美股市场个股详情

KALV KalVista Pharmaceuticals

添加自选
  • 8.530
  • -0.300-3.40%
收盘价 12/27 16:00 (美东)
  • 8.530
  • 0.0000.00%
盘后 20:01 (美东)
4.22亿总市值-2.32市盈率TTM

KalVista Pharmaceuticals关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2024/10/31
(Q1)2024/07/31
(FY)2024/04/30
(Q4)2024/04/30
(Q3)2024/01/31
(Q2)2023/10/31
(Q1)2023/07/31
(FY)2023/04/30
(Q4)2023/04/30
(Q3)2023/01/31
资产
流动资产
现金及现金等价物和短期投资
31.60%1.36亿
41.39%1.74亿
40.85%2.1亿
40.85%2.1亿
-55.97%7,558.6万
-15.62%1.03亿
-13.25%1.23亿
-10.12%1.49亿
-10.12%1.49亿
-11.86%1.72亿
-现金和现金等价物
-27.89%4,158.1万
-35.54%3,184.8万
-43.47%3,178.9万
-43.47%3,178.9万
-72.89%2,305.6万
49.45%5,766.6万
30.49%4,940.9万
82.99%5,623.8万
82.99%5,623.8万
86.61%8,504.9万
-短期投资
106.99%9,419.5万
92.86%1.42亿
91.77%1.79亿
91.77%1.79亿
-39.37%5,253万
-45.62%4,550.6万
-29.14%7,384.8万
-31.25%9,313.7万
-31.25%9,313.7万
-41.94%8,663.6万
应收款项
-39.30%1,292.8万
-40.24%1,229.3万
-41.69%1,087.1万
-41.69%1,087.1万
86.75%2,368.2万
-2.88%2,129.9万
6.64%2,057万
10.93%1,864.4万
10.93%1,864.4万
12.35%1,268.1万
-应收利息
138.75%88.1万
204.05%142.6万
115.44%140.9万
115.44%140.9万
-30.14%40.8万
-44.59%36.9万
1.30%46.9万
-26.35%65.4万
-26.35%65.4万
--58.4万
-应收税费
-42.44%1,204.7万
-45.94%1,086.7万
-47.40%946.2万
-47.40%946.2万
92.39%2,327.4万
-1.57%2,093万
6.77%2,010.1万
13.01%1,799万
13.01%1,799万
7.18%1,209.7万
预付费用
-13.83%356.3万
-15.73%506.9万
2.58%441.8万
2.58%441.8万
-37.75%483.5万
-41.04%413.5万
-33.48%601.5万
-59.51%430.7万
-59.51%430.7万
--776.7万
流动资产合计
18.40%1.52亿
27.89%1.92亿
30.97%2.26亿
30.97%2.26亿
-45.82%1.04亿
-14.95%1.29亿
-12.07%1.5亿
-11.01%1.72亿
-11.01%1.72亿
-10.41%1.92亿
非流动资产
固定资产净额
-19.37%790.2万
-23.35%795.9万
-15.07%914.7万
-15.07%914.7万
-14.99%946.8万
-14.22%980万
-11.20%1,038.4万
7.27%1,077万
7.27%1,077万
7.15%1,113.8万
-固定资产
-19.37%790.2万
-23.35%795.9万
-6.33%1,285.9万
-6.33%1,285.9万
-14.99%946.8万
-14.22%980万
-11.20%1,038.4万
10.19%1,372.8万
10.19%1,372.8万
7.15%1,113.8万
-累计折旧
----
----
-25.49%-371.2万
-25.49%-371.2万
----
----
----
-22.28%-295.8万
-22.28%-295.8万
----
其他非流动资产
96.44%66.2万
470.75%60.5万
434.91%56.7万
434.91%56.7万
101.52%39.7万
71.07%33.7万
-51.38%10.6万
-45.08%10.6万
-45.08%10.6万
2.07%19.7万
非流动资产合计
-15.52%856.4万
-18.36%856.4万
-10.68%971.4万
-10.68%971.4万
-12.97%986.5万
-12.78%1,013.7万
-11.94%1,049万
6.28%1,087.6万
6.28%1,087.6万
7.06%1,133.5万
总资产
15.92%1.61亿
24.86%2亿
28.49%2.35亿
28.49%2.35亿
-43.99%1.14亿
-14.80%1.39亿
-12.06%1.6亿
-10.14%1.83亿
-10.14%1.83亿
-9.59%2.03亿
负债
流动负债
应付款项
6.17%519.8万
113.28%1,079.2万
89.06%910.7万
89.06%910.7万
82.63%310.1万
44.68%489.6万
74.00%506万
32.41%481.7万
32.41%481.7万
-22.29%169.8万
-应付账款
6.17%519.8万
113.28%1,079.2万
89.06%910.7万
89.06%910.7万
82.63%310.1万
44.68%489.6万
74.00%506万
32.41%481.7万
32.41%481.7万
-22.29%169.8万
应计费用
7.60%845.1万
31.95%719万
16.05%571.1万
16.05%571.1万
98.04%937.5万
105.66%785.4万
44.77%544.9万
76.19%492.1万
76.19%492.1万
48.03%473.4万
短期借款与租赁负债
33.89%153.7万
12.66%126.4万
19.78%130.2万
19.78%130.2万
12.30%118.7万
11.89%114.8万
12.54%112.2万
11.26%108.7万
11.26%108.7万
4.24%105.7万
-短期租赁负债
33.89%153.7万
12.66%126.4万
19.78%130.2万
19.78%130.2万
12.30%118.7万
11.89%114.8万
12.54%112.2万
11.26%108.7万
11.26%108.7万
4.24%105.7万
流动负债总额
24.86%2,216.4万
58.58%2,241.1万
51.72%2,280.7万
51.72%2,280.7万
64.81%1,912.8万
56.81%1,775.1万
45.20%1,413.2万
29.85%1,503.2万
29.85%1,503.2万
20.28%1,160.6万
非流动负债
长期借款与租赁负债
-28.58%467.5万
-27.34%498.8万
-15.82%601.5万
-15.82%601.5万
-15.69%625.7万
-15.04%654.6万
-14.34%686.5万
-0.92%714.5万
-0.92%714.5万
-0.62%742.1万
-长期租赁负债
-28.58%467.5万
-27.34%498.8万
-15.82%601.5万
-15.82%601.5万
-15.69%625.7万
-15.04%654.6万
-14.34%686.5万
-0.92%714.5万
-0.92%714.5万
-0.62%742.1万
非流动负债总额
-28.58%467.5万
-27.34%498.8万
-15.82%601.5万
-15.82%601.5万
-15.69%625.7万
-15.04%654.6万
-14.34%686.5万
-0.92%714.5万
-0.92%714.5万
-0.62%742.1万
总负债
10.46%2,683.9万
30.49%2,739.9万
29.96%2,882.2万
29.96%2,882.2万
33.42%2,538.5万
27.71%2,429.7万
18.31%2,099.7万
18.04%2,217.7万
18.04%2,217.7万
11.16%1,902.7万
所有者权益
股本
26.47%4.3万
26.47%4.3万
23.53%4.2万
23.53%4.2万
0.00%3.4万
36.00%3.4万
36.00%3.4万
36.00%3.4万
36.00%3.4万
41.67%3.4万
-普通股股本
26.47%4.3万
26.47%4.3万
23.53%4.2万
23.53%4.2万
0.00%3.4万
36.00%3.4万
36.00%3.4万
36.00%3.4万
36.00%3.4万
41.67%3.4万
留存收益
-39.49%-5.52亿
-38.48%-5.1亿
-36.91%-4.7亿
-36.91%-4.7亿
-34.19%-4.25亿
-34.04%-3.96亿
-34.84%-3.68亿
-37.14%-3.43亿
-37.14%-3.43亿
-40.13%-3.17亿
资本公积
34.08%6.89亿
34.31%6.86亿
34.04%6.8亿
34.04%6.8亿
2.42%5.17亿
15.60%5.14亿
15.54%5.11亿
15.49%5.07亿
15.49%5.07亿
15.68%5.05亿
不影响留存收益的损益
22.05%-270.1万
0.76%-286.9万
-13.99%-348.8万
-13.99%-348.8万
6.98%-329.4万
34.94%-346.5万
30.34%-289.1万
20.75%-306万
20.75%-306万
-51.39%-354.1万
股东权益总额
17.08%1.34亿
24.02%1.73亿
28.29%2.07亿
28.29%2.07亿
-51.97%8,858.3万
-20.42%1.14亿
-15.33%1.39亿
-13.00%1.61亿
-13.00%1.61亿
-11.30%1.84亿
总权益
17.08%1.34亿
24.02%1.73亿
28.29%2.07亿
28.29%2.07亿
-51.97%8,858.3万
-20.42%1.14亿
-15.33%1.39亿
-13.00%1.61亿
-13.00%1.61亿
-11.30%1.84亿
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
--
--
--
--
无保留意见
--
--
(Q2)2024/10/31(Q1)2024/07/31(FY)2024/04/30(Q4)2024/04/30(Q3)2024/01/31(Q2)2023/10/31(Q1)2023/07/31(FY)2023/04/30(Q4)2023/04/30(Q3)2023/01/31
资产
流动资产
现金及现金等价物和短期投资 31.60%1.36亿41.39%1.74亿40.85%2.1亿40.85%2.1亿-55.97%7,558.6万-15.62%1.03亿-13.25%1.23亿-10.12%1.49亿-10.12%1.49亿-11.86%1.72亿
-现金和现金等价物 -27.89%4,158.1万-35.54%3,184.8万-43.47%3,178.9万-43.47%3,178.9万-72.89%2,305.6万49.45%5,766.6万30.49%4,940.9万82.99%5,623.8万82.99%5,623.8万86.61%8,504.9万
-短期投资 106.99%9,419.5万92.86%1.42亿91.77%1.79亿91.77%1.79亿-39.37%5,253万-45.62%4,550.6万-29.14%7,384.8万-31.25%9,313.7万-31.25%9,313.7万-41.94%8,663.6万
应收款项 -39.30%1,292.8万-40.24%1,229.3万-41.69%1,087.1万-41.69%1,087.1万86.75%2,368.2万-2.88%2,129.9万6.64%2,057万10.93%1,864.4万10.93%1,864.4万12.35%1,268.1万
-应收利息 138.75%88.1万204.05%142.6万115.44%140.9万115.44%140.9万-30.14%40.8万-44.59%36.9万1.30%46.9万-26.35%65.4万-26.35%65.4万--58.4万
-应收税费 -42.44%1,204.7万-45.94%1,086.7万-47.40%946.2万-47.40%946.2万92.39%2,327.4万-1.57%2,093万6.77%2,010.1万13.01%1,799万13.01%1,799万7.18%1,209.7万
预付费用 -13.83%356.3万-15.73%506.9万2.58%441.8万2.58%441.8万-37.75%483.5万-41.04%413.5万-33.48%601.5万-59.51%430.7万-59.51%430.7万--776.7万
流动资产合计 18.40%1.52亿27.89%1.92亿30.97%2.26亿30.97%2.26亿-45.82%1.04亿-14.95%1.29亿-12.07%1.5亿-11.01%1.72亿-11.01%1.72亿-10.41%1.92亿
非流动资产
固定资产净额 -19.37%790.2万-23.35%795.9万-15.07%914.7万-15.07%914.7万-14.99%946.8万-14.22%980万-11.20%1,038.4万7.27%1,077万7.27%1,077万7.15%1,113.8万
-固定资产 -19.37%790.2万-23.35%795.9万-6.33%1,285.9万-6.33%1,285.9万-14.99%946.8万-14.22%980万-11.20%1,038.4万10.19%1,372.8万10.19%1,372.8万7.15%1,113.8万
-累计折旧 ---------25.49%-371.2万-25.49%-371.2万-------------22.28%-295.8万-22.28%-295.8万----
其他非流动资产 96.44%66.2万470.75%60.5万434.91%56.7万434.91%56.7万101.52%39.7万71.07%33.7万-51.38%10.6万-45.08%10.6万-45.08%10.6万2.07%19.7万
非流动资产合计 -15.52%856.4万-18.36%856.4万-10.68%971.4万-10.68%971.4万-12.97%986.5万-12.78%1,013.7万-11.94%1,049万6.28%1,087.6万6.28%1,087.6万7.06%1,133.5万
总资产 15.92%1.61亿24.86%2亿28.49%2.35亿28.49%2.35亿-43.99%1.14亿-14.80%1.39亿-12.06%1.6亿-10.14%1.83亿-10.14%1.83亿-9.59%2.03亿
负债
流动负债
应付款项 6.17%519.8万113.28%1,079.2万89.06%910.7万89.06%910.7万82.63%310.1万44.68%489.6万74.00%506万32.41%481.7万32.41%481.7万-22.29%169.8万
-应付账款 6.17%519.8万113.28%1,079.2万89.06%910.7万89.06%910.7万82.63%310.1万44.68%489.6万74.00%506万32.41%481.7万32.41%481.7万-22.29%169.8万
应计费用 7.60%845.1万31.95%719万16.05%571.1万16.05%571.1万98.04%937.5万105.66%785.4万44.77%544.9万76.19%492.1万76.19%492.1万48.03%473.4万
短期借款与租赁负债 33.89%153.7万12.66%126.4万19.78%130.2万19.78%130.2万12.30%118.7万11.89%114.8万12.54%112.2万11.26%108.7万11.26%108.7万4.24%105.7万
-短期租赁负债 33.89%153.7万12.66%126.4万19.78%130.2万19.78%130.2万12.30%118.7万11.89%114.8万12.54%112.2万11.26%108.7万11.26%108.7万4.24%105.7万
流动负债总额 24.86%2,216.4万58.58%2,241.1万51.72%2,280.7万51.72%2,280.7万64.81%1,912.8万56.81%1,775.1万45.20%1,413.2万29.85%1,503.2万29.85%1,503.2万20.28%1,160.6万
非流动负债
长期借款与租赁负债 -28.58%467.5万-27.34%498.8万-15.82%601.5万-15.82%601.5万-15.69%625.7万-15.04%654.6万-14.34%686.5万-0.92%714.5万-0.92%714.5万-0.62%742.1万
-长期租赁负债 -28.58%467.5万-27.34%498.8万-15.82%601.5万-15.82%601.5万-15.69%625.7万-15.04%654.6万-14.34%686.5万-0.92%714.5万-0.92%714.5万-0.62%742.1万
非流动负债总额 -28.58%467.5万-27.34%498.8万-15.82%601.5万-15.82%601.5万-15.69%625.7万-15.04%654.6万-14.34%686.5万-0.92%714.5万-0.92%714.5万-0.62%742.1万
总负债 10.46%2,683.9万30.49%2,739.9万29.96%2,882.2万29.96%2,882.2万33.42%2,538.5万27.71%2,429.7万18.31%2,099.7万18.04%2,217.7万18.04%2,217.7万11.16%1,902.7万
所有者权益
股本 26.47%4.3万26.47%4.3万23.53%4.2万23.53%4.2万0.00%3.4万36.00%3.4万36.00%3.4万36.00%3.4万36.00%3.4万41.67%3.4万
-普通股股本 26.47%4.3万26.47%4.3万23.53%4.2万23.53%4.2万0.00%3.4万36.00%3.4万36.00%3.4万36.00%3.4万36.00%3.4万41.67%3.4万
留存收益 -39.49%-5.52亿-38.48%-5.1亿-36.91%-4.7亿-36.91%-4.7亿-34.19%-4.25亿-34.04%-3.96亿-34.84%-3.68亿-37.14%-3.43亿-37.14%-3.43亿-40.13%-3.17亿
资本公积 34.08%6.89亿34.31%6.86亿34.04%6.8亿34.04%6.8亿2.42%5.17亿15.60%5.14亿15.54%5.11亿15.49%5.07亿15.49%5.07亿15.68%5.05亿
不影响留存收益的损益 22.05%-270.1万0.76%-286.9万-13.99%-348.8万-13.99%-348.8万6.98%-329.4万34.94%-346.5万30.34%-289.1万20.75%-306万20.75%-306万-51.39%-354.1万
股东权益总额 17.08%1.34亿24.02%1.73亿28.29%2.07亿28.29%2.07亿-51.97%8,858.3万-20.42%1.14亿-15.33%1.39亿-13.00%1.61亿-13.00%1.61亿-11.30%1.84亿
总权益 17.08%1.34亿24.02%1.73亿28.29%2.07亿28.29%2.07亿-51.97%8,858.3万-20.42%1.14亿-15.33%1.39亿-13.00%1.61亿-13.00%1.61亿-11.30%1.84亿
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--------无保留意见----
美股市场投资机会
美国降息利好概念 美国降息利好概念

主要展示有望受惠于美联储降息的代表性个股。資訊由富途提供, 并非详尽无遗的有关主题概念股, 仅供参考。 展示条件: 美国降息利好概念板块中涨跌幅首5位, 由高至低排列,实时市场数据。 主要展示有望受惠于美联储降息的代表性个股。資訊由富途提供, 并非详尽无遗的有关主题概念股, 仅供参考。 展示条件: 美国降息利好概念板块中涨跌幅首5位, 由高至低排列,实时市场数据。