美股市场个股详情

INUV Inuvo

添加自选
  • 0.2423
  • +0.0124+5.39%
收盘价 11/22 16:00 (美东)
  • 0.2401
  • -0.0022-0.91%
盘后 20:01 (美东)
3404.31万总市值-4038市盈率TTM

Inuvo关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(FY)2022/12/31
(Q4)2022/12/31
资产
流动资产
现金及现金等价物和短期投资
-62.93%258.68万
-60.12%201.19万
23.48%243.2万
-0.46%444.05万
-0.46%444.05万
-8.80%697.85万
-40.07%504.51万
-76.04%196.96万
-64.04%446.09万
-64.04%446.09万
-现金和现金等价物
-62.93%258.68万
-60.12%201.19万
23.48%243.2万
51.48%444.05万
51.48%444.05万
20.72%697.85万
-20.84%504.51万
-65.71%196.96万
-72.02%293.14万
-72.02%293.14万
-短期投资
----
----
----
--0
--0
--0
--0
--0
-20.67%152.95万
-20.67%152.95万
应收款项
-13.56%878.25万
-25.14%808.13万
-4.50%871.04万
-17.02%922.7万
-17.02%922.7万
6.31%1,015.97万
-17.56%1,079.57万
-9.25%912.08万
20.01%1,111.99万
20.01%1,111.99万
-应收账款
-13.56%878.25万
-25.14%808.13万
-4.50%871.04万
-17.02%922.7万
-17.02%922.7万
6.31%1,015.97万
-17.56%1,079.57万
-9.25%912.08万
20.01%1,111.99万
20.01%1,111.99万
其他流动资产
-7.98%88.26万
25.28%103.8万
4.99%101.89万
34.69%107.61万
34.69%107.61万
-12.23%95.9万
-22.88%82.86万
-57.01%97.04万
-43.26%79.9万
-43.26%79.9万
流动资产合计
-32.30%1,225.18万
-33.22%1,113.13万
0.83%1,216.12万
-9.99%1,474.35万
-9.99%1,474.35万
-1.12%1,809.72万
-26.20%1,666.94万
-41.25%1,206.08万
-29.02%1,637.97万
-29.02%1,637.97万
非流动资产
固定资产净额
4.83%278.8万
47.02%282.26万
-35.04%132.93万
19.15%255.91万
19.15%255.91万
19.81%265.96万
-17.44%191.99万
-13.43%204.62万
-8.60%214.79万
-8.60%214.79万
-固定资产
8.97%2,044.05万
13.85%2,003.43万
-81.45%320.74万
12.25%1,908.24万
12.25%1,908.24万
12.53%1,875.78万
7.43%1,759.73万
7.77%1,729.15万
8.46%1,700.03万
8.46%1,700.03万
-累计折旧
-9.66%-1,765.26万
-9.79%-1,721.17万
87.68%-187.82万
-11.25%-1,652.33万
-11.25%-1,652.33万
-11.41%-1,609.82万
-11.55%-1,567.74万
-11.43%-1,524.53万
-11.46%-1,485.24万
-11.46%-1,485.24万
商誉及其他无形资产
-6.09%1,386.56万
-6.56%1,402.59万
3.61%1,580.67万
-6.35%1,451.81万
-6.35%1,451.81万
-6.25%1,476.43万
-6.16%1,501.04万
-6.06%1,525.65万
-6.46%1,550.26万
-6.46%1,550.26万
-商誉
0.00%985.33万
0.00%985.33万
0.00%985.33万
0.00%985.33万
0.00%985.33万
0.00%985.33万
0.00%985.33万
0.00%985.33万
0.00%985.33万
0.00%985.33万
-其他无形资产
-18.30%401.22万
-19.09%417.25万
10.18%595.34万
-17.43%466.48万
-17.43%466.48万
-16.70%491.09万
-16.03%515.7万
-15.41%540.32万
-15.94%564.93万
-15.94%564.93万
投资和预付款
----
----
----
--0
--0
--0
--0
--0
-23.20%66.01万
-23.20%66.01万
长期预付费用
--0
-46.15%35万
-41.38%42.5万
-37.50%50万
-37.50%50万
-34.29%57.5万
-31.58%65万
-29.27%72.5万
-27.27%80万
-27.27%80万
其他非流动资产
-1.50%7.83万
264.93%12.83万
-20.28%5.33万
-20.28%5.33万
-20.28%5.33万
126.16%7.95万
-1.54%3.52万
87.34%6.69万
87.34%6.69万
87.34%6.69万
非流动资产合计
-7.45%1,673.19万
-1.64%1,732.68万
-2.65%1,761.43万
-8.07%1,763.06万
-8.07%1,763.06万
-7.28%1,807.84万
-11.45%1,761.54万
-11.42%1,809.46万
-8.33%1,917.76万
-8.33%1,917.76万
总资产
-19.88%2,898.37万
-16.99%2,845.81万
-1.26%2,977.55万
-8.95%3,237.41万
-8.95%3,237.41万
-4.30%3,617.57万
-19.29%3,428.48万
-26.37%3,015.54万
-19.18%3,555.73万
-19.18%3,555.73万
负债
流动负债
应付款项
-8.66%710.08万
-1.80%608.61万
-3.17%533.37万
-20.01%643.82万
-20.01%643.82万
37.51%777.37万
-0.79%619.76万
21.75%550.81万
65.52%804.86万
65.52%804.86万
-应付账款
-8.73%708.86万
-1.89%607.59万
-3.20%533.08万
-20.05%643.21万
-20.05%643.21万
37.42%776.65万
-0.86%619.28万
21.92%550.68万
66.05%804.48万
66.05%804.48万
-应付税费
69.45%1.22万
114.65%1.02万
121.47%2,899
61.81%6,076
61.81%6,076
341.03%7,224
839.17%4,771
-81.88%1,309
-79.00%3,755
-79.00%3,755
应计费用
-1.41%830.44万
-7.85%759.04万
62.66%799.75万
53.15%788.54万
53.15%788.54万
34.24%842.35万
18.41%823.66万
12.19%491.66万
-3.70%514.87万
-3.70%514.87万
短期借款与租赁负债
17.61%27.43万
39.22%26.97万
-69.39%27.21万
-55.25%17.39万
-55.25%17.39万
-46.43%23.32万
-57.96%19.37万
95.24%88.88万
-12.38%38.85万
-12.38%38.85万
-短期借款
----
----
----
----
----
----
----
--59.29万
----
----
-短期租赁负债
17.61%27.43万
39.22%26.97万
-8.05%27.21万
-55.25%17.39万
-55.25%17.39万
-46.43%23.32万
-57.96%19.37万
-34.99%29.59万
-12.38%38.85万
-12.38%38.85万
其他流动负债
----
----
100.00%3万
250.00%3.5万
250.00%3.5万
100.00%1万
----
--1.5万
0.00%1万
0.00%1万
流动负债总额
-4.63%1,567.95万
-4.66%1,394.63万
20.34%1,363.33万
6.89%1,453.25万
6.89%1,453.25万
32.92%1,644.05万
7.02%1,462.79万
21.01%1,132.86万
27.51%1,359.58万
27.51%1,359.58万
非流动负债
长期借款与租赁负债
8.76%80.67万
1,909.58%87.77万
1,400.65%94.81万
715.06%77万
715.06%77万
670.69%74.17万
-76.13%4.37万
-78.81%6.32万
-76.74%9.45万
-76.74%9.45万
-长期租赁负债
8.76%80.67万
1,909.58%87.77万
1,400.65%94.81万
715.06%77万
715.06%77万
670.69%74.17万
-76.13%4.37万
-78.81%6.32万
-76.74%9.45万
-76.74%9.45万
递延负债
-11.60%9.46万
-11.60%9.46万
-16.60%8.92万
-16.60%8.92万
-16.60%8.92万
0.00%10.7万
-12.25%10.7万
-11.74%10.7万
0.00%10.7万
0.00%10.7万
其他非流动负债
----
----
----
-97.99%216
-97.99%216
29.78%1.79万
--3,555
--7,253
-19.31%1.07万
-19.31%1.07万
非流动负债总额
4.01%90.12万
530.40%97.23万
484.64%103.73万
305.02%85.95万
305.02%85.95万
299.31%86.65万
-49.42%15.42万
-57.69%17.74万
-59.70%21.22万
-59.70%21.22万
总负债
-4.20%1,658.08万
0.92%1,491.85万
27.50%1,467.06万
11.47%1,539.2万
11.47%1,539.2万
37.52%1,730.7万
5.78%1,478.21万
17.63%1,150.6万
23.41%1,380.8万
23.41%1,380.8万
所有者权益
股本
1.80%14.05万
1.90%14.04万
14.62%13.94万
14.85%13.8万
14.85%13.8万
14.85%13.8万
14.97%13.78万
1.53%12.16万
1.17%12.01万
1.17%12.01万
-普通股股本
1.80%14.05万
1.90%14.04万
14.62%13.94万
14.85%13.8万
14.85%13.8万
14.85%13.8万
14.97%13.78万
1.53%12.16万
1.17%12.01万
1.17%12.01万
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
-5.03%-1.73亿
-4.53%-1.71亿
-5.65%-1.7亿
-6.62%-1.67亿
-6.62%-1.67亿
-7.82%-1.65亿
-9.78%-1.64亿
-9.90%-1.6亿
-9.10%-1.57亿
-9.10%-1.57亿
资本公积
1.00%1.86亿
0.80%1.85亿
3.07%1.85亿
3.09%1.84亿
3.09%1.84亿
3.07%1.84亿
3.04%1.83亿
1.06%1.79亿
1.24%1.79亿
1.24%1.79亿
不影响留存收益的损益
----
----
--0
--0
--0
--0
--0
--0
-257.93%-8.49万
-257.93%-8.49万
股东权益总额
-34.27%1,240.29万
-30.58%1,353.96万
-19.01%1,510.49万
-21.92%1,698.22万
-21.92%1,698.22万
-25.17%1,886.87万
-31.58%1,950.27万
-40.18%1,864.94万
-33.71%2,174.93万
-33.71%2,174.93万
总权益
-34.27%1,240.29万
-30.58%1,353.96万
-19.01%1,510.49万
-21.92%1,698.22万
-21.92%1,698.22万
-25.17%1,886.87万
-31.58%1,950.27万
-40.18%1,864.94万
-33.71%2,174.93万
-33.71%2,174.93万
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
--
--
--
--
--
--
(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(FY)2022/12/31(Q4)2022/12/31
资产
流动资产
现金及现金等价物和短期投资 -62.93%258.68万-60.12%201.19万23.48%243.2万-0.46%444.05万-0.46%444.05万-8.80%697.85万-40.07%504.51万-76.04%196.96万-64.04%446.09万-64.04%446.09万
-现金和现金等价物 -62.93%258.68万-60.12%201.19万23.48%243.2万51.48%444.05万51.48%444.05万20.72%697.85万-20.84%504.51万-65.71%196.96万-72.02%293.14万-72.02%293.14万
-短期投资 --------------0--0--0--0--0-20.67%152.95万-20.67%152.95万
应收款项 -13.56%878.25万-25.14%808.13万-4.50%871.04万-17.02%922.7万-17.02%922.7万6.31%1,015.97万-17.56%1,079.57万-9.25%912.08万20.01%1,111.99万20.01%1,111.99万
-应收账款 -13.56%878.25万-25.14%808.13万-4.50%871.04万-17.02%922.7万-17.02%922.7万6.31%1,015.97万-17.56%1,079.57万-9.25%912.08万20.01%1,111.99万20.01%1,111.99万
其他流动资产 -7.98%88.26万25.28%103.8万4.99%101.89万34.69%107.61万34.69%107.61万-12.23%95.9万-22.88%82.86万-57.01%97.04万-43.26%79.9万-43.26%79.9万
流动资产合计 -32.30%1,225.18万-33.22%1,113.13万0.83%1,216.12万-9.99%1,474.35万-9.99%1,474.35万-1.12%1,809.72万-26.20%1,666.94万-41.25%1,206.08万-29.02%1,637.97万-29.02%1,637.97万
非流动资产
固定资产净额 4.83%278.8万47.02%282.26万-35.04%132.93万19.15%255.91万19.15%255.91万19.81%265.96万-17.44%191.99万-13.43%204.62万-8.60%214.79万-8.60%214.79万
-固定资产 8.97%2,044.05万13.85%2,003.43万-81.45%320.74万12.25%1,908.24万12.25%1,908.24万12.53%1,875.78万7.43%1,759.73万7.77%1,729.15万8.46%1,700.03万8.46%1,700.03万
-累计折旧 -9.66%-1,765.26万-9.79%-1,721.17万87.68%-187.82万-11.25%-1,652.33万-11.25%-1,652.33万-11.41%-1,609.82万-11.55%-1,567.74万-11.43%-1,524.53万-11.46%-1,485.24万-11.46%-1,485.24万
商誉及其他无形资产 -6.09%1,386.56万-6.56%1,402.59万3.61%1,580.67万-6.35%1,451.81万-6.35%1,451.81万-6.25%1,476.43万-6.16%1,501.04万-6.06%1,525.65万-6.46%1,550.26万-6.46%1,550.26万
-商誉 0.00%985.33万0.00%985.33万0.00%985.33万0.00%985.33万0.00%985.33万0.00%985.33万0.00%985.33万0.00%985.33万0.00%985.33万0.00%985.33万
-其他无形资产 -18.30%401.22万-19.09%417.25万10.18%595.34万-17.43%466.48万-17.43%466.48万-16.70%491.09万-16.03%515.7万-15.41%540.32万-15.94%564.93万-15.94%564.93万
投资和预付款 --------------0--0--0--0--0-23.20%66.01万-23.20%66.01万
长期预付费用 --0-46.15%35万-41.38%42.5万-37.50%50万-37.50%50万-34.29%57.5万-31.58%65万-29.27%72.5万-27.27%80万-27.27%80万
其他非流动资产 -1.50%7.83万264.93%12.83万-20.28%5.33万-20.28%5.33万-20.28%5.33万126.16%7.95万-1.54%3.52万87.34%6.69万87.34%6.69万87.34%6.69万
非流动资产合计 -7.45%1,673.19万-1.64%1,732.68万-2.65%1,761.43万-8.07%1,763.06万-8.07%1,763.06万-7.28%1,807.84万-11.45%1,761.54万-11.42%1,809.46万-8.33%1,917.76万-8.33%1,917.76万
总资产 -19.88%2,898.37万-16.99%2,845.81万-1.26%2,977.55万-8.95%3,237.41万-8.95%3,237.41万-4.30%3,617.57万-19.29%3,428.48万-26.37%3,015.54万-19.18%3,555.73万-19.18%3,555.73万
负债
流动负债
应付款项 -8.66%710.08万-1.80%608.61万-3.17%533.37万-20.01%643.82万-20.01%643.82万37.51%777.37万-0.79%619.76万21.75%550.81万65.52%804.86万65.52%804.86万
-应付账款 -8.73%708.86万-1.89%607.59万-3.20%533.08万-20.05%643.21万-20.05%643.21万37.42%776.65万-0.86%619.28万21.92%550.68万66.05%804.48万66.05%804.48万
-应付税费 69.45%1.22万114.65%1.02万121.47%2,89961.81%6,07661.81%6,076341.03%7,224839.17%4,771-81.88%1,309-79.00%3,755-79.00%3,755
应计费用 -1.41%830.44万-7.85%759.04万62.66%799.75万53.15%788.54万53.15%788.54万34.24%842.35万18.41%823.66万12.19%491.66万-3.70%514.87万-3.70%514.87万
短期借款与租赁负债 17.61%27.43万39.22%26.97万-69.39%27.21万-55.25%17.39万-55.25%17.39万-46.43%23.32万-57.96%19.37万95.24%88.88万-12.38%38.85万-12.38%38.85万
-短期借款 ------------------------------59.29万--------
-短期租赁负债 17.61%27.43万39.22%26.97万-8.05%27.21万-55.25%17.39万-55.25%17.39万-46.43%23.32万-57.96%19.37万-34.99%29.59万-12.38%38.85万-12.38%38.85万
其他流动负债 --------100.00%3万250.00%3.5万250.00%3.5万100.00%1万------1.5万0.00%1万0.00%1万
流动负债总额 -4.63%1,567.95万-4.66%1,394.63万20.34%1,363.33万6.89%1,453.25万6.89%1,453.25万32.92%1,644.05万7.02%1,462.79万21.01%1,132.86万27.51%1,359.58万27.51%1,359.58万
非流动负债
长期借款与租赁负债 8.76%80.67万1,909.58%87.77万1,400.65%94.81万715.06%77万715.06%77万670.69%74.17万-76.13%4.37万-78.81%6.32万-76.74%9.45万-76.74%9.45万
-长期租赁负债 8.76%80.67万1,909.58%87.77万1,400.65%94.81万715.06%77万715.06%77万670.69%74.17万-76.13%4.37万-78.81%6.32万-76.74%9.45万-76.74%9.45万
递延负债 -11.60%9.46万-11.60%9.46万-16.60%8.92万-16.60%8.92万-16.60%8.92万0.00%10.7万-12.25%10.7万-11.74%10.7万0.00%10.7万0.00%10.7万
其他非流动负债 -------------97.99%216-97.99%21629.78%1.79万--3,555--7,253-19.31%1.07万-19.31%1.07万
非流动负债总额 4.01%90.12万530.40%97.23万484.64%103.73万305.02%85.95万305.02%85.95万299.31%86.65万-49.42%15.42万-57.69%17.74万-59.70%21.22万-59.70%21.22万
总负债 -4.20%1,658.08万0.92%1,491.85万27.50%1,467.06万11.47%1,539.2万11.47%1,539.2万37.52%1,730.7万5.78%1,478.21万17.63%1,150.6万23.41%1,380.8万23.41%1,380.8万
所有者权益
股本 1.80%14.05万1.90%14.04万14.62%13.94万14.85%13.8万14.85%13.8万14.85%13.8万14.97%13.78万1.53%12.16万1.17%12.01万1.17%12.01万
-普通股股本 1.80%14.05万1.90%14.04万14.62%13.94万14.85%13.8万14.85%13.8万14.85%13.8万14.97%13.78万1.53%12.16万1.17%12.01万1.17%12.01万
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 -5.03%-1.73亿-4.53%-1.71亿-5.65%-1.7亿-6.62%-1.67亿-6.62%-1.67亿-7.82%-1.65亿-9.78%-1.64亿-9.90%-1.6亿-9.10%-1.57亿-9.10%-1.57亿
资本公积 1.00%1.86亿0.80%1.85亿3.07%1.85亿3.09%1.84亿3.09%1.84亿3.07%1.84亿3.04%1.83亿1.06%1.79亿1.24%1.79亿1.24%1.79亿
不影响留存收益的损益 ----------0--0--0--0--0--0-257.93%-8.49万-257.93%-8.49万
股东权益总额 -34.27%1,240.29万-30.58%1,353.96万-19.01%1,510.49万-21.92%1,698.22万-21.92%1,698.22万-25.17%1,886.87万-31.58%1,950.27万-40.18%1,864.94万-33.71%2,174.93万-33.71%2,174.93万
总权益 -34.27%1,240.29万-30.58%1,353.96万-19.01%1,510.49万-21.92%1,698.22万-21.92%1,698.22万-25.17%1,886.87万-31.58%1,950.27万-40.18%1,864.94万-33.71%2,174.93万-33.71%2,174.93万
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------------

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