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Allarity Therapeutics, Inc. (ALLR) 10-Year Financial Performance & Capital Metrics

ALLR • • Industrial / General
HealthcareBiotechnologyOncology TherapeuticsSolid Tumor Oncology
AboutAllarity Therapeutics, Inc., a clinical-stage biopharmaceutical company, engages in developing oncology therapeutics using drug-specific companion diagnostics generated by its drug response predictor technology. Its drug candidates include Stenoparib, a poly-ADP-ribose polymerase inhibitor that is in Phase 2 clinical trials for ovarian cancer; Dovitinib, a pan- tyrosine kinase inhibitor for the treatment of renal cell carcinoma; IXEMPRA, a microtubule inhibitor for the treatment of metastatic breast cancer; LiPlaCis, a liposomal formulation of cisplatin, which is in Phase 2 clinical trials for metastatic breast cancer; and 2X-111, a liposomal formulation of doxorubicin that is in Phase 2 clinical trials for metastatic breast cancer and glioblastoma multiforme. The company was incorporated in 2004 and is headquartered in Cambridge, Massachusetts.Show more
  • Revenue $0
  • EBITDA -$27M -59.3%
  • Net Income -$25M -106.0%
  • EPS (Diluted) -15.79 +99.7%
  • Gross Margin -
  • EBITDA Margin -
  • Operating Margin -
  • Net Margin -
  • ROE -541.17%
  • ROIC -
  • Debt/Equity 0.11
  • Interest Coverage -41.72 -21.3%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Trading at only 0.2x book value

✗Weaknesses

  • ✗Weak Piotroski F-Score: 3/9
  • ✗Shares diluted 100.0% in last year
  • ✗Trading more than 30% below 52-week high
  • ✗Low asset turnover indicates capital-intensive operations

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

Price & Volume

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Growth Metrics

Revenue CAGR

10Y-
5Y-
3Y-
TTM-

Profit (Net Income) CAGR

10Y-
5Y-
3Y-
TTM18.49%

EPS CAGR

10Y-
5Y-
3Y-
TTM99.99%

ROCE

10Y Avg-464.95%
5Y Avg-855.88%
3Y Avg-1385.16%
Latest-573.13%

Peer Comparison

Solid Tumor Oncology
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Size & Scale
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Technical
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ORICORIC Pharmaceuticals, Inc.1.12B11.52-6.30-33.24%0.01
ZLABZai Lab Limited2.09B18.82-7.2449.59%-46.83%-27.21%0.18

Profit & Loss

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Sales/Revenue+362.29K143.28K1.46M1.46M120K00000
Revenue Growth %35.32%-0.6%9.18%0%-0.92%-1%----
Cost of Goods Sold+002.22M5.08M000000
COGS % of Revenue--1.52%3.48%------
Gross Profit+362.29K143.28K-761.5K-3.62M120K00000
Gross Margin %1%1%-0.52%-2.48%1%-----
Gross Profit Growth %8.9%-0.6%-6.31%-3.75%1.03%-1%----
Operating Expenses+1.76M4.63M3.08M1.36M17.73M8.32M26.56M34.46M17.13M27.24M
OpEx % of Revenue4.85%32.32%2.11%0.93%147.76%-----
Selling, General & Admin89.15K272.39K3.07M1.28M3.87M4.1M12.36M9.96M10.03M11.44M
SG&A % of Revenue0.25%1.9%2.11%0.88%32.25%-----
Research & Development00006.37M4.22M14.2M6.93M7.1M6.1M
R&D % of Revenue----53.06%-----
Other Operating Expenses1.67M4.36M8.7K84.39K7.49M0017.57M09.7M
Operating Income+-1.4M-4.49M-3.84M-4.98M-17.61M-8.32M-26.56M-34.46M-17.13M-27.24M
Operating Margin %-3.85%-31.32%-2.63%-3.41%-146.76%-----
Operating Income Growth %-19.34%-2.21%0.14%-0.3%-2.53%0.53%-2.19%-0.3%0.5%-0.59%
EBITDA+-1.13M-4.21M-3.83M-4.95M-17.56M-8.23M-26.45M-34.4M-17.09M-27.23M
EBITDA Margin %-3.12%-29.38%-2.63%-3.39%-146.33%-----
EBITDA Growth %-23.67%-2.72%0.09%-0.29%-2.55%0.53%-2.21%-0.3%0.5%-0.59%
D&A (Non-Cash Add-back)265.22K278.21K8.7K32.53K51K86K106K60K37K9K
EBIT-1.4M-4.49M-3.84M-4.93M-15.66M-6.1M-25.88M-17.36M-11.32M-24.24M
Net Interest Income+-39.4K-43.7K-2.42K-233.24K-3.31M-320K-640K-193K-476K-120K
Interest Income00007K0030K22K533K
Interest Expense39.4K43.7K2.42K233.24K3.31M320K640K223K498K653K
Other Income/Expense-130.58K37.99K-1.15M1.53M-1.37M1.9M41K16.88M5.31M2.35M
Pretax Income+-1.53M-4.45M-4.99M-3.46M-18.98M-6.42M-26.52M-17.58M-11.82M-24.9M
Pretax Margin %-4.22%-31.06%-3.42%-2.37%-158.14%-----
Income Tax+-380.16K-766.89K-95.09K-1.07M-4.58M198K133K-1.52M83K-381K
Effective Tax Rate %0.75%0.83%0.98%0.66%0.75%1.03%1.01%0.91%1.01%0.98%
Net Income+-1.15M-3.68M-4.9M-2.29M-14.31M-6.6M-26.65M-16.06M-11.9M-24.52M
Net Margin %-3.17%-25.7%-3.36%-1.57%-119.28%-----
Net Income Growth %-15.7%-2.21%-0.33%0.53%-5.24%0.54%-3.04%0.4%0.26%-1.06%
Net Income (Continuing)-1.15M-3.68M-4.9M-2.39M-14.4M-6.62M-26.65M-16.06M-11.9M-24.52M
Discontinued Operations0001000000
Minority Interest0004.1M2.82M00000
EPS (Diluted)+0.000.000.000.00-189613.00-999999.00-999999.00-999999.00-6153.26-15.79
EPS Growth %1%-----7.96%-1.07%0.47%1%1%
EPS (Basic)0.000.000.000.00-189613.00-999999.00-999999.00-999999.00-6153.26-15.79
Diluted Shares Outstanding00007548113.32K1.61M
Basic Shares Outstanding00007548113.32K1.61M
Dividend Payout Ratio----------

Balance Sheet

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Total Current Assets+2.94M4.37M1.31M2.21M3.34M1.72M21.4M4.97M1.97M22.34M
Cash & Short-Term Investments1.99M2.07M536.03K237.38K1.52M298K19.91M2.03M166K19.53M
Cash Only1.99M2.07M536.03K237.38K1.52M298K19.55M2.03M166K19.53M
Short-Term Investments000000350K000
Accounts Receivable92.87K2.31K407.74K01.66M1.12M1.34M871K946K2.23M
Days Sales Outstanding93.575.87102-5.04K-----
Inventory234.69K168.9K0000000
Days Inventory Outstanding--27.76-------
Other Current Assets607.23K1.51M193.07K1.65M0119K01.34M78K72K
Total Non-Current Assets+2.51M2.17M786.96K36.38M28.26M31.69M28.23M9.58M9.89M309K
Property, Plant & Equipment068.51K21.76K55.7K437K352K94K27K20K309K
Fixed Asset Turnover-2.09x67.06x26.22x0.27x-----
Goodwill2.31M1.91M00000000
Intangible Assets200.32K158.87K036.33M27.69M30.49M28.14M9.55M9.87M0
Long-Term Investments00765.2K0137K845K350K000
Other Non-Current Assets028.33K0000-350K000
Total Assets+5.45M6.54M2.09M38.59M31.61M33.4M49.63M14.54M11.86M22.65M
Asset Turnover0.07x0.02x0.70x0.04x0.00x-----
Asset Growth %57.41%0.2%-0.68%17.44%-0.18%0.06%0.49%-0.71%-0.18%0.91%
Total Current Liabilities+518.15K1.34M1.7M5.43M4.72M5.53M20.72M11.22M14.17M10.84M
Accounts Payable01.27M472.37K1.94M2.18M0698K6.25M8.42M4.18M
Days Payables Outstanding--77.65139.53------
Short-Term Debt0002.9M536K1.52M02.64M1.3M1.35M
Deferred Revenue (Current)0000000000
Other Current Liabilities501.68K25.25K1.23M592.14K03.64M11.27M374K3.99M1K
Current Ratio5.68x3.27x0.77x0.41x0.71x0.31x1.03x0.44x0.14x2.06x
Quick Ratio5.68x3.24x0.67x0.41x0.71x0.31x1.03x0.44x0.14x2.06x
Cash Conversion Cycle--52.12-------
Total Non-Current Liabilities+0005.25M5.99M3.43M10.13M1.43M446K0
Long-Term Debt00000880K979K1.08M00
Capital Lease Obligations0000341K267K9K000
Deferred Tax Liabilities00001.85M2.13M1.96M349K446K0
Other Non-Current Liabilities0005.25M3.79M149K7.18M000
Total Liabilities518.15K1.34M1.7M10.69M10.7M8.96M30.85M12.65M14.61M10.84M
Total Debt+0002.9M963K2.67M1.09M3.73M1.3M1.35M
Net Debt-1.99M-2.07M-536.03K2.66M-561K2.37M-18.47M1.71M1.13M-18.18M
Debt / Equity---0.10x0.05x0.11x0.06x1.98x-0.11x
Debt / EBITDA----------
Net Debt / EBITDA----------
Interest Coverage-35.45x-102.70x-1589.87x-21.36x-5.32x-26.00x-41.49x-154.54x-34.40x-41.72x
Total Equity+4.93M5.2M394.04K27.9M20.9M24.44M18.78M1.89M-2.75M11.81M
Equity Growth %61.54%0.05%-0.92%69.82%-0.25%0.17%-0.23%-0.9%-2.46%5.29%
Book Value per Share----276916.69999999.00999999.00166640.23-829.367.35
Total Shareholders' Equity4.93M5.2M394.04K23.81M18.09M24.44M18.78M1.89M-2.75M11.81M
Common Stock120K154.81K195.81K386.07K924K426K1K001K
Retained Earnings-669.07K0-7.08M-9.37M-32.37M-39.84M-66.49M-82.55M-94.45M-118.97M
Treasury Stock0000000000
Accumulated OCI0-4.3M-12.57K18.57K-1.09M1.38M-600K-721K-411K-354K
Minority Interest0004.1M2.82M00000

Cash Flow

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash from Operations+-2.03M-3.98M-1.34M-4.24M-10.11M-7.25M-15.05M-16.82M-12.74M-17.35M
Operating CF Margin %-5.6%-27.76%-0.92%-2.9%-84.28%-----
Operating CF Growth %--0.96%0.66%-2.15%-1.39%0.28%-1.08%-0.12%0.24%-0.36%
Net Income-1.15M-3.68M-4.9M-2.29M-14.4M-5.07M-26.65M-16.06M-11.9M-24.52M
Depreciation & Amortization265.22K278.21K8.7K32.53K51K46K106K60K37K9K
Stock-Based Compensation002.33M214.06K333K616K6.37M1.75M-71K71K
Deferred Taxes0000-3.76M-1.29M20K-1.61M97K-446K
Other Non-Cash Items-424.83K-599.35K1.05M-2.47M5.6M-2M-466K-631K-4.26M7.47M
Working Capital Changes-723.36K25.91K164.71K278.19K2.06M445K5.57M-328K3.35M63K
Change in Receivables-891.5K-1.02M5K127.82K-95K95K00-26K45K
Change in Inventory00-62.05K160.81K1.97M00000
Change in Payables0000237K-62K-1.31M6.21M2.17M-4.11M
Cash from Investing+1.67M-178.74K-127.96K1.51M229K-3K1M791K0-298K
Capital Expenditures0-77.84K0-5.68K-8K-3K0-18K0-298K
CapEx % of Revenue-0.54%-0%0.07%-----
Acquisitions----------
Investments----------
Other Investing-259.33K-100.9K-127.96K1.63M001M809K00
Cash from Financing+3.77M4.31M1.16M2.42M11.2M6.03M33.82M-1.31M10.99M36.79M
Debt Issued (Net)----------
Equity Issued (Net)----------
Dividends Paid0000000000
Share Repurchases----------
Other Financing3.77M4.31M1.16M2.42M-1.48M0725K-800K2.24M0
Net Change in Cash----------
Free Cash Flow+-2.03M-4.06M-1.34M-4.24M-10.12M-7.25M-15.05M-16.84M-12.74M-17.65M
FCF Margin %-5.6%-28.31%-0.92%-2.91%-84.34%-----
FCF Growth %--1%0.67%-2.16%-1.38%0.28%-1.07%-0.12%0.24%-0.38%
FCF per Share-----134079.98-999999.00-999999.00-999999.00-3842.33-10.98
FCF Conversion (FCF/Net Income)1.77x1.08x0.27x1.85x0.71x1.10x0.56x1.05x1.07x0.71x
Interest Paid0027.4K366.89K47K0262K85K34K0
Taxes Paid000022K0118K12K6K0

Key Ratios

Metric2015201620172018201920202021202220232024
Return on Equity (ROE)-45.78%-72.69%-175.1%-16.2%-58.65%-29.12%-123.3%-155.34%--541.17%
Return on Invested Capital (ROIC)-69.25%-110.87%-193.07%-24.57%-51.89%-26.47%-146.86%-1321.77%-1298.31%-
Gross Margin100%100%-52.19%-247.87%100%-----
Net Margin-316.59%-2570.36%-335.69%-156.97%-11927.5%-----
Debt / Equity---0.10x0.05x0.11x0.06x1.98x-0.11x
Interest Coverage-35.45x-102.70x-1589.87x-21.36x-5.32x-26.00x-41.49x-154.54x-34.40x-41.72x
FCF Conversion1.77x1.08x0.27x1.85x0.71x1.10x0.56x1.05x1.07x0.71x
Revenue Growth3532.23%-60.45%918.31%0.09%-91.78%-100%----

Frequently Asked Questions

Growth & Financials

Allarity Therapeutics, Inc. (ALLR) grew revenue by 0.0% over the past year. Growth has been modest.

Allarity Therapeutics, Inc. (ALLR) reported a net loss of $15.3M for fiscal year 2024.

Dividend & Returns

Allarity Therapeutics, Inc. (ALLR) has a return on equity (ROE) of -541.2%. Negative ROE indicates the company is unprofitable.

Allarity Therapeutics, Inc. (ALLR) had negative free cash flow of $15.1M in fiscal year 2024, likely due to heavy capital investments.

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