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Psyence Biomedical Ltd. Warrant (PBMWW) 10-Year Financial Performance & Capital Metrics

PBMWW • • Industrial / General
HealthcareBiotechnologyNeurology & CNS DisordersPsychiatric & CNS Disorders
AboutPsyence Biomedical Ltd. engages in the development of botanical psilocybin-based psychedelic medicines. It also evaluates natural psilocybin for the treatment of adjustment disorder in patients with an incurable cancer diagnosis in a palliative care context. The company's lead product candidate is PEX010, which is in Phase IIb clinical study, a capsule containing naturally sourced psilocybin for treatment of anxiety and depression, including associated ailments, such as post-traumatic stress disorder, stress, grief, and adjustment disorder in the context of palliative care. It has a partnership with iNGENu Pty Ltd to conduct a Phase IIb clinical trial of PEX010 in psilocybin-assisted psychotherapy for the treatment of AjD due to incurable cancer. The company is based in Toronto, Canada. Psyence Biomedical Ltd. operates as a subsidiary of Psyence Group Inc.Show more
  • Revenue $0
  • EBITDA -$46M -1316.9%
  • Net Income -$51M -1495.5%
  • EPS (Diluted) 0.00
  • Gross Margin -
  • EBITDA Margin -
  • Operating Margin -
  • Net Margin -
  • ROE -
  • ROIC -
  • Debt/Equity -
  • Interest Coverage -865.36
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

No significant strengths identified

✗Weaknesses

  • ✗Weak Piotroski F-Score: 3/9
  • ✗Weak momentum: RS Rating 17 (bottom 17%)
  • ✗Low quality earnings: Net income not backed by cash flow
  • ✗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-
TTM-

EPS CAGR

10Y-
5Y-
3Y-
TTM-

ROCE

10Y Avg-270.09%
5Y Avg-270.09%
3Y Avg-270.09%
Latest-

Peer Comparison

Psychiatric & CNS Disorders
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Profit & Loss

Mar 2022Mar 2023Mar 2024
Sales/Revenue+000
Revenue Growth %---
Cost of Goods Sold+000
COGS % of Revenue---
Gross Profit+000
Gross Margin %---
Gross Profit Growth %---
Operating Expenses+1.86M3.23M46.69M
OpEx % of Revenue---
Selling, General & Admin1.72M1.63M1.8M
SG&A % of Revenue---
Research & Development137.24K1.61M954.59K
R&D % of Revenue---
Other Operating Expenses0043.94M
Operating Income+-1.85M-3.23M-45.81M
Operating Margin %---
Operating Income Growth %--0.74%-13.17%
EBITDA+-1.85M-3.23M-45.81M
EBITDA Margin %---
EBITDA Growth %--0.74%-13.17%
D&A (Non-Cash Add-back)00240
EBIT00-50.17M
Net Interest Income+01.55K-50.81K
Interest Income01.55K2.13K
Interest Expense0052.94K
Other Income/Expense-4.58K26.91K-5.35M
Pretax Income+-1.86M-3.21M-51.16M
Pretax Margin %---
Income Tax+000
Effective Tax Rate %1%1%1%
Net Income+-1.86M-3.21M-51.16M
Net Margin %---
Net Income Growth %--0.73%-14.96%
Net Income (Continuing)-1.86M-3.21M-51.16M
Discontinued Operations000
Minority Interest000
EPS (Diluted)+0.000.000.00
EPS Growth %---
EPS (Basic)0.000.000.00
Diluted Shares Outstanding000
Basic Shares Outstanding000
Dividend Payout Ratio---

Balance Sheet

Mar 2022Mar 2023Mar 2024
Total Current Assets+1.83M1.59M1.13M
Cash & Short-Term Investments1.75M1.33M733.19K
Cash Only1.75M1.33M733.19K
Short-Term Investments000
Accounts Receivable39.55K149.37K41.75K
Days Sales Outstanding---
Inventory000
Days Inventory Outstanding---
Other Current Assets36.23K29.56K29.61K
Total Non-Current Assets+005.49K
Property, Plant & Equipment005.49K
Fixed Asset Turnover---
Goodwill000
Intangible Assets000
Long-Term Investments000
Other Non-Current Assets000
Total Assets+1.83M1.59M1.13M
Asset Turnover---
Asset Growth %--0.13%-0.29%
Total Current Liabilities+131.76K1.79M12.1M
Accounts Payable36.89K1.63M562.35K
Days Payables Outstanding---
Short-Term Debt0010.45M
Deferred Revenue (Current)000
Other Current Liabilities00968.51K
Current Ratio13.90x0.89x0.09x
Quick Ratio13.90x0.89x0.09x
Cash Conversion Cycle---
Total Non-Current Liabilities+000
Long-Term Debt000
Capital Lease Obligations000
Deferred Tax Liabilities000
Other Non-Current Liabilities000
Total Liabilities131.76K1.79M12.1M
Total Debt+0010.45M
Net Debt-1.75M-1.33M9.71M
Debt / Equity---
Debt / EBITDA---
Net Debt / EBITDA---
Interest Coverage---865.36x
Total Equity+1.7M-200.44K-10.97M
Equity Growth %--1.12%-53.74%
Book Value per Share---
Total Shareholders' Equity1.7M-200.44K-10.97M
Common Stock0046.13M
Retained Earnings00-57.46M
Treasury Stock000
Accumulated OCI00361.06K
Minority Interest000

Cash Flow

Mar 2022Mar 2023Mar 2024
Cash from Operations+-1.4M-1.59M-2.95M
Operating CF Margin %---
Operating CF Growth %--0.14%-0.85%
Net Income-1.86M-3.21M-51.16M
Depreciation & Amortization00240
Stock-Based Compensation332.07K221.29K317.88K
Deferred Taxes000
Other Non-Cash Items0-84.5K49.07M
Working Capital Changes129.74K1.48M-1.17M
Change in Receivables100.05K0107.62K
Change in Inventory000
Change in Payables000
Cash from Investing+-32.04K0-5.73K
Capital Expenditures00-5.73K
CapEx % of Revenue---
Acquisitions---
Investments---
Other Investing-32.04K00
Cash from Financing+-1.63M1.17M2.35M
Debt Issued (Net)---
Equity Issued (Net)---
Dividends Paid000
Share Repurchases---
Other Financing-1.63M1.17M0
Net Change in Cash---
Free Cash Flow+-1.4M-1.59M-2.95M
FCF Margin %---
FCF Growth %--0.14%-0.85%
FCF per Share---
FCF Conversion (FCF/Net Income)0.75x0.50x0.06x
Interest Paid000
Taxes Paid000

Key Ratios

Metric202120222023
Return on Equity (ROE)-109.29%-427.58%-
Interest Coverage---865.36x
FCF Conversion0.75x0.50x0.06x

Frequently Asked Questions

Growth & Financials

Psyence Biomedical Ltd. Warrant (PBMWW) grew revenue by 0.0% over the past year. Growth has been modest.

Psyence Biomedical Ltd. Warrant (PBMWW) reported a net loss of $51.2M for fiscal year 2023.

Dividend & Returns

Psyence Biomedical Ltd. Warrant (PBMWW) had negative free cash flow of $3.0M in fiscal year 2023, likely due to heavy capital investments.

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