美股市場個股詳情

JAKK 傑克仕太平洋

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  • 24.890
  • 0.0000.00%
交易中 03/11 11:22 (美東)
2.77億總市值7.93市盈率TTM

傑克仕太平洋關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2024/12/31
(Q4)2024/12/31
(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
資產
流動資產
現金及現金等價物和短期投資
-3.34%6,993.6萬
-3.34%6,993.6萬
-77.07%2,207萬
-45.08%1,770萬
-7.38%3,529萬
-15.18%7,235萬
-15.18%7,235萬
25.95%9,625.2萬
-48.26%3,222.8萬
-2.86%3,810.3萬
-現金和現金等價物
-3.34%6,993.6萬
-3.34%6,993.6萬
-77.07%2,207萬
-45.08%1,770萬
-7.38%3,529萬
-15.18%7,235萬
-15.18%7,235萬
25.95%9,625.2萬
-48.26%3,222.8萬
-2.86%3,810.3萬
應收款項
11.04%1.4億
11.04%1.4億
40.43%2.93億
16.31%1.57億
-1.12%8,640.8萬
20.46%1.26億
20.46%1.26億
0.91%2.09億
-18.54%1.35億
-16.90%8,739.1萬
-應收賬款
6.33%1.32億
6.33%1.32億
40.47%2.9億
5.68%1.4億
-6.22%7,987.5萬
20.46%1.24億
20.46%1.24億
0.93%2.07億
-19.23%1.32億
-17.89%8,517.1萬
-應收稅費
229.27%879.8萬
229.27%879.8萬
36.83%303.5萬
649.21%1,667萬
194.28%653.3萬
20.52%267.2萬
20.52%267.2萬
-0.76%221.8萬
66.17%222.5萬
55.03%222萬
存貨
0.25%5,278萬
0.25%5,278萬
-7.73%6,350.9萬
-21.11%5,132.7萬
-27.58%4,634.1萬
-34.70%5,264.7萬
-34.70%5,264.7萬
-36.95%6,883.2萬
-47.39%6,505.9萬
-24.99%6,398.8萬
預付費用
2.30%324.7萬
2.30%324.7萬
-24.29%306.7萬
-4.19%794.9萬
5.45%1,080.8萬
12.71%317.4萬
12.71%317.4萬
-34.13%405.1萬
-21.23%829.7萬
-23.91%1,024.9萬
受限制現金
-1.47%20.1萬
-1.47%20.1萬
9.74%21.4萬
-0.49%20.2萬
2.02%20.2萬
5.70%20.4萬
5.70%20.4萬
9.55%19.5萬
--20.3萬
--19.8萬
其他流動資產
296.97%209.6萬
296.97%209.6萬
338.05%198萬
160.71%183.8萬
359.47%174.6萬
-59.32%52.8萬
-59.32%52.8萬
-83.50%45.2萬
-73.37%70.5萬
-84.86%38萬
流動資產合計
5.21%2.69億
5.21%2.69億
1.46%3.84億
-2.28%2.36億
-9.74%1.81億
-7.21%2.55億
-7.21%2.55億
-5.72%3.79億
-33.83%2.41億
-18.47%2億
非流動資產
固定資產淨額
80.40%6,889.6萬
80.40%6,889.6萬
-14.87%3,436.7萬
15.02%3,741.3萬
13.41%3,833.7萬
9.82%3,819.1萬
9.82%3,819.1萬
7.62%4,037.1萬
-20.33%3,252.7萬
8.93%3,380.3萬
-固定資產
22.77%1.96億
22.77%1.96億
1.08%1.63億
8.47%1.62億
8.58%1.61億
6.12%1.6億
6.12%1.6億
4.86%1.62億
-2.66%1.49億
4.90%1.48億
-累計折舊
-4.63%-1.27億
-4.63%-1.27億
-6.40%-1.29億
-6.65%-1.25億
-7.16%-1.23億
-5.00%-1.21億
-5.00%-1.21億
-3.98%-1.21億
-3.74%-1.17億
-3.76%-1.14億
商譽及其他無形資產
0.08%3,511.1萬
0.08%3,511.1萬
0.05%3,510.2萬
-0.15%3,502.9萬
-0.25%3,499.7萬
0.00%3,508.3萬
0.00%3,508.3萬
-0.72%3,508.3萬
-1.42%3,508.3萬
-2.94%3,508.3萬
-商譽
0.08%3,511.1萬
0.08%3,511.1萬
0.05%3,510.2萬
-0.15%3,502.9萬
-0.25%3,499.7萬
0.00%3,508.3萬
0.00%3,508.3萬
0.00%3,508.3萬
0.00%3,508.3萬
0.00%3,508.3萬
非流動遞延資產
3.30%7,039.4萬
3.30%7,039.4萬
17.86%6,818.7萬
17.88%6,814.1萬
17.88%6,814.2萬
17.89%6,814.3萬
17.89%6,814.3萬
--5,785.6萬
--5,780.4萬
--5,780.4萬
其他非流動資產
-17.62%178.1萬
-17.62%178.1萬
-13.38%192.3萬
-15.23%197.6萬
-13.57%206.3萬
-12.43%216.2萬
-12.43%216.2萬
-11.76%222萬
-14.68%233.1萬
-18.23%238.7萬
非流動資產合計
22.71%1.76億
22.71%1.76億
2.99%1.4億
11.60%1.43億
11.20%1.44億
10.33%1.44億
10.33%1.44億
79.83%1.36億
61.40%1.28億
84.14%1.29億
總資產
11.51%4.45億
11.51%4.45億
1.87%5.24億
2.52%3.78億
-1.53%3.24億
-1.58%3.99億
-1.58%3.99億
7.79%5.14億
-16.84%3.69億
4.31%3.29億
負債
流動負債
應付款項
-2.00%5,705.6萬
-2.00%5,705.6萬
-4.20%1.34億
-9.36%7,449.8萬
-3.83%4,037.2萬
12.67%5,822.1萬
12.67%5,822.1萬
16.98%1.4億
-37.38%8,218.8萬
-21.03%4,197.9萬
-應付賬款
2.91%5,602.1萬
2.91%5,602.1萬
9.44%1.34億
-2.46%7,449.8萬
12.97%4,037.2萬
25.12%5,443.6萬
25.12%5,443.6萬
16.09%1.22億
-40.75%7,638萬
-1.92%3,573.8萬
-應付稅費
-72.66%103.5萬
-72.66%103.5萬
--0
--0
--0
-53.64%378.5萬
-53.64%378.5萬
23.70%1,742.2萬
148.95%580.8萬
417.93%624.1萬
應計費用
8.58%4,820.9萬
8.58%4,820.9萬
9.36%7,174.8萬
-3.06%4,502.6萬
37.75%3,720.1萬
19.76%4,440.1萬
19.76%4,440.1萬
-11.01%6,560.9萬
-20.18%4,644.8萬
-11.73%2,700.6萬
現行撥備
-7.04%3,581.7萬
-7.04%3,581.7萬
-6.15%4,083.7萬
-22.18%2,945.6萬
-32.16%2,785.9萬
-25.73%3,853.1萬
-25.73%3,853.1萬
-26.52%4,351.2萬
-17.04%3,785.1萬
4.29%4,106.4萬
短期借款與租賃負債
9.63%809.1萬
9.63%809.1萬
15.43%740.5萬
38.49%1,277.7萬
-34.02%823.7萬
-79.66%738萬
-79.66%738萬
-50.62%641.5萬
-27.43%922.6萬
-7.45%1,248.4萬
-短期借款
----
----
----
--500萬
----
----
----
----
----
0.00%247.5萬
-短期租賃負債
9.63%809.1萬
9.63%809.1萬
15.43%740.5萬
-15.71%777.7萬
-17.70%823.7萬
-31.32%738萬
-31.32%738萬
-38.99%641.5萬
-9.89%922.6萬
-9.12%1,000.9萬
遞延負債
-64.76%24.7萬
-64.76%24.7萬
----
----
----
-23.97%70.1萬
-23.97%70.1萬
----
----
----
流動負債總額
0.12%1.49億
0.12%1.49億
-0.55%2.54億
-7.94%1.62億
-7.23%1.14億
-16.08%1.49億
-16.08%1.49億
-3.80%2.55億
-29.08%1.76億
-10.31%1.23億
非流動負債
長期借款與租賃負債
190.61%4,843.3萬
190.61%4,843.3萬
-24.62%1,453.6萬
138.89%1,485.9萬
-54.48%1,596.1萬
-67.63%1,666.6萬
-67.63%1,666.6萬
-75.20%1,928.3萬
-93.64%622萬
-65.05%3,506.4萬
-長期借款
----
----
----
----
----
----
----
----
----
-70.98%2,696.9萬
-長期租賃負債
190.61%4,843.3萬
190.61%4,843.3萬
-24.62%1,453.6萬
138.89%1,485.9萬
97.17%1,596.1萬
68.97%1,666.6萬
68.97%1,666.6萬
53.59%1,928.3萬
-59.63%622萬
9.41%809.5萬
長期應計費用
-31.58%256.3萬
-31.58%256.3萬
-51.36%182.4萬
--229.9萬
--318.3萬
--374.6萬
--374.6萬
--375萬
----
----
衍生品負債
--0
--0
--0
--0
--0
36.63%2,994.7萬
36.63%2,994.7萬
22.44%2,858.6萬
74.82%2,779.3萬
-0.71%2,177.1萬
可轉換優先證券
--0
--0
--0
--0
--0
33.45%599.2萬
33.45%599.2萬
----
----
----
非流動負債總額
-8.36%5,461.6萬
-8.36%5,461.6萬
-63.59%1,988.3萬
-44.30%2,059.9萬
-62.46%2,243.9萬
-26.26%5,959.6萬
-26.26%5,959.6萬
-46.04%5,461.3萬
-67.56%3,698.4萬
-52.54%5,977.6萬
總負債
-2.30%2.04億
-2.30%2.04億
-11.66%2.74億
-14.26%1.82億
-25.34%1.36億
-19.26%2.09億
-19.26%2.09億
-15.46%3.1億
-41.21%2.13億
-30.57%1.82億
所有者權益
股本
10.00%1.1萬
10.00%1.1萬
-99.80%1.1萬
-99.79%1.1萬
-99.77%1.1萬
0.00%1萬
0.00%1萬
35.77%561.8萬
38.59%524萬
48,570.00%486.7萬
-普通股股本
10.00%1.1萬
10.00%1.1萬
10.00%1.1萬
10.00%1.1萬
10.00%1.1萬
0.00%1萬
0.00%1萬
0.00%1萬
0.00%1萬
0.00%1萬
-優先股股本
----
----
----
----
----
----
----
35.85%560.8萬
38.69%523萬
--485.7萬
留存收益
46.08%-3,969.2萬
46.08%-3,969.2萬
51.26%-3,057.9萬
25.28%-8,285.1萬
24.90%-8,811.7萬
34.29%-7,361.2萬
34.29%-7,361.2萬
58.17%-6,274.4萬
38.63%-1.11億
43.38%-1.17億
資本公積
6.66%2.97億
6.66%2.97億
6.43%2.95億
6.26%2.95億
5.92%2.92億
1.26%2.79億
1.26%2.79億
1.28%2.78億
1.30%2.77億
1.05%2.76億
不影響留存收益的損益
-9.96%-1,718.4萬
-9.96%-1,718.4萬
9.17%-1,526.6萬
-1.79%-1,630.8萬
5.59%-1,619.2萬
10.61%-1,562.7萬
10.61%-1,562.7萬
9.61%-1,680.8萬
-1.62%-1,602.1萬
-25.97%-1,715萬
股東權益總額
26.88%2.4億
26.88%2.4億
22.57%2.5億
25.64%1.95億
28.51%1.88億
30.00%1.89億
30.00%1.89億
85.78%2.04億
92.09%1.56億
181.05%1.46億
非控制性權益
-29.38%50萬
-29.38%50萬
-29.78%50萬
-30.84%50萬
-49.80%50萬
-29.27%70.8萬
-29.27%70.8萬
-17.31%71.2萬
-17.65%72.3萬
-19.09%99.6萬
總權益
26.67%2.41億
26.67%2.41億
22.39%2.5億
25.38%1.96億
27.98%1.88億
29.60%1.9億
29.60%1.9億
84.98%2.04億
90.92%1.56億
176.42%1.47億
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
無保留意見
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(FY)2024/12/31(Q4)2024/12/31(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
資產
流動資產
現金及現金等價物和短期投資 -3.34%6,993.6萬-3.34%6,993.6萬-77.07%2,207萬-45.08%1,770萬-7.38%3,529萬-15.18%7,235萬-15.18%7,235萬25.95%9,625.2萬-48.26%3,222.8萬-2.86%3,810.3萬
-現金和現金等價物 -3.34%6,993.6萬-3.34%6,993.6萬-77.07%2,207萬-45.08%1,770萬-7.38%3,529萬-15.18%7,235萬-15.18%7,235萬25.95%9,625.2萬-48.26%3,222.8萬-2.86%3,810.3萬
應收款項 11.04%1.4億11.04%1.4億40.43%2.93億16.31%1.57億-1.12%8,640.8萬20.46%1.26億20.46%1.26億0.91%2.09億-18.54%1.35億-16.90%8,739.1萬
-應收賬款 6.33%1.32億6.33%1.32億40.47%2.9億5.68%1.4億-6.22%7,987.5萬20.46%1.24億20.46%1.24億0.93%2.07億-19.23%1.32億-17.89%8,517.1萬
-應收稅費 229.27%879.8萬229.27%879.8萬36.83%303.5萬649.21%1,667萬194.28%653.3萬20.52%267.2萬20.52%267.2萬-0.76%221.8萬66.17%222.5萬55.03%222萬
存貨 0.25%5,278萬0.25%5,278萬-7.73%6,350.9萬-21.11%5,132.7萬-27.58%4,634.1萬-34.70%5,264.7萬-34.70%5,264.7萬-36.95%6,883.2萬-47.39%6,505.9萬-24.99%6,398.8萬
預付費用 2.30%324.7萬2.30%324.7萬-24.29%306.7萬-4.19%794.9萬5.45%1,080.8萬12.71%317.4萬12.71%317.4萬-34.13%405.1萬-21.23%829.7萬-23.91%1,024.9萬
受限制現金 -1.47%20.1萬-1.47%20.1萬9.74%21.4萬-0.49%20.2萬2.02%20.2萬5.70%20.4萬5.70%20.4萬9.55%19.5萬--20.3萬--19.8萬
其他流動資產 296.97%209.6萬296.97%209.6萬338.05%198萬160.71%183.8萬359.47%174.6萬-59.32%52.8萬-59.32%52.8萬-83.50%45.2萬-73.37%70.5萬-84.86%38萬
流動資產合計 5.21%2.69億5.21%2.69億1.46%3.84億-2.28%2.36億-9.74%1.81億-7.21%2.55億-7.21%2.55億-5.72%3.79億-33.83%2.41億-18.47%2億
非流動資產
固定資產淨額 80.40%6,889.6萬80.40%6,889.6萬-14.87%3,436.7萬15.02%3,741.3萬13.41%3,833.7萬9.82%3,819.1萬9.82%3,819.1萬7.62%4,037.1萬-20.33%3,252.7萬8.93%3,380.3萬
-固定資產 22.77%1.96億22.77%1.96億1.08%1.63億8.47%1.62億8.58%1.61億6.12%1.6億6.12%1.6億4.86%1.62億-2.66%1.49億4.90%1.48億
-累計折舊 -4.63%-1.27億-4.63%-1.27億-6.40%-1.29億-6.65%-1.25億-7.16%-1.23億-5.00%-1.21億-5.00%-1.21億-3.98%-1.21億-3.74%-1.17億-3.76%-1.14億
商譽及其他無形資產 0.08%3,511.1萬0.08%3,511.1萬0.05%3,510.2萬-0.15%3,502.9萬-0.25%3,499.7萬0.00%3,508.3萬0.00%3,508.3萬-0.72%3,508.3萬-1.42%3,508.3萬-2.94%3,508.3萬
-商譽 0.08%3,511.1萬0.08%3,511.1萬0.05%3,510.2萬-0.15%3,502.9萬-0.25%3,499.7萬0.00%3,508.3萬0.00%3,508.3萬0.00%3,508.3萬0.00%3,508.3萬0.00%3,508.3萬
非流動遞延資產 3.30%7,039.4萬3.30%7,039.4萬17.86%6,818.7萬17.88%6,814.1萬17.88%6,814.2萬17.89%6,814.3萬17.89%6,814.3萬--5,785.6萬--5,780.4萬--5,780.4萬
其他非流動資產 -17.62%178.1萬-17.62%178.1萬-13.38%192.3萬-15.23%197.6萬-13.57%206.3萬-12.43%216.2萬-12.43%216.2萬-11.76%222萬-14.68%233.1萬-18.23%238.7萬
非流動資產合計 22.71%1.76億22.71%1.76億2.99%1.4億11.60%1.43億11.20%1.44億10.33%1.44億10.33%1.44億79.83%1.36億61.40%1.28億84.14%1.29億
總資產 11.51%4.45億11.51%4.45億1.87%5.24億2.52%3.78億-1.53%3.24億-1.58%3.99億-1.58%3.99億7.79%5.14億-16.84%3.69億4.31%3.29億
負債
流動負債
應付款項 -2.00%5,705.6萬-2.00%5,705.6萬-4.20%1.34億-9.36%7,449.8萬-3.83%4,037.2萬12.67%5,822.1萬12.67%5,822.1萬16.98%1.4億-37.38%8,218.8萬-21.03%4,197.9萬
-應付賬款 2.91%5,602.1萬2.91%5,602.1萬9.44%1.34億-2.46%7,449.8萬12.97%4,037.2萬25.12%5,443.6萬25.12%5,443.6萬16.09%1.22億-40.75%7,638萬-1.92%3,573.8萬
-應付稅費 -72.66%103.5萬-72.66%103.5萬--0--0--0-53.64%378.5萬-53.64%378.5萬23.70%1,742.2萬148.95%580.8萬417.93%624.1萬
應計費用 8.58%4,820.9萬8.58%4,820.9萬9.36%7,174.8萬-3.06%4,502.6萬37.75%3,720.1萬19.76%4,440.1萬19.76%4,440.1萬-11.01%6,560.9萬-20.18%4,644.8萬-11.73%2,700.6萬
現行撥備 -7.04%3,581.7萬-7.04%3,581.7萬-6.15%4,083.7萬-22.18%2,945.6萬-32.16%2,785.9萬-25.73%3,853.1萬-25.73%3,853.1萬-26.52%4,351.2萬-17.04%3,785.1萬4.29%4,106.4萬
短期借款與租賃負債 9.63%809.1萬9.63%809.1萬15.43%740.5萬38.49%1,277.7萬-34.02%823.7萬-79.66%738萬-79.66%738萬-50.62%641.5萬-27.43%922.6萬-7.45%1,248.4萬
-短期借款 --------------500萬--------------------0.00%247.5萬
-短期租賃負債 9.63%809.1萬9.63%809.1萬15.43%740.5萬-15.71%777.7萬-17.70%823.7萬-31.32%738萬-31.32%738萬-38.99%641.5萬-9.89%922.6萬-9.12%1,000.9萬
遞延負債 -64.76%24.7萬-64.76%24.7萬-------------23.97%70.1萬-23.97%70.1萬------------
流動負債總額 0.12%1.49億0.12%1.49億-0.55%2.54億-7.94%1.62億-7.23%1.14億-16.08%1.49億-16.08%1.49億-3.80%2.55億-29.08%1.76億-10.31%1.23億
非流動負債
長期借款與租賃負債 190.61%4,843.3萬190.61%4,843.3萬-24.62%1,453.6萬138.89%1,485.9萬-54.48%1,596.1萬-67.63%1,666.6萬-67.63%1,666.6萬-75.20%1,928.3萬-93.64%622萬-65.05%3,506.4萬
-長期借款 -------------------------------------70.98%2,696.9萬
-長期租賃負債 190.61%4,843.3萬190.61%4,843.3萬-24.62%1,453.6萬138.89%1,485.9萬97.17%1,596.1萬68.97%1,666.6萬68.97%1,666.6萬53.59%1,928.3萬-59.63%622萬9.41%809.5萬
長期應計費用 -31.58%256.3萬-31.58%256.3萬-51.36%182.4萬--229.9萬--318.3萬--374.6萬--374.6萬--375萬--------
衍生品負債 --0--0--0--0--036.63%2,994.7萬36.63%2,994.7萬22.44%2,858.6萬74.82%2,779.3萬-0.71%2,177.1萬
可轉換優先證券 --0--0--0--0--033.45%599.2萬33.45%599.2萬------------
非流動負債總額 -8.36%5,461.6萬-8.36%5,461.6萬-63.59%1,988.3萬-44.30%2,059.9萬-62.46%2,243.9萬-26.26%5,959.6萬-26.26%5,959.6萬-46.04%5,461.3萬-67.56%3,698.4萬-52.54%5,977.6萬
總負債 -2.30%2.04億-2.30%2.04億-11.66%2.74億-14.26%1.82億-25.34%1.36億-19.26%2.09億-19.26%2.09億-15.46%3.1億-41.21%2.13億-30.57%1.82億
所有者權益
股本 10.00%1.1萬10.00%1.1萬-99.80%1.1萬-99.79%1.1萬-99.77%1.1萬0.00%1萬0.00%1萬35.77%561.8萬38.59%524萬48,570.00%486.7萬
-普通股股本 10.00%1.1萬10.00%1.1萬10.00%1.1萬10.00%1.1萬10.00%1.1萬0.00%1萬0.00%1萬0.00%1萬0.00%1萬0.00%1萬
-優先股股本 ----------------------------35.85%560.8萬38.69%523萬--485.7萬
留存收益 46.08%-3,969.2萬46.08%-3,969.2萬51.26%-3,057.9萬25.28%-8,285.1萬24.90%-8,811.7萬34.29%-7,361.2萬34.29%-7,361.2萬58.17%-6,274.4萬38.63%-1.11億43.38%-1.17億
資本公積 6.66%2.97億6.66%2.97億6.43%2.95億6.26%2.95億5.92%2.92億1.26%2.79億1.26%2.79億1.28%2.78億1.30%2.77億1.05%2.76億
不影響留存收益的損益 -9.96%-1,718.4萬-9.96%-1,718.4萬9.17%-1,526.6萬-1.79%-1,630.8萬5.59%-1,619.2萬10.61%-1,562.7萬10.61%-1,562.7萬9.61%-1,680.8萬-1.62%-1,602.1萬-25.97%-1,715萬
股東權益總額 26.88%2.4億26.88%2.4億22.57%2.5億25.64%1.95億28.51%1.88億30.00%1.89億30.00%1.89億85.78%2.04億92.09%1.56億181.05%1.46億
非控制性權益 -29.38%50萬-29.38%50萬-29.78%50萬-30.84%50萬-49.80%50萬-29.27%70.8萬-29.27%70.8萬-17.31%71.2萬-17.65%72.3萬-19.09%99.6萬
總權益 26.67%2.41億26.67%2.41億22.39%2.5億25.38%1.96億27.98%1.88億29.60%1.9億29.60%1.9億84.98%2.04億90.92%1.56億176.42%1.47億
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 無保留意見------------------