美股市场个股详情

Ondas (ONDS)

添加自选
  • 9.125
  • -0.575-5.93%
收盘价 05/19 16:00 (美东)
  • 9.195
  • +0.070+0.77%
盘后 20:01 (美东)
45.24亿总市值101.39市盈率TTM

Ondas (ONDS) 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
5,710.81%14.74亿
1,810.99%5.72亿
1,810.99%5.72亿
15,844.21%4.52亿
1,269.16%6,756.8万
74.34%2,536.39万
99.99%2,995.8万
99.99%2,995.8万
-86.49%283.26万
61.07%493.5万
-现金和现金等价物
3,945.14%10.26亿
1,738.39%5.51亿
1,738.39%5.51亿
15,180.12%4.33亿
1,269.16%6,756.8万
74.34%2,536.39万
99.99%2,995.8万
99.99%2,995.8万
-86.49%283.26万
61.07%493.5万
-短期投资
--4.48亿
--2,175万
--2,175万
--1,881.08万
----
----
--0
--0
----
----
应收款项
1,361.65%6,127.8万
424.81%2,849.2万
424.81%2,849.2万
188.71%1,051.93万
140.91%815.08万
29.13%419.24万
20.08%542.9万
20.08%542.9万
-29.79%364.35万
-33.67%338.34万
-应收账款
2,266.79%4,529.5万
328.03%2,235.6万
328.03%2,235.6万
81.59%522.25万
134.92%538.27万
-9.96%191.38万
52.28%522.3万
52.28%522.3万
-41.24%287.61万
-53.36%229.12万
-应收税费
----
----
----
182.04%57.02万
85.09%52.05万
8.11%35.33万
-77.43%5.24万
-77.43%5.24万
9.22%20.22万
49.53%28.12万
-其他应收款
730.14%1,598.3万
2,878.64%613.6万
2,878.64%613.6万
736.17%472.66万
177.17%224.76万
142.40%192.53万
-76.02%20.6万
-76.02%20.6万
414.40%56.53万
--81.09万
存货
225.02%3,428.6万
123.61%2,196.3万
123.61%2,196.3万
41.04%1,252.3万
125.82%1,119.1万
180.59%1,054.89万
349.18%982.2万
349.18%982.2万
244.11%887.87万
70.46%495.58万
预付费用
1,397.52%4,481万
824.14%1,779.9万
824.14%1,779.9万
122.63%307.47万
136.53%302.87万
137.86%299.23万
30.33%192.6万
30.33%192.6万
47.55%138.11万
3.36%128.04万
受限制现金
23,925.93%1,108.1万
106,278.05%4,361.5万
106,278.05%4,361.5万
1,315.39%57.66万
2,335.47%98.33万
9.43%4.61万
-3.67%4.1万
-3.67%4.1万
2.07%4.07万
-1.07%4.04万
其他流动资产
1,439.55%389.6万
347.09%153.8万
347.09%153.8万
41.39%55.45万
-39.94%28.78万
-61.17%25.31万
-13.69%34.4万
-13.69%34.4万
-29.23%39.22万
17.54%47.92万
流动资产合计
3,654.21%16.29亿
1,343.39%6.86亿
1,343.39%6.86亿
2,689.21%4.79亿
505.07%9,120.96万
84.61%4,339.66万
101.30%4,752万
101.30%4,752万
-43.28%1,716.88万
15.16%1,507.41万
非流动资产
固定资产净额
73.91%1,150.8万
294.94%1,021.7万
294.94%1,021.7万
9.13%713.01万
-25.99%719.9万
-28.88%661.72万
-70.86%258.7万
-70.86%258.7万
-19.39%653.33万
15.37%972.77万
-固定资产
11.60%1,150.8万
143.75%1,487.1万
143.75%1,487.1万
15.06%1,135.61万
-23.62%1,108.29万
-24.14%1,031.21万
-52.19%610.1万
-52.19%610.1万
-9.85%986.99万
31.10%1,451.07万
-累计折旧
----
-32.44%-465.4万
-32.44%-465.4万
-26.66%-422.61万
18.80%-388.39万
13.86%-369.49万
9.50%-351.4万
9.50%-351.4万
-17.35%-333.65万
-81.40%-478.29万
商誉及其他无形资产
1,188.41%6.94亿
607.63%3.89亿
607.63%3.89亿
12.36%6,289.42万
-7.32%5,283.62万
-7.17%5,389.23万
-7.03%5,493万
-7.03%5,493万
-6.89%5,597.41万
-6.72%5,700.99万
-商誉
1,275.90%3.82亿
807.35%2.52亿
807.35%2.52亿
25.30%3,477.39万
0.00%2,775.19万
0.00%2,775.19万
0.00%2,775.2万
0.00%2,775.2万
0.29%2,775.19万
0.29%2,775.19万
-其他无形资产
1,095.52%3.13亿
403.68%1.37亿
403.68%1.37亿
-0.36%2,812.03万
-14.26%2,508.43万
-13.73%2,614.03万
-13.25%2,717.8万
-13.25%2,717.8万
-13.02%2,822.22万
-12.53%2,925.79万
投资和预付款
--7,162.9万
--3,558.7万
--3,558.7万
--58.73万
----
----
--0
--0
----
----
长期预付费用
----
----
----
----
-0.45%70.6万
16.50%69.46万
----
----
-25.98%48.24万
69.02%70.92万
其他非流动资产
--3,268.5万
171.25%1,243.7万
171.25%1,243.7万
--66.3万
----
----
664.78%458.5万
664.78%458.5万
----
----
非流动资产合计
1,223.73%8.1亿
619.69%4.47亿
619.69%4.47亿
13.15%7,127.46万
-9.94%6,074.13万
-10.14%6,120.41万
-9.42%6,210.2万
-9.42%6,210.2万
-10.49%6,298.98万
-5.63%6,744.68万
总资产
2,232.08%24.39亿
933.41%11.33亿
933.41%11.33亿
586.33%5.5亿
84.14%1.52亿
14.17%1.05亿
18.94%1.1亿
18.94%1.1亿
-20.36%8,015.87万
-2.41%8,252.09万
负债
流动负债
应付款项
320.63%1,993.5万
197.29%2,304.3万
197.29%2,304.3万
131.57%931.32万
16.90%499.39万
-14.97%473.94万
49.72%775.1万
49.72%775.1万
-27.77%402.18万
-16.70%427.2万
-应付账款
271.14%1,669.7万
145.11%1,387.3万
145.11%1,387.3万
108.29%837.72万
11.56%476.6万
-19.28%449.89万
9.33%566万
9.33%566万
-26.50%402.18万
-12.65%427.2万
-应付税费
--323.8万
1,016.62%429.9万
1,016.62%429.9万
--87.44万
--7.58万
--0
--38.5万
--38.5万
----
----
-其他应付款
----
185.52%487.1万
185.52%487.1万
--6.16万
--15.21万
--24.05万
--170.6万
--170.6万
----
----
应计费用
1,477.78%8,273万
3,580.52%9,672.4万
3,580.52%9,672.4万
67.62%589.55万
43.40%459.43万
62.90%524.35万
-26.75%262.8万
-26.75%262.8万
38.24%351.72万
21.54%320.38万
短期借款与租赁负债
-88.52%426.7万
-70.29%1,173万
-70.29%1,173万
-59.13%1,265.86万
-40.48%1,759.7万
32.45%3,715.34万
49.67%3,948万
49.67%3,948万
16.31%3,097.47万
41.50%2,956.62万
-短期借款
-97.85%77.1万
-77.44%865.4万
-77.44%865.4万
-63.50%1,102.34万
-44.34%1,607.48万
31.16%3,591.03万
49.30%3,835.8万
49.30%3,835.8万
15.87%3,020.28万
42.40%2,887.86万
-短期租赁负债
181.24%349.6万
174.15%307.6万
174.15%307.6万
111.82%163.51万
121.42%152.23万
84.63%124.31万
63.77%112.2万
63.77%112.2万
36.66%77.19万
11.93%68.75万
递延负债
555.17%2,149.7万
1,337.88%1,032.4万
1,337.88%1,032.4万
191.51%290.32万
416.40%430.42万
198.25%328.11万
-9.98%71.8万
-9.98%71.8万
22.61%99.59万
113.36%83.35万
其他流动负债
--2,088.8万
----
----
--53.74万
----
----
----
----
----
----
流动负债总额
196.16%1.49亿
180.41%1.42亿
180.41%1.42亿
-20.76%3,130.79万
-16.86%3,148.95万
32.87%5,041.73万
40.73%5,057.7万
40.73%5,057.7万
11.12%3,950.96万
30.38%3,787.54万
非流动负债
长期借款与租赁负债
-30.71%359.8万
-75.84%383.4万
-75.84%383.4万
-4.37%531.16万
-10.99%561.47万
-32.52%519.27万
78.03%1,586.8万
78.03%1,586.8万
-18.50%555.46万
50.58%630.82万
-长期借款
1,099.33%359.8万
-75.84%383.4万
-75.84%383.4万
0.00%30万
-55.27%30万
-84.74%30万
409.87%1,586.8万
409.87%1,586.8万
-93.43%30万
-64.61%67.07万
-长期租赁负债
----
----
----
-4.62%501.16万
-5.73%531.47万
-14.61%489.27万
-14.46%496.2万
-14.46%496.2万
133.24%525.46万
145.71%563.75万
递延负债
2,127.16%4,987.8万
633.07%1,589.3万
633.07%1,589.3万
60.03%303.33万
15.32%208.63万
2.54%223.95万
-2.74%216.8万
-2.74%216.8万
-5.84%189.54万
2.58%180.91万
长期应计费用
466,522.72%8,848.1万
----
----
9.05%2.32万
-11.48%1.98万
-18.60%1.9万
-25.34%2万
-25.34%2万
-41.33%2.12万
-44.70%2.24万
衍生品负债
--10.59亿
--4.89亿
--4.89亿
----
----
----
--0
--0
----
----
其他非流动负债
10,555.76%879.1万
102.25%1,024.4万
102.25%1,024.4万
21.07%9.99万
0.00%8.25万
0.00%8.25万
--506.5万
--506.5万
--8.25万
--8.25万
非流动负债总额
15,957.69%12.1亿
2,148.41%5.19亿
2,148.41%5.19亿
12.10%846.8万
-5.10%780.33万
-24.55%753.37万
106.84%2,310.1万
106.84%2,310.1万
-14.79%755.38万
37.19%822.22万
总负债
2,245.18%13.59亿
797.45%6.61亿
797.45%6.61亿
-15.48%3,977.58万
-14.76%3,929.28万
20.91%5,795.1万
56.40%7,367.8万
56.40%7,367.8万
5.95%4,706.34万
31.54%4,609.76万
所有者权益
股本
260.16%4.6万
322.22%3.8万
322.22%3.8万
337.60%3.3万
210.64%2.07万
94.81%1.28万
45.30%9,000
45.30%9,000
36.46%7,530
26.88%6,655
-普通股股本
260.16%4.6万
322.22%3.8万
322.22%3.8万
337.60%3.3万
210.64%2.07万
94.81%1.28万
45.30%9,000
45.30%9,000
36.46%7,530
26.88%6,655
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
97.83%-543.8万
-55.85%-3.68亿
-55.85%-3.68亿
-18.89%-2.69亿
-20.67%-2.61亿
-20.30%-2.51亿
-19.16%-2.36亿
-19.16%-2.36亿
-22.70%-2.26亿
-22.37%-2.17亿
资本公积
290.41%10.8亿
218.58%8.06亿
218.58%8.06亿
213.26%7.55亿
49.24%3.52亿
17.20%2.77亿
9.27%2.53亿
9.27%2.53亿
5.03%2.41亿
4.17%2.36亿
不影响留存收益的损益
---36.1万
--32.9万
--32.9万
----
----
----
----
----
----
----
股东权益总额
4,017.91%10.74亿
2,540.10%4.38亿
2,540.10%4.38亿
3,158.16%4.86亿
368.33%9,082.12万
-6.06%2,608.13万
-49.95%1,658.3万
-49.95%1,658.3万
-66.99%1,491.88万
-60.84%1,939.25万
非控制性权益
-69.32%631.1万
74.61%3,380.7万
74.61%3,380.7万
33.67%2,429.69万
28.22%2,183.68万
29.18%2,056.83万
62.42%1,936.1万
62.42%1,936.1万
64.80%1,817.64万
--1,703.08万
总权益
2,215.81%10.8亿
1,212.08%4.72亿
1,212.08%4.72亿
1,442.14%5.1亿
209.30%1.13亿
6.78%4,664.96万
-20.22%3,594.4万
-20.22%3,594.4万
-41.14%3,309.52万
-26.44%3,642.33万
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
--
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 5,710.81%14.74亿1,810.99%5.72亿1,810.99%5.72亿15,844.21%4.52亿1,269.16%6,756.8万74.34%2,536.39万99.99%2,995.8万99.99%2,995.8万-86.49%283.26万61.07%493.5万
-现金和现金等价物 3,945.14%10.26亿1,738.39%5.51亿1,738.39%5.51亿15,180.12%4.33亿1,269.16%6,756.8万74.34%2,536.39万99.99%2,995.8万99.99%2,995.8万-86.49%283.26万61.07%493.5万
-短期投资 --4.48亿--2,175万--2,175万--1,881.08万----------0--0--------
应收款项 1,361.65%6,127.8万424.81%2,849.2万424.81%2,849.2万188.71%1,051.93万140.91%815.08万29.13%419.24万20.08%542.9万20.08%542.9万-29.79%364.35万-33.67%338.34万
-应收账款 2,266.79%4,529.5万328.03%2,235.6万328.03%2,235.6万81.59%522.25万134.92%538.27万-9.96%191.38万52.28%522.3万52.28%522.3万-41.24%287.61万-53.36%229.12万
-应收税费 ------------182.04%57.02万85.09%52.05万8.11%35.33万-77.43%5.24万-77.43%5.24万9.22%20.22万49.53%28.12万
-其他应收款 730.14%1,598.3万2,878.64%613.6万2,878.64%613.6万736.17%472.66万177.17%224.76万142.40%192.53万-76.02%20.6万-76.02%20.6万414.40%56.53万--81.09万
存货 225.02%3,428.6万123.61%2,196.3万123.61%2,196.3万41.04%1,252.3万125.82%1,119.1万180.59%1,054.89万349.18%982.2万349.18%982.2万244.11%887.87万70.46%495.58万
预付费用 1,397.52%4,481万824.14%1,779.9万824.14%1,779.9万122.63%307.47万136.53%302.87万137.86%299.23万30.33%192.6万30.33%192.6万47.55%138.11万3.36%128.04万
受限制现金 23,925.93%1,108.1万106,278.05%4,361.5万106,278.05%4,361.5万1,315.39%57.66万2,335.47%98.33万9.43%4.61万-3.67%4.1万-3.67%4.1万2.07%4.07万-1.07%4.04万
其他流动资产 1,439.55%389.6万347.09%153.8万347.09%153.8万41.39%55.45万-39.94%28.78万-61.17%25.31万-13.69%34.4万-13.69%34.4万-29.23%39.22万17.54%47.92万
流动资产合计 3,654.21%16.29亿1,343.39%6.86亿1,343.39%6.86亿2,689.21%4.79亿505.07%9,120.96万84.61%4,339.66万101.30%4,752万101.30%4,752万-43.28%1,716.88万15.16%1,507.41万
非流动资产
固定资产净额 73.91%1,150.8万294.94%1,021.7万294.94%1,021.7万9.13%713.01万-25.99%719.9万-28.88%661.72万-70.86%258.7万-70.86%258.7万-19.39%653.33万15.37%972.77万
-固定资产 11.60%1,150.8万143.75%1,487.1万143.75%1,487.1万15.06%1,135.61万-23.62%1,108.29万-24.14%1,031.21万-52.19%610.1万-52.19%610.1万-9.85%986.99万31.10%1,451.07万
-累计折旧 -----32.44%-465.4万-32.44%-465.4万-26.66%-422.61万18.80%-388.39万13.86%-369.49万9.50%-351.4万9.50%-351.4万-17.35%-333.65万-81.40%-478.29万
商誉及其他无形资产 1,188.41%6.94亿607.63%3.89亿607.63%3.89亿12.36%6,289.42万-7.32%5,283.62万-7.17%5,389.23万-7.03%5,493万-7.03%5,493万-6.89%5,597.41万-6.72%5,700.99万
-商誉 1,275.90%3.82亿807.35%2.52亿807.35%2.52亿25.30%3,477.39万0.00%2,775.19万0.00%2,775.19万0.00%2,775.2万0.00%2,775.2万0.29%2,775.19万0.29%2,775.19万
-其他无形资产 1,095.52%3.13亿403.68%1.37亿403.68%1.37亿-0.36%2,812.03万-14.26%2,508.43万-13.73%2,614.03万-13.25%2,717.8万-13.25%2,717.8万-13.02%2,822.22万-12.53%2,925.79万
投资和预付款 --7,162.9万--3,558.7万--3,558.7万--58.73万----------0--0--------
长期预付费用 -----------------0.45%70.6万16.50%69.46万---------25.98%48.24万69.02%70.92万
其他非流动资产 --3,268.5万171.25%1,243.7万171.25%1,243.7万--66.3万--------664.78%458.5万664.78%458.5万--------
非流动资产合计 1,223.73%8.1亿619.69%4.47亿619.69%4.47亿13.15%7,127.46万-9.94%6,074.13万-10.14%6,120.41万-9.42%6,210.2万-9.42%6,210.2万-10.49%6,298.98万-5.63%6,744.68万
总资产 2,232.08%24.39亿933.41%11.33亿933.41%11.33亿586.33%5.5亿84.14%1.52亿14.17%1.05亿18.94%1.1亿18.94%1.1亿-20.36%8,015.87万-2.41%8,252.09万
负债
流动负债
应付款项 320.63%1,993.5万197.29%2,304.3万197.29%2,304.3万131.57%931.32万16.90%499.39万-14.97%473.94万49.72%775.1万49.72%775.1万-27.77%402.18万-16.70%427.2万
-应付账款 271.14%1,669.7万145.11%1,387.3万145.11%1,387.3万108.29%837.72万11.56%476.6万-19.28%449.89万9.33%566万9.33%566万-26.50%402.18万-12.65%427.2万
-应付税费 --323.8万1,016.62%429.9万1,016.62%429.9万--87.44万--7.58万--0--38.5万--38.5万--------
-其他应付款 ----185.52%487.1万185.52%487.1万--6.16万--15.21万--24.05万--170.6万--170.6万--------
应计费用 1,477.78%8,273万3,580.52%9,672.4万3,580.52%9,672.4万67.62%589.55万43.40%459.43万62.90%524.35万-26.75%262.8万-26.75%262.8万38.24%351.72万21.54%320.38万
短期借款与租赁负债 -88.52%426.7万-70.29%1,173万-70.29%1,173万-59.13%1,265.86万-40.48%1,759.7万32.45%3,715.34万49.67%3,948万49.67%3,948万16.31%3,097.47万41.50%2,956.62万
-短期借款 -97.85%77.1万-77.44%865.4万-77.44%865.4万-63.50%1,102.34万-44.34%1,607.48万31.16%3,591.03万49.30%3,835.8万49.30%3,835.8万15.87%3,020.28万42.40%2,887.86万
-短期租赁负债 181.24%349.6万174.15%307.6万174.15%307.6万111.82%163.51万121.42%152.23万84.63%124.31万63.77%112.2万63.77%112.2万36.66%77.19万11.93%68.75万
递延负债 555.17%2,149.7万1,337.88%1,032.4万1,337.88%1,032.4万191.51%290.32万416.40%430.42万198.25%328.11万-9.98%71.8万-9.98%71.8万22.61%99.59万113.36%83.35万
其他流动负债 --2,088.8万----------53.74万------------------------
流动负债总额 196.16%1.49亿180.41%1.42亿180.41%1.42亿-20.76%3,130.79万-16.86%3,148.95万32.87%5,041.73万40.73%5,057.7万40.73%5,057.7万11.12%3,950.96万30.38%3,787.54万
非流动负债
长期借款与租赁负债 -30.71%359.8万-75.84%383.4万-75.84%383.4万-4.37%531.16万-10.99%561.47万-32.52%519.27万78.03%1,586.8万78.03%1,586.8万-18.50%555.46万50.58%630.82万
-长期借款 1,099.33%359.8万-75.84%383.4万-75.84%383.4万0.00%30万-55.27%30万-84.74%30万409.87%1,586.8万409.87%1,586.8万-93.43%30万-64.61%67.07万
-长期租赁负债 -------------4.62%501.16万-5.73%531.47万-14.61%489.27万-14.46%496.2万-14.46%496.2万133.24%525.46万145.71%563.75万
递延负债 2,127.16%4,987.8万633.07%1,589.3万633.07%1,589.3万60.03%303.33万15.32%208.63万2.54%223.95万-2.74%216.8万-2.74%216.8万-5.84%189.54万2.58%180.91万
长期应计费用 466,522.72%8,848.1万--------9.05%2.32万-11.48%1.98万-18.60%1.9万-25.34%2万-25.34%2万-41.33%2.12万-44.70%2.24万
衍生品负债 --10.59亿--4.89亿--4.89亿--------------0--0--------
其他非流动负债 10,555.76%879.1万102.25%1,024.4万102.25%1,024.4万21.07%9.99万0.00%8.25万0.00%8.25万--506.5万--506.5万--8.25万--8.25万
非流动负债总额 15,957.69%12.1亿2,148.41%5.19亿2,148.41%5.19亿12.10%846.8万-5.10%780.33万-24.55%753.37万106.84%2,310.1万106.84%2,310.1万-14.79%755.38万37.19%822.22万
总负债 2,245.18%13.59亿797.45%6.61亿797.45%6.61亿-15.48%3,977.58万-14.76%3,929.28万20.91%5,795.1万56.40%7,367.8万56.40%7,367.8万5.95%4,706.34万31.54%4,609.76万
所有者权益
股本 260.16%4.6万322.22%3.8万322.22%3.8万337.60%3.3万210.64%2.07万94.81%1.28万45.30%9,00045.30%9,00036.46%7,53026.88%6,655
-普通股股本 260.16%4.6万322.22%3.8万322.22%3.8万337.60%3.3万210.64%2.07万94.81%1.28万45.30%9,00045.30%9,00036.46%7,53026.88%6,655
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 97.83%-543.8万-55.85%-3.68亿-55.85%-3.68亿-18.89%-2.69亿-20.67%-2.61亿-20.30%-2.51亿-19.16%-2.36亿-19.16%-2.36亿-22.70%-2.26亿-22.37%-2.17亿
资本公积 290.41%10.8亿218.58%8.06亿218.58%8.06亿213.26%7.55亿49.24%3.52亿17.20%2.77亿9.27%2.53亿9.27%2.53亿5.03%2.41亿4.17%2.36亿
不影响留存收益的损益 ---36.1万--32.9万--32.9万----------------------------
股东权益总额 4,017.91%10.74亿2,540.10%4.38亿2,540.10%4.38亿3,158.16%4.86亿368.33%9,082.12万-6.06%2,608.13万-49.95%1,658.3万-49.95%1,658.3万-66.99%1,491.88万-60.84%1,939.25万
非控制性权益 -69.32%631.1万74.61%3,380.7万74.61%3,380.7万33.67%2,429.69万28.22%2,183.68万29.18%2,056.83万62.42%1,936.1万62.42%1,936.1万64.80%1,817.64万--1,703.08万
总权益 2,215.81%10.8亿1,212.08%4.72亿1,212.08%4.72亿1,442.14%5.1亿209.30%1.13亿6.78%4,664.96万-20.22%3,594.4万-20.22%3,594.4万-41.14%3,309.52万-26.44%3,642.33万
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会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 --无保留意见--------带解释段的无保留意见------
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