美股市场个股详情

AGIO Agios Pharmaceuticals

添加自选
  • 46.700
  • +1.870+4.17%
收盘价 11/05 16:00 (美东)
  • 46.810
  • +0.110+0.24%
盘前 05:03 (美东)
26.63亿总市值4.01市盈率TTM

Agios Pharmaceuticals关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(FY)2022/12/31
(Q4)2022/12/31
资产
流动资产
现金及现金等价物和短期投资
55.18%10.05亿
-18.88%5.7亿
-19.10%5.98亿
-0.79%7.77亿
-0.79%7.77亿
-11.02%6.47亿
-14.25%7.03亿
-19.96%7.39亿
-23.22%7.83亿
-23.22%7.83亿
-现金和现金等价物
294.40%2.54亿
-0.28%8,451.8万
14.04%1.19亿
-36.66%8,820.5万
-36.66%8,820.5万
-47.46%6,433.3万
-4.28%8,475.3万
30.13%1.04亿
-31.44%1.39亿
-31.44%1.39亿
-短期投资
28.79%7.51亿
-21.44%4.85亿
-24.54%4.79亿
6.97%6.89亿
6.97%6.89亿
-3.65%5.83亿
-15.46%6.18亿
-24.71%6.35亿
-21.18%6.44亿
-21.18%6.44亿
应收款项
165.14%311.8万
67.13%376.2万
94.21%345.3万
27.38%281万
27.38%281万
-78.97%117.6万
-47.68%225.1万
-69.89%177.8万
-49.61%220.6万
-49.61%220.6万
-应收账款
165.14%311.8万
67.13%376.2万
94.21%345.3万
27.38%281万
27.38%281万
-35.31%117.6万
40.86%225.1万
229.26%177.8万
--220.6万
--220.6万
存货
53.00%2,642.9万
52.75%2,393.7万
102.83%2,307万
124.63%1,907.6万
124.63%1,907.6万
233.73%1,727.4万
285.99%1,567.1万
357.71%1,137.4万
--849.2万
--849.2万
其他流动资产
3.83%3,988.5万
-6.03%3,453.6万
-0.48%3,911.3万
-10.10%3,502.1万
-10.10%3,502.1万
-17.37%3,841.4万
-13.19%3,675.1万
-9.08%3,930.3万
-2.21%3,895.5万
-2.21%3,895.5万
流动资产合计
52.51%10.74亿
-16.52%6.32亿
-16.17%6.64亿
0.13%8.34亿
0.13%8.34亿
-10.27%7.04亿
-12.96%7.57亿
-18.82%7.92亿
-21.75%8.33亿
-21.75%8.33亿
非流动资产
固定资产净额
-22.03%5,766万
-22.67%6,147.6万
-21.72%6,572.5万
-20.80%6,979.1万
-20.80%6,979.1万
-20.60%7,394.7万
-18.60%7,950万
-17.67%8,395.9万
-15.46%8,811.6万
-15.46%8,811.6万
-固定资产
-22.03%5,766万
-22.67%6,147.6万
-21.72%6,572.5万
-11.70%1.22亿
-11.70%1.22亿
-20.60%7,394.7万
-18.60%7,950万
-17.67%8,395.9万
-7.38%1.38亿
-7.38%1.38亿
-累计折旧
----
----
----
-4.31%-5,222.9万
-4.31%-5,222.9万
----
----
----
-11.33%-5,007万
-11.33%-5,007万
投资和预付款
191.63%6.56亿
-69.14%7,540.4万
-57.20%1.16亿
-90.62%2,943.5万
-90.62%2,943.5万
-24.62%2.25亿
-12.99%2.44亿
6.21%2.72亿
17.83%3.14亿
17.83%3.14亿
其他非流动资产
-0.02%405.6万
-0.02%405.6万
2.53%405.6万
2.55%405.7万
2.55%405.7万
3.95%405.7万
2.58%405.7万
36.41%395.6万
36.41%395.6万
36.41%395.6万
非流动资产合计
136.91%7.18亿
-57.02%1.41亿
-48.26%1.86亿
-74.56%1.03亿
-74.56%1.03亿
-23.39%3.03亿
-14.26%3.28亿
-0.30%3.6亿
8.69%4.06亿
8.69%4.06亿
总资产
77.89%17.92亿
-28.76%7.73亿
-26.20%8.5亿
-24.35%9.37亿
-24.35%9.37亿
-14.66%10.07亿
-13.36%10.85亿
-13.82%11.51亿
-13.84%12.39亿
-13.84%12.39亿
负债
流动负债
应付款项
426.15%6,982.5万
-13.68%1,003.5万
28.78%1,115.5万
-47.46%978万
-47.46%978万
27.42%1,327.1万
49.24%1,162.6万
-25.01%866.2万
11.47%1,861.6万
11.47%1,861.6万
-应付账款
29.18%1,714.3万
-13.68%1,003.5万
28.78%1,115.5万
-47.46%978万
-47.46%978万
27.42%1,327.1万
49.24%1,162.6万
-25.01%866.2万
11.47%1,861.6万
11.47%1,861.6万
-应付税费
--5,268.2万
----
----
----
----
----
----
----
----
----
应计费用
-5.14%1,562.1万
35.36%2,477.7万
24.78%1,972.6万
62.80%1,993.5万
62.80%1,993.5万
17.55%1,646.8万
20.67%1,830.5万
10.08%1,580.8万
0.79%1,224.5万
0.79%1,224.5万
短期借款与租赁负债
11.29%1,631.9万
10.71%1,586万
10.11%1,540.7万
9.84%1,500.8万
9.84%1,500.8万
9.23%1,466.4万
17.21%1,432.6万
16.66%1,399.2万
22.44%1,366.3万
22.44%1,366.3万
-短期租赁负债
11.29%1,631.9万
10.71%1,586万
10.11%1,540.7万
9.84%1,500.8万
9.84%1,500.8万
9.23%1,466.4万
17.21%1,432.6万
16.66%1,399.2万
22.44%1,366.3万
22.44%1,366.3万
流动负债总额
104.45%1.19亿
13.59%6,263.7万
14.58%5,169.1万
8.50%6,795.5万
8.50%6,795.5万
9.01%5,842.5万
13.94%5,514.1万
-1.48%4,511.3万
4.69%6,262.9万
4.69%6,262.9万
非流动负债
长期借款与租赁负债
-26.83%4,451.5万
-24.54%4,876万
-22.54%5,294万
-20.85%5,698.8万
-20.85%5,698.8万
-19.42%6,083.4万
-18.15%6,462万
-17.27%6,834.6万
-16.22%7,199.6万
-16.22%7,199.6万
-长期租赁负债
-26.83%4,451.5万
-24.54%4,876万
-22.54%5,294万
-20.85%5,698.8万
-20.85%5,698.8万
-19.42%6,083.4万
-18.15%6,462万
-17.27%6,834.6万
-16.22%7,199.6万
-16.22%7,199.6万
其他非流动负债
0.00%115.6万
0.00%115.6万
-11.96%115.6万
-64.75%115.6万
-64.75%115.6万
9.57%115.6万
9.57%115.6万
--131.3万
--327.9万
--327.9万
非流动负债总额
-26.33%4,567.1万
-24.11%4,991.6万
-22.34%5,409.6万
-22.76%5,814.4万
-22.76%5,814.4万
-19.02%6,199万
-17.78%6,577.6万
-15.68%6,965.9万
-12.40%7,527.5万
-12.40%7,527.5万
总负债
37.13%1.65亿
-6.92%1.13亿
-7.83%1.06亿
-8.56%1.26亿
-8.56%1.26亿
-7.48%1.2亿
-5.83%1.21亿
-10.62%1.15亿
-5.39%1.38亿
-5.39%1.38亿
所有者权益
股本
1.39%7.3万
1.39%7.3万
1.39%7.3万
1.41%7.2万
1.41%7.2万
1.41%7.2万
1.41%7.2万
1.41%7.2万
0.00%7.1万
0.00%7.1万
-普通股股本
1.39%7.3万
1.39%7.3万
1.39%7.3万
1.41%7.2万
1.41%7.2万
1.41%7.2万
1.41%7.2万
1.41%7.2万
0.00%7.1万
0.00%7.1万
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
92.79%-5,240.1万
-57.43%-10亿
-63.93%-9.04亿
-74.82%-8.23亿
-74.82%-8.23亿
-43.31%-7.27亿
-49.38%-6.35亿
-65.37%-5.52亿
-97.09%-4.71亿
-97.09%-4.71亿
资本公积
2.32%24.78亿
2.21%24.64亿
2.20%24.52亿
2.10%24.37亿
2.10%24.37亿
1.98%24.22亿
2.06%24.11亿
2.03%23.99亿
2.23%23.86亿
2.23%23.86亿
减:库存股
0.00%8.02亿
0.00%8.02亿
0.00%8.02亿
0.00%8.02亿
0.00%8.02亿
0.00%8.02亿
0.00%8.02亿
0.00%8.02亿
0.00%8.02亿
0.00%8.02亿
不影响留存收益的损益
158.01%342万
88.22%-104.5万
87.08%-108.7万
96.48%-44.1万
96.48%-44.1万
60.91%-589.6万
15.54%-887万
-8.60%-841.1万
-946.33%-1,253.5万
-946.33%-1,253.5万
股东权益总额
83.42%16.27亿
-31.50%6.61亿
-28.23%7.44亿
-26.33%8.11亿
-26.33%8.11亿
-15.55%8.87亿
-14.22%9.64亿
-14.16%10.37亿
-14.80%11.01亿
-14.80%11.01亿
总权益
83.42%16.27亿
-31.50%6.61亿
-28.23%7.44亿
-26.33%8.11亿
-26.33%8.11亿
-15.55%8.87亿
-14.22%9.64亿
-14.16%10.37亿
-14.80%11.01亿
-14.80%11.01亿
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
--
--
--
无保留意见
--
--
--
--
--
--
(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(FY)2022/12/31(Q4)2022/12/31
资产
流动资产
现金及现金等价物和短期投资 55.18%10.05亿-18.88%5.7亿-19.10%5.98亿-0.79%7.77亿-0.79%7.77亿-11.02%6.47亿-14.25%7.03亿-19.96%7.39亿-23.22%7.83亿-23.22%7.83亿
-现金和现金等价物 294.40%2.54亿-0.28%8,451.8万14.04%1.19亿-36.66%8,820.5万-36.66%8,820.5万-47.46%6,433.3万-4.28%8,475.3万30.13%1.04亿-31.44%1.39亿-31.44%1.39亿
-短期投资 28.79%7.51亿-21.44%4.85亿-24.54%4.79亿6.97%6.89亿6.97%6.89亿-3.65%5.83亿-15.46%6.18亿-24.71%6.35亿-21.18%6.44亿-21.18%6.44亿
应收款项 165.14%311.8万67.13%376.2万94.21%345.3万27.38%281万27.38%281万-78.97%117.6万-47.68%225.1万-69.89%177.8万-49.61%220.6万-49.61%220.6万
-应收账款 165.14%311.8万67.13%376.2万94.21%345.3万27.38%281万27.38%281万-35.31%117.6万40.86%225.1万229.26%177.8万--220.6万--220.6万
存货 53.00%2,642.9万52.75%2,393.7万102.83%2,307万124.63%1,907.6万124.63%1,907.6万233.73%1,727.4万285.99%1,567.1万357.71%1,137.4万--849.2万--849.2万
其他流动资产 3.83%3,988.5万-6.03%3,453.6万-0.48%3,911.3万-10.10%3,502.1万-10.10%3,502.1万-17.37%3,841.4万-13.19%3,675.1万-9.08%3,930.3万-2.21%3,895.5万-2.21%3,895.5万
流动资产合计 52.51%10.74亿-16.52%6.32亿-16.17%6.64亿0.13%8.34亿0.13%8.34亿-10.27%7.04亿-12.96%7.57亿-18.82%7.92亿-21.75%8.33亿-21.75%8.33亿
非流动资产
固定资产净额 -22.03%5,766万-22.67%6,147.6万-21.72%6,572.5万-20.80%6,979.1万-20.80%6,979.1万-20.60%7,394.7万-18.60%7,950万-17.67%8,395.9万-15.46%8,811.6万-15.46%8,811.6万
-固定资产 -22.03%5,766万-22.67%6,147.6万-21.72%6,572.5万-11.70%1.22亿-11.70%1.22亿-20.60%7,394.7万-18.60%7,950万-17.67%8,395.9万-7.38%1.38亿-7.38%1.38亿
-累计折旧 -------------4.31%-5,222.9万-4.31%-5,222.9万-------------11.33%-5,007万-11.33%-5,007万
投资和预付款 191.63%6.56亿-69.14%7,540.4万-57.20%1.16亿-90.62%2,943.5万-90.62%2,943.5万-24.62%2.25亿-12.99%2.44亿6.21%2.72亿17.83%3.14亿17.83%3.14亿
其他非流动资产 -0.02%405.6万-0.02%405.6万2.53%405.6万2.55%405.7万2.55%405.7万3.95%405.7万2.58%405.7万36.41%395.6万36.41%395.6万36.41%395.6万
非流动资产合计 136.91%7.18亿-57.02%1.41亿-48.26%1.86亿-74.56%1.03亿-74.56%1.03亿-23.39%3.03亿-14.26%3.28亿-0.30%3.6亿8.69%4.06亿8.69%4.06亿
总资产 77.89%17.92亿-28.76%7.73亿-26.20%8.5亿-24.35%9.37亿-24.35%9.37亿-14.66%10.07亿-13.36%10.85亿-13.82%11.51亿-13.84%12.39亿-13.84%12.39亿
负债
流动负债
应付款项 426.15%6,982.5万-13.68%1,003.5万28.78%1,115.5万-47.46%978万-47.46%978万27.42%1,327.1万49.24%1,162.6万-25.01%866.2万11.47%1,861.6万11.47%1,861.6万
-应付账款 29.18%1,714.3万-13.68%1,003.5万28.78%1,115.5万-47.46%978万-47.46%978万27.42%1,327.1万49.24%1,162.6万-25.01%866.2万11.47%1,861.6万11.47%1,861.6万
-应付税费 --5,268.2万------------------------------------
应计费用 -5.14%1,562.1万35.36%2,477.7万24.78%1,972.6万62.80%1,993.5万62.80%1,993.5万17.55%1,646.8万20.67%1,830.5万10.08%1,580.8万0.79%1,224.5万0.79%1,224.5万
短期借款与租赁负债 11.29%1,631.9万10.71%1,586万10.11%1,540.7万9.84%1,500.8万9.84%1,500.8万9.23%1,466.4万17.21%1,432.6万16.66%1,399.2万22.44%1,366.3万22.44%1,366.3万
-短期租赁负债 11.29%1,631.9万10.71%1,586万10.11%1,540.7万9.84%1,500.8万9.84%1,500.8万9.23%1,466.4万17.21%1,432.6万16.66%1,399.2万22.44%1,366.3万22.44%1,366.3万
流动负债总额 104.45%1.19亿13.59%6,263.7万14.58%5,169.1万8.50%6,795.5万8.50%6,795.5万9.01%5,842.5万13.94%5,514.1万-1.48%4,511.3万4.69%6,262.9万4.69%6,262.9万
非流动负债
长期借款与租赁负债 -26.83%4,451.5万-24.54%4,876万-22.54%5,294万-20.85%5,698.8万-20.85%5,698.8万-19.42%6,083.4万-18.15%6,462万-17.27%6,834.6万-16.22%7,199.6万-16.22%7,199.6万
-长期租赁负债 -26.83%4,451.5万-24.54%4,876万-22.54%5,294万-20.85%5,698.8万-20.85%5,698.8万-19.42%6,083.4万-18.15%6,462万-17.27%6,834.6万-16.22%7,199.6万-16.22%7,199.6万
其他非流动负债 0.00%115.6万0.00%115.6万-11.96%115.6万-64.75%115.6万-64.75%115.6万9.57%115.6万9.57%115.6万--131.3万--327.9万--327.9万
非流动负债总额 -26.33%4,567.1万-24.11%4,991.6万-22.34%5,409.6万-22.76%5,814.4万-22.76%5,814.4万-19.02%6,199万-17.78%6,577.6万-15.68%6,965.9万-12.40%7,527.5万-12.40%7,527.5万
总负债 37.13%1.65亿-6.92%1.13亿-7.83%1.06亿-8.56%1.26亿-8.56%1.26亿-7.48%1.2亿-5.83%1.21亿-10.62%1.15亿-5.39%1.38亿-5.39%1.38亿
所有者权益
股本 1.39%7.3万1.39%7.3万1.39%7.3万1.41%7.2万1.41%7.2万1.41%7.2万1.41%7.2万1.41%7.2万0.00%7.1万0.00%7.1万
-普通股股本 1.39%7.3万1.39%7.3万1.39%7.3万1.41%7.2万1.41%7.2万1.41%7.2万1.41%7.2万1.41%7.2万0.00%7.1万0.00%7.1万
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 92.79%-5,240.1万-57.43%-10亿-63.93%-9.04亿-74.82%-8.23亿-74.82%-8.23亿-43.31%-7.27亿-49.38%-6.35亿-65.37%-5.52亿-97.09%-4.71亿-97.09%-4.71亿
资本公积 2.32%24.78亿2.21%24.64亿2.20%24.52亿2.10%24.37亿2.10%24.37亿1.98%24.22亿2.06%24.11亿2.03%23.99亿2.23%23.86亿2.23%23.86亿
减:库存股 0.00%8.02亿0.00%8.02亿0.00%8.02亿0.00%8.02亿0.00%8.02亿0.00%8.02亿0.00%8.02亿0.00%8.02亿0.00%8.02亿0.00%8.02亿
不影响留存收益的损益 158.01%342万88.22%-104.5万87.08%-108.7万96.48%-44.1万96.48%-44.1万60.91%-589.6万15.54%-887万-8.60%-841.1万-946.33%-1,253.5万-946.33%-1,253.5万
股东权益总额 83.42%16.27亿-31.50%6.61亿-28.23%7.44亿-26.33%8.11亿-26.33%8.11亿-15.55%8.87亿-14.22%9.64亿-14.16%10.37亿-14.80%11.01亿-14.80%11.01亿
总权益 83.42%16.27亿-31.50%6.61亿-28.23%7.44亿-26.33%8.11亿-26.33%8.11亿-15.55%8.87亿-14.22%9.64亿-14.16%10.37亿-14.80%11.01亿-14.80%11.01亿
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 ------无保留意见------------

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