Recursion Pharmaceuticals, Inc. (RXRX)
NASDAQ: RXRX · Real-Time Price · USD
3.110
+0.150 (5.07%)
At close: May 21, 2026, 4:00 PM EDT
3.110
0.00 (0.00%)
Pre-market: May 22, 2026, 8:38 AM EDT

Recursion Pharmaceuticals Balance Sheet

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Mar '26 Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
654.47743.29594.35391.57549.91285.12
Short-Term Investments
-----231.45
Cash & Short-Term Investments
654.47743.29594.35391.57549.91516.56
Cash Growth
30.78%25.06%51.79%-28.79%6.46%97.07%
Accounts Receivable
-----0.03
Other Receivables
13.5924.6549.173.092.759.06
Total Trade Receivables
13.5924.6549.173.092.759.09
Other Current Assets
41.544.970.7543.4817.159.07
Total Current Assets
709.56812.85714.27438.14569.81534.72
Net Property, Plant & Equipment
157.32169.48233.21120.17121.4564.73
Other Intangible Assets
294.07309.9335.8636.441.311.39
Goodwill
160.17162.16148.8752.060.80.8
Other Long-Term Assets
18.419.7416.396.897.928.72
Total Assets
1,3401,4741,449653.7701.29610.35
Accounts Payable
20.3518.1221.613.954.592.82
Accrued Expenses
54.2170.2381.8746.6432.932.33
Short-Term Debt
9.279.098.430.040.10.09
Current Portion of Leases
13.0912.6613.86.125.95-
Unearned Revenue
32.7937.6161.7736.4356.7310
Other Current Liabilities
-----1.42
Total Current Liabilities
129.7147.71187.4793.17100.2746.66
Long-Term Debt
7.189.5619.021.10.540.63
Long-Term Leases
42.8446.6567.2543.4144.42-
Other Long-Term Liabilities
135.03139.35140.0752.5870.2620.12
Total Long-Term Liabilities
185.05195.56226.3497.09115.2220.75
Total Liabilities
314.75343.27413.82190.26215.4867.41
Common Stock
0.010.010000
Additional Paid-in Capital
3,1923,1702,4741,4311,125943.14
Accumulated Other Comprehensive Income
26.6636.72-7.64---0.13
Retained Earnings
-2,194-2,076-1,431-967.62-639.56-400.08
Total Common Shareholders' Equity
1,0251,1311,035463.44485.81542.94
Shareholders' Equity
1,0251,1311,035463.44485.81542.94
Total Liabilities & Equity
1,3401,4741,449653.7701.29610.35
Total Debt
72.3877.97108.4950.6751.010.72
Net Cash (Debt)
582.1665.33485.86340.89498.91515.84
Net Cash Growth
-12.51%36.94%42.52%-31.67%-3.28%106.63%
Net Cash Per Share
1.211.491.771.642.844.12
Book Value
1,0251,1311,035463.44485.81542.94
Book Value Per Share
2.132.533.772.232.774.33
Tangible Book Value
570.53658.8550.05374.94483.7540.75
Tangible Book Value Per Share
1.191.472.011.802.764.31
Updated May 6, 2026. Data Source: Fiscal.ai. Standard template. Financial Sources.
SEC Filings: 10-K · 10-Q