美股市场个股详情

GCMG GCM Grosvenor

添加自选
  • 9.640
  • -0.030-0.31%
交易中 06/26 15:50 (美东)
4.26亿总市值-31096市盈率TTM

GCM Grosvenor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
-32.34%4,186.3万
-47.92%4,435.4万
-47.92%4,435.4万
-45.50%5,535.4万
-35.33%5,075.6万
-19.13%6,187.3万
-11.46%8,516.3万
-11.46%8,516.3万
-15.34%1.02亿
-70.48%7,848.3万
-现金和现金等价物
-32.34%4,186.3万
-47.92%4,435.4万
-47.92%4,435.4万
-45.50%5,535.4万
-35.33%5,075.6万
-19.13%6,187.3万
-11.46%8,516.3万
-11.46%8,516.3万
-15.34%1.02亿
-70.48%7,848.3万
应收款项
-10.87%4,260.1万
36.49%6,594.8万
36.49%6,594.8万
-1.34%5,564万
-5.34%3,868万
7.55%4,779.8万
-61.37%4,831.7万
-61.37%4,831.7万
3.12%5,639.5万
-39.10%4,086.1万
-应收账款
-5.75%3,231.6万
48.78%5,236.7万
48.78%5,236.7万
-3.07%4,310.4万
-12.61%2,641.4万
1.46%3,428.9万
-68.93%3,519.8万
-68.93%3,519.8万
-1.73%4,446.8万
-46.42%3,022.7万
-应收关联方款项
-23.87%1,028.5万
3.52%1,358.1万
3.52%1,358.1万
5.11%1,253.6万
15.35%1,226.6万
26.88%1,350.9万
11.40%1,311.9万
11.40%1,311.9万
26.41%1,192.7万
-0.47%1,063.4万
流动资产合计
-22.98%8,446.4万
-17.36%1.1亿
-17.36%1.1亿
-29.74%1.11亿
-25.06%8,943.6万
-9.33%1.1亿
-39.67%1.33亿
-39.67%1.33亿
-9.56%1.58亿
-64.15%1.19亿
非流动资产
固定资产净额
221.21%5,262.4万
168.62%4,593.2万
168.62%4,593.2万
154.69%4,517万
-22.80%1,477.5万
-18.74%1,638.3万
216.00%1,709.9万
216.00%1,709.9万
215.06%1,773.5万
225.60%1,913.9万
-固定资产
221.21%5,262.4万
42.79%1.01亿
42.79%1.01亿
154.69%4,517万
-22.80%1,477.5万
-18.74%1,638.3万
22.73%7,048.7万
22.73%7,048.7万
--1,773.5万
--1,913.9万
-累计折旧
----
-2.48%-5,471.4万
-2.48%-5,471.4万
----
----
----
-2.63%-5,338.8万
-2.63%-5,338.8万
----
----
商誉及其他无形资产
-4.03%3,125.7万
-3.99%3,158.6万
-3.99%3,158.6万
-4.67%3,191.4万
-5.33%3,224.2万
-5.96%3,257.1万
-6.58%3,289.9万
-6.58%3,289.9万
-6.48%3,347.8万
-6.39%3,405.7万
-商誉
0.00%2,895.9万
0.00%2,895.9万
0.00%2,895.9万
0.00%2,895.9万
0.00%2,895.9万
0.00%2,895.9万
0.00%2,895.9万
0.00%2,895.9万
0.00%2,895.9万
0.00%2,895.9万
-其他无形资产
-36.38%229.8万
-33.32%262.7万
-33.32%262.7万
-34.61%295.5万
-35.60%328.3万
-36.37%361.2万
-37.02%394万
-37.02%394万
-33.92%451.9万
-31.30%509.8万
投资和预付款
7.18%2.48亿
7.25%2.4亿
7.25%2.4亿
7.11%2.4亿
5.86%2.36亿
-0.37%2.32亿
-1.05%2.24亿
-1.05%2.24亿
9.79%2.24亿
17.01%2.23亿
关联方资产
-23.87%1,028.5万
3.52%1,358.1万
3.52%1,358.1万
5.11%1,253.6万
15.35%1,226.6万
26.88%1,350.9万
11.40%1,311.9万
11.40%1,311.9万
26.41%1,192.7万
-0.47%1,063.4万
非流动递延资产
-4.47%5,877.2万
-3.35%5,829.8万
-3.35%5,829.8万
-6.91%5,753.3万
-9.12%5,964万
-9.37%6,152.1万
-12.00%6,032万
-12.00%6,032万
-14.13%6,180.6万
-10.21%6,562.5万
其他非流动资产
8.86%2,175.4万
-12.01%1,862.3万
-12.01%1,862.3万
-64.46%1,922.7万
-59.91%1,871.6万
-51.15%1,998.4万
-14.85%2,116.5万
-14.85%2,116.5万
159.90%5,409.6万
79.49%4,668.7万
非流动资产合计
13.96%4.13亿
11.02%3.95亿
11.02%3.95亿
0.68%3.94亿
-6.97%3.61亿
-8.58%3.62亿
-1.36%3.55亿
-1.36%3.55亿
15.63%3.91亿
17.04%3.88亿
总资产
5.38%4.97亿
3.27%5.05亿
3.27%5.05亿
-8.07%5.05亿
-11.22%4.51亿
-8.75%4.72亿
-15.94%4.89亿
-15.94%4.89亿
7.05%5.49亿
-23.62%5.08亿
负债
流动负债
应付款项
-2.88%5,375.9万
-2.90%5,375.9万
-2.90%5,375.9万
-6.61%5,539.5万
-6.66%5,536.1万
-6.75%5,535.4万
-6.74%5,536.6万
-6.74%5,536.6万
-2.66%5,931.3万
-2.57%5,931.3万
-应付关联方款项
-2.88%5,375.9万
-2.90%5,375.9万
-2.90%5,375.9万
-6.61%5,539.5万
-6.66%5,536.1万
-6.75%5,535.4万
-6.74%5,536.6万
-6.74%5,536.6万
-2.66%5,931.3万
-2.57%5,931.3万
应计费用
-23.20%3,178.5万
32.80%33.2万
32.80%33.2万
19.02%2,670.8万
45.18%3,250.1万
61.92%4,138.8万
-83.44%25万
-83.44%25万
-16.77%2,244万
-30.47%2,238.6万
递延负债
----
-1.97%879.5万
-1.97%879.5万
----
----
----
5.75%897.2万
5.75%897.2万
----
----
流动负债总额
-11.58%8,554.4万
-2.64%6,288.6万
-2.64%6,288.6万
0.43%8,210.3万
7.54%8,786.2万
13.92%9,674.2万
-6.88%6,458.8万
-6.88%6,458.8万
-6.99%8,175.3万
-12.22%8,169.9万
非流动负债
长期借款与租赁负债
6.34%4.27亿
5.72%4.26亿
5.72%4.26亿
6.01%4.28亿
-1.95%3.99亿
-1.76%4.02亿
3.23%4.03亿
3.23%4.03亿
3.25%4.04亿
3.71%4.07亿
-长期借款
-0.75%3.84亿
-0.75%3.85亿
-0.75%3.85亿
-0.75%3.85亿
-0.74%3.86亿
-0.74%3.87亿
-0.74%3.88亿
-0.74%3.88亿
-0.74%3.88亿
-0.81%3.89亿
-长期租赁负债
191.08%4,319.7万
167.27%4,148.1万
167.27%4,148.1万
173.94%4,277.6万
-28.48%1,267.7万
-22.54%1,484万
--1,552万
--1,552万
--1,561.5万
--1,772.6万
员工福利
7.58%7,685.9万
10.34%9,856.1万
10.34%9,856.1万
-17.26%8,254.1万
3.98%5,980.7万
47.83%7,144.1万
-30.50%8,932.5万
-30.50%8,932.5万
-2.21%9,976.5万
-18.58%5,751.9万
衍生品负债
-14.94%857.5万
-3.03%1,390万
-3.03%1,390万
-47.46%553.8万
-23.16%518.6万
-64.40%1,008.1万
-53.73%1,433.4万
-53.73%1,433.4万
-74.84%1,054万
-79.42%674.9万
其他非流动负债
----
26.61%1,461.7万
26.61%1,461.7万
----
----
----
-8.50%1,154.5万
-8.50%1,154.5万
----
----
非流动负债总额
6.08%5.13亿
6.74%5.53亿
6.74%5.53亿
0.40%5.16亿
-1.53%4.64亿
-0.48%4.83亿
-8.75%5.18亿
-8.75%5.18亿
-3.90%5.14亿
-4.96%4.71亿
总负债
3.13%5.98亿
5.70%6.16亿
5.70%6.16亿
0.40%5.98亿
-0.19%5.52亿
1.66%5.8亿
-8.55%5.83亿
-8.55%5.83亿
-4.34%5.96亿
-6.11%5.53亿
所有者权益
股本
0.00%1.8万
0.00%1.8万
0.00%1.8万
0.00%1.8万
0.00%1.8万
0.00%1.8万
0.00%1.8万
0.00%1.8万
0.00%1.8万
0.00%1.8万
-普通股股本
0.00%1.8万
0.00%1.8万
0.00%1.8万
0.00%1.8万
0.00%1.8万
0.00%1.8万
0.00%1.8万
0.00%1.8万
0.00%1.8万
0.00%1.8万
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
-14.27%-3,420.1万
-34.61%-3,221.8万
-34.61%-3,221.8万
-27.68%-3,052.7万
-35.97%-3,045.7万
-14.71%-2,993.1万
8.73%-2,393.4万
8.73%-2,393.4万
33.17%-2,390.9万
32.50%-2,240万
资本公积
275.45%481.7万
--193.6万
--193.6万
--108.1万
-10.65%158.6万
-55.12%128.3万
--0
--0
--0
-88.46%177.5万
不影响留存收益的损益
8.23%297.3万
-35.79%263万
-35.79%263万
-5.46%471万
35.66%404.8万
-8.86%274.7万
506.75%409.6万
506.75%409.6万
370.03%498.2万
235.08%298.4万
股东权益总额
-1.97%-2,639.3万
-39.42%-2,763.4万
-39.42%-2,763.4万
-30.72%-2,471.8万
-40.75%-2,480.5万
-28.12%-2,588.3万
22.91%-1,982万
22.91%-1,982万
49.72%-1,890.9万
11.85%-1,762.3万
非控制性权益
9.38%-7,447.8万
-12.68%-8,359.5万
-12.68%-8,359.5万
-145.81%-6,897万
-178.38%-7,607.8万
-148.32%-8,219.1万
-146.54%-7,418.6万
-146.54%-7,418.6万
61.32%-2,805.8万
-128.44%-2,732.9万
总权益
6.66%-1.01亿
-18.32%-1.11亿
-18.32%-1.11亿
-99.48%-9,368.8万
-124.42%-1.01亿
-102.76%-1.08亿
-68.47%-9,400.6万
-68.47%-9,400.6万
57.36%-4,696.7万
-159.07%-4,495.2万
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
--
--
--
--
带解释段的无保留意见
--
--
--
(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 -32.34%4,186.3万-47.92%4,435.4万-47.92%4,435.4万-45.50%5,535.4万-35.33%5,075.6万-19.13%6,187.3万-11.46%8,516.3万-11.46%8,516.3万-15.34%1.02亿-70.48%7,848.3万
-现金和现金等价物 -32.34%4,186.3万-47.92%4,435.4万-47.92%4,435.4万-45.50%5,535.4万-35.33%5,075.6万-19.13%6,187.3万-11.46%8,516.3万-11.46%8,516.3万-15.34%1.02亿-70.48%7,848.3万
应收款项 -10.87%4,260.1万36.49%6,594.8万36.49%6,594.8万-1.34%5,564万-5.34%3,868万7.55%4,779.8万-61.37%4,831.7万-61.37%4,831.7万3.12%5,639.5万-39.10%4,086.1万
-应收账款 -5.75%3,231.6万48.78%5,236.7万48.78%5,236.7万-3.07%4,310.4万-12.61%2,641.4万1.46%3,428.9万-68.93%3,519.8万-68.93%3,519.8万-1.73%4,446.8万-46.42%3,022.7万
-应收关联方款项 -23.87%1,028.5万3.52%1,358.1万3.52%1,358.1万5.11%1,253.6万15.35%1,226.6万26.88%1,350.9万11.40%1,311.9万11.40%1,311.9万26.41%1,192.7万-0.47%1,063.4万
流动资产合计 -22.98%8,446.4万-17.36%1.1亿-17.36%1.1亿-29.74%1.11亿-25.06%8,943.6万-9.33%1.1亿-39.67%1.33亿-39.67%1.33亿-9.56%1.58亿-64.15%1.19亿
非流动资产
固定资产净额 221.21%5,262.4万168.62%4,593.2万168.62%4,593.2万154.69%4,517万-22.80%1,477.5万-18.74%1,638.3万216.00%1,709.9万216.00%1,709.9万215.06%1,773.5万225.60%1,913.9万
-固定资产 221.21%5,262.4万42.79%1.01亿42.79%1.01亿154.69%4,517万-22.80%1,477.5万-18.74%1,638.3万22.73%7,048.7万22.73%7,048.7万--1,773.5万--1,913.9万
-累计折旧 -----2.48%-5,471.4万-2.48%-5,471.4万-------------2.63%-5,338.8万-2.63%-5,338.8万--------
商誉及其他无形资产 -4.03%3,125.7万-3.99%3,158.6万-3.99%3,158.6万-4.67%3,191.4万-5.33%3,224.2万-5.96%3,257.1万-6.58%3,289.9万-6.58%3,289.9万-6.48%3,347.8万-6.39%3,405.7万
-商誉 0.00%2,895.9万0.00%2,895.9万0.00%2,895.9万0.00%2,895.9万0.00%2,895.9万0.00%2,895.9万0.00%2,895.9万0.00%2,895.9万0.00%2,895.9万0.00%2,895.9万
-其他无形资产 -36.38%229.8万-33.32%262.7万-33.32%262.7万-34.61%295.5万-35.60%328.3万-36.37%361.2万-37.02%394万-37.02%394万-33.92%451.9万-31.30%509.8万
投资和预付款 7.18%2.48亿7.25%2.4亿7.25%2.4亿7.11%2.4亿5.86%2.36亿-0.37%2.32亿-1.05%2.24亿-1.05%2.24亿9.79%2.24亿17.01%2.23亿
关联方资产 -23.87%1,028.5万3.52%1,358.1万3.52%1,358.1万5.11%1,253.6万15.35%1,226.6万26.88%1,350.9万11.40%1,311.9万11.40%1,311.9万26.41%1,192.7万-0.47%1,063.4万
非流动递延资产 -4.47%5,877.2万-3.35%5,829.8万-3.35%5,829.8万-6.91%5,753.3万-9.12%5,964万-9.37%6,152.1万-12.00%6,032万-12.00%6,032万-14.13%6,180.6万-10.21%6,562.5万
其他非流动资产 8.86%2,175.4万-12.01%1,862.3万-12.01%1,862.3万-64.46%1,922.7万-59.91%1,871.6万-51.15%1,998.4万-14.85%2,116.5万-14.85%2,116.5万159.90%5,409.6万79.49%4,668.7万
非流动资产合计 13.96%4.13亿11.02%3.95亿11.02%3.95亿0.68%3.94亿-6.97%3.61亿-8.58%3.62亿-1.36%3.55亿-1.36%3.55亿15.63%3.91亿17.04%3.88亿
总资产 5.38%4.97亿3.27%5.05亿3.27%5.05亿-8.07%5.05亿-11.22%4.51亿-8.75%4.72亿-15.94%4.89亿-15.94%4.89亿7.05%5.49亿-23.62%5.08亿
负债
流动负债
应付款项 -2.88%5,375.9万-2.90%5,375.9万-2.90%5,375.9万-6.61%5,539.5万-6.66%5,536.1万-6.75%5,535.4万-6.74%5,536.6万-6.74%5,536.6万-2.66%5,931.3万-2.57%5,931.3万
-应付关联方款项 -2.88%5,375.9万-2.90%5,375.9万-2.90%5,375.9万-6.61%5,539.5万-6.66%5,536.1万-6.75%5,535.4万-6.74%5,536.6万-6.74%5,536.6万-2.66%5,931.3万-2.57%5,931.3万
应计费用 -23.20%3,178.5万32.80%33.2万32.80%33.2万19.02%2,670.8万45.18%3,250.1万61.92%4,138.8万-83.44%25万-83.44%25万-16.77%2,244万-30.47%2,238.6万
递延负债 -----1.97%879.5万-1.97%879.5万------------5.75%897.2万5.75%897.2万--------
流动负债总额 -11.58%8,554.4万-2.64%6,288.6万-2.64%6,288.6万0.43%8,210.3万7.54%8,786.2万13.92%9,674.2万-6.88%6,458.8万-6.88%6,458.8万-6.99%8,175.3万-12.22%8,169.9万
非流动负债
长期借款与租赁负债 6.34%4.27亿5.72%4.26亿5.72%4.26亿6.01%4.28亿-1.95%3.99亿-1.76%4.02亿3.23%4.03亿3.23%4.03亿3.25%4.04亿3.71%4.07亿
-长期借款 -0.75%3.84亿-0.75%3.85亿-0.75%3.85亿-0.75%3.85亿-0.74%3.86亿-0.74%3.87亿-0.74%3.88亿-0.74%3.88亿-0.74%3.88亿-0.81%3.89亿
-长期租赁负债 191.08%4,319.7万167.27%4,148.1万167.27%4,148.1万173.94%4,277.6万-28.48%1,267.7万-22.54%1,484万--1,552万--1,552万--1,561.5万--1,772.6万
员工福利 7.58%7,685.9万10.34%9,856.1万10.34%9,856.1万-17.26%8,254.1万3.98%5,980.7万47.83%7,144.1万-30.50%8,932.5万-30.50%8,932.5万-2.21%9,976.5万-18.58%5,751.9万
衍生品负债 -14.94%857.5万-3.03%1,390万-3.03%1,390万-47.46%553.8万-23.16%518.6万-64.40%1,008.1万-53.73%1,433.4万-53.73%1,433.4万-74.84%1,054万-79.42%674.9万
其他非流动负债 ----26.61%1,461.7万26.61%1,461.7万-------------8.50%1,154.5万-8.50%1,154.5万--------
非流动负债总额 6.08%5.13亿6.74%5.53亿6.74%5.53亿0.40%5.16亿-1.53%4.64亿-0.48%4.83亿-8.75%5.18亿-8.75%5.18亿-3.90%5.14亿-4.96%4.71亿
总负债 3.13%5.98亿5.70%6.16亿5.70%6.16亿0.40%5.98亿-0.19%5.52亿1.66%5.8亿-8.55%5.83亿-8.55%5.83亿-4.34%5.96亿-6.11%5.53亿
所有者权益
股本 0.00%1.8万0.00%1.8万0.00%1.8万0.00%1.8万0.00%1.8万0.00%1.8万0.00%1.8万0.00%1.8万0.00%1.8万0.00%1.8万
-普通股股本 0.00%1.8万0.00%1.8万0.00%1.8万0.00%1.8万0.00%1.8万0.00%1.8万0.00%1.8万0.00%1.8万0.00%1.8万0.00%1.8万
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 -14.27%-3,420.1万-34.61%-3,221.8万-34.61%-3,221.8万-27.68%-3,052.7万-35.97%-3,045.7万-14.71%-2,993.1万8.73%-2,393.4万8.73%-2,393.4万33.17%-2,390.9万32.50%-2,240万
资本公积 275.45%481.7万--193.6万--193.6万--108.1万-10.65%158.6万-55.12%128.3万--0--0--0-88.46%177.5万
不影响留存收益的损益 8.23%297.3万-35.79%263万-35.79%263万-5.46%471万35.66%404.8万-8.86%274.7万506.75%409.6万506.75%409.6万370.03%498.2万235.08%298.4万
股东权益总额 -1.97%-2,639.3万-39.42%-2,763.4万-39.42%-2,763.4万-30.72%-2,471.8万-40.75%-2,480.5万-28.12%-2,588.3万22.91%-1,982万22.91%-1,982万49.72%-1,890.9万11.85%-1,762.3万
非控制性权益 9.38%-7,447.8万-12.68%-8,359.5万-12.68%-8,359.5万-145.81%-6,897万-178.38%-7,607.8万-148.32%-8,219.1万-146.54%-7,418.6万-146.54%-7,418.6万61.32%-2,805.8万-128.44%-2,732.9万
总权益 6.66%-1.01亿-18.32%-1.11亿-18.32%-1.11亿-99.48%-9,368.8万-124.42%-1.01亿-102.76%-1.08亿-68.47%-9,400.6万-68.47%-9,400.6万57.36%-4,696.7万-159.07%-4,495.2万
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--------带解释段的无保留意见------

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