美股市场个股详情

Payoneer Global (PAYO)

添加自选
  • 4.870
  • -0.060-1.22%
收盘价 05/14 16:00 (美东)
  • 4.880
  • +0.010+0.21%
盘后 19:17 (美东)
16.30亿总市值24.35市盈率TTM

Payoneer Global (PAYO) 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
-35.25%3.39亿
-16.47%4.16亿
-16.47%4.16亿
-10.24%4.79亿
-13.65%4.97亿
-10.73%5.24亿
-19.38%4.97亿
-19.38%4.97亿
-9.55%5.34亿
-0.92%5.76亿
-现金和现金等价物
-35.25%3.39亿
-16.47%4.16亿
-16.47%4.16亿
-10.24%4.79亿
-13.65%4.97亿
-10.73%5.24亿
-19.38%4.97亿
-19.38%4.97亿
-9.55%5.34亿
-0.92%5.76亿
应收款项
15.76%8,223万
5.31%9,776.7万
5.31%9,776.7万
-3.44%8,940.9万
-0.02%6,866.6万
4.79%7,103.2万
39.98%9,283.3万
39.98%9,283.3万
42.50%9,259.3万
16.40%6,867.7万
-应收账款
34.66%1,263.4万
-12.78%1,041.2万
-12.78%1,041.2万
6.08%1,435.1万
111.73%1,390.4万
29.87%938.2万
49.59%1,193.7万
49.59%1,193.7万
126.62%1,352.9万
-41.68%656.7万
-其他应收款
12.89%6,959.6万
7.98%8,735.5万
7.98%8,735.5万
-5.07%7,505.8万
-11.83%5,476.2万
1.80%6,165万
38.67%8,089.6万
38.67%8,089.6万
33.99%7,906.4万
30.10%6,211万
预付费用
-8.76%3,817.3万
-40.59%3,261.7万
-40.59%3,261.7万
-22.65%3,846.6万
13.06%4,231.7万
43.56%4,183.7万
121.46%5,490.5万
121.46%5,490.5万
68.52%4,972.7万
35.92%3,743万
受限制现金
19.57%72.5亿
17.14%75.51亿
17.14%75.51亿
21.84%67.82亿
9.01%65.92亿
2.27%60.63亿
0.75%64.46亿
0.75%64.46亿
3.58%55.66亿
9.20%60.48亿
其他流动资产
-3.27%1,195.3万
56.50%1,151.2万
56.50%1,151.2万
33.71%873万
95.27%651.8万
299.39%1,235.7万
142.29%735.6万
142.29%735.6万
125.68%652.9万
14.16%333.8万
流动资产合计
15.06%77.23亿
14.24%81.11亿
14.24%81.11亿
18.44%74.01亿
7.12%72.13亿
1.46%67.13亿
-0.13%71亿
-0.13%71亿
3.10%62.49亿
8.44%67.33亿
非流动资产
固定资产净额
178.80%1.03亿
167.07%9,469.4万
167.07%9,469.4万
92.29%6,932.9万
66.66%6,266.4万
-0.92%3,711.9万
-12.14%3,545.6万
-12.14%3,545.6万
37.98%3,605.4万
43.07%3,760万
-固定资产
75.32%1.42亿
74.89%1.36亿
74.89%1.36亿
50.39%1.16亿
37.45%1.09亿
5.33%8,127.4万
-2.66%7,753.8万
-2.66%7,753.8万
21.34%7,711.2万
23.48%7,939万
-累计折旧
11.67%-3,900.1万
2.79%-4,090.9万
2.79%-4,090.9万
-13.59%-4,663.8万
-11.16%-4,645.4万
-11.22%-4,415.5万
-7.06%-4,208.2万
-7.06%-4,208.2万
-9.73%-4,105.8万
-9.93%-4,179万
商誉及其他无形资产
64.77%3.01亿
58.64%2.86亿
58.64%2.86亿
61.17%2.84亿
159.69%2.82亿
77.94%1.82亿
87.38%1.8亿
87.38%1.8亿
93.93%1.76亿
39.43%1.08亿
-商誉
10.80%8,618.8万
0.00%7,778.5万
0.00%7,778.5万
2.22%7,778.5万
291.10%7,778.5万
291.10%7,778.5万
291.10%7,778.5万
291.10%7,778.5万
282.59%7,609.4万
0.00%1,988.9万
-其他无形资产
104.88%2.14亿
103.20%2.08亿
103.20%2.08亿
106.07%2.06亿
130.19%2.04亿
26.65%1.05亿
34.25%1.02亿
34.25%1.02亿
40.98%9,991.5万
52.97%8,859.7万
非流动递延资产
46.09%6,026.1万
37.03%5,689.8万
37.03%5,689.8万
68.83%4,989.8万
134.34%4,464.4万
147.18%4,124.9万
171.55%4,152.3万
171.55%4,152.3万
82.52%2,955.6万
36.06%1,905.1万
确认的养老福利金
17.16%86.7万
13.08%85.6万
13.08%85.6万
-1.81%81.3万
-2.57%79.7万
-9.87%74万
-9.88%75.7万
-9.88%75.7万
-12.29%82.8万
-15.67%81.8万
其他非流动资产
-28.92%4.09亿
-28.88%4.07亿
-28.88%4.07亿
-28.44%4亿
2,271.49%5.08亿
2,537.68%5.76亿
2,532.84%5.73亿
2,532.84%5.73亿
2,392.04%5.59亿
35.06%2,142.4万
非流动资产合计
4.44%8.75亿
1.80%8.46亿
1.80%8.46亿
0.27%8.04亿
379.19%8.98亿
366.91%8.37亿
376.35%8.31亿
376.35%8.31亿
412.47%8.02亿
38.88%1.87亿
总资产
13.88%85.98亿
12.94%89.57亿
12.94%89.57亿
16.37%82.05亿
17.20%81.1亿
11.11%75.5亿
8.89%79.3亿
8.89%79.3亿
13.40%70.51亿
9.09%69.2亿
负债
流动负债
应付款项
14.44%7,289.1万
19.20%7,748.2万
19.20%7,748.2万
9.63%7,685.8万
16.22%7,470.1万
-13.28%6,369.6万
1.43%6,500.2万
1.43%6,500.2万
5.35%7,010.8万
-3.27%6,427.4万
-应付账款
27.13%4,181.1万
19.59%4,461.1万
19.59%4,461.1万
-12.06%3,967.6万
8.73%4,237.5万
-6.82%3,288.9万
9.90%3,730.2万
9.90%3,730.2万
26.78%4,511.8万
33.61%3,897.4万
-应付税费
27.03%970.9万
6.67%401.4万
6.67%401.4万
1.17%277.8万
177.60%275.1万
-42.41%764.3万
56.14%376.3万
56.14%376.3万
-41.62%274.6万
-90.97%99.1万
-其他应付款
-7.74%2,137.1万
20.55%2,885.7万
20.55%2,885.7万
54.67%3,440.4万
21.66%2,957.5万
-6.92%2,316.4万
-13.68%2,393.7万
-13.68%2,393.7万
-15.27%2,224.4万
-7.58%2,430.9万
应计费用
15.19%1,624.4万
18.53%1,742.8万
18.53%1,742.8万
6.63%1,507.8万
26.66%1,357万
46.10%1,410.2万
18.98%1,470.4万
18.98%1,470.4万
44.02%1,414.1万
2.37%1,071.4万
短期借款与租赁负债
-4.69%687万
26.40%724.9万
26.40%724.9万
-67.19%655.5万
-69.95%656.7万
13.46%720.8万
-20.03%573.5万
-20.03%573.5万
158.40%1,997.7万
166.41%2,185.1万
-短期借款
----
----
----
----
----
----
----
----
--1,321.9万
--1,498.4万
-短期租赁负债
-4.69%687万
26.40%724.9万
26.40%724.9万
-3.00%655.5万
-4.37%656.7万
13.46%720.8万
-20.03%573.5万
-20.03%573.5万
-12.59%675.8万
-16.28%686.7万
递延负债
15.60%76.05亿
13.36%78.95亿
13.36%78.95亿
17.11%71.27亿
16.57%70.38亿
11.10%65.78亿
8.98%69.64亿
8.98%69.64亿
13.32%60.86亿
9.20%60.37亿
其他流动负债
----
--845.3万
--845.3万
1,671.31%827.2万
1,271.28%911.9万
10,625.00%900.9万
----
----
--46.7万
--66.5万
流动负债总额
15.32%77.62亿
13.36%80.84亿
13.36%80.84亿
16.70%73.08亿
16.42%72.08亿
11.07%67.31亿
9.00%71.31亿
9.00%71.31亿
13.64%62.63亿
9.42%61.91亿
非流动负债
长期借款与租赁负债
398.33%7,315.5万
316.01%6,508.4万
316.01%6,508.4万
189.78%4,787.1万
132.32%3,931.5万
-52.69%1,468万
-56.84%1,564.5万
-56.84%1,564.5万
-16.68%1,652万
-13.04%1,692.3万
-长期租赁负债
398.33%7,315.5万
316.01%6,508.4万
316.01%6,508.4万
189.78%4,787.1万
132.32%3,931.5万
-11.57%1,468万
-12.28%1,564.5万
-12.28%1,564.5万
310.43%1,652万
342.89%1,692.3万
递延负债
95.66%1.01亿
105.83%1亿
105.83%1亿
160.71%9,646.7万
158.57%8,983.9万
52.49%5,172.8万
62.70%4,880.3万
62.70%4,880.3万
42.28%3,700.2万
37.41%3,474.4万
员工福利
33.33%270.4万
42.10%290.6万
42.10%290.6万
5.00%231.2万
10.15%220.3万
0.20%202.8万
-0.54%204.5万
-0.54%204.5万
-19.96%220.2万
-5.48%200万
衍生品负债
----
----
----
----
----
----
--0
--0
--0
-53.99%578.8万
其他非流动负债
----
----
----
----
----
----
44,461.11%802.1万
44,461.11%802.1万
27,622.22%499万
----
非流动负债总额
158.74%1.77亿
126.05%1.68亿
126.05%1.68亿
141.54%1.47亿
120.94%1.31亿
-7.26%6,843.6万
-3.07%7,451.4万
-3.07%7,451.4万
-11.98%6,071.4万
-0.01%5,945.5万
总负债
16.76%79.39亿
14.52%82.52亿
14.52%82.52亿
17.90%74.55亿
17.41%73.4亿
10.85%67.99亿
8.86%72.06亿
8.86%72.06亿
13.33%63.23亿
9.32%62.51亿
所有者权益
股本
3.75%415.3万
3.99%411.8万
3.99%411.8万
4.45%408万
5.69%404.8万
6.10%400.3万
7.40%396万
7.40%396万
6.75%390.6万
5.45%383万
-普通股股本
3.75%415.3万
3.99%411.8万
3.99%411.8万
4.45%408万
5.69%404.8万
6.10%400.3万
7.40%396万
7.40%396万
6.75%390.6万
5.45%383万
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
57.04%1.99亿
69.07%1.79亿
69.07%1.79亿
82.45%1.6亿
216.05%1.46亿
818.45%1.27亿
797.33%1.06亿
797.33%1.06亿
307.92%8,777.7万
183.94%4,620.3万
资本公积
9.35%9.13亿
9.14%8.96亿
9.14%8.96亿
9.21%8.76亿
11.07%8.6亿
10.97%8.35亿
12.05%8.21亿
12.05%8.21亿
12.68%8.02亿
10.99%7.74亿
减:库存股
110.48%4.43亿
90.41%3.69亿
90.41%3.69亿
63.58%2.88亿
57.35%2.43亿
94.92%2.11亿
240.25%1.94亿
240.25%1.94亿
406.47%1.76亿
684.24%1.55亿
不影响留存收益的损益
-240.35%-1,313.4万
50.22%-627.7万
50.22%-627.7万
-112.00%-126.6万
2,998.67%464.8万
-2,489.93%-385.9万
-7,064.20%-1,260.9万
-7,064.20%-1,260.9万
6,092.61%1,054.7万
185.23%15万
股东权益总额
-12.21%6.59亿
-2.81%7.04亿
-2.81%7.04亿
3.11%7.5亿
15.17%7.71亿
13.48%7.51亿
9.11%7.25亿
9.11%7.25亿
14.09%7.28亿
6.94%6.69亿
总权益
-12.21%6.59亿
-2.81%7.04亿
-2.81%7.04亿
3.11%7.5亿
15.17%7.71亿
13.48%7.51亿
9.11%7.25亿
9.11%7.25亿
14.09%7.28亿
6.94%6.69亿
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
--
--
--
(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 -35.25%3.39亿-16.47%4.16亿-16.47%4.16亿-10.24%4.79亿-13.65%4.97亿-10.73%5.24亿-19.38%4.97亿-19.38%4.97亿-9.55%5.34亿-0.92%5.76亿
-现金和现金等价物 -35.25%3.39亿-16.47%4.16亿-16.47%4.16亿-10.24%4.79亿-13.65%4.97亿-10.73%5.24亿-19.38%4.97亿-19.38%4.97亿-9.55%5.34亿-0.92%5.76亿
应收款项 15.76%8,223万5.31%9,776.7万5.31%9,776.7万-3.44%8,940.9万-0.02%6,866.6万4.79%7,103.2万39.98%9,283.3万39.98%9,283.3万42.50%9,259.3万16.40%6,867.7万
-应收账款 34.66%1,263.4万-12.78%1,041.2万-12.78%1,041.2万6.08%1,435.1万111.73%1,390.4万29.87%938.2万49.59%1,193.7万49.59%1,193.7万126.62%1,352.9万-41.68%656.7万
-其他应收款 12.89%6,959.6万7.98%8,735.5万7.98%8,735.5万-5.07%7,505.8万-11.83%5,476.2万1.80%6,165万38.67%8,089.6万38.67%8,089.6万33.99%7,906.4万30.10%6,211万
预付费用 -8.76%3,817.3万-40.59%3,261.7万-40.59%3,261.7万-22.65%3,846.6万13.06%4,231.7万43.56%4,183.7万121.46%5,490.5万121.46%5,490.5万68.52%4,972.7万35.92%3,743万
受限制现金 19.57%72.5亿17.14%75.51亿17.14%75.51亿21.84%67.82亿9.01%65.92亿2.27%60.63亿0.75%64.46亿0.75%64.46亿3.58%55.66亿9.20%60.48亿
其他流动资产 -3.27%1,195.3万56.50%1,151.2万56.50%1,151.2万33.71%873万95.27%651.8万299.39%1,235.7万142.29%735.6万142.29%735.6万125.68%652.9万14.16%333.8万
流动资产合计 15.06%77.23亿14.24%81.11亿14.24%81.11亿18.44%74.01亿7.12%72.13亿1.46%67.13亿-0.13%71亿-0.13%71亿3.10%62.49亿8.44%67.33亿
非流动资产
固定资产净额 178.80%1.03亿167.07%9,469.4万167.07%9,469.4万92.29%6,932.9万66.66%6,266.4万-0.92%3,711.9万-12.14%3,545.6万-12.14%3,545.6万37.98%3,605.4万43.07%3,760万
-固定资产 75.32%1.42亿74.89%1.36亿74.89%1.36亿50.39%1.16亿37.45%1.09亿5.33%8,127.4万-2.66%7,753.8万-2.66%7,753.8万21.34%7,711.2万23.48%7,939万
-累计折旧 11.67%-3,900.1万2.79%-4,090.9万2.79%-4,090.9万-13.59%-4,663.8万-11.16%-4,645.4万-11.22%-4,415.5万-7.06%-4,208.2万-7.06%-4,208.2万-9.73%-4,105.8万-9.93%-4,179万
商誉及其他无形资产 64.77%3.01亿58.64%2.86亿58.64%2.86亿61.17%2.84亿159.69%2.82亿77.94%1.82亿87.38%1.8亿87.38%1.8亿93.93%1.76亿39.43%1.08亿
-商誉 10.80%8,618.8万0.00%7,778.5万0.00%7,778.5万2.22%7,778.5万291.10%7,778.5万291.10%7,778.5万291.10%7,778.5万291.10%7,778.5万282.59%7,609.4万0.00%1,988.9万
-其他无形资产 104.88%2.14亿103.20%2.08亿103.20%2.08亿106.07%2.06亿130.19%2.04亿26.65%1.05亿34.25%1.02亿34.25%1.02亿40.98%9,991.5万52.97%8,859.7万
非流动递延资产 46.09%6,026.1万37.03%5,689.8万37.03%5,689.8万68.83%4,989.8万134.34%4,464.4万147.18%4,124.9万171.55%4,152.3万171.55%4,152.3万82.52%2,955.6万36.06%1,905.1万
确认的养老福利金 17.16%86.7万13.08%85.6万13.08%85.6万-1.81%81.3万-2.57%79.7万-9.87%74万-9.88%75.7万-9.88%75.7万-12.29%82.8万-15.67%81.8万
其他非流动资产 -28.92%4.09亿-28.88%4.07亿-28.88%4.07亿-28.44%4亿2,271.49%5.08亿2,537.68%5.76亿2,532.84%5.73亿2,532.84%5.73亿2,392.04%5.59亿35.06%2,142.4万
非流动资产合计 4.44%8.75亿1.80%8.46亿1.80%8.46亿0.27%8.04亿379.19%8.98亿366.91%8.37亿376.35%8.31亿376.35%8.31亿412.47%8.02亿38.88%1.87亿
总资产 13.88%85.98亿12.94%89.57亿12.94%89.57亿16.37%82.05亿17.20%81.1亿11.11%75.5亿8.89%79.3亿8.89%79.3亿13.40%70.51亿9.09%69.2亿
负债
流动负债
应付款项 14.44%7,289.1万19.20%7,748.2万19.20%7,748.2万9.63%7,685.8万16.22%7,470.1万-13.28%6,369.6万1.43%6,500.2万1.43%6,500.2万5.35%7,010.8万-3.27%6,427.4万
-应付账款 27.13%4,181.1万19.59%4,461.1万19.59%4,461.1万-12.06%3,967.6万8.73%4,237.5万-6.82%3,288.9万9.90%3,730.2万9.90%3,730.2万26.78%4,511.8万33.61%3,897.4万
-应付税费 27.03%970.9万6.67%401.4万6.67%401.4万1.17%277.8万177.60%275.1万-42.41%764.3万56.14%376.3万56.14%376.3万-41.62%274.6万-90.97%99.1万
-其他应付款 -7.74%2,137.1万20.55%2,885.7万20.55%2,885.7万54.67%3,440.4万21.66%2,957.5万-6.92%2,316.4万-13.68%2,393.7万-13.68%2,393.7万-15.27%2,224.4万-7.58%2,430.9万
应计费用 15.19%1,624.4万18.53%1,742.8万18.53%1,742.8万6.63%1,507.8万26.66%1,357万46.10%1,410.2万18.98%1,470.4万18.98%1,470.4万44.02%1,414.1万2.37%1,071.4万
短期借款与租赁负债 -4.69%687万26.40%724.9万26.40%724.9万-67.19%655.5万-69.95%656.7万13.46%720.8万-20.03%573.5万-20.03%573.5万158.40%1,997.7万166.41%2,185.1万
-短期借款 ----------------------------------1,321.9万--1,498.4万
-短期租赁负债 -4.69%687万26.40%724.9万26.40%724.9万-3.00%655.5万-4.37%656.7万13.46%720.8万-20.03%573.5万-20.03%573.5万-12.59%675.8万-16.28%686.7万
递延负债 15.60%76.05亿13.36%78.95亿13.36%78.95亿17.11%71.27亿16.57%70.38亿11.10%65.78亿8.98%69.64亿8.98%69.64亿13.32%60.86亿9.20%60.37亿
其他流动负债 ------845.3万--845.3万1,671.31%827.2万1,271.28%911.9万10,625.00%900.9万----------46.7万--66.5万
流动负债总额 15.32%77.62亿13.36%80.84亿13.36%80.84亿16.70%73.08亿16.42%72.08亿11.07%67.31亿9.00%71.31亿9.00%71.31亿13.64%62.63亿9.42%61.91亿
非流动负债
长期借款与租赁负债 398.33%7,315.5万316.01%6,508.4万316.01%6,508.4万189.78%4,787.1万132.32%3,931.5万-52.69%1,468万-56.84%1,564.5万-56.84%1,564.5万-16.68%1,652万-13.04%1,692.3万
-长期租赁负债 398.33%7,315.5万316.01%6,508.4万316.01%6,508.4万189.78%4,787.1万132.32%3,931.5万-11.57%1,468万-12.28%1,564.5万-12.28%1,564.5万310.43%1,652万342.89%1,692.3万
递延负债 95.66%1.01亿105.83%1亿105.83%1亿160.71%9,646.7万158.57%8,983.9万52.49%5,172.8万62.70%4,880.3万62.70%4,880.3万42.28%3,700.2万37.41%3,474.4万
员工福利 33.33%270.4万42.10%290.6万42.10%290.6万5.00%231.2万10.15%220.3万0.20%202.8万-0.54%204.5万-0.54%204.5万-19.96%220.2万-5.48%200万
衍生品负债 --------------------------0--0--0-53.99%578.8万
其他非流动负债 ------------------------44,461.11%802.1万44,461.11%802.1万27,622.22%499万----
非流动负债总额 158.74%1.77亿126.05%1.68亿126.05%1.68亿141.54%1.47亿120.94%1.31亿-7.26%6,843.6万-3.07%7,451.4万-3.07%7,451.4万-11.98%6,071.4万-0.01%5,945.5万
总负债 16.76%79.39亿14.52%82.52亿14.52%82.52亿17.90%74.55亿17.41%73.4亿10.85%67.99亿8.86%72.06亿8.86%72.06亿13.33%63.23亿9.32%62.51亿
所有者权益
股本 3.75%415.3万3.99%411.8万3.99%411.8万4.45%408万5.69%404.8万6.10%400.3万7.40%396万7.40%396万6.75%390.6万5.45%383万
-普通股股本 3.75%415.3万3.99%411.8万3.99%411.8万4.45%408万5.69%404.8万6.10%400.3万7.40%396万7.40%396万6.75%390.6万5.45%383万
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 57.04%1.99亿69.07%1.79亿69.07%1.79亿82.45%1.6亿216.05%1.46亿818.45%1.27亿797.33%1.06亿797.33%1.06亿307.92%8,777.7万183.94%4,620.3万
资本公积 9.35%9.13亿9.14%8.96亿9.14%8.96亿9.21%8.76亿11.07%8.6亿10.97%8.35亿12.05%8.21亿12.05%8.21亿12.68%8.02亿10.99%7.74亿
减:库存股 110.48%4.43亿90.41%3.69亿90.41%3.69亿63.58%2.88亿57.35%2.43亿94.92%2.11亿240.25%1.94亿240.25%1.94亿406.47%1.76亿684.24%1.55亿
不影响留存收益的损益 -240.35%-1,313.4万50.22%-627.7万50.22%-627.7万-112.00%-126.6万2,998.67%464.8万-2,489.93%-385.9万-7,064.20%-1,260.9万-7,064.20%-1,260.9万6,092.61%1,054.7万185.23%15万
股东权益总额 -12.21%6.59亿-2.81%7.04亿-2.81%7.04亿3.11%7.5亿15.17%7.71亿13.48%7.51亿9.11%7.25亿9.11%7.25亿14.09%7.28亿6.94%6.69亿
总权益 -12.21%6.59亿-2.81%7.04亿-2.81%7.04亿3.11%7.5亿15.17%7.71亿13.48%7.51亿9.11%7.25亿9.11%7.25亿14.09%7.28亿6.94%6.69亿
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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--------无保留意见------
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