美股市场个股详情

Pharming Group (PHAR)

添加自选
  • 18.440
  • +0.280+1.54%
收盘价 01/16 16:00 (美东)
  • 18.440
  • 0.0000.00%
盘后 16:10 (美东)
12.85亿总市值0.00市盈率TTM

Pharming Group (PHAR) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(FY)2023/12/31
(Q4)2023/12/31
资产
流动资产
现金及现金等价物和短期投资
-3.26%1.66亿
-21.40%1.26亿
-46.89%1.07亿
-21.33%1.68亿
-21.33%1.68亿
-13.06%1.72亿
-16.66%1.6亿
9.30%2.02亿
2.93%2.13亿
2.93%2.13亿
-现金和现金等价物
118.21%1.32亿
95.35%9,209.1万
15.80%6,009.3万
-11.01%5,494.4万
-11.01%5,494.4万
10.99%6,066.2万
-75.49%4,714.2万
-71.92%5,189.2万
-70.22%6,174.1万
-70.22%6,174.1万
-短期投资
-69.58%3,379.8万
-70.03%3,391.7万
-68.56%4,718万
-25.54%1.13亿
-25.54%1.13亿
-22.26%1.11亿
--1.13亿
--1.5亿
--1.52亿
--1.52亿
应收款项
-9.53%4,360.6万
4.32%5,332.7万
22.71%4,748.7万
17.73%5,017.2万
17.73%5,017.2万
18.95%4,819.9万
54.17%5,111.9万
17.51%3,869.7万
68.23%4,261.5万
68.23%4,261.5万
-应收账款
-9.53%4,360.6万
4.32%5,332.7万
22.71%4,748.7万
17.29%4,153.1万
17.29%4,153.1万
18.95%4,819.9万
54.17%5,111.9万
17.51%3,869.7万
68.90%3,540.8万
68.90%3,540.8万
-应收税费
----
----
----
39.17%704.5万
39.17%704.5万
----
----
----
55.75%506.2万
55.75%506.2万
-其他应收款
----
----
----
-25.59%159.6万
-25.59%159.6万
----
----
----
92.03%214.5万
92.03%214.5万
存货
7.89%6,713.6万
7.64%6,371.5万
6.20%5,934.6万
-1.83%5,572.4万
-1.83%5,572.4万
16.44%6,222.7万
11.59%5,919万
16.12%5,588.3万
34.10%5,676万
34.10%5,676万
预付费用
----
----
----
31.27%465.1万
31.27%465.1万
----
----
----
54.85%354.3万
54.85%354.3万
受限制现金
--69万
--272.6万
----
--0
--0
----
----
----
--0
--0
流动资产合计
-1.63%2.78亿
-9.18%2.46亿
-27.80%2.14亿
-11.98%2.78亿
-11.98%2.78亿
-3.27%2.82亿
-2.85%2.71亿
11.46%2.97亿
14.00%3.16亿
14.00%3.16亿
非流动资产
固定资产净额
-18.51%2,499.2万
-20.04%2,456.6万
-23.96%2,422.7万
-27.89%2,413.4万
-27.89%2,413.4万
-18.18%3,066.7万
-21.91%3,072.4万
-21.85%3,186.2万
-14.51%3,346.6万
-14.51%3,346.6万
-固定资产
-18.51%2,499.2万
-20.04%2,456.6万
-23.96%2,422.7万
-10.45%5,408.3万
-10.45%5,408.3万
-18.18%3,066.7万
-21.91%3,072.4万
-21.85%3,186.2万
2.14%6,039.7万
2.14%6,039.7万
-累计折旧
----
----
----
-11.21%-2,994.9万
-11.21%-2,994.9万
----
----
----
-34.73%-2,693.1万
-34.73%-2,693.1万
商誉及其他无形资产
101.09%1.35亿
104.14%1.36亿
103.32%1.39亿
-14.35%6,103.9万
-14.35%6,103.9万
-3.94%6,709.6万
-9.32%6,657.2万
-9.66%6,829.9万
-5.13%7,126.7万
-5.13%7,126.7万
-其他无形资产
----
----
----
-14.35%6,103.9万
-14.35%6,103.9万
----
----
----
-5.13%7,126.7万
-5.13%7,126.7万
投资和预付款
-6.88%667.3万
-9.03%669.8万
-22.90%592.2万
-59.29%423.3万
-59.29%423.3万
-22.44%716.6万
-23.70%736.3万
-21.36%768.1万
6.85%1,039.8万
6.85%1,039.8万
非流动递延资产
-25.21%2,748.5万
-20.10%3,120万
-48.47%1,839万
2.63%3,054.4万
2.63%3,054.4万
38.12%3,675.2万
44.57%3,904.9万
21.59%3,568.6万
29.55%2,976.1万
29.55%2,976.1万
长期预付费用
2.15%9.5万
5.56%9.5万
4.44%9.4万
-2.17%9万
-2.17%9万
5.68%9.3万
-1.10%9万
-61.37%9万
-59.65%9.2万
-59.65%9.2万
其他非流动资产
30.10%201.4万
35.05%202.3万
5.27%157.9万
-1.51%150.5万
-1.51%150.5万
5.74%154.8万
-13.01%149.8万
23.76%150万
39.04%152.8万
39.04%152.8万
非流动资产合计
36.88%1.96亿
37.98%2亿
30.29%1.89亿
-17.04%1.22亿
-17.04%1.22亿
-0.97%1.43亿
-3.93%1.45亿
-7.53%1.45亿
-1.20%1.47亿
-1.20%1.47亿
总资产
11.34%4.74亿
7.29%4.46亿
-8.71%4.03亿
-13.58%4亿
-13.58%4亿
-2.51%4.26亿
-3.23%4.16亿
4.41%4.42亿
8.70%4.63亿
8.70%4.63亿
负债
流动负债
应付款项
7.69%7,822.1万
7.42%7,838.2万
0.34%6,874.8万
-39.85%1,338.7万
-39.85%1,338.7万
16.15%7,263.8万
23.05%7,296.7万
28.66%6,851.6万
105.09%2,225.6万
105.09%2,225.6万
-应付账款
7.69%7,822.1万
7.42%7,838.2万
0.34%6,874.8万
-36.94%1,010.3万
-36.94%1,010.3万
16.15%7,263.8万
23.05%7,296.7万
28.66%6,851.6万
83.05%1,602.2万
83.05%1,602.2万
-应付税费
----
----
----
-47.32%328.4万
-47.32%328.4万
----
----
----
197.00%623.4万
197.00%623.4万
应计费用
----
----
----
5.87%5,322.4万
5.87%5,322.4万
----
----
----
15.27%5,027.2万
15.27%5,027.2万
短期借款与租赁负债
34.62%969.4万
37.16%956万
-93.67%878.8万
32.19%719.1万
32.19%719.1万
30.50%720.1万
23.30%697万
2,313.79%1.39亿
3.96%544万
3.96%544万
-短期借款
56.97%521万
62.22%510.5万
-96.62%455.5万
132.73%424.5万
132.73%424.5万
89.87%331.9万
75.13%314.7万
7,373.07%1.35亿
3.17%182.4万
3.17%182.4万
-短期租赁负债
15.51%448.4万
16.53%445.5万
9.10%423.3万
-18.53%294.6万
-18.53%294.6万
2.97%388.2万
-0.86%382.3万
-1.62%388万
4.36%361.6万
4.36%361.6万
其他流动负债
---1,000
----
----
----
----
----
----
----
----
----
流动负债总额
10.11%8,791.4万
10.01%8,794.2万
-62.59%7,753.6万
-5.34%7,380.2万
-5.34%7,380.2万
17.31%7,983.9万
23.07%7,993.7万
251.31%2.07亿
30.60%7,796.8万
30.60%7,796.8万
非流动负债
长期借款与租赁负债
1.12%1.21亿
3.23%1.19亿
288.05%1.1亿
-36.71%1.05亿
-36.71%1.05亿
-24.35%1.2亿
-30.05%1.15亿
-82.73%2,843.8万
2.88%1.66亿
2.88%1.66亿
-长期借款
1.13%9,313.8万
4.52%9,126.8万
--8,384.9万
-42.79%7,815.4万
-42.79%7,815.4万
-29.01%9,209.9万
-34.92%8,732.3万
----
3.78%1.37亿
3.78%1.37亿
-长期租赁负债
1.10%2,809万
-0.84%2,749.8万
-6.79%2,650.6万
-8.60%2,696.8万
-8.60%2,696.8万
-3.31%2,778.4万
-8.47%2,773.1万
-8.48%2,843.8万
-1.13%2,950.7万
-1.13%2,950.7万
其他非流动负债
---1,000
----
----
----
----
----
----
----
----
----
非流动负债总额
1.12%1.21亿
3.23%1.19亿
288.05%1.1亿
-36.71%1.05亿
-36.71%1.05亿
-24.35%1.2亿
-30.05%1.15亿
-82.73%2,843.8万
2.88%1.66亿
2.88%1.66亿
总负债
4.72%2.09亿
6.01%2.07亿
-20.29%1.88亿
-26.69%1.79亿
-26.69%1.79亿
-11.83%2亿
-15.01%1.95亿
5.40%2.36亿
10.36%2.44亿
10.36%2.44亿
所有者权益
股本
2.62%795.3万
0.94%782.1万
1.63%780.6万
1.30%776.9万
1.30%776.9万
1.31%775万
2.76%774.8万
2.17%768.1万
2.13%766.9万
2.13%766.9万
-普通股股本
2.62%795.3万
0.94%782.1万
1.63%780.6万
1.30%776.9万
1.30%776.9万
1.31%775万
2.76%774.8万
2.17%768.1万
2.13%766.9万
2.13%766.9万
留存收益
0.54%-2.77亿
-2.14%-2.86亿
-5.55%-2.93亿
-3.86%-2.75亿
-3.86%-2.75亿
-5.93%-2.78亿
-5.48%-2.8亿
-4.09%-2.77亿
-3.44%-2.65亿
-3.44%-2.65亿
资本公积
4.24%5.08亿
1.03%4.92亿
2.22%4.9亿
2.21%4.89亿
2.21%4.89亿
2.33%4.87亿
4.84%4.87亿
3.55%4.8亿
3.49%4.78亿
3.49%4.78亿
不影响留存收益的损益
176.97%2,585.2万
305.45%2,590.8万
317.25%869.2万
89.84%-20.9万
89.84%-20.9万
185.52%933.4万
205.85%639万
18.45%-400.1万
76.46%-205.7万
76.46%-205.7万
股东权益总额
17.21%2.65亿
8.43%2.4亿
3.91%2.14亿
1.04%2.21亿
1.04%2.21亿
7.55%2.26亿
10.26%2.21亿
3.31%2.06亿
6.91%2.19亿
6.91%2.19亿
非控制性权益
----
----
--129.2万
----
----
----
----
----
----
----
总权益
17.21%2.65亿
8.43%2.4亿
4.54%2.15亿
1.04%2.21亿
1.04%2.21亿
7.55%2.26亿
10.26%2.21亿
3.31%2.06亿
6.91%2.19亿
6.91%2.19亿
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
--
(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(FY)2023/12/31(Q4)2023/12/31
资产
流动资产
现金及现金等价物和短期投资 -3.26%1.66亿-21.40%1.26亿-46.89%1.07亿-21.33%1.68亿-21.33%1.68亿-13.06%1.72亿-16.66%1.6亿9.30%2.02亿2.93%2.13亿2.93%2.13亿
-现金和现金等价物 118.21%1.32亿95.35%9,209.1万15.80%6,009.3万-11.01%5,494.4万-11.01%5,494.4万10.99%6,066.2万-75.49%4,714.2万-71.92%5,189.2万-70.22%6,174.1万-70.22%6,174.1万
-短期投资 -69.58%3,379.8万-70.03%3,391.7万-68.56%4,718万-25.54%1.13亿-25.54%1.13亿-22.26%1.11亿--1.13亿--1.5亿--1.52亿--1.52亿
应收款项 -9.53%4,360.6万4.32%5,332.7万22.71%4,748.7万17.73%5,017.2万17.73%5,017.2万18.95%4,819.9万54.17%5,111.9万17.51%3,869.7万68.23%4,261.5万68.23%4,261.5万
-应收账款 -9.53%4,360.6万4.32%5,332.7万22.71%4,748.7万17.29%4,153.1万17.29%4,153.1万18.95%4,819.9万54.17%5,111.9万17.51%3,869.7万68.90%3,540.8万68.90%3,540.8万
-应收税费 ------------39.17%704.5万39.17%704.5万------------55.75%506.2万55.75%506.2万
-其他应收款 -------------25.59%159.6万-25.59%159.6万------------92.03%214.5万92.03%214.5万
存货 7.89%6,713.6万7.64%6,371.5万6.20%5,934.6万-1.83%5,572.4万-1.83%5,572.4万16.44%6,222.7万11.59%5,919万16.12%5,588.3万34.10%5,676万34.10%5,676万
预付费用 ------------31.27%465.1万31.27%465.1万------------54.85%354.3万54.85%354.3万
受限制现金 --69万--272.6万------0--0--------------0--0
流动资产合计 -1.63%2.78亿-9.18%2.46亿-27.80%2.14亿-11.98%2.78亿-11.98%2.78亿-3.27%2.82亿-2.85%2.71亿11.46%2.97亿14.00%3.16亿14.00%3.16亿
非流动资产
固定资产净额 -18.51%2,499.2万-20.04%2,456.6万-23.96%2,422.7万-27.89%2,413.4万-27.89%2,413.4万-18.18%3,066.7万-21.91%3,072.4万-21.85%3,186.2万-14.51%3,346.6万-14.51%3,346.6万
-固定资产 -18.51%2,499.2万-20.04%2,456.6万-23.96%2,422.7万-10.45%5,408.3万-10.45%5,408.3万-18.18%3,066.7万-21.91%3,072.4万-21.85%3,186.2万2.14%6,039.7万2.14%6,039.7万
-累计折旧 -------------11.21%-2,994.9万-11.21%-2,994.9万-------------34.73%-2,693.1万-34.73%-2,693.1万
商誉及其他无形资产 101.09%1.35亿104.14%1.36亿103.32%1.39亿-14.35%6,103.9万-14.35%6,103.9万-3.94%6,709.6万-9.32%6,657.2万-9.66%6,829.9万-5.13%7,126.7万-5.13%7,126.7万
-其他无形资产 -------------14.35%6,103.9万-14.35%6,103.9万-------------5.13%7,126.7万-5.13%7,126.7万
投资和预付款 -6.88%667.3万-9.03%669.8万-22.90%592.2万-59.29%423.3万-59.29%423.3万-22.44%716.6万-23.70%736.3万-21.36%768.1万6.85%1,039.8万6.85%1,039.8万
非流动递延资产 -25.21%2,748.5万-20.10%3,120万-48.47%1,839万2.63%3,054.4万2.63%3,054.4万38.12%3,675.2万44.57%3,904.9万21.59%3,568.6万29.55%2,976.1万29.55%2,976.1万
长期预付费用 2.15%9.5万5.56%9.5万4.44%9.4万-2.17%9万-2.17%9万5.68%9.3万-1.10%9万-61.37%9万-59.65%9.2万-59.65%9.2万
其他非流动资产 30.10%201.4万35.05%202.3万5.27%157.9万-1.51%150.5万-1.51%150.5万5.74%154.8万-13.01%149.8万23.76%150万39.04%152.8万39.04%152.8万
非流动资产合计 36.88%1.96亿37.98%2亿30.29%1.89亿-17.04%1.22亿-17.04%1.22亿-0.97%1.43亿-3.93%1.45亿-7.53%1.45亿-1.20%1.47亿-1.20%1.47亿
总资产 11.34%4.74亿7.29%4.46亿-8.71%4.03亿-13.58%4亿-13.58%4亿-2.51%4.26亿-3.23%4.16亿4.41%4.42亿8.70%4.63亿8.70%4.63亿
负债
流动负债
应付款项 7.69%7,822.1万7.42%7,838.2万0.34%6,874.8万-39.85%1,338.7万-39.85%1,338.7万16.15%7,263.8万23.05%7,296.7万28.66%6,851.6万105.09%2,225.6万105.09%2,225.6万
-应付账款 7.69%7,822.1万7.42%7,838.2万0.34%6,874.8万-36.94%1,010.3万-36.94%1,010.3万16.15%7,263.8万23.05%7,296.7万28.66%6,851.6万83.05%1,602.2万83.05%1,602.2万
-应付税费 -------------47.32%328.4万-47.32%328.4万------------197.00%623.4万197.00%623.4万
应计费用 ------------5.87%5,322.4万5.87%5,322.4万------------15.27%5,027.2万15.27%5,027.2万
短期借款与租赁负债 34.62%969.4万37.16%956万-93.67%878.8万32.19%719.1万32.19%719.1万30.50%720.1万23.30%697万2,313.79%1.39亿3.96%544万3.96%544万
-短期借款 56.97%521万62.22%510.5万-96.62%455.5万132.73%424.5万132.73%424.5万89.87%331.9万75.13%314.7万7,373.07%1.35亿3.17%182.4万3.17%182.4万
-短期租赁负债 15.51%448.4万16.53%445.5万9.10%423.3万-18.53%294.6万-18.53%294.6万2.97%388.2万-0.86%382.3万-1.62%388万4.36%361.6万4.36%361.6万
其他流动负债 ---1,000------------------------------------
流动负债总额 10.11%8,791.4万10.01%8,794.2万-62.59%7,753.6万-5.34%7,380.2万-5.34%7,380.2万17.31%7,983.9万23.07%7,993.7万251.31%2.07亿30.60%7,796.8万30.60%7,796.8万
非流动负债
长期借款与租赁负债 1.12%1.21亿3.23%1.19亿288.05%1.1亿-36.71%1.05亿-36.71%1.05亿-24.35%1.2亿-30.05%1.15亿-82.73%2,843.8万2.88%1.66亿2.88%1.66亿
-长期借款 1.13%9,313.8万4.52%9,126.8万--8,384.9万-42.79%7,815.4万-42.79%7,815.4万-29.01%9,209.9万-34.92%8,732.3万----3.78%1.37亿3.78%1.37亿
-长期租赁负债 1.10%2,809万-0.84%2,749.8万-6.79%2,650.6万-8.60%2,696.8万-8.60%2,696.8万-3.31%2,778.4万-8.47%2,773.1万-8.48%2,843.8万-1.13%2,950.7万-1.13%2,950.7万
其他非流动负债 ---1,000------------------------------------
非流动负债总额 1.12%1.21亿3.23%1.19亿288.05%1.1亿-36.71%1.05亿-36.71%1.05亿-24.35%1.2亿-30.05%1.15亿-82.73%2,843.8万2.88%1.66亿2.88%1.66亿
总负债 4.72%2.09亿6.01%2.07亿-20.29%1.88亿-26.69%1.79亿-26.69%1.79亿-11.83%2亿-15.01%1.95亿5.40%2.36亿10.36%2.44亿10.36%2.44亿
所有者权益
股本 2.62%795.3万0.94%782.1万1.63%780.6万1.30%776.9万1.30%776.9万1.31%775万2.76%774.8万2.17%768.1万2.13%766.9万2.13%766.9万
-普通股股本 2.62%795.3万0.94%782.1万1.63%780.6万1.30%776.9万1.30%776.9万1.31%775万2.76%774.8万2.17%768.1万2.13%766.9万2.13%766.9万
留存收益 0.54%-2.77亿-2.14%-2.86亿-5.55%-2.93亿-3.86%-2.75亿-3.86%-2.75亿-5.93%-2.78亿-5.48%-2.8亿-4.09%-2.77亿-3.44%-2.65亿-3.44%-2.65亿
资本公积 4.24%5.08亿1.03%4.92亿2.22%4.9亿2.21%4.89亿2.21%4.89亿2.33%4.87亿4.84%4.87亿3.55%4.8亿3.49%4.78亿3.49%4.78亿
不影响留存收益的损益 176.97%2,585.2万305.45%2,590.8万317.25%869.2万89.84%-20.9万89.84%-20.9万185.52%933.4万205.85%639万18.45%-400.1万76.46%-205.7万76.46%-205.7万
股东权益总额 17.21%2.65亿8.43%2.4亿3.91%2.14亿1.04%2.21亿1.04%2.21亿7.55%2.26亿10.26%2.21亿3.31%2.06亿6.91%2.19亿6.91%2.19亿
非控制性权益 ----------129.2万----------------------------
总权益 17.21%2.65亿8.43%2.4亿4.54%2.15亿1.04%2.21亿1.04%2.21亿7.55%2.26亿10.26%2.21亿3.31%2.06亿6.91%2.19亿6.91%2.19亿
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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