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UiPath Inc

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12.590USD
+0.400+3.28%
收盘 07-29 16:00美东报价延迟15分钟
6.73B总市值
24.00市盈率 TTM

PATH 资产负债表

您可以在这里访问UiPath Inc的年度或季度资产负债表,以评估UiPath Inc的财务健康状况,进行基本面分析,并计算重要的比率,例如流动性、杠杆和股东权益回报率。
单季报
单季报+年报
单季报
年报
YOY
隐藏空白行
FY2027Q1
FY2026Q4
FY2026Q3
FY2026Q2
FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
流动资产
现金及现金等价物和短期投资
-15.93%1.31B
-9.64%1.47B
-10.89%1.40B
-16.97%1.45B
-19.66%1.56B
-13.32%1.63B
-13.66%1.57B
-4.71%1.74B
8.70%1.94B
7.00%1.88B
8.37%1.82B
6.27%1.83B
-0.74%1.78B
-5.80%1.76B
-10.74%1.68B
-9.23%1.72B
-4.55%1.79B
--1.87B
--1.88B
--1.90B
--1.88B
—现金和现金等价物
-9.77%632.20M
-0.91%871.16M
-3.87%743.66M
-33.08%628.62M
-38.89%700.64M
-17.19%879.20M
-22.87%773.63M
-14.13%939.31M
-12.58%1.15B
-24.28%1.06B
-30.88%1.00B
-31.94%1.09B
-21.89%1.31B
-20.73%1.40B
-18.31%1.45B
-11.99%1.61B
-6.52%1.68B
--1.77B
--1.78B
--1.83B
--1.80B
-短期投资
-20.99%675.05M
-19.86%601.33M
-17.71%654.53M
1.84%818.87M
8.30%854.39M
-8.29%750.32M
-2.30%795.41M
9.30%804.06M
68.19%788.92M
130.61%818.14M
260.85%814.10M
544.26%735.67M
308.78%469.07M
267.96%354.77M
121.16%225.60M
62.80%114.19M
37.82%114.75M
--96.42M
--102.01M
--70.14M
--83.26M
应收款项
10.94%410.23M
7.56%580.71M
11.22%496.09M
4.99%387.23M
3.07%369.77M
3.72%539.87M
-2.45%446.06M
20.16%368.81M
18.86%358.77M
17.37%520.49M
15.85%457.25M
1.28%306.93M
13.30%301.84M
31.64%443.48M
46.50%394.69M
52.64%303.06M
50.08%266.41M
--336.89M
--269.42M
--198.54M
--177.51M
-应收账款及应收票据
12.52%300.00M
8.23%488.26M
9.11%366.76M
0.79%269.81M
-1.48%266.62M
3.40%451.13M
-9.90%336.14M
18.28%267.71M
15.99%270.62M
16.59%436.30M
35.21%373.09M
16.98%226.33M
38.00%233.31M
48.51%374.22M
40.48%275.94M
39.25%193.48M
23.84%169.06M
--251.99M
--196.43M
--138.94M
--136.52M
-其他应收款
6.87%110.23M
4.18%92.44M
17.66%129.34M
16.13%117.42M
17.02%103.15M
5.39%88.73M
30.60%109.92M
25.44%101.11M
28.61%88.15M
21.57%84.20M
-26.90%84.16M
-23.89%80.60M
-26.63%68.54M
-15.12%69.26M
64.80%115.14M
86.55%105.90M
138.06%93.41M
--81.59M
--69.87M
--56.77M
--39.24M
预付费用
-3.53%64.30M
-15.31%55.33M
-7.21%54.96M
-3.22%57.45M
-13.10%66.65M
-25.57%65.33M
-9.93%59.23M
-28.06%59.36M
-1.17%76.69M
29.48%87.78M
38.07%65.75M
69.76%82.52M
48.79%77.60M
49.52%67.79M
34.93%47.63M
6.04%48.61M
45.92%52.15M
--45.34M
--35.30M
--45.84M
--35.74M
其他流动资产
15.54%136.59M
30.41%135.42M
41.07%144.11M
34.81%138.57M
20.39%118.22M
12.49%103.84M
14.18%102.16M
21.52%102.78M
1.04%98.20M
21.08%92.31M
122.73%89.47M
139.88%84.58M
199.10%97.18M
154.77%76.24M
66.83%40.17M
94.35%35.26M
19.79%32.49M
--29.93M
--24.08M
--18.14M
--27.12M
流动资产合计
-9.07%1.92B
-4.05%2.24B
-3.82%2.09B
-10.71%2.03B
-14.56%2.11B
-9.37%2.34B
-10.42%2.18B
-1.27%2.27B
9.39%2.47B
10.07%2.58B
12.52%2.43B
9.25%2.30B
5.23%2.26B
2.95%2.34B
-2.17%2.16B
-2.34%2.11B
1.18%2.15B
--2.28B
--2.21B
--2.16B
--2.12B
非流动资产
固定资产净额
3.46%112.00M
11.33%110.49M
15.88%109.77M
15.15%107.17M
30.13%108.26M
23.97%99.24M
24.29%94.73M
20.05%93.07M
5.07%83.20M
-1.29%80.05M
-3.17%76.22M
11.40%77.53M
18.77%79.19M
22.63%81.10M
20.93%78.71M
124.27%69.59M
110.72%66.67M
--66.13M
--65.08M
--31.03M
--31.64M
-固定资产
6.49%160.82M
12.58%156.37M
14.81%153.87M
14.95%150.10M
27.41%151.01M
22.46%138.90M
20.71%134.01M
17.91%130.57M
8.06%118.53M
4.03%113.43M
7.07%111.02M
18.73%110.74M
23.43%109.69M
23.62%109.03M
20.48%103.69M
79.33%93.28M
73.58%88.87M
--88.20M
--86.06M
--52.01M
--51.20M
-累计折旧
14.18%48.81M
15.70%45.89M
12.25%44.09M
14.47%42.93M
21.00%42.75M
18.84%39.66M
12.87%39.28M
12.89%37.50M
15.81%35.33M
19.48%33.37M
39.33%34.80M
40.25%33.22M
37.41%30.51M
26.57%27.93M
19.07%24.98M
12.88%23.68M
13.51%22.20M
--22.07M
--20.98M
--20.98M
--19.56M
商誉及其他无形资产
96.54%285.81M
52.61%145.30M
43.36%142.21M
41.62%142.40M
44.04%145.43M
-8.21%95.21M
-4.39%99.19M
-8.00%100.56M
-8.53%100.96M
-12.48%103.73M
-10.04%103.75M
-9.77%109.30M
57.67%110.37M
61.29%118.52M
49.16%115.34M
56.79%121.14M
-14.95%70.00M
--73.48M
--77.32M
--77.26M
--82.30M
其他非流动资产
109.00%449.79M
105.82%432.83M
80.26%397.25M
4.41%207.50M
19.10%215.21M
14.08%210.30M
28.60%220.37M
13.76%198.74M
-1.37%180.70M
1.45%184.35M
17.39%171.36M
37.18%174.70M
40.72%183.21M
36.34%181.72M
40.73%145.98M
63.35%127.36M
104.74%130.20M
--133.29M
--103.73M
--77.96M
--63.59M
非流动资产合计
84.44%986.34M
77.57%935.25M
64.88%802.63M
31.52%561.58M
42.31%534.77M
40.70%526.71M
36.21%486.81M
16.49%427.00M
-2.50%375.78M
-4.21%374.35M
1.41%357.40M
12.37%366.54M
37.79%385.41M
32.41%390.80M
35.31%352.44M
72.79%326.20M
49.84%279.70M
--295.15M
--260.47M
--188.79M
--186.67M
总资产
9.84%2.90B
10.96%3.18B
8.74%2.90B
-4.04%2.59B
-7.05%2.64B
-3.03%2.87B
-4.44%2.66B
1.17%2.70B
7.65%2.84B
8.03%2.95B
10.96%2.79B
9.67%2.67B
8.99%2.64B
6.33%2.74B
1.78%2.51B
3.70%2.43B
5.12%2.42B
--2.57B
--2.47B
--2.35B
--2.31B
负债
流动负债
-其他应付款
66.76%89.86M
77.06%72.70M
104.02%58.48M
237.73%72.05M
100.05%53.88M
22.73%41.06M
-29.70%28.66M
-2.67%21.34M
90.71%26.94M
69.00%33.46M
210.19%40.77M
28.61%21.92M
29.51%14.12M
-3.50%19.80M
-62.78%13.14M
-42.65%17.05M
-28.18%10.91M
--20.52M
--35.32M
--29.72M
--15.19M
应计费用
8.64%108.51M
22.16%175.62M
7.53%150.05M
-0.69%122.60M
30.00%99.88M
-12.02%143.76M
-0.46%139.54M
40.94%123.45M
2.52%76.83M
-5.55%163.41M
3.84%140.19M
-26.04%87.59M
-25.13%74.94M
5.66%173.00M
-5.98%135.01M
27.46%118.43M
36.14%100.10M
--163.73M
--143.59M
--92.91M
--73.52M
短期借款与租赁负债
14.81%3.10M
15.38%3.00M
3.57%2.90M
3.57%2.90M
-3.57%2.70M
0.00%2.60M
-12.50%2.80M
-22.22%2.80M
-50.00%2.80M
-39.53%2.60M
-39.62%3.20M
-33.33%3.60M
7.69%5.60M
-18.87%4.30M
--5.30M
--5.40M
--5.20M
--5.30M
--0.00
--0.00
--0.00
-短期借款
14.81%3.10M
15.38%3.00M
3.57%2.90M
3.57%2.90M
-3.57%2.70M
0.00%2.60M
-12.50%2.80M
-22.22%2.80M
-50.00%2.80M
-39.53%2.60M
-39.62%3.20M
-33.33%3.60M
7.69%5.60M
-18.87%4.30M
--5.30M
--5.40M
--5.20M
--5.30M
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递延负债
7.76%572.07M
6.02%603.74M
8.02%534.00M
9.61%506.95M
14.11%530.86M
16.98%569.46M
21.81%494.37M
20.44%462.51M
20.56%465.22M
22.21%486.81M
40.71%405.84M
31.37%384.01M
36.71%385.89M
33.96%398.33M
13.94%288.41M
24.14%292.32M
27.09%282.26M
--297.36M
--253.12M
--235.48M
--222.09M
其他流动负债
13.20%661.93M
10.80%676.44M
13.28%592.48M
19.67%579.00M
18.81%584.74M
17.35%610.52M
17.11%523.03M
19.19%483.84M
23.03%492.15M
24.43%520.26M
48.10%446.61M
31.21%405.94M
36.45%400.02M
31.54%418.13M
4.55%301.56M
16.65%309.37M
23.56%293.17M
--317.87M
--288.44M
--265.20M
--237.28M
流动负债总额
16.18%831.67M
13.33%905.42M
13.40%788.70M
16.75%738.42M
19.80%715.87M
12.26%798.92M
10.80%695.47M
22.07%632.50M
18.70%597.54M
13.61%711.69M
31.69%627.68M
12.62%518.14M
14.87%503.39M
18.76%626.45M
2.00%476.64M
22.84%460.07M
33.37%438.24M
--527.50M
--467.29M
--374.54M
--328.59M
非流动负债
长期借款与租赁负债
-1.96%71.99M
-4.43%70.94M
-6.23%72.02M
-7.09%72.62M
16.98%73.43M
26.43%74.23M
33.13%76.80M
37.86%78.17M
10.98%62.77M
4.02%58.71M
4.72%57.69M
21.24%56.70M
22.05%56.56M
13.24%56.44M
7.66%55.09M
279.34%46.77M
257.39%46.35M
--49.84M
--51.16M
--12.33M
--12.97M
-长期借款
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--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-长期租赁负债
-1.96%71.99M
-4.43%70.94M
-6.23%72.02M
-7.09%72.62M
16.98%73.43M
26.43%74.23M
33.13%76.80M
37.86%78.17M
10.98%62.77M
4.02%58.71M
4.72%57.69M
21.24%56.70M
22.05%56.56M
13.24%56.44M
7.66%55.09M
279.34%46.77M
257.39%46.35M
--49.84M
--51.16M
--12.33M
--12.97M
递延负债
-38.96%86.17M
-23.76%103.57M
-33.61%99.16M
-30.62%104.31M
-6.47%141.17M
-15.64%135.84M
12.64%149.36M
44.87%150.35M
33.31%150.93M
32.32%161.03M
23.20%132.60M
55.83%103.78M
99.22%113.22M
77.23%121.70M
82.83%107.63M
22.28%66.60M
2.91%56.83M
--68.67M
--58.87M
--54.47M
--55.22M
其他非流动负债
-37.40%98.08M
-17.84%120.25M
-30.49%110.64M
-26.42%115.57M
-0.62%156.68M
-13.01%146.36M
13.31%159.18M
40.34%157.08M
23.96%157.66M
27.31%168.24M
16.93%140.47M
42.97%111.93M
112.21%127.19M
80.57%132.15M
82.49%120.13M
26.16%78.29M
-8.45%59.94M
--73.19M
--65.83M
--62.06M
--65.47M
非流动负债总额
-26.09%170.07M
-13.33%191.19M
-22.59%182.66M
-20.00%188.20M
4.39%230.11M
-2.80%220.59M
19.08%235.97M
39.50%235.25M
19.96%220.44M
20.34%226.95M
13.09%198.16M
34.85%168.63M
72.89%183.76M
53.29%188.60M
49.77%175.22M
68.12%125.06M
35.50%106.28M
--123.03M
--116.99M
--74.38M
--78.44M
总负债
5.89%1.00B
7.56%1.10B
4.29%971.36M
6.78%926.61M
15.65%945.98M
8.61%1.02B
12.79%931.45M
26.35%867.75M
19.04%817.97M
15.16%938.64M
26.69%825.85M
17.37%686.77M
26.19%687.15M
25.29%815.05M
11.57%651.86M
30.34%585.13M
33.78%544.53M
--650.53M
--584.28M
--448.93M
--407.03M
所有者权益
普通股权益
5.10%4.63B
5.82%4.59B
6.63%4.53B
7.14%4.47B
7.67%4.40B
7.68%4.33B
7.35%4.25B
7.41%4.18B
7.58%4.09B
7.69%4.02B
8.48%3.96B
8.70%3.89B
8.98%3.80B
9.68%3.74B
10.18%3.65B
11.32%3.58B
11.88%3.49B
--3.41B
--3.31B
--3.21B
--3.12B
留存收益
16.29%-1.68B
14.20%-1.71B
11.26%-1.81B
0.99%-2.01B
-3.47%-2.01B
-3.85%-1.99B
-4.70%-2.04B
-5.87%-2.03B
-4.67%-1.94B
-4.93%-1.91B
-8.43%-1.95B
-10.22%-1.92B
-14.69%-1.86B
-21.95%-1.82B
-25.39%-1.80B
-32.73%-1.74B
-33.76%-1.62B
---1.50B
---1.43B
---1.31B
---1.21B
资本公积
5.10%4.63B
5.82%4.59B
6.63%4.53B
7.14%4.47B
7.67%4.40B
7.68%4.33B
7.35%4.25B
7.41%4.18B
7.58%4.09B
7.69%4.02B
8.48%3.96B
8.70%3.89B
8.98%3.80B
9.68%3.74B
10.18%3.65B
11.32%3.58B
11.88%3.49B
--3.41B
--3.31B
--3.21B
--3.12B
减:库存股
47.69%1.07B
68.54%833.90M
69.27%824.33M
156.12%824.84M
481.15%724.22M
382.17%494.78M
824.97%486.99M
--322.05M
--124.62M
--102.61M
--52.65M
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不影响留存收益的损益
-7.28%27.37M
848.49%36.60M
210.29%27.69M
205.33%24.75M
522.85%29.52M
-155.41%-4.89M
182.58%8.92M
-29.56%8.11M
-52.95%4.74M
15.94%8.82M
-54.58%3.16M
3.19%11.51M
-3.51%10.07M
-30.16%7.61M
81.49%6.95M
342.50%11.15M
225.89%10.44M
--10.90M
--3.83M
---4.60M
---8.29M
总权益
12.04%1.90B
12.83%2.08B
11.13%1.92B
-9.16%1.67B
-16.21%1.70B
-8.45%1.85B
-11.70%1.73B
-7.55%1.83B
3.65%2.03B
5.00%2.02B
5.45%1.96B
7.24%1.98B
4.01%1.96B
-0.09%1.92B
-1.25%1.86B
-2.60%1.85B
-1.02%1.88B
--1.92B
--1.88B
--1.90B
--1.90B
货币单位
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
审计意见
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常见问题

分析 PATH 股票时,哪些资产负债表指标最重要?

重要指标包括现金及短期投资、总资产、流动资产、总负债、流动负债、长期债务、股东权益、留存收益、存货、应收账款、营运资金、流动比率、速动比率、负债权益比率和净资产收益率。投资者通常会综合分析这些指标,而不是仅凭某一项数据作出判断。

资产、负债和股东权益有什么区别?

资产是公司拥有或控制的资源,例如现金、应收账款、存货、投资和不动产。负债是公司需要履行的义务,例如应付账款、债务、租赁义务和应缴税款。股东权益则是资产扣除负债后的剩余价值。

流动项目和非流动项目有什么区别?

流动资产和流动负债通常预计会在一年内或一个正常营业周期内变现、使用、偿付或结算。非流动资产和非流动负债则属于长期项目,例如不动产、长期投资、递延所得税资产、长期债务和租赁义务。

UiPath Inc 持有多少现金?

根据最近一个季度的财报,UiPath Inc 持有 632.20M 的现金及现金等价物。

UiPath Inc 的总负债是多少?

截至最近一个已披露季度,UiPath Inc 的总负债为 1.02B,其中包括 798.92M 的流动负债和 220.59M 的非流动负债。

UiPath Inc 的总资产是多少?

截至最近一个已披露季度,UiPath Inc 的总资产为3.18B,其中包括 2.24B 的流动资产和 935.25M 的非流动资产。

UiPath Inc 的股东权益是多少?

截至最近一个已披露季度,UiPath Inc 的股东权益总额为 2.08B。
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