US Stock MarketDetailed Quotes

ALMS Alumis

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  • 5.640
  • +0.940+20.00%
Close Mar 28 16:00 ET
  • 5.390
  • -0.250-4.43%
Post 20:01 ET
306.86MMarket Cap-1.04P/E (TTM)

Alumis Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-96.25%-255.08M
-121.67%-74.76M
-151.96%-83.77M
-84.53%-52.29M
-27.67%-44.26M
-20.66%-129.98M
-33.73M
-33.25M
-28.33M
-34.67M
Net income from continuing operations
-89.84%-294.23M
-141.12%-94.76M
-114.67%-93.12M
-55.72%-56.51M
-38.37%-49.85M
-38.47%-154.99M
---39.3M
---43.38M
---36.29M
---36.03M
Operating gains losses
425.34%5.41M
--0
--0
--2.32M
--3.1M
--1.03M
--0
--1.46M
----
----
Depreciation and amortization
145.48%3.15M
12.95%820K
155.97%814K
533.33%760K
531.67%758K
413.60%1.28M
--726K
--318K
--120K
--120K
Other non cash items
-97.01%60K
-17.14%29K
-95.82%19K
-99.85%1K
-98.70%11K
111.58%2.01M
--35K
--455K
--673K
--847K
Change In working capital
22.41%14.76M
771.60%14.49M
-52.66%2.69M
-126.33%-1.53M
18.72%-886K
729.33%12.06M
--1.66M
--5.68M
--5.81M
---1.09M
-Change in prepaid assets
-362.88%-13.63M
-241.36%-2.45M
-117.24%-264K
-410.70%-7.81M
-428.69%-3.11M
162.09%5.19M
--1.73M
--1.53M
--2.51M
---589K
-Change in payables and accrued expense
331.17%30.25M
10,390.91%17.31M
-17.50%3.43M
112.14%6.78M
646.40%2.73M
-3.32%7.02M
--165K
--4.15M
--3.2M
---500K
-Change in other current liabilities
-1,190.28%-1.86M
-61.11%-377K
-9,380.00%-474K
-623.96%-503K
-50,300.00%-504K
82.44%-144K
---234K
---5K
--96K
---1K
Cash from discontinued investing activities
Operating cash flow
-96.25%-255.08M
-121.67%-74.76M
-151.96%-83.77M
-84.53%-52.29M
-27.67%-44.26M
-20.66%-129.98M
---33.73M
---33.25M
---28.33M
---34.67M
Investing cash flow
Cash flow from continuing investing activities
-288.17%-113.79M
846.86%30.95M
-1,330.06%-93.19M
-226.05%-32.74M
-160.55%-18.81M
187.96%60.47M
-4.14M
7.58M
25.98M
31.07M
Net PPE purchase and sale
61.50%-1.73M
69.75%-366K
64.08%-779K
47.64%-432K
47.46%-155K
-86.99%-4.5M
---1.21M
---2.17M
---825K
---295K
Net investment purchase and sale
-272.47%-112.06M
1,167.35%31.32M
-1,048.28%-92.41M
-220.56%-32.31M
-159.49%-18.66M
197.93%64.97M
---2.93M
--9.75M
--26.8M
--31.36M
Cash from discontinued investing activities
Investing cash flow
-288.17%-113.79M
846.86%30.95M
-1,330.06%-93.19M
-226.05%-32.74M
-160.55%-18.81M
187.96%60.47M
---4.14M
--7.58M
--25.98M
--31.07M
Financing cash flow
Cash flow from continuing financing activities
449.01%492.37M
-99.98%5K
500,221.28%235.15M
113.58%128.06M
253,329.41%129.15M
-11.75%89.68M
29.72M
47K
59.96M
-51K
Net common stock issuance
--193.32M
--0
----
----
----
--0
--10K
----
----
----
Net preferred stock issuance
187.89%258.46M
--0
--0
116.33%129.34M
--129.12M
-10.13%89.78M
--29.99M
--0
--59.79M
--0
Proceeds from stock option exercised by employees
51.67%590K
-97.64%5K
-15.79%48K
197.08%508K
156.86%29K
-77.57%389K
--212K
--57K
--171K
---51K
Net other financing activities
8,347.42%40M
--0
--41.79M
----
----
---485K
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
449.01%492.37M
-99.98%5K
500,221.28%235.15M
113.58%128.06M
253,329.41%129.15M
-11.75%89.68M
--29.72M
--47K
--59.96M
---51K
Net cash flow
Beginning cash position
74.86%47.13M
287.92%214.44M
93.13%156.25M
385.87%113.21M
74.86%47.13M
-73.52%26.95M
--55.28M
--80.9M
--23.3M
--26.95M
Current changes in cash
512.02%123.5M
-437.73%-43.81M
327.12%58.2M
-25.29%43.04M
1,908.29%66.08M
126.96%20.18M
---8.15M
---25.62M
--57.6M
---3.65M
End cash Position
262.02%170.63M
262.02%170.63M
287.92%214.44M
93.13%156.25M
385.87%113.21M
74.86%47.13M
--47.13M
--55.28M
--80.9M
--23.3M
Free cash flow
-90.97%-256.81M
-115.04%-75.13M
-138.73%-84.55M
-80.79%-52.72M
-27.04%-44.42M
-22.11%-134.47M
---34.94M
---35.42M
---29.16M
---34.96M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion
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(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -96.25%-255.08M-121.67%-74.76M-151.96%-83.77M-84.53%-52.29M-27.67%-44.26M-20.66%-129.98M-33.73M-33.25M-28.33M-34.67M
Net income from continuing operations -89.84%-294.23M-141.12%-94.76M-114.67%-93.12M-55.72%-56.51M-38.37%-49.85M-38.47%-154.99M---39.3M---43.38M---36.29M---36.03M
Operating gains losses 425.34%5.41M--0--0--2.32M--3.1M--1.03M--0--1.46M--------
Depreciation and amortization 145.48%3.15M12.95%820K155.97%814K533.33%760K531.67%758K413.60%1.28M--726K--318K--120K--120K
Other non cash items -97.01%60K-17.14%29K-95.82%19K-99.85%1K-98.70%11K111.58%2.01M--35K--455K--673K--847K
Change In working capital 22.41%14.76M771.60%14.49M-52.66%2.69M-126.33%-1.53M18.72%-886K729.33%12.06M--1.66M--5.68M--5.81M---1.09M
-Change in prepaid assets -362.88%-13.63M-241.36%-2.45M-117.24%-264K-410.70%-7.81M-428.69%-3.11M162.09%5.19M--1.73M--1.53M--2.51M---589K
-Change in payables and accrued expense 331.17%30.25M10,390.91%17.31M-17.50%3.43M112.14%6.78M646.40%2.73M-3.32%7.02M--165K--4.15M--3.2M---500K
-Change in other current liabilities -1,190.28%-1.86M-61.11%-377K-9,380.00%-474K-623.96%-503K-50,300.00%-504K82.44%-144K---234K---5K--96K---1K
Cash from discontinued investing activities
Operating cash flow -96.25%-255.08M-121.67%-74.76M-151.96%-83.77M-84.53%-52.29M-27.67%-44.26M-20.66%-129.98M---33.73M---33.25M---28.33M---34.67M
Investing cash flow
Cash flow from continuing investing activities -288.17%-113.79M846.86%30.95M-1,330.06%-93.19M-226.05%-32.74M-160.55%-18.81M187.96%60.47M-4.14M7.58M25.98M31.07M
Net PPE purchase and sale 61.50%-1.73M69.75%-366K64.08%-779K47.64%-432K47.46%-155K-86.99%-4.5M---1.21M---2.17M---825K---295K
Net investment purchase and sale -272.47%-112.06M1,167.35%31.32M-1,048.28%-92.41M-220.56%-32.31M-159.49%-18.66M197.93%64.97M---2.93M--9.75M--26.8M--31.36M
Cash from discontinued investing activities
Investing cash flow -288.17%-113.79M846.86%30.95M-1,330.06%-93.19M-226.05%-32.74M-160.55%-18.81M187.96%60.47M---4.14M--7.58M--25.98M--31.07M
Financing cash flow
Cash flow from continuing financing activities 449.01%492.37M-99.98%5K500,221.28%235.15M113.58%128.06M253,329.41%129.15M-11.75%89.68M29.72M47K59.96M-51K
Net common stock issuance --193.32M--0--------------0--10K------------
Net preferred stock issuance 187.89%258.46M--0--0116.33%129.34M--129.12M-10.13%89.78M--29.99M--0--59.79M--0
Proceeds from stock option exercised by employees 51.67%590K-97.64%5K-15.79%48K197.08%508K156.86%29K-77.57%389K--212K--57K--171K---51K
Net other financing activities 8,347.42%40M--0--41.79M-----------485K----------------
Cash from discontinued financing activities
Financing cash flow 449.01%492.37M-99.98%5K500,221.28%235.15M113.58%128.06M253,329.41%129.15M-11.75%89.68M--29.72M--47K--59.96M---51K
Net cash flow
Beginning cash position 74.86%47.13M287.92%214.44M93.13%156.25M385.87%113.21M74.86%47.13M-73.52%26.95M--55.28M--80.9M--23.3M--26.95M
Current changes in cash 512.02%123.5M-437.73%-43.81M327.12%58.2M-25.29%43.04M1,908.29%66.08M126.96%20.18M---8.15M---25.62M--57.6M---3.65M
End cash Position 262.02%170.63M262.02%170.63M287.92%214.44M93.13%156.25M385.87%113.21M74.86%47.13M--47.13M--55.28M--80.9M--23.3M
Free cash flow -90.97%-256.81M-115.04%-75.13M-138.73%-84.55M-80.79%-52.72M-27.04%-44.42M-22.11%-134.47M---34.94M---35.42M---29.16M---34.96M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion------------------

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