美股市场个股详情

BLZE Backblaze

添加自选
  • 5.100
  • +0.120+2.41%
收盘价 03/11 16:00 (美东)
  • 5.100
  • 0.0000.00%
盘后 16:05 (美东)
2.72亿总市值-4.59市盈率TTM

Backblaze关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
资产
流动资产
现金及现金等价物和短期投资
87.42%5,491.5万
87.42%5,491.5万
-29.81%2,088.1万
-35.78%2,364.6万
-43.17%2,816万
-55.21%2,930.1万
-55.21%2,930.1万
-61.59%2,974.8万
-58.20%3,681.9万
-50.01%4,955.5万
-现金和现金等价物
266.15%4,577.6万
266.15%4,577.6万
-67.28%295万
57.54%927.3万
56.14%631.9万
86.88%1,250.2万
86.88%1,250.2万
-63.66%901.6万
-18.67%588.6万
-79.02%404.7万
-短期投资
-45.60%913.9万
-45.60%913.9万
-13.51%1,793.1万
-53.54%1,437.3万
-52.01%2,184.1万
-71.40%1,679.9万
-71.40%1,679.9万
-60.61%2,073.2万
-61.74%3,093.3万
-43.00%4,550.8万
应收款项
-58.86%183.1万
-58.86%183.1万
43.49%689.6万
82.11%575.1万
83.02%532.4万
41.89%445.1万
41.89%445.1万
77.41%480.6万
43.61%315.8万
55.40%290.9万
-应收账款
128.88%183.1万
128.88%183.1万
38.72%276.2万
119.61%181.4万
105.45%162.1万
-6.54%80万
-6.54%80万
176.53%199.1万
111.25%82.6万
227.39%78.9万
-其他应收款
----
----
46.86%413.4万
68.83%393.7万
74.67%370.3万
60.06%365.1万
60.06%365.1万
41.53%281.5万
28.98%233.2万
29.98%212万
预付费用
----
----
-5.79%257万
-2.29%319.7万
-11.31%371.6万
-20.05%331.4万
-20.05%331.4万
-15.98%272.8万
-8.22%327.2万
10.93%419万
受限制现金
----
----
----
----
----
----
----
--607.8万
----
----
其他流动资产
521.69%900.2万
521.69%900.2万
1.77%155万
-24.31%111.8万
15.25%151.9万
-14.52%144.8万
-14.52%144.8万
33.95%152.3万
93.07%147.7万
160.99%131.8万
流动资产合计
70.71%6,574.8万
70.71%6,574.8万
-28.93%3,189.7万
-24.63%3,371.2万
-33.21%3,871.9万
-48.23%3,851.4万
-48.23%3,851.4万
-46.90%4,488.3万
-52.72%4,472.6万
-44.94%5,797.2万
非流动资产
固定资产净额
5.83%5,882.2万
5.83%5,882.2万
-4.65%5,726.1万
-12.67%4,999.9万
-8.08%5,205.5万
-1.20%5,558万
-1.20%5,558万
10.06%6,005.5万
7.24%5,725.3万
17.12%5,663.3万
-固定资产
-56.41%5,882.2万
-56.41%5,882.2万
11.78%1.5亿
8.62%1.38亿
12.16%1.37亿
15.60%1.35亿
15.60%1.35亿
21.35%1.34亿
21.45%1.27亿
27.29%1.22亿
-累计折旧
----
----
-25.12%-9,261.1万
-26.07%-8,809.1万
-29.72%-8,469万
-31.23%-7,936.3万
-31.23%-7,936.3万
-32.36%-7,401.8万
-36.24%-6,987.4万
-37.65%-6,528.9万
商誉及其他无形资产
28.54%4,180.1万
28.54%4,180.1万
41.79%4,103.7万
58.02%3,833.5万
73.65%3,546.7万
94.69%3,252.1万
94.69%3,252.1万
112.07%2,894.3万
129.95%2,426万
135.06%2,042.4万
-其他无形资产
28.54%4,180.1万
28.54%4,180.1万
41.79%4,103.7万
58.02%3,833.5万
73.65%3,546.7万
94.69%3,252.1万
94.69%3,252.1万
112.07%2,894.3万
129.95%2,426万
135.06%2,042.4万
其他非流动资产
-56.88%218.7万
-56.88%218.7万
596.89%604.9万
-31.10%573万
-28.51%564.5万
-0.53%507.2万
-0.53%507.2万
-79.16%86.8万
329.99%831.6万
321.57%789.6万
非流动资产合计
10.34%1.03亿
10.34%1.03亿
16.11%1.04亿
4.71%9,406.4万
9.67%9,316.7万
19.36%9,317.3万
19.36%9,317.3万
24.16%8,986.6万
36.37%8,982.9万
44.19%8,495.3万
总资产
28.00%1.69亿
28.00%1.69亿
1.11%1.36亿
-5.04%1.28亿
-7.72%1.32亿
-13.62%1.32亿
-13.62%1.32亿
-14.13%1.35亿
-16.15%1.35亿
-12.96%1.43亿
负债
流动负债
应付款项
-58.87%145.9万
-58.87%145.9万
-8.80%276.6万
-35.24%222.5万
-44.17%256.7万
-21.23%354.7万
-21.23%354.7万
-30.94%303.3万
-19.44%343.6万
-31.81%459.8万
-应付账款
-36.04%145.9万
-36.04%145.9万
-15.87%167万
-53.30%114.7万
-57.01%144.1万
-30.52%228.1万
-30.52%228.1万
-26.97%198.5万
24.73%245.6万
32.59%335.2万
-应付税费
----
----
4.58%109.6万
10.00%107.8万
-9.63%112.6万
3.77%126.6万
3.77%126.6万
-37.40%104.8万
-57.32%98万
-70.44%124.6万
应计费用
248.37%758.4万
248.37%758.4万
-30.09%112.9万
-5.52%152.3万
-28.55%195万
-50.81%217.7万
-50.81%217.7万
-12.32%161.5万
-24.28%161.2万
139.81%272.9万
短期借款与租赁负债
-0.08%2,035.3万
-0.08%2,035.3万
-24.97%2,037.3万
-4.77%1,861.9万
-0.26%1,916万
-1.41%2,037万
-1.41%2,037万
30.21%2,715.3万
-3.49%1,955.1万
12.60%1,920.9万
-短期借款
----
----
----
----
----
----
----
--607.8万
----
----
-短期租赁负债
-0.08%2,035.3万
-0.08%2,035.3万
-3.33%2,037.3万
-4.77%1,861.9万
-0.26%1,916万
-1.41%2,037万
-1.41%2,037万
1.06%2,107.5万
-3.49%1,955.1万
12.60%1,920.9万
递延负债
17.06%3,040.7万
17.06%3,040.7万
27.77%3,013.9万
26.72%2,943.8万
20.56%2,868.4万
13.37%2,597.6万
13.37%2,597.6万
3.89%2,358.9万
3.71%2,323万
5.41%2,379.3万
其他流动负债
----
----
6.02%82.8万
58.51%76.4万
160.14%77万
-22.73%48.6万
-22.73%48.6万
174.04%78.1万
51.10%48.2万
-62.39%29.6万
流动负债总额
4.76%5,980.3万
4.76%5,980.3万
-2.91%5,919.8万
7.87%5,505.8万
4.29%5,565.8万
1.44%5,708.7万
1.44%5,708.7万
12.46%6,097.5万
-1.86%5,104.2万
4.12%5,336.8万
非流动负债
长期借款与租赁负债
1.55%2,598.6万
1.55%2,598.6万
27.31%2,900.5万
-14.05%2,301.5万
-7.86%2,423.4万
3.08%2,558.9万
3.08%2,558.9万
-2.58%2,278.3万
18.97%2,677.6万
18.75%2,630.1万
-长期借款
----
----
--468.2万
-40.23%468.2万
-35.87%468.2万
-4.13%412.8万
-4.13%412.8万
----
--783.3万
--730.1万
-长期租赁负债
21.08%2,598.6万
21.08%2,598.6万
6.76%2,432.3万
-3.22%1,833.3万
2.91%1,955.2万
4.59%2,146.1万
4.59%2,146.1万
9.31%2,278.3万
-15.83%1,894.3万
-14.22%1,900万
递延负债
26.37%514.7万
26.37%514.7万
43.41%521万
80.45%460.5万
68.96%454万
55.99%407.3万
55.99%407.3万
30.50%363.3万
-14.22%255.2万
-15.90%268.7万
非流动负债总额
4.96%3,113.3万
4.96%3,113.3万
29.52%3,421.5万
-5.82%2,762万
-0.74%2,877.4万
8.11%2,966.2万
8.11%2,966.2万
0.94%2,641.6万
15.10%2,932.8万
14.21%2,898.8万
总负债
4.83%9,093.6万
4.83%9,093.6万
6.89%9,341.3万
2.87%8,267.8万
2.52%8,443.2万
3.63%8,674.9万
3.63%8,674.9万
8.71%8,739.1万
3.72%8,037万
7.46%8,235.6万
所有者权益
股本
25.00%5,000
25.00%5,000
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
33.33%4,000
33.33%4,000
33.33%4,000
-普通股股本
25.00%5,000
25.00%5,000
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
33.33%4,000
33.33%4,000
33.33%4,000
留存收益
-32.91%-1.96亿
-32.91%-1.96亿
-34.28%-1.82亿
-41.67%-1.69亿
-51.17%-1.59亿
-68.06%-1.47亿
-68.06%-1.47亿
-84.64%-1.35亿
-97.18%-1.19亿
-114.54%-1.05亿
资本公积
42.21%2.74亿
42.21%2.74亿
22.91%2.24亿
23.40%2.14亿
24.51%2.06亿
22.94%1.92亿
22.94%1.92亿
21.92%1.83亿
20.87%1.73亿
21.24%1.65亿
股东权益总额
72.73%7,762.2万
72.73%7,762.2万
-9.56%4,283.1万
-16.77%4,509.8万
-21.65%4,745.4万
-34.63%4,493.8万
-34.63%4,493.8万
-38.11%4,735.8万
-34.71%5,418.5万
-30.83%6,056.9万
总权益
72.73%7,762.2万
72.73%7,762.2万
-9.56%4,283.1万
-16.77%4,509.8万
-21.65%4,745.4万
-34.63%4,493.8万
-34.63%4,493.8万
-38.11%4,735.8万
-34.71%5,418.5万
-30.83%6,056.9万
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
--
--
--
--
(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31
资产
流动资产
现金及现金等价物和短期投资 87.42%5,491.5万87.42%5,491.5万-29.81%2,088.1万-35.78%2,364.6万-43.17%2,816万-55.21%2,930.1万-55.21%2,930.1万-61.59%2,974.8万-58.20%3,681.9万-50.01%4,955.5万
-现金和现金等价物 266.15%4,577.6万266.15%4,577.6万-67.28%295万57.54%927.3万56.14%631.9万86.88%1,250.2万86.88%1,250.2万-63.66%901.6万-18.67%588.6万-79.02%404.7万
-短期投资 -45.60%913.9万-45.60%913.9万-13.51%1,793.1万-53.54%1,437.3万-52.01%2,184.1万-71.40%1,679.9万-71.40%1,679.9万-60.61%2,073.2万-61.74%3,093.3万-43.00%4,550.8万
应收款项 -58.86%183.1万-58.86%183.1万43.49%689.6万82.11%575.1万83.02%532.4万41.89%445.1万41.89%445.1万77.41%480.6万43.61%315.8万55.40%290.9万
-应收账款 128.88%183.1万128.88%183.1万38.72%276.2万119.61%181.4万105.45%162.1万-6.54%80万-6.54%80万176.53%199.1万111.25%82.6万227.39%78.9万
-其他应收款 --------46.86%413.4万68.83%393.7万74.67%370.3万60.06%365.1万60.06%365.1万41.53%281.5万28.98%233.2万29.98%212万
预付费用 ---------5.79%257万-2.29%319.7万-11.31%371.6万-20.05%331.4万-20.05%331.4万-15.98%272.8万-8.22%327.2万10.93%419万
受限制现金 ------------------------------607.8万--------
其他流动资产 521.69%900.2万521.69%900.2万1.77%155万-24.31%111.8万15.25%151.9万-14.52%144.8万-14.52%144.8万33.95%152.3万93.07%147.7万160.99%131.8万
流动资产合计 70.71%6,574.8万70.71%6,574.8万-28.93%3,189.7万-24.63%3,371.2万-33.21%3,871.9万-48.23%3,851.4万-48.23%3,851.4万-46.90%4,488.3万-52.72%4,472.6万-44.94%5,797.2万
非流动资产
固定资产净额 5.83%5,882.2万5.83%5,882.2万-4.65%5,726.1万-12.67%4,999.9万-8.08%5,205.5万-1.20%5,558万-1.20%5,558万10.06%6,005.5万7.24%5,725.3万17.12%5,663.3万
-固定资产 -56.41%5,882.2万-56.41%5,882.2万11.78%1.5亿8.62%1.38亿12.16%1.37亿15.60%1.35亿15.60%1.35亿21.35%1.34亿21.45%1.27亿27.29%1.22亿
-累计折旧 ---------25.12%-9,261.1万-26.07%-8,809.1万-29.72%-8,469万-31.23%-7,936.3万-31.23%-7,936.3万-32.36%-7,401.8万-36.24%-6,987.4万-37.65%-6,528.9万
商誉及其他无形资产 28.54%4,180.1万28.54%4,180.1万41.79%4,103.7万58.02%3,833.5万73.65%3,546.7万94.69%3,252.1万94.69%3,252.1万112.07%2,894.3万129.95%2,426万135.06%2,042.4万
-其他无形资产 28.54%4,180.1万28.54%4,180.1万41.79%4,103.7万58.02%3,833.5万73.65%3,546.7万94.69%3,252.1万94.69%3,252.1万112.07%2,894.3万129.95%2,426万135.06%2,042.4万
其他非流动资产 -56.88%218.7万-56.88%218.7万596.89%604.9万-31.10%573万-28.51%564.5万-0.53%507.2万-0.53%507.2万-79.16%86.8万329.99%831.6万321.57%789.6万
非流动资产合计 10.34%1.03亿10.34%1.03亿16.11%1.04亿4.71%9,406.4万9.67%9,316.7万19.36%9,317.3万19.36%9,317.3万24.16%8,986.6万36.37%8,982.9万44.19%8,495.3万
总资产 28.00%1.69亿28.00%1.69亿1.11%1.36亿-5.04%1.28亿-7.72%1.32亿-13.62%1.32亿-13.62%1.32亿-14.13%1.35亿-16.15%1.35亿-12.96%1.43亿
负债
流动负债
应付款项 -58.87%145.9万-58.87%145.9万-8.80%276.6万-35.24%222.5万-44.17%256.7万-21.23%354.7万-21.23%354.7万-30.94%303.3万-19.44%343.6万-31.81%459.8万
-应付账款 -36.04%145.9万-36.04%145.9万-15.87%167万-53.30%114.7万-57.01%144.1万-30.52%228.1万-30.52%228.1万-26.97%198.5万24.73%245.6万32.59%335.2万
-应付税费 --------4.58%109.6万10.00%107.8万-9.63%112.6万3.77%126.6万3.77%126.6万-37.40%104.8万-57.32%98万-70.44%124.6万
应计费用 248.37%758.4万248.37%758.4万-30.09%112.9万-5.52%152.3万-28.55%195万-50.81%217.7万-50.81%217.7万-12.32%161.5万-24.28%161.2万139.81%272.9万
短期借款与租赁负债 -0.08%2,035.3万-0.08%2,035.3万-24.97%2,037.3万-4.77%1,861.9万-0.26%1,916万-1.41%2,037万-1.41%2,037万30.21%2,715.3万-3.49%1,955.1万12.60%1,920.9万
-短期借款 ------------------------------607.8万--------
-短期租赁负债 -0.08%2,035.3万-0.08%2,035.3万-3.33%2,037.3万-4.77%1,861.9万-0.26%1,916万-1.41%2,037万-1.41%2,037万1.06%2,107.5万-3.49%1,955.1万12.60%1,920.9万
递延负债 17.06%3,040.7万17.06%3,040.7万27.77%3,013.9万26.72%2,943.8万20.56%2,868.4万13.37%2,597.6万13.37%2,597.6万3.89%2,358.9万3.71%2,323万5.41%2,379.3万
其他流动负债 --------6.02%82.8万58.51%76.4万160.14%77万-22.73%48.6万-22.73%48.6万174.04%78.1万51.10%48.2万-62.39%29.6万
流动负债总额 4.76%5,980.3万4.76%5,980.3万-2.91%5,919.8万7.87%5,505.8万4.29%5,565.8万1.44%5,708.7万1.44%5,708.7万12.46%6,097.5万-1.86%5,104.2万4.12%5,336.8万
非流动负债
长期借款与租赁负债 1.55%2,598.6万1.55%2,598.6万27.31%2,900.5万-14.05%2,301.5万-7.86%2,423.4万3.08%2,558.9万3.08%2,558.9万-2.58%2,278.3万18.97%2,677.6万18.75%2,630.1万
-长期借款 ----------468.2万-40.23%468.2万-35.87%468.2万-4.13%412.8万-4.13%412.8万------783.3万--730.1万
-长期租赁负债 21.08%2,598.6万21.08%2,598.6万6.76%2,432.3万-3.22%1,833.3万2.91%1,955.2万4.59%2,146.1万4.59%2,146.1万9.31%2,278.3万-15.83%1,894.3万-14.22%1,900万
递延负债 26.37%514.7万26.37%514.7万43.41%521万80.45%460.5万68.96%454万55.99%407.3万55.99%407.3万30.50%363.3万-14.22%255.2万-15.90%268.7万
非流动负债总额 4.96%3,113.3万4.96%3,113.3万29.52%3,421.5万-5.82%2,762万-0.74%2,877.4万8.11%2,966.2万8.11%2,966.2万0.94%2,641.6万15.10%2,932.8万14.21%2,898.8万
总负债 4.83%9,093.6万4.83%9,093.6万6.89%9,341.3万2.87%8,267.8万2.52%8,443.2万3.63%8,674.9万3.63%8,674.9万8.71%8,739.1万3.72%8,037万7.46%8,235.6万
所有者权益
股本 25.00%5,00025.00%5,0000.00%4,0000.00%4,0000.00%4,0000.00%4,0000.00%4,00033.33%4,00033.33%4,00033.33%4,000
-普通股股本 25.00%5,00025.00%5,0000.00%4,0000.00%4,0000.00%4,0000.00%4,0000.00%4,00033.33%4,00033.33%4,00033.33%4,000
留存收益 -32.91%-1.96亿-32.91%-1.96亿-34.28%-1.82亿-41.67%-1.69亿-51.17%-1.59亿-68.06%-1.47亿-68.06%-1.47亿-84.64%-1.35亿-97.18%-1.19亿-114.54%-1.05亿
资本公积 42.21%2.74亿42.21%2.74亿22.91%2.24亿23.40%2.14亿24.51%2.06亿22.94%1.92亿22.94%1.92亿21.92%1.83亿20.87%1.73亿21.24%1.65亿
股东权益总额 72.73%7,762.2万72.73%7,762.2万-9.56%4,283.1万-16.77%4,509.8万-21.65%4,745.4万-34.63%4,493.8万-34.63%4,493.8万-38.11%4,735.8万-34.71%5,418.5万-30.83%6,056.9万
总权益 72.73%7,762.2万72.73%7,762.2万-9.56%4,283.1万-16.77%4,509.8万-21.65%4,745.4万-34.63%4,493.8万-34.63%4,493.8万-38.11%4,735.8万-34.71%5,418.5万-30.83%6,056.9万
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--------
市场投资机会
美国降息利好概念 美国降息利好概念

主要展示有望受惠于美联储降息的代表性个股。資訊由富途提供, 并非详尽无遗的有关主题概念股, 仅供参考。 展示条件: 美国降息利好概念板块中涨跌幅首5位, 由高至低排列,实时市场数据。 主要展示有望受惠于美联储降息的代表性个股。資訊由富途提供, 并非详尽无遗的有关主题概念股, 仅供参考。 展示条件: 美国降息利好概念板块中涨跌幅首5位, 由高至低排列,实时市场数据。