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MNMDMind Medicine (MindMed) Inc.
$20.69$2.0B
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HomeStocksMNMDBalance Sheet

Mind Medicine (MindMed) Inc. (MNMD) Balance Sheet

11Y historyFree accessUpdated daily

The capital structure has shifted to include $40.8 million in debt as of 2026Q1, while the $19.9 million in goodwill remains a potential impairment risk if clinical outcomes underperform.

MNMD Balance Sheet

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricTTMDec'25Dec'24Dec'23Dec'22Dec'21Dec'20Aug'19Aug'18Aug'17Aug'16Aug'15
Total Current Assets380.56M419.32M281.62M103.87M146.06M137.22M81.52M2.94M198.63K1.77M136.19K186.4K
Cash & Short-Term Investments373.42M411.59M273.74M99.7M142.14M133.54M80.09M17.93K154.79K1.69M129.33K184.09K
Cash Only262.52M257.84M273.74M99.7M142.14M133.54M80.09M17.93K154.79K3.98K10.96K4.62K
Short-Term Investments110.9M153.76M00000001.69M118.37K179.47K
Accounts Receivable00000005.08K8.24K10.28K4.88K359
Days Sales Outstanding------------
Inventory000000001000
Days Inventory Outstanding--------0.05---
Other Current Assets7.14M7.73M7.88M4.17M0002.91M001.98K0
Total Non-Current Assets20.73M20.78M20.53M20.67M23.94M26.79M003.33M2.26M66.56K105.25K
Property, Plant & Equipment0000000063.88K70.5K00
Fixed Asset Turnover------------
Goodwill19.92M19.92M19.92M19.92M19.92M19.92M000000
Intangible Assets000527K3.69M6.87M000000
Long-Term Investments54.86M0000000136K69.99K00
Other Non-Current Assets812K862K613K224K331K0003.13M2.12M66.56K105.25K
Total Assets401.29M440.1M302.15M124.54M169.99M164M81.52M2.94M3.53M4.03M202.75K291.66K
Asset Turnover0.00x-----------
Asset Growth %64.36%45.66%142.61%-26.74%3.65%101.18%2675.66%-16.87%-12.28%1886.43%-30.48%-
Total Current Liabilities81.11M66.7M38.85M32.25M17.89M10.41M3.01M198.96K8.23K80.44K75.47K7.49K
Accounts Payable7.13M5.35M2.01M4.14M2.11M4.18M2.02M00000
Days Payables Outstanding--1.39K477.43239.07-------
Short-Term Debt00000000015.74K00
Deferred Revenue (Current)000000000000
Other Current Liabilities73.98M61.35M30.41M20.74M13.03M2.29M-462K198.96K8.23K64.7K75.47K7.49K
Current Ratio4.69x6.29x7.25x3.22x8.16x13.18x27.10x14.76x24.14x22.03x1.80x24.90x
Quick Ratio4.69x6.29x7.25x3.22x8.16x13.18x27.10x14.76x24.14x22.03x1.80x24.90x
Cash Conversion Cycle------------
Total Non-Current Liabilities41.33M41.08M21.85M14.16M1.18M1.93M2.64M00000
Long-Term Debt40.77M021.85M14.13M00000000
Capital Lease Obligations000000000000
Deferred Tax Liabilities000000000000
Other Non-Current Liabilities559K41.08M032K1.18M1.93M2.64M00000
Total Liabilities122.44M107.77M60.7M46.41M19.08M12.34M5.65M198.96K8.23K80.44K75.47K7.49K
Total Debt40.77M021.85M14.13M72K000015.74K00
Net Debt-221.75M-257.84M-251.89M-85.58M-142.07M-133.54M-80.09M-17.93K-154.79K11.77K-10.96K-4.62K
Debt / Equity0.15x-0.09x0.18x0.00x----0.00x--
Debt / EBITDA-0.21x-----------
Net Debt / EBITDA1.16x-----------
Interest Coverage-22.33x-32.53x-46.60x-104.06x-44.37x-261.43x-205.93x-----
Total Equity278.85M332.33M241.45M78.13M150.92M151.66M75.87M2.74M3.52M3.95M127.28K284.17K
Equity Growth %4.36%37.64%209.02%-48.23%-0.49%99.91%2670.96%-22.32%-10.7%3001.1%-55.21%-
Book Value per Share2.563.720.342.004.895.544.277.2211.2815.611.583.60
Total Shareholders' Equity278.85M332.33M241.45M78.13M150.92M151.66M75.87M2.74M3.52M3.95M127.28K284.17K
Common Stock00000005.56M5.32M5.16M567.88K560K
Retained Earnings-659.77M-582.67M-398.88M-290.2M-194.47M-137.67M-44.64M-3.65M-2.59M-1.81M-499.71K-313.4K
Treasury Stock000000000000
Accumulated OCI824K1.08M819K343K627K1.05M284K34.69K19.14K-41.38K-340
Minority Interest000000000000

Key Metrics

Growth RegimeMixed
ProfitabilityNegative
Balance SheetHealthy
Cash FlowBurning
Top Statement Risk

Clinical trial funding exhaustion

Verified Source

Metrics are mathematically derived from official filings.

SEC 10-K (2026Q1)

Cash Runway Supports Clinical Ambitions

According to the most recent quarterly financial statements, MindMed maintains a cash position of $262.5 million, which provides a substantial liquidity buffer relative to its current operating burn, though the company remains entirely dependent on external capital to sustain its ongoing Phase 3 clinical trial initiatives.

The current ratio of 4.69 suggests that the company possesses sufficient short-term assets to cover its immediate liabilities, providing a degree of comfort for near-term operations. However, investors should monitor the rate of cash depletion, as the transition into more intensive clinical phases may accelerate the burn rate beyond current projections.

Dilution Risk Remains Persistent Concern

Based on reported balance sheet figures, equity has been bolstered by periodic capital raises, yet the persistent accumulation of a $659.8 million deficit in retained earnings as of 2026Q1 highlights the significant dilutive pressure shareholders face as the company funds its R&D pipeline through equity issuance.

The reliance on equity financing to offset operational losses suggests that existing shareholders may continue to experience dilution as the company seeks to extend its runway. This capital structure strategy appears necessary given the lack of revenue, but it underscores the importance of achieving clinical milestones to justify the ongoing expansion of the share base.

Strategic Leverage Amidst Capital Needs

As indicated by the 2026Q1 balance sheet, the company has introduced $40.8 million in debt, marking a shift in capital structure that warrants investigation into whether this leverage is a strategic bridge to future milestones or a sign of tightening access to non-dilutive equity markets.

While the debt-to-equity ratio remains relatively low at 0.15, the introduction of interest-bearing obligations in a pre-revenue environment adds a layer of financial risk that was previously absent. Investors should evaluate the terms of these instruments to determine if they impose restrictive covenants that could limit operational flexibility during the critical Phase 3 trial period.

Hidden Risks in Asset Composition

Based on the provided financial data, the balance sheet is heavily weighted toward cash, yet the presence of $19.9 million in goodwill suggests that past acquisitions may carry impairment risks if the clinical efficacy of the underlying intellectual property fails to meet market expectations.

The absence of net property, plant, and equipment indicates an asset-light model, which is typical for early-stage biotech, but it also means the company lacks tangible collateral to support its debt obligations. This reliance on intangible value implies that the balance sheet's strength is highly sensitive to the success of the MM-120 clinical program.

MNMD — Frequently Asked Questions

Quick answers to the most common questions about buying MNMD stock.

What are the total assets of Mind Medicine (MindMed) Inc. (MNMD)?

As of 2025, Mind Medicine (MindMed) Inc. (MNMD) had total assets of $440.1M including $419.3M in current assets.

How much debt does Mind Medicine (MindMed) Inc. (MNMD) have?

Mind Medicine (MindMed) Inc. (MNMD) carries total debt of $0.0M, offset by $411.6M in cash and short-term investments. Comparing total debt to cash helps evaluate the company's debt burden and net leverage.

What is the book value or shareholders' equity of Mind Medicine (MindMed) Inc.?

Mind Medicine (MindMed) Inc. (MNMD) has total shareholders' equity (book value) of $332.3M ($3.72 book value per share). Book value represents the net worth of the company belonging to common stock holders.

What is Mind Medicine (MindMed) Inc.'s current ratio and liquidity?

Mind Medicine (MindMed) Inc. (MNMD) reported a current ratio of 6.29x. A current ratio above 1.0x indicates that the company has more current assets than current liabilities, suggesting sufficient short-term liquidity.