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EZGO Technologies Ltd

EZGO

0.343USD

-0.167-32.80%
Horarios del mercado ETCotizaciones retrasadas 15 min
1.94MCap. mercado
--P/E TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2025H1
FY2024H2
FY2024H1
FY2023H2
FY2023H1
FY2022H2
FY2022H1
FY2021H2
FY2021H1
FY2020H2
FY2020H1
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
-82.72%372.56K
-71.96%5.03M
-28.31%2.16M
252.23%17.94M
3.73%3.01M
-28.89%5.09M
-69.03%2.90M
182.86%7.16M
2006.31%9.36M
--2.53M
--444.58K
Efectivo y equivalentes de efectivo
-43.25%372.56K
-79.88%3.47M
-71.21%656.47K
293.01%17.25M
8.00%2.28M
-8.05%4.39M
-70.16%2.11M
1380.02%4.77M
1491.35%7.07M
--322.60K
--444.58K
-Inversiones a corto plazo
-100.00%0.00
127.21%1.56M
106.03%1.50M
-2.50%685.31K
-7.69%728.06K
-70.55%702.89K
-65.55%788.73K
8.05%2.39M
--2.29M
--2.21M
----
Por cobrar
-49.06%9.20M
26.46%17.56M
11.58%18.06M
-18.13%13.89M
20.52%16.19M
63.52%16.96M
70.85%13.43M
12.74%10.37M
46.37%7.86M
--9.20M
--5.37M
-Cuentas y pagarés por cobrar
56.39%6.66M
119.88%8.31M
-23.89%4.26M
-49.88%3.78M
-7.51%5.60M
10.14%7.54M
36.19%6.05M
3.71%6.85M
17.42%4.44M
--6.60M
--3.78M
-Préstamos por cobrar
203.64%169.52K
29.96%14.25K
-10.83%55.83K
--10.96K
--62.61K
----
----
----
--0.00
--1.66M
--0.00
-Otros por cobrar
-81.60%2.37M
-7.30%8.53M
65.75%12.87M
-2.28%9.20M
5.23%7.77M
167.22%9.42M
115.92%7.38M
277.59%3.52M
115.38%3.42M
--933.45K
--1.59M
Inventario
13.68%4.79M
-36.70%524.66K
1.06%4.22M
117.58%828.88K
26.66%4.17M
-58.79%380.95K
15.66%3.30M
6.52%924.34K
5.38%2.85M
--867.75K
--2.70M
Gastos prepago
-57.23%11.82M
30.85%17.21M
66.82%27.63M
23.66%13.15M
51.09%16.56M
33.88%10.64M
24.30%10.96M
125.12%7.94M
175.24%8.82M
--3.53M
--3.20M
Otros activos corrientes
-100.00%0.00
885.21%1.08M
-37.70%145.17K
30.86%109.63K
99.76%233.02K
-92.93%83.77K
-77.51%116.65K
1280.74%1.19M
0.55%518.73K
--85.86K
--515.88K
Total de activos corrientes
-38.09%32.33M
-9.82%41.40M
29.99%52.21M
38.49%45.91M
30.80%40.17M
19.78%33.15M
4.03%30.71M
69.64%27.68M
139.08%29.52M
--16.32M
--12.35M
Activos no corrientes
Activos fijos netos
18.41%8.01M
103.93%7.93M
324.60%6.77M
-5.36%3.89M
-71.37%1.59M
-53.05%4.11M
128.22%5.57M
181.32%8.75M
-8.25%2.44M
--3.11M
--2.66M
-Activos fijos
2.97%8.09M
68.55%8.10M
178.33%7.86M
-10.76%4.81M
-58.26%2.82M
-43.20%5.38M
--6.76M
181.66%9.48M
----
--3.37M
--3.91M
-Depreciación acumulada
-93.00%76.28K
-81.13%173.39K
-11.38%1.09M
-28.13%918.84K
2.87%1.23M
74.22%1.28M
--1.19M
185.81%733.82K
----
--256.75K
--1.26M
Fondo de comercio y otros activos intangibles
-15.31%3.41M
-31.84%3.84M
-50.48%4.03M
--5.63M
--8.14M
----
----
----
----
----
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Gastos prepago a largo plazo
305.91%10.12M
-22.94%9.13M
24.80%2.49M
--11.84M
--2.00M
----
----
----
----
----
----
Otros activos no actuales
189.19%12.67M
-13.59%11.79M
13.47%4.38M
67.58%13.65M
-49.43%3.86M
59.83%8.15M
4967.40%7.64M
5136.40%5.10M
-32.17%150.69K
--97.32K
--222.16K
Total de activos no actuales
52.36%46.29M
22.12%43.96M
9.34%30.38M
150.76%35.99M
102.72%27.78M
0.15%14.35M
373.31%13.71M
309.38%14.33M
-8.47%2.90M
--3.50M
--3.16M
Total de activos
-4.82%78.61M
4.21%85.36M
21.55%82.59M
72.41%81.91M
52.99%67.95M
13.08%47.51M
37.01%44.41M
111.99%42.01M
108.98%32.42M
--19.82M
--15.51M
Pasivos
Pasivos corrientes
-Otros por pagar
-63.86%905.64K
32.14%1.96M
21.39%2.51M
33.50%1.48M
161.66%2.06M
206.09%1.11M
79429.54%788.93K
-56.12%362.90K
-99.56%992.00
--827.10K
--223.56K
Gastos acumulados
-81.17%876.20K
6.23%5.12M
-38.87%4.65M
-34.09%4.82M
3.91%7.61M
6.67%7.31M
25.88%7.33M
85.99%6.85M
188.02%5.82M
--3.68M
--2.02M
Deuda a corto plazo y pasivos por arrendamiento
44.31%5.00M
333.89%7.25M
124.20%3.46M
-40.60%1.67M
-51.05%1.54M
805.80%2.81M
934.51%3.15M
3.70%310.39K
1747.62%304.97K
--299.31K
--16.51K
-Deuda a corto plazo
3.48%3.58M
295.92%6.61M
124.20%3.46M
-40.60%1.67M
-51.05%1.54M
805.80%2.81M
934.51%3.15M
3.70%310.39K
1747.62%304.97K
--299.31K
--16.51K
Otros pasivos corrientes
-69.59%1.01M
-7.56%2.33M
-18.47%3.32M
25.41%2.52M
120.16%4.07M
339.33%2.01M
171.29%1.85M
-53.40%457.80K
143.02%681.59K
--982.47K
--280.47K
Total pasivos corrientes
14.26%14.85M
53.02%16.89M
-13.37%13.00M
-20.97%11.04M
6.17%15.00M
47.42%13.97M
59.56%14.13M
42.00%9.48M
135.11%8.86M
--6.67M
--3.77M
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
-7.47%6.42M
70.64%7.48M
--6.94M
--4.39M
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-Deuda a largo plazo
-7.18%6.41M
70.12%7.46M
--6.91M
--4.39M
----
----
----
----
----
--0.00
--0.00
-Pasivos por arrendamiento a largo plazo
-68.36%10.24K
--23.07K
--32.36K
----
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----
----
----
----
----
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Total pasivos no corrientes
-7.47%6.42M
70.64%7.48M
--6.94M
--4.39M
----
----
----
----
----
--0.00
--0.00
Total pasivos
6.70%21.27M
58.03%24.38M
32.91%19.94M
10.43%15.42M
6.17%15.00M
47.42%13.97M
59.56%14.13M
42.00%9.48M
135.11%8.86M
--6.67M
--3.77M
Capital de los accionistas
Capital ordinario
-0.45%81.90M
0.46%82.28M
29.19%82.26M
101.17%81.90M
97.31%63.68M
26.15%40.71M
45.85%32.27M
167.04%32.27M
83.09%22.13M
--12.09M
--12.09M
Ganancias retenidas
-23.63%-22.86M
-50.46%-21.72M
-48.53%-18.49M
-88.62%-14.44M
-252.18%-12.45M
-543.08%-7.65M
-347.24%-3.53M
-166.55%-1.19M
23.82%1.43M
--1.79M
--1.15M
Reservas de capital
-0.60%81.67M
0.46%82.18M
29.13%82.16M
101.04%81.80M
97.24%63.63M
26.13%40.69M
45.86%32.26M
167.10%32.26M
83.12%22.12M
--12.08M
--12.08M
Pérdidas de ganancias que no afectan a las ganancias retenidas
-9.12%-3.98M
51.15%-1.99M
-216.29%-3.65M
-75.61%-4.07M
-214.17%-1.15M
-489.53%-2.32M
1970.75%1.01M
329.06%594.51K
93.93%-54.04K
---259.55K
---889.61K
Intereses no controladores
-9.66%2.29M
-21.81%2.42M
-11.88%2.54M
6.50%3.09M
-22.39%2.88M
-27.80%2.90M
-17.25%3.71M
-6.02%4.02M
13.70%4.48M
--4.28M
--3.94M
Capital total
-8.48%57.34M
-8.27%60.98M
18.33%62.65M
98.22%66.48M
74.84%52.95M
3.08%33.54M
28.54%30.28M
147.52%32.54M
100.60%23.56M
--13.15M
--11.74M
Unidad monetaria
USD
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Opiniones de evaluación
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