美股市场个股详情

VTGN VistaGen Therapeutics

添加自选
  • 3.6500
  • -0.0100-0.27%
交易中 07/22 09:33 (美东)
9875.11万总市值-2401市盈率TTM

VistaGen Therapeutics关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2024/03/31
(Q4)2024/03/31
(Q3)2023/12/31
(Q2)2023/09/30
(Q1)2023/06/30
(FY)2023/03/31
(Q4)2023/03/31
(Q3)2022/12/31
(Q2)2022/09/30
(Q1)2022/06/30
资产
流动资产
现金及现金等价物和短期投资
616.23%1.19亿
616.23%1.19亿
405.48%1.27亿
6.58%3,760.84万
-81.49%962.23万
-75.58%1,663.8万
-75.58%1,663.8万
-70.09%2,503.73万
-62.31%3,528.72万
-46.83%5,198.64万
-现金和现金等价物
616.23%1.19亿
616.23%1.19亿
405.48%1.27亿
6.58%3,760.84万
-81.49%962.23万
-75.58%1,663.8万
-75.58%1,663.8万
-70.09%2,503.73万
-62.31%3,528.72万
-46.83%5,198.64万
应收款项
----
----
----
----
-3.34%65.9万
----
----
----
--15.41万
1,449.55%68.18万
-应收关联方款项
----
----
----
----
----
----
----
----
----
--34.39万
-其他应收款
----
----
----
----
95.03%65.9万
----
----
----
--15.41万
667.95%33.79万
预付费用
----
----
----
----
--104.4万
----
----
-73.10%76.92万
-50.67%129.31万
----
递延资产
10.45%7.4万
10.45%7.4万
11.19%7.45万
11.19%7.45万
-42.60%6.71万
-42.69%6.7万
-42.69%6.7万
-49.81%6.7万
-49.81%6.7万
-12.43%11.69万
其他流动资产
78.55%143.2万
78.55%143.2万
704.51%148.03万
1,139.59%139.33万
-91.56%18.64万
--80.2万
--80.2万
137.11%18.4万
103.25%11.24万
6,103.65%220.85万
流动资产合计
589.28%1.21亿
589.28%1.21亿
391.66%1.28亿
5.86%3,907.62万
-78.95%1,157.88万
-75.34%1,750.7万
-75.34%1,750.7万
-69.97%2,605.75万
-61.72%3,691.38万
-44.91%5,499.36万
非流动资产
固定资产净额
-18.50%225.5万
-18.50%225.5万
-18.11%237.87万
-17.70%248.93万
-16.06%262.96万
-10.05%276.7万
-10.05%276.7万
-9.50%290.48万
-14.22%302.45万
-13.18%313.26万
-固定资产
-11.39%350.9万
-11.39%350.9万
-44.10%237.87万
-42.70%248.93万
-12.78%385.45万
-8.86%396万
-8.86%396万
-4.16%425.51万
-8.56%434.42万
-7.87%441.91万
-累计折旧
-5.11%-125.4万
-5.11%-125.4万
----
----
4.79%-122.49万
5.97%-119.3万
5.97%-119.3万
-9.75%-135.03万
-7.70%-131.97万
-8.24%-128.65万
关联方资产
----
----
----
----
----
----
----
----
----
--34.39万
非流动递延资产
-12.46%62.5万
-12.46%62.5万
-26.52%47.44万
-20.09%52.94万
45.04%72.3万
52.50%71.4万
52.50%71.4万
41.80%64.56万
35.54%66.25万
17.16%49.85万
长期预付费用
0.00%10.1万
0.00%10.1万
0.00%10.09万
0.00%10.09万
0.00%10.09万
0.10%10.1万
0.10%10.1万
0.00%10.09万
111.09%10.09万
111.09%10.09万
非流动资产合计
-16.78%298.1万
-16.78%298.1万
-19.10%295.4万
-17.64%311.96万
-7.46%345.35万
-1.74%358.2万
-1.74%358.2万
-3.04%365.13万
-6.75%378.79万
-8.56%373.2万
总资产
486.34%1.24亿
486.34%1.24亿
341.18%1.31亿
3.67%4,219.58万
-74.40%1,503.23万
-71.75%2,108.9万
-71.75%2,108.9万
-67.19%2,970.88万
-59.50%4,070.17万
-43.48%5,872.56万
负债
流动负债
应付款项
-37.44%154.7万
-37.44%154.7万
8.64%173.7万
-55.88%130.5万
-70.34%162.32万
-10.35%247.3万
-10.35%247.3万
-17.96%159.88万
11.21%295.78万
136.29%547.3万
-应付账款
-37.44%154.7万
-37.44%154.7万
8.64%173.7万
-55.88%130.5万
-70.34%162.32万
-10.35%247.3万
-10.35%247.3万
-17.96%159.88万
11.21%295.78万
136.29%547.3万
应计费用
34.20%61.6万
34.20%61.6万
-83.35%12.93万
-66.65%29.26万
-16.28%40.74万
-63.66%45.9万
-63.66%45.9万
62.60%77.64万
-38.99%87.74万
-65.24%48.66万
短期借款与租赁负债
-6.94%55万
-6.94%55万
-39.92%53.54万
-56.28%51.89万
-13.15%128.7万
36.40%59.1万
36.40%59.1万
109.97%89.11万
195.05%118.7万
289.36%148.19万
-短期借款
----
----
----
----
-24.44%78.42万
--10.5万
--10.5万
--41.91万
--73万
--103.78万
-短期租赁负债
13.17%55万
13.17%55万
13.43%53.54万
13.54%51.89万
13.22%50.28万
12.16%48.6万
12.16%48.6万
11.22%47.2万
13.60%45.7万
16.68%44.41万
递延负债
10.78%79.1万
10.78%79.1万
147.48%176.28万
11.33%79.3万
-42.58%71.43万
-42.60%71.4万
-42.60%71.4万
-49.85%71.23万
-49.85%71.23万
-12.41%124.4万
流动负债总额
12.00%512.3万
12.00%512.3万
-2.87%416.45万
-51.87%290.95万
-54.64%404.92万
-20.66%457.4万
-20.66%457.4万
-33.23%428.74万
-23.59%604.54万
42.43%892.62万
非流动负债
长期借款与租赁负债
-25.94%157万
-25.94%157万
-23.75%171.93万
-21.81%186.05万
-20.11%199.71万
-18.63%212万
-18.63%212万
-17.02%225.47万
-24.22%237.95万
-23.14%249.99万
-长期租赁负债
-25.94%157万
-25.94%157万
-23.75%171.93万
-21.81%186.05万
-20.11%199.71万
-18.63%212万
-18.63%212万
-17.02%225.47万
-24.22%237.95万
-23.14%249.99万
递延负债
15.51%267.4万
15.51%267.4万
-23.79%189.94万
-33.36%178.06万
71.30%213.7万
48.63%231.5万
48.63%231.5万
75.47%249.22万
50.25%267.18万
-41.60%124.75万
非流动负债总额
-4.31%424.4万
-4.31%424.4万
-23.77%361.87万
-27.92%364.11万
10.32%413.41万
6.53%443.5万
6.53%443.5万
14.73%474.69万
-57.65%505.13万
-68.83%374.74万
总负债
3.97%936.7万
3.97%936.7万
-13.85%778.32万
-40.97%655.06万
-35.43%818.33万
-9.26%900.9万
-9.26%900.9万
-14.43%903.43万
-44.07%1,109.67万
-30.71%1,267.36万
所有者权益
股本
285.71%2.7万
285.71%2.7万
-86.96%2.7万
-94.20%1.2万
-96.18%7,900
1.45%7,000
1.45%7,000
0.24%20.71万
3.29%20.7万
5.83%20.69万
-普通股股本
285.71%2.7万
285.71%2.7万
-86.96%2.7万
-94.20%1.2万
-96.18%7,900
1.45%7,000
1.45%7,000
0.24%20.71万
5.34%20.7万
7.99%20.69万
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
----
--0
留存收益
-8.98%-3.56亿
-8.98%-3.56亿
-10.19%-3.47亿
-11.64%-3.4亿
-16.14%-3.34亿
-22.14%-3.27亿
-22.14%-3.27亿
-25.39%-3.15亿
-26.83%-3.05亿
-26.27%-2.87亿
资本公积
38.36%4.74亿
38.36%4.74亿
39.77%4.74亿
12.33%3.8亿
2.19%3.45亿
1.97%3.43亿
1.97%3.43亿
1.32%3.39亿
4.13%3.38亿
6.38%3.37亿
减:库存股
0.00%396.8万
0.00%396.8万
0.00%396.81万
0.00%396.81万
0.00%396.81万
-0.00%396.8万
-0.00%396.8万
0.00%396.81万
0.00%396.81万
0.00%396.81万
股东权益总额
846.08%1.14亿
846.08%1.14亿
496.31%1.23亿
20.40%3,564.52万
-85.13%684.9万
-81.33%1,208万
-81.33%1,208万
-74.15%2,067.45万
-63.30%2,960.5万
-46.21%4,605.2万
总权益
846.08%1.14亿
846.08%1.14亿
496.31%1.23亿
20.40%3,564.52万
-85.13%684.9万
-81.33%1,208万
-81.33%1,208万
-74.15%2,067.45万
-63.30%2,960.5万
-46.21%4,605.2万
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
--
--
--
--
带解释段的无保留意见
--
--
--
--
(FY)2024/03/31(Q4)2024/03/31(Q3)2023/12/31(Q2)2023/09/30(Q1)2023/06/30(FY)2023/03/31(Q4)2023/03/31(Q3)2022/12/31(Q2)2022/09/30(Q1)2022/06/30
资产
流动资产
现金及现金等价物和短期投资 616.23%1.19亿616.23%1.19亿405.48%1.27亿6.58%3,760.84万-81.49%962.23万-75.58%1,663.8万-75.58%1,663.8万-70.09%2,503.73万-62.31%3,528.72万-46.83%5,198.64万
-现金和现金等价物 616.23%1.19亿616.23%1.19亿405.48%1.27亿6.58%3,760.84万-81.49%962.23万-75.58%1,663.8万-75.58%1,663.8万-70.09%2,503.73万-62.31%3,528.72万-46.83%5,198.64万
应收款项 -----------------3.34%65.9万--------------15.41万1,449.55%68.18万
-应收关联方款项 --------------------------------------34.39万
-其他应收款 ----------------95.03%65.9万--------------15.41万667.95%33.79万
预付费用 ------------------104.4万---------73.10%76.92万-50.67%129.31万----
递延资产 10.45%7.4万10.45%7.4万11.19%7.45万11.19%7.45万-42.60%6.71万-42.69%6.7万-42.69%6.7万-49.81%6.7万-49.81%6.7万-12.43%11.69万
其他流动资产 78.55%143.2万78.55%143.2万704.51%148.03万1,139.59%139.33万-91.56%18.64万--80.2万--80.2万137.11%18.4万103.25%11.24万6,103.65%220.85万
流动资产合计 589.28%1.21亿589.28%1.21亿391.66%1.28亿5.86%3,907.62万-78.95%1,157.88万-75.34%1,750.7万-75.34%1,750.7万-69.97%2,605.75万-61.72%3,691.38万-44.91%5,499.36万
非流动资产
固定资产净额 -18.50%225.5万-18.50%225.5万-18.11%237.87万-17.70%248.93万-16.06%262.96万-10.05%276.7万-10.05%276.7万-9.50%290.48万-14.22%302.45万-13.18%313.26万
-固定资产 -11.39%350.9万-11.39%350.9万-44.10%237.87万-42.70%248.93万-12.78%385.45万-8.86%396万-8.86%396万-4.16%425.51万-8.56%434.42万-7.87%441.91万
-累计折旧 -5.11%-125.4万-5.11%-125.4万--------4.79%-122.49万5.97%-119.3万5.97%-119.3万-9.75%-135.03万-7.70%-131.97万-8.24%-128.65万
关联方资产 --------------------------------------34.39万
非流动递延资产 -12.46%62.5万-12.46%62.5万-26.52%47.44万-20.09%52.94万45.04%72.3万52.50%71.4万52.50%71.4万41.80%64.56万35.54%66.25万17.16%49.85万
长期预付费用 0.00%10.1万0.00%10.1万0.00%10.09万0.00%10.09万0.00%10.09万0.10%10.1万0.10%10.1万0.00%10.09万111.09%10.09万111.09%10.09万
非流动资产合计 -16.78%298.1万-16.78%298.1万-19.10%295.4万-17.64%311.96万-7.46%345.35万-1.74%358.2万-1.74%358.2万-3.04%365.13万-6.75%378.79万-8.56%373.2万
总资产 486.34%1.24亿486.34%1.24亿341.18%1.31亿3.67%4,219.58万-74.40%1,503.23万-71.75%2,108.9万-71.75%2,108.9万-67.19%2,970.88万-59.50%4,070.17万-43.48%5,872.56万
负债
流动负债
应付款项 -37.44%154.7万-37.44%154.7万8.64%173.7万-55.88%130.5万-70.34%162.32万-10.35%247.3万-10.35%247.3万-17.96%159.88万11.21%295.78万136.29%547.3万
-应付账款 -37.44%154.7万-37.44%154.7万8.64%173.7万-55.88%130.5万-70.34%162.32万-10.35%247.3万-10.35%247.3万-17.96%159.88万11.21%295.78万136.29%547.3万
应计费用 34.20%61.6万34.20%61.6万-83.35%12.93万-66.65%29.26万-16.28%40.74万-63.66%45.9万-63.66%45.9万62.60%77.64万-38.99%87.74万-65.24%48.66万
短期借款与租赁负债 -6.94%55万-6.94%55万-39.92%53.54万-56.28%51.89万-13.15%128.7万36.40%59.1万36.40%59.1万109.97%89.11万195.05%118.7万289.36%148.19万
-短期借款 -----------------24.44%78.42万--10.5万--10.5万--41.91万--73万--103.78万
-短期租赁负债 13.17%55万13.17%55万13.43%53.54万13.54%51.89万13.22%50.28万12.16%48.6万12.16%48.6万11.22%47.2万13.60%45.7万16.68%44.41万
递延负债 10.78%79.1万10.78%79.1万147.48%176.28万11.33%79.3万-42.58%71.43万-42.60%71.4万-42.60%71.4万-49.85%71.23万-49.85%71.23万-12.41%124.4万
流动负债总额 12.00%512.3万12.00%512.3万-2.87%416.45万-51.87%290.95万-54.64%404.92万-20.66%457.4万-20.66%457.4万-33.23%428.74万-23.59%604.54万42.43%892.62万
非流动负债
长期借款与租赁负债 -25.94%157万-25.94%157万-23.75%171.93万-21.81%186.05万-20.11%199.71万-18.63%212万-18.63%212万-17.02%225.47万-24.22%237.95万-23.14%249.99万
-长期租赁负债 -25.94%157万-25.94%157万-23.75%171.93万-21.81%186.05万-20.11%199.71万-18.63%212万-18.63%212万-17.02%225.47万-24.22%237.95万-23.14%249.99万
递延负债 15.51%267.4万15.51%267.4万-23.79%189.94万-33.36%178.06万71.30%213.7万48.63%231.5万48.63%231.5万75.47%249.22万50.25%267.18万-41.60%124.75万
非流动负债总额 -4.31%424.4万-4.31%424.4万-23.77%361.87万-27.92%364.11万10.32%413.41万6.53%443.5万6.53%443.5万14.73%474.69万-57.65%505.13万-68.83%374.74万
总负债 3.97%936.7万3.97%936.7万-13.85%778.32万-40.97%655.06万-35.43%818.33万-9.26%900.9万-9.26%900.9万-14.43%903.43万-44.07%1,109.67万-30.71%1,267.36万
所有者权益
股本 285.71%2.7万285.71%2.7万-86.96%2.7万-94.20%1.2万-96.18%7,9001.45%7,0001.45%7,0000.24%20.71万3.29%20.7万5.83%20.69万
-普通股股本 285.71%2.7万285.71%2.7万-86.96%2.7万-94.20%1.2万-96.18%7,9001.45%7,0001.45%7,0000.24%20.71万5.34%20.7万7.99%20.69万
-优先股股本 --0--0--0--0--0--0--0--0------0
留存收益 -8.98%-3.56亿-8.98%-3.56亿-10.19%-3.47亿-11.64%-3.4亿-16.14%-3.34亿-22.14%-3.27亿-22.14%-3.27亿-25.39%-3.15亿-26.83%-3.05亿-26.27%-2.87亿
资本公积 38.36%4.74亿38.36%4.74亿39.77%4.74亿12.33%3.8亿2.19%3.45亿1.97%3.43亿1.97%3.43亿1.32%3.39亿4.13%3.38亿6.38%3.37亿
减:库存股 0.00%396.8万0.00%396.8万0.00%396.81万0.00%396.81万0.00%396.81万-0.00%396.8万-0.00%396.8万0.00%396.81万0.00%396.81万0.00%396.81万
股东权益总额 846.08%1.14亿846.08%1.14亿496.31%1.23亿20.40%3,564.52万-85.13%684.9万-81.33%1,208万-81.33%1,208万-74.15%2,067.45万-63.30%2,960.5万-46.21%4,605.2万
总权益 846.08%1.14亿846.08%1.14亿496.31%1.23亿20.40%3,564.52万-85.13%684.9万-81.33%1,208万-81.33%1,208万-74.15%2,067.45万-63.30%2,960.5万-46.21%4,605.2万
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--------带解释段的无保留意见--------

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