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NASDAQ:RNA

Avidity Biosciences, Inc. Common Stock

  • Stock

USD

Last Close

44.72

26/07 20:00

Market Cap

5.19B

Beta: −0.10

Volume Today

986.74K

Avg: 1.32M

PE Ratio

−4.46

PFCF: −4.85

Preview

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Mar '19
Jun '19
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
-2.55M
-
-5.12M
100.71%
-6.67M
30.34%
-10.40M
55.98%
-6.08M
41.50%
-10.56M
73.48%
-11.44M
8.36%
-16.27M
42.28%
-23.84M
46.51%
-26.35M
10.52%
-29.27M
11.08%
-38.54M
31.65%
-34.23M
11.17%
-45.69M
33.46%
-43.60M
4.58%
-50.47M
15.76%
-52.39M
3.81%
-47.02M
10.25%
-52.36M
11.34%
-60.44M
15.44%
-68.86M
13.92%
depreciation and amortization
93K
-
88K
5.38%
84K
4.55%
83K
1.19%
83K
0%
74K
10.84%
101K
36.49%
115K
13.86%
108K
6.09%
147K
36.11%
176K
19.73%
208K
18.18%
314K
50.96%
322K
2.55%
370K
14.91%
381K
2.97%
391K
2.62%
529K
35.29%
566K
6.99%
615K
8.66%
-2.32M
477.07%
deferred income tax
-1K
-
1K
-
75K
-
-2.84M
-
-2.97M
4.44%
-8.72M
193.93%
stock based compensation
17K
-
16K
5.88%
22K
37.50%
351K
1,495.45%
449K
27.92%
687K
53.01%
1.30M
88.65%
1.88M
44.91%
3.70M
97.07%
4.29M
15.89%
4.55M
6.09%
4.52M
0.75%
6.24M
38.13%
6.51M
4.33%
7.09M
8.88%
7.31M
3.12%
9.10M
24.59%
9.45M
3.83%
9.82M
3.88%
9.85M
0.25%
10.31M
4.68%
change in working capital
-21K
-
19.44M
92,661.90%
-715K
103.68%
421K
158.88%
-1.69M
501.66%
1.89M
212.00%
929K
50.95%
1.20M
29.17%
330K
72.50%
-6.25M
1,993.03%
3.75M
160.00%
7.51M
100.29%
-2.06M
127.37%
3.25M
258.39%
4.22M
29.74%
4.39M
4.03%
-4.53M
203.00%
-10.66M
135.49%
7.41M
169.57%
68.90M
829.41%
accounts receivables
inventory
accounts payables
5.75M
-
2.39M
58.43%
6.04M
-
4.96M
17.97%
1.63M
67.22%
5.45M
235.14%
18.32M
236.30%
1.16M
93.68%
-1.97M
270.47%
228K
111.55%
2.36M
933.77%
2.58M
9.25%
other working capital
-21K
-
19.44M
92,661.90%
-715K
103.68%
421K
158.88%
-1.69M
501.66%
1.89M
212.00%
929K
50.95%
-4.55M
589.67%
-2.06M
54.72%
-6.25M
203.25%
3.75M
160.00%
1.46M
60.94%
-7.01M
578.96%
1.63M
123.25%
-1.22M
175.03%
-13.92M
1,038.35%
-5.68M
59.18%
-8.68M
52.77%
7.18M
182.76%
66.54M
826.10%
other non cash items
374K
-
1.05M
182.09%
1.39M
31.94%
4.53M
225.14%
104K
97.70%
35K
66.35%
9K
-
24K
166.67%
29K
20.83%
18K
37.93%
92K
411.11%
164K
78.26%
59K
64.02%
-39K
166.10%
-799K
1,948.72%
-1.54M
93.12%
732K
147.44%
734K
0.27%
6.30M
758.99%
net cash provided by operating activities
-2.09M
-
15.48M
842.09%
-5.88M
138.02%
-5.02M
14.72%
-7.14M
42.26%
-7.79M
9.12%
-9.11M
16.97%
-13.07M
43.45%
-19.68M
50.55%
-28.14M
42.96%
-20.78M
26.13%
-26.21M
26.14%
-29.57M
12.81%
-35.55M
20.19%
-31.96M
10.09%
-39.19M
22.62%
-48.97M
24.95%
-49.81M
1.72%
-36.79M
26.13%
16.50M
144.85%
-70.38M
526.52%
investments in property plant and equipment
-130K
-
-14K
89.23%
-91K
550%
-10K
89.01%
-845K
-
-237K
71.95%
-525K
121.52%
-708K
34.86%
-800K
12.99%
-1.71M
113.38%
-758K
55.59%
-1.32M
74.41%
107K
108.09%
-850K
894.39%
-1.82M
114.12%
-622K
65.82%
-923K
48.39%
-863K
6.50%
-915K
6.03%
acquisitions net
7.30M
-
-21.52M
-
-10.82M
49.71%
21.52M
298.85%
193.86M
800.63%
-46.67M
124.07%
30.56M
165.47%
purchases of investments
-6.69M
-
-85.36M
-
-174.72M
104.69%
-37.85M
78.34%
-53.63M
41.69%
-89.65M
67.18%
-251.35M
180.37%
-24.05M
90.43%
-131.79M
447.90%
-53.81M
59.17%
-141.56M
163.08%
sales maturities of investments
3M
-
21.52M
-
64.45M
199.42%
82.73M
28.36%
57.49M
30.51%
70.72M
23.02%
101.23M
43.14%
105.71M
4.42%
109.72M
3.80%
other investing activites
3.58M
-
-7.30M
-
21.52M
-
10.82M
49.71%
-21.52M
298.85%
-193.86M
800.63%
46.67M
124.07%
-30.56M
165.47%
net cash used for investing activites
-130K
-
-14K
89.23%
-91K
550%
-10K
89.01%
-845K
-
-6.93M
720.12%
-525K
92.42%
2.87M
647.05%
-800K
127.86%
-84.06M
10,408%
-175.47M
108.74%
-17.64M
89.95%
10.93M
161.96%
-7.77M
171.06%
-195.68M
2,419.05%
46.05M
123.53%
-31.48M
168.36%
51.04M
262.14%
-32.75M
164.16%
debt repayment
-700K
-
-700K
0%
-700K
0%
-700K
0%
-700K
0%
-3.98M
469.00%
-4.68M
-
common stock issued
39K
-
-39K
200%
65K
-
16K
75.38%
298.06M
1,862,800%
165.60M
-
20.34M
87.72%
24.85M
22.17%
39.47M
58.83%
40.53M
2.71%
239.93M
491.94%
22.44M
90.65%
38.11M
69.81%
40K
99.90%
31.89M
79,627.50%
5.59M
82.46%
common stock repurchased
444K
-
709K
-
dividends paid
other financing activites
4.48M
-
15.04M
235.45%
-12K
100.08%
72.46M
603,925%
2.01M
97.23%
-22.47M
1,219.63%
-1.35M
94.01%
4.69M
448.37%
17K
99.64%
413K
2,329.41%
-10.43M
2,624.94%
-334K
96.80%
-735K
120.06%
-681K
7.35%
-913K
34.07%
3.72M
507.56%
520K
86.03%
866K
66.54%
383.85M
-
net cash used provided by financing activities
3.82M
-
14.30M
274.12%
-712K
104.98%
71.82M
10,187.64%
1.32M
98.16%
271.61M
20,429.86%
-1.35M
100.50%
450K
133.43%
17K
96.22%
413K
2,329.41%
155.17M
37,471.91%
20.71M
86.65%
24.11M
16.41%
38.78M
60.84%
39.62M
2.16%
243.65M
514.98%
22.96M
90.58%
38.97M
69.73%
40K
99.90%
31.89M
79,627.50%
389.44M
1,121.18%
effect of forex changes on cash
net change in cash
1.74M
-
29.65M
1,607.89%
-6.61M
122.30%
66.71M
1,109.14%
-5.83M
108.73%
263.82M
4,627.53%
-11.30M
104.28%
-19.55M
72.97%
-20.19M
3.25%
-24.85M
23.09%
133.59M
637.59%
-89.56M
167.04%
-180.94M
102.02%
-14.41M
92.04%
18.59M
229.06%
196.70M
957.91%
-221.69M
212.70%
35.21M
115.88%
-68.23M
293.76%
99.43M
245.73%
286.32M
187.95%
cash at beginning of period
3.09M
-
4.83M
56.18%
34.48M
614.36%
27.86M
19.18%
94.58M
239.43%
88.75M
6.16%
352.57M
297.26%
341.27M
3.21%
321.71M
5.73%
301.52M
6.28%
276.67M
8.24%
410.26M
48.28%
320.70M
21.83%
139.76M
56.42%
125.36M
10.31%
143.95M
14.83%
340.65M
136.64%
118.96M
65.08%
154.18M
29.60%
85.65M
44.45%
185.38M
116.44%
cash at end of period
4.83M
-
34.48M
614.36%
27.86M
19.18%
94.58M
239.43%
88.75M
6.16%
352.57M
297.26%
341.27M
3.21%
321.71M
5.73%
301.52M
6.28%
276.67M
8.24%
410.26M
48.28%
320.70M
21.83%
139.76M
56.42%
125.36M
10.31%
143.95M
14.83%
340.65M
136.64%
118.96M
65.08%
154.18M
29.60%
85.94M
44.25%
185.08M
115.35%
471.69M
154.86%
operating cash flow
-2.09M
-
15.48M
842.09%
-5.88M
138.02%
-5.02M
14.72%
-7.14M
42.26%
-7.79M
9.12%
-9.11M
16.97%
-13.07M
43.45%
-19.68M
50.55%
-28.14M
42.96%
-20.78M
26.13%
-26.21M
26.14%
-29.57M
12.81%
-35.55M
20.19%
-31.96M
10.09%
-39.19M
22.62%
-48.97M
24.95%
-49.81M
1.72%
-36.79M
26.13%
16.50M
144.85%
-70.38M
526.52%
capital expenditure
-130K
-
-14K
89.23%
-91K
550%
-10K
89.01%
-845K
-
-237K
71.95%
-525K
121.52%
-708K
34.86%
-800K
12.99%
-1.71M
113.38%
-758K
55.59%
-1.32M
74.41%
107K
108.09%
-850K
894.39%
-1.82M
114.12%
-622K
65.82%
-923K
48.39%
-863K
6.50%
-915K
6.03%
free cash flow
-2.09M
-
15.35M
835.86%
-5.90M
138.43%
-5.11M
13.38%
-7.15M
39.92%
-7.79M
8.97%
-9.96M
27.81%
-13.31M
33.66%
-20.21M
51.81%
-28.84M
42.74%
-21.58M
25.17%
-27.92M
29.38%
-30.33M
8.63%
-36.87M
21.55%
-31.85M
13.61%
-40.04M
25.70%
-50.79M
26.84%
-50.43M
0.70%
-37.71M
25.21%
15.64M
141.46%
-71.30M
555.91%

All numbers in USD (except ratios and percentages)