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APMAptorum Group Limited
$0.77$5M
Overview & Verdict
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Valuation & Forecasts
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HomeStocksAPMQuarterly Cash Flow

Aptorum Group Limited (APM) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Aptorum Group Limited (APM) quarterly cash flow statement — complete operating, investing & financing history

APM Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ4'24Q2'24Q4'23Q2'23Q4'22Q2'22Q4'21Q2'21Q4'20Q2'20Q4'19Q4'18
Cash from Operations89.73K-1.28M-1.54M-6.24M-5.46M-6.8M-7.89M-6.61M-8.78M-7.08M-3.35B-3.72M
Operating CF Margin %----1446.92%-710.88%-1289.81%-872.33%-1036.95%-1503.25%-2163.26%-1133174.21%-970.09%
Operating CF Growth %105.84%79.48%71.86%8.25%30.73%-2.87%10.21%6.59%99.74%--89880.21%-
Net Income-1.62M-2.64M2.66M-5.49M-7.91M-1.89M-8.97M-16.08M13.27M-6.2M-9.6M-14.83M
Depreciation & Amortization0255.05K454.61K670.65K624.8K582.71K595.71K596.86K632.03K702.63K617.33M473.02K
Stock-Based Compensation0000-1.61B0-1.61B0-1.61B01.61B0
Deferred Taxes00001.61B00000-6.28B0
Other Non-Cash Items1.26M1.77M-5.57M395.99K1.78M-4.48M1.64M8.86M-22M160.82K-5.57B9.5M
Working Capital Changes449.61K-660.71K912.47K-505.41K1.32M132.43K-14.66K1.19M603.91K-488.76K6.28B1.14M
Change in Receivables329.25K-287.91K112.48K14.89K-26.93K6.96K52.33K15.12K-20.53K155.52K-34.89M7.01K
Change in Inventory003.92K10.6K1.98K6.07K-2.99K6.35K-4.82K-13327.1M-26.9K
Change in Payables0000-925.45M0-926.51M0-926.57M0927.69M-317.36K
Cash from Investing058.62K65.99K558.78K-266.56K2.71M-3.48M19.99M943.52K898.64K5.95B-3.28M
Capital Expenditures000-2.98K-36.36K-150.55K-126.47K-11.3K-107.76K-53.55K4.81B-3.28M
CapEx % of Revenue---0.69%4.73%28.54%13.99%1.77%18.44%16.36%1628255.36%856.69%
Acquisitions058.62K015.38K000-113.83K1.05M000
Investments------------
Other Investing0065.99K453.15K-230.2K2.86M-3.36M0-1.12B26.78K1.14B2.31K
Cash from Financing1.43K03.01M1.14M3.55M3.03M-434.16K3.06M7.34M5.01M-32.8B10.18M
Debt Issued (Net)1.43K03.01M-451.41K3.56M2.89M-1.1M-1.04M-373.27K-4M00
Equity Issued (Net)0001.59M11.5K163.32K824.24K4M8.27M9.23M00
Dividends Paid00000000-755.51K000
Share Repurchases0000-11.05M0-11.05M0-11.05M0011.05M
Other Financing0000-22.44K-26.92K-156.94K103.09K202.25K-215.67K-32.8B10.18M
Net Change in Cash91.15K-1.22M1.53M-4.54M-2.18M-1.07M-11.8M16.44M-498.14K-1.17M-20.81B3.18M
Free Cash Flow89.73K-1.28M-1.54M-6.24M-5.5M-6.95M-8.01M-6.62M-8.89M-7.13M1.46B-7M
FCF Margin %----1447.61%-715.61%-1318.35%-886.32%-1038.73%-1521.7%-2179.62%495081.15%-1826.78%
FCF Growth %105.84%79.49%72.04%10.2%31.37%-4.97%9.88%7.13%-100.61%-20976.3%-
FCF per Share0.02-0.24-0.30-1.62-1.54-1.95-2.25-1.93-2.61-2.38503.56-2.51
FCF Conversion (FCF/Net Income)-0.06x0.48x-0.58x1.14x0.69x3.61x0.88x0.41x-0.66x1.14x348.73x0.25x
Interest Paid000000000000
Taxes Paid000000000000