美股市场个股详情

RIGL Rigel Pharmaceuticals

添加自选
  • 7.780
  • +0.050+0.65%
收盘价 07/05 16:00 (美东)
  • 7.530
  • -0.250-3.21%
盘后 16:20 (美东)
1.37亿总市值-7072市盈率TTM

Rigel Pharmaceuticals关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q3)2022/09/30
(Q2)2022/06/30
资产
流动资产
现金及现金等价物和短期投资
-15.53%4,955万
-2.19%5,693.3万
-2.19%5,693.3万
-23.63%6,235.1万
-27.82%6,435.7万
-45.44%5,866.2万
-53.42%5,820.6万
-53.42%5,820.6万
-42.97%8,164.2万
-41.87%8,916.6万
-现金和现金等价物
-36.52%2,557.4万
34.04%3,278.6万
34.04%3,278.6万
52.06%4,541.4万
79.45%4,881.2万
63.24%4,028.5万
29.48%2,445.9万
29.48%2,445.9万
-1.77%2,986.6万
-67.93%2,720.1万
-短期投资
30.47%2,397.6万
-28.45%2,414.7万
-28.45%2,414.7万
-67.29%1,693.7万
-74.91%1,554.5万
-77.82%1,837.7万
-68.19%3,374.7万
-68.19%3,374.7万
-54.08%5,177.6万
-9.62%6,196.5万
应收款项
-6.31%2,751.2万
-24.23%3,055万
-24.23%3,055万
51.67%2,354.6万
21.05%2,081.9万
92.69%2,936.6万
160.60%4,032万
160.60%4,032万
3.56%1,552.5万
-1.00%1,719.8万
-应收账款
-6.31%2,751.2万
-24.23%3,055万
-24.23%3,055万
51.67%2,354.6万
21.05%2,081.9万
92.69%2,936.6万
160.60%4,032万
160.60%4,032万
3.56%1,552.5万
-1.00%1,719.8万
存货
-40.61%657.9万
-39.44%552.2万
-39.44%552.2万
-14.11%611.2万
73.40%1,078.2万
63.76%1,107.7万
37.82%911.8万
37.82%911.8万
1.15%711.6万
-9.00%621.8万
预付费用
----
----
----
----
----
----
----
----
3.79%615.7万
20.18%793.9万
其他流动资产
12.43%884.5万
-24.19%626.1万
-24.19%626.1万
--301.5万
--496.7万
--786.7万
11.43%825.9万
11.43%825.9万
----
----
流动资产合计
-13.54%9,248.6万
-14.35%9,926.6万
-14.35%9,926.6万
-13.96%9,502.4万
-16.26%1.01亿
-23.01%1.07亿
-24.97%1.16亿
-24.97%1.16亿
-35.45%1.1亿
-34.57%1.21亿
非流动资产
固定资产净额
-39.87%85.2万
-63.19%102.6万
-63.19%102.6万
-74.43%119.8万
-82.87%121.2万
-85.35%141.7万
-76.55%278.7万
-76.55%278.7万
-67.64%468.5万
-57.26%707.7万
-固定资产
-39.87%85.2万
-79.92%273万
-79.92%273万
-74.43%119.8万
-82.87%121.2万
-85.35%141.7万
-48.58%1,359.4万
-48.58%1,359.4万
-67.64%468.5万
-57.26%707.7万
-累计折旧
----
84.23%-170.4万
84.23%-170.4万
----
----
----
25.73%-1,080.7万
25.73%-1,080.7万
----
----
商誉及其他无形资产
96.60%2,886.3万
-7.16%1,387.8万
-7.16%1,387.8万
--1,414.6万
--1,441.3万
--1,468.1万
--1,494.9万
--1,494.9万
----
----
其他非流动资产
696.68%431.8万
377.34%305.5万
377.34%305.5万
923.97%495.6万
34.24%54.1万
16.81%54.2万
-34.29%64万
-34.29%64万
-48.24%48.4万
-52.02%40.3万
非流动资产合计
104.53%3,403.3万
-2.27%1,795.9万
-2.27%1,795.9万
292.73%2,030万
116.12%1,616.6万
64.17%1,664万
42.88%1,837.6万
42.88%1,837.6万
-66.47%516.9万
-57.01%748万
总资产
2.35%1.27亿
-12.70%1.17亿
-12.70%1.17亿
-0.25%1.15亿
-8.52%1.17亿
-17.08%1.24亿
-19.75%1.34亿
-19.75%1.34亿
-38.02%1.16亿
-36.51%1.28亿
负债
流动负债
应付款项
47.36%927.6万
-68.27%714.2万
-68.27%714.2万
193.97%799.9万
143.16%524万
36.43%629.5万
493.10%2,250.8万
493.10%2,250.8万
-13.45%272.1万
27.59%215.5万
-应付账款
47.36%927.6万
-68.27%714.2万
-68.27%714.2万
193.97%799.9万
143.16%524万
36.43%629.5万
493.10%2,250.8万
493.10%2,250.8万
-13.45%272.1万
27.59%215.5万
应计费用
-20.56%956.2万
-37.67%884.7万
-37.67%884.7万
-57.17%1,078.4万
-58.47%1,083.9万
-53.70%1,203.6万
-6.38%1,419.3万
-6.38%1,419.3万
9.65%2,517.6万
38.65%2,609.8万
现行拨备
--1,604.5万
----
----
--1,454.3万
--1,368.4万
----
----
----
----
----
短期借款与租赁负债
3,349.67%1,548.9万
599.12%792.1万
599.12%792.1万
-79.69%67.3万
-91.98%46.6万
-94.59%44.9万
-88.55%113.3万
-88.55%113.3万
-65.39%331.4万
-36.98%581.1万
-短期借款
--1,478万
--722.9万
--722.9万
----
----
----
----
----
----
----
-短期租赁负债
57.91%70.9万
-38.92%69.2万
-38.92%69.2万
-79.69%67.3万
-91.98%46.6万
-94.59%44.9万
-88.55%113.3万
-88.55%113.3万
-65.39%331.4万
-36.98%581.1万
递延负债
-91.23%135.5万
26.08%1,703.9万
26.08%1,703.9万
-1.02%135.5万
-12.18%135.5万
637.10%1,545.7万
28.57%1,351.4万
28.57%1,351.4万
-56.64%136.9万
-73.46%154.3万
其他流动负债
188.70%1,622.5万
-27.12%364.2万
-27.12%364.2万
-18.37%482.6万
-51.79%570万
-51.52%562万
-63.00%499.7万
-63.00%499.7万
-46.18%591.2万
-27.17%1,182.3万
流动负债总额
60.81%7,319.8万
-18.32%5,326.7万
-18.32%5,326.7万
2.13%4,827.3万
-19.89%4,402.3万
-23.14%4,551.8万
2.61%6,521.1万
2.61%6,521.1万
-20.27%4,726.5万
-7.71%5,495.5万
非流动负债
长期借款与租赁负债
-25.34%4,501万
30.28%5,265.8万
30.28%5,265.8万
52.34%6,012.5万
101.78%6,020.2万
101.98%6,028.6万
95.52%4,042万
95.52%4,042万
70.11%3,946.8万
16.03%2,983.5万
-长期借款
-24.50%4,491万
32.76%5,237.3万
32.76%5,237.3万
51.16%5,965.9万
99.68%5,957.4万
99.30%5,948.4万
98.09%3,944.8万
98.09%3,944.8万
98.46%3,946.8万
50.23%2,983.5万
-长期租赁负债
-87.53%10万
-70.68%28.5万
-70.68%28.5万
--46.6万
--62.8万
--80.2万
28.06%97.2万
28.06%97.2万
--0
--0
其他非流动负债
-4.95%3,998.2万
-5.49%3,994.4万
-5.49%3,994.4万
-20.43%3,876万
-12.60%4,098.1万
-20.94%4,206.5万
-19.84%4,226.4万
-19.84%4,226.4万
-10.40%4,871万
-2.78%4,688.8万
非流动负债总额
-16.96%8,499.2万
12.00%9,260.2万
12.00%9,260.2万
12.14%9,888.5万
31.88%1.01亿
23.24%1.02亿
12.65%8,268.4万
12.65%8,268.4万
13.68%8,817.8万
3.76%7,672.3万
总负债
6.98%1.58亿
-1.37%1.46亿
-1.37%1.46亿
8.65%1.47亿
10.27%1.45亿
3.93%1.48亿
7.99%1.48亿
7.99%1.48亿
-1.03%1.35亿
-1.36%1.32亿
所有者权益
股本
0.57%17.5万
0.57%17.5万
0.57%17.5万
1.16%17.5万
1.16%17.5万
1.16%17.4万
1.16%17.4万
1.16%17.4万
1.17%17.3万
1.17%17.3万
-普通股股本
0.57%17.5万
0.57%17.5万
0.57%17.5万
1.16%17.5万
1.16%17.5万
1.16%17.4万
1.16%17.4万
1.16%17.4万
1.17%17.3万
1.17%17.3万
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
-1.42%-14.16亿
-1.81%-14.08亿
-1.81%-14.08亿
-1.77%-14.08亿
-2.77%-14.03亿
-3.31%-13.96亿
-4.42%-13.82亿
-4.42%-13.82亿
-6.35%-13.84亿
-6.60%-13.65亿
资本公积
0.90%13.84亿
0.72%13.79亿
0.72%13.79亿
0.89%13.76亿
0.95%13.74亿
0.97%13.72亿
1.08%13.69亿
1.08%13.69亿
0.99%13.64亿
0.98%13.61亿
不影响留存收益的损益
81.48%-5,000
105.23%8,000
105.23%8,000
94.76%-1.5万
94.29%-2.5万
93.51%-2.7万
-50.00%-15.3万
-50.00%-15.3万
-3,675.00%-28.6万
-6,357.14%-43.8万
股东权益总额
-30.56%-3,167.1万
-110.37%-2,864.4万
-110.37%-2,864.4万
-60.50%-3,183.4万
-664.62%-2,811.5万
-456.83%-2,425.7万
-144.83%-1,361.6万
-144.83%-1,361.6万
-139.93%-1,983.4万
-105.40%-367.7万
总权益
-30.56%-3,167.1万
-110.37%-2,864.4万
-110.37%-2,864.4万
-60.50%-3,183.4万
-664.62%-2,811.5万
-456.83%-2,425.7万
-144.83%-1,361.6万
-144.83%-1,361.6万
-139.93%-1,983.4万
-105.40%-367.7万
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
--
无保留意见
--
--
--
--
无保留意见
--
--
--
(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(Q3)2022/09/30(Q2)2022/06/30
资产
流动资产
现金及现金等价物和短期投资 -15.53%4,955万-2.19%5,693.3万-2.19%5,693.3万-23.63%6,235.1万-27.82%6,435.7万-45.44%5,866.2万-53.42%5,820.6万-53.42%5,820.6万-42.97%8,164.2万-41.87%8,916.6万
-现金和现金等价物 -36.52%2,557.4万34.04%3,278.6万34.04%3,278.6万52.06%4,541.4万79.45%4,881.2万63.24%4,028.5万29.48%2,445.9万29.48%2,445.9万-1.77%2,986.6万-67.93%2,720.1万
-短期投资 30.47%2,397.6万-28.45%2,414.7万-28.45%2,414.7万-67.29%1,693.7万-74.91%1,554.5万-77.82%1,837.7万-68.19%3,374.7万-68.19%3,374.7万-54.08%5,177.6万-9.62%6,196.5万
应收款项 -6.31%2,751.2万-24.23%3,055万-24.23%3,055万51.67%2,354.6万21.05%2,081.9万92.69%2,936.6万160.60%4,032万160.60%4,032万3.56%1,552.5万-1.00%1,719.8万
-应收账款 -6.31%2,751.2万-24.23%3,055万-24.23%3,055万51.67%2,354.6万21.05%2,081.9万92.69%2,936.6万160.60%4,032万160.60%4,032万3.56%1,552.5万-1.00%1,719.8万
存货 -40.61%657.9万-39.44%552.2万-39.44%552.2万-14.11%611.2万73.40%1,078.2万63.76%1,107.7万37.82%911.8万37.82%911.8万1.15%711.6万-9.00%621.8万
预付费用 --------------------------------3.79%615.7万20.18%793.9万
其他流动资产 12.43%884.5万-24.19%626.1万-24.19%626.1万--301.5万--496.7万--786.7万11.43%825.9万11.43%825.9万--------
流动资产合计 -13.54%9,248.6万-14.35%9,926.6万-14.35%9,926.6万-13.96%9,502.4万-16.26%1.01亿-23.01%1.07亿-24.97%1.16亿-24.97%1.16亿-35.45%1.1亿-34.57%1.21亿
非流动资产
固定资产净额 -39.87%85.2万-63.19%102.6万-63.19%102.6万-74.43%119.8万-82.87%121.2万-85.35%141.7万-76.55%278.7万-76.55%278.7万-67.64%468.5万-57.26%707.7万
-固定资产 -39.87%85.2万-79.92%273万-79.92%273万-74.43%119.8万-82.87%121.2万-85.35%141.7万-48.58%1,359.4万-48.58%1,359.4万-67.64%468.5万-57.26%707.7万
-累计折旧 ----84.23%-170.4万84.23%-170.4万------------25.73%-1,080.7万25.73%-1,080.7万--------
商誉及其他无形资产 96.60%2,886.3万-7.16%1,387.8万-7.16%1,387.8万--1,414.6万--1,441.3万--1,468.1万--1,494.9万--1,494.9万--------
其他非流动资产 696.68%431.8万377.34%305.5万377.34%305.5万923.97%495.6万34.24%54.1万16.81%54.2万-34.29%64万-34.29%64万-48.24%48.4万-52.02%40.3万
非流动资产合计 104.53%3,403.3万-2.27%1,795.9万-2.27%1,795.9万292.73%2,030万116.12%1,616.6万64.17%1,664万42.88%1,837.6万42.88%1,837.6万-66.47%516.9万-57.01%748万
总资产 2.35%1.27亿-12.70%1.17亿-12.70%1.17亿-0.25%1.15亿-8.52%1.17亿-17.08%1.24亿-19.75%1.34亿-19.75%1.34亿-38.02%1.16亿-36.51%1.28亿
负债
流动负债
应付款项 47.36%927.6万-68.27%714.2万-68.27%714.2万193.97%799.9万143.16%524万36.43%629.5万493.10%2,250.8万493.10%2,250.8万-13.45%272.1万27.59%215.5万
-应付账款 47.36%927.6万-68.27%714.2万-68.27%714.2万193.97%799.9万143.16%524万36.43%629.5万493.10%2,250.8万493.10%2,250.8万-13.45%272.1万27.59%215.5万
应计费用 -20.56%956.2万-37.67%884.7万-37.67%884.7万-57.17%1,078.4万-58.47%1,083.9万-53.70%1,203.6万-6.38%1,419.3万-6.38%1,419.3万9.65%2,517.6万38.65%2,609.8万
现行拨备 --1,604.5万----------1,454.3万--1,368.4万--------------------
短期借款与租赁负债 3,349.67%1,548.9万599.12%792.1万599.12%792.1万-79.69%67.3万-91.98%46.6万-94.59%44.9万-88.55%113.3万-88.55%113.3万-65.39%331.4万-36.98%581.1万
-短期借款 --1,478万--722.9万--722.9万----------------------------
-短期租赁负债 57.91%70.9万-38.92%69.2万-38.92%69.2万-79.69%67.3万-91.98%46.6万-94.59%44.9万-88.55%113.3万-88.55%113.3万-65.39%331.4万-36.98%581.1万
递延负债 -91.23%135.5万26.08%1,703.9万26.08%1,703.9万-1.02%135.5万-12.18%135.5万637.10%1,545.7万28.57%1,351.4万28.57%1,351.4万-56.64%136.9万-73.46%154.3万
其他流动负债 188.70%1,622.5万-27.12%364.2万-27.12%364.2万-18.37%482.6万-51.79%570万-51.52%562万-63.00%499.7万-63.00%499.7万-46.18%591.2万-27.17%1,182.3万
流动负债总额 60.81%7,319.8万-18.32%5,326.7万-18.32%5,326.7万2.13%4,827.3万-19.89%4,402.3万-23.14%4,551.8万2.61%6,521.1万2.61%6,521.1万-20.27%4,726.5万-7.71%5,495.5万
非流动负债
长期借款与租赁负债 -25.34%4,501万30.28%5,265.8万30.28%5,265.8万52.34%6,012.5万101.78%6,020.2万101.98%6,028.6万95.52%4,042万95.52%4,042万70.11%3,946.8万16.03%2,983.5万
-长期借款 -24.50%4,491万32.76%5,237.3万32.76%5,237.3万51.16%5,965.9万99.68%5,957.4万99.30%5,948.4万98.09%3,944.8万98.09%3,944.8万98.46%3,946.8万50.23%2,983.5万
-长期租赁负债 -87.53%10万-70.68%28.5万-70.68%28.5万--46.6万--62.8万--80.2万28.06%97.2万28.06%97.2万--0--0
其他非流动负债 -4.95%3,998.2万-5.49%3,994.4万-5.49%3,994.4万-20.43%3,876万-12.60%4,098.1万-20.94%4,206.5万-19.84%4,226.4万-19.84%4,226.4万-10.40%4,871万-2.78%4,688.8万
非流动负债总额 -16.96%8,499.2万12.00%9,260.2万12.00%9,260.2万12.14%9,888.5万31.88%1.01亿23.24%1.02亿12.65%8,268.4万12.65%8,268.4万13.68%8,817.8万3.76%7,672.3万
总负债 6.98%1.58亿-1.37%1.46亿-1.37%1.46亿8.65%1.47亿10.27%1.45亿3.93%1.48亿7.99%1.48亿7.99%1.48亿-1.03%1.35亿-1.36%1.32亿
所有者权益
股本 0.57%17.5万0.57%17.5万0.57%17.5万1.16%17.5万1.16%17.5万1.16%17.4万1.16%17.4万1.16%17.4万1.17%17.3万1.17%17.3万
-普通股股本 0.57%17.5万0.57%17.5万0.57%17.5万1.16%17.5万1.16%17.5万1.16%17.4万1.16%17.4万1.16%17.4万1.17%17.3万1.17%17.3万
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 -1.42%-14.16亿-1.81%-14.08亿-1.81%-14.08亿-1.77%-14.08亿-2.77%-14.03亿-3.31%-13.96亿-4.42%-13.82亿-4.42%-13.82亿-6.35%-13.84亿-6.60%-13.65亿
资本公积 0.90%13.84亿0.72%13.79亿0.72%13.79亿0.89%13.76亿0.95%13.74亿0.97%13.72亿1.08%13.69亿1.08%13.69亿0.99%13.64亿0.98%13.61亿
不影响留存收益的损益 81.48%-5,000105.23%8,000105.23%8,00094.76%-1.5万94.29%-2.5万93.51%-2.7万-50.00%-15.3万-50.00%-15.3万-3,675.00%-28.6万-6,357.14%-43.8万
股东权益总额 -30.56%-3,167.1万-110.37%-2,864.4万-110.37%-2,864.4万-60.50%-3,183.4万-664.62%-2,811.5万-456.83%-2,425.7万-144.83%-1,361.6万-144.83%-1,361.6万-139.93%-1,983.4万-105.40%-367.7万
总权益 -30.56%-3,167.1万-110.37%-2,864.4万-110.37%-2,864.4万-60.50%-3,183.4万-664.62%-2,811.5万-456.83%-2,425.7万-144.83%-1,361.6万-144.83%-1,361.6万-139.93%-1,983.4万-105.40%-367.7万
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 --无保留意见--------无保留意见------

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