美股市场个股详情

MoonLake Immunotherapeutics (MLTX)

添加自选
  • 18.190
  • -0.280-1.52%
收盘价 05/22 16:00 (美东)
  • 18.110
  • -0.080-0.44%
盘后 20:01 (美东)
13.39亿总市值-4.69市盈率TTM

MoonLake Immunotherapeutics (MLTX) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 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
资产
流动资产
现金及现金等价物和短期投资
-25.45%3.58亿
-12.07%3.94亿
-12.07%3.94亿
-22.97%3.8亿
-18.22%4.25亿
-12.23%4.8亿
-12.32%4.48亿
-12.32%4.48亿
-0.41%4.94亿
3.59%5.2亿
-现金和现金等价物
9.91%2.98亿
85.40%3.35亿
85.40%3.35亿
-6.63%3.51亿
-10.53%3.07亿
-40.76%2.72亿
-60.01%1.8亿
-60.01%1.8亿
18.07%3.76亿
-31.69%3.43亿
-短期投资
-71.50%5,943.1万
-77.78%5,945.1万
-77.78%5,945.1万
-74.85%2,974.3万
-33.11%1.18亿
135.36%2.09亿
347.20%2.68亿
347.20%2.68亿
-33.49%1.18亿
--1.77亿
应收款项
92.87%576.3万
71.20%486.9万
71.20%486.9万
67.09%402.2万
103.30%340.9万
99.75%298.8万
169.10%284.4万
169.10%284.4万
233.96%240.71万
170.56%167.68万
-其他应收款
92.87%576.3万
71.20%486.9万
71.20%486.9万
67.09%402.2万
103.30%340.9万
99.75%298.8万
169.10%284.4万
169.10%284.4万
233.96%240.71万
170.56%167.68万
预付费用
42.39%3,295.7万
-2.40%2,285.7万
-2.40%2,285.7万
67.13%2,671.4万
75.19%2,698.9万
359.31%2,314.6万
1,013.97%2,341.8万
1,013.97%2,341.8万
382.87%1,598.44万
288.99%1,540.55万
流动资产合计
-21.65%3.97亿
-11.09%4.22亿
-11.09%4.22亿
-19.73%4.11亿
-15.16%4.55亿
-8.55%5.06亿
-7.76%4.74亿
-7.76%4.74亿
2.46%5.12亿
6.03%5.37亿
非流动资产
固定资产净额
-27.61%238.9万
-41.19%214.3万
-41.19%214.3万
-33.91%253.3万
-24.53%291.8万
-21.58%330万
-7.73%364.4万
-7.73%364.4万
1,734.28%383.26万
1,422.02%386.67万
-固定资产
-27.61%238.9万
-41.19%214.3万
-41.19%214.3万
-33.91%253.3万
-24.53%291.8万
-21.58%330万
-7.73%364.4万
-7.73%364.4万
1,734.28%383.26万
1,422.02%386.67万
长期预付费用
----
----
----
----
----
----
--0
--0
--206.46万
--412.92万
其他非流动资产
-20.85%134.4万
--59.6万
--59.6万
--58.7万
--169.7万
--169.8万
----
----
----
----
非流动资产合计
-25.31%373.3万
-24.84%273.9万
-24.84%273.9万
-47.09%312万
-42.28%461.5万
-52.52%499.8万
-70.55%364.4万
-70.55%364.4万
2,722.39%589.72万
3,047.36%799.58万
总资产
-21.69%4亿
-11.19%4.24亿
-11.19%4.24亿
-20.05%4.14亿
-15.56%4.6亿
-9.37%5.11亿
-9.23%4.78亿
-9.23%4.78亿
3.60%5.18亿
7.55%5.45亿
负债
流动负债
应付款项
74.01%2,477.5万
218.11%3,064.7万
218.11%3,064.7万
141.52%2,629.6万
210.93%1,791.5万
228.50%1,423.8万
336.79%963.4万
336.79%963.4万
77.94%1,088.75万
32.15%576.18万
-应付账款
132.43%2,338万
227.56%2,842.6万
227.56%2,842.6万
132.11%2,381.8万
213.06%1,489万
226.05%1,005.9万
492.39%867.8万
492.39%867.8万
252.11%1,026.17万
19.64%475.62万
-应付税费
-37.50%139.5万
70.40%109.4万
70.40%109.4万
109.30%101.4万
35.06%83.6万
162.13%223.2万
74.47%64.2万
74.47%64.2万
-82.15%48.45万
--61.9万
-其他应付款
----
258.92%112.7万
258.92%112.7万
935.58%146.4万
466.18%218.9万
389.59%194.7万
-15.77%31.4万
-15.77%31.4万
-71.17%14.14万
0.56%38.66万
应计费用
215.68%1,822.4万
56.14%1,127.3万
56.14%1,127.3万
262.41%1,637.4万
44.17%466.2万
178.86%577.3万
90.91%722万
90.91%722万
84.21%451.81万
88.84%323.37万
短期借款与租赁负债
-35.75%92万
-10.06%123.4万
-10.06%123.4万
-14.46%149.9万
17.27%155万
9.78%143.2万
14.54%137.2万
14.54%137.2万
1,020.95%175.25万
735.37%132.17万
-短期租赁负债
-35.75%92万
-10.06%123.4万
-10.06%123.4万
-14.46%149.9万
17.27%155万
9.78%143.2万
14.54%137.2万
14.54%137.2万
1,020.95%175.25万
735.37%132.17万
流动负债总额
92.29%4,611.4万
102.46%4,547.8万
102.46%4,547.8万
140.86%4,836.8万
122.77%2,736.1万
169.13%2,398.1万
125.40%2,246.3万
125.40%2,246.3万
94.81%2,008.1万
72.15%1,228.2万
非流动负债
长期借款与租赁负债
34.68%9,988.3万
5,007.96%7,447.4万
5,007.96%7,447.4万
3,734.62%7,422.7万
3,569.97%7,421.7万
3,045.88%7,416.4万
-41.68%145.8万
-41.68%145.8万
14,694.47%193.57万
3,714.40%202.23万
-长期借款
35.60%9,901.8万
--7,410万
--7,410万
--7,374.1万
--7,338.1万
--7,302.2万
----
----
----
----
-长期租赁负债
-24.26%86.5万
-74.35%37.4万
-74.35%37.4万
-74.89%48.6万
-58.66%83.6万
-51.56%114.2万
-41.68%145.8万
-41.68%145.8万
14,694.47%193.57万
3,714.40%202.23万
员工福利
-34.14%35.3万
--0
--0
-21.00%54.9万
5.91%57.4万
15.83%53.6万
6.44%62.1万
6.44%62.1万
172.11%69.5万
67.48%54.19万
非流动负债总额
34.18%1亿
3,482.20%7,447.4万
3,482.20%7,447.4万
2,742.47%7,477.6万
2,816.71%7,479.1万
2,548.72%7,470万
-32.57%207.9万
-32.57%207.9万
879.83%263.07万
580.86%256.42万
总负债
48.31%1.46亿
388.76%1.2亿
388.76%1.2亿
442.21%1.23亿
588.07%1.02亿
741.22%9,868.1万
88.07%2,454.2万
88.07%2,454.2万
114.74%2,271.17万
97.65%1,484.62万
所有者权益
股本
16.67%7,000
16.67%7,000
16.67%7,000
-6.09%6,000
-6.06%6,000
-6.06%6,000
-4.73%6,000
-4.73%6,000
2.31%6,389
2.27%6,387
-普通股股本
16.67%7,000
16.67%7,000
16.67%7,000
-6.09%6,000
-6.06%6,000
-6.06%6,000
-4.73%6,000
-4.73%6,000
2.31%6,389
2.27%6,387
留存收益
-93.30%-5.33亿
-96.49%-4.63亿
-96.49%-4.63亿
-110.79%-4亿
-113.95%-3.31亿
-111.41%-2.76亿
-101.95%-2.36亿
-101.95%-2.36亿
-73.95%-1.9亿
-54.92%-1.55亿
资本公积
15.52%7.86亿
13.19%7.67亿
13.19%7.67亿
2.04%6.89亿
1.78%6.84亿
1.56%6.81亿
11.06%6.77亿
11.06%6.77亿
27.12%6.75亿
13.99%6.72亿
不影响留存收益的损益
-86.51%32.2万
-87.91%60.4万
-87.91%60.4万
-90.19%27.8万
-84.03%52万
-11.37%238.7万
111.95%499.7万
111.95%499.7万
-1.43%283.4万
9,172.60%325.69万
股东权益总额
-37.67%2.54亿
-31.86%3.04亿
-31.86%3.04亿
-40.82%2.89亿
-32.06%3.54亿
-24.89%4.08亿
-9.86%4.47亿
-9.86%4.47亿
14.89%4.88亿
6.30%5.21亿
非控制性权益
----
--0
--0
-68.73%228.5万
-55.03%421.3万
-48.53%506.1万
-63.14%656.6万
-63.14%656.6万
-88.71%730.63万
0.59%936.78万
总权益
-38.43%2.54亿
-32.84%3.04亿
-32.84%3.04亿
-41.23%2.91亿
-32.47%3.58亿
-25.31%4.13亿
-11.70%4.53亿
-11.70%4.53亿
1.20%4.96亿
6.20%5.3亿
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
--
--
--
--
带解释段的无保留意见
--
--
--
(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
资产
流动资产
现金及现金等价物和短期投资 -25.45%3.58亿-12.07%3.94亿-12.07%3.94亿-22.97%3.8亿-18.22%4.25亿-12.23%4.8亿-12.32%4.48亿-12.32%4.48亿-0.41%4.94亿3.59%5.2亿
-现金和现金等价物 9.91%2.98亿85.40%3.35亿85.40%3.35亿-6.63%3.51亿-10.53%3.07亿-40.76%2.72亿-60.01%1.8亿-60.01%1.8亿18.07%3.76亿-31.69%3.43亿
-短期投资 -71.50%5,943.1万-77.78%5,945.1万-77.78%5,945.1万-74.85%2,974.3万-33.11%1.18亿135.36%2.09亿347.20%2.68亿347.20%2.68亿-33.49%1.18亿--1.77亿
应收款项 92.87%576.3万71.20%486.9万71.20%486.9万67.09%402.2万103.30%340.9万99.75%298.8万169.10%284.4万169.10%284.4万233.96%240.71万170.56%167.68万
-其他应收款 92.87%576.3万71.20%486.9万71.20%486.9万67.09%402.2万103.30%340.9万99.75%298.8万169.10%284.4万169.10%284.4万233.96%240.71万170.56%167.68万
预付费用 42.39%3,295.7万-2.40%2,285.7万-2.40%2,285.7万67.13%2,671.4万75.19%2,698.9万359.31%2,314.6万1,013.97%2,341.8万1,013.97%2,341.8万382.87%1,598.44万288.99%1,540.55万
流动资产合计 -21.65%3.97亿-11.09%4.22亿-11.09%4.22亿-19.73%4.11亿-15.16%4.55亿-8.55%5.06亿-7.76%4.74亿-7.76%4.74亿2.46%5.12亿6.03%5.37亿
非流动资产
固定资产净额 -27.61%238.9万-41.19%214.3万-41.19%214.3万-33.91%253.3万-24.53%291.8万-21.58%330万-7.73%364.4万-7.73%364.4万1,734.28%383.26万1,422.02%386.67万
-固定资产 -27.61%238.9万-41.19%214.3万-41.19%214.3万-33.91%253.3万-24.53%291.8万-21.58%330万-7.73%364.4万-7.73%364.4万1,734.28%383.26万1,422.02%386.67万
长期预付费用 --------------------------0--0--206.46万--412.92万
其他非流动资产 -20.85%134.4万--59.6万--59.6万--58.7万--169.7万--169.8万----------------
非流动资产合计 -25.31%373.3万-24.84%273.9万-24.84%273.9万-47.09%312万-42.28%461.5万-52.52%499.8万-70.55%364.4万-70.55%364.4万2,722.39%589.72万3,047.36%799.58万
总资产 -21.69%4亿-11.19%4.24亿-11.19%4.24亿-20.05%4.14亿-15.56%4.6亿-9.37%5.11亿-9.23%4.78亿-9.23%4.78亿3.60%5.18亿7.55%5.45亿
负债
流动负债
应付款项 74.01%2,477.5万218.11%3,064.7万218.11%3,064.7万141.52%2,629.6万210.93%1,791.5万228.50%1,423.8万336.79%963.4万336.79%963.4万77.94%1,088.75万32.15%576.18万
-应付账款 132.43%2,338万227.56%2,842.6万227.56%2,842.6万132.11%2,381.8万213.06%1,489万226.05%1,005.9万492.39%867.8万492.39%867.8万252.11%1,026.17万19.64%475.62万
-应付税费 -37.50%139.5万70.40%109.4万70.40%109.4万109.30%101.4万35.06%83.6万162.13%223.2万74.47%64.2万74.47%64.2万-82.15%48.45万--61.9万
-其他应付款 ----258.92%112.7万258.92%112.7万935.58%146.4万466.18%218.9万389.59%194.7万-15.77%31.4万-15.77%31.4万-71.17%14.14万0.56%38.66万
应计费用 215.68%1,822.4万56.14%1,127.3万56.14%1,127.3万262.41%1,637.4万44.17%466.2万178.86%577.3万90.91%722万90.91%722万84.21%451.81万88.84%323.37万
短期借款与租赁负债 -35.75%92万-10.06%123.4万-10.06%123.4万-14.46%149.9万17.27%155万9.78%143.2万14.54%137.2万14.54%137.2万1,020.95%175.25万735.37%132.17万
-短期租赁负债 -35.75%92万-10.06%123.4万-10.06%123.4万-14.46%149.9万17.27%155万9.78%143.2万14.54%137.2万14.54%137.2万1,020.95%175.25万735.37%132.17万
流动负债总额 92.29%4,611.4万102.46%4,547.8万102.46%4,547.8万140.86%4,836.8万122.77%2,736.1万169.13%2,398.1万125.40%2,246.3万125.40%2,246.3万94.81%2,008.1万72.15%1,228.2万
非流动负债
长期借款与租赁负债 34.68%9,988.3万5,007.96%7,447.4万5,007.96%7,447.4万3,734.62%7,422.7万3,569.97%7,421.7万3,045.88%7,416.4万-41.68%145.8万-41.68%145.8万14,694.47%193.57万3,714.40%202.23万
-长期借款 35.60%9,901.8万--7,410万--7,410万--7,374.1万--7,338.1万--7,302.2万----------------
-长期租赁负债 -24.26%86.5万-74.35%37.4万-74.35%37.4万-74.89%48.6万-58.66%83.6万-51.56%114.2万-41.68%145.8万-41.68%145.8万14,694.47%193.57万3,714.40%202.23万
员工福利 -34.14%35.3万--0--0-21.00%54.9万5.91%57.4万15.83%53.6万6.44%62.1万6.44%62.1万172.11%69.5万67.48%54.19万
非流动负债总额 34.18%1亿3,482.20%7,447.4万3,482.20%7,447.4万2,742.47%7,477.6万2,816.71%7,479.1万2,548.72%7,470万-32.57%207.9万-32.57%207.9万879.83%263.07万580.86%256.42万
总负债 48.31%1.46亿388.76%1.2亿388.76%1.2亿442.21%1.23亿588.07%1.02亿741.22%9,868.1万88.07%2,454.2万88.07%2,454.2万114.74%2,271.17万97.65%1,484.62万
所有者权益
股本 16.67%7,00016.67%7,00016.67%7,000-6.09%6,000-6.06%6,000-6.06%6,000-4.73%6,000-4.73%6,0002.31%6,3892.27%6,387
-普通股股本 16.67%7,00016.67%7,00016.67%7,000-6.09%6,000-6.06%6,000-6.06%6,000-4.73%6,000-4.73%6,0002.31%6,3892.27%6,387
留存收益 -93.30%-5.33亿-96.49%-4.63亿-96.49%-4.63亿-110.79%-4亿-113.95%-3.31亿-111.41%-2.76亿-101.95%-2.36亿-101.95%-2.36亿-73.95%-1.9亿-54.92%-1.55亿
资本公积 15.52%7.86亿13.19%7.67亿13.19%7.67亿2.04%6.89亿1.78%6.84亿1.56%6.81亿11.06%6.77亿11.06%6.77亿27.12%6.75亿13.99%6.72亿
不影响留存收益的损益 -86.51%32.2万-87.91%60.4万-87.91%60.4万-90.19%27.8万-84.03%52万-11.37%238.7万111.95%499.7万111.95%499.7万-1.43%283.4万9,172.60%325.69万
股东权益总额 -37.67%2.54亿-31.86%3.04亿-31.86%3.04亿-40.82%2.89亿-32.06%3.54亿-24.89%4.08亿-9.86%4.47亿-9.86%4.47亿14.89%4.88亿6.30%5.21亿
非控制性权益 ------0--0-68.73%228.5万-55.03%421.3万-48.53%506.1万-63.14%656.6万-63.14%656.6万-88.71%730.63万0.59%936.78万
总权益 -38.43%2.54亿-32.84%3.04亿-32.84%3.04亿-41.23%2.91亿-32.47%3.58亿-25.31%4.13亿-11.70%4.53亿-11.70%4.53亿1.20%4.96亿6.20%5.3亿
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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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中东战火燃至股市!投资者该如何应对?
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