PRAX

NASDAQ:PRAX

Praxis Precision Medicines

  • Stock

USD

Last Close

57.54

26/07 20:00

Market Cap

986.95M

Beta: 3.01

Volume Today

145.59K

Avg: 1.66M

PE Ratio

−41.39

PFCF: −3.16

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
-10.61M
-
-7.39M
30.34%
-8.33M
12.75%
-11.57M
38.87%
-16.22M
40.18%
-25.71M
58.52%
-27.37M
6.48%
-36.40M
32.98%
-44.70M
22.81%
-58.58M
31.04%
-68.72M
17.30%
-60.19M
12.40%
-43.95M
26.99%
-41.17M
6.31%
-37.45M
9.03%
-34.31M
8.39%
-24.63M
28.21%
-26.88M
9.12%
-39.55M
47.16%
depreciation and amortization
10K
-
10K
0%
10K
0%
10K
0%
10K
0%
20K
100%
23K
15%
27K
17.39%
39K
44.44%
93K
138.46%
93K
0%
119K
27.96%
102K
14.29%
105K
2.94%
106K
0.95%
106K
0%
109K
2.83%
111K
1.83%
112K
0.90%
deferred income tax
261K
-
554K
112.26%
639K
15.34%
633K
0.94%
2K
-
stock based compensation
276K
-
158K
42.75%
147K
6.96%
285K
93.88%
953K
234.39%
3.83M
301.47%
4.67M
21.96%
5.40M
15.73%
6.52M
20.76%
6.11M
6.36%
7.89M
29.15%
7.61M
3.49%
6.73M
11.58%
6.37M
5.41%
7.59M
19.27%
5.78M
23.94%
5.76M
0.21%
5.73M
0.64%
14.47M
152.79%
change in working capital
2.46M
-
-2.90M
217.94%
-565K
80.51%
1.16M
304.78%
1.20M
3.28%
1.45M
21.59%
-3.48M
339.64%
115K
103.30%
13.08M
11,271.30%
6.42M
50.88%
6.07M
5.43%
-5.15M
184.85%
-8.21M
59.20%
5.50M
167.08%
-3.34M
160.61%
-2.99M
10.34%
-4.67M
56.03%
-3.04M
34.90%
1.74M
157.27%
accounts receivables
inventory
accounts payables
-909K
-
-481K
47.08%
991K
306.03%
-79K
107.97%
-368K
365.82%
416K
213.04%
2.21M
430.77%
1.50M
32.07%
323K
78.47%
3.24M
901.86%
2.49M
23.08%
-1.45M
158.18%
-1.70M
17.33%
4.55M
367.80%
2.31M
49.14%
-8.98M
487.90%
-894K
90.04%
-1.30M
45.30%
3.59M
376.29%
other working capital
3.37M
-
-2.42M
171.81%
-1.56M
35.65%
1.24M
179.43%
1.56M
26.46%
1.04M
33.65%
-5.69M
648.70%
-1.39M
75.66%
12.75M
1,020.87%
3.19M
75.01%
3.58M
12.49%
-3.71M
203.38%
-6.51M
75.55%
954K
114.66%
-5.65M
692.24%
5.99M
205.93%
-3.77M
163.04%
-1.74M
53.91%
-1.85M
6.33%
other non cash items
162K
-
165K
1.85%
169K
2.42%
172K
1.78%
176K
2.33%
179K
1.70%
183K
2.23%
292K
59.56%
467K
59.93%
470K
0.64%
555K
18.09%
409K
26.31%
399K
2.44%
392K
1.75%
246K
37.24%
206K
16.26%
212K
2.91%
218K
2.83%
13.75M
6,207.34%
net cash provided by operating activities
-7.70M
-
-9.95M
29.27%
-8.57M
13.91%
-9.94M
16.05%
-13.88M
39.60%
-20.23M
45.71%
-25.72M
27.16%
-30.01M
16.68%
-23.96M
20.16%
-44.86M
87.20%
-54.11M
20.63%
-57.21M
5.73%
-44.92M
21.48%
-28.81M
35.87%
-32.85M
14.02%
-31.21M
4.97%
-23.21M
25.63%
-23.86M
2.78%
-20.59M
13.73%
investments in property plant and equipment
-29K
-
4K
-
-4K
200%
-65K
1,525%
-450K
592.31%
-531K
18%
-289K
45.57%
-110K
61.94%
-45K
59.09%
-50K
-
acquisitions net
purchases of investments
-140.01M
-
-24.16M
82.74%
-83.02M
-
-91.22M
-
sales maturities of investments
10.70M
-
74.76M
598.70%
35M
53.18%
48M
37.14%
22.59M
52.93%
34M
50.48%
5M
85.29%
other investing activites
14M
-
net cash used for investing activites
-29K
-
4K
-
-140.01M
3,500,350%
-24.23M
82.69%
13.55M
155.92%
10.17M
24.95%
-8.55M
184.08%
34.89M
508.07%
47.95M
37.45%
22.59M
52.88%
34M
50.48%
5M
85.29%
-50K
-
-91.22M
182,340%
debt repayment
-226K
-
-233K
3.10%
-240K
3.00%
-250K
4.17%
-254K
1.60%
-261K
2.76%
-271K
3.83%
common stock issued
200.89M
-
-96K
-
7.23M
7,635.42%
1.37M
81.09%
2.96M
-
5.23M
76.60%
18.10M
245.94%
69.47M
283.90%
1K
100.00%
4.03M
402,400%
182.89M
4,443.95%
common stock repurchased
-30M
-
30M
-
-7K
-
-7K
0%
-127K
1,714.29%
-4K
96.85%
-1K
75%
dividends paid
-226K
-
-233K
3.10%
-240K
3.00%
-250K
4.17%
-254K
1.60%
other financing activites
-58K
-
50.45M
87,081.03%
23.45M
-
108.91M
364.50%
-28.82M
126.47%
276K
100.96%
99.39M
35,909.06%
308K
99.69%
479K
55.52%
-159K
133.19%
504K
416.98%
862K
71.03%
629K
27.03%
581K
7.63%
708K
21.86%
507K
28.39%
362K
28.60%
-137K
137.85%
net cash used provided by financing activities
-58K
-
50.45M
87,081.03%
-30M
159.47%
23.45M
178.15%
108.91M
364.50%
202.06M
85.54%
276K
99.86%
99.39M
35,909.06%
212K
99.79%
7.71M
3,538.21%
1.21M
84.33%
504K
58.31%
3.37M
567.66%
5.39M
60.09%
18.07M
235.44%
69.67M
285.58%
-1K
100.00%
4.13M
412,700%
182.49M
4,322.83%
effect of forex changes on cash
-4K
-
-36.68M
-
net change in cash
-7.79M
-
40.49M
620.03%
-38.57M
195.24%
13.50M
135.01%
95.02M
603.78%
181.84M
91.36%
-165.46M
190.99%
45.14M
127.28%
-10.20M
122.59%
-26.98M
164.46%
-61.45M
127.80%
-21.82M
64.50%
6.40M
129.34%
-825K
112.89%
19.22M
2,430.18%
43.46M
126.08%
-23.21M
153.42%
-19.79M
14.77%
70.68M
457.24%
cash at beginning of period
12.71M
-
4.92M
61.28%
45.41M
823.07%
6.85M
84.93%
20.35M
197.22%
115.37M
466.99%
297.21M
157.61%
131.75M
55.67%
176.90M
34.26%
166.69M
5.77%
139.72M
16.18%
78.27M
43.98%
56.45M
27.87%
62.86M
11.34%
62.03M
1.31%
81.25M
30.99%
124.72M
53.49%
101.50M
18.61%
81.30M
19.90%
cash at end of period
4.92M
-
45.41M
823.07%
6.85M
84.93%
20.35M
197.22%
115.37M
466.99%
297.21M
157.61%
131.75M
55.67%
176.90M
34.26%
166.69M
5.77%
139.72M
16.18%
78.27M
43.98%
56.45M
27.87%
62.86M
11.34%
62.03M
1.31%
81.25M
30.99%
124.72M
53.49%
101.50M
18.61%
81.72M
19.49%
151.98M
85.99%
operating cash flow
-7.70M
-
-9.95M
29.27%
-8.57M
13.91%
-9.94M
16.05%
-13.88M
39.60%
-20.23M
45.71%
-25.72M
27.16%
-30.01M
16.68%
-23.96M
20.16%
-44.86M
87.20%
-54.11M
20.63%
-57.21M
5.73%
-44.92M
21.48%
-28.81M
35.87%
-32.85M
14.02%
-31.21M
4.97%
-23.21M
25.63%
-23.86M
2.78%
-20.59M
13.73%
capital expenditure
-29K
-
4K
-
-4K
200%
-65K
1,525%
-450K
592.31%
-531K
18%
-289K
45.57%
-110K
61.94%
-45K
59.09%
-50K
-
free cash flow
-7.73M
-
-9.95M
28.79%
-8.57M
13.91%
-9.94M
16.05%
-13.88M
39.60%
-20.22M
45.69%
-25.73M
27.21%
-30.08M
16.92%
-24.41M
18.84%
-45.39M
85.92%
-54.40M
19.85%
-57.32M
5.37%
-44.96M
21.55%
-28.81M
35.94%
-32.85M
14.02%
-31.21M
4.97%
-23.21M
25.63%
-23.91M
3.00%
-20.59M
13.91%

All numbers in USD (except ratios and percentages)