美股市场个股详情

TCRX TScan Therapeutics

添加自选
  • 5.690
  • +0.400+7.56%
收盘价 11/06 16:00 (美东)
3.01亿总市值-8753市盈率TTM

TScan Therapeutics关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q3)2022/09/30
资产
流动资产
现金及现金等价物和短期投资
42.54%2.98亿
70.26%1.63亿
60.00%1.92亿
60.00%1.92亿
56.89%2.15亿
66.27%2.09亿
-32.11%9,560.8万
-25.64%1.2亿
-25.64%1.2亿
-24.69%1.37亿
-现金和现金等价物
15.95%2.42亿
46.97%1.41亿
11.11%1.33亿
11.11%1.33亿
13.03%1.55亿
66.27%2.09亿
-32.11%9,560.8万
-25.64%1.2亿
-25.64%1.2亿
-24.69%1.37亿
-短期投资
--5,551.7万
--2,227万
--5,868.5万
--5,868.5万
--6,023万
----
----
--0
--0
----
应收款项
----
----
----
----
----
--3,192.6万
----
----
----
----
-应收账款
----
----
----
----
----
--3,192.6万
----
----
----
----
预付费用
----
----
----
----
----
----
7.90%529.9万
----
----
-17.48%387.1万
其他流动资产
27.86%185.4万
--193.8万
-46.51%219.3万
-46.51%219.3万
--214.4万
--145万
----
-3.51%410万
-3.51%410万
----
流动资产合计
23.66%3亿
63.24%1.65亿
56.48%1.94亿
56.48%1.94亿
54.11%2.18亿
87.24%2.42亿
-30.77%1.01亿
-25.07%1.24亿
-25.07%1.24亿
-24.51%1.41亿
非流动资产
固定资产净额
0.79%6,856.4万
3.74%6,943.3万
2.94%7,123.4万
2.94%7,123.4万
356.63%6,713.4万
337.39%6,802.7万
323.25%6,693.3万
301.03%6,920.2万
301.03%6,920.2万
-14.15%1,470.2万
-固定资产
0.79%6,856.4万
3.74%6,943.3万
8.07%8,583.1万
8.07%8,583.1万
356.63%6,713.4万
337.39%6,802.7万
323.25%6,693.3万
255.53%7,942.2万
255.53%7,942.2万
-14.15%1,470.2万
-累计折旧
----
----
-42.83%-1,459.7万
-42.83%-1,459.7万
----
----
----
-101.06%-1,022万
-101.06%-1,022万
----
长期预付费用
----
----
----
----
-63.71%164.7万
-33.18%164.7万
----
----
----
2,633.73%453.8万
其他非流动资产
34.70%677.7万
16.40%667.8万
15.90%667.8万
15.90%667.8万
-0.12%503.1万
-0.12%503.1万
14.03%573.7万
10.87%576.2万
10.87%576.2万
746.55%503.7万
非流动资产合计
0.85%7,534.1万
4.74%7,611.1万
3.93%7,791.2万
3.93%7,791.2万
204.04%7,381.2万
224.03%7,470.5万
223.63%7,267万
233.87%7,496.4万
233.87%7,496.4万
35.73%2,427.7万
总资产
18.28%3.75亿
38.75%2.41亿
36.70%2.72亿
36.70%2.72亿
76.11%2.91亿
107.93%3.17亿
3.19%1.74亿
5.84%1.99亿
5.84%1.99亿
-19.25%1.65亿
负债
流动负债
应付款项
-8.37%311万
-23.44%212.3万
-18.48%237.4万
-18.48%237.4万
18.02%319.6万
9.63%339.4万
-3.92%277.3万
64.99%291.2万
64.99%291.2万
-46.61%270.8万
-应付账款
-8.37%311万
-23.44%212.3万
-18.48%237.4万
-18.48%237.4万
18.02%319.6万
9.63%339.4万
-3.92%277.3万
64.99%291.2万
64.99%291.2万
-46.61%270.8万
应计费用
51.31%703.6万
39.35%630万
134.78%481.3万
134.78%481.3万
151.93%482.7万
201.75%465万
143.98%452.1万
-29.43%205万
-29.43%205万
2.46%191.6万
短期借款与租赁负债
231.43%1,395万
164.21%1,013.5万
79.11%659.3万
79.11%659.3万
205.63%548.6万
141.07%420.9万
125.91%383.6万
122.96%368.1万
122.96%368.1万
10.80%179.5万
-短期借款
--1,033.6万
--679.7万
--334.7万
--334.7万
--111万
----
----
----
----
----
-短期租赁负债
-14.14%361.4万
-12.98%333.8万
-11.82%324.6万
-11.82%324.6万
143.79%437.6万
141.07%420.9万
125.91%383.6万
122.96%368.1万
122.96%368.1万
10.80%179.5万
递延负债
-44.28%1,070.4万
--1,043.5万
161.67%1,013.7万
161.67%1,013.7万
156.44%1,521.2万
135.14%1,921.1万
--0
-66.05%387.4万
-66.05%387.4万
-50.43%593.2万
其他流动负债
-42.15%24.7万
-41.15%25.6万
-1.39%42.5万
-1.39%42.5万
-66.85%42.8万
-39.09%42.7万
175.32%43.5万
-57.41%43.1万
-57.41%43.1万
93.26%129.1万
流动负债总额
9.84%3,857.2万
124.10%3,147.9万
72.32%2,982万
72.32%2,982万
99.78%3,315.1万
104.53%3,511.8万
-23.93%1,404.7万
-18.92%1,730.5万
-18.92%1,730.5万
-27.68%1,659.4万
非流动负债
长期借款与租赁负债
-7.67%7,712.3万
0.19%8,162.8万
4.30%8,584万
4.30%8,584万
153.85%8,149.7万
2,289.30%8,353万
1,963.73%8,147.6万
1,773.93%8,230.3万
1,773.93%8,230.3万
570.11%3,210.5万
-长期借款
-32.33%2,011.2万
-20.52%2,344.9万
-8.84%2,670万
-8.84%2,670万
-0.82%2,883.5万
--2,972.2万
--2,950.4万
--2,929万
--2,929万
--2,907.4万
-长期租赁负债
5.95%5,701.1万
11.94%5,817.9万
11.56%5,914万
11.56%5,914万
1,637.45%5,266.2万
1,439.13%5,380.8万
1,216.41%5,197.2万
1,107.04%5,301.3万
1,107.04%5,301.3万
-36.74%303.1万
递延负债
-48.26%395.5万
--475.8万
--562.2万
--562.2万
--775.8万
--764.4万
----
--0
--0
--0
其他非流动负债
----
----
----
----
-87.63%1.2万
-75.26%2.4万
-62.89%3.6万
-49.48%4.9万
-49.48%4.9万
-58.90%9.7万
非流动负债总额
-11.10%8,107.8万
5.98%8,638.6万
11.06%9,146.2万
11.06%9,146.2万
177.21%8,926.7万
2,438.21%9,119.8万
1,915.13%8,151.2万
1,275.74%8,235.2万
1,275.74%8,235.2万
309.12%3,220.2万
总负债
-5.28%1.2亿
23.34%1.18亿
21.70%1.21亿
21.70%1.21亿
150.88%1.22亿
508.37%1.26亿
324.52%9,555.9万
264.66%9,965.7万
264.66%9,965.7万
58.35%4,879.6万
所有者权益
股本
20.00%6,000
66.67%5,000
66.67%5,000
66.67%5,000
66.67%5,000
66.67%5,000
0.00%3,000
0.00%3,000
0.00%3,000
0.00%3,000
-普通股股本
20.00%6,000
66.67%5,000
66.67%5,000
66.67%5,000
66.67%5,000
66.67%5,000
0.00%3,000
0.00%3,000
0.00%3,000
0.00%3,000
-优先股股本
--0
--0
----
----
----
----
----
----
----
--0
留存收益
-50.94%-3.09亿
-53.50%-2.78亿
-56.33%-2.48亿
-56.33%-2.48亿
-63.25%-2.28亿
-66.10%-2.05亿
-67.05%-1.81亿
-71.86%-1.58亿
-71.86%-1.58亿
-79.14%-1.4亿
资本公积
42.73%5.65亿
54.74%4.01亿
54.56%3.98亿
54.56%3.98亿
54.87%3.97亿
55.10%3.96亿
1.95%2.59亿
1.93%2.58亿
1.93%2.58亿
1.70%2.56亿
股东权益总额
33.90%2.55亿
57.61%1.23亿
51.73%1.51亿
51.73%1.51亿
44.83%1.69亿
44.78%1.91亿
-46.45%7,801.8万
-38.15%9,943.4万
-38.15%9,943.4万
-32.98%1.17亿
总权益
33.90%2.55亿
57.61%1.23亿
51.73%1.51亿
51.73%1.51亿
44.83%1.69亿
44.78%1.91亿
-46.45%7,801.8万
-38.15%9,943.4万
-38.15%9,943.4万
-32.98%1.17亿
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
(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(Q3)2022/09/30
资产
流动资产
现金及现金等价物和短期投资 42.54%2.98亿70.26%1.63亿60.00%1.92亿60.00%1.92亿56.89%2.15亿66.27%2.09亿-32.11%9,560.8万-25.64%1.2亿-25.64%1.2亿-24.69%1.37亿
-现金和现金等价物 15.95%2.42亿46.97%1.41亿11.11%1.33亿11.11%1.33亿13.03%1.55亿66.27%2.09亿-32.11%9,560.8万-25.64%1.2亿-25.64%1.2亿-24.69%1.37亿
-短期投资 --5,551.7万--2,227万--5,868.5万--5,868.5万--6,023万----------0--0----
应收款项 ----------------------3,192.6万----------------
-应收账款 ----------------------3,192.6万----------------
预付费用 ------------------------7.90%529.9万---------17.48%387.1万
其他流动资产 27.86%185.4万--193.8万-46.51%219.3万-46.51%219.3万--214.4万--145万-----3.51%410万-3.51%410万----
流动资产合计 23.66%3亿63.24%1.65亿56.48%1.94亿56.48%1.94亿54.11%2.18亿87.24%2.42亿-30.77%1.01亿-25.07%1.24亿-25.07%1.24亿-24.51%1.41亿
非流动资产
固定资产净额 0.79%6,856.4万3.74%6,943.3万2.94%7,123.4万2.94%7,123.4万356.63%6,713.4万337.39%6,802.7万323.25%6,693.3万301.03%6,920.2万301.03%6,920.2万-14.15%1,470.2万
-固定资产 0.79%6,856.4万3.74%6,943.3万8.07%8,583.1万8.07%8,583.1万356.63%6,713.4万337.39%6,802.7万323.25%6,693.3万255.53%7,942.2万255.53%7,942.2万-14.15%1,470.2万
-累计折旧 ---------42.83%-1,459.7万-42.83%-1,459.7万-------------101.06%-1,022万-101.06%-1,022万----
长期预付费用 -----------------63.71%164.7万-33.18%164.7万------------2,633.73%453.8万
其他非流动资产 34.70%677.7万16.40%667.8万15.90%667.8万15.90%667.8万-0.12%503.1万-0.12%503.1万14.03%573.7万10.87%576.2万10.87%576.2万746.55%503.7万
非流动资产合计 0.85%7,534.1万4.74%7,611.1万3.93%7,791.2万3.93%7,791.2万204.04%7,381.2万224.03%7,470.5万223.63%7,267万233.87%7,496.4万233.87%7,496.4万35.73%2,427.7万
总资产 18.28%3.75亿38.75%2.41亿36.70%2.72亿36.70%2.72亿76.11%2.91亿107.93%3.17亿3.19%1.74亿5.84%1.99亿5.84%1.99亿-19.25%1.65亿
负债
流动负债
应付款项 -8.37%311万-23.44%212.3万-18.48%237.4万-18.48%237.4万18.02%319.6万9.63%339.4万-3.92%277.3万64.99%291.2万64.99%291.2万-46.61%270.8万
-应付账款 -8.37%311万-23.44%212.3万-18.48%237.4万-18.48%237.4万18.02%319.6万9.63%339.4万-3.92%277.3万64.99%291.2万64.99%291.2万-46.61%270.8万
应计费用 51.31%703.6万39.35%630万134.78%481.3万134.78%481.3万151.93%482.7万201.75%465万143.98%452.1万-29.43%205万-29.43%205万2.46%191.6万
短期借款与租赁负债 231.43%1,395万164.21%1,013.5万79.11%659.3万79.11%659.3万205.63%548.6万141.07%420.9万125.91%383.6万122.96%368.1万122.96%368.1万10.80%179.5万
-短期借款 --1,033.6万--679.7万--334.7万--334.7万--111万--------------------
-短期租赁负债 -14.14%361.4万-12.98%333.8万-11.82%324.6万-11.82%324.6万143.79%437.6万141.07%420.9万125.91%383.6万122.96%368.1万122.96%368.1万10.80%179.5万
递延负债 -44.28%1,070.4万--1,043.5万161.67%1,013.7万161.67%1,013.7万156.44%1,521.2万135.14%1,921.1万--0-66.05%387.4万-66.05%387.4万-50.43%593.2万
其他流动负债 -42.15%24.7万-41.15%25.6万-1.39%42.5万-1.39%42.5万-66.85%42.8万-39.09%42.7万175.32%43.5万-57.41%43.1万-57.41%43.1万93.26%129.1万
流动负债总额 9.84%3,857.2万124.10%3,147.9万72.32%2,982万72.32%2,982万99.78%3,315.1万104.53%3,511.8万-23.93%1,404.7万-18.92%1,730.5万-18.92%1,730.5万-27.68%1,659.4万
非流动负债
长期借款与租赁负债 -7.67%7,712.3万0.19%8,162.8万4.30%8,584万4.30%8,584万153.85%8,149.7万2,289.30%8,353万1,963.73%8,147.6万1,773.93%8,230.3万1,773.93%8,230.3万570.11%3,210.5万
-长期借款 -32.33%2,011.2万-20.52%2,344.9万-8.84%2,670万-8.84%2,670万-0.82%2,883.5万--2,972.2万--2,950.4万--2,929万--2,929万--2,907.4万
-长期租赁负债 5.95%5,701.1万11.94%5,817.9万11.56%5,914万11.56%5,914万1,637.45%5,266.2万1,439.13%5,380.8万1,216.41%5,197.2万1,107.04%5,301.3万1,107.04%5,301.3万-36.74%303.1万
递延负债 -48.26%395.5万--475.8万--562.2万--562.2万--775.8万--764.4万------0--0--0
其他非流动负债 -----------------87.63%1.2万-75.26%2.4万-62.89%3.6万-49.48%4.9万-49.48%4.9万-58.90%9.7万
非流动负债总额 -11.10%8,107.8万5.98%8,638.6万11.06%9,146.2万11.06%9,146.2万177.21%8,926.7万2,438.21%9,119.8万1,915.13%8,151.2万1,275.74%8,235.2万1,275.74%8,235.2万309.12%3,220.2万
总负债 -5.28%1.2亿23.34%1.18亿21.70%1.21亿21.70%1.21亿150.88%1.22亿508.37%1.26亿324.52%9,555.9万264.66%9,965.7万264.66%9,965.7万58.35%4,879.6万
所有者权益
股本 20.00%6,00066.67%5,00066.67%5,00066.67%5,00066.67%5,00066.67%5,0000.00%3,0000.00%3,0000.00%3,0000.00%3,000
-普通股股本 20.00%6,00066.67%5,00066.67%5,00066.67%5,00066.67%5,00066.67%5,0000.00%3,0000.00%3,0000.00%3,0000.00%3,000
-优先股股本 --0--0------------------------------0
留存收益 -50.94%-3.09亿-53.50%-2.78亿-56.33%-2.48亿-56.33%-2.48亿-63.25%-2.28亿-66.10%-2.05亿-67.05%-1.81亿-71.86%-1.58亿-71.86%-1.58亿-79.14%-1.4亿
资本公积 42.73%5.65亿54.74%4.01亿54.56%3.98亿54.56%3.98亿54.87%3.97亿55.10%3.96亿1.95%2.59亿1.93%2.58亿1.93%2.58亿1.70%2.56亿
股东权益总额 33.90%2.55亿57.61%1.23亿51.73%1.51亿51.73%1.51亿44.83%1.69亿44.78%1.91亿-46.45%7,801.8万-38.15%9,943.4万-38.15%9,943.4万-32.98%1.17亿
总权益 33.90%2.55亿57.61%1.23亿51.73%1.51亿51.73%1.51亿44.83%1.69亿44.78%1.91亿-46.45%7,801.8万-38.15%9,943.4万-38.15%9,943.4万-32.98%1.17亿
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

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