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NASDAQ:FDMT

4D Molecular Therapeutics Inc

  • Stock

USD

Last Close

18.52

26/07 20:00

Market Cap

1.20B

Beta: 2.49

Volume Today

680.15K

Avg: 518.41K

PE Ratio

−14.82

PFCF: −18.46

Preview

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Sep '19
Dec '19
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
net income
-16.68M
-
-16.11M
3.36%
-13.16M
18.34%
-15.15M
15.14%
-7.83M
48.31%
-20.55M
162.31%
-16.41M
20.15%
-7.59M
53.74%
-22.24M
193.04%
-25.08M
12.79%
-26.34M
5.00%
-28.09M
6.64%
-25.69M
8.53%
-27.38M
6.57%
-28.68M
4.76%
-29.62M
3.26%
-10.26M
65.37%
-32.28M
214.77%
-32.40M
0.37%
depreciation and amortization
280K
-
318K
13.57%
344K
8.18%
359K
4.36%
369K
2.79%
371K
0.54%
381K
2.70%
370K
2.89%
382K
3.24%
1.89M
393.98%
782K
58.56%
831K
6.27%
879K
5.78%
1.39M
57.91%
1.41M
1.73%
1.43M
1.13%
1.40M
2.24%
1.51M
8.38%
1.59M
5.35%
deferred income tax
94K
-
-7K
107.45%
7K
200%
-630K
-
stock based compensation
1.05M
-
1.01M
3.70%
1.08M
6.70%
1.04M
4.25%
1.15M
10.61%
1.72M
49.69%
2.33M
35.64%
3.82M
63.85%
3.92M
2.80%
3.73M
4.89%
3.93M
5.41%
4.32M
9.89%
4.52M
4.58%
4.35M
3.85%
4.22M
2.88%
4.97M
17.72%
4.56M
8.19%
5.91M
29.61%
5.97M
1.03%
change in working capital
-646K
-
3.44M
632.66%
-2.15M
162.48%
7.59M
453.02%
-7.06M
193.00%
908K
112.86%
-1.79M
297.36%
-12.82M
615.23%
2.18M
117.04%
-3.11M
242.35%
-2.54M
18.37%
2.54M
199.96%
-977K
138.51%
-358K
63.36%
-4.49M
1,154.47%
1.36M
130.26%
3.10M
127.96%
664K
78.57%
-3.52M
630.12%
accounts receivables
263K
-
-80K
130.42%
99K
223.75%
151K
52.53%
-168K
211.26%
-590K
251.19%
521K
188.31%
-253K
148.56%
427K
268.77%
744K
74.24%
47K
93.68%
47K
-
inventory
-1.03M
-
3.86M
475.15%
770K
80.07%
2.76M
258.57%
-2.59M
193.84%
-1.53M
40.91%
-677K
55.78%
426K
162.92%
1.58M
271.36%
-5.87M
470.86%
314K
105.35%
accounts payables
-237K
-
708K
398.73%
-333K
147.03%
2.58M
875.98%
-2.77M
207.39%
567K
120.43%
-601K
206.00%
429K
171.38%
795K
85.31%
1.66M
109.06%
-1.68M
201.08%
226K
113.45%
-1.70M
850.88%
1.51M
189.16%
-333K
122.01%
947K
384.38%
1.37M
44.67%
-1.09M
179.42%
703K
164.61%
other working capital
-672K
-
2.81M
518.60%
-1.92M
168.11%
4.86M
353.39%
-4.12M
184.78%
931K
122.62%
-1.71M
283.89%
-12.99M
658.94%
962K
107.40%
-5.51M
673.28%
-1.22M
77.90%
2.31M
289.58%
720K
68.84%
-1.92M
366.39%
-4.16M
116.79%
412K
109.91%
1.73M
319.42%
1.75M
1.39%
-4.22M
341.04%
other non cash items
5.13M
-
2.65M
48.25%
13K
99.51%
-2K
115.38%
5K
350%
52K
940%
116K
123.08%
15K
87.07%
29K
93.33%
738K
2,444.83%
611K
17.21%
492K
19.48%
252K
48.78%
-211K
183.73%
-366K
73.46%
-205K
43.99%
29K
114.15%
173K
496.55%
7.72M
4,364.74%
net cash provided by operating activities
-10.86M
-
-8.69M
20.00%
-13.87M
59.68%
-6.17M
55.52%
-13.37M
116.75%
-17.50M
30.87%
-15.37M
12.15%
-16.20M
5.42%
-15.72M
2.99%
-21.84M
38.90%
-23.55M
7.85%
-19.90M
15.48%
-21.02M
5.59%
-22.21M
5.70%
-27.91M
25.62%
-22.07M
20.93%
-1.17M
94.69%
-24.65M
2,005.04%
-29.09M
18.00%
investments in property plant and equipment
-1.06M
-
-477K
55.17%
-721K
51.15%
-120K
83.36%
349K
390.83%
-508K
245.56%
-642K
26.38%
-737K
14.80%
-2.63M
257.53%
-5.10M
93.40%
-6.41M
25.84%
-2.07M
67.78%
-1.96M
4.94%
-1.09M
44.35%
-1.01M
7.41%
-805K
20.45%
-405K
49.69%
-549K
35.56%
-710K
29.33%
acquisitions net
-17.34M
-
11.54M
166.55%
1.01M
91.23%
-50.09M
5,049.90%
49.08M
-
purchases of investments
-32.20M
-
-59.69M
85.41%
-6.18M
89.64%
-187.94M
2,938.67%
100.51M
153.48%
-14.73M
114.65%
-5.43M
63.15%
-34.65M
-
-277.32M
700.45%
sales maturities of investments
12.00M
-
65.72M
447.80%
205.28M
212.36%
-135.19M
165.86%
58.87M
143.55%
55.52M
5.69%
30.39M
45.27%
28.51M
6.16%
14.78M
48.18%
other investing activites
-136.38M
-
5M
103.67%
17.34M
-
-11.54M
166.55%
-1.01M
91.23%
50.09M
5,049.90%
-49.08M
-
-710K
98.55%
net cash used for investing activites
-1.06M
-
-477K
55.17%
-721K
51.15%
-120K
83.36%
349K
390.83%
-508K
245.56%
-642K
26.38%
-737K
14.80%
-139.01M
18,761.60%
-32.29M
76.77%
-54.11M
67.57%
57.47M
206.21%
15.37M
73.25%
-35.78M
332.77%
43.13M
220.55%
49.29M
14.28%
29.98M
39.17%
-6.68M
122.29%
-263.26M
3,839.81%
debt repayment
common stock issued
55K
-
205.10M
-
460K
-
2.73M
493.48%
9.65M
253.37%
129.72M
1,244.67%
8.98M
93.08%
1K
99.99%
318.83M
31,883,100%
common stock repurchased
dividends paid
other financing activites
-1.46M
-
-725K
50.44%
-389K
46.34%
72.49M
18,735.99%
900K
98.76%
877K
2.56%
-847K
196.58%
629K
-
-50K
107.95%
-684K
-
1.35M
296.93%
799K
40.68%
1.58M
97.87%
4.76M
201.14%
3.11M
34.61%
net cash used provided by financing activities
-1.46M
-
-670K
54.20%
-389K
41.94%
72.49M
18,735.99%
900K
98.76%
205.98M
22,786.44%
-847K
100.41%
820K
196.81%
1.98M
141.10%
116.14M
5,774.51%
629K
99.46%
-50K
107.95%
460K
1,020.00%
2.05M
344.78%
10.99M
437.34%
130.52M
1,087.18%
10.56M
91.91%
4.76M
54.89%
318.83M
6,595.34%
effect of forex changes on cash
net change in cash
-13.38M
-
-9.83M
26.53%
-14.98M
52.34%
66.20M
541.96%
-12.12M
118.31%
187.97M
1,650.66%
-16.86M
108.97%
-16.12M
4.38%
-152.75M
847.49%
62.01M
140.60%
-77.03M
224.22%
37.51M
148.70%
-5.19M
113.82%
-55.95M
978.81%
26.22M
146.86%
157.74M
501.66%
39.37M
75.04%
-26.57M
167.49%
-84K
99.68%
cash at beginning of period
72.87M
-
59.48M
18.37%
49.65M
16.53%
34.67M
30.17%
100.88M
190.95%
88.75M
12.02%
276.73M
211.79%
259.87M
6.09%
243.74M
6.20%
90.99M
62.67%
153.00M
68.15%
75.97M
50.35%
113.48M
49.38%
108.30M
4.57%
52.35M
51.66%
78.57M
50.08%
236.31M
200.77%
275.68M
16.66%
275.68M
0%
cash at end of period
59.48M
-
49.65M
16.53%
34.67M
30.17%
100.88M
190.95%
88.75M
12.02%
276.73M
211.79%
259.87M
6.09%
243.74M
6.20%
90.99M
62.67%
153.00M
68.15%
75.97M
50.35%
113.48M
49.38%
108.30M
4.57%
52.35M
51.66%
78.57M
50.08%
236.31M
200.77%
275.68M
16.66%
249.11M
9.64%
275.59M
10.63%
operating cash flow
-10.86M
-
-8.69M
20.00%
-13.87M
59.68%
-6.17M
55.52%
-13.37M
116.75%
-17.50M
30.87%
-15.37M
12.15%
-16.20M
5.42%
-15.72M
2.99%
-21.84M
38.90%
-23.55M
7.85%
-19.90M
15.48%
-21.02M
5.59%
-22.21M
5.70%
-27.91M
25.62%
-22.07M
20.93%
-1.17M
94.69%
-24.65M
2,005.04%
-29.09M
18.00%
capital expenditure
-1.06M
-
-477K
55.17%
-721K
51.15%
-120K
83.36%
349K
390.83%
-508K
245.56%
-642K
26.38%
-737K
14.80%
-2.63M
257.53%
-5.10M
93.40%
-6.41M
25.84%
-2.07M
67.78%
-1.96M
4.94%
-1.09M
44.35%
-1.01M
7.41%
-805K
20.45%
-405K
49.69%
-549K
35.56%
-710K
29.33%
free cash flow
-11.92M
-
-9.16M
23.14%
-14.59M
59.24%
-6.29M
56.90%
-13.02M
107.06%
-18.01M
38.28%
-16.01M
11.07%
-16.94M
5.79%
-18.36M
8.35%
-26.93M
46.72%
-29.96M
11.25%
-21.97M
26.68%
-22.98M
4.60%
-23.31M
1.42%
-28.92M
24.07%
-22.87M
20.91%
-1.58M
93.11%
-25.20M
1,498.92%
-29.80M
18.25%

All numbers in USD (except ratios and percentages)