美股市场个股详情

Pharvaris (PHVS)

添加自选
  • 32.940
  • +1.690+5.41%
收盘价 05/13 16:00 (美东)
22.82亿总市值-10.34市盈率TTM

Pharvaris (PHVS) 现金流量表

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
经营活动现金流量(间接法)
持续经营活动现金净额
-26.76%-4,876.6万
-14.10%-1.37亿
-8.58%-3,795.28万
7.79%-3,066.89万
-8.30%-2,998.04万
-58.76%-3,847.16万
-29.10%-1.2亿
-46.81%-3,495.37万
-41.22%-3,326.15万
-35.15%-2,768.32万
持续经营净收入
15.44%-3,892.76万
-31.21%-1.74亿
-34.47%-4,507.69万
10.03%-3,731.85万
-52.65%-4,527.79万
-66.00%-4,603.82万
-32.63%-1.32亿
-4.76%-3,352.17万
-76.87%-4,148.07万
-36.03%-2,966.05万
持续经营损益
-176.38%-411.39万
260.22%1,174.24万
97.58%-23.96万
-100.34%-1.95万
353.92%661.52万
1,095.15%538.63万
-362.27%-732.9万
-317.19%-989.05万
312.38%570.8万
-290.42%-260.53万
折旧和摊销
-0.55%10.47万
55.20%41.84万
15.29%10.49万
141.33%10.52万
50.02%10.3万
58.69%10.53万
4.66%26.96万
37.76%9.1万
-35.86%4.36万
11.26%6.87万
其他非现金项目
106.48%7.58万
91.89%-43.96万
97.75%-2.91万
101.45%2.84万
134.77%73.18万
-1,991.72%-117.07万
-2,557.87%-542.26万
-2,167.32%-129.47万
-3,085.84%-196.71万
-13,222.40%-210.48万
营运资金变化
-363.44%-1,061.24万
29.45%762.43万
24.35%487.15万
233.25%184.56万
85.25%319.71万
-240.34%-228.99万
200.47%589万
200.72%391.75万
-1,315.27%-138.5万
479.84%172.59万
-应收款项(增)减
-128.41%-28.62万
-865.55%-33.13万
-307.49%-38.92万
201.18%13.16万
133.82%5.15万
-307.27%-12.53万
16.41%-3.43万
263.56%18.76万
-611.07%-13.01万
-354.64%-15.22万
-应付款项及应计费用(减)增
-946.05%-910.04万
2.47%621.02万
-1.52%505.91万
92.45%-21.35万
1,248.18%223.46万
-124.27%-87万
224.51%606.06万
280.00%513.73万
-716.93%-282.63万
106.41%16.57万
-其他流动资产变化
5.32%-122.58万
1,380.09%174.55万
114.32%20.16万
22.66%192.75万
-46.79%91.11万
35.67%-129.47万
85.71%-13.64万
-132.95%-140.74万
525.14%157.14万
-17.36%171.23万
非持续经营活动现金净额
经营活动现金净额
-26.76%-4,876.6万
-14.10%-1.37亿
-8.58%-3,795.28万
7.79%-3,066.89万
-8.30%-2,998.04万
-58.76%-3,847.16万
-29.10%-1.2亿
-46.81%-3,495.37万
-41.22%-3,326.15万
-35.15%-2,768.32万
投资活动现金流量
持续投资活动现金净额
67.64%-5.21万
69.41%-16.46万
99.04%-1,538
93.89%-1.87万
141.45%1.66万
-424.30%-16.1万
-497.98%-53.81万
-467.01%-16.09万
-3,989.79%-30.63万
-14.43%-4.01万
固定资产交易的净现金流
67.64%-5.21万
69.41%-16.46万
99.04%-1,538
93.89%-1.87万
141.45%1.66万
-424.30%-16.1万
-497.98%-53.81万
-467.01%-16.09万
-3,989.79%-30.63万
-14.43%-4.01万
非持续投资活动现金净额
投资活动现金净额
67.64%-5.21万
69.41%-16.46万
99.04%-1,538
93.89%-1.87万
141.45%1.66万
-424.30%-16.1万
-497.98%-53.81万
-467.01%-16.09万
-3,989.79%-30.63万
-14.43%-4.01万
融资活动现金流量
持续融资活动现金净额
18.47%-6.15万
5,900.52%1.61亿
-52.05%27.15万
16,073.98%1.6亿
-107.08%-2.29万
-109.49%-7.54万
-99.18%267.66万
-99.78%56.62万
910.82%99.19万
-99.49%32.34万
债务发行/偿还的净现金流
41.15%-6.15万
-37.18%-21.9万
-149.50%-6.63万
3.66%-2.49万
56.49%-2.33万
-94.44%-10.45万
27.60%-15.97万
51.37%-2.66万
65.82%-2.58万
-59.65%-5.35万
普通股发行/偿还的净现金流
--0
7,552.47%1.72亿
-43.09%33.73万
16,721.96%1.71亿
-99.92%370
-84.67%2.91万
-99.35%224.42万
-99.79%59.27万
777.83%101.87万
-99.31%44.3万
其他融资活动的净现金流额
----
-1,943.14%-1,091.14万
--469
----
----
----
103.42%59.2万
--0
99.41%-968
---6.61万
非持续融资活动现金净额
融资活动现金净额
18.47%-6.15万
5,900.52%1.61亿
-52.05%27.15万
16,073.98%1.6亿
-107.08%-2.29万
-109.49%-7.54万
-99.18%267.66万
-99.78%56.62万
910.82%99.19万
-99.49%32.34万
现金净流量
期初现金流
3.90%2.92亿
-28.25%2.81亿
7.89%3.29亿
-41.91%2亿
-35.79%2.36亿
-28.25%2.81亿
141.74%3.91亿
92.72%3.05亿
91.74%3.44亿
172.48%3.68亿
当期现金流变化
-26.28%-4,887.96万
119.81%2,336.9万
-9.07%-3,768.28万
498.29%1.3亿
-9.44%-2,998.66万
-64.94%-3,870.81万
-150.80%-1.18亿
-114.52%-3,454.84万
-37.55%-3,257.59万
-163.25%-2,739.99万
利率变动影响
175.28%415.87万
-265.84%-1,241.81万
-99.25%7.61万
99.44%-3.25万
-363.58%-693.76万
-1,055.70%-552.4万
361.85%748.81万
300.83%1,008.34万
-303.52%-580.53万
284.64%263.21万
期末现金流
4.42%2.47亿
3.90%2.92亿
3.90%2.92亿
7.89%3.29亿
-41.91%2亿
-35.79%2.36亿
-28.25%2.81亿
-28.25%2.81亿
92.72%3.05亿
91.74%3.44亿
自由现金流
-26.36%-4,881.81万
-13.73%-1.37亿
-8.09%-3,795.43万
8.58%-3,068.76万
-8.08%-2,996.37万
-59.23%-3,863.26万
-29.56%-1.21亿
-47.31%-3,511.46万
-42.48%-3,356.79万
-35.12%-2,772.33万
货币单位
欧元
欧元
欧元
欧元
欧元
欧元
欧元
欧元
欧元
欧元
审计意见
--
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
经营活动现金流量(间接法)
持续经营活动现金净额 -26.76%-4,876.6万-14.10%-1.37亿-8.58%-3,795.28万7.79%-3,066.89万-8.30%-2,998.04万-58.76%-3,847.16万-29.10%-1.2亿-46.81%-3,495.37万-41.22%-3,326.15万-35.15%-2,768.32万
持续经营净收入 15.44%-3,892.76万-31.21%-1.74亿-34.47%-4,507.69万10.03%-3,731.85万-52.65%-4,527.79万-66.00%-4,603.82万-32.63%-1.32亿-4.76%-3,352.17万-76.87%-4,148.07万-36.03%-2,966.05万
持续经营损益 -176.38%-411.39万260.22%1,174.24万97.58%-23.96万-100.34%-1.95万353.92%661.52万1,095.15%538.63万-362.27%-732.9万-317.19%-989.05万312.38%570.8万-290.42%-260.53万
折旧和摊销 -0.55%10.47万55.20%41.84万15.29%10.49万141.33%10.52万50.02%10.3万58.69%10.53万4.66%26.96万37.76%9.1万-35.86%4.36万11.26%6.87万
其他非现金项目 106.48%7.58万91.89%-43.96万97.75%-2.91万101.45%2.84万134.77%73.18万-1,991.72%-117.07万-2,557.87%-542.26万-2,167.32%-129.47万-3,085.84%-196.71万-13,222.40%-210.48万
营运资金变化 -363.44%-1,061.24万29.45%762.43万24.35%487.15万233.25%184.56万85.25%319.71万-240.34%-228.99万200.47%589万200.72%391.75万-1,315.27%-138.5万479.84%172.59万
-应收款项(增)减 -128.41%-28.62万-865.55%-33.13万-307.49%-38.92万201.18%13.16万133.82%5.15万-307.27%-12.53万16.41%-3.43万263.56%18.76万-611.07%-13.01万-354.64%-15.22万
-应付款项及应计费用(减)增 -946.05%-910.04万2.47%621.02万-1.52%505.91万92.45%-21.35万1,248.18%223.46万-124.27%-87万224.51%606.06万280.00%513.73万-716.93%-282.63万106.41%16.57万
-其他流动资产变化 5.32%-122.58万1,380.09%174.55万114.32%20.16万22.66%192.75万-46.79%91.11万35.67%-129.47万85.71%-13.64万-132.95%-140.74万525.14%157.14万-17.36%171.23万
非持续经营活动现金净额
经营活动现金净额 -26.76%-4,876.6万-14.10%-1.37亿-8.58%-3,795.28万7.79%-3,066.89万-8.30%-2,998.04万-58.76%-3,847.16万-29.10%-1.2亿-46.81%-3,495.37万-41.22%-3,326.15万-35.15%-2,768.32万
投资活动现金流量
持续投资活动现金净额 67.64%-5.21万69.41%-16.46万99.04%-1,53893.89%-1.87万141.45%1.66万-424.30%-16.1万-497.98%-53.81万-467.01%-16.09万-3,989.79%-30.63万-14.43%-4.01万
固定资产交易的净现金流 67.64%-5.21万69.41%-16.46万99.04%-1,53893.89%-1.87万141.45%1.66万-424.30%-16.1万-497.98%-53.81万-467.01%-16.09万-3,989.79%-30.63万-14.43%-4.01万
非持续投资活动现金净额
投资活动现金净额 67.64%-5.21万69.41%-16.46万99.04%-1,53893.89%-1.87万141.45%1.66万-424.30%-16.1万-497.98%-53.81万-467.01%-16.09万-3,989.79%-30.63万-14.43%-4.01万
融资活动现金流量
持续融资活动现金净额 18.47%-6.15万5,900.52%1.61亿-52.05%27.15万16,073.98%1.6亿-107.08%-2.29万-109.49%-7.54万-99.18%267.66万-99.78%56.62万910.82%99.19万-99.49%32.34万
债务发行/偿还的净现金流 41.15%-6.15万-37.18%-21.9万-149.50%-6.63万3.66%-2.49万56.49%-2.33万-94.44%-10.45万27.60%-15.97万51.37%-2.66万65.82%-2.58万-59.65%-5.35万
普通股发行/偿还的净现金流 --07,552.47%1.72亿-43.09%33.73万16,721.96%1.71亿-99.92%370-84.67%2.91万-99.35%224.42万-99.79%59.27万777.83%101.87万-99.31%44.3万
其他融资活动的净现金流额 -----1,943.14%-1,091.14万--469------------103.42%59.2万--099.41%-968---6.61万
非持续融资活动现金净额
融资活动现金净额 18.47%-6.15万5,900.52%1.61亿-52.05%27.15万16,073.98%1.6亿-107.08%-2.29万-109.49%-7.54万-99.18%267.66万-99.78%56.62万910.82%99.19万-99.49%32.34万
现金净流量
期初现金流 3.90%2.92亿-28.25%2.81亿7.89%3.29亿-41.91%2亿-35.79%2.36亿-28.25%2.81亿141.74%3.91亿92.72%3.05亿91.74%3.44亿172.48%3.68亿
当期现金流变化 -26.28%-4,887.96万119.81%2,336.9万-9.07%-3,768.28万498.29%1.3亿-9.44%-2,998.66万-64.94%-3,870.81万-150.80%-1.18亿-114.52%-3,454.84万-37.55%-3,257.59万-163.25%-2,739.99万
利率变动影响 175.28%415.87万-265.84%-1,241.81万-99.25%7.61万99.44%-3.25万-363.58%-693.76万-1,055.70%-552.4万361.85%748.81万300.83%1,008.34万-303.52%-580.53万284.64%263.21万
期末现金流 4.42%2.47亿3.90%2.92亿3.90%2.92亿7.89%3.29亿-41.91%2亿-35.79%2.36亿-28.25%2.81亿-28.25%2.81亿92.72%3.05亿91.74%3.44亿
自由现金流 -26.36%-4,881.81万-13.73%-1.37亿-8.09%-3,795.43万8.58%-3,068.76万-8.08%-2,996.37万-59.23%-3,863.26万-29.56%-1.21亿-47.31%-3,511.46万-42.48%-3,356.79万-35.12%-2,772.33万
货币单位 欧元欧元欧元欧元欧元欧元欧元欧元欧元欧元
审计意见 --无保留意见----------------
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