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KOD Stock Annual Cash Flow. Download in Excel

Kodiak Sciences Inc logo

Kodiak Sciences Inc

Sector: Healthcare   

Industry: Biotechnology

8.65
 
USD
  
-0.03
  
(-0.35%)
Previous close: 8.68  Open: 8.44  Bid: 8.43  Ask: 10.0
52 week range    
2.19   
   11.60
Mkt Cap: 467 M  Avg Vol (90 Days): 359,563
Peers   
OTIC / 
OTLC / 
OVAT-CA / 
Last updated: Sunday 22nd December 2024

Stock Rankings

50
MarketXLS Rank
60
Value
69
Technical
23
Quality
How are these ranks calculated?
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Financials

KOD Cash Flow

Annual
Invalid dateDec-18Dec-19Dec-20Dec-21Dec-22Dec-23
(Increase) Decrease in other current liabilities31000.0
(Increase) Decrease in other working capital-5 M-2 M1 M7 M426000.0
(Increase) Decrease in payables-2 M2 M5 M-2 M2 M6 M
Amortization of intangibles373000.04 M53000.053000.04000.0
AssetImpairmentCharge-846000.0
CapitalExpenditureReported78000.0437000.04 M17 M37 M41 M
Cash at beginning of period2 M88 M212 M951 M738 M197 M
Cash at end of period88 M212 M944 M732 M190 M292 M
Cash flow-29 M-39 M-83 M-183 M-206 M-154 M
CashFlowFromContinuingInvestingActivities-581000.0-137 M105 M-39 M-337 M249 M
ChangeInAccountPayable-2 M2 M5 M-2 M2 M6 M
ChangeInAccruedExpense-2 M5 M12 M14 M-2 M-13 M
ChangeInInterestPayable-2 M
ChangeInPayablesAndAccruedExpense-4 M7 M17 M11 M-586000.0-7 M
ChangeInPrepaidAssets-2 M-168000.0-218000.0-270000.0-3 M8 M
ChangeInWorkingCapital-6 M2 M15 M13 M4 M2 M
Depreciation490000.0500000.0500000.01000000.04 M18 M
Depreciation unreconciled6 M632000.04 M9 M10 M26 M
DepreciationAndAmortization6 M632000.04 M9 M11 M26 M
FinancingCashFlow116 M300 M717 M8 M2 M31000.0
Free cash flow-29 M-40 M-87 M-199 M-243 M-196 M
GainLossOnInvestmentSecurities-616000.0
GainLossOnSaleOfPPE-120000.02000.0
InterestPaidSupplementalData19000.08000.025000.022000.018000.013000.0
Issuance of capital stock84 M298 M612 M
Issuance of debt33 M
IssuanceOfCapitalStock84 M298 M612 M
IssuanceOfDebt33 M-48000.0-5000.0
Net cash from financing activities116 M300 M717 M8 M2 M31000.0
Net cash from investing activities-581000.0-137 M105 M-39 M-337 M249 M
Net cash from operating activities-29 M-39 M-83 M-182 M-206 M-154 M
Net change in cash & cash equivalents87 M124 M739 M-213 M-541 M95 M
Net income from continuing operations-41 M-47 M-133 M-267 M-334 M-260 M
NetCommonStockIssuance84 M298 M612 M
NetInvestmentPropertiesPurchaseAndSale-503000.0-137 M109 M-22 M-299 M291 M
NetInvestmentPurchaseAndSale-503000.0-137 M109 M-22 M-299 M291 M
NetIssuancePaymentsOfDebt33 M-48000.0-5000.0
NetLongTermDebtIssuance-108000.0-48000.0-5000.0
NetPPEPurchaseAndSale-78000.0-437000.0-4 M-17 M-37 M-41 M
Operating (gains) losses5 M-120000.0-616000.02000.0
Other financing charges net-85000.0-168000.099 M-45000.0-49000.0-211000.0
Other investing changes net-503000.0-3 M-46 M-10 M-77000.0
Other non-cash items7 M6 M31 M63 M114 M79 M
ProceedsFromStockOptionExercised49000.02 M6 M8 M2 M242000.0
Purchase of Float term investments-151 M-86 M-428 M-49 M
Purchase of property plant & equipment-78000.0-437000.0-4 M-17 M-37 M-41 M
PurchaseOfInvestment-151 M-86 M-428 M-49 M
PurchaseOfPPE-78000.0-437000.0-4 M-17 M-37 M-41 M
Repayment of debt-108000.0-48000.0-5000.0
RepaymentOfDebt-108000.0-48000.0-5000.0
Revenue per share5 M132000.04 M8 M6 M8 M
Sale of short term investments14 M198 M25 M138 M340 M
SaleOfInvestment14 M198 M25 M138 M340 M
ShortTermDebtIssuance33 M
StockBasedCompensation3 M6 M31 M61 M106 M89 M
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