美股市場個股詳情

Perspective Therapeutics (CATX)

添加自選
  • 4.510
  • 0.0000.00%
收盤價 04/24 15:59 (美東)
  • 4.499
  • -0.012-0.25%
盤後 20:01 (美東)
5.14億總市值-3.22市盈率TTM

Perspective Therapeutics (CATX) 資產負債表

季報+年報
顯示同比 yoy
隱藏空行 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
資產
流動資產
現金及現金等價物和短期投資
-36.22%1.45億
-36.22%1.45億
-34.99%1.74億
-34.59%1.92億
17.19%2.12億
2,356.33%2.27億
2,356.33%2.27億
1,389.45%2.68億
934.18%2.93億
395.58%1.81億
-現金和現金等價物
-50.26%3,062.9萬
-50.26%3,062.9萬
-88.18%2,676.2萬
-88.55%2,884.9萬
-68.75%4,440.6萬
566.59%6,158萬
566.59%6,158萬
1,159.21%2.26億
789.88%2.52億
289.87%1.42億
-短期投資
-30.98%1.14億
-30.98%1.14億
255.94%1.47億
298.21%1.63億
334.19%1.67億
--1.65億
--1.65億
--4,140.4萬
--4,086.5萬
--3,853.1萬
應收款項
-29.94%103.9萬
-29.94%103.9萬
-17.51%17.9萬
58.45%22.5萬
-92.19%7.8萬
26.21%148.3萬
26.21%148.3萬
-87.46%21.7萬
-87.24%14.2萬
-26.76%99.9萬
-應收賬款
-94.83%6,000
-94.83%6,000
-17.51%17.9萬
58.45%22.5萬
-92.19%7.8萬
-90.04%11.6萬
-90.04%11.6萬
-87.46%21.7萬
-87.24%14.2萬
-26.76%99.9萬
-應收利息
16.25%102.3萬
16.25%102.3萬
----
----
----
--88萬
--88萬
----
----
----
-其他應收款
-97.95%1萬
-97.95%1萬
----
----
----
4,770.00%48.7萬
4,770.00%48.7萬
----
----
----
預付費用
-3.81%257.8萬
-3.81%257.8萬
----
----
----
148.61%268萬
148.61%268萬
----
----
----
其他流動資產
-56.79%3.5萬
-56.79%3.5萬
98.48%418.4萬
238.91%415.5萬
207.85%396.2萬
80.00%8.1萬
80.00%8.1萬
119.35%210.8萬
-14.15%122.6萬
23.51%128.7萬
流動資產合計
-35.81%1.48億
-35.81%1.48億
-33.93%1.79億
-33.40%1.96億
14.63%2.16億
1,272.93%2.31億
1,272.93%2.31億
1,145.72%2.7億
820.81%2.94億
367.39%1.88億
非流動資產
固定資產淨額
31.18%7,809.7萬
31.18%7,809.7萬
42.54%6,588.7萬
283.91%6,436.6萬
311.73%6,324.1萬
841.58%5,953.6萬
841.58%5,953.6萬
441.21%4,622.5萬
113.63%1,676.6萬
118.12%1,536萬
-固定資產
34.89%8,430.1萬
34.89%8,430.1萬
46.62%7,108.2萬
274.85%6,878.8萬
308.74%6,693.1萬
793.82%6,249.6萬
793.82%6,249.6萬
187.85%4,847.9萬
15.49%1,835.1萬
10.25%1,637.5萬
-累計折舊
-109.59%-620.4萬
-109.59%-620.4萬
-130.48%-519.5萬
-178.99%-442.2萬
-263.55%-369萬
-342.45%-296萬
-342.45%-296萬
72.85%-225.4萬
80.29%-158.5萬
87.01%-101.5萬
商譽及其他無形資產
-20.01%4,000.4萬
-20.01%4,000.4萬
-32.49%5,000萬
-32.49%5,000萬
-32.49%5,000萬
-32.80%5,001.1萬
-32.80%5,001.1萬
-4.21%7,406.2萬
-4.21%7,406.2萬
-4.21%7,406.2萬
-商譽
----
----
----
----
----
--0
--0
-11.92%2,406.2萬
-11.92%2,406.2萬
-11.92%2,406.2萬
-其他無形資產
-20.01%4,000.4萬
-20.01%4,000.4萬
0.00%5,000萬
0.00%5,000萬
0.00%5,000萬
-0.68%5,001.1萬
-0.68%5,001.1萬
0.00%5,000萬
0.00%5,000萬
0.00%5,000萬
投資和預付款
-14.60%27.5萬
-14.60%27.5萬
----
----
----
142.11%32.2萬
142.11%32.2萬
----
----
----
長期預付費用
187.50%20.7萬
187.50%20.7萬
----
----
----
--7.2萬
--7.2萬
----
----
----
其他非流動資產
----
----
-36.89%43.8萬
-53.04%40.1萬
-44.88%36.6萬
----
----
-76.63%69.4萬
-71.76%85.4萬
-78.00%66.4萬
非流動資產合計
7.86%1.19億
7.86%1.19億
-3.85%1.16億
25.18%1.15億
26.11%1.14億
35.64%1.1億
35.64%1.1億
36.19%1.21億
3.96%9,168.2萬
3.10%9,008.6萬
總資產
-21.73%2.67億
-21.73%2.67億
-24.63%2.95億
-19.48%3.11億
18.35%3.29億
248.45%3.41億
248.45%3.41億
253.93%3.91億
221.21%3.86億
118.02%2.78億
負債
流動負債
應付款項
98.31%2,051.1萬
98.31%2,051.1萬
-39.72%1,314.8萬
15.03%704.8萬
44.91%873.4萬
49.70%1,034.3萬
49.70%1,034.3萬
464.08%2,181.3萬
24.89%612.7萬
53.99%602.7萬
-應付賬款
98.31%2,051.1萬
98.31%2,051.1萬
-39.72%1,314.8萬
15.03%704.8萬
44.91%873.4萬
49.70%1,034.3萬
49.70%1,034.3萬
464.08%2,181.3萬
24.89%612.7萬
53.99%602.7萬
應計費用
----
----
----
----
----
----
----
18.37%397.6萬
-13.39%230.9萬
-15.21%182.8萬
短期借款與租賃負債
-32.71%67.9萬
-32.71%67.9萬
-20.44%75.9萬
16.41%90.1萬
480.34%103.3萬
962.11%100.9萬
962.11%100.9萬
179.77%95.4萬
132.43%77.4萬
-50.56%17.8萬
-短期借款
7.69%5.6萬
7.69%5.6萬
7.84%5.5萬
0.00%5.4萬
6.00%5.3萬
6.12%5.2萬
6.12%5.2萬
6.25%5.1萬
-23.94%5.4萬
-37.50%5萬
-短期租賃負債
-34.90%62.3萬
-34.90%62.3萬
-22.04%70.4萬
17.64%84.7萬
665.63%98萬
1,980.43%95.7萬
1,980.43%95.7萬
208.19%90.3萬
174.81%72萬
-54.29%12.8萬
遞延負債
--0
--0
--0
--0
--0
--140萬
--140萬
--140萬
--140萬
--140萬
其他流動負債
----
----
----
----
----
----
----
----
----
--507萬
流動負債總額
57.32%2,867.9萬
57.32%2,867.9萬
-26.74%2,061.8萬
22.39%1,298.6萬
-12.58%1,267.9萬
16.38%1,823萬
16.38%1,823萬
246.80%2,814.3萬
23.53%1,061萬
101.60%1,450.3萬
非流動負債
長期借款與租賃負債
-15.69%257.4萬
-15.69%257.4萬
-22.93%255.4萬
-13.96%266.8萬
3.15%278.5萬
24.31%305.3萬
24.31%305.3萬
11.77%331.4萬
38.19%310.1萬
53.67%270萬
-長期借款
-3.45%156.9萬
-3.45%156.9萬
-3.36%158.3萬
-3.27%159.7萬
-3.13%161.1萬
-3.04%162.5萬
-3.04%162.5萬
-3.02%163.8萬
-2.94%165.1萬
-2.92%166.3萬
-長期租賃負債
-29.62%100.5萬
-29.62%100.5萬
-42.06%97.1萬
-26.14%107.1萬
13.21%117.4萬
83.08%142.8萬
83.08%142.8萬
31.35%167.6萬
167.03%145萬
2,256.82%103.7萬
遞延負債
-2.73%2,830.2萬
-2.73%2,830.2萬
-6.72%2,909.5萬
-6.72%2,909.5萬
-6.72%2,909.5萬
533.60%2,909.5萬
533.60%2,909.5萬
--3,119.2萬
--3,119.2萬
--3,119.2萬
其他非流動負債
601.82%38.6萬
601.82%38.6萬
936.36%34.2萬
1,394.74%28.4萬
--14.5萬
--5.5萬
--5.5萬
--3.3萬
--1.9萬
----
非流動負債總額
-2.92%3,126.2萬
-2.92%3,126.2萬
-7.38%3,199.1萬
-6.60%3,204.7萬
-5.51%3,202.5萬
356.91%3,220.3萬
356.91%3,220.3萬
850.70%3,453.9萬
1,081.95%3,431.2萬
1,298.76%3,389.2萬
總負債
18.85%5,994.1萬
18.85%5,994.1萬
-16.07%5,260.9萬
0.25%4,503.3萬
-7.63%4,470.4萬
122.05%5,043.3萬
122.05%5,043.3萬
433.55%6,268.2萬
290.90%4,492.2萬
403.22%4,839.5萬
所有者權益
股本
5.71%7.4萬
5.71%7.4萬
10.45%7.4萬
10.45%7.4萬
-87.56%7.3萬
150.00%7萬
150.00%7萬
-76.16%6.7萬
-76.07%6.7萬
110.39%58.7萬
-普通股股本
5.71%7.4萬
5.71%7.4萬
10.45%7.4萬
10.45%7.4萬
-87.56%7.3萬
150.00%7萬
150.00%7萬
-76.16%6.7萬
-76.07%6.7萬
110.39%58.7萬
-優先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
-44.50%-3.35億
-44.50%-3.35億
-55.23%-2.97億
-53.82%-2.71億
-51.71%-2.5億
-52.01%-2.32億
-52.01%-2.32億
-49.92%-1.92億
-50.27%-1.76億
-54.96%-1.65億
資本公積
3.70%5.42億
3.70%5.42億
3.74%5.39億
3.80%5.37億
35.64%5.34億
129.52%5.22億
129.52%5.22億
129.81%5.2億
129.14%5.17億
75.86%3.94億
不影響留存收益的損益
315.69%11萬
315.69%11萬
--11.4萬
--3,000
--1.9萬
---5.1萬
---5.1萬
----
----
----
股東權益總額
-28.77%2.07億
-28.77%2.07億
-26.26%2.42億
-22.08%2.66億
23.82%2.85億
286.63%2.91億
286.63%2.91億
232.56%3.28億
213.84%3.41億
94.78%2.3億
總權益
-28.77%2.07億
-28.77%2.07億
-26.26%2.42億
-22.08%2.66億
23.82%2.85億
286.63%2.91億
286.63%2.91億
232.56%3.28億
213.84%3.41億
94.78%2.3億
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
審計意見
無保留意見
--
--
--
--
無保留意見
--
--
--
--
(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
資產
流動資產
現金及現金等價物和短期投資 -36.22%1.45億-36.22%1.45億-34.99%1.74億-34.59%1.92億17.19%2.12億2,356.33%2.27億2,356.33%2.27億1,389.45%2.68億934.18%2.93億395.58%1.81億
-現金和現金等價物 -50.26%3,062.9萬-50.26%3,062.9萬-88.18%2,676.2萬-88.55%2,884.9萬-68.75%4,440.6萬566.59%6,158萬566.59%6,158萬1,159.21%2.26億789.88%2.52億289.87%1.42億
-短期投資 -30.98%1.14億-30.98%1.14億255.94%1.47億298.21%1.63億334.19%1.67億--1.65億--1.65億--4,140.4萬--4,086.5萬--3,853.1萬
應收款項 -29.94%103.9萬-29.94%103.9萬-17.51%17.9萬58.45%22.5萬-92.19%7.8萬26.21%148.3萬26.21%148.3萬-87.46%21.7萬-87.24%14.2萬-26.76%99.9萬
-應收賬款 -94.83%6,000-94.83%6,000-17.51%17.9萬58.45%22.5萬-92.19%7.8萬-90.04%11.6萬-90.04%11.6萬-87.46%21.7萬-87.24%14.2萬-26.76%99.9萬
-應收利息 16.25%102.3萬16.25%102.3萬--------------88萬--88萬------------
-其他應收款 -97.95%1萬-97.95%1萬------------4,770.00%48.7萬4,770.00%48.7萬------------
預付費用 -3.81%257.8萬-3.81%257.8萬------------148.61%268萬148.61%268萬------------
其他流動資產 -56.79%3.5萬-56.79%3.5萬98.48%418.4萬238.91%415.5萬207.85%396.2萬80.00%8.1萬80.00%8.1萬119.35%210.8萬-14.15%122.6萬23.51%128.7萬
流動資產合計 -35.81%1.48億-35.81%1.48億-33.93%1.79億-33.40%1.96億14.63%2.16億1,272.93%2.31億1,272.93%2.31億1,145.72%2.7億820.81%2.94億367.39%1.88億
非流動資產
固定資產淨額 31.18%7,809.7萬31.18%7,809.7萬42.54%6,588.7萬283.91%6,436.6萬311.73%6,324.1萬841.58%5,953.6萬841.58%5,953.6萬441.21%4,622.5萬113.63%1,676.6萬118.12%1,536萬
-固定資產 34.89%8,430.1萬34.89%8,430.1萬46.62%7,108.2萬274.85%6,878.8萬308.74%6,693.1萬793.82%6,249.6萬793.82%6,249.6萬187.85%4,847.9萬15.49%1,835.1萬10.25%1,637.5萬
-累計折舊 -109.59%-620.4萬-109.59%-620.4萬-130.48%-519.5萬-178.99%-442.2萬-263.55%-369萬-342.45%-296萬-342.45%-296萬72.85%-225.4萬80.29%-158.5萬87.01%-101.5萬
商譽及其他無形資產 -20.01%4,000.4萬-20.01%4,000.4萬-32.49%5,000萬-32.49%5,000萬-32.49%5,000萬-32.80%5,001.1萬-32.80%5,001.1萬-4.21%7,406.2萬-4.21%7,406.2萬-4.21%7,406.2萬
-商譽 ----------------------0--0-11.92%2,406.2萬-11.92%2,406.2萬-11.92%2,406.2萬
-其他無形資產 -20.01%4,000.4萬-20.01%4,000.4萬0.00%5,000萬0.00%5,000萬0.00%5,000萬-0.68%5,001.1萬-0.68%5,001.1萬0.00%5,000萬0.00%5,000萬0.00%5,000萬
投資和預付款 -14.60%27.5萬-14.60%27.5萬------------142.11%32.2萬142.11%32.2萬------------
長期預付費用 187.50%20.7萬187.50%20.7萬--------------7.2萬--7.2萬------------
其他非流動資產 ---------36.89%43.8萬-53.04%40.1萬-44.88%36.6萬---------76.63%69.4萬-71.76%85.4萬-78.00%66.4萬
非流動資產合計 7.86%1.19億7.86%1.19億-3.85%1.16億25.18%1.15億26.11%1.14億35.64%1.1億35.64%1.1億36.19%1.21億3.96%9,168.2萬3.10%9,008.6萬
總資產 -21.73%2.67億-21.73%2.67億-24.63%2.95億-19.48%3.11億18.35%3.29億248.45%3.41億248.45%3.41億253.93%3.91億221.21%3.86億118.02%2.78億
負債
流動負債
應付款項 98.31%2,051.1萬98.31%2,051.1萬-39.72%1,314.8萬15.03%704.8萬44.91%873.4萬49.70%1,034.3萬49.70%1,034.3萬464.08%2,181.3萬24.89%612.7萬53.99%602.7萬
-應付賬款 98.31%2,051.1萬98.31%2,051.1萬-39.72%1,314.8萬15.03%704.8萬44.91%873.4萬49.70%1,034.3萬49.70%1,034.3萬464.08%2,181.3萬24.89%612.7萬53.99%602.7萬
應計費用 ----------------------------18.37%397.6萬-13.39%230.9萬-15.21%182.8萬
短期借款與租賃負債 -32.71%67.9萬-32.71%67.9萬-20.44%75.9萬16.41%90.1萬480.34%103.3萬962.11%100.9萬962.11%100.9萬179.77%95.4萬132.43%77.4萬-50.56%17.8萬
-短期借款 7.69%5.6萬7.69%5.6萬7.84%5.5萬0.00%5.4萬6.00%5.3萬6.12%5.2萬6.12%5.2萬6.25%5.1萬-23.94%5.4萬-37.50%5萬
-短期租賃負債 -34.90%62.3萬-34.90%62.3萬-22.04%70.4萬17.64%84.7萬665.63%98萬1,980.43%95.7萬1,980.43%95.7萬208.19%90.3萬174.81%72萬-54.29%12.8萬
遞延負債 --0--0--0--0--0--140萬--140萬--140萬--140萬--140萬
其他流動負債 --------------------------------------507萬
流動負債總額 57.32%2,867.9萬57.32%2,867.9萬-26.74%2,061.8萬22.39%1,298.6萬-12.58%1,267.9萬16.38%1,823萬16.38%1,823萬246.80%2,814.3萬23.53%1,061萬101.60%1,450.3萬
非流動負債
長期借款與租賃負債 -15.69%257.4萬-15.69%257.4萬-22.93%255.4萬-13.96%266.8萬3.15%278.5萬24.31%305.3萬24.31%305.3萬11.77%331.4萬38.19%310.1萬53.67%270萬
-長期借款 -3.45%156.9萬-3.45%156.9萬-3.36%158.3萬-3.27%159.7萬-3.13%161.1萬-3.04%162.5萬-3.04%162.5萬-3.02%163.8萬-2.94%165.1萬-2.92%166.3萬
-長期租賃負債 -29.62%100.5萬-29.62%100.5萬-42.06%97.1萬-26.14%107.1萬13.21%117.4萬83.08%142.8萬83.08%142.8萬31.35%167.6萬167.03%145萬2,256.82%103.7萬
遞延負債 -2.73%2,830.2萬-2.73%2,830.2萬-6.72%2,909.5萬-6.72%2,909.5萬-6.72%2,909.5萬533.60%2,909.5萬533.60%2,909.5萬--3,119.2萬--3,119.2萬--3,119.2萬
其他非流動負債 601.82%38.6萬601.82%38.6萬936.36%34.2萬1,394.74%28.4萬--14.5萬--5.5萬--5.5萬--3.3萬--1.9萬----
非流動負債總額 -2.92%3,126.2萬-2.92%3,126.2萬-7.38%3,199.1萬-6.60%3,204.7萬-5.51%3,202.5萬356.91%3,220.3萬356.91%3,220.3萬850.70%3,453.9萬1,081.95%3,431.2萬1,298.76%3,389.2萬
總負債 18.85%5,994.1萬18.85%5,994.1萬-16.07%5,260.9萬0.25%4,503.3萬-7.63%4,470.4萬122.05%5,043.3萬122.05%5,043.3萬433.55%6,268.2萬290.90%4,492.2萬403.22%4,839.5萬
所有者權益
股本 5.71%7.4萬5.71%7.4萬10.45%7.4萬10.45%7.4萬-87.56%7.3萬150.00%7萬150.00%7萬-76.16%6.7萬-76.07%6.7萬110.39%58.7萬
-普通股股本 5.71%7.4萬5.71%7.4萬10.45%7.4萬10.45%7.4萬-87.56%7.3萬150.00%7萬150.00%7萬-76.16%6.7萬-76.07%6.7萬110.39%58.7萬
-優先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 -44.50%-3.35億-44.50%-3.35億-55.23%-2.97億-53.82%-2.71億-51.71%-2.5億-52.01%-2.32億-52.01%-2.32億-49.92%-1.92億-50.27%-1.76億-54.96%-1.65億
資本公積 3.70%5.42億3.70%5.42億3.74%5.39億3.80%5.37億35.64%5.34億129.52%5.22億129.52%5.22億129.81%5.2億129.14%5.17億75.86%3.94億
不影響留存收益的損益 315.69%11萬315.69%11萬--11.4萬--3,000--1.9萬---5.1萬---5.1萬------------
股東權益總額 -28.77%2.07億-28.77%2.07億-26.26%2.42億-22.08%2.66億23.82%2.85億286.63%2.91億286.63%2.91億232.56%3.28億213.84%3.41億94.78%2.3億
總權益 -28.77%2.07億-28.77%2.07億-26.26%2.42億-22.08%2.66億23.82%2.85億286.63%2.91億286.63%2.91億232.56%3.28億213.84%3.41億94.78%2.3億
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會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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