美股市场个股详情

RH Restoration Hardware

添加自选
  • 290.690
  • -1.560-0.53%
收盘价 05/14 16:00 (美东)
  • 291.400
  • +0.710+0.24%
盘后 19:23 (美东)
53.24亿总市值49.19市盈率TTM

Restoration Hardware关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2024/02/03
(Q4)2024/02/03
(Q3)2023/10/28
(Q2)2023/07/29
(Q1)2023/04/29
(FY)2023/01/29
(Q4)2023/01/29
(Q3)2022/10/29
(Q2)2022/07/29
(Q1)2022/04/30
资产
流动资产
现金及现金等价物和短期投资
-91.80%1.24亿
-91.80%1.24亿
-82.30%3.81亿
-80.00%4.17亿
-32.39%15.17亿
-30.75%15.08亿
-30.75%15.08亿
-2.21%21.5亿
615.39%20.85亿
877.34%22.43亿
-现金和现金等价物
-91.80%1.24亿
-91.80%1.24亿
-82.30%3.81亿
-80.00%4.17亿
-32.39%15.17亿
-30.75%15.08亿
-30.75%15.08亿
-2.21%21.5亿
615.39%20.85亿
877.34%22.43亿
应收款项
-2.25%9,359.7万
-2.25%9,359.7万
-46.64%1.03亿
-58.42%9,148.6万
-60.47%9,173.5万
11.09%9,575.5万
11.09%9,575.5万
106.71%1.93亿
145.16%2.2亿
213.45%2.32亿
-应收账款
-7.87%5,505.8万
-7.87%5,505.8万
-4.29%5,605.3万
-1.96%5,444.7万
-8.18%6,023.3万
3.19%5,976.3万
3.19%5,976.3万
-3.39%5,856.3万
-7.12%5,553.8万
8.95%6,560.2万
-应收票据
10.06%329.2万
10.06%329.2万
-83.86%572.5万
-91.27%308.1万
-52.79%453.3万
-64.40%299.1万
-64.40%299.1万
120.01%3,546.3万
150.49%3,527.6万
-30.51%960.1万
-应收利息
-98.89%5.4万
-98.89%5.4万
--102.3万
--178.6万
--273.7万
--487.8万
--487.8万
----
----
----
-应收税费
36.32%2,697.3万
36.32%2,697.3万
-62.05%3,420.9万
-78.03%2,613.1万
-86.00%1,946.7万
336.90%1,978.7万
336.90%1,978.7万
--9,014.1万
649.85%1.19亿
--1.39亿
-其他应收款
-1.39%822万
-1.39%822万
-32.10%589.8万
-41.09%604.1万
-73.17%476.5万
-45.71%833.6万
-45.71%833.6万
-47.54%868.6万
--1,025.5万
--1,776.1万
存货
-5.95%7.54亿
-5.95%7.54亿
-12.25%7.19亿
-14.13%7.38亿
-6.24%7.66亿
9.20%8.02亿
9.20%8.02亿
29.31%8.19亿
32.99%8.59亿
37.61%8.17亿
预付费用
50.37%6,849.8万
50.37%6,849.8万
-17.77%3,497.9万
-32.78%4,453.5万
-38.24%4,759.3万
-10.88%4,555.3万
-10.88%4,555.3万
-28.61%4,253.6万
-18.98%6,625万
17.63%7,705.6万
受限制现金
--0
--0
-49.51%196万
466.08%353.8万
144.00%353.8万
--366.2万
--366.2万
-18.27%388.2万
-86.84%62.5万
-67.05%145万
其他流动资产
7.34%6,199.3万
7.34%6,199.3万
-17.49%4,737.9万
207.20%6,225.7万
78.98%4,998.8万
37.66%5,775.2万
37.66%5,775.2万
142.76%5,742.1万
-15.94%2,026.6万
26.96%2,792.9万
流动资产合计
-56.15%11.02亿
-56.15%11.02亿
-60.60%12.87亿
-58.28%13.57亿
-27.16%24.76亿
-18.72%25.13亿
-18.72%25.13亿
8.38%32.66亿
185.75%32.51亿
243.54%33.99亿
非流动资产
固定资产净额
10.04%24.31亿
10.04%24.31亿
10.38%23.76亿
6.58%22.64亿
10.50%22.3亿
11.39%22.09亿
11.39%22.09亿
9.96%21.52亿
12.61%21.25亿
11.19%20.18亿
-固定资产
10.86%31.16亿
10.86%31.16亿
10.38%23.76亿
6.58%22.64亿
10.50%22.3亿
12.58%28.11亿
12.58%28.11亿
9.96%21.52亿
12.61%21.25亿
11.19%20.18亿
-累计折旧
-13.84%-6.85亿
-13.84%-6.85亿
----
----
----
-17.21%-6.02亿
-17.21%-6.02亿
----
----
----
商誉及其他无形资产
0.59%2.17亿
0.59%2.17亿
0.67%2.17亿
0.75%2.17亿
0.74%2.16亿
0.66%2.16亿
0.66%2.16亿
0.58%2.15亿
0.56%2.15亿
0.56%2.15亿
-商誉
-0.01%1.41亿
-0.01%1.41亿
-0.02%1.41亿
-0.03%1.41亿
-0.05%1.41亿
-0.04%1.41亿
-0.04%1.41亿
-0.09%1.41亿
-0.02%1.41亿
-0.04%1.41亿
-其他无形资产
1.73%7,592.7万
1.73%7,592.7万
1.99%7,574.6万
2.25%7,547.2万
2.25%7,514.4万
2.01%7,463.3万
2.01%7,463.3万
1.87%7,426.9万
1.69%7,381万
1.73%7,348.8万
投资和预付款
26.81%1.29亿
26.81%1.29亿
32.07%1.28亿
32.69%1.3亿
32.27%1.33亿
0.65%1.01亿
0.65%1.01亿
-0.99%9,700.5万
0.74%9,813.5万
1.43%1.01亿
非流动递延资产
-14.11%1.47亿
-14.11%1.47亿
93.66%1.29亿
88.92%1.26亿
124.72%1.54亿
179.77%1.71亿
179.77%1.71亿
22.72%6,654.1万
23.29%6,692.2万
33.88%6,844.8万
长期预付费用
-5.42%1,677.5万
-5.42%1,677.5万
146.65%1,699.2万
156.38%1,781.6万
186.63%1,969.7万
132.36%1,773.6万
132.36%1,773.6万
0.42%688.9万
-7.76%694.9万
-6.43%687.2万
其他非流动资产
24.38%1.03亿
24.38%1.03亿
10.28%8,743.6万
47.20%1.01亿
13.70%9,163.2万
0.06%8,243.2万
0.06%8,243.2万
4.51%7,928.9万
-1.58%6,858.4万
29.77%8,058.8万
非流动资产合计
8.77%30.42亿
8.77%30.42亿
12.86%29.54亿
10.70%28.56亿
14.27%28.44亿
14.19%27.97亿
14.19%27.97亿
8.77%26.17亿
10.77%25.8亿
10.72%24.89亿
总资产
-21.95%41.44亿
-21.95%41.44亿
-27.93%42.41亿
-27.76%42.13亿
-9.65%53.2亿
-4.17%53.09亿
-4.17%53.09亿
8.56%58.84亿
68.19%58.31亿
81.88%58.88亿
负债
流动负债
应付款项
20.84%2.37亿
20.84%2.37亿
9.62%2.22亿
-8.01%1.91亿
-33.93%1.86亿
-34.24%1.96亿
-34.24%1.96亿
-17.19%2.02亿
-21.81%2.08亿
-18.87%2.81亿
-应付账款
15.81%1.92亿
15.81%1.92亿
-0.52%1.8亿
-19.31%1.5亿
-38.50%1.57亿
-31.38%1.66亿
-31.38%1.66亿
-12.21%1.8亿
-21.91%1.86亿
9.76%2.55亿
-应付税费
48.66%4,462.1万
48.66%4,462.1万
93.82%4,214.9万
90.06%4,081.9万
9.60%2,929.9万
-46.57%3,001.5万
-46.57%3,001.5万
-43.68%2,174.6万
-20.92%2,147.7万
-76.71%2,673.2万
应计费用
-14.06%9,158.9万
-14.06%9,158.9万
19.81%1.39亿
24.95%1.2亿
-3.60%8,984.9万
35.45%1.07亿
35.45%1.07亿
35.10%1.16亿
7.21%9,571.1万
12.94%9,320.9万
现行拨备
-5.59%1,958.8万
-5.59%1,958.8万
-19.14%1,972.9万
-18.24%2,140.9万
-21.80%1,932.3万
-17.85%2,074.7万
-17.85%2,074.7万
-9.74%2,439.9万
-10.79%2,618.6万
-30.71%2,470.9万
短期借款与租赁负债
34.60%1.67亿
34.60%1.67亿
42.05%1.74亿
5.94%1.26亿
-70.71%1.25亿
-8.73%1.24亿
-8.73%1.24亿
-48.45%1.23亿
-66.04%1.19亿
269.39%4.28亿
-短期借款
150.36%6,683.5万
150.36%6,683.5万
135.29%6,680.7万
-9.65%2,500万
-92.09%2,669.4万
-42.73%2,669.6万
-42.73%2,669.6万
-80.88%2,839.3万
-89.47%2,766.9万
1,102.77%3.38亿
-短期租赁负债
2.88%1亿
2.88%1亿
14.01%1.08亿
10.65%1.01亿
9.21%9,861.1万
9.01%9,739.1万
9.01%9,739.1万
5.23%9,441.5万
3.66%9,153.7万
2.88%9,029.1万
递延负债
-12.75%3.08亿
-12.75%3.08亿
-15.18%3.3亿
-14.53%3.55亿
-19.24%3.73亿
-14.16%3.52亿
-14.16%3.52亿
-4.52%3.89亿
-0.44%4.16亿
20.95%4.62亿
其他流动负债
-32.24%632.7万
-32.24%632.7万
-23.93%653.2万
-64.45%772.7万
-57.87%758.3万
-48.57%933.8万
-48.57%933.8万
-47.85%858.7万
398.83%2,173.4万
352.21%1,799.8万
流动负债总额
-1.48%8.73亿
-1.48%8.73亿
-0.02%9.35亿
-8.99%8.73亿
-37.46%8.52亿
-16.71%8.86亿
-16.71%8.86亿
-14.70%9.35亿
-21.98%9.59亿
33.99%13.62亿
非流动负债
长期借款与租赁负债
-2.07%35.49亿
-2.07%35.49亿
-0.66%36.23亿
-0.94%36.1亿
13.77%36.14亿
9.90%36.24亿
9.90%36.24亿
10.83%36.47亿
162.98%36.45亿
97.22%31.77亿
-长期借款
-2.40%24.06亿
-2.40%24.06亿
-2.39%24.11亿
0.03%24.57亿
20.11%24.61亿
12.23%24.65亿
12.23%24.65亿
12.11%24.7亿
668.66%24.56亿
254.76%20.49亿
-长期租赁负债
-1.37%11.43亿
-1.37%11.43亿
2.98%12.13亿
-2.95%11.53亿
2.26%11.53亿
5.25%11.59亿
5.25%11.59亿
8.25%11.78亿
11.45%11.88亿
9.15%11.28亿
递延负债
33.68%844.2万
33.68%844.2万
--613.9万
--640.1万
--640.2万
--631.5万
--631.5万
----
----
----
其他非流动负债
31.77%1,063.9万
31.77%1,063.9万
30.05%930万
4.45%811.6万
5.61%816.5万
-7.26%807.4万
-7.26%807.4万
3.86%715.1万
-29.34%777万
-31.98%773.1万
非流动负债总额
-1.93%35.68亿
-1.93%35.68亿
-0.43%36.39亿
-0.75%36.25亿
13.95%36.29亿
10.05%36.39亿
10.05%36.39亿
10.21%36.55亿
155.08%36.52亿
95.77%31.85亿
总负债
-1.84%44.41亿
-1.84%44.41亿
-0.35%45.74亿
-2.47%44.97亿
-1.45%44.8亿
3.53%45.25亿
3.53%45.25亿
4.02%45.9亿
73.30%46.11亿
72.02%45.46亿
所有者权益
股本
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
-普通股股本
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
0.00%2,000
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
-208.01%-5.83亿
-208.01%-5.83亿
-159.95%-5.95亿
-161.48%-5.5亿
-24.60%5.82亿
-2.02%5.4亿
-2.02%5.4亿
145.69%9.93亿
306.42%8.94亿
11,478.77%7.72亿
资本公积
16.48%2.88亿
16.48%2.88亿
-13.69%2.71亿
-21.63%2.62亿
-55.25%2.58亿
-60.19%2.47亿
-60.19%2.47亿
-47.91%3.14亿
-42.71%3.34亿
-3.63%5.76亿
不影响留存收益的损益
19.35%-193.8万
19.35%-193.8万
29.08%-899.6万
141.98%327.2万
98.06%-10.8万
-70.43%-240.3万
-70.43%-240.3万
-1,186.04%-1,268.5万
-338.74%-779.5万
-241.96%-555.5万
股东权益总额
-137.90%-2.97亿
-137.90%-2.97亿
-125.75%-3.33亿
-123.32%-2.85亿
-37.44%8.39亿
-32.95%7.85亿
-32.95%7.85亿
28.39%12.94亿
51.33%12.2亿
125.72%13.42亿
总权益
-137.90%-2.97亿
-137.90%-2.97亿
-125.75%-3.33亿
-123.32%-2.85亿
-37.44%8.39亿
-32.95%7.85亿
-32.95%7.85亿
28.39%12.94亿
51.33%12.2亿
125.72%13.42亿
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
--
--
--
--
--
--
--
--
--
(FY)2024/02/03(Q4)2024/02/03(Q3)2023/10/28(Q2)2023/07/29(Q1)2023/04/29(FY)2023/01/29(Q4)2023/01/29(Q3)2022/10/29(Q2)2022/07/29(Q1)2022/04/30
资产
流动资产
现金及现金等价物和短期投资 -91.80%1.24亿-91.80%1.24亿-82.30%3.81亿-80.00%4.17亿-32.39%15.17亿-30.75%15.08亿-30.75%15.08亿-2.21%21.5亿615.39%20.85亿877.34%22.43亿
-现金和现金等价物 -91.80%1.24亿-91.80%1.24亿-82.30%3.81亿-80.00%4.17亿-32.39%15.17亿-30.75%15.08亿-30.75%15.08亿-2.21%21.5亿615.39%20.85亿877.34%22.43亿
应收款项 -2.25%9,359.7万-2.25%9,359.7万-46.64%1.03亿-58.42%9,148.6万-60.47%9,173.5万11.09%9,575.5万11.09%9,575.5万106.71%1.93亿145.16%2.2亿213.45%2.32亿
-应收账款 -7.87%5,505.8万-7.87%5,505.8万-4.29%5,605.3万-1.96%5,444.7万-8.18%6,023.3万3.19%5,976.3万3.19%5,976.3万-3.39%5,856.3万-7.12%5,553.8万8.95%6,560.2万
-应收票据 10.06%329.2万10.06%329.2万-83.86%572.5万-91.27%308.1万-52.79%453.3万-64.40%299.1万-64.40%299.1万120.01%3,546.3万150.49%3,527.6万-30.51%960.1万
-应收利息 -98.89%5.4万-98.89%5.4万--102.3万--178.6万--273.7万--487.8万--487.8万------------
-应收税费 36.32%2,697.3万36.32%2,697.3万-62.05%3,420.9万-78.03%2,613.1万-86.00%1,946.7万336.90%1,978.7万336.90%1,978.7万--9,014.1万649.85%1.19亿--1.39亿
-其他应收款 -1.39%822万-1.39%822万-32.10%589.8万-41.09%604.1万-73.17%476.5万-45.71%833.6万-45.71%833.6万-47.54%868.6万--1,025.5万--1,776.1万
存货 -5.95%7.54亿-5.95%7.54亿-12.25%7.19亿-14.13%7.38亿-6.24%7.66亿9.20%8.02亿9.20%8.02亿29.31%8.19亿32.99%8.59亿37.61%8.17亿
预付费用 50.37%6,849.8万50.37%6,849.8万-17.77%3,497.9万-32.78%4,453.5万-38.24%4,759.3万-10.88%4,555.3万-10.88%4,555.3万-28.61%4,253.6万-18.98%6,625万17.63%7,705.6万
受限制现金 --0--0-49.51%196万466.08%353.8万144.00%353.8万--366.2万--366.2万-18.27%388.2万-86.84%62.5万-67.05%145万
其他流动资产 7.34%6,199.3万7.34%6,199.3万-17.49%4,737.9万207.20%6,225.7万78.98%4,998.8万37.66%5,775.2万37.66%5,775.2万142.76%5,742.1万-15.94%2,026.6万26.96%2,792.9万
流动资产合计 -56.15%11.02亿-56.15%11.02亿-60.60%12.87亿-58.28%13.57亿-27.16%24.76亿-18.72%25.13亿-18.72%25.13亿8.38%32.66亿185.75%32.51亿243.54%33.99亿
非流动资产
固定资产净额 10.04%24.31亿10.04%24.31亿10.38%23.76亿6.58%22.64亿10.50%22.3亿11.39%22.09亿11.39%22.09亿9.96%21.52亿12.61%21.25亿11.19%20.18亿
-固定资产 10.86%31.16亿10.86%31.16亿10.38%23.76亿6.58%22.64亿10.50%22.3亿12.58%28.11亿12.58%28.11亿9.96%21.52亿12.61%21.25亿11.19%20.18亿
-累计折旧 -13.84%-6.85亿-13.84%-6.85亿-------------17.21%-6.02亿-17.21%-6.02亿------------
商誉及其他无形资产 0.59%2.17亿0.59%2.17亿0.67%2.17亿0.75%2.17亿0.74%2.16亿0.66%2.16亿0.66%2.16亿0.58%2.15亿0.56%2.15亿0.56%2.15亿
-商誉 -0.01%1.41亿-0.01%1.41亿-0.02%1.41亿-0.03%1.41亿-0.05%1.41亿-0.04%1.41亿-0.04%1.41亿-0.09%1.41亿-0.02%1.41亿-0.04%1.41亿
-其他无形资产 1.73%7,592.7万1.73%7,592.7万1.99%7,574.6万2.25%7,547.2万2.25%7,514.4万2.01%7,463.3万2.01%7,463.3万1.87%7,426.9万1.69%7,381万1.73%7,348.8万
投资和预付款 26.81%1.29亿26.81%1.29亿32.07%1.28亿32.69%1.3亿32.27%1.33亿0.65%1.01亿0.65%1.01亿-0.99%9,700.5万0.74%9,813.5万1.43%1.01亿
非流动递延资产 -14.11%1.47亿-14.11%1.47亿93.66%1.29亿88.92%1.26亿124.72%1.54亿179.77%1.71亿179.77%1.71亿22.72%6,654.1万23.29%6,692.2万33.88%6,844.8万
长期预付费用 -5.42%1,677.5万-5.42%1,677.5万146.65%1,699.2万156.38%1,781.6万186.63%1,969.7万132.36%1,773.6万132.36%1,773.6万0.42%688.9万-7.76%694.9万-6.43%687.2万
其他非流动资产 24.38%1.03亿24.38%1.03亿10.28%8,743.6万47.20%1.01亿13.70%9,163.2万0.06%8,243.2万0.06%8,243.2万4.51%7,928.9万-1.58%6,858.4万29.77%8,058.8万
非流动资产合计 8.77%30.42亿8.77%30.42亿12.86%29.54亿10.70%28.56亿14.27%28.44亿14.19%27.97亿14.19%27.97亿8.77%26.17亿10.77%25.8亿10.72%24.89亿
总资产 -21.95%41.44亿-21.95%41.44亿-27.93%42.41亿-27.76%42.13亿-9.65%53.2亿-4.17%53.09亿-4.17%53.09亿8.56%58.84亿68.19%58.31亿81.88%58.88亿
负债
流动负债
应付款项 20.84%2.37亿20.84%2.37亿9.62%2.22亿-8.01%1.91亿-33.93%1.86亿-34.24%1.96亿-34.24%1.96亿-17.19%2.02亿-21.81%2.08亿-18.87%2.81亿
-应付账款 15.81%1.92亿15.81%1.92亿-0.52%1.8亿-19.31%1.5亿-38.50%1.57亿-31.38%1.66亿-31.38%1.66亿-12.21%1.8亿-21.91%1.86亿9.76%2.55亿
-应付税费 48.66%4,462.1万48.66%4,462.1万93.82%4,214.9万90.06%4,081.9万9.60%2,929.9万-46.57%3,001.5万-46.57%3,001.5万-43.68%2,174.6万-20.92%2,147.7万-76.71%2,673.2万
应计费用 -14.06%9,158.9万-14.06%9,158.9万19.81%1.39亿24.95%1.2亿-3.60%8,984.9万35.45%1.07亿35.45%1.07亿35.10%1.16亿7.21%9,571.1万12.94%9,320.9万
现行拨备 -5.59%1,958.8万-5.59%1,958.8万-19.14%1,972.9万-18.24%2,140.9万-21.80%1,932.3万-17.85%2,074.7万-17.85%2,074.7万-9.74%2,439.9万-10.79%2,618.6万-30.71%2,470.9万
短期借款与租赁负债 34.60%1.67亿34.60%1.67亿42.05%1.74亿5.94%1.26亿-70.71%1.25亿-8.73%1.24亿-8.73%1.24亿-48.45%1.23亿-66.04%1.19亿269.39%4.28亿
-短期借款 150.36%6,683.5万150.36%6,683.5万135.29%6,680.7万-9.65%2,500万-92.09%2,669.4万-42.73%2,669.6万-42.73%2,669.6万-80.88%2,839.3万-89.47%2,766.9万1,102.77%3.38亿
-短期租赁负债 2.88%1亿2.88%1亿14.01%1.08亿10.65%1.01亿9.21%9,861.1万9.01%9,739.1万9.01%9,739.1万5.23%9,441.5万3.66%9,153.7万2.88%9,029.1万
递延负债 -12.75%3.08亿-12.75%3.08亿-15.18%3.3亿-14.53%3.55亿-19.24%3.73亿-14.16%3.52亿-14.16%3.52亿-4.52%3.89亿-0.44%4.16亿20.95%4.62亿
其他流动负债 -32.24%632.7万-32.24%632.7万-23.93%653.2万-64.45%772.7万-57.87%758.3万-48.57%933.8万-48.57%933.8万-47.85%858.7万398.83%2,173.4万352.21%1,799.8万
流动负债总额 -1.48%8.73亿-1.48%8.73亿-0.02%9.35亿-8.99%8.73亿-37.46%8.52亿-16.71%8.86亿-16.71%8.86亿-14.70%9.35亿-21.98%9.59亿33.99%13.62亿
非流动负债
长期借款与租赁负债 -2.07%35.49亿-2.07%35.49亿-0.66%36.23亿-0.94%36.1亿13.77%36.14亿9.90%36.24亿9.90%36.24亿10.83%36.47亿162.98%36.45亿97.22%31.77亿
-长期借款 -2.40%24.06亿-2.40%24.06亿-2.39%24.11亿0.03%24.57亿20.11%24.61亿12.23%24.65亿12.23%24.65亿12.11%24.7亿668.66%24.56亿254.76%20.49亿
-长期租赁负债 -1.37%11.43亿-1.37%11.43亿2.98%12.13亿-2.95%11.53亿2.26%11.53亿5.25%11.59亿5.25%11.59亿8.25%11.78亿11.45%11.88亿9.15%11.28亿
递延负债 33.68%844.2万33.68%844.2万--613.9万--640.1万--640.2万--631.5万--631.5万------------
其他非流动负债 31.77%1,063.9万31.77%1,063.9万30.05%930万4.45%811.6万5.61%816.5万-7.26%807.4万-7.26%807.4万3.86%715.1万-29.34%777万-31.98%773.1万
非流动负债总额 -1.93%35.68亿-1.93%35.68亿-0.43%36.39亿-0.75%36.25亿13.95%36.29亿10.05%36.39亿10.05%36.39亿10.21%36.55亿155.08%36.52亿95.77%31.85亿
总负债 -1.84%44.41亿-1.84%44.41亿-0.35%45.74亿-2.47%44.97亿-1.45%44.8亿3.53%45.25亿3.53%45.25亿4.02%45.9亿73.30%46.11亿72.02%45.46亿
所有者权益
股本 0.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,000
-普通股股本 0.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,0000.00%2,000
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 -208.01%-5.83亿-208.01%-5.83亿-159.95%-5.95亿-161.48%-5.5亿-24.60%5.82亿-2.02%5.4亿-2.02%5.4亿145.69%9.93亿306.42%8.94亿11,478.77%7.72亿
资本公积 16.48%2.88亿16.48%2.88亿-13.69%2.71亿-21.63%2.62亿-55.25%2.58亿-60.19%2.47亿-60.19%2.47亿-47.91%3.14亿-42.71%3.34亿-3.63%5.76亿
不影响留存收益的损益 19.35%-193.8万19.35%-193.8万29.08%-899.6万141.98%327.2万98.06%-10.8万-70.43%-240.3万-70.43%-240.3万-1,186.04%-1,268.5万-338.74%-779.5万-241.96%-555.5万
股东权益总额 -137.90%-2.97亿-137.90%-2.97亿-125.75%-3.33亿-123.32%-2.85亿-37.44%8.39亿-32.95%7.85亿-32.95%7.85亿28.39%12.94亿51.33%12.2亿125.72%13.42亿
总权益 -137.90%-2.97亿-137.90%-2.97亿-125.75%-3.33亿-123.32%-2.85亿-37.44%8.39亿-32.95%7.85亿-32.95%7.85亿28.39%12.94亿51.33%12.2亿125.72%13.42亿
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------------------

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