美股市场个股详情

Parrot Sa (PAOTF)

添加自选
  • 14.400
  • -0.810-5.33%
延时15分钟行情收盘价 04/17 09:34 (美东)
4.46亿总市值-25.99市盈率TTM

Parrot Sa (PAOTF) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2025/12/31
(Q4)2025/12/31
(Q2)2025/06/30
(FY)2024/12/31
(Q4)2024/12/31
(Q2)2024/06/30
(FY)2023/12/31
(Q4)2023/12/31
(Q2)2023/06/30
(FY)2022/12/31
资产
流动资产
现金及现金等价物和短期投资
-31.62%2,298万
-31.62%2,298万
-13.06%1,701.2万
19.74%3,360.4万
19.74%3,360.4万
-56.34%1,956.7万
-59.01%2,806.3万
--2,806.3万
-36.00%4,481.3万
-17.35%6,846.5万
-现金和现金等价物
-31.62%2,298万
-31.62%2,298万
-13.06%1,701.2万
19.74%3,360.4万
19.74%3,360.4万
-56.34%1,956.7万
-59.01%2,806.3万
--2,806.3万
-36.00%4,481.3万
-17.35%6,846.5万
-应收账款
14.25%560.5万
14.25%560.5万
-57.57%344万
-14.34%490.6万
-14.34%490.6万
44.37%810.8万
-10.75%572.7万
--572.7万
-18.31%561.6万
24.22%641.7万
-应收税费
33.11%707.1万
33.11%707.1万
6.42%755.7万
-36.33%531.2万
-36.33%531.2万
-11.95%710.1万
8.25%834.3万
--834.3万
-23.63%806.5万
-39.53%770.7万
-其他应收款
7.51%733万
7.51%733万
167.24%574.3万
203.02%681.8万
203.02%681.8万
30.88%214.9万
27.19%225万
--225万
-68.63%164.2万
-78.83%176.9万
存货
-31.24%722.1万
-31.24%722.1万
-16.09%1,412万
-45.88%1,050.1万
-45.88%1,050.1万
-24.48%1,682.7万
29.87%1,940.3万
--1,940.3万
176.65%2,228.1万
202.61%1,494万
预付费用
-23.81%153.9万
-23.81%153.9万
-29.98%192.7万
-28.52%202万
-28.52%202万
-11.37%275.2万
-8.81%282.6万
--282.6万
-28.06%310.5万
15.16%309.9万
流动资产合计
-18.07%5,174.6万
-18.07%5,174.6万
-11.87%4,979.9万
-5.18%6,316.1万
-5.18%6,316.1万
-33.93%5,650.4万
-36.58%6,661.2万
--6,661.2万
-20.18%8,552.2万
-10.43%1.05亿
非流动资产
固定资产净额
-8.87%963.6万
-8.87%963.6万
-1.49%1,059万
6.91%1,057.4万
6.91%1,057.4万
2.35%1,075万
-18.07%989.1万
--989.1万
-1.73%1,050.3万
15.03%1,207.2万
-固定资产
-6.14%2,886万
-6.14%2,886万
2.49%3,083万
1.10%3,074.8万
1.10%3,074.8万
-1.44%3,008.1万
-3.41%3,041.3万
--3,041.3万
-5.27%3,052.1万
-0.57%3,148.8万
-累计折旧
4.71%-1,922.4万
4.71%-1,922.4万
-4.70%-2,024万
1.70%-2,017.4万
1.70%-2,017.4万
3.43%-1,933.1万
-5.70%-2,052.2万
---2,052.2万
7.02%-2,001.8万
8.31%-1,941.6万
商誉及其他无形资产
3.86%513.7万
3.86%513.7万
9,379.25%502.4万
6,241.03%494.6万
6,241.03%494.6万
-52.68%5.3万
-64.06%7.8万
--7.8万
-66.37%11.2万
-34.44%21.7万
-商誉
0.00%457.7万
0.00%457.7万
--457.7万
--457.7万
--457.7万
----
----
----
----
----
-其他无形资产
51.76%56万
51.76%56万
743.40%44.7万
373.08%36.9万
373.08%36.9万
-52.68%5.3万
-64.06%7.8万
--7.8万
-66.37%11.2万
-34.44%21.7万
长期预付费用
-99.84%9,000
-99.84%9,000
-98.96%9,000
--571.1万
--571.1万
--86.4万
----
----
----
----
其他非流动资产
1,400.00%1.3万
1,400.00%1.3万
215.79%6万
-114.29%-1,000
-114.29%-1,000
-47.22%1.9万
-12.50%7,000
--7,000
-77.91%3.6万
-99.80%8,000
非流动资产合计
-29.15%1,576.3万
-29.15%1,576.3万
-20.68%1,667.2万
7.85%2,224.8万
7.85%2,224.8万
17.87%2,101.9万
13.40%2,062.8万
--2,062.8万
-15.31%1,783.3万
-34.34%1,819.1万
总资产
-20.96%6,751万
-20.96%6,751万
-14.26%6,646.9万
-2.10%8,541万
-2.10%8,541万
-24.99%7,752.2万
-29.20%8,724.1万
--8,724.1万
-19.38%1.03亿
-15.00%1.23亿
负债
流动负债
应付款项
-3.25%1,402.4万
-3.25%1,402.4万
30.39%1,664.5万
25.09%1,449.5万
25.09%1,449.5万
-20.28%1,276.6万
-33.40%1,158.8万
--1,158.8万
-19.34%1,601.4万
-12.91%1,740万
-应付账款
0.41%755.4万
0.41%755.4万
26.47%690.5万
42.59%752.3万
42.59%752.3万
-25.05%546万
-42.49%527.6万
--527.6万
-31.78%728.5万
-7.26%917.4万
-应付税费
-7.20%647万
-7.20%647万
33.32%974万
10.46%697.2万
10.46%697.2万
-16.30%730.6万
-23.27%631.2万
--631.2万
-4.87%872.9万
-18.46%822.6万
现行拨备
29.57%151.6万
29.57%151.6万
16.55%99.3万
-61.17%117万
-61.17%117万
-90.60%85.2万
38.47%301.3万
--301.3万
462.86%906.2万
87.10%217.6万
短期借款与租赁负债
23.39%290.1万
23.39%290.1万
10.79%270.1万
23.67%235.1万
23.67%235.1万
10.22%243.8万
-27.11%190.1万
--190.1万
-12.08%221.2万
-25.78%260.8万
-短期借款
812.50%29.2万
812.50%29.2万
--3.2万
--3.2万
--3.2万
--0
--0
--0
--0
--0
-短期租赁负债
12.51%260.9万
12.51%260.9万
9.47%266.9万
21.99%231.9万
21.99%231.9万
10.22%243.8万
-27.11%190.1万
--190.1万
-12.01%221.2万
-3.87%260.8万
其他流动负债
29.23%437.7万
29.23%437.7万
54.17%552.1万
3.04%338.7万
3.04%338.7万
32.48%358.1万
-2.69%328.7万
--328.7万
0.45%270.3万
-53.54%337.8万
流动负债总额
14.83%2,532.8万
14.83%2,532.8万
29.92%2,638.6万
7.47%2,205.6万
7.47%2,205.6万
-33.64%2,030.9万
-23.11%2,052.3万
--2,052.3万
10.23%3,060.6万
-21.49%2,669万
非流动负债
长期拨备
-54.17%5.5万
-54.17%5.5万
2,710.00%28.1万
-4.76%12万
-4.76%12万
-78.26%1万
0.00%12.6万
--12.6万
-89.55%4.6万
-68.97%12.6万
长期借款与租赁负债
-23.32%491.8万
-23.32%491.8万
-2.58%618.9万
-0.43%641.4万
-0.43%641.4万
-3.13%635.3万
-14.92%644.2万
--644.2万
2.73%655.8万
12.23%757.2万
-长期借款
-5.94%47.5万
-5.94%47.5万
--50万
--50.5万
--50.5万
--0
----
----
--0
----
-长期租赁负债
-24.81%444.3万
-24.81%444.3万
-10.45%568.9万
-8.27%590.9万
-8.27%590.9万
-3.13%635.3万
-14.92%644.2万
--644.2万
2.71%655.8万
12.23%757.2万
衍生品负债
--0
--0
--0
--217.3万
--217.3万
--232.2万
----
----
----
----
其他非流动负债
101.20%503.4万
101.20%503.4万
--250万
-5.33%250.2万
-5.33%250.2万
----
-10.80%264.3万
--264.3万
69.35%304.5万
52.42%296.3万
非流动负债总额
-14.32%1,166.1万
-14.32%1,166.1万
-5.04%1,067万
17.84%1,361万
17.84%1,361万
-1.74%1,123.6万
-7.75%1,155万
--1,155万
15.60%1,143.5万
2.84%1,252.1万
总负债
3.71%3,698.9万
3.71%3,698.9万
17.47%3,705.6万
11.20%3,566.6万
11.20%3,566.6万
-24.97%3,154.5万
-18.20%3,207.3万
--3,207.3万
11.64%4,204.1万
-15.08%3,921.1万
所有者权益
股本
0.77%471.6万
0.77%471.6万
0.39%468万
0.39%468万
0.39%468万
0.39%466.2万
0.45%466.2万
--466.2万
0.83%464.4万
0.76%464.1万
-普通股股本
0.77%471.6万
0.77%471.6万
0.39%468万
0.39%468万
0.39%468万
0.39%466.2万
0.45%466.2万
--466.2万
0.83%464.4万
0.76%464.1万
留存收益
-57.06%-1,450.3万
-57.06%-1,450.3万
-43.14%-1,439.8万
71.57%-923.4万
71.57%-923.4万
55.32%-1,005.9万
-66.43%-3,248.3万
---3,248.3万
-59.85%-2,251.1万
-679.43%-1,951.7万
资本公积
-0.01%3.32亿
-0.01%3.32亿
-0.01%3.32亿
-0.01%3.32亿
-0.01%3.32亿
-0.01%3.32亿
-0.01%3.32亿
--3.32亿
-0.01%3.32亿
-0.01%3.32亿
其他权益
0.00%-1,000
0.00%-1,000
----
---1,000
---1,000
0.00%-1,000
----
----
---1,000
0.00%1,000
股东权益总额
-40.03%2,815.3万
-40.03%2,815.3万
-41.13%2,683.3万
-14.17%4,694.6万
-14.17%4,694.6万
-24.94%4,557.9万
-34.15%5,469.4万
--5,469.4万
-32.08%6,072.2万
-15.56%8,305.3万
非控制性权益
-15.37%236.8万
-15.37%236.8万
548.24%258万
490.30%279.8万
490.30%279.8万
-32.77%39.8万
-50.83%47.4万
--47.4万
-48.12%59.2万
121.10%96.4万
总权益
-38.64%3,052.1万
-38.64%3,052.1万
-36.03%2,941.3万
-9.83%4,974.4万
-9.83%4,974.4万
-25.01%4,597.7万
-34.34%5,516.8万
--5,516.8万
-32.29%6,131.4万
-14.96%8,401.7万
货币单位
欧元
欧元
欧元
欧元
欧元
欧元
欧元
欧元
欧元
欧元
会计准则
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(FY)2025/12/31(Q4)2025/12/31(Q2)2025/06/30(FY)2024/12/31(Q4)2024/12/31(Q2)2024/06/30(FY)2023/12/31(Q4)2023/12/31(Q2)2023/06/30(FY)2022/12/31
资产
流动资产
现金及现金等价物和短期投资 -31.62%2,298万-31.62%2,298万-13.06%1,701.2万19.74%3,360.4万19.74%3,360.4万-56.34%1,956.7万-59.01%2,806.3万--2,806.3万-36.00%4,481.3万-17.35%6,846.5万
-现金和现金等价物 -31.62%2,298万-31.62%2,298万-13.06%1,701.2万19.74%3,360.4万19.74%3,360.4万-56.34%1,956.7万-59.01%2,806.3万--2,806.3万-36.00%4,481.3万-17.35%6,846.5万
-应收账款 14.25%560.5万14.25%560.5万-57.57%344万-14.34%490.6万-14.34%490.6万44.37%810.8万-10.75%572.7万--572.7万-18.31%561.6万24.22%641.7万
-应收税费 33.11%707.1万33.11%707.1万6.42%755.7万-36.33%531.2万-36.33%531.2万-11.95%710.1万8.25%834.3万--834.3万-23.63%806.5万-39.53%770.7万
-其他应收款 7.51%733万7.51%733万167.24%574.3万203.02%681.8万203.02%681.8万30.88%214.9万27.19%225万--225万-68.63%164.2万-78.83%176.9万
存货 -31.24%722.1万-31.24%722.1万-16.09%1,412万-45.88%1,050.1万-45.88%1,050.1万-24.48%1,682.7万29.87%1,940.3万--1,940.3万176.65%2,228.1万202.61%1,494万
预付费用 -23.81%153.9万-23.81%153.9万-29.98%192.7万-28.52%202万-28.52%202万-11.37%275.2万-8.81%282.6万--282.6万-28.06%310.5万15.16%309.9万
流动资产合计 -18.07%5,174.6万-18.07%5,174.6万-11.87%4,979.9万-5.18%6,316.1万-5.18%6,316.1万-33.93%5,650.4万-36.58%6,661.2万--6,661.2万-20.18%8,552.2万-10.43%1.05亿
非流动资产
固定资产净额 -8.87%963.6万-8.87%963.6万-1.49%1,059万6.91%1,057.4万6.91%1,057.4万2.35%1,075万-18.07%989.1万--989.1万-1.73%1,050.3万15.03%1,207.2万
-固定资产 -6.14%2,886万-6.14%2,886万2.49%3,083万1.10%3,074.8万1.10%3,074.8万-1.44%3,008.1万-3.41%3,041.3万--3,041.3万-5.27%3,052.1万-0.57%3,148.8万
-累计折旧 4.71%-1,922.4万4.71%-1,922.4万-4.70%-2,024万1.70%-2,017.4万1.70%-2,017.4万3.43%-1,933.1万-5.70%-2,052.2万---2,052.2万7.02%-2,001.8万8.31%-1,941.6万
商誉及其他无形资产 3.86%513.7万3.86%513.7万9,379.25%502.4万6,241.03%494.6万6,241.03%494.6万-52.68%5.3万-64.06%7.8万--7.8万-66.37%11.2万-34.44%21.7万
-商誉 0.00%457.7万0.00%457.7万--457.7万--457.7万--457.7万--------------------
-其他无形资产 51.76%56万51.76%56万743.40%44.7万373.08%36.9万373.08%36.9万-52.68%5.3万-64.06%7.8万--7.8万-66.37%11.2万-34.44%21.7万
长期预付费用 -99.84%9,000-99.84%9,000-98.96%9,000--571.1万--571.1万--86.4万----------------
其他非流动资产 1,400.00%1.3万1,400.00%1.3万215.79%6万-114.29%-1,000-114.29%-1,000-47.22%1.9万-12.50%7,000--7,000-77.91%3.6万-99.80%8,000
非流动资产合计 -29.15%1,576.3万-29.15%1,576.3万-20.68%1,667.2万7.85%2,224.8万7.85%2,224.8万17.87%2,101.9万13.40%2,062.8万--2,062.8万-15.31%1,783.3万-34.34%1,819.1万
总资产 -20.96%6,751万-20.96%6,751万-14.26%6,646.9万-2.10%8,541万-2.10%8,541万-24.99%7,752.2万-29.20%8,724.1万--8,724.1万-19.38%1.03亿-15.00%1.23亿
负债
流动负债
应付款项 -3.25%1,402.4万-3.25%1,402.4万30.39%1,664.5万25.09%1,449.5万25.09%1,449.5万-20.28%1,276.6万-33.40%1,158.8万--1,158.8万-19.34%1,601.4万-12.91%1,740万
-应付账款 0.41%755.4万0.41%755.4万26.47%690.5万42.59%752.3万42.59%752.3万-25.05%546万-42.49%527.6万--527.6万-31.78%728.5万-7.26%917.4万
-应付税费 -7.20%647万-7.20%647万33.32%974万10.46%697.2万10.46%697.2万-16.30%730.6万-23.27%631.2万--631.2万-4.87%872.9万-18.46%822.6万
现行拨备 29.57%151.6万29.57%151.6万16.55%99.3万-61.17%117万-61.17%117万-90.60%85.2万38.47%301.3万--301.3万462.86%906.2万87.10%217.6万
短期借款与租赁负债 23.39%290.1万23.39%290.1万10.79%270.1万23.67%235.1万23.67%235.1万10.22%243.8万-27.11%190.1万--190.1万-12.08%221.2万-25.78%260.8万
-短期借款 812.50%29.2万812.50%29.2万--3.2万--3.2万--3.2万--0--0--0--0--0
-短期租赁负债 12.51%260.9万12.51%260.9万9.47%266.9万21.99%231.9万21.99%231.9万10.22%243.8万-27.11%190.1万--190.1万-12.01%221.2万-3.87%260.8万
其他流动负债 29.23%437.7万29.23%437.7万54.17%552.1万3.04%338.7万3.04%338.7万32.48%358.1万-2.69%328.7万--328.7万0.45%270.3万-53.54%337.8万
流动负债总额 14.83%2,532.8万14.83%2,532.8万29.92%2,638.6万7.47%2,205.6万7.47%2,205.6万-33.64%2,030.9万-23.11%2,052.3万--2,052.3万10.23%3,060.6万-21.49%2,669万
非流动负债
长期拨备 -54.17%5.5万-54.17%5.5万2,710.00%28.1万-4.76%12万-4.76%12万-78.26%1万0.00%12.6万--12.6万-89.55%4.6万-68.97%12.6万
长期借款与租赁负债 -23.32%491.8万-23.32%491.8万-2.58%618.9万-0.43%641.4万-0.43%641.4万-3.13%635.3万-14.92%644.2万--644.2万2.73%655.8万12.23%757.2万
-长期借款 -5.94%47.5万-5.94%47.5万--50万--50.5万--50.5万--0----------0----
-长期租赁负债 -24.81%444.3万-24.81%444.3万-10.45%568.9万-8.27%590.9万-8.27%590.9万-3.13%635.3万-14.92%644.2万--644.2万2.71%655.8万12.23%757.2万
衍生品负债 --0--0--0--217.3万--217.3万--232.2万----------------
其他非流动负债 101.20%503.4万101.20%503.4万--250万-5.33%250.2万-5.33%250.2万-----10.80%264.3万--264.3万69.35%304.5万52.42%296.3万
非流动负债总额 -14.32%1,166.1万-14.32%1,166.1万-5.04%1,067万17.84%1,361万17.84%1,361万-1.74%1,123.6万-7.75%1,155万--1,155万15.60%1,143.5万2.84%1,252.1万
总负债 3.71%3,698.9万3.71%3,698.9万17.47%3,705.6万11.20%3,566.6万11.20%3,566.6万-24.97%3,154.5万-18.20%3,207.3万--3,207.3万11.64%4,204.1万-15.08%3,921.1万
所有者权益
股本 0.77%471.6万0.77%471.6万0.39%468万0.39%468万0.39%468万0.39%466.2万0.45%466.2万--466.2万0.83%464.4万0.76%464.1万
-普通股股本 0.77%471.6万0.77%471.6万0.39%468万0.39%468万0.39%468万0.39%466.2万0.45%466.2万--466.2万0.83%464.4万0.76%464.1万
留存收益 -57.06%-1,450.3万-57.06%-1,450.3万-43.14%-1,439.8万71.57%-923.4万71.57%-923.4万55.32%-1,005.9万-66.43%-3,248.3万---3,248.3万-59.85%-2,251.1万-679.43%-1,951.7万
资本公积 -0.01%3.32亿-0.01%3.32亿-0.01%3.32亿-0.01%3.32亿-0.01%3.32亿-0.01%3.32亿-0.01%3.32亿--3.32亿-0.01%3.32亿-0.01%3.32亿
其他权益 0.00%-1,0000.00%-1,000-------1,000---1,0000.00%-1,000-----------1,0000.00%1,000
股东权益总额 -40.03%2,815.3万-40.03%2,815.3万-41.13%2,683.3万-14.17%4,694.6万-14.17%4,694.6万-24.94%4,557.9万-34.15%5,469.4万--5,469.4万-32.08%6,072.2万-15.56%8,305.3万
非控制性权益 -15.37%236.8万-15.37%236.8万548.24%258万490.30%279.8万490.30%279.8万-32.77%39.8万-50.83%47.4万--47.4万-48.12%59.2万121.10%96.4万
总权益 -38.64%3,052.1万-38.64%3,052.1万-36.03%2,941.3万-9.83%4,974.4万-9.83%4,974.4万-25.01%4,597.7万-34.34%5,516.8万--5,516.8万-32.29%6,131.4万-14.96%8,401.7万
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中东战火燃至股市!投资者该如何应对?
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