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PAVmed Inc

PAVM
添加自选
4.950USD
-0.070-1.39%
收盘 07-31 16:00美东报价延迟15分钟
35.44M总市值
亏损市盈率 TTM

PAVM 财务数据

通过专为投资者打造的一站式数据看板,全面查看 PAVmed Inc 的财务状况。平台将复杂的财务报表整理为可自定义的视图,助您更轻松地进行财务分析。您可以查看最新年度财务报告,也可以通过利润表、资产负债表和现金流量表,按季度分析公司表现。借助实时财务指标,持续追踪公司的经营状况和市场表现更加便捷。

PAVmed Inc财报日历

最新发布
8月 14, 2026
每股收益 / 预测值
--/-0.47
营业收入 / 预测值
--/48.00K
报告期
FY2025 财报
营业收入(YoY)
71.00K
-97.63%
每股收益(YoY)
-168.87
-270.32%
分析师评级
BUY
2026/07/31
单季报
单季报+年报
单季报
年报
YOY
隐藏空白行
FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
财务指标
每股收益
-446.66%-4.42
-1746.26%-2.05
-237.01%-8.81
38.25%-0.74
148.66%1.28
106.27%0.12
370.29%6.43
43.26%-1.19
5.78%-2.62
40.05%-1.98
45.68%-2.38
---2.10
---2.78
---3.31
---4.38
----
----
----
----
----
营业收入
175.00%22.00K
420.00%52.00K
-99.50%5.00K
-99.39%6.00K
-99.21%8.00K
-99.05%10.00K
25.92%996.00K
489.76%979.00K
126.46%1.01M
836.61%1.05M
940.79%791.00K
--166.00K
135.98%446.00K
-62.67%112.00K
-62.00%76.00K
--0.00
--189.00K
--300.00K
--200.00K
----
净利润
-139.49%-6.99M
-236.11%-1.83M
-109.84%-6.33M
-22.00%-13.31M
177.65%17.70M
108.46%1.35M
462.38%64.32M
25.35%-10.91M
-26.56%-22.79M
22.54%-15.90M
32.25%-17.75M
42.91%-14.61M
-6.29%-18.00M
-18.79%-20.53M
-113.09%-26.20M
-121.70%-25.59M
-78.20%-16.94M
-96.15%-17.29M
-121.23%-12.29M
-104.37%-11.54M
利润率
-102.08%-4836.36%
-146.43%-5301.92%
-2072.28%-120220.00%
-13383.08%-205400.00%
12800.70%232787.50%
788.17%11420.00%
321.68%6095.48%
85.87%-1523.39%
63.20%-1832.87%
92.44%-1659.49%
93.02%-2749.68%
---10778.31%
---4980.72%
---21939.29%
---39384.21%
----
----
----
----
----
毛利率
2.60%-340.91%
83.30%-63.46%
-2032.76%-1000.00%
-621.06%-583.33%
-219.62%-350.00%
-273.59%-380.00%
75.16%-46.89%
93.37%-80.90%
65.24%-109.50%
94.34%-101.72%
93.02%-188.75%
---1219.28%
---315.02%
---1796.43%
---2703.95%
----
----
----
----
----
资产负债率
162.56%32.81%
-69.87%28.60%
-82.72%18.12%
-86.12%15.49%
-89.78%12.49%
-28.88%94.91%
-2.02%104.91%
39.41%111.64%
80.15%122.24%
114.09%133.46%
118.55%107.07%
--80.08%
--67.86%
--62.34%
--48.99%
----
----
----
----
----
营业收入
175.00%22.00K
420.00%52.00K
-99.50%5.00K
-99.39%6.00K
-99.21%8.00K
-99.05%10.00K
25.92%996.00K
489.76%979.00K
126.46%1.01M
836.61%1.05M
940.79%791.00K
--166.00K
135.98%446.00K
-62.67%112.00K
-62.00%76.00K
--0.00
--189.00K
--300.00K
--200.00K
----
营业利润
-47.54%-8.04M
-35.36%-7.02M
58.16%-4.84M
65.54%-4.71M
61.20%-5.45M
68.34%-5.19M
25.44%-11.58M
16.99%-13.68M
31.20%-14.04M
33.14%-16.38M
33.39%-15.53M
29.81%-16.48M
-3.90%-20.40M
-24.52%-24.50M
-70.57%-23.31M
-81.06%-23.48M
-143.10%-19.64M
-160.44%-19.68M
-147.25%-13.67M
-158.68%-12.97M
净利润
-139.49%-6.99M
-236.11%-1.83M
-109.84%-6.33M
-22.00%-13.31M
177.65%17.70M
108.46%1.35M
462.38%64.32M
25.35%-10.91M
-26.56%-22.79M
22.54%-15.90M
32.25%-17.75M
42.91%-14.61M
-6.29%-18.00M
-18.79%-20.53M
-113.09%-26.20M
-121.70%-25.59M
-78.20%-16.94M
-96.15%-17.29M
-121.23%-12.29M
-104.37%-11.54M
流动资产
103.79%7.41M
18.16%2.56M
96.76%4.19M
-81.83%5.49M
-87.70%3.64M
-91.17%2.16M
-93.44%2.13M
-29.96%30.21M
-45.07%29.57M
-44.23%24.50M
-47.63%32.46M
-39.10%43.13M
-24.17%53.84M
-46.84%43.93M
48.52%61.98M
52.83%70.81M
40.58%71.00M
336.29%82.64M
326.71%41.73M
468.26%46.34M
流动负债总额
-62.54%3.66M
-58.14%14.84M
-72.15%10.46M
-80.32%10.51M
-82.22%9.78M
-34.57%35.45M
-31.09%37.56M
5.13%53.39M
8.84%55.02M
31.50%54.18M
30.05%54.51M
30.66%50.78M
188.95%50.55M
445.12%41.20M
440.72%41.91M
629.08%38.87M
425.47%17.49M
-62.68%7.56M
-69.20%7.75M
-75.25%5.33M
总资产
-14.02%45.42M
26.59%38.81M
24.61%38.07M
11.37%43.89M
41.79%52.82M
-7.42%30.66M
-27.30%30.55M
-26.58%39.41M
-42.94%37.25M
-38.65%33.12M
-42.01%42.02M
-34.89%53.68M
-22.59%65.29M
-37.94%53.98M
68.58%72.47M
74.06%82.45M
64.17%84.33M
339.76%86.98M
309.23%42.98M
433.34%47.37M
总负债
71.82%20.43M
-56.19%16.51M
-69.25%12.28M
-78.51%12.47M
-79.44%11.89M
-34.03%37.69M
-30.96%39.94M
6.50%58.05M
6.14%57.83M
32.73%57.14M
31.75%57.85M
32.80%54.51M
177.96%54.48M
469.54%43.05M
466.49%43.91M
670.02%41.05M
488.80%19.60M
-62.68%7.56M
-69.32%7.75M
-75.42%5.33M
总权益
-38.95%24.99M
417.08%22.30M
374.71%25.79M
268.54%31.42M
298.94%40.93M
70.72%-7.03M
40.69%-9.39M
-2146.02%-18.64M
-290.44%-20.57M
-319.66%-24.02M
-155.43%-15.83M
-102.00%-830.00K
-83.31%10.80M
-86.23%10.93M
-18.95%28.56M
-1.51%41.40M
34.75%64.73M
16890.27%79.42M
338.70%35.23M
428.31%42.04M
经营净额
-65.72%-2.62M
-1750.00%-1.55M
89.91%-896.00K
89.89%-1.18M
87.94%-1.58M
100.79%94.00K
19.89%-8.88M
8.84%-11.66M
19.88%-13.11M
29.42%-11.87M
42.67%-11.09M
43.32%-12.79M
-33.43%-16.36M
-0.27%-16.82M
-141.22%-19.34M
-240.34%-22.56M
-33.76%-12.26M
-149.36%-16.78M
-37.29%-8.02M
-19.32%-6.63M
投资净额
-266.67%-22.00K
-250.00%-14.00K
99.98%-3.00K
-166.67%-8.00K
85.71%-6.00K
97.81%-4.00K
-89538.89%-16.14M
80.00%-3.00K
-104.31%-42.00K
38.59%-183.00K
98.63%-18.00K
99.41%-15.00K
269.69%974.00K
91.18%-298.00K
-874.81%-1.32M
-1419.05%-2.55M
-1494.44%-574.00K
-42112.50%-3.38M
-4400.00%-135.00K
-300.00%-168.00K
融资净额
143.84%7.56M
-100.00%0.00
-100.70%-2.00K
-78.58%2.49M
-83.71%3.10M
-93.76%330.00K
-19.32%284.00K
1599.12%11.62M
-23.58%19.05M
6510.00%5.29M
-97.14%352.00K
-97.32%684.00K
7787.34%24.92M
-99.87%80.00K
438.05%12.29M
1648.36%25.53M
-99.22%316.00K
282.64%60.07M
-67.63%2.28M
-63.00%1.46M

常见问题

PAVmed Inc的总收入是多少?

根据PAVmed Inc的FY2025财报,总收入达到了71.00K(同比变化2.99M)。

PAVmed Inc的流动资产是多少?

根据PAVmed Inc的FY2025财报,流动资产为2.56M(同比变化18.16)。

PAVmed Inc的总资产是多少?

根据PAVmed Inc的FY2025财报,PAVmed Inc的总资产为38.81M(同比变化26.59)。

PAVmed Inc的总负债是多少?

根据PAVmed Inc的FY2025财报,PAVmed Inc的总负债为16.51M(同比变化-56.19)。

PAVmed Inc的总权益是多少?

根据PAVmed Inc的FY2025财报,PAVmed Inc的总权益为22.30M(同比变化417.08)。

PAVmed Inc的净营业收入是多少?

根据PAVmed Inc的FY2025财报,PAVmed Inc的净营业收入为-22.02M(同比变化50.49)。

PAVmed Inc的净投资是多少?

根据PAVmed Inc的FY2025财报,PAVmed Inc的净投资为-31.00K(同比变化99.81)。

PAVmed Inc的净融资是多少?

根据PAVmed Inc的FY2025财报,PAVmed Inc的净融资为5.59M(同比变化-82.13)。

PAVmed Inc的每股收益(EPS)是多少?

根据PAVmed Inc的FY2025财报,每股收益(EPS)为-168.87(同比变化-270.32)。

PAVmed Inc的净利润是多少?

根据PAVmed Inc的FY2025财报,净利润为-3.77M(同比变化-111.81)。

PAVmed Inc的净利润率是多少?

根据PAVmed Inc的FY2025财报,净利润率为-3477.46(同比变化-466.38)。

PAVmed Inc的毛利率是多少?

根据PAVmed Inc的FY2025财报,毛利率为-207.04(同比变化-157.94)。

PAVmed Inc的债务与资产比率是多少?

根据PAVmed Inc的FY2025财报,债务与资产比率为28.60(同比变化-69.87)。

PAVmed Inc的资产回报率(ROA)是多少?

根据PAVmed Inc的FY2025财报,资产回报率(ROA)为-7.11(同比变化-107.97)。

PAVmed Inc的营业利润是多少?

根据PAVmed Inc的FY2025财报,营业利润为-22.02M(同比变化50.49)。
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