美股市场个股详情

SHO Sunstone Hotel Investors

添加自选
  • 10.410
  • -0.140-1.33%
收盘价 05/17 16:00 (美东)
  • 10.410
  • 0.0000.00%
盘后 16:03 (美东)
21.20亿总市值11.57市盈率TTM

Sunstone Hotel Investors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
315.70%4.01亿
321.25%4.26亿
321.25%4.26亿
-3.25%1.14亿
0.48%1.08亿
-55.15%9,638.6万
-15.99%1.01亿
-15.99%1.01亿
-34.49%1.18亿
-34.11%1.07亿
-现金和现金等价物
315.70%4.01亿
321.25%4.26亿
321.25%4.26亿
-3.25%1.14亿
0.48%1.08亿
-55.15%9,638.6万
-15.99%1.01亿
-15.99%1.01亿
-34.49%1.18亿
-34.11%1.07亿
应收款项
-12.59%3,669.4万
-25.86%3,120.6万
-25.86%3,120.6万
-37.39%2,864.6万
13.98%4,804.3万
18.77%4,198.1万
46.49%4,209.2万
46.49%4,209.2万
61.38%4,575万
68.31%4,215.1万
-应收账款
-12.59%3,669.4万
-25.86%3,120.6万
-25.86%3,120.6万
-37.39%2,864.6万
13.98%4,804.3万
18.77%4,198.1万
46.49%4,209.2万
46.49%4,209.2万
61.38%4,575万
68.31%4,215.1万
存货
--938.1万
15.94%918.5万
15.94%918.5万
--842.6万
----
----
--792.2万
--792.2万
----
----
预付费用
--1,431.6万
25.39%812.3万
25.39%812.3万
--1,175.1万
----
----
--647.8万
--647.8万
----
----
受限制现金
43.17%7,031.7万
20.21%6,729.5万
20.21%6,729.5万
41.74%7,122.8万
22.05%5,566.8万
24.39%4,911.5万
32.55%5,598.3万
32.55%5,598.3万
19.30%5,025.3万
-3.96%4,561.1万
其他流动资产
----
----
----
----
8.00%1,526.8万
13.04%2,050.2万
----
----
-22.35%1,437.4万
90.71%1,413.7万
流动资产合计
155.49%5.31亿
153.73%5.42亿
153.73%5.42亿
111.26%4.82亿
8.41%2.27亿
-32.44%2.08亿
-24.25%2.14亿
-24.25%2.14亿
-19.23%2.28亿
-13.84%2.09亿
非流动资产
固定资产净额
-26.61%1,455.6万
-15.15%1,587.5万
-15.15%1,587.5万
-25.17%1,719.5万
-23.73%1,851.3万
-22.33%1,983.3万
-35.64%1,871万
-35.64%1,871万
-69.39%2,297.9万
-68.33%2,427.3万
-固定资产
-26.61%1,455.6万
-15.15%1,587.5万
-15.15%1,587.5万
-25.17%1,719.5万
-23.73%1,851.3万
-22.33%1,983.3万
-35.64%1,871万
-35.64%1,871万
-74.12%2,297.9万
-73.03%2,427.3万
商誉及其他无形资产
0.00%93万
-0.32%93万
-0.32%93万
0.22%93万
--93万
--93万
-97.81%93.3万
-97.81%93.3万
--92.8万
----
-其他无形资产
0.00%93万
-0.32%93万
-0.32%93万
0.22%93万
--93万
--93万
-97.81%93.3万
-97.81%93.3万
--92.8万
----
长期应收款
----
----
----
----
----
----
----
----
-61.14%71.5万
-66.88%68.8万
金融资产
--205.8万
55.60%41.7万
55.60%41.7万
--361.6万
137.24%214.7万
----
--26.8万
--26.8万
----
--90.5万
非流动递延资产
-44.94%389.4万
-43.86%417.9万
-43.86%417.9万
-38.20%462.6万
81.56%661.8万
60.73%707.2万
47.85%744.4万
47.85%744.4万
26.52%748.5万
-38.94%364.5万
其他非流动资产
-6.97%42.7万
-48.68%42.9万
-48.68%42.9万
418.60%44.6万
422.62%43.9万
-51.27%45.9万
839.33%83.6万
839.33%83.6万
-76.57%8.6万
-80.60%8.4万
非流动资产合计
-8.88%26.11亿
-9.13%26.07亿
-9.13%26.07亿
-9.55%26.07亿
-0.63%28.59亿
8.32%28.65亿
3.99%28.69亿
3.99%28.69亿
4.73%28.82亿
3.78%28.77亿
总资产
2.24%31.42亿
2.16%31.49亿
2.16%31.49亿
-0.69%30.89亿
-0.01%30.86亿
4.07%30.73亿
1.37%30.83亿
1.37%30.83亿
2.50%31.1亿
2.36%30.87亿
负债
流动负债
应付款项
-16.06%6,744.6万
-10.77%7,969.6万
-10.77%7,969.6万
-12.32%7,918.5万
-10.59%7,177.4万
15.92%8,034.8万
36.37%8,931.4万
36.37%8,931.4万
30.31%9,030.8万
37.11%8,027.2万
-应付账款
-9.39%4,807.8万
-34.35%4,841万
-34.35%4,841万
0.57%6,085.4万
-29.12%4,497.2万
-5.08%5,306.1万
54.58%7,373.5万
54.58%7,373.5万
24.15%6,051.2万
54.59%6,345.1万
-应付税费
----
----
----
----
-1.77%1,058.2万
40.58%1,119.9万
----
----
-13.45%1,453.8万
-26.59%1,077.3万
-应付股利
28.19%1,824.3万
114.11%2,996.5万
114.11%2,996.5万
27.25%1,776.5万
241.54%1,489.1万
277.18%1,423.1万
298.38%1,399.5万
298.38%1,399.5万
348.62%1,396.1万
95.96%436万
-其他应付款
-39.42%112.5万
-16.60%132.1万
-16.60%132.1万
-56.36%56.6万
-21.27%132.9万
11.20%185.7万
-6.33%158.4万
-6.33%158.4万
98.02%129.7万
182.27%168.8万
应计费用
-84.53%335.3万
-8.23%634.6万
-8.23%634.6万
-83.99%420.2万
0.27%2,476.1万
19.50%2,168万
-74.01%691.5万
-74.01%691.5万
19.18%2,624.5万
0.95%2,469.4万
短期借款与租赁负债
158.96%5.75亿
-66.34%7,405万
-66.34%7,405万
27,438.31%5.75亿
25.46%206.5万
102.33%2.22亿
963.11%2.2亿
963.11%2.2亿
-97.61%208.8万
-29.39%164.6万
-短期借款
158.96%5.75亿
-66.34%7,405万
-66.34%7,405万
27,438.31%5.75亿
25.46%206.5万
102.33%2.22亿
963.11%2.2亿
963.11%2.2亿
-97.61%208.8万
-29.39%164.6万
递延负债
----
----
----
----
6.70%4,408.8万
3.76%5,128.8万
----
----
42.14%4,467.3万
57.90%4,131.9万
其他流动负债
----
----
----
236.18%1,539.7万
6.70%422.2万
70.89%557.6万
----
----
-53.13%458万
78.32%395.7万
流动负债总额
69.53%6.46亿
-49.37%1.6亿
-49.37%1.6亿
301.32%6.74亿
-3.28%1.47亿
52.44%3.81亿
79.92%3.16亿
79.92%3.16亿
-23.66%1.68亿
33.56%1.52亿
非流动负债
长期借款与租赁负债
-57.90%2.55亿
23.79%7.57亿
23.79%7.57亿
-68.94%2.58亿
0.59%8.27亿
24.68%6.06亿
-0.35%6.12亿
-0.35%6.12亿
18.85%8.29亿
4.77%8.22亿
-长期借款
-59.44%2.39亿
24.94%7.41亿
24.94%7.41亿
-70.44%2.4亿
1.29%8.13亿
27.06%5.9亿
0.67%5.93亿
0.67%5.93亿
23.67%8.11亿
8.23%8.02亿
-长期租赁负债
1.06%1,558.8万
-11.98%1,673.5万
-11.98%1,673.5万
-2.53%1,788.4万
-27.93%1,426.7万
-27.34%1,542.5万
-24.32%1,901.2万
-24.32%1,901.2万
-56.31%1,834.9万
-54.37%1,979.6万
递延负债
533.43%6,403.3万
-11.18%4,814.3万
-11.18%4,814.3万
620.83%5,100.6万
42.37%906.5万
56.80%1,010.9万
712.35%5,420万
712.35%5,420万
-22.29%707.6万
-0.28%636.7万
衍生品负债
--0
--40.1万
--40.1万
----
----
--161.1万
--0
--0
--0
--0
其他非流动负债
144.67%582.8万
-14.50%704万
-14.50%704万
131.77%579.2万
-24.43%207.9万
-11.65%238.2万
135.26%823.4万
135.26%823.4万
-19.96%249.9万
-11.11%275.1万
非流动负债总额
-45.95%3.35亿
20.68%8.23亿
20.68%8.23亿
-60.97%3.27亿
0.83%8.38亿
25.23%6.2亿
8.97%6.82亿
8.97%6.82亿
17.78%8.39亿
4.13%8.31亿
总负债
-2.00%9.81亿
-1.52%9.83亿
-1.52%9.83亿
-0.55%10.01亿
0.19%9.85亿
34.36%10.01亿
24.53%9.98亿
24.53%9.98亿
8.00%10.07亿
7.80%9.83亿
所有者权益
股本
-0.01%2.83亿
-0.02%2.83亿
-0.02%2.83亿
-0.02%2.83亿
-0.02%2.83亿
-0.03%2.83亿
-0.04%2.83亿
-0.04%2.83亿
-0.03%2.83亿
9.65%2.83亿
-普通股股本
-1.78%203.7万
-2.77%203.5万
-2.77%203.5万
-2.84%205.6万
-2.49%207.2万
-3.85%207.4万
-4.56%209.3万
-4.56%209.3万
-3.51%211.6万
-2.97%212.5万
-优先股股本
0.00%2.81亿
0.00%2.81亿
0.00%2.81亿
0.00%2.81亿
0.00%2.81亿
0.00%2.81亿
0.00%2.81亿
0.00%2.81亿
0.00%2.81亿
9.76%2.81亿
留存收益
-150.93%-5.38亿
19.72%-5.33亿
19.72%-5.33亿
-161.92%-6.3亿
10.24%11亿
9.81%10.56亿
-170.04%-6.64亿
-170.04%-6.64亿
25.65%10.18亿
19.72%9.97亿
资本公积
-1.23%24.16亿
-1.99%24.16亿
-1.99%24.16亿
-2.14%24.35亿
-1.93%24.46亿
-5.49%24.46亿
-6.30%24.66亿
-6.30%24.66亿
-5.37%24.88亿
-5.04%24.94亿
其他权益
----
----
----
----
-3.36%-17.28亿
-2.74%-17.14亿
----
----
-1.50%-16.86亿
-1.04%-16.72亿
股东权益总额
4.29%21.61亿
3.92%21.67亿
3.92%21.67亿
-0.76%20.88亿
-0.11%21.01亿
-4.32%20.72亿
-5.18%20.85亿
-5.18%20.85亿
2.02%21.04亿
1.92%21.03亿
非控制性权益
----
--0
--0
----
----
----
--0
--0
--0
--0
总权益
4.29%21.61亿
3.92%21.67亿
3.92%21.67亿
-0.76%20.88亿
-0.11%21.01亿
-6.14%20.72亿
-6.91%20.85亿
-6.91%20.85亿
0.06%21.04亿
0.01%21.03亿
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
--
--
--
(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 315.70%4.01亿321.25%4.26亿321.25%4.26亿-3.25%1.14亿0.48%1.08亿-55.15%9,638.6万-15.99%1.01亿-15.99%1.01亿-34.49%1.18亿-34.11%1.07亿
-现金和现金等价物 315.70%4.01亿321.25%4.26亿321.25%4.26亿-3.25%1.14亿0.48%1.08亿-55.15%9,638.6万-15.99%1.01亿-15.99%1.01亿-34.49%1.18亿-34.11%1.07亿
应收款项 -12.59%3,669.4万-25.86%3,120.6万-25.86%3,120.6万-37.39%2,864.6万13.98%4,804.3万18.77%4,198.1万46.49%4,209.2万46.49%4,209.2万61.38%4,575万68.31%4,215.1万
-应收账款 -12.59%3,669.4万-25.86%3,120.6万-25.86%3,120.6万-37.39%2,864.6万13.98%4,804.3万18.77%4,198.1万46.49%4,209.2万46.49%4,209.2万61.38%4,575万68.31%4,215.1万
存货 --938.1万15.94%918.5万15.94%918.5万--842.6万----------792.2万--792.2万--------
预付费用 --1,431.6万25.39%812.3万25.39%812.3万--1,175.1万----------647.8万--647.8万--------
受限制现金 43.17%7,031.7万20.21%6,729.5万20.21%6,729.5万41.74%7,122.8万22.05%5,566.8万24.39%4,911.5万32.55%5,598.3万32.55%5,598.3万19.30%5,025.3万-3.96%4,561.1万
其他流动资产 ----------------8.00%1,526.8万13.04%2,050.2万---------22.35%1,437.4万90.71%1,413.7万
流动资产合计 155.49%5.31亿153.73%5.42亿153.73%5.42亿111.26%4.82亿8.41%2.27亿-32.44%2.08亿-24.25%2.14亿-24.25%2.14亿-19.23%2.28亿-13.84%2.09亿
非流动资产
固定资产净额 -26.61%1,455.6万-15.15%1,587.5万-15.15%1,587.5万-25.17%1,719.5万-23.73%1,851.3万-22.33%1,983.3万-35.64%1,871万-35.64%1,871万-69.39%2,297.9万-68.33%2,427.3万
-固定资产 -26.61%1,455.6万-15.15%1,587.5万-15.15%1,587.5万-25.17%1,719.5万-23.73%1,851.3万-22.33%1,983.3万-35.64%1,871万-35.64%1,871万-74.12%2,297.9万-73.03%2,427.3万
商誉及其他无形资产 0.00%93万-0.32%93万-0.32%93万0.22%93万--93万--93万-97.81%93.3万-97.81%93.3万--92.8万----
-其他无形资产 0.00%93万-0.32%93万-0.32%93万0.22%93万--93万--93万-97.81%93.3万-97.81%93.3万--92.8万----
长期应收款 ---------------------------------61.14%71.5万-66.88%68.8万
金融资产 --205.8万55.60%41.7万55.60%41.7万--361.6万137.24%214.7万------26.8万--26.8万------90.5万
非流动递延资产 -44.94%389.4万-43.86%417.9万-43.86%417.9万-38.20%462.6万81.56%661.8万60.73%707.2万47.85%744.4万47.85%744.4万26.52%748.5万-38.94%364.5万
其他非流动资产 -6.97%42.7万-48.68%42.9万-48.68%42.9万418.60%44.6万422.62%43.9万-51.27%45.9万839.33%83.6万839.33%83.6万-76.57%8.6万-80.60%8.4万
非流动资产合计 -8.88%26.11亿-9.13%26.07亿-9.13%26.07亿-9.55%26.07亿-0.63%28.59亿8.32%28.65亿3.99%28.69亿3.99%28.69亿4.73%28.82亿3.78%28.77亿
总资产 2.24%31.42亿2.16%31.49亿2.16%31.49亿-0.69%30.89亿-0.01%30.86亿4.07%30.73亿1.37%30.83亿1.37%30.83亿2.50%31.1亿2.36%30.87亿
负债
流动负债
应付款项 -16.06%6,744.6万-10.77%7,969.6万-10.77%7,969.6万-12.32%7,918.5万-10.59%7,177.4万15.92%8,034.8万36.37%8,931.4万36.37%8,931.4万30.31%9,030.8万37.11%8,027.2万
-应付账款 -9.39%4,807.8万-34.35%4,841万-34.35%4,841万0.57%6,085.4万-29.12%4,497.2万-5.08%5,306.1万54.58%7,373.5万54.58%7,373.5万24.15%6,051.2万54.59%6,345.1万
-应付税费 -----------------1.77%1,058.2万40.58%1,119.9万---------13.45%1,453.8万-26.59%1,077.3万
-应付股利 28.19%1,824.3万114.11%2,996.5万114.11%2,996.5万27.25%1,776.5万241.54%1,489.1万277.18%1,423.1万298.38%1,399.5万298.38%1,399.5万348.62%1,396.1万95.96%436万
-其他应付款 -39.42%112.5万-16.60%132.1万-16.60%132.1万-56.36%56.6万-21.27%132.9万11.20%185.7万-6.33%158.4万-6.33%158.4万98.02%129.7万182.27%168.8万
应计费用 -84.53%335.3万-8.23%634.6万-8.23%634.6万-83.99%420.2万0.27%2,476.1万19.50%2,168万-74.01%691.5万-74.01%691.5万19.18%2,624.5万0.95%2,469.4万
短期借款与租赁负债 158.96%5.75亿-66.34%7,405万-66.34%7,405万27,438.31%5.75亿25.46%206.5万102.33%2.22亿963.11%2.2亿963.11%2.2亿-97.61%208.8万-29.39%164.6万
-短期借款 158.96%5.75亿-66.34%7,405万-66.34%7,405万27,438.31%5.75亿25.46%206.5万102.33%2.22亿963.11%2.2亿963.11%2.2亿-97.61%208.8万-29.39%164.6万
递延负债 ----------------6.70%4,408.8万3.76%5,128.8万--------42.14%4,467.3万57.90%4,131.9万
其他流动负债 ------------236.18%1,539.7万6.70%422.2万70.89%557.6万---------53.13%458万78.32%395.7万
流动负债总额 69.53%6.46亿-49.37%1.6亿-49.37%1.6亿301.32%6.74亿-3.28%1.47亿52.44%3.81亿79.92%3.16亿79.92%3.16亿-23.66%1.68亿33.56%1.52亿
非流动负债
长期借款与租赁负债 -57.90%2.55亿23.79%7.57亿23.79%7.57亿-68.94%2.58亿0.59%8.27亿24.68%6.06亿-0.35%6.12亿-0.35%6.12亿18.85%8.29亿4.77%8.22亿
-长期借款 -59.44%2.39亿24.94%7.41亿24.94%7.41亿-70.44%2.4亿1.29%8.13亿27.06%5.9亿0.67%5.93亿0.67%5.93亿23.67%8.11亿8.23%8.02亿
-长期租赁负债 1.06%1,558.8万-11.98%1,673.5万-11.98%1,673.5万-2.53%1,788.4万-27.93%1,426.7万-27.34%1,542.5万-24.32%1,901.2万-24.32%1,901.2万-56.31%1,834.9万-54.37%1,979.6万
递延负债 533.43%6,403.3万-11.18%4,814.3万-11.18%4,814.3万620.83%5,100.6万42.37%906.5万56.80%1,010.9万712.35%5,420万712.35%5,420万-22.29%707.6万-0.28%636.7万
衍生品负债 --0--40.1万--40.1万----------161.1万--0--0--0--0
其他非流动负债 144.67%582.8万-14.50%704万-14.50%704万131.77%579.2万-24.43%207.9万-11.65%238.2万135.26%823.4万135.26%823.4万-19.96%249.9万-11.11%275.1万
非流动负债总额 -45.95%3.35亿20.68%8.23亿20.68%8.23亿-60.97%3.27亿0.83%8.38亿25.23%6.2亿8.97%6.82亿8.97%6.82亿17.78%8.39亿4.13%8.31亿
总负债 -2.00%9.81亿-1.52%9.83亿-1.52%9.83亿-0.55%10.01亿0.19%9.85亿34.36%10.01亿24.53%9.98亿24.53%9.98亿8.00%10.07亿7.80%9.83亿
所有者权益
股本 -0.01%2.83亿-0.02%2.83亿-0.02%2.83亿-0.02%2.83亿-0.02%2.83亿-0.03%2.83亿-0.04%2.83亿-0.04%2.83亿-0.03%2.83亿9.65%2.83亿
-普通股股本 -1.78%203.7万-2.77%203.5万-2.77%203.5万-2.84%205.6万-2.49%207.2万-3.85%207.4万-4.56%209.3万-4.56%209.3万-3.51%211.6万-2.97%212.5万
-优先股股本 0.00%2.81亿0.00%2.81亿0.00%2.81亿0.00%2.81亿0.00%2.81亿0.00%2.81亿0.00%2.81亿0.00%2.81亿0.00%2.81亿9.76%2.81亿
留存收益 -150.93%-5.38亿19.72%-5.33亿19.72%-5.33亿-161.92%-6.3亿10.24%11亿9.81%10.56亿-170.04%-6.64亿-170.04%-6.64亿25.65%10.18亿19.72%9.97亿
资本公积 -1.23%24.16亿-1.99%24.16亿-1.99%24.16亿-2.14%24.35亿-1.93%24.46亿-5.49%24.46亿-6.30%24.66亿-6.30%24.66亿-5.37%24.88亿-5.04%24.94亿
其他权益 -----------------3.36%-17.28亿-2.74%-17.14亿---------1.50%-16.86亿-1.04%-16.72亿
股东权益总额 4.29%21.61亿3.92%21.67亿3.92%21.67亿-0.76%20.88亿-0.11%21.01亿-4.32%20.72亿-5.18%20.85亿-5.18%20.85亿2.02%21.04亿1.92%21.03亿
非控制性权益 ------0--0--------------0--0--0--0
总权益 4.29%21.61亿3.92%21.67亿3.92%21.67亿-0.76%20.88亿-0.11%21.01亿-6.14%20.72亿-6.91%20.85亿-6.91%20.85亿0.06%21.04亿0.01%21.03亿
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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