美股市场个股详情

NISN 宁圣国际

添加自选
  • 8.5300
  • +0.1300+1.55%
收盘价 11/22 16:00 (美东)
  • 8.5300
  • 0.00000.00%
盘后 20:02 (美东)
3968.32万总市值2.03市盈率TTM

宁圣国际关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2024/06/30
(FY)2023/12/31
(Q4)2023/12/31
(Q2)2023/06/30
(FY)2022/12/31
(Q4)2022/12/31
(Q2)2022/06/30
(FY)2021/12/31
(Q4)2021/12/31
(Q2)2021/06/30
资产
流动资产
现金及现金等价物和短期投资
-55.15%5,590.85万
68.11%1.27亿
68.11%1.27亿
21.44%1.25亿
-42.89%7,545.67万
-42.89%7,545.67万
116.27%1.03亿
392.67%1.32亿
392.67%1.32亿
173.65%4,746.11万
-现金和现金等价物
-54.84%4,786.4万
79.11%1.14亿
79.11%1.14亿
16.49%1.06亿
-30.12%6,390.13万
-30.12%6,390.13万
829.37%9,098.82万
313.13%9,144.76万
313.13%9,144.76万
-38.49%979.04万
-短期投资
-56.89%804.44万
7.26%1,239.45万
7.26%1,239.45万
60.07%1,865.94万
-71.59%1,155.54万
-71.59%1,155.54万
-69.06%1,165.7万
768.79%4,066.66万
768.79%4,066.66万
2,539.69%3,767.07万
应收款项
-1.63%6,591.07万
28.98%8,068.19万
28.98%8,068.19万
41.80%6,700.31万
-20.12%6,255.23万
-20.12%6,255.23万
3.91%4,725.25万
140.59%7,830.88万
140.59%7,830.88万
192.09%4,547.27万
-应收账款
-1.63%6,591.07万
28.65%8,028.78万
28.65%8,028.78万
41.80%6,700.31万
-20.31%6,240.73万
-20.31%6,240.73万
8.54%4,725.25万
399.36%7,830.88万
399.36%7,830.88万
743.20%4,353.55万
-应收贷款
----
----
----
----
----
----
----
----
----
-68.95%193.71万
-应收利息
----
171.81%39.41万
171.81%39.41万
----
--14.5万
--14.5万
----
----
----
----
存货
-48.13%2,532.13万
-2.08%3,095.36万
-2.08%3,095.36万
131.19%4,881.96万
694.29%3,160.99万
694.29%3,160.99万
--2,111.65万
--397.97万
--397.97万
----
预付费用
392.94%8,580.17万
-17.81%3,860.23万
-17.81%3,860.23万
-25.97%1,740.61万
409.79%4,696.85万
409.79%4,696.85万
--2,351.36万
--921.33万
--921.33万
----
受限制现金
--0
-94.23%19.71万
-94.23%19.71万
-20.12%64.3万
1,804.60%341.72万
1,804.60%341.72万
413.27%80.5万
185.04%17.94万
185.04%17.94万
2,616.84%15.68万
其他流动资产
-50.81%1,457.5万
47.10%1,601.88万
47.10%1,601.88万
1,126.80%2,962.96万
172.07%1,089.01万
172.07%1,089.01万
6.50%241.52万
311.87%400.27万
311.87%400.27万
-75.51%226.77万
流动资产合计
-14.10%2.48亿
27.03%2.93亿
27.03%2.93亿
44.12%2.88亿
1.36%2.31亿
1.36%2.31亿
109.67%2亿
277.15%2.28亿
277.15%2.28亿
30.37%9,535.83万
非流动资产
固定资产净额
-13.69%290.43万
-19.74%326.59万
-19.74%326.59万
-14.09%336.5万
331.21%406.9万
331.21%406.9万
133.80%391.69万
-55.50%94.36万
-55.50%94.36万
-27.95%167.53万
-固定资产
-13.69%290.43万
-16.19%429.76万
-16.19%429.76万
-14.09%336.5万
196.47%512.8万
196.47%512.8万
133.80%391.69万
-42.22%172.97万
-42.22%172.97万
-27.95%167.53万
-累计折旧
----
2.57%-103.18万
2.57%-103.18万
----
-34.72%-105.9万
-34.72%-105.9万
----
9.96%-78.61万
9.96%-78.61万
----
商誉及其他无形资产
-26.18%1,768.38万
-27.59%1,854.28万
-27.59%1,854.28万
-10.76%2,395.38万
-10.54%2,560.92万
-10.54%2,560.92万
-6.59%2,684.07万
-0.95%2,862.53万
-0.95%2,862.53万
5.85%2,873.44万
-商誉
-23.83%1,725.34万
-25.84%1,766万
-25.84%1,766万
-7.63%2,265.11万
-7.61%2,381.4万
-7.61%2,381.4万
-3.61%2,452.19万
2.39%2,577.44万
2.39%2,577.44万
9.26%2,543.91万
-其他无形资产
-66.96%43.04万
-50.82%88.28万
-50.82%88.28万
-43.82%130.27万
-37.03%179.52万
-37.03%179.52万
-29.63%231.89万
-23.50%285.09万
-23.50%285.09万
-14.70%329.54万
投资和预付款
-92.89%31.93万
-98.36%36.85万
-98.36%36.85万
-76.60%449.23万
35.67%2,253.62万
35.67%2,253.62万
14.14%1,920.14万
2.40%1,661.12万
2.40%1,661.12万
3,309.61%1,682.28万
非流动递延资产
2,653.40%40.89万
34.77%41.86万
34.77%41.86万
--1.49万
--31.06万
--31.06万
----
--0
--0
446.49%10.79万
其他非流动资产
----
----
----
----
----
----
--9.02万
----
----
----
非流动资产合计
-33.02%2,131.63万
-56.98%2,259.58万
-56.98%2,259.58万
-36.41%3,182.59万
13.74%5,252.5万
13.74%5,252.5万
5.72%5,004.92万
-3.18%4,618.01万
-3.18%4,618.01万
-8.43%4,734.05万
总资产
-15.98%2.69亿
11.46%3.16亿
11.46%3.16亿
28.00%3.2亿
3.45%2.83亿
3.45%2.83亿
75.19%2.5亿
153.46%2.74亿
153.46%2.74亿
14.30%1.43亿
负债
流动负债
应付款项
-53.33%2,406.18万
18.37%6,283.2万
18.37%6,283.2万
101.39%5,155.63万
-24.25%5,307.93万
-24.25%5,307.93万
-28.95%2,560万
418.07%7,006.76万
418.07%7,006.76万
1,063.42%3,603.22万
-应付账款
-58.58%1,537.1万
11.09%4,546.38万
11.09%4,546.38万
308.10%3,710.99万
16.94%4,092.52万
16.94%4,092.52万
-72.12%909.34万
2,566.35%3,499.74万
2,566.35%3,499.74万
5,653.57%3,261.31万
-应付税费
22.76%412.68万
50.84%414.59万
50.84%414.59万
37.97%336.16万
-68.95%274.85万
-68.95%274.85万
51.10%243.64万
182.53%885.19万
182.53%885.19万
5.22%161.25万
-应付关联方款项
-0.22%26.83万
-2.86%27.47万
-2.86%27.47万
-96.66%26.89万
-4.27%28.27万
-4.27%28.27万
1,058.28%805.45万
-85.74%29.53万
-85.74%29.53万
-30.31%69.54万
-其他应付款
-60.28%429.57万
41.92%1,294.77万
41.92%1,294.77万
79.79%1,081.59万
-64.81%912.3万
-64.81%912.3万
441.34%601.57万
269.91%2,592.29万
269.91%2,592.29万
--111.13万
应计费用
-70.67%294.88万
18.96%724.54万
18.96%724.54万
60.37%1,005.43万
70.33%609.06万
70.33%609.06万
287.09%626.95万
78.70%357.58万
78.70%357.58万
-45.78%161.96万
短期借款与租赁负债
152.23%372.9万
-70.09%283.29万
-70.09%283.29万
-85.44%147.84万
-18.70%947.27万
-18.70%947.27万
-16.03%1,015.2万
3.42%1,165.13万
3.42%1,165.13万
1,316.99%1,209.02万
-短期借款
374.02%275.21万
-76.70%197.19万
-76.70%197.19万
-93.91%58.06万
-25.19%846.39万
-25.19%846.39万
-16.54%952.9万
7.45%1,131.36万
7.45%1,131.36万
--1,141.68万
-短期租赁负债
8.81%97.69万
-14.64%86.11万
-14.64%86.11万
44.11%89.78万
198.72%100.88万
198.72%100.88万
-7.48%62.3万
-54.17%33.77万
-54.17%33.77万
-21.08%67.34万
递延负债
-54.92%2,782.87万
74.80%3,815.39万
74.80%3,815.39万
424.11%6,173.32万
536.53%2,182.74万
536.53%2,182.74万
1,004.34%1,177.86万
29,400.20%342.91万
29,400.20%342.91万
29.43%106.66万
其他流动负债
--2.18万
--2.23万
--2.23万
----
----
----
--91.15万
----
----
----
流动负债总额
-53.06%5,859.02万
22.79%1.11亿
22.79%1.11亿
128.15%1.25亿
1.97%9,047万
1.97%9,047万
7.68%5,471.16万
231.02%8,872.38万
231.02%8,872.38万
-18.14%5,080.87万
非流动负债
长期借款与租赁负债
-26.40%138.66万
-32.26%164.31万
-32.26%164.31万
-32.08%188.4万
1,528.05%242.56万
1,528.05%242.56万
778.83%277.38万
-78.09%14.9万
-78.09%14.9万
-61.80%31.56万
-长期租赁负债
-26.40%138.66万
-32.26%164.31万
-32.26%164.31万
-32.08%188.4万
1,528.05%242.56万
1,528.05%242.56万
778.83%277.38万
-78.09%14.9万
-78.09%14.9万
-61.80%31.56万
递延负债
-91.81%2.95万
-84.24%11.47万
-84.24%11.47万
-7.63%36.03万
44.30%72.73万
44.30%72.73万
-33.93%39万
-25.44%50.4万
-25.44%50.4万
-16.76%59.03万
非流动负债总额
-36.90%141.61万
-44.25%175.77万
-44.25%175.77万
-46.61%224.43万
382.82%315.29万
382.82%315.29万
363.95%420.32万
-51.85%65.3万
-51.85%65.3万
-68.67%90.6万
总负债
-52.78%6,000.63万
20.53%1.13亿
20.53%1.13亿
115.68%1.27亿
4.75%9,362.29万
4.75%9,362.29万
13.92%5,891.47万
217.40%8,937.68万
217.40%8,937.68万
-20.39%5,171.47万
所有者权益
股本
0.28%4.02万
0.28%4.02万
0.28%4.02万
0.00%4.01万
0.63%4.01万
0.63%4.01万
94.91%4.01万
93.69%3.98万
93.69%3.98万
8.23%2.06万
-普通股股本
0.28%4.02万
0.28%4.02万
0.28%4.02万
0.00%4.01万
0.63%4.01万
0.63%4.01万
94.91%4.01万
93.69%3.98万
93.69%3.98万
8.23%2.06万
留存收益
22.78%7,800.98万
28.53%6,839.56万
28.53%6,839.56万
22.20%6,353.49万
40.71%5,321.43万
40.71%5,321.43万
109.92%5,199.07万
292.73%3,781.92万
292.73%3,781.92万
16.13%2,476.72万
资本公积
0.02%1.31亿
0.02%1.31亿
0.02%1.31亿
0.00%1.31亿
0.14%1.31亿
0.14%1.31亿
119.44%1.31亿
119.13%1.3亿
119.13%1.3亿
44.55%5,947.23万
减:库存股
-38.87%22.82万
-26.49%26.16万
-26.49%26.16万
--37.34万
--35.58万
--35.58万
----
--0
--0
----
不影响留存收益的损益
23.07%-380.68万
-95.98%8.96万
-95.98%8.96万
-212.69%-494.87万
-82.27%222.99万
-82.27%222.99万
12.25%439.13万
50.69%1,257.43万
50.69%1,257.43万
250.84%391.2万
其他权益
----
----
----
----
----
----
----
79.88%-12.56万
79.88%-12.56万
---37.69万
股东权益总额
8.37%2.05亿
7.09%1.99亿
7.09%1.99亿
0.98%1.89亿
2.77%1.86亿
2.77%1.86亿
112.91%1.87亿
135.06%1.81亿
135.06%1.81亿
46.58%8,779.52万
非控制性权益
2.85%427.73万
2.17%425.57万
2.17%425.57万
0.23%415.86万
4.78%416.51万
4.78%416.51万
30.11%414.92万
28.44%397.49万
28.44%397.49万
32,616.60%318.89万
总权益
8.25%2.09亿
6.99%2.03亿
6.99%2.03亿
0.96%1.93亿
2.81%1.9亿
2.81%1.9亿
110.01%1.91亿
130.93%1.85亿
130.93%1.85亿
51.93%9,098.41万
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
--
--
无保留意见
--
--
(Q2)2024/06/30(FY)2023/12/31(Q4)2023/12/31(Q2)2023/06/30(FY)2022/12/31(Q4)2022/12/31(Q2)2022/06/30(FY)2021/12/31(Q4)2021/12/31(Q2)2021/06/30
资产
流动资产
现金及现金等价物和短期投资 -55.15%5,590.85万68.11%1.27亿68.11%1.27亿21.44%1.25亿-42.89%7,545.67万-42.89%7,545.67万116.27%1.03亿392.67%1.32亿392.67%1.32亿173.65%4,746.11万
-现金和现金等价物 -54.84%4,786.4万79.11%1.14亿79.11%1.14亿16.49%1.06亿-30.12%6,390.13万-30.12%6,390.13万829.37%9,098.82万313.13%9,144.76万313.13%9,144.76万-38.49%979.04万
-短期投资 -56.89%804.44万7.26%1,239.45万7.26%1,239.45万60.07%1,865.94万-71.59%1,155.54万-71.59%1,155.54万-69.06%1,165.7万768.79%4,066.66万768.79%4,066.66万2,539.69%3,767.07万
应收款项 -1.63%6,591.07万28.98%8,068.19万28.98%8,068.19万41.80%6,700.31万-20.12%6,255.23万-20.12%6,255.23万3.91%4,725.25万140.59%7,830.88万140.59%7,830.88万192.09%4,547.27万
-应收账款 -1.63%6,591.07万28.65%8,028.78万28.65%8,028.78万41.80%6,700.31万-20.31%6,240.73万-20.31%6,240.73万8.54%4,725.25万399.36%7,830.88万399.36%7,830.88万743.20%4,353.55万
-应收贷款 -------------------------------------68.95%193.71万
-应收利息 ----171.81%39.41万171.81%39.41万------14.5万--14.5万----------------
存货 -48.13%2,532.13万-2.08%3,095.36万-2.08%3,095.36万131.19%4,881.96万694.29%3,160.99万694.29%3,160.99万--2,111.65万--397.97万--397.97万----
预付费用 392.94%8,580.17万-17.81%3,860.23万-17.81%3,860.23万-25.97%1,740.61万409.79%4,696.85万409.79%4,696.85万--2,351.36万--921.33万--921.33万----
受限制现金 --0-94.23%19.71万-94.23%19.71万-20.12%64.3万1,804.60%341.72万1,804.60%341.72万413.27%80.5万185.04%17.94万185.04%17.94万2,616.84%15.68万
其他流动资产 -50.81%1,457.5万47.10%1,601.88万47.10%1,601.88万1,126.80%2,962.96万172.07%1,089.01万172.07%1,089.01万6.50%241.52万311.87%400.27万311.87%400.27万-75.51%226.77万
流动资产合计 -14.10%2.48亿27.03%2.93亿27.03%2.93亿44.12%2.88亿1.36%2.31亿1.36%2.31亿109.67%2亿277.15%2.28亿277.15%2.28亿30.37%9,535.83万
非流动资产
固定资产净额 -13.69%290.43万-19.74%326.59万-19.74%326.59万-14.09%336.5万331.21%406.9万331.21%406.9万133.80%391.69万-55.50%94.36万-55.50%94.36万-27.95%167.53万
-固定资产 -13.69%290.43万-16.19%429.76万-16.19%429.76万-14.09%336.5万196.47%512.8万196.47%512.8万133.80%391.69万-42.22%172.97万-42.22%172.97万-27.95%167.53万
-累计折旧 ----2.57%-103.18万2.57%-103.18万-----34.72%-105.9万-34.72%-105.9万----9.96%-78.61万9.96%-78.61万----
商誉及其他无形资产 -26.18%1,768.38万-27.59%1,854.28万-27.59%1,854.28万-10.76%2,395.38万-10.54%2,560.92万-10.54%2,560.92万-6.59%2,684.07万-0.95%2,862.53万-0.95%2,862.53万5.85%2,873.44万
-商誉 -23.83%1,725.34万-25.84%1,766万-25.84%1,766万-7.63%2,265.11万-7.61%2,381.4万-7.61%2,381.4万-3.61%2,452.19万2.39%2,577.44万2.39%2,577.44万9.26%2,543.91万
-其他无形资产 -66.96%43.04万-50.82%88.28万-50.82%88.28万-43.82%130.27万-37.03%179.52万-37.03%179.52万-29.63%231.89万-23.50%285.09万-23.50%285.09万-14.70%329.54万
投资和预付款 -92.89%31.93万-98.36%36.85万-98.36%36.85万-76.60%449.23万35.67%2,253.62万35.67%2,253.62万14.14%1,920.14万2.40%1,661.12万2.40%1,661.12万3,309.61%1,682.28万
非流动递延资产 2,653.40%40.89万34.77%41.86万34.77%41.86万--1.49万--31.06万--31.06万------0--0446.49%10.79万
其他非流动资产 --------------------------9.02万------------
非流动资产合计 -33.02%2,131.63万-56.98%2,259.58万-56.98%2,259.58万-36.41%3,182.59万13.74%5,252.5万13.74%5,252.5万5.72%5,004.92万-3.18%4,618.01万-3.18%4,618.01万-8.43%4,734.05万
总资产 -15.98%2.69亿11.46%3.16亿11.46%3.16亿28.00%3.2亿3.45%2.83亿3.45%2.83亿75.19%2.5亿153.46%2.74亿153.46%2.74亿14.30%1.43亿
负债
流动负债
应付款项 -53.33%2,406.18万18.37%6,283.2万18.37%6,283.2万101.39%5,155.63万-24.25%5,307.93万-24.25%5,307.93万-28.95%2,560万418.07%7,006.76万418.07%7,006.76万1,063.42%3,603.22万
-应付账款 -58.58%1,537.1万11.09%4,546.38万11.09%4,546.38万308.10%3,710.99万16.94%4,092.52万16.94%4,092.52万-72.12%909.34万2,566.35%3,499.74万2,566.35%3,499.74万5,653.57%3,261.31万
-应付税费 22.76%412.68万50.84%414.59万50.84%414.59万37.97%336.16万-68.95%274.85万-68.95%274.85万51.10%243.64万182.53%885.19万182.53%885.19万5.22%161.25万
-应付关联方款项 -0.22%26.83万-2.86%27.47万-2.86%27.47万-96.66%26.89万-4.27%28.27万-4.27%28.27万1,058.28%805.45万-85.74%29.53万-85.74%29.53万-30.31%69.54万
-其他应付款 -60.28%429.57万41.92%1,294.77万41.92%1,294.77万79.79%1,081.59万-64.81%912.3万-64.81%912.3万441.34%601.57万269.91%2,592.29万269.91%2,592.29万--111.13万
应计费用 -70.67%294.88万18.96%724.54万18.96%724.54万60.37%1,005.43万70.33%609.06万70.33%609.06万287.09%626.95万78.70%357.58万78.70%357.58万-45.78%161.96万
短期借款与租赁负债 152.23%372.9万-70.09%283.29万-70.09%283.29万-85.44%147.84万-18.70%947.27万-18.70%947.27万-16.03%1,015.2万3.42%1,165.13万3.42%1,165.13万1,316.99%1,209.02万
-短期借款 374.02%275.21万-76.70%197.19万-76.70%197.19万-93.91%58.06万-25.19%846.39万-25.19%846.39万-16.54%952.9万7.45%1,131.36万7.45%1,131.36万--1,141.68万
-短期租赁负债 8.81%97.69万-14.64%86.11万-14.64%86.11万44.11%89.78万198.72%100.88万198.72%100.88万-7.48%62.3万-54.17%33.77万-54.17%33.77万-21.08%67.34万
递延负债 -54.92%2,782.87万74.80%3,815.39万74.80%3,815.39万424.11%6,173.32万536.53%2,182.74万536.53%2,182.74万1,004.34%1,177.86万29,400.20%342.91万29,400.20%342.91万29.43%106.66万
其他流动负债 --2.18万--2.23万--2.23万--------------91.15万------------
流动负债总额 -53.06%5,859.02万22.79%1.11亿22.79%1.11亿128.15%1.25亿1.97%9,047万1.97%9,047万7.68%5,471.16万231.02%8,872.38万231.02%8,872.38万-18.14%5,080.87万
非流动负债
长期借款与租赁负债 -26.40%138.66万-32.26%164.31万-32.26%164.31万-32.08%188.4万1,528.05%242.56万1,528.05%242.56万778.83%277.38万-78.09%14.9万-78.09%14.9万-61.80%31.56万
-长期租赁负债 -26.40%138.66万-32.26%164.31万-32.26%164.31万-32.08%188.4万1,528.05%242.56万1,528.05%242.56万778.83%277.38万-78.09%14.9万-78.09%14.9万-61.80%31.56万
递延负债 -91.81%2.95万-84.24%11.47万-84.24%11.47万-7.63%36.03万44.30%72.73万44.30%72.73万-33.93%39万-25.44%50.4万-25.44%50.4万-16.76%59.03万
非流动负债总额 -36.90%141.61万-44.25%175.77万-44.25%175.77万-46.61%224.43万382.82%315.29万382.82%315.29万363.95%420.32万-51.85%65.3万-51.85%65.3万-68.67%90.6万
总负债 -52.78%6,000.63万20.53%1.13亿20.53%1.13亿115.68%1.27亿4.75%9,362.29万4.75%9,362.29万13.92%5,891.47万217.40%8,937.68万217.40%8,937.68万-20.39%5,171.47万
所有者权益
股本 0.28%4.02万0.28%4.02万0.28%4.02万0.00%4.01万0.63%4.01万0.63%4.01万94.91%4.01万93.69%3.98万93.69%3.98万8.23%2.06万
-普通股股本 0.28%4.02万0.28%4.02万0.28%4.02万0.00%4.01万0.63%4.01万0.63%4.01万94.91%4.01万93.69%3.98万93.69%3.98万8.23%2.06万
留存收益 22.78%7,800.98万28.53%6,839.56万28.53%6,839.56万22.20%6,353.49万40.71%5,321.43万40.71%5,321.43万109.92%5,199.07万292.73%3,781.92万292.73%3,781.92万16.13%2,476.72万
资本公积 0.02%1.31亿0.02%1.31亿0.02%1.31亿0.00%1.31亿0.14%1.31亿0.14%1.31亿119.44%1.31亿119.13%1.3亿119.13%1.3亿44.55%5,947.23万
减:库存股 -38.87%22.82万-26.49%26.16万-26.49%26.16万--37.34万--35.58万--35.58万------0--0----
不影响留存收益的损益 23.07%-380.68万-95.98%8.96万-95.98%8.96万-212.69%-494.87万-82.27%222.99万-82.27%222.99万12.25%439.13万50.69%1,257.43万50.69%1,257.43万250.84%391.2万
其他权益 ----------------------------79.88%-12.56万79.88%-12.56万---37.69万
股东权益总额 8.37%2.05亿7.09%1.99亿7.09%1.99亿0.98%1.89亿2.77%1.86亿2.77%1.86亿112.91%1.87亿135.06%1.81亿135.06%1.81亿46.58%8,779.52万
非控制性权益 2.85%427.73万2.17%425.57万2.17%425.57万0.23%415.86万4.78%416.51万4.78%416.51万30.11%414.92万28.44%397.49万28.44%397.49万32,616.60%318.89万
总权益 8.25%2.09亿6.99%2.03亿6.99%2.03亿0.96%1.93亿2.81%1.9亿2.81%1.9亿110.01%1.91亿130.93%1.85亿130.93%1.85亿51.93%9,098.41万
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----无保留意见----

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