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ACIU AC Immune

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  • 2.680
  • -0.020-0.74%
Close Dec 20 16:00 ET
  • 2.680
  • 0.0000.00%
Post 16:00 ET
265.17MMarket Cap-6.02P/E (TTM)

AC Immune Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-6.34%-14.14M
617.33%73.03M
106.09%1.02M
17.89%-60.41M
6.99%-16.19M
1.75%-13.3M
27.54%-14.12M
27.40%-16.8M
-11.99%-73.57M
2.36%-17.41M
Net income from continuing operations
136.34%5.5M
-35.21%-22.76M
-1.99%-17.86M
23.35%-54.23M
74.70%-4.74M
-12.05%-15.14M
14.30%-16.83M
7.08%-17.51M
3.07%-70.75M
11.88%-18.75M
Operating gains losses
1,533.33%49K
-88.50%49K
-62.88%49K
64.14%888K
308.75%327K
-98.31%3K
326.00%426K
-27.87%132K
-10.28%541K
-42.03%80K
Depreciation and amortization
-3.64%529K
1.29%548K
-2.46%556K
-6.10%2.22M
-8.26%555K
-5.18%549K
-5.91%541K
-5.00%570K
-1.95%2.36M
-3.66%605K
Other non cash items
1,238.39%2.4M
5,013.33%2.21M
-5,450.00%-2.03M
638.24%1.1M
592.63%1.32M
-201.43%-211K
84.80%-45K
235.71%38K
96.71%-204K
111.56%190K
Change In working capital
-5,277.94%-24.18M
19,645.24%91.22M
1,333.79%18.11M
-79.79%-15.16M
-3,687.82%-14.62M
138.34%467K
150.00%462K
75.14%-1.47M
-223.26%-8.43M
-111.30%-386K
-Change in receivables
-9,588.46%-24.67M
-140.74%-390K
90,875.00%14.52M
-2,566.00%-14.87M
-531.52%-14.95M
107.41%260K
53.04%-162K
-101.62%-16K
21.82%603K
468.23%3.47M
-Change in prepaid assets
212.97%418K
-79.70%54K
441.93%2.52M
-1.75%-1.75M
41.60%-907K
-184.86%-370K
133.80%266K
-496.24%-737K
-317.19%-1.72M
-40.04%-1.55M
-Change in payables and accrued expense
47.38%986K
-114.58%-50K
308.47%1.13M
126.53%1.91M
160.55%1.44M
-61.86%669K
523.64%343K
91.80%-543K
-240.10%-7.19M
-148.48%-2.38M
-Change in other working capital
-894.57%-915K
610,626.67%91.61M
62.79%-64K
-245.38%-449K
-359.74%-200K
-192.93%-92K
-90.20%15K
62.53%-172K
-130.59%-130K
-86.40%77K
Cash from discontinued investing activities
Operating cash flow
-6.34%-14.14M
617.33%73.03M
106.09%1.02M
17.89%-60.41M
6.99%-16.19M
1.75%-13.3M
27.54%-14.12M
27.40%-16.8M
-11.99%-73.57M
2.36%-17.41M
Investing cash flow
Cash flow from continuing investing activities
-144.22%-2.09M
-1,370.73%-75.82M
-155.05%-23.56M
176.25%65.65M
369.45%23.28M
192.17%4.72M
-121.07%-5.16M
8,025.93%42.8M
144.28%23.76M
122.83%4.96M
Net PPE purchase and sale
39.64%-169K
56.13%-68K
-24.50%-249K
35.35%-801K
-304.88%-166K
-131.40%-280K
71.14%-155K
62.96%-200K
52.98%-1.24M
94.32%-41K
Net investment purchase and sale
-138.36%-1.92M
-1,414.96%-75.75M
-154.09%-23.26M
165.78%66.45M
368.92%23.45M
200.00%5M
-120.00%-5M
--43M
149.02%25M
123.81%5M
Net other investing changes
--0
--0
---54K
----
----
----
----
----
106.90%2K
--0
Cash from discontinued investing activities
Investing cash flow
-144.22%-2.09M
-1,370.73%-75.82M
-155.05%-23.56M
176.25%65.65M
369.45%23.28M
192.17%4.72M
-121.07%-5.16M
8,025.93%42.8M
144.28%23.76M
122.83%4.96M
Financing cash flow
Cash flow from continuing financing activities
-138.62%-173K
-103.24%-62K
-387.94%-688K
3,313.22%43.25M
27,270.86%41.03M
415.49%448K
1,497.81%1.92M
84.61%-141K
-103.30%-1.35M
-100.53%-151K
Net issuance payments of debt
-23.74%-172K
-28.15%-173K
-23.70%-167K
3.69%-548K
2.80%-139K
2.80%-139K
4.93%-135K
4.26%-135K
-102.48%-569K
-100.61%-143K
Net common stock issuance
-100.17%-1K
-93.41%135K
133.33%2K
4,379,900.00%43.8M
514,687.50%41.17M
58,600.00%587K
40,900.00%2.05M
-700.00%-6K
-100.01%-1K
-100.15%-8K
Net other financing activities
--0
---24K
---523K
----
----
----
----
----
-12,833.33%-776K
--0
Cash from discontinued financing activities
Financing cash flow
-138.62%-173K
-103.24%-62K
-387.94%-688K
3,313.22%43.25M
27,270.86%41.03M
415.49%448K
1,497.81%1.92M
84.61%-141K
-103.30%-1.35M
-100.53%-151K
Net cash flow
Beginning cash position
28.89%51.56M
-0.74%57.01M
148.51%78.49M
-61.58%31.59M
-28.26%31.93M
-36.64%40.01M
-0.69%57.43M
-61.58%31.59M
-48.90%82.22M
-52.45%44.5M
Current changes in cash
-101.71%-16.4M
83.57%-2.85M
-189.82%-23.23M
194.79%48.49M
481.91%48.12M
56.74%-8.13M
-458.08%-17.36M
205.12%25.86M
34.93%-51.15M
-16.47%-12.6M
Effect of exchange rate changes
-5,376.92%-2.74M
-3,553.52%-2.59M
17,500.00%1.74M
-403.07%-1.58M
-387.42%-1.55M
-66.67%52K
-115.27%-71K
-104.59%-10K
844.29%521K
42.29%-318K
End cash Position
1.53%32.42M
28.89%51.56M
-0.74%57.01M
148.51%78.49M
148.51%78.49M
-28.26%31.93M
-36.64%40.01M
-0.69%57.43M
-61.58%31.59M
-61.58%31.59M
Free cash flow
-5.39%-14.31M
611.24%72.96M
104.56%775K
18.18%-61.21M
6.25%-16.36M
0.57%-13.58M
28.71%-14.27M
28.21%-17M
-9.49%-74.81M
5.94%-17.45M
Currency Unit
CHF
CHF
CHF
CHF
CHF
CHF
CHF
CHF
CHF
CHF
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -6.34%-14.14M617.33%73.03M106.09%1.02M17.89%-60.41M6.99%-16.19M1.75%-13.3M27.54%-14.12M27.40%-16.8M-11.99%-73.57M2.36%-17.41M
Net income from continuing operations 136.34%5.5M-35.21%-22.76M-1.99%-17.86M23.35%-54.23M74.70%-4.74M-12.05%-15.14M14.30%-16.83M7.08%-17.51M3.07%-70.75M11.88%-18.75M
Operating gains losses 1,533.33%49K-88.50%49K-62.88%49K64.14%888K308.75%327K-98.31%3K326.00%426K-27.87%132K-10.28%541K-42.03%80K
Depreciation and amortization -3.64%529K1.29%548K-2.46%556K-6.10%2.22M-8.26%555K-5.18%549K-5.91%541K-5.00%570K-1.95%2.36M-3.66%605K
Other non cash items 1,238.39%2.4M5,013.33%2.21M-5,450.00%-2.03M638.24%1.1M592.63%1.32M-201.43%-211K84.80%-45K235.71%38K96.71%-204K111.56%190K
Change In working capital -5,277.94%-24.18M19,645.24%91.22M1,333.79%18.11M-79.79%-15.16M-3,687.82%-14.62M138.34%467K150.00%462K75.14%-1.47M-223.26%-8.43M-111.30%-386K
-Change in receivables -9,588.46%-24.67M-140.74%-390K90,875.00%14.52M-2,566.00%-14.87M-531.52%-14.95M107.41%260K53.04%-162K-101.62%-16K21.82%603K468.23%3.47M
-Change in prepaid assets 212.97%418K-79.70%54K441.93%2.52M-1.75%-1.75M41.60%-907K-184.86%-370K133.80%266K-496.24%-737K-317.19%-1.72M-40.04%-1.55M
-Change in payables and accrued expense 47.38%986K-114.58%-50K308.47%1.13M126.53%1.91M160.55%1.44M-61.86%669K523.64%343K91.80%-543K-240.10%-7.19M-148.48%-2.38M
-Change in other working capital -894.57%-915K610,626.67%91.61M62.79%-64K-245.38%-449K-359.74%-200K-192.93%-92K-90.20%15K62.53%-172K-130.59%-130K-86.40%77K
Cash from discontinued investing activities
Operating cash flow -6.34%-14.14M617.33%73.03M106.09%1.02M17.89%-60.41M6.99%-16.19M1.75%-13.3M27.54%-14.12M27.40%-16.8M-11.99%-73.57M2.36%-17.41M
Investing cash flow
Cash flow from continuing investing activities -144.22%-2.09M-1,370.73%-75.82M-155.05%-23.56M176.25%65.65M369.45%23.28M192.17%4.72M-121.07%-5.16M8,025.93%42.8M144.28%23.76M122.83%4.96M
Net PPE purchase and sale 39.64%-169K56.13%-68K-24.50%-249K35.35%-801K-304.88%-166K-131.40%-280K71.14%-155K62.96%-200K52.98%-1.24M94.32%-41K
Net investment purchase and sale -138.36%-1.92M-1,414.96%-75.75M-154.09%-23.26M165.78%66.45M368.92%23.45M200.00%5M-120.00%-5M--43M149.02%25M123.81%5M
Net other investing changes --0--0---54K--------------------106.90%2K--0
Cash from discontinued investing activities
Investing cash flow -144.22%-2.09M-1,370.73%-75.82M-155.05%-23.56M176.25%65.65M369.45%23.28M192.17%4.72M-121.07%-5.16M8,025.93%42.8M144.28%23.76M122.83%4.96M
Financing cash flow
Cash flow from continuing financing activities -138.62%-173K-103.24%-62K-387.94%-688K3,313.22%43.25M27,270.86%41.03M415.49%448K1,497.81%1.92M84.61%-141K-103.30%-1.35M-100.53%-151K
Net issuance payments of debt -23.74%-172K-28.15%-173K-23.70%-167K3.69%-548K2.80%-139K2.80%-139K4.93%-135K4.26%-135K-102.48%-569K-100.61%-143K
Net common stock issuance -100.17%-1K-93.41%135K133.33%2K4,379,900.00%43.8M514,687.50%41.17M58,600.00%587K40,900.00%2.05M-700.00%-6K-100.01%-1K-100.15%-8K
Net other financing activities --0---24K---523K---------------------12,833.33%-776K--0
Cash from discontinued financing activities
Financing cash flow -138.62%-173K-103.24%-62K-387.94%-688K3,313.22%43.25M27,270.86%41.03M415.49%448K1,497.81%1.92M84.61%-141K-103.30%-1.35M-100.53%-151K
Net cash flow
Beginning cash position 28.89%51.56M-0.74%57.01M148.51%78.49M-61.58%31.59M-28.26%31.93M-36.64%40.01M-0.69%57.43M-61.58%31.59M-48.90%82.22M-52.45%44.5M
Current changes in cash -101.71%-16.4M83.57%-2.85M-189.82%-23.23M194.79%48.49M481.91%48.12M56.74%-8.13M-458.08%-17.36M205.12%25.86M34.93%-51.15M-16.47%-12.6M
Effect of exchange rate changes -5,376.92%-2.74M-3,553.52%-2.59M17,500.00%1.74M-403.07%-1.58M-387.42%-1.55M-66.67%52K-115.27%-71K-104.59%-10K844.29%521K42.29%-318K
End cash Position 1.53%32.42M28.89%51.56M-0.74%57.01M148.51%78.49M148.51%78.49M-28.26%31.93M-36.64%40.01M-0.69%57.43M-61.58%31.59M-61.58%31.59M
Free cash flow -5.39%-14.31M611.24%72.96M104.56%775K18.18%-61.21M6.25%-16.36M0.57%-13.58M28.71%-14.27M28.21%-17M-9.49%-74.81M5.94%-17.45M
Currency Unit CHFCHFCHFCHFCHFCHFCHFCHFCHFCHF
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--
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