Breakdown | |||||
TTM | Dec 2024 | Dec 2023 | Dec 2022 | Dec 2021 | Dec 2020 |
---|---|---|---|---|---|
Income Statement | Total Revenue | ||||
1.73M | 1.68M | 2.72M | 1.19M | 450.00K | 316.00K | Gross Profit |
-1.21M | 614.00K | 752.00K | 364.00K | 162.00K | 58.00K | EBIT |
-32.26M | -33.25M | -34.22M | -29.21M | -26.27M | -17.36M | EBITDA |
-32.16M | -33.10M | -32.70M | -24.41M | -25.97M | -13.30M | Net Income Common Stockholders |
-32.37M | -34.94M | -33.84M | -24.96M | -26.49M | -13.57M |
Balance Sheet | Cash, Cash Equivalents and Short-Term Investments | ||||
109.00K | 13.30M | 17.11M | 29.31M | 13.70M | 37.62M | Total Assets |
535.00K | 23.82M | 26.99M | 34.44M | 18.76M | 39.77M | Total Debt |
0.00 | 7.41M | 8.47M | 648.00K | 1.07M | 919.00K | Net Debt |
-109.00K | -5.89M | -8.64M | -18.59M | -7.61M | -36.70M | Total Liabilities |
20.30M | 13.19M | 16.42M | 7.88M | 6.70M | 4.57M | Stockholders Equity |
-19.77M | 10.63M | 10.57M | 26.55M | 12.05M | 35.19M |
Cash Flow | Free Cash Flow | ||||
-33.43M | -34.48M | -35.15M | -28.43M | -23.28M | -12.48M | Operating Cash Flow |
-33.37M | -34.41M | -35.02M | -28.37M | -23.13M | -12.36M | Investing Cash Flow |
3.74M | -84.00K | 9.94M | -5.12M | -5.20M | -231.00K | Financing Cash Flow |
25.78M | 30.54M | 22.49M | 41.97M | -611.00K | 50.11M |
Name | Overall Rating | Market Cap | P/E Ratio | ROE | Dividend Yield | Revenue Growth | EPS Growth |
---|---|---|---|---|---|---|---|
58 Neutral | $9.99B | 10.12 | -6.46% | 3.10% | 7.47% | -11.60% | |
42 Neutral | $2.37M | ― | -167.89% | ― | 536.59% | -5.05% | |
41 Neutral | $1.82M | ― | -337.64% | ― | -28.81% | 45.18% | |
41 Neutral | $3.53M | ― | -370.85% | ― | 41.59% | 92.05% | |
31 Underperform | $2.56M | ― | -985.29% | ― | -90.86% | 99.20% | |
28 Underperform | $1.21M | ― | -2088.74% | ― | ― | 47.57% |