美股市场个股详情

VINOQ Gaucho Group

添加自选
  • 1.150
  • -0.240-17.27%
延时15分钟行情收盘价 11/22 16:00 (美东)
102.27万总市值-9市盈率TTM

Gaucho Group关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q3)2022/09/30
资产
流动资产
现金及现金等价物和短期投资
-42.10%46.9万
-89.34%25.47万
42.57%42.8万
42.57%42.8万
-22.94%20.11万
218.09%81.01万
144.46%238.99万
-91.77%30.02万
-91.77%30.02万
-90.94%26.1万
-现金和现金等价物
-42.10%46.9万
-89.34%25.47万
42.57%42.8万
42.57%42.8万
-22.94%20.11万
218.09%81.01万
144.46%238.99万
-91.77%30.02万
-91.77%30.02万
-90.80%26.1万
应收款项
-56.53%81.02万
-54.38%88.77万
-60.37%71.68万
-60.37%71.68万
27.63%208.03万
57.63%186.39万
29.00%194.58万
14.04%180.86万
14.04%180.86万
38.71%162.99万
-应收账款
-56.53%81.02万
-54.38%88.77万
-60.37%71.68万
-60.37%71.68万
27.63%208.03万
57.63%186.39万
29.00%194.58万
14.04%180.86万
14.04%180.86万
38.71%162.99万
存货
2.93%247.69万
0.14%256.2万
8.13%264.75万
8.13%264.75万
27.49%293.7万
13.59%240.64万
20.34%255.85万
20.40%244.84万
20.40%244.84万
66.05%230.36万
预付费用
--5.02万
--13.64万
--16.15万
--16.15万
----
----
----
--0
--0
----
其他流动资产
27.48%54.01万
-17.23%53.94万
-25.66%34.32万
-25.66%34.32万
-45.90%26.49万
-28.29%42.37万
4.96%65.16万
9.36%46.16万
9.36%46.16万
-18.72%48.97万
流动资产合计
-21.03%434.65万
-41.95%438.02万
-14.38%429.69万
-14.38%429.69万
17.06%548.33万
32.74%550.41万
36.74%754.58万
-34.74%501.89万
-34.74%501.89万
-26.16%468.42万
非流动资产
固定资产净额
-12.20%117.27万
-16.84%115.84万
-15.94%121.84万
-15.94%121.84万
-15.12%127.75万
-14.37%133.57万
-13.69%139.3万
-13.06%144.94万
-13.06%144.94万
-70.52%150.51万
-固定资产
-12.20%117.27万
-16.84%115.84万
-15.94%121.84万
-15.94%121.84万
-15.12%127.75万
-14.37%133.57万
-13.69%139.3万
-13.06%144.94万
-13.06%144.94万
-70.52%150.51万
商誉及其他无形资产
-19.86%8.73万
35.30%9.27万
40.64%9.81万
40.64%9.81万
45.27%10.36万
50.24%10.9万
-7.39%6.85万
--6.98万
--6.98万
--7.13万
-其他无形资产
----
----
----
----
----
----
----
----
----
--7.13万
投资和预付款
----
----
----
----
----
----
----
----
----
100.00%700万
长期应收款
-48.96%157.78万
-46.11%171.7万
-43.56%185.04万
-43.56%185.04万
-11.81%281.12万
-10.15%309.12万
-4.57%318.58万
8.30%327.86万
8.30%327.86万
66.03%318.77万
长期预付费用
-2.28%129.18万
2.10%127.91万
2.79%129.01万
2.79%129.01万
6.96%135.2万
4.59%132.2万
30.83%125.29万
9.01%125.5万
9.01%125.5万
75.49%126.4万
非流动资产合计
-15.47%1,159.29万
-10.95%1,198.91万
-10.32%1,226.34万
-10.32%1,226.34万
-35.18%1,342.44万
-34.25%1,371.53万
-31.47%1,346.36万
-17.74%1,367.41万
-17.74%1,367.41万
83.76%2,070.9万
总资产
-17.07%1,593.94万
-22.09%1,636.93万
-11.41%1,656.03万
-11.41%1,656.03万
-25.54%1,890.77万
-23.14%1,921.94万
-16.51%2,100.93万
-23.12%1,869.3万
-23.12%1,869.3万
44.17%2,539.32万
负债
流动负债
应付款项
89.09%269.29万
102.79%295.91万
21.78%281.38万
21.78%281.38万
1.33%137.21万
-4.83%142.41万
34.44%145.92万
142.46%231.06万
142.46%231.06万
68.59%135.42万
-应付账款
34.64%93.14万
102.74%111.83万
0.89%92.54万
0.89%92.54万
-22.86%68.84万
-21.32%69.17万
-16.11%55.16万
80.66%91.73万
80.66%91.73万
95.23%89.24万
-应付税费
140.52%176.16万
102.82%184.08万
35.53%188.84万
35.53%188.84万
48.08%68.37万
18.66%73.24万
112.14%90.76万
212.92%139.33万
212.92%139.33万
33.40%46.17万
应计费用
332.53%227.41万
576.45%207.88万
574.54%183.14万
574.54%183.14万
128.18%80.13万
31.74%52.58万
-19.04%30.73万
-47.80%27.15万
-47.80%27.15万
233.91%35.12万
短期借款与租赁负债
15.19%442.89万
-47.14%205.3万
378.94%175.98万
378.94%175.98万
-11.82%198.62万
-28.73%384.47万
-34.57%388.42万
-94.01%36.74万
-94.01%36.74万
333.77%225.26万
-短期借款
14.25%414.07万
-51.39%178.68万
816.50%150.91万
816.50%150.91万
-14.82%175.08万
-30.43%362.43万
-36.10%367.56万
-97.24%16.47万
-97.24%16.47万
702.93%205.55万
-短期租赁负债
30.73%28.81万
27.65%26.63万
23.64%25.07万
23.64%25.07万
19.47%23.54万
19.39%22.04万
12.98%20.86万
15.66%20.28万
15.66%20.28万
-25.15%19.71万
递延负债
18.80%162.63万
13.21%166.04万
25.32%172.18万
25.32%172.18万
20.80%152.48万
10.63%136.89万
93.01%146.67万
92.53%137.39万
92.53%137.39万
67.56%126.22万
其他流动负债
-31.79%147.95万
2,421.69%169.43万
1,428.87%153.39万
1,428.87%153.39万
947.01%92.76万
2,258.82%216.88万
-53.89%6.72万
-37.52%10.03万
-37.52%10.03万
-44.83%8.86万
流动负债总额
33.96%1,250.17万
45.39%1,044.56万
118.38%966.08万
118.38%966.08万
24.55%661.21万
8.27%933.24万
-13.51%718.46万
-47.84%442.38万
-47.84%442.38万
126.71%530.87万
非流动负债
长期借款与租赁负债
-28.02%99.9万
-26.30%100.84万
-65.76%116.81万
-65.76%116.81万
119.02%322.59万
-9.42%138.78万
-13.17%136.82万
109.92%341.15万
109.92%341.15万
-5.83%147.29万
-长期借款
----
----
-95.66%9.04万
-95.66%9.04万
2,161.46%208.01万
89.38%17.51万
0.86%9.35万
2,116.09%208.31万
2,116.09%208.31万
-2.15%9.2万
-长期租赁负债
-17.62%99.9万
-20.89%100.84万
-18.87%107.77万
-18.87%107.77万
-17.03%114.58万
-15.76%121.26万
-14.05%127.47万
-13.24%132.84万
-13.24%132.84万
-6.06%138.09万
长期应计费用
--0
--2.44万
--5,524
--5,524
----
----
----
--0
--0
----
衍生品负债
----
----
----
----
--112.81万
--5.25万
----
----
----
----
其他非流动负债
----
--12.45万
----
----
----
----
----
-200.00%-1
-200.00%-1
----
非流动负债总额
-33.14%101.76万
-18.51%115.74万
-65.39%120.36万
-65.39%120.36万
182.92%440.63万
-6.90%152.19万
-16.30%142.02万
99.80%347.75万
99.80%347.75万
-7.85%155.75万
总负债
24.55%1,351.93万
34.84%1,160.3万
37.50%1,086.43万
37.50%1,086.43万
60.47%1,101.84万
5.85%1,085.43万
-13.99%860.48万
-22.70%790.13万
-22.70%790.13万
70.30%686.62万
所有者权益
股本
-86.94%8,893
-85.96%7,750
1,215.79%4.81万
1,215.79%4.81万
-61.46%1.06万
-58.96%6.81万
-54.87%5.52万
-55.63%3,654
-55.63%3,654
-68.70%2.75万
-普通股股本
-86.94%8,893
-85.96%7,750
1,215.79%4.81万
1,215.79%4.81万
-61.46%1.06万
-58.96%6.81万
-54.87%5.52万
-55.63%3,654
-55.63%3,654
-68.70%2.75万
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
-11.08%-1.39亿
-13.50%-1.37亿
-13.88%-1.34亿
-13.88%-1.34亿
-18.18%-1.28亿
-21.36%-1.25亿
-22.83%-1.2亿
-22.72%-1.17亿
-22.72%-1.17亿
-13.72%-1.08亿
资本公积
5.63%1.53亿
6.20%1.52亿
8.21%1.51亿
8.21%1.51亿
6.67%1.46亿
12.18%1.45亿
15.45%1.44亿
14.41%1.39亿
14.41%1.39亿
14.15%1.37亿
减:库存股
0.00%4.64万
0.00%4.64万
0.00%4.64万
0.00%4.64万
0.00%4.64万
0.00%4.64万
0.00%4.64万
0.00%4.64万
0.00%4.64万
0.00%4.64万
不影响留存收益的损益
-1.25%-1,105.69万
-2.38%-1,114.11万
-2.42%-1,110.47万
-2.42%-1,110.47万
-1.42%-1,085.61万
0.60%-1,092.04万
4.07%-1,088.24万
6.59%-1,084.26万
6.59%-1,084.26万
7.71%-1,070.36万
股东权益总额
-71.07%242.01万
-61.58%476.63万
-47.22%569.6万
-47.22%569.6万
-57.42%788.93万
-43.30%836.51万
-18.18%1,240.46万
-24.33%1,079.17万
-24.33%1,079.17万
35.15%1,852.71万
非控制性权益
----
----
----
----
----
----
----
----
----
--0
总权益
-71.07%242.01万
-61.58%476.63万
-47.22%569.6万
-47.22%569.6万
-57.42%788.93万
-43.30%836.51万
-18.18%1,240.46万
-23.42%1,079.17万
-23.42%1,079.17万
36.41%1,852.71万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
审计意见
--
--
带解释段的无保留意见
--
--
--
--
带解释段的无保留意见
--
--
(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(Q3)2022/09/30
资产
流动资产
现金及现金等价物和短期投资 -42.10%46.9万-89.34%25.47万42.57%42.8万42.57%42.8万-22.94%20.11万218.09%81.01万144.46%238.99万-91.77%30.02万-91.77%30.02万-90.94%26.1万
-现金和现金等价物 -42.10%46.9万-89.34%25.47万42.57%42.8万42.57%42.8万-22.94%20.11万218.09%81.01万144.46%238.99万-91.77%30.02万-91.77%30.02万-90.80%26.1万
应收款项 -56.53%81.02万-54.38%88.77万-60.37%71.68万-60.37%71.68万27.63%208.03万57.63%186.39万29.00%194.58万14.04%180.86万14.04%180.86万38.71%162.99万
-应收账款 -56.53%81.02万-54.38%88.77万-60.37%71.68万-60.37%71.68万27.63%208.03万57.63%186.39万29.00%194.58万14.04%180.86万14.04%180.86万38.71%162.99万
存货 2.93%247.69万0.14%256.2万8.13%264.75万8.13%264.75万27.49%293.7万13.59%240.64万20.34%255.85万20.40%244.84万20.40%244.84万66.05%230.36万
预付费用 --5.02万--13.64万--16.15万--16.15万--------------0--0----
其他流动资产 27.48%54.01万-17.23%53.94万-25.66%34.32万-25.66%34.32万-45.90%26.49万-28.29%42.37万4.96%65.16万9.36%46.16万9.36%46.16万-18.72%48.97万
流动资产合计 -21.03%434.65万-41.95%438.02万-14.38%429.69万-14.38%429.69万17.06%548.33万32.74%550.41万36.74%754.58万-34.74%501.89万-34.74%501.89万-26.16%468.42万
非流动资产
固定资产净额 -12.20%117.27万-16.84%115.84万-15.94%121.84万-15.94%121.84万-15.12%127.75万-14.37%133.57万-13.69%139.3万-13.06%144.94万-13.06%144.94万-70.52%150.51万
-固定资产 -12.20%117.27万-16.84%115.84万-15.94%121.84万-15.94%121.84万-15.12%127.75万-14.37%133.57万-13.69%139.3万-13.06%144.94万-13.06%144.94万-70.52%150.51万
商誉及其他无形资产 -19.86%8.73万35.30%9.27万40.64%9.81万40.64%9.81万45.27%10.36万50.24%10.9万-7.39%6.85万--6.98万--6.98万--7.13万
-其他无形资产 --------------------------------------7.13万
投资和预付款 ------------------------------------100.00%700万
长期应收款 -48.96%157.78万-46.11%171.7万-43.56%185.04万-43.56%185.04万-11.81%281.12万-10.15%309.12万-4.57%318.58万8.30%327.86万8.30%327.86万66.03%318.77万
长期预付费用 -2.28%129.18万2.10%127.91万2.79%129.01万2.79%129.01万6.96%135.2万4.59%132.2万30.83%125.29万9.01%125.5万9.01%125.5万75.49%126.4万
非流动资产合计 -15.47%1,159.29万-10.95%1,198.91万-10.32%1,226.34万-10.32%1,226.34万-35.18%1,342.44万-34.25%1,371.53万-31.47%1,346.36万-17.74%1,367.41万-17.74%1,367.41万83.76%2,070.9万
总资产 -17.07%1,593.94万-22.09%1,636.93万-11.41%1,656.03万-11.41%1,656.03万-25.54%1,890.77万-23.14%1,921.94万-16.51%2,100.93万-23.12%1,869.3万-23.12%1,869.3万44.17%2,539.32万
负债
流动负债
应付款项 89.09%269.29万102.79%295.91万21.78%281.38万21.78%281.38万1.33%137.21万-4.83%142.41万34.44%145.92万142.46%231.06万142.46%231.06万68.59%135.42万
-应付账款 34.64%93.14万102.74%111.83万0.89%92.54万0.89%92.54万-22.86%68.84万-21.32%69.17万-16.11%55.16万80.66%91.73万80.66%91.73万95.23%89.24万
-应付税费 140.52%176.16万102.82%184.08万35.53%188.84万35.53%188.84万48.08%68.37万18.66%73.24万112.14%90.76万212.92%139.33万212.92%139.33万33.40%46.17万
应计费用 332.53%227.41万576.45%207.88万574.54%183.14万574.54%183.14万128.18%80.13万31.74%52.58万-19.04%30.73万-47.80%27.15万-47.80%27.15万233.91%35.12万
短期借款与租赁负债 15.19%442.89万-47.14%205.3万378.94%175.98万378.94%175.98万-11.82%198.62万-28.73%384.47万-34.57%388.42万-94.01%36.74万-94.01%36.74万333.77%225.26万
-短期借款 14.25%414.07万-51.39%178.68万816.50%150.91万816.50%150.91万-14.82%175.08万-30.43%362.43万-36.10%367.56万-97.24%16.47万-97.24%16.47万702.93%205.55万
-短期租赁负债 30.73%28.81万27.65%26.63万23.64%25.07万23.64%25.07万19.47%23.54万19.39%22.04万12.98%20.86万15.66%20.28万15.66%20.28万-25.15%19.71万
递延负债 18.80%162.63万13.21%166.04万25.32%172.18万25.32%172.18万20.80%152.48万10.63%136.89万93.01%146.67万92.53%137.39万92.53%137.39万67.56%126.22万
其他流动负债 -31.79%147.95万2,421.69%169.43万1,428.87%153.39万1,428.87%153.39万947.01%92.76万2,258.82%216.88万-53.89%6.72万-37.52%10.03万-37.52%10.03万-44.83%8.86万
流动负债总额 33.96%1,250.17万45.39%1,044.56万118.38%966.08万118.38%966.08万24.55%661.21万8.27%933.24万-13.51%718.46万-47.84%442.38万-47.84%442.38万126.71%530.87万
非流动负债
长期借款与租赁负债 -28.02%99.9万-26.30%100.84万-65.76%116.81万-65.76%116.81万119.02%322.59万-9.42%138.78万-13.17%136.82万109.92%341.15万109.92%341.15万-5.83%147.29万
-长期借款 ---------95.66%9.04万-95.66%9.04万2,161.46%208.01万89.38%17.51万0.86%9.35万2,116.09%208.31万2,116.09%208.31万-2.15%9.2万
-长期租赁负债 -17.62%99.9万-20.89%100.84万-18.87%107.77万-18.87%107.77万-17.03%114.58万-15.76%121.26万-14.05%127.47万-13.24%132.84万-13.24%132.84万-6.06%138.09万
长期应计费用 --0--2.44万--5,524--5,524--------------0--0----
衍生品负债 ------------------112.81万--5.25万----------------
其他非流动负债 ------12.45万---------------------200.00%-1-200.00%-1----
非流动负债总额 -33.14%101.76万-18.51%115.74万-65.39%120.36万-65.39%120.36万182.92%440.63万-6.90%152.19万-16.30%142.02万99.80%347.75万99.80%347.75万-7.85%155.75万
总负债 24.55%1,351.93万34.84%1,160.3万37.50%1,086.43万37.50%1,086.43万60.47%1,101.84万5.85%1,085.43万-13.99%860.48万-22.70%790.13万-22.70%790.13万70.30%686.62万
所有者权益
股本 -86.94%8,893-85.96%7,7501,215.79%4.81万1,215.79%4.81万-61.46%1.06万-58.96%6.81万-54.87%5.52万-55.63%3,654-55.63%3,654-68.70%2.75万
-普通股股本 -86.94%8,893-85.96%7,7501,215.79%4.81万1,215.79%4.81万-61.46%1.06万-58.96%6.81万-54.87%5.52万-55.63%3,654-55.63%3,654-68.70%2.75万
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 -11.08%-1.39亿-13.50%-1.37亿-13.88%-1.34亿-13.88%-1.34亿-18.18%-1.28亿-21.36%-1.25亿-22.83%-1.2亿-22.72%-1.17亿-22.72%-1.17亿-13.72%-1.08亿
资本公积 5.63%1.53亿6.20%1.52亿8.21%1.51亿8.21%1.51亿6.67%1.46亿12.18%1.45亿15.45%1.44亿14.41%1.39亿14.41%1.39亿14.15%1.37亿
减:库存股 0.00%4.64万0.00%4.64万0.00%4.64万0.00%4.64万0.00%4.64万0.00%4.64万0.00%4.64万0.00%4.64万0.00%4.64万0.00%4.64万
不影响留存收益的损益 -1.25%-1,105.69万-2.38%-1,114.11万-2.42%-1,110.47万-2.42%-1,110.47万-1.42%-1,085.61万0.60%-1,092.04万4.07%-1,088.24万6.59%-1,084.26万6.59%-1,084.26万7.71%-1,070.36万
股东权益总额 -71.07%242.01万-61.58%476.63万-47.22%569.6万-47.22%569.6万-57.42%788.93万-43.30%836.51万-18.18%1,240.46万-24.33%1,079.17万-24.33%1,079.17万35.15%1,852.71万
非控制性权益 --------------------------------------0
总权益 -71.07%242.01万-61.58%476.63万-47.22%569.6万-47.22%569.6万-57.42%788.93万-43.30%836.51万-18.18%1,240.46万-23.42%1,079.17万-23.42%1,079.17万36.41%1,852.71万
货币单位 美元美元美元美元美元美元美元美元美元美元
审计意见 ----带解释段的无保留意见--------带解释段的无保留意见----

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