美股市場個股詳情

InMed Pharmaceuticals (INM)

添加自選
  • 1.070
  • -0.080-6.96%
收盤價 01/22 16:00 (美東)
300.05萬總市值-0.18市盈率TTM

InMed Pharmaceuticals (INM) 資產負債表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2025/09/30
(FY)2025/06/30
(Q4)2025/06/30
(Q3)2025/03/31
(Q2)2024/12/31
(Q1)2024/09/30
(FY)2024/06/30
(Q4)2024/06/30
(Q3)2024/03/31
(Q2)2023/12/31
資產
流動資產
現金及現金等價物和短期投資
67.13%933.11萬
68.54%1,107.59萬
68.54%1,107.59萬
-38.43%467.98萬
-64.14%341.94萬
-17.14%558.3萬
-26.27%657.16萬
-26.27%657.16萬
-20.86%760.06萬
-16.74%953.49萬
-現金和現金等價物
67.13%933.11萬
68.54%1,107.59萬
68.54%1,107.59萬
-38.43%467.98萬
-64.14%341.94萬
-17.14%558.3萬
-26.27%657.16萬
-26.27%657.16萬
-20.86%760.06萬
-16.74%953.49萬
應收款項
20.64%34.35萬
31.82%46.51萬
31.82%46.51萬
77.10%36.78萬
-29.58%26.26萬
71.66%28.47萬
35.50%35.28萬
35.50%35.28萬
21.95%20.77萬
356.69%37.29萬
-應收賬款
20.64%34.35萬
31.82%46.51萬
31.82%46.51萬
77.10%36.78萬
-29.58%26.26萬
71.66%28.47萬
35.50%35.28萬
35.50%35.28萬
21.95%20.77萬
356.69%37.29萬
存貨
-26.99%89.08萬
-22.76%96.12萬
-22.76%96.12萬
-31.83%81.4萬
48.13%110.34萬
7.68%122.01萬
-23.02%124.43萬
-23.02%124.43萬
-10.22%119.4萬
-53.84%74.48萬
受限制現金
-0.80%4.29萬
0.74%4.34萬
0.74%4.34萬
-5.81%4.06萬
-8.27%4.08萬
0.61%4.32萬
-3.06%4.31萬
-3.06%4.31萬
0.07%4.31萬
3.27%4.45萬
其他流動資產
28.80%19.18萬
-32.65%32.17萬
-32.65%32.17萬
-50.14%50.79萬
-42.14%64.4萬
-30.76%14.89萬
-4.07%47.77萬
-4.07%47.77萬
46.53%101.87萬
34.59%111.3萬
流動資產合計
48.35%1,080萬
48.08%1,286.73萬
48.08%1,286.73萬
-36.31%641.01萬
-53.68%547.01萬
-12.24%727.99萬
-23.32%868.96萬
-23.32%868.96萬
-15.02%1,006.4萬
-15.75%1,181.01萬
非流動資產
固定資產淨額
-34.36%88.15萬
-20.62%99.22萬
-20.62%99.22萬
-19.13%110.87萬
-16.89%123.1萬
118.36%134.3萬
72.79%125萬
72.79%125萬
82.01%137.1萬
110.41%148.11萬
-固定資產
----
-10.55%233.06萬
-10.55%233.06萬
-10.95%232.01萬
-8.99%237.12萬
43.82%237.12萬
58.02%260.53萬
58.02%260.53萬
65.67%260.53萬
83.38%260.53萬
-累計折舊
----
1.25%-133.84萬
1.25%-133.84萬
1.86%-121.14萬
-1.43%-114.02萬
0.53%-102.82萬
-46.47%-135.53萬
-46.47%-135.53萬
-50.65%-123.43萬
-56.84%-112.42萬
商譽及其他無形資產
-9.34%157.96萬
-9.12%162.06萬
-9.12%162.06萬
-8.92%166.11萬
-8.75%170.12萬
-8.56%174.22萬
-8.38%178.32萬
-8.38%178.32萬
-8.21%182.37萬
-8.02%186.43萬
-其他無形資產
-9.34%157.96萬
-9.12%162.06萬
-9.12%162.06萬
-8.92%166.11萬
-8.75%170.12萬
-8.56%174.22萬
-8.38%178.32萬
-8.38%178.32萬
-8.21%182.37萬
-8.02%186.43萬
其他非流動資產
0.00%10萬
0.00%10萬
0.00%10萬
0.00%10萬
0.00%10萬
-1.76%10萬
-4.68%10萬
-4.68%10萬
-32.20%10萬
-41.56%10萬
非流動資產合計
-19.59%256.11萬
-13.42%271.28萬
-13.42%271.28萬
-12.90%286.98萬
-11.99%303.22萬
21.47%318.52萬
12.92%313.32萬
12.92%313.32萬
14.10%329.47萬
18.73%344.54萬
總資產
27.67%1,336.11萬
31.78%1,558萬
31.78%1,558萬
-30.53%927.98萬
-44.27%850.23萬
-4.14%1,046.51萬
-16.19%1,182.28萬
-16.19%1,182.28萬
-9.31%1,335.87萬
-9.84%1,525.55萬
負債
流動負債
應付款項
-17.80%36.91萬
-40.89%37.01萬
-40.89%37.01萬
39.04%55.98萬
87.49%57.46萬
18.20%44.9萬
15.07%62.62萬
15.07%62.62萬
-45.41%40.26萬
-60.24%30.65萬
-應付賬款
-17.80%36.91萬
-40.89%37.01萬
-40.89%37.01萬
39.04%55.98萬
87.49%57.46萬
18.20%44.9萬
15.07%62.62萬
15.07%62.62萬
-45.41%40.26萬
-60.24%30.65萬
應計費用
49.38%48.69萬
0.78%54.37萬
0.78%54.37萬
-33.07%38.52萬
-17.80%45.94萬
-15.74%32.59萬
3.31%53.95萬
3.31%53.95萬
43.98%57.56萬
-31.16%55.89萬
短期借款與租賃負債
0.12%42.48萬
37.04%43.55萬
37.04%43.55萬
24.22%42.92萬
15.25%41.97萬
44.80%42.43萬
-15.41%31.78萬
-15.41%31.78萬
-18.42%34.55萬
-12.10%36.42萬
-短期租賃負債
0.12%42.48萬
37.04%43.55萬
37.04%43.55萬
24.22%42.92萬
15.25%41.97萬
44.80%42.43萬
-15.41%31.78萬
-15.41%31.78萬
-18.42%34.55萬
-12.10%36.42萬
遞延負債
----
----
----
----
----
----
--0
--0
--0
77.21%2.87萬
流動負債總額
8.29%155.5萬
-6.70%183.98萬
-6.70%183.98萬
20.29%183.9萬
6.57%179.09萬
7.22%143.59萬
-1.44%197.18萬
-1.44%197.18萬
-32.64%152.88萬
-30.00%168.05萬
非流動負債
長期借款與租賃負債
-66.00%21.55萬
-52.59%30.58萬
-52.59%30.58萬
-42.18%41.93萬
-34.07%52.92萬
--63.38萬
3,931.92%64.49萬
3,931.92%64.49萬
896.29%72.52萬
336.53%80.28萬
-長期租賃負債
-66.00%21.55萬
-52.59%30.58萬
-52.59%30.58萬
-42.18%41.93萬
-34.07%52.92萬
--63.38萬
3,931.92%64.49萬
3,931.92%64.49萬
896.29%72.52萬
336.53%80.28萬
非流動負債總額
-66.00%21.55萬
-52.59%30.58萬
-52.59%30.58萬
-42.18%41.93萬
-34.07%52.92萬
--63.38萬
3,931.92%64.49萬
3,931.92%64.49萬
896.29%72.52萬
336.53%80.28萬
總負債
-14.46%177.05萬
-18.00%214.55萬
-18.00%214.55萬
0.19%225.83萬
-6.57%232.02萬
54.54%206.97萬
29.76%261.67萬
29.76%261.67萬
-3.77%225.41萬
-3.92%248.33萬
所有者權益
股本
9.04%9,180.64萬
10.19%9,122.12萬
10.19%9,122.12萬
8.50%8,745.71萬
5.76%8,453.72萬
8.48%8,419.87萬
6.65%8,278.44萬
6.65%8,278.44萬
3.85%8,060.69萬
6.78%7,993.66萬
-普通股股本
9.04%9,180.64萬
10.19%9,122.12萬
10.19%9,122.12萬
8.50%8,745.71萬
5.76%8,453.72萬
8.48%8,419.87萬
6.65%8,278.44萬
6.65%8,278.44萬
3.85%8,060.69萬
6.78%7,993.66萬
留存收益
-7.41%-1.19億
-7.48%-1.17億
-7.48%-1.17億
-7.76%-1.15億
-7.51%-1.13億
-6.56%-1.11億
-7.57%-1.09億
-7.57%-1.09億
-6.01%-1.07億
-6.41%-1.05億
資本公積
10.91%3,862.04萬
11.18%3,932.26萬
11.18%3,932.26萬
-6.99%3,488.54萬
-8.60%3,484.5萬
-2.64%3,482.18萬
-1.04%3,536.89萬
-1.04%3,536.89萬
5.06%3,750.73萬
-0.74%3,812.22萬
不影響留存收益的損益
0.00%12.86萬
0.00%12.86萬
0.00%12.86萬
0.00%12.86萬
0.00%12.86萬
0.00%12.86萬
0.00%12.86萬
0.00%12.86萬
0.00%12.86萬
0.00%12.86萬
股東權益總額
38.06%1,159.06萬
45.93%1,343.45萬
45.93%1,343.45萬
-36.77%702.15萬
-51.60%618.21萬
-12.35%839.54萬
-23.85%920.61萬
-23.85%920.61萬
-10.36%1,110.47萬
-10.90%1,277.22萬
總權益
38.06%1,159.06萬
45.93%1,343.45萬
45.93%1,343.45萬
-36.77%702.15萬
-51.60%618.21萬
-12.35%839.54萬
-23.85%920.61萬
-23.85%920.61萬
-10.36%1,110.47萬
-10.90%1,277.22萬
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
--
帶解釋段的無保留意見
--
--
--
--
帶解釋段的無保留意見
--
--
--
(Q1)2025/09/30(FY)2025/06/30(Q4)2025/06/30(Q3)2025/03/31(Q2)2024/12/31(Q1)2024/09/30(FY)2024/06/30(Q4)2024/06/30(Q3)2024/03/31(Q2)2023/12/31
資產
流動資產
現金及現金等價物和短期投資 67.13%933.11萬68.54%1,107.59萬68.54%1,107.59萬-38.43%467.98萬-64.14%341.94萬-17.14%558.3萬-26.27%657.16萬-26.27%657.16萬-20.86%760.06萬-16.74%953.49萬
-現金和現金等價物 67.13%933.11萬68.54%1,107.59萬68.54%1,107.59萬-38.43%467.98萬-64.14%341.94萬-17.14%558.3萬-26.27%657.16萬-26.27%657.16萬-20.86%760.06萬-16.74%953.49萬
應收款項 20.64%34.35萬31.82%46.51萬31.82%46.51萬77.10%36.78萬-29.58%26.26萬71.66%28.47萬35.50%35.28萬35.50%35.28萬21.95%20.77萬356.69%37.29萬
-應收賬款 20.64%34.35萬31.82%46.51萬31.82%46.51萬77.10%36.78萬-29.58%26.26萬71.66%28.47萬35.50%35.28萬35.50%35.28萬21.95%20.77萬356.69%37.29萬
存貨 -26.99%89.08萬-22.76%96.12萬-22.76%96.12萬-31.83%81.4萬48.13%110.34萬7.68%122.01萬-23.02%124.43萬-23.02%124.43萬-10.22%119.4萬-53.84%74.48萬
受限制現金 -0.80%4.29萬0.74%4.34萬0.74%4.34萬-5.81%4.06萬-8.27%4.08萬0.61%4.32萬-3.06%4.31萬-3.06%4.31萬0.07%4.31萬3.27%4.45萬
其他流動資產 28.80%19.18萬-32.65%32.17萬-32.65%32.17萬-50.14%50.79萬-42.14%64.4萬-30.76%14.89萬-4.07%47.77萬-4.07%47.77萬46.53%101.87萬34.59%111.3萬
流動資產合計 48.35%1,080萬48.08%1,286.73萬48.08%1,286.73萬-36.31%641.01萬-53.68%547.01萬-12.24%727.99萬-23.32%868.96萬-23.32%868.96萬-15.02%1,006.4萬-15.75%1,181.01萬
非流動資產
固定資產淨額 -34.36%88.15萬-20.62%99.22萬-20.62%99.22萬-19.13%110.87萬-16.89%123.1萬118.36%134.3萬72.79%125萬72.79%125萬82.01%137.1萬110.41%148.11萬
-固定資產 -----10.55%233.06萬-10.55%233.06萬-10.95%232.01萬-8.99%237.12萬43.82%237.12萬58.02%260.53萬58.02%260.53萬65.67%260.53萬83.38%260.53萬
-累計折舊 ----1.25%-133.84萬1.25%-133.84萬1.86%-121.14萬-1.43%-114.02萬0.53%-102.82萬-46.47%-135.53萬-46.47%-135.53萬-50.65%-123.43萬-56.84%-112.42萬
商譽及其他無形資產 -9.34%157.96萬-9.12%162.06萬-9.12%162.06萬-8.92%166.11萬-8.75%170.12萬-8.56%174.22萬-8.38%178.32萬-8.38%178.32萬-8.21%182.37萬-8.02%186.43萬
-其他無形資產 -9.34%157.96萬-9.12%162.06萬-9.12%162.06萬-8.92%166.11萬-8.75%170.12萬-8.56%174.22萬-8.38%178.32萬-8.38%178.32萬-8.21%182.37萬-8.02%186.43萬
其他非流動資產 0.00%10萬0.00%10萬0.00%10萬0.00%10萬0.00%10萬-1.76%10萬-4.68%10萬-4.68%10萬-32.20%10萬-41.56%10萬
非流動資產合計 -19.59%256.11萬-13.42%271.28萬-13.42%271.28萬-12.90%286.98萬-11.99%303.22萬21.47%318.52萬12.92%313.32萬12.92%313.32萬14.10%329.47萬18.73%344.54萬
總資產 27.67%1,336.11萬31.78%1,558萬31.78%1,558萬-30.53%927.98萬-44.27%850.23萬-4.14%1,046.51萬-16.19%1,182.28萬-16.19%1,182.28萬-9.31%1,335.87萬-9.84%1,525.55萬
負債
流動負債
應付款項 -17.80%36.91萬-40.89%37.01萬-40.89%37.01萬39.04%55.98萬87.49%57.46萬18.20%44.9萬15.07%62.62萬15.07%62.62萬-45.41%40.26萬-60.24%30.65萬
-應付賬款 -17.80%36.91萬-40.89%37.01萬-40.89%37.01萬39.04%55.98萬87.49%57.46萬18.20%44.9萬15.07%62.62萬15.07%62.62萬-45.41%40.26萬-60.24%30.65萬
應計費用 49.38%48.69萬0.78%54.37萬0.78%54.37萬-33.07%38.52萬-17.80%45.94萬-15.74%32.59萬3.31%53.95萬3.31%53.95萬43.98%57.56萬-31.16%55.89萬
短期借款與租賃負債 0.12%42.48萬37.04%43.55萬37.04%43.55萬24.22%42.92萬15.25%41.97萬44.80%42.43萬-15.41%31.78萬-15.41%31.78萬-18.42%34.55萬-12.10%36.42萬
-短期租賃負債 0.12%42.48萬37.04%43.55萬37.04%43.55萬24.22%42.92萬15.25%41.97萬44.80%42.43萬-15.41%31.78萬-15.41%31.78萬-18.42%34.55萬-12.10%36.42萬
遞延負債 --------------------------0--0--077.21%2.87萬
流動負債總額 8.29%155.5萬-6.70%183.98萬-6.70%183.98萬20.29%183.9萬6.57%179.09萬7.22%143.59萬-1.44%197.18萬-1.44%197.18萬-32.64%152.88萬-30.00%168.05萬
非流動負債
長期借款與租賃負債 -66.00%21.55萬-52.59%30.58萬-52.59%30.58萬-42.18%41.93萬-34.07%52.92萬--63.38萬3,931.92%64.49萬3,931.92%64.49萬896.29%72.52萬336.53%80.28萬
-長期租賃負債 -66.00%21.55萬-52.59%30.58萬-52.59%30.58萬-42.18%41.93萬-34.07%52.92萬--63.38萬3,931.92%64.49萬3,931.92%64.49萬896.29%72.52萬336.53%80.28萬
非流動負債總額 -66.00%21.55萬-52.59%30.58萬-52.59%30.58萬-42.18%41.93萬-34.07%52.92萬--63.38萬3,931.92%64.49萬3,931.92%64.49萬896.29%72.52萬336.53%80.28萬
總負債 -14.46%177.05萬-18.00%214.55萬-18.00%214.55萬0.19%225.83萬-6.57%232.02萬54.54%206.97萬29.76%261.67萬29.76%261.67萬-3.77%225.41萬-3.92%248.33萬
所有者權益
股本 9.04%9,180.64萬10.19%9,122.12萬10.19%9,122.12萬8.50%8,745.71萬5.76%8,453.72萬8.48%8,419.87萬6.65%8,278.44萬6.65%8,278.44萬3.85%8,060.69萬6.78%7,993.66萬
-普通股股本 9.04%9,180.64萬10.19%9,122.12萬10.19%9,122.12萬8.50%8,745.71萬5.76%8,453.72萬8.48%8,419.87萬6.65%8,278.44萬6.65%8,278.44萬3.85%8,060.69萬6.78%7,993.66萬
留存收益 -7.41%-1.19億-7.48%-1.17億-7.48%-1.17億-7.76%-1.15億-7.51%-1.13億-6.56%-1.11億-7.57%-1.09億-7.57%-1.09億-6.01%-1.07億-6.41%-1.05億
資本公積 10.91%3,862.04萬11.18%3,932.26萬11.18%3,932.26萬-6.99%3,488.54萬-8.60%3,484.5萬-2.64%3,482.18萬-1.04%3,536.89萬-1.04%3,536.89萬5.06%3,750.73萬-0.74%3,812.22萬
不影響留存收益的損益 0.00%12.86萬0.00%12.86萬0.00%12.86萬0.00%12.86萬0.00%12.86萬0.00%12.86萬0.00%12.86萬0.00%12.86萬0.00%12.86萬0.00%12.86萬
股東權益總額 38.06%1,159.06萬45.93%1,343.45萬45.93%1,343.45萬-36.77%702.15萬-51.60%618.21萬-12.35%839.54萬-23.85%920.61萬-23.85%920.61萬-10.36%1,110.47萬-10.90%1,277.22萬
總權益 38.06%1,159.06萬45.93%1,343.45萬45.93%1,343.45萬-36.77%702.15萬-51.60%618.21萬-12.35%839.54萬-23.85%920.61萬-23.85%920.61萬-10.36%1,110.47萬-10.90%1,277.22萬
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會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 --帶解釋段的無保留意見--------帶解釋段的無保留意見------
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