美股市场个股详情

DARE Dare Bioscience

添加自选
  • 2.7100
  • -0.2700-9.06%
收盘价 12/20 16:00 (美东)
  • 2.6600
  • -0.0500-1.85%
盘后 20:01 (美东)
2357.81万总市值-4.67市盈率TTM

Dare Bioscience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
-19.16%1,123.26万
23.15%1,641.5万
-81.69%363.06万
-69.78%1,047.61万
-69.78%1,047.61万
-65.60%1,389.44万
-58.44%1,332.91万
-49.57%1,982.94万
-32.91%3,466.96万
-32.91%3,466.96万
-现金和现金等价物
-19.16%1,123.26万
23.15%1,641.5万
-81.69%363.06万
-69.78%1,047.61万
-69.78%1,047.61万
-65.60%1,389.44万
-58.44%1,332.91万
-49.57%1,982.94万
-32.91%3,466.96万
-32.91%3,466.96万
应收款项
-54.07%51.89万
57.59%90.22万
-42.23%138.57万
-44.27%94.92万
-44.27%94.92万
-50.71%112.98万
-95.28%57.25万
38.67%239.87万
48.71%170.32万
48.71%170.32万
-其他应收款
-54.07%51.89万
57.59%90.22万
-42.23%138.57万
-44.27%94.92万
-44.27%94.92万
-50.71%112.98万
-73.22%57.25万
38.67%239.87万
48.71%170.32万
48.71%170.32万
预付费用
-51.45%319.48万
-56.48%351.23万
-32.03%481.41万
-8.22%611.83万
-8.22%611.83万
-4.44%657.99万
36.67%806.96万
4.61%708.25万
169.16%666.6万
169.16%666.6万
其他流动资产
----
----
-24.42%15.22万
----
----
--83.14万
--27.21万
--20.14万
----
----
流动资产合计
-33.38%1,494.63万
-6.36%2,082.95万
-66.17%998.26万
-59.24%1,754.35万
-59.24%1,754.35万
-54.74%2,243.55万
-55.61%2,224.33万
-38.28%2,951.19万
-22.17%4,303.88万
-22.17%4,303.88万
非流动资产
固定资产净额
3,369.78%203.41万
3,761.76%176.81万
2,811.91%161.32万
277.87%197.56万
277.87%197.56万
-19.51%5.86万
119.44%4.58万
118.40%5.54万
115.41%52.28万
115.41%52.28万
-固定资产
--203.41万
--176.81万
--161.32万
277.87%197.56万
277.87%197.56万
----
----
----
115.41%52.28万
115.41%52.28万
长期预付费用
-69.12%54.45万
--48.01万
--76.24万
10,978.62%116.35万
10,978.62%116.35万
--176.35万
----
----
-91.63%1.05万
-91.63%1.05万
其他非流动资产
-32.96%53.39万
-42.60%52.86万
-18.11%65.45万
135.79%59.96万
135.79%59.96万
8.14%79.64万
-26.96%92.09万
-40.53%79.93万
--25.43万
--25.43万
非流动资产合计
18.87%311.25万
187.25%277.68万
254.52%303.02万
374.67%373.87万
374.67%373.87万
223.54%261.85万
-24.58%96.67万
-37.58%85.47万
54.09%78.76万
54.09%78.76万
总资产
-27.92%1,805.88万
1.71%2,360.62万
-57.15%1,301.27万
-51.44%2,128.22万
-51.44%2,128.22万
-50.27%2,505.4万
-54.84%2,321万
-38.26%3,036.67万
-21.47%4,382.64万
-21.47%4,382.64万
负债
流动负债
应付款项
-78.97%104.87万
-70.80%190.98万
50.18%404.82万
80.44%365.92万
80.44%365.92万
43.43%498.74万
487.05%654.11万
-4.78%269.56万
-3.57%202.8万
-3.57%202.8万
-应付账款
-78.97%104.87万
-70.80%190.98万
49.89%404.05万
66.94%338.56万
66.94%338.56万
43.43%498.74万
487.05%654.11万
-4.78%269.56万
-3.57%202.8万
-3.57%202.8万
-其他应付款
----
----
--7,674
--27.37万
--27.37万
----
----
----
----
----
应计费用
-65.03%185.09万
-70.09%125.44万
-74.99%137.05万
-80.27%180.99万
-80.27%180.99万
27.97%529.32万
-33.93%419.38万
54.90%548.02万
472.35%917.35万
472.35%917.35万
短期借款与租赁负债
159.95%50.58万
79.58%48.82万
40.10%47.04万
17.65%46.87万
17.65%46.87万
-49.87%19.46万
-16.09%27.18万
14.02%33.58万
47.25%39.84万
47.25%39.84万
-短期租赁负债
159.95%50.58万
79.58%48.82万
40.10%47.04万
17.65%46.87万
17.65%46.87万
-49.87%19.46万
-16.09%27.18万
14.02%33.58万
47.25%39.84万
47.25%39.84万
递延负债
-38.55%975.04万
-20.13%1,093.77万
-25.21%1,183.59万
-24.95%1,373.72万
-24.95%1,373.72万
6.95%1,586.75万
56.48%1,369.41万
62.63%1,582.64万
73.61%1,830.36万
73.61%1,830.36万
流动负债总额
-50.06%1,315.57万
-40.93%1,458.99万
-27.17%1,772.49万
-35.24%2,048.04万
-35.24%2,048.04万
15.35%2,634.28万
49.37%2,470.08万
48.45%2,433.79万
97.00%3,162.39万
97.00%3,162.39万
非流动负债
长期借款与租赁负债
--89.78万
4,344.32%103.67万
1,950.82%117.16万
935.73%93.57万
935.73%93.57万
--0
-97.17%2.33万
-93.74%5.71万
--9.03万
--9.03万
-长期租赁负债
--89.78万
4,344.32%103.67万
1,950.82%117.16万
935.73%93.57万
935.73%93.57万
--0
-97.17%2.33万
-93.74%5.71万
--9.03万
--9.03万
递延负债
0.00%100万
-17.03%100万
0.00%100万
0.00%100万
0.00%100万
0.00%100万
20.52%120.52万
0.00%100万
0.00%100万
0.00%100万
其他非流动负债
--448.98万
--430.81万
--411.56万
--391.37万
--391.37万
----
----
----
----
----
非流动负债总额
538.76%638.76万
416.45%634.48万
494.75%628.72万
436.47%584.94万
436.47%584.94万
-16.29%100万
-32.64%122.85万
-44.74%105.71万
9.03%109.03万
9.03%109.03万
总负债
-28.52%1,954.33万
-19.26%2,093.47万
-5.45%2,401.21万
-19.52%2,632.99万
-19.52%2,632.99万
13.77%2,734.28万
41.22%2,592.94万
38.71%2,539.51万
91.84%3,271.43万
91.84%3,271.43万
所有者权益
股本
-91.31%854
-90.14%854
16.71%1.01万
17.86%9,997
17.86%9,997
15.88%9,829
2.13%8,663
2.67%8,618
1.05%8,482
1.05%8,482
-普通股股本
-91.31%854
-90.14%854
16.71%1.01万
17.86%9,997
17.86%9,997
15.88%9,829
2.13%8,663
2.67%8,618
1.05%8,482
1.05%8,482
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
-2.17%-1.7亿
-4.56%-1.65亿
-19.36%-1.78亿
-21.38%-1.71亿
-21.38%-1.71亿
-32.80%-1.66亿
-33.67%-1.58亿
-25.81%-1.49亿
-28.10%-1.41亿
-28.10%-1.41亿
资本公积
2.65%1.69亿
8.09%1.68亿
8.37%1.67亿
9.18%1.67亿
9.18%1.67亿
8.09%1.64亿
2.72%1.56亿
3.27%1.54亿
2.35%1.53亿
2.35%1.53亿
不影响留存收益的损益
13.56%-36.26万
4.67%-38.56万
-7.18%-40.01万
-2.73%-36.09万
-2.73%-36.09万
20.96%-41.95万
-34.83%-40.45万
-127.46%-37.33万
-126.69%-35.13万
-126.69%-35.13万
股东权益总额
35.14%-148.45万
198.24%267.15万
-321.24%-1,099.94万
-145.42%-504.76万
-145.42%-504.76万
-108.69%-228.87万
-108.23%-271.94万
-83.90%497.16万
-71.33%1,111.21万
-71.33%1,111.21万
总权益
35.14%-148.45万
198.24%267.15万
-321.24%-1,099.94万
-145.42%-504.76万
-145.42%-504.76万
-108.69%-228.87万
-108.23%-271.94万
-83.90%497.16万
-71.33%1,111.21万
-71.33%1,111.21万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
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
--
--
--
带解释段的无保留意见
--
--
--
--
带解释段的无保留意见
--
(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 -19.16%1,123.26万23.15%1,641.5万-81.69%363.06万-69.78%1,047.61万-69.78%1,047.61万-65.60%1,389.44万-58.44%1,332.91万-49.57%1,982.94万-32.91%3,466.96万-32.91%3,466.96万
-现金和现金等价物 -19.16%1,123.26万23.15%1,641.5万-81.69%363.06万-69.78%1,047.61万-69.78%1,047.61万-65.60%1,389.44万-58.44%1,332.91万-49.57%1,982.94万-32.91%3,466.96万-32.91%3,466.96万
应收款项 -54.07%51.89万57.59%90.22万-42.23%138.57万-44.27%94.92万-44.27%94.92万-50.71%112.98万-95.28%57.25万38.67%239.87万48.71%170.32万48.71%170.32万
-其他应收款 -54.07%51.89万57.59%90.22万-42.23%138.57万-44.27%94.92万-44.27%94.92万-50.71%112.98万-73.22%57.25万38.67%239.87万48.71%170.32万48.71%170.32万
预付费用 -51.45%319.48万-56.48%351.23万-32.03%481.41万-8.22%611.83万-8.22%611.83万-4.44%657.99万36.67%806.96万4.61%708.25万169.16%666.6万169.16%666.6万
其他流动资产 ---------24.42%15.22万----------83.14万--27.21万--20.14万--------
流动资产合计 -33.38%1,494.63万-6.36%2,082.95万-66.17%998.26万-59.24%1,754.35万-59.24%1,754.35万-54.74%2,243.55万-55.61%2,224.33万-38.28%2,951.19万-22.17%4,303.88万-22.17%4,303.88万
非流动资产
固定资产净额 3,369.78%203.41万3,761.76%176.81万2,811.91%161.32万277.87%197.56万277.87%197.56万-19.51%5.86万119.44%4.58万118.40%5.54万115.41%52.28万115.41%52.28万
-固定资产 --203.41万--176.81万--161.32万277.87%197.56万277.87%197.56万------------115.41%52.28万115.41%52.28万
长期预付费用 -69.12%54.45万--48.01万--76.24万10,978.62%116.35万10,978.62%116.35万--176.35万---------91.63%1.05万-91.63%1.05万
其他非流动资产 -32.96%53.39万-42.60%52.86万-18.11%65.45万135.79%59.96万135.79%59.96万8.14%79.64万-26.96%92.09万-40.53%79.93万--25.43万--25.43万
非流动资产合计 18.87%311.25万187.25%277.68万254.52%303.02万374.67%373.87万374.67%373.87万223.54%261.85万-24.58%96.67万-37.58%85.47万54.09%78.76万54.09%78.76万
总资产 -27.92%1,805.88万1.71%2,360.62万-57.15%1,301.27万-51.44%2,128.22万-51.44%2,128.22万-50.27%2,505.4万-54.84%2,321万-38.26%3,036.67万-21.47%4,382.64万-21.47%4,382.64万
负债
流动负债
应付款项 -78.97%104.87万-70.80%190.98万50.18%404.82万80.44%365.92万80.44%365.92万43.43%498.74万487.05%654.11万-4.78%269.56万-3.57%202.8万-3.57%202.8万
-应付账款 -78.97%104.87万-70.80%190.98万49.89%404.05万66.94%338.56万66.94%338.56万43.43%498.74万487.05%654.11万-4.78%269.56万-3.57%202.8万-3.57%202.8万
-其他应付款 ----------7,674--27.37万--27.37万--------------------
应计费用 -65.03%185.09万-70.09%125.44万-74.99%137.05万-80.27%180.99万-80.27%180.99万27.97%529.32万-33.93%419.38万54.90%548.02万472.35%917.35万472.35%917.35万
短期借款与租赁负债 159.95%50.58万79.58%48.82万40.10%47.04万17.65%46.87万17.65%46.87万-49.87%19.46万-16.09%27.18万14.02%33.58万47.25%39.84万47.25%39.84万
-短期租赁负债 159.95%50.58万79.58%48.82万40.10%47.04万17.65%46.87万17.65%46.87万-49.87%19.46万-16.09%27.18万14.02%33.58万47.25%39.84万47.25%39.84万
递延负债 -38.55%975.04万-20.13%1,093.77万-25.21%1,183.59万-24.95%1,373.72万-24.95%1,373.72万6.95%1,586.75万56.48%1,369.41万62.63%1,582.64万73.61%1,830.36万73.61%1,830.36万
流动负债总额 -50.06%1,315.57万-40.93%1,458.99万-27.17%1,772.49万-35.24%2,048.04万-35.24%2,048.04万15.35%2,634.28万49.37%2,470.08万48.45%2,433.79万97.00%3,162.39万97.00%3,162.39万
非流动负债
长期借款与租赁负债 --89.78万4,344.32%103.67万1,950.82%117.16万935.73%93.57万935.73%93.57万--0-97.17%2.33万-93.74%5.71万--9.03万--9.03万
-长期租赁负债 --89.78万4,344.32%103.67万1,950.82%117.16万935.73%93.57万935.73%93.57万--0-97.17%2.33万-93.74%5.71万--9.03万--9.03万
递延负债 0.00%100万-17.03%100万0.00%100万0.00%100万0.00%100万0.00%100万20.52%120.52万0.00%100万0.00%100万0.00%100万
其他非流动负债 --448.98万--430.81万--411.56万--391.37万--391.37万--------------------
非流动负债总额 538.76%638.76万416.45%634.48万494.75%628.72万436.47%584.94万436.47%584.94万-16.29%100万-32.64%122.85万-44.74%105.71万9.03%109.03万9.03%109.03万
总负债 -28.52%1,954.33万-19.26%2,093.47万-5.45%2,401.21万-19.52%2,632.99万-19.52%2,632.99万13.77%2,734.28万41.22%2,592.94万38.71%2,539.51万91.84%3,271.43万91.84%3,271.43万
所有者权益
股本 -91.31%854-90.14%85416.71%1.01万17.86%9,99717.86%9,99715.88%9,8292.13%8,6632.67%8,6181.05%8,4821.05%8,482
-普通股股本 -91.31%854-90.14%85416.71%1.01万17.86%9,99717.86%9,99715.88%9,8292.13%8,6632.67%8,6181.05%8,4821.05%8,482
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 -2.17%-1.7亿-4.56%-1.65亿-19.36%-1.78亿-21.38%-1.71亿-21.38%-1.71亿-32.80%-1.66亿-33.67%-1.58亿-25.81%-1.49亿-28.10%-1.41亿-28.10%-1.41亿
资本公积 2.65%1.69亿8.09%1.68亿8.37%1.67亿9.18%1.67亿9.18%1.67亿8.09%1.64亿2.72%1.56亿3.27%1.54亿2.35%1.53亿2.35%1.53亿
不影响留存收益的损益 13.56%-36.26万4.67%-38.56万-7.18%-40.01万-2.73%-36.09万-2.73%-36.09万20.96%-41.95万-34.83%-40.45万-127.46%-37.33万-126.69%-35.13万-126.69%-35.13万
股东权益总额 35.14%-148.45万198.24%267.15万-321.24%-1,099.94万-145.42%-504.76万-145.42%-504.76万-108.69%-228.87万-108.23%-271.94万-83.90%497.16万-71.33%1,111.21万-71.33%1,111.21万
总权益 35.14%-148.45万198.24%267.15万-321.24%-1,099.94万-145.42%-504.76万-145.42%-504.76万-108.69%-228.87万-108.23%-271.94万-83.90%497.16万-71.33%1,111.21万-71.33%1,111.21万
货币单位 美元美元美元美元美元美元美元美元美元美元
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ------带解释段的无保留意见--------带解释段的无保留意见--
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