美股市场个股详情

UiPath (PATH)

添加自选
  • 14.790
  • -0.580-3.77%
收盘价 01/15 16:00 (美东)
  • 14.860
  • +0.070+0.47%
盘后 19:44 (美东)
79.09亿总市值35.21市盈率TTM

UiPath (PATH) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2025/10/31
(Q2)2025/07/31
(Q1)2025/04/30
(FY)2025/01/31
(Q4)2025/01/31
(Q3)2024/10/31
(Q2)2024/07/31
(Q1)2024/04/30
(FY)2024/01/31
(Q4)2024/01/31
资产
流动资产
现金及现金等价物和短期投资
-10.89%13.98亿
-16.97%14.47亿
-19.66%15.55亿
-13.32%16.3亿
-13.32%16.3亿
-13.66%15.69亿
-4.71%17.43亿
8.70%19.36亿
7.00%18.8亿
7.00%18.8亿
-现金和现金等价物
-3.87%7.44亿
-33.08%6.29亿
-38.89%7.01亿
-17.19%8.79亿
-17.19%8.79亿
-22.87%7.74亿
-14.13%9.39亿
-12.58%11.47亿
-24.28%10.62亿
-24.28%10.62亿
-短期投资
-17.71%6.55亿
1.84%8.19亿
8.30%8.54亿
-8.29%7.5亿
-8.29%7.5亿
-2.30%7.95亿
9.30%8.04亿
68.19%7.89亿
130.61%8.18亿
130.61%8.18亿
应收款项
11.22%4.96亿
4.99%3.87亿
3.07%3.7亿
3.72%5.4亿
3.72%5.4亿
-2.45%4.46亿
20.16%3.69亿
18.86%3.59亿
17.37%5.2亿
17.37%5.2亿
-应收账款
9.11%3.67亿
0.79%2.7亿
-1.48%2.67亿
3.40%4.51亿
3.40%4.51亿
-9.90%3.36亿
18.28%2.68亿
15.99%2.71亿
16.59%4.36亿
16.59%4.36亿
-其他应收款
17.66%1.29亿
16.13%1.17亿
17.02%1.03亿
5.39%8,873.5万
5.39%8,873.5万
30.60%1.1亿
25.44%1.01亿
28.61%8,814.6万
21.57%8,419.7万
21.57%8,419.7万
预付费用
-7.21%5,495.7万
-3.22%5,745.3万
-13.10%6,665.1万
-25.57%6,533.4万
-25.57%6,533.4万
-9.93%5,922.6万
-28.06%5,936.3万
-1.17%7,669.5万
29.48%8,778.1万
29.48%8,778.1万
受限制现金
0.00%43.8万
0.00%43.8万
0.00%43.8万
0.00%43.8万
0.00%43.8万
-1.35%43.8万
9.50%43.8万
--43.8万
--43.8万
--43.8万
递延资产
8.61%8,649.9万
11.14%8,519.2万
11.60%8,516.2万
10.42%8,246.1万
10.42%8,246.1万
25.32%7,964.4万
29.21%7,665.3万
43.02%7,630.9万
49.69%7,467.8万
49.69%7,467.8万
其他流动资产
159.00%5,717.1万
106.04%5,293.8万
52.05%3,261.6万
21.76%2,094.2万
21.76%2,094.2万
-13.33%2,207.4万
3.38%2,569.3万
-51.06%2,145.1万
-34.74%1,719.9万
-34.74%1,719.9万
流动资产合计
-3.82%20.93亿
-10.71%20.31亿
-14.56%21.1亿
-9.37%23.39亿
-9.37%23.39亿
-10.42%21.76亿
-1.27%22.74亿
9.39%24.69亿
10.07%25.8亿
10.07%25.8亿
非流动资产
固定资产净额
15.88%1.1亿
15.15%1.07亿
30.13%1.08亿
23.97%9,924万
23.97%9,924万
24.29%9,473万
20.05%9,307.3万
5.07%8,319.9万
-1.29%8,005.4万
-1.29%8,005.4万
-固定资产
14.81%1.54亿
14.95%1.5亿
27.41%1.51亿
22.46%1.39亿
22.46%1.39亿
20.71%1.34亿
17.91%1.31亿
8.06%1.19亿
4.03%1.13亿
4.03%1.13亿
-累计折旧
-12.25%-4,409.5万
-14.47%-4,292.6万
-21.00%-4,275.1万
-18.84%-3,966万
-18.84%-3,966万
-12.87%-3,928.4万
-12.89%-3,750万
-15.81%-3,533.1万
-19.48%-3,337.3万
-19.48%-3,337.3万
商誉及其他无形资产
43.36%1.42亿
41.62%1.42亿
44.04%1.45亿
-8.21%9,520.9万
-8.21%9,520.9万
-4.39%9,919.5万
-8.00%1.01亿
-8.53%1.01亿
-6.57%1.04亿
-6.57%1.04亿
-商誉
34.23%1.21亿
34.93%1.21亿
37.32%1.21亿
-1.93%8,730.4万
-1.93%8,730.4万
2.95%8,986.4万
-0.58%8,953万
-0.92%8,838.4万
1.15%8,902.6万
1.15%8,902.6万
-其他无形资产
131.30%2,158.3万
95.95%2,160.4万
91.25%2,405.4万
-46.24%790.5万
-46.24%790.5万
-43.31%933.1万
-42.71%1,102.5万
-40.58%1,257.7万
-36.10%1,470.4万
-36.10%1,470.4万
投资和预付款
253.55%1.22亿
--7,515.1万
3,690.75%3,646.7万
8,594.20%1.3亿
8,594.20%1.3亿
--3,439.7万
----
-83.15%96.2万
-49.01%150万
-49.01%150万
长期应收款
-62.74%470.1万
-71.20%265.9万
-71.78%281.1万
-44.53%344.7万
-44.53%344.7万
107.60%1,261.8万
83.87%923.2万
43.72%996万
-4.74%621.4万
-4.74%621.4万
非流动递延资产
101.64%3.51亿
7.75%1.62亿
12.61%1.68亿
5.23%1.67亿
5.23%1.67亿
19.91%1.74亿
7.69%1.5亿
4.62%1.49亿
10.79%1.59亿
10.79%1.59亿
其他非流动资产
2.30%7,357.1万
-2.15%7,222.3万
133.82%7,393.5万
30.37%3,109.8万
30.37%3,109.8万
173.61%7,191.5万
110.24%7,381.2万
-22.35%3,162.1万
-47.81%2,385.3万
-47.81%2,385.3万
非流动资产合计
64.88%8.03亿
31.52%5.62亿
42.31%5.35亿
40.70%5.27亿
40.70%5.27亿
36.21%4.87亿
16.49%4.27亿
-2.50%3.76亿
-4.21%3.74亿
-4.21%3.74亿
总资产
8.74%28.96亿
-4.04%25.92亿
-7.05%26.44亿
-3.03%28.65亿
-3.03%28.65亿
-4.44%26.63亿
1.17%27.01亿
7.65%28.45亿
8.03%29.55亿
8.03%29.55亿
负债
流动负债
应付款项
31.46%5,969.5万
44.01%5,441.7万
56.84%5,260万
105.33%6,472.1万
105.33%6,472.1万
-16.22%4,540.8万
80.27%3,778.6万
53.72%3,353.8万
-11.05%3,152.1万
-11.05%3,152.1万
-应付账款
-22.50%1,428万
99.22%1,974.3万
145.99%1,688.5万
862.52%3,317.8万
862.52%3,317.8万
34.85%1,842.6万
425.17%991万
19.71%686.4万
-61.23%344.7万
-61.23%344.7万
-应付税费
67.06%3,232.5万
2.56%2,057.2万
-6.63%1,896.4万
-12.30%1,822.9万
-12.30%1,822.9万
-37.15%1,934.9万
5.16%2,005.9万
26.28%2,031万
-21.70%2,078.5万
-21.70%2,078.5万
-应付关联方款项
71.49%1,309万
80.40%1,410.2万
163.21%1,675.1万
82.66%1,331.4万
82.66%1,331.4万
--763.3万
--781.7万
--636.4万
--728.9万
--728.9万
应计费用
32.15%4,618.6万
31.19%4,552.3万
68.35%3,746.7万
47.68%1,981万
47.68%1,981万
39.36%3,495.1万
184.71%3,470万
57.97%2,225.6万
-30.89%1,341.4万
-30.89%1,341.4万
短期借款与租赁负债
108.10%999.3万
50.68%668.7万
-32.89%551.9万
-57.08%358.7万
-57.08%358.7万
-30.46%480.2万
-30.01%443.8万
13.39%822.4万
19.44%835.7万
19.44%835.7万
-短期租赁负债
108.10%999.3万
50.68%668.7万
-32.89%551.9万
-57.08%358.7万
-57.08%358.7万
-30.46%480.2万
-30.01%443.8万
13.39%822.4万
19.44%835.7万
19.44%835.7万
递延负债
9.63%5.42亿
11.34%5.15亿
14.46%5.39亿
15.66%5.69亿
15.66%5.69亿
20.17%4.94亿
18.72%4.63亿
20.17%4.71亿
21.82%4.92亿
21.82%4.92亿
其他流动负债
82.02%3,553.5万
292.90%4,800.5万
111.06%2,867.4万
2.74%2,564.8万
2.74%2,564.8万
-10.07%1,952.3万
-30.35%1,221.8万
15.83%1,358.6万
72.62%2,496.4万
72.62%2,496.4万
流动负债总额
13.40%7.89亿
16.75%7.38亿
19.80%7.16亿
12.26%7.99亿
12.26%7.99亿
10.80%6.95亿
22.07%6.33亿
18.70%5.98亿
13.61%7.12亿
13.61%7.12亿
非流动负债
长期借款与租赁负债
-6.23%7,201.6万
-7.09%7,262.3万
16.98%7,343.3万
26.43%7,423万
26.43%7,423万
33.13%7,679.8万
37.86%7,816.6万
10.98%6,277.2万
4.02%5,871.3万
4.02%5,871.3万
-长期租赁负债
-6.23%7,201.6万
-7.09%7,262.3万
16.98%7,343.3万
26.43%7,423万
26.43%7,423万
33.13%7,679.8万
37.86%7,816.6万
10.98%6,277.2万
4.02%5,871.3万
4.02%5,871.3万
递延负债
-33.61%9,915.5万
-30.62%1.04亿
-6.47%1.41亿
-15.64%1.36亿
-15.64%1.36亿
12.64%1.49亿
44.87%1.5亿
33.31%1.51亿
32.32%1.61亿
32.32%1.61亿
其他非流动负债
17.06%1,148.8万
67.15%1,126.1万
130.49%1,551.2万
45.78%1,051.5万
45.78%1,051.5万
24.65%981.4万
-17.37%673.7万
-51.83%673万
-31.02%721.3万
-31.02%721.3万
非流动负债总额
-22.59%1.83亿
-20.00%1.88亿
4.39%2.3亿
-2.80%2.21亿
-2.80%2.21亿
19.08%2.36亿
39.50%2.35亿
19.96%2.2亿
20.34%2.27亿
20.34%2.27亿
总负债
4.29%9.71亿
6.78%9.27亿
15.65%9.46亿
8.61%10.2亿
8.61%10.2亿
12.79%9.31亿
26.35%8.68亿
19.04%8.18亿
15.16%9.39亿
15.16%9.39亿
所有者权益
股本
0.00%6,000
0.00%6,000
0.00%6,000
0.00%6,000
0.00%6,000
0.00%6,000
0.00%6,000
0.00%6,000
0.00%6,000
0.00%6,000
-普通股股本
0.00%6,000
0.00%6,000
0.00%6,000
0.00%6,000
0.00%6,000
0.00%6,000
0.00%6,000
0.00%6,000
0.00%6,000
0.00%6,000
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
11.26%-18.1亿
0.99%-20.09亿
-3.47%-20.1亿
-3.85%-19.88亿
-3.85%-19.88亿
-4.70%-20.4亿
-5.87%-20.29亿
-4.67%-19.43亿
-4.93%-19.14亿
-4.93%-19.14亿
资本公积
6.63%45.31亿
7.14%44.75亿
7.67%44.04亿
7.68%43.33亿
7.68%43.33亿
7.35%42.5亿
7.41%41.77亿
7.58%40.9亿
7.69%40.24亿
7.69%40.24亿
减:库存股
69.27%8.24亿
156.12%8.25亿
481.15%7.24亿
382.17%4.95亿
382.17%4.95亿
824.97%4.87亿
--3.22亿
--1.25亿
--1.03亿
--1.03亿
不影响留存收益的损益
210.29%2,769万
205.33%2,474.7万
522.85%2,952.3万
-155.41%-489万
-155.41%-489万
182.58%892.4万
-29.56%810.5万
-52.95%474万
15.94%882.5万
15.94%882.5万
股东权益总额
11.13%19.25亿
-9.16%16.66亿
-16.21%16.98亿
-8.45%18.46亿
-8.45%18.46亿
-11.70%17.32亿
-7.55%18.34亿
3.65%20.27亿
5.00%20.16亿
5.00%20.16亿
总权益
11.13%19.25亿
-9.16%16.66亿
-16.21%16.98亿
-8.45%18.46亿
-8.45%18.46亿
-11.70%17.32亿
-7.55%18.34亿
3.65%20.27亿
5.00%20.16亿
5.00%20.16亿
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
--
--
--
--
无保留意见
--
(Q3)2025/10/31(Q2)2025/07/31(Q1)2025/04/30(FY)2025/01/31(Q4)2025/01/31(Q3)2024/10/31(Q2)2024/07/31(Q1)2024/04/30(FY)2024/01/31(Q4)2024/01/31
资产
流动资产
现金及现金等价物和短期投资 -10.89%13.98亿-16.97%14.47亿-19.66%15.55亿-13.32%16.3亿-13.32%16.3亿-13.66%15.69亿-4.71%17.43亿8.70%19.36亿7.00%18.8亿7.00%18.8亿
-现金和现金等价物 -3.87%7.44亿-33.08%6.29亿-38.89%7.01亿-17.19%8.79亿-17.19%8.79亿-22.87%7.74亿-14.13%9.39亿-12.58%11.47亿-24.28%10.62亿-24.28%10.62亿
-短期投资 -17.71%6.55亿1.84%8.19亿8.30%8.54亿-8.29%7.5亿-8.29%7.5亿-2.30%7.95亿9.30%8.04亿68.19%7.89亿130.61%8.18亿130.61%8.18亿
应收款项 11.22%4.96亿4.99%3.87亿3.07%3.7亿3.72%5.4亿3.72%5.4亿-2.45%4.46亿20.16%3.69亿18.86%3.59亿17.37%5.2亿17.37%5.2亿
-应收账款 9.11%3.67亿0.79%2.7亿-1.48%2.67亿3.40%4.51亿3.40%4.51亿-9.90%3.36亿18.28%2.68亿15.99%2.71亿16.59%4.36亿16.59%4.36亿
-其他应收款 17.66%1.29亿16.13%1.17亿17.02%1.03亿5.39%8,873.5万5.39%8,873.5万30.60%1.1亿25.44%1.01亿28.61%8,814.6万21.57%8,419.7万21.57%8,419.7万
预付费用 -7.21%5,495.7万-3.22%5,745.3万-13.10%6,665.1万-25.57%6,533.4万-25.57%6,533.4万-9.93%5,922.6万-28.06%5,936.3万-1.17%7,669.5万29.48%8,778.1万29.48%8,778.1万
受限制现金 0.00%43.8万0.00%43.8万0.00%43.8万0.00%43.8万0.00%43.8万-1.35%43.8万9.50%43.8万--43.8万--43.8万--43.8万
递延资产 8.61%8,649.9万11.14%8,519.2万11.60%8,516.2万10.42%8,246.1万10.42%8,246.1万25.32%7,964.4万29.21%7,665.3万43.02%7,630.9万49.69%7,467.8万49.69%7,467.8万
其他流动资产 159.00%5,717.1万106.04%5,293.8万52.05%3,261.6万21.76%2,094.2万21.76%2,094.2万-13.33%2,207.4万3.38%2,569.3万-51.06%2,145.1万-34.74%1,719.9万-34.74%1,719.9万
流动资产合计 -3.82%20.93亿-10.71%20.31亿-14.56%21.1亿-9.37%23.39亿-9.37%23.39亿-10.42%21.76亿-1.27%22.74亿9.39%24.69亿10.07%25.8亿10.07%25.8亿
非流动资产
固定资产净额 15.88%1.1亿15.15%1.07亿30.13%1.08亿23.97%9,924万23.97%9,924万24.29%9,473万20.05%9,307.3万5.07%8,319.9万-1.29%8,005.4万-1.29%8,005.4万
-固定资产 14.81%1.54亿14.95%1.5亿27.41%1.51亿22.46%1.39亿22.46%1.39亿20.71%1.34亿17.91%1.31亿8.06%1.19亿4.03%1.13亿4.03%1.13亿
-累计折旧 -12.25%-4,409.5万-14.47%-4,292.6万-21.00%-4,275.1万-18.84%-3,966万-18.84%-3,966万-12.87%-3,928.4万-12.89%-3,750万-15.81%-3,533.1万-19.48%-3,337.3万-19.48%-3,337.3万
商誉及其他无形资产 43.36%1.42亿41.62%1.42亿44.04%1.45亿-8.21%9,520.9万-8.21%9,520.9万-4.39%9,919.5万-8.00%1.01亿-8.53%1.01亿-6.57%1.04亿-6.57%1.04亿
-商誉 34.23%1.21亿34.93%1.21亿37.32%1.21亿-1.93%8,730.4万-1.93%8,730.4万2.95%8,986.4万-0.58%8,953万-0.92%8,838.4万1.15%8,902.6万1.15%8,902.6万
-其他无形资产 131.30%2,158.3万95.95%2,160.4万91.25%2,405.4万-46.24%790.5万-46.24%790.5万-43.31%933.1万-42.71%1,102.5万-40.58%1,257.7万-36.10%1,470.4万-36.10%1,470.4万
投资和预付款 253.55%1.22亿--7,515.1万3,690.75%3,646.7万8,594.20%1.3亿8,594.20%1.3亿--3,439.7万-----83.15%96.2万-49.01%150万-49.01%150万
长期应收款 -62.74%470.1万-71.20%265.9万-71.78%281.1万-44.53%344.7万-44.53%344.7万107.60%1,261.8万83.87%923.2万43.72%996万-4.74%621.4万-4.74%621.4万
非流动递延资产 101.64%3.51亿7.75%1.62亿12.61%1.68亿5.23%1.67亿5.23%1.67亿19.91%1.74亿7.69%1.5亿4.62%1.49亿10.79%1.59亿10.79%1.59亿
其他非流动资产 2.30%7,357.1万-2.15%7,222.3万133.82%7,393.5万30.37%3,109.8万30.37%3,109.8万173.61%7,191.5万110.24%7,381.2万-22.35%3,162.1万-47.81%2,385.3万-47.81%2,385.3万
非流动资产合计 64.88%8.03亿31.52%5.62亿42.31%5.35亿40.70%5.27亿40.70%5.27亿36.21%4.87亿16.49%4.27亿-2.50%3.76亿-4.21%3.74亿-4.21%3.74亿
总资产 8.74%28.96亿-4.04%25.92亿-7.05%26.44亿-3.03%28.65亿-3.03%28.65亿-4.44%26.63亿1.17%27.01亿7.65%28.45亿8.03%29.55亿8.03%29.55亿
负债
流动负债
应付款项 31.46%5,969.5万44.01%5,441.7万56.84%5,260万105.33%6,472.1万105.33%6,472.1万-16.22%4,540.8万80.27%3,778.6万53.72%3,353.8万-11.05%3,152.1万-11.05%3,152.1万
-应付账款 -22.50%1,428万99.22%1,974.3万145.99%1,688.5万862.52%3,317.8万862.52%3,317.8万34.85%1,842.6万425.17%991万19.71%686.4万-61.23%344.7万-61.23%344.7万
-应付税费 67.06%3,232.5万2.56%2,057.2万-6.63%1,896.4万-12.30%1,822.9万-12.30%1,822.9万-37.15%1,934.9万5.16%2,005.9万26.28%2,031万-21.70%2,078.5万-21.70%2,078.5万
-应付关联方款项 71.49%1,309万80.40%1,410.2万163.21%1,675.1万82.66%1,331.4万82.66%1,331.4万--763.3万--781.7万--636.4万--728.9万--728.9万
应计费用 32.15%4,618.6万31.19%4,552.3万68.35%3,746.7万47.68%1,981万47.68%1,981万39.36%3,495.1万184.71%3,470万57.97%2,225.6万-30.89%1,341.4万-30.89%1,341.4万
短期借款与租赁负债 108.10%999.3万50.68%668.7万-32.89%551.9万-57.08%358.7万-57.08%358.7万-30.46%480.2万-30.01%443.8万13.39%822.4万19.44%835.7万19.44%835.7万
-短期租赁负债 108.10%999.3万50.68%668.7万-32.89%551.9万-57.08%358.7万-57.08%358.7万-30.46%480.2万-30.01%443.8万13.39%822.4万19.44%835.7万19.44%835.7万
递延负债 9.63%5.42亿11.34%5.15亿14.46%5.39亿15.66%5.69亿15.66%5.69亿20.17%4.94亿18.72%4.63亿20.17%4.71亿21.82%4.92亿21.82%4.92亿
其他流动负债 82.02%3,553.5万292.90%4,800.5万111.06%2,867.4万2.74%2,564.8万2.74%2,564.8万-10.07%1,952.3万-30.35%1,221.8万15.83%1,358.6万72.62%2,496.4万72.62%2,496.4万
流动负债总额 13.40%7.89亿16.75%7.38亿19.80%7.16亿12.26%7.99亿12.26%7.99亿10.80%6.95亿22.07%6.33亿18.70%5.98亿13.61%7.12亿13.61%7.12亿
非流动负债
长期借款与租赁负债 -6.23%7,201.6万-7.09%7,262.3万16.98%7,343.3万26.43%7,423万26.43%7,423万33.13%7,679.8万37.86%7,816.6万10.98%6,277.2万4.02%5,871.3万4.02%5,871.3万
-长期租赁负债 -6.23%7,201.6万-7.09%7,262.3万16.98%7,343.3万26.43%7,423万26.43%7,423万33.13%7,679.8万37.86%7,816.6万10.98%6,277.2万4.02%5,871.3万4.02%5,871.3万
递延负债 -33.61%9,915.5万-30.62%1.04亿-6.47%1.41亿-15.64%1.36亿-15.64%1.36亿12.64%1.49亿44.87%1.5亿33.31%1.51亿32.32%1.61亿32.32%1.61亿
其他非流动负债 17.06%1,148.8万67.15%1,126.1万130.49%1,551.2万45.78%1,051.5万45.78%1,051.5万24.65%981.4万-17.37%673.7万-51.83%673万-31.02%721.3万-31.02%721.3万
非流动负债总额 -22.59%1.83亿-20.00%1.88亿4.39%2.3亿-2.80%2.21亿-2.80%2.21亿19.08%2.36亿39.50%2.35亿19.96%2.2亿20.34%2.27亿20.34%2.27亿
总负债 4.29%9.71亿6.78%9.27亿15.65%9.46亿8.61%10.2亿8.61%10.2亿12.79%9.31亿26.35%8.68亿19.04%8.18亿15.16%9.39亿15.16%9.39亿
所有者权益
股本 0.00%6,0000.00%6,0000.00%6,0000.00%6,0000.00%6,0000.00%6,0000.00%6,0000.00%6,0000.00%6,0000.00%6,000
-普通股股本 0.00%6,0000.00%6,0000.00%6,0000.00%6,0000.00%6,0000.00%6,0000.00%6,0000.00%6,0000.00%6,0000.00%6,000
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 11.26%-18.1亿0.99%-20.09亿-3.47%-20.1亿-3.85%-19.88亿-3.85%-19.88亿-4.70%-20.4亿-5.87%-20.29亿-4.67%-19.43亿-4.93%-19.14亿-4.93%-19.14亿
资本公积 6.63%45.31亿7.14%44.75亿7.67%44.04亿7.68%43.33亿7.68%43.33亿7.35%42.5亿7.41%41.77亿7.58%40.9亿7.69%40.24亿7.69%40.24亿
减:库存股 69.27%8.24亿156.12%8.25亿481.15%7.24亿382.17%4.95亿382.17%4.95亿824.97%4.87亿--3.22亿--1.25亿--1.03亿--1.03亿
不影响留存收益的损益 210.29%2,769万205.33%2,474.7万522.85%2,952.3万-155.41%-489万-155.41%-489万182.58%892.4万-29.56%810.5万-52.95%474万15.94%882.5万15.94%882.5万
股东权益总额 11.13%19.25亿-9.16%16.66亿-16.21%16.98亿-8.45%18.46亿-8.45%18.46亿-11.70%17.32亿-7.55%18.34亿3.65%20.27亿5.00%20.16亿5.00%20.16亿
总权益 11.13%19.25亿-9.16%16.66亿-16.21%16.98亿-8.45%18.46亿-8.45%18.46亿-11.70%17.32亿-7.55%18.34亿3.65%20.27亿5.00%20.16亿5.00%20.16亿
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审计意见 ------无保留意见--------无保留意见--
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