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ADCT Stock Annual Cash Flow. Download in Excel

Adc Therapeutics SA logo

Adc Therapeutics SA

Sector: Manufacturing   

Industry: Pharmaceutical Preparation Manufacturing

1.96
 
USD
  
-0.16
  
(-7.55%)
Previous close: 2.12  Open: 2.07  Bid: 1.98  Ask: 2.1
52 week range    
1.45   
   6.04
Mkt Cap: 206 M  Avg Vol (90 Days): 1,545,490
Peers   
OTIC / 
OTLC / 
OVAT-CA / 
Last updated: Monday 23rd December 2024

Stock Rankings

29
MarketXLS Rank
40
Value
15
Technical
34
Quality
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Financials

ADCT Cash Flow

Annual
Invalid dateDec-20Dec-21Dec-22Dec-23
(Increase) Decrease in inventories-3 M-9 M-6 M
(Increase) Decrease in other current assets-5 M-6 M-4 M7 M
(Increase) Decrease in other current liabilities15 M13 M20 M
(Increase) Decrease in other working capital8 M
(Increase) Decrease in payables2 M7 M310000.03 M
(Increase) Decrease in receivables-30 M-43 M48 M
Amortization of intangibles129000.0118000.0
AssetImpairmentCharge-8 M3 M2 M
CapitalExpenditureReported3 M6 M2 M3 M
Cash at beginning of period116 M439 M467 M326 M
Cash at end of period439 M467 M321 M279 M
Cash flow-169 M-234 M-137 M-122 M
CashFlowFromContinuingInvestingActivities-3 M-7 M-687000.0-3 M
ChangeInAccountPayable2 M7 M310000.03 M
ChangeInAccruedExpense-14 M
ChangeInPayablesAndAccruedExpense2 M7 M310000.0-11 M
ChangeInWorkingCapital12 M-20 M-35 M46 M
ChangesInAccountReceivables-30 M-43 M48 M
Current deferred income taxes327000.0-21 M1 M37 M
Deferred income taxes327000.05 M2 M37 M
Depreciation1 M
Depreciation unreconciled129000.0118000.022 M
DepreciationAndAmortization129000.0118000.022 M
EarningsLossesFromEquityInvestments-24 M7 M10 M6 M
Effect of exchange rate changes-208000.0184000.0
FinancingCashFlow495 M268 M-897000.074 M
Free cash flow-172 M-240 M-139 M-122 M
InterestPaidSupplementalData15 M
Issuance of capital stock433 M773000.0
IssuanceOfCapitalStock433 M773000.0
IssuanceOfDebt62 M49 M-1 M
Net cash from financing activities495 M268 M-7 M74 M
Net cash from investing activities-3 M-7 M-687000.0-3 M
Net cash from operating activities-169 M-234 M-138 M-119 M
Net change in cash & cash equivalents323 M27 M-140 M-48 M
Net income from continuing operations-246 M-230 M-167 M-240 M
NetCommonStockIssuance433 M773000.0
NetForeignCurrencyExchangeGainLoss476000.0-185000.0-107000.0
NetIntangiblesPurchaseAndSale-2 M-3 M-2 M
NetIssuancePaymentsOfDebt62 M49 M-1 M
NetLongTermDebtIssuance62 M49 M-1 M
NetPPEPurchaseAndSale-801000.0-3 M-577000.0-3 M
Operating (gains) losses-21 M9 M40 M5 M
Other financing charges net73 M
Other non-cash items83 M17 M27 M8 M
PensionAndEmployeeBenefitExpense-712000.0
ProceedsFromStockOptionExercised54000.0219 M-6 M
Purchase of property plant & equipment-3 M-6 M-2 M-3 M
Purchase of short term investments63 M50 M
PurchaseOfIntangibles-2 M-3 M-2 M
PurchaseOfPPE-801000.0-3 M-577000.0-3 M
Repayment of debt-1 M-977000.0-1 M
RepaymentOfDebt-1 M-977000.0-1 M
Revenue per share129000.0118000.021 M
StockBasedCompensation38 M60 M49 M13 M
UnrealizedGainLossOnInvestmentSecurities45 M-35 M-26 M-497000.0
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