美股市场个股详情

RGNX Regenxbio

添加自选
  • 7.380
  • -0.240-3.15%
收盘价 12/23 16:00 (美东)
  • 7.380
  • 0.0000.00%
盘后 20:01 (美东)
3.66亿总市值-1.47市盈率TTM

Regenxbio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
-15.38%2.55亿
-9.29%2.9亿
2.08%3.39亿
-24.51%2.75亿
-24.51%2.75亿
-21.06%3.02亿
-20.57%3.2亿
-15.81%3.32亿
-20.29%3.65亿
-20.29%3.65亿
-现金和现金等价物
6.73%5,661.7万
-15.79%5,776.5万
61.18%1.13亿
-64.39%3,452.2万
-64.39%3,452.2万
-55.25%5,304.5万
-43.48%6,860万
-63.47%7,009.1万
-71.91%9,695.2万
-71.91%9,695.2万
-短期投资
-20.09%1.99亿
-7.51%2.33亿
-13.75%2.26亿
-10.07%2.41亿
-10.07%2.41亿
-5.70%2.49亿
-10.69%2.51亿
29.40%2.62亿
138.52%2.68亿
138.52%2.68亿
应收款项
-20.60%2,518.2万
-3.14%2,419.6万
-24.22%1,732.6万
-13.04%2,634.1万
-13.04%2,634.1万
-2.56%3,171.6万
-33.39%2,498万
-15.38%2,286.5万
-6.62%3,029.2万
-6.62%3,029.2万
-应收账款
5,385.87%504.7万
1,193.13%508.2万
1,821.20%480.3万
-5.36%26.5万
-5.36%26.5万
-38.67%9.2万
-90.24%39.3万
-43.18%25万
-23.29%28万
-23.29%28万
-应收利息
-5.68%157.8万
-13.31%138.7万
-25.25%149.8万
-29.82%155.1万
-29.82%155.1万
--167.3万
--160万
--200.4万
--221万
--221万
-其他应收款
-21.54%2,349.9万
-1.91%2,254.8万
-23.70%1,572.7万
-11.79%2,452.5万
-11.79%2,452.5万
-7.56%2,995.1万
-31.32%2,298.7万
-22.46%2,061.1万
-13.32%2,780.2万
-13.32%2,780.2万
-应收账款调整额
---494.2万
---482.1万
---470.2万
----
----
----
----
----
----
----
预付费用
-12.41%1,100.2万
-33.69%1,002.1万
-12.44%1,359万
4.46%1,452万
4.46%1,452万
-15.27%1,256.1万
-6.97%1,511.2万
-16.29%1,552.1万
-25.87%1,390万
-25.87%1,390万
其他流动资产
10.56%2,175.2万
18.64%2,210.9万
35.79%2,579.9万
163.96%1,885.2万
163.96%1,885.2万
187.30%1,967.4万
113.78%1,863.5万
164.65%1,899.9万
-29.95%714.2万
-29.95%714.2万
流动资产合计
-14.33%3.13亿
-8.48%3.47亿
1.60%3.95亿
-19.47%3.35亿
-19.47%3.35亿
-16.21%3.66亿
-18.61%3.79亿
-12.91%3.89亿
-19.82%4.16亿
-19.82%4.16亿
非流动资产
固定资产净额
-10.88%1.76亿
-10.34%1.8亿
-9.78%1.85亿
-6.87%1.93亿
-6.87%1.93亿
-1.53%1.97亿
1.07%2.01亿
5.18%2.05亿
7.46%2.07亿
7.46%2.07亿
-固定资产
-2.58%2.45亿
-2.15%2.46亿
-1.71%2.47亿
0.65%2.5亿
0.65%2.5亿
5.91%2.52亿
7.66%2.51亿
10.60%2.51亿
12.06%2.48亿
12.06%2.48亿
-累计折旧
-27.54%-6,934.9万
-30.81%-6,540.3万
-34.65%-6,135.4万
-38.22%-5,720.8万
-38.22%-5,720.8万
-45.92%-5,437.4万
-45.90%-5,000万
-44.09%-4,556.7万
-42.54%-4,138.8万
-42.54%-4,138.8万
投资和预付款
-63.11%2,310.8万
-61.24%3,694.3万
-70.50%4,180.7万
-80.62%3,887.1万
-80.62%3,887.1万
-73.30%6,263.9万
-65.85%9,530.2万
-61.77%1.42亿
-48.82%2.01亿
-48.82%2.01亿
长期应收款
-62.52%40.4万
-59.41%46.4万
-59.77%52.3万
-53.39%70.1万
-53.39%70.1万
-40.21%107.8万
-43.81%114.3万
-37.62%130万
-33.51%150.4万
-33.51%150.4万
其他非流动资产
-8.12%636.2万
-18.27%497.6万
-39.47%624.7万
-18.87%683.7万
-18.87%683.7万
-33.29%692.4万
-23.28%608.8万
-2.26%1,032万
-0.37%842.7万
-0.37%842.7万
非流动资产合计
-23.22%2.06亿
-26.66%2.23亿
-34.81%2.34亿
-42.73%2.39亿
-42.73%2.39亿
-40.08%2.68亿
-37.78%3.04亿
-38.01%3.59亿
-29.88%4.17亿
-29.88%4.17亿
总资产
-18.09%5.19亿
-16.57%5.69亿
-15.86%6.29亿
-31.12%5.74亿
-31.12%5.74亿
-28.29%6.34亿
-28.42%6.82亿
-27.07%7.48亿
-25.19%8.33亿
-25.19%8.33亿
负债
流动负债
应付款项
-10.69%1,952.2万
40.58%1,636.2万
34.67%3,135.6万
-16.27%2,278.6万
-16.27%2,278.6万
-13.29%2,185.9万
-31.47%1,163.9万
-37.71%2,328.3万
19.82%2,721.3万
19.82%2,721.3万
-应付账款
-10.69%1,952.2万
40.58%1,636.2万
34.67%3,135.6万
-16.27%2,278.6万
-16.27%2,278.6万
-13.29%2,185.9万
-31.47%1,163.9万
-5.77%2,328.3万
138.98%2,721.3万
138.98%2,721.3万
应计费用
11.42%3,430.7万
-18.13%3,003.9万
8.74%2,504.4万
9.87%3,155.7万
9.87%3,155.7万
-0.78%3,079.2万
8.31%3,669万
-17.45%2,303.1万
-36.08%2,872.3万
-36.08%2,872.3万
短期借款与租赁负债
16.28%772万
15.43%730.2万
12.11%706.6万
17.86%706.8万
17.86%706.8万
84.01%663.9万
123.38%632.6万
197.17%630.3万
242.29%599.7万
242.29%599.7万
-短期租赁负债
16.28%772万
15.43%730.2万
12.11%706.6万
17.86%706.8万
17.86%706.8万
84.01%663.9万
123.38%632.6万
197.17%630.3万
242.29%599.7万
242.29%599.7万
递延负债
-67.42%14.4万
-95.31%2.1万
-99.01%1.3万
-91.91%14.8万
-91.91%14.8万
-92.51%44.2万
-93.25%44.8万
-60.67%131.1万
-45.12%182.9万
-45.12%182.9万
其他流动负债
-49.39%2,669.7万
-34.44%3,210万
-22.35%3,861.5万
4.05%5,056.7万
4.05%5,056.7万
18.90%5,275万
19.16%4,896.3万
20.26%4,972.8万
28.27%4,860.1万
28.27%4,860.1万
流动负债总额
-19.33%1.03亿
-16.64%9,827.3万
-1.92%1.1亿
-0.12%1.3亿
-0.12%1.3亿
3.07%1.27亿
2.91%1.18亿
-6.34%1.12亿
-0.03%1.3亿
-0.03%1.3亿
非流动负债
长期借款与租赁负债
-9.18%7,634.2万
-8.23%7,823.4万
-7.83%8,018.3万
-7.41%8,222.2万
-7.41%8,222.2万
-0.73%8,405.8万
-0.49%8,525.4万
1.66%8,699.2万
4.56%8,880.2万
4.56%8,880.2万
-长期租赁负债
-9.18%7,634.2万
-8.23%7,823.4万
-7.83%8,018.3万
-7.41%8,222.2万
-7.41%8,222.2万
-0.73%8,405.8万
-0.49%8,525.4万
1.66%8,699.2万
4.56%8,880.2万
4.56%8,880.2万
其他非流动负债
-34.84%3,863.1万
-39.28%4,460.5万
-42.20%4,818.7万
-49.17%4,973.4万
-49.17%4,973.4万
-46.95%5,928.2万
-40.13%7,345.6万
-35.97%8,336.5万
-27.10%9,783.7万
-27.10%9,783.7万
非流动负债总额
-19.79%1.15亿
-22.60%1.23亿
-24.65%1.28亿
-29.30%1.32亿
-29.30%1.32亿
-27.02%1.43亿
-23.83%1.59亿
-21.04%1.7亿
-14.83%1.87亿
-14.83%1.87亿
总负债
-19.58%2.18亿
-20.06%2.21亿
-15.61%2.39亿
-17.30%2.62亿
-17.30%2.62亿
-15.40%2.71亿
-14.34%2.77亿
-15.79%2.83亿
-9.31%3.17亿
-9.31%3.17亿
所有者权益
股本
25.00%5,000
25.00%5,000
25.00%5,000
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
-普通股股本
25.00%5,000
25.00%5,000
25.00%5,000
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
0.00%4,000
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
-37.19%-8.81亿
-41.54%-8.21亿
-51.19%-7.68亿
-59.67%-7.05亿
-59.67%-7.05亿
-68.27%-6.42亿
-89.55%-5.8亿
-113.58%-5.08亿
-173.86%-4.42亿
-173.86%-4.42亿
资本公积
16.82%11.83亿
17.63%11.72亿
18.00%11.62亿
4.94%10.21亿
4.94%10.21亿
5.08%10.13亿
4.71%9.96亿
4.83%9.85亿
4.85%9.73亿
4.85%9.73亿
不影响留存收益的损益
92.15%-58.2万
77.56%-226.6万
72.22%-322.9万
71.24%-442.9万
71.24%-442.9万
59.39%-741.3万
31.60%-1,009.8万
2.74%-1,162.2万
-499.49%-1,540.1万
-499.49%-1,540.1万
股东权益总额
-16.99%3.01亿
-14.19%3.48亿
-16.01%3.91亿
-39.61%3.12亿
-39.61%3.12亿
-35.60%3.63亿
-35.63%4.06亿
-32.56%4.65亿
-32.46%5.16亿
-32.46%5.16亿
总权益
-16.99%3.01亿
-14.19%3.48亿
-16.01%3.91亿
-39.61%3.12亿
-39.61%3.12亿
-35.60%3.63亿
-35.63%4.06亿
-32.56%4.65亿
-32.46%5.16亿
-32.46%5.16亿
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
--
(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 -15.38%2.55亿-9.29%2.9亿2.08%3.39亿-24.51%2.75亿-24.51%2.75亿-21.06%3.02亿-20.57%3.2亿-15.81%3.32亿-20.29%3.65亿-20.29%3.65亿
-现金和现金等价物 6.73%5,661.7万-15.79%5,776.5万61.18%1.13亿-64.39%3,452.2万-64.39%3,452.2万-55.25%5,304.5万-43.48%6,860万-63.47%7,009.1万-71.91%9,695.2万-71.91%9,695.2万
-短期投资 -20.09%1.99亿-7.51%2.33亿-13.75%2.26亿-10.07%2.41亿-10.07%2.41亿-5.70%2.49亿-10.69%2.51亿29.40%2.62亿138.52%2.68亿138.52%2.68亿
应收款项 -20.60%2,518.2万-3.14%2,419.6万-24.22%1,732.6万-13.04%2,634.1万-13.04%2,634.1万-2.56%3,171.6万-33.39%2,498万-15.38%2,286.5万-6.62%3,029.2万-6.62%3,029.2万
-应收账款 5,385.87%504.7万1,193.13%508.2万1,821.20%480.3万-5.36%26.5万-5.36%26.5万-38.67%9.2万-90.24%39.3万-43.18%25万-23.29%28万-23.29%28万
-应收利息 -5.68%157.8万-13.31%138.7万-25.25%149.8万-29.82%155.1万-29.82%155.1万--167.3万--160万--200.4万--221万--221万
-其他应收款 -21.54%2,349.9万-1.91%2,254.8万-23.70%1,572.7万-11.79%2,452.5万-11.79%2,452.5万-7.56%2,995.1万-31.32%2,298.7万-22.46%2,061.1万-13.32%2,780.2万-13.32%2,780.2万
-应收账款调整额 ---494.2万---482.1万---470.2万----------------------------
预付费用 -12.41%1,100.2万-33.69%1,002.1万-12.44%1,359万4.46%1,452万4.46%1,452万-15.27%1,256.1万-6.97%1,511.2万-16.29%1,552.1万-25.87%1,390万-25.87%1,390万
其他流动资产 10.56%2,175.2万18.64%2,210.9万35.79%2,579.9万163.96%1,885.2万163.96%1,885.2万187.30%1,967.4万113.78%1,863.5万164.65%1,899.9万-29.95%714.2万-29.95%714.2万
流动资产合计 -14.33%3.13亿-8.48%3.47亿1.60%3.95亿-19.47%3.35亿-19.47%3.35亿-16.21%3.66亿-18.61%3.79亿-12.91%3.89亿-19.82%4.16亿-19.82%4.16亿
非流动资产
固定资产净额 -10.88%1.76亿-10.34%1.8亿-9.78%1.85亿-6.87%1.93亿-6.87%1.93亿-1.53%1.97亿1.07%2.01亿5.18%2.05亿7.46%2.07亿7.46%2.07亿
-固定资产 -2.58%2.45亿-2.15%2.46亿-1.71%2.47亿0.65%2.5亿0.65%2.5亿5.91%2.52亿7.66%2.51亿10.60%2.51亿12.06%2.48亿12.06%2.48亿
-累计折旧 -27.54%-6,934.9万-30.81%-6,540.3万-34.65%-6,135.4万-38.22%-5,720.8万-38.22%-5,720.8万-45.92%-5,437.4万-45.90%-5,000万-44.09%-4,556.7万-42.54%-4,138.8万-42.54%-4,138.8万
投资和预付款 -63.11%2,310.8万-61.24%3,694.3万-70.50%4,180.7万-80.62%3,887.1万-80.62%3,887.1万-73.30%6,263.9万-65.85%9,530.2万-61.77%1.42亿-48.82%2.01亿-48.82%2.01亿
长期应收款 -62.52%40.4万-59.41%46.4万-59.77%52.3万-53.39%70.1万-53.39%70.1万-40.21%107.8万-43.81%114.3万-37.62%130万-33.51%150.4万-33.51%150.4万
其他非流动资产 -8.12%636.2万-18.27%497.6万-39.47%624.7万-18.87%683.7万-18.87%683.7万-33.29%692.4万-23.28%608.8万-2.26%1,032万-0.37%842.7万-0.37%842.7万
非流动资产合计 -23.22%2.06亿-26.66%2.23亿-34.81%2.34亿-42.73%2.39亿-42.73%2.39亿-40.08%2.68亿-37.78%3.04亿-38.01%3.59亿-29.88%4.17亿-29.88%4.17亿
总资产 -18.09%5.19亿-16.57%5.69亿-15.86%6.29亿-31.12%5.74亿-31.12%5.74亿-28.29%6.34亿-28.42%6.82亿-27.07%7.48亿-25.19%8.33亿-25.19%8.33亿
负债
流动负债
应付款项 -10.69%1,952.2万40.58%1,636.2万34.67%3,135.6万-16.27%2,278.6万-16.27%2,278.6万-13.29%2,185.9万-31.47%1,163.9万-37.71%2,328.3万19.82%2,721.3万19.82%2,721.3万
-应付账款 -10.69%1,952.2万40.58%1,636.2万34.67%3,135.6万-16.27%2,278.6万-16.27%2,278.6万-13.29%2,185.9万-31.47%1,163.9万-5.77%2,328.3万138.98%2,721.3万138.98%2,721.3万
应计费用 11.42%3,430.7万-18.13%3,003.9万8.74%2,504.4万9.87%3,155.7万9.87%3,155.7万-0.78%3,079.2万8.31%3,669万-17.45%2,303.1万-36.08%2,872.3万-36.08%2,872.3万
短期借款与租赁负债 16.28%772万15.43%730.2万12.11%706.6万17.86%706.8万17.86%706.8万84.01%663.9万123.38%632.6万197.17%630.3万242.29%599.7万242.29%599.7万
-短期租赁负债 16.28%772万15.43%730.2万12.11%706.6万17.86%706.8万17.86%706.8万84.01%663.9万123.38%632.6万197.17%630.3万242.29%599.7万242.29%599.7万
递延负债 -67.42%14.4万-95.31%2.1万-99.01%1.3万-91.91%14.8万-91.91%14.8万-92.51%44.2万-93.25%44.8万-60.67%131.1万-45.12%182.9万-45.12%182.9万
其他流动负债 -49.39%2,669.7万-34.44%3,210万-22.35%3,861.5万4.05%5,056.7万4.05%5,056.7万18.90%5,275万19.16%4,896.3万20.26%4,972.8万28.27%4,860.1万28.27%4,860.1万
流动负债总额 -19.33%1.03亿-16.64%9,827.3万-1.92%1.1亿-0.12%1.3亿-0.12%1.3亿3.07%1.27亿2.91%1.18亿-6.34%1.12亿-0.03%1.3亿-0.03%1.3亿
非流动负债
长期借款与租赁负债 -9.18%7,634.2万-8.23%7,823.4万-7.83%8,018.3万-7.41%8,222.2万-7.41%8,222.2万-0.73%8,405.8万-0.49%8,525.4万1.66%8,699.2万4.56%8,880.2万4.56%8,880.2万
-长期租赁负债 -9.18%7,634.2万-8.23%7,823.4万-7.83%8,018.3万-7.41%8,222.2万-7.41%8,222.2万-0.73%8,405.8万-0.49%8,525.4万1.66%8,699.2万4.56%8,880.2万4.56%8,880.2万
其他非流动负债 -34.84%3,863.1万-39.28%4,460.5万-42.20%4,818.7万-49.17%4,973.4万-49.17%4,973.4万-46.95%5,928.2万-40.13%7,345.6万-35.97%8,336.5万-27.10%9,783.7万-27.10%9,783.7万
非流动负债总额 -19.79%1.15亿-22.60%1.23亿-24.65%1.28亿-29.30%1.32亿-29.30%1.32亿-27.02%1.43亿-23.83%1.59亿-21.04%1.7亿-14.83%1.87亿-14.83%1.87亿
总负债 -19.58%2.18亿-20.06%2.21亿-15.61%2.39亿-17.30%2.62亿-17.30%2.62亿-15.40%2.71亿-14.34%2.77亿-15.79%2.83亿-9.31%3.17亿-9.31%3.17亿
所有者权益
股本 25.00%5,00025.00%5,00025.00%5,0000.00%4,0000.00%4,0000.00%4,0000.00%4,0000.00%4,0000.00%4,0000.00%4,000
-普通股股本 25.00%5,00025.00%5,00025.00%5,0000.00%4,0000.00%4,0000.00%4,0000.00%4,0000.00%4,0000.00%4,0000.00%4,000
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 -37.19%-8.81亿-41.54%-8.21亿-51.19%-7.68亿-59.67%-7.05亿-59.67%-7.05亿-68.27%-6.42亿-89.55%-5.8亿-113.58%-5.08亿-173.86%-4.42亿-173.86%-4.42亿
资本公积 16.82%11.83亿17.63%11.72亿18.00%11.62亿4.94%10.21亿4.94%10.21亿5.08%10.13亿4.71%9.96亿4.83%9.85亿4.85%9.73亿4.85%9.73亿
不影响留存收益的损益 92.15%-58.2万77.56%-226.6万72.22%-322.9万71.24%-442.9万71.24%-442.9万59.39%-741.3万31.60%-1,009.8万2.74%-1,162.2万-499.49%-1,540.1万-499.49%-1,540.1万
股东权益总额 -16.99%3.01亿-14.19%3.48亿-16.01%3.91亿-39.61%3.12亿-39.61%3.12亿-35.60%3.63亿-35.63%4.06亿-32.56%4.65亿-32.46%5.16亿-32.46%5.16亿
总权益 -16.99%3.01亿-14.19%3.48亿-16.01%3.91亿-39.61%3.12亿-39.61%3.12亿-35.60%3.63亿-35.63%4.06亿-32.56%4.65亿-32.46%5.16亿-32.46%5.16亿
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。