美股市场个股详情

BPMC Blueprint Medicines

添加自选
  • 108.050
  • +1.350+1.27%
收盘价 05/13 16:00 (美东)
  • 108.400
  • +0.350+0.32%
盘后 16:35 (美东)
67.66亿总市值-22417市盈率TTM

Blueprint Medicines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
资产
流动资产
现金及现金等价物和短期投资
-21.20%6.48亿
-24.80%7.11亿
-24.80%7.11亿
-37.29%7.13亿
-15.29%7.23亿
40.10%8.22亿
98.06%9.45亿
98.06%9.45亿
61.99%11.37亿
35.77%8.53亿
-现金和现金等价物
-33.23%1.13亿
-40.45%7,128.6万
-40.45%7,128.6万
-80.79%5,597.2万
-56.44%7,552.7万
356.26%1.7亿
-42.98%1.2亿
-42.98%1.2亿
-47.36%2.91亿
-67.55%1.73亿
-短期投资
-18.06%5.35亿
-22.53%6.39亿
-22.53%6.39亿
-22.30%6.57亿
-4.80%6.47亿
18.71%6.52亿
208.90%8.25亿
208.90%8.25亿
470.21%8.46亿
622.85%6.8亿
应收款项
91.83%6,004.7万
16.89%4,317.8万
16.89%4,317.8万
88.25%4,125.4万
30.12%3,826.7万
-3.97%3,130.3万
-0.25%3,693.8万
-0.25%3,693.8万
-26.27%2,191.5万
-25.05%2,941万
-应收账款
100.11%6,004.7万
82.05%4,282.7万
82.05%4,282.7万
111.50%4,086.1万
29.58%3,514.7万
4.34%3,000.7万
-6.48%2,352.5万
-6.48%2,352.5万
5.00%1,932万
6.48%2,712.3万
-其他应收款
----
-97.38%35.1万
-97.38%35.1万
-84.86%39.3万
36.42%312万
-66.25%129.6万
12.95%1,341.3万
12.95%1,341.3万
-77.08%259.5万
-83.39%228.7万
存货
76.59%3,094万
-28.53%2,122.3万
-28.53%2,122.3万
-53.32%1,645.7万
-52.01%1,701.6万
-41.88%1,752.1万
36.12%2,969.7万
36.12%2,969.7万
112.75%3,525.3万
133.08%3,545.4万
其他流动资产
28.46%3,771.4万
-4.78%3,335.1万
-4.78%3,335.1万
11.76%3,747.7万
-2.30%3,341.8万
-22.07%2,935.9万
93.89%3,502.4万
93.89%3,502.4万
41.63%3,353.2万
60.81%3,420.4万
流动资产合计
-13.74%7.77亿
-22.76%8.08亿
-22.76%8.08亿
-34.17%8.08亿
-14.79%8.11亿
31.01%9亿
88.92%10.47亿
88.92%10.47亿
59.06%12.28亿
35.24%9.52亿
非流动资产
固定资产净额
-0.21%1.13亿
0.39%1.16亿
0.39%1.16亿
-1.30%1.16亿
-3.81%1.14亿
-4.88%1.13亿
-4.69%1.15亿
-4.69%1.15亿
24.61%1.17亿
23.60%1.19亿
-固定资产
-0.21%1.13亿
5.23%1.54亿
5.23%1.54亿
-1.30%1.16亿
-3.81%1.14亿
-4.88%1.13亿
0.14%1.46亿
0.14%1.46亿
24.61%1.17亿
-0.14%1.19亿
-累计折旧
----
-23.05%-3,849.4万
-23.05%-3,849.4万
----
----
----
-23.07%-3,128.2万
-23.07%-3,128.2万
----
----
投资和预付款
-30.82%1.15亿
-47.72%8,431.9万
-47.72%8,431.9万
70.17%1.42亿
50.69%1.42亿
-45.54%1.67亿
-71.07%1.61亿
-71.07%1.61亿
-85.90%8,346.4万
-87.49%9,404.8万
其他非流动资产
-16.30%3,321.2万
52.66%4,088.8万
52.66%4,088.8万
31.33%3,925.6万
43.03%3,890.3万
30.91%3,967.8万
35.21%2,678.4万
35.21%2,678.4万
54.37%2,989.2万
62.59%2,719.9万
非流动资产合计
-18.17%2.62亿
-20.58%2.41亿
-20.58%2.41亿
28.78%2.97亿
22.83%2.95亿
-29.83%3.2亿
-56.57%3.03亿
-56.57%3.03亿
-67.29%2.31亿
-72.21%2.4亿
总资产
-14.90%10.38亿
-22.27%10.49亿
-22.27%10.49亿
-24.21%11.05亿
-7.21%11.06亿
6.74%12.2亿
7.80%13.5亿
7.80%13.5亿
-1.28%14.58亿
-23.99%11.92亿
负债
流动负债
应付款项
-53.37%492.6万
72.59%471万
72.59%471万
64.49%696.3万
-53.64%697.9万
-41.19%1,056.3万
-67.25%272.9万
-67.25%272.9万
-55.67%423.3万
715.00%1,505.3万
-应付账款
-53.37%492.6万
72.59%471万
72.59%471万
64.49%696.3万
-53.64%697.9万
-41.19%1,056.3万
-67.25%272.9万
-67.25%272.9万
-55.67%423.3万
715.00%1,505.3万
应计费用
-16.54%6,650.8万
-26.54%6,709.3万
-26.54%6,709.3万
-32.68%5,981.8万
-34.07%6,142.8万
-2.81%7,969万
2.93%9,133.3万
2.93%9,133.3万
28.27%8,885.8万
5.47%9,317.2万
现行拨备
72.55%2,076.3万
93.07%1,746.5万
93.07%1,746.5万
152.37%1,610.1万
120.37%1,355.5万
136.22%1,203.3万
130.41%904.6万
130.41%904.6万
117.08%638万
184.37%615.1万
短期借款与租赁负债
50.06%4,242万
53.89%4,221.1万
53.89%4,221.1万
64.68%4,183.8万
208.95%2,914.9万
222.63%2,826.9万
238.93%2,743万
238.93%2,743万
188.38%2,540.6万
11.46%943.5万
-短期借款
73.63%3,018万
79.68%3,027.8万
79.68%3,027.8万
97.65%3,022.1万
--1,785.7万
--1,738.2万
--1,685.1万
--1,685.1万
--1,529万
----
-短期租赁负债
12.43%1,224万
12.80%1,193.3万
12.80%1,193.3万
14.84%1,161.7万
19.68%1,129.2万
24.25%1,088.7万
30.72%1,057.9万
30.72%1,057.9万
14.82%1,011.6万
11.46%943.5万
递延负债
106.95%5,198万
82.26%4,001万
82.26%4,001万
51.93%3,814.7万
111.73%3,173.8万
161.53%2,511.7万
90.72%2,195.2万
90.72%2,195.2万
269.67%2,510.8万
89.46%1,499万
流动负债总额
19.64%2.07亿
17.29%2.15亿
17.29%2.15亿
12.46%1.97亿
6.47%1.69亿
26.02%1.73亿
22.35%1.83亿
22.35%1.83亿
46.64%1.76亿
26.61%1.59亿
非流动负债
长期借款与租赁负债
35.66%2.88亿
35.00%2.9亿
35.00%2.9亿
33.69%2.92亿
113.12%2.09亿
110.47%2.12亿
108.12%2.15亿
108.12%2.15亿
191.20%2.19亿
27.03%9,816万
-长期借款
71.30%2.09亿
70.61%2.09亿
70.61%2.09亿
69.15%2.08亿
--1.22亿
--1.22亿
--1.22亿
--1.22亿
--1.23亿
----
-长期租赁负债
-12.73%7,848.9万
-11.90%8,175.1万
-11.90%8,175.1万
-12.00%8,403.6万
-11.32%8,704.9万
-10.74%8,994万
-10.19%9,278.9万
-10.19%9,278.9万
27.24%9,549.5万
27.03%9,816万
递延负债
-45.55%2.28亿
-4.56%4.07亿
-4.56%4.07亿
-1.24%4.1亿
132.02%4.14亿
2,948.00%4.18亿
1,602.18%4.27亿
1,602.18%4.27亿
1,351.39%4.15亿
487.53%1.78亿
其他非流动负债
85.88%576.6万
-39.69%621.3万
-39.69%621.3万
-64.96%310.1万
-66.28%316.1万
-69.39%310.2万
208.04%1,030.1万
208.04%1,030.1万
28.55%885.1万
34.73%937.3万
非流动负债总额
-17.71%5.21亿
7.93%7.04亿
7.93%7.04亿
9.76%7.05亿
119.03%6.26亿
408.27%6.33亿
394.96%6.52亿
394.96%6.52亿
481.28%6.43亿
149.52%2.86亿
总负债
-9.71%7.28亿
9.99%9.19亿
9.99%9.19亿
10.34%9.03亿
78.84%7.95亿
208.08%8.06亿
196.72%8.35亿
196.72%8.35亿
255.33%8.18亿
85.30%4.45亿
所有者权益
股本
5.00%6.3万
1.67%6.1万
1.67%6.1万
1.67%6.1万
1.67%6.1万
0.00%6万
1.69%6万
1.69%6万
1.69%6万
1.69%6万
-普通股股本
5.00%6.3万
1.67%6.1万
1.67%6.1万
1.67%6.1万
1.67%6.1万
0.00%6万
1.69%6万
1.69%6万
1.69%6万
1.69%6万
-优先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
-14.69%-22.51亿
-27.66%-23.4亿
-27.66%-23.4亿
-33.13%-22.29亿
-35.96%-20.95亿
-42.06%-19.63亿
-43.71%-18.33亿
-43.71%-18.33亿
-75.00%-16.74亿
-83.58%-15.41亿
资本公积
7.72%25.65亿
4.92%24.74亿
4.92%24.74亿
4.50%24.34亿
4.67%24.11亿
4.67%23.81亿
4.79%23.58亿
4.79%23.58亿
5.43%23.29亿
5.93%23.03亿
不影响留存收益的损益
16.41%-384.7万
66.53%-349.5万
66.53%-349.5万
81.90%-268.3万
70.37%-422.1万
62.00%-460.2万
-152.67%-1,044.3万
-152.67%-1,044.3万
-161.34%-1,482.6万
-144.18%-1,424.8万
股东权益总额
-25.01%3.11亿
-74.62%1.31亿
-74.62%1.31亿
-68.36%2.03亿
-58.39%3.11亿
-53.01%4.14亿
-46.98%5.15亿
-46.98%5.15亿
-48.66%6.4亿
-43.73%7.48亿
总权益
-25.01%3.11亿
-74.62%1.31亿
-74.62%1.31亿
-68.36%2.03亿
-58.39%3.11亿
-53.01%4.14亿
-46.98%5.15亿
-46.98%5.15亿
-48.66%6.4亿
-43.73%7.48亿
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
--
--
--
--
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
资产
流动资产
现金及现金等价物和短期投资 -21.20%6.48亿-24.80%7.11亿-24.80%7.11亿-37.29%7.13亿-15.29%7.23亿40.10%8.22亿98.06%9.45亿98.06%9.45亿61.99%11.37亿35.77%8.53亿
-现金和现金等价物 -33.23%1.13亿-40.45%7,128.6万-40.45%7,128.6万-80.79%5,597.2万-56.44%7,552.7万356.26%1.7亿-42.98%1.2亿-42.98%1.2亿-47.36%2.91亿-67.55%1.73亿
-短期投资 -18.06%5.35亿-22.53%6.39亿-22.53%6.39亿-22.30%6.57亿-4.80%6.47亿18.71%6.52亿208.90%8.25亿208.90%8.25亿470.21%8.46亿622.85%6.8亿
应收款项 91.83%6,004.7万16.89%4,317.8万16.89%4,317.8万88.25%4,125.4万30.12%3,826.7万-3.97%3,130.3万-0.25%3,693.8万-0.25%3,693.8万-26.27%2,191.5万-25.05%2,941万
-应收账款 100.11%6,004.7万82.05%4,282.7万82.05%4,282.7万111.50%4,086.1万29.58%3,514.7万4.34%3,000.7万-6.48%2,352.5万-6.48%2,352.5万5.00%1,932万6.48%2,712.3万
-其他应收款 -----97.38%35.1万-97.38%35.1万-84.86%39.3万36.42%312万-66.25%129.6万12.95%1,341.3万12.95%1,341.3万-77.08%259.5万-83.39%228.7万
存货 76.59%3,094万-28.53%2,122.3万-28.53%2,122.3万-53.32%1,645.7万-52.01%1,701.6万-41.88%1,752.1万36.12%2,969.7万36.12%2,969.7万112.75%3,525.3万133.08%3,545.4万
其他流动资产 28.46%3,771.4万-4.78%3,335.1万-4.78%3,335.1万11.76%3,747.7万-2.30%3,341.8万-22.07%2,935.9万93.89%3,502.4万93.89%3,502.4万41.63%3,353.2万60.81%3,420.4万
流动资产合计 -13.74%7.77亿-22.76%8.08亿-22.76%8.08亿-34.17%8.08亿-14.79%8.11亿31.01%9亿88.92%10.47亿88.92%10.47亿59.06%12.28亿35.24%9.52亿
非流动资产
固定资产净额 -0.21%1.13亿0.39%1.16亿0.39%1.16亿-1.30%1.16亿-3.81%1.14亿-4.88%1.13亿-4.69%1.15亿-4.69%1.15亿24.61%1.17亿23.60%1.19亿
-固定资产 -0.21%1.13亿5.23%1.54亿5.23%1.54亿-1.30%1.16亿-3.81%1.14亿-4.88%1.13亿0.14%1.46亿0.14%1.46亿24.61%1.17亿-0.14%1.19亿
-累计折旧 -----23.05%-3,849.4万-23.05%-3,849.4万-------------23.07%-3,128.2万-23.07%-3,128.2万--------
投资和预付款 -30.82%1.15亿-47.72%8,431.9万-47.72%8,431.9万70.17%1.42亿50.69%1.42亿-45.54%1.67亿-71.07%1.61亿-71.07%1.61亿-85.90%8,346.4万-87.49%9,404.8万
其他非流动资产 -16.30%3,321.2万52.66%4,088.8万52.66%4,088.8万31.33%3,925.6万43.03%3,890.3万30.91%3,967.8万35.21%2,678.4万35.21%2,678.4万54.37%2,989.2万62.59%2,719.9万
非流动资产合计 -18.17%2.62亿-20.58%2.41亿-20.58%2.41亿28.78%2.97亿22.83%2.95亿-29.83%3.2亿-56.57%3.03亿-56.57%3.03亿-67.29%2.31亿-72.21%2.4亿
总资产 -14.90%10.38亿-22.27%10.49亿-22.27%10.49亿-24.21%11.05亿-7.21%11.06亿6.74%12.2亿7.80%13.5亿7.80%13.5亿-1.28%14.58亿-23.99%11.92亿
负债
流动负债
应付款项 -53.37%492.6万72.59%471万72.59%471万64.49%696.3万-53.64%697.9万-41.19%1,056.3万-67.25%272.9万-67.25%272.9万-55.67%423.3万715.00%1,505.3万
-应付账款 -53.37%492.6万72.59%471万72.59%471万64.49%696.3万-53.64%697.9万-41.19%1,056.3万-67.25%272.9万-67.25%272.9万-55.67%423.3万715.00%1,505.3万
应计费用 -16.54%6,650.8万-26.54%6,709.3万-26.54%6,709.3万-32.68%5,981.8万-34.07%6,142.8万-2.81%7,969万2.93%9,133.3万2.93%9,133.3万28.27%8,885.8万5.47%9,317.2万
现行拨备 72.55%2,076.3万93.07%1,746.5万93.07%1,746.5万152.37%1,610.1万120.37%1,355.5万136.22%1,203.3万130.41%904.6万130.41%904.6万117.08%638万184.37%615.1万
短期借款与租赁负债 50.06%4,242万53.89%4,221.1万53.89%4,221.1万64.68%4,183.8万208.95%2,914.9万222.63%2,826.9万238.93%2,743万238.93%2,743万188.38%2,540.6万11.46%943.5万
-短期借款 73.63%3,018万79.68%3,027.8万79.68%3,027.8万97.65%3,022.1万--1,785.7万--1,738.2万--1,685.1万--1,685.1万--1,529万----
-短期租赁负债 12.43%1,224万12.80%1,193.3万12.80%1,193.3万14.84%1,161.7万19.68%1,129.2万24.25%1,088.7万30.72%1,057.9万30.72%1,057.9万14.82%1,011.6万11.46%943.5万
递延负债 106.95%5,198万82.26%4,001万82.26%4,001万51.93%3,814.7万111.73%3,173.8万161.53%2,511.7万90.72%2,195.2万90.72%2,195.2万269.67%2,510.8万89.46%1,499万
流动负债总额 19.64%2.07亿17.29%2.15亿17.29%2.15亿12.46%1.97亿6.47%1.69亿26.02%1.73亿22.35%1.83亿22.35%1.83亿46.64%1.76亿26.61%1.59亿
非流动负债
长期借款与租赁负债 35.66%2.88亿35.00%2.9亿35.00%2.9亿33.69%2.92亿113.12%2.09亿110.47%2.12亿108.12%2.15亿108.12%2.15亿191.20%2.19亿27.03%9,816万
-长期借款 71.30%2.09亿70.61%2.09亿70.61%2.09亿69.15%2.08亿--1.22亿--1.22亿--1.22亿--1.22亿--1.23亿----
-长期租赁负债 -12.73%7,848.9万-11.90%8,175.1万-11.90%8,175.1万-12.00%8,403.6万-11.32%8,704.9万-10.74%8,994万-10.19%9,278.9万-10.19%9,278.9万27.24%9,549.5万27.03%9,816万
递延负债 -45.55%2.28亿-4.56%4.07亿-4.56%4.07亿-1.24%4.1亿132.02%4.14亿2,948.00%4.18亿1,602.18%4.27亿1,602.18%4.27亿1,351.39%4.15亿487.53%1.78亿
其他非流动负债 85.88%576.6万-39.69%621.3万-39.69%621.3万-64.96%310.1万-66.28%316.1万-69.39%310.2万208.04%1,030.1万208.04%1,030.1万28.55%885.1万34.73%937.3万
非流动负债总额 -17.71%5.21亿7.93%7.04亿7.93%7.04亿9.76%7.05亿119.03%6.26亿408.27%6.33亿394.96%6.52亿394.96%6.52亿481.28%6.43亿149.52%2.86亿
总负债 -9.71%7.28亿9.99%9.19亿9.99%9.19亿10.34%9.03亿78.84%7.95亿208.08%8.06亿196.72%8.35亿196.72%8.35亿255.33%8.18亿85.30%4.45亿
所有者权益
股本 5.00%6.3万1.67%6.1万1.67%6.1万1.67%6.1万1.67%6.1万0.00%6万1.69%6万1.69%6万1.69%6万1.69%6万
-普通股股本 5.00%6.3万1.67%6.1万1.67%6.1万1.67%6.1万1.67%6.1万0.00%6万1.69%6万1.69%6万1.69%6万1.69%6万
-优先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 -14.69%-22.51亿-27.66%-23.4亿-27.66%-23.4亿-33.13%-22.29亿-35.96%-20.95亿-42.06%-19.63亿-43.71%-18.33亿-43.71%-18.33亿-75.00%-16.74亿-83.58%-15.41亿
资本公积 7.72%25.65亿4.92%24.74亿4.92%24.74亿4.50%24.34亿4.67%24.11亿4.67%23.81亿4.79%23.58亿4.79%23.58亿5.43%23.29亿5.93%23.03亿
不影响留存收益的损益 16.41%-384.7万66.53%-349.5万66.53%-349.5万81.90%-268.3万70.37%-422.1万62.00%-460.2万-152.67%-1,044.3万-152.67%-1,044.3万-161.34%-1,482.6万-144.18%-1,424.8万
股东权益总额 -25.01%3.11亿-74.62%1.31亿-74.62%1.31亿-68.36%2.03亿-58.39%3.11亿-53.01%4.14亿-46.98%5.15亿-46.98%5.15亿-48.66%6.4亿-43.73%7.48亿
总权益 -25.01%3.11亿-74.62%1.31亿-74.62%1.31亿-68.36%2.03亿-58.39%3.11亿-53.01%4.14亿-46.98%5.15亿-46.98%5.15亿-48.66%6.4亿-43.73%7.48亿
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--------无保留意见------

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