266.55%16.49万
266.55%16.49万
--4.3万
--5.45万
-69.23%5万
短期借款与租赁负债
147.34%244.57万
147.34%244.57万
125.28%222.76万
-20.76%198.4万
-36.25%150.77万
-46.98%98.88万
-46.98%98.88万
-46.98%98.88万
32.13%250.38万
48.28%236.5万
-短期借款
147.34%244.57万
147.34%244.57万
125.28%222.76万
-20.76%198.4万
-36.25%150.77万
-46.98%98.88万
-46.98%98.88万
-46.98%98.88万
32.13%250.38万
48.28%236.5万
其他流动负债
130.19%16.69万
130.19%16.69万
315.24%30.1万
-29.17%42.42万
-81.02%21.24万
-96.83%7.25万
-96.83%7.25万
-97.86%7.25万
-86.01%59.89万
114.08%111.92万
流动负债总额
102.34%312.79万
102.34%312.79万
108.58%296.01万
-18.44%277.67万
-46.46%202.61万
-64.89%154.59万
-64.89%154.59万
-73.66%141.91万
-45.95%340.44万
52.36%378.44万
非流动负债
非流动负债总额
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
总负债
102.34%312.79万
102.34%312.79万
108.58%296.01万
-18.44%277.67万
-46.46%202.61万
-64.89%154.59万
-64.89%154.59万
-73.66%141.91万
-45.95%340.44万
52.36%378.44万
所有者权益
股本
14.44%8,862
14.44%8,862
9.60%8,484
61.18%8,033
176.04%1.37万
64.63%7,744
64.63%7,744
64.77%7,741
7.72%4,984
14.75%4,979
-普通股股本
14.82%8,662
14.82%8,662
9.85%8,284
63.73%7,833
183.41%1.35万
67.50%7,544
67.50%7,544
67.65%7,541
8.06%4,784
15.46%4,779
-优先股股本
0.00%200
0.00%200
0.00%200
0.00%200
0.00%200
0.00%200
0.00%200
0.00%200
0.00%200
0.00%200
留存收益
-5.59%-2,673.64万
-5.59%-2,673.64万
-4.45%-2,633.19万
-3.29%-2,610.37万
-0.85%-2,570.14万
2.52%-2,532.04万
2.52%-2,532.04万
8.13%-2,521.02万
8.24%-2,527.23万
-15.00%-2,548.4万
资本公积
1.74%2,485.3万
1.74%2,485.3万
-0.41%2,458.35万
7.97%2,425.76万
7.65%2,417.99万
11.71%2,442.7万
11.71%2,442.7万
8.58%2,468.58万
0.27%2,246.63万
4.73%2,246.18万
其他权益
0.00%-26.11万
0.00%-26.11万
0.00%-26.11万
0.00%-26.11万
0.00%-26.11万
---26.11万
---26.11万
---26.11万
---26.11万
---26.11万
股东权益总额
-86.23%-213.56万
-86.23%-213.56万
-157.29%-200.09万
31.45%-209.91万
46.04%-176.88万
72.04%-114.67万
72.04%-114.67万
83.46%-77.77万
40.32%-306.21万
-363.50%-327.83万
总权益
-86.23%-213.56万
-86.23%-213.56万
-157.29%-200.09万
31.45%-209.91万
46.04%-176.88万
72.04%-114.67万
72.04%-114.67万
83.46%-77.77万
40.32%-306.21万
-363.50%-327.83万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
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)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(Q1)2022/03/31
资产
流动资产
现金及现金等价物和短期投资 -89.23%6,938-89.23%6,938-99.79%588-93.51%2,260-99.44%1,042398.87%6.44万398.87%6.44万-29.62%27.48万-96.43%3.48万-88.27%18.45万
-现金和现金等价物 -89.23%6,938-89.23%6,938-99.79%588-93.51%2,260-99.44%1,042398.87%6.44万398.87%6.44万-29.62%27.48万-96.43%3.48万-88.27%18.45万
应收款项 --0--0-5.37%12万--12万--12万--15万--15万--12.68万--------
-其他应收款 ---------5.37%12万--12万--12万--15万--15万--12.68万--------
存货 --0--0-48.34%10.09万-62.05%10.1万-57.27%11.51万-34.70%16.05万-34.70%16.05万-16.90%19.53万55.76%26.62万47.71%26.93万
预付费用 --97万--97万3,574.97%72万2,889.49%43.5万------0--0-16.58%1.96万--1.46万--2.38万
流动资产合计 160.58%97.69万160.58%97.69万52.70%94.15万108.62%65.83万-50.56%23.61万39.10%37.49万39.10%37.49万-5.01%61.65万-72.48%31.55万-72.80%47.76万
非流动资产
固定资产净额 -36.53%1.53万-36.53%1.53万-29.23%1.76万-28.00%1.92万-25.51%2.11万-23.06%2.41万-23.06%2.41万-31.13%2.48万26.41%2.66万39.34%2.83万
投资和预付款 0.00%1000.00%1000.00%1000.00%1000.00%1000.00%1000.00%1000.00%1000.00%1000.00%100
金融资产 ------------------------------0--0----
非流动资产合计 -36.38%1.54万-36.38%1.54万-29.12%1.77万-27.89%1.93万-25.42%2.12万-22.99%2.42万-22.99%2.42万-31.05%2.49万26.29%2.67万39.15%2.84万
总资产 148.63%99.23万148.63%99.23万49.53%95.91万97.96%67.76万-49.15%25.73万32.62%39.91万32.62%39.91万-6.38%64.15万-70.69%34.23万-71.51%50.6万
负债
流动负债
应付款项 6.35%51.53万6.35%51.53万20.57%43.15万22.16%36.85万1.93%30.6万92.38%48.46万92.38%48.46万152.28%35.78万--30.17万-17.98%30.02万
-应付账款 39.30%44.52万39.30%44.52万14.77%36.14万20.73%29.84万-5.32%23.69万54.50%31.96万54.50%31.96万121.96%31.48万--24.72万22.95%25.02万
-应付关联方款项 -57.50%7.01万-57.50%7.01万63.02%7.01万28.62%7.01万38.20%6.91万266.55%16.49万266.55%16.49万--4.3万--5.45万-69.23%5万
短期借款与租赁负债 147.34%244.57万147.34%244.57万125.28%222.76万-20.76%198.4万-36.25%150.77万-46.98%98.88万-46.98%98.88万-46.98%98.88万32.13%250.38万48.28%236.5万
-短期借款 147.34%244.57万147.34%244.57万125.28%222.76万-20.76%198.4万-36.25%150.77万-46.98%98.88万-46.98%98.88万-46.98%98.88万32.13%250.38万48.28%236.5万
其他流动负债 130.19%16.69万130.19%16.69万315.24%30.1万-29.17%42.42万-81.02%21.24万-96.83%7.25万-96.83%7.25万-97.86%7.25万-86.01%59.89万114.08%111.92万
流动负债总额 102.34%312.79万102.34%312.79万108.58%296.01万-18.44%277.67万-46.46%202.61万-64.89%154.59万-64.89%154.59万-73.66%141.91万-45.95%340.44万52.36%378.44万
非流动负债
非流动负债总额 --0--0--0--0--0--0--0--0--0--0
总负债 102.34%312.79万102.34%312.79万108.58%296.01万-18.44%277.67万-46.46%202.61万-64.89%154.59万-64.89%154.59万-73.66%141.91万-45.95%340.44万52.36%378.44万
所有者权益
股本 14.44%8,86214.44%8,8629.60%8,48461.18%8,033176.04%1.37万64.63%7,74464.63%7,74464.77%7,7417.72%4,98414.75%4,979
-普通股股本 14.82%8,66214.82%8,6629.85%8,28463.73%7,833183.41%1.35万67.50%7,54467.50%7,54467.65%7,5418.06%4,78415.46%4,779
-优先股股本 0.00%2000.00%2000.00%2000.00%2000.00%2000.00%2000.00%2000.00%2000.00%2000.00%200
留存收益 -5.59%-2,673.64万-5.59%-2,673.64万-4.45%-2,633.19万-3.29%-2,610.37万-0.85%-2,570.14万2.52%-2,532.04万2.52%-2,532.04万8.13%-2,521.02万8.24%-2,527.23万-15.00%-2,548.4万
资本公积 1.74%2,485.3万1.74%2,485.3万-0.41%2,458.35万7.97%2,425.76万7.65%2,417.99万11.71%2,442.7万11.71%2,442.7万8.58%2,468.58万0.27%2,246.63万4.73%2,246.18万
其他权益 0.00%-26.11万0.00%-26.11万0.00%-26.11万0.00%-26.11万0.00%-26.11万---26.11万---26.11万---26.11万---26.11万---26.11万
股东权益总额 -86.23%-213.56万-86.23%-213.56万-157.29%-200.09万31.45%-209.91万46.04%-176.88万72.04%-114.67万72.04%-114.67万83.46%-77.77万40.32%-306.21万-363.50%-327.83万
总权益 -86.23%-213.56万-86.23%-213.56万-157.29%-200.09万31.45%-209.91万46.04%-176.88万72.04%-114.67万72.04%-114.67万83.46%-77.77万40.32%-306.21万-363.50%-327.83万
货币单位 美元美元美元美元美元美元美元美元美元美元
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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目标价预测

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