美股市場個股詳情

INVU INVESTVIEW INC

添加自選
  • 0.020300
  • +0.005300+35.33%
延時15分鐘行情收盤價 01/08 16:00 (美東)
3774.24萬總市值0.00市盈率TTM

INVESTVIEW INC關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 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
資產
流動資產
現金及現金等價物和短期投資
8.62%2,445.29萬
10.39%2,365.93萬
27.02%2,443.22萬
2.93%2,091.23萬
2.93%2,091.23萬
17.98%2,251.26萬
5.34%2,143.2萬
-22.65%1,923.43萬
-34.45%2,031.73萬
--2,031.73萬
-現金和現金等價物
8.62%2,445.29萬
10.39%2,365.93萬
27.02%2,443.22萬
2.93%2,091.23萬
2.93%2,091.23萬
17.98%2,251.26萬
5.34%2,143.2萬
-22.65%1,923.43萬
-34.45%2,031.73萬
--2,031.73萬
應收款項
28.82%248.07萬
99.72%232萬
45.94%234.1萬
77.83%223.27萬
77.83%223.27萬
-3.17%192.58萬
-49.49%116.16萬
-10.58%160.42萬
-34.61%125.55萬
--125.55萬
-應收賬款
28.82%248.07萬
99.72%232萬
45.94%234.1萬
77.83%223.27萬
77.83%223.27萬
-3.17%192.58萬
-49.49%116.16萬
-10.58%160.42萬
-34.61%125.55萬
--125.55萬
存貨
----
----
----
--0
--0
--0
--0
219.89%17.78萬
--24.95萬
--24.95萬
預付費用
204.24%339.66萬
1,289.23%325.82萬
-56.31%64.38萬
-45.42%49.26萬
-45.42%49.26萬
18.77%111.64萬
-65.87%23.45萬
657.73%147.36萬
449.45%90.25萬
--90.25萬
受限制現金
--0
-63.15%15萬
-75.49%15萬
-75.27%23.04萬
-75.27%23.04萬
-52.39%39.01萬
-50.31%40.71萬
-25.31%61.2萬
13.69%93.15萬
--93.15萬
其他流動資產
-77.45%46.17萬
-95.53%8.63萬
-88.80%23.28萬
-75.20%58.56萬
-75.20%58.56萬
-28.72%204.76萬
-52.70%192.98萬
-6.74%207.95萬
16.98%236.1萬
--236.1萬
流動資產合計
10.00%3,079.18萬
17.12%2,947.38萬
10.40%2,779.99萬
-6.01%2,445.36萬
-6.01%2,445.36萬
5.07%2,799.25萬
-11.80%2,516.5萬
-15.95%2,518.13萬
-27.56%2,601.73萬
--2,601.73萬
非流動資產
固定資產淨額
-73.54%208.26萬
-53.97%412.21萬
-34.64%544.73萬
-23.87%664.73萬
-23.87%664.73萬
-53.23%787.06萬
-41.60%895.54萬
-30.52%833.41萬
25.68%873.2萬
--873.2萬
-固定資產
-11.55%1,267.2萬
-3.90%1,367.56萬
0.41%1,418.56萬
4.81%1,420.71萬
4.81%1,420.71萬
-40.06%1,432.76萬
-35.33%1,423.03萬
-18.73%1,412.84萬
18.55%1,355.47萬
--1,355.47萬
-累計折舊
-64.00%-1,058.95萬
-81.11%-955.35萬
-50.81%-873.83萬
-56.75%-755.99萬
-56.75%-755.99萬
8.74%-645.7萬
20.92%-527.49萬
-7.49%-579.43萬
-7.51%-482.28萬
---482.28萬
長期預付費用
-98.38%4.2萬
-98.36%4.2萬
-2.98%258.91萬
446.48%258.81萬
446.48%258.81萬
446.48%258.81萬
441.05%256.24萬
463.47%266.86萬
0.00%47.36萬
--47.36萬
其他非流動資產
----
----
----
----
----
-59.37%13.57萬
-75.95%12.71萬
-83.34%12.11萬
-61.81%35.32萬
--35.32萬
非流動資產合計
-79.95%212.45萬
-64.24%416.41萬
-27.75%803.64萬
-3.38%923.54萬
-3.38%923.54萬
-57.41%1,059.44萬
-50.61%1,164.49萬
-45.57%1,112.38萬
-38.67%955.88萬
--955.88萬
總資產
-14.70%3,291.64萬
-8.62%3,363.79萬
-1.29%3,583.63萬
-5.30%3,368.9萬
-5.30%3,368.9萬
-25.10%3,858.69萬
-29.36%3,680.99萬
-27.96%3,630.5萬
-30.93%3,557.61萬
--3,557.61萬
負債
流動負債
應付款項
37.76%930.73萬
71.03%867.42萬
100.55%1,014.82萬
39.89%711.5萬
39.89%711.5萬
21.82%675.6萬
-7.77%507.18萬
14.58%506.03萬
3.12%508.6萬
--508.6萬
-應付賬款
39.63%875.52萬
81.50%811.96萬
83.57%839.91萬
27.02%585.41萬
27.02%585.41萬
18.04%627.02萬
-15.09%447.35萬
35.42%457.53萬
18.03%460.88萬
--460.88萬
-應付稅費
22.72%30.12萬
-15.06%30.72萬
499.68%150.28萬
317.51%100.45萬
317.51%100.45萬
--24.54萬
--36.16萬
-68.93%25.06萬
-70.22%24.06萬
--24.06萬
-應付股利
4.37%25.09萬
4.59%24.75萬
5.11%24.63萬
8.35%25.64萬
8.35%25.64萬
2.81%24.04萬
2.50%23.67萬
1.45%23.43萬
7.70%23.66萬
--23.66萬
應計費用
53.00%12.77萬
43.39%19.89萬
30.32%10.43萬
-5.01%18.74萬
-5.01%18.74萬
-6.55%8.35萬
-44.33%13.87萬
68.50%8萬
11.72%19.73萬
--19.73萬
短期借款與租賃負債
-63.12%157.01萬
-59.06%174.34萬
-56.11%187.53萬
-52.72%202.8萬
-52.72%202.8萬
0.81%425.76萬
-0.55%425.82萬
-1.26%427.26萬
-14.83%428.89萬
--428.89萬
-短期借款
-63.09%152.88萬
-59.68%166.98萬
-57.18%177.3萬
-53.67%191.84萬
-53.67%191.84萬
0.74%414.17萬
0.74%414.13萬
0.74%414.1萬
-13.37%414.07萬
--414.07萬
-短期租賃負債
-64.39%4.13萬
-36.99%7.36萬
-22.29%10.23萬
-26.04%10.96萬
-26.04%10.96萬
3.23%11.59萬
-31.65%11.68萬
-39.24%13.16萬
-42.08%14.82萬
--14.82萬
遞延負債
-15.66%236.5萬
-28.83%201.88萬
-1.55%270.74萬
24.51%270.34萬
24.51%270.34萬
28.12%280.4萬
-4.18%283.66萬
-22.38%275萬
-35.46%217.12萬
--217.12萬
其他流動負債
-96.62%298
-88.77%2,332
-63.89%5,658
-76.53%5,732
-76.53%5,732
-69.79%8,827
-34.15%2.08萬
-83.19%1.57萬
-64.79%2.44萬
--2.44萬
流動負債總額
-3.88%1,337.04萬
2.53%1,263.77萬
21.86%1,484.08萬
2.31%1,203.96萬
2.31%1,203.96萬
15.18%1,390.99萬
-5.35%1,232.61萬
-2.00%1,217.86萬
-13.33%1,176.78萬
--1,176.78萬
非流動負債
長期借款與租賃負債
-57.03%190.91萬
-64.29%182.68萬
-69.76%174.82萬
-74.05%166.95萬
-74.05%166.95萬
-36.80%444.29萬
-33.43%511.64萬
-30.55%578.01萬
-28.40%643.37萬
--643.37萬
-長期借款
-56.74%190.91萬
-63.88%182.66萬
-69.42%174.5萬
-73.82%166.34萬
-73.82%166.34萬
-37.23%441.27萬
-34.20%505.76萬
-31.28%570.58萬
-28.94%635.42萬
--635.42萬
-長期租賃負債
--0
-99.52%285
-95.69%3,208
-92.39%6,048
-92.39%6,048
--3.01萬
22,358.78%5.88萬
279.42%7.44萬
82.77%7.94萬
--7.94萬
長期應計費用
-71.86%44.64萬
--128.93萬
--213.23萬
--118.96萬
--118.96萬
--158.62萬
----
----
--0
--0
非流動負債總額
-60.93%235.55萬
-39.09%311.62萬
-32.87%388.05萬
-55.56%285.91萬
-55.56%285.91萬
-24.86%602.91萬
-38.49%511.64萬
-30.55%578.01萬
-28.40%643.37萬
--643.37萬
總負債
-21.13%1,572.59萬
-9.68%1,575.39萬
4.25%1,872.13萬
-18.15%1,489.87萬
-18.15%1,489.87萬
-0.80%1,993.89萬
-18.26%1,744.25萬
-13.45%1,795.88萬
-19.33%1,820.15萬
--1,820.15萬
所有者權益
股本
-20.32%185.95萬
-29.41%186.12萬
-29.41%186.12萬
-11.49%233.36萬
-11.49%233.36萬
-11.66%233.36萬
-0.19%263.65萬
-2.76%263.65萬
-9.22%263.65萬
--263.65萬
-普通股股本
-20.32%185.92萬
-29.41%186.1萬
-29.41%186.1萬
-11.49%233.34萬
-11.49%233.34萬
-11.66%233.34萬
-0.19%263.63萬
-2.76%263.63萬
-9.23%263.63萬
--263.63萬
-優先股股本
0.00%252
0.00%252
0.00%252
0.00%252
0.00%252
0.00%252
0.00%252
0.00%252
0.00%252
--252
留存收益
0.45%-8,679.93萬
3.61%-8,578.38萬
3.66%-8,611.18萬
2.25%-8,757.69萬
2.25%-8,757.69萬
-16.91%-8,719.04萬
-20.33%-8,899.39萬
-21.36%-8,938.64萬
-18.15%-8,958.95萬
---8,958.95萬
資本公積
-1.33%1.02億
-3.71%1.02億
-3.55%1.01億
-0.28%1.04億
-0.28%1.04億
0.14%1.04億
3.57%1.06億
4.48%1.05億
2.42%1.04億
--1.04億
不影響留存收益的損益
0.00%-2.32萬
0.00%-2.32萬
0.00%-2.32萬
0.00%-2.32萬
0.00%-2.32萬
0.00%-2.32萬
0.00%-2.32萬
-2.64%-2.32萬
-0.95%-2.32萬
---2.32萬
股東權益總額
-7.82%1,719.05萬
-7.66%1,788.39萬
-6.71%1,711.5萬
8.15%1,879.03萬
8.15%1,879.03萬
-40.64%1,864.8萬
-37.05%1,936.75萬
-38.11%1,834.63萬
-39.96%1,737.46萬
--1,737.46萬
總權益
-7.82%1,719.05萬
-7.66%1,788.39萬
-6.71%1,711.5萬
8.15%1,879.03萬
8.15%1,879.03萬
-40.64%1,864.8萬
-37.05%1,936.75萬
-38.11%1,834.63萬
-39.96%1,737.46萬
--1,737.46萬
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
審計意見
--
--
--
無保留意見
--
--
--
--
無保留意見
--
(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
資產
流動資產
現金及現金等價物和短期投資 8.62%2,445.29萬10.39%2,365.93萬27.02%2,443.22萬2.93%2,091.23萬2.93%2,091.23萬17.98%2,251.26萬5.34%2,143.2萬-22.65%1,923.43萬-34.45%2,031.73萬--2,031.73萬
-現金和現金等價物 8.62%2,445.29萬10.39%2,365.93萬27.02%2,443.22萬2.93%2,091.23萬2.93%2,091.23萬17.98%2,251.26萬5.34%2,143.2萬-22.65%1,923.43萬-34.45%2,031.73萬--2,031.73萬
應收款項 28.82%248.07萬99.72%232萬45.94%234.1萬77.83%223.27萬77.83%223.27萬-3.17%192.58萬-49.49%116.16萬-10.58%160.42萬-34.61%125.55萬--125.55萬
-應收賬款 28.82%248.07萬99.72%232萬45.94%234.1萬77.83%223.27萬77.83%223.27萬-3.17%192.58萬-49.49%116.16萬-10.58%160.42萬-34.61%125.55萬--125.55萬
存貨 --------------0--0--0--0219.89%17.78萬--24.95萬--24.95萬
預付費用 204.24%339.66萬1,289.23%325.82萬-56.31%64.38萬-45.42%49.26萬-45.42%49.26萬18.77%111.64萬-65.87%23.45萬657.73%147.36萬449.45%90.25萬--90.25萬
受限制現金 --0-63.15%15萬-75.49%15萬-75.27%23.04萬-75.27%23.04萬-52.39%39.01萬-50.31%40.71萬-25.31%61.2萬13.69%93.15萬--93.15萬
其他流動資產 -77.45%46.17萬-95.53%8.63萬-88.80%23.28萬-75.20%58.56萬-75.20%58.56萬-28.72%204.76萬-52.70%192.98萬-6.74%207.95萬16.98%236.1萬--236.1萬
流動資產合計 10.00%3,079.18萬17.12%2,947.38萬10.40%2,779.99萬-6.01%2,445.36萬-6.01%2,445.36萬5.07%2,799.25萬-11.80%2,516.5萬-15.95%2,518.13萬-27.56%2,601.73萬--2,601.73萬
非流動資產
固定資產淨額 -73.54%208.26萬-53.97%412.21萬-34.64%544.73萬-23.87%664.73萬-23.87%664.73萬-53.23%787.06萬-41.60%895.54萬-30.52%833.41萬25.68%873.2萬--873.2萬
-固定資產 -11.55%1,267.2萬-3.90%1,367.56萬0.41%1,418.56萬4.81%1,420.71萬4.81%1,420.71萬-40.06%1,432.76萬-35.33%1,423.03萬-18.73%1,412.84萬18.55%1,355.47萬--1,355.47萬
-累計折舊 -64.00%-1,058.95萬-81.11%-955.35萬-50.81%-873.83萬-56.75%-755.99萬-56.75%-755.99萬8.74%-645.7萬20.92%-527.49萬-7.49%-579.43萬-7.51%-482.28萬---482.28萬
長期預付費用 -98.38%4.2萬-98.36%4.2萬-2.98%258.91萬446.48%258.81萬446.48%258.81萬446.48%258.81萬441.05%256.24萬463.47%266.86萬0.00%47.36萬--47.36萬
其他非流動資產 ---------------------59.37%13.57萬-75.95%12.71萬-83.34%12.11萬-61.81%35.32萬--35.32萬
非流動資產合計 -79.95%212.45萬-64.24%416.41萬-27.75%803.64萬-3.38%923.54萬-3.38%923.54萬-57.41%1,059.44萬-50.61%1,164.49萬-45.57%1,112.38萬-38.67%955.88萬--955.88萬
總資產 -14.70%3,291.64萬-8.62%3,363.79萬-1.29%3,583.63萬-5.30%3,368.9萬-5.30%3,368.9萬-25.10%3,858.69萬-29.36%3,680.99萬-27.96%3,630.5萬-30.93%3,557.61萬--3,557.61萬
負債
流動負債
應付款項 37.76%930.73萬71.03%867.42萬100.55%1,014.82萬39.89%711.5萬39.89%711.5萬21.82%675.6萬-7.77%507.18萬14.58%506.03萬3.12%508.6萬--508.6萬
-應付賬款 39.63%875.52萬81.50%811.96萬83.57%839.91萬27.02%585.41萬27.02%585.41萬18.04%627.02萬-15.09%447.35萬35.42%457.53萬18.03%460.88萬--460.88萬
-應付稅費 22.72%30.12萬-15.06%30.72萬499.68%150.28萬317.51%100.45萬317.51%100.45萬--24.54萬--36.16萬-68.93%25.06萬-70.22%24.06萬--24.06萬
-應付股利 4.37%25.09萬4.59%24.75萬5.11%24.63萬8.35%25.64萬8.35%25.64萬2.81%24.04萬2.50%23.67萬1.45%23.43萬7.70%23.66萬--23.66萬
應計費用 53.00%12.77萬43.39%19.89萬30.32%10.43萬-5.01%18.74萬-5.01%18.74萬-6.55%8.35萬-44.33%13.87萬68.50%8萬11.72%19.73萬--19.73萬
短期借款與租賃負債 -63.12%157.01萬-59.06%174.34萬-56.11%187.53萬-52.72%202.8萬-52.72%202.8萬0.81%425.76萬-0.55%425.82萬-1.26%427.26萬-14.83%428.89萬--428.89萬
-短期借款 -63.09%152.88萬-59.68%166.98萬-57.18%177.3萬-53.67%191.84萬-53.67%191.84萬0.74%414.17萬0.74%414.13萬0.74%414.1萬-13.37%414.07萬--414.07萬
-短期租賃負債 -64.39%4.13萬-36.99%7.36萬-22.29%10.23萬-26.04%10.96萬-26.04%10.96萬3.23%11.59萬-31.65%11.68萬-39.24%13.16萬-42.08%14.82萬--14.82萬
遞延負債 -15.66%236.5萬-28.83%201.88萬-1.55%270.74萬24.51%270.34萬24.51%270.34萬28.12%280.4萬-4.18%283.66萬-22.38%275萬-35.46%217.12萬--217.12萬
其他流動負債 -96.62%298-88.77%2,332-63.89%5,658-76.53%5,732-76.53%5,732-69.79%8,827-34.15%2.08萬-83.19%1.57萬-64.79%2.44萬--2.44萬
流動負債總額 -3.88%1,337.04萬2.53%1,263.77萬21.86%1,484.08萬2.31%1,203.96萬2.31%1,203.96萬15.18%1,390.99萬-5.35%1,232.61萬-2.00%1,217.86萬-13.33%1,176.78萬--1,176.78萬
非流動負債
長期借款與租賃負債 -57.03%190.91萬-64.29%182.68萬-69.76%174.82萬-74.05%166.95萬-74.05%166.95萬-36.80%444.29萬-33.43%511.64萬-30.55%578.01萬-28.40%643.37萬--643.37萬
-長期借款 -56.74%190.91萬-63.88%182.66萬-69.42%174.5萬-73.82%166.34萬-73.82%166.34萬-37.23%441.27萬-34.20%505.76萬-31.28%570.58萬-28.94%635.42萬--635.42萬
-長期租賃負債 --0-99.52%285-95.69%3,208-92.39%6,048-92.39%6,048--3.01萬22,358.78%5.88萬279.42%7.44萬82.77%7.94萬--7.94萬
長期應計費用 -71.86%44.64萬--128.93萬--213.23萬--118.96萬--118.96萬--158.62萬----------0--0
非流動負債總額 -60.93%235.55萬-39.09%311.62萬-32.87%388.05萬-55.56%285.91萬-55.56%285.91萬-24.86%602.91萬-38.49%511.64萬-30.55%578.01萬-28.40%643.37萬--643.37萬
總負債 -21.13%1,572.59萬-9.68%1,575.39萬4.25%1,872.13萬-18.15%1,489.87萬-18.15%1,489.87萬-0.80%1,993.89萬-18.26%1,744.25萬-13.45%1,795.88萬-19.33%1,820.15萬--1,820.15萬
所有者權益
股本 -20.32%185.95萬-29.41%186.12萬-29.41%186.12萬-11.49%233.36萬-11.49%233.36萬-11.66%233.36萬-0.19%263.65萬-2.76%263.65萬-9.22%263.65萬--263.65萬
-普通股股本 -20.32%185.92萬-29.41%186.1萬-29.41%186.1萬-11.49%233.34萬-11.49%233.34萬-11.66%233.34萬-0.19%263.63萬-2.76%263.63萬-9.23%263.63萬--263.63萬
-優先股股本 0.00%2520.00%2520.00%2520.00%2520.00%2520.00%2520.00%2520.00%2520.00%252--252
留存收益 0.45%-8,679.93萬3.61%-8,578.38萬3.66%-8,611.18萬2.25%-8,757.69萬2.25%-8,757.69萬-16.91%-8,719.04萬-20.33%-8,899.39萬-21.36%-8,938.64萬-18.15%-8,958.95萬---8,958.95萬
資本公積 -1.33%1.02億-3.71%1.02億-3.55%1.01億-0.28%1.04億-0.28%1.04億0.14%1.04億3.57%1.06億4.48%1.05億2.42%1.04億--1.04億
不影響留存收益的損益 0.00%-2.32萬0.00%-2.32萬0.00%-2.32萬0.00%-2.32萬0.00%-2.32萬0.00%-2.32萬0.00%-2.32萬-2.64%-2.32萬-0.95%-2.32萬---2.32萬
股東權益總額 -7.82%1,719.05萬-7.66%1,788.39萬-6.71%1,711.5萬8.15%1,879.03萬8.15%1,879.03萬-40.64%1,864.8萬-37.05%1,936.75萬-38.11%1,834.63萬-39.96%1,737.46萬--1,737.46萬
總權益 -7.82%1,719.05萬-7.66%1,788.39萬-6.71%1,711.5萬8.15%1,879.03萬8.15%1,879.03萬-40.64%1,864.8萬-37.05%1,936.75萬-38.11%1,834.63萬-39.96%1,737.46萬--1,737.46萬
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