加拿大市场个股详情

Revive Therapeutics Ltd (RVV)

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延时15分钟行情已收盘 01/15 14:48 (美东)
648.49万总市值-0.50市盈率TTM

Revive Therapeutics Ltd (RVV) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2025/09/30
(FY)2025/06/30
(Q4)2025/06/30
(Q3)2025/03/31
(Q2)2024/12/31
(Q1)2024/09/30
(FY)2024/06/30
(Q4)2024/06/30
(Q3)2024/03/31
(Q2)2023/12/31
资产
流动资产
现金及现金等价物和短期投资
-92.33%2.1万
-98.12%1.46万
-98.12%1.46万
-95.58%4.64万
-92.18%5.54万
-82.85%27.3万
-62.96%77.31万
-62.96%77.31万
-60.48%104.94万
-0.25%70.84万
-现金和现金等价物
-92.33%2.1万
-98.12%1.46万
-98.12%1.46万
-95.58%4.64万
-92.18%5.54万
-82.85%27.3万
-62.96%77.31万
-62.96%77.31万
-60.48%104.94万
-0.25%70.84万
应收款项
-50.89%6,263
--0
--0
--0
-99.49%703
-90.87%1.28万
-86.66%2.09万
-86.66%2.09万
-37.43%11.61万
-13.27%13.78万
-应收税费
-50.89%6,263
--0
--0
--0
-98.65%703
-37.00%1.28万
-56.79%8,101
-56.79%8,101
21.55%6.6万
52.26%5.21万
-其他应收款
----
----
----
----
----
----
-90.71%1.28万
-90.71%1.28万
-61.81%5.01万
-31.28%8.56万
预付费用
-65.98%7.6万
-85.21%4.39万
-85.21%4.39万
-28.25%5.54万
33.50%12.63万
99.29%22.35万
414.26%29.66万
414.26%29.66万
4.59%7.72万
5.39%9.46万
受限制现金
-50.00%1万
-80.00%1万
-80.00%1万
-80.00%1万
-60.00%2万
-60.00%2万
0.00%5万
0.00%5万
0.00%5万
0.00%5万
流动资产合计
-78.60%11.32万
-94.00%6.84万
-94.00%6.84万
-91.35%11.18万
-79.57%20.24万
-72.05%52.93万
-51.51%114.06万
-51.51%114.06万
-56.40%129.27万
-1.78%99.07万
非流动资产
固定资产净额
-22.98%781
-23.05%828
-23.05%828
-23.14%890
-23.23%952
-23.30%1,014
-23.36%1,076
-23.36%1,076
-23.46%1,158
-23.50%1,240
-固定资产
0.00%1.49万
0.00%1.49万
0.00%1.49万
0.00%1.49万
0.00%1.49万
0.00%1.49万
0.00%1.49万
0.00%1.49万
0.00%1.49万
0.00%1.49万
-累计折旧
-1.68%-1.41万
-1.79%-1.41万
-1.79%-1.41万
-1.95%-1.4万
-2.11%-1.4万
-2.27%-1.39万
-2.43%-1.38万
-2.43%-1.38万
-2.65%-1.38万
-2.87%-1.37万
投资和预付款
-2.88%13.58万
17.22%13.58万
17.22%13.58万
8.44%13.65万
-17.68%13.38万
-13.97%13.98万
-28.72%11.58万
-28.72%11.58万
-49.65%12.59万
-35.00%16.25万
-金融资产投资
----
----
----
----
----
----
----
----
--12.59万
--16.25万
-其中:可供出售证券
----
----
----
----
----
----
----
----
--12.59万
--16.25万
商誉及其他无形资产
----
--0
--0
-20.00%937.84万
-20.00%937.84万
-20.00%937.84万
-20.00%937.84万
-20.00%937.84万
-6.22%1,172.3万
-6.22%1,172.3万
-其他无形资产
----
----
----
-20.00%937.84万
-20.00%937.84万
-20.00%937.84万
-20.00%937.84万
-20.00%937.84万
-6.22%1,172.3万
-6.22%1,172.3万
非流动资产合计
-98.57%13.66万
-98.56%13.66万
-98.56%13.66万
-19.70%951.58万
-19.97%951.31万
-19.92%951.92万
-20.20%949.53万
-20.20%949.53万
-7.43%1,185万
-7.40%1,188.67万
总资产
-97.51%24.98万
-98.07%20.5万
-98.07%20.5万
-26.75%962.76万
-24.55%971.55万
-27.08%1,004.85万
-25.37%1,063.59万
-25.37%1,063.59万
-16.64%1,314.27万
-6.99%1,287.75万
负债
流动负债
短期借款与资本租赁负债
----
----
----
----
----
----
-81.25%2.52万
-81.25%2.52万
-51.66%6.15万
-20.19%9.6万
-短期资本租赁负债
----
--0
--0
--0
--0
--0
-81.25%2.52万
-81.25%2.52万
-51.66%6.15万
-20.19%9.6万
应付款项
7.46%276.36万
2.62%264.8万
2.62%264.8万
6.45%270.7万
3.24%257.15万
-2.05%257.18万
-3.08%258.05万
-3.08%258.05万
-12.76%254.31万
-24.67%249.08万
-应付账款
7.46%276.36万
2.62%264.8万
2.62%264.8万
6.45%270.7万
3.24%257.14万
-2.05%257.18万
-3.08%258.05万
-3.08%258.05万
-12.76%254.31万
-24.67%249.08万
应计费用
31.37%83.84万
20.57%86.62万
20.57%86.62万
29.53%83.04万
7.28%66.63万
2.23%63.82万
12.48%71.84万
12.48%71.84万
-5.38%64.11万
-7.15%62.11万
流动负债总额
12.21%360.2万
5.72%351.42万
5.72%351.42万
8.99%353.74万
0.93%323.78万
-5.00%321万
-3.25%332.41万
-3.25%332.41万
-12.74%324.56万
-21.68%320.79万
非流动负债
长期借款与租赁负债
--6.82万
--6.69万
--6.69万
--6.56万
----
----
--0
--0
--0
-61.55%6万
-长期借款
--6.82万
--6.69万
--6.69万
--6.56万
----
----
----
----
----
0.00%6万
-长期租赁负债
----
----
----
----
----
----
--0
--0
--0
--0
其他非流动负债
2.37%8.09万
-0.24%7.97万
-0.24%7.97万
4.06%8.29万
6.10%8.3万
-0.65%7.9万
2.04%7.99万
2.04%7.99万
0.10%7.97万
-1.82%7.82万
非流动负债总额
88.64%14.91万
83.49%14.65万
83.49%14.65万
86.36%14.85万
-39.96%8.3万
-43.37%7.9万
-51.15%7.99万
-51.15%7.99万
-60.38%7.97万
-41.36%13.82万
负债总额
14.05%375.11万
7.54%366.07万
7.54%366.07万
10.84%368.59万
-0.76%332.07万
-6.52%328.9万
-5.42%340.39万
-5.42%340.39万
-15.19%332.53万
-22.75%334.61万
所有者权益
股本
0.75%4,785.76万
0.42%4,769.92万
0.42%4,769.92万
0.00%4,749.97万
3.22%4,749.97万
3.31%4,749.97万
3.31%4,749.97万
3.31%4,749.97万
3.31%4,749.97万
5.84%4,601.98万
-普通股股本
0.75%4,785.76万
0.42%4,769.92万
0.42%4,769.92万
0.00%4,749.97万
3.22%4,749.97万
3.31%4,749.97万
3.31%4,749.97万
3.31%4,749.97万
3.31%4,749.97万
5.84%4,601.98万
资本公积
0.74%2,368.57万
0.53%2,363.48万
0.53%2,363.48万
0.53%2,363.48万
85.76%2,351.06万
85.76%2,351.06万
85.76%2,351.06万
85.76%2,351.06万
89.45%2,351.06万
2.10%1,265.63万
留存收益
-16.23%-7,747.94万
-16.64%-7,719.76万
-16.64%-7,719.76万
-6.29%-6,760.07万
-8.58%-6,702.35万
-9.35%-6,665.88万
-9.28%-6,618.63万
-9.28%-6,618.63万
-7.12%-6,360.09万
-7.48%-6,172.89万
其他股本权益
1.12%243.48万
0.00%240.79万
0.00%240.79万
0.00%240.79万
-80.87%240.79万
-80.87%240.79万
-80.87%240.79万
-80.87%240.79万
-81.23%240.79万
13.71%1,258.42万
股东权益总额
-151.80%-350.13万
-147.78%-345.57万
-147.78%-345.57万
-39.48%594.17万
-32.91%639.48万
-34.13%675.95万
-32.11%723.2万
-32.11%723.2万
-17.12%981.74万
0.19%953.14万
总权益
-151.80%-350.13万
-147.78%-345.57万
-147.78%-345.57万
-39.48%594.17万
-32.91%639.48万
-34.13%675.95万
-32.11%723.2万
-32.11%723.2万
-17.12%981.74万
0.19%953.14万
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
--
带解释段的无保留意见
--
--
--
--
无保留意见
--
--
--
(Q1)2025/09/30(FY)2025/06/30(Q4)2025/06/30(Q3)2025/03/31(Q2)2024/12/31(Q1)2024/09/30(FY)2024/06/30(Q4)2024/06/30(Q3)2024/03/31(Q2)2023/12/31
资产
流动资产
现金及现金等价物和短期投资 -92.33%2.1万-98.12%1.46万-98.12%1.46万-95.58%4.64万-92.18%5.54万-82.85%27.3万-62.96%77.31万-62.96%77.31万-60.48%104.94万-0.25%70.84万
-现金和现金等价物 -92.33%2.1万-98.12%1.46万-98.12%1.46万-95.58%4.64万-92.18%5.54万-82.85%27.3万-62.96%77.31万-62.96%77.31万-60.48%104.94万-0.25%70.84万
应收款项 -50.89%6,263--0--0--0-99.49%703-90.87%1.28万-86.66%2.09万-86.66%2.09万-37.43%11.61万-13.27%13.78万
-应收税费 -50.89%6,263--0--0--0-98.65%703-37.00%1.28万-56.79%8,101-56.79%8,10121.55%6.6万52.26%5.21万
-其他应收款 -------------------------90.71%1.28万-90.71%1.28万-61.81%5.01万-31.28%8.56万
预付费用 -65.98%7.6万-85.21%4.39万-85.21%4.39万-28.25%5.54万33.50%12.63万99.29%22.35万414.26%29.66万414.26%29.66万4.59%7.72万5.39%9.46万
受限制现金 -50.00%1万-80.00%1万-80.00%1万-80.00%1万-60.00%2万-60.00%2万0.00%5万0.00%5万0.00%5万0.00%5万
流动资产合计 -78.60%11.32万-94.00%6.84万-94.00%6.84万-91.35%11.18万-79.57%20.24万-72.05%52.93万-51.51%114.06万-51.51%114.06万-56.40%129.27万-1.78%99.07万
非流动资产
固定资产净额 -22.98%781-23.05%828-23.05%828-23.14%890-23.23%952-23.30%1,014-23.36%1,076-23.36%1,076-23.46%1,158-23.50%1,240
-固定资产 0.00%1.49万0.00%1.49万0.00%1.49万0.00%1.49万0.00%1.49万0.00%1.49万0.00%1.49万0.00%1.49万0.00%1.49万0.00%1.49万
-累计折旧 -1.68%-1.41万-1.79%-1.41万-1.79%-1.41万-1.95%-1.4万-2.11%-1.4万-2.27%-1.39万-2.43%-1.38万-2.43%-1.38万-2.65%-1.38万-2.87%-1.37万
投资和预付款 -2.88%13.58万17.22%13.58万17.22%13.58万8.44%13.65万-17.68%13.38万-13.97%13.98万-28.72%11.58万-28.72%11.58万-49.65%12.59万-35.00%16.25万
-金融资产投资 ----------------------------------12.59万--16.25万
-其中:可供出售证券 ----------------------------------12.59万--16.25万
商誉及其他无形资产 ------0--0-20.00%937.84万-20.00%937.84万-20.00%937.84万-20.00%937.84万-20.00%937.84万-6.22%1,172.3万-6.22%1,172.3万
-其他无形资产 -------------20.00%937.84万-20.00%937.84万-20.00%937.84万-20.00%937.84万-20.00%937.84万-6.22%1,172.3万-6.22%1,172.3万
非流动资产合计 -98.57%13.66万-98.56%13.66万-98.56%13.66万-19.70%951.58万-19.97%951.31万-19.92%951.92万-20.20%949.53万-20.20%949.53万-7.43%1,185万-7.40%1,188.67万
总资产 -97.51%24.98万-98.07%20.5万-98.07%20.5万-26.75%962.76万-24.55%971.55万-27.08%1,004.85万-25.37%1,063.59万-25.37%1,063.59万-16.64%1,314.27万-6.99%1,287.75万
负债
流动负债
短期借款与资本租赁负债 -------------------------81.25%2.52万-81.25%2.52万-51.66%6.15万-20.19%9.6万
-短期资本租赁负债 ------0--0--0--0--0-81.25%2.52万-81.25%2.52万-51.66%6.15万-20.19%9.6万
应付款项 7.46%276.36万2.62%264.8万2.62%264.8万6.45%270.7万3.24%257.15万-2.05%257.18万-3.08%258.05万-3.08%258.05万-12.76%254.31万-24.67%249.08万
-应付账款 7.46%276.36万2.62%264.8万2.62%264.8万6.45%270.7万3.24%257.14万-2.05%257.18万-3.08%258.05万-3.08%258.05万-12.76%254.31万-24.67%249.08万
应计费用 31.37%83.84万20.57%86.62万20.57%86.62万29.53%83.04万7.28%66.63万2.23%63.82万12.48%71.84万12.48%71.84万-5.38%64.11万-7.15%62.11万
流动负债总额 12.21%360.2万5.72%351.42万5.72%351.42万8.99%353.74万0.93%323.78万-5.00%321万-3.25%332.41万-3.25%332.41万-12.74%324.56万-21.68%320.79万
非流动负债
长期借款与租赁负债 --6.82万--6.69万--6.69万--6.56万----------0--0--0-61.55%6万
-长期借款 --6.82万--6.69万--6.69万--6.56万--------------------0.00%6万
-长期租赁负债 --------------------------0--0--0--0
其他非流动负债 2.37%8.09万-0.24%7.97万-0.24%7.97万4.06%8.29万6.10%8.3万-0.65%7.9万2.04%7.99万2.04%7.99万0.10%7.97万-1.82%7.82万
非流动负债总额 88.64%14.91万83.49%14.65万83.49%14.65万86.36%14.85万-39.96%8.3万-43.37%7.9万-51.15%7.99万-51.15%7.99万-60.38%7.97万-41.36%13.82万
负债总额 14.05%375.11万7.54%366.07万7.54%366.07万10.84%368.59万-0.76%332.07万-6.52%328.9万-5.42%340.39万-5.42%340.39万-15.19%332.53万-22.75%334.61万
所有者权益
股本 0.75%4,785.76万0.42%4,769.92万0.42%4,769.92万0.00%4,749.97万3.22%4,749.97万3.31%4,749.97万3.31%4,749.97万3.31%4,749.97万3.31%4,749.97万5.84%4,601.98万
-普通股股本 0.75%4,785.76万0.42%4,769.92万0.42%4,769.92万0.00%4,749.97万3.22%4,749.97万3.31%4,749.97万3.31%4,749.97万3.31%4,749.97万3.31%4,749.97万5.84%4,601.98万
资本公积 0.74%2,368.57万0.53%2,363.48万0.53%2,363.48万0.53%2,363.48万85.76%2,351.06万85.76%2,351.06万85.76%2,351.06万85.76%2,351.06万89.45%2,351.06万2.10%1,265.63万
留存收益 -16.23%-7,747.94万-16.64%-7,719.76万-16.64%-7,719.76万-6.29%-6,760.07万-8.58%-6,702.35万-9.35%-6,665.88万-9.28%-6,618.63万-9.28%-6,618.63万-7.12%-6,360.09万-7.48%-6,172.89万
其他股本权益 1.12%243.48万0.00%240.79万0.00%240.79万0.00%240.79万-80.87%240.79万-80.87%240.79万-80.87%240.79万-80.87%240.79万-81.23%240.79万13.71%1,258.42万
股东权益总额 -151.80%-350.13万-147.78%-345.57万-147.78%-345.57万-39.48%594.17万-32.91%639.48万-34.13%675.95万-32.11%723.2万-32.11%723.2万-17.12%981.74万0.19%953.14万
总权益 -151.80%-350.13万-147.78%-345.57万-147.78%-345.57万-39.48%594.17万-32.91%639.48万-34.13%675.95万-32.11%723.2万-32.11%723.2万-17.12%981.74万0.19%953.14万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 --带解释段的无保留意见--------无保留意见------

FY:Financial Year 年度报告,相当于上市公司向SEC披露的10-K文件。

Q:Quarter 季度报告,相当于上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4为单季报,跨度为3个月;Q6、Q9为累计季报,Q6为6个月,Q9为9个月。

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