美股市场个股详情

PHVS Pharvaris

添加自选
  • 21.810
  • -0.550-2.46%
交易中 11/29 10:48 (美东)
11.83亿总市值-7948市盈率TTM

Pharvaris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
经营活动现金流量(间接法)
持续经营活动现金净额
-41.22%-3,326.15万
-35.15%-2,768.32万
3.86%-2,423.18万
-38.54%-9,304.91万
-16.64%-2,380.89万
-55.15%-2,355.27万
-49.65%-2,048.27万
-40.96%-2,520.48万
-50.59%-6,716.26万
-63.26%-2,041.3万
持续经营净收入
-76.87%-4,148.07万
-36.03%-2,966.05万
-22.88%-2,773.36万
-31.95%-9,982.63万
17.72%-3,200万
-115.32%-2,345.23万
-120.69%-2,180.37万
-41.17%-2,257.03万
-77.34%-7,565.35万
-214.65%-3,889.35万
持续经营损益
312.38%570.8万
-290.42%-260.53万
-133.92%-54.13万
125.17%279.44万
-70.42%455.39万
76.67%-268.76万
94.22%-66.73万
146.43%159.55万
5.61%-1,110.04万
492.35%1,539.26万
折旧和摊销
-35.86%4.36万
11.26%6.87万
7.25%6.64万
68.40%25.76万
42.99%6.6万
76.12%6.79万
74.63%6.17万
88.34%6.19万
97.67%15.29万
38.38%4.62万
其他非现金项目
-3,085.84%-196.71万
-13,222.40%-210.48万
44.70%-5.6万
-619.74%-20.4万
13.22%-5.71万
-337.09%-6.17万
-58.56%1.6万
-351.08%-10.12万
-85.34%3.93万
-324.21%-6.58万
营运资金变化
-1,315.27%-138.5万
479.84%172.59万
123.91%163.17万
-169.99%-586.27万
1,185.84%130.27万
-97.41%11.4万
-110.05%-45.44万
-1,499.64%-682.5万
431.76%837.69万
-106.60%-12万
-应收款项(增)减
-611.07%-13.01万
-354.64%-15.22万
620.47%6.04万
-112.92%-4.11万
-628.74%-11.47万
135.24%2.55万
-82.26%5.98万
-137.39%-1.16万
343.38%31.76万
132.03%2.17万
-应付款项及应计费用(减)增
-716.93%-282.63万
106.41%16.57万
3,037.92%358.39万
-146.05%-486.77万
-1,710.45%-285.4万
-88.84%45.81万
-174.52%-258.61万
-95.95%11.42万
621.07%1,057.04万
112.47%17.72万
-其他流动资产变化
525.14%157.14万
-17.36%171.23万
70.95%-201.27万
62.01%-95.39万
1,439.50%427.14万
-199.62%-36.96万
190.85%207.19万
-111.49%-692.76万
-1,146.83%-251.11万
-109.64%-31.89万
非持续经营活动现金净额
经营活动现金净额
-41.22%-3,326.15万
-35.15%-2,768.32万
3.86%-2,423.18万
-38.54%-9,304.91万
-16.64%-2,380.89万
-55.15%-2,355.27万
-49.65%-2,048.27万
-40.96%-2,520.48万
-50.59%-6,716.26万
-63.26%-2,041.3万
投资活动现金流量
持续投资活动现金净额
-3,989.79%-30.63万
-14.43%-4.01万
-61.30%-3.07万
27.61%-9万
-20.06%-2.84万
85.29%-7,490
-50.11%-3.51万
27.81%-1.9万
4.41%-12.43万
65.51%-2.36万
固定资产交易的净现金流
-3,989.79%-30.63万
-14.43%-4.01万
-61.30%-3.07万
27.61%-9万
-20.06%-2.84万
85.29%-7,490
-50.11%-3.51万
27.81%-1.9万
4.41%-12.43万
65.51%-2.36万
非持续投资活动现金净额
投资活动现金净额
-3,989.79%-30.63万
-14.43%-4.01万
-61.30%-3.07万
27.61%-9万
-20.06%-2.84万
85.29%-7,490
-50.11%-3.51万
27.81%-1.9万
4.41%-12.43万
65.51%-2.36万
融资活动现金流量
持续融资活动现金净额
910.82%99.19万
-99.49%32.34万
1,500.91%79.5万
3,661.61%3.25亿
163,876.43%2.62亿
-831.37%-12.23万
614.63%6,384.1万
48.47%-5.68万
-93.98%865.04万
74.20%-15.98万
债务发行/偿还的净现金流
65.82%-2.58万
-59.65%-5.35万
5.27%-5.38万
-84.48%-22.05万
-18.28%-5.47万
-110.00%-7.56万
-57.29%-3.35万
-254.21%-5.68万
---11.95万
-324.58%-4.62万
普通股发行/偿还的净现金流
777.83%101.87万
-99.31%44.3万
--18.98万
3,468.33%3.43亿
--2.79亿
429.31%11.61万
568.97%6,408.5万
--0
-93.87%960.99万
--0
其他融资活动的净现金流额
99.41%-968
---6.61万
--65.9万
-1,959.34%-1,729.78万
-14,797.98%-1,692.46万
-17,399.04%-16.28万
----
----
93.61%-84万
50.35%-11.36万
非持续融资活动现金净额
融资活动现金净额
910.82%99.19万
-99.49%32.34万
1,500.91%79.5万
3,661.61%3.25亿
163,876.43%2.62亿
-831.37%-12.23万
614.63%6,384.1万
48.47%-5.68万
-93.98%865.04万
74.20%-15.98万
现金净流量
期初现金流
91.74%3.44亿
172.48%3.68亿
141.74%3.91亿
-22.70%1.62亿
-19.91%1.58亿
-11.02%1.79亿
-30.60%1.35亿
-22.70%1.62亿
112.26%2.09亿
-9.55%1.98亿
当期现金流变化
-37.55%-3,257.59万
-163.25%-2,739.99万
7.17%-2,346.75万
496.09%2.32亿
1,255.03%2.38亿
-55.34%-2,368.26万
1,006.85%4,332.32万
-40.31%-2,528.06万
-159.26%-5,863.66万
-56.14%-2,059.64万
利率变动影响
-303.52%-580.53万
284.64%263.21万
142.02%57.8万
-125.71%-285.97万
67.17%-502.09万
-75.39%285.25万
-93.99%68.43万
-140.00%-137.56万
-5.62%1,112.09万
-487.39%-1,529.56万
期末现金流
92.72%3.05亿
91.74%3.44亿
172.48%3.68亿
141.74%3.91亿
141.74%3.91亿
-19.91%1.58亿
-11.02%1.79亿
-30.60%1.35亿
-22.70%1.62亿
-22.70%1.62亿
自由现金流
-42.48%-3,356.79万
-35.12%-2,772.33万
3.81%-2,426.25万
-38.42%-9,313.91万
-16.64%-2,383.73万
-54.68%-2,356.02万
-49.65%-2,051.78万
-40.86%-2,522.38万
-50.43%-6,728.69万
-62.56%-2,043.66万
货币单位
欧元
欧元
欧元
欧元
欧元
欧元
欧元
欧元
欧元
欧元
(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
经营活动现金流量(间接法)
持续经营活动现金净额 -41.22%-3,326.15万-35.15%-2,768.32万3.86%-2,423.18万-38.54%-9,304.91万-16.64%-2,380.89万-55.15%-2,355.27万-49.65%-2,048.27万-40.96%-2,520.48万-50.59%-6,716.26万-63.26%-2,041.3万
持续经营净收入 -76.87%-4,148.07万-36.03%-2,966.05万-22.88%-2,773.36万-31.95%-9,982.63万17.72%-3,200万-115.32%-2,345.23万-120.69%-2,180.37万-41.17%-2,257.03万-77.34%-7,565.35万-214.65%-3,889.35万
持续经营损益 312.38%570.8万-290.42%-260.53万-133.92%-54.13万125.17%279.44万-70.42%455.39万76.67%-268.76万94.22%-66.73万146.43%159.55万5.61%-1,110.04万492.35%1,539.26万
折旧和摊销 -35.86%4.36万11.26%6.87万7.25%6.64万68.40%25.76万42.99%6.6万76.12%6.79万74.63%6.17万88.34%6.19万97.67%15.29万38.38%4.62万
其他非现金项目 -3,085.84%-196.71万-13,222.40%-210.48万44.70%-5.6万-619.74%-20.4万13.22%-5.71万-337.09%-6.17万-58.56%1.6万-351.08%-10.12万-85.34%3.93万-324.21%-6.58万
营运资金变化 -1,315.27%-138.5万479.84%172.59万123.91%163.17万-169.99%-586.27万1,185.84%130.27万-97.41%11.4万-110.05%-45.44万-1,499.64%-682.5万431.76%837.69万-106.60%-12万
-应收款项(增)减 -611.07%-13.01万-354.64%-15.22万620.47%6.04万-112.92%-4.11万-628.74%-11.47万135.24%2.55万-82.26%5.98万-137.39%-1.16万343.38%31.76万132.03%2.17万
-应付款项及应计费用(减)增 -716.93%-282.63万106.41%16.57万3,037.92%358.39万-146.05%-486.77万-1,710.45%-285.4万-88.84%45.81万-174.52%-258.61万-95.95%11.42万621.07%1,057.04万112.47%17.72万
-其他流动资产变化 525.14%157.14万-17.36%171.23万70.95%-201.27万62.01%-95.39万1,439.50%427.14万-199.62%-36.96万190.85%207.19万-111.49%-692.76万-1,146.83%-251.11万-109.64%-31.89万
非持续经营活动现金净额
经营活动现金净额 -41.22%-3,326.15万-35.15%-2,768.32万3.86%-2,423.18万-38.54%-9,304.91万-16.64%-2,380.89万-55.15%-2,355.27万-49.65%-2,048.27万-40.96%-2,520.48万-50.59%-6,716.26万-63.26%-2,041.3万
投资活动现金流量
持续投资活动现金净额 -3,989.79%-30.63万-14.43%-4.01万-61.30%-3.07万27.61%-9万-20.06%-2.84万85.29%-7,490-50.11%-3.51万27.81%-1.9万4.41%-12.43万65.51%-2.36万
固定资产交易的净现金流 -3,989.79%-30.63万-14.43%-4.01万-61.30%-3.07万27.61%-9万-20.06%-2.84万85.29%-7,490-50.11%-3.51万27.81%-1.9万4.41%-12.43万65.51%-2.36万
非持续投资活动现金净额
投资活动现金净额 -3,989.79%-30.63万-14.43%-4.01万-61.30%-3.07万27.61%-9万-20.06%-2.84万85.29%-7,490-50.11%-3.51万27.81%-1.9万4.41%-12.43万65.51%-2.36万
融资活动现金流量
持续融资活动现金净额 910.82%99.19万-99.49%32.34万1,500.91%79.5万3,661.61%3.25亿163,876.43%2.62亿-831.37%-12.23万614.63%6,384.1万48.47%-5.68万-93.98%865.04万74.20%-15.98万
债务发行/偿还的净现金流 65.82%-2.58万-59.65%-5.35万5.27%-5.38万-84.48%-22.05万-18.28%-5.47万-110.00%-7.56万-57.29%-3.35万-254.21%-5.68万---11.95万-324.58%-4.62万
普通股发行/偿还的净现金流 777.83%101.87万-99.31%44.3万--18.98万3,468.33%3.43亿--2.79亿429.31%11.61万568.97%6,408.5万--0-93.87%960.99万--0
其他融资活动的净现金流额 99.41%-968---6.61万--65.9万-1,959.34%-1,729.78万-14,797.98%-1,692.46万-17,399.04%-16.28万--------93.61%-84万50.35%-11.36万
非持续融资活动现金净额
融资活动现金净额 910.82%99.19万-99.49%32.34万1,500.91%79.5万3,661.61%3.25亿163,876.43%2.62亿-831.37%-12.23万614.63%6,384.1万48.47%-5.68万-93.98%865.04万74.20%-15.98万
现金净流量
期初现金流 91.74%3.44亿172.48%3.68亿141.74%3.91亿-22.70%1.62亿-19.91%1.58亿-11.02%1.79亿-30.60%1.35亿-22.70%1.62亿112.26%2.09亿-9.55%1.98亿
当期现金流变化 -37.55%-3,257.59万-163.25%-2,739.99万7.17%-2,346.75万496.09%2.32亿1,255.03%2.38亿-55.34%-2,368.26万1,006.85%4,332.32万-40.31%-2,528.06万-159.26%-5,863.66万-56.14%-2,059.64万
利率变动影响 -303.52%-580.53万284.64%263.21万142.02%57.8万-125.71%-285.97万67.17%-502.09万-75.39%285.25万-93.99%68.43万-140.00%-137.56万-5.62%1,112.09万-487.39%-1,529.56万
期末现金流 92.72%3.05亿91.74%3.44亿172.48%3.68亿141.74%3.91亿141.74%3.91亿-19.91%1.58亿-11.02%1.79亿-30.60%1.35亿-22.70%1.62亿-22.70%1.62亿
自由现金流 -42.48%-3,356.79万-35.12%-2,772.33万3.81%-2,426.25万-38.42%-9,313.91万-16.64%-2,383.73万-54.68%-2,356.02万-49.65%-2,051.78万-40.86%-2,522.38万-50.43%-6,728.69万-62.56%-2,043.66万
货币单位 欧元欧元欧元欧元欧元欧元欧元欧元欧元欧元

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