美股市场个股详情

EPRX Eupraxia Pharmaceuticals

添加自选
  • 2.580
  • +0.020+0.78%
收盘价 06/28 16:00 (美东)
  • 2.600
  • +0.020+0.78%
盘后 16:10 (美东)
9190.62万总市值-2150市盈率TTM

Eupraxia 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
经营活动现金流量(间接法)
持续经营活动现金净额
-34.01%-612.05万
-43.68%-2,068.36万
-34.91%-611.36万
-42.04%-562.23万
-56.77%-438.04万
-46.79%-456.73万
-25.36%-1,439.52万
-62.42%-453.16万
-126.05%-395.82万
19.65%-279.41万
持续经营净收入
-55.63%-615.69万
-52.53%-2,896.6万
-28.63%-1,085.76万
-199.64%-826.61万
-23.14%-588.62万
-31.37%-395.61万
-3.61%-1,899.08万
-184.32%-844.08万
25.45%-275.87万
-3.04%-477.99万
持续经营损益
844.56%14.49万
72.44%-5.98万
-269.68%-5.76万
99.47%-1,128.8903
120.56%1.84万
-136.25%-1.95万
-122.96%-21.68万
8.15%3.39万
-31.62%-21.49万
-232.17%-8.96万
折旧和摊销
-0.10%3.74万
5.16%15.55万
-0.03%4.69万
7.21%3.49万
-1.68%3.63万
18.79%3.75万
69.08%14.79万
44.22%4.69万
46.05%3.25万
121.74%3.7万
其他非现金项目
1.68%16.09万
-11.20%58.6万
-65.06%10.73万
-46.06%-4.06万
102.72%36.1万
-21.87%15.83万
-75.32%66万
49.77%30.71万
-117.04%-2.78万
-59.51%17.81万
营运资金变化
117.63%25.01万
253.35%535.18万
232.25%550.63万
130.08%29.95万
-41.95%96.49万
-75.31%-141.9万
1,013.35%151.46万
419.20%165.73万
-159.86%-99.57万
861.03%166.23万
-应收款项(增)减
919.02%1.72万
-145.00%-10.37万
-161.48%-12.41万
-46.68%-1.85万
-21.11%3.72万
128.34%1,688
53.95%23.05万
178.68%20.19万
79.53%-1.26万
-86.74%4.72万
-预付费用(增)减
143.49%12.52万
-206.40%-12.24万
-123.48%-1.05万
-33.27%7.93万
-19.27%-24.27万
31,838.22%5.14万
-178.18%-4万
-74.85%4.45万
-33.68%11.88万
-197.90%-20.34万
-应付款项及应计费用(减)增
107.32%10.77万
321.28%557.79万
299.82%564.09万
121.67%23.87万
-35.65%117.04万
-83.18%-147.21万
461.12%132.4万
420.86%141.09万
-171.28%-110.18万
1,688.39%181.86万
非持续经营活动现金净额
经营活动现金净额
-34.01%-612.05万
-43.68%-2,068.36万
-34.91%-611.36万
-42.04%-562.23万
-56.77%-438.04万
-46.79%-456.73万
-25.36%-1,439.52万
-62.42%-453.16万
-126.05%-395.82万
19.65%-279.41万
投资活动现金流量
持续投资活动现金净额
15.85%-6,789
-100.75%-7.34万
-100.30%-4.97万
-102.41%-9,014.0458
99.91%-6,605.1461
-48.63%-8,068
186.78%983.44万
334.36%1,657.18万
314.95%37.39万
-9,572.21%-710.59万
固定资产交易的净现金流
15.85%-6,789
68.82%-7.34万
31.33%-4.97万
69.34%-9,014.0458
94.84%-6,605.1461
-48.63%-8,068
30.50%-23.53万
-405.82%-7.24万
90.81%-2.94万
-11,244.46%-12.81万
投资产品交易的净现金流
----
--0
--0
--0
----
----
242.66%1,006.97万
335.80%1,664.42万
--40.33万
----
非持续投资活动现金净额
投资活动现金净额
15.85%-6,789
-100.75%-7.34万
-100.30%-4.97万
-102.41%-9,014.0458
99.91%-6,605.1461
-48.63%-8,068
186.78%983.44万
334.36%1,657.18万
314.95%37.39万
-9,572.21%-710.59万
融资活动现金流量
持续融资活动现金净额
11,797.52%2,315.38万
94.55%2,101.4万
-83.98%18.87万
2,667.82%1,609.24万
-55.88%453.83万
638.09%19.46万
-72.41%1,080.11万
1,271.48%117.78万
22.15%-62.67万
27.89%1,028.61万
债务发行/偿还的净现金流
-3.36%-3.68万
-1.52%-14.44万
10.39%-3.75万
-12.83%-3.4万
-9.38%-3.73万
1.51%-3.56万
-101.50%-14.23万
46.42%-4.19万
-163.34%-3.02万
-100.45%-3.41万
普通股发行/偿还的净现金流
--2,285.34万
49.36%1,588.65万
-94.75%4.79万
2,755.10%1,583.86万
--0
--0
-64.15%1,063.66万
4,173.22%91.29万
30.03%-59.65万
1,807.19%1,032.02万
职工行使股票期权收到的现金
46.46%33.72万
1,618.51%527.19万
-41.88%17.83万
--28.78万
--457.56万
--23.02万
--30.68万
--30.68万
--0
----
非持续融资活动现金净额
融资活动现金净额
11,797.52%2,315.38万
94.55%2,101.4万
-83.98%18.87万
2,667.82%1,609.24万
-55.88%453.83万
638.09%19.46万
-72.41%1,080.11万
1,271.48%117.78万
22.15%-62.67万
27.89%1,028.61万
现金净流量
期初现金流
5.90%1,934.18万
45.75%1,826.34万
183.07%2,443.15万
6.75%1,440.96万
3.01%1,392.77万
9.14%1,826.34万
10,542.18%1,253.05万
-67.30%863.1万
-53.61%1,349.79万
-45.15%1,352.13万
当期现金流变化
488.67%1,702.65万
-95.88%25.7万
-145.20%-597.46万
348.43%1,046.1万
-60.80%15.13万
-38.94%-438.08万
-61.79%624.02万
232.69%1,321.81万
-54.25%-421.09万
-91.41%38.6万
利率变动影响
-1,122.24%-46.08万
261.89%82.14万
197.55%81.9万
-89.67%2.9万
-164.62%-7.17万
175.10%4.51万
-692.55%-50.74万
-1,689.49%-83.96万
765.41%28.12万
323.75%11.1万
期末现金流
157.81%3,590.75万
5.90%1,934.18万
5.90%1,934.18万
183.07%2,443.15万
6.75%1,440.96万
3.01%1,392.77万
11.46%1,826.34万
11.46%1,826.34万
-67.30%863.1万
-53.61%1,349.79万
自由现金流
-33.92%-612.72万
-41.87%-2,075.7万
-33.87%-616.33万
-41.22%-563.13万
-50.11%-438.7万
-46.80%-457.54万
-23.76%-1,463.08万
-64.18%-460.39万
-92.53%-398.76万
15.98%-292.25万
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
--
--
--
--
--
--
带解释段的无保留意见
--
--
--
(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
经营活动现金流量(间接法)
持续经营活动现金净额 -34.01%-612.05万-43.68%-2,068.36万-34.91%-611.36万-42.04%-562.23万-56.77%-438.04万-46.79%-456.73万-25.36%-1,439.52万-62.42%-453.16万-126.05%-395.82万19.65%-279.41万
持续经营净收入 -55.63%-615.69万-52.53%-2,896.6万-28.63%-1,085.76万-199.64%-826.61万-23.14%-588.62万-31.37%-395.61万-3.61%-1,899.08万-184.32%-844.08万25.45%-275.87万-3.04%-477.99万
持续经营损益 844.56%14.49万72.44%-5.98万-269.68%-5.76万99.47%-1,128.8903120.56%1.84万-136.25%-1.95万-122.96%-21.68万8.15%3.39万-31.62%-21.49万-232.17%-8.96万
折旧和摊销 -0.10%3.74万5.16%15.55万-0.03%4.69万7.21%3.49万-1.68%3.63万18.79%3.75万69.08%14.79万44.22%4.69万46.05%3.25万121.74%3.7万
其他非现金项目 1.68%16.09万-11.20%58.6万-65.06%10.73万-46.06%-4.06万102.72%36.1万-21.87%15.83万-75.32%66万49.77%30.71万-117.04%-2.78万-59.51%17.81万
营运资金变化 117.63%25.01万253.35%535.18万232.25%550.63万130.08%29.95万-41.95%96.49万-75.31%-141.9万1,013.35%151.46万419.20%165.73万-159.86%-99.57万861.03%166.23万
-应收款项(增)减 919.02%1.72万-145.00%-10.37万-161.48%-12.41万-46.68%-1.85万-21.11%3.72万128.34%1,68853.95%23.05万178.68%20.19万79.53%-1.26万-86.74%4.72万
-预付费用(增)减 143.49%12.52万-206.40%-12.24万-123.48%-1.05万-33.27%7.93万-19.27%-24.27万31,838.22%5.14万-178.18%-4万-74.85%4.45万-33.68%11.88万-197.90%-20.34万
-应付款项及应计费用(减)增 107.32%10.77万321.28%557.79万299.82%564.09万121.67%23.87万-35.65%117.04万-83.18%-147.21万461.12%132.4万420.86%141.09万-171.28%-110.18万1,688.39%181.86万
非持续经营活动现金净额
经营活动现金净额 -34.01%-612.05万-43.68%-2,068.36万-34.91%-611.36万-42.04%-562.23万-56.77%-438.04万-46.79%-456.73万-25.36%-1,439.52万-62.42%-453.16万-126.05%-395.82万19.65%-279.41万
投资活动现金流量
持续投资活动现金净额 15.85%-6,789-100.75%-7.34万-100.30%-4.97万-102.41%-9,014.045899.91%-6,605.1461-48.63%-8,068186.78%983.44万334.36%1,657.18万314.95%37.39万-9,572.21%-710.59万
固定资产交易的净现金流 15.85%-6,78968.82%-7.34万31.33%-4.97万69.34%-9,014.045894.84%-6,605.1461-48.63%-8,06830.50%-23.53万-405.82%-7.24万90.81%-2.94万-11,244.46%-12.81万
投资产品交易的净现金流 ------0--0--0--------242.66%1,006.97万335.80%1,664.42万--40.33万----
非持续投资活动现金净额
投资活动现金净额 15.85%-6,789-100.75%-7.34万-100.30%-4.97万-102.41%-9,014.045899.91%-6,605.1461-48.63%-8,068186.78%983.44万334.36%1,657.18万314.95%37.39万-9,572.21%-710.59万
融资活动现金流量
持续融资活动现金净额 11,797.52%2,315.38万94.55%2,101.4万-83.98%18.87万2,667.82%1,609.24万-55.88%453.83万638.09%19.46万-72.41%1,080.11万1,271.48%117.78万22.15%-62.67万27.89%1,028.61万
债务发行/偿还的净现金流 -3.36%-3.68万-1.52%-14.44万10.39%-3.75万-12.83%-3.4万-9.38%-3.73万1.51%-3.56万-101.50%-14.23万46.42%-4.19万-163.34%-3.02万-100.45%-3.41万
普通股发行/偿还的净现金流 --2,285.34万49.36%1,588.65万-94.75%4.79万2,755.10%1,583.86万--0--0-64.15%1,063.66万4,173.22%91.29万30.03%-59.65万1,807.19%1,032.02万
职工行使股票期权收到的现金 46.46%33.72万1,618.51%527.19万-41.88%17.83万--28.78万--457.56万--23.02万--30.68万--30.68万--0----
非持续融资活动现金净额
融资活动现金净额 11,797.52%2,315.38万94.55%2,101.4万-83.98%18.87万2,667.82%1,609.24万-55.88%453.83万638.09%19.46万-72.41%1,080.11万1,271.48%117.78万22.15%-62.67万27.89%1,028.61万
现金净流量
期初现金流 5.90%1,934.18万45.75%1,826.34万183.07%2,443.15万6.75%1,440.96万3.01%1,392.77万9.14%1,826.34万10,542.18%1,253.05万-67.30%863.1万-53.61%1,349.79万-45.15%1,352.13万
当期现金流变化 488.67%1,702.65万-95.88%25.7万-145.20%-597.46万348.43%1,046.1万-60.80%15.13万-38.94%-438.08万-61.79%624.02万232.69%1,321.81万-54.25%-421.09万-91.41%38.6万
利率变动影响 -1,122.24%-46.08万261.89%82.14万197.55%81.9万-89.67%2.9万-164.62%-7.17万175.10%4.51万-692.55%-50.74万-1,689.49%-83.96万765.41%28.12万323.75%11.1万
期末现金流 157.81%3,590.75万5.90%1,934.18万5.90%1,934.18万183.07%2,443.15万6.75%1,440.96万3.01%1,392.77万11.46%1,826.34万11.46%1,826.34万-67.30%863.1万-53.61%1,349.79万
自由现金流 -33.92%-612.72万-41.87%-2,075.7万-33.87%-616.33万-41.22%-563.13万-50.11%-438.7万-46.80%-457.54万-23.76%-1,463.08万-64.18%-460.39万-92.53%-398.76万15.98%-292.25万
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 ------------带解释段的无保留意见------

分析

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目标价预测

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