美股市场个股详情

Q2 Holdings (QTWO)

添加自选
  • 68.490
  • +2.950+4.50%
收盘价 01/22 16:00 (美东)
42.83亿总市值136.98市盈率TTM

Q2 Holdings (QTWO) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
资产
流动资产
现金及现金等价物和短期投资
39.45%5.69亿
43.01%5.32亿
43.61%4.86亿
37.84%4.47亿
37.84%4.47亿
40.26%4.08亿
32.87%3.72亿
24.56%3.38亿
-25.23%3.24亿
-25.23%3.24亿
-现金和现金等价物
47.49%4.72亿
36.35%4.14亿
39.84%3.84亿
56.13%3.59亿
56.13%3.59亿
105.33%3.2亿
156.98%3.04亿
126.40%2.75亿
15.06%2.3亿
15.06%2.3亿
-短期投资
10.03%9,634.1万
72.65%1.18亿
59.76%1.02亿
-6.66%8,806.6万
-6.66%8,806.6万
-35.04%8,755.8万
-57.83%6,822.7万
-57.51%6,393.9万
-59.64%9,435.3万
-59.64%9,435.3万
应收款项
16.82%7,611.3万
0.21%6,835.6万
9.70%6,896.7万
-4.07%4,997.2万
-4.07%4,997.2万
17.82%6,515.2万
36.34%6,821.1万
26.70%6,287.1万
-6.38%5,209.2万
-6.38%5,209.2万
-应收账款
20.64%6,987.7万
1.49%6,032.3万
15.30%6,259.7万
-1.90%4,208.4万
-1.90%4,208.4万
30.31%5,792.4万
53.69%5,943.5万
36.37%5,429.2万
-8.21%4,289.9万
-8.21%4,289.9万
-其他应收款
-13.72%623.6万
-8.47%803.3万
-25.75%637万
-14.20%788.8万
-14.20%788.8万
-33.35%722.8万
-22.74%877.6万
-12.57%857.9万
3.19%919.3万
3.19%919.3万
受限制现金
15.37%213.9万
-30.79%174.2万
-63.00%157.5万
-43.85%223.3万
-43.85%223.3万
-10.39%185.4万
9.53%251.7万
87.29%425.7万
72.76%397.7万
72.76%397.7万
递延资产
17.54%3,987.3万
3.29%3,725.5万
8.26%4,045.5万
0.15%3,631.7万
0.15%3,631.7万
0.02%3,392.2万
3.30%3,607万
3.76%3,736.7万
25.28%3,626.2万
25.28%3,626.2万
其他流动资产
16.22%2,040.7万
62.11%2,032.1万
39.81%2,172.9万
102.25%2,351.2万
102.25%2,351.2万
20.00%1,755.9万
4.90%1,253.5万
0.45%1,554.2万
7.32%1,162.5万
7.32%1,162.5万
流动资产合计
34.37%7.07亿
34.26%6.6亿
34.96%6.19亿
30.54%5.59亿
30.54%5.59亿
32.68%5.26亿
29.58%4.91亿
22.23%4.58亿
-19.42%4.28亿
-19.42%4.28亿
非流动资产
固定资产净额
-18.44%5,325.9万
-17.85%5,660.5万
-21.81%5,694.5万
-19.18%6,193万
-19.18%6,193万
-17.25%6,530.3万
-18.01%6,890.2万
-19.38%7,282.8万
-20.62%7,663.1万
-20.62%7,663.1万
-固定资产
-18.44%5,325.9万
-17.85%5,660.5万
-21.81%5,694.5万
-0.75%1.53亿
-0.75%1.53亿
-17.25%6,530.3万
-18.01%6,890.2万
-19.38%7,282.8万
-2.22%1.54亿
-2.22%1.54亿
-累计折旧
----
----
----
-17.59%-9,060.5万
-17.59%-9,060.5万
----
----
----
-27.05%-7,705.3万
-27.05%-7,705.3万
商誉及其他无形资产
-3.07%5.95亿
-3.48%6亿
-3.94%6.03亿
-4.25%6.08亿
-4.25%6.08亿
-4.24%6.14亿
-4.06%6.21亿
-3.79%6.28亿
-3.66%6.34亿
-3.66%6.34亿
-商誉
0.00%5.13亿
0.00%5.13亿
0.00%5.13亿
0.00%5.13亿
0.00%5.13亿
0.00%5.13亿
0.00%5.13亿
0.00%5.13亿
0.00%5.13亿
0.00%5.13亿
-其他无形资产
-18.62%8,231.7万
-19.96%8,676.9万
-21.45%9,052.9万
-22.16%9,463.3万
-22.16%9,463.3万
-21.20%1.01亿
-19.52%1.08亿
-17.66%1.15亿
-16.55%1.22亿
-16.55%1.22亿
长期应收款
22.73%1,236.1万
0.52%1,129.6万
6.50%1,246.3万
-22.33%948.3万
-22.33%948.3万
-6.94%1,007.2万
-2.88%1,123.8万
-20.19%1,170.2万
-24.56%1,221万
-24.56%1,221万
非流动递延资产
4.75%5,613.7万
4.86%5,583.4万
3.09%5,570.3万
14.62%5,452.4万
14.62%5,452.4万
11.29%5,359.3万
10.17%5,324.5万
9.47%5,403.3万
5.42%4,757万
5.42%4,757万
其他非流动资产
-28.64%249.2万
-23.15%229.4万
-19.83%257.2万
3.33%269.6万
3.33%269.6万
1.66%349.2万
50.23%298.5万
53.57%320.8万
15.49%260.9万
15.49%260.9万
非流动资产合计
-3.62%7.19亿
-4.22%7.26亿
-5.04%7.31亿
-4.83%7.36亿
-4.83%7.36亿
-4.61%7.46亿
-4.52%7.58亿
-4.87%7.7亿
-5.52%7.73亿
-5.52%7.73亿
总资产
12.09%14.27亿
10.92%13.85亿
9.89%13.5亿
7.77%12.95亿
7.77%12.95亿
7.93%12.73亿
6.51%12.49亿
3.71%12.28亿
-10.99%12.01亿
-10.99%12.01亿
负债
流动负债
应付款项
-38.53%813.2万
-56.94%613.6万
15.72%1,458万
-51.67%935.4万
-51.67%935.4万
-12.46%1,323万
0.78%1,424.9万
-9.40%1,259.9万
92.47%1,935.3万
92.47%1,935.3万
-应付账款
-38.53%813.2万
-56.94%613.6万
15.72%1,458万
-51.67%935.4万
-51.67%935.4万
-12.46%1,323万
0.78%1,424.9万
-9.40%1,259.9万
92.47%1,935.3万
92.47%1,935.3万
应计费用
36.59%2,679.3万
-1.37%2,006.1万
4.41%2,425万
16.58%1,637.1万
16.58%1,637.1万
11.41%1,961.5万
27.79%2,033.9万
15.95%2,322.6万
-24.08%1,404.3万
-24.08%1,404.3万
短期借款与租赁负债
4,564.51%5.03亿
4,514.96%5.03亿
1,787.09%2.01亿
1,474.36%2.03亿
1,474.36%2.03亿
18.88%1,078.4万
18.30%1,089.5万
15.18%1,063万
-42.98%1,286.4万
-42.98%1,286.4万
-短期借款
--4.94亿
--4.93亿
--1.91亿
--1.9亿
--1.9亿
----
----
----
----
----
-短期租赁负债
-15.73%908.8万
-14.07%936.2万
-5.14%1,008.4万
-5.20%1,219.5万
-5.20%1,219.5万
18.88%1,078.4万
18.30%1,089.5万
15.18%1,063万
10.34%1,286.4万
10.34%1,286.4万
递延负债
20.54%1.7亿
33.55%1.79亿
31.50%1.74亿
15.98%1.38亿
15.98%1.38亿
22.02%1.41亿
20.54%1.34亿
8.46%1.32亿
1.07%1.19亿
1.07%1.19亿
流动负债总额
247.08%7.32亿
263.95%7.32亿
124.32%4.32亿
108.23%3.99亿
108.23%3.99亿
19.71%2.11亿
19.13%2.01亿
8.90%1.93亿
-0.25%1.92亿
-0.25%1.92亿
非流动负债
长期借款与租赁负债
-93.21%3,606.3万
-93.15%3,652.4万
-36.78%3.38亿
-36.49%3.4亿
-36.49%3.4亿
-1.03%5.31亿
-0.92%5.33亿
-0.84%5.35亿
-24.58%5.36亿
-24.58%5.36亿
-长期借款
----
----
-38.40%3.02亿
-38.40%3.02亿
-38.40%3.02亿
0.40%4.92亿
0.41%4.91亿
0.41%4.91亿
-25.44%4.9亿
-25.44%4.9亿
-长期租赁负债
-8.37%3,606.3万
-12.56%3,652.4万
-18.93%3,601.9万
-15.89%3,834.6万
-15.89%3,834.6万
-16.07%3,935.7万
-14.22%4,177.1万
-12.77%4,442.9万
-13.97%4,558.8万
-13.97%4,558.8万
递延负债
13.11%2,864.5万
3.91%2,528.5万
0.48%2,698.1万
57.24%2,728.1万
57.24%2,728.1万
41.22%2,532.4万
23.64%2,433.4万
15.19%2,685.1万
-20.01%1,735万
-20.01%1,735万
其他非流动负债
-27.32%745.8万
-27.16%698.8万
-20.12%680.9万
29.77%1,035.7万
29.77%1,035.7万
39.83%1,026.2万
111.79%959.4万
64.91%852.4万
28.95%798.1万
28.95%798.1万
非流动负债总额
-87.27%7,216.6万
-87.87%6,879.7万
-34.78%3.72亿
-32.65%3.78亿
-32.65%3.78亿
0.85%5.67亿
0.85%5.67亿
0.42%5.71亿
-24.00%5.61亿
-24.00%5.61亿
总负债
3.36%8.04亿
4.26%8.01亿
5.37%8.04亿
3.19%7.77亿
3.19%7.77亿
5.35%7.78亿
5.07%7.68亿
2.43%7.63亿
-19.10%7.53亿
-19.10%7.53亿
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
4.78%-6.33亿
0.75%-6.48亿
-3.12%-6.59亿
-6.16%-6.64亿
-6.16%-6.64亿
-9.34%-6.64亿
-11.66%-6.53亿
-14.03%-6.4亿
-11.67%-6.26亿
-11.67%-6.26亿
资本公积
8.39%12.57亿
8.73%12.33亿
9.12%12.07亿
10.10%11.84亿
10.10%11.84亿
10.42%11.6亿
10.38%11.34亿
10.37%11.06亿
9.47%10.75亿
9.47%10.75亿
不影响留存收益的损益
-212.98%-185.6万
-19.24%-143.8万
-31.70%-172万
-68.59%-187.3万
-68.59%-187.3万
70.26%-59.3万
38.06%-120.6万
33.13%-130.6万
62.62%-111.1万
62.62%-111.1万
股东权益总额
25.81%6.23亿
21.57%5.84亿
17.31%5.45亿
15.46%5.18亿
15.46%5.18亿
12.26%4.95亿
8.89%4.81亿
5.89%4.65亿
7.03%4.48亿
7.03%4.48亿
总权益
25.81%6.23亿
21.57%5.84亿
17.31%5.45亿
15.46%5.18亿
15.46%5.18亿
12.26%4.95亿
8.89%4.81亿
5.89%4.65亿
7.03%4.48亿
7.03%4.48亿
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)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31
资产
流动资产
现金及现金等价物和短期投资 39.45%5.69亿43.01%5.32亿43.61%4.86亿37.84%4.47亿37.84%4.47亿40.26%4.08亿32.87%3.72亿24.56%3.38亿-25.23%3.24亿-25.23%3.24亿
-现金和现金等价物 47.49%4.72亿36.35%4.14亿39.84%3.84亿56.13%3.59亿56.13%3.59亿105.33%3.2亿156.98%3.04亿126.40%2.75亿15.06%2.3亿15.06%2.3亿
-短期投资 10.03%9,634.1万72.65%1.18亿59.76%1.02亿-6.66%8,806.6万-6.66%8,806.6万-35.04%8,755.8万-57.83%6,822.7万-57.51%6,393.9万-59.64%9,435.3万-59.64%9,435.3万
应收款项 16.82%7,611.3万0.21%6,835.6万9.70%6,896.7万-4.07%4,997.2万-4.07%4,997.2万17.82%6,515.2万36.34%6,821.1万26.70%6,287.1万-6.38%5,209.2万-6.38%5,209.2万
-应收账款 20.64%6,987.7万1.49%6,032.3万15.30%6,259.7万-1.90%4,208.4万-1.90%4,208.4万30.31%5,792.4万53.69%5,943.5万36.37%5,429.2万-8.21%4,289.9万-8.21%4,289.9万
-其他应收款 -13.72%623.6万-8.47%803.3万-25.75%637万-14.20%788.8万-14.20%788.8万-33.35%722.8万-22.74%877.6万-12.57%857.9万3.19%919.3万3.19%919.3万
受限制现金 15.37%213.9万-30.79%174.2万-63.00%157.5万-43.85%223.3万-43.85%223.3万-10.39%185.4万9.53%251.7万87.29%425.7万72.76%397.7万72.76%397.7万
递延资产 17.54%3,987.3万3.29%3,725.5万8.26%4,045.5万0.15%3,631.7万0.15%3,631.7万0.02%3,392.2万3.30%3,607万3.76%3,736.7万25.28%3,626.2万25.28%3,626.2万
其他流动资产 16.22%2,040.7万62.11%2,032.1万39.81%2,172.9万102.25%2,351.2万102.25%2,351.2万20.00%1,755.9万4.90%1,253.5万0.45%1,554.2万7.32%1,162.5万7.32%1,162.5万
流动资产合计 34.37%7.07亿34.26%6.6亿34.96%6.19亿30.54%5.59亿30.54%5.59亿32.68%5.26亿29.58%4.91亿22.23%4.58亿-19.42%4.28亿-19.42%4.28亿
非流动资产
固定资产净额 -18.44%5,325.9万-17.85%5,660.5万-21.81%5,694.5万-19.18%6,193万-19.18%6,193万-17.25%6,530.3万-18.01%6,890.2万-19.38%7,282.8万-20.62%7,663.1万-20.62%7,663.1万
-固定资产 -18.44%5,325.9万-17.85%5,660.5万-21.81%5,694.5万-0.75%1.53亿-0.75%1.53亿-17.25%6,530.3万-18.01%6,890.2万-19.38%7,282.8万-2.22%1.54亿-2.22%1.54亿
-累计折旧 -------------17.59%-9,060.5万-17.59%-9,060.5万-------------27.05%-7,705.3万-27.05%-7,705.3万
商誉及其他无形资产 -3.07%5.95亿-3.48%6亿-3.94%6.03亿-4.25%6.08亿-4.25%6.08亿-4.24%6.14亿-4.06%6.21亿-3.79%6.28亿-3.66%6.34亿-3.66%6.34亿
-商誉 0.00%5.13亿0.00%5.13亿0.00%5.13亿0.00%5.13亿0.00%5.13亿0.00%5.13亿0.00%5.13亿0.00%5.13亿0.00%5.13亿0.00%5.13亿
-其他无形资产 -18.62%8,231.7万-19.96%8,676.9万-21.45%9,052.9万-22.16%9,463.3万-22.16%9,463.3万-21.20%1.01亿-19.52%1.08亿-17.66%1.15亿-16.55%1.22亿-16.55%1.22亿
长期应收款 22.73%1,236.1万0.52%1,129.6万6.50%1,246.3万-22.33%948.3万-22.33%948.3万-6.94%1,007.2万-2.88%1,123.8万-20.19%1,170.2万-24.56%1,221万-24.56%1,221万
非流动递延资产 4.75%5,613.7万4.86%5,583.4万3.09%5,570.3万14.62%5,452.4万14.62%5,452.4万11.29%5,359.3万10.17%5,324.5万9.47%5,403.3万5.42%4,757万5.42%4,757万
其他非流动资产 -28.64%249.2万-23.15%229.4万-19.83%257.2万3.33%269.6万3.33%269.6万1.66%349.2万50.23%298.5万53.57%320.8万15.49%260.9万15.49%260.9万
非流动资产合计 -3.62%7.19亿-4.22%7.26亿-5.04%7.31亿-4.83%7.36亿-4.83%7.36亿-4.61%7.46亿-4.52%7.58亿-4.87%7.7亿-5.52%7.73亿-5.52%7.73亿
总资产 12.09%14.27亿10.92%13.85亿9.89%13.5亿7.77%12.95亿7.77%12.95亿7.93%12.73亿6.51%12.49亿3.71%12.28亿-10.99%12.01亿-10.99%12.01亿
负债
流动负债
应付款项 -38.53%813.2万-56.94%613.6万15.72%1,458万-51.67%935.4万-51.67%935.4万-12.46%1,323万0.78%1,424.9万-9.40%1,259.9万92.47%1,935.3万92.47%1,935.3万
-应付账款 -38.53%813.2万-56.94%613.6万15.72%1,458万-51.67%935.4万-51.67%935.4万-12.46%1,323万0.78%1,424.9万-9.40%1,259.9万92.47%1,935.3万92.47%1,935.3万
应计费用 36.59%2,679.3万-1.37%2,006.1万4.41%2,425万16.58%1,637.1万16.58%1,637.1万11.41%1,961.5万27.79%2,033.9万15.95%2,322.6万-24.08%1,404.3万-24.08%1,404.3万
短期借款与租赁负债 4,564.51%5.03亿4,514.96%5.03亿1,787.09%2.01亿1,474.36%2.03亿1,474.36%2.03亿18.88%1,078.4万18.30%1,089.5万15.18%1,063万-42.98%1,286.4万-42.98%1,286.4万
-短期借款 --4.94亿--4.93亿--1.91亿--1.9亿--1.9亿--------------------
-短期租赁负债 -15.73%908.8万-14.07%936.2万-5.14%1,008.4万-5.20%1,219.5万-5.20%1,219.5万18.88%1,078.4万18.30%1,089.5万15.18%1,063万10.34%1,286.4万10.34%1,286.4万
递延负债 20.54%1.7亿33.55%1.79亿31.50%1.74亿15.98%1.38亿15.98%1.38亿22.02%1.41亿20.54%1.34亿8.46%1.32亿1.07%1.19亿1.07%1.19亿
流动负债总额 247.08%7.32亿263.95%7.32亿124.32%4.32亿108.23%3.99亿108.23%3.99亿19.71%2.11亿19.13%2.01亿8.90%1.93亿-0.25%1.92亿-0.25%1.92亿
非流动负债
长期借款与租赁负债 -93.21%3,606.3万-93.15%3,652.4万-36.78%3.38亿-36.49%3.4亿-36.49%3.4亿-1.03%5.31亿-0.92%5.33亿-0.84%5.35亿-24.58%5.36亿-24.58%5.36亿
-长期借款 ---------38.40%3.02亿-38.40%3.02亿-38.40%3.02亿0.40%4.92亿0.41%4.91亿0.41%4.91亿-25.44%4.9亿-25.44%4.9亿
-长期租赁负债 -8.37%3,606.3万-12.56%3,652.4万-18.93%3,601.9万-15.89%3,834.6万-15.89%3,834.6万-16.07%3,935.7万-14.22%4,177.1万-12.77%4,442.9万-13.97%4,558.8万-13.97%4,558.8万
递延负债 13.11%2,864.5万3.91%2,528.5万0.48%2,698.1万57.24%2,728.1万57.24%2,728.1万41.22%2,532.4万23.64%2,433.4万15.19%2,685.1万-20.01%1,735万-20.01%1,735万
其他非流动负债 -27.32%745.8万-27.16%698.8万-20.12%680.9万29.77%1,035.7万29.77%1,035.7万39.83%1,026.2万111.79%959.4万64.91%852.4万28.95%798.1万28.95%798.1万
非流动负债总额 -87.27%7,216.6万-87.87%6,879.7万-34.78%3.72亿-32.65%3.78亿-32.65%3.78亿0.85%5.67亿0.85%5.67亿0.42%5.71亿-24.00%5.61亿-24.00%5.61亿
总负债 3.36%8.04亿4.26%8.01亿5.37%8.04亿3.19%7.77亿3.19%7.77亿5.35%7.78亿5.07%7.68亿2.43%7.63亿-19.10%7.53亿-19.10%7.53亿
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 4.78%-6.33亿0.75%-6.48亿-3.12%-6.59亿-6.16%-6.64亿-6.16%-6.64亿-9.34%-6.64亿-11.66%-6.53亿-14.03%-6.4亿-11.67%-6.26亿-11.67%-6.26亿
资本公积 8.39%12.57亿8.73%12.33亿9.12%12.07亿10.10%11.84亿10.10%11.84亿10.42%11.6亿10.38%11.34亿10.37%11.06亿9.47%10.75亿9.47%10.75亿
不影响留存收益的损益 -212.98%-185.6万-19.24%-143.8万-31.70%-172万-68.59%-187.3万-68.59%-187.3万70.26%-59.3万38.06%-120.6万33.13%-130.6万62.62%-111.1万62.62%-111.1万
股东权益总额 25.81%6.23亿21.57%5.84亿17.31%5.45亿15.46%5.18亿15.46%5.18亿12.26%4.95亿8.89%4.81亿5.89%4.65亿7.03%4.48亿7.03%4.48亿
总权益 25.81%6.23亿21.57%5.84亿17.31%5.45亿15.46%5.18亿15.46%5.18亿12.26%4.95亿8.89%4.81亿5.89%4.65亿7.03%4.48亿7.03%4.48亿
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-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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