核心财务数据
数据来自 SEC Companyfacts XBRL;不同公司会计口径可能不同,缺失值不做估算。
管理层讨论摘要摘录
原始申报未能可靠定位该章节,请通过下方原文链接阅读。
风险因素摘要摘录
et increase (decrease) in cash, cash equivalents, and restricted cash ( 558 ) ( 12,419 ) 23,598 ( 3,439 ) CASH, CASH EQUIVALENTS, AND RESTRICTED CASH, END OF PERIOD $ 73,332 $ 69,893 $ 73,332 $ 69,893 See accompanying notes to consolidated financial statements. 2,749 Total non-operating income (expense) ( 2,324 ) 3,274 Income before income taxes 12,983 21,679 Provision for income taxes ( 2,467 ) ( 4,553 ) Equity-method investment activity, net of tax ( 85 ) 1 Net income $ 10,431 $ 17,127 Basic earnings per share $ 1. 59 Weighted-average shares used in computation of earnings per share: Basic 10,393 10,603 Diluted 10,670 10,793 See accompanying notes to consolidated financial statements. ; net of tax of $ 0 and $ 809 1 ( 2,454 ) Net change 537 ( 2,417 ) Other, net of tax of $( 1 ) and $ 1 1 2 Total other comprehensive income (loss) ( 558 ) ( 880 ) Comprehensive income $ 9,873 $ 16,247 See accompanying notes to consolidated financial statements.
投资者阅读重点
结合公司详情页的观察指标,重点核对收入增长的来源、毛利率与产品组合、资本开支及现金转换、客户集中度,以及管理层对下一财年的需求和供给判断。章节文本由原始申报自动定位并压缩展示,重要判断应回到原文核验。