美股市场个股详情

SNAL Snail

添加自选
  • 1.970
  • +0.304+18.26%
交易中 12/26 12:47 (美东)
7279.93万总市值24.63市盈率TTM

Snail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
113.51%1,056.63万
423.42%1,549.42万
291.13%1,606.87万
18.15%1,519.81万
18.15%1,519.81万
-45.28%494.88万
-79.86%296.02万
--410.83万
26.56%1,286.38万
26.56%1,286.38万
-现金和现金等价物
113.51%1,056.63万
423.42%1,549.42万
291.13%1,606.87万
18.15%1,519.81万
18.15%1,519.81万
-45.28%494.88万
-79.86%296.02万
--410.83万
26.56%1,286.38万
26.56%1,286.38万
应收款项
-37.33%1,083.23万
-36.76%1,181.8万
-35.40%1,187.89万
38.64%2,523.86万
38.64%2,523.86万
2.06%1,728.58万
0.70%1,868.61万
--1,838.76万
-12.83%1,820.4万
-12.83%1,820.4万
-应收账款
-56.61%680.43万
65.45%821.23万
42.52%996.04万
38.85%2,513.48万
38.85%2,513.48万
241.20%1,568.26万
-33.95%496.36万
--698.89万
47.84%1,810.22万
47.84%1,810.22万
-应收贷款
1.94%10.53万
1.95%10.48万
1.96%10.43万
1.97%10.38万
1.97%10.38万
1.98%10.32万
1.99%10.27万
--10.22万
-49.98%10.18万
-49.98%10.18万
-应收关联方款项
--303.56万
-77.07%269.03万
----
----
----
----
7.24%1,173.32万
--1,129.64万
----
----
-其他应收款
-40.86%88.71万
-57.03%81.06万
--181.43万
----
----
--150万
--188.66万
----
----
----
预付费用
20.62%1,478.95万
10.94%1,386.82万
5.04%1,385.38万
57.99%1,564.51万
57.99%1,564.51万
-5.54%1,226.14万
11.84%1,250.1万
--1,318.89万
-18.99%990.29万
-18.99%990.29万
受限制现金
----
----
----
--0
--0
--103.77万
--102.52万
--101.37万
--100.38万
--100.38万
递延资产
0.00%10.54万
--10.54万
--10.54万
--10.54万
--10.54万
--10.54万
----
----
--0
--0
其他流动资产
90.61%22.01万
-9.53%29.78万
-12.95%44.26万
-30.04%46.33万
-30.04%46.33万
-48.49%11.55万
10.38%32.92万
--50.85万
-65.83%66.23万
-65.83%66.23万
流动资产合计
2.12%3,651.36万
17.13%4,158.36万
13.82%4,234.95万
32.87%5,665.05万
32.87%5,665.05万
-8.76%3,575.47万
-20.63%3,550.17万
--3,720.69万
-5.69%4,263.67万
-5.69%4,263.67万
非流动资产
固定资产净额
-19.45%604.73万
-19.75%635.04万
-19.02%673.8万
-18.33%712.28万
-18.33%712.28万
-17.80%750.73万
-17.05%791.37万
--832.11万
-19.10%872.12万
-19.10%872.12万
-固定资产
-9.38%1,112.23万
-9.66%1,135.3万
-9.30%1,166万
-8.97%1,196.24万
-8.97%1,196.24万
-8.56%1,227.29万
-8.87%1,256.64万
--1,285.57万
-10.81%1,314.08万
-10.81%1,314.08万
-累计折旧
-6.49%-507.5万
-7.52%-500.26万
-8.54%-492.2万
-9.51%-483.97万
-9.51%-483.97万
-11.11%-476.56万
-9.52%-465.27万
---453.46万
-11.80%-441.96万
-11.80%-441.96万
商誉及其他无形资产
-32.62%27.11万
-54.65%27.13万
-71.74%27.15万
-83.60%27.17万
-83.60%27.17万
-88.54%40.24万
-88.84%59.82万
--96.07万
-82.22%165.66万
-82.22%165.66万
-其他无形资产
-32.62%27.11万
-54.65%27.13万
-71.74%27.15万
-83.60%27.17万
-83.60%27.17万
-88.54%40.24万
-88.84%59.82万
--96.07万
-82.22%165.66万
-82.22%165.66万
长期应收款
--300.06万
--450.06万
--600.06万
--750.06万
--750.06万
----
----
----
----
----
关联方资产
--303.56万
-77.07%269.03万
----
----
----
----
7.24%1,173.32万
--1,129.64万
----
----
非流动递延资产
-5.89%1,026.04万
7.34%1,018.73万
42.10%1,080.33万
34.79%1,024.75万
34.79%1,024.75万
33.10%1,090.25万
15.86%949.02万
--760.25万
-7.18%760.25万
-7.18%760.25万
长期预付费用
61.12%899.46万
100.80%1,120.96万
94.23%1,084.27万
39.44%778.41万
39.44%778.41万
-14.38%558.25万
-14.38%558.25万
--558.25万
--558.25万
--558.25万
其他非流动资产
31.45%169.13万
-0.77%128.47万
-80.42%128.64万
-80.52%128.04万
-80.52%128.04万
-80.39%128.66万
-80.27%129.47万
--657.07万
-0.25%657.3万
-0.25%657.3万
非流动资产合计
17.85%3,026.53万
35.87%3,380.39万
23.78%3,594.25万
13.51%3,420.7万
13.51%3,420.7万
-24.28%2,568.12万
-31.23%2,487.94万
--2,903.75万
-13.59%3,013.58万
-13.59%3,013.58万
总资产
8.70%6,677.9万
24.85%7,538.76万
18.19%7,829.2万
24.85%9,085.75万
24.85%9,085.75万
-15.96%6,143.59万
-25.37%6,038.11万
--6,624.44万
-9.13%7,277.26万
-9.13%7,277.26万
负债
流动负债
应付款项
-33.72%1,963.71万
-23.01%2,176.36万
-2.89%2,685.24万
19.84%3,519.74万
19.84%3,519.74万
1.82%2,962.65万
-1.51%2,826.98万
--2,765.25万
6.40%2,937.07万
6.40%2,937.07万
-应付账款
-33.72%1,963.71万
151.35%2,176.36万
-2.89%2,685.24万
19.84%3,519.74万
19.84%3,519.74万
1.82%2,962.65万
-69.83%865.86万
--2,765.25万
658.64%2,937.07万
658.64%2,937.07万
-应付关联方款项
----
----
----
----
----
----
--1,961.12万
----
----
----
应计费用
15.16%326.23万
-15.96%269.48万
17.29%295.37万
70.59%341.5万
70.59%341.5万
-2.43%283.29万
-16.88%320.66万
--251.83万
-42.87%200.19万
-42.87%200.19万
短期借款与租赁负债
-51.42%737.32万
-44.34%734.66万
-45.17%803.38万
-15.29%1,344.77万
-15.29%1,344.77万
-11.17%1,517.65万
-29.06%1,319.91万
--1,465.12万
39.46%1,587.44万
39.46%1,587.44万
-短期借款
-58.10%574.34万
-50.93%577.1万
-50.98%649.37万
-17.66%1,194.26万
-17.66%1,194.26万
-12.96%1,370.58万
-31.99%1,176.2万
--1,324.72万
49.61%1,450.32万
49.61%1,450.32万
-短期租赁负债
10.82%162.98万
9.63%157.56万
9.69%154.01万
9.76%150.5万
9.76%150.5万
9.82%147.07万
9.70%143.71万
--140.4万
-18.81%137.12万
-18.81%137.12万
递延负债
128.26%1,334.96万
419.97%2,145.13万
385.60%2,193.74万
344.08%1,925.26万
344.08%1,925.26万
48.63%584.83万
-49.20%412.55万
--451.76万
-60.61%433.54万
-60.61%433.54万
流动负债总额
-18.44%4,362.23万
9.13%5,325.63万
21.15%5,977.73万
38.25%7,131.26万
38.25%7,131.26万
0.88%5,348.42万
-17.69%4,880.1万
--4,933.95万
-3.58%5,158.23万
-3.58%5,158.23万
非流动负债
长期借款与租赁负债
-85.32%26.64万
-71.90%61.59万
-80.87%102.32万
-76.83%142.55万
-76.83%142.55万
-70.30%181.5万
-66.15%219.15万
--534.81万
-15.27%615.25万
-15.27%615.25万
-长期借款
----
----
----
----
----
----
----
--278.47万
11.66%322.2万
11.66%322.2万
-长期租赁负债
-85.32%26.64万
-71.90%61.59万
-60.08%102.32万
-51.36%142.55万
-51.36%142.55万
-44.76%181.5万
-39.61%219.15万
--256.33万
-33.03%293.05万
-33.03%293.05万
递延负债
251.05%1,994.1万
304.83%1,886.64万
250.27%1,710.27万
188.80%1,506.41万
188.80%1,506.41万
-37.22%568.04万
-49.00%466.03万
--488.27万
-43.76%521.6万
-43.76%521.6万
长期应计费用
-18.17%25.47万
-33.69%25.47万
-33.69%25.47万
-44.26%25.47万
-44.26%25.47万
-31.50%31.13万
--38.42万
--38.42万
--45.7万
--45.7万
非流动负债总额
162.11%2,046.21万
172.76%1,973.7万
73.16%1,838.07万
41.59%1,674.43万
41.59%1,674.43万
-50.00%780.67万
-53.65%723.6万
--1,061.49万
-28.49%1,182.56万
-28.49%1,182.56万
总负债
4.56%6,408.44万
30.26%7,299.33万
30.36%7,815.8万
38.87%8,805.69万
38.87%8,805.69万
-10.70%6,129.09万
-25.18%5,603.7万
--5,995.45万
-9.46%6,340.79万
-9.46%6,340.79万
所有者权益
股本
0.32%3,812
0.29%3,811
0.26%3,810
0.05%3,802
0.05%3,802
-24.00%3,800
-24.00%3,800
--3,800
-24.00%3,800
-24.00%3,800
-普通股股本
0.32%3,812
0.29%3,811
0.26%3,810
0.05%3,802
0.05%3,802
-24.00%3,800
-24.00%3,800
--3,800
-24.00%3,800
-24.00%3,800
留存收益
19.02%-1,323.74万
-13.08%-1,347.25万
-100.76%-1,572.87万
-186.83%-1,394.93万
-186.83%-1,394.93万
-530.41%-1,634.67万
-1,030.05%-1,191.41万
---783.46万
-130.31%-486.33万
-130.31%-486.33万
资本公积
-2.35%2,533.47万
-1.51%2,531.97万
7.27%2,530.47万
11.67%2,617.16万
11.67%2,617.16万
101.42%2,594.55万
99.59%2,570.89万
--2,358.95万
-75.11%2,343.69万
-75.11%2,343.69万
减:库存股
0.00%367.18万
0.00%367.18万
0.00%367.18万
7.53%367.18万
7.53%367.18万
--367.18万
--367.18万
--367.18万
--341.47万
--341.47万
不影响留存收益的损益
19.75%-23.09万
1.12%-28.3万
10.23%-27.37万
17.19%-25.44万
17.19%-25.44万
16.19%-28.77万
17.99%-28.62万
---30.49万
-15.25%-30.72万
-15.25%-30.72万
股东权益总额
45.28%819.85万
-19.76%789.62万
-52.18%563.44万
-44.13%829.99万
-44.13%829.99万
-43.28%564.32万
-14.30%984.07万
--1,178.2万
-4.71%1,485.56万
-4.71%1,485.56万
非控制性权益
-0.11%-550.39万
-0.10%-550.19万
-0.15%-550.04万
-0.15%-549.92万
-0.15%-549.92万
-0.31%-549.81万
-0.41%-549.66万
---549.21万
0.84%-549.09万
0.84%-549.09万
总权益
1,757.68%269.46万
-44.88%239.43万
-97.87%13.4万
-70.09%280.06万
-70.09%280.06万
-96.75%14.51万
-27.70%434.41万
--628.99万
-6.84%936.47万
-6.84%936.47万
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
--
(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 113.51%1,056.63万423.42%1,549.42万291.13%1,606.87万18.15%1,519.81万18.15%1,519.81万-45.28%494.88万-79.86%296.02万--410.83万26.56%1,286.38万26.56%1,286.38万
-现金和现金等价物 113.51%1,056.63万423.42%1,549.42万291.13%1,606.87万18.15%1,519.81万18.15%1,519.81万-45.28%494.88万-79.86%296.02万--410.83万26.56%1,286.38万26.56%1,286.38万
应收款项 -37.33%1,083.23万-36.76%1,181.8万-35.40%1,187.89万38.64%2,523.86万38.64%2,523.86万2.06%1,728.58万0.70%1,868.61万--1,838.76万-12.83%1,820.4万-12.83%1,820.4万
-应收账款 -56.61%680.43万65.45%821.23万42.52%996.04万38.85%2,513.48万38.85%2,513.48万241.20%1,568.26万-33.95%496.36万--698.89万47.84%1,810.22万47.84%1,810.22万
-应收贷款 1.94%10.53万1.95%10.48万1.96%10.43万1.97%10.38万1.97%10.38万1.98%10.32万1.99%10.27万--10.22万-49.98%10.18万-49.98%10.18万
-应收关联方款项 --303.56万-77.07%269.03万----------------7.24%1,173.32万--1,129.64万--------
-其他应收款 -40.86%88.71万-57.03%81.06万--181.43万----------150万--188.66万------------
预付费用 20.62%1,478.95万10.94%1,386.82万5.04%1,385.38万57.99%1,564.51万57.99%1,564.51万-5.54%1,226.14万11.84%1,250.1万--1,318.89万-18.99%990.29万-18.99%990.29万
受限制现金 --------------0--0--103.77万--102.52万--101.37万--100.38万--100.38万
递延资产 0.00%10.54万--10.54万--10.54万--10.54万--10.54万--10.54万----------0--0
其他流动资产 90.61%22.01万-9.53%29.78万-12.95%44.26万-30.04%46.33万-30.04%46.33万-48.49%11.55万10.38%32.92万--50.85万-65.83%66.23万-65.83%66.23万
流动资产合计 2.12%3,651.36万17.13%4,158.36万13.82%4,234.95万32.87%5,665.05万32.87%5,665.05万-8.76%3,575.47万-20.63%3,550.17万--3,720.69万-5.69%4,263.67万-5.69%4,263.67万
非流动资产
固定资产净额 -19.45%604.73万-19.75%635.04万-19.02%673.8万-18.33%712.28万-18.33%712.28万-17.80%750.73万-17.05%791.37万--832.11万-19.10%872.12万-19.10%872.12万
-固定资产 -9.38%1,112.23万-9.66%1,135.3万-9.30%1,166万-8.97%1,196.24万-8.97%1,196.24万-8.56%1,227.29万-8.87%1,256.64万--1,285.57万-10.81%1,314.08万-10.81%1,314.08万
-累计折旧 -6.49%-507.5万-7.52%-500.26万-8.54%-492.2万-9.51%-483.97万-9.51%-483.97万-11.11%-476.56万-9.52%-465.27万---453.46万-11.80%-441.96万-11.80%-441.96万
商誉及其他无形资产 -32.62%27.11万-54.65%27.13万-71.74%27.15万-83.60%27.17万-83.60%27.17万-88.54%40.24万-88.84%59.82万--96.07万-82.22%165.66万-82.22%165.66万
-其他无形资产 -32.62%27.11万-54.65%27.13万-71.74%27.15万-83.60%27.17万-83.60%27.17万-88.54%40.24万-88.84%59.82万--96.07万-82.22%165.66万-82.22%165.66万
长期应收款 --300.06万--450.06万--600.06万--750.06万--750.06万--------------------
关联方资产 --303.56万-77.07%269.03万----------------7.24%1,173.32万--1,129.64万--------
非流动递延资产 -5.89%1,026.04万7.34%1,018.73万42.10%1,080.33万34.79%1,024.75万34.79%1,024.75万33.10%1,090.25万15.86%949.02万--760.25万-7.18%760.25万-7.18%760.25万
长期预付费用 61.12%899.46万100.80%1,120.96万94.23%1,084.27万39.44%778.41万39.44%778.41万-14.38%558.25万-14.38%558.25万--558.25万--558.25万--558.25万
其他非流动资产 31.45%169.13万-0.77%128.47万-80.42%128.64万-80.52%128.04万-80.52%128.04万-80.39%128.66万-80.27%129.47万--657.07万-0.25%657.3万-0.25%657.3万
非流动资产合计 17.85%3,026.53万35.87%3,380.39万23.78%3,594.25万13.51%3,420.7万13.51%3,420.7万-24.28%2,568.12万-31.23%2,487.94万--2,903.75万-13.59%3,013.58万-13.59%3,013.58万
总资产 8.70%6,677.9万24.85%7,538.76万18.19%7,829.2万24.85%9,085.75万24.85%9,085.75万-15.96%6,143.59万-25.37%6,038.11万--6,624.44万-9.13%7,277.26万-9.13%7,277.26万
负债
流动负债
应付款项 -33.72%1,963.71万-23.01%2,176.36万-2.89%2,685.24万19.84%3,519.74万19.84%3,519.74万1.82%2,962.65万-1.51%2,826.98万--2,765.25万6.40%2,937.07万6.40%2,937.07万
-应付账款 -33.72%1,963.71万151.35%2,176.36万-2.89%2,685.24万19.84%3,519.74万19.84%3,519.74万1.82%2,962.65万-69.83%865.86万--2,765.25万658.64%2,937.07万658.64%2,937.07万
-应付关联方款项 --------------------------1,961.12万------------
应计费用 15.16%326.23万-15.96%269.48万17.29%295.37万70.59%341.5万70.59%341.5万-2.43%283.29万-16.88%320.66万--251.83万-42.87%200.19万-42.87%200.19万
短期借款与租赁负债 -51.42%737.32万-44.34%734.66万-45.17%803.38万-15.29%1,344.77万-15.29%1,344.77万-11.17%1,517.65万-29.06%1,319.91万--1,465.12万39.46%1,587.44万39.46%1,587.44万
-短期借款 -58.10%574.34万-50.93%577.1万-50.98%649.37万-17.66%1,194.26万-17.66%1,194.26万-12.96%1,370.58万-31.99%1,176.2万--1,324.72万49.61%1,450.32万49.61%1,450.32万
-短期租赁负债 10.82%162.98万9.63%157.56万9.69%154.01万9.76%150.5万9.76%150.5万9.82%147.07万9.70%143.71万--140.4万-18.81%137.12万-18.81%137.12万
递延负债 128.26%1,334.96万419.97%2,145.13万385.60%2,193.74万344.08%1,925.26万344.08%1,925.26万48.63%584.83万-49.20%412.55万--451.76万-60.61%433.54万-60.61%433.54万
流动负债总额 -18.44%4,362.23万9.13%5,325.63万21.15%5,977.73万38.25%7,131.26万38.25%7,131.26万0.88%5,348.42万-17.69%4,880.1万--4,933.95万-3.58%5,158.23万-3.58%5,158.23万
非流动负债
长期借款与租赁负债 -85.32%26.64万-71.90%61.59万-80.87%102.32万-76.83%142.55万-76.83%142.55万-70.30%181.5万-66.15%219.15万--534.81万-15.27%615.25万-15.27%615.25万
-长期借款 ------------------------------278.47万11.66%322.2万11.66%322.2万
-长期租赁负债 -85.32%26.64万-71.90%61.59万-60.08%102.32万-51.36%142.55万-51.36%142.55万-44.76%181.5万-39.61%219.15万--256.33万-33.03%293.05万-33.03%293.05万
递延负债 251.05%1,994.1万304.83%1,886.64万250.27%1,710.27万188.80%1,506.41万188.80%1,506.41万-37.22%568.04万-49.00%466.03万--488.27万-43.76%521.6万-43.76%521.6万
长期应计费用 -18.17%25.47万-33.69%25.47万-33.69%25.47万-44.26%25.47万-44.26%25.47万-31.50%31.13万--38.42万--38.42万--45.7万--45.7万
非流动负债总额 162.11%2,046.21万172.76%1,973.7万73.16%1,838.07万41.59%1,674.43万41.59%1,674.43万-50.00%780.67万-53.65%723.6万--1,061.49万-28.49%1,182.56万-28.49%1,182.56万
总负债 4.56%6,408.44万30.26%7,299.33万30.36%7,815.8万38.87%8,805.69万38.87%8,805.69万-10.70%6,129.09万-25.18%5,603.7万--5,995.45万-9.46%6,340.79万-9.46%6,340.79万
所有者权益
股本 0.32%3,8120.29%3,8110.26%3,8100.05%3,8020.05%3,802-24.00%3,800-24.00%3,800--3,800-24.00%3,800-24.00%3,800
-普通股股本 0.32%3,8120.29%3,8110.26%3,8100.05%3,8020.05%3,802-24.00%3,800-24.00%3,800--3,800-24.00%3,800-24.00%3,800
留存收益 19.02%-1,323.74万-13.08%-1,347.25万-100.76%-1,572.87万-186.83%-1,394.93万-186.83%-1,394.93万-530.41%-1,634.67万-1,030.05%-1,191.41万---783.46万-130.31%-486.33万-130.31%-486.33万
资本公积 -2.35%2,533.47万-1.51%2,531.97万7.27%2,530.47万11.67%2,617.16万11.67%2,617.16万101.42%2,594.55万99.59%2,570.89万--2,358.95万-75.11%2,343.69万-75.11%2,343.69万
减:库存股 0.00%367.18万0.00%367.18万0.00%367.18万7.53%367.18万7.53%367.18万--367.18万--367.18万--367.18万--341.47万--341.47万
不影响留存收益的损益 19.75%-23.09万1.12%-28.3万10.23%-27.37万17.19%-25.44万17.19%-25.44万16.19%-28.77万17.99%-28.62万---30.49万-15.25%-30.72万-15.25%-30.72万
股东权益总额 45.28%819.85万-19.76%789.62万-52.18%563.44万-44.13%829.99万-44.13%829.99万-43.28%564.32万-14.30%984.07万--1,178.2万-4.71%1,485.56万-4.71%1,485.56万
非控制性权益 -0.11%-550.39万-0.10%-550.19万-0.15%-550.04万-0.15%-549.92万-0.15%-549.92万-0.31%-549.81万-0.41%-549.66万---549.21万0.84%-549.09万0.84%-549.09万
总权益 1,757.68%269.46万-44.88%239.43万-97.87%13.4万-70.09%280.06万-70.09%280.06万-96.75%14.51万-27.70%434.41万--628.99万-6.84%936.47万-6.84%936.47万
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--
美股市场投资机会
成长股 成长股

成长股策略挑选具有卓越增长表现的企业。聚焦流通市值≥5亿美元、净利润增长率年报≥15%、毛利率≥50%、净资产收益率年报≥15%且ROE同比增长率>50%的股票,旨在寻找财务状况强劲且成长性极高的公司。 成长股策略挑选具有卓越增长表现的企业。聚焦流通市值≥5亿美元、净利润增长率年报≥15%、毛利率≥50%、净资产收益率年报≥15%且ROE同比增长率>50%的股票,旨在寻找财务状况强劲且成长性极高的公司。