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Pharvaris NV

PHVS
21.780USD
+0.820+3.91%
Cierre 10/15, 16:00ETCotizaciones retrasadas 15 min
1.19BCap. mercado
PérdidaP/E TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2025Q2
FY2025Q1
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
-45.20%170.97M
-38.31%211.46M
93.76%288.93M
91.56%312.00M
179.05%342.80M
145.37%364.21M
-20.39%149.11M
-18.16%162.87M
-33.71%122.85M
-21.41%148.43M
-1.65%187.31M
5.31%199.01M
-5.22%185.31M
132.04%188.86M
447.48%190.45M
--188.98M
--195.51M
--81.39M
--34.79M
Efectivo y equivalentes de efectivo
-45.20%170.97M
-38.31%211.46M
93.76%288.93M
91.56%312.00M
179.05%342.80M
145.37%364.21M
-20.39%149.11M
-18.16%162.87M
-33.71%122.85M
-21.41%148.43M
-1.65%187.31M
5.31%199.01M
-5.22%185.31M
132.04%188.86M
447.48%190.45M
--188.98M
--195.51M
--81.39M
--34.79M
Por cobrar
52.10%2.22M
201.39%2.36M
731.79%2.58M
381.43%1.46M
118.97%784.18K
175.73%967.25K
-18.84%310.73K
-7.37%303.85K
-43.73%358.13K
-44.46%350.79K
-30.51%382.87K
-45.37%328.02K
43.33%636.49K
34.37%631.56K
119.58%550.94K
--600.48K
--444.07K
--470.03K
--250.91K
-Cuentas y pagarés por cobrar
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-100.00%0.00
--490.72
--7.83K
--6.32K
--7.62K
----
----
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-Otros por cobrar
-2.67%455.44K
54.30%521.39K
110.10%610.99K
--467.95K
--337.90K
--394.23K
--290.81K
----
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----
----
----
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--34.54
----
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Gastos prepago
-4.33%5.14M
-7.61%6.30M
-51.33%4.12M
-30.68%5.38M
-30.94%6.81M
24.48%4.62M
148.42%8.47M
96.64%7.76M
117.86%9.87M
172.71%3.71M
15.75%3.41M
10.80%3.94M
10.33%4.53M
204.84%1.36M
603.94%2.94M
--3.56M
--4.11M
--446.20K
--418.31K
Otros activos corrientes
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----
-100.00%0.00
----
-64.67%252.27K
-25.20%577.93K
32.40%1.09M
52.27%1.03M
29.92%714.09K
381.83%772.62K
672.45%826.76K
641.27%675.71K
544.48%549.65K
-85.19%160.35K
-49.38%107.03K
--91.16K
--85.29K
--1.08M
--211.46K
Total de activos corrientes
-44.07%178.34M
-37.23%220.12M
85.95%295.63M
85.42%318.84M
162.10%350.65M
141.65%370.37M
-17.17%158.99M
-15.69%171.96M
-29.96%133.79M
-19.76%153.27M
-1.09%191.93M
5.55%203.96M
-4.56%191.02M
129.06%191.01M
444.07%194.05M
--193.23M
--200.14M
--83.39M
--35.67M
Activos no corrientes
Activos fijos netos
221.71%1.15M
244.81%1.35M
32.77%620.02K
-29.26%356.46K
-25.78%391.78K
-26.19%424.10K
30.43%467.00K
44.62%503.89K
58.67%527.88K
81.27%574.56K
14.04%358.04K
14.62%348.41K
630.62%332.69K
691.89%316.96K
765.10%313.97K
--303.96K
--45.53K
--40.03K
--36.29K
-Activos fijos
181.05%1.41M
202.65%1.59M
39.33%793.19K
-14.52%502.97K
-12.56%524.19K
-14.79%540.82K
39.34%569.29K
50.67%588.40K
64.17%599.50K
86.14%634.66K
25.88%408.57K
23.36%390.51K
569.21%365.17K
639.08%340.96K
696.62%324.57K
--316.55K
--54.57K
--46.13K
--40.74K
-Depreciación acumulada
82.14%266.86K
77.91%235.58K
69.29%173.17K
73.38%146.52K
84.87%132.41K
94.20%116.71K
102.45%102.29K
100.75%84.51K
120.45%71.62K
150.40%60.10K
376.61%50.53K
234.28%42.10K
259.68%32.49K
292.98%24.00K
138.20%10.60K
--12.59K
--9.03K
--6.11K
--4.45K
Otros activos no actuales
-18.93%255.18K
-9.69%332.91K
--230.88K
--314.77K
--368.63K
--360.76K
----
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---0.90
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Total de activos no actuales
108.86%1.40M
121.43%1.68M
82.20%850.89K
33.21%671.23K
44.05%760.41K
36.60%784.86K
30.43%467.00K
44.62%503.89K
58.67%527.88K
81.27%574.56K
14.04%358.04K
14.62%348.41K
630.62%332.69K
691.89%316.96K
765.10%313.97K
--303.96K
--45.53K
--40.03K
--36.29K
Total de activos
-43.75%179.74M
-36.88%221.80M
85.94%296.48M
85.26%319.51M
161.63%351.41M
141.26%371.15M
-17.08%159.45M
-15.59%172.46M
-29.81%134.32M
-19.59%153.84M
-1.07%192.29M
5.57%204.31M
-4.41%191.35M
129.33%191.33M
444.39%194.36M
--193.53M
--200.19M
--83.43M
--35.70M
Pasivos
Pasivos corrientes
-Otros por pagar
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--0.00
--0.00
--0.00
--0.00
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--0.00
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Gastos acumulados
15.41%16.62M
35.73%15.35M
5.71%11.43M
54.71%14.40M
25.89%11.31M
3.15%10.30M
12.68%10.81M
4.88%9.31M
44.51%8.98M
159.31%9.99M
202.08%9.60M
165.73%8.88M
83.19%6.22M
4.50%3.85M
148.05%3.18M
--3.34M
--3.39M
--3.69M
--1.28M
Deuda a corto plazo y pasivos por arrendamiento
57.71%138.39K
55.20%174.00K
-48.82%94.14K
-57.68%87.75K
-45.92%112.11K
5.80%181.85K
72.92%183.94K
89.41%207.34K
113.98%207.31K
91.62%171.88K
18.68%106.37K
34.47%109.47K
--96.88K
--89.70K
--89.63K
--81.41K
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-Pasivos por arrendamiento a corto plazo
57.71%138.39K
55.20%174.00K
-48.82%94.14K
-57.68%87.75K
-45.92%112.11K
5.80%181.85K
72.92%183.94K
89.41%207.34K
113.98%207.31K
91.62%171.88K
18.68%106.37K
34.47%109.47K
--96.88K
--89.70K
--89.63K
--81.41K
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Otros pasivos corrientes
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--0.00
--0.00
--0.00
--0.00
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--0.00
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Total pasivos corrientes
23.92%21.42M
16.08%19.83M
2.14%15.50M
19.58%17.28M
1.65%17.08M
-18.67%13.59M
-9.63%15.17M
-8.97%14.45M
74.57%16.81M
165.22%16.72M
157.20%16.79M
157.91%15.88M
38.86%9.63M
43.73%6.30M
80.39%6.53M
--6.16M
--6.93M
--4.39M
--3.62M
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-Deuda a largo plazo
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--0.00
--0.00
--0.00
--0.00
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--0.00
----
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Otros pasivos no corrientes
----
----
----
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--0.00
--0.00
--0.00
--0.00
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--0.00
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Total pasivos no corrientes
919.07%404.87K
649.90%488.54K
-81.67%16.57K
-60.37%39.73K
-54.74%65.15K
-82.27%40.55K
10.28%90.40K
-0.63%100.26K
23.50%143.95K
68.21%228.76K
-45.12%81.98K
-36.73%100.89K
--116.55K
--136.00K
--149.39K
--159.47K
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Total pasivos
25.97%21.82M
18.49%20.32M
1.64%15.51M
19.03%17.32M
1.17%17.15M
-19.53%13.63M
-9.53%15.26M
-8.92%14.55M
73.96%16.95M
163.17%16.94M
152.67%16.87M
153.00%15.98M
40.54%9.74M
46.83%6.44M
84.52%6.68M
--6.32M
--6.93M
--4.39M
--3.62M
Capital de los accionistas
Capital ordinario
-4.20%544.20M
-2.74%564.17M
75.45%593.99M
74.41%568.04M
117.48%580.09M
115.33%579.12M
22.18%338.56M
12.81%325.70M
-0.84%266.73M
5.45%268.95M
12.63%277.11M
21.35%288.72M
16.16%268.98M
123.52%255.05M
317.88%246.05M
--237.92M
--231.56M
--114.10M
--58.88M
Ganancias retenidas
-43.77%-424.01M
-46.62%-401.20M
-58.52%-347.20M
-55.35%-294.92M
-61.15%-273.63M
-64.39%-247.55M
-85.10%-219.03M
-65.27%-189.84M
-72.29%-169.80M
-90.63%-150.59M
-80.91%-118.33M
-106.79%-114.87M
-136.81%-98.56M
-115.31%-79.00M
-133.68%-65.41M
---55.55M
---41.62M
---36.69M
---27.99M
Reservas de capital
-4.20%538.57M
-2.74%558.32M
76.03%587.83M
74.99%562.16M
118.24%574.07M
116.14%573.27M
22.20%333.93M
12.83%321.24M
-0.81%263.04M
5.48%265.23M
12.65%273.27M
21.38%284.71M
16.16%265.20M
120.76%251.46M
313.03%242.58M
--234.57M
--228.30M
--113.91M
--58.73M
Pérdidas de ganancias que no afectan a las ganancias retenidas
-664.37%-216.05K
-59.05%8.02K
-594.21%-54.83K
192.38%38.28K
68.66%19.59K
-134.19%-13.58K
-92.40%11.09K
124.32%13.09K
-64.72%11.61K
69.75%39.70K
11698.23%146.01K
-2275.87%-53.84K
1388.07%32.93K
749.35%23.39K
-520.54%-1.26K
---2.27K
---2.56K
---3.60K
--299.36
Capital total
-47.74%157.92M
-39.72%201.48M
94.86%280.97M
91.37%302.19M
184.81%334.27M
161.16%357.52M
-17.80%144.19M
-16.15%157.91M
-35.38%117.36M
-25.96%136.90M
-6.54%175.42M
0.60%188.33M
-6.03%181.61M
133.91%184.89M
484.98%187.69M
--187.22M
--193.25M
--79.04M
--32.08M
Unidad monetaria
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Opiniones de evaluación
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