美股市场个股详情

InspireMD (NSPR)

添加自选
  • 1.200
  • -0.050-4.00%
收盘价 05/12 15:59 (美东)
  • 1.190
  • -0.010-0.83%
盘后 17:41 (美东)
5620.68万总市值-1.71市盈率TTM

InspireMD (NSPR) 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
59.36%4,157万
56.51%5,421.1万
56.51%5,421.1万
56.93%6,340.3万
-58.92%1,937.4万
-23.16%2,608.6万
-11.24%3,463.7万
-11.24%3,463.7万
-6.04%4,040.2万
0.36%4,716.3万
-现金和现金等价物
-8.25%1,136.2万
-52.74%893.9万
-52.74%893.9万
300.83%6,340.3万
-59.45%1,150.9万
31.89%1,238.3万
96.22%1,891.6万
96.22%1,891.6万
14.30%1,581.8万
145.86%2,838.5万
-短期投资
120.45%3,020.8万
187.97%4,527.2万
187.97%4,527.2万
--0
-58.12%786.5万
-44.21%1,370.3万
-46.50%1,572.1万
-46.50%1,572.1万
-15.69%2,458.4万
-47.03%1,877.8万
应收款项
18.99%278.8万
13.93%256.8万
13.93%256.8万
7.27%243.6万
18.84%208.8万
40.30%234.3万
-8.08%225.4万
-8.08%225.4万
61.29%227.1万
-1.40%175.7万
-应收账款
50.70%238.1万
37.91%216.8万
37.91%216.8万
28.17%196.1万
21.81%159.2万
33.11%158万
-12.86%157.2万
-12.86%157.2万
46.41%153万
-11.09%130.7万
-其他应收款
-46.66%40.7万
-41.35%40万
-41.35%40万
-35.90%47.5万
10.22%49.6万
57.97%76.3万
5.25%68.2万
5.25%68.2万
104.13%74.1万
44.23%45万
存货
7.58%303.6万
32.14%339.6万
32.14%339.6万
47.53%360.7万
38.44%305.4万
19.58%282.2万
22.03%257万
22.03%257万
32.45%244.5万
30.61%220.6万
预付费用
34.38%120万
22.26%129.6万
22.26%129.6万
-25.94%94.5万
32.08%94.7万
68.17%89.3万
83.39%106万
83.39%106万
168.07%127.6万
1,180.36%71.7万
流动资产合计
51.18%4,859.4万
51.70%6,147.1万
51.70%6,147.1万
51.72%7,039.1万
-50.88%2,546.3万
-16.53%3,214.4万
-8.24%4,052.1万
-8.24%4,052.1万
-0.71%4,639.4万
2.62%5,184.3万
非流动资产
固定资产净额
25.90%624.6万
34.05%634.2万
34.05%634.2万
104.40%631.8万
116.34%617万
94.40%496.1万
86.77%473.1万
86.77%473.1万
26.42%309.1万
26.14%285.2万
-固定资产
25.90%624.6万
28.59%906.7万
28.59%906.7万
104.40%631.8万
116.34%617万
94.40%496.1万
54.19%705.1万
54.19%705.1万
26.42%309.1万
26.14%285.2万
-累计折旧
----
-17.46%-272.5万
-17.46%-272.5万
----
----
----
-13.73%-232万
-13.73%-232万
----
----
长期预付费用
3.72%44.6万
3.76%44.2万
3.76%44.2万
--43.8万
--43.3万
--43万
--42.6万
--42.6万
----
----
确认的养老福利金
4.22%118.5万
1.77%114.9万
1.77%114.9万
33.03%132.5万
32.37%127.6万
17.82%113.7万
18.72%112.9万
18.72%112.9万
17.59%99.6万
12.49%96.4万
非流动资产合计
20.66%787.7万
26.20%793.3万
26.20%793.3万
97.72%808.1万
106.47%787.9万
85.61%652.8万
80.42%628.6万
80.42%628.6万
24.15%408.7万
22.39%381.6万
总资产
46.03%5,647.1万
48.28%6,940.4万
48.28%6,940.4万
55.45%7,847.2万
-40.10%3,334.2万
-7.99%3,867.2万
-1.75%4,680.7万
-1.75%4,680.7万
0.92%5,048.1万
3.77%5,565.9万
负债
流动负债
应付款项
17.64%228.7万
5.43%159.1万
5.43%159.1万
35.61%202.2万
58.47%175.9万
129.79%194.4万
33.66%150.9万
33.66%150.9万
108.53%149.1万
24.86%111万
-应付账款
13.14%195.4万
0.08%125.5万
0.08%125.5万
34.33%175.3万
63.75%151.8万
162.06%172.7万
33.55%125.4万
33.55%125.4万
117.50%130.5万
20.70%92.7万
-其他应付款
53.46%33.3万
31.76%33.6万
31.76%33.6万
44.62%26.9万
31.69%24.1万
16.04%21.7万
34.21%25.5万
34.21%25.5万
61.74%18.6万
51.24%18.3万
应计费用
42.77%320.8万
41.44%313万
41.44%313万
-16.63%243.1万
-24.77%275.4万
-1.23%224.7万
3.12%221.3万
3.12%221.3万
52.91%291.6万
62.06%366.1万
短期借款与租赁负债
56.22%106.7万
96.68%106.6万
96.68%106.6万
84.25%100.6万
70.45%91.7万
24.41%68.3万
-2.69%54.2万
-2.69%54.2万
9.86%54.6万
28.71%53.8万
-短期租赁负债
56.22%106.7万
96.68%106.6万
96.68%106.6万
84.25%100.6万
70.45%91.7万
24.41%68.3万
-2.69%54.2万
-2.69%54.2万
9.86%54.6万
28.71%53.8万
流动负债总额
28.18%944.3万
39.52%1,071.2万
39.52%1,071.2万
48.88%1,081.6万
30.19%906.8万
51.06%736.7万
27.54%767.8万
27.54%767.8万
54.90%726.5万
44.23%696.5万
非流动负债
长期借款与租赁负债
24.59%204.2万
23.83%222.4万
23.83%222.4万
247.07%236.7万
218.96%250.7万
79.32%163.9万
73.03%179.6万
73.03%179.6万
-35.78%68.2万
-18.97%78.6万
-长期租赁负债
24.59%204.2万
23.83%222.4万
23.83%222.4万
247.07%236.7万
218.96%250.7万
79.32%163.9万
73.03%179.6万
73.03%179.6万
-35.78%68.2万
-18.97%78.6万
员工福利
3.63%136.9万
1.60%126.7万
1.60%126.7万
-0.68%117.5万
33.10%152.4万
14.87%132.1万
15.04%124.7万
15.04%124.7万
17.01%118.3万
11.60%114.5万
非流动负债总额
15.24%341.1万
14.72%349.1万
14.72%349.1万
89.92%354.2万
108.75%403.1万
43.41%296万
43.40%304.3万
43.40%304.3万
-10.03%186.5万
-3.26%193.1万
总负债
24.47%1,285.4万
32.48%1,420.3万
32.48%1,420.3万
57.26%1,435.8万
47.25%1,309.9万
48.78%1,032.7万
31.68%1,072.1万
31.68%1,072.1万
35.00%913万
30.34%889.6万
所有者权益
股本
33.33%4,000
33.33%4,000
33.33%4,000
33.33%4,000
0.00%3,000
50.00%3,000
50.00%3,000
50.00%3,000
50.00%3,000
50.00%3,000
-普通股股本
33.33%4,000
33.33%4,000
33.33%4,000
33.33%4,000
0.00%3,000
50.00%3,000
50.00%3,000
50.00%3,000
50.00%3,000
50.00%3,000
-优先股股本
----
----
----
----
----
----
----
----
--0
----
留存收益
-19.39%-3.16亿
-19.24%-3.02亿
-19.24%-3.02亿
-18.91%-2.91亿
-17.50%-2.78亿
-15.81%-2.65亿
-14.45%-2.54亿
-14.45%-2.54亿
-13.07%-2.44亿
-12.10%-2.36亿
资本公积
22.72%3.6亿
23.45%3.57亿
23.45%3.57亿
24.14%3.55亿
5.25%2.98亿
11.15%2.93亿
10.95%2.9亿
10.95%2.9亿
10.15%2.86亿
9.88%2.83亿
股东权益总额
53.88%4,361.7万
52.97%5,520.1万
52.97%5,520.1万
55.05%6,411.4万
-56.71%2,024.3万
-19.22%2,834.5万
-8.65%3,608.6万
-8.65%3,608.6万
-4.41%4,135.1万
-0.11%4,676.3万
总权益
53.88%4,361.7万
52.97%5,520.1万
52.97%5,520.1万
55.05%6,411.4万
-56.71%2,024.3万
-19.22%2,834.5万
-8.65%3,608.6万
-8.65%3,608.6万
-4.41%4,135.1万
-0.11%4,676.3万
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
--
--
--
(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 59.36%4,157万56.51%5,421.1万56.51%5,421.1万56.93%6,340.3万-58.92%1,937.4万-23.16%2,608.6万-11.24%3,463.7万-11.24%3,463.7万-6.04%4,040.2万0.36%4,716.3万
-现金和现金等价物 -8.25%1,136.2万-52.74%893.9万-52.74%893.9万300.83%6,340.3万-59.45%1,150.9万31.89%1,238.3万96.22%1,891.6万96.22%1,891.6万14.30%1,581.8万145.86%2,838.5万
-短期投资 120.45%3,020.8万187.97%4,527.2万187.97%4,527.2万--0-58.12%786.5万-44.21%1,370.3万-46.50%1,572.1万-46.50%1,572.1万-15.69%2,458.4万-47.03%1,877.8万
应收款项 18.99%278.8万13.93%256.8万13.93%256.8万7.27%243.6万18.84%208.8万40.30%234.3万-8.08%225.4万-8.08%225.4万61.29%227.1万-1.40%175.7万
-应收账款 50.70%238.1万37.91%216.8万37.91%216.8万28.17%196.1万21.81%159.2万33.11%158万-12.86%157.2万-12.86%157.2万46.41%153万-11.09%130.7万
-其他应收款 -46.66%40.7万-41.35%40万-41.35%40万-35.90%47.5万10.22%49.6万57.97%76.3万5.25%68.2万5.25%68.2万104.13%74.1万44.23%45万
存货 7.58%303.6万32.14%339.6万32.14%339.6万47.53%360.7万38.44%305.4万19.58%282.2万22.03%257万22.03%257万32.45%244.5万30.61%220.6万
预付费用 34.38%120万22.26%129.6万22.26%129.6万-25.94%94.5万32.08%94.7万68.17%89.3万83.39%106万83.39%106万168.07%127.6万1,180.36%71.7万
流动资产合计 51.18%4,859.4万51.70%6,147.1万51.70%6,147.1万51.72%7,039.1万-50.88%2,546.3万-16.53%3,214.4万-8.24%4,052.1万-8.24%4,052.1万-0.71%4,639.4万2.62%5,184.3万
非流动资产
固定资产净额 25.90%624.6万34.05%634.2万34.05%634.2万104.40%631.8万116.34%617万94.40%496.1万86.77%473.1万86.77%473.1万26.42%309.1万26.14%285.2万
-固定资产 25.90%624.6万28.59%906.7万28.59%906.7万104.40%631.8万116.34%617万94.40%496.1万54.19%705.1万54.19%705.1万26.42%309.1万26.14%285.2万
-累计折旧 -----17.46%-272.5万-17.46%-272.5万-------------13.73%-232万-13.73%-232万--------
长期预付费用 3.72%44.6万3.76%44.2万3.76%44.2万--43.8万--43.3万--43万--42.6万--42.6万--------
确认的养老福利金 4.22%118.5万1.77%114.9万1.77%114.9万33.03%132.5万32.37%127.6万17.82%113.7万18.72%112.9万18.72%112.9万17.59%99.6万12.49%96.4万
非流动资产合计 20.66%787.7万26.20%793.3万26.20%793.3万97.72%808.1万106.47%787.9万85.61%652.8万80.42%628.6万80.42%628.6万24.15%408.7万22.39%381.6万
总资产 46.03%5,647.1万48.28%6,940.4万48.28%6,940.4万55.45%7,847.2万-40.10%3,334.2万-7.99%3,867.2万-1.75%4,680.7万-1.75%4,680.7万0.92%5,048.1万3.77%5,565.9万
负债
流动负债
应付款项 17.64%228.7万5.43%159.1万5.43%159.1万35.61%202.2万58.47%175.9万129.79%194.4万33.66%150.9万33.66%150.9万108.53%149.1万24.86%111万
-应付账款 13.14%195.4万0.08%125.5万0.08%125.5万34.33%175.3万63.75%151.8万162.06%172.7万33.55%125.4万33.55%125.4万117.50%130.5万20.70%92.7万
-其他应付款 53.46%33.3万31.76%33.6万31.76%33.6万44.62%26.9万31.69%24.1万16.04%21.7万34.21%25.5万34.21%25.5万61.74%18.6万51.24%18.3万
应计费用 42.77%320.8万41.44%313万41.44%313万-16.63%243.1万-24.77%275.4万-1.23%224.7万3.12%221.3万3.12%221.3万52.91%291.6万62.06%366.1万
短期借款与租赁负债 56.22%106.7万96.68%106.6万96.68%106.6万84.25%100.6万70.45%91.7万24.41%68.3万-2.69%54.2万-2.69%54.2万9.86%54.6万28.71%53.8万
-短期租赁负债 56.22%106.7万96.68%106.6万96.68%106.6万84.25%100.6万70.45%91.7万24.41%68.3万-2.69%54.2万-2.69%54.2万9.86%54.6万28.71%53.8万
流动负债总额 28.18%944.3万39.52%1,071.2万39.52%1,071.2万48.88%1,081.6万30.19%906.8万51.06%736.7万27.54%767.8万27.54%767.8万54.90%726.5万44.23%696.5万
非流动负债
长期借款与租赁负债 24.59%204.2万23.83%222.4万23.83%222.4万247.07%236.7万218.96%250.7万79.32%163.9万73.03%179.6万73.03%179.6万-35.78%68.2万-18.97%78.6万
-长期租赁负债 24.59%204.2万23.83%222.4万23.83%222.4万247.07%236.7万218.96%250.7万79.32%163.9万73.03%179.6万73.03%179.6万-35.78%68.2万-18.97%78.6万
员工福利 3.63%136.9万1.60%126.7万1.60%126.7万-0.68%117.5万33.10%152.4万14.87%132.1万15.04%124.7万15.04%124.7万17.01%118.3万11.60%114.5万
非流动负债总额 15.24%341.1万14.72%349.1万14.72%349.1万89.92%354.2万108.75%403.1万43.41%296万43.40%304.3万43.40%304.3万-10.03%186.5万-3.26%193.1万
总负债 24.47%1,285.4万32.48%1,420.3万32.48%1,420.3万57.26%1,435.8万47.25%1,309.9万48.78%1,032.7万31.68%1,072.1万31.68%1,072.1万35.00%913万30.34%889.6万
所有者权益
股本 33.33%4,00033.33%4,00033.33%4,00033.33%4,0000.00%3,00050.00%3,00050.00%3,00050.00%3,00050.00%3,00050.00%3,000
-普通股股本 33.33%4,00033.33%4,00033.33%4,00033.33%4,0000.00%3,00050.00%3,00050.00%3,00050.00%3,00050.00%3,00050.00%3,000
-优先股股本 ----------------------------------0----
留存收益 -19.39%-3.16亿-19.24%-3.02亿-19.24%-3.02亿-18.91%-2.91亿-17.50%-2.78亿-15.81%-2.65亿-14.45%-2.54亿-14.45%-2.54亿-13.07%-2.44亿-12.10%-2.36亿
资本公积 22.72%3.6亿23.45%3.57亿23.45%3.57亿24.14%3.55亿5.25%2.98亿11.15%2.93亿10.95%2.9亿10.95%2.9亿10.15%2.86亿9.88%2.83亿
股东权益总额 53.88%4,361.7万52.97%5,520.1万52.97%5,520.1万55.05%6,411.4万-56.71%2,024.3万-19.22%2,834.5万-8.65%3,608.6万-8.65%3,608.6万-4.41%4,135.1万-0.11%4,676.3万
总权益 53.88%4,361.7万52.97%5,520.1万52.97%5,520.1万55.05%6,411.4万-56.71%2,024.3万-19.22%2,834.5万-8.65%3,608.6万-8.65%3,608.6万-4.41%4,135.1万-0.11%4,676.3万
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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