美股市场个股详情

Cadrenal Therapeutics (CVKD)

添加自选
  • 6.020
  • -0.150-2.43%
收盘价 05/07 16:00 (美东)
  • 6.020
  • 0.0000.00%
盘后 19:53 (美东)
1853.10万总市值-1.08市盈率TTM

Cadrenal Therapeutics (CVKD) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2026/03/31
(FY)2025/12/31
(Q4)2025/12/31
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
资产
流动资产
现金及现金等价物和短期投资
-68.54%230.81万
-59.99%400.78万
-59.99%400.78万
-11.55%386.01万
10.59%557.07万
11.72%733.61万
19.23%1,001.79万
19.23%1,001.79万
-52.09%436.39万
55.96%503.72万
-现金和现金等价物
-68.54%230.81万
-59.99%400.78万
-59.99%400.78万
-11.55%386.01万
10.59%557.07万
11.72%733.61万
19.23%1,001.79万
19.23%1,001.79万
-52.09%436.39万
55.96%503.72万
应收款项
-77.84%5,466
-86.64%5,096
-86.64%5,096
--1.28万
--1.9万
--2.47万
2.43%3.82万
2.43%3.82万
----
----
-应收利息
-77.84%5,466
-86.64%5,096
-86.64%5,096
--1.28万
--1.9万
--2.47万
2.43%3.82万
2.43%3.82万
----
----
预付费用
----
----
----
-39.48%11.6万
52.53%35.84万
95.94%57.56万
-19.40%4.23万
-19.40%4.23万
13.70%19.17万
-18.80%23.49万
递延资产
1,244.30%11.36万
636.19%10.63万
636.19%10.63万
-22.28%9.08万
-86.08%2.39万
-94.96%8,451
--1.44万
--1.44万
--11.69万
--17.14万
其他流动资产
-25.63%42.81万
373.63%20.01万
373.63%20.01万
-39.48%11.6万
52.53%35.84万
95.94%57.56万
-19.40%4.23万
-19.40%4.23万
13.70%19.17万
-18.80%23.49万
流动资产合计
-64.06%285.53万
-57.29%431.94万
-57.29%431.94万
-12.69%407.97万
9.71%597.2万
13.04%794.48万
19.08%1,011.28万
19.08%1,011.28万
-49.64%467.25万
54.68%544.35万
非流动资产
固定资产净额
-1.26%4,619
-25.49%5,174
-25.49%5,174
90.27%5,729
-56.69%4,277
-71.84%4,678
-70.18%6,944
-70.18%6,944
-89.89%3,011
-72.65%9,875
-固定资产
--4,619
-25.49%5,174
-25.49%5,174
----
-56.69%4,277
----
-70.18%6,944
-70.18%6,944
-89.89%3,011
-72.65%9,875
其他非流动资产
-42.85%2,167
-42.85%2,167
-42.85%2,167
-42.85%2,167
-42.85%2,167
0.00%3,792
0.00%3,792
0.00%3,792
0.00%3,792
0.00%3,792
非流动资产合计
-19.88%6,786
-31.62%7,341
-31.62%7,341
16.07%7,896
-52.85%6,444
-58.48%8,470
-60.35%1.07万
-60.35%1.07万
-79.74%6,803
-65.74%1.37万
总资产
-64.01%286.21万
-57.26%432.67万
-57.26%432.67万
-12.64%408.76万
9.55%597.84万
12.84%795.33万
18.83%1,012.35万
18.83%1,012.35万
-49.75%467.93万
53.33%545.72万
负债
流动负债
应付款项
-35.48%82.48万
-56.69%65.07万
-56.69%65.07万
23.61%61.41万
17.92%89.56万
219.30%127.84万
797.97%150.25万
797.97%150.25万
250.72%49.68万
872.01%75.95万
-应付账款
-35.48%82.48万
-56.69%65.07万
-56.69%65.07万
23.61%61.41万
17.92%89.56万
219.30%127.84万
797.97%150.25万
797.97%150.25万
250.72%49.68万
872.01%75.95万
应计费用
74.77%24.01万
-5.02%20.41万
-5.02%20.41万
72.38%26.66万
-6.59%24.25万
-40.48%13.74万
410.79%21.49万
410.79%21.49万
273.65%15.46万
597.04%25.96万
短期借款与租赁负债
----
----
----
----
----
----
----
----
-91.07%2,232
-63.45%8,796
-短期租赁负债
----
----
----
----
----
----
--0
--0
-91.07%2,232
-63.45%8,796
流动负债总额
-42.13%106.5万
-40.83%158.8万
-40.83%158.8万
6.77%135.27万
14.65%167.95万
114.89%184.02万
224.59%268.4万
224.59%268.4万
124.81%126.69万
291.37%146.49万
非流动负债
非流动负债总额
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
总负债
-42.13%106.5万
-40.83%158.8万
-40.83%158.8万
6.77%135.27万
14.65%167.95万
114.89%184.02万
224.59%268.4万
224.59%268.4万
123.92%126.69万
282.38%146.49万
所有者权益
股本
31.33%2,507
31.20%2,338
31.20%2,338
66.86%2,059
-87.47%2,006
-88.07%1,909
105.30%1,782
105.30%1,782
-90.52%1,234
36.56%1.6万
-普通股股本
31.33%2,507
31.20%2,338
31.20%2,338
66.86%2,059
-87.47%2,006
-88.07%1,909
105.30%1,782
105.30%1,782
-90.52%1,234
36.56%1.6万
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
----
留存收益
-40.21%-4,145.67万
-51.46%-3,896.01万
-51.46%-3,896.01万
-66.80%-3,592.12万
-73.76%-3,323.55万
-76.69%-2,956.82万
-70.67%-2,572.28万
-70.67%-2,572.28万
-54.63%-2,153.55万
-48.38%-1,912.77万
资本公积
21.22%4,325.13万
25.74%4,169.65万
25.74%4,169.65万
54.95%3,865.4万
62.45%3,753.24万
55.73%3,567.94万
45.68%3,316.06万
45.68%3,316.06万
10.09%2,494.66万
43.90%2,310.39万
股东权益总额
-70.60%179.71万
-63.19%273.87万
-63.19%273.87万
-19.85%273.49万
7.68%429.89万
-1.28%611.31万
-3.29%743.96万
-3.29%743.96万
-60.98%341.24万
25.70%399.23万
总权益
-70.60%179.71万
-63.19%273.87万
-63.19%273.87万
-19.85%273.49万
7.68%429.89万
-1.28%611.31万
-3.29%743.96万
-3.29%743.96万
-60.98%341.24万
25.70%399.23万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
审计意见
--
无保留意见
--
--
--
--
无保留意见
--
--
--
(Q1)2026/03/31(FY)2025/12/31(Q4)2025/12/31(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30
资产
流动资产
现金及现金等价物和短期投资 -68.54%230.81万-59.99%400.78万-59.99%400.78万-11.55%386.01万10.59%557.07万11.72%733.61万19.23%1,001.79万19.23%1,001.79万-52.09%436.39万55.96%503.72万
-现金和现金等价物 -68.54%230.81万-59.99%400.78万-59.99%400.78万-11.55%386.01万10.59%557.07万11.72%733.61万19.23%1,001.79万19.23%1,001.79万-52.09%436.39万55.96%503.72万
应收款项 -77.84%5,466-86.64%5,096-86.64%5,096--1.28万--1.9万--2.47万2.43%3.82万2.43%3.82万--------
-应收利息 -77.84%5,466-86.64%5,096-86.64%5,096--1.28万--1.9万--2.47万2.43%3.82万2.43%3.82万--------
预付费用 -------------39.48%11.6万52.53%35.84万95.94%57.56万-19.40%4.23万-19.40%4.23万13.70%19.17万-18.80%23.49万
递延资产 1,244.30%11.36万636.19%10.63万636.19%10.63万-22.28%9.08万-86.08%2.39万-94.96%8,451--1.44万--1.44万--11.69万--17.14万
其他流动资产 -25.63%42.81万373.63%20.01万373.63%20.01万-39.48%11.6万52.53%35.84万95.94%57.56万-19.40%4.23万-19.40%4.23万13.70%19.17万-18.80%23.49万
流动资产合计 -64.06%285.53万-57.29%431.94万-57.29%431.94万-12.69%407.97万9.71%597.2万13.04%794.48万19.08%1,011.28万19.08%1,011.28万-49.64%467.25万54.68%544.35万
非流动资产
固定资产净额 -1.26%4,619-25.49%5,174-25.49%5,17490.27%5,729-56.69%4,277-71.84%4,678-70.18%6,944-70.18%6,944-89.89%3,011-72.65%9,875
-固定资产 --4,619-25.49%5,174-25.49%5,174-----56.69%4,277-----70.18%6,944-70.18%6,944-89.89%3,011-72.65%9,875
其他非流动资产 -42.85%2,167-42.85%2,167-42.85%2,167-42.85%2,167-42.85%2,1670.00%3,7920.00%3,7920.00%3,7920.00%3,7920.00%3,792
非流动资产合计 -19.88%6,786-31.62%7,341-31.62%7,34116.07%7,896-52.85%6,444-58.48%8,470-60.35%1.07万-60.35%1.07万-79.74%6,803-65.74%1.37万
总资产 -64.01%286.21万-57.26%432.67万-57.26%432.67万-12.64%408.76万9.55%597.84万12.84%795.33万18.83%1,012.35万18.83%1,012.35万-49.75%467.93万53.33%545.72万
负债
流动负债
应付款项 -35.48%82.48万-56.69%65.07万-56.69%65.07万23.61%61.41万17.92%89.56万219.30%127.84万797.97%150.25万797.97%150.25万250.72%49.68万872.01%75.95万
-应付账款 -35.48%82.48万-56.69%65.07万-56.69%65.07万23.61%61.41万17.92%89.56万219.30%127.84万797.97%150.25万797.97%150.25万250.72%49.68万872.01%75.95万
应计费用 74.77%24.01万-5.02%20.41万-5.02%20.41万72.38%26.66万-6.59%24.25万-40.48%13.74万410.79%21.49万410.79%21.49万273.65%15.46万597.04%25.96万
短期借款与租赁负债 ---------------------------------91.07%2,232-63.45%8,796
-短期租赁负债 --------------------------0--0-91.07%2,232-63.45%8,796
流动负债总额 -42.13%106.5万-40.83%158.8万-40.83%158.8万6.77%135.27万14.65%167.95万114.89%184.02万224.59%268.4万224.59%268.4万124.81%126.69万291.37%146.49万
非流动负债
非流动负债总额 --0--0--0--0--0--0--0--0--0--0
总负债 -42.13%106.5万-40.83%158.8万-40.83%158.8万6.77%135.27万14.65%167.95万114.89%184.02万224.59%268.4万224.59%268.4万123.92%126.69万282.38%146.49万
所有者权益
股本 31.33%2,50731.20%2,33831.20%2,33866.86%2,059-87.47%2,006-88.07%1,909105.30%1,782105.30%1,782-90.52%1,23436.56%1.6万
-普通股股本 31.33%2,50731.20%2,33831.20%2,33866.86%2,059-87.47%2,006-88.07%1,909105.30%1,782105.30%1,782-90.52%1,23436.56%1.6万
-优先股股本 --0--0--0--0--0--0--0--0--0----
留存收益 -40.21%-4,145.67万-51.46%-3,896.01万-51.46%-3,896.01万-66.80%-3,592.12万-73.76%-3,323.55万-76.69%-2,956.82万-70.67%-2,572.28万-70.67%-2,572.28万-54.63%-2,153.55万-48.38%-1,912.77万
资本公积 21.22%4,325.13万25.74%4,169.65万25.74%4,169.65万54.95%3,865.4万62.45%3,753.24万55.73%3,567.94万45.68%3,316.06万45.68%3,316.06万10.09%2,494.66万43.90%2,310.39万
股东权益总额 -70.60%179.71万-63.19%273.87万-63.19%273.87万-19.85%273.49万7.68%429.89万-1.28%611.31万-3.29%743.96万-3.29%743.96万-60.98%341.24万25.70%399.23万
总权益 -70.60%179.71万-63.19%273.87万-63.19%273.87万-19.85%273.49万7.68%429.89万-1.28%611.31万-3.29%743.96万-3.29%743.96万-60.98%341.24万25.70%399.23万
货币单位 美元美元美元美元美元美元美元美元美元美元
审计意见 --无保留意见--------无保留意见------
热门市场机会
热门中概股
查看更多
中东战火燃至股市!投资者该如何应对?
美东时间5月7日,就在美伊谈判在外界期待与各方博弈中进入关键窗口期间,美高官表示,美国对伊朗的格什姆港和阿巴斯港发动了军事打击,但他同时补充说这并非是战争的重新爆发或停火协议的终止。伊朗方面称,伊朗武装部队已对霍尔木兹海峡以东及恰巴哈尔港以南的美方军事舰艇实施反击,并称造成“重大 展开