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NASDAQ:SLN

Silence Therapeutics

  • Stock

USD

Last Close

540.00

24/04 19:47

Volume Today

913.53K

Avg: 65.78K

PE Ratio

−14.72

PFCF: −14.65

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Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
net income
-11.09M
-
-6.64M
40.07%
-8.44M
27.01%
-1.62M
80.83%
-18.41M
1,037.89%
-19.58M
6.36%
-32.55M
66.21%
depreciation and amortization
332K
-
182K
45.18%
310K
70.33%
433K
39.68%
399K
7.85%
482K
20.80%
428K
11.20%
deferred income tax
stock based compensation
1.13M
-
777K
31.06%
475K
38.87%
638K
34.32%
681K
6.74%
584K
14.24%
2.71M
363.36%
change in working capital
52K
-
-1.12M
2,259.62%
-539K
52.00%
1.71M
417.44%
913K
46.64%
21.09M
2,209.42%
26.93M
27.70%
accounts receivables
inventory
accounts payables
other working capital
other non cash items
121K
-
-1.45M
1,295.04%
-1.87M
29.46%
-10.76M
474.95%
-342K
96.82%
-842K
146.20%
4.16M
593.94%
net cash provided by operating activities
-9.46M
-
-8.26M
12.70%
-10.07M
21.94%
-9.60M
4.64%
-16.76M
74.60%
1.73M
110.30%
1.67M
3.18%
investments in property plant and equipment
-338K
-
-850K
151.48%
-537K
36.82%
-173K
67.78%
-188K
8.67%
-9K
95.21%
-794K
8,722.22%
acquisitions net
purchases of investments
-4.30M
-
-4.92M
14.47%
-5M
1.61%
-15M
200%
-40.04M
166.95%
sales maturities of investments
5M
-
18.12M
-
319K
98.24%
other investing activites
137K
-
175K
27.74%
161K
8%
-15K
109.32%
39K
360%
-6K
115.38%
-418K
6,866.67%
net cash used for investing activites
-201K
-
4.33M
2,251.74%
-4.67M
208.09%
13.01M
378.37%
-4.83M
137.11%
-15.02M
210.87%
-41.25M
174.75%
debt repayment
common stock issued
10.84M
-
39.15M
261.06%
48K
-
341K
610.42%
5.27M
1,446.33%
31.61M
499.51%
common stock repurchased
-101K
-
dividends paid
other financing activites
net cash used provided by financing activities
10.84M
-
39.15M
261.06%
-101K
100.26%
48K
147.52%
341K
610.42%
5.27M
1,446.33%
31.61M
499.51%
effect of forex changes on cash
-220K
-
-173K
21.36%
1.95M
1,225.43%
270K
86.13%
-2K
100.74%
36K
1,900%
-336K
1,033.33%
net change in cash
967K
-
35.05M
3,524.61%
-12.89M
136.79%
3.73M
128.95%
-21.25M
669.27%
-7.98M
62.45%
-6.39M
19.96%
cash at beginning of period
15.89M
-
16.86M
6.09%
51.91M
207.93%
39.01M
24.84%
42.74M
9.57%
21.49M
49.72%
27.03M
25.76%
cash at end of period
16.86M
-
51.91M
207.93%
39.01M
24.84%
42.74M
9.57%
21.49M
49.72%
13.52M
37.12%
20.64M
52.75%
operating cash flow
-9.46M
-
-8.26M
12.70%
-10.07M
21.94%
-9.60M
4.64%
-16.76M
74.60%
1.73M
110.30%
1.67M
3.18%
capital expenditure
-338K
-
-850K
151.48%
-537K
36.82%
-173K
67.78%
-188K
8.67%
-9K
95.21%
-794K
8,722.22%
free cash flow
-9.79M
-
-9.11M
7.03%
-10.60M
16.45%
-9.77M
7.84%
-16.95M
73.43%
1.72M
110.14%
878K
48.89%

All numbers in USD (except ratios and percentages)