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NASDAQ:TNYA

Tenaya Therapeutics

  • Stock

USD

Last Close

2.77

30/08 20:00

Market Cap

241.05M

Beta: -

Volume Today

257.84K

Avg: 560.72K

PE Ratio

−2.55

PFCF: −2.80

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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
Jun '24
net income
-9.05M
-
-8.73M
3.54%
-10.29M
17.91%
-10.32M
0.22%
-13.10M
26.94%
-15.21M
16.12%
-18.26M
20.07%
-26.15M
43.20%
-31.06M
18.76%
-28.40M
8.56%
-30.70M
8.10%
-33.52M
9.19%
-31.74M
5.31%
-33.27M
4.83%
-29.14M
12.40%
-29.93M
2.72%
-32.23M
7.66%
depreciation and amortization
584K
-
610K
4.45%
631K
3.44%
658K
4.28%
689K
4.71%
735K
6.68%
746K
1.50%
791K
6.03%
966K
22.12%
1.30M
34.27%
2.09M
60.91%
2.12M
1.44%
2.13M
0.61%
2.19M
3.05%
2.18M
0.64%
2.99M
36.96%
2.15M
27.85%
deferred income tax
35K
-
10K
-
182K
1,720%
-489K
-
-315K
35.58%
-10.23M
3,146.98%
stock based compensation
154K
-
185K
20.13%
198K
7.03%
204K
3.03%
432K
111.76%
502K
16.20%
968K
92.83%
1.05M
8.26%
2.09M
99.81%
3.01M
43.84%
3.17M
5.38%
3.19M
0.41%
3.51M
10.26%
3.83M
9.02%
4.01M
4.80%
3.95M
1.64%
4.22M
6.96%
change in working capital
21K
-
605K
2,780.95%
83K
86.28%
-943K
1,236.14%
-3.98M
322.38%
1.69M
142.46%
-428K
125.31%
7.46M
1,843.46%
-1.24M
116.55%
-1.94M
57.33%
-2.66M
36.80%
4.99M
287.62%
-4.44M
188.95%
683K
115.40%
-1.22M
279.21%
-671K
45.18%
-3.64M
442.32%
accounts receivables
inventory
accounts payables
674K
-
-252K
137.39%
105K
141.67%
-385K
466.67%
618K
260.52%
745K
20.55%
1.16M
55.03%
6.08M
426.58%
-1.78M
129.25%
-341K
80.83%
317K
192.96%
3.46M
992.43%
-1.32M
138.23%
1.10M
183.16%
-2.75M
350.14%
-305K
88.93%
1.27M
517.05%
other working capital
-653K
-
857K
231.24%
-22K
102.57%
-558K
2,436.36%
-4.60M
724.55%
946K
120.56%
-1.58M
267.34%
1.38M
187.18%
544K
60.58%
-1.60M
394.49%
-2.98M
85.71%
1.52M
151.23%
-3.11M
304.20%
-418K
86.57%
1.53M
466.03%
-366K
123.92%
-4.91M
1,241.80%
other non cash items
19K
-
57K
200%
-151K
364.91%
-2K
98.68%
171K
8,650%
263K
53.80%
309K
17.49%
321K
3.88%
475K
47.98%
601K
26.53%
537K
10.65%
543K
1.12%
239K
55.99%
829K
246.86%
848K
2.29%
1.75M
105.90%
8.09M
363.34%
net cash provided by operating activities
-8.24M
-
-7.27M
11.70%
-9.53M
31.07%
-10.40M
9.09%
-15.79M
51.80%
-12.02M
23.88%
-16.66M
38.59%
-16.35M
1.86%
-28.76M
75.91%
-25.43M
11.57%
-27.56M
8.36%
-22.68M
17.69%
-30.29M
33.54%
-26.22M
13.44%
-23.64M
9.85%
-21.92M
7.25%
-28.66M
30.72%
investments in property plant and equipment
-435K
-
-989K
127.36%
-162K
83.62%
-8.18M
4,947.53%
-4.32M
47.13%
-3.24M
25.14%
-5.01M
54.76%
-12.55M
150.68%
-8.60M
31.54%
-7.18M
16.51%
-4.06M
43.37%
-795K
80.44%
-629K
20.88%
-208K
66.93%
-8K
96.15%
-394K
4,825%
-564K
43.15%
acquisitions net
-35.10K
-
purchases of investments
-50.03M
-
-43.17M
13.70%
-21.96M
49.12%
-43.60M
98.52%
-31.74M
27.21%
-25.80M
18.72%
-15.20M
41.08%
-15.65M
-
-23.64M
51.11%
sales maturities of investments
2.75M
-
68.20M
-
59.35M
12.98%
78.70M
32.60%
38.50M
51.08%
34.50M
10.39%
40.48M
17.34%
30.50M
24.66%
1.14M
96.27%
19.72M
1,631.08%
other investing activites
-163.42M
-
35.10K
-
8K
77.21%
-12K
250%
9K
175%
-4K
144.44%
-18K
350%
1K
105.56%
net cash used for investing activites
2.32M
-
-989K
142.67%
-162K
83.62%
-8.18M
4,947.53%
-4.32M
47.13%
-3.24M
25.14%
-168.43M
5,104.73%
-62.58M
62.84%
16.43M
126.26%
30.21M
83.83%
31.03M
2.73%
5.97M
80.75%
8.06M
34.93%
25.09M
211.19%
30.49M
21.54%
-14.92M
148.93%
-4.49M
69.91%
debt repayment
common stock issued
-64K
-
6K
-
77.39M
1,289,683.33%
4.18M
-
371K
-
46.77M
12,506.74%
common stock repurchased
-1K
-
-3K
-
-9K
200%
dividends paid
other financing activites
30.67M
-
-21K
100.07%
30.70M
146,271.43%
85.92M
179.92%
20.02M
76.71%
-1.30M
106.49%
190.28M
14,759.24%
52K
99.97%
15K
71.15%
260K
1,633.33%
99K
-
-501K
606.06%
9K
-
net cash used provided by financing activities
30.67M
-
-21K
100.07%
30.70M
146,266.67%
85.92M
179.93%
20.02M
76.71%
-1.30M
106.49%
190.27M
14,759.01%
-21K
100.01%
15K
171.43%
260K
1,633.33%
6K
97.69%
77.49M
1,291,333.33%
-501K
100.65%
4.18M
934.13%
371K
-
46.77M
12,506.74%
effect of forex changes on cash
-1K
-
37.55M
3,755,300%
net change in cash
24.75M
-
-8.28M
133.47%
21.00M
353.49%
67.35M
220.71%
-97K
100.14%
-16.55M
16,964.95%
5.19M
131.36%
-78.95M
1,620.86%
-12.31M
84.41%
5.04M
140.95%
3.48M
30.87%
60.78M
1,644.49%
-22.73M
137.40%
3.04M
113.39%
6.85M
125.03%
-36.47M
632.44%
13.62M
137.35%
cash at beginning of period
24.27M
-
49.02M
101.97%
40.74M
16.90%
61.74M
51.55%
129.08M
109.09%
128.99M
0.08%
112.43M
12.83%
117.62M
4.62%
38.68M
67.12%
26.37M
31.82%
31.41M
19.11%
34.89M
11.09%
95.67M
174.18%
72.94M
23.76%
75.98M
4.17%
82.15M
8.12%
45.68M
44.40%
cash at end of period
49.02M
-
40.74M
16.90%
61.74M
51.55%
129.08M
109.09%
128.99M
0.07%
112.43M
12.83%
117.62M
4.62%
38.68M
67.12%
26.37M
31.82%
31.41M
19.11%
34.89M
11.09%
95.67M
174.18%
72.94M
23.76%
75.98M
4.17%
82.83M
9.01%
45.68M
44.85%
59.30M
29.82%
operating cash flow
-8.24M
-
-7.27M
11.70%
-9.53M
31.07%
-10.40M
9.09%
-15.79M
51.80%
-12.02M
23.88%
-16.66M
38.59%
-16.35M
1.86%
-28.76M
75.91%
-25.43M
11.57%
-27.56M
8.36%
-22.68M
17.69%
-30.29M
33.54%
-26.22M
13.44%
-23.64M
9.85%
-21.92M
7.25%
-28.66M
30.72%
capital expenditure
-435K
-
-989K
127.36%
-162K
83.62%
-8.18M
4,947.53%
-4.32M
47.13%
-3.24M
25.14%
-5.01M
54.76%
-12.55M
150.68%
-8.60M
31.54%
-7.18M
16.51%
-4.06M
43.37%
-795K
80.44%
-629K
20.88%
-208K
66.93%
-8K
96.15%
-394K
4,825%
-564K
43.15%
free cash flow
-8.67M
-
-8.26M
4.73%
-9.70M
17.34%
-18.58M
91.60%
-20.11M
8.26%
-15.26M
24.15%
-21.66M
42.02%
-28.90M
33.40%
-37.35M
29.24%
-32.61M
12.70%
-31.62M
3.02%
-23.48M
25.75%
-30.92M
31.70%
-26.43M
14.53%
-23.65M
10.53%
-22.32M
5.62%
-29.22M
30.94%

All numbers in USD (except ratios and percentages)