美股市場個股詳情

IMTX Immatics

添加自選
  • 12.130
  • +1.100+9.97%
收盤價 06/03 16:00 (美東)
  • 12.590
  • +0.460+3.79%
盤後 18:47 (美東)
12.50億總市值-11347市盈率TTM

Immatics關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
資產
流動資產
現金及現金等價物和短期投資
70.99%5.64億
17.58%4.26億
17.58%4.26億
18.33%3.66億
7.17%3.48億
30.49%3.3億
149.60%3.62億
149.60%3.62億
78.58%3.09億
68.24%3.24億
-現金和現金等價物
3.54%1.22億
47.10%2.18億
47.10%2.18億
-53.13%8,344.6萬
-50.81%1.3億
-52.32%1.18億
11.67%1.49億
11.67%1.49億
10.39%1.78億
65.61%2.65億
-短期投資
108.53%4.42億
-2.93%2.07億
-2.93%2.07億
115.23%2.83億
266.60%2.17億
3,803.72%2.12億
1,662.65%2.14億
1,662.65%2.14億
1,001.40%1.31億
81.14%5,925.3萬
應收款項
188.53%342.2萬
167.83%573.7萬
167.83%573.7萬
-30.27%138.9萬
-29.33%193.5萬
-54.33%118.6萬
-9.20%214.2萬
-9.20%214.2萬
-36.78%199.2萬
2.01%273.8萬
-應收賬款
671.00%178.1萬
268.41%409.3萬
268.41%409.3萬
-54.87%51.4萬
-65.66%33萬
-68.87%23.1萬
62.90%111.1萬
62.90%111.1萬
57.10%113.9萬
33.84%96.1萬
-應收稅費
71.83%164.1萬
59.46%164.4萬
59.46%164.4萬
2.58%87.5萬
69.48%160.5萬
-11.49%95.5萬
12.68%103.1萬
12.68%103.1萬
-49.26%85.3萬
-23.63%94.7萬
-其他應收款
----
----
----
----
----
----
----
----
----
14.33%83萬
預付費用
5.79%1,058.9萬
1.62%1,061.9萬
1.62%1,061.9萬
21.24%1,082.1萬
45.23%954.6萬
185.64%1,000.9萬
176.38%1,045萬
176.38%1,045萬
234.77%892.5萬
260.96%657.3萬
其他流動資產
157.87%1,043.6萬
202.04%711.9萬
202.04%711.9萬
228.98%677.7萬
136.17%551.7萬
277.17%404.7萬
148.11%235.7萬
148.11%235.7萬
86.43%206萬
129.24%233.6萬
流動資產合計
70.52%5.88億
19.15%4.49億
19.15%4.49億
19.45%3.85億
8.51%3.65億
32.76%3.45億
147.79%3.77億
147.79%3.77億
78.93%3.22億
69.42%3.36億
非流動資產
固定資產淨額
108.97%6,185.4萬
115.39%5,705.5萬
115.39%5,705.5萬
85.99%4,914.9萬
59.54%4,193.7萬
47.28%2,960萬
29.29%2,648.9萬
29.29%2,648.9萬
57.49%2,642.5萬
63.68%2,628.7萬
-固定資產
108.97%6,185.4萬
70.15%7,992萬
70.15%7,992萬
85.99%4,914.9萬
59.54%4,193.7萬
47.28%2,960萬
24.45%4,697.1萬
24.45%4,697.1萬
57.49%2,642.5萬
63.68%2,628.7萬
-累計折舊
----
-11.63%-2,286.5萬
-11.63%-2,286.5萬
----
----
----
-18.70%-2,048.2萬
-18.70%-2,048.2萬
----
----
商譽及其他無形資產
-4.09%150.1萬
-6.68%152.3萬
-6.68%152.3萬
5.90%163.3萬
26.43%165.5萬
21.60%156.5萬
24.11%163.2萬
24.11%163.2萬
20.75%154.2萬
3.72%130.9萬
-其他無形資產
----
-6.68%152.3萬
-6.68%152.3萬
----
----
----
24.11%163.2萬
24.11%163.2萬
----
----
長期預付費用
-53.97%76.5萬
-25.81%141.4萬
-25.81%141.4萬
-69.55%104.8萬
-70.82%136.5萬
--166.2萬
199.69%190.6萬
199.69%190.6萬
--344.2萬
--467.8萬
其他非流動資產
0.33%60.8萬
-5.63%60.3萬
-5.63%60.3萬
6.98%61.3萬
--60.7萬
-31.06%60.6萬
--63.9萬
--63.9萬
-20.31%57.3萬
----
非流動資產合計
93.61%6,472.8萬
97.60%6,059.5萬
97.60%6,059.5萬
63.98%5,244.3萬
41.18%4,556.4萬
50.17%3,343.3萬
36.66%3,066.6萬
36.66%3,066.6萬
70.34%3,198.2萬
77.65%3,227.4萬
總資產
72.56%6.53億
25.05%5.1億
25.05%5.1億
23.47%4.37億
11.37%4.1億
34.13%3.78億
133.51%4.08億
133.51%4.08億
78.12%3.54億
70.11%3.68億
負債
流動負債
應付款項
22.70%1,347.2萬
32.13%1,552.4萬
32.13%1,552.4萬
-23.25%1,223.8萬
-21.70%1,161.1萬
-20.04%1,098萬
146.36%1,174.9萬
146.36%1,174.9萬
30.61%1,594.6萬
52.83%1,482.9萬
-應付賬款
29.11%608.1萬
90.46%766.6萬
90.46%766.6萬
-52.02%615.5萬
-58.80%547.3萬
-64.60%471萬
33.77%402.5萬
33.77%402.5萬
8.33%1,282.8萬
41.21%1,328.4萬
-應付稅費
17.88%739.1萬
1.73%785.8萬
1.73%785.8萬
95.09%608.3萬
297.28%613.8萬
1,364.95%627萬
338.86%772.4萬
338.86%772.4萬
749.59%311.8萬
421.96%154.5萬
應計費用
49.20%1,596萬
80.62%1,754萬
80.62%1,754萬
1,333.65%1,495.3萬
1,225.88%1,583.1萬
955.97%1,069.7萬
5.30%971.1萬
5.30%971.1萬
16.54%104.3萬
16.94%119.4萬
現行撥備
----
----
----
10.96%485.1萬
9.06%311.7萬
8.97%153.1萬
----
----
42.18%437.2萬
45.82%285.8萬
短期借款與租賃負債
12.60%276.2萬
20.61%260.4萬
20.61%260.4萬
15.06%278.9萬
12.68%273.7萬
-11.44%245.3萬
-20.36%215.9萬
-20.36%215.9萬
-6.77%242.4萬
4.65%242.9萬
-短期租賃負債
12.60%276.2萬
20.61%260.4萬
20.61%260.4萬
15.06%278.9萬
12.68%273.7萬
-11.44%245.3萬
-20.36%215.9萬
-20.36%215.9萬
-6.77%242.4萬
4.65%242.9萬
遞延負債
49.03%9,652.5萬
54.57%1億
54.57%1億
-22.58%6,204.9萬
-13.26%6,799.7萬
5.41%6,477萬
28.88%6,495.7萬
28.88%6,495.7萬
29.53%8,015萬
35.17%7,839.4萬
其他流動負債
83.73%1,864.5萬
12.51%1,920.6萬
12.51%1,920.6萬
20.22%2,426.8萬
61.04%2,301.3萬
-11.69%1,014.8萬
-39.13%1,707萬
-39.13%1,707萬
-23.72%2,018.7萬
11,332.00%1,429萬
流動負債總額
48.25%1.49億
47.06%1.57億
47.06%1.57億
-2.40%1.21億
9.05%1.24億
9.50%1.01億
11.88%1.06億
11.88%1.06億
15.87%1.24億
55.88%1.14億
非流動負債
長期借款與租賃負債
-5.08%1,187.7萬
3.18%1,279.8萬
3.18%1,279.8萬
-1.34%1,367.1萬
0.72%1,408.5萬
92.77%1,251.3萬
73.66%1,240.3萬
73.66%1,240.3萬
215.08%1,385.7萬
195.27%1,398.4萬
-長期租賃負債
-5.08%1,187.7萬
3.18%1,279.8萬
3.18%1,279.8萬
-1.34%1,367.1萬
0.72%1,408.5萬
92.77%1,251.3萬
73.66%1,240.3萬
73.66%1,240.3萬
215.08%1,385.7萬
195.27%1,398.4萬
遞延負債
39.95%9,135.8萬
52.49%1.16億
52.49%1.16億
-46.85%5,486萬
-53.56%5,355.9萬
-3.70%6,527.9萬
57.09%7,575.9萬
57.09%7,575.9萬
97.61%1.03億
85.40%1.15億
其他非流動負債
----
-90.48%4,000
-90.48%4,000
-63.64%2萬
-55.93%2.6萬
-46.77%3.3萬
-38.24%4.2萬
-38.24%4.2萬
--5.5萬
--5.9萬
非流動負債總額
32.65%1.03億
45.49%1.28億
45.49%1.28億
-41.47%6,855.1萬
-47.69%6,767萬
4.69%7,782.5萬
59.11%8,820.4萬
59.11%8,820.4萬
106.83%1.17億
93.26%1.29億
總負債
41.44%2.52億
46.35%2.85億
46.35%2.85億
-21.37%1.9億
-21.11%1.92億
7.35%1.78億
29.27%1.95億
29.27%1.95億
47.33%2.41億
73.75%2.43億
所有者權益
股本
34.42%103.1萬
10.43%84.7萬
10.43%84.7萬
28.92%84.7萬
23.12%80.4萬
21.94%76.7萬
21.94%76.7萬
21.94%76.7萬
4.45%65.7萬
3.82%65.3萬
-普通股股本
34.42%103.1萬
10.43%84.7萬
10.43%84.7萬
28.92%84.7萬
23.12%80.4萬
21.94%76.7萬
21.94%76.7萬
21.94%76.7萬
4.45%65.7萬
3.82%65.3萬
留存收益
-15.44%-6億
-19.39%-5.97億
-19.39%-5.97億
-17.26%-5.71億
-16.85%-5.45億
-15.02%-5.2億
6.98%-5億
6.98%-5億
6.52%-4.87億
8.18%-4.66億
資本公積
39.03%10.01億
15.26%8.23億
15.26%8.23億
35.95%8.19億
28.70%7.63億
26.17%7.2億
26.36%7.14億
26.36%7.14億
7.46%6.02億
0.58%5.93億
不影響留存收益的損益
-41.77%-130萬
-10.47%-163.6萬
-10.47%-163.6萬
74.73%-71.2萬
56.23%-114.1萬
72.91%-91.7萬
62.46%-148.1萬
62.46%-148.1萬
42.29%-281.8萬
57.51%-260.7萬
股東權益總額
100.31%4.01億
5.59%2.25億
5.59%2.25億
119.16%2.48億
74.65%2.18億
72.51%2億
785.86%2.13億
785.86%2.13億
221.50%1.13億
63.45%1.25億
總權益
100.31%4.01億
5.59%2.25億
5.59%2.25億
119.16%2.48億
74.65%2.18億
72.51%2億
785.86%2.13億
785.86%2.13億
221.50%1.13億
63.45%1.25億
貨幣單位
歐元
歐元
歐元
歐元
歐元
歐元
歐元
歐元
歐元
歐元
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
審計意見
--
無保留意見
--
--
--
--
--
--
--
--
(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30
資產
流動資產
現金及現金等價物和短期投資 70.99%5.64億17.58%4.26億17.58%4.26億18.33%3.66億7.17%3.48億30.49%3.3億149.60%3.62億149.60%3.62億78.58%3.09億68.24%3.24億
-現金和現金等價物 3.54%1.22億47.10%2.18億47.10%2.18億-53.13%8,344.6萬-50.81%1.3億-52.32%1.18億11.67%1.49億11.67%1.49億10.39%1.78億65.61%2.65億
-短期投資 108.53%4.42億-2.93%2.07億-2.93%2.07億115.23%2.83億266.60%2.17億3,803.72%2.12億1,662.65%2.14億1,662.65%2.14億1,001.40%1.31億81.14%5,925.3萬
應收款項 188.53%342.2萬167.83%573.7萬167.83%573.7萬-30.27%138.9萬-29.33%193.5萬-54.33%118.6萬-9.20%214.2萬-9.20%214.2萬-36.78%199.2萬2.01%273.8萬
-應收賬款 671.00%178.1萬268.41%409.3萬268.41%409.3萬-54.87%51.4萬-65.66%33萬-68.87%23.1萬62.90%111.1萬62.90%111.1萬57.10%113.9萬33.84%96.1萬
-應收稅費 71.83%164.1萬59.46%164.4萬59.46%164.4萬2.58%87.5萬69.48%160.5萬-11.49%95.5萬12.68%103.1萬12.68%103.1萬-49.26%85.3萬-23.63%94.7萬
-其他應收款 ------------------------------------14.33%83萬
預付費用 5.79%1,058.9萬1.62%1,061.9萬1.62%1,061.9萬21.24%1,082.1萬45.23%954.6萬185.64%1,000.9萬176.38%1,045萬176.38%1,045萬234.77%892.5萬260.96%657.3萬
其他流動資產 157.87%1,043.6萬202.04%711.9萬202.04%711.9萬228.98%677.7萬136.17%551.7萬277.17%404.7萬148.11%235.7萬148.11%235.7萬86.43%206萬129.24%233.6萬
流動資產合計 70.52%5.88億19.15%4.49億19.15%4.49億19.45%3.85億8.51%3.65億32.76%3.45億147.79%3.77億147.79%3.77億78.93%3.22億69.42%3.36億
非流動資產
固定資產淨額 108.97%6,185.4萬115.39%5,705.5萬115.39%5,705.5萬85.99%4,914.9萬59.54%4,193.7萬47.28%2,960萬29.29%2,648.9萬29.29%2,648.9萬57.49%2,642.5萬63.68%2,628.7萬
-固定資產 108.97%6,185.4萬70.15%7,992萬70.15%7,992萬85.99%4,914.9萬59.54%4,193.7萬47.28%2,960萬24.45%4,697.1萬24.45%4,697.1萬57.49%2,642.5萬63.68%2,628.7萬
-累計折舊 -----11.63%-2,286.5萬-11.63%-2,286.5萬-------------18.70%-2,048.2萬-18.70%-2,048.2萬--------
商譽及其他無形資產 -4.09%150.1萬-6.68%152.3萬-6.68%152.3萬5.90%163.3萬26.43%165.5萬21.60%156.5萬24.11%163.2萬24.11%163.2萬20.75%154.2萬3.72%130.9萬
-其他無形資產 -----6.68%152.3萬-6.68%152.3萬------------24.11%163.2萬24.11%163.2萬--------
長期預付費用 -53.97%76.5萬-25.81%141.4萬-25.81%141.4萬-69.55%104.8萬-70.82%136.5萬--166.2萬199.69%190.6萬199.69%190.6萬--344.2萬--467.8萬
其他非流動資產 0.33%60.8萬-5.63%60.3萬-5.63%60.3萬6.98%61.3萬--60.7萬-31.06%60.6萬--63.9萬--63.9萬-20.31%57.3萬----
非流動資產合計 93.61%6,472.8萬97.60%6,059.5萬97.60%6,059.5萬63.98%5,244.3萬41.18%4,556.4萬50.17%3,343.3萬36.66%3,066.6萬36.66%3,066.6萬70.34%3,198.2萬77.65%3,227.4萬
總資產 72.56%6.53億25.05%5.1億25.05%5.1億23.47%4.37億11.37%4.1億34.13%3.78億133.51%4.08億133.51%4.08億78.12%3.54億70.11%3.68億
負債
流動負債
應付款項 22.70%1,347.2萬32.13%1,552.4萬32.13%1,552.4萬-23.25%1,223.8萬-21.70%1,161.1萬-20.04%1,098萬146.36%1,174.9萬146.36%1,174.9萬30.61%1,594.6萬52.83%1,482.9萬
-應付賬款 29.11%608.1萬90.46%766.6萬90.46%766.6萬-52.02%615.5萬-58.80%547.3萬-64.60%471萬33.77%402.5萬33.77%402.5萬8.33%1,282.8萬41.21%1,328.4萬
-應付稅費 17.88%739.1萬1.73%785.8萬1.73%785.8萬95.09%608.3萬297.28%613.8萬1,364.95%627萬338.86%772.4萬338.86%772.4萬749.59%311.8萬421.96%154.5萬
應計費用 49.20%1,596萬80.62%1,754萬80.62%1,754萬1,333.65%1,495.3萬1,225.88%1,583.1萬955.97%1,069.7萬5.30%971.1萬5.30%971.1萬16.54%104.3萬16.94%119.4萬
現行撥備 ------------10.96%485.1萬9.06%311.7萬8.97%153.1萬--------42.18%437.2萬45.82%285.8萬
短期借款與租賃負債 12.60%276.2萬20.61%260.4萬20.61%260.4萬15.06%278.9萬12.68%273.7萬-11.44%245.3萬-20.36%215.9萬-20.36%215.9萬-6.77%242.4萬4.65%242.9萬
-短期租賃負債 12.60%276.2萬20.61%260.4萬20.61%260.4萬15.06%278.9萬12.68%273.7萬-11.44%245.3萬-20.36%215.9萬-20.36%215.9萬-6.77%242.4萬4.65%242.9萬
遞延負債 49.03%9,652.5萬54.57%1億54.57%1億-22.58%6,204.9萬-13.26%6,799.7萬5.41%6,477萬28.88%6,495.7萬28.88%6,495.7萬29.53%8,015萬35.17%7,839.4萬
其他流動負債 83.73%1,864.5萬12.51%1,920.6萬12.51%1,920.6萬20.22%2,426.8萬61.04%2,301.3萬-11.69%1,014.8萬-39.13%1,707萬-39.13%1,707萬-23.72%2,018.7萬11,332.00%1,429萬
流動負債總額 48.25%1.49億47.06%1.57億47.06%1.57億-2.40%1.21億9.05%1.24億9.50%1.01億11.88%1.06億11.88%1.06億15.87%1.24億55.88%1.14億
非流動負債
長期借款與租賃負債 -5.08%1,187.7萬3.18%1,279.8萬3.18%1,279.8萬-1.34%1,367.1萬0.72%1,408.5萬92.77%1,251.3萬73.66%1,240.3萬73.66%1,240.3萬215.08%1,385.7萬195.27%1,398.4萬
-長期租賃負債 -5.08%1,187.7萬3.18%1,279.8萬3.18%1,279.8萬-1.34%1,367.1萬0.72%1,408.5萬92.77%1,251.3萬73.66%1,240.3萬73.66%1,240.3萬215.08%1,385.7萬195.27%1,398.4萬
遞延負債 39.95%9,135.8萬52.49%1.16億52.49%1.16億-46.85%5,486萬-53.56%5,355.9萬-3.70%6,527.9萬57.09%7,575.9萬57.09%7,575.9萬97.61%1.03億85.40%1.15億
其他非流動負債 -----90.48%4,000-90.48%4,000-63.64%2萬-55.93%2.6萬-46.77%3.3萬-38.24%4.2萬-38.24%4.2萬--5.5萬--5.9萬
非流動負債總額 32.65%1.03億45.49%1.28億45.49%1.28億-41.47%6,855.1萬-47.69%6,767萬4.69%7,782.5萬59.11%8,820.4萬59.11%8,820.4萬106.83%1.17億93.26%1.29億
總負債 41.44%2.52億46.35%2.85億46.35%2.85億-21.37%1.9億-21.11%1.92億7.35%1.78億29.27%1.95億29.27%1.95億47.33%2.41億73.75%2.43億
所有者權益
股本 34.42%103.1萬10.43%84.7萬10.43%84.7萬28.92%84.7萬23.12%80.4萬21.94%76.7萬21.94%76.7萬21.94%76.7萬4.45%65.7萬3.82%65.3萬
-普通股股本 34.42%103.1萬10.43%84.7萬10.43%84.7萬28.92%84.7萬23.12%80.4萬21.94%76.7萬21.94%76.7萬21.94%76.7萬4.45%65.7萬3.82%65.3萬
留存收益 -15.44%-6億-19.39%-5.97億-19.39%-5.97億-17.26%-5.71億-16.85%-5.45億-15.02%-5.2億6.98%-5億6.98%-5億6.52%-4.87億8.18%-4.66億
資本公積 39.03%10.01億15.26%8.23億15.26%8.23億35.95%8.19億28.70%7.63億26.17%7.2億26.36%7.14億26.36%7.14億7.46%6.02億0.58%5.93億
不影響留存收益的損益 -41.77%-130萬-10.47%-163.6萬-10.47%-163.6萬74.73%-71.2萬56.23%-114.1萬72.91%-91.7萬62.46%-148.1萬62.46%-148.1萬42.29%-281.8萬57.51%-260.7萬
股東權益總額 100.31%4.01億5.59%2.25億5.59%2.25億119.16%2.48億74.65%2.18億72.51%2億785.86%2.13億785.86%2.13億221.50%1.13億63.45%1.25億
總權益 100.31%4.01億5.59%2.25億5.59%2.25億119.16%2.48億74.65%2.18億72.51%2億785.86%2.13億785.86%2.13億221.50%1.13億63.45%1.25億
貨幣單位 歐元歐元歐元歐元歐元歐元歐元歐元歐元歐元
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 --無保留意見----------------

分析

分析師評級

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目標價預測

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熱議
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最新價
漲跌幅