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nasdaq-gpcr
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Structure Therapeutics Inc
GPCR
23.580
USD
+0.350
+1.51%
Cierre 09/19, 16:00(ET)
Cotizaciones retrasadas 15 min
USD
0.000
Fuera de horario (ET)
4.07B
Cap. mercado
Pérdida
P/E TTM
Structure Therapeutics Inc
23.580
+0.350
+1.51%
Descripción general
Compañía
Finanzas
Análisis
Informes
Cuenta de resultados
Balance general
Estado de flujo de efectivo
Descripción general
Compañía
Finanzas
Análisis
Informes
Cuenta de resultados
Balance general
Estado de flujo de efectivo
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
-15.17%
786.50M
91.75%
836.88M
89.06%
883.52M
345.56%
915.29M
312.81%
927.12M
81.20%
436.45M
414.44%
467.32M
99.92%
205.42M
--
224.59M
--
240.86M
--
90.84M
--
102.75M
Efectivo y equivalentes de efectivo
-61.47%
147.02M
55.49%
152.12M
30.60%
169.51M
239.94%
172.13M
840.18%
381.63M
-22.66%
97.83M
397.46%
129.79M
80.25%
50.64M
--
40.59M
--
126.49M
--
26.09M
--
28.09M
-Inversiones a corto plazo
17.23%
639.47M
102.22%
684.76M
111.54%
714.01M
380.11%
743.16M
196.47%
545.49M
196.07%
338.62M
421.28%
337.53M
107.33%
154.79M
--
184.00M
--
114.37M
--
64.75M
--
74.66M
Gastos prepago
21.90%
12.80M
-1.32%
12.74M
22.40%
7.69M
84.45%
8.37M
188.91%
10.50M
143.93%
12.91M
179.58%
6.29M
124.95%
4.54M
--
3.63M
--
5.29M
--
2.25M
--
2.02M
Otros activos corrientes
--
0.00
--
0.00
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Total de activos corrientes
-14.75%
799.30M
89.07%
849.62M
88.17%
891.21M
339.92%
923.65M
310.84%
937.62M
82.55%
449.36M
408.77%
473.61M
100.41%
209.96M
--
228.22M
--
246.16M
--
93.09M
--
104.77M
Activos no corrientes
Activos fijos netos
44.33%
10.94M
38.54%
10.83M
-16.15%
7.01M
27.77%
7.74M
549.14%
7.58M
586.39%
7.82M
546.87%
8.36M
342.41%
6.06M
--
1.17M
--
1.14M
--
1.29M
--
1.37M
-Activos fijos
--
--
--
--
-3.99%
8.65M
37.30%
9.11M
422.58%
8.68M
457.38%
8.68M
448.60%
9.01M
302.73%
6.63M
--
1.66M
--
1.56M
--
1.64M
--
1.65M
-Depreciación acumulada
--
--
--
--
154.04%
1.64M
138.29%
1.36M
122.72%
1.10M
106.68%
866.00K
84.53%
644.00K
106.50%
572.00K
--
493.00K
--
419.00K
--
349.00K
--
277.00K
Otros activos no actuales
239.65%
6.20M
12870.21%
6.10M
11246.67%
5.11M
420.57%
1.82M
4705.26%
1.83M
-20.34%
47.00K
-98.70%
45.00K
-84.57%
350.00K
--
38.00K
--
59.00K
--
3.46M
--
2.27M
Total de activos no actuales
82.24%
17.14M
115.22%
16.93M
44.12%
12.12M
49.21%
9.57M
680.10%
9.41M
556.51%
7.87M
76.81%
8.41M
76.17%
6.41M
--
1.21M
--
1.20M
--
4.76M
--
3.64M
Total de activos
-13.79%
816.44M
89.52%
866.55M
87.41%
903.33M
331.31%
933.22M
312.78%
947.03M
84.85%
457.23M
392.63%
482.02M
99.59%
216.37M
--
229.43M
--
247.35M
--
97.84M
--
108.41M
Pasivos
Pasivos corrientes
-Otros por pagar
-62.91%
1.23M
125.61%
2.60M
223.99%
3.61M
131.83%
3.34M
142.17%
3.31M
75.08%
1.15M
145.15%
1.11M
892.41%
1.44M
--
1.37M
--
658.00K
--
454.00K
--
145.00K
Gastos acumulados
69.03%
26.15M
62.20%
22.71M
32.79%
22.69M
42.08%
19.80M
100.96%
15.47M
173.04%
14.00M
179.55%
17.09M
136.04%
13.94M
--
7.70M
--
5.13M
--
6.11M
--
5.90M
Deuda a corto plazo y pasivos por arrendamiento
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
0.00
--
--
--
--
Otros pasivos corrientes
-62.91%
1.23M
125.61%
2.60M
223.99%
3.61M
131.83%
3.34M
142.17%
3.31M
75.08%
1.15M
145.15%
1.11M
892.41%
1.44M
--
1.37M
--
658.00K
--
454.00K
--
145.00K
Total pasivos corrientes
72.26%
39.03M
54.70%
36.49M
45.60%
36.02M
66.41%
33.43M
50.93%
22.66M
114.38%
23.59M
90.16%
24.74M
64.29%
20.09M
--
15.01M
--
11.00M
--
13.01M
--
12.23M
Pasivos no corrientes
Provisiones a largo plazo
--
--
--
--
--
--
9.96%
309.00K
--
293.00K
--
296.00K
--
298.00K
--
281.00K
--
--
--
--
--
--
--
--
Deuda a largo plazo y pasivos por arrendamiento
64.60%
5.01M
45.13%
5.12M
-46.08%
2.16M
-11.90%
2.67M
--
3.04M
--
3.52M
--
4.01M
--
3.03M
--
0.00
--
0.00
--
0.00
--
0.00
-Pasivos por arrendamiento a largo plazo
64.60%
5.01M
45.13%
5.12M
-46.08%
2.16M
-11.90%
2.67M
--
3.04M
--
3.52M
--
4.01M
--
3.03M
--
--
--
--
--
--
--
--
Otros pasivos no corrientes
8.19%
317.00K
4.05%
308.00K
1.34%
302.00K
9.96%
309.00K
--
293.00K
--
296.00K
--
298.00K
144.35%
281.00K
--
--
--
--
--
0.00
--
115.00K
Total pasivos no corrientes
59.65%
5.33M
41.95%
5.42M
-42.80%
2.47M
-10.05%
2.98M
--
3.34M
--
3.82M
--
4.31M
2782.61%
3.31M
--
--
--
--
--
0.00
--
115.00K
Total pasivos
70.64%
44.36M
52.92%
41.91M
32.48%
38.49M
55.58%
36.42M
73.16%
26.00M
149.11%
27.41M
123.30%
29.05M
89.61%
23.41M
--
15.01M
--
11.00M
--
13.01M
--
12.34M
Capital de los accionistas
Capital ordinario
2.47%
1.21B
81.09%
1.20B
81.03%
1.19B
216.13%
1.19B
216.39%
1.18B
78.51%
662.52M
34188.09%
659.02M
28794.77%
375.34M
--
373.01M
--
371.13M
--
1.92M
--
1.30M
Ganancias retenidas
-69.19%
-437.59M
-61.62%
-375.93M
-59.31%
-329.10M
-60.72%
-292.62M
-63.48%
-258.64M
-72.40%
-232.61M
-76.63%
-206.57M
-73.27%
-182.07M
--
-158.21M
--
-134.93M
--
-116.95M
--
-105.08M
Reservas de capital
2.47%
1.21B
81.09%
1.20B
81.03%
1.19B
216.14%
1.19B
216.39%
1.18B
78.51%
662.50M
34205.21%
659.00M
28816.18%
375.33M
--
373.00M
--
371.12M
--
1.92M
--
1.30M
Pérdidas de ganancias que no afectan a las ganancias retenidas
174.33%
362.00K
1005.56%
815.00K
75.43%
914.00K
1015.81%
2.84M
-24.87%
-487.00K
-161.22%
-90.00K
573.64%
521.00K
-129.63%
-310.00K
--
-390.00K
--
147.00K
--
-110.00K
--
-135.00K
Capital total
-16.17%
772.08M
91.86%
824.64M
90.93%
864.84M
364.75%
896.80M
329.56%
921.03M
81.86%
429.82M
433.94%
452.97M
100.87%
192.96M
--
214.41M
--
236.35M
--
84.83M
--
96.06M
Unidad monetaria
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Opiniones de evaluación
--
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--
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--
--
--
--
--
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