美股市场个股详情

XSHLF XS FINANCIAL INC

添加自选
  • 0.026800
  • 0.0000000.00%
延时15分钟行情收盘价 05/16 16:00 (美东)
208.31万总市值-446市盈率TTM

XS FINANCIAL INC关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
资产
流动资产
现金及现金等价物和短期投资
-85.22%15.41万
-85.22%15.41万
-72.36%8.77万
-78.91%11.6万
-95.18%69.01万
-93.94%104.22万
-93.94%104.22万
-92.89%31.72万
-83.35%55.01万
74.29%1,432.29万
-现金和现金等价物
-85.22%15.38万
-85.22%15.38万
-71.81%8.74万
-78.30%11.56万
-95.18%68.85万
-93.92%104.09万
-93.92%104.09万
-92.71%30.99万
-81.35%53.26万
84.61%1,427.31万
-短期投资
-82.05%230
-82.05%230
-95.64%316
-97.53%431
-96.75%1,619
-98.51%1,281
-98.51%1,281
-96.56%7,251
-96.10%1.74万
-89.75%4.98万
应收款项
24.12%2,828.19万
24.12%2,828.19万
53.06%2,815.81万
84.08%2,636.13万
110.59%2,469.36万
138.86%2,278.51万
138.86%2,278.51万
134.19%1,839.67万
235.26%1,432.07万
458.03%1,172.61万
-应收账款
--6.49万
--6.49万
----
----
----
--0
--0
----
----
7,804.92%25.69万
-应收税费
-32.15%1.22万
-32.15%1.22万
-11.96%9,362
-33.67%7,611
-26.82%8,766
8.98%1.8万
8.98%1.8万
-43.13%1.06万
-15.97%1.15万
123.66%1.2万
-其他应收款
23.88%2,820.47万
23.88%2,820.47万
53.10%2,814.87万
84.17%2,635.37万
115.45%2,468.48万
139.09%2,276.71万
139.09%2,276.71万
138.02%1,838.6万
236.06%1,430.93万
447.47%1,145.72万
预付费用
-52.83%6.76万
-52.83%6.76万
-43.22%3.37万
0.97%7.1万
110.80%17.15万
238.05%14.32万
238.05%14.32万
180.52%5.94万
170.14%7.04万
109.79%8.14万
其他流动资产
112.89%6.85万
112.89%6.85万
35.43%5,417
64.56%1.42万
68.70%2.3万
72.05%3.22万
72.05%3.22万
--4,000
-59.75%8,609
-36.70%1.37万
流动资产合计
19.04%2,857.21万
19.04%2,857.21万
50.63%2,828.48万
77.68%2,656.25万
-2.16%2,557.82万
-10.45%2,400.27万
-10.45%2,400.27万
52.18%1,877.72万
96.15%1,494.98万
151.88%2,614.4万
非流动资产
固定资产净额
-75.81%4,929
-75.81%4,929
-70.17%6,785
-49.90%1.1万
-40.48%1.56万
-25.60%2.04万
-25.60%2.04万
-27.46%2.27万
-38.38%2.2万
-35.17%2.61万
-固定资产
0.00%9.21万
0.00%9.21万
2.76%9.21万
8.60%9.21万
8.60%9.21万
12.35%9.21万
12.35%9.21万
9.34%8.96万
3.46%8.48万
3.46%8.48万
-累计折旧
-21.55%-8.71万
-21.55%-8.71万
-27.57%-8.53万
-29.14%-8.1万
-30.48%-7.65万
-31.40%-7.17万
-31.40%-7.17万
-32.15%-6.68万
-35.85%-6.27万
-40.88%-5.86万
长期应收款
-13.70%5,551.47万
-13.70%5,551.47万
15.67%6,168.67万
50.80%6,132.9万
128.33%6,323.64万
152.52%6,432.82万
152.52%6,432.82万
131.73%5,333.11万
172.87%4,066.84万
298.34%2,769.54万
非流动资产合计
-13.72%5,551.96万
-13.72%5,551.96万
15.63%6,169.35万
50.75%6,134万
128.17%6,325.2万
152.33%6,434.86万
152.33%6,434.86万
131.52%5,335.39万
172.37%4,069.04万
296.42%2,772.15万
总资产
-4.82%8,409.17万
-4.82%8,409.17万
24.74%8,997.83万
57.98%8,790.25万
64.91%8,883.02万
68.91%8,835.13万
68.91%8,835.13万
103.85%7,213.11万
146.62%5,564.02万
210.06%5,386.55万
负债
流动负债
应付款项
-70.41%74.68万
-70.41%74.68万
-56.85%118.19万
-70.12%64.9万
-22.04%186.96万
76.21%252.4万
76.21%252.4万
-63.00%273.91万
-55.85%217.16万
-6.12%239.81万
-应付账款
-71.85%69.06万
-71.85%69.06万
-57.99%112.67万
-71.76%59.45万
-23.13%180.34万
73.19%245.37万
73.19%245.37万
-63.66%268.18万
-56.36%210.49万
-7.92%234.61万
-应付税费
0.85%5.62万
0.85%5.62万
3.21%5.52万
3.03%5.45万
30.63%6.62万
372.79%5.57万
372.79%5.57万
163.33%5.35万
-39.03%5.29万
--5.07万
-其他应付款
----
----
----
----
----
280.43%1.47万
280.43%1.47万
280.57%3,741
59.33%1.38万
-78.97%1,383
应计费用
-30.31%432.9万
-30.31%432.9万
-12.65%463.45万
26.75%597.7万
22.05%484.85万
128.79%621.22万
128.79%621.22万
34.92%530.55万
66.96%471.58万
390.05%397.26万
短期借款与租赁负债
12.86%7,485.32万
12.86%7,485.32万
316.22%7,987.3万
2,062.49%7,220.79万
5,076.28%7,040.5万
5,052.79%6,632.38万
5,052.79%6,632.38万
157.66%1,919.01万
492.99%333.91万
356.08%136.01万
-短期借款
12.86%7,485.32万
12.86%7,485.32万
316.22%7,987.3万
2,062.49%7,220.79万
5,076.28%7,040.5万
5,052.79%6,632.38万
5,052.79%6,632.38万
157.66%1,919.01万
492.99%333.91万
356.08%136.01万
递延负债
-89.77%5,000
-89.77%5,000
-86.46%5,318
-80.47%5,318
-83.77%1.28万
179.35%4.89万
179.35%4.89万
-78.19%3.93万
263.65%2.72万
426.49%7.9万
其他流动负债
-23.54%66.08万
-23.54%66.08万
38.05%77.29万
-92.36%6.59万
-79.45%29.96万
-52.14%86.42万
-52.14%86.42万
--55.99万
--86.22万
--145.81万
流动负债总额
6.06%8,063.11万
6.06%8,063.11万
212.46%8,709.56万
608.36%7,932.8万
723.25%7,766.15万
916.11%7,602.6万
916.11%7,602.6万
46.77%2,787.38万
34.05%1,119.88万
155.37%943.36万
非流动负债
长期借款与租赁负债
----
----
----
-91.02%318.24万
-87.48%436.51万
-86.14%475.97万
-86.14%475.97万
472.11%3,602.43万
817.98%3,543.07万
1,026.79%3,486.89万
-长期借款
----
----
----
-91.02%318.24万
-87.48%436.51万
-86.14%475.97万
-86.14%475.97万
472.11%3,602.43万
817.98%3,543.07万
1,026.79%3,486.89万
衍生品负债
----
----
----
----
----
----
----
--165.5万
--373万
--174.92万
非流动负债总额
--0
--0
--0
-91.87%318.24万
-88.08%436.51万
-86.56%475.97万
-86.56%475.97万
498.39%3,767.93万
914.62%3,916.07万
1,083.32%3,661.81万
总负债
-0.19%8,063.11万
-0.19%8,063.11万
32.86%8,709.56万
63.84%8,251.04万
78.12%8,202.66万
88.36%8,078.57万
88.36%8,078.57万
159.23%6,555.31万
312.32%5,035.96万
578.36%4,605.17万
所有者权益
股本
0.00%2,115.88万
0.00%2,115.88万
1.89%2,115.88万
1.89%2,115.88万
1.89%2,115.88万
0.00%2,115.88万
0.00%2,115.88万
-1.86%2,076.63万
-1.98%2,076.63万
-1.58%2,076.63万
-普通股股本
0.00%2,115.88万
0.00%2,115.88万
1.89%2,115.88万
1.89%2,115.88万
1.89%2,115.88万
0.00%2,115.88万
0.00%2,115.88万
-1.86%2,076.63万
-1.98%2,076.63万
-1.58%2,076.63万
留存收益
-23.30%-3,443.79万
-23.30%-3,443.79万
-17.80%-3,458.36万
-17.28%-3,159.59万
-28.02%-2,991.87万
-29.16%-2,793.09万
-29.16%-2,793.09万
-45.68%-2,935.85万
-37.99%-2,694.08万
-22.73%-2,337.12万
不影响留存收益的损益
17.92%1,580.89万
17.92%1,580.89万
7.99%1,537.68万
41.56%1,489.85万
54.22%1,463.27万
49.74%1,340.69万
49.74%1,340.69万
74.52%1,423.94万
35.85%1,052.44万
25.05%948.8万
其他权益
0.00%93.07万
0.00%93.07万
0.00%93.07万
0.00%93.07万
0.00%93.07万
0.00%93.07万
0.00%93.07万
0.00%93.07万
-0.94%93.07万
-0.94%93.07万
股东权益总额
-54.26%346.06万
-54.26%346.06万
-56.18%288.27万
2.11%539.21万
-12.93%680.36万
-19.66%756.56万
-19.66%756.56万
-34.85%657.8万
-48.97%528.06万
-26.17%781.39万
总权益
-54.26%346.06万
-54.26%346.06万
-56.18%288.27万
2.11%539.21万
-12.93%680.36万
-19.66%756.56万
-19.66%756.56万
-34.85%657.8万
-48.97%528.06万
-26.17%781.39万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
审计意见
带解释段的无保留意见
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--
--
--
无保留意见
--
--
--
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(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31
资产
流动资产
现金及现金等价物和短期投资 -85.22%15.41万-85.22%15.41万-72.36%8.77万-78.91%11.6万-95.18%69.01万-93.94%104.22万-93.94%104.22万-92.89%31.72万-83.35%55.01万74.29%1,432.29万
-现金和现金等价物 -85.22%15.38万-85.22%15.38万-71.81%8.74万-78.30%11.56万-95.18%68.85万-93.92%104.09万-93.92%104.09万-92.71%30.99万-81.35%53.26万84.61%1,427.31万
-短期投资 -82.05%230-82.05%230-95.64%316-97.53%431-96.75%1,619-98.51%1,281-98.51%1,281-96.56%7,251-96.10%1.74万-89.75%4.98万
应收款项 24.12%2,828.19万24.12%2,828.19万53.06%2,815.81万84.08%2,636.13万110.59%2,469.36万138.86%2,278.51万138.86%2,278.51万134.19%1,839.67万235.26%1,432.07万458.03%1,172.61万
-应收账款 --6.49万--6.49万--------------0--0--------7,804.92%25.69万
-应收税费 -32.15%1.22万-32.15%1.22万-11.96%9,362-33.67%7,611-26.82%8,7668.98%1.8万8.98%1.8万-43.13%1.06万-15.97%1.15万123.66%1.2万
-其他应收款 23.88%2,820.47万23.88%2,820.47万53.10%2,814.87万84.17%2,635.37万115.45%2,468.48万139.09%2,276.71万139.09%2,276.71万138.02%1,838.6万236.06%1,430.93万447.47%1,145.72万
预付费用 -52.83%6.76万-52.83%6.76万-43.22%3.37万0.97%7.1万110.80%17.15万238.05%14.32万238.05%14.32万180.52%5.94万170.14%7.04万109.79%8.14万
其他流动资产 112.89%6.85万112.89%6.85万35.43%5,41764.56%1.42万68.70%2.3万72.05%3.22万72.05%3.22万--4,000-59.75%8,609-36.70%1.37万
流动资产合计 19.04%2,857.21万19.04%2,857.21万50.63%2,828.48万77.68%2,656.25万-2.16%2,557.82万-10.45%2,400.27万-10.45%2,400.27万52.18%1,877.72万96.15%1,494.98万151.88%2,614.4万
非流动资产
固定资产净额 -75.81%4,929-75.81%4,929-70.17%6,785-49.90%1.1万-40.48%1.56万-25.60%2.04万-25.60%2.04万-27.46%2.27万-38.38%2.2万-35.17%2.61万
-固定资产 0.00%9.21万0.00%9.21万2.76%9.21万8.60%9.21万8.60%9.21万12.35%9.21万12.35%9.21万9.34%8.96万3.46%8.48万3.46%8.48万
-累计折旧 -21.55%-8.71万-21.55%-8.71万-27.57%-8.53万-29.14%-8.1万-30.48%-7.65万-31.40%-7.17万-31.40%-7.17万-32.15%-6.68万-35.85%-6.27万-40.88%-5.86万
长期应收款 -13.70%5,551.47万-13.70%5,551.47万15.67%6,168.67万50.80%6,132.9万128.33%6,323.64万152.52%6,432.82万152.52%6,432.82万131.73%5,333.11万172.87%4,066.84万298.34%2,769.54万
非流动资产合计 -13.72%5,551.96万-13.72%5,551.96万15.63%6,169.35万50.75%6,134万128.17%6,325.2万152.33%6,434.86万152.33%6,434.86万131.52%5,335.39万172.37%4,069.04万296.42%2,772.15万
总资产 -4.82%8,409.17万-4.82%8,409.17万24.74%8,997.83万57.98%8,790.25万64.91%8,883.02万68.91%8,835.13万68.91%8,835.13万103.85%7,213.11万146.62%5,564.02万210.06%5,386.55万
负债
流动负债
应付款项 -70.41%74.68万-70.41%74.68万-56.85%118.19万-70.12%64.9万-22.04%186.96万76.21%252.4万76.21%252.4万-63.00%273.91万-55.85%217.16万-6.12%239.81万
-应付账款 -71.85%69.06万-71.85%69.06万-57.99%112.67万-71.76%59.45万-23.13%180.34万73.19%245.37万73.19%245.37万-63.66%268.18万-56.36%210.49万-7.92%234.61万
-应付税费 0.85%5.62万0.85%5.62万3.21%5.52万3.03%5.45万30.63%6.62万372.79%5.57万372.79%5.57万163.33%5.35万-39.03%5.29万--5.07万
-其他应付款 --------------------280.43%1.47万280.43%1.47万280.57%3,74159.33%1.38万-78.97%1,383
应计费用 -30.31%432.9万-30.31%432.9万-12.65%463.45万26.75%597.7万22.05%484.85万128.79%621.22万128.79%621.22万34.92%530.55万66.96%471.58万390.05%397.26万
短期借款与租赁负债 12.86%7,485.32万12.86%7,485.32万316.22%7,987.3万2,062.49%7,220.79万5,076.28%7,040.5万5,052.79%6,632.38万5,052.79%6,632.38万157.66%1,919.01万492.99%333.91万356.08%136.01万
-短期借款 12.86%7,485.32万12.86%7,485.32万316.22%7,987.3万2,062.49%7,220.79万5,076.28%7,040.5万5,052.79%6,632.38万5,052.79%6,632.38万157.66%1,919.01万492.99%333.91万356.08%136.01万
递延负债 -89.77%5,000-89.77%5,000-86.46%5,318-80.47%5,318-83.77%1.28万179.35%4.89万179.35%4.89万-78.19%3.93万263.65%2.72万426.49%7.9万
其他流动负债 -23.54%66.08万-23.54%66.08万38.05%77.29万-92.36%6.59万-79.45%29.96万-52.14%86.42万-52.14%86.42万--55.99万--86.22万--145.81万
流动负债总额 6.06%8,063.11万6.06%8,063.11万212.46%8,709.56万608.36%7,932.8万723.25%7,766.15万916.11%7,602.6万916.11%7,602.6万46.77%2,787.38万34.05%1,119.88万155.37%943.36万
非流动负债
长期借款与租赁负债 -------------91.02%318.24万-87.48%436.51万-86.14%475.97万-86.14%475.97万472.11%3,602.43万817.98%3,543.07万1,026.79%3,486.89万
-长期借款 -------------91.02%318.24万-87.48%436.51万-86.14%475.97万-86.14%475.97万472.11%3,602.43万817.98%3,543.07万1,026.79%3,486.89万
衍生品负债 ------------------------------165.5万--373万--174.92万
非流动负债总额 --0--0--0-91.87%318.24万-88.08%436.51万-86.56%475.97万-86.56%475.97万498.39%3,767.93万914.62%3,916.07万1,083.32%3,661.81万
总负债 -0.19%8,063.11万-0.19%8,063.11万32.86%8,709.56万63.84%8,251.04万78.12%8,202.66万88.36%8,078.57万88.36%8,078.57万159.23%6,555.31万312.32%5,035.96万578.36%4,605.17万
所有者权益
股本 0.00%2,115.88万0.00%2,115.88万1.89%2,115.88万1.89%2,115.88万1.89%2,115.88万0.00%2,115.88万0.00%2,115.88万-1.86%2,076.63万-1.98%2,076.63万-1.58%2,076.63万
-普通股股本 0.00%2,115.88万0.00%2,115.88万1.89%2,115.88万1.89%2,115.88万1.89%2,115.88万0.00%2,115.88万0.00%2,115.88万-1.86%2,076.63万-1.98%2,076.63万-1.58%2,076.63万
留存收益 -23.30%-3,443.79万-23.30%-3,443.79万-17.80%-3,458.36万-17.28%-3,159.59万-28.02%-2,991.87万-29.16%-2,793.09万-29.16%-2,793.09万-45.68%-2,935.85万-37.99%-2,694.08万-22.73%-2,337.12万
不影响留存收益的损益 17.92%1,580.89万17.92%1,580.89万7.99%1,537.68万41.56%1,489.85万54.22%1,463.27万49.74%1,340.69万49.74%1,340.69万74.52%1,423.94万35.85%1,052.44万25.05%948.8万
其他权益 0.00%93.07万0.00%93.07万0.00%93.07万0.00%93.07万0.00%93.07万0.00%93.07万0.00%93.07万0.00%93.07万-0.94%93.07万-0.94%93.07万
股东权益总额 -54.26%346.06万-54.26%346.06万-56.18%288.27万2.11%539.21万-12.93%680.36万-19.66%756.56万-19.66%756.56万-34.85%657.8万-48.97%528.06万-26.17%781.39万
总权益 -54.26%346.06万-54.26%346.06万-56.18%288.27万2.11%539.21万-12.93%680.36万-19.66%756.56万-19.66%756.56万-34.85%657.8万-48.97%528.06万-26.17%781.39万
货币单位 美元美元美元美元美元美元美元美元美元美元
审计意见 带解释段的无保留意见--------无保留意见--------

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