tradingkey.logo
搜尋

Backblaze Inc

BLZE
添加自選
13.720USD
+1.090+8.63%
收盤 07-31 16:00美東報價延遲15分鐘
823.20M總市值
虧損本益比TTM

BLZE 資產負債表

您可以在這裡訪問Backblaze Inc的年度或季度資產負債表,以評估Backblaze Inc的財務健康狀況,進行基本面分析,並計算重要的比率,例如流動性、槓桿和股東權益報酬率。
單季報
單季報+年報
單季報
年報
YOY
隱藏空白列
FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
流動資產
現金及現金等價物和短期投資
-14.56%45.48M
-6.44%51.38M
140.75%50.27M
113.74%50.54M
89.03%53.23M
87.42%54.91M
-29.81%20.88M
-35.78%23.65M
-43.17%28.16M
-55.21%29.30M
-61.59%29.75M
-58.20%36.82M
-50.01%49.55M
-37.60%65.42M
1553.27%77.44M
6643.95%88.08M
--99.13M
--104.84M
--4.68M
--1.31M
—現金和現金等價物
-35.29%26.28M
-36.25%29.18M
885.66%29.08M
247.10%32.19M
542.60%40.61M
266.15%45.78M
-67.28%2.95M
57.54%9.27M
56.14%6.32M
86.88%12.50M
-63.66%9.02M
-18.67%5.89M
-79.02%4.05M
-93.62%6.69M
429.74%24.81M
454.13%7.24M
--19.29M
--104.84M
--4.68M
--1.31M
-短期投資
52.12%19.21M
142.90%22.20M
18.20%21.20M
27.70%18.35M
-42.19%12.63M
-45.60%9.14M
-13.51%17.93M
-53.54%14.37M
-52.01%21.84M
-71.40%16.80M
-60.61%20.73M
-61.74%30.93M
-43.00%45.51M
--58.73M
--52.63M
--80.84M
--79.84M
----
----
----
應收款項
62.94%8.26M
19.63%7.23M
-0.49%6.86M
18.94%6.84M
-4.77%5.07M
35.74%6.04M
43.49%6.90M
82.11%5.75M
83.02%5.32M
41.89%4.45M
77.41%4.81M
43.61%3.16M
55.40%2.91M
72.55%3.14M
56.32%2.71M
42.98%2.20M
--1.87M
--1.82M
--1.73M
--1.54M
-應收賬款及應收票據
140.73%4.26M
90.17%3.48M
21.72%3.36M
78.61%3.24M
9.19%1.77M
128.88%1.83M
38.72%2.76M
119.61%1.81M
105.45%1.62M
-6.54%800.00K
176.53%1.99M
111.25%826.00K
227.39%789.00K
177.02%856.00K
526.09%720.00K
262.04%391.00K
--241.00K
--309.00K
--115.00K
--108.00K
-其他應收款
21.21%4.00M
-11.04%3.75M
-15.34%3.50M
-8.56%3.60M
-10.88%3.30M
15.34%4.21M
46.86%4.13M
68.83%3.94M
74.67%3.70M
60.06%3.65M
41.53%2.81M
28.98%2.33M
29.98%2.12M
51.16%2.28M
22.93%1.99M
26.43%1.81M
--1.63M
--1.51M
--1.62M
--1.43M
預付費用
-43.21%5.69M
28.80%4.20M
62.72%4.18M
1.91%3.26M
169.48%10.01M
-1.72%3.26M
-5.79%2.57M
-2.29%3.20M
-11.31%3.72M
-24.53%3.31M
4.12%2.73M
4.34%3.27M
23.24%4.19M
40.15%4.39M
122.03%2.62M
162.65%3.14M
--3.40M
--3.13M
--1.18M
--1.19M
其他流動資產
-49.29%3.40M
88.01%2.88M
137.03%3.67M
241.14%3.81M
342.00%6.71M
5.94%1.53M
-79.61%1.55M
-24.31%1.12M
15.25%1.52M
0.00%1.45M
330.90%7.60M
23.70%1.48M
49.43%1.32M
12.42%1.45M
46.27%1.76M
53.27%1.19M
--882.00K
--1.29M
--1.21M
--779.00K
流動資產合計
-3.35%62.84M
-0.09%65.69M
103.75%64.99M
91.19%64.45M
67.92%65.02M
70.71%65.75M
-28.93%31.90M
-24.63%33.71M
-33.21%38.72M
-48.23%38.51M
-46.90%44.88M
-52.72%44.73M
-44.94%57.97M
-33.02%74.40M
860.26%84.53M
1863.98%94.61M
--105.29M
--111.08M
--8.80M
--4.82M
非流動資產
固定資產淨額
36.42%82.71M
36.04%80.02M
40.91%80.68M
51.63%75.81M
16.47%60.63M
5.83%58.82M
-4.65%57.26M
-12.67%50.00M
-8.08%52.05M
-1.20%55.58M
10.06%60.05M
7.24%57.25M
17.12%56.63M
30.62%56.26M
35.08%54.57M
43.71%53.39M
--48.35M
--43.07M
--40.40M
--37.15M
-固定資產
20.79%194.20M
21.06%187.80M
23.92%185.72M
29.12%178.31M
17.57%160.77M
14.96%155.13M
11.78%149.87M
8.62%138.09M
12.16%136.75M
15.60%134.94M
21.35%134.07M
21.45%127.13M
27.29%121.92M
35.50%116.73M
38.99%110.49M
43.29%104.67M
--95.79M
--86.15M
--79.50M
--73.05M
-累計折舊
11.33%111.49M
11.91%107.77M
13.41%105.03M
16.35%102.50M
18.25%100.14M
21.35%96.31M
25.12%92.61M
26.07%88.09M
29.72%84.69M
31.23%79.36M
32.36%74.02M
36.24%69.87M
37.65%65.29M
40.38%60.48M
43.02%55.92M
42.86%51.29M
--47.43M
--43.08M
--39.10M
--35.90M
商譽及其他無形資產
-3.07%40.86M
-2.33%40.83M
1.03%41.46M
10.04%42.18M
18.85%42.15M
28.54%41.80M
41.79%41.04M
58.02%38.34M
73.65%35.47M
94.69%32.52M
112.07%28.94M
129.95%24.26M
135.06%20.42M
118.72%16.70M
76.81%13.65M
52.52%10.55M
--8.69M
--7.64M
--7.72M
--6.92M
其他非流動資產
164.46%6.26M
141.88%5.29M
-27.33%4.40M
-37.21%3.60M
-58.03%2.37M
-56.88%2.19M
596.89%6.05M
-31.10%5.73M
-28.51%5.64M
-0.53%5.07M
-79.16%868.00K
329.99%8.32M
321.57%7.90M
184.23%5.10M
19.71%4.17M
-36.94%1.93M
--1.87M
--1.79M
--3.48M
--3.07M
非流動資產合計
23.47%129.83M
22.69%126.14M
21.27%126.54M
29.27%121.59M
12.86%105.15M
10.34%102.81M
16.11%104.35M
4.71%94.06M
9.67%93.17M
19.36%93.17M
24.16%89.87M
36.37%89.83M
44.19%84.95M
48.69%78.06M
40.29%72.38M
39.75%65.87M
--58.92M
--52.50M
--51.59M
--47.13M
總資產
13.22%192.67M
13.80%191.83M
40.58%191.53M
45.60%186.04M
29.02%170.16M
28.00%168.56M
1.11%136.24M
-5.04%127.78M
-7.72%131.89M
-13.62%131.69M
-14.13%134.75M
-16.15%134.56M
-12.96%142.93M
-6.80%152.46M
159.80%156.91M
208.89%160.48M
--164.20M
--163.58M
--60.40M
--51.95M
負債
流動負債
-其他應付款
--0.00
-36.69%559.00K
-100.00%0.00
----
----
-35.97%883.00K
6.02%828.00K
104.80%1.07M
2.93%1.37M
-29.86%1.38M
174.04%781.00K
63.32%521.00K
69.25%1.33M
232.66%1.97M
-20.39%285.00K
-10.14%319.00K
--787.00K
--591.00K
--358.00K
--355.00K
應計費用
12.48%9.23M
40.37%9.41M
40.82%8.71M
91.44%9.16M
63.99%8.20M
-5.37%6.70M
-17.13%6.19M
-9.41%4.79M
-11.97%5.00M
-4.98%7.08M
-2.51%7.47M
-25.21%5.28M
-31.61%5.68M
6.02%7.45M
27.52%7.66M
32.15%7.07M
--8.31M
--7.03M
--6.01M
--5.35M
短期借款與租賃負債
-7.23%15.18M
-8.91%14.87M
-7.94%15.21M
-10.03%15.25M
-5.69%16.36M
-11.71%16.33M
-34.33%16.52M
-6.76%16.95M
-0.54%17.35M
-0.21%18.49M
33.83%25.16M
3.04%18.18M
15.48%17.45M
35.81%18.53M
57.08%18.80M
20.93%17.64M
--15.11M
--13.64M
--11.97M
--14.59M
-短期借款
----
----
----
----
----
----
----
----
----
----
--6.08M
----
----
----
----
----
----
----
----
--3.50M
-短期租賃負債
-7.23%15.18M
-8.91%14.87M
-7.94%15.21M
-10.03%15.25M
-5.69%16.36M
-11.71%16.33M
-13.40%16.52M
-6.76%16.95M
-0.54%17.35M
-0.21%18.49M
1.49%19.08M
3.04%18.18M
15.48%17.45M
35.81%18.53M
57.08%18.80M
59.10%17.64M
--15.11M
--13.64M
--11.97M
--11.09M
遞延負債
-1.14%31.00M
0.30%30.50M
0.82%30.39M
3.71%30.53M
9.32%31.36M
17.06%30.41M
27.77%30.14M
26.72%29.44M
20.56%28.68M
13.37%25.98M
3.89%23.59M
3.71%23.23M
5.41%23.79M
5.48%22.91M
7.47%22.70M
21.83%22.40M
--22.57M
--21.72M
--21.13M
--18.38M
其他流動負債
-1.14%31.00M
-2.53%30.50M
-1.88%30.39M
0.08%30.53M
4.33%31.36M
14.38%31.29M
27.07%30.97M
28.44%30.50M
19.62%30.05M
9.96%27.36M
6.00%24.37M
4.55%23.75M
7.56%25.13M
11.50%24.88M
7.00%22.99M
21.23%22.72M
--23.36M
--22.31M
--21.48M
--18.74M
流動負債總額
0.78%59.94M
3.03%61.62M
0.14%59.28M
8.82%59.91M
6.86%59.48M
4.76%59.80M
-2.91%59.20M
7.87%55.06M
4.29%55.66M
1.44%57.09M
12.46%60.98M
-1.86%51.04M
4.12%53.37M
24.88%56.27M
32.70%54.22M
27.98%52.01M
--51.25M
--45.06M
--40.86M
--40.64M
非流動負債
長期借款與租賃負債
60.76%19.02M
57.01%20.17M
38.41%23.70M
81.17%22.20M
-6.39%11.83M
4.60%12.84M
101.03%17.12M
0.50%12.25M
4.82%12.64M
31.49%12.28M
57.59%8.52M
315.22%12.19M
280.88%12.05M
--9.34M
-47.82%5.41M
--2.94M
--3.17M
--0.00
--10.36M
--0.00
-長期借款
----
----
-47.59%2.45M
----
----
-100.00%0.00
--4.68M
-40.23%4.68M
-35.87%4.68M
-4.13%4.13M
-100.00%0.00
--7.83M
--7.30M
--4.31M
-75.45%2.54M
--0.00
--0.00
--0.00
--10.36M
--0.00
-長期租賃負債
60.76%19.02M
57.01%20.17M
70.78%21.25M
193.22%22.20M
48.72%11.83M
57.58%12.84M
46.07%12.44M
73.70%7.57M
67.31%7.95M
61.98%8.15M
197.62%8.52M
48.43%4.36M
50.21%4.75M
--5.03M
--2.86M
--2.94M
--3.17M
----
----
----
遞延負債
8.95%5.44M
7.42%5.53M
4.91%5.47M
11.01%5.11M
10.04%5.00M
26.37%5.15M
43.41%5.21M
80.45%4.61M
68.96%4.54M
55.99%4.07M
30.50%3.63M
-14.22%2.55M
-15.90%2.69M
-16.63%2.61M
-17.32%2.78M
59.43%2.98M
--3.19M
--3.13M
--3.37M
--1.87M
其他非流動負債
8.95%5.44M
7.42%5.53M
4.91%5.47M
11.01%5.11M
10.04%5.00M
26.37%5.15M
43.41%5.21M
80.45%4.61M
68.96%4.54M
55.99%4.07M
30.50%3.63M
-14.22%2.55M
-16.89%2.69M
-23.88%2.61M
-31.51%2.78M
15.89%2.98M
--3.23M
--3.43M
--4.07M
--2.57M
非流動負債總額
46.06%48.09M
50.92%46.99M
44.44%49.42M
68.32%46.49M
14.41%32.92M
4.96%31.13M
29.52%34.22M
-5.82%27.62M
-0.74%28.77M
8.11%29.66M
0.94%26.42M
15.10%29.33M
14.21%28.99M
19.12%27.44M
-17.35%26.17M
33.77%25.48M
--25.38M
--23.03M
--31.66M
--19.05M
總負債
16.91%108.02M
19.43%108.61M
16.37%108.70M
28.70%106.40M
9.43%92.40M
4.83%90.94M
6.89%93.41M
2.87%82.68M
2.52%84.43M
3.63%86.75M
8.71%87.39M
3.72%80.37M
7.46%82.36M
22.93%83.71M
10.85%80.39M
29.82%77.49M
--76.64M
--68.09M
--72.52M
--59.69M
所有者權益
普通股權益
11.34%315.18M
12.13%306.80M
33.75%300.20M
36.50%292.05M
37.44%283.08M
42.21%273.61M
22.91%224.44M
23.40%213.95M
24.51%205.96M
22.94%192.39M
21.92%182.60M
20.88%173.38M
21.24%165.42M
18.71%156.49M
1166.13%149.77M
1302.91%143.43M
--136.44M
--131.83M
--11.83M
--10.22M
優先股權益
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--2.78M
--2.78M
留存收益
-10.93%-227.74M
-13.07%-221.60M
-19.04%-216.18M
-25.79%-212.41M
-29.53%-205.31M
-32.91%-195.99M
-34.28%-181.61M
-41.67%-168.85M
-51.17%-158.51M
-68.06%-147.45M
-84.64%-135.25M
-97.18%-119.19M
-114.54%-104.85M
-141.42%-87.74M
-173.95%-73.25M
-191.39%-60.45M
---48.87M
---36.34M
---26.74M
---20.75M
資本公積
11.34%315.17M
12.13%306.80M
33.75%300.19M
36.50%292.04M
37.44%283.07M
42.21%273.60M
22.91%224.44M
23.40%213.95M
24.51%205.96M
22.94%192.39M
21.92%182.60M
20.87%173.37M
21.24%165.42M
18.71%156.49M
1166.64%149.77M
1303.57%143.43M
--136.44M
--131.83M
--11.82M
--10.22M
減:庫存股
--2.79M
--1.98M
--1.19M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
總權益
8.84%84.64M
7.21%83.22M
93.39%82.83M
76.60%79.64M
63.88%77.77M
72.73%77.62M
-9.56%42.83M
-16.77%45.10M
-21.65%47.45M
-34.63%44.94M
-38.11%47.36M
-34.71%54.19M
-30.83%60.57M
-28.00%68.75M
731.11%76.52M
1172.59%82.99M
--87.57M
--95.49M
---12.13M
---7.74M
貨幣單位
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
審計意見
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----

常見問題

分析 BLZE 股票時,哪些資產負債表指標最重要?

重要指標包括現金及短期投資、總資產、流動資產、總負債、流動負債、長期債務、股東權益、保留盈餘、存貨、應收帳款、營運資金、流動比率、速動比率、負債權益比和股東權益報酬率(ROE)。投資者通常會綜合分析這些指標,而不是僅憑某一項數據做出判斷。

資產、負債和股東權益有什麼區別?

資產是公司擁有或控制的資源,例如現金、應收帳款、存貨、投資和不動產。負債是公司需要履行的義務,例如應付帳款、債務、租賃義務和應繳稅款。股東權益則是資產扣除負債後的剩餘價值。

流動項目和非流動項目有什麼區別?

流動資產和流動負債通常預計會在一年內或一個正常營業週期內變現、使用、償付或結算。非流動資產和非流動負債則屬於長期項目,例如不動產、長期投資、遞延所得稅資產、長期債務和租賃義務。

Backblaze Inc 持有多少現金?

根據最近一個季度的財報,Backblaze Inc 持有 26.28M 的現金及現金等價物。

Backblaze Inc 的總負債是多少?

截至最近一個已披露季度,Backblaze Inc 的總負債為 108.61M,其中包括 61.62M 的流動負債和 46.99M 的非流動負債。

Backblaze Inc 的總資產是多少?

截至最近一個已披露季度,Backblaze Inc 的總資產為 191.83M,其中包括 65.69M 的流動資產和 126.14M 的非流動資產。

Backblaze Inc 的股東權益是多少?

截至最近一個已披露季度,Backblaze Inc 的股東權益總額為 83.22M。
tradingkey.logo
風險提示:我們的網站和行動應用程式僅提供關於某些投資產品的一般資訊。Finsights 不提供財務建議或對任何投資產品的推薦,且提供此類資訊不應被解釋為 Finsights 提供財務建議或推薦。
投資產品存在重大投資風險,包括可能損失投資的本金,且可能並不適合所有人。投資產品的過去表現並不代表其未來表現。
Finsights 可能允許第三方廣告商或關聯公司在我們的網站或行動應用程式的任何部分放置或投放廣告,並可能根據您與廣告的互動情況獲得報酬。
© 版權所有: FINSIGHTS MEDIA PTE. LTD. 版權所有