Recursion Pharmaceuticals, Inc. (RXRX)
NASDAQ: RXRX · Real-Time Price · USD
3.670
-0.100 (-2.65%)
At close: Feb 27, 2026, 4:00 PM EST
3.653
-0.017 (-0.45%)
After-hours: Feb 27, 2026, 7:57 PM EST

Recursion Pharmaceuticals Balance Sheet

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
743.29594.35391.57549.91285.12
Short-Term Investments
----231.45
Cash & Short-Term Investments
743.29594.35391.57549.91516.56
Cash Growth
25.06%51.79%-28.79%6.46%97.07%
Accounts Receivable
----0.03
Other Receivables
24.6549.173.092.759.06
Receivables
24.6549.173.092.759.09
Prepaid Expenses
11.7429.6---
Restricted Cash
4.593.053.231.281.55
Other Current Assets
28.5738.1140.2515.877.51
Total Current Assets
812.85714.27438.14569.81534.72
Property, Plant & Equipment
169.48233.21120.17121.4564.73
Long-Term Investments
4.4----
Goodwill
162.16148.8752.060.80.8
Other Intangible Assets
309.9335.8636.441.311.39
Long-Term Deferred Tax Assets
0.961.93---
Other Long-Term Assets
14.3914.456.897.928.72
Total Assets
1,4741,449653.7701.29610.35
Accounts Payable
18.1221.613.954.592.82
Accrued Expenses
69.5380.2841.7630.2927.67
Current Portion of Long-Term Debt
0.120.110.040.10.09
Current Portion of Leases
21.6322.116.125.95-
Current Unearned Revenue
37.6161.7736.4356.7310
Other Current Liabilities
0.71.594.872.626.08
Total Current Liabilities
147.71187.4793.17100.2746.66
Long-Term Debt
0.190.681.10.540.63
Long-Term Leases
56.0285.5943.4144.42-
Long-Term Unearned Revenue
114.01118.7751.2470.266.67
Long-Term Deferred Tax Liabilities
23.2616.581.34--
Other Long-Term Liabilities
2.084.73--13.45
Total Liabilities
343.27413.82190.26215.4867.41
Common Stock
0.010000
Additional Paid-In Capital
3,1702,4741,4311,125943.14
Retained Earnings
-2,076-1,431-967.62-639.56-400.08
Comprehensive Income & Other
36.72-7.64---0.13
Total Common Equity
1,1311,035463.44485.81542.94
Shareholders' Equity
1,1311,035463.44485.81542.94
Total Liabilities & Equity
1,4741,449653.7701.29610.35
Total Debt
77.97108.4950.6751.010.72
Net Cash (Debt)
665.33485.86340.89498.91515.84
Net Cash Growth
36.94%42.52%-31.67%-3.28%106.63%
Net Cash Per Share
1.491.771.642.844.12
Filing Date Shares Outstanding
527.4401.99234.65191.23170.77
Total Common Shares Outstanding
528.18396.8234.27191.02170.27
Working Capital
665.14526.8344.97469.55488.06
Book Value Per Share
2.142.611.982.543.19
Tangible Book Value
658.8550.05374.94483.7540.75
Tangible Book Value Per Share
1.251.391.602.533.18
Machinery
121.86128.2982.2267.6953.08
Construction In Progress
0.512.713.238.7516.45
Leasehold Improvements
70.7872.7345.9341.8713.94
Updated Feb 25, 2026. Source: S&P Global Market Intelligence. Standard template. Financial Sources.
SEC Filings: 10-K · 10-Q