美股市場個股詳情

IFMK iFresh

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延時15分鐘行情收盤價 07/25 09:30 (美東)
9627.34總市值-3市盈率TTM

iFresh關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2020/12/31
(Q2)2020/09/30
(Q1)2020/06/30
(FY)2020/03/31
(Q4)2020/03/31
(Q3)2019/12/31
(Q2)2019/09/30
(Q1)2019/06/30
(FY)2019/03/31
(Q4)2019/03/31
資產
流動資產
現金及現金等價物和短期投資
643.86%485.47萬
807.90%775.9萬
238.03%442.68萬
-28.26%75.19萬
-28.26%75.19萬
-58.53%65.26萬
-8.28%85.46萬
134.60%130.96萬
63.53%104.81萬
63.53%104.81萬
-現金和現金等價物
643.86%485.47萬
807.90%775.9萬
238.03%442.68萬
-28.26%75.19萬
-28.26%75.19萬
-58.53%65.26萬
-8.28%85.46萬
134.60%130.96萬
63.53%104.81萬
63.53%104.81萬
應收款項
134.48%738.74萬
42.25%467.99萬
-14.98%338.02萬
-15.46%340.53萬
-15.46%340.53萬
-23.37%315.05萬
-29.43%328.99萬
-12.56%397.59萬
-17.85%402.79萬
-17.85%402.79萬
-應收賬款
24.99%455.92萬
3.92%386.22萬
-5.76%392.8萬
-0.83%397.54萬
-0.83%397.54萬
-11.33%364.78萬
-16.50%371.63萬
-8.32%416.82萬
-13.68%400.87萬
-13.68%400.87萬
-應收貸款
65.54%25.82萬
53.50%21.88萬
--27.03萬
-72.98%14.39萬
-72.98%14.39萬
--15.6萬
--14.26萬
----
60.29%53.24萬
60.29%53.24萬
-應收稅費
--311.64萬
--123.31萬
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----
----
----
----
----
----
----
-其他應收款
523.55%29.82萬
352.30%21.04萬
-93.75%2.65萬
-71.72%2.89萬
-71.72%2.89萬
-89.26%4.78萬
-92.84%4.65萬
--42.31萬
-22.54%10.23萬
-22.54%10.23萬
-應收賬款調整額
-20.47%-84.46萬
-37.22%-84.46萬
-37.22%-84.46萬
-20.69%-74.28萬
-20.69%-74.28萬
-56.58%-70.1萬
-40.45%-61.55萬
---61.55萬
-200.58%-61.55萬
-200.58%-61.55萬
存貨
43.49%1,328.07萬
31.73%1,217.29萬
23.40%1,087.84萬
-40.59%618.51萬
-40.59%618.51萬
-24.89%925.54萬
-15.37%924.04萬
-25.65%881.54萬
-4.53%1,041.14萬
-4.53%1,041.14萬
預付費用
79.52%696.68萬
73.97%667.48萬
62.03%568.72萬
-0.79%369.2萬
-0.79%369.2萬
24.31%388.08萬
72.94%383.68萬
75.60%351萬
93.22%372.13萬
93.22%372.13萬
流動資產合計
91.80%3,248.96萬
81.67%3,128.66萬
38.40%2,437.27萬
-26.94%1,403.44萬
-26.94%1,403.44萬
-19.83%1,693.94萬
-8.06%1,722.17萬
-7.12%1,761.08萬
4.53%1,920.86萬
4.53%1,920.86萬
非流動資產
固定資產淨額
2.64%8,149.88萬
2.19%8,275.78萬
-2.61%8,267.04萬
281.31%7,735.69萬
281.31%7,735.69萬
289.04%7,940.21萬
297.43%8,098.72萬
319.47%8,488.84萬
13.85%2,028.72萬
13.85%2,028.72萬
-固定資產
5.60%9,803.02萬
6.10%9,848.62萬
1.51%9,764.18萬
190.25%9,005.86萬
190.25%9,005.86萬
203.60%9,283.36萬
208.81%9,282.17萬
226.80%9,619.09萬
16.83%3,102.81萬
16.83%3,102.81萬
-累計折舊
-23.08%-1,653.14萬
-32.90%-1,572.83萬
-32.46%-1,497.14萬
-18.25%-1,270.16萬
-18.25%-1,270.16萬
-32.10%-1,343.15萬
-22.26%-1,183.44萬
-22.89%-1,130.25萬
-22.91%-1,074.09萬
-22.91%-1,074.09萬
商譽及其他無形資產
905.55%938.52萬
889.32%956.35萬
553.58%653.58萬
-12.90%90萬
-12.90%90萬
-12.50%93.33萬
-12.12%96.67萬
-11.76%100萬
-11.43%103.33萬
-11.43%103.33萬
-商譽
--445.05萬
--445.05萬
--224.08萬
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-其他無形資產
428.71%493.47萬
428.93%511.3萬
329.50%429.5萬
-12.90%90萬
-12.90%90萬
-12.50%93.33萬
-12.12%96.67萬
-11.76%100萬
-11.43%103.33萬
-11.43%103.33萬
長期應收款
7.83%454.66萬
6.03%456.76萬
0.63%463.86萬
5.57%469.5萬
5.57%469.5萬
--421.67萬
-35.90%430.77萬
--460.98萬
18.17%444.73萬
18.17%444.73萬
非流動遞延資產
--0
--0
201.19%64.31萬
456.38%64.31萬
456.38%64.31萬
--0
--5.21萬
--21.35萬
-63.17%11.56萬
-63.17%11.56萬
長期預付費用
96.83%370.14萬
160.55%326.29萬
102.22%248.81萬
-18.89%162.97萬
-18.89%162.97萬
-75.91%188.05萬
1.52%125.23萬
-88.07%123.04萬
-73.22%200.93萬
-73.22%200.93萬
非流動資產合計
14.69%9,913.21萬
14.37%1億
5.48%9,697.61萬
205.54%8,522.48萬
205.54%8,522.48萬
195.17%8,643.26萬
197.53%8,756.6萬
190.16%9,194.22萬
-8.75%2,789.27萬
-8.75%2,789.27萬
總資產
27.33%1.32億
25.43%1.31億
10.77%1.21億
110.74%9,925.92萬
110.74%9,925.92萬
105.06%1.03億
117.57%1.05億
116.31%1.1億
-3.76%4,710.14萬
-3.76%4,710.14萬
負債
流動負債
應付款項
-4.30%1,382.15萬
-16.41%1,228.89萬
-11.82%1,322.26萬
-16.63%1,425.92萬
-16.63%1,425.92萬
-12.27%1,444.29萬
-1.54%1,470.08萬
-4.26%1,499.42萬
-6.74%1,710.38萬
-6.74%1,710.38萬
-應付賬款
-23.59%866.35萬
-25.23%848.82萬
-22.04%899.68萬
-24.71%1,067.45萬
-24.71%1,067.45萬
-23.53%1,133.75萬
-16.18%1,135.31萬
-19.90%1,154.01萬
-8.90%1,417.77萬
-8.90%1,417.77萬
-應付稅費
--44.81萬
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-其他應付款
51.67%471萬
13.53%380.07萬
22.34%422.58萬
22.51%358.48萬
22.51%358.48萬
89.79%310.54萬
141.57%334.78萬
221.56%345.41萬
149.59%292.61萬
149.59%292.61萬
應計費用
90.90%230.01萬
53.30%186.55萬
20.58%167.92萬
-6.23%130.71萬
-6.23%130.71萬
-37.07%120.49萬
-37.33%121.69萬
1.17%139.26萬
59.50%139.4萬
59.50%139.4萬
短期借款與租賃負債
10.65%2,890.88萬
5.81%2,798.83萬
-4.37%2,579.21萬
19.79%2,579.48萬
19.79%2,579.48萬
19.14%2,612.56萬
18.60%2,645.24萬
19.24%2,696.96萬
24.93%2,153.26萬
24.93%2,153.26萬
-短期借款
5.06%2,121.36萬
-1.61%2,029.85萬
-3.98%2,021.74萬
-5.45%2,021.92萬
-5.45%2,021.92萬
-7.28%2,019.2萬
-6.88%2,062.96萬
-6.40%2,105.53萬
24.47%2,138.38萬
24.47%2,138.38萬
-短期租賃負債
29.69%769.52萬
32.06%768.98萬
-5.74%557.48萬
3,647.60%557.56萬
3,647.60%557.56萬
3,811.19%593.36萬
3,763.38%582.28萬
4,675.44%591.42萬
167.42%14.88萬
167.42%14.88萬
遞延負債
287.42%534.02萬
515.29%784.37萬
149.68%278.66萬
63.41%131.12萬
63.41%131.12萬
129.59%137.84萬
117.11%127.48萬
194.53%111.61萬
145.79%80.24萬
145.79%80.24萬
流動負債總額
16.73%5,037.06萬
14.53%4,998.64萬
-2.23%4,348.06萬
4.51%4,267.23萬
4.51%4,267.23萬
5.50%4,315.17萬
9.76%4,364.49萬
11.09%4,447.25萬
11.03%4,083.27萬
11.03%4,083.27萬
非流動負債
長期借款與租賃負債
-3.84%5,879.35萬
-1.48%6,173萬
-7.16%6,158.94萬
10,769.62%5,905.39萬
10,769.62%5,905.39萬
9,943.03%6,113.87萬
9,431.41%6,265.49萬
11,567.65%6,634.2萬
80.01%54.33萬
80.01%54.33萬
-長期借款
-80.74%1.27萬
2,000.02%178.81萬
1,555.41%179.78萬
-64.09%4.67萬
-64.09%4.67萬
-57.77%6.58萬
-53.22%8.51萬
-47.22%10.86萬
-43.72%13.01萬
-43.72%13.01萬
-長期租賃負債
-3.75%5,878.08萬
-4.20%5,994.19萬
-9.73%5,979.17萬
14,179.68%5,900.72萬
14,179.68%5,900.72萬
13,382.13%6,107.3萬
13,062.78%6,256.98萬
18,154.88%6,623.34萬
484.28%41.32萬
484.28%41.32萬
遞延負債
--108.37萬
--108.37萬
--108.38萬
--0
--0
--0
--0
--0
5.38%665.94萬
5.38%665.94萬
非流動負債總額
-2.07%5,996.03萬
0.25%6,289.68萬
-5.54%6,275.63萬
710.03%5,913.7萬
710.03%5,913.7萬
739.23%6,122.66萬
767.85%6,274.28萬
845.93%6,643.99萬
8.97%730.06萬
8.97%730.06萬
總負債
5.70%1.1億
6.11%1.13億
-4.22%1.06億
111.52%1.02億
111.52%1.02億
116.56%1.04億
126.39%1.06億
135.69%1.11億
10.71%4,813.33萬
10.71%4,813.33萬
所有者權益
股本
553,792.27%1,017.5萬
554,395.97%1,017.5萬
458,345.99%841.25萬
209,091.52%350.19萬
209,091.52%350.19萬
12.91%1,837
23.57%1,835
29.04%1,835
17.72%1,674
17.72%1,674
-普通股股本
64.56%3,023
64.74%3,023
114.99%3,945
11.47%1,866
11.47%1,866
12.91%1,837
23.57%1,835
29.04%1,835
17.72%1,674
17.72%1,674
-優先股股本
--1,017.2萬
--1,017.2萬
--840.85萬
--350萬
--350萬
--0
--0
--0
--0
--0
留存收益
3.36%-2,154.55萬
-17.95%-2,385.2萬
-6.80%-2,065.09萬
-51.90%-2,425.43萬
-51.90%-2,425.43萬
-88.79%-2,229.36萬
-102.10%-2,022.23萬
-231.05%-1,933.56萬
-302.81%-1,596.75萬
-302.81%-1,596.75萬
資本公積
47.45%3,138.62萬
68.56%3,138.62萬
48.85%2,675.45萬
21.89%1,820.23萬
21.89%1,820.23萬
51.83%2,128.54萬
66.65%1,862.04萬
90.65%1,797.43萬
58.40%1,493.38萬
58.40%1,493.38萬
不影響留存收益的損益
--68.68萬
--25.58萬
--2.16萬
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股東權益總額
2,157.10%2,070.25萬
1,222.77%1,796.5萬
1,169.38%1,453.76萬
-147.11%-255.01萬
-147.11%-255.01萬
-145.49%-100.64萬
-236.93%-160.01萬
-137.88%-135.94萬
-118.88%-103.2萬
-118.88%-103.2萬
非控制性權益
--58.83萬
--59.02萬
--57.44萬
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總權益
2,215.55%2,129.07萬
1,259.66%1,855.52萬
1,211.63%1,511.19萬
-147.11%-255.01萬
-147.11%-255.01萬
-145.49%-100.64萬
-236.93%-160.01萬
-137.88%-135.94萬
-118.88%-103.2萬
-118.88%-103.2萬
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
審計意見
--
--
--
帶解釋段的無保留意見
--
--
--
--
帶解釋段的無保留意見
--
(Q3)2020/12/31(Q2)2020/09/30(Q1)2020/06/30(FY)2020/03/31(Q4)2020/03/31(Q3)2019/12/31(Q2)2019/09/30(Q1)2019/06/30(FY)2019/03/31(Q4)2019/03/31
資產
流動資產
現金及現金等價物和短期投資 643.86%485.47萬807.90%775.9萬238.03%442.68萬-28.26%75.19萬-28.26%75.19萬-58.53%65.26萬-8.28%85.46萬134.60%130.96萬63.53%104.81萬63.53%104.81萬
-現金和現金等價物 643.86%485.47萬807.90%775.9萬238.03%442.68萬-28.26%75.19萬-28.26%75.19萬-58.53%65.26萬-8.28%85.46萬134.60%130.96萬63.53%104.81萬63.53%104.81萬
應收款項 134.48%738.74萬42.25%467.99萬-14.98%338.02萬-15.46%340.53萬-15.46%340.53萬-23.37%315.05萬-29.43%328.99萬-12.56%397.59萬-17.85%402.79萬-17.85%402.79萬
-應收賬款 24.99%455.92萬3.92%386.22萬-5.76%392.8萬-0.83%397.54萬-0.83%397.54萬-11.33%364.78萬-16.50%371.63萬-8.32%416.82萬-13.68%400.87萬-13.68%400.87萬
-應收貸款 65.54%25.82萬53.50%21.88萬--27.03萬-72.98%14.39萬-72.98%14.39萬--15.6萬--14.26萬----60.29%53.24萬60.29%53.24萬
-應收稅費 --311.64萬--123.31萬--------------------------------
-其他應收款 523.55%29.82萬352.30%21.04萬-93.75%2.65萬-71.72%2.89萬-71.72%2.89萬-89.26%4.78萬-92.84%4.65萬--42.31萬-22.54%10.23萬-22.54%10.23萬
-應收賬款調整額 -20.47%-84.46萬-37.22%-84.46萬-37.22%-84.46萬-20.69%-74.28萬-20.69%-74.28萬-56.58%-70.1萬-40.45%-61.55萬---61.55萬-200.58%-61.55萬-200.58%-61.55萬
存貨 43.49%1,328.07萬31.73%1,217.29萬23.40%1,087.84萬-40.59%618.51萬-40.59%618.51萬-24.89%925.54萬-15.37%924.04萬-25.65%881.54萬-4.53%1,041.14萬-4.53%1,041.14萬
預付費用 79.52%696.68萬73.97%667.48萬62.03%568.72萬-0.79%369.2萬-0.79%369.2萬24.31%388.08萬72.94%383.68萬75.60%351萬93.22%372.13萬93.22%372.13萬
流動資產合計 91.80%3,248.96萬81.67%3,128.66萬38.40%2,437.27萬-26.94%1,403.44萬-26.94%1,403.44萬-19.83%1,693.94萬-8.06%1,722.17萬-7.12%1,761.08萬4.53%1,920.86萬4.53%1,920.86萬
非流動資產
固定資產淨額 2.64%8,149.88萬2.19%8,275.78萬-2.61%8,267.04萬281.31%7,735.69萬281.31%7,735.69萬289.04%7,940.21萬297.43%8,098.72萬319.47%8,488.84萬13.85%2,028.72萬13.85%2,028.72萬
-固定資產 5.60%9,803.02萬6.10%9,848.62萬1.51%9,764.18萬190.25%9,005.86萬190.25%9,005.86萬203.60%9,283.36萬208.81%9,282.17萬226.80%9,619.09萬16.83%3,102.81萬16.83%3,102.81萬
-累計折舊 -23.08%-1,653.14萬-32.90%-1,572.83萬-32.46%-1,497.14萬-18.25%-1,270.16萬-18.25%-1,270.16萬-32.10%-1,343.15萬-22.26%-1,183.44萬-22.89%-1,130.25萬-22.91%-1,074.09萬-22.91%-1,074.09萬
商譽及其他無形資產 905.55%938.52萬889.32%956.35萬553.58%653.58萬-12.90%90萬-12.90%90萬-12.50%93.33萬-12.12%96.67萬-11.76%100萬-11.43%103.33萬-11.43%103.33萬
-商譽 --445.05萬--445.05萬--224.08萬----------------------------
-其他無形資產 428.71%493.47萬428.93%511.3萬329.50%429.5萬-12.90%90萬-12.90%90萬-12.50%93.33萬-12.12%96.67萬-11.76%100萬-11.43%103.33萬-11.43%103.33萬
長期應收款 7.83%454.66萬6.03%456.76萬0.63%463.86萬5.57%469.5萬5.57%469.5萬--421.67萬-35.90%430.77萬--460.98萬18.17%444.73萬18.17%444.73萬
非流動遞延資產 --0--0201.19%64.31萬456.38%64.31萬456.38%64.31萬--0--5.21萬--21.35萬-63.17%11.56萬-63.17%11.56萬
長期預付費用 96.83%370.14萬160.55%326.29萬102.22%248.81萬-18.89%162.97萬-18.89%162.97萬-75.91%188.05萬1.52%125.23萬-88.07%123.04萬-73.22%200.93萬-73.22%200.93萬
非流動資產合計 14.69%9,913.21萬14.37%1億5.48%9,697.61萬205.54%8,522.48萬205.54%8,522.48萬195.17%8,643.26萬197.53%8,756.6萬190.16%9,194.22萬-8.75%2,789.27萬-8.75%2,789.27萬
總資產 27.33%1.32億25.43%1.31億10.77%1.21億110.74%9,925.92萬110.74%9,925.92萬105.06%1.03億117.57%1.05億116.31%1.1億-3.76%4,710.14萬-3.76%4,710.14萬
負債
流動負債
應付款項 -4.30%1,382.15萬-16.41%1,228.89萬-11.82%1,322.26萬-16.63%1,425.92萬-16.63%1,425.92萬-12.27%1,444.29萬-1.54%1,470.08萬-4.26%1,499.42萬-6.74%1,710.38萬-6.74%1,710.38萬
-應付賬款 -23.59%866.35萬-25.23%848.82萬-22.04%899.68萬-24.71%1,067.45萬-24.71%1,067.45萬-23.53%1,133.75萬-16.18%1,135.31萬-19.90%1,154.01萬-8.90%1,417.77萬-8.90%1,417.77萬
-應付稅費 --44.81萬------------------------------------
-其他應付款 51.67%471萬13.53%380.07萬22.34%422.58萬22.51%358.48萬22.51%358.48萬89.79%310.54萬141.57%334.78萬221.56%345.41萬149.59%292.61萬149.59%292.61萬
應計費用 90.90%230.01萬53.30%186.55萬20.58%167.92萬-6.23%130.71萬-6.23%130.71萬-37.07%120.49萬-37.33%121.69萬1.17%139.26萬59.50%139.4萬59.50%139.4萬
短期借款與租賃負債 10.65%2,890.88萬5.81%2,798.83萬-4.37%2,579.21萬19.79%2,579.48萬19.79%2,579.48萬19.14%2,612.56萬18.60%2,645.24萬19.24%2,696.96萬24.93%2,153.26萬24.93%2,153.26萬
-短期借款 5.06%2,121.36萬-1.61%2,029.85萬-3.98%2,021.74萬-5.45%2,021.92萬-5.45%2,021.92萬-7.28%2,019.2萬-6.88%2,062.96萬-6.40%2,105.53萬24.47%2,138.38萬24.47%2,138.38萬
-短期租賃負債 29.69%769.52萬32.06%768.98萬-5.74%557.48萬3,647.60%557.56萬3,647.60%557.56萬3,811.19%593.36萬3,763.38%582.28萬4,675.44%591.42萬167.42%14.88萬167.42%14.88萬
遞延負債 287.42%534.02萬515.29%784.37萬149.68%278.66萬63.41%131.12萬63.41%131.12萬129.59%137.84萬117.11%127.48萬194.53%111.61萬145.79%80.24萬145.79%80.24萬
流動負債總額 16.73%5,037.06萬14.53%4,998.64萬-2.23%4,348.06萬4.51%4,267.23萬4.51%4,267.23萬5.50%4,315.17萬9.76%4,364.49萬11.09%4,447.25萬11.03%4,083.27萬11.03%4,083.27萬
非流動負債
長期借款與租賃負債 -3.84%5,879.35萬-1.48%6,173萬-7.16%6,158.94萬10,769.62%5,905.39萬10,769.62%5,905.39萬9,943.03%6,113.87萬9,431.41%6,265.49萬11,567.65%6,634.2萬80.01%54.33萬80.01%54.33萬
-長期借款 -80.74%1.27萬2,000.02%178.81萬1,555.41%179.78萬-64.09%4.67萬-64.09%4.67萬-57.77%6.58萬-53.22%8.51萬-47.22%10.86萬-43.72%13.01萬-43.72%13.01萬
-長期租賃負債 -3.75%5,878.08萬-4.20%5,994.19萬-9.73%5,979.17萬14,179.68%5,900.72萬14,179.68%5,900.72萬13,382.13%6,107.3萬13,062.78%6,256.98萬18,154.88%6,623.34萬484.28%41.32萬484.28%41.32萬
遞延負債 --108.37萬--108.37萬--108.38萬--0--0--0--0--05.38%665.94萬5.38%665.94萬
非流動負債總額 -2.07%5,996.03萬0.25%6,289.68萬-5.54%6,275.63萬710.03%5,913.7萬710.03%5,913.7萬739.23%6,122.66萬767.85%6,274.28萬845.93%6,643.99萬8.97%730.06萬8.97%730.06萬
總負債 5.70%1.1億6.11%1.13億-4.22%1.06億111.52%1.02億111.52%1.02億116.56%1.04億126.39%1.06億135.69%1.11億10.71%4,813.33萬10.71%4,813.33萬
所有者權益
股本 553,792.27%1,017.5萬554,395.97%1,017.5萬458,345.99%841.25萬209,091.52%350.19萬209,091.52%350.19萬12.91%1,83723.57%1,83529.04%1,83517.72%1,67417.72%1,674
-普通股股本 64.56%3,02364.74%3,023114.99%3,94511.47%1,86611.47%1,86612.91%1,83723.57%1,83529.04%1,83517.72%1,67417.72%1,674
-優先股股本 --1,017.2萬--1,017.2萬--840.85萬--350萬--350萬--0--0--0--0--0
留存收益 3.36%-2,154.55萬-17.95%-2,385.2萬-6.80%-2,065.09萬-51.90%-2,425.43萬-51.90%-2,425.43萬-88.79%-2,229.36萬-102.10%-2,022.23萬-231.05%-1,933.56萬-302.81%-1,596.75萬-302.81%-1,596.75萬
資本公積 47.45%3,138.62萬68.56%3,138.62萬48.85%2,675.45萬21.89%1,820.23萬21.89%1,820.23萬51.83%2,128.54萬66.65%1,862.04萬90.65%1,797.43萬58.40%1,493.38萬58.40%1,493.38萬
不影響留存收益的損益 --68.68萬--25.58萬--2.16萬----------------------------
股東權益總額 2,157.10%2,070.25萬1,222.77%1,796.5萬1,169.38%1,453.76萬-147.11%-255.01萬-147.11%-255.01萬-145.49%-100.64萬-236.93%-160.01萬-137.88%-135.94萬-118.88%-103.2萬-118.88%-103.2萬
非控制性權益 --58.83萬--59.02萬--57.44萬----------------------------
總權益 2,215.55%2,129.07萬1,259.66%1,855.52萬1,211.63%1,511.19萬-147.11%-255.01萬-147.11%-255.01萬-145.49%-100.64萬-236.93%-160.01萬-137.88%-135.94萬-118.88%-103.2萬-118.88%-103.2萬
貨幣單位 美元美元美元美元美元美元美元美元美元美元
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 ------帶解釋段的無保留意見--------帶解釋段的無保留意見--

分析

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