Recursion Pharmaceuticals, Inc. (RXRX)
NASDAQ: RXRX · Real-Time Price · USD
4.190
-0.130 (-3.01%)
Jan 30, 2026, 4:00 PM EST - Market closed

Recursion Pharmaceuticals Balance Sheet

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 2020
Period Ending
Sep '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20
Cash & Equivalents
659.84594.35391.57549.91285.12262.13
Short-Term Investments
----231.45-
Cash & Short-Term Investments
659.84594.35391.57549.91516.56262.13
Cash Growth
54.30%51.79%-28.79%6.46%97.07%275.09%
Accounts Receivable
----0.030.16
Other Receivables
21.9149.173.092.759.06-
Receivables
21.9149.173.092.759.090.16
Restricted Cash
3.143.053.231.281.552
Other Current Assets
29.2267.7140.2515.877.512.16
Total Current Assets
714.11714.27438.14569.81534.72266.44
Property, Plant & Equipment
181.24233.21120.17121.4564.7325.97
Goodwill
162.04148.8752.060.80.80.8
Other Intangible Assets
322.34335.8636.441.311.391.69
Long-Term Deferred Tax Assets
0.961.93----
Other Long-Term Assets
14.4314.456.897.928.723.69
Total Assets
1,4001,449653.7701.29610.35298.59
Accounts Payable
13.9421.613.954.592.821.07
Accrued Expenses
72.1580.2841.7630.2927.6710.49
Current Portion of Long-Term Debt
8.920.110.040.10.091.07
Current Portion of Leases
11.5322.116.125.95--
Current Unearned Revenue
47.3661.7736.4356.731010
Other Current Liabilities
1.211.594.872.626.080.47
Total Current Liabilities
155.1187.4793.17100.2746.6623.1
Long-Term Debt
11.90.681.10.540.6311.41
Long-Term Leases
50.0385.5943.4144.42--
Long-Term Unearned Revenue
111.2118.7751.2470.266.6716.67
Long-Term Deferred Tax Liabilities
23.3116.581.34---
Other Long-Term Liabilities
1.034.73--13.455.38
Total Liabilities
352.58413.82190.26215.4867.4156.56
Common Stock
0.010000-
Additional Paid-In Capital
2,9812,4741,4311,125943.147.31
Retained Earnings
-1,968-1,431-967.62-639.56-400.08-213.6
Comprehensive Income & Other
34.09-7.64---0.13-
Total Common Equity
1,0471,035463.44485.81542.94-206.29
Shareholders' Equity
1,0471,035463.44485.81542.94242.02
Total Liabilities & Equity
1,4001,449653.7701.29610.35298.59
Total Debt
82.37108.4950.6751.010.7212.49
Net Cash (Debt)
577.46485.86340.89498.91515.84249.64
Net Cash Growth
71.34%42.52%-31.67%-3.28%106.63%335.00%
Net Cash Per Share
1.441.771.642.844.1211.46
Filing Date Shares Outstanding
521.26401.99234.65191.23170.7722.31
Total Common Shares Outstanding
491.8396.8234.27191.02170.2722.31
Working Capital
559526.8344.97469.55488.06243.34
Book Value Per Share
2.132.611.982.543.19-9.24
Tangible Book Value
562.56550.05374.94483.7540.75-208.78
Tangible Book Value Per Share
1.141.391.602.533.18-9.36
Machinery
-128.2982.2267.6953.0820.78
Construction In Progress
-2.713.238.7516.451.36
Leasehold Improvements
-72.7345.9341.8713.9413.79
Updated Nov 5, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.
SEC Filings: 10-K · 10-Q