美股市場個股詳情

SOUN SoundHound AI

添加自選
  • 21.755
  • +2.900+15.38%
收盤價 12/20 16:00 (美東)
  • 21.980
  • +0.225+1.03%
盤後 20:01 (美東)
80.44億總市值-62.16市盈率TTM

SoundHound AI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
41.04%1.36億
72.90%2億
357.02%2.12億
930.39%9,526萬
930.39%9,526萬
187.76%9,614.6萬
78.07%1.16億
--4,633.1萬
-57.25%924.5萬
-57.25%924.5萬
-現金和現金等價物
41.04%1.36億
72.90%2億
357.02%2.12億
930.39%9,526萬
930.39%9,526萬
187.76%9,614.6萬
78.07%1.16億
--4,633.1萬
-57.25%924.5萬
-57.25%924.5萬
應收款項
301.57%3,820.9萬
175.83%1,995.1萬
350.62%1,895.3萬
211.31%1,583萬
211.31%1,583萬
126.76%951.5萬
612.61%723.3萬
--420.6萬
140.54%508.5萬
140.54%508.5萬
-應收賬款
301.95%1,357萬
43.23%505.9萬
157.48%684.9萬
18.63%405萬
18.63%405萬
21.05%337.6萬
247.98%353.2萬
--266萬
65.73%341.4萬
65.73%341.4萬
-其他應收款
301.35%2,463.9萬
302.38%1,489.2萬
682.92%1,210.4萬
604.97%1,178萬
604.97%1,178萬
336.32%613.9萬
--370.1萬
--154.6萬
2,994.44%167.1萬
2,994.44%167.1萬
預付費用
----
----
----
-63.25%92.4萬
-63.25%92.4萬
-37.49%235.9萬
-45.08%257.3萬
--165.1萬
97.02%251.4萬
97.02%251.4萬
其他流動資產
446.49%739.4萬
188.04%394.9萬
212.44%334萬
77.88%152.8萬
77.88%152.8萬
37.64%135.3萬
30.70%137.1萬
--106.9萬
-56.94%85.9萬
-56.94%85.9萬
流動資產合計
65.68%1.81億
76.50%2.24億
339.45%2.34億
541.37%1.14億
541.37%1.14億
158.17%1.09億
76.90%1.27億
--5,325.7萬
-35.56%1,770.3萬
-35.56%1,770.3萬
非流動資產
固定資產淨額
-29.76%540.1萬
-36.60%559.9萬
-41.91%589.4萬
-41.86%672.5萬
-41.86%672.5萬
-40.76%768.9萬
-38.69%883.1萬
--1,014.7萬
-29.67%1,156.6萬
-29.67%1,156.6萬
-固定資產
-29.76%540.1萬
-36.60%559.9萬
-41.91%589.4萬
-9.83%3,886.1萬
-9.83%3,886.1萬
-82.39%768.9萬
-80.00%883.1萬
--1,014.7萬
-1.71%4,309.6萬
-1.71%4,309.6萬
-累計折舊
----
----
----
-1.92%-3,213.6萬
-1.92%-3,213.6萬
----
----
----
-15.08%-3,153萬
-15.08%-3,153萬
商譽及其他無形資產
--2.94億
--1,918.6萬
--1,734萬
----
----
----
----
----
----
----
-商譽
--1.12億
--603.9萬
--576萬
----
----
----
----
----
----
----
-其他無形資產
--1.83億
--1,314.7萬
--1,158萬
----
----
----
----
----
----
----
長期應收款
16.21%1,459.6萬
118.84%1,551.8萬
114.57%1,510.6萬
134.23%1,649.2萬
134.23%1,649.2萬
160.42%1,256萬
--709.1萬
--704萬
--704.1萬
--704.1萬
非流動遞延資產
-45.45%3萬
-81.82%1萬
-81.82%1萬
-80.00%1.1萬
-80.00%1.1萬
-97.46%5.5萬
-97.46%5.5萬
--5.5萬
-97.46%5.5萬
-97.46%5.5萬
其他非流動資產
-71.33%410.9萬
-84.28%230.5萬
552.86%1,504.2萬
785.38%1,435.2萬
785.38%1,435.2萬
852.36%1,433.3萬
895.92%1,466萬
--230.4萬
-47.99%162.1萬
-47.99%162.1萬
非流動資產合計
819.38%3.18億
39.11%4,261.8萬
173.16%5,339.2萬
85.28%3,758萬
85.28%3,758萬
61.28%3,463.7萬
69.79%3,063.7萬
--1,954.6萬
-6.67%2,028.3萬
-6.67%2,028.3萬
總資產
246.96%5億
69.23%2.67億
294.80%2.87億
297.84%1.51億
297.84%1.51億
125.58%1.44億
75.47%1.58億
--7,280.3萬
-22.80%3,798.6萬
-22.80%3,798.6萬
負債
流動負債
應付款項
560.67%2,918.2萬
45.55%1,046.2萬
81.47%778.5萬
38.11%706.3萬
38.11%706.3萬
-36.97%441.7萬
-25.50%718.8萬
--429萬
-32.76%511.4萬
-32.76%511.4萬
-應付賬款
720.99%1,775.8萬
124.54%425.5萬
17.90%299.7萬
-40.92%165.3萬
-40.92%165.3萬
-25.26%216.3萬
-64.57%189.5萬
--254.2萬
-25.59%279.8萬
-25.59%279.8萬
-應付稅費
142.26%267.7萬
74.81%188.8萬
34.38%163萬
23.14%161.8萬
23.14%161.8萬
-61.34%110.5萬
-61.82%108萬
--121.3萬
-51.99%131.4萬
-51.99%131.4萬
-其他應付款
661.27%874.7萬
2.52%431.9萬
490.28%315.8萬
278.44%379.2萬
278.44%379.2萬
-8.52%114.9萬
186.40%421.3萬
--53.5萬
-9.65%100.2萬
-9.65%100.2萬
應計費用
43.71%287.7萬
625.82%244.6萬
457.52%404.2萬
123.48%313.1萬
123.48%313.1萬
344.89%200.2萬
-35.19%33.7萬
--72.5萬
-41.31%140.1萬
-41.31%140.1萬
短期借款與租賃負債
-33.77%190.6萬
-22.64%234.8萬
-85.67%288.4萬
-86.29%275.8萬
-86.29%275.8萬
-85.60%287.8萬
-85.26%303.5萬
--2,013.2萬
-68.78%2,011萬
-68.78%2,011萬
-短期借款
----
----
----
----
----
----
----
--1,682.8萬
-72.14%1,666.8萬
-72.14%1,666.8萬
-短期租賃負債
-33.77%190.6萬
-22.64%234.8萬
-12.71%288.4萬
-19.87%275.8萬
-19.87%275.8萬
-16.82%287.8萬
-17.08%303.5萬
--330.4萬
-24.88%344.2萬
-24.88%344.2萬
遞延負債
372.85%2,009.6萬
-36.45%293.1萬
-31.74%363.1萬
-25.84%431萬
-25.84%431萬
-19.99%425萬
-25.30%461.2萬
--531.9萬
-3.81%581.2萬
-3.81%581.2萬
其他流動負債
--514.2萬
--96.8萬
----
----
----
----
----
----
----
----
流動負債總額
227.81%7,017.8萬
-5.43%2,553.7萬
-36.20%2,648.3萬
-37.20%2,422.3萬
-37.20%2,422.3萬
-44.10%2,140.8萬
-33.95%2,700.3萬
--4,151.2萬
-56.04%3,857.1萬
-56.04%3,857.1萬
非流動負債
長期借款與租賃負債
-51.80%4,193.5萬
-96.93%217.5萬
356.72%8,760.8萬
263.96%8,740.1萬
263.96%8,740.1萬
200.93%8,700.5萬
111.70%7,084.4萬
--1,918.2萬
169.73%2,401.4萬
169.73%2,401.4萬
-長期借款
-52.35%3,969.4萬
----
509.50%8,554.3萬
360.75%8,431.2萬
360.75%8,431.2萬
270.13%8,330.8萬
154.26%6,642.8萬
--1,403.5萬
--1,829.9萬
--1,829.9萬
-長期租賃負債
-39.38%224.1萬
-50.75%217.5萬
-59.88%206.5萬
-45.95%308.9萬
-45.95%308.9萬
-42.27%369.7萬
-39.82%441.6萬
--514.7萬
-35.81%571.5萬
-35.81%571.5萬
遞延負債
111.87%757萬
-8.55%376.6萬
-24.77%408.7萬
-34.91%491萬
-34.91%491萬
-59.74%357.3萬
-56.49%411.8萬
--543.3萬
-49.58%754.3萬
-49.58%754.3萬
其他非流動負債
1,196.45%7,898萬
-46.62%898萬
166.81%1,145.7萬
45.15%642萬
45.15%642萬
185.61%609.2萬
1,157.40%1,682.4萬
--429.4萬
231.06%442.3萬
231.06%442.3萬
非流動負債總額
38.09%1.33億
-81.27%1,719.6萬
264.82%1.05億
174.41%9,873.1萬
174.41%9,873.1萬
142.17%9,667萬
107.35%9,178.6萬
--2,890.9萬
-88.19%3,598萬
-88.19%3,598萬
總負債
72.49%2.04億
-64.03%4,273.3萬
87.37%1.32億
64.93%1.23億
64.93%1.23億
50.96%1.18億
39.51%1.19億
--7,042.1萬
-81.00%7,455.1萬
-81.00%7,455.1萬
所有者權益
股本
-99.75%3.6萬
-99.86%3.4萬
-91.47%212.9萬
70,965.00%1,421.3萬
70,965.00%1,421.3萬
71,960.00%1,441.2萬
124,730.00%2,496.6萬
--2,496.4萬
1,900.00%2萬
1,900.00%2萬
-普通股股本
44.00%3.6萬
41.67%3.4萬
45.45%3.2萬
30.00%2.6萬
30.00%2.6萬
25.00%2.5萬
20.00%2.4萬
--2.2萬
1,900.00%2萬
1,900.00%2萬
-優先股股本
--0
--0
-91.59%209.7萬
--1,418.7萬
--1,418.7萬
--1,438.7萬
--2,494.2萬
--2,494.2萬
--0
--0
留存收益
-19.17%-6.84億
-20.40%-6.63億
-18.34%-6.25億
-17.67%-5.92億
-17.67%-5.92億
-21.84%-5.74億
-24.38%-5.5億
---5.28億
-30.18%-5.03億
-30.18%-5.03億
資本公積
67.35%9.8億
57.11%8.86億
53.89%7.79億
29.83%6.06億
29.83%6.06億
28.15%5.86億
26.18%5.64億
--5.06億
973.46%4.67億
973.46%4.67億
不影響留存收益的損益
32.99%26.2萬
606.90%20.5萬
--23.5萬
--19.9萬
--19.9萬
--19.7萬
--2.9萬
----
--0
--0
股東權益總額
1,041.40%2.96億
477.33%2.24億
6,427.25%1.55億
177.04%2,816.8萬
177.04%2,816.8萬
280.37%2,593.2萬
733.10%3,878.9萬
--238.2萬
89.35%-3,656.5萬
89.35%-3,656.5萬
總權益
1,041.40%2.96億
477.33%2.24億
6,427.25%1.55億
177.04%2,816.8萬
177.04%2,816.8萬
280.37%2,593.2萬
733.10%3,878.9萬
--238.2萬
89.35%-3,656.5萬
89.35%-3,656.5萬
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
--
--
--
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 41.04%1.36億72.90%2億357.02%2.12億930.39%9,526萬930.39%9,526萬187.76%9,614.6萬78.07%1.16億--4,633.1萬-57.25%924.5萬-57.25%924.5萬
-現金和現金等價物 41.04%1.36億72.90%2億357.02%2.12億930.39%9,526萬930.39%9,526萬187.76%9,614.6萬78.07%1.16億--4,633.1萬-57.25%924.5萬-57.25%924.5萬
應收款項 301.57%3,820.9萬175.83%1,995.1萬350.62%1,895.3萬211.31%1,583萬211.31%1,583萬126.76%951.5萬612.61%723.3萬--420.6萬140.54%508.5萬140.54%508.5萬
-應收賬款 301.95%1,357萬43.23%505.9萬157.48%684.9萬18.63%405萬18.63%405萬21.05%337.6萬247.98%353.2萬--266萬65.73%341.4萬65.73%341.4萬
-其他應收款 301.35%2,463.9萬302.38%1,489.2萬682.92%1,210.4萬604.97%1,178萬604.97%1,178萬336.32%613.9萬--370.1萬--154.6萬2,994.44%167.1萬2,994.44%167.1萬
預付費用 -------------63.25%92.4萬-63.25%92.4萬-37.49%235.9萬-45.08%257.3萬--165.1萬97.02%251.4萬97.02%251.4萬
其他流動資產 446.49%739.4萬188.04%394.9萬212.44%334萬77.88%152.8萬77.88%152.8萬37.64%135.3萬30.70%137.1萬--106.9萬-56.94%85.9萬-56.94%85.9萬
流動資產合計 65.68%1.81億76.50%2.24億339.45%2.34億541.37%1.14億541.37%1.14億158.17%1.09億76.90%1.27億--5,325.7萬-35.56%1,770.3萬-35.56%1,770.3萬
非流動資產
固定資產淨額 -29.76%540.1萬-36.60%559.9萬-41.91%589.4萬-41.86%672.5萬-41.86%672.5萬-40.76%768.9萬-38.69%883.1萬--1,014.7萬-29.67%1,156.6萬-29.67%1,156.6萬
-固定資產 -29.76%540.1萬-36.60%559.9萬-41.91%589.4萬-9.83%3,886.1萬-9.83%3,886.1萬-82.39%768.9萬-80.00%883.1萬--1,014.7萬-1.71%4,309.6萬-1.71%4,309.6萬
-累計折舊 -------------1.92%-3,213.6萬-1.92%-3,213.6萬-------------15.08%-3,153萬-15.08%-3,153萬
商譽及其他無形資產 --2.94億--1,918.6萬--1,734萬----------------------------
-商譽 --1.12億--603.9萬--576萬----------------------------
-其他無形資產 --1.83億--1,314.7萬--1,158萬----------------------------
長期應收款 16.21%1,459.6萬118.84%1,551.8萬114.57%1,510.6萬134.23%1,649.2萬134.23%1,649.2萬160.42%1,256萬--709.1萬--704萬--704.1萬--704.1萬
非流動遞延資產 -45.45%3萬-81.82%1萬-81.82%1萬-80.00%1.1萬-80.00%1.1萬-97.46%5.5萬-97.46%5.5萬--5.5萬-97.46%5.5萬-97.46%5.5萬
其他非流動資產 -71.33%410.9萬-84.28%230.5萬552.86%1,504.2萬785.38%1,435.2萬785.38%1,435.2萬852.36%1,433.3萬895.92%1,466萬--230.4萬-47.99%162.1萬-47.99%162.1萬
非流動資產合計 819.38%3.18億39.11%4,261.8萬173.16%5,339.2萬85.28%3,758萬85.28%3,758萬61.28%3,463.7萬69.79%3,063.7萬--1,954.6萬-6.67%2,028.3萬-6.67%2,028.3萬
總資產 246.96%5億69.23%2.67億294.80%2.87億297.84%1.51億297.84%1.51億125.58%1.44億75.47%1.58億--7,280.3萬-22.80%3,798.6萬-22.80%3,798.6萬
負債
流動負債
應付款項 560.67%2,918.2萬45.55%1,046.2萬81.47%778.5萬38.11%706.3萬38.11%706.3萬-36.97%441.7萬-25.50%718.8萬--429萬-32.76%511.4萬-32.76%511.4萬
-應付賬款 720.99%1,775.8萬124.54%425.5萬17.90%299.7萬-40.92%165.3萬-40.92%165.3萬-25.26%216.3萬-64.57%189.5萬--254.2萬-25.59%279.8萬-25.59%279.8萬
-應付稅費 142.26%267.7萬74.81%188.8萬34.38%163萬23.14%161.8萬23.14%161.8萬-61.34%110.5萬-61.82%108萬--121.3萬-51.99%131.4萬-51.99%131.4萬
-其他應付款 661.27%874.7萬2.52%431.9萬490.28%315.8萬278.44%379.2萬278.44%379.2萬-8.52%114.9萬186.40%421.3萬--53.5萬-9.65%100.2萬-9.65%100.2萬
應計費用 43.71%287.7萬625.82%244.6萬457.52%404.2萬123.48%313.1萬123.48%313.1萬344.89%200.2萬-35.19%33.7萬--72.5萬-41.31%140.1萬-41.31%140.1萬
短期借款與租賃負債 -33.77%190.6萬-22.64%234.8萬-85.67%288.4萬-86.29%275.8萬-86.29%275.8萬-85.60%287.8萬-85.26%303.5萬--2,013.2萬-68.78%2,011萬-68.78%2,011萬
-短期借款 ------------------------------1,682.8萬-72.14%1,666.8萬-72.14%1,666.8萬
-短期租賃負債 -33.77%190.6萬-22.64%234.8萬-12.71%288.4萬-19.87%275.8萬-19.87%275.8萬-16.82%287.8萬-17.08%303.5萬--330.4萬-24.88%344.2萬-24.88%344.2萬
遞延負債 372.85%2,009.6萬-36.45%293.1萬-31.74%363.1萬-25.84%431萬-25.84%431萬-19.99%425萬-25.30%461.2萬--531.9萬-3.81%581.2萬-3.81%581.2萬
其他流動負債 --514.2萬--96.8萬--------------------------------
流動負債總額 227.81%7,017.8萬-5.43%2,553.7萬-36.20%2,648.3萬-37.20%2,422.3萬-37.20%2,422.3萬-44.10%2,140.8萬-33.95%2,700.3萬--4,151.2萬-56.04%3,857.1萬-56.04%3,857.1萬
非流動負債
長期借款與租賃負債 -51.80%4,193.5萬-96.93%217.5萬356.72%8,760.8萬263.96%8,740.1萬263.96%8,740.1萬200.93%8,700.5萬111.70%7,084.4萬--1,918.2萬169.73%2,401.4萬169.73%2,401.4萬
-長期借款 -52.35%3,969.4萬----509.50%8,554.3萬360.75%8,431.2萬360.75%8,431.2萬270.13%8,330.8萬154.26%6,642.8萬--1,403.5萬--1,829.9萬--1,829.9萬
-長期租賃負債 -39.38%224.1萬-50.75%217.5萬-59.88%206.5萬-45.95%308.9萬-45.95%308.9萬-42.27%369.7萬-39.82%441.6萬--514.7萬-35.81%571.5萬-35.81%571.5萬
遞延負債 111.87%757萬-8.55%376.6萬-24.77%408.7萬-34.91%491萬-34.91%491萬-59.74%357.3萬-56.49%411.8萬--543.3萬-49.58%754.3萬-49.58%754.3萬
其他非流動負債 1,196.45%7,898萬-46.62%898萬166.81%1,145.7萬45.15%642萬45.15%642萬185.61%609.2萬1,157.40%1,682.4萬--429.4萬231.06%442.3萬231.06%442.3萬
非流動負債總額 38.09%1.33億-81.27%1,719.6萬264.82%1.05億174.41%9,873.1萬174.41%9,873.1萬142.17%9,667萬107.35%9,178.6萬--2,890.9萬-88.19%3,598萬-88.19%3,598萬
總負債 72.49%2.04億-64.03%4,273.3萬87.37%1.32億64.93%1.23億64.93%1.23億50.96%1.18億39.51%1.19億--7,042.1萬-81.00%7,455.1萬-81.00%7,455.1萬
所有者權益
股本 -99.75%3.6萬-99.86%3.4萬-91.47%212.9萬70,965.00%1,421.3萬70,965.00%1,421.3萬71,960.00%1,441.2萬124,730.00%2,496.6萬--2,496.4萬1,900.00%2萬1,900.00%2萬
-普通股股本 44.00%3.6萬41.67%3.4萬45.45%3.2萬30.00%2.6萬30.00%2.6萬25.00%2.5萬20.00%2.4萬--2.2萬1,900.00%2萬1,900.00%2萬
-優先股股本 --0--0-91.59%209.7萬--1,418.7萬--1,418.7萬--1,438.7萬--2,494.2萬--2,494.2萬--0--0
留存收益 -19.17%-6.84億-20.40%-6.63億-18.34%-6.25億-17.67%-5.92億-17.67%-5.92億-21.84%-5.74億-24.38%-5.5億---5.28億-30.18%-5.03億-30.18%-5.03億
資本公積 67.35%9.8億57.11%8.86億53.89%7.79億29.83%6.06億29.83%6.06億28.15%5.86億26.18%5.64億--5.06億973.46%4.67億973.46%4.67億
不影響留存收益的損益 32.99%26.2萬606.90%20.5萬--23.5萬--19.9萬--19.9萬--19.7萬--2.9萬------0--0
股東權益總額 1,041.40%2.96億477.33%2.24億6,427.25%1.55億177.04%2,816.8萬177.04%2,816.8萬280.37%2,593.2萬733.10%3,878.9萬--238.2萬89.35%-3,656.5萬89.35%-3,656.5萬
總權益 1,041.40%2.96億477.33%2.24億6,427.25%1.55億177.04%2,816.8萬177.04%2,816.8萬280.37%2,593.2萬733.10%3,878.9萬--238.2萬89.35%-3,656.5萬89.35%-3,656.5萬
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