美股市场个股详情

ELF e.l.f. Beauty

添加自选
  • 158.450
  • -3.810-2.35%
收盘价 05/17 16:00 (美东)
  • 158.750
  • +0.300+0.19%
盘后 18:34 (美东)
87.95亿总市值70.11市盈率TTM

e.l.f. Beauty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
-16.45%7,270.5万
96.63%1.68亿
97.31%1.43亿
178.59%1.21亿
178.59%1.21亿
164.59%8,702.1万
104.63%8,531.7万
13.95%7,224.8万
-24.95%4,335.3万
-24.95%4,335.3万
-现金和现金等价物
-16.45%7,270.5万
96.63%1.68亿
97.31%1.43亿
178.59%1.21亿
178.59%1.21亿
164.59%8,702.1万
104.63%8,531.7万
13.95%7,224.8万
-24.95%4,335.3万
-24.95%4,335.3万
应收款项
82.77%1.21亿
60.79%8,668.3万
73.16%9,053.1万
49.07%6,792.8万
49.07%6,792.8万
40.39%6,623.7万
21.49%5,391.2万
21.23%5,228.1万
13.39%4,556.7万
13.39%4,556.7万
-应收账款
82.77%1.21亿
60.79%8,668.3万
73.16%9,053.1万
49.07%6,792.8万
49.07%6,792.8万
40.39%6,623.7万
21.49%5,391.2万
21.23%5,228.1万
13.39%4,556.7万
13.39%4,556.7万
存货
151.70%2.05亿
81.12%1.47亿
39.40%9,805.3万
-3.76%8,132.3万
-3.76%8,132.3万
-4.69%8,125万
5.82%8,128.8万
29.00%7,033.9万
48.74%8,449.8万
48.74%8,449.8万
预付费用
----
----
----
----
----
----
45.93%2,688.1万
0.45%2,177.2万
----
----
受限制现金
--225万
----
----
----
----
----
----
----
----
----
其他流动资产
91.60%5,438万
--3,377.2万
--3,927.6万
69.78%3,329.6万
69.78%3,329.6万
--2,838.2万
----
----
--1,961.1万
--1,961.1万
流动资产合计
73.04%4.55亿
76.01%4.35亿
70.98%3.7亿
57.14%3.03亿
57.14%3.03亿
42.01%2.63亿
36.45%2.47亿
18.56%2.17亿
13.45%1.93亿
13.45%1.93亿
非流动资产
固定资产净额
46.75%1,280.5万
-14.66%762.4万
-18.82%758.1万
-25.56%787.4万
-25.56%787.4万
-28.66%872.6万
-35.93%893.4万
-39.98%933.9万
-23.19%1,057.7万
-23.19%1,057.7万
-固定资产
----
----
----
-9.15%3,187万
-9.15%3,187万
----
----
----
12.34%3,507.8万
12.34%3,507.8万
-累计折旧
----
----
----
2.06%-2,399.6万
2.06%-2,399.6万
----
----
----
-40.37%-2,450.1万
-40.37%-2,450.1万
商誉及其他无形资产
126.80%5.71亿
-3.20%2.46亿
-3.17%2.48亿
-3.15%2.5亿
-3.15%2.5亿
-3.13%2.52亿
-3.10%2.54亿
-3.08%2.56亿
-3.05%2.58亿
-3.05%2.58亿
-商誉
98.21%3.4亿
0.00%1.72亿
0.00%1.72亿
0.00%1.72亿
0.00%1.72亿
0.00%1.72亿
0.00%1.72亿
0.00%1.72亿
0.00%1.72亿
0.00%1.72亿
-其他无形资产
188.07%2.31亿
-9.88%7,398.6万
-9.65%7,601.3万
-9.43%7,804.1万
-9.43%7,804.1万
-9.21%8,007.1万
-9.00%8,210.1万
-8.81%8,413.2万
-8.62%8,616.3万
-8.62%8,616.3万
投资和预付款
-59.83%115.5万
-59.83%115.5万
-59.83%115.5万
0.00%287.5万
0.00%287.5万
0.00%287.5万
0.00%287.5万
0.00%287.5万
0.00%287.5万
0.00%287.5万
其他非流动资产
130.65%6,860.1万
95.48%5,710.5万
6.33%3,110.3万
4.93%3,186.6万
4.93%3,186.6万
-3.76%2,974.3万
-11.59%2,921.3万
-12.29%2,925.1万
-12.48%3,036.8万
-12.48%3,036.8万
非流动资产合计
122.97%6.53亿
5.68%3.11亿
-3.28%2.87亿
-3.09%2.92亿
-3.09%2.92亿
-4.18%2.93亿
-5.44%2.95亿
-5.84%2.97亿
-4.93%3.02亿
-4.93%3.02亿
总资产
99.36%11.08亿
37.78%7.47亿
28.03%6.58亿
20.41%5.96亿
20.41%5.96亿
13.23%5.56亿
9.97%5.42亿
3.10%5.14亿
1.49%4.95亿
1.49%4.95亿
负债
流动负债
应付款项
123.18%8,285.4万
210.51%6,807.9万
195.15%5,683.1万
60.52%3,427.8万
60.52%3,427.8万
63.14%3,712.5万
13.61%2,192.5万
12.52%1,925.5万
36.03%2,135.5万
36.03%2,135.5万
-应付账款
127.52%7,291.7万
230.60%6,373.6万
232.25%5,323.7万
63.45%3,142.7万
63.45%3,142.7万
40.84%3,204.9万
-0.10%1,927.9万
-6.37%1,602.3万
22.47%1,922.7万
22.47%1,922.7万
-应付税费
95.76%993.7万
64.13%434.3万
11.20%359.4万
33.98%285.1万
33.98%285.1万
--507.6万
--264.6万
--323.2万
--212.8万
--212.8万
应计费用
234.98%8,978.2万
113.30%6,458万
36.87%3,530.9万
139.83%4,781.7万
139.83%4,781.7万
44.75%2,680.2万
45.72%3,027.7万
12.98%2,579.8万
-6.39%1,993.8万
-6.39%1,993.8万
短期借款与租赁负债
951.13%1.07亿
-8.37%940万
-3.84%990.5万
-0.90%1,008.5万
-0.90%1,008.5万
1.95%1,021.8万
-56.32%1,025.9万
-71.71%1,030.1万
-50.53%1,017.7万
-50.53%1,017.7万
-短期借款
1,664.39%1亿
-9.88%522.8万
-6.25%543.1万
-3.65%557.5万
-3.65%557.5万
-1.56%569万
-69.87%580.1万
-82.04%579.3万
-64.46%578.6万
-64.46%578.6万
-短期租赁负债
54.81%701万
-6.42%417.2万
-0.75%447.4万
2.71%451万
2.71%451万
6.72%452.8万
5.32%445.8万
8.16%450.8万
2.31%439.1万
2.31%439.1万
其他流动负债
125.31%631.1万
-6.96%211.3万
43.56%249.5万
33.90%269.8万
33.90%269.8万
-44.40%280.1万
-32.01%227.1万
-47.60%173.8万
-59.33%201.5万
-59.33%201.5万
流动负债总额
246.07%3.03亿
111.78%1.52亿
77.71%1.1亿
66.07%1.08亿
66.07%1.08亿
40.03%8,753.7万
1.03%7,194.8万
-25.60%6,173.2万
-11.34%6,501.7万
-11.34%6,501.7万
非流动负债
长期借款与租赁负债
149.81%1.86亿
-28.93%7,229.4万
-33.14%6,974.9万
-32.52%7,208.2万
-32.52%7,208.2万
-31.73%7,450.6万
-9.00%1.02亿
-8.74%1.04亿
-18.04%1.07亿
-18.04%1.07亿
-长期借款
164.41%1.64亿
-34.60%5,773.5万
-33.53%5,961.2万
-33.16%6,088.1万
-33.16%6,088.1万
-32.76%6,217.7万
-5.95%8,828.4万
-5.85%8,968.4万
-17.39%9,108万
-17.39%9,108万
-长期租赁负债
76.17%2,172万
8.33%1,455.9万
-30.74%1,013.7万
-28.86%1,120.1万
-28.86%1,120.1万
-25.99%1,232.9万
-25.00%1,344万
-23.18%1,463.7万
-21.61%1,574.4万
-21.61%1,574.4万
递延负债
-45.00%428.1万
-53.92%490.1万
-56.75%585.5万
-60.99%374.2万
-60.99%374.2万
-40.49%778.3万
-29.63%1,063.5万
-23.73%1,353.8万
-28.83%959.3万
-28.83%959.3万
其他非流动负债
-9.81%71.7万
7.78%94.2万
6.49%87万
1.95%78.4万
1.95%78.4万
4.88%79.5万
8.84%87.4万
11.01%81.7万
28.60%76.9万
28.60%76.9万
非流动负债总额
130.03%1.91亿
-30.99%7,813.7万
-35.56%7,647.4万
-34.63%7,660.8万
-34.63%7,660.8万
-32.44%8,308.4万
-11.33%1.13亿
-10.63%1.19亿
-18.86%1.17亿
-18.86%1.17亿
总负债
189.57%4.94亿
24.48%2.31亿
3.20%1.86亿
1.31%1.85亿
1.31%1.85亿
-8.01%1.71亿
-6.91%1.85亿
-16.39%1.8亿
-16.32%1.82亿
-16.32%1.82亿
所有者权益
股本
4.73%55.3万
3.81%54.5万
5.03%54.3万
3.88%53.5万
3.88%53.5万
3.13%52.8万
2.74%52.5万
1.77%51.7万
2.18%51.5万
2.18%51.5万
-普通股股本
4.73%55.3万
3.81%54.5万
5.03%54.3万
3.88%53.5万
3.88%53.5万
3.13%52.8万
2.74%52.5万
1.77%51.7万
2.18%51.5万
2.18%51.5万
留存收益
29.52%-3.09亿
26.59%-3.36亿
21.33%-3.69亿
12.73%-4.22亿
12.73%-4.22亿
9.66%-4.38亿
6.91%-4.57亿
5.63%-4.69亿
4.31%-4.84亿
4.31%-4.84亿
资本公积
12.10%9.23亿
4.65%8.52亿
4.76%8.4亿
4.66%8.32亿
4.66%8.32亿
4.17%8.23亿
3.68%8.14亿
2.93%8.02亿
2.71%7.95亿
2.71%7.95亿
不影响留存收益的损益
---5.8万
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----
----
----
----
----
----
----
----
股东权益总额
59.41%6.14亿
44.67%5.16亿
41.46%4.72亿
31.56%4.11亿
31.56%4.11亿
26.14%3.85亿
21.38%3.57亿
17.98%3.33亿
15.87%3.12亿
15.87%3.12亿
总权益
59.41%6.14亿
44.67%5.16亿
41.46%4.72亿
31.56%4.11亿
31.56%4.11亿
26.14%3.85亿
21.38%3.57亿
17.98%3.33亿
15.87%3.12亿
15.87%3.12亿
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)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 -16.45%7,270.5万96.63%1.68亿97.31%1.43亿178.59%1.21亿178.59%1.21亿164.59%8,702.1万104.63%8,531.7万13.95%7,224.8万-24.95%4,335.3万-24.95%4,335.3万
-现金和现金等价物 -16.45%7,270.5万96.63%1.68亿97.31%1.43亿178.59%1.21亿178.59%1.21亿164.59%8,702.1万104.63%8,531.7万13.95%7,224.8万-24.95%4,335.3万-24.95%4,335.3万
应收款项 82.77%1.21亿60.79%8,668.3万73.16%9,053.1万49.07%6,792.8万49.07%6,792.8万40.39%6,623.7万21.49%5,391.2万21.23%5,228.1万13.39%4,556.7万13.39%4,556.7万
-应收账款 82.77%1.21亿60.79%8,668.3万73.16%9,053.1万49.07%6,792.8万49.07%6,792.8万40.39%6,623.7万21.49%5,391.2万21.23%5,228.1万13.39%4,556.7万13.39%4,556.7万
存货 151.70%2.05亿81.12%1.47亿39.40%9,805.3万-3.76%8,132.3万-3.76%8,132.3万-4.69%8,125万5.82%8,128.8万29.00%7,033.9万48.74%8,449.8万48.74%8,449.8万
预付费用 ------------------------45.93%2,688.1万0.45%2,177.2万--------
受限制现金 --225万------------------------------------
其他流动资产 91.60%5,438万--3,377.2万--3,927.6万69.78%3,329.6万69.78%3,329.6万--2,838.2万----------1,961.1万--1,961.1万
流动资产合计 73.04%4.55亿76.01%4.35亿70.98%3.7亿57.14%3.03亿57.14%3.03亿42.01%2.63亿36.45%2.47亿18.56%2.17亿13.45%1.93亿13.45%1.93亿
非流动资产
固定资产净额 46.75%1,280.5万-14.66%762.4万-18.82%758.1万-25.56%787.4万-25.56%787.4万-28.66%872.6万-35.93%893.4万-39.98%933.9万-23.19%1,057.7万-23.19%1,057.7万
-固定资产 -------------9.15%3,187万-9.15%3,187万------------12.34%3,507.8万12.34%3,507.8万
-累计折旧 ------------2.06%-2,399.6万2.06%-2,399.6万-------------40.37%-2,450.1万-40.37%-2,450.1万
商誉及其他无形资产 126.80%5.71亿-3.20%2.46亿-3.17%2.48亿-3.15%2.5亿-3.15%2.5亿-3.13%2.52亿-3.10%2.54亿-3.08%2.56亿-3.05%2.58亿-3.05%2.58亿
-商誉 98.21%3.4亿0.00%1.72亿0.00%1.72亿0.00%1.72亿0.00%1.72亿0.00%1.72亿0.00%1.72亿0.00%1.72亿0.00%1.72亿0.00%1.72亿
-其他无形资产 188.07%2.31亿-9.88%7,398.6万-9.65%7,601.3万-9.43%7,804.1万-9.43%7,804.1万-9.21%8,007.1万-9.00%8,210.1万-8.81%8,413.2万-8.62%8,616.3万-8.62%8,616.3万
投资和预付款 -59.83%115.5万-59.83%115.5万-59.83%115.5万0.00%287.5万0.00%287.5万0.00%287.5万0.00%287.5万0.00%287.5万0.00%287.5万0.00%287.5万
其他非流动资产 130.65%6,860.1万95.48%5,710.5万6.33%3,110.3万4.93%3,186.6万4.93%3,186.6万-3.76%2,974.3万-11.59%2,921.3万-12.29%2,925.1万-12.48%3,036.8万-12.48%3,036.8万
非流动资产合计 122.97%6.53亿5.68%3.11亿-3.28%2.87亿-3.09%2.92亿-3.09%2.92亿-4.18%2.93亿-5.44%2.95亿-5.84%2.97亿-4.93%3.02亿-4.93%3.02亿
总资产 99.36%11.08亿37.78%7.47亿28.03%6.58亿20.41%5.96亿20.41%5.96亿13.23%5.56亿9.97%5.42亿3.10%5.14亿1.49%4.95亿1.49%4.95亿
负债
流动负债
应付款项 123.18%8,285.4万210.51%6,807.9万195.15%5,683.1万60.52%3,427.8万60.52%3,427.8万63.14%3,712.5万13.61%2,192.5万12.52%1,925.5万36.03%2,135.5万36.03%2,135.5万
-应付账款 127.52%7,291.7万230.60%6,373.6万232.25%5,323.7万63.45%3,142.7万63.45%3,142.7万40.84%3,204.9万-0.10%1,927.9万-6.37%1,602.3万22.47%1,922.7万22.47%1,922.7万
-应付税费 95.76%993.7万64.13%434.3万11.20%359.4万33.98%285.1万33.98%285.1万--507.6万--264.6万--323.2万--212.8万--212.8万
应计费用 234.98%8,978.2万113.30%6,458万36.87%3,530.9万139.83%4,781.7万139.83%4,781.7万44.75%2,680.2万45.72%3,027.7万12.98%2,579.8万-6.39%1,993.8万-6.39%1,993.8万
短期借款与租赁负债 951.13%1.07亿-8.37%940万-3.84%990.5万-0.90%1,008.5万-0.90%1,008.5万1.95%1,021.8万-56.32%1,025.9万-71.71%1,030.1万-50.53%1,017.7万-50.53%1,017.7万
-短期借款 1,664.39%1亿-9.88%522.8万-6.25%543.1万-3.65%557.5万-3.65%557.5万-1.56%569万-69.87%580.1万-82.04%579.3万-64.46%578.6万-64.46%578.6万
-短期租赁负债 54.81%701万-6.42%417.2万-0.75%447.4万2.71%451万2.71%451万6.72%452.8万5.32%445.8万8.16%450.8万2.31%439.1万2.31%439.1万
其他流动负债 125.31%631.1万-6.96%211.3万43.56%249.5万33.90%269.8万33.90%269.8万-44.40%280.1万-32.01%227.1万-47.60%173.8万-59.33%201.5万-59.33%201.5万
流动负债总额 246.07%3.03亿111.78%1.52亿77.71%1.1亿66.07%1.08亿66.07%1.08亿40.03%8,753.7万1.03%7,194.8万-25.60%6,173.2万-11.34%6,501.7万-11.34%6,501.7万
非流动负债
长期借款与租赁负债 149.81%1.86亿-28.93%7,229.4万-33.14%6,974.9万-32.52%7,208.2万-32.52%7,208.2万-31.73%7,450.6万-9.00%1.02亿-8.74%1.04亿-18.04%1.07亿-18.04%1.07亿
-长期借款 164.41%1.64亿-34.60%5,773.5万-33.53%5,961.2万-33.16%6,088.1万-33.16%6,088.1万-32.76%6,217.7万-5.95%8,828.4万-5.85%8,968.4万-17.39%9,108万-17.39%9,108万
-长期租赁负债 76.17%2,172万8.33%1,455.9万-30.74%1,013.7万-28.86%1,120.1万-28.86%1,120.1万-25.99%1,232.9万-25.00%1,344万-23.18%1,463.7万-21.61%1,574.4万-21.61%1,574.4万
递延负债 -45.00%428.1万-53.92%490.1万-56.75%585.5万-60.99%374.2万-60.99%374.2万-40.49%778.3万-29.63%1,063.5万-23.73%1,353.8万-28.83%959.3万-28.83%959.3万
其他非流动负债 -9.81%71.7万7.78%94.2万6.49%87万1.95%78.4万1.95%78.4万4.88%79.5万8.84%87.4万11.01%81.7万28.60%76.9万28.60%76.9万
非流动负债总额 130.03%1.91亿-30.99%7,813.7万-35.56%7,647.4万-34.63%7,660.8万-34.63%7,660.8万-32.44%8,308.4万-11.33%1.13亿-10.63%1.19亿-18.86%1.17亿-18.86%1.17亿
总负债 189.57%4.94亿24.48%2.31亿3.20%1.86亿1.31%1.85亿1.31%1.85亿-8.01%1.71亿-6.91%1.85亿-16.39%1.8亿-16.32%1.82亿-16.32%1.82亿
所有者权益
股本 4.73%55.3万3.81%54.5万5.03%54.3万3.88%53.5万3.88%53.5万3.13%52.8万2.74%52.5万1.77%51.7万2.18%51.5万2.18%51.5万
-普通股股本 4.73%55.3万3.81%54.5万5.03%54.3万3.88%53.5万3.88%53.5万3.13%52.8万2.74%52.5万1.77%51.7万2.18%51.5万2.18%51.5万
留存收益 29.52%-3.09亿26.59%-3.36亿21.33%-3.69亿12.73%-4.22亿12.73%-4.22亿9.66%-4.38亿6.91%-4.57亿5.63%-4.69亿4.31%-4.84亿4.31%-4.84亿
资本公积 12.10%9.23亿4.65%8.52亿4.76%8.4亿4.66%8.32亿4.66%8.32亿4.17%8.23亿3.68%8.14亿2.93%8.02亿2.71%7.95亿2.71%7.95亿
不影响留存收益的损益 ---5.8万------------------------------------
股东权益总额 59.41%6.14亿44.67%5.16亿41.46%4.72亿31.56%4.11亿31.56%4.11亿26.14%3.85亿21.38%3.57亿17.98%3.33亿15.87%3.12亿15.87%3.12亿
总权益 59.41%6.14亿44.67%5.16亿41.46%4.72亿31.56%4.11亿31.56%4.11亿26.14%3.85亿21.38%3.57亿17.98%3.33亿15.87%3.12亿15.87%3.12亿
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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