Recursion Pharmaceuticals, Inc. (RXRX)
NASDAQ: RXRX · Real-Time Price · USD
5.70
-0.05 (-0.87%)
At close: Nov 22, 2024, 4:00 PM
5.80
+0.10 (1.75%)
After-hours: Nov 22, 2024, 7:59 PM EST

Recursion Pharmaceuticals Balance Sheet

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2023 FY 2022 FY 2021 FY 2020 FY 2019
Period Ending
Sep '24 Dec '23 Dec '22 Dec '21 Dec '20 Dec '19
Cash & Equivalents
427.65391.57549.91285.12262.1369.88
Short-Term Investments
---231.45--
Cash & Short-Term Investments
427.65391.57549.91516.56262.1369.88
Cash Growth
10.41%-28.79%6.46%97.07%275.09%-
Accounts Receivable
---0.030.160.15
Other Receivables
2.263.092.759.06--
Receivables
2.263.092.759.090.160.15
Restricted Cash
1.563.231.281.5525.29
Other Current Assets
42.7240.2515.877.512.161.08
Total Current Assets
474.17438.14569.81534.72266.4476.4
Property, Plant & Equipment
159.19120.17121.4564.7325.9724.37
Goodwill
52.0652.060.80.80.8-
Other Intangible Assets
34.0936.441.311.391.69-
Other Long-Term Assets
6.996.897.928.723.690.07
Total Assets
726.5653.7701.29610.35298.59101.43
Accounts Payable
2.263.954.592.821.071.26
Accrued Expenses
38.7141.7630.2927.6710.494.88
Current Portion of Long-Term Debt
0.070.040.10.091.070.08
Current Portion of Leases
16.386.125.95---
Current Unearned Revenue
49.5836.4356.731010-
Other Current Liabilities
1.894.872.626.080.470.47
Total Current Liabilities
108.8993.17100.2746.6623.16.68
Long-Term Debt
1.021.10.540.6311.4112.42
Long-Term Leases
73.1643.4144.42---
Long-Term Unearned Revenue
15.7151.2470.266.6716.67-
Long-Term Deferred Tax Liabilities
0.171.34----
Other Long-Term Liabilities
3--13.455.385.49
Total Liabilities
201.94190.26215.4867.4156.5624.59
Common Stock
0000--
Additional Paid-In Capital
1,7771,4311,125943.147.312.33
Retained Earnings
-1,252-967.62-639.56-400.08-213.6-126.6
Comprehensive Income & Other
----0.13--
Total Common Equity
524.56463.44485.81542.94-206.29-124.27
Shareholders' Equity
524.56463.44485.81542.94242.0276.84
Total Liabilities & Equity
726.5653.7701.29610.35298.59101.43
Total Debt
90.6350.6751.010.7212.4912.5
Net Cash (Debt)
337.02340.89498.91515.84249.6457.39
Net Cash Growth
0.35%-31.67%-3.28%106.63%335.00%-
Net Cash Per Share
1.371.642.844.1211.462.66
Filing Date Shares Outstanding
286.84234.65191.23170.7722.3121.64
Total Common Shares Outstanding
286.12234.27191.02170.2722.3121.64
Working Capital
365.28344.97469.55488.06243.3469.71
Book Value Per Share
1.831.982.543.19-9.24-5.74
Tangible Book Value
438.41374.94483.7540.75-208.78-124.27
Tangible Book Value Per Share
1.531.602.533.18-9.36-5.74
Machinery
92.1282.2267.6953.0820.7817.19
Construction In Progress
1.713.238.7516.451.36-
Leasehold Improvements
47.0445.9341.8713.9413.7912.9
Source: S&P Capital IQ. Standard template. Financial Sources.