av/inflarx--big.svg

NASDAQ:IFRX

InflaRx N.V.

  • Stock

USD

Last Close

1.45

17/05 20:00

Market Cap

90.68M

Beta: 0.92

Volume Today

483.67K

Avg: 2.53M

PE Ratio

−2.38

PFCF: −2.69

Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
-4.92M
-
-8.94M
81.80%
-24.24M
171.15%
-29.82M
23.01%
-53.25M
78.62%
-33.98M
36.19%
-45.63M
34.27%
-29.48M
35.38%
-41.79M
41.74%
depreciation and amortization
40K
-
33K
17.50%
71K
115.15%
174K
145.07%
663.17K
281.13%
712.71K
7.47%
669.43K
6.07%
596.60K
10.88%
556.14K
6.78%
deferred income tax
5K
-
66K
-
-1.88M
2,953.03%
2.98M
258.27%
927.84K
68.87%
1.16M
24.83%
stock based compensation
243K
-
868K
257.20%
4.55M
424.19%
12.09M
165.60%
6.83M
43.47%
1.12M
83.65%
4.33M
287.92%
6.04M
39.52%
change in working capital
270K
-
1.21M
347.78%
2.58M
113.56%
1.83M
29.05%
3.40M
85.37%
-5.35M
257.41%
1.54M
128.78%
-9.77M
735.38%
983.01K
110.06%
accounts receivables
inventory
-11.13M
-
accounts payables
389K
-
3.09M
-
2.19M
29.10%
5.72M
161.34%
-3.87M
167.71%
316.11K
108.16%
-3.52M
1,214.20%
6.84M
294.30%
other working capital
-119K
-
1.21M
1,115.97%
-504K
141.69%
-356K
29.37%
-2.32M
552.31%
-1.47M
36.53%
1.22M
182.91%
-6.25M
611.53%
5.27M
184.37%
other non cash items
1.05M
-
1.84M
74.69%
4.82M
162.36%
-6.11M
226.74%
-3.82M
37.41%
44.25K
101.16%
-2.00M
4,630.93%
-1.13M
43.85%
3.22M
385.69%
net cash provided by operating activities
-3.31M
-
-4.99M
50.94%
-12.15M
143.38%
-23.71M
95.13%
-43.20M
82.21%
-36.53M
15.45%
-39.94M
9.33%
-33.74M
15.51%
-37.04M
9.77%
investments in property plant and equipment
-13K
-
-53K
307.69%
-149K
181.13%
-806K
440.94%
-594.89K
26.19%
-94.19K
84.17%
-37.78K
59.89%
-162.39K
329.86%
-79.44K
51.08%
acquisitions net
806K
-
594.89K
26.19%
94.19K
84.17%
37.78K
59.89%
-19.52M
51,771.57%
purchases of investments
-19K
-
-106.66M
561,242.11%
-82.62M
22.53%
-101.60M
22.97%
-97.52M
4.02%
-64.47M
33.88%
-101.92M
58.08%
sales maturities of investments
8.01M
-
103.56M
1,192.55%
123.06M
18.83%
71.60M
41.81%
84.00M
17.31%
84.66M
0.80%
other investing activites
1K
-
-808K
80,900%
-594.89K
26.38%
-94.19K
84.17%
-37.78K
59.89%
19.52M
51,771.57%
net cash used for investing activites
-13K
-
-53K
307.69%
-167K
215.09%
-99.45M
59,451.50%
20.34M
120.45%
21.36M
5.02%
-25.95M
221.48%
19.36M
174.60%
-17.33M
189.54%
debt repayment
-296.02K
-
-366.16K
23.69%
-360.64K
1.51%
-364.43K
1.05%
common stock issued
90.90M
-
53.44M
41.21%
1.67K
100.00%
9.77M
584,585.19%
65.14M
566.70%
2.35M
96.39%
52.27M
2,124.46%
common stock repurchased
dividends paid
other financing activites
30.86M
-
17.90M
42.01%
-3.80M
121.24%
4.85
100.00%
-232.90K
4,798,248.60%
-3.20M
1,276.00%
-47.74K
98.51%
-366.31K
667.37%
net cash used provided by financing activities
30.86M
-
108.80M
252.56%
49.64M
54.37%
-294.34K
100.59%
9.17M
3,216.05%
61.58M
571.37%
1.94M
96.85%
51.90M
2,578.77%
effect of forex changes on cash
1K
-
1K
0%
-2.32M
231,800%
5.63M
342.81%
902.32K
83.96%
-1.17M
229.53%
4.59M
492.85%
2.46M
46.37%
-969.70K
139.38%
net change in cash
-3.32M
-
25.82M
877.56%
94.17M
264.77%
-67.90M
172.10%
-22.25M
67.22%
-7.16M
67.82%
281.31K
103.93%
-9.98M
3,649.29%
-3.44M
65.53%
cash at beginning of period
6.62M
-
3.30M
50.14%
29.12M
781.80%
123.28M
323.40%
55.39M
55.07%
33.13M
40.18%
25.97M
21.62%
26.25M
1.08%
16.22M
38.21%
cash at end of period
3.30M
-
29.12M
781.80%
123.28M
323.40%
55.39M
55.07%
33.13M
40.18%
25.97M
21.62%
26.25M
1.08%
16.27M
38.04%
12.78M
21.44%
operating cash flow
-3.31M
-
-4.99M
50.94%
-12.15M
143.38%
-23.71M
95.13%
-43.20M
82.21%
-36.53M
15.45%
-39.94M
9.33%
-33.74M
15.51%
-37.04M
9.77%
capital expenditure
-13K
-
-53K
307.69%
-149K
181.13%
-806K
440.94%
-594.89K
26.19%
-94.19K
84.17%
-37.78K
59.89%
-162.39K
329.86%
-79.44K
51.08%
free cash flow
-3.32M
-
-5.05M
51.94%
-12.30M
143.78%
-24.52M
99.32%
-43.80M
78.64%
-36.62M
16.39%
-39.97M
9.15%
-33.91M
15.18%
-37.12M
9.47%

All numbers in USD (except ratios and percentages)