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Radiopharm Theranostics Limited (RADX) 10-Year Financial Performance & Capital Metrics

RADX • • Industrial / General
HealthcareBiotechnologyOncology TherapeuticsSolid Tumor Oncology
AboutRadiopharm Theranostics Limited engages in the research and development of radiopharmaceutical products for diagnostic and therapeutic uses in areas of high unmet medical needs. It develops RAD 204, a programmed death-ligand 1 (PD-L1) for the treatment of non-small cell lung cancer (NSCLC); RAD 202, a human epidermal growth factor receptor 2 (HER2) to treat breast cancer and other solid tumors; and RAD 301, a diagnostic radiopharmaceutical targeting avß6 integrin in pancreatic ductal adenocarcinoma patients. The company also develops RAD 302, an avß6-integrin targeting agent for the treatment of multiple cancer types; RAD 101 and RAD 102 for brain metastases; RAD 402 to treat advanced prostate cancer; and RV01 for multiple solid tumors. It has strategic agreement with Lantheus Holdings, Inc. to advance the clinical development of radiopharmaceuticals. The company was incorporated in 2021 and is based in Carlton, Australia.Show more
  • Revenue $4M +1114.3%
  • EBITDA -$38M -13.9%
  • Net Income -$38M +20.0%
  • EPS (Diluted) -5.28 +85.3%
  • Gross Margin 1.08% -98.9%
  • EBITDA Margin -1050.43% +90.6%
  • Operating Margin -1050.63% +91.4%
  • Net Margin -1055.27% +93.4%
  • ROE -109.2% +17.0%
  • ROIC -254.12% -97.3%
  • Debt/Equity -
  • Interest Coverage -584.59 -926.3%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Trading at only 0.8x book value

✗Weaknesses

  • ✗Negative free cash flow
  • ✗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-
3Y643.76%
TTM-

Profit (Net Income) CAGR

10Y-
5Y-
3Y-
TTM-

EPS CAGR

10Y-
5Y-
3Y-
TTM-

ROCE

10Y Avg-50.08%
5Y Avg-50.08%
3Y Avg-57.97%
Latest-60.59%

Peer Comparison

Solid Tumor Oncology
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Size & Scale
Valuation
Per Share
Growth
Profitability
Quality & Returns
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Technical
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Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
TLXTelix Pharmaceuticals Limited2.49B7.4353.0755.85%3.98%15.63%0.36%1.02
EXELExelixis, Inc.12.18B45.4425.8218.49%29.63%31.37%5.2%0.09
BBOTBridgeBio Oncology Therapeutics Inc.919.87M11.5025-25.73%
INBXInhibrx Biosciences, Inc.1.04B71.800.62-88.89%-110.78%-421.09%0.06
NUVBNuvation Bio Inc.2.1B6.14-2.91-8.13%-66.74%0.02
RLAYRelay Therapeutics, Inc.1.32B7.63-3.23-60.83%-26.71%-48.97%0.06
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

Jun 2022Jun 2023Jun 2024Jun 2025
Sales/Revenue+8.83K292.36K299.23K3.63M
Revenue Growth %-32.11%0.02%11.14%
Cost of Goods Sold+0003.59M
COGS % of Revenue---0.99%
Gross Profit+8.83K292.36K299.23K39.28K
Gross Margin %1%1%1%0.01%
Gross Profit Growth %-32.11%0.02%-0.87%
Operating Expenses+19.93M34.8M36.92M38.21M
OpEx % of Revenue2256.28%119.03%123.38%10.52%
Selling, General & Admin10.85M13.02M15.22M16.53M
SG&A % of Revenue1228.39%44.54%50.86%4.55%
Research & Development4.12M13.8M17.56M27.52M
R&D % of Revenue467.08%47.2%58.68%7.57%
Other Operating Expenses4.95M7.98M4.14M-5.83M
Operating Income+-19.92M-34.51M-36.62M-38.17M
Operating Margin %-2255.28%-118.03%-122.38%-10.51%
Operating Income Growth %--0.73%-0.06%-0.04%
EBITDA+-16.93M-31.21M-33.49M-38.17M
EBITDA Margin %-1917.66%-106.76%-111.94%-10.5%
EBITDA Growth %--0.84%-0.07%-0.14%
D&A (Non-Cash Add-back)2.98M3.3M3.13M7.33K
EBIT-20.94M-34.49M-47.21M-38.17M
Net Interest Income+-9.35M58.94K-592.4K333.11K
Interest Income0145.03K50.48K888.2K
Interest Expense9.35M86.09K642.89K65.3K
Other Income/Expense-10.38M-65.1K-11.23M-65.3K
Pretax Income+-30.29M-34.57M-47.85M-38.24M
Pretax Margin %-3430.48%-118.26%-159.92%-10.52%
Income Tax+44.4K38.01K96.36K103.29K
Effective Tax Rate %1%1%1%1%
Net Income+-30.34M-34.61M-47.95M-38.34M
Net Margin %-3435.51%-118.39%-160.24%-10.55%
Net Income Growth %--0.14%-0.39%0.2%
Net Income (Continuing)-30.34M-34.61M-47.95M-38.34M
Discontinued Operations0000
Minority Interest01.19M-769.28K-1.92M
EPS (Diluted)+-29.76-33.00-36.00-5.28
EPS Growth %--0.11%-0.09%0.85%
EPS (Basic)-29.76-33.00-36.00-5.28
Diluted Shares Outstanding1.02M1.02M1.29M6.94M
Basic Shares Outstanding1.02M1.02M1.29M6.94M
Dividend Payout Ratio----

Balance Sheet

Jun 2022Jun 2023Jun 2024Jun 2025
Total Current Assets+27.26M16.3M22.85M39.85M
Cash & Short-Term Investments26.98M11.7M18.58M29.12M
Cash Only26.98M11.7M18.58M29.12M
Short-Term Investments0000
Accounts Receivable56.48K4.47M987.41K10.4M
Days Sales Outstanding2.33K5.58K1.2K1.04K
Inventory0000
Days Inventory Outstanding----
Other Current Assets228.82K133.13K3.29M337.09K
Total Non-Current Assets+56.12M58.65M49.19M46.63M
Property, Plant & Equipment1.58K68.33K60.8K53.47K
Fixed Asset Turnover5.60x4.28x4.92x67.96x
Goodwill0000
Intangible Assets56.08M58.54M49.09M46.57M
Long-Term Investments0040K0
Other Non-Current Assets40K40K00
Total Assets+83.38M74.95M72.04M86.48M
Asset Turnover0.00x0.00x0.00x0.04x
Asset Growth %--0.1%-0.04%0.2%
Total Current Liabilities+7.88M13.23M17.58M14.93M
Accounts Payable1.19M2.96M6.43M6.35M
Days Payables Outstanding---644.6
Short-Term Debt0000
Deferred Revenue (Current)0001000K
Other Current Liabilities5.73M8.11M6.72M3.87M
Current Ratio3.46x1.23x1.30x2.67x
Quick Ratio3.46x1.23x1.30x2.67x
Cash Conversion Cycle----
Total Non-Current Liabilities+12.54M16.14M27.11M28.68M
Long-Term Debt0000
Capital Lease Obligations0000
Deferred Tax Liabilities0000
Other Non-Current Liabilities12.54M16.14M27.11M28.68M
Total Liabilities20.42M29.37M44.68M43.61M
Total Debt+0000
Net Debt-26.98M-11.7M-18.58M-29.12M
Debt / Equity----
Debt / EBITDA----
Net Debt / EBITDA----
Interest Coverage-2.13x-400.83x-56.96x-584.59x
Total Equity+62.96M45.58M27.35M42.87M
Equity Growth %--0.28%-0.4%0.57%
Book Value per Share61.7644.7121.236.18
Total Shareholders' Equity62.96M44.38M28.12M44.79M
Common Stock86.76M97.23M100.68M176.56M
Retained Earnings-30.82M-65.35M-111.34M-145.73M
Treasury Stock0000
Accumulated OCI7.03M10.36M37.93M13.12M
Minority Interest01.19M-769.28K-1.92M

Cash Flow

Jun 2022Jun 2023Jun 2024Jun 2025
Cash from Operations+-9.92M-23.2M-22.98M-36.65M
Operating CF Margin %-1122.82%-79.36%-76.78%-10.09%
Operating CF Growth %--1.34%0.01%-0.59%
Net Income-30.34M-34.61M-47.95M0
Depreciation & Amortization0000
Stock-Based Compensation0000
Deferred Taxes0000
Other Non-Cash Items20.42M11.41M24.97M-36.65M
Working Capital Changes0000
Change in Receivables0000
Change in Inventory0000
Change in Payables0000
Cash from Investing+-28.37M-1.53M-320K1.77M
Capital Expenditures-2.75K-45.31K00
CapEx % of Revenue0.31%0.15%--
Acquisitions----
Investments----
Other Investing-28.37M-1.49M-320K1.77M
Cash from Financing+65.11M9.22M30.2M45.43M
Debt Issued (Net)----
Equity Issued (Net)----
Dividends Paid0000
Share Repurchases----
Other Financing00-117K-6.65M
Net Change in Cash----
Free Cash Flow+-38.25M-24.73M-22.98M-36.65M
FCF Margin %-4331.82%-84.6%-76.78%-10.09%
FCF Growth %-0.35%0.07%-0.59%
FCF per Share-37.52-24.26-17.84-5.28
FCF Conversion (FCF/Net Income)0.33x0.67x0.48x0.96x
Interest Paid0000
Taxes Paid0000

Key Ratios

Metric2021202220232024
Return on Equity (ROE)-48.19%-63.77%-131.49%-109.2%
Return on Invested Capital (ROIC)-41.51%-74.09%-128.77%-254.12%
Gross Margin100%100%100%1.08%
Net Margin-343550.89%-11838.59%-16024.28%-1055.27%
Interest Coverage-2.13x-400.83x-56.96x-584.59x
FCF Conversion0.33x0.67x0.48x0.96x
Revenue Growth-3210.6%2.35%1114.27%

Revenue by Geography

2024
UNITED STATES3.63M
UNITED STATES Growth-

Frequently Asked Questions

Growth & Financials

Radiopharm Theranostics Limited (RADX) reported $3.6M in revenue for fiscal year 2024. This represents a 41044% increase from $0.0M in 2021.

Radiopharm Theranostics Limited (RADX) grew revenue by 1114.3% over the past year. This is strong growth.

Radiopharm Theranostics Limited (RADX) reported a net loss of $38.3M for fiscal year 2024.

Dividend & Returns

Radiopharm Theranostics Limited (RADX) has a return on equity (ROE) of -109.2%. Negative ROE indicates the company is unprofitable.

Radiopharm Theranostics Limited (RADX) had negative free cash flow of $36.6M in fiscal year 2024, likely due to heavy capital investments.

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