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Molecular Partners AG (MOLN) 10-Year Financial Performance & Capital Metrics

MOLN •
HealthcareBiotechnologyDrug Discovery and Antibody Platforms
AboutMolecular Partners AG operates as a clinical-stage biopharmaceutical company, focuses on the discovery, development, and commercialization of therapeutic proteins. Its products candidates include Abicipar, a DARPin therapeutic candidate, which is in Phase III clinical trials for the treatment of neovascular wet age-related macular degeneration, as well as for diabetic macular edema; and MP0420, a multi-specific DARPin therapeutic candidate for the SARS-CoV-2 virus. The company develops MP0310, which is in Phase Ia clinical trials for immuno-oncology; MP0317, a tumor-localized immune agonist that activates immune cells in the tumor, which is in Phase I clinical trials; and MP0274 that is in Phase I clinical trials for HER2-positive cancers. It also develops MP0423 for treating COVID-19; MP0533, a CD3 T cell candidate for acute myeloid leukemia; and MP0250 for vascular endothelial growth factor, hepatocyte growth factor, and human serum albumin to increase half-life. Molecular Partners AG has agreements and collaboration with Novartis AG to develop, manufacture, and commercialize DARPin-conjugated radioligand therapies; Amgen SA; Allergan, Inc.; and discovery alliance with AbbVie Inc. in ophthalmology, as well as other third-party collaborators. The company was incorporated in 2004 and is headquartered in Schlieren, Switzerland.Show more
  • Revenue $5M -29.4%
  • EBITDA -$59M -0.3%
  • Net Income -$54M +12.8%
  • EPS (Diluted) -1.59 +15.9%
  • Gross Margin -855.81% -47.6%
  • EBITDA Margin -1184.06% -42.0%
  • Operating Margin -1231.73% -41.9%
  • Net Margin -1087.38% -23.5%
  • ROE -33.98% -12.8%
  • ROIC -47.58% -37.5%
  • Debt/Equity 0.02 -16.6%
  • Interest Coverage -2448.68 -96.3%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Company is almost debt free
  • ✓Momentum leader: RS Rating 82 (top 18%)
  • ✓Trading at only 0.9x book value

✗Weaknesses

  • ✗Weak 3Y average ROE of 1.6%
  • ✗Weak Piotroski F-Score: 2/9
  • ✗Negative free cash flow
  • ✗Sales declining 24.6% over 5 years
  • ✗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-15.45%
5Y-24.59%
3Y-18.94%
TTM-100%

Profit (Net Income) CAGR

10Y-
5Y-
3Y-
TTM3.76%

EPS CAGR

10Y-
5Y-
3Y-
TTM12.23%

ROCE

10Y Avg-20.58%
5Y Avg-21.74%
3Y Avg-0.84%
Latest-36.91%

Peer Comparison

Drug Discovery and Antibody Platforms
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Size & Scale
Valuation
Per Share
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Technical
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Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
REGNRegeneron Pharmaceuticals, Inc.107.56B781.6718.840.99%31.41%14.41%3.79%0.09
CTMXCytomX Therapeutics, Inc.430.14M5.3714.1336.45%24.66%26.09%
PRTCPureTech Health plc405.3M16.778.3944.98%-495.91%-8.53%0.05
DNAGinkgo Bioworks Holdings, Inc.327.53M6.75-1.20-25.06%-183.81%-61.5%0.82
BCYCBicycle Therapeutics plc111.38M5.73-1.9830.76%-8.85%-40.53%0.01
CCCCC4 Therapeutics, Inc.261.67M2.70-2.13-100%-40.92%0.23
MOLNMolecular Partners AG187.84M5.02-2.43-29.38%-10.87%-63.06%0.02
RXRXRecursion Pharmaceuticals, Inc.1.94B3.67-2.5526.92%-8.65%-57.01%0.07

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Profit & Loss

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Sales/Revenue+29.12M23.04M20.02M10.36M20.38M9.34M9.33M189.56M7.04M4.97M
Revenue Growth %9.37%-20.88%-13.13%-48.27%96.84%-54.16%-0.15%1931.68%-96.29%-29.38%
Cost of Goods Sold+1.17M14.57M17.82M15.6M43.5M56.08M55.72M50.75M47.84M47.5M
COGS % of Revenue4%63.24%89.04%150.67%213.4%600.12%597.19%26.77%679.8%955.81%
Gross Profit+27.95M8.47M2.19M-5.25M-23.11M-46.73M-46.39M138.81M-40.81M-42.53M
Gross Margin %96%36.76%10.96%-50.67%-113.4%-500.12%-497.19%73.23%-579.8%-855.81%
Gross Profit Growth %5.67%-69.7%-74.09%-339.15%-340.54%-102.17%0.73%399.23%-129.4%-4.23%
Operating Expenses+31.34M42.53M45.86M47.77M57.04M67.67M72.75M72.94M20.3M18.68M
OpEx % of Revenue107.62%184.57%229.12%461.27%279.86%724.21%779.73%38.48%288.46%375.92%
Selling, General & Admin6.22M7.24M8.28M9.46M13.16M11.03M16.91M21.82M19M17.16M
SG&A % of Revenue21.36%31.41%41.37%91.38%64.58%118.01%181.2%11.51%269.89%345.35%
Research & Development23.92M35.19M37.45M38.2M43.5M56.08M55.72M50.75M48.78M48.6M
R&D % of Revenue82.14%152.71%187.12%368.93%213.4%600.12%597.19%26.77%693.15%977.95%
Other Operating Expenses1.2M103K126K100K381K568K125K372K-47.48M-47.09M
Operating Income+-2.22M-19.49M-25.84M-37.41M-36.66M-58.33M-63.42M116.61M-61.11M-61.22M
Operating Margin %-7.62%-84.57%-129.12%-361.27%-179.86%-624.21%-679.72%61.52%-868.26%-1231.73%
Operating Income Growth %-220.5%-778.5%-32.63%-44.75%2%-59.1%-8.73%283.88%-152.4%-0.18%
EBITDA+-1.31M-18.4M-24.7M-36.49M-34.19M-55.44M-60.85M119M-58.69M-58.85M
EBITDA Margin %-4.49%-79.85%-123.4%-352.35%-167.74%-593.31%-652.23%62.78%-833.87%-1184.06%
EBITDA Growth %-149.38%-1305.74%-34.26%-47.72%6.29%-62.14%-9.77%295.55%-149.32%-0.27%
D&A (Non-Cash Add-back)909.39K1.09M1.15M924K2.47M2.89M2.56M2.39M2.42M2.37M
EBIT5K-18.61M-25.84M-37.04M-36.17M-62.47M-63.23M116.61M-61.95M-54.02M
Net Interest Income+204K246K524K591K1.51M63K-457K547.61K4.23M3.35M
Interest Income358K335K610K693K1.61M367K99K1.2M4.28M3.38M
Interest Expense154K89K197K102K100.63K271K548K648.12K49K25K
Other Income/Expense2.07M874K414K374K389K-4.45M-365K1.24M-876K7.18M
Pretax Income+-148.82K-18.61M-25.43M-37.04M-36.27M-62.77M-63.78M117.85M-61.98M-54.04M
Pretax Margin %-0.51%-80.78%-127.05%-357.66%-177.95%-671.82%-683.63%62.17%-880.7%-1087.34%
Income Tax+-1.78M0-1K-156K17K-11K2K002K
Effective Tax Rate %100%100%100%100%100.05%99.98%100%100%100%100%
Net Income+-148.82K-18.61M-25.43M-37.04M-36.29M-62.76M-63.78M117.85M-61.98M-54.04M
Net Margin %-0.51%-80.78%-127.05%-357.66%-178.03%-671.7%-683.65%62.17%-880.7%-1087.38%
Net Income Growth %93.48%-12406.13%-36.63%-45.64%2.02%-72.96%-1.63%284.77%-152.59%12.81%
Net Income (Continuing)-149K-18.61M-25.43M-37.04M-36.29M-62.76M-63.78M117.85M-61.98M-54.04M
Discontinued Operations0000000000
Minority Interest0000000000
EPS (Diluted)+-0.01-0.91-1.22-1.75-1.69-2.51-2.063.54-1.89-1.59
EPS Growth %94.93%--34.07%-43.44%3.43%-48.52%17.93%271.84%-153.39%15.87%
EPS (Basic)-0.01-0.91-1.22-1.75-1.69-2.51-2.063.63-1.89-1.59
Diluted Shares Outstanding19.54M20.43M20.86M21.17M21.41M25M31.01M33.27M32.77M34.03M
Basic Shares Outstanding19.54M20.43M20.86M21.17M21.41M25M31.01M32.47M32.77M34.03M
Dividend Payout Ratio----------

Balance Sheet

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Total Current Assets+216.86M181.56M142.53M153.32M99.92M177.81M164.19M254.75M192.46M154.28M
Cash & Short-Term Investments215.39M180.23M141.06M98.96M95.08M173.72M132.81M249.14M186.89M149.44M
Cash Only195.37M149.74M131.32M98.96M75.71M133.72M71.81M87.95M67.31M63.87M
Short-Term Investments20.02M30.49M9.74M019.37M40M61M161.2M119.58M85.56M
Accounts Receivable1.34M844K1.15M51.62M2.55M2.84M25.73M1.7M1.75M286K
Days Sales Outstanding16.8513.3721.031.82K45.63110.91.01K3.2790.521
Inventory126.48K0-9.43M-2.29M-486K-199K2000
Days Inventory Outstanding39.61-----0---
Other Current Assets0000000002.31M
Total Non-Current Assets+2.54M2.54M1.9M1.84M5.01M9.73M8.48M7.51M5.89M4.25M
Property, Plant & Equipment2.52M2.5M1.87M1.46M4.24M9.39M8.15M7.24M5.68M4.2M
Fixed Asset Turnover11.56x9.23x10.70x7.12x4.81x1.00x1.15x26.20x1.24x1.18x
Goodwill0000000000
Intangible Assets17.47K47K27K382K772K347K330K271K212K49K
Long-Term Investments0000000000
Other Non-Current Assets0000-5.01M-9.73M1K-7.51M00
Total Assets+219.4M184.1M144.42M155.16M104.94M187.55M172.67M262.26M198.35M158.53M
Asset Turnover0.13x0.13x0.14x0.07x0.19x0.05x0.05x0.72x0.04x0.03x
Asset Growth %13.08%-16.09%-21.55%7.43%-32.37%78.73%-7.93%51.89%-24.37%-20.08%
Total Current Liabilities+26.45M15.77M14.14M36.87M28.61M57.67M46.87M17.25M14.42M10.79M
Accounts Payable1.23M1.03M716K2.11M2.02M2.8M4.86M997K410K679K
Days Payables Outstanding385.5325.7314.6649.3216.9418.2331.857.173.135.22
Short-Term Debt0000000000
Deferred Revenue (Current)22.15M10.48M8.88M27.83M18.31M42.95M28.31M6.41M4.33M0
Other Current Liabilities22.7M000000000
Current Ratio8.20x11.52x10.08x4.16x3.49x3.08x3.50x14.77x13.35x14.31x
Quick Ratio8.20x11.52x10.75x4.22x3.51x3.09x3.50x14.77x13.35x14.31x
Cash Conversion Cycle-329.07-----974.58---
Total Non-Current Liabilities+41.15M32.54M13.55M26.59M22.19M22.66M18.51M9.84M7.51M6.11M
Long-Term Debt0000000000
Capital Lease Obligations00001.28M6.04M4.85M3.65M2.44M1.23M
Deferred Tax Liabilities0000000000
Other Non-Current Liabilities41.15M5.72M4.01M5.71M10.9M13.68M6.74M2.55M5.06M4.88M
Total Liabilities67.6M48.3M27.69M63.45M50.8M80.33M65.38M27.09M21.92M16.89M
Total Debt+00002.54M7.22M6.04M4.85M3.65M2.44M
Net Debt-195.37M-149.74M-131.32M-98.96M-73.17M-126.5M-65.77M-83.1M-63.66M-61.43M
Debt / Equity----0.05x0.07x0.06x0.02x0.02x0.02x
Debt / EBITDA-------0.04x--
Net Debt / EBITDA--------0.70x--
Interest Coverage-14.40x-218.94x-131.19x-366.76x-364.32x-215.23x-115.73x179.92x-1247.10x-2448.68x
Total Equity+151.79M135.79M116.73M91.7M54.14M107.22M107.29M235.17M176.43M141.64M
Equity Growth %2.23%-10.54%-14.04%-21.44%-40.96%98.05%0.06%119.19%-24.98%-19.72%
Book Value per Share7.776.655.604.332.534.293.467.075.384.16
Total Shareholders' Equity151.79M135.79M116.73M91.7M54.14M107.22M107.29M235.17M176.43M141.64M
Common Stock1.96M2.07M2.1M2.12M2.16M2.92M3.23M3.6M3.63M4.04M
Retained Earnings-18.02M-37.27M-60.72M-89.86M-130.87M-195.17M-250.95M-127.78M-191.75M-246.29M
Treasury Stock-1.29M-152K00000-981K-981K-981K
Accumulated OCI-4.1M-5.11M-6.11M-6.86M000-981K00
Minority Interest0000000000

Cash Flow

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash from Operations+26.5M-35.38M-40.02M-42.47M-1.19M-28.98M-90.95M118.57M-59.01M-59.25M
Operating CF Margin %90.99%-153.56%-199.95%-410.18%-5.83%-310.18%-974.84%62.55%-838.38%-1192.11%
Operating CF Growth %333.79%-233.53%-13.12%-6.13%97.2%-2337.59%-213.81%230.36%-149.77%-0.41%
Net Income-148.82K-18.61M-25.43M-37.04M-36.29M-62.76M-63.78M117.85M-61.98M-54.04M
Depreciation & Amortization909.39K1.09M1.15M924K2.47M2.89M2.56M2.39M2.42M2.37M
Stock-Based Compensation3.76M2.85M3.59M3.72M2.44M2.93M4.08M5.09M5.21M4.11M
Deferred Taxes530.12K794K176K520K17K-11K2K002K
Other Non-Cash Items-29.04M-22.68M-19.29M-10.73M-16K5.49M848K-753K1.36M-7.88M
Working Capital Changes50.49M1.18M-217K131K30.19M22.49M-34.67M-6.01M-6.01M-3.8M
Change in Receivables1.87M525K-317K-50.83M49.57M-552K-23.37M25.26M-933K-347K
Change in Inventory0000-49.57M-2.84M21.72M-19.93M00
Change in Payables649.91K-370K-118K1.39M-270K3.4M1.66M-5.34M-812K524K
Cash from Investing+-20.74M-11.25M20.86M9.61M-19.84M-21.75M-22.24M-101.12M44.64M40.49M
Capital Expenditures-1.39M-1.1M-500K-867K-1.86M-1.68M-1.31M-1.42M-808K-705K
CapEx % of Revenue4.77%4.76%2.5%8.37%9.14%18.01%14.01%0.75%11.48%14.19%
Acquisitions00-19K-411K833K232K374K000
Investments----------
Other Investing669.41K318K637K1.15M563K337K-304K494K3.83M4.22M
Cash from Financing+229.2K395K799K392K-227K113.2M50.58M-1.57M-1.17M14.43M
Debt Issued (Net)0000-1.24M-1.25M-1.18M-1.19M-1.2M-1.21M
Equity Issued (Net)0395K799K392K01000K1000K-631K01000K
Dividends Paid0000000000
Share Repurchases0000000-631K00
Other Financing230K0001.01M840K267K250K31K-1.7M
Net Change in Cash6.99M-45.63M-18.42M-32.36M-23.25M58.01M-61.91M16.13M-20.64M-3.44M
Free Cash Flow+25.11M-36.48M-40.52M-43.34M-3.05M-30.67M-92.26M117.15M-59.81M-59.97M
FCF Margin %86.22%-158.32%-202.45%-418.55%-14.98%-328.19%-988.85%61.8%-849.86%-1206.66%
FCF Growth %311.36%-245.28%-11.09%-6.96%92.96%-904.45%-200.85%226.98%-151.06%-0.26%
FCF per Share1.28-1.79-1.94-2.05-0.14-1.23-2.983.52-1.83-1.76
FCF Conversion (FCF/Net Income)-178.03x1.90x1.57x1.15x0.03x0.46x1.43x1.01x0.95x1.10x
Interest Paid0000000000
Taxes Paid0000000000

Key Ratios

Metric2015201620172018201920202021202220232024
Return on Equity (ROE)-0.1%-12.94%-20.14%-35.54%-49.76%-77.79%-59.47%68.83%-30.12%-33.98%
Return on Invested Capital (ROIC)-------427.88%90.36%-34.61%-47.58%
Gross Margin96%36.76%10.96%-50.67%-113.4%-500.12%-497.19%73.23%-579.8%-855.81%
Net Margin-0.51%-80.78%-127.05%-357.66%-178.03%-671.7%-683.65%62.17%-880.7%-1087.38%
Debt / Equity----0.05x0.07x0.06x0.02x0.02x0.02x
Interest Coverage-14.40x-218.94x-131.19x-366.76x-364.32x-215.23x-115.73x179.92x-1247.10x-2448.68x
FCF Conversion-178.03x1.90x1.57x1.15x0.03x0.46x1.43x1.01x0.95x1.10x
Revenue Growth9.37%-20.88%-13.13%-48.27%96.84%-54.16%-0.15%1931.68%-96.29%-29.38%

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