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BNTX BioNTech

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  • 80.510
  • +0.020+0.02%
Close Jul 9 16:00 ET
  • 81.000
  • +0.490+0.61%
Post 19:29 ET
19.40BMarket Cap158.17P/E (TTM)

BioNTech Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
53.16%-317.3M
-60.44%5.37B
2.62%850.9M
-83.03%811.2M
11.93%4.39B
-116.73%-677.4M
1,426.06%13.58B
515.64%829.2M
218.42%4.78B
4,007.38%3.92B
Net income from continuing operations
-146.88%-331.8M
-90.84%1.19B
-79.10%663.2M
-90.70%227.4M
-117.77%-412.2M
-85.90%707.7M
-13.91%12.95B
-32.70%3.17B
-47.63%2.44B
-42.35%2.32B
Operating gains losses
-120.85%-27M
-130.82%-118.7M
-70.02%157.3M
-118.05%-20.6M
-49.24%-384.9M
2,983.33%129.5M
218.27%385.1M
1,047.11%524.7M
167.40%114.1M
-268.96%-257.9M
Depreciation and amortization
21.97%38.3M
48.74%183.4M
171.72%78.8M
23.28%41.3M
-3.92%31.9M
13.77%31.4M
63.96%123.3M
11.54%29M
69.19%33.5M
102.44%33.2M
Other non cash items
78.70%-172.5M
-328.16%-1.28B
-89.70%-158.4M
-2,854.90%-150.7M
-7,557.14%-156.6M
-281.26%-809.8M
-249.62%-297.9M
-1,310.14%-83.5M
-108.32%-5.1M
-98.64%2.1M
Change In working capital
366.46%222.5M
23.38%5.57B
45.18%-803.8M
-77.83%639.4M
118.63%5.69B
-90.41%47.7M
142.11%4.52B
-0.45%-1.47B
193.07%2.88B
161.34%2.6B
-Change in receivables
-44.26%498.2M
22.98%5.37B
-97.06%-1.27B
-71.89%631.2M
61.38%5.12B
321.51%893.8M
137.01%4.37B
62.24%-646.8M
167.15%2.25B
168.26%3.17B
-Change in inventory
-20.65%12.3M
30.21%81.9M
140.06%58M
-54.46%33.2M
-127.07%-24.8M
-64.12%15.5M
114.35%62.9M
-32.72%-144.8M
182.84%72.9M
157.79%91.6M
-Change in payables and accrued expense
66.57%-288M
38.74%118.9M
161.19%412.8M
-104.42%-25M
189.38%592.7M
-200.48%-861.6M
-94.35%85.7M
-286.25%-674.6M
69.99%565.9M
-217.26%-663.1M
Cash from discontinued investing activities
Operating cash flow
53.16%-317.3M
-60.44%5.37B
2.62%850.9M
-83.03%811.2M
11.93%4.39B
-116.73%-677.4M
1,426.06%13.58B
515.64%829.2M
218.42%4.78B
4,007.38%3.92B
Investing cash flow
Cash flow from continuing investing activities
-213.35%-2.3B
-19,601.13%-6.95B
-1,573.98%-2.7B
-1,379.23%-1.23B
-2,823.21%-2.29B
-355.88%-735.4M
93.76%-35.3M
-61.16%-161M
79.59%-83.3M
-163.09%-78.4M
Net PPE purchase and sale
-29.42%-58.5M
23.89%-250.1M
38.64%-83.7M
30.32%-54M
4.82%-67.2M
-2.49%-45.2M
-164.79%-328.6M
-264.71%-136.4M
-92.31%-77.5M
-175.78%-70.6M
Net intangibles purchase and sale
-716.67%-78.4M
-1,235.48%-455.4M
-1,248.10%-106.5M
-1,968.09%-97.2M
-4,943.75%-242.1M
42.51%-9.6M
-28.68%-34.1M
43.57%-7.9M
-487.50%-4.7M
-14.29%-4.8M
Net business purchase and sale
----
---336.9M
--0
---336.9M
----
----
--0
--0
--0
----
Net investment purchase and sale
-218.47%-2.17B
-1,905.77%-5.91B
-14,899.40%-2.5B
-67,545.45%-744.1M
-65,983.33%-1.98B
-295.46%-680.6M
182.95%327.4M
39.71%-16.7M
99.70%-1.1M
---3M
Cash from discontinued investing activities
Investing cash flow
-213.35%-2.3B
-19,601.13%-6.95B
-1,573.98%-2.7B
-1,379.23%-1.23B
-2,823.21%-2.29B
-355.88%-735.4M
93.76%-35.3M
-61.16%-161M
79.59%-83.3M
-163.09%-78.4M
Financing cash flow
Cash flow from continuing financing activities
97.32%-7.8M
45.14%-778.6M
80.06%-12.9M
52.40%-311M
79.09%-163.4M
-462.76%-291.3M
-1,606.69%-1.42B
-32.31%-64.7M
-12,228.30%-653.4M
-611.12%-781.5M
Net issuance payments of debt
16.13%-7.8M
32.15%-40.1M
-34.44%-12.1M
3.13%-9.3M
8.74%-9.4M
69.21%-9.3M
11.39%-59.1M
81.60%-9M
-81.13%-9.6M
-28.75%-10.3M
Net common stock issuance
--0
15.69%-738.5M
98.56%-800K
53.14%-301.7M
46.32%-154M
-355.20%-282M
-644.38%-875.9M
---55.7M
---643.8M
-278.31%-286.9M
Cash dividends paid
----
--0
--0
--0
--0
----
---484.3M
--0
--0
---484.3M
Cash from discontinued financing activities
Financing cash flow
97.32%-7.8M
45.14%-778.6M
80.06%-12.9M
52.40%-311M
79.09%-163.4M
-462.76%-291.3M
-1,606.69%-1.42B
-32.31%-64.7M
-12,228.30%-653.4M
-611.12%-781.5M
Net cash flow
Beginning cash position
-15.94%11.66B
719.70%13.88B
0.54%13.5B
51.76%14.17B
97.01%12.14B
719.70%13.88B
39.87%1.69B
562.67%13.42B
921.20%9.33B
591.43%6.16B
Current changes in cash
-54.30%-2.63B
-119.48%-2.36B
-407.72%-1.86B
-118.11%-732M
-36.86%1.93B
-138.57%-1.7B
2,801.58%12.12B
273.27%603.5M
271.73%4.04B
13,317.54%3.06B
Effect of exchange rate changes
-112.55%-57.6M
152.18%150.3M
116.44%25M
31.05%61.2M
-18.21%91.2M
-150.65%-27.1M
-7.88%59.6M
-1,094.12%-152.1M
92.98%46.7M
55,850.00%111.5M
End cash Position
-26.08%8.98B
-15.94%11.66B
-15.94%11.66B
0.54%13.5B
51.76%14.17B
97.01%12.14B
719.70%13.88B
719.70%13.88B
562.67%13.42B
921.20%9.33B
Free cash flow
37.97%-454.2M
-64.69%4.67B
-3.51%660.7M
-85.95%660M
6.08%4.08B
-118.35%-732.2M
1,696.13%13.21B
370.74%684.7M
221.77%4.7B
3,047.62%3.84B
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(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(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 53.16%-317.3M-60.44%5.37B2.62%850.9M-83.03%811.2M11.93%4.39B-116.73%-677.4M1,426.06%13.58B515.64%829.2M218.42%4.78B4,007.38%3.92B
Net income from continuing operations -146.88%-331.8M-90.84%1.19B-79.10%663.2M-90.70%227.4M-117.77%-412.2M-85.90%707.7M-13.91%12.95B-32.70%3.17B-47.63%2.44B-42.35%2.32B
Operating gains losses -120.85%-27M-130.82%-118.7M-70.02%157.3M-118.05%-20.6M-49.24%-384.9M2,983.33%129.5M218.27%385.1M1,047.11%524.7M167.40%114.1M-268.96%-257.9M
Depreciation and amortization 21.97%38.3M48.74%183.4M171.72%78.8M23.28%41.3M-3.92%31.9M13.77%31.4M63.96%123.3M11.54%29M69.19%33.5M102.44%33.2M
Other non cash items 78.70%-172.5M-328.16%-1.28B-89.70%-158.4M-2,854.90%-150.7M-7,557.14%-156.6M-281.26%-809.8M-249.62%-297.9M-1,310.14%-83.5M-108.32%-5.1M-98.64%2.1M
Change In working capital 366.46%222.5M23.38%5.57B45.18%-803.8M-77.83%639.4M118.63%5.69B-90.41%47.7M142.11%4.52B-0.45%-1.47B193.07%2.88B161.34%2.6B
-Change in receivables -44.26%498.2M22.98%5.37B-97.06%-1.27B-71.89%631.2M61.38%5.12B321.51%893.8M137.01%4.37B62.24%-646.8M167.15%2.25B168.26%3.17B
-Change in inventory -20.65%12.3M30.21%81.9M140.06%58M-54.46%33.2M-127.07%-24.8M-64.12%15.5M114.35%62.9M-32.72%-144.8M182.84%72.9M157.79%91.6M
-Change in payables and accrued expense 66.57%-288M38.74%118.9M161.19%412.8M-104.42%-25M189.38%592.7M-200.48%-861.6M-94.35%85.7M-286.25%-674.6M69.99%565.9M-217.26%-663.1M
Cash from discontinued investing activities
Operating cash flow 53.16%-317.3M-60.44%5.37B2.62%850.9M-83.03%811.2M11.93%4.39B-116.73%-677.4M1,426.06%13.58B515.64%829.2M218.42%4.78B4,007.38%3.92B
Investing cash flow
Cash flow from continuing investing activities -213.35%-2.3B-19,601.13%-6.95B-1,573.98%-2.7B-1,379.23%-1.23B-2,823.21%-2.29B-355.88%-735.4M93.76%-35.3M-61.16%-161M79.59%-83.3M-163.09%-78.4M
Net PPE purchase and sale -29.42%-58.5M23.89%-250.1M38.64%-83.7M30.32%-54M4.82%-67.2M-2.49%-45.2M-164.79%-328.6M-264.71%-136.4M-92.31%-77.5M-175.78%-70.6M
Net intangibles purchase and sale -716.67%-78.4M-1,235.48%-455.4M-1,248.10%-106.5M-1,968.09%-97.2M-4,943.75%-242.1M42.51%-9.6M-28.68%-34.1M43.57%-7.9M-487.50%-4.7M-14.29%-4.8M
Net business purchase and sale -------336.9M--0---336.9M----------0--0--0----
Net investment purchase and sale -218.47%-2.17B-1,905.77%-5.91B-14,899.40%-2.5B-67,545.45%-744.1M-65,983.33%-1.98B-295.46%-680.6M182.95%327.4M39.71%-16.7M99.70%-1.1M---3M
Cash from discontinued investing activities
Investing cash flow -213.35%-2.3B-19,601.13%-6.95B-1,573.98%-2.7B-1,379.23%-1.23B-2,823.21%-2.29B-355.88%-735.4M93.76%-35.3M-61.16%-161M79.59%-83.3M-163.09%-78.4M
Financing cash flow
Cash flow from continuing financing activities 97.32%-7.8M45.14%-778.6M80.06%-12.9M52.40%-311M79.09%-163.4M-462.76%-291.3M-1,606.69%-1.42B-32.31%-64.7M-12,228.30%-653.4M-611.12%-781.5M
Net issuance payments of debt 16.13%-7.8M32.15%-40.1M-34.44%-12.1M3.13%-9.3M8.74%-9.4M69.21%-9.3M11.39%-59.1M81.60%-9M-81.13%-9.6M-28.75%-10.3M
Net common stock issuance --015.69%-738.5M98.56%-800K53.14%-301.7M46.32%-154M-355.20%-282M-644.38%-875.9M---55.7M---643.8M-278.31%-286.9M
Cash dividends paid ------0--0--0--0-------484.3M--0--0---484.3M
Cash from discontinued financing activities
Financing cash flow 97.32%-7.8M45.14%-778.6M80.06%-12.9M52.40%-311M79.09%-163.4M-462.76%-291.3M-1,606.69%-1.42B-32.31%-64.7M-12,228.30%-653.4M-611.12%-781.5M
Net cash flow
Beginning cash position -15.94%11.66B719.70%13.88B0.54%13.5B51.76%14.17B97.01%12.14B719.70%13.88B39.87%1.69B562.67%13.42B921.20%9.33B591.43%6.16B
Current changes in cash -54.30%-2.63B-119.48%-2.36B-407.72%-1.86B-118.11%-732M-36.86%1.93B-138.57%-1.7B2,801.58%12.12B273.27%603.5M271.73%4.04B13,317.54%3.06B
Effect of exchange rate changes -112.55%-57.6M152.18%150.3M116.44%25M31.05%61.2M-18.21%91.2M-150.65%-27.1M-7.88%59.6M-1,094.12%-152.1M92.98%46.7M55,850.00%111.5M
End cash Position -26.08%8.98B-15.94%11.66B-15.94%11.66B0.54%13.5B51.76%14.17B97.01%12.14B719.70%13.88B719.70%13.88B562.67%13.42B921.20%9.33B
Free cash flow 37.97%-454.2M-64.69%4.67B-3.51%660.7M-85.95%660M6.08%4.08B-118.35%-732.2M1,696.13%13.21B370.74%684.7M221.77%4.7B3,047.62%3.84B
Currency Unit EUREUREUREUREUREUREUREUREUREUR
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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