美股市场个股详情

AULT Ault Alliance

添加自选
  • 0.376
  • +0.004+1.05%
收盘价 05/23 16:00 (美东)
  • 0.376
  • -0.001-0.16%
盘后 18:03 (美东)
1131.96万总市值0.00市盈率TTM

Ault Alliance关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2024/03/31
(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
资产
流动资产
现金及现金等价物和短期投资
44.63%1,885.6万
-29.23%1,205.3万
-29.23%1,205.3万
-46.63%1,130.8万
-48.17%2,285.8万
-76.55%1,303.7万
-71.20%1,703.2万
-71.20%1,703.2万
-77.46%2,118.7万
-67.47%4,410万
-现金和现金等价物
2.84%943万
8.61%862.6万
8.61%862.6万
-13.73%873.6万
-18.35%1,970.5万
-76.75%917万
-50.09%794.2万
-50.09%794.2万
-77.01%1,012.6万
-77.10%2,413.3万
-短期投资
143.75%942.6万
-62.30%342.7万
-62.30%342.7万
-76.75%257.2万
-84.21%315.3万
-76.07%386.7万
-78.97%909万
-78.97%909万
-77.85%1,106.1万
-33.82%1,996.7万
应收款项
-19.41%1,294.3万
-53.67%1,264.1万
-53.67%1,264.1万
-8.83%2,633.5万
-26.10%1,516.7万
65.58%1,606.1万
23.59%2,728.3万
23.59%2,728.3万
253.66%2,888.7万
172.91%2,052.3万
-应收账款
-20.02%1,157.9万
-43.90%1,083.9万
-43.90%1,083.9万
28.16%2,465.1万
-25.13%1,353.4万
107.51%1,447.8万
199.33%1,932.2万
199.33%1,932.2万
204.77%1,923.4万
205.03%1,807.6万
-应收贷款
17.08%136.4万
-83.75%123.4万
-83.75%123.4万
-83.01%116.6万
--116.5万
--116.5万
-43.07%759.3万
-43.07%759.3万
--686.1万
----
-应收利息
--0
54.35%56.8万
54.35%56.8万
62.89%51.8万
73.33%46.8万
--41.8万
--36.8万
--36.8万
--31.8万
--27万
-其他应收款
----
----
----
----
----
----
----
----
33.23%247.4万
36.57%217.7万
存货
-62.38%759.9万
-61.95%838.4万
-61.95%838.4万
-22.07%2,248.2万
0.80%2,099.9万
182.74%2,019.9万
301.97%2,203.6万
301.97%2,203.6万
650.86%2,884.8万
618.38%2,083.3万
受限制现金
-95.49%546.3万
-95.82%496.6万
-95.82%496.6万
-58.78%190.3万
-76.63%109.2万
2,480.51%1.21亿
2,135.01%1.19亿
2,135.01%1.19亿
--461.7万
--467.2万
其他流动资产
-50.33%803.5万
86.24%945万
86.24%945万
-47.32%870.9万
1.61%1,674.5万
85.09%1,617.7万
-71.17%507.4万
-71.17%507.4万
107.00%1,653.3万
206.70%1,647.9万
流动资产合计
-22.43%1.45亿
-29.46%1.38亿
-29.46%1.38亿
69.21%1.69亿
-27.90%7,686.1万
117.31%1.87亿
79.09%1.96亿
79.09%1.96亿
-12.20%1亿
-29.57%1.07亿
非流动资产
固定资产净额
-54.25%1.11亿
-25.81%1.15亿
-25.81%1.15亿
-45.50%1.42亿
-7.30%2.35亿
13.65%2.43亿
-13.43%1.55亿
-13.43%1.55亿
652.17%2.61亿
2,038.05%2.54亿
-固定资产
-42.72%1.48亿
-9.30%1.46亿
-9.30%1.46亿
-38.97%1.68亿
-2.21%2.58亿
16.63%2.58亿
-12.63%1.61亿
-12.63%1.61亿
609.06%2.76亿
1,576.77%2.64亿
-累计折旧
-142.79%-3,665.9万
-426.23%-3,095.3万
-426.23%-3,095.3万
-81.42%-2,572.6万
-121.89%-2,308.3万
-101.51%-1,509.9万
-15.42%-588.2万
-15.42%-588.2万
-244.76%-1,418万
-167.77%-1,040.3万
商誉及其他无形资产
-81.57%1,149.2万
-81.11%1,184.2万
-81.11%1,184.2万
-62.19%2,595.3万
-58.29%2,644.8万
350.50%6,234.9万
343.81%6,268.8万
343.81%6,268.8万
401.93%6,863.9万
360.67%6,340.6万
-商誉
-78.39%601万
-78.18%608.8万
-78.18%608.8万
-83.55%897.3万
-83.45%915.8万
179.70%2,781.3万
176.53%2,790.2万
176.53%2,790.2万
467.81%5,454.4万
476.93%5,532.2万
-其他无形资产
-84.13%548.2万
-83.46%575.4万
-83.46%575.4万
20.47%1,698万
113.88%1,729万
786.45%3,453.6万
762.11%3,478.6万
762.11%3,478.6万
246.40%1,409.5万
93.63%808.4万
投资和预付款
-20.00%2,284.5万
-54.14%2,244.6万
-54.14%2,244.6万
-50.43%2,872.6万
-33.05%3,169.2万
-59.65%2,855.8万
-25.67%4,894.3万
-25.67%4,894.3万
2.24%5,795万
-41.51%4,734万
长期应收票据
----
----
----
----
----
----
----
----
-91.49%50万
660.84%435.2万
其他非流动资产
49.61%947.2万
-88.54%1,127.3万
-88.54%1,127.3万
-90.21%1,198.1万
-93.22%819.6万
-94.78%633.1万
-18.32%9,837.6万
-18.32%9,837.6万
15,894.25%1.22亿
19,907.28%1.21亿
非流动资产合计
-54.45%1.55亿
-56.00%1.61亿
-56.00%1.61亿
-59.06%2.09亿
-38.42%3.02亿
-21.42%3.4亿
-4.06%3.65亿
-4.06%3.65亿
357.14%5.11亿
354.47%4.9亿
总资产
-43.11%3亿
-46.72%2.99亿
-46.72%2.99亿
-38.05%3.78亿
-36.54%3.78亿
1.54%5.27亿
14.53%5.62亿
14.53%5.62亿
170.65%6.11亿
130.13%5.96亿
负债
流动负债
应付款项
-2.10%2,607.7万
61.64%3,342.4万
61.64%3,342.4万
46.41%3,774.6万
86.92%3,604.1万
69.50%2,663.7万
-30.23%2,067.8万
-30.23%2,067.8万
174.65%2,578.1万
82.70%1,928.2万
-应付账款
0.42%2,551.7万
62.74%3,259.2万
62.74%3,259.2万
64.17%3,688.3万
68.09%3,084.1万
121.97%2,541.1万
190.16%2,002.7万
190.16%2,002.7万
140.01%2,246.7万
135.71%1,834.8万
-应付股利
----
----
----
----
--520万
----
----
----
----
----
-其他应付款
-54.32%56万
27.80%83.2万
27.80%83.2万
-73.96%86.3万
----
-71.27%122.6万
-97.14%65.1万
-97.14%65.1万
--331.4万
--93.4万
应计费用
-8.84%3,386.2万
-16.93%3,301.9万
-16.93%3,301.9万
85.27%5,039.9万
72.40%4,179.6万
222.32%3,714.4万
242.55%3,975万
242.55%3,975万
673.25%2,720.3万
394.15%2,424.3万
短期借款与租赁负债
-21.44%2,617.9万
-34.22%2,912.3万
-34.22%2,912.3万
165.95%5,698.2万
346.18%5,223.9万
991.09%3,332.2万
8.84%4,427.3万
8.84%4,427.3万
690.34%2,142.6万
320.09%1,170.8万
-短期借款
-21.54%2,379.4万
-34.61%2,700.4万
-34.61%2,700.4万
196.12%5,508.1万
439.46%4,976万
2,211.59%3,032.8万
4.41%4,129.8万
4.41%4,129.8万
996.11%1,860.1万
382.68%922.4万
-短期租赁负债
-20.34%238.5万
-28.77%211.9万
-28.77%211.9万
-32.71%190.1万
-0.20%247.9万
71.87%299.4万
164.92%297.5万
164.92%297.5万
178.60%282.5万
183.56%248.4万
递延负债
529.76%182万
----
----
--6.8万
--21.3万
--28.9万
----
----
----
----
其他流动负债
1,197.71%1.1亿
-9.42%1.09亿
-9.42%1.09亿
--6,921.2万
--1,654.4万
--850万
--1.21亿
--1.21亿
----
----
流动负债总额
87.21%1.98亿
-9.10%2.05亿
-9.10%2.05亿
188.14%2.14亿
165.84%1.47亿
249.56%1.06亿
175.05%2.25亿
175.05%2.25亿
271.53%7,441万
135.10%5,523.3万
非流动负债
长期借款与租赁负债
-70.26%3,228.1万
-32.06%3,201.3万
-32.06%3,201.3万
-48.99%3,936.1万
39.00%1.05亿
80.92%1.09亿
-21.12%4,711.8万
-21.12%4,711.8万
1,537.69%7,716.8万
1,684.64%7,529.4万
-长期借款
-74.08%2,676.7万
-33.12%2,761.1万
-33.12%2,761.1万
-57.52%3,066.4万
42.65%9,951万
89.56%1.03亿
-25.65%4,128.2万
-25.65%4,128.2万
16,049.44%7,218.8万
16,236.30%6,975.6万
-长期租赁负债
4.77%551.4万
-24.57%440.2万
-24.57%440.2万
74.64%869.7万
-7.10%514.5万
-4.50%526.3万
38.52%583.6万
38.52%583.6万
16.76%498万
46.04%553.8万
递延负债
0.00%345万
0.00%345万
0.00%345万
0.00%345万
0.00%345万
0.00%345万
0.00%345万
0.00%345万
--345万
--345万
非流动负债总额
-68.10%3,573.1万
-68.39%3,546.3万
-68.39%3,546.3万
-46.90%4,281.1万
37.29%1.08亿
76.52%1.12亿
77.57%1.12亿
77.57%1.12亿
1,610.91%8,061.8万
1,766.41%7,874.4万
总负债
7.38%2.34亿
-28.81%2.4亿
-28.81%2.4亿
65.92%2.57亿
90.28%2.55亿
132.44%2.18亿
132.61%3.38亿
132.61%3.38亿
526.63%1.55亿
383.46%1.34亿
所有者权益
股本
2,900.00%3万
--4,000
--4,000
-96.48%1.2万
-99.38%2,000
-99.56%1,000
--0
--0
441.27%34.1万
478.57%32.4万
-普通股股本
2,900.00%3万
--4,000
--4,000
-96.48%1.2万
-99.38%2,000
-99.56%1,000
--0
--0
441.27%34.1万
478.57%32.4万
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
-49.23%-5.65亿
-72.44%-5.67亿
-72.44%-5.67亿
-124.94%-4.67亿
-121.98%-4.44亿
-117.13%-3.79亿
-126.02%-3.29亿
-126.02%-3.29亿
-72.94%-2.08亿
-159.34%-2亿
资本公积
14.17%6.57亿
13.95%6.45亿
13.95%6.45亿
5.72%5.89亿
4.31%5.73亿
16.05%5.75亿
46.74%5.66亿
46.74%5.66亿
67.95%5.57亿
76.33%5.5亿
减:库存股
3.87%3,057.1万
4.57%3,057.1万
4.57%3,057.1万
6.09%3,054万
44.96%2,991.9万
107.68%2,943.2万
121.81%2,923.5万
121.81%2,923.5万
938.15%2,878.8万
--2,063.9万
不影响留存收益的损益
-121.37%-206.1万
-90.64%-209.7万
-90.64%-209.7万
-35.00%-210.2万
22.17%-145万
-136.90%-93.1万
-937.74%-110万
-937.74%-110万
83.83%-155.7万
59.51%-186.3万
股东权益总额
-64.50%5,895万
-78.34%4,471.9万
-78.34%4,471.9万
-71.99%8,956.1万
-70.17%9,764.8万
-45.87%1.66亿
-8.97%2.06亿
-8.97%2.06亿
60.30%3.2亿
42.31%3.27亿
非控制性权益
-95.21%685.3万
-18.95%1,418.1万
-18.95%1,418.1万
-76.73%3,167.7万
-80.88%2,580.4万
20.76%1.43亿
-85.22%1,749.6万
-85.22%1,749.6万
8,961.92%1.36亿
9,793.18%1.35亿
总权益
-78.71%6,580.3万
-73.70%5,890万
-73.70%5,890万
-73.41%1.21亿
-73.30%1.23亿
-27.32%3.09亿
-35.11%2.24亿
-35.11%2.24亿
126.83%4.56亿
99.79%4.62亿
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
--
带解释段的无保留意见
--
--
--
--
带解释段的无保留意见
--
--
--
(Q1)2024/03/31(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
资产
流动资产
现金及现金等价物和短期投资 44.63%1,885.6万-29.23%1,205.3万-29.23%1,205.3万-46.63%1,130.8万-48.17%2,285.8万-76.55%1,303.7万-71.20%1,703.2万-71.20%1,703.2万-77.46%2,118.7万-67.47%4,410万
-现金和现金等价物 2.84%943万8.61%862.6万8.61%862.6万-13.73%873.6万-18.35%1,970.5万-76.75%917万-50.09%794.2万-50.09%794.2万-77.01%1,012.6万-77.10%2,413.3万
-短期投资 143.75%942.6万-62.30%342.7万-62.30%342.7万-76.75%257.2万-84.21%315.3万-76.07%386.7万-78.97%909万-78.97%909万-77.85%1,106.1万-33.82%1,996.7万
应收款项 -19.41%1,294.3万-53.67%1,264.1万-53.67%1,264.1万-8.83%2,633.5万-26.10%1,516.7万65.58%1,606.1万23.59%2,728.3万23.59%2,728.3万253.66%2,888.7万172.91%2,052.3万
-应收账款 -20.02%1,157.9万-43.90%1,083.9万-43.90%1,083.9万28.16%2,465.1万-25.13%1,353.4万107.51%1,447.8万199.33%1,932.2万199.33%1,932.2万204.77%1,923.4万205.03%1,807.6万
-应收贷款 17.08%136.4万-83.75%123.4万-83.75%123.4万-83.01%116.6万--116.5万--116.5万-43.07%759.3万-43.07%759.3万--686.1万----
-应收利息 --054.35%56.8万54.35%56.8万62.89%51.8万73.33%46.8万--41.8万--36.8万--36.8万--31.8万--27万
-其他应收款 --------------------------------33.23%247.4万36.57%217.7万
存货 -62.38%759.9万-61.95%838.4万-61.95%838.4万-22.07%2,248.2万0.80%2,099.9万182.74%2,019.9万301.97%2,203.6万301.97%2,203.6万650.86%2,884.8万618.38%2,083.3万
受限制现金 -95.49%546.3万-95.82%496.6万-95.82%496.6万-58.78%190.3万-76.63%109.2万2,480.51%1.21亿2,135.01%1.19亿2,135.01%1.19亿--461.7万--467.2万
其他流动资产 -50.33%803.5万86.24%945万86.24%945万-47.32%870.9万1.61%1,674.5万85.09%1,617.7万-71.17%507.4万-71.17%507.4万107.00%1,653.3万206.70%1,647.9万
流动资产合计 -22.43%1.45亿-29.46%1.38亿-29.46%1.38亿69.21%1.69亿-27.90%7,686.1万117.31%1.87亿79.09%1.96亿79.09%1.96亿-12.20%1亿-29.57%1.07亿
非流动资产
固定资产净额 -54.25%1.11亿-25.81%1.15亿-25.81%1.15亿-45.50%1.42亿-7.30%2.35亿13.65%2.43亿-13.43%1.55亿-13.43%1.55亿652.17%2.61亿2,038.05%2.54亿
-固定资产 -42.72%1.48亿-9.30%1.46亿-9.30%1.46亿-38.97%1.68亿-2.21%2.58亿16.63%2.58亿-12.63%1.61亿-12.63%1.61亿609.06%2.76亿1,576.77%2.64亿
-累计折旧 -142.79%-3,665.9万-426.23%-3,095.3万-426.23%-3,095.3万-81.42%-2,572.6万-121.89%-2,308.3万-101.51%-1,509.9万-15.42%-588.2万-15.42%-588.2万-244.76%-1,418万-167.77%-1,040.3万
商誉及其他无形资产 -81.57%1,149.2万-81.11%1,184.2万-81.11%1,184.2万-62.19%2,595.3万-58.29%2,644.8万350.50%6,234.9万343.81%6,268.8万343.81%6,268.8万401.93%6,863.9万360.67%6,340.6万
-商誉 -78.39%601万-78.18%608.8万-78.18%608.8万-83.55%897.3万-83.45%915.8万179.70%2,781.3万176.53%2,790.2万176.53%2,790.2万467.81%5,454.4万476.93%5,532.2万
-其他无形资产 -84.13%548.2万-83.46%575.4万-83.46%575.4万20.47%1,698万113.88%1,729万786.45%3,453.6万762.11%3,478.6万762.11%3,478.6万246.40%1,409.5万93.63%808.4万
投资和预付款 -20.00%2,284.5万-54.14%2,244.6万-54.14%2,244.6万-50.43%2,872.6万-33.05%3,169.2万-59.65%2,855.8万-25.67%4,894.3万-25.67%4,894.3万2.24%5,795万-41.51%4,734万
长期应收票据 ---------------------------------91.49%50万660.84%435.2万
其他非流动资产 49.61%947.2万-88.54%1,127.3万-88.54%1,127.3万-90.21%1,198.1万-93.22%819.6万-94.78%633.1万-18.32%9,837.6万-18.32%9,837.6万15,894.25%1.22亿19,907.28%1.21亿
非流动资产合计 -54.45%1.55亿-56.00%1.61亿-56.00%1.61亿-59.06%2.09亿-38.42%3.02亿-21.42%3.4亿-4.06%3.65亿-4.06%3.65亿357.14%5.11亿354.47%4.9亿
总资产 -43.11%3亿-46.72%2.99亿-46.72%2.99亿-38.05%3.78亿-36.54%3.78亿1.54%5.27亿14.53%5.62亿14.53%5.62亿170.65%6.11亿130.13%5.96亿
负债
流动负债
应付款项 -2.10%2,607.7万61.64%3,342.4万61.64%3,342.4万46.41%3,774.6万86.92%3,604.1万69.50%2,663.7万-30.23%2,067.8万-30.23%2,067.8万174.65%2,578.1万82.70%1,928.2万
-应付账款 0.42%2,551.7万62.74%3,259.2万62.74%3,259.2万64.17%3,688.3万68.09%3,084.1万121.97%2,541.1万190.16%2,002.7万190.16%2,002.7万140.01%2,246.7万135.71%1,834.8万
-应付股利 ------------------520万--------------------
-其他应付款 -54.32%56万27.80%83.2万27.80%83.2万-73.96%86.3万-----71.27%122.6万-97.14%65.1万-97.14%65.1万--331.4万--93.4万
应计费用 -8.84%3,386.2万-16.93%3,301.9万-16.93%3,301.9万85.27%5,039.9万72.40%4,179.6万222.32%3,714.4万242.55%3,975万242.55%3,975万673.25%2,720.3万394.15%2,424.3万
短期借款与租赁负债 -21.44%2,617.9万-34.22%2,912.3万-34.22%2,912.3万165.95%5,698.2万346.18%5,223.9万991.09%3,332.2万8.84%4,427.3万8.84%4,427.3万690.34%2,142.6万320.09%1,170.8万
-短期借款 -21.54%2,379.4万-34.61%2,700.4万-34.61%2,700.4万196.12%5,508.1万439.46%4,976万2,211.59%3,032.8万4.41%4,129.8万4.41%4,129.8万996.11%1,860.1万382.68%922.4万
-短期租赁负债 -20.34%238.5万-28.77%211.9万-28.77%211.9万-32.71%190.1万-0.20%247.9万71.87%299.4万164.92%297.5万164.92%297.5万178.60%282.5万183.56%248.4万
递延负债 529.76%182万----------6.8万--21.3万--28.9万----------------
其他流动负债 1,197.71%1.1亿-9.42%1.09亿-9.42%1.09亿--6,921.2万--1,654.4万--850万--1.21亿--1.21亿--------
流动负债总额 87.21%1.98亿-9.10%2.05亿-9.10%2.05亿188.14%2.14亿165.84%1.47亿249.56%1.06亿175.05%2.25亿175.05%2.25亿271.53%7,441万135.10%5,523.3万
非流动负债
长期借款与租赁负债 -70.26%3,228.1万-32.06%3,201.3万-32.06%3,201.3万-48.99%3,936.1万39.00%1.05亿80.92%1.09亿-21.12%4,711.8万-21.12%4,711.8万1,537.69%7,716.8万1,684.64%7,529.4万
-长期借款 -74.08%2,676.7万-33.12%2,761.1万-33.12%2,761.1万-57.52%3,066.4万42.65%9,951万89.56%1.03亿-25.65%4,128.2万-25.65%4,128.2万16,049.44%7,218.8万16,236.30%6,975.6万
-长期租赁负债 4.77%551.4万-24.57%440.2万-24.57%440.2万74.64%869.7万-7.10%514.5万-4.50%526.3万38.52%583.6万38.52%583.6万16.76%498万46.04%553.8万
递延负债 0.00%345万0.00%345万0.00%345万0.00%345万0.00%345万0.00%345万0.00%345万0.00%345万--345万--345万
非流动负债总额 -68.10%3,573.1万-68.39%3,546.3万-68.39%3,546.3万-46.90%4,281.1万37.29%1.08亿76.52%1.12亿77.57%1.12亿77.57%1.12亿1,610.91%8,061.8万1,766.41%7,874.4万
总负债 7.38%2.34亿-28.81%2.4亿-28.81%2.4亿65.92%2.57亿90.28%2.55亿132.44%2.18亿132.61%3.38亿132.61%3.38亿526.63%1.55亿383.46%1.34亿
所有者权益
股本 2,900.00%3万--4,000--4,000-96.48%1.2万-99.38%2,000-99.56%1,000--0--0441.27%34.1万478.57%32.4万
-普通股股本 2,900.00%3万--4,000--4,000-96.48%1.2万-99.38%2,000-99.56%1,000--0--0441.27%34.1万478.57%32.4万
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 -49.23%-5.65亿-72.44%-5.67亿-72.44%-5.67亿-124.94%-4.67亿-121.98%-4.44亿-117.13%-3.79亿-126.02%-3.29亿-126.02%-3.29亿-72.94%-2.08亿-159.34%-2亿
资本公积 14.17%6.57亿13.95%6.45亿13.95%6.45亿5.72%5.89亿4.31%5.73亿16.05%5.75亿46.74%5.66亿46.74%5.66亿67.95%5.57亿76.33%5.5亿
减:库存股 3.87%3,057.1万4.57%3,057.1万4.57%3,057.1万6.09%3,054万44.96%2,991.9万107.68%2,943.2万121.81%2,923.5万121.81%2,923.5万938.15%2,878.8万--2,063.9万
不影响留存收益的损益 -121.37%-206.1万-90.64%-209.7万-90.64%-209.7万-35.00%-210.2万22.17%-145万-136.90%-93.1万-937.74%-110万-937.74%-110万83.83%-155.7万59.51%-186.3万
股东权益总额 -64.50%5,895万-78.34%4,471.9万-78.34%4,471.9万-71.99%8,956.1万-70.17%9,764.8万-45.87%1.66亿-8.97%2.06亿-8.97%2.06亿60.30%3.2亿42.31%3.27亿
非控制性权益 -95.21%685.3万-18.95%1,418.1万-18.95%1,418.1万-76.73%3,167.7万-80.88%2,580.4万20.76%1.43亿-85.22%1,749.6万-85.22%1,749.6万8,961.92%1.36亿9,793.18%1.35亿
总权益 -78.71%6,580.3万-73.70%5,890万-73.70%5,890万-73.41%1.21亿-73.30%1.23亿-27.32%3.09亿-35.11%2.24亿-35.11%2.24亿126.83%4.56亿99.79%4.62亿
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 --带解释段的无保留意见--------带解释段的无保留意见------

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