美股市场个股详情

MKFG Markforged

添加自选
  • 4.700
  • +0.010+0.21%
收盘价 04/15 16:00 (美东)
  • 4.730
  • +0.030+0.64%
盘后 16:47 (美东)
9751.07万总市值-1.11市盈率TTM

Markforged关键统计数据

季报+年报
显示同比 yoy
隐藏空行 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
资产
流动资产
现金及现金等价物和短期投资
-54.11%5,362.9万
-54.11%5,362.9万
-52.94%5,927.9万
-46.06%7,339万
-28.73%1.08亿
-30.42%1.17亿
-30.42%1.17亿
-30.71%1.26亿
-44.06%1.36亿
-43.74%1.51亿
-现金和现金等价物
-54.11%5,362.9万
-54.11%5,362.9万
-39.61%5,927.9万
-14.32%7,339万
19.02%1.08亿
-5.95%1.17亿
-5.95%1.17亿
-46.00%9,816.6万
-64.78%8,565.8万
-66.31%9,067.4万
-短期投资
----
----
----
----
----
----
----
--2,780万
--5,039万
--6,075.6万
应收款项
-14.61%2,054.5万
-14.61%2,054.5万
-10.76%1,989.9万
-20.26%2,160.5万
-17.70%2,149.3万
-17.87%2,405.9万
-17.87%2,405.9万
-26.01%2,229.8万
1.98%2,709.6万
14.51%2,611.5万
-应收账款
-14.61%2,054.5万
-14.61%2,054.5万
-10.76%1,989.9万
-20.26%2,160.5万
-17.70%2,149.3万
-17.87%2,405.9万
-17.87%2,405.9万
-26.01%2,229.8万
1.98%2,709.6万
14.51%2,611.5万
存货
-16.48%2,236.2万
-16.48%2,236.2万
-24.54%2,167.2万
-23.81%2,255.7万
-18.72%2,379.2万
1.38%2,677.3万
1.38%2,677.3万
16.93%2,872万
53.23%2,960.6万
128.67%2,927.2万
预付费用
-2.43%268.9万
-2.43%268.9万
44.61%314.1万
109.17%205.2万
42.47%332.8万
-3.20%275.6万
-3.20%275.6万
-40.44%217.2万
-26.68%98.1万
-35.75%233.6万
受限制现金
----
----
--1,937.1万
--1,912.2万
----
----
----
----
----
----
其他流动资产
0.35%202.9万
0.35%202.9万
-32.71%221.8万
-41.03%194万
-48.45%173.3万
-39.35%202.2万
-39.35%202.2万
12.95%329.6万
30.71%329万
78.17%336.2万
流动资产合计
-41.29%1.01亿
-41.29%1.01亿
-31.17%1.26亿
-28.60%1.41亿
-25.53%1.58亿
-24.96%1.72亿
-24.96%1.72亿
-24.94%1.82亿
-32.75%1.97亿
-31.51%2.13亿
非流动资产
固定资产净额
-17.55%4,501.6万
-17.55%4,501.6万
-14.34%4,736万
-10.19%5,176.4万
-15.71%5,370.2万
-15.03%5,459.7万
-15.03%5,459.7万
-6.33%5,529万
7.47%5,763.6万
246.61%6,371.3万
-固定资产
-10.99%5,824万
-10.99%5,824万
-8.21%5,958.8万
-4.63%6,376.7万
-9.55%6,492.3万
-8.56%6,543万
-8.56%6,543万
-1.05%6,491.5万
10.20%6,686.5万
187.41%7,177.7万
-累计折旧
-22.07%-1,322.4万
-22.07%-1,322.4万
-27.04%-1,222.8万
-30.06%-1,200.3万
-39.15%-1,122.1万
-48.28%-1,083.3万
-48.28%-1,083.3万
-46.25%-962.5万
-30.93%-922.9万
-22.33%-806.4万
商誉及其他无形资产
15.12%1,971.7万
15.12%1,971.7万
31.80%2,132.8万
-66.72%1,559.6万
-67.25%1,592.4万
-64.86%1,712.8万
-64.86%1,712.8万
-65.29%1,618.2万
600.60%4,687万
--4,861.6万
-商誉
----
----
----
----
----
----
----
--0
575.71%3,023.8万
--3,119万
-其他无形资产
15.12%1,971.7万
15.12%1,971.7万
31.80%2,132.8万
-6.23%1,559.6万
-8.62%1,592.4万
-2.83%1,712.8万
-2.83%1,712.8万
5.24%1,618.2万
650.88%1,663.2万
--1,742.6万
其他非流动资产
-22.16%292.9万
-22.16%292.9万
-15.45%297.6万
12.81%376.8万
22.71%373.4万
20.22%376.3万
20.22%376.3万
11.75%352万
16.86%334万
200.69%304.3万
非流动资产合计
-10.37%6,766.2万
-10.37%6,766.2万
-4.44%7,166.4万
-34.05%7,112.8万
-36.41%7,336万
-34.99%7,548.8万
-34.99%7,548.8万
-31.07%7,499.2万
70.71%1.08亿
494.89%1.15亿
总资产
-31.88%1.69亿
-31.88%1.69亿
-23.38%1.97亿
-30.53%2.12亿
-29.36%2.32亿
-28.33%2.48亿
-28.33%2.48亿
-26.83%2.57亿
-14.40%3.05亿
-0.54%3.28亿
负债
流动负债
应付款项
30.01%1,753.4万
30.01%1,753.4万
143.84%2,860.5万
124.63%2,650.6万
170.51%2,945.6万
-8.98%1,348.7万
-8.98%1,348.7万
5.52%1,173.1万
9.41%1,180万
63.67%1,088.9万
-应付账款
23.45%1,633.8万
23.45%1,633.8万
-11.14%1,031.9万
-24.84%874.9万
12.95%1,187.7万
-8.25%1,323.5万
-8.25%1,323.5万
7.60%1,161.2万
10.68%1,164.1万
58.05%1,051.5万
-应付税费
-22.22%19.6万
-22.22%19.6万
140.34%28.6万
54.72%24.6万
-25.40%27.9万
-35.71%25.2万
-35.71%25.2万
-63.38%11.9万
-40.45%15.9万
--37.4万
-其他应付款
--100万
--100万
--1,800万
--1,751.1万
--1,730万
----
----
----
----
----
应计费用
-2.21%439万
-2.21%439万
45.42%509.4万
139.71%720.8万
16.23%577.1万
6.88%448.9万
6.88%448.9万
-27.07%350.3万
-40.90%300.7万
36.14%496.5万
现行拨备
-17.49%73.1万
-17.49%73.1万
6.36%75.3万
45.14%80.7万
106.40%99.9万
42.90%88.6万
42.90%88.6万
-1.94%70.8万
-29.62%55.6万
-39.88%48.4万
短期借款与租赁负债
-21.67%577.1万
-21.67%577.1万
-24.16%575.8万
-5.81%736.1万
-8.31%731.6万
-8.15%736.8万
-8.15%736.8万
-2.39%759.2万
1.93%781.5万
169.38%797.9万
-短期租赁负债
-21.67%577.1万
-21.67%577.1万
-24.16%575.8万
-5.81%736.1万
-8.31%731.6万
-8.15%736.8万
-8.15%736.8万
-2.39%759.2万
1.93%781.5万
169.38%797.9万
递延负债
3.63%909.8万
3.63%909.8万
-0.95%834.3万
2.74%899.7万
4.74%960.9万
-0.85%877.9万
-0.85%877.9万
24.21%842.3万
51.51%875.7万
44.09%917.4万
其他流动负债
----
----
----
----
--150万
--152.6万
--152.6万
109.52%4.4万
0.00%5.3万
----
流动负债总额
0.20%4,083万
0.20%4,083万
45.69%5,248.1万
48.94%5,389.4万
53.48%6,005.3万
-0.53%4,074.8万
-0.53%4,074.8万
2.19%3,602.3万
7.88%3,618.6万
62.73%3,912.7万
非流动负债
长期借款与租赁负债
-24.87%2,687.3万
-24.87%2,687.3万
-24.96%2,780.9万
-12.41%3,342万
-12.04%3,464.7万
-11.91%3,577.1万
-11.91%3,577.1万
-8.11%3,706万
-8.05%3,815.5万
270.88%3,939.1万
-长期租赁负债
-24.87%2,687.3万
-24.87%2,687.3万
-24.96%2,780.9万
-12.41%3,342万
-12.04%3,464.7万
-11.91%3,577.1万
-11.91%3,577.1万
-8.11%3,706万
-8.05%3,815.5万
270.88%3,939.1万
递延负债
-24.23%460.9万
-24.23%460.9万
-17.63%468.6万
-10.01%518.7万
-6.46%545.7万
13.53%608.3万
13.53%608.3万
25.45%568.9万
41.17%576.4万
53.20%583.4万
其他非流动负债
53.69%574.8万
53.69%574.8万
13.71%912.9万
-66.75%189.7万
-34.78%357万
-42.08%374万
-42.08%374万
-41.33%802.8万
-46.50%570.5万
-85.12%547.4万
非流动负债总额
-8.80%4,158.3万
-8.80%4,158.3万
-7.82%4,680.5万
-18.38%4,050.4万
-13.86%4,367.4万
-13.03%4,559.4万
-13.03%4,559.4万
-13.28%5,077.7万
-11.77%4,962.4万
-0.99%5,069.9万
总负债
-4.55%8,241.3万
-4.55%8,241.3万
14.38%9,928.6万
10.01%9,439.8万
15.48%1.04亿
-7.54%8,634.2万
-7.54%8,634.2万
-7.46%8,680万
-4.43%8,581万
19.37%8,982.6万
所有者权益
股本
10.53%2.1万
10.53%2.1万
0.00%1.9万
0.00%1.9万
0.00%1.9万
0.00%1.9万
0.00%1.9万
0.00%1.9万
0.00%1.9万
0.00%1.9万
-普通股股本
10.53%2.1万
10.53%2.1万
0.00%1.9万
0.00%1.9万
0.00%1.9万
0.00%1.9万
0.00%1.9万
0.00%1.9万
0.00%1.9万
0.00%1.9万
-优先股股本
--0
--0
----
----
----
--0
--0
----
----
----
留存收益
-41.81%-2.9亿
-41.81%-2.9亿
-46.16%-2.78亿
-83.32%-2.55亿
-100.31%-2.41亿
-102.44%-2.05亿
-102.44%-2.05亿
-110.77%-1.9亿
-106.40%-1.39亿
-68.06%-1.2亿
资本公积
3.32%3.78亿
3.32%3.78亿
3.81%3.76亿
4.11%3.73亿
3.52%3.7亿
3.89%3.66亿
3.89%3.66亿
3.59%3.63亿
7.47%3.59亿
9.55%3.57亿
不影响留存收益的损益
-6,511.54%-171.9万
-6,511.54%-171.9万
92.20%-11.8万
-101.19%-101.2万
-190.73%-106.7万
-102.43%-2.6万
-102.43%-2.6万
6.14%-151.3万
---50.3万
--117.6万
股东权益总额
-46.47%8,650.3万
-46.47%8,650.3万
-42.60%9,795.8万
-46.41%1.17亿
-46.27%1.28亿
-36.01%1.62亿
-36.01%1.62亿
-33.88%1.71亿
-17.76%2.19亿
-6.43%2.38亿
总权益
-46.47%8,650.3万
-46.47%8,650.3万
-42.60%9,795.8万
-46.41%1.17亿
-46.27%1.28亿
-36.01%1.62亿
-36.01%1.62亿
-33.88%1.71亿
-17.76%2.19亿
-6.43%2.38亿
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
审计意见
带解释段的无保留意见
--
--
--
--
无保留意见
--
--
--
--
(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
资产
流动资产
现金及现金等价物和短期投资 -54.11%5,362.9万-54.11%5,362.9万-52.94%5,927.9万-46.06%7,339万-28.73%1.08亿-30.42%1.17亿-30.42%1.17亿-30.71%1.26亿-44.06%1.36亿-43.74%1.51亿
-现金和现金等价物 -54.11%5,362.9万-54.11%5,362.9万-39.61%5,927.9万-14.32%7,339万19.02%1.08亿-5.95%1.17亿-5.95%1.17亿-46.00%9,816.6万-64.78%8,565.8万-66.31%9,067.4万
-短期投资 ------------------------------2,780万--5,039万--6,075.6万
应收款项 -14.61%2,054.5万-14.61%2,054.5万-10.76%1,989.9万-20.26%2,160.5万-17.70%2,149.3万-17.87%2,405.9万-17.87%2,405.9万-26.01%2,229.8万1.98%2,709.6万14.51%2,611.5万
-应收账款 -14.61%2,054.5万-14.61%2,054.5万-10.76%1,989.9万-20.26%2,160.5万-17.70%2,149.3万-17.87%2,405.9万-17.87%2,405.9万-26.01%2,229.8万1.98%2,709.6万14.51%2,611.5万
存货 -16.48%2,236.2万-16.48%2,236.2万-24.54%2,167.2万-23.81%2,255.7万-18.72%2,379.2万1.38%2,677.3万1.38%2,677.3万16.93%2,872万53.23%2,960.6万128.67%2,927.2万
预付费用 -2.43%268.9万-2.43%268.9万44.61%314.1万109.17%205.2万42.47%332.8万-3.20%275.6万-3.20%275.6万-40.44%217.2万-26.68%98.1万-35.75%233.6万
受限制现金 ----------1,937.1万--1,912.2万------------------------
其他流动资产 0.35%202.9万0.35%202.9万-32.71%221.8万-41.03%194万-48.45%173.3万-39.35%202.2万-39.35%202.2万12.95%329.6万30.71%329万78.17%336.2万
流动资产合计 -41.29%1.01亿-41.29%1.01亿-31.17%1.26亿-28.60%1.41亿-25.53%1.58亿-24.96%1.72亿-24.96%1.72亿-24.94%1.82亿-32.75%1.97亿-31.51%2.13亿
非流动资产
固定资产净额 -17.55%4,501.6万-17.55%4,501.6万-14.34%4,736万-10.19%5,176.4万-15.71%5,370.2万-15.03%5,459.7万-15.03%5,459.7万-6.33%5,529万7.47%5,763.6万246.61%6,371.3万
-固定资产 -10.99%5,824万-10.99%5,824万-8.21%5,958.8万-4.63%6,376.7万-9.55%6,492.3万-8.56%6,543万-8.56%6,543万-1.05%6,491.5万10.20%6,686.5万187.41%7,177.7万
-累计折旧 -22.07%-1,322.4万-22.07%-1,322.4万-27.04%-1,222.8万-30.06%-1,200.3万-39.15%-1,122.1万-48.28%-1,083.3万-48.28%-1,083.3万-46.25%-962.5万-30.93%-922.9万-22.33%-806.4万
商誉及其他无形资产 15.12%1,971.7万15.12%1,971.7万31.80%2,132.8万-66.72%1,559.6万-67.25%1,592.4万-64.86%1,712.8万-64.86%1,712.8万-65.29%1,618.2万600.60%4,687万--4,861.6万
-商誉 ------------------------------0575.71%3,023.8万--3,119万
-其他无形资产 15.12%1,971.7万15.12%1,971.7万31.80%2,132.8万-6.23%1,559.6万-8.62%1,592.4万-2.83%1,712.8万-2.83%1,712.8万5.24%1,618.2万650.88%1,663.2万--1,742.6万
其他非流动资产 -22.16%292.9万-22.16%292.9万-15.45%297.6万12.81%376.8万22.71%373.4万20.22%376.3万20.22%376.3万11.75%352万16.86%334万200.69%304.3万
非流动资产合计 -10.37%6,766.2万-10.37%6,766.2万-4.44%7,166.4万-34.05%7,112.8万-36.41%7,336万-34.99%7,548.8万-34.99%7,548.8万-31.07%7,499.2万70.71%1.08亿494.89%1.15亿
总资产 -31.88%1.69亿-31.88%1.69亿-23.38%1.97亿-30.53%2.12亿-29.36%2.32亿-28.33%2.48亿-28.33%2.48亿-26.83%2.57亿-14.40%3.05亿-0.54%3.28亿
负债
流动负债
应付款项 30.01%1,753.4万30.01%1,753.4万143.84%2,860.5万124.63%2,650.6万170.51%2,945.6万-8.98%1,348.7万-8.98%1,348.7万5.52%1,173.1万9.41%1,180万63.67%1,088.9万
-应付账款 23.45%1,633.8万23.45%1,633.8万-11.14%1,031.9万-24.84%874.9万12.95%1,187.7万-8.25%1,323.5万-8.25%1,323.5万7.60%1,161.2万10.68%1,164.1万58.05%1,051.5万
-应付税费 -22.22%19.6万-22.22%19.6万140.34%28.6万54.72%24.6万-25.40%27.9万-35.71%25.2万-35.71%25.2万-63.38%11.9万-40.45%15.9万--37.4万
-其他应付款 --100万--100万--1,800万--1,751.1万--1,730万--------------------
应计费用 -2.21%439万-2.21%439万45.42%509.4万139.71%720.8万16.23%577.1万6.88%448.9万6.88%448.9万-27.07%350.3万-40.90%300.7万36.14%496.5万
现行拨备 -17.49%73.1万-17.49%73.1万6.36%75.3万45.14%80.7万106.40%99.9万42.90%88.6万42.90%88.6万-1.94%70.8万-29.62%55.6万-39.88%48.4万
短期借款与租赁负债 -21.67%577.1万-21.67%577.1万-24.16%575.8万-5.81%736.1万-8.31%731.6万-8.15%736.8万-8.15%736.8万-2.39%759.2万1.93%781.5万169.38%797.9万
-短期租赁负债 -21.67%577.1万-21.67%577.1万-24.16%575.8万-5.81%736.1万-8.31%731.6万-8.15%736.8万-8.15%736.8万-2.39%759.2万1.93%781.5万169.38%797.9万
递延负债 3.63%909.8万3.63%909.8万-0.95%834.3万2.74%899.7万4.74%960.9万-0.85%877.9万-0.85%877.9万24.21%842.3万51.51%875.7万44.09%917.4万
其他流动负债 ------------------150万--152.6万--152.6万109.52%4.4万0.00%5.3万----
流动负债总额 0.20%4,083万0.20%4,083万45.69%5,248.1万48.94%5,389.4万53.48%6,005.3万-0.53%4,074.8万-0.53%4,074.8万2.19%3,602.3万7.88%3,618.6万62.73%3,912.7万
非流动负债
长期借款与租赁负债 -24.87%2,687.3万-24.87%2,687.3万-24.96%2,780.9万-12.41%3,342万-12.04%3,464.7万-11.91%3,577.1万-11.91%3,577.1万-8.11%3,706万-8.05%3,815.5万270.88%3,939.1万
-长期租赁负债 -24.87%2,687.3万-24.87%2,687.3万-24.96%2,780.9万-12.41%3,342万-12.04%3,464.7万-11.91%3,577.1万-11.91%3,577.1万-8.11%3,706万-8.05%3,815.5万270.88%3,939.1万
递延负债 -24.23%460.9万-24.23%460.9万-17.63%468.6万-10.01%518.7万-6.46%545.7万13.53%608.3万13.53%608.3万25.45%568.9万41.17%576.4万53.20%583.4万
其他非流动负债 53.69%574.8万53.69%574.8万13.71%912.9万-66.75%189.7万-34.78%357万-42.08%374万-42.08%374万-41.33%802.8万-46.50%570.5万-85.12%547.4万
非流动负债总额 -8.80%4,158.3万-8.80%4,158.3万-7.82%4,680.5万-18.38%4,050.4万-13.86%4,367.4万-13.03%4,559.4万-13.03%4,559.4万-13.28%5,077.7万-11.77%4,962.4万-0.99%5,069.9万
总负债 -4.55%8,241.3万-4.55%8,241.3万14.38%9,928.6万10.01%9,439.8万15.48%1.04亿-7.54%8,634.2万-7.54%8,634.2万-7.46%8,680万-4.43%8,581万19.37%8,982.6万
所有者权益
股本 10.53%2.1万10.53%2.1万0.00%1.9万0.00%1.9万0.00%1.9万0.00%1.9万0.00%1.9万0.00%1.9万0.00%1.9万0.00%1.9万
-普通股股本 10.53%2.1万10.53%2.1万0.00%1.9万0.00%1.9万0.00%1.9万0.00%1.9万0.00%1.9万0.00%1.9万0.00%1.9万0.00%1.9万
-优先股股本 --0--0--------------0--0------------
留存收益 -41.81%-2.9亿-41.81%-2.9亿-46.16%-2.78亿-83.32%-2.55亿-100.31%-2.41亿-102.44%-2.05亿-102.44%-2.05亿-110.77%-1.9亿-106.40%-1.39亿-68.06%-1.2亿
资本公积 3.32%3.78亿3.32%3.78亿3.81%3.76亿4.11%3.73亿3.52%3.7亿3.89%3.66亿3.89%3.66亿3.59%3.63亿7.47%3.59亿9.55%3.57亿
不影响留存收益的损益 -6,511.54%-171.9万-6,511.54%-171.9万92.20%-11.8万-101.19%-101.2万-190.73%-106.7万-102.43%-2.6万-102.43%-2.6万6.14%-151.3万---50.3万--117.6万
股东权益总额 -46.47%8,650.3万-46.47%8,650.3万-42.60%9,795.8万-46.41%1.17亿-46.27%1.28亿-36.01%1.62亿-36.01%1.62亿-33.88%1.71亿-17.76%2.19亿-6.43%2.38亿
总权益 -46.47%8,650.3万-46.47%8,650.3万-42.60%9,795.8万-46.41%1.17亿-46.27%1.28亿-36.01%1.62亿-36.01%1.62亿-33.88%1.71亿-17.76%2.19亿-6.43%2.38亿
货币单位 美元美元美元美元美元美元美元美元美元美元
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 带解释段的无保留意见--------无保留意见--------

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