Hisse Senetlerindeki Sıralama
#17276
Noxopharm Limited, a drug development company, focuses on developing treatment... Noxopharm Limited, a drug development company, focuses on developing treatment options for a range of solid tumor cancers and septic shock in Australia and internationally. It primarily develops Veyonda, which is an adjuvant therapy in chemotherapy and radiotherapy for the treatment of late-stage cancers. The company also develops DARRT program that is in Phase 1b/2a for the treatment of metastatic castration-resistant prostate cancer and other solid tumors; LuPIN with combined therapy of Veyonda and 177Lu-PSMA-617 for the treatment of late-stage prostate cancer; IONIC program with Veyonda, which is combined with the Bristol Myers Squibb checkpoint inhibitor Opdivo for the treatment of various solid tumor types; and chemotherapy enhancement program (CEP) combined with carboplatin for patients with refractory solid tumors in the breast, head and neck, lung, prostate, and ovaries. In addition, it develops NOXCOVID Program, a dose escalation and dose expansion study of NOX66 for the treatment of COVID-19 infection. Further, the company develops programs to treat pancreatic cancer and glioblastoma. Noxopharm Limited has a collaboration with Hudson Institute of Medical Research and The Australian National University for the research and development of therapeutic drug against inflammatory disorders. The company was incorporated in 2015 and is based in Chatswood, Australia.
Ticaret Noxopharm Limited (NOX)
Noxopharm Limited (NOX) için Faaliyet Marjı
March 2026 itibarıyla Faaliyet Marjı TTM: -532.32%
Noxopharm Limited şirketinin en son finansal raporlarına ve hisse fiyatına göre, mevcut faaliyet marjı (TTM) -532.32%'dir. 2024 yılı sonunda şirketin faaliyet marjı -313.92% idi.
Noxopharm Limited için 2016 ile 2026 arasındaki Faaliyet Marjı geçmişi
Her yıl sonunda Faaliyet Marjı
| Yıl |
Faaliyet Marjı |
Değiştir |
|
2026 (TTM) |
-532.32%
|
55.59%
|
|
2025 |
-342.14%
|
8.99%
|
|
2024 |
-313.92%
|
13.69%
|
|
2023 |
-276.12%
|
-1.43%
|
|
2022 |
-280.14%
|
7.54%
|
|
2021 |
-260.50%
|
31.83%
|
|
2020 |
-197.61%
|
-52.69%
|
|
2019 |
-417.69%
|
-63.54%
|
|
2018 |
-1,145.69%
|
-55.34%
|
|
2017 |
-2,565.11%
|
0.00%
|
|
2016 |
0.00%
|
0.00%
|
Benzer şirketler veya rakipler için Faaliyet Marjı
| Şirket |
Faaliyet Marjı |
Faaliyet Marjı Farkı |
Ülke |
|
|
41.30% |
-100.08%
|
DK
|
|
|
35.45% |
-100.07%
|
US
|
|
|
24.95% |
-100.05%
|
US
|
|
|
25.32% |
-100.05%
|
BE
|
|
|
25.72% |
-100.05%
|
AU
|
Bir şirketin Faaliyet Marjı'ı nedir?
Faaliyet Marjı, bir şirketin kârlılığını değerlendirmek için temel bir göstergedir. Daha yüksek Faaliyet Marjı değerleri genellikle daha iyidir çünkü bir şirketin ürün veya hizmetlerini üretim maliyetlerinden çok daha yüksek bir fiyata satabildiğini gösterir. Faaliyet Marjı, şirketin kârının gelirine bölünmesiyle hesaplanır.