美股市場個股詳情

Recursion Pharmaceuticals (RXRX)

添加自選
  • 2.850
  • -0.040-1.38%
收盤價 05/19 16:00 (美東)
  • 2.870
  • +0.020+0.71%
盤前 08:31 (美東)
15.10億總市值-2.46市盈率TTM

Recursion Pharmaceuticals (RXRX) 資產負債表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2026/03/31
(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
資產
流動資產
現金及現金等價物和短期投資
30.78%6.54億
25.06%7.43億
25.06%7.43億
54.29%6.6億
10.70%5.25億
68.89%5億
51.79%5.94億
51.79%5.94億
10.41%4.28億
16.87%4.74億
-現金和現金等價物
30.78%6.54億
25.06%7.43億
25.06%7.43億
54.29%6.6億
10.70%5.25億
68.89%5億
51.79%5.94億
51.79%5.94億
10.41%4.28億
16.87%4.74億
應收款項
-70.55%1,358.5萬
-49.87%2,464.9萬
-49.87%2,464.9萬
871.62%2,191萬
755.34%2,160.6萬
1,674.68%4,612.4萬
1,489.08%4,916.6萬
1,489.08%4,916.6萬
-28.73%225.5萬
-17.21%252.6萬
-其他應收款
-70.55%1,358.5萬
-49.87%2,464.9萬
-49.87%2,464.9萬
871.62%2,191萬
755.34%2,160.6萬
1,674.68%4,612.4萬
1,489.08%4,916.6萬
1,489.08%4,916.6萬
-28.73%225.5萬
-17.21%252.6萬
預付費用
375.38%1,174.2萬
-60.33%1,174.2萬
-60.33%1,174.2萬
--0
--0
--247萬
--2,960.1萬
--2,960.1萬
----
----
受限制現金
79.22%551.1萬
50.87%459.4萬
50.87%459.4萬
101.67%313.6萬
74.20%310.6萬
-3.76%307.5萬
-5.76%304.5萬
-5.76%304.5萬
-31.07%155.5萬
-46.38%178.3萬
其他流動資產
-24.29%2,424.6萬
-25.04%2,856.6萬
-25.04%2,856.6萬
-31.59%2,922.3萬
-14.61%3,733.8萬
-22.83%3,202.3萬
-5.32%3,810.7萬
-5.32%3,810.7萬
140.24%4,271.5萬
132.90%4,372.5萬
流動資產合計
21.47%7.1億
13.80%8.13億
13.80%8.13億
50.60%7.14億
12.40%5.87億
70.00%5.84億
63.02%7.14億
63.02%7.14億
15.50%4.74億
21.20%5.22億
非流動資產
固定資產淨額
-23.17%1.57億
-27.33%1.69億
-27.33%1.69億
13.85%1.81億
23.88%1.94億
67.55%2.05億
94.06%2.33億
94.06%2.33億
32.32%1.59億
25.36%1.56億
-固定資產
-23.17%1.57億
-12.57%2.59億
-12.57%2.59億
-15.96%1.81億
-7.25%1.94億
19.70%2.05億
79.27%2.96億
79.27%2.96億
33.82%2.16億
28.63%2.09億
-累計折舊
----
-42.35%-8,921.4萬
-42.35%-8,921.4萬
----
----
----
-39.67%-6,267.1萬
-39.67%-6,267.1萬
-38.24%-5,646.7萬
-39.49%-5,244.7萬
商譽及其他無形資產
-8.03%4.54億
-2.61%4.72億
-2.61%4.72億
462.27%4.84億
460.11%5.06億
480.16%4.94億
447.72%4.85億
447.72%4.85億
-6.57%8,614.9萬
-12.59%9,026.6萬
-商譽
1.30%1.6億
8.92%1.62億
8.92%1.62億
211.28%1.62億
215.56%1.64億
203.73%1.58億
185.99%1.49億
185.99%1.49億
-1.32%5,205.6萬
-13.98%5,205.6萬
-其他無形資產
-12.42%2.94億
-7.73%3.1億
-7.73%3.1億
845.48%3.22億
793.27%3.41億
915.21%3.36億
821.59%3.36億
821.59%3.36億
-13.60%3,409.3萬
-10.63%3,821萬
非流動遞延資產
-52.22%95.7萬
-50.52%95.7萬
-50.52%95.7萬
--95.7萬
--95.7萬
--200.3萬
--193.4萬
--193.4萬
----
----
其他非流動資產
-14.52%1,744.4萬
29.98%1,878.7萬
29.98%1,878.7萬
169.48%1,883.4萬
116.88%1,504.5萬
196.48%2,040.7萬
109.78%1,445.4萬
109.78%1,445.4萬
-10.21%698.9萬
-10.36%693.7萬
非流動資產合計
-12.64%6.3億
-9.95%6.61億
-9.95%6.61億
171.64%6.85億
182.14%7.15億
236.59%7.21億
240.66%7.34億
240.66%7.34億
14.54%2.52億
7.56%2.53億
總資產
2.63%13.4億
1.76%14.74億
1.76%14.74億
92.64%14億
67.86%13.02億
133.98%13.05億
121.60%14.49億
121.60%14.49億
15.17%7.26億
16.37%7.76億
負債
流動負債
應付款項
-18.89%2,034.8萬
-16.17%1,811.8萬
-16.17%1,811.8萬
516.59%1,393.5萬
413.40%1,931.4萬
390.44%2,508.6萬
446.75%2,161.3萬
446.75%2,161.3萬
-47.01%226萬
80.35%376.2萬
-應付賬款
-18.89%2,034.8萬
-16.17%1,811.8萬
-16.17%1,811.8萬
516.59%1,393.5萬
413.40%1,931.4萬
390.44%2,508.6萬
446.75%2,161.3萬
446.75%2,161.3萬
-47.01%226萬
80.35%376.2萬
應計費用
15.41%3,963.9萬
23.99%3,845.9萬
23.99%3,845.9萬
135.52%4,930.4萬
170.36%5,483.5萬
114.46%3,434.5萬
30.62%3,101.9萬
30.62%3,101.9萬
19.11%2,093.4萬
19.15%2,028.2萬
短期借款與租賃負債
9.35%2,235.2萬
-2.10%2,175.4萬
-2.10%2,175.4萬
24.26%2,044.4萬
22.54%2,048.4萬
234.15%2,044萬
260.89%2,222萬
260.89%2,222萬
171.93%1,645.2萬
183.56%1,671.6萬
-短期借款
7.90%926.5萬
7.91%909.1萬
7.91%909.1萬
8.52%891.9萬
7.93%875.2萬
15,512.73%858.7萬
20,448.78%842.5萬
20,448.78%842.5萬
1,082.59%821.9萬
1,099.56%810.9萬
-短期租賃負債
10.41%1,308.7萬
-8.21%1,266.3萬
-8.21%1,266.3萬
39.99%1,152.5萬
36.31%1,173.2萬
95.53%1,185.3萬
125.56%1,379.5萬
125.56%1,379.5萬
53.74%823.3萬
64.92%860.7萬
遞延負債
-17.29%3,279.4萬
-39.12%3,760.5萬
-39.12%3,760.5萬
-4.47%4,736.4萬
23.25%3,969萬
8.28%3,965.1萬
69.57%6,176.7萬
69.57%6,176.7萬
12.69%4,957.9萬
-55.95%3,220.4萬
流動負債總額
-8.65%1.3億
-21.21%1.48億
-21.21%1.48億
42.44%1.55億
90.54%1.64億
92.07%1.42億
101.21%1.87億
101.21%1.87億
15.69%1.09億
-24.46%8,608.3萬
非流動負債
長期借款與租賃負債
-30.97%5,002.3萬
-34.84%5,621.1萬
-34.84%5,621.1萬
-16.51%6,193萬
-7.61%6,759.1萬
61.56%7,247萬
93.80%8,627.2萬
93.80%8,627.2萬
63.28%7,417.3萬
55.64%7,316萬
-長期借款
-56.34%718.1萬
-49.72%956.4萬
-49.72%956.4萬
-41.97%1,190.2萬
-38.07%1,419.6萬
1,435.57%1,644.6萬
1,627.70%1,902.2萬
1,627.70%1,902.2萬
1,721.49%2,051萬
1,884.50%2,292.1萬
-長期租賃負債
-23.53%4,284.2萬
-30.64%4,664.7萬
-30.64%4,664.7萬
-6.77%5,002.8萬
6.28%5,339.5萬
27.95%5,602.4萬
54.90%6,725萬
54.90%6,725萬
21.14%5,366.3萬
9.57%5,023.9萬
遞延負債
-12.52%1.33億
1.42%1.37億
1.42%1.37億
747.08%1.35億
414.34%1.5億
300.98%1.52億
157.41%1.35億
157.41%1.35億
-70.21%1,588萬
-20.68%2,916.9萬
其他非流動負債
-57.72%202.5萬
-56.04%208萬
-56.04%208萬
-65.69%102.9萬
-47.83%156.5萬
--479萬
--473.2萬
--473.2萬
--299.9萬
--300萬
非流動負債總額
-19.30%1.85億
-13.60%1.96億
-13.60%1.96億
112.22%1.97億
108.09%2.19億
177.02%2.29億
133.12%2.26億
133.12%2.26億
-5.76%9,305.2萬
25.73%1.05億
總負債
-15.23%3.15億
-17.05%3.43億
-17.05%3.43億
74.60%3.53億
100.20%3.83億
136.95%3.71億
117.50%4.14億
117.50%4.14億
4.71%2.02億
-3.20%1.91億
所有者權益
股本
25.00%5,000
25.00%5,000
25.00%5,000
66.67%5,000
33.33%4,000
100.00%4,000
100.00%4,000
100.00%4,000
50.00%3,000
50.00%3,000
-普通股股本
25.00%5,000
25.00%5,000
25.00%5,000
66.67%5,000
33.33%4,000
100.00%4,000
100.00%4,000
100.00%4,000
50.00%3,000
50.00%3,000
留存收益
-34.27%-21.94億
-45.04%-20.76億
-45.04%-20.76億
-57.13%-19.68億
-56.12%-18.06億
-54.27%-16.34億
-47.92%-14.31億
-47.92%-14.31億
-43.19%-12.52億
-47.97%-11.57億
資本公積
24.99%31.92億
28.15%31.7億
28.15%31.7億
67.75%29.81億
54.00%26.81億
74.88%25.53億
72.86%24.74億
72.86%24.74億
35.38%17.77億
39.21%17.41億
不影響留存收益的損益
88.49%2,666.2萬
580.78%3,671.7萬
580.78%3,671.7萬
--3,409.3萬
--4,362萬
--1,414.5萬
---763.7萬
---763.7萬
----
----
股東權益總額
9.72%10.25億
9.29%11.31億
9.29%11.31億
99.59%10.47億
57.27%9.19億
132.82%9.34億
123.28%10.35億
123.28%10.35億
19.77%5.25億
24.63%5.84億
總權益
9.72%10.25億
9.29%11.31億
9.29%11.31億
99.59%10.47億
57.27%9.19億
132.82%9.34億
123.28%10.35億
123.28%10.35億
19.77%5.25億
24.63%5.84億
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
--
--
--
(Q1)2026/03/31(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
資產
流動資產
現金及現金等價物和短期投資 30.78%6.54億25.06%7.43億25.06%7.43億54.29%6.6億10.70%5.25億68.89%5億51.79%5.94億51.79%5.94億10.41%4.28億16.87%4.74億
-現金和現金等價物 30.78%6.54億25.06%7.43億25.06%7.43億54.29%6.6億10.70%5.25億68.89%5億51.79%5.94億51.79%5.94億10.41%4.28億16.87%4.74億
應收款項 -70.55%1,358.5萬-49.87%2,464.9萬-49.87%2,464.9萬871.62%2,191萬755.34%2,160.6萬1,674.68%4,612.4萬1,489.08%4,916.6萬1,489.08%4,916.6萬-28.73%225.5萬-17.21%252.6萬
-其他應收款 -70.55%1,358.5萬-49.87%2,464.9萬-49.87%2,464.9萬871.62%2,191萬755.34%2,160.6萬1,674.68%4,612.4萬1,489.08%4,916.6萬1,489.08%4,916.6萬-28.73%225.5萬-17.21%252.6萬
預付費用 375.38%1,174.2萬-60.33%1,174.2萬-60.33%1,174.2萬--0--0--247萬--2,960.1萬--2,960.1萬--------
受限制現金 79.22%551.1萬50.87%459.4萬50.87%459.4萬101.67%313.6萬74.20%310.6萬-3.76%307.5萬-5.76%304.5萬-5.76%304.5萬-31.07%155.5萬-46.38%178.3萬
其他流動資產 -24.29%2,424.6萬-25.04%2,856.6萬-25.04%2,856.6萬-31.59%2,922.3萬-14.61%3,733.8萬-22.83%3,202.3萬-5.32%3,810.7萬-5.32%3,810.7萬140.24%4,271.5萬132.90%4,372.5萬
流動資產合計 21.47%7.1億13.80%8.13億13.80%8.13億50.60%7.14億12.40%5.87億70.00%5.84億63.02%7.14億63.02%7.14億15.50%4.74億21.20%5.22億
非流動資產
固定資產淨額 -23.17%1.57億-27.33%1.69億-27.33%1.69億13.85%1.81億23.88%1.94億67.55%2.05億94.06%2.33億94.06%2.33億32.32%1.59億25.36%1.56億
-固定資產 -23.17%1.57億-12.57%2.59億-12.57%2.59億-15.96%1.81億-7.25%1.94億19.70%2.05億79.27%2.96億79.27%2.96億33.82%2.16億28.63%2.09億
-累計折舊 -----42.35%-8,921.4萬-42.35%-8,921.4萬-------------39.67%-6,267.1萬-39.67%-6,267.1萬-38.24%-5,646.7萬-39.49%-5,244.7萬
商譽及其他無形資產 -8.03%4.54億-2.61%4.72億-2.61%4.72億462.27%4.84億460.11%5.06億480.16%4.94億447.72%4.85億447.72%4.85億-6.57%8,614.9萬-12.59%9,026.6萬
-商譽 1.30%1.6億8.92%1.62億8.92%1.62億211.28%1.62億215.56%1.64億203.73%1.58億185.99%1.49億185.99%1.49億-1.32%5,205.6萬-13.98%5,205.6萬
-其他無形資產 -12.42%2.94億-7.73%3.1億-7.73%3.1億845.48%3.22億793.27%3.41億915.21%3.36億821.59%3.36億821.59%3.36億-13.60%3,409.3萬-10.63%3,821萬
非流動遞延資產 -52.22%95.7萬-50.52%95.7萬-50.52%95.7萬--95.7萬--95.7萬--200.3萬--193.4萬--193.4萬--------
其他非流動資產 -14.52%1,744.4萬29.98%1,878.7萬29.98%1,878.7萬169.48%1,883.4萬116.88%1,504.5萬196.48%2,040.7萬109.78%1,445.4萬109.78%1,445.4萬-10.21%698.9萬-10.36%693.7萬
非流動資產合計 -12.64%6.3億-9.95%6.61億-9.95%6.61億171.64%6.85億182.14%7.15億236.59%7.21億240.66%7.34億240.66%7.34億14.54%2.52億7.56%2.53億
總資產 2.63%13.4億1.76%14.74億1.76%14.74億92.64%14億67.86%13.02億133.98%13.05億121.60%14.49億121.60%14.49億15.17%7.26億16.37%7.76億
負債
流動負債
應付款項 -18.89%2,034.8萬-16.17%1,811.8萬-16.17%1,811.8萬516.59%1,393.5萬413.40%1,931.4萬390.44%2,508.6萬446.75%2,161.3萬446.75%2,161.3萬-47.01%226萬80.35%376.2萬
-應付賬款 -18.89%2,034.8萬-16.17%1,811.8萬-16.17%1,811.8萬516.59%1,393.5萬413.40%1,931.4萬390.44%2,508.6萬446.75%2,161.3萬446.75%2,161.3萬-47.01%226萬80.35%376.2萬
應計費用 15.41%3,963.9萬23.99%3,845.9萬23.99%3,845.9萬135.52%4,930.4萬170.36%5,483.5萬114.46%3,434.5萬30.62%3,101.9萬30.62%3,101.9萬19.11%2,093.4萬19.15%2,028.2萬
短期借款與租賃負債 9.35%2,235.2萬-2.10%2,175.4萬-2.10%2,175.4萬24.26%2,044.4萬22.54%2,048.4萬234.15%2,044萬260.89%2,222萬260.89%2,222萬171.93%1,645.2萬183.56%1,671.6萬
-短期借款 7.90%926.5萬7.91%909.1萬7.91%909.1萬8.52%891.9萬7.93%875.2萬15,512.73%858.7萬20,448.78%842.5萬20,448.78%842.5萬1,082.59%821.9萬1,099.56%810.9萬
-短期租賃負債 10.41%1,308.7萬-8.21%1,266.3萬-8.21%1,266.3萬39.99%1,152.5萬36.31%1,173.2萬95.53%1,185.3萬125.56%1,379.5萬125.56%1,379.5萬53.74%823.3萬64.92%860.7萬
遞延負債 -17.29%3,279.4萬-39.12%3,760.5萬-39.12%3,760.5萬-4.47%4,736.4萬23.25%3,969萬8.28%3,965.1萬69.57%6,176.7萬69.57%6,176.7萬12.69%4,957.9萬-55.95%3,220.4萬
流動負債總額 -8.65%1.3億-21.21%1.48億-21.21%1.48億42.44%1.55億90.54%1.64億92.07%1.42億101.21%1.87億101.21%1.87億15.69%1.09億-24.46%8,608.3萬
非流動負債
長期借款與租賃負債 -30.97%5,002.3萬-34.84%5,621.1萬-34.84%5,621.1萬-16.51%6,193萬-7.61%6,759.1萬61.56%7,247萬93.80%8,627.2萬93.80%8,627.2萬63.28%7,417.3萬55.64%7,316萬
-長期借款 -56.34%718.1萬-49.72%956.4萬-49.72%956.4萬-41.97%1,190.2萬-38.07%1,419.6萬1,435.57%1,644.6萬1,627.70%1,902.2萬1,627.70%1,902.2萬1,721.49%2,051萬1,884.50%2,292.1萬
-長期租賃負債 -23.53%4,284.2萬-30.64%4,664.7萬-30.64%4,664.7萬-6.77%5,002.8萬6.28%5,339.5萬27.95%5,602.4萬54.90%6,725萬54.90%6,725萬21.14%5,366.3萬9.57%5,023.9萬
遞延負債 -12.52%1.33億1.42%1.37億1.42%1.37億747.08%1.35億414.34%1.5億300.98%1.52億157.41%1.35億157.41%1.35億-70.21%1,588萬-20.68%2,916.9萬
其他非流動負債 -57.72%202.5萬-56.04%208萬-56.04%208萬-65.69%102.9萬-47.83%156.5萬--479萬--473.2萬--473.2萬--299.9萬--300萬
非流動負債總額 -19.30%1.85億-13.60%1.96億-13.60%1.96億112.22%1.97億108.09%2.19億177.02%2.29億133.12%2.26億133.12%2.26億-5.76%9,305.2萬25.73%1.05億
總負債 -15.23%3.15億-17.05%3.43億-17.05%3.43億74.60%3.53億100.20%3.83億136.95%3.71億117.50%4.14億117.50%4.14億4.71%2.02億-3.20%1.91億
所有者權益
股本 25.00%5,00025.00%5,00025.00%5,00066.67%5,00033.33%4,000100.00%4,000100.00%4,000100.00%4,00050.00%3,00050.00%3,000
-普通股股本 25.00%5,00025.00%5,00025.00%5,00066.67%5,00033.33%4,000100.00%4,000100.00%4,000100.00%4,00050.00%3,00050.00%3,000
留存收益 -34.27%-21.94億-45.04%-20.76億-45.04%-20.76億-57.13%-19.68億-56.12%-18.06億-54.27%-16.34億-47.92%-14.31億-47.92%-14.31億-43.19%-12.52億-47.97%-11.57億
資本公積 24.99%31.92億28.15%31.7億28.15%31.7億67.75%29.81億54.00%26.81億74.88%25.53億72.86%24.74億72.86%24.74億35.38%17.77億39.21%17.41億
不影響留存收益的損益 88.49%2,666.2萬580.78%3,671.7萬580.78%3,671.7萬--3,409.3萬--4,362萬--1,414.5萬---763.7萬---763.7萬--------
股東權益總額 9.72%10.25億9.29%11.31億9.29%11.31億99.59%10.47億57.27%9.19億132.82%9.34億123.28%10.35億123.28%10.35億19.77%5.25億24.63%5.84億
總權益 9.72%10.25億9.29%11.31億9.29%11.31億99.59%10.47億57.27%9.19億132.82%9.34億123.28%10.35億123.28%10.35億19.77%5.25億24.63%5.84億
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