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Pharvaris NV
Nakaraang pagsara
$16.05
Sakop ng araw
$15.99 - $17.19
Sakop ng taon
$11.51 - $25.50
Market cap
903.55M USD
Average na Volume
108.20K
P/E ratio
-
Dividend yield
-
Primary exchange
NASDAQ
Sa balita
Mga Financial
Income Statement
Kita
Net na kita
(EUR) | Mar 2025info | Y/Y na pagbabago |
---|---|---|
Kita | — | — |
Gastos sa pagpapatakbo | 42.19M | 49.01% |
Net na kita | -46.34M | -65.39% |
Net profit margin | — | — |
Kita sa bawat share | -0.85 | -63.46% |
EBITDA | -42.14M | -49.20% |
Aktuwal na % ng binabayarang buwis | -0.66% | — |
Balance Sheet
Kabuuang asset
Kabuuang sagutin
(EUR) | Mar 2025info | Y/Y na pagbabago |
---|---|---|
Cash at mga panandaliang investment | 236.50M | -35.79% |
Kabuuang asset | 248.06M | -34.30% |
Kabuuang sagutin | 22.73M | 23.33% |
Kabuuang equity | 225.34M | — |
Natitirang share | 54.49M | — |
Presyo para makapag-book | 3.88 | — |
Return on assets | -39.10% | — |
Return on capital | -42.64% | — |
Cash Flow
Net change in cash
(EUR) | Mar 2025info | Y/Y na pagbabago |
---|---|---|
Net na kita | -46.34M | -65.39% |
Cash mula sa mga operasyon | -38.47M | -58.76% |
Cash mula sa pag-invest | -161.00K | -424.30% |
Cash mula sa financing | -75.45K | -109.49% |
Net change in cash | -44.23M | -93.24% |
Malayang cash flow | -24.06M | -81.61% |
Tungkol
Itinatag
2015
Website
Mga Empleyado
119