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Arcus Biosciences Inc

RCUS

9.120USD

-0.040-0.44%
Trading geöffnet ETKurse um 15 Minuten verzögert
965.81MMarktkapitalisierung
VerlustKGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
Leere Zeilen ausblenden
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
0.20%997.00M
28.85%978.00M
36.30%1.09B
4.19%969.00M
4.30%995.00M
-24.78%759.00M
-23.82%799.00M
-20.70%930.00M
-21.39%954.00M
102.08%1.01B
99.90%1.05B
62.66%1.17B
46.75%1.21B
-31.47%499.31M
-32.95%524.64M
55.90%721.01M
423.82%826.93M
287.02%728.65M
309.67%782.43M
106.09%462.47M
-34.75%157.87M
-26.61%188.27M
-25.93%190.99M
-15.54%224.40M
-13.65%241.94M
--256.54M
--257.84M
--265.70M
--280.18M
- Barmittel und Barmitteläquivalente
3.78%192.00M
18.11%150.00M
9.24%201.00M
-32.17%156.00M
-22.27%185.00M
-38.35%127.00M
-15.46%184.00M
-15.64%230.00M
-56.63%238.00M
39.27%206.00M
21.30%217.65M
-14.93%272.63M
40.62%548.78M
-14.71%147.91M
-19.12%179.43M
12.38%320.48M
479.66%390.26M
199.32%173.41M
180.85%221.85M
274.91%285.19M
-1.71%67.33M
-18.47%57.94M
5.48%78.99M
-55.25%76.07M
-65.42%68.50M
--71.06M
--74.89M
--170.00M
--198.12M
-Kurzfristige Anlagen
-0.62%805.00M
31.01%828.00M
44.39%888.00M
16.14%813.00M
13.13%810.00M
-21.30%632.00M
-26.00%615.00M
-22.23%700.00M
7.71%716.00M
128.52%803.00M
140.76%831.13M
124.74%900.15M
52.23%664.75M
-36.71%351.39M
-38.42%345.21M
125.92%400.53M
382.29%436.67M
326.01%555.23M
400.53%560.58M
19.52%177.29M
-47.80%90.54M
-29.73%130.33M
-38.78%112.00M
54.99%148.33M
111.34%173.44M
--185.48M
--182.95M
--95.70M
--82.06M
Forderungen
-47.50%21.00M
-40.48%25.00M
-62.50%21.00M
-10.81%33.00M
11.11%40.00M
7.69%42.00M
82.36%56.00M
-5.19%37.00M
11.92%36.00M
-94.78%39.00M
899.64%30.71M
1211.83%39.03M
413.49%32.16M
43882.45%746.82M
4.10%3.07M
545.34%2.98M
1720.93%6.26M
1186.36%1.70M
-44.07%2.95M
643.55%461.00K
--344.00K
59.04%132.00K
3.17%5.28M
-67.88%62.00K
-100.00%0.00
--83.00K
--5.11M
--193.00K
--54.00K
-Forderungen aus Lieferungen und Leistungen
-57.14%15.00M
-47.37%20.00M
-69.23%16.00M
-17.65%28.00M
6.06%35.00M
-2.56%38.00M
90.57%52.00M
-5.11%34.00M
12.17%33.00M
-94.76%39.00M
3032.72%27.29M
2174.98%35.83M
461.97%29.42M
70881.41%744.60M
-66.23%871.00K
609.46%1.57M
1421.80%5.24M
694.70%1.05M
-51.12%2.58M
--222.00K
--344.00K
--132.00K
5.52%5.28M
----
----
----
--5.00M
----
----
-Sonstige Forderungen
20.00%6.00M
25.00%5.00M
25.00%5.00M
66.67%5.00M
66.67%5.00M
--4.00M
16.86%4.00M
-6.13%3.00M
9.25%3.00M
----
55.52%3.42M
128.29%3.20M
166.86%2.75M
243.14%2.23M
491.67%2.20M
485.77%1.40M
--1.03M
--649.00K
--372.00K
285.48%239.00K
----
-100.00%0.00
-100.00%0.00
-67.88%62.00K
-100.00%0.00
--83.00K
--114.00K
--193.00K
--54.00K
Aktive Rechnungsabgrenzungsposten
-55.17%13.00M
-56.67%13.00M
-37.04%17.00M
5.26%20.00M
16.00%29.00M
57.89%30.00M
24.86%27.00M
21.24%19.00M
34.94%25.00M
21.64%19.00M
23.05%21.63M
-28.66%15.67M
113.44%18.53M
185.51%15.62M
48.73%17.57M
153.51%21.97M
8.41%8.68M
27.14%5.47M
179.80%11.82M
164.74%8.66M
159.97%8.01M
85.39%4.30M
81.32%4.22M
111.16%3.27M
67.94%3.08M
--2.32M
--2.33M
--1.55M
--1.83M
Sonstige kurzfristige Vermögenswerte
--0.00
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Summe der kurzfristigen Vermögenswerte
-3.10%1.03B
22.26%1.02B
27.78%1.13B
3.65%1.02B
4.83%1.06B
-22.12%831.00M
-19.90%882.00M
-19.67%986.00M
-19.71%1.01B
-15.43%1.07B
101.93%1.10B
64.55%1.23B
50.17%1.26B
71.48%1.26B
-31.60%545.29M
58.18%745.95M
406.49%841.87M
281.83%735.82M
297.63%797.20M
107.08%471.60M
-32.16%166.22M
-25.58%192.71M
-24.42%200.49M
-14.85%227.73M
-13.14%245.01M
--258.95M
--265.28M
--267.44M
--282.07M
Langfristige Vermögenswerte
Nettoanlagevermögen
-9.80%46.00M
119.61%112.00M
-4.00%48.00M
8.89%49.00M
37.84%51.00M
-62.22%51.00M
-63.23%50.00M
-67.26%45.00M
-72.89%37.00M
-1.76%135.00M
111.22%135.97M
129.29%137.44M
403.74%136.47M
482.60%137.42M
637.52%64.37M
625.35%59.94M
209.23%27.09M
152.82%23.59M
-12.82%8.73M
-20.25%8.26M
-20.54%8.76M
-16.00%9.33M
-14.89%10.01M
-17.19%10.36M
-6.66%11.03M
--11.11M
--11.76M
--12.51M
--11.81M
-Anlagevermögen
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9.61%20.55M
10.39%20.38M
8.81%19.84M
18.07%19.62M
--18.75M
--18.46M
--18.23M
--16.62M
-Abgegrenzte Abschreibungen
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46.81%11.22M
54.79%10.37M
65.66%9.48M
78.86%8.60M
--7.64M
--6.70M
--5.72M
--4.81M
Sonstige langfristige Vermögenswerte
-8.97%71.00M
-92.45%8.00M
-30.56%75.00M
-31.19%75.00M
-30.36%78.00M
657.14%106.00M
693.94%108.00M
705.74%109.00M
706.22%112.00M
30.41%14.00M
24.79%13.60M
54.08%13.53M
70.02%13.89M
66.46%10.73M
345.30%10.90M
475.36%8.78M
600.77%8.17M
499.91%6.45M
425.32%2.45M
192.34%1.53M
125.10%1.17M
120.74%1.07M
14.22%466.00K
27.94%522.00K
26.96%518.00K
--487.00K
--408.00K
--408.00K
--408.00K
Summe der langfristigen Vermögenswerte
-45.41%125.00M
-49.24%134.00M
-59.55%125.00M
-29.91%164.00M
-4.18%229.00M
-5.04%264.00M
5.57%309.00M
-6.14%234.00M
-14.40%239.00M
-15.80%278.00M
-0.44%292.71M
63.13%249.30M
199.41%279.20M
805.09%330.15M
2018.78%294.00M
1460.97%152.82M
839.35%93.25M
250.57%36.48M
-15.74%13.88M
-12.91%9.79M
-26.55%9.93M
-34.88%10.40M
-23.19%16.47M
-57.46%11.24M
-42.07%13.52M
--15.98M
--21.44M
--26.42M
--23.33M
Summe der Vermögenswerte
-10.60%1.16B
5.02%1.15B
5.12%1.25B
-2.79%1.19B
3.11%1.29B
-18.59%1.09B
-14.55%1.19B
-17.39%1.22B
-18.75%1.25B
-15.51%1.34B
66.07%1.39B
64.31%1.48B
65.05%1.54B
106.13%1.59B
3.48%839.29M
86.70%898.77M
430.88%935.12M
280.23%772.29M
273.84%811.08M
101.44%481.39M
-31.87%176.14M
-26.12%203.11M
-24.33%216.96M
-18.68%238.97M
-15.35%258.53M
--274.93M
--286.72M
--293.87M
--305.40M
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
-Weitere Verbindlichkeiten
--52.00M
----
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----
--0.00
67.56%5.00M
224.41%8.00M
--4.00M
-100.00%0.00
1327.75%2.98M
548.95%2.47M
-100.00%0.00
-98.54%52.00K
-93.89%209.00K
-74.03%380.00K
69.11%2.38M
140.95%3.57M
129.66%3.42M
-3.30%1.46M
-8.87%1.41M
-5.13%1.48M
-5.99%1.49M
-8.30%1.51M
-10.80%1.54M
--1.56M
--1.58M
--1.65M
--1.73M
Rückstellungen
62.26%86.00M
69.23%110.00M
36.51%86.00M
9.09%60.00M
8.16%53.00M
-10.96%65.00M
4.41%63.00M
11.25%55.00M
-3.98%49.00M
40.51%73.00M
9.51%60.34M
28.54%49.44M
66.99%51.03M
86.55%51.95M
54.19%55.09M
97.14%38.46M
200.48%30.56M
192.48%27.85M
269.83%35.73M
25.45%19.51M
33.31%10.17M
58.09%9.52M
44.92%9.66M
258.18%15.55M
111.33%7.63M
--6.02M
--6.67M
--4.34M
--3.61M
Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
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--0.00
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--0.00
--0.00
--0.00
--0.00
--0.00
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Aufgeschobene Verbindlichkeiten
-41.94%72.00M
-6.59%85.00M
1.94%105.00M
9.71%113.00M
27.84%124.00M
-6.19%91.00M
-0.28%103.00M
14.30%103.00M
8.61%97.00M
-4.90%97.00M
38.94%103.29M
20.85%90.12M
19.77%89.31M
36.79%102.00M
-35.70%74.34M
965.30%74.57M
965.30%74.57M
965.30%74.57M
1551.63%115.61M
0.00%7.00M
0.00%7.00M
12.00%7.00M
12.00%7.00M
40.00%7.00M
40.00%7.00M
--6.25M
--6.25M
--5.00M
--5.00M
Andere kurzfristige Verbindlichkeiten
-41.94%72.00M
-6.59%85.00M
-2.78%105.00M
1.80%113.00M
22.77%124.00M
-6.19%91.00M
1.62%108.00M
19.89%111.00M
13.09%101.00M
-4.95%97.00M
42.55%106.28M
23.52%92.58M
16.06%89.31M
30.61%102.06M
-37.37%74.55M
785.63%74.95M
815.22%76.95M
821.43%78.14M
1302.07%119.04M
-0.59%8.46M
-1.60%8.41M
8.58%8.48M
8.36%8.49M
28.02%8.51M
26.93%8.54M
--7.81M
--7.83M
--6.65M
--6.73M
Summe der kurzfristigen Verbindlichkeiten
-5.88%192.00M
22.83%226.00M
7.50%215.00M
10.56%199.00M
13.97%204.00M
-4.66%184.00M
12.88%200.00M
9.74%180.00M
11.00%179.00M
16.21%193.00M
24.02%177.18M
25.81%164.02M
22.11%161.25M
36.50%166.08M
-12.28%142.87M
225.72%130.37M
528.71%132.06M
435.85%121.67M
673.48%162.87M
50.96%40.02M
10.53%21.00M
34.08%22.71M
26.77%21.06M
61.86%26.51M
33.24%19.00M
--16.93M
--16.61M
--16.38M
--14.26M
Langfristige Verbindlichkeiten
Langfristige Schulden und Leasingverbindlichkeiten
--48.00M
--147.00M
--47.00M
--0.00
--0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
0.10%117.00M
143.54%119.19M
143.95%121.34M
680.74%114.81M
666.82%116.89M
--48.94M
--49.74M
--14.71M
--15.24M
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-Langfristige Verbindlichkeiten
--48.00M
--48.00M
--47.00M
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----
--0.00
----
----
--0.00
--0.00
--0.00
--0.00
--0.00
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-Langfristige Leasingverbindlichkeiten
----
--99.00M
----
----
----
----
----
----
----
0.10%117.00M
143.54%119.19M
143.95%121.34M
680.74%114.81M
666.82%116.89M
--48.94M
--49.74M
--14.71M
--15.24M
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----
----
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Aufgeschobene Verbindlichkeiten
-9.50%219.00M
-23.78%234.00M
-11.35%289.00M
-35.15%214.00M
-26.67%242.00M
-13.52%307.00M
-14.79%326.00M
-23.14%330.00M
-27.77%330.00M
-23.20%355.00M
266.55%382.58M
277.91%429.34M
271.26%456.90M
276.31%462.22M
14.32%104.38M
1233.11%113.61M
1098.10%123.07M
921.71%122.83M
562.92%91.30M
-19.01%8.52M
-16.30%10.27M
-29.22%12.02M
-25.74%13.77M
-34.59%10.52M
-29.21%12.27M
--16.98M
--18.55M
--16.09M
--17.34M
Andere langfristige Verbindlichkeiten
0.79%385.00M
-34.97%292.00M
-9.77%425.00M
-25.74%352.00M
-19.58%382.00M
18.78%449.00M
18.12%471.00M
6.75%474.00M
0.90%475.00M
-19.14%378.00M
280.22%398.75M
289.13%444.02M
280.99%470.78M
251.29%467.48M
1.05%104.87M
801.75%114.11M
752.08%123.57M
703.50%133.08M
455.81%103.79M
-19.99%12.65M
-19.25%14.50M
-28.14%16.56M
-25.28%18.67M
-30.97%15.81M
-26.83%17.96M
--23.05M
--24.99M
--22.91M
--24.55M
Gesamt langfristige Verbindlichkeiten
13.35%433.00M
-2.23%439.00M
0.21%472.00M
-25.74%352.00M
-19.58%382.00M
-9.29%449.00M
-9.06%471.00M
-16.16%474.00M
-18.89%475.00M
-15.29%495.00M
236.73%517.95M
245.05%565.36M
323.50%585.59M
293.99%584.36M
48.20%153.82M
1194.83%163.85M
853.48%138.27M
795.54%148.32M
455.81%103.79M
-19.99%12.65M
-19.25%14.50M
-28.14%16.56M
-25.28%18.67M
-30.97%15.81M
-26.83%17.96M
--23.05M
--24.99M
--22.91M
--24.55M
Gesamtverbindlichkeiten
6.66%625.00M
5.06%665.00M
2.38%687.00M
-15.75%551.00M
-10.40%586.00M
-7.99%633.00M
-3.47%671.00M
-10.34%654.00M
-12.43%654.00M
-8.32%688.00M
134.30%695.12M
147.91%729.39M
176.27%746.85M
177.96%750.45M
11.26%296.68M
458.51%294.22M
661.36%270.33M
587.55%269.99M
571.18%266.66M
24.45%52.68M
-3.94%35.51M
-1.79%39.27M
-4.50%39.73M
7.73%42.33M
-4.75%36.96M
--39.98M
--41.60M
--39.29M
--38.81M
Eigenkapital der Aktionäre
Stammkapital
13.71%1.77B
23.34%1.62B
24.09%1.60B
24.86%1.58B
27.32%1.56B
8.71%1.31B
9.09%1.29B
8.79%1.27B
7.11%1.23B
7.86%1.21B
7.83%1.18B
7.70%1.16B
7.42%1.14B
34.63%1.12B
33.72%1.10B
53.01%1.08B
185.35%1.07B
124.99%830.44M
124.29%820.67M
94.74%706.72M
3.78%373.43M
3.14%369.10M
2.85%365.90M
2.41%362.91M
1.97%359.82M
--357.88M
--355.76M
--354.38M
--352.88M
Gewinnrücklagen
-45.84%-1.24B
-33.33%-1.13B
-35.16%-1.04B
-35.72%-946.00M
-37.14%-853.00M
-56.64%-849.00M
-61.72%-768.00M
-70.01%-697.00M
-81.16%-622.00M
-96.84%-542.00M
14.39%-474.90M
14.00%-409.98M
14.33%-343.35M
16.10%-275.35M
-100.75%-554.72M
-71.40%-476.75M
-71.95%-400.78M
-59.84%-328.18M
-46.42%-276.33M
-67.18%-278.15M
-68.55%-233.08M
-67.17%-205.33M
-70.74%-188.73M
-66.84%-166.38M
-60.45%-138.29M
---122.83M
---110.53M
---99.72M
---86.19M
Kapitalrücklagen
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7.83%1.18B
7.70%1.16B
7.42%1.14B
34.63%1.12B
33.72%1.10B
53.01%1.08B
185.35%1.07B
124.99%830.44M
124.29%820.66M
94.74%706.71M
3.78%373.43M
3.14%369.10M
2.85%365.90M
2.41%362.90M
1.97%359.82M
--357.87M
--355.76M
--354.38M
--352.87M
Gewinne/Verluste ohne Auswirkung auf den Gewinnvortrag
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133.33%1.00M
75.00%-1.00M
75.00%-1.00M
100.00%0.00
69.39%-3.00M
44.78%-4.00M
14.16%-4.00M
-455.11%-7.00M
-10553.26%-9.80M
-15647.83%-7.24M
-232900.00%-4.66M
-2965.91%-1.26M
-213.58%-92.00K
-131.94%-46.00K
-100.69%-2.00K
-31.25%44.00K
52.83%81.00K
27.43%144.00K
893.10%288.00K
159.81%64.00K
149.07%53.00K
236.14%113.00K
129.90%29.00K
---107.00K
---108.00K
---83.00K
---97.00K
Gesamtes Eigenkapital
-24.89%531.00M
4.98%485.00M
8.65%565.00M
12.19%635.00M
17.83%707.00M
-29.68%462.00M
-25.58%520.00M
-24.27%566.00M
-24.68%600.00M
-21.92%657.00M
28.77%698.70M
23.63%747.39M
19.82%796.58M
67.52%841.45M
-0.33%542.61M
41.02%604.55M
372.70%664.79M
206.58%502.30M
207.19%544.42M
118.01%428.71M
-36.53%140.64M
-30.26%163.84M
-27.70%177.23M
-22.75%196.65M
-16.89%221.57M
--234.94M
--245.12M
--254.57M
--266.59M
Währungseinheit
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Prüfungsmeinungen
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