美股市场个股详情

SABS SAB Biotherapeutics

添加自选
  • 3.1000
  • -0.6000-16.22%
收盘价 11/15 16:00 (美东)
  • 3.0500
  • -0.0500-1.61%
盘后 20:01 (美东)
2861.07万总市值-492市盈率TTM

SAB Biotherapeutics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
1,153.39%3,040.06万
380.11%3,732.61万
237.34%4,405.71万
275.93%5,656.61万
275.93%5,656.61万
-70.89%242.55万
-53.21%777.45万
-41.72%1,306.01万
-54.69%1,504.69万
-54.69%1,504.69万
-现金和现金等价物
278.12%917.12万
121.78%1,724.24万
7.46%1,403.42万
275.93%5,656.61万
275.93%5,656.61万
-70.89%242.55万
-53.21%777.45万
-41.72%1,306.01万
-54.69%1,504.69万
-54.69%1,504.69万
-短期投资
--2,122.95万
--2,008.36万
--3,002.29万
----
----
----
----
----
----
----
应收款项
--9.7万
-38.23%22.49万
-74.68%19.32万
--0
--0
--0
-96.21%36.41万
-93.53%76.31万
-30.64%555.66万
-30.64%555.66万
-应收账款
----
----
----
--0
--0
--0
-96.21%36.41万
-93.53%76.31万
-30.64%555.66万
-30.64%555.66万
-应收利息
--9.7万
--22.49万
--19.32万
----
----
----
----
----
----
----
预付费用
----
----
----
----
----
----
-42.97%86.76万
-38.79%120.88万
----
----
其他流动资产
190.41%203.93万
--202.95万
--270.1万
56.68%234.08万
56.68%234.08万
--70.22万
----
----
--149.4万
--149.4万
流动资产合计
940.28%3,253.7万
339.48%3,958.05万
212.34%4,695.14万
166.58%5,890.69万
166.58%5,890.69万
-85.90%312.77万
-67.55%900.62万
-58.44%1,503.2万
-55.97%2,209.75万
-55.97%2,209.75万
非流动资产
固定资产净额
-16.47%2,074.57万
-16.20%2,178.96万
-16.82%2,263.06万
-12.90%2,468.42万
-12.90%2,468.42万
-16.72%2,483.74万
-15.77%2,600.24万
-13.09%2,720.6万
-8.43%2,833.98万
-8.43%2,833.98万
-固定资产
2.27%3,459.49万
1.79%3,469.81万
0.36%3,450.55万
-0.06%3,459.6万
-0.06%3,459.6万
-3.91%3,382.68万
-3.65%3,408.94万
-1.95%3,438.3万
1.31%3,461.83万
1.31%3,461.83万
-累计折旧
-54.06%-1,384.92万
-59.62%-1,290.85万
-65.46%-1,187.49万
-57.87%-991.19万
-57.87%-991.19万
-67.10%-898.94万
-79.20%-808.71万
-90.69%-717.7万
-94.98%-627.85万
-94.98%-627.85万
投资和预付款
----
----
--123.52万
----
----
----
----
----
----
----
非流动递延资产
--26.11万
--23.61万
--23.61万
----
----
----
----
----
----
----
长期预付费用
-31.76%25.33万
-34.19%28.56万
-26.75%31.79万
-25.12%35.02万
-25.12%35.02万
-25.97%37.12万
-18.89%43.4万
--43.4万
--46.77万
--46.77万
非流动资产合计
-15.66%2,126.01万
-15.60%2,231.13万
-11.65%2,441.97万
-13.10%2,503.44万
-13.10%2,503.44万
-16.87%2,520.86万
-15.82%2,643.64万
-11.70%2,764万
-6.92%2,880.75万
-6.92%2,880.75万
总资产
89.85%5,379.72万
74.63%6,189.18万
67.26%7,137.11万
64.90%8,394.13万
64.90%8,394.13万
-46.03%2,833.63万
-40.09%3,544.26万
-36.76%4,267.2万
-37.26%5,090.49万
-37.26%5,090.49万
负债
流动负债
应付款项
-49.24%204.25万
-49.63%218.3万
-57.36%251.79万
-71.68%244.71万
-71.68%244.71万
-62.36%402.37万
-57.08%433.43万
-42.24%590.55万
-11.63%863.96万
-11.63%863.96万
-应付账款
19.74%129.7万
-16.57%117.13万
-14.19%123.99万
-74.29%94.59万
-74.29%94.59万
-80.25%108.32万
-71.60%140.38万
-70.99%144.5万
-17.48%367.91万
-17.48%367.91万
-应付税费
----
----
----
-20.00%4万
-20.00%4万
-63.64%3万
-38.46%2万
-64.86%5万
-76.88%5万
-76.88%5万
-其他应付款
-74.39%74.55万
-65.24%101.18万
-71.02%127.8万
-70.24%146.11万
-70.24%146.11万
-43.19%291.05万
-43.19%291.05万
-13.52%441.05万
-3.72%491.05万
-3.72%491.05万
应计费用
268.27%613.43万
74.78%404.26万
39.03%389.63万
-36.95%220.37万
-36.95%220.37万
-37.73%166.57万
-6.94%231.29万
-46.91%280.26万
-26.92%349.53万
-26.92%349.53万
短期借款与租赁负债
-56.27%52.47万
54.38%121.17万
38.12%151.29万
32.70%185.28万
32.70%185.28万
-12.97%119.99万
-41.20%78.49万
-17.37%109.53万
-54.96%139.62万
-54.96%139.62万
-短期借款
----
450.36%61.58万
87.97%83.55万
36.00%105.08万
36.00%105.08万
2,065.45%54.16万
347.34%11.19万
1,676.99%44.45万
-57.00%77.27万
-57.00%77.27万
-短期租赁负债
-20.28%52.47万
-11.45%59.59万
4.08%67.74万
28.60%80.2万
28.60%80.2万
-51.37%65.83万
-48.62%67.3万
-49.96%65.08万
-52.16%62.36万
-52.16%62.36万
递延负债
-92.95%11.47万
-96.04%11.47万
-87.14%37.78万
--132.24万
--132.24万
--162.74万
--289.48万
--293.92万
--0
--0
流动负债总额
-4.29%881.62万
-31.41%755.2万
-39.23%830.5万
-27.88%1,081.33万
-27.88%1,081.33万
-46.14%921.09万
-31.77%1,101.1万
-25.14%1,366.57万
-43.33%1,499.33万
-43.33%1,499.33万
非流动负债
长期借款与租赁负债
15.73%399.55万
0.29%413.1万
-9.78%393.84万
-10.55%405.43万
-10.55%405.43万
-21.98%345.24万
-13.39%411.92万
-14.20%436.54万
-16.31%453.25万
-16.31%453.25万
-长期借款
----
----
----
----
----
----
--54.16万
--54.16万
--54.16万
--54.16万
-长期租赁负债
15.73%399.55万
15.47%413.1万
3.00%393.84万
1.59%405.43万
1.59%405.43万
-21.98%345.24万
-24.78%357.76万
-24.84%382.38万
-26.31%399.09万
-26.31%399.09万
衍生品负债
878.87%408.29万
586.24%408.9万
2,545.76%630.6万
3,568.79%1,177.42万
3,568.79%1,177.42万
16.67%41.71万
-47.75%59.59万
-91.70%23.83万
-97.01%32.09万
-97.01%32.09万
非流动负债总额
108.77%807.84万
74.34%822.01万
122.52%1,024.44万
226.13%1,582.85万
226.13%1,582.85万
-19.10%386.95万
-20.04%471.51万
-42.15%460.38万
-69.92%485.34万
-69.92%485.34万
总负债
29.16%1,689.46万
0.29%1,577.21万
1.53%1,854.94万
34.24%2,664.18万
34.24%2,664.18万
-40.23%1,308.05万
-28.63%1,572.61万
-30.31%1,826.95万
-53.40%1,984.68万
-53.40%1,984.68万
所有者权益
股本
-82.33%934
-82.33%934
-81.66%934
83.14%934
83.14%934
21.29%5,286
21.29%5,286
17.10%5,094
-88.27%510
-88.27%510
-普通股股本
-82.43%929
-82.43%929
-81.76%929
82.16%929
82.16%929
21.29%5,286
21.29%5,286
17.10%5,094
-88.27%510
-88.27%510
-优先股股本
--5
--5
--5
--5
--5
--0
--0
--0
--0
--0
留存收益
-67.80%-1.13亿
-64.92%-1.02亿
-72.19%-9,508.93万
-88.14%-9,006.35万
-88.14%-9,006.35万
-68.04%-6,720.68万
-88.66%-6,210.45万
-96.22%-5,522.36万
-64.34%-4,786.98万
-64.34%-4,786.98万
资本公积
76.34%1.55亿
76.44%1.54亿
80.28%1.53亿
81.01%1.53亿
81.01%1.53亿
15.56%8,797.85万
15.59%8,733.69万
13.65%8,514.22万
24.79%8,444.86万
24.79%8,444.86万
减:库存股
0.00%552.12万
0.00%552.12万
0.00%552.12万
0.00%552.12万
0.00%552.12万
0.00%552.12万
0.00%552.12万
0.00%552.12万
--552.12万
--552.12万
不影响留存收益的损益
--5.21万
---3.14万
---6.34万
--2.64万
--2.64万
----
----
----
--0
--0
股东权益总额
141.89%3,690.26万
133.92%4,611.98万
116.46%5,282.17万
84.49%5,729.94万
84.49%5,729.94万
-50.18%1,525.58万
-46.89%1,971.65万
-40.85%2,440.25万
-19.43%3,105.81万
-19.43%3,105.81万
总权益
141.89%3,690.26万
133.92%4,611.98万
116.46%5,282.17万
84.49%5,729.94万
84.49%5,729.94万
-50.18%1,525.58万
-46.89%1,971.65万
-40.85%2,440.25万
-19.43%3,105.81万
-19.43%3,105.81万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
审计意见
--
--
--
无保留意见
--
--
--
--
带解释段的无保留意见
--
(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 1,153.39%3,040.06万380.11%3,732.61万237.34%4,405.71万275.93%5,656.61万275.93%5,656.61万-70.89%242.55万-53.21%777.45万-41.72%1,306.01万-54.69%1,504.69万-54.69%1,504.69万
-现金和现金等价物 278.12%917.12万121.78%1,724.24万7.46%1,403.42万275.93%5,656.61万275.93%5,656.61万-70.89%242.55万-53.21%777.45万-41.72%1,306.01万-54.69%1,504.69万-54.69%1,504.69万
-短期投资 --2,122.95万--2,008.36万--3,002.29万----------------------------
应收款项 --9.7万-38.23%22.49万-74.68%19.32万--0--0--0-96.21%36.41万-93.53%76.31万-30.64%555.66万-30.64%555.66万
-应收账款 --------------0--0--0-96.21%36.41万-93.53%76.31万-30.64%555.66万-30.64%555.66万
-应收利息 --9.7万--22.49万--19.32万----------------------------
预付费用 -------------------------42.97%86.76万-38.79%120.88万--------
其他流动资产 190.41%203.93万--202.95万--270.1万56.68%234.08万56.68%234.08万--70.22万----------149.4万--149.4万
流动资产合计 940.28%3,253.7万339.48%3,958.05万212.34%4,695.14万166.58%5,890.69万166.58%5,890.69万-85.90%312.77万-67.55%900.62万-58.44%1,503.2万-55.97%2,209.75万-55.97%2,209.75万
非流动资产
固定资产净额 -16.47%2,074.57万-16.20%2,178.96万-16.82%2,263.06万-12.90%2,468.42万-12.90%2,468.42万-16.72%2,483.74万-15.77%2,600.24万-13.09%2,720.6万-8.43%2,833.98万-8.43%2,833.98万
-固定资产 2.27%3,459.49万1.79%3,469.81万0.36%3,450.55万-0.06%3,459.6万-0.06%3,459.6万-3.91%3,382.68万-3.65%3,408.94万-1.95%3,438.3万1.31%3,461.83万1.31%3,461.83万
-累计折旧 -54.06%-1,384.92万-59.62%-1,290.85万-65.46%-1,187.49万-57.87%-991.19万-57.87%-991.19万-67.10%-898.94万-79.20%-808.71万-90.69%-717.7万-94.98%-627.85万-94.98%-627.85万
投资和预付款 ----------123.52万----------------------------
非流动递延资产 --26.11万--23.61万--23.61万----------------------------
长期预付费用 -31.76%25.33万-34.19%28.56万-26.75%31.79万-25.12%35.02万-25.12%35.02万-25.97%37.12万-18.89%43.4万--43.4万--46.77万--46.77万
非流动资产合计 -15.66%2,126.01万-15.60%2,231.13万-11.65%2,441.97万-13.10%2,503.44万-13.10%2,503.44万-16.87%2,520.86万-15.82%2,643.64万-11.70%2,764万-6.92%2,880.75万-6.92%2,880.75万
总资产 89.85%5,379.72万74.63%6,189.18万67.26%7,137.11万64.90%8,394.13万64.90%8,394.13万-46.03%2,833.63万-40.09%3,544.26万-36.76%4,267.2万-37.26%5,090.49万-37.26%5,090.49万
负债
流动负债
应付款项 -49.24%204.25万-49.63%218.3万-57.36%251.79万-71.68%244.71万-71.68%244.71万-62.36%402.37万-57.08%433.43万-42.24%590.55万-11.63%863.96万-11.63%863.96万
-应付账款 19.74%129.7万-16.57%117.13万-14.19%123.99万-74.29%94.59万-74.29%94.59万-80.25%108.32万-71.60%140.38万-70.99%144.5万-17.48%367.91万-17.48%367.91万
-应付税费 -------------20.00%4万-20.00%4万-63.64%3万-38.46%2万-64.86%5万-76.88%5万-76.88%5万
-其他应付款 -74.39%74.55万-65.24%101.18万-71.02%127.8万-70.24%146.11万-70.24%146.11万-43.19%291.05万-43.19%291.05万-13.52%441.05万-3.72%491.05万-3.72%491.05万
应计费用 268.27%613.43万74.78%404.26万39.03%389.63万-36.95%220.37万-36.95%220.37万-37.73%166.57万-6.94%231.29万-46.91%280.26万-26.92%349.53万-26.92%349.53万
短期借款与租赁负债 -56.27%52.47万54.38%121.17万38.12%151.29万32.70%185.28万32.70%185.28万-12.97%119.99万-41.20%78.49万-17.37%109.53万-54.96%139.62万-54.96%139.62万
-短期借款 ----450.36%61.58万87.97%83.55万36.00%105.08万36.00%105.08万2,065.45%54.16万347.34%11.19万1,676.99%44.45万-57.00%77.27万-57.00%77.27万
-短期租赁负债 -20.28%52.47万-11.45%59.59万4.08%67.74万28.60%80.2万28.60%80.2万-51.37%65.83万-48.62%67.3万-49.96%65.08万-52.16%62.36万-52.16%62.36万
递延负债 -92.95%11.47万-96.04%11.47万-87.14%37.78万--132.24万--132.24万--162.74万--289.48万--293.92万--0--0
流动负债总额 -4.29%881.62万-31.41%755.2万-39.23%830.5万-27.88%1,081.33万-27.88%1,081.33万-46.14%921.09万-31.77%1,101.1万-25.14%1,366.57万-43.33%1,499.33万-43.33%1,499.33万
非流动负债
长期借款与租赁负债 15.73%399.55万0.29%413.1万-9.78%393.84万-10.55%405.43万-10.55%405.43万-21.98%345.24万-13.39%411.92万-14.20%436.54万-16.31%453.25万-16.31%453.25万
-长期借款 --------------------------54.16万--54.16万--54.16万--54.16万
-长期租赁负债 15.73%399.55万15.47%413.1万3.00%393.84万1.59%405.43万1.59%405.43万-21.98%345.24万-24.78%357.76万-24.84%382.38万-26.31%399.09万-26.31%399.09万
衍生品负债 878.87%408.29万586.24%408.9万2,545.76%630.6万3,568.79%1,177.42万3,568.79%1,177.42万16.67%41.71万-47.75%59.59万-91.70%23.83万-97.01%32.09万-97.01%32.09万
非流动负债总额 108.77%807.84万74.34%822.01万122.52%1,024.44万226.13%1,582.85万226.13%1,582.85万-19.10%386.95万-20.04%471.51万-42.15%460.38万-69.92%485.34万-69.92%485.34万
总负债 29.16%1,689.46万0.29%1,577.21万1.53%1,854.94万34.24%2,664.18万34.24%2,664.18万-40.23%1,308.05万-28.63%1,572.61万-30.31%1,826.95万-53.40%1,984.68万-53.40%1,984.68万
所有者权益
股本 -82.33%934-82.33%934-81.66%93483.14%93483.14%93421.29%5,28621.29%5,28617.10%5,094-88.27%510-88.27%510
-普通股股本 -82.43%929-82.43%929-81.76%92982.16%92982.16%92921.29%5,28621.29%5,28617.10%5,094-88.27%510-88.27%510
-优先股股本 --5--5--5--5--5--0--0--0--0--0
留存收益 -67.80%-1.13亿-64.92%-1.02亿-72.19%-9,508.93万-88.14%-9,006.35万-88.14%-9,006.35万-68.04%-6,720.68万-88.66%-6,210.45万-96.22%-5,522.36万-64.34%-4,786.98万-64.34%-4,786.98万
资本公积 76.34%1.55亿76.44%1.54亿80.28%1.53亿81.01%1.53亿81.01%1.53亿15.56%8,797.85万15.59%8,733.69万13.65%8,514.22万24.79%8,444.86万24.79%8,444.86万
减:库存股 0.00%552.12万0.00%552.12万0.00%552.12万0.00%552.12万0.00%552.12万0.00%552.12万0.00%552.12万0.00%552.12万--552.12万--552.12万
不影响留存收益的损益 --5.21万---3.14万---6.34万--2.64万--2.64万--------------0--0
股东权益总额 141.89%3,690.26万133.92%4,611.98万116.46%5,282.17万84.49%5,729.94万84.49%5,729.94万-50.18%1,525.58万-46.89%1,971.65万-40.85%2,440.25万-19.43%3,105.81万-19.43%3,105.81万
总权益 141.89%3,690.26万133.92%4,611.98万116.46%5,282.17万84.49%5,729.94万84.49%5,729.94万-50.18%1,525.58万-46.89%1,971.65万-40.85%2,440.25万-19.43%3,105.81万-19.43%3,105.81万
货币单位 美元美元美元美元美元美元美元美元美元美元
审计意见 ------无保留意见--------带解释段的无保留意见--

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