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NASDAQ:RXRX

Recursion

  • Stock

USD

Last Close

8.05

26/07 20:00

Market Cap

1.89B

Beta: −0.39

Volume Today

2.92M

Avg: 1.11M

PE Ratio

−6.78

PFCF: −7.12

Preview

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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
-18.42M
-
-18.94M
2.82%
-23.87M
26.03%
-25.77M
7.93%
-30.72M
19.22%
-43.40M
41.29%
-47.43M
9.28%
-64.93M
36.91%
-55.98M
13.79%
-65.56M
17.12%
-60.45M
7.80%
-57.49M
4.89%
-65.33M
13.63%
-76.73M
17.45%
-93.02M
21.23%
-93.00M
0.02%
-91.37M
1.75%
depreciation and amortization
937K
-
1.02M
9.28%
857K
16.31%
1.62M
89.50%
1.40M
13.67%
2.33M
66.26%
2.44M
4.50%
2.24M
8.21%
2.77M
23.75%
2.79M
0.69%
2.99M
7.29%
3.21M
7.53%
3.73M
15.99%
5.54M
48.69%
7.58M
36.71%
15.62M
106.07%
7.40M
52.61%
deferred income tax
1.76M
-
827K
-
19K
-
-54.06M
284,610.53%
stock based compensation
1.26M
-
769K
39.21%
1.07M
39.14%
1.19M
11.03%
1.82M
53.28%
5.32M
191.98%
3.36M
36.75%
4.34M
29.08%
5.63M
29.74%
5.67M
0.76%
8.91M
56.95%
7.70M
13.61%
8.81M
14.54%
11.81M
34.00%
16.79M
42.17%
16.09M
4.20%
16.13M
0.25%
change in working capital
-1.62M
-
617K
138.16%
280K
54.62%
31.55M
11,169.29%
-3.36M
110.65%
-275K
91.82%
7.29M
2,750.91%
-3.96M
154.31%
122.82M
3,202.40%
-9.54M
107.76%
-7.76M
18.58%
-601K
92.26%
-24.40M
3,960.57%
-10.12M
58.53%
-4.46M
55.91%
-11.27M
152.58%
-36.45M
223.43%
accounts receivables
82K
-
60K
26.83%
-30.19M
50,416.67%
30.04M
199.51%
85K
99.72%
13K
84.71%
16K
23.08%
3.78M
-
5.57M
47.52%
-317K
105.69%
-814K
156.78%
-203K
75.06%
-6.42M
3,063.55%
-1.04M
83.81%
inventory
4.23M
-
-3.00M
170.82%
2.14M
171.41%
6.64M
210.32%
-3.78M
-
-5.57M
47.52%
317K
105.69%
814K
156.78%
203K
75.06%
accounts payables
625K
-
-533K
185.28%
-55K
89.68%
-222K
303.64%
2.05M
1,023.87%
71K
96.54%
3.13M
4,308.45%
-3.51M
212.04%
1.34M
138.32%
-986K
173.36%
714K
172.41%
695K
2.66%
-339K
148.78%
-2.52M
642.48%
2.19M
186.85%
-317K
114.50%
1.17M
468.45%
other working capital
-2.32M
-
1.09M
146.90%
30.52M
2,700.46%
-2.50M
108.19%
-2.50M
0%
-2.50M
0%
-2.50M
0%
-452K
81.92%
121.48M
26,976.11%
-8.55M
107.04%
-8.48M
0.84%
-1.30M
84.72%
-24.07M
1,756.87%
-7.60M
68.40%
-6.65M
12.57%
-4.53M
31.84%
-36.58M
707.31%
other non cash items
22K
-
-166K
854.55%
453K
372.89%
-27K
105.96%
101K
474.07%
2.38M
2,251.49%
464K
80.46%
1.16M
149.35%
2.14M
85.31%
5.01M
133.82%
1.77M
64.63%
2.44M
37.39%
3.87M
58.99%
2.03M
47.69%
170K
91.61%
52.54M
30,808.24%
32.80M
37.58%
net cash provided by operating activities
-17.82M
-
-16.70M
6.27%
-19.46M
16.51%
8.57M
144.06%
-30.75M
458.74%
-33.65M
9.42%
-33.05M
1.80%
-61.16M
85.06%
77.39M
226.54%
-61.62M
179.63%
-54.54M
11.49%
-44.75M
17.96%
-73.32M
63.84%
-67.47M
7.98%
-72.92M
8.08%
-74.08M
1.59%
-102.30M
38.10%
investments in property plant and equipment
-684K
-
-634K
7.31%
-826K
30.28%
-4.59M
455.81%
-19.42M
322.91%
-6.21M
68.01%
-9.71M
56.25%
-4.46M
54.01%
-4.34M
2.73%
-16.48M
279.43%
-8.56M
48.02%
-7.98M
6.82%
-5.34M
33.07%
-3.97M
25.69%
-827K
79.16%
-2.42M
192.26%
-6.65M
175.26%
acquisitions net
-184.17M
-
1.92M
-
-71K
-
purchases of investments
-116.97M
-
sales maturities of investments
69.19M
-
147.65M
113.39%
21.41M
85.50%
61.55M
187.40%
480K
-
other investing activites
595K
-
-2.60M
536.97%
-184.17M
-
184.17M
200%
net cash used for investing activites
-684K
-
-39K
94.30%
-3.43M
8,684.62%
-4.59M
34.00%
-19.42M
322.91%
-6.21M
68.01%
-193.87M
3,020.94%
-52.24M
73.05%
143.30M
374.30%
4.94M
96.55%
52.98M
972.55%
-7.98M
115.06%
-5.34M
33.07%
-2.05M
61.55%
-347K
83.10%
-2.49M
617.00%
-6.65M
167.40%
debt repayment
-19K
-
-18K
5.26%
-20K
11.11%
-20K
0%
-20K
0%
-20K
0%
-12.74M
63,585%
-21K
99.84%
-22K
4.76%
-22K
0%
-23K
4.55%
-23K
0%
-24K
4.35%
-24K
0%
-24K
0%
-694K
2,791.67%
-26K
96.25%
common stock issued
462.90M
-
2.36M
-
143.71M
5,989.45%
1.95M
98.65%
3.81M
95.84%
53.79M
1,311.41%
81.35M
51.24%
13.92M
82.89%
common stock repurchased
dividends paid
other financing activites
6.02M
-
400K
93.35%
229.74M
57,335.25%
10.05M
95.62%
2.15M
78.58%
463.73M
21,428.55%
1.64M
99.65%
-459.08M
28,058.83%
2.11M
100.46%
2.69M
27.73%
3.57M
-
13.92M
-
net cash used provided by financing activities
6.00M
-
382K
93.63%
229.72M
60,036.39%
10.04M
95.63%
2.13M
78.73%
463.70M
21,629.38%
-11.10M
102.39%
3.80M
134.21%
2.08M
45.10%
2.67M
28.02%
2.34M
12.41%
147.26M
6,201.07%
1.92M
98.69%
3.79M
97.03%
53.77M
1,319.73%
80.66M
50.02%
13.90M
82.77%
effect of forex changes on cash
-307K
-
-2K
99.35%
181K
9,150%
-115K
163.54%
124K
207.83%
-219K
276.61%
net change in cash
-12.50M
-
-16.36M
30.81%
206.84M
1,364.61%
14.02M
93.22%
-48.04M
442.71%
423.84M
982.32%
-238.02M
156.16%
-109.61M
53.95%
222.78M
303.25%
-54.02M
124.25%
780K
101.44%
94.22M
11,979.74%
-76.74M
181.44%
-65.55M
14.57%
-19.62M
70.07%
5.22M
126.60%
-95.28M
1,925.89%
cash at beginning of period
75.17M
-
62.67M
16.63%
46.31M
26.10%
253.15M
446.63%
267.17M
5.54%
219.13M
17.98%
642.97M
193.42%
404.95M
37.02%
295.35M
27.07%
518.13M
75.43%
464.11M
10.43%
464.89M
0.17%
559.11M
20.27%
482.38M
13.72%
416.82M
13.59%
389.58M
6.54%
394.80M
1.34%
cash at end of period
62.67M
-
46.31M
26.10%
253.15M
446.63%
267.17M
5.54%
219.13M
17.98%
642.97M
193.42%
404.95M
37.02%
295.35M
27.07%
518.13M
75.43%
464.11M
10.43%
464.89M
0.17%
559.11M
20.27%
482.38M
13.72%
416.82M
13.59%
397.21M
4.71%
394.80M
0.61%
299.52M
24.13%
operating cash flow
-17.82M
-
-16.70M
6.27%
-19.46M
16.51%
8.57M
144.06%
-30.75M
458.74%
-33.65M
9.42%
-33.05M
1.80%
-61.16M
85.06%
77.39M
226.54%
-61.62M
179.63%
-54.54M
11.49%
-44.75M
17.96%
-73.32M
63.84%
-67.47M
7.98%
-72.92M
8.08%
-74.08M
1.59%
-102.30M
38.10%
capital expenditure
-684K
-
-634K
7.31%
-826K
30.28%
-4.59M
455.81%
-19.42M
322.91%
-6.21M
68.01%
-9.71M
56.25%
-4.46M
54.01%
-4.34M
2.73%
-16.48M
279.43%
-8.56M
48.02%
-7.98M
6.82%
-5.34M
33.07%
-3.97M
25.69%
-827K
79.16%
-2.42M
192.26%
-6.65M
175.26%
free cash flow
-18.50M
-
-17.33M
6.31%
-20.28M
17.01%
3.98M
119.63%
-50.17M
1,359.94%
-39.87M
20.54%
-42.75M
7.25%
-65.62M
53.49%
73.05M
211.31%
-78.10M
206.92%
-63.10M
19.20%
-52.73M
16.44%
-78.66M
49.18%
-71.44M
9.18%
-73.75M
3.24%
-76.49M
3.72%
-108.95M
42.43%

All numbers in USD (except ratios and percentages)