美股市场个股详情

TPCS TechPrecision

添加自选
  • 3.700
  • -0.130-3.39%
收盘价 05/28 16:00 (美东)
3366.05万总市值-11111市盈率TTM

TechPrecision关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2023/12/31
(Q2)2023/09/30
(Q1)2023/06/30
(FY)2023/03/31
(Q4)2023/03/31
(Q3)2022/12/31
(Q2)2022/09/30
(Q1)2022/06/30
(FY)2022/03/31
(Q4)2022/03/31
资产
流动资产
现金及现金等价物和短期投资
23.74%39.12万
-41.28%13.82万
-52.60%27.19万
-49.20%53.45万
-49.20%53.45万
-43.79%31.62万
-16.33%23.54万
-74.35%57.36万
-50.62%105.21万
-50.62%105.21万
-现金和现金等价物
23.74%39.12万
-41.28%13.82万
-52.60%27.19万
-49.20%53.45万
-49.20%53.45万
-43.79%31.62万
-16.33%23.54万
-74.35%57.36万
-50.62%105.21万
-50.62%105.21万
应收款项
-14.00%1,056.42万
-1.27%1,111.73万
2.71%1,161.7万
-0.66%1,128.43万
-0.66%1,128.43万
-3.01%1,228.36万
-5.82%1,126.05万
89.41%1,131万
84.99%1,135.95万
84.99%1,135.95万
-应收账款
-25.12%219.21万
48.04%302.07万
18.28%296.57万
-22.36%233.65万
-22.36%233.65万
20.46%292.74万
-22.98%204.04万
117.01%250.74万
394.89%300.92万
394.89%300.92万
-其他应收款
-10.52%837.22万
-12.19%809.66万
-1.72%865.13万
7.16%894.78万
7.16%894.78万
-8.58%935.62万
-0.93%922.01万
82.79%880.26万
50.93%835.02万
50.93%835.02万
存货
58.83%364.05万
10.94%279.19万
-15.43%245.25万
7.96%241.26万
7.96%241.26万
33.23%229.21万
48.69%251.66万
180.96%289.99万
75.80%223.47万
75.80%223.47万
预付费用
80.56%65.36万
20.90%46.62万
-14.81%32.45万
6.46%34.9万
6.46%34.9万
-21.68%36.2万
-36.11%38.56万
2.58%38.09万
-13.61%32.78万
-13.61%32.78万
其他流动资产
----
----
----
----
----
11,775.26%62.4万
7,689.85%62.4万
7,527.59%34.72万
--109.37万
--109.37万
流动资产合计
-3.96%1,524.96万
-3.38%1,451.37万
-5.45%1,466.59万
-9.26%1,458.03万
-9.26%1,458.03万
3.00%1,587.8万
3.30%1,502.22万
61.32%1,551.16万
61.94%1,606.78万
61.94%1,606.78万
非流动资产
固定资产净额
10.15%2,057.93万
11.46%2,108.68万
8.95%2,086.92万
0.20%1,957.5万
0.20%1,957.5万
0.46%1,868.31万
-0.36%1,891.95万
393.09%1,915.54万
380.82%1,953.68万
380.82%1,953.68万
-固定资产
8.17%3,442.83万
9.45%3,451.31万
10.51%3,390.76万
5.19%3,223.33万
5.19%3,223.33万
8.31%3,182.81万
7.01%3,153.43万
117.53%3,068.34万
117.32%3,064.38万
117.32%3,064.38万
-累计折旧
-5.36%-1,384.89万
-6.43%-1,342.63万
-13.10%-1,303.84万
-13.97%-1,265.84万
-13.97%-1,265.84万
-21.84%-1,314.5万
-20.37%-1,261.48万
-12.79%-1,152.8万
-10.65%-1,110.7万
-10.65%-1,110.7万
非流动递延资产
17.78%249.45万
4.13%225.43万
-9.69%207.76万
-9.20%193.12万
-9.20%193.12万
-8.74%211.8万
9.00%216.5万
20.58%230.05万
9.94%212.68万
9.94%212.68万
其他非流动资产
-83.31%12.13万
-82.56%12.13万
-82.17%12.13万
0.00%12.13万
0.00%12.13万
499.11%72.65万
--69.54万
723.59%68.03万
43.29%12.13万
43.29%12.13万
非流动资产合计
7.75%2,319.51万
7.72%2,346.24万
4.21%2,306.81万
-0.72%2,162.74万
-0.72%2,162.74万
-2.02%2,152.76万
-1.66%2,177.99万
276.78%2,213.61万
258.17%2,178.48万
258.17%2,178.48万
总资产
2.78%3,844.48万
3.19%3,797.61万
0.23%3,773.4万
-4.35%3,620.77万
-4.35%3,620.77万
0.05%3,740.56万
0.31%3,680.21万
143.03%3,764.77万
136.52%3,785.26万
136.52%3,785.26万
负债
流动负债
应付款项
15.92%172.71万
-56.56%160.7万
-80.96%74.39万
-35.09%222.43万
-35.09%222.43万
-42.03%149万
33.17%369.95万
2,202.03%390.81万
584.22%342.69万
584.22%342.69万
-应付账款
15.92%172.71万
-56.56%160.7万
-80.96%74.39万
-35.09%222.43万
-35.09%222.43万
-42.03%149万
33.17%369.95万
2,202.03%390.81万
584.22%342.69万
584.22%342.69万
应计费用
12.22%118.78万
12.90%119.94万
-9.88%101.64万
-20.20%91.68万
-20.20%91.68万
-11.75%105.85万
8.15%106.23万
162.27%112.78万
209.84%114.88万
209.84%114.88万
现行拨备
-6.29%49.27万
2.40%38.3万
-72.68%35.36万
-71.84%35.92万
-71.84%35.92万
34.13%52.58万
8.80%37.4万
1,273.54%129.41万
93.53%127.57万
93.53%127.57万
短期借款与租赁负债
191.75%816.23万
107.39%768万
-3.55%358.11万
-58.82%192.99万
-58.82%192.99万
-48.40%279.77万
-14.29%370.31万
51.56%371.31万
89.37%468.69万
89.37%468.69万
-短期借款
259.18%743.46万
129.63%695.84万
-7.09%286.54万
-70.24%121.82万
-70.24%121.82万
-57.61%206.99万
-20.06%303.02万
26.32%308.4万
65.38%409.31万
65.38%409.31万
-短期租赁负债
-0.02%72.77万
7.24%72.16万
13.76%71.57万
19.86%71.17万
19.86%71.17万
34.86%72.78万
26.92%67.29万
7,194.91%62.91万
--59.38万
--59.38万
递延负债
111.80%403.54万
76.08%318.07万
59.75%285.37万
32.19%233.36万
32.19%233.36万
6.27%190.53万
62.17%180.64万
317.03%178.64万
709.22%176.53万
709.22%176.53万
其他流动负债
----
----
----
----
----
----
----
--9.69万
--6.34万
--6.34万
流动负债总额
92.69%1,664.09万
30.53%1,525.35万
-24.36%973.12万
-32.25%902.1万
-32.25%902.1万
-29.89%863.62万
10.94%1,168.57万
212.67%1,286.59万
182.08%1,331.5万
182.08%1,331.5万
非流动负债
长期借款与租赁负债
-55.58%459.52万
-42.86%478.02万
10.35%956.63万
10.31%989.31万
10.31%989.31万
12.00%1,034.55万
-11.94%836.56万
29,333.83%866.89万
568.34%896.87万
568.34%896.87万
-长期借款
----
----
53.95%460.33万
52.46%474.91万
52.46%474.91万
51.49%486.36万
-14.04%286.38万
10,052.33%299.01万
132.12%311.49万
132.12%311.49万
-长期租赁负债
-16.18%459.52万
-13.12%478.02万
-12.60%496.31万
-12.13%514.4万
-12.13%514.4万
-9.04%548.19万
-10.81%550.18万
--567.88万
--585.38万
--585.38万
其他非流动负债
54.61%437.35万
241.13%442.88万
236.58%436.98万
784.87%269.95万
784.87%269.95万
--282.87万
--129.83万
--129.83万
--30.51万
--30.51万
非流动负债总额
-31.92%896.87万
-4.71%920.9万
39.82%1,393.61万
35.79%1,259.26万
35.79%1,259.26万
42.62%1,317.42万
1.72%966.39万
33,741.93%996.71万
591.07%927.38万
591.07%927.38万
总负债
17.42%2,560.96万
14.58%2,446.25万
3.65%2,366.73万
-4.32%2,161.36万
-4.32%2,161.36万
1.18%2,181.04万
6.57%2,134.96万
450.96%2,283.3万
272.62%2,258.88万
272.62%2,258.88万
所有者权益
股本
-74.56%876
-74.62%874
-74.90%861
0.35%861
0.35%861
0.47%3,444
0.53%3,444
16.31%3,430
-70.91%858
-70.91%858
-普通股股本
-74.56%876
-74.62%874
-74.90%861
0.35%861
0.35%861
0.47%3,444
0.53%3,444
16.31%3,430
-70.91%858
-70.91%858
留存收益
-452.39%-227.76万
-375.64%-141.22万
-828.07%-88.39万
-157.25%-35.64万
-157.25%-35.64万
-46.95%64.63万
-75.87%51.23万
-94.82%12.14万
-35.98%62.26万
-35.98%62.26万
资本公积
1.11%1,511.19万
-0.08%1,492.49万
1.77%1,494.97万
2.11%1,494.97万
2.11%1,494.97万
2.45%1,494.54万
2.95%1,493.67万
63.62%1,468.99万
63.68%1,464.03万
63.68%1,464.03万
不影响留存收益的损益
----
----
----
--0
--0
----
----
----
--0
--0
股东权益总额
-17.70%1,283.52万
-12.55%1,351.36万
-5.05%1,406.67万
-4.39%1,459.42万
-4.39%1,459.42万
-1.48%1,559.51万
-7.23%1,545.25万
30.57%1,481.47万
53.53%1,526.38万
53.53%1,526.38万
总权益
-17.70%1,283.52万
-12.55%1,351.36万
-5.05%1,406.67万
-4.39%1,459.42万
-4.39%1,459.42万
-1.48%1,559.51万
-7.23%1,545.25万
30.57%1,481.47万
53.53%1,526.38万
53.53%1,526.38万
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
--
--
--
--
无保留意见
--
(Q3)2023/12/31(Q2)2023/09/30(Q1)2023/06/30(FY)2023/03/31(Q4)2023/03/31(Q3)2022/12/31(Q2)2022/09/30(Q1)2022/06/30(FY)2022/03/31(Q4)2022/03/31
资产
流动资产
现金及现金等价物和短期投资 23.74%39.12万-41.28%13.82万-52.60%27.19万-49.20%53.45万-49.20%53.45万-43.79%31.62万-16.33%23.54万-74.35%57.36万-50.62%105.21万-50.62%105.21万
-现金和现金等价物 23.74%39.12万-41.28%13.82万-52.60%27.19万-49.20%53.45万-49.20%53.45万-43.79%31.62万-16.33%23.54万-74.35%57.36万-50.62%105.21万-50.62%105.21万
应收款项 -14.00%1,056.42万-1.27%1,111.73万2.71%1,161.7万-0.66%1,128.43万-0.66%1,128.43万-3.01%1,228.36万-5.82%1,126.05万89.41%1,131万84.99%1,135.95万84.99%1,135.95万
-应收账款 -25.12%219.21万48.04%302.07万18.28%296.57万-22.36%233.65万-22.36%233.65万20.46%292.74万-22.98%204.04万117.01%250.74万394.89%300.92万394.89%300.92万
-其他应收款 -10.52%837.22万-12.19%809.66万-1.72%865.13万7.16%894.78万7.16%894.78万-8.58%935.62万-0.93%922.01万82.79%880.26万50.93%835.02万50.93%835.02万
存货 58.83%364.05万10.94%279.19万-15.43%245.25万7.96%241.26万7.96%241.26万33.23%229.21万48.69%251.66万180.96%289.99万75.80%223.47万75.80%223.47万
预付费用 80.56%65.36万20.90%46.62万-14.81%32.45万6.46%34.9万6.46%34.9万-21.68%36.2万-36.11%38.56万2.58%38.09万-13.61%32.78万-13.61%32.78万
其他流动资产 --------------------11,775.26%62.4万7,689.85%62.4万7,527.59%34.72万--109.37万--109.37万
流动资产合计 -3.96%1,524.96万-3.38%1,451.37万-5.45%1,466.59万-9.26%1,458.03万-9.26%1,458.03万3.00%1,587.8万3.30%1,502.22万61.32%1,551.16万61.94%1,606.78万61.94%1,606.78万
非流动资产
固定资产净额 10.15%2,057.93万11.46%2,108.68万8.95%2,086.92万0.20%1,957.5万0.20%1,957.5万0.46%1,868.31万-0.36%1,891.95万393.09%1,915.54万380.82%1,953.68万380.82%1,953.68万
-固定资产 8.17%3,442.83万9.45%3,451.31万10.51%3,390.76万5.19%3,223.33万5.19%3,223.33万8.31%3,182.81万7.01%3,153.43万117.53%3,068.34万117.32%3,064.38万117.32%3,064.38万
-累计折旧 -5.36%-1,384.89万-6.43%-1,342.63万-13.10%-1,303.84万-13.97%-1,265.84万-13.97%-1,265.84万-21.84%-1,314.5万-20.37%-1,261.48万-12.79%-1,152.8万-10.65%-1,110.7万-10.65%-1,110.7万
非流动递延资产 17.78%249.45万4.13%225.43万-9.69%207.76万-9.20%193.12万-9.20%193.12万-8.74%211.8万9.00%216.5万20.58%230.05万9.94%212.68万9.94%212.68万
其他非流动资产 -83.31%12.13万-82.56%12.13万-82.17%12.13万0.00%12.13万0.00%12.13万499.11%72.65万--69.54万723.59%68.03万43.29%12.13万43.29%12.13万
非流动资产合计 7.75%2,319.51万7.72%2,346.24万4.21%2,306.81万-0.72%2,162.74万-0.72%2,162.74万-2.02%2,152.76万-1.66%2,177.99万276.78%2,213.61万258.17%2,178.48万258.17%2,178.48万
总资产 2.78%3,844.48万3.19%3,797.61万0.23%3,773.4万-4.35%3,620.77万-4.35%3,620.77万0.05%3,740.56万0.31%3,680.21万143.03%3,764.77万136.52%3,785.26万136.52%3,785.26万
负债
流动负债
应付款项 15.92%172.71万-56.56%160.7万-80.96%74.39万-35.09%222.43万-35.09%222.43万-42.03%149万33.17%369.95万2,202.03%390.81万584.22%342.69万584.22%342.69万
-应付账款 15.92%172.71万-56.56%160.7万-80.96%74.39万-35.09%222.43万-35.09%222.43万-42.03%149万33.17%369.95万2,202.03%390.81万584.22%342.69万584.22%342.69万
应计费用 12.22%118.78万12.90%119.94万-9.88%101.64万-20.20%91.68万-20.20%91.68万-11.75%105.85万8.15%106.23万162.27%112.78万209.84%114.88万209.84%114.88万
现行拨备 -6.29%49.27万2.40%38.3万-72.68%35.36万-71.84%35.92万-71.84%35.92万34.13%52.58万8.80%37.4万1,273.54%129.41万93.53%127.57万93.53%127.57万
短期借款与租赁负债 191.75%816.23万107.39%768万-3.55%358.11万-58.82%192.99万-58.82%192.99万-48.40%279.77万-14.29%370.31万51.56%371.31万89.37%468.69万89.37%468.69万
-短期借款 259.18%743.46万129.63%695.84万-7.09%286.54万-70.24%121.82万-70.24%121.82万-57.61%206.99万-20.06%303.02万26.32%308.4万65.38%409.31万65.38%409.31万
-短期租赁负债 -0.02%72.77万7.24%72.16万13.76%71.57万19.86%71.17万19.86%71.17万34.86%72.78万26.92%67.29万7,194.91%62.91万--59.38万--59.38万
递延负债 111.80%403.54万76.08%318.07万59.75%285.37万32.19%233.36万32.19%233.36万6.27%190.53万62.17%180.64万317.03%178.64万709.22%176.53万709.22%176.53万
其他流动负债 ------------------------------9.69万--6.34万--6.34万
流动负债总额 92.69%1,664.09万30.53%1,525.35万-24.36%973.12万-32.25%902.1万-32.25%902.1万-29.89%863.62万10.94%1,168.57万212.67%1,286.59万182.08%1,331.5万182.08%1,331.5万
非流动负债
长期借款与租赁负债 -55.58%459.52万-42.86%478.02万10.35%956.63万10.31%989.31万10.31%989.31万12.00%1,034.55万-11.94%836.56万29,333.83%866.89万568.34%896.87万568.34%896.87万
-长期借款 --------53.95%460.33万52.46%474.91万52.46%474.91万51.49%486.36万-14.04%286.38万10,052.33%299.01万132.12%311.49万132.12%311.49万
-长期租赁负债 -16.18%459.52万-13.12%478.02万-12.60%496.31万-12.13%514.4万-12.13%514.4万-9.04%548.19万-10.81%550.18万--567.88万--585.38万--585.38万
其他非流动负债 54.61%437.35万241.13%442.88万236.58%436.98万784.87%269.95万784.87%269.95万--282.87万--129.83万--129.83万--30.51万--30.51万
非流动负债总额 -31.92%896.87万-4.71%920.9万39.82%1,393.61万35.79%1,259.26万35.79%1,259.26万42.62%1,317.42万1.72%966.39万33,741.93%996.71万591.07%927.38万591.07%927.38万
总负债 17.42%2,560.96万14.58%2,446.25万3.65%2,366.73万-4.32%2,161.36万-4.32%2,161.36万1.18%2,181.04万6.57%2,134.96万450.96%2,283.3万272.62%2,258.88万272.62%2,258.88万
所有者权益
股本 -74.56%876-74.62%874-74.90%8610.35%8610.35%8610.47%3,4440.53%3,44416.31%3,430-70.91%858-70.91%858
-普通股股本 -74.56%876-74.62%874-74.90%8610.35%8610.35%8610.47%3,4440.53%3,44416.31%3,430-70.91%858-70.91%858
留存收益 -452.39%-227.76万-375.64%-141.22万-828.07%-88.39万-157.25%-35.64万-157.25%-35.64万-46.95%64.63万-75.87%51.23万-94.82%12.14万-35.98%62.26万-35.98%62.26万
资本公积 1.11%1,511.19万-0.08%1,492.49万1.77%1,494.97万2.11%1,494.97万2.11%1,494.97万2.45%1,494.54万2.95%1,493.67万63.62%1,468.99万63.68%1,464.03万63.68%1,464.03万
不影响留存收益的损益 --------------0--0--------------0--0
股东权益总额 -17.70%1,283.52万-12.55%1,351.36万-5.05%1,406.67万-4.39%1,459.42万-4.39%1,459.42万-1.48%1,559.51万-7.23%1,545.25万30.57%1,481.47万53.53%1,526.38万53.53%1,526.38万
总权益 -17.70%1,283.52万-12.55%1,351.36万-5.05%1,406.67万-4.39%1,459.42万-4.39%1,459.42万-1.48%1,559.51万-7.23%1,545.25万30.57%1,481.47万53.53%1,526.38万53.53%1,526.38万
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-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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