美股市场个股详情

IMRX Immuneering

添加自选
  • 1.635
  • -0.335-17.01%
收盘价 12/13 16:00 (美东)
  • 1.600
  • -0.035-2.14%
盘后 19:58 (美东)
5076.75万总市值-0.83市盈率TTM

Immuneering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
-47.91%5,065.77万
-45.20%5,972.85万
-22.13%7,127.83万
-18.82%8,566.57万
-18.82%8,566.57万
-17.03%9,724.25万
-14.92%1.09亿
-33.56%9,153.58万
-29.27%1.06亿
-29.27%1.06亿
-现金和现金等价物
-33.56%4,520.56万
-42.58%5,972.85万
-14.39%6,628.71万
-18.22%5,940.58万
-18.22%5,940.58万
-10.96%6,804.03万
18.29%1.04亿
2.96%7,743.03万
-3.01%7,263.69万
-3.01%7,263.69万
-短期投资
-81.33%545.22万
--0
-64.62%499.12万
-20.15%2,625.99万
-20.15%2,625.99万
-28.39%2,920.22万
-87.63%496.78万
-77.45%1,410.56万
-55.74%3,288.8万
-55.74%3,288.8万
应收款项
----
----
----
--0
--0
--0
--0
-99.63%1,046
-94.95%1.24万
-94.95%1.24万
-应收账款
----
----
----
--0
--0
--0
--0
-99.63%1,046
-94.95%1.24万
-94.95%1.24万
其他流动资产
37.77%460.18万
56.92%395.72万
17.52%316.91万
6.49%341.8万
6.49%341.8万
21.15%334.02万
183.21%252.18万
82.26%269.66万
11.11%320.95万
11.11%320.95万
流动资产合计
-45.06%5,525.95万
-42.89%6,368.57万
-21.00%7,444.74万
-18.08%8,908.37万
-18.08%8,908.37万
-16.20%1.01亿
-13.67%1.12亿
-32.46%9,423.35万
-28.61%1.09亿
-28.61%1.09亿
非流动资产
固定资产净额
-9.56%495.37万
-7.95%511.8万
-6.64%525.34万
-6.60%539.63万
-6.60%539.63万
-5.94%547.7万
-2.05%555.98万
-1.38%562.72万
-5.77%577.74万
-5.77%577.74万
-固定资产
-2.85%595.07万
-1.67%602.71万
-0.79%607.19万
-1.15%612.46万
-1.15%612.46万
-0.69%612.5万
2.97%612.95万
3.24%612.01万
-1.74%619.57万
-1.74%619.57万
-累计折旧
-53.87%-99.7万
-59.57%-90.9万
-66.07%-81.85万
-74.09%-72.83万
-74.09%-72.83万
-88.05%-64.8万
-106.04%-56.97万
-122.09%-49.29万
-140.12%-41.83万
-140.12%-41.83万
商誉及其他无形资产
-0.41%704.82万
-0.41%705.55万
-0.41%706.28万
-0.41%707.01万
-0.41%707.01万
-0.41%707.74万
-0.41%708.47万
-0.41%709.21万
-0.58%709.94万
-0.58%709.94万
-商誉
0.00%669.04万
0.00%669.04万
0.00%669.04万
0.00%669.04万
0.00%669.04万
0.00%669.04万
0.00%669.04万
0.00%669.04万
-0.17%669.04万
-0.17%669.04万
-其他无形资产
-7.56%35.77万
-7.42%36.5万
-7.29%37.24万
-7.16%37.97万
-7.16%37.97万
-7.03%38.7万
-6.91%39.43万
-6.79%40.16万
-6.85%40.89万
-6.85%40.89万
其他非流动资产
74.23%129.58万
65.13%122.81万
63.93%121.92万
39.09%103.44万
39.09%103.44万
0.87%74.37万
730.22%74.37万
730.22%74.37万
628.20%74.37万
628.20%74.37万
非流动资产合计
-0.00%1,329.76万
0.10%1,340.16万
0.54%1,353.54万
-0.88%1,350.09万
-0.88%1,350.09万
-2.70%1,329.82万
3.95%1,338.82万
4.23%1,346.3万
-5.22%1,362.05万
-5.22%1,362.05万
总资产
-39.80%6,855.71万
-38.28%7,708.73万
-18.30%8,798.28万
-16.17%1.03亿
-16.17%1.03亿
-14.82%1.14亿
-12.08%1.25亿
-29.35%1.08亿
-26.60%1.22亿
-26.60%1.22亿
负债
流动负债
应付款项
0.09%194.28万
-2.63%262.22万
-16.62%227.09万
-33.06%211.17万
-33.06%211.17万
-16.99%194.11万
117.14%269.3万
65.84%272.36万
126.24%315.46万
126.24%315.46万
-应付账款
0.09%194.28万
-2.63%262.22万
-16.62%227.09万
-33.06%211.17万
-33.06%211.17万
-16.99%194.11万
117.14%269.3万
65.84%272.36万
126.24%315.46万
126.24%315.46万
应计费用
-42.68%189.09万
195.42%195.99万
61.53%146.5万
77.95%154.8万
77.95%154.8万
41.61%329.91万
4.47%66.34万
8.85%90.69万
-17.01%86.99万
-17.01%86.99万
短期借款与租赁负债
7.65%32.47万
-6.38%31.15万
-17.81%29.85万
-20.76%30.01万
-20.76%30.01万
-2.29%30.16万
16.17%33.27万
36.85%36.32万
38.20%37.87万
38.20%37.87万
-短期租赁负债
7.65%32.47万
-6.38%31.15万
-17.81%29.85万
-20.76%30.01万
-20.76%30.01万
-2.29%30.16万
16.17%33.27万
36.85%36.32万
38.20%37.87万
38.20%37.87万
其他流动负债
-25.89%5.97万
242.70%9.02万
-10.25%2.36万
1,212.23%25.98万
1,212.23%25.98万
80.64%8.05万
-44.23%2.63万
-44.23%2.63万
--1.98万
--1.98万
流动负债总额
23.08%692万
23.77%678.11万
-6.30%517.74万
-2.59%784.55万
-2.59%784.55万
-22.51%562.23万
44.16%547.89万
50.41%552.56万
42.96%805.41万
42.96%805.41万
非流动负债
长期借款与租赁负债
-7.66%391.63万
-7.22%400.06万
-6.81%408.27万
-6.72%416.29万
-6.72%416.29万
-6.64%424.1万
-7.16%431.2万
-6.93%438.13万
-12.33%446.3万
-12.33%446.3万
-长期租赁负债
-7.66%391.63万
-7.22%400.06万
-6.81%408.27万
-6.72%416.29万
-6.72%416.29万
-6.64%424.1万
-7.16%431.2万
-6.93%438.13万
-12.33%446.3万
-12.33%446.3万
非流动负债总额
-7.66%391.63万
-7.22%400.06万
-6.81%408.27万
-6.72%416.29万
-6.72%416.29万
-6.64%424.1万
-7.36%431.2万
-7.13%438.13万
-12.33%446.3万
-12.33%446.3万
总负债
9.86%1,083.63万
10.12%1,078.16万
-6.53%926.01万
-4.06%1,200.84万
-4.06%1,200.84万
-16.40%986.33万
15.80%979.09万
18.06%990.69万
16.71%1,251.7万
16.71%1,251.7万
所有者权益
股本
6.08%3.11万
1.33%2.97万
11.92%2.97万
10.80%2.93万
10.80%2.93万
10.85%2.93万
10.88%2.93万
0.43%2.65万
0.38%2.64万
0.38%2.64万
-普通股股本
6.08%3.11万
1.33%2.97万
11.92%2.97万
10.80%2.93万
10.80%2.93万
10.85%2.93万
10.88%2.93万
0.43%2.65万
0.38%2.64万
0.38%2.64万
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
-39.19%-2.06亿
-41.35%-1.92亿
-43.91%-1.78亿
-48.70%-1.63亿
-48.70%-1.63亿
-53.48%-1.48亿
-61.99%-1.36亿
-70.97%-1.23亿
-85.22%-1.1亿
-85.22%-1.1亿
资本公积
4.67%2.64亿
2.90%2.58亿
15.87%2.56亿
15.56%2.54亿
15.56%2.54亿
15.38%2.52亿
15.27%2.51亿
2.21%2.21亿
2.03%2.2亿
2.03%2.2亿
不影响留存收益的损益
39.91%7,845
--0
-314.23%-1,084
97.42%-778
97.42%-778
103.94%5,607
98.78%-2,218
100.30%506
38.54%-3.01万
38.54%-3.01万
股东权益总额
-44.51%5,772.08万
-42.40%6,630.56万
-19.50%7,872.27万
-17.55%9,057.62万
-17.55%9,057.62万
-14.66%1.04亿
-13.84%1.15亿
-32.12%9,778.96万
-29.57%1.1亿
-29.57%1.1亿
总权益
-44.51%5,772.08万
-42.40%6,630.56万
-19.50%7,872.27万
-17.55%9,057.62万
-17.55%9,057.62万
-14.66%1.04亿
-13.84%1.15亿
-32.12%9,778.96万
-29.57%1.1亿
-29.57%1.1亿
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 -47.91%5,065.77万-45.20%5,972.85万-22.13%7,127.83万-18.82%8,566.57万-18.82%8,566.57万-17.03%9,724.25万-14.92%1.09亿-33.56%9,153.58万-29.27%1.06亿-29.27%1.06亿
-现金和现金等价物 -33.56%4,520.56万-42.58%5,972.85万-14.39%6,628.71万-18.22%5,940.58万-18.22%5,940.58万-10.96%6,804.03万18.29%1.04亿2.96%7,743.03万-3.01%7,263.69万-3.01%7,263.69万
-短期投资 -81.33%545.22万--0-64.62%499.12万-20.15%2,625.99万-20.15%2,625.99万-28.39%2,920.22万-87.63%496.78万-77.45%1,410.56万-55.74%3,288.8万-55.74%3,288.8万
应收款项 --------------0--0--0--0-99.63%1,046-94.95%1.24万-94.95%1.24万
-应收账款 --------------0--0--0--0-99.63%1,046-94.95%1.24万-94.95%1.24万
其他流动资产 37.77%460.18万56.92%395.72万17.52%316.91万6.49%341.8万6.49%341.8万21.15%334.02万183.21%252.18万82.26%269.66万11.11%320.95万11.11%320.95万
流动资产合计 -45.06%5,525.95万-42.89%6,368.57万-21.00%7,444.74万-18.08%8,908.37万-18.08%8,908.37万-16.20%1.01亿-13.67%1.12亿-32.46%9,423.35万-28.61%1.09亿-28.61%1.09亿
非流动资产
固定资产净额 -9.56%495.37万-7.95%511.8万-6.64%525.34万-6.60%539.63万-6.60%539.63万-5.94%547.7万-2.05%555.98万-1.38%562.72万-5.77%577.74万-5.77%577.74万
-固定资产 -2.85%595.07万-1.67%602.71万-0.79%607.19万-1.15%612.46万-1.15%612.46万-0.69%612.5万2.97%612.95万3.24%612.01万-1.74%619.57万-1.74%619.57万
-累计折旧 -53.87%-99.7万-59.57%-90.9万-66.07%-81.85万-74.09%-72.83万-74.09%-72.83万-88.05%-64.8万-106.04%-56.97万-122.09%-49.29万-140.12%-41.83万-140.12%-41.83万
商誉及其他无形资产 -0.41%704.82万-0.41%705.55万-0.41%706.28万-0.41%707.01万-0.41%707.01万-0.41%707.74万-0.41%708.47万-0.41%709.21万-0.58%709.94万-0.58%709.94万
-商誉 0.00%669.04万0.00%669.04万0.00%669.04万0.00%669.04万0.00%669.04万0.00%669.04万0.00%669.04万0.00%669.04万-0.17%669.04万-0.17%669.04万
-其他无形资产 -7.56%35.77万-7.42%36.5万-7.29%37.24万-7.16%37.97万-7.16%37.97万-7.03%38.7万-6.91%39.43万-6.79%40.16万-6.85%40.89万-6.85%40.89万
其他非流动资产 74.23%129.58万65.13%122.81万63.93%121.92万39.09%103.44万39.09%103.44万0.87%74.37万730.22%74.37万730.22%74.37万628.20%74.37万628.20%74.37万
非流动资产合计 -0.00%1,329.76万0.10%1,340.16万0.54%1,353.54万-0.88%1,350.09万-0.88%1,350.09万-2.70%1,329.82万3.95%1,338.82万4.23%1,346.3万-5.22%1,362.05万-5.22%1,362.05万
总资产 -39.80%6,855.71万-38.28%7,708.73万-18.30%8,798.28万-16.17%1.03亿-16.17%1.03亿-14.82%1.14亿-12.08%1.25亿-29.35%1.08亿-26.60%1.22亿-26.60%1.22亿
负债
流动负债
应付款项 0.09%194.28万-2.63%262.22万-16.62%227.09万-33.06%211.17万-33.06%211.17万-16.99%194.11万117.14%269.3万65.84%272.36万126.24%315.46万126.24%315.46万
-应付账款 0.09%194.28万-2.63%262.22万-16.62%227.09万-33.06%211.17万-33.06%211.17万-16.99%194.11万117.14%269.3万65.84%272.36万126.24%315.46万126.24%315.46万
应计费用 -42.68%189.09万195.42%195.99万61.53%146.5万77.95%154.8万77.95%154.8万41.61%329.91万4.47%66.34万8.85%90.69万-17.01%86.99万-17.01%86.99万
短期借款与租赁负债 7.65%32.47万-6.38%31.15万-17.81%29.85万-20.76%30.01万-20.76%30.01万-2.29%30.16万16.17%33.27万36.85%36.32万38.20%37.87万38.20%37.87万
-短期租赁负债 7.65%32.47万-6.38%31.15万-17.81%29.85万-20.76%30.01万-20.76%30.01万-2.29%30.16万16.17%33.27万36.85%36.32万38.20%37.87万38.20%37.87万
其他流动负债 -25.89%5.97万242.70%9.02万-10.25%2.36万1,212.23%25.98万1,212.23%25.98万80.64%8.05万-44.23%2.63万-44.23%2.63万--1.98万--1.98万
流动负债总额 23.08%692万23.77%678.11万-6.30%517.74万-2.59%784.55万-2.59%784.55万-22.51%562.23万44.16%547.89万50.41%552.56万42.96%805.41万42.96%805.41万
非流动负债
长期借款与租赁负债 -7.66%391.63万-7.22%400.06万-6.81%408.27万-6.72%416.29万-6.72%416.29万-6.64%424.1万-7.16%431.2万-6.93%438.13万-12.33%446.3万-12.33%446.3万
-长期租赁负债 -7.66%391.63万-7.22%400.06万-6.81%408.27万-6.72%416.29万-6.72%416.29万-6.64%424.1万-7.16%431.2万-6.93%438.13万-12.33%446.3万-12.33%446.3万
非流动负债总额 -7.66%391.63万-7.22%400.06万-6.81%408.27万-6.72%416.29万-6.72%416.29万-6.64%424.1万-7.36%431.2万-7.13%438.13万-12.33%446.3万-12.33%446.3万
总负债 9.86%1,083.63万10.12%1,078.16万-6.53%926.01万-4.06%1,200.84万-4.06%1,200.84万-16.40%986.33万15.80%979.09万18.06%990.69万16.71%1,251.7万16.71%1,251.7万
所有者权益
股本 6.08%3.11万1.33%2.97万11.92%2.97万10.80%2.93万10.80%2.93万10.85%2.93万10.88%2.93万0.43%2.65万0.38%2.64万0.38%2.64万
-普通股股本 6.08%3.11万1.33%2.97万11.92%2.97万10.80%2.93万10.80%2.93万10.85%2.93万10.88%2.93万0.43%2.65万0.38%2.64万0.38%2.64万
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 -39.19%-2.06亿-41.35%-1.92亿-43.91%-1.78亿-48.70%-1.63亿-48.70%-1.63亿-53.48%-1.48亿-61.99%-1.36亿-70.97%-1.23亿-85.22%-1.1亿-85.22%-1.1亿
资本公积 4.67%2.64亿2.90%2.58亿15.87%2.56亿15.56%2.54亿15.56%2.54亿15.38%2.52亿15.27%2.51亿2.21%2.21亿2.03%2.2亿2.03%2.2亿
不影响留存收益的损益 39.91%7,845--0-314.23%-1,08497.42%-77897.42%-778103.94%5,60798.78%-2,218100.30%50638.54%-3.01万38.54%-3.01万
股东权益总额 -44.51%5,772.08万-42.40%6,630.56万-19.50%7,872.27万-17.55%9,057.62万-17.55%9,057.62万-14.66%1.04亿-13.84%1.15亿-32.12%9,778.96万-29.57%1.1亿-29.57%1.1亿
总权益 -44.51%5,772.08万-42.40%6,630.56万-19.50%7,872.27万-17.55%9,057.62万-17.55%9,057.62万-14.66%1.04亿-13.84%1.15亿-32.12%9,778.96万-29.57%1.1亿-29.57%1.1亿
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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