美股市场个股详情

KSPI Kaspi.kz

添加自选
  • 124.360
  • +2.160+1.77%
收盘价 05/28 16:00 (美东)
  • 124.360
  • 0.0000.00%
盘后 17:32 (美东)
236.30亿总市值11.69市盈率TTM

Kaspi.kz关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2024/03/31
(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
资产
流动资产
现金及现金等价物和短期投资
5.82%1.98万亿
29.91%2.2万亿
29.91%2.2万亿
37.04%1.95万亿
60.02%2.17万亿
96.60%1.87万亿
78.33%1.69万亿
78.33%1.69万亿
32.58%1.42万亿
8.68%1.36万亿
-现金和现金等价物
28.33%6,680.58亿
33.33%8,204.66亿
33.33%8,204.66亿
2.10%5,285.15亿
3.69%5,272.8亿
23.80%5,205.79亿
79.88%6,153.6亿
79.88%6,153.6亿
119.61%5,176.63亿
150.97%5,085.21亿
-短期投资
-2.85%1.31万亿
27.96%1.38万亿
27.96%1.38万亿
56.98%1.42万亿
93.76%1.65万亿
154.25%1.35万亿
77.46%1.08万亿
77.46%1.08万亿
8.13%9,072.84亿
-18.87%8,490.6亿
应收款项
39.17%4.55万亿
34.15%4.27万亿
34.15%4.27万亿
33.46%3.82万亿
33.20%3.36万亿
36.00%3.27万亿
27.67%3.18万亿
27.67%3.18万亿
33.68%2.86万亿
40.60%2.52万亿
-应收贷款
39.32%4.52万亿
34.27%4.24万亿
34.27%4.24万亿
34.12%3.79万亿
33.82%3.33万亿
37.51%3.25万亿
29.79%3.15万亿
29.79%3.15万亿
35.45%2.83万亿
42.75%2.49万亿
-其他应收款
19.21%301.56亿
19.54%306.83亿
19.54%306.83亿
-17.86%295.89亿
-16.23%262.44亿
-43.53%252.97亿
-57.57%256.68亿
-57.57%256.68亿
-33.95%360.22亿
-36.02%313.3亿
受限制现金
10.97%501.74亿
9.77%471.1亿
9.77%471.1亿
13.60%469.31亿
15.50%444.59亿
-26.85%452.12亿
31.11%429.17亿
31.11%429.17亿
25.69%413.12亿
23.03%384.91亿
流动资产合计
26.90%6.58万亿
32.48%6.51万亿
32.48%6.51万亿
34.45%5.82万亿
42.32%5.57万亿
51.72%5.19万亿
41.34%4.91万亿
41.34%4.91万亿
33.24%4.33万亿
27.44%3.92万亿
非流动资产
固定资产净额
23.01%1,723.57亿
22.48%1,427.29亿
22.48%1,427.29亿
40.76%1,519.13亿
42.33%1,453.24亿
58.33%1,401.13亿
64.23%1,165.37亿
64.23%1,165.37亿
45.40%1,079.26亿
38.94%1,021亿
-固定资产
----
28.82%2,107.36亿
28.82%2,107.36亿
----
----
----
52.10%1,635.92亿
52.10%1,635.92亿
----
----
-累计折旧
----
-44.53%-680.07亿
-44.53%-680.07亿
----
----
----
-28.57%-470.55亿
-28.57%-470.55亿
----
----
商誉及其他无形资产
----
106.61%316.17亿
106.61%316.17亿
----
----
----
8.21%153.03亿
8.21%153.03亿
----
----
投资和预付款
----
----
----
--1.47亿
--3.99亿
----
----
----
----
----
金融资产
29.90%10.86亿
2,040.00%6.42亿
2,040.00%6.42亿
----
----
-91.81%8.36亿
-96.86%3,000万
-96.86%3,000万
966.00%21.32亿
2,502.81%46.33亿
其他非流动资产
35.84%1,522.04亿
81.33%1,355.98亿
81.33%1,355.98亿
34.58%1,080.53亿
33.06%1,086.71亿
25.90%1,120.44亿
306.02%747.8亿
306.02%747.8亿
24.95%802.87亿
42.71%816.68亿
非流动资产合计
28.72%3,256.47亿
50.30%3,105.86亿
50.30%3,105.86亿
36.65%2,601.13亿
35.03%2,543.94亿
34.79%2,529.93亿
58.50%2,066.5亿
58.50%2,066.5亿
37.25%1,903.45亿
43.94%1,884.01亿
总资产
26.98%6.91万亿
33.20%6.82万亿
33.20%6.82万亿
34.54%6.08万亿
41.99%5.83万亿
50.84%5.44万亿
41.96%5.12万亿
41.96%5.12万亿
33.40%4.52万亿
28.12%4.1万亿
负债
流动负债
应付款项
26.09%5.16万亿
36.48%5.42万亿
36.48%5.42万亿
44.51%4.82万亿
46.93%4.52万亿
54.45%4.09万亿
44.39%3.97万亿
44.39%3.97万亿
27.49%3.34万亿
23.18%3.08万亿
-应付账款
26.09%5.16万亿
36.20%5.35万亿
36.20%5.35万亿
44.51%4.82万亿
46.93%4.52万亿
54.45%4.09万亿
44.39%3.93万亿
44.39%3.93万亿
27.49%3.34万亿
23.18%3.08万亿
-应付税费
----
-0.52%163.91亿
-0.52%163.91亿
----
----
----
6.00%164.77亿
6.00%164.77亿
----
----
-应付股利
----
0.49%12.41亿
0.49%12.41亿
----
----
----
23.13%12.35亿
23.13%12.35亿
----
----
-其他应付款
----
111.02%496.79亿
111.02%496.79亿
----
----
----
94.88%235.42亿
94.88%235.42亿
----
----
应计费用
--459.71亿
44.77%467.53亿
44.77%467.53亿
----
----
----
82.41%322.94亿
82.41%322.94亿
55.02%246.02亿
43.74%203.32亿
短期借款与租赁负债
--511.17亿
41.02%602.6亿
41.02%602.6亿
----
----
----
60.17%427.33亿
60.17%427.33亿
45.90%241.64亿
39.45%208.76亿
-短期借款
--511.17亿
41.02%602.6亿
41.02%602.6亿
----
----
----
60.17%427.33亿
60.17%427.33亿
45.90%241.64亿
39.45%208.76亿
递延负债
----
13.57%124.36亿
13.57%124.36亿
----
----
----
--109.5亿
--109.5亿
----
----
流动负债总额
28.46%5.25万亿
36.53%5.54万亿
36.53%5.54万亿
42.43%4.82万亿
44.99%4.52万亿
52.23%4.09万亿
45.17%4.06万亿
45.17%4.06万亿
27.77%3.39万亿
23.40%3.12万亿
非流动负债
长期借款与租赁负债
-26.34%2,147.09亿
-27.83%1,618.96亿
-27.83%1,618.96亿
-47.43%1,628.98亿
31.74%3,012.27亿
4.69%2,914.93亿
-20.95%2,243.28亿
-20.95%2,243.28亿
35.53%3,098.4亿
3.26%2,286.54亿
-长期借款
-26.34%2,147.09亿
-27.83%1,618.96亿
-27.83%1,618.96亿
-47.43%1,628.98亿
31.74%3,012.27亿
4.69%2,914.93亿
-20.95%2,243.28亿
-20.95%2,243.28亿
35.53%3,098.4亿
3.26%2,286.54亿
递延负债
----
-2.56%31.62亿
-2.56%31.62亿
----
----
----
-75.35%32.45亿
-75.35%32.45亿
----
----
员工福利
----
37.36%62.1亿
37.36%62.1亿
----
----
----
14.80%45.21亿
14.80%45.21亿
----
----
衍生品负债
----
692.52%11.65亿
692.52%11.65亿
----
----
----
-93.90%1.47亿
-93.90%1.47亿
----
----
可转换优先证券
----
5.56%9,500万
5.56%9,500万
----
----
----
9.76%9,000万
9.76%9,000万
----
----
其他非流动负债
29.27%831.32亿
13.37%86.76亿
13.37%86.76亿
48.45%854.92亿
61.48%805.18亿
31.61%643.07亿
29.76%76.53亿
29.76%76.53亿
5.10%575.88亿
-3.76%498.63亿
非流动负债总额
-16.29%2,978.41亿
-24.49%1,812.04亿
-24.49%1,812.04亿
-32.40%2,483.9亿
37.06%3,817.45亿
8.70%3,558亿
-22.40%2,399.84亿
-22.40%2,399.84亿
29.64%3,674.28亿
1.93%2,785.17亿
总负债
24.88%5.55万亿
33.12%5.72万亿
33.12%5.72万亿
35.10%5.07万亿
44.34%4.9万亿
47.50%4.44万亿
38.44%4.3万亿
38.44%4.3万亿
27.95%3.75万亿
21.30%3.4万亿
所有者权益
股本
0.00%1,301.44亿
0.00%1,301.44亿
0.00%1,301.44亿
0.00%1,301.44亿
0.00%1,301.44亿
30.48%1,301.44亿
0.00%1,301.44亿
0.00%1,301.44亿
33.44%1,301.44亿
33.44%1,301.44亿
-普通股股本
0.00%1,301.44亿
0.00%1,301.44亿
0.00%1,301.44亿
0.00%1,301.44亿
0.00%1,301.44亿
30.48%1,301.44亿
0.00%1,301.44亿
0.00%1,301.44亿
33.44%1,301.44亿
33.44%1,301.44亿
留存收益
36.47%1.29万亿
38.35%1.05万亿
38.35%1.05万亿
40.79%9,709.89亿
42.24%8,821.74亿
93.28%9,460.86亿
101.80%7,625亿
101.80%7,625亿
108.09%6,896.61亿
115.82%6,201.8亿
资本公积
0.00%5.06亿
0.00%5.06亿
0.00%5.06亿
0.00%5.06亿
0.00%5.06亿
0.00%5.06亿
0.00%5.06亿
0.00%5.06亿
0.00%5.06亿
0.00%5.06亿
减:库存股
36.01%1,515.51亿
61.60%1,520.01亿
61.60%1,520.01亿
104.59%1,365.32亿
167.95%1,269.23亿
--1,114.29亿
188.40%940.58亿
188.40%940.58亿
--667.35亿
--473.69亿
不影响留存收益的损益
848.66%410.58亿
205.63%97.19亿
205.63%97.19亿
162.78%87.86亿
151.35%88.91亿
130.54%43.28亿
-454.29%-92.01亿
-454.29%-92.01亿
-350.76%-139.95亿
-350.33%-173.15亿
其他权益
6.07%187.76亿
18.91%348.1亿
18.91%348.1亿
25.58%256.02亿
29.40%216.5亿
35.78%177.01亿
37.81%292.74亿
37.81%292.74亿
37.55%203.87亿
122.10%167.31亿
股东权益总额
34.72%1.33万亿
31.61%1.08万亿
31.61%1.08万亿
31.52%9,994.95亿
30.38%9,164.42亿
67.74%9,873.36亿
63.92%8,191.65亿
63.92%8,191.65亿
68.93%7,599.68亿
75.79%7,028.77亿
非控制性权益
220.08%284.9亿
284.58%250.9亿
284.58%250.9亿
71.51%99.51亿
72.62%92.06亿
76.08%89.01亿
31.32%65.24亿
31.32%65.24亿
31.86%58.02亿
33.83%53.33亿
总权益
36.37%1.36万亿
33.61%1.1万亿
33.61%1.1万亿
31.82%1.01万亿
30.70%9,256.48亿
67.82%9,962.37亿
63.60%8,256.89亿
63.60%8,256.89亿
68.57%7,657.7亿
75.37%7,082.1亿
货币单位
KZT
KZT
KZT
KZT
KZT
KZT
KZT
KZT
KZT
KZT
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(Q1)2024/03/31(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
资产
流动资产
现金及现金等价物和短期投资 5.82%1.98万亿29.91%2.2万亿29.91%2.2万亿37.04%1.95万亿60.02%2.17万亿96.60%1.87万亿78.33%1.69万亿78.33%1.69万亿32.58%1.42万亿8.68%1.36万亿
-现金和现金等价物 28.33%6,680.58亿33.33%8,204.66亿33.33%8,204.66亿2.10%5,285.15亿3.69%5,272.8亿23.80%5,205.79亿79.88%6,153.6亿79.88%6,153.6亿119.61%5,176.63亿150.97%5,085.21亿
-短期投资 -2.85%1.31万亿27.96%1.38万亿27.96%1.38万亿56.98%1.42万亿93.76%1.65万亿154.25%1.35万亿77.46%1.08万亿77.46%1.08万亿8.13%9,072.84亿-18.87%8,490.6亿
应收款项 39.17%4.55万亿34.15%4.27万亿34.15%4.27万亿33.46%3.82万亿33.20%3.36万亿36.00%3.27万亿27.67%3.18万亿27.67%3.18万亿33.68%2.86万亿40.60%2.52万亿
-应收贷款 39.32%4.52万亿34.27%4.24万亿34.27%4.24万亿34.12%3.79万亿33.82%3.33万亿37.51%3.25万亿29.79%3.15万亿29.79%3.15万亿35.45%2.83万亿42.75%2.49万亿
-其他应收款 19.21%301.56亿19.54%306.83亿19.54%306.83亿-17.86%295.89亿-16.23%262.44亿-43.53%252.97亿-57.57%256.68亿-57.57%256.68亿-33.95%360.22亿-36.02%313.3亿
受限制现金 10.97%501.74亿9.77%471.1亿9.77%471.1亿13.60%469.31亿15.50%444.59亿-26.85%452.12亿31.11%429.17亿31.11%429.17亿25.69%413.12亿23.03%384.91亿
流动资产合计 26.90%6.58万亿32.48%6.51万亿32.48%6.51万亿34.45%5.82万亿42.32%5.57万亿51.72%5.19万亿41.34%4.91万亿41.34%4.91万亿33.24%4.33万亿27.44%3.92万亿
非流动资产
固定资产净额 23.01%1,723.57亿22.48%1,427.29亿22.48%1,427.29亿40.76%1,519.13亿42.33%1,453.24亿58.33%1,401.13亿64.23%1,165.37亿64.23%1,165.37亿45.40%1,079.26亿38.94%1,021亿
-固定资产 ----28.82%2,107.36亿28.82%2,107.36亿------------52.10%1,635.92亿52.10%1,635.92亿--------
-累计折旧 -----44.53%-680.07亿-44.53%-680.07亿-------------28.57%-470.55亿-28.57%-470.55亿--------
商誉及其他无形资产 ----106.61%316.17亿106.61%316.17亿------------8.21%153.03亿8.21%153.03亿--------
投资和预付款 --------------1.47亿--3.99亿--------------------
金融资产 29.90%10.86亿2,040.00%6.42亿2,040.00%6.42亿---------91.81%8.36亿-96.86%3,000万-96.86%3,000万966.00%21.32亿2,502.81%46.33亿
其他非流动资产 35.84%1,522.04亿81.33%1,355.98亿81.33%1,355.98亿34.58%1,080.53亿33.06%1,086.71亿25.90%1,120.44亿306.02%747.8亿306.02%747.8亿24.95%802.87亿42.71%816.68亿
非流动资产合计 28.72%3,256.47亿50.30%3,105.86亿50.30%3,105.86亿36.65%2,601.13亿35.03%2,543.94亿34.79%2,529.93亿58.50%2,066.5亿58.50%2,066.5亿37.25%1,903.45亿43.94%1,884.01亿
总资产 26.98%6.91万亿33.20%6.82万亿33.20%6.82万亿34.54%6.08万亿41.99%5.83万亿50.84%5.44万亿41.96%5.12万亿41.96%5.12万亿33.40%4.52万亿28.12%4.1万亿
负债
流动负债
应付款项 26.09%5.16万亿36.48%5.42万亿36.48%5.42万亿44.51%4.82万亿46.93%4.52万亿54.45%4.09万亿44.39%3.97万亿44.39%3.97万亿27.49%3.34万亿23.18%3.08万亿
-应付账款 26.09%5.16万亿36.20%5.35万亿36.20%5.35万亿44.51%4.82万亿46.93%4.52万亿54.45%4.09万亿44.39%3.93万亿44.39%3.93万亿27.49%3.34万亿23.18%3.08万亿
-应付税费 -----0.52%163.91亿-0.52%163.91亿------------6.00%164.77亿6.00%164.77亿--------
-应付股利 ----0.49%12.41亿0.49%12.41亿------------23.13%12.35亿23.13%12.35亿--------
-其他应付款 ----111.02%496.79亿111.02%496.79亿------------94.88%235.42亿94.88%235.42亿--------
应计费用 --459.71亿44.77%467.53亿44.77%467.53亿------------82.41%322.94亿82.41%322.94亿55.02%246.02亿43.74%203.32亿
短期借款与租赁负债 --511.17亿41.02%602.6亿41.02%602.6亿------------60.17%427.33亿60.17%427.33亿45.90%241.64亿39.45%208.76亿
-短期借款 --511.17亿41.02%602.6亿41.02%602.6亿------------60.17%427.33亿60.17%427.33亿45.90%241.64亿39.45%208.76亿
递延负债 ----13.57%124.36亿13.57%124.36亿--------------109.5亿--109.5亿--------
流动负债总额 28.46%5.25万亿36.53%5.54万亿36.53%5.54万亿42.43%4.82万亿44.99%4.52万亿52.23%4.09万亿45.17%4.06万亿45.17%4.06万亿27.77%3.39万亿23.40%3.12万亿
非流动负债
长期借款与租赁负债 -26.34%2,147.09亿-27.83%1,618.96亿-27.83%1,618.96亿-47.43%1,628.98亿31.74%3,012.27亿4.69%2,914.93亿-20.95%2,243.28亿-20.95%2,243.28亿35.53%3,098.4亿3.26%2,286.54亿
-长期借款 -26.34%2,147.09亿-27.83%1,618.96亿-27.83%1,618.96亿-47.43%1,628.98亿31.74%3,012.27亿4.69%2,914.93亿-20.95%2,243.28亿-20.95%2,243.28亿35.53%3,098.4亿3.26%2,286.54亿
递延负债 -----2.56%31.62亿-2.56%31.62亿-------------75.35%32.45亿-75.35%32.45亿--------
员工福利 ----37.36%62.1亿37.36%62.1亿------------14.80%45.21亿14.80%45.21亿--------
衍生品负债 ----692.52%11.65亿692.52%11.65亿-------------93.90%1.47亿-93.90%1.47亿--------
可转换优先证券 ----5.56%9,500万5.56%9,500万------------9.76%9,000万9.76%9,000万--------
其他非流动负债 29.27%831.32亿13.37%86.76亿13.37%86.76亿48.45%854.92亿61.48%805.18亿31.61%643.07亿29.76%76.53亿29.76%76.53亿5.10%575.88亿-3.76%498.63亿
非流动负债总额 -16.29%2,978.41亿-24.49%1,812.04亿-24.49%1,812.04亿-32.40%2,483.9亿37.06%3,817.45亿8.70%3,558亿-22.40%2,399.84亿-22.40%2,399.84亿29.64%3,674.28亿1.93%2,785.17亿
总负债 24.88%5.55万亿33.12%5.72万亿33.12%5.72万亿35.10%5.07万亿44.34%4.9万亿47.50%4.44万亿38.44%4.3万亿38.44%4.3万亿27.95%3.75万亿21.30%3.4万亿
所有者权益
股本 0.00%1,301.44亿0.00%1,301.44亿0.00%1,301.44亿0.00%1,301.44亿0.00%1,301.44亿30.48%1,301.44亿0.00%1,301.44亿0.00%1,301.44亿33.44%1,301.44亿33.44%1,301.44亿
-普通股股本 0.00%1,301.44亿0.00%1,301.44亿0.00%1,301.44亿0.00%1,301.44亿0.00%1,301.44亿30.48%1,301.44亿0.00%1,301.44亿0.00%1,301.44亿33.44%1,301.44亿33.44%1,301.44亿
留存收益 36.47%1.29万亿38.35%1.05万亿38.35%1.05万亿40.79%9,709.89亿42.24%8,821.74亿93.28%9,460.86亿101.80%7,625亿101.80%7,625亿108.09%6,896.61亿115.82%6,201.8亿
资本公积 0.00%5.06亿0.00%5.06亿0.00%5.06亿0.00%5.06亿0.00%5.06亿0.00%5.06亿0.00%5.06亿0.00%5.06亿0.00%5.06亿0.00%5.06亿
减:库存股 36.01%1,515.51亿61.60%1,520.01亿61.60%1,520.01亿104.59%1,365.32亿167.95%1,269.23亿--1,114.29亿188.40%940.58亿188.40%940.58亿--667.35亿--473.69亿
不影响留存收益的损益 848.66%410.58亿205.63%97.19亿205.63%97.19亿162.78%87.86亿151.35%88.91亿130.54%43.28亿-454.29%-92.01亿-454.29%-92.01亿-350.76%-139.95亿-350.33%-173.15亿
其他权益 6.07%187.76亿18.91%348.1亿18.91%348.1亿25.58%256.02亿29.40%216.5亿35.78%177.01亿37.81%292.74亿37.81%292.74亿37.55%203.87亿122.10%167.31亿
股东权益总额 34.72%1.33万亿31.61%1.08万亿31.61%1.08万亿31.52%9,994.95亿30.38%9,164.42亿67.74%9,873.36亿63.92%8,191.65亿63.92%8,191.65亿68.93%7,599.68亿75.79%7,028.77亿
非控制性权益 220.08%284.9亿284.58%250.9亿284.58%250.9亿71.51%99.51亿72.62%92.06亿76.08%89.01亿31.32%65.24亿31.32%65.24亿31.86%58.02亿33.83%53.33亿
总权益 36.37%1.36万亿33.61%1.1万亿33.61%1.1万亿31.82%1.01万亿30.70%9,256.48亿67.82%9,962.37亿63.60%8,256.89亿63.60%8,256.89亿68.57%7,657.7亿75.37%7,082.1亿
货币单位 KZTKZTKZTKZTKZTKZTKZTKZTKZTKZT
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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