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COM:AKOYABIO

Akoya Biosciences, Inc.

  • Stock

Last Close

2.16

21/11 21:00

Market Cap

102.72M

Beta: -

Volume Today

135.36K

Avg: -

Preview

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Mar '20
Jun '20
Sep '20
Dec '20
Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
Sep '24
net income
-2.14M
-
-4.58M
113.95%
-4.28M
6.56%
-5.69M
32.91%
-8.08M
41.94%
-5.56M
31.17%
-11.62M
108.83%
-17.67M
52.13%
-16.40M
7.21%
-17.50M
6.68%
-17.87M
2.15%
-18.88M
5.61%
-18.80M
0.39%
-20.80M
10.64%
-12.92M
37.91%
-10.80M
16.37%
-23.48M
117.40%
-10.53M
-
depreciation and amortization
899K
-
922K
2.56%
971K
5.31%
1.02M
5.36%
1.04M
1.76%
1.13M
8.84%
1.24M
9.80%
1.37M
10.45%
1.62M
17.83%
1.69M
4.39%
1.94M
14.73%
1.90M
1.96%
2.12M
11.57%
2.09M
1.60%
2.58M
23.43%
2.11M
18.25%
2.05M
2.61%
1.82M
-
deferred income tax
27K
-
32K
18.52%
-11K
134.38%
-41K
272.73%
-10K
75.61%
-6K
40%
-20K
233.33%
-119K
495%
10K
108.40%
89K
790%
-64K
-
2.19M
-
-2.20M
200.23%
-51K
97.68%
37K
172.55%
38K
-
stock based compensation
312K
-
51K
83.65%
60K
17.65%
54K
10%
254K
370.37%
1.22M
378.74%
1.16M
4.77%
1.41M
21.85%
1.54M
9.50%
1.72M
11.39%
2.04M
18.77%
2.12M
3.72%
2.38M
12.03%
2.62M
10.32%
2.88M
9.85%
2.56M
10.91%
2.57M
0.08%
1.88M
-
change in working capital
1.33M
-
755K
43.10%
588K
22.12%
-276K
146.94%
-9K
96.74%
-8.08M
89,711.11%
-4.49M
44.44%
8.02M
278.62%
-5.01M
162.48%
1.69M
133.66%
1.24M
26.44%
4.25M
242.30%
-5.85M
237.76%
227K
103.88%
-7.76M
3,519.82%
-452K
94.18%
-8.21M
1,717.48%
12.00M
-
accounts receivables
6.63M
-
2.52M
61.94%
-1.51M
159.71%
-945K
37.25%
-120K
87.30%
-1.57M
1,206.67%
-1.45M
7.72%
161K
111.13%
-1.87M
1,261.49%
842K
145.03%
1.79M
112.83%
-1.05M
158.54%
-3.21M
206.39%
77K
102.40%
-3.23M
4,294.81%
-898K
72.20%
3.15M
450.33%
3.77M
-
inventory
-907K
-
1.02M
212.24%
-387K
138.02%
-408K
5.43%
-430K
5.39%
-2.11M
390.47%
267K
112.66%
-2.36M
982.40%
-2.29M
2.97%
-1.84M
19.29%
155K
108.40%
-1.40M
1,001.94%
-137K
90.20%
-3.91M
2,752.55%
-3.00M
23.36%
708K
123.64%
-7.31M
1,132.49%
-782K
-
accounts payables
-4.68M
-
-1.75M
62.53%
2.38M
235.88%
1.00M
57.81%
702K
30.15%
-878K
225.07%
-827K
5.81%
5.36M
748.61%
2.08M
61.17%
1.85M
10.99%
-5.20M
380.47%
2.46M
147.23%
-1.95M
179.19%
3.05M
256.76%
158K
94.82%
-114K
172.15%
-1.03M
802.63%
-1.03M
-
other working capital
287K
-
-1.03M
459.58%
99K
109.59%
72K
27.27%
-161K
323.61%
-3.53M
2,091.30%
-2.48M
29.59%
4.85M
295.37%
-2.94M
160.56%
836K
128.45%
4.49M
437.56%
4.24M
5.67%
-556K
113.12%
1.01M
281.47%
-1.70M
268.09%
-148K
91.27%
-3.02M
1,941.89%
10.04M
-
other non cash items
-1.38M
-
826K
159.90%
936K
13.32%
2.79M
197.76%
2.40M
13.81%
-1.11M
146.29%
331K
129.77%
1.13M
241.69%
305K
73.03%
-1.08M
453.44%
477K
144.25%
663K
38.99%
400K
39.67%
1.87M
368%
3.67M
96.05%
1.08M
70.46%
18.08M
1,568.08%
-14.47M
-
net cash provided by operating activities
-957K
-
-2.00M
108.88%
-1.74M
12.96%
-2.15M
23.39%
-4.40M
105.12%
-12.41M
181.90%
-13.39M
7.89%
-5.85M
56.30%
-17.93M
206.32%
-13.39M
25.35%
-12.17M
9.08%
-10.01M
17.78%
-19.76M
97.44%
-11.80M
40.26%
-13.75M
16.51%
-5.55M
59.64%
-20.82M
275.14%
-9.26M
-
investments in property plant and equipment
-1.40M
-
-550K
60.60%
-862K
56.73%
-487K
43.50%
-907K
86.24%
-947K
4.41%
-1.88M
97.99%
-1.36M
27.20%
-1.14M
16.63%
-1.56M
37.43%
-3.79M
142.26%
-869K
77.07%
-804K
7.48%
-1.42M
76.99%
-832K
41.53%
-594K
28.61%
-810K
36.36%
-434K
-
acquisitions net
55K
-
purchases of investments
-40.77M
-
-23.05M
-
-48.01M
-
-17.55M
-
sales maturities of investments
11.05M
-
23M
108.05%
7M
69.57%
31.00M
-
other investing activites
-39K
-
-38K
2.56%
-40K
5.26%
10.14M
25,450%
23M
-
net cash used for investing activites
-1.44M
-
-588K
59.02%
-902K
53.40%
9.65M
1,170.18%
-907K
109.40%
-947K
4.41%
-1.88M
97.99%
-1.36M
27.20%
-1.14M
16.63%
-42.34M
3,620.39%
7.27M
117.16%
22.13M
204.58%
6.20M
72.00%
-1.42M
122.97%
-832K
41.53%
-594K
28.61%
-48.82M
8,118.35%
13.02M
-
debt repayment
-35K
-
-59K
68.57%
-48K
18.64%
-25.05M
52,085.42%
-48K
99.81%
-128K
166.67%
-74K
42.19%
-72K
2.70%
-126K
75%
-190K
50.79%
-142K
25.26%
-163K
14.79%
-148K
9.20%
-173K
16.89%
-175K
1.16%
-11.04M
6,206.86%
-181K
98.36%
common stock issued
40K
-
188K
370%
58K
69.15%
48.21M
83,027.59%
-76K
100.16%
7K
109.21%
36K
414.29%
-59K
-
common stock repurchased
-94K
-
214K
-
dividends paid
-1.19M
-
-1.44M
-
-36K
-
other financing activites
-2.63M
-
2.48M
194.40%
88K
96.45%
30.74M
34,827.27%
1.23M
95.99%
137.06M
11,007.13%
30K
99.98%
1.66M
5,420%
55K
96.68%
8.86M
16,003.64%
9.96M
12.48%
10.24M
2.84%
-199K
101.94%
-1.71M
761.31%
110K
106.42%
22.07M
19,967.27%
-299K
101.35%
-150K
-
net cash used provided by financing activities
-2.66M
-
2.42M
190.94%
40K
98.35%
5.69M
14,117.50%
-4K
100.07%
136.93M
3,423,450%
-44K
100.03%
149K
438.64%
-71K
147.65%
8.67M
12,307.04%
9.86M
13.76%
10.27M
4.16%
-419K
104.08%
46.33M
11,156.56%
-141K
100.30%
11.04M
7,932.62%
-444K
104.02%
-150K
-
effect of forex changes on cash
5.63M
-
-1.33M
-
-369K
72.28%
net change in cash
-5.05M
-
-168K
96.67%
-2.60M
1,448.81%
13.19M
607.03%
-5.32M
140.29%
123.57M
2,424.97%
-15.31M
112.39%
-7.07M
53.83%
-19.14M
170.74%
-47.06M
145.84%
4.96M
110.53%
22.39M
351.95%
-13.98M
162.43%
33.10M
336.75%
-14.73M
144.49%
4.53M
130.76%
-70.09M
1,647.15%
3.61M
-
cash at beginning of period
12.14M
-
7.08M
41.62%
6.92M
2.37%
4.32M
37.62%
17.51M
305.75%
12.19M
30.36%
135.76M
1,013.47%
120.45M
11.28%
113.38M
5.87%
94.24M
16.88%
47.18M
49.93%
52.14M
10.50%
74.53M
42.95%
60.55M
18.76%
93.65M
54.66%
78.59M
16.08%
83.13M
5.76%
9.63M
-
cash at end of period
7.08M
-
6.92M
2.37%
4.32M
37.62%
17.51M
305.75%
12.19M
30.36%
135.76M
1,013.47%
120.45M
11.28%
113.38M
5.87%
94.24M
16.88%
47.18M
49.93%
52.14M
10.50%
74.53M
42.95%
60.55M
18.76%
93.65M
54.66%
78.92M
15.72%
83.13M
5.32%
13.04M
84.31%
13.24M
-
operating cash flow
-957K
-
-2.00M
108.88%
-1.74M
12.96%
-2.15M
23.39%
-4.40M
105.12%
-12.41M
181.90%
-13.39M
7.89%
-5.85M
56.30%
-17.93M
206.32%
-13.39M
25.35%
-12.17M
9.08%
-10.01M
17.78%
-19.76M
97.44%
-11.80M
40.26%
-13.75M
16.51%
-5.55M
59.64%
-20.82M
275.14%
-9.26M
-
capital expenditure
-1.40M
-
-550K
60.60%
-862K
56.73%
-487K
43.50%
-907K
86.24%
-947K
4.41%
-1.88M
97.99%
-1.36M
27.20%
-1.14M
16.63%
-1.56M
37.43%
-3.79M
142.26%
-869K
77.07%
-804K
7.48%
-1.42M
76.99%
-832K
41.53%
-594K
28.61%
-810K
36.36%
-434K
-
free cash flow
-2.35M
-
-2.55M
8.33%
-2.60M
2.08%
-2.63M
1.23%
-5.31M
101.63%
-13.36M
151.59%
-15.27M
14.28%
-7.22M
52.72%
-19.07M
164.16%
-14.95M
21.60%
-15.96M
6.76%
-10.88M
31.85%
-20.56M
89.06%
-13.23M
35.67%
-14.59M
10.27%
-6.14M
57.87%
-21.63M
252.06%
-9.69M
-

All numbers in (except ratios and percentages)