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NASDAQ:ABSI

Absci Corporation

  • Stock

USD

Last Close

4.38

26/07 20:00

Market Cap

408.23M

Beta: -

Volume Today

734.89K

Avg: 421.90K

PE Ratio

−3.48

PFCF: −6.72

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Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
-6.58M
-
-14.35M
118.00%
-100.96M
603.41%
-104.90M
3.91%
-110.57M
5.40%
depreciation and amortization
491K
-
1.13M
130.35%
6.65M
488.33%
13.04M
95.93%
14.00M
7.38%
deferred income tax
-8.90M
-
-505K
94.33%
-52K
89.70%
stock based compensation
42K
-
420K
900%
10.61M
2,425.71%
12.54M
18.21%
11.42M
8.96%
change in working capital
-89K
-
1.01M
1,232.58%
-3.15M
412.10%
-1.54M
51.05%
-786K
48.96%
accounts receivables
-102K
-
-1.37M
1,245.10%
230K
116.76%
-148K
164.35%
inventory
102K
-
1.37M
1,245.10%
-230K
116.76%
148K
164.35%
accounts payables
82K
-
903K
1,001.22%
1.57M
74.31%
-533K
133.86%
-786K
47.47%
other working capital
-171K
-
105K
161.40%
-4.72M
4,595.24%
-1.01M
78.67%
786K
178.05%
other non cash items
108K
-
824K
662.96%
35.15M
4,165.41%
33K
99.91%
20.57M
62,224.24%
net cash provided by operating activities
-6.03M
-
-10.97M
81.86%
-60.60M
452.40%
-81.34M
34.23%
-64.64M
20.54%
investments in property plant and equipment
-1.10M
-
-2.18M
98.63%
-38.05M
1,644.48%
-16.18M
57.49%
-860K
94.68%
acquisitions net
9K
-
10K
11.11%
-28.13M
281,400%
-8M
71.56%
purchases of investments
-1.20M
-
-108.59M
8,949.17%
sales maturities of investments
1.20M
-
5M
316.67%
229.90M
4,497.94%
other investing activites
-1.20M
-
783K
165.25%
-147.09M
18,885.82%
net cash used for investing activites
-1.09M
-
-2.17M
99.36%
-67.38M
3,003.50%
-126.98M
88.46%
81.94M
164.53%
debt repayment
-377K
-
-1.59M
322.02%
-4.15M
160.65%
-7.45M
79.65%
-2.33M
68.68%
common stock issued
10.33M
-
69.33M
571.45%
210.40M
203.45%
656K
99.69%
862K
31.40%
common stock repurchased
dividends paid
other financing activites
2.76M
-
3.23M
17.16%
129.94M
3,923.03%
12.03M
90.74%
-3.01M
125.04%
net cash used provided by financing activities
12.71M
-
70.97M
458.58%
336.19M
373.69%
5.24M
98.44%
-4.48M
185.60%
effect of forex changes on cash
net change in cash
5.58M
-
57.83M
935.49%
208.22M
260.04%
-203.08M
197.53%
12.82M
106.32%
cash at beginning of period
8.29M
-
13.88M
67.36%
71.71M
416.78%
279.93M
290.37%
76.84M
72.55%
cash at end of period
13.88M
-
71.71M
416.78%
279.93M
290.37%
76.84M
72.55%
89.67M
16.69%
operating cash flow
-6.03M
-
-10.97M
81.86%
-60.60M
452.40%
-81.34M
34.23%
-64.64M
20.54%
capital expenditure
-1.10M
-
-2.18M
98.63%
-38.05M
1,644.48%
-16.18M
57.49%
-860K
94.68%
free cash flow
-7.13M
-
-13.15M
84.45%
-98.64M
650.10%
-97.51M
1.15%
-65.50M
32.83%

All numbers in USD (except ratios and percentages)