美股市场个股详情

Theriva Biologics (TOVX)

添加自选
  • 0.3896
  • +0.0310+8.64%
收盘价 05/01 16:00 (美东)
  • 0.3732
  • -0.0164-4.21%
盘后 19:55 (美东)
1787.98万总市值-0.19市盈率TTM

Theriva Biologics (TOVX) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2025/12/31
(Q4)2025/12/31
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
资产
流动资产
现金及现金等价物和短期投资
12.46%1,305.6万
12.46%1,305.6万
-54.12%752.8万
-26.96%1,212万
-45.16%1,001.4万
-49.91%1,160.9万
-49.91%1,160.9万
-47.34%1,640.9万
-51.55%1,659.3万
-49.38%1,826.1万
-现金和现金等价物
12.46%1,305.6万
12.46%1,305.6万
-54.12%752.8万
-26.96%1,212万
-45.16%1,001.4万
-49.91%1,160.9万
-49.91%1,160.9万
-47.34%1,640.9万
-51.55%1,659.3万
-49.38%1,826.1万
应收款项
15.41%383.5万
15.41%383.5万
-8.89%182.4万
-2.64%187.9万
-11.11%169.6万
71.29%332.3万
71.29%332.3万
27.11%200.2万
565.52%193万
718.88%190.8万
-应收税费
1.81%338.3万
1.81%338.3万
-8.89%182.4万
-2.64%187.9万
-11.11%169.6万
71.29%332.3万
71.29%332.3万
27.11%200.2万
1,240.28%193万
47,600.00%190.8万
-其他应收款
--45.2万
--45.2万
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----
----
----
----
----
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预付费用
-57.30%57.6万
-57.30%57.6万
-50.89%55.1万
-37.58%74.4万
-48.49%76.6万
-40.99%134.9万
-40.99%134.9万
-44.78%112.2万
-65.22%119.2万
-62.73%148.7万
流动资产合计
7.28%1,746.7万
7.28%1,746.7万
-49.30%990.3万
-25.22%1,474.3万
-42.39%1,247.6万
-40.59%1,628.1万
-40.59%1,628.1万
-43.82%1,953.3万
-48.07%1,971.5万
-46.26%2,165.6万
非流动资产
固定资产净额
-33.53%102.5万
-33.53%102.5万
-31.63%119.1万
-28.03%133.5万
-29.12%142.4万
-29.30%154.2万
-29.30%154.2万
-21.53%174.2万
-17.81%185.5万
-15.52%200.9万
-固定资产
-19.62%199.1万
-19.62%199.1万
-18.36%217.9万
-13.87%235.9万
-21.31%239.7万
-22.18%247.7万
-22.18%247.7万
-16.04%266.9万
-14.06%273.9万
-6.99%304.6万
-累计折旧
-3.32%-96.6万
-3.32%-96.6万
-6.58%-98.8万
-15.84%-102.4万
6.17%-97.3万
6.69%-93.5万
6.69%-93.5万
3.34%-92.7万
4.95%-88.4万
-15.61%-103.7万
商誉及其他无形资产
13.03%1,961.9万
13.03%1,961.9万
5.16%1,961.4万
-4.94%1,962.4万
-27.34%1,808.4万
-31.81%1,735.8万
-31.81%1,735.8万
-23.51%1,865.1万
-17.77%2,064.4万
-0.79%2,488.9万
-商誉
----
----
----
----
----
--0
--0
--0
-73.94%146.5万
-0.78%557.3万
-其他无形资产
13.03%1,961.9万
13.03%1,961.9万
5.16%1,961.4万
2.32%1,962.4万
-6.38%1,808.4万
-12.13%1,735.8万
-12.13%1,735.8万
-1.45%1,865.1万
-1.56%1,917.9万
-0.79%1,931.6万
其他非流动资产
-25.15%12.8万
-25.15%12.8万
-29.67%12.8万
-27.27%12.8万
0.57%17.7万
-5.00%17.1万
-5.00%17.1万
5.20%18.2万
43.09%17.6万
43.09%17.6万
非流动资产合计
8.92%2,077.2万
8.92%2,077.2万
1.74%2,093.3万
-7.00%2,108.7万
-27.29%1,968.5万
-31.44%1,907.1万
-31.44%1,907.1万
-23.16%2,057.5万
-17.50%2,267.5万
-1.86%2,707.4万
总资产
8.17%3,823.9万
8.17%3,823.9万
-23.12%3,083.6万
-15.48%3,583万
-34.00%3,216.1万
-35.98%3,535.2万
-35.98%3,535.2万
-34.83%4,010.8万
-35.23%4,239万
-28.22%4,873万
负债
流动负债
应付款项
18.04%101.4万
18.04%101.4万
5.16%79.5万
-35.08%60.7万
-23.47%43.7万
11.56%85.9万
11.56%85.9万
-9.24%75.6万
26.18%93.5万
18.96%57.1万
-应付账款
18.04%101.4万
18.04%101.4万
5.16%79.5万
-35.08%60.7万
-23.47%43.7万
11.56%85.9万
11.56%85.9万
-9.24%75.6万
26.18%93.5万
18.96%57.1万
应计费用
51.82%656.6万
51.82%656.6万
108.20%781.6万
174.43%957.5万
22.90%408.9万
-1.37%432.5万
-1.37%432.5万
-43.57%375.4万
37.04%348.9万
30.83%332.7万
短期借款与租赁负债
1.00%60.6万
1.00%60.6万
11.39%67.5万
16.17%66.8万
10.54%61.9万
9.09%60万
9.09%60万
15.21%60.6万
10.79%57.5万
11.33%56万
-短期借款
-6.56%5.7万
-6.56%5.7万
-12.31%5.7万
-9.68%5.6万
-17.74%5.1万
-3.17%6.1万
-3.17%6.1万
0.00%6.5万
-7.46%6.2万
-6.06%6.2万
-短期租赁负债
1.86%54.9万
1.86%54.9万
14.23%61.8万
19.30%61.2万
14.06%56.8万
10.68%53.9万
10.68%53.9万
17.35%54.1万
13.50%51.3万
13.96%49.8万
递延负债
3.78%167.5万
3.78%167.5万
20.20%110.1万
52.61%134.3万
64.79%146万
78.15%161.4万
78.15%161.4万
74.48%91.6万
--88万
--88.6万
其他流动负债
----
----
----
----
--130.9万
----
----
----
----
----
流动负债总额
32.02%1,001.4万
32.02%1,001.4万
50.25%1,100.3万
80.99%1,239.4万
35.60%814.8万
12.57%758.5万
12.57%758.5万
-16.24%732.3万
-25.03%684.8万
-30.28%600.9万
非流动负债
长期借款与租赁负债
109.64%202.3万
109.64%202.3万
84.20%208.7万
77.13%222.3万
53.36%223.6万
-39.84%96.5万
-39.84%96.5万
-33.20%113.3万
-31.68%125.5万
-25.69%145.8万
-长期借款
1,716.30%167.1万
1,716.30%167.1万
1,587.76%165.4万
1,662.37%163.9万
845.91%150.4万
-43.21%9.2万
-43.21%9.2万
-34.67%9.8万
-39.22%9.3万
-0.63%15.9万
-长期租赁负债
-59.68%35.2万
-59.68%35.2万
-58.16%43.3万
-49.74%58.4万
-43.65%73.2万
-39.46%87.3万
-39.46%87.3万
-33.05%103.5万
-31.00%116.2万
-27.91%129.9万
递延负债
6.96%81.5万
6.96%81.5万
-6.11%21.5万
-2.27%43万
-10.39%59.5万
-15.89%76.2万
-15.89%76.2万
-82.21%22.9万
-53.78%44万
-49.35%66.4万
其他非流动负债
43.47%1,000.4万
43.47%1,000.4万
59.00%1,079.3万
63.84%1,016万
-12.21%568.5万
11.14%697.3万
11.14%697.3万
14.37%678.8万
7.41%620.1万
19.75%647.6万
非流动负债总额
47.61%1,284.2万
47.61%1,284.2万
60.67%1,309.5万
62.27%1,281.3万
-0.95%851.6万
-0.96%870万
-0.96%870万
-8.61%815万
-7.78%789.6万
-0.96%859.8万
总负债
40.35%2,285.6万
40.35%2,285.6万
55.74%2,409.8万
70.96%2,520.7万
14.08%1,666.4万
4.92%1,628.5万
4.92%1,628.5万
-12.39%1,547.3万
-16.68%1,474.4万
-15.57%1,460.7万
所有者权益
股本
1,033.33%3.4万
1,033.33%3.4万
200.00%9,000
-99.55%8,000
-99.89%3,000
-99.89%3,000
-99.89%3,000
-99.89%3,000
-35.72%176.9万
0.07%275.2万
-普通股股本
1,033.33%3.4万
1,033.33%3.4万
200.00%9,000
-65.22%8,000
-83.33%3,000
200.00%3,000
200.00%3,000
-83.33%3,000
27.78%2.3万
12.50%1.8万
-优先股股本
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----
--0
--0
--0
--0
--0
--0
-36.14%174.6万
0.00%273.4万
留存收益
-7.09%-3.59亿
-7.09%-3.59亿
-7.92%-3.57亿
-9.16%-3.52亿
-7.89%-3.39亿
-8.29%-3.35亿
-8.29%-3.35亿
-8.78%-3.31亿
-7.41%-3.23亿
-6.44%-3.14亿
资本公积
5.09%3.74亿
5.09%3.74亿
2.15%3.63亿
3.66%3.62亿
2.57%3.56亿
2.59%3.56亿
2.59%3.56亿
2.60%3.55亿
1.01%3.5亿
0.82%3.47亿
减:库存股
0.00%28.8万
0.00%28.8万
0.00%28.8万
0.00%28.8万
0.00%28.8万
0.00%28.8万
0.00%28.8万
0.00%28.8万
0.00%28.8万
0.00%28.8万
不影响留存收益的损益
164.09%75.5万
164.09%75.5万
581.25%76.3万
211.85%79.3万
2.42%-52.4万
-3,781.25%-117.8万
-3,781.25%-117.8万
110.59%11.2万
-99.16%-70.9万
-76.07%-53.7万
股东权益总额
-19.32%1,538.3万
-19.32%1,538.3万
-72.65%673.8万
-61.57%1,062.3万
-54.58%1,549.7万
-51.97%1,906.7万
-51.97%1,906.7万
-43.86%2,463.5万
-42.11%2,764.6万
-32.54%3,412.3万
总权益
-19.32%1,538.3万
-19.32%1,538.3万
-72.65%673.8万
-61.57%1,062.3万
-54.58%1,549.7万
-51.97%1,906.7万
-51.97%1,906.7万
-43.86%2,463.5万
-42.11%2,764.6万
-32.54%3,412.3万
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
带解释段的无保留意见
--
--
--
--
带解释段的无保留意见
--
--
--
--
(FY)2025/12/31(Q4)2025/12/31(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31
资产
流动资产
现金及现金等价物和短期投资 12.46%1,305.6万12.46%1,305.6万-54.12%752.8万-26.96%1,212万-45.16%1,001.4万-49.91%1,160.9万-49.91%1,160.9万-47.34%1,640.9万-51.55%1,659.3万-49.38%1,826.1万
-现金和现金等价物 12.46%1,305.6万12.46%1,305.6万-54.12%752.8万-26.96%1,212万-45.16%1,001.4万-49.91%1,160.9万-49.91%1,160.9万-47.34%1,640.9万-51.55%1,659.3万-49.38%1,826.1万
应收款项 15.41%383.5万15.41%383.5万-8.89%182.4万-2.64%187.9万-11.11%169.6万71.29%332.3万71.29%332.3万27.11%200.2万565.52%193万718.88%190.8万
-应收税费 1.81%338.3万1.81%338.3万-8.89%182.4万-2.64%187.9万-11.11%169.6万71.29%332.3万71.29%332.3万27.11%200.2万1,240.28%193万47,600.00%190.8万
-其他应收款 --45.2万--45.2万--------------------------------
预付费用 -57.30%57.6万-57.30%57.6万-50.89%55.1万-37.58%74.4万-48.49%76.6万-40.99%134.9万-40.99%134.9万-44.78%112.2万-65.22%119.2万-62.73%148.7万
流动资产合计 7.28%1,746.7万7.28%1,746.7万-49.30%990.3万-25.22%1,474.3万-42.39%1,247.6万-40.59%1,628.1万-40.59%1,628.1万-43.82%1,953.3万-48.07%1,971.5万-46.26%2,165.6万
非流动资产
固定资产净额 -33.53%102.5万-33.53%102.5万-31.63%119.1万-28.03%133.5万-29.12%142.4万-29.30%154.2万-29.30%154.2万-21.53%174.2万-17.81%185.5万-15.52%200.9万
-固定资产 -19.62%199.1万-19.62%199.1万-18.36%217.9万-13.87%235.9万-21.31%239.7万-22.18%247.7万-22.18%247.7万-16.04%266.9万-14.06%273.9万-6.99%304.6万
-累计折旧 -3.32%-96.6万-3.32%-96.6万-6.58%-98.8万-15.84%-102.4万6.17%-97.3万6.69%-93.5万6.69%-93.5万3.34%-92.7万4.95%-88.4万-15.61%-103.7万
商誉及其他无形资产 13.03%1,961.9万13.03%1,961.9万5.16%1,961.4万-4.94%1,962.4万-27.34%1,808.4万-31.81%1,735.8万-31.81%1,735.8万-23.51%1,865.1万-17.77%2,064.4万-0.79%2,488.9万
-商誉 ----------------------0--0--0-73.94%146.5万-0.78%557.3万
-其他无形资产 13.03%1,961.9万13.03%1,961.9万5.16%1,961.4万2.32%1,962.4万-6.38%1,808.4万-12.13%1,735.8万-12.13%1,735.8万-1.45%1,865.1万-1.56%1,917.9万-0.79%1,931.6万
其他非流动资产 -25.15%12.8万-25.15%12.8万-29.67%12.8万-27.27%12.8万0.57%17.7万-5.00%17.1万-5.00%17.1万5.20%18.2万43.09%17.6万43.09%17.6万
非流动资产合计 8.92%2,077.2万8.92%2,077.2万1.74%2,093.3万-7.00%2,108.7万-27.29%1,968.5万-31.44%1,907.1万-31.44%1,907.1万-23.16%2,057.5万-17.50%2,267.5万-1.86%2,707.4万
总资产 8.17%3,823.9万8.17%3,823.9万-23.12%3,083.6万-15.48%3,583万-34.00%3,216.1万-35.98%3,535.2万-35.98%3,535.2万-34.83%4,010.8万-35.23%4,239万-28.22%4,873万
负债
流动负债
应付款项 18.04%101.4万18.04%101.4万5.16%79.5万-35.08%60.7万-23.47%43.7万11.56%85.9万11.56%85.9万-9.24%75.6万26.18%93.5万18.96%57.1万
-应付账款 18.04%101.4万18.04%101.4万5.16%79.5万-35.08%60.7万-23.47%43.7万11.56%85.9万11.56%85.9万-9.24%75.6万26.18%93.5万18.96%57.1万
应计费用 51.82%656.6万51.82%656.6万108.20%781.6万174.43%957.5万22.90%408.9万-1.37%432.5万-1.37%432.5万-43.57%375.4万37.04%348.9万30.83%332.7万
短期借款与租赁负债 1.00%60.6万1.00%60.6万11.39%67.5万16.17%66.8万10.54%61.9万9.09%60万9.09%60万15.21%60.6万10.79%57.5万11.33%56万
-短期借款 -6.56%5.7万-6.56%5.7万-12.31%5.7万-9.68%5.6万-17.74%5.1万-3.17%6.1万-3.17%6.1万0.00%6.5万-7.46%6.2万-6.06%6.2万
-短期租赁负债 1.86%54.9万1.86%54.9万14.23%61.8万19.30%61.2万14.06%56.8万10.68%53.9万10.68%53.9万17.35%54.1万13.50%51.3万13.96%49.8万
递延负债 3.78%167.5万3.78%167.5万20.20%110.1万52.61%134.3万64.79%146万78.15%161.4万78.15%161.4万74.48%91.6万--88万--88.6万
其他流动负债 ------------------130.9万--------------------
流动负债总额 32.02%1,001.4万32.02%1,001.4万50.25%1,100.3万80.99%1,239.4万35.60%814.8万12.57%758.5万12.57%758.5万-16.24%732.3万-25.03%684.8万-30.28%600.9万
非流动负债
长期借款与租赁负债 109.64%202.3万109.64%202.3万84.20%208.7万77.13%222.3万53.36%223.6万-39.84%96.5万-39.84%96.5万-33.20%113.3万-31.68%125.5万-25.69%145.8万
-长期借款 1,716.30%167.1万1,716.30%167.1万1,587.76%165.4万1,662.37%163.9万845.91%150.4万-43.21%9.2万-43.21%9.2万-34.67%9.8万-39.22%9.3万-0.63%15.9万
-长期租赁负债 -59.68%35.2万-59.68%35.2万-58.16%43.3万-49.74%58.4万-43.65%73.2万-39.46%87.3万-39.46%87.3万-33.05%103.5万-31.00%116.2万-27.91%129.9万
递延负债 6.96%81.5万6.96%81.5万-6.11%21.5万-2.27%43万-10.39%59.5万-15.89%76.2万-15.89%76.2万-82.21%22.9万-53.78%44万-49.35%66.4万
其他非流动负债 43.47%1,000.4万43.47%1,000.4万59.00%1,079.3万63.84%1,016万-12.21%568.5万11.14%697.3万11.14%697.3万14.37%678.8万7.41%620.1万19.75%647.6万
非流动负债总额 47.61%1,284.2万47.61%1,284.2万60.67%1,309.5万62.27%1,281.3万-0.95%851.6万-0.96%870万-0.96%870万-8.61%815万-7.78%789.6万-0.96%859.8万
总负债 40.35%2,285.6万40.35%2,285.6万55.74%2,409.8万70.96%2,520.7万14.08%1,666.4万4.92%1,628.5万4.92%1,628.5万-12.39%1,547.3万-16.68%1,474.4万-15.57%1,460.7万
所有者权益
股本 1,033.33%3.4万1,033.33%3.4万200.00%9,000-99.55%8,000-99.89%3,000-99.89%3,000-99.89%3,000-99.89%3,000-35.72%176.9万0.07%275.2万
-普通股股本 1,033.33%3.4万1,033.33%3.4万200.00%9,000-65.22%8,000-83.33%3,000200.00%3,000200.00%3,000-83.33%3,00027.78%2.3万12.50%1.8万
-优先股股本 ----------0--0--0--0--0--0-36.14%174.6万0.00%273.4万
留存收益 -7.09%-3.59亿-7.09%-3.59亿-7.92%-3.57亿-9.16%-3.52亿-7.89%-3.39亿-8.29%-3.35亿-8.29%-3.35亿-8.78%-3.31亿-7.41%-3.23亿-6.44%-3.14亿
资本公积 5.09%3.74亿5.09%3.74亿2.15%3.63亿3.66%3.62亿2.57%3.56亿2.59%3.56亿2.59%3.56亿2.60%3.55亿1.01%3.5亿0.82%3.47亿
减:库存股 0.00%28.8万0.00%28.8万0.00%28.8万0.00%28.8万0.00%28.8万0.00%28.8万0.00%28.8万0.00%28.8万0.00%28.8万0.00%28.8万
不影响留存收益的损益 164.09%75.5万164.09%75.5万581.25%76.3万211.85%79.3万2.42%-52.4万-3,781.25%-117.8万-3,781.25%-117.8万110.59%11.2万-99.16%-70.9万-76.07%-53.7万
股东权益总额 -19.32%1,538.3万-19.32%1,538.3万-72.65%673.8万-61.57%1,062.3万-54.58%1,549.7万-51.97%1,906.7万-51.97%1,906.7万-43.86%2,463.5万-42.11%2,764.6万-32.54%3,412.3万
总权益 -19.32%1,538.3万-19.32%1,538.3万-72.65%673.8万-61.57%1,062.3万-54.58%1,549.7万-51.97%1,906.7万-51.97%1,906.7万-43.86%2,463.5万-42.11%2,764.6万-32.54%3,412.3万
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会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 带解释段的无保留意见--------带解释段的无保留意见--------
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