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BTAI Stock Annual Cash Flow. Download in Excel

BioXcel Therapeutics Inc. logo

BioXcel Therapeutics Inc.

Sector: Healthcare   

Industry: Biotechnology

0.57
 
USD
  
-0.02
  
(-2.96%)
Previous close: 0.588  Open: 0.571  Bid: 0.45  Ask: 0.4899
52 week range    
0.50   
   4.17
Mkt Cap: 26 M  Avg Vol (90 Days): 487,092
Peers   
OTIC / 
OTLC / 
OVAT-CA / 
Last updated: Friday 22nd November 2024

Stock Rankings

39
MarketXLS Rank
60
Value
30
Technical
28
Quality
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Financials

BTAI Cash Flow

Annual
Invalid dateDec-18Dec-19Dec-20Dec-21Dec-22Dec-23
(Increase) Decrease in inventories-2 M-6000.0
(Increase) Decrease in payables3 M4 M3 M5 M13 M-3 M
(Increase) Decrease in receivables-248000.0177000.0
CapitalExpenditureReported340000.0870000.0316000.0445000.0139000.020000.0
Cash at beginning of period887000.043 M32 M213 M233 M194 M
Cash at end of period43 M32 M213 M233 M194 M65 M
Cash flow-14 M-27 M-66 M-82 M-135 M-155 M
CashFlowFromContinuingInvestingActivities-340000.0-870000.0-316000.0-445000.0-139000.0-20000.0
ChangeInAccountPayable3 M4 M3 M5 M13 M-3 M
ChangeInAccruedExpense4 M2 M
ChangeInInterestPayable4 M2 M
ChangeInPayablesAndAccruedExpense3 M4 M3 M5 M17 M-722000.0
ChangeInPrepaidAssets-539000.0-1 M-2 M103000.0-4 M3 M
ChangeInWorkingCapital3 M3 M896000.05 M11 M2 M
ChangesInAccountReceivables-248000.0177000.0
CommonStockPayments-9 M-811000.0
Depreciation17000.0156000.0188000.0297000.0327000.0318000.0
Depreciation unreconciled17000.0156000.0188000.0297000.01 M2 M
DepreciationAndAmortization17000.0156000.0188000.0297000.0327000.0318000.0
FinancingCashFlow56 M18 M247 M102 M96 M27 M
Free cash flow-14 M-28 M-67 M-83 M-135 M-155 M
GainLossOnInvestmentSecurities389000.0-438000.0
GainLossOnSaleOfPPE46000.022000.02000.0
InterestPaidSupplementalData1000.062000.027000.040000.03 M8 M
Issuance of capital stock57 M18 M256 M101 M27 M
IssuanceOfCapitalStock57 M18 M256 M101 M27 M
IssuanceOfDebt-371000.096 M-180000.0
Net cash from financing activities56 M18 M247 M102 M96 M27 M
Net cash from investing activities-340000.0-870000.0-316000.0-445000.0-139000.0-20000.0
Net cash from operating activities-14 M-27 M-66 M-82 M-135 M-155 M
Net change in cash & cash equivalents42 M-10 M181 M20 M-39 M-129 M
Net income from continuing operations-19 M-33 M-82 M-107 M-166 M-179 M
NetCommonStockIssuance57 M18 M247 M101 M26 M
NetIssuancePaymentsOfDebt-371000.096 M-180000.0
NetLongTermDebtIssuance-371000.096 M-180000.0
NetPPEPurchaseAndSale-340000.0-870000.0-316000.0-445000.0-139000.0-20000.0
Operating (gains) losses46000.0411000.0-436000.0
Other financing charges net7000.022000.0-27000.0
Other non-cash items3 M3 M15 M19 M18 M20 M
ProceedsFromStockOptionExercised22000.0598000.01 M283000.0508000.0
Purchase of property plant & equipment-340000.0-870000.0-316000.0-445000.0-139000.0-20000.0
Purchase of short term investments99 M
PurchaseOfPPE-340000.0-870000.0-316000.0-445000.0-139000.0-20000.0
Repayment of debt-371000.0-3 M-180000.0
RepaymentOfDebt-371000.0-3 M-180000.0
Repurchase of capital stock-9 M-811000.0
Revenue per share1 M2 M
StockBasedCompensation3 M3 M15 M19 M17 M19 M
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