bf/NASDAQ:CSBR_icon.jpeg

COM:CHAMPIONSONCOLOGY

Champions Oncology

  • Stock

Last Close

4.30

22/11 21:00

Market Cap

69.87M

Beta: -

Volume Today

9.19K

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Apr '14
Apr '15
Apr '16
Apr '17
Apr '18
Apr '19
Apr '20
Apr '21
Apr '22
Apr '23
Apr '24
net income
-7.41M
-
-13.14M
77.42%
-10.45M
20.50%
-6.88M
34.10%
-1.50M
78.14%
128K
108.50%
-1.98M
1,642.97%
334K
116.91%
548K
64.07%
-5.33M
1,073.54%
-7.28M
36.38%
depreciation and amortization
213K
-
214K
0.47%
156K
27.10%
168K
7.69%
360K
114.29%
606K
68.33%
825K
36.14%
1.18M
43.52%
1.63M
37.42%
2.25M
38.05%
1.87M
16.87%
deferred income tax
100K
-
65K
35%
24K
63.08%
-44K
283.33%
71K
261.36%
560K
688.73%
49K
91.25%
1.00M
-
stock based compensation
2.81M
-
3.16M
12.65%
2.60M
17.81%
2.66M
2.42%
1.00M
62.28%
636K
36.65%
600K
5.66%
598K
0.33%
912K
52.51%
864K
5.26%
1.12M
29.40%
change in working capital
-136K
-
424K
411.76%
1.14M
169.81%
1.15M
0.17%
-1.53M
233.68%
11K
100.72%
2.49M
22,554.55%
-4.17M
267.30%
2.34M
156.03%
4.23M
80.91%
-3.82M
190.46%
accounts receivables
-825K
-
265K
132.12%
-282K
206.42%
-986K
249.65%
-1.60M
62.27%
-531K
66.81%
-670K
26.18%
-2.27M
238.06%
-2.82M
24.42%
1.31M
146.42%
-1.99M
252.22%
inventory
-92K
-
-194K
110.87%
-199K
2.58%
404K
303.02%
-27K
106.68%
571K
2,214.81%
1.04M
81.61%
-1.10M
205.98%
accounts payables
-223K
-
433K
294.17%
482K
11.32%
-43K
108.92%
301K
800%
653K
116.94%
333K
49.00%
-1.25M
474.17%
974K
178.17%
2.46M
153.08%
465K
81.14%
other working capital
1.00M
-
-80K
107.97%
1.14M
1,528.75%
1.77M
54.94%
-206K
111.63%
-682K
231.07%
1.79M
362.76%
441K
75.39%
4.18M
847.85%
-3.77M
190.26%
-2.30M
39.12%
other non cash items
1.09M
-
-390K
135.81%
30K
107.69%
44K
46.67%
491K
1,015.91%
410K
16.50%
403K
1.71%
323K
19.85%
1.07M
232.51%
952K
11.36%
8.36M
777.63%
net cash provided by operating activities
-3.43M
-
-9.63M
180.51%
-6.45M
33.00%
-2.84M
55.98%
-1.23M
56.83%
1.86M
251.88%
2.90M
56.02%
-1.68M
157.87%
6.50M
486.50%
3.96M
39.13%
-6.14M
255.17%
investments in property plant and equipment
-234K
-
-119K
49.15%
-322K
170.59%
-766K
137.89%
-1.23M
60.44%
-834K
32.14%
-2.22M
166.19%
-3.28M
47.79%
-2.38M
27.34%
-2.87M
20.47%
-836K
70.89%
acquisitions net
purchases of investments
sales maturities of investments
other investing activites
5K
-
3K
-
112K
-
net cash used for investing activites
-234K
-
-114K
51.28%
-322K
182.46%
-766K
137.89%
-1.23M
60.05%
-834K
31.97%
-2.22M
166.19%
-3.17M
42.75%
-2.38M
24.77%
-2.87M
20.47%
-836K
70.89%
debt repayment
-12K
-
-24K
100%
-24K
0%
-25K
4.17%
-262K
948%
-35K
86.64%
-174K
397.14%
-146K
-
common stock issued
21K
-
11.22M
53,328.57%
44K
99.61%
4.34M
9,763.64%
30K
99.31%
6K
80%
4.46M
74,150%
1.37M
69.27%
207K
84.88%
85K
58.94%
253K
197.65%
common stock repurchased
-74K
-
-634K
756.76%
dividends paid
other financing activites
2.00M
-
-18K
100.90%
8K
-
1.46M
18,137.50%
4.42M
202.95%
107K
-
net cash used provided by financing activities
21K
-
13.21M
62,804.76%
2K
99.98%
4.32M
215,700%
13K
99.70%
1.20M
9,153.85%
4.42M
267.41%
1.20M
72.96%
207K
82.68%
11K
94.69%
-527K
4,890.91%
effect of forex changes on cash
-24K
-
17K
-
net change in cash
-3.67M
-
3.47M
194.44%
-6.77M
295.38%
710K
110.48%
-2.44M
443.52%
2.23M
191.47%
5.11M
128.82%
-3.65M
171.60%
4.32M
218.19%
1.09M
74.68%
-7.50M
785.56%
cash at beginning of period
9.56M
-
5.89M
38.39%
9.36M
58.84%
2.58M
72.37%
3.29M
27.47%
1.01M
69.47%
3.24M
221.77%
8.34M
157.71%
4.69M
43.81%
9.01M
92.17%
10.12M
12.33%
cash at end of period
5.89M
-
9.36M
58.84%
2.58M
72.37%
3.29M
27.47%
856K
74.02%
3.24M
278.15%
8.34M
157.71%
4.69M
43.81%
9.01M
92.17%
10.10M
12.15%
2.62M
74.08%
operating cash flow
-3.43M
-
-9.63M
180.51%
-6.45M
33.00%
-2.84M
55.98%
-1.23M
56.83%
1.86M
251.88%
2.90M
56.02%
-1.68M
157.87%
6.50M
486.50%
3.96M
39.13%
-6.14M
255.17%
capital expenditure
-234K
-
-119K
49.15%
-322K
170.59%
-766K
137.89%
-1.23M
60.44%
-834K
32.14%
-2.22M
166.19%
-3.28M
47.79%
-2.38M
27.34%
-2.87M
20.47%
-836K
70.89%
free cash flow
-3.67M
-
-9.75M
165.86%
-6.77M
30.52%
-3.61M
46.77%
-2.46M
31.92%
1.03M
141.87%
685K
33.37%
-4.96M
824.38%
4.11M
182.89%
1.08M
73.67%
-6.97M
743.86%

All numbers in (except ratios and percentages)