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VKTX Stock Annual Cash Flow. Download in Excel

Viking Therapeutics Inc. logo

Viking Therapeutics Inc.

Sector: Healthcare   

Industry: Biotechnology

52.59
 
USD
  
0.96
  
(1.86%)
Previous close: 51.63  Open: 53.07  Bid: 52.64  Ask: 52.87
52 week range    
11.55   
   99.41
Mkt Cap: 5,740 M  Avg Vol (90 Days): 4,157,597
Peers   
RGEN / 
ENZN / 
SNGX / 
Last updated: Monday 25th November 2024

Stock Rankings

7
Technical
31
Quality
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Financials

VKTX Cash Flow

Annual
Invalid dateDec-15Dec-16Dec-17Dec-18Dec-19Dec-20Dec-21Dec-22Dec-23
(Increase) Decrease in payables219237.0677185.0264000.0-508000.01 M2 M-3 M7 M-1 M
Amortization of intangibles138701.02 M786000.0546000.0383000.018000.059000.088000.0
Cash at beginning of period755857.0768550.03 M9 M25 M8 M29 M26 M37 M
Cash at end of period768550.03 M9 M25 M8 M29 M26 M26 M56 M
Cash flow-9 M-11 M-15 M-19 M-25 M-22 M-48 M-48 M-73 M
CashFlowFromContinuingInvestingActivities-13 M3 M-2 M-266 M7 M42 M38 M55 M-179 M
ChangeInAccountPayable219237.0677185.0264000.0-508000.01 M2 M-3 M7 M-1 M
ChangeInAccruedExpense2 M-141295.01 M1 M423000.04 M-506000.06 M-2 M
ChangeInInterestPayable2 M-141295.01 M1 M423000.0
ChangeInPayablesAndAccruedExpense2 M535890.01 M960000.02 M5 M-3 M13 M-3 M
ChangeInPrepaidAssets-1 M313988.0497000.0-137000.0-7 M137000.0-711000.0-3 M6 M
ChangeInWorkingCapital620319.0849878.02 M823000.0-5 M5 M-4 M10 M4 M
CommonStockPayments-38.0-229.0-26000.0-46000.0-7 M
Depreciation unreconciled1 M2 M3 M1 M1 M4 M4 M2 M-8 M
DepreciationAndAmortization1 M2 M3 M1 M1 M277000.0296000.0291000.0292000.0
Effect of exchange rate changes-30000.0
FinancingCashFlow22 M10 M22 M300 M887000.0950000.07 M4 M271 M
Free cash flow-9 M-11 M-15 M-19 M-25 M-22 M-48 M-48 M-73 M
InterestPaidSupplementalData205139.0123000.081000.0
Issuance of capital stock25 M12 M22 M297 M
Issuance of debt-94861.0-77000.0-4 M
IssuanceOfCapitalStock25 M12 M22 M297 M
IssuanceOfDebt-94861.0-77000.0-4 M
Net cash from financing activities22 M10 M22 M300 M887000.0950000.07 M4 M271 M
Net cash from investing activities-13 M3 M-2 M-266 M7 M42 M38 M55 M-179 M
Net cash from operating activities-9 M-11 M-15 M-19 M-25 M-22 M-48 M-48 M-73 M
Net change in cash & cash equivalents12693.02 M6 M16 M-16 M21 M-3 M11 M19 M
Net income from continuing operations-23 M-15 M-21 M-22 M-26 M-39 M-55 M-69 M-86 M
NetCommonStockIssuance25 M12 M22 M297 M-26000.0-46000.0-7 M
NetInvestmentPropertiesPurchaseAndSale-13 M3 M-2 M-266 M7 M42 M38 M55 M-179 M
NetInvestmentPurchaseAndSale-13 M3 M-2 M-266 M7 M42 M38 M55 M-179 M
NetIssuancePaymentsOfDebt-94861.0-77000.0-4 M
Other financing charges net-3 M-1 M125000.08 M887000.0976000.07 M11 M271 M
Other non-cash items13 M730157.01 M1 M5 M8 M7 M9 M17 M
Purchase of Float term investments-16 M-17 M-23 M-348 M-362 M-281 M-168 M-121 M-478 M
PurchaseOfInvestment-16 M-17 M-23 M-348 M-362 M-281 M-168 M-121 M-478 M
RepaymentOfDebt-94861.0-77000.0-4 M
Repurchase of capital stock-38.0-229.0-26000.0-46000.0-7 M
Revenue per share1 M2 M3 M1 M1 M4 M4 M2 M-8 M
Sale of short term investments3 M20 M21 M82 M370 M322 M206 M176 M299 M
SaleOfInvestment3 M20 M21 M82 M370 M322 M206 M176 M299 M
ShortTermDebtPayments-94861.0-77000.0-4 M
StockBasedCompensation3 M2 M1 M3 M4 M6 M6 M9 M17 M
UnrealizedGainLossOnInvestmentSecurities12000.0-4000.0-40000.0
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