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RPTX Stock Annual Cash Flow. Download in Excel

Repare Therapeutics Inc logo

Repare Therapeutics Inc

Sector: Manufacturing   

Industry: Pharmaceutical Preparation Manufacturing

2.81
 
USD
  
-0.16
  
(-5.39%)
Previous close: 2.97  Open: 2.97  Bid: 2.8  Ask: 3.08
52 week range    
2.71   
   8.49
Mkt Cap: 122 M  Avg Vol (90 Days): 114,567
Peers   
OTIC / 
OTLC / 
OVAT-CA / 
Last updated: Monday 25th November 2024

Stock Rankings

41
MarketXLS Rank
60
Value
23
Technical
42
Quality
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Financials

RPTX Cash Flow

Annual
Invalid dateDec-20Dec-21Dec-22Dec-23
(Increase) Decrease in other current assets-1 M-2 M4 M
(Increase) Decrease in other current liabilities50 M-6 M4 M-44 M
(Increase) Decrease in other working capital71000.0-298000.089000.0101000.0
(Increase) Decrease in payables17000.0152000.0-1 M2 M
(Increase) Decrease in receivables-2 M4 M-1 M-216000.0
CapitalExpenditureReported2 M2 M602000.02 M
Cash at beginning of period95 M326 M334 M160 M
Cash at end of period326 M326 M160 M111 M
Cash flow-6 M-86 M322000.0-127 M
CashFlowFromContinuingInvestingActivities-10 M-2 M-176 M78 M
ChangeInAccountPayable17000.0152000.0-1 M2 M
ChangeInPayablesAndAccruedExpense17000.0152000.0-1 M2 M
ChangeInPrepaidAssets-7 M-32000.0593000.0969000.0
ChangeInWorkingCapital40 M-5 M6 M-41 M
Depreciation897000.01 M2 M2 M
Depreciation unreconciled897000.02 M-255000.0-6 M
DepreciationAndAmortization897000.01 M2 M2 M
Effect of exchange rate changes-604000.0-54000.0-330000.022000.0
FinancingCashFlow248 M96 M880000.0842000.0
Free cash flow-8 M-87 M-280000.0-129 M
GainLossOnSaleOfPPE24000.0
IncomeTaxPaidSupplementalData156000.025000.011 M5 M
InterestPaidSupplementalData216000.0240000.02 M3 M
Issuance of capital stock232 M94 M
IssuanceOfCapitalStock232 M94 M
Net cash from financing activities248 M96 M880000.0842000.0
Net cash from investing activities-10 M-2 M-176 M78 M
Net cash from operating activities-6 M-86 M322000.0-127 M
Net change in cash & cash equivalents231 M8 M-175 M-48 M
Net income from continuing operations-53 M-107 M-29 M-94 M
NetCommonStockIssuance232 M94 M
NetInvestmentPropertiesPurchaseAndSale-8 M-26000.0-175 M80 M
NetInvestmentPurchaseAndSale-8 M-26000.0-175 M80 M
NetPPEPurchaseAndSale-2 M-2 M-602000.0-2 M
Operating (gains) losses24000.0
Other financing charges net283000.0433000.0689000.0
Other non-cash items7 M25 M24 M13 M
ProceedsFromIssuanceOfWarrants15 M
ProceedsFromStockOptionExercised799000.0986000.0447000.0153000.0
Purchase of Float term investments-8 M-7 M-257 M-179 M
Purchase of property plant & equipment-2 M-2 M-602000.0-2 M
PurchaseOfInvestment-8 M-7 M-257 M-179 M
PurchaseOfPPE-2 M-2 M-602000.0-2 M
Revenue per share113000.0-2 M-7 M
Sale of short term investments7 M81 M259 M
SaleOfInvestment7 M81 M259 M
SaleOfPPE40000.0
StockBasedCompensation3 M13 M20 M25 M
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