美股市场个股详情

VAPO Vapotherm

添加自选
  • 1.250
  • -0.006-0.51%
延时15分钟行情收盘价 04/26 16:00 (美东)
774.23万总市值-129市盈率TTM

Vapotherm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
-38.21%972.5万
-38.21%972.5万
-49.78%1,441.8万
-63.91%1,800万
-64.73%2,571.3万
-72.42%1,573.8万
-72.42%1,573.8万
-59.18%2,870.9万
-38.79%4,988.2万
-22.30%7,290.7万
-现金和现金等价物
-38.21%972.5万
-38.21%972.5万
-49.78%1,441.8万
-63.91%1,800万
-64.73%2,571.3万
-72.42%1,573.8万
-72.42%1,573.8万
-59.18%2,870.9万
-38.79%4,988.2万
-22.30%7,290.7万
应收款项
17.25%1,067.2万
17.25%1,067.2万
-8.54%744.1万
26.46%891.8万
-15.22%840.3万
-16.56%910.2万
-16.56%910.2万
-60.91%813.6万
-17.02%705.2万
-27.43%991.2万
-应收账款
17.25%1,067.2万
17.25%1,067.2万
-8.54%744.1万
26.46%891.8万
-15.22%840.3万
-16.56%910.2万
-16.56%910.2万
-60.91%813.6万
-17.02%705.2万
-27.43%991.2万
存货
-30.36%2,296.8万
-30.36%2,296.8万
-36.62%2,309.3万
-34.47%2,514.4万
-25.10%2,849.9万
-9.80%3,298万
-9.80%3,298万
47.32%3,643.3万
30.70%3,836.8万
41.26%3,804.8万
预付费用
----
----
----
----
----
----
----
-45.97%320.1万
-14.01%440万
-24.30%490.9万
其他流动资产
46.95%305.8万
46.95%305.8万
--420.2万
--451.8万
--344.4万
-60.02%208.1万
-60.02%208.1万
----
----
----
流动资产合计
-22.50%4,642.3万
-22.50%4,642.3万
-35.73%4,915.4万
-43.25%5,658万
-47.48%6,605.9万
-45.42%5,990.1万
-45.42%5,990.1万
-37.21%7,647.9万
-19.89%9,970.2万
-10.74%1.26亿
非流动资产
固定资产净额
-16.54%2,707.5万
-16.54%2,707.5万
-15.16%2,746.4万
-11.08%2,911.7万
-7.26%3,070.3万
11.09%3,244.1万
11.09%3,244.1万
12.85%3,237万
12.84%3,274.4万
12.22%3,310.6万
-固定资产
-3.29%5,014.5万
-3.29%5,014.5万
-15.16%2,746.4万
-11.08%2,911.7万
-7.26%3,070.3万
6.46%5,185万
6.46%5,185万
12.85%3,237万
12.84%3,274.4万
12.22%3,310.6万
-累计折旧
-18.86%-2,307万
-18.86%-2,307万
----
----
----
0.48%-1,940.9万
0.48%-1,940.9万
----
----
----
商誉及其他无形资产
5.41%56.5万
5.41%56.5万
4.24%54.1万
-5.39%56.2万
-97.19%54.9万
-97.28%53.6万
-97.28%53.6万
-97.25%51.9万
-96.88%59.4万
1.66%1,952.8万
-商誉
5.41%56.5万
5.41%56.5万
9.51%54.1万
4.27%56.2万
-96.41%54.9万
-96.50%53.6万
-96.50%53.6万
-96.47%49.4万
-96.15%53.9万
9.09%1,528.3万
-其他无形资产
----
----
----
----
----
----
----
-99.49%2.5万
-98.91%5.5万
-18.38%424.5万
非流动递延资产
-40.63%5.7万
-40.63%5.7万
287.50%12.4万
166.67%12.8万
1,462.50%12.5万
23.08%9.6万
23.08%9.6万
--3.2万
--4.8万
--8,000
其他非流动资产
8.57%349.7万
8.57%349.7万
3.01%332.1万
80.25%369.7万
50.33%321.1万
136.84%322.1万
136.84%322.1万
121.73%322.4万
43.93%205.1万
50.53%213.6万
非流动资产合计
-14.05%3,119.4万
-14.05%3,119.4万
-12.99%3,145万
-5.45%3,350.4万
-36.86%3,458.8万
-27.90%3,629.4万
-27.90%3,629.4万
-26.25%3,614.5万
-28.41%3,543.7万
9.27%5,477.8万
总资产
-19.31%7,761.7万
-19.31%7,761.7万
-28.43%8,060.4万
-33.34%9,008.4万
-44.26%1.01亿
-39.91%9,619.5万
-39.91%9,619.5万
-34.07%1.13亿
-22.31%1.35亿
-5.49%1.81亿
负债
流动负债
应付款项
48.98%605万
48.98%605万
66.11%380.9万
-26.40%300.2万
-46.92%389.2万
-44.92%406.1万
-44.92%406.1万
-44.65%229.3万
-19.83%407.9万
21.21%733.2万
-应付账款
84.48%505.3万
84.48%505.3万
95.82%295.1万
-37.68%216万
-54.99%297.4万
-53.76%273.9万
-53.76%273.9万
-63.63%150.7万
-31.88%346.6万
9.24%660.8万
-应付税费
-24.58%99.7万
-24.58%99.7万
9.16%85.8万
37.36%84.2万
26.80%91.8万
-8.83%132.2万
-8.83%132.2万
--78.6万
--61.3万
--72.4万
应计费用
-4.07%699.2万
-4.07%699.2万
-21.18%608.9万
-18.11%573.9万
5.12%749.6万
-61.08%728.9万
-61.08%728.9万
-73.20%772.5万
-63.66%700.8万
-63.50%713.1万
现行拨备
7.83%30.3万
7.83%30.3万
46.29%33.5万
-9.68%33.6万
-15.77%28.3万
-14.85%28.1万
-14.85%28.1万
--22.9万
--37.2万
--33.6万
短期借款与租赁负债
4.37%241.4万
4.37%241.4万
18.36%289.4万
29.72%270.6万
21.31%249.3万
-72.34%231.3万
-72.34%231.3万
--244.5万
78.29%208.6万
77.46%205.5万
-短期租赁负债
4.37%241.4万
4.37%241.4万
18.36%289.4万
29.72%270.6万
21.31%249.3万
31.95%231.3万
31.95%231.3万
--244.5万
--208.6万
--205.5万
递延负债
1.73%123.7万
1.73%123.7万
-15.97%124.2万
4.41%130.1万
-15.94%119.7万
-41.57%121.6万
-41.57%121.6万
-32.51%147.8万
-8.45%124.6万
10.82%142.4万
其他流动负债
8.76%209.9万
8.76%209.9万
-43.01%134.9万
-13.41%153万
----
-69.35%193万
-69.35%193万
--236.7万
--176.7万
--512.9万
流动负债总额
-2.40%1,909.5万
-2.40%1,909.5万
-17.79%1,618.9万
-19.81%1,512.2万
-31.73%1,598.1万
-54.68%1,956.4万
-54.68%1,956.4万
-44.00%1,969.2万
-29.91%1,885.7万
-16.48%2,340.7万
非流动负债
长期借款与租赁负债
6.90%1.1亿
6.90%1.1亿
1.54%1.04亿
-0.09%1.02亿
2.88%9,927万
128.19%1.03亿
128.19%1.03亿
148.21%1.03亿
146.08%1.02亿
122.32%9,649.1万
-长期借款
10.38%1.07亿
10.38%1.07亿
7.86%1.04亿
5.33%1.02亿
2.88%9,927万
144.16%9,699.4万
144.16%9,699.4万
133.67%9,681.5万
133.42%9,667.2万
122.32%9,649.1万
-长期租赁负债
-50.38%291.9万
-50.38%291.9万
----
----
----
9.82%588.3万
9.82%588.3万
--602.5万
--524.3万
----
长期应计费用
105.52%387.4万
105.52%387.4万
----
----
----
--188.5万
--188.5万
--99.3万
--62.8万
----
其他非流动负债
-93.22%4,000
-93.22%4,000
--748.6万
--759.8万
15.21%775万
-98.86%5.9万
-98.86%5.9万
----
----
-46.60%672.7万
非流动负债总额
8.62%1.14亿
8.62%1.14亿
7.78%1.12亿
6.70%1.09亿
3.68%1.07亿
108.61%1.05亿
108.61%1.05亿
94.37%1.04亿
90.51%1.03亿
84.29%1.03亿
总负债
6.89%1.33亿
6.89%1.33亿
3.70%1.28亿
2.59%1.25亿
-2.86%1.23亿
33.15%1.24亿
33.15%1.24亿
39.45%1.24亿
50.38%1.21亿
50.68%1.27亿
所有者权益
股本
50.00%6,000
50.00%6,000
-77.78%6,000
81.48%4.9万
70.37%4.6万
-84.62%4,000
-84.62%4,000
3.85%2.7万
3.85%2.7万
3.85%2.7万
-普通股股本
50.00%6,000
50.00%6,000
-77.78%6,000
81.48%4.9万
70.37%4.6万
-84.62%4,000
-84.62%4,000
3.85%2.7万
3.85%2.7万
3.85%2.7万
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
-11.88%-5.48亿
-11.88%-5.48亿
-14.82%-5.38亿
-18.20%-5.23亿
-27.12%-5.08亿
-30.06%-4.9亿
-30.06%-4.9亿
-30.82%-4.69亿
-28.36%-4.42亿
-22.10%-4亿
资本公积
6.67%4.93亿
6.67%4.93亿
7.13%4.91亿
7.04%4.88亿
7.08%4.86亿
4.20%4.62亿
4.20%4.62亿
4.01%4.58亿
4.23%4.56亿
4.45%4.54亿
不影响留存收益的损益
157.96%9.1万
157.96%9.1万
51.04%-18.9万
79.44%-4.4万
24.14%-2.2万
-703.85%-15.7万
-703.85%-15.7万
-2,131.58%-38.6万
-462.71%-21.4万
-155.77%-2.9万
股东权益总额
-96.29%-5,533.4万
-96.29%-5,533.4万
-335.70%-4,749.6万
-350.79%-3,445.6万
-141.45%-2,235.4万
-142.28%-2,819万
-142.28%-2,819万
-113.26%-1,090.1万
-85.26%1,373.9万
-49.60%5,392.9万
总权益
-96.29%-5,533.4万
-96.29%-5,533.4万
-335.70%-4,749.6万
-350.79%-3,445.6万
-141.45%-2,235.4万
-142.28%-2,819万
-142.28%-2,819万
-113.26%-1,090.1万
-85.26%1,373.9万
-49.60%5,392.9万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
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
--
--
--
--
(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 -38.21%972.5万-38.21%972.5万-49.78%1,441.8万-63.91%1,800万-64.73%2,571.3万-72.42%1,573.8万-72.42%1,573.8万-59.18%2,870.9万-38.79%4,988.2万-22.30%7,290.7万
-现金和现金等价物 -38.21%972.5万-38.21%972.5万-49.78%1,441.8万-63.91%1,800万-64.73%2,571.3万-72.42%1,573.8万-72.42%1,573.8万-59.18%2,870.9万-38.79%4,988.2万-22.30%7,290.7万
应收款项 17.25%1,067.2万17.25%1,067.2万-8.54%744.1万26.46%891.8万-15.22%840.3万-16.56%910.2万-16.56%910.2万-60.91%813.6万-17.02%705.2万-27.43%991.2万
-应收账款 17.25%1,067.2万17.25%1,067.2万-8.54%744.1万26.46%891.8万-15.22%840.3万-16.56%910.2万-16.56%910.2万-60.91%813.6万-17.02%705.2万-27.43%991.2万
存货 -30.36%2,296.8万-30.36%2,296.8万-36.62%2,309.3万-34.47%2,514.4万-25.10%2,849.9万-9.80%3,298万-9.80%3,298万47.32%3,643.3万30.70%3,836.8万41.26%3,804.8万
预付费用 -----------------------------45.97%320.1万-14.01%440万-24.30%490.9万
其他流动资产 46.95%305.8万46.95%305.8万--420.2万--451.8万--344.4万-60.02%208.1万-60.02%208.1万------------
流动资产合计 -22.50%4,642.3万-22.50%4,642.3万-35.73%4,915.4万-43.25%5,658万-47.48%6,605.9万-45.42%5,990.1万-45.42%5,990.1万-37.21%7,647.9万-19.89%9,970.2万-10.74%1.26亿
非流动资产
固定资产净额 -16.54%2,707.5万-16.54%2,707.5万-15.16%2,746.4万-11.08%2,911.7万-7.26%3,070.3万11.09%3,244.1万11.09%3,244.1万12.85%3,237万12.84%3,274.4万12.22%3,310.6万
-固定资产 -3.29%5,014.5万-3.29%5,014.5万-15.16%2,746.4万-11.08%2,911.7万-7.26%3,070.3万6.46%5,185万6.46%5,185万12.85%3,237万12.84%3,274.4万12.22%3,310.6万
-累计折旧 -18.86%-2,307万-18.86%-2,307万------------0.48%-1,940.9万0.48%-1,940.9万------------
商誉及其他无形资产 5.41%56.5万5.41%56.5万4.24%54.1万-5.39%56.2万-97.19%54.9万-97.28%53.6万-97.28%53.6万-97.25%51.9万-96.88%59.4万1.66%1,952.8万
-商誉 5.41%56.5万5.41%56.5万9.51%54.1万4.27%56.2万-96.41%54.9万-96.50%53.6万-96.50%53.6万-96.47%49.4万-96.15%53.9万9.09%1,528.3万
-其他无形资产 -----------------------------99.49%2.5万-98.91%5.5万-18.38%424.5万
非流动递延资产 -40.63%5.7万-40.63%5.7万287.50%12.4万166.67%12.8万1,462.50%12.5万23.08%9.6万23.08%9.6万--3.2万--4.8万--8,000
其他非流动资产 8.57%349.7万8.57%349.7万3.01%332.1万80.25%369.7万50.33%321.1万136.84%322.1万136.84%322.1万121.73%322.4万43.93%205.1万50.53%213.6万
非流动资产合计 -14.05%3,119.4万-14.05%3,119.4万-12.99%3,145万-5.45%3,350.4万-36.86%3,458.8万-27.90%3,629.4万-27.90%3,629.4万-26.25%3,614.5万-28.41%3,543.7万9.27%5,477.8万
总资产 -19.31%7,761.7万-19.31%7,761.7万-28.43%8,060.4万-33.34%9,008.4万-44.26%1.01亿-39.91%9,619.5万-39.91%9,619.5万-34.07%1.13亿-22.31%1.35亿-5.49%1.81亿
负债
流动负债
应付款项 48.98%605万48.98%605万66.11%380.9万-26.40%300.2万-46.92%389.2万-44.92%406.1万-44.92%406.1万-44.65%229.3万-19.83%407.9万21.21%733.2万
-应付账款 84.48%505.3万84.48%505.3万95.82%295.1万-37.68%216万-54.99%297.4万-53.76%273.9万-53.76%273.9万-63.63%150.7万-31.88%346.6万9.24%660.8万
-应付税费 -24.58%99.7万-24.58%99.7万9.16%85.8万37.36%84.2万26.80%91.8万-8.83%132.2万-8.83%132.2万--78.6万--61.3万--72.4万
应计费用 -4.07%699.2万-4.07%699.2万-21.18%608.9万-18.11%573.9万5.12%749.6万-61.08%728.9万-61.08%728.9万-73.20%772.5万-63.66%700.8万-63.50%713.1万
现行拨备 7.83%30.3万7.83%30.3万46.29%33.5万-9.68%33.6万-15.77%28.3万-14.85%28.1万-14.85%28.1万--22.9万--37.2万--33.6万
短期借款与租赁负债 4.37%241.4万4.37%241.4万18.36%289.4万29.72%270.6万21.31%249.3万-72.34%231.3万-72.34%231.3万--244.5万78.29%208.6万77.46%205.5万
-短期租赁负债 4.37%241.4万4.37%241.4万18.36%289.4万29.72%270.6万21.31%249.3万31.95%231.3万31.95%231.3万--244.5万--208.6万--205.5万
递延负债 1.73%123.7万1.73%123.7万-15.97%124.2万4.41%130.1万-15.94%119.7万-41.57%121.6万-41.57%121.6万-32.51%147.8万-8.45%124.6万10.82%142.4万
其他流动负债 8.76%209.9万8.76%209.9万-43.01%134.9万-13.41%153万-----69.35%193万-69.35%193万--236.7万--176.7万--512.9万
流动负债总额 -2.40%1,909.5万-2.40%1,909.5万-17.79%1,618.9万-19.81%1,512.2万-31.73%1,598.1万-54.68%1,956.4万-54.68%1,956.4万-44.00%1,969.2万-29.91%1,885.7万-16.48%2,340.7万
非流动负债
长期借款与租赁负债 6.90%1.1亿6.90%1.1亿1.54%1.04亿-0.09%1.02亿2.88%9,927万128.19%1.03亿128.19%1.03亿148.21%1.03亿146.08%1.02亿122.32%9,649.1万
-长期借款 10.38%1.07亿10.38%1.07亿7.86%1.04亿5.33%1.02亿2.88%9,927万144.16%9,699.4万144.16%9,699.4万133.67%9,681.5万133.42%9,667.2万122.32%9,649.1万
-长期租赁负债 -50.38%291.9万-50.38%291.9万------------9.82%588.3万9.82%588.3万--602.5万--524.3万----
长期应计费用 105.52%387.4万105.52%387.4万--------------188.5万--188.5万--99.3万--62.8万----
其他非流动负债 -93.22%4,000-93.22%4,000--748.6万--759.8万15.21%775万-98.86%5.9万-98.86%5.9万---------46.60%672.7万
非流动负债总额 8.62%1.14亿8.62%1.14亿7.78%1.12亿6.70%1.09亿3.68%1.07亿108.61%1.05亿108.61%1.05亿94.37%1.04亿90.51%1.03亿84.29%1.03亿
总负债 6.89%1.33亿6.89%1.33亿3.70%1.28亿2.59%1.25亿-2.86%1.23亿33.15%1.24亿33.15%1.24亿39.45%1.24亿50.38%1.21亿50.68%1.27亿
所有者权益
股本 50.00%6,00050.00%6,000-77.78%6,00081.48%4.9万70.37%4.6万-84.62%4,000-84.62%4,0003.85%2.7万3.85%2.7万3.85%2.7万
-普通股股本 50.00%6,00050.00%6,000-77.78%6,00081.48%4.9万70.37%4.6万-84.62%4,000-84.62%4,0003.85%2.7万3.85%2.7万3.85%2.7万
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 -11.88%-5.48亿-11.88%-5.48亿-14.82%-5.38亿-18.20%-5.23亿-27.12%-5.08亿-30.06%-4.9亿-30.06%-4.9亿-30.82%-4.69亿-28.36%-4.42亿-22.10%-4亿
资本公积 6.67%4.93亿6.67%4.93亿7.13%4.91亿7.04%4.88亿7.08%4.86亿4.20%4.62亿4.20%4.62亿4.01%4.58亿4.23%4.56亿4.45%4.54亿
不影响留存收益的损益 157.96%9.1万157.96%9.1万51.04%-18.9万79.44%-4.4万24.14%-2.2万-703.85%-15.7万-703.85%-15.7万-2,131.58%-38.6万-462.71%-21.4万-155.77%-2.9万
股东权益总额 -96.29%-5,533.4万-96.29%-5,533.4万-335.70%-4,749.6万-350.79%-3,445.6万-141.45%-2,235.4万-142.28%-2,819万-142.28%-2,819万-113.26%-1,090.1万-85.26%1,373.9万-49.60%5,392.9万
总权益 -96.29%-5,533.4万-96.29%-5,533.4万-335.70%-4,749.6万-350.79%-3,445.6万-141.45%-2,235.4万-142.28%-2,819万-142.28%-2,819万-113.26%-1,090.1万-85.26%1,373.9万-49.60%5,392.9万
货币单位 美元美元美元美元美元美元美元美元美元美元
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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