av/gensight-biologics--big.svg

EURONEXT:SIGHT

GenSight Biologics S.A.

  • Stock

EUR

Last Close

0.40

30/08 15:35

Market Cap

31.04M

Beta: 2.21

Volume Today

355.02K

Avg: 307.85K

PE Ratio

−0.65

PFCF: −0.75

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
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
-2.76M
-
-6.67M
141.46%
-13.65M
104.67%
-22.08M
61.73%
-24.11M
9.19%
-33.45M
38.74%
-30.71M
8.20%
-34.02M
10.76%
-28.62M
15.87%
-27.63M
3.47%
-26.22M
5.09%
depreciation and amortization
40.31K
-
255.62K
534.12%
138.65K
45.76%
202.71K
46.20%
224K
10.50%
315K
40.63%
985K
212.70%
926K
5.99%
928K
0.22%
1.06M
14.33%
3.03M
185.96%
deferred income tax
29.35K
-
31.50K
7.33%
27K
14.28%
27K
0%
35K
29.63%
36K
2.86%
17K
52.78%
-8.89M
-
stock based compensation
130.95K
-
294.97K
125.26%
1.53M
419.33%
4.63M
202.54%
4.80M
3.57%
2.42M
49.54%
1.31M
46.04%
3.46M
164.35%
4.83M
39.91%
-3.36M
169.59%
587K
117.45%
change in working capital
641.51K
-
589.62K
8.09%
-128.88K
121.86%
-2.43M
1,784.52%
202K
108.32%
1.90M
838.61%
-145K
107.65%
5.57M
3,939.31%
4.84M
13.04%
-3.92M
180.89%
2.45M
162.67%
accounts receivables
-844K
-
791K
193.72%
-698K
188.24%
756K
208.31%
-1K
100.13%
inventory
accounts payables
-223K
-
344K
254.26%
2.40M
597.09%
-2.15M
189.74%
-2.23M
3.81%
other working capital
922K
-
4.43M
380.69%
3.14M
29.13%
-2.52M
180.23%
4.69M
286.07%
other non cash items
14.55K
-
-11.93K
182.00%
-144
98.79%
77K
53,572.22%
410K
432.47%
416K
1.46%
8.99M
2,060.34%
858K
90.45%
91K
89.39%
-4.89M
5,469.23%
net cash provided by operating activities
-1.95M
-
-5.52M
182.88%
-12.09M
119.25%
-19.64M
62.40%
-18.78M
4.38%
-28.38M
51.12%
-28.11M
0.95%
-15.04M
46.49%
-17.14M
13.93%
-33.75M
96.94%
-25.03M
25.84%
investments in property plant and equipment
-342.76K
-
-189.14K
44.82%
-706.94K
273.76%
-189.22K
73.23%
-236K
24.72%
-791K
235.17%
-76K
90.39%
-6K
92.11%
-32K
433.33%
-252K
687.50%
-10K
96.03%
acquisitions net
7.52K
-
purchases of investments
-31.35K
-
-1.40M
4,372.69%
-79.55K
94.33%
-448K
-
-26K
-
-370K
1,323.08%
sales maturities of investments
1.40M
-
7.77K
99.45%
16K
-
424K
2,550%
219K
48.35%
other investing activites
-7.52K
-
11K
246.33%
128K
-
16K
-
net cash used for investing activites
-374.11K
-
-1.59M
325.36%
617.45K
138.80%
-170.45K
127.61%
-684K
301.28%
-663K
3.07%
-102K
84.62%
-376K
268.63%
-16K
95.74%
172K
1,175%
209K
21.51%
debt repayment
-5.67M
-
-11.71M
106.47%
-3.07M
73.79%
-7.82M
154.87%
-13.10M
67.49%
common stock issued
19.40M
-
5.80K
99.97%
30.87M
531,640.62%
41.58M
34.70%
21.03M
49.42%
8K
99.96%
16.22M
202,675%
23.57M
45.28%
28.53M
21.07%
37K
99.87%
4.02M
10,756.76%
common stock repurchased
-145.23K
-
-84K
42.16%
-123K
46.43%
-305K
-
-193K
36.72%
-99K
48.70%
dividends paid
-1.42M
-
-193K
86.40%
other financing activites
678K
-
2.30M
-
-1K
100.04%
10.70M
-
22.00M
105.73%
-1K
100.00%
8.27M
826,700%
net cash used provided by financing activities
19.40M
-
683.80K
96.48%
30.87M
4,414.09%
43.73M
41.68%
20.95M
52.11%
-115K
100.55%
21.25M
18,573.91%
33.86M
59.37%
23.74M
29.89%
95K
99.60%
16.23M
16,981.05%
effect of forex changes on cash
1
-
-1
-
-14K
1,399,900%
-47K
235.71%
-22K
53.19%
254K
1,254.55%
-238K
193.70%
-193K
18.91%
119K
161.66%
net change in cash
17.07M
-
-6.42M
137.62%
19.39M
401.85%
23.92M
23.37%
1.47M
93.87%
-29.21M
2,092.29%
-6.99M
76.06%
18.69M
367.39%
6.34M
66.06%
-33.68M
630.80%
-8.48M
74.83%
cash at beginning of period
18.85K
-
17.09M
90,600.36%
10.67M
37.58%
30.06M
181.74%
53.98M
79.58%
55.45M
2.72%
26.24M
52.67%
19.25M
26.64%
37.94M
97.11%
44.29M
16.72%
10.61M
76.04%
cash at end of period
17.09M
-
10.67M
37.58%
30.06M
181.74%
53.98M
79.58%
55.45M
2.72%
26.24M
52.67%
19.25M
26.64%
37.94M
97.11%
44.29M
16.72%
10.61M
76.05%
2.13M
79.89%
operating cash flow
-1.95M
-
-5.52M
182.88%
-12.09M
119.25%
-19.64M
62.40%
-18.78M
4.38%
-28.38M
51.12%
-28.11M
0.95%
-15.04M
46.49%
-17.14M
13.93%
-33.75M
96.94%
-25.03M
25.84%
capital expenditure
-342.76K
-
-189.14K
44.82%
-706.94K
273.76%
-189.22K
73.23%
-236K
24.72%
-791K
235.17%
-76K
90.39%
-6K
92.11%
-32K
433.33%
-252K
687.50%
-10K
96.03%
free cash flow
-2.29M
-
-5.71M
148.84%
-12.80M
124.37%
-19.83M
54.91%
-19.02M
4.10%
-29.17M
53.40%
-28.19M
3.38%
-15.05M
46.61%
-17.17M
14.09%
-34.01M
98.04%
-25.04M
26.36%

All numbers in EUR (except ratios and percentages)