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CMPX Compass Therapeutics

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  • 1.260
  • +0.070+5.88%
Close Aug 23 16:00 ET
  • 1.260
  • 0.0000.00%
Post 18:07 ET
173.36MMarket Cap-3600P/E (TTM)

Compass Therapeutics Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-6.34%-10.75M
-13.57%-13.89M
-19.03%-40.62M
-16.10%-12.35M
45.88%-5.92M
-119.85%-10.11M
-53.98%-12.23M
-73.52%-34.13M
-128.10%-10.64M
-216.52%-10.94M
Net income from continuing operations
-15.94%-13.08M
-37.64%-10.79M
-8.33%-42.49M
-15.71%-13.42M
16.79%-9.96M
-32.78%-11.28M
-9.42%-7.84M
52.27%-39.23M
10.68%-11.59M
-100.35%-11.98M
Operating gains losses
----
----
----
----
----
----
----
-66.67%-70K
--0
--0
Depreciation and amortization
-1.89%466K
-3.74%463K
-0.74%1.89M
-3.31%468K
-4.31%466K
-4.62%475K
10.57%481K
17.24%1.9M
22.22%484K
19.95%487K
Change In working capital
376.29%462K
6.42%-5.19M
-130.25%-2.91M
-454.55%-195K
720.63%2.74M
-94.93%97K
-98.89%-5.55M
-120.22%-1.26M
-99.18%55K
-138.52%-441K
-Change in prepaid assets
-359.57%-4.96M
-274.40%-936K
220.94%6.76M
123.45%1.46M
532.87%3.64M
38.85%1.91M
80.96%-250K
-1,147.00%-5.59M
-1,422.72%-6.23M
118.63%575K
-Change in payables and accrued expense
479.04%5.75M
21.36%-3.94M
-255.95%-8.47M
-120.49%-1.35M
18.78%-601K
-287.98%-1.52M
-314.93%-5M
-20.40%5.43M
-0.29%6.57M
-165.26%-740K
-Change in other current liabilities
-9.06%-325K
-9.22%-320K
-9.07%-1.2M
-9.15%-310K
-9.06%-301K
-9.56%-298K
-8.52%-293K
0.81%-1.1M
21.98%-284K
-9.52%-276K
Cash from discontinued investing activities
Operating cash flow
-6.34%-10.75M
-13.57%-13.89M
-19.03%-40.62M
-16.10%-12.35M
45.88%-5.92M
-119.85%-10.11M
-53.98%-12.23M
-73.52%-34.13M
-128.10%-10.64M
-216.52%-10.94M
Investing cash flow
Cash flow from continuing investing activities
1,071.96%6.48M
-196.02%-4.1M
117.83%26.97M
113.54%6.31M
1,344.83%17.05M
99.37%-667K
2,311.92%4.27M
-8,442.37%-151.2M
-5,911.08%-46.65M
421.53%1.18M
Net PPE purchase and sale
----
----
16.67%-30K
83.33%-9K
62.96%-10K
----
----
97.52%-36K
93.04%-54K
92.64%-27K
Net investment purchase and sale
1,088.26%6.48M
-196.02%-4.1M
117.86%27M
113.57%6.32M
1,313.34%17.06M
99.38%-656K
--4.27M
---151.16M
---46.59M
--1.21M
Cash from discontinued investing activities
Investing cash flow
1,071.96%6.48M
-196.02%-4.1M
117.83%26.97M
113.54%6.31M
1,344.83%17.05M
99.37%-667K
2,311.92%4.27M
-8,442.37%-151.2M
-5,911.08%-46.65M
421.53%1.18M
Financing cash flow
Cash flow from continuing financing activities
-99.97%1K
42,419.51%17.43M
-96.13%2.94M
-100.21%-158K
320.00%21K
3.03M
41K
-36.13%75.76M
-39.03%75.75M
100.27%5K
Net common stock issuance
--0
--18.11M
-95.90%3.13M
--0
--0
--3.13M
--0
-40.56%76.24M
-40.56%76.24M
--0
Proceeds from stock option exercised by employees
--0
--0
313.33%62K
--0
320.00%21K
--0
--41K
--15K
--10K
--5K
Net other financing activities
--1K
---680K
48.89%-253K
---158K
--0
----
----
-76.16%-495K
----
----
Cash from discontinued financing activities
Financing cash flow
-99.97%1K
42,419.51%17.43M
-96.13%2.94M
-100.21%-158K
320.00%21K
--3.03M
--41K
-36.13%75.76M
-39.03%75.75M
100.27%5K
Net cash flow
Beginning cash position
-12.41%23.67M
-30.67%24.23M
-75.82%34.95M
84.61%30.43M
-26.53%19.28M
-80.18%27.03M
-75.82%34.95M
205.27%144.51M
-35.92%16.48M
-16.49%26.24M
Current changes in cash
44.90%-4.27M
93.00%-554K
90.22%-10.72M
-133.57%-6.2M
214.26%11.15M
92.96%-7.75M
2.66%-7.92M
-212.75%-109.57M
-84.46%18.47M
-71.21%-9.76M
End cash Position
0.65%19.4M
-12.41%23.67M
-30.67%24.23M
-30.67%24.23M
84.61%30.43M
-26.53%19.28M
-80.18%27.03M
-75.82%34.95M
-75.82%34.95M
-35.92%16.48M
Free cash flow
-6.22%-10.75M
-13.57%-13.89M
-18.38%-40.65M
-15.60%-12.36M
45.92%-5.93M
-123.14%-10.12M
-50.31%-12.23M
-61.71%-34.34M
-96.53%-10.7M
-186.85%-10.97M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
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(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(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -6.34%-10.75M-13.57%-13.89M-19.03%-40.62M-16.10%-12.35M45.88%-5.92M-119.85%-10.11M-53.98%-12.23M-73.52%-34.13M-128.10%-10.64M-216.52%-10.94M
Net income from continuing operations -15.94%-13.08M-37.64%-10.79M-8.33%-42.49M-15.71%-13.42M16.79%-9.96M-32.78%-11.28M-9.42%-7.84M52.27%-39.23M10.68%-11.59M-100.35%-11.98M
Operating gains losses -----------------------------66.67%-70K--0--0
Depreciation and amortization -1.89%466K-3.74%463K-0.74%1.89M-3.31%468K-4.31%466K-4.62%475K10.57%481K17.24%1.9M22.22%484K19.95%487K
Change In working capital 376.29%462K6.42%-5.19M-130.25%-2.91M-454.55%-195K720.63%2.74M-94.93%97K-98.89%-5.55M-120.22%-1.26M-99.18%55K-138.52%-441K
-Change in prepaid assets -359.57%-4.96M-274.40%-936K220.94%6.76M123.45%1.46M532.87%3.64M38.85%1.91M80.96%-250K-1,147.00%-5.59M-1,422.72%-6.23M118.63%575K
-Change in payables and accrued expense 479.04%5.75M21.36%-3.94M-255.95%-8.47M-120.49%-1.35M18.78%-601K-287.98%-1.52M-314.93%-5M-20.40%5.43M-0.29%6.57M-165.26%-740K
-Change in other current liabilities -9.06%-325K-9.22%-320K-9.07%-1.2M-9.15%-310K-9.06%-301K-9.56%-298K-8.52%-293K0.81%-1.1M21.98%-284K-9.52%-276K
Cash from discontinued investing activities
Operating cash flow -6.34%-10.75M-13.57%-13.89M-19.03%-40.62M-16.10%-12.35M45.88%-5.92M-119.85%-10.11M-53.98%-12.23M-73.52%-34.13M-128.10%-10.64M-216.52%-10.94M
Investing cash flow
Cash flow from continuing investing activities 1,071.96%6.48M-196.02%-4.1M117.83%26.97M113.54%6.31M1,344.83%17.05M99.37%-667K2,311.92%4.27M-8,442.37%-151.2M-5,911.08%-46.65M421.53%1.18M
Net PPE purchase and sale --------16.67%-30K83.33%-9K62.96%-10K--------97.52%-36K93.04%-54K92.64%-27K
Net investment purchase and sale 1,088.26%6.48M-196.02%-4.1M117.86%27M113.57%6.32M1,313.34%17.06M99.38%-656K--4.27M---151.16M---46.59M--1.21M
Cash from discontinued investing activities
Investing cash flow 1,071.96%6.48M-196.02%-4.1M117.83%26.97M113.54%6.31M1,344.83%17.05M99.37%-667K2,311.92%4.27M-8,442.37%-151.2M-5,911.08%-46.65M421.53%1.18M
Financing cash flow
Cash flow from continuing financing activities -99.97%1K42,419.51%17.43M-96.13%2.94M-100.21%-158K320.00%21K3.03M41K-36.13%75.76M-39.03%75.75M100.27%5K
Net common stock issuance --0--18.11M-95.90%3.13M--0--0--3.13M--0-40.56%76.24M-40.56%76.24M--0
Proceeds from stock option exercised by employees --0--0313.33%62K--0320.00%21K--0--41K--15K--10K--5K
Net other financing activities --1K---680K48.89%-253K---158K--0---------76.16%-495K--------
Cash from discontinued financing activities
Financing cash flow -99.97%1K42,419.51%17.43M-96.13%2.94M-100.21%-158K320.00%21K--3.03M--41K-36.13%75.76M-39.03%75.75M100.27%5K
Net cash flow
Beginning cash position -12.41%23.67M-30.67%24.23M-75.82%34.95M84.61%30.43M-26.53%19.28M-80.18%27.03M-75.82%34.95M205.27%144.51M-35.92%16.48M-16.49%26.24M
Current changes in cash 44.90%-4.27M93.00%-554K90.22%-10.72M-133.57%-6.2M214.26%11.15M92.96%-7.75M2.66%-7.92M-212.75%-109.57M-84.46%18.47M-71.21%-9.76M
End cash Position 0.65%19.4M-12.41%23.67M-30.67%24.23M-30.67%24.23M84.61%30.43M-26.53%19.28M-80.18%27.03M-75.82%34.95M-75.82%34.95M-35.92%16.48M
Free cash flow -6.22%-10.75M-13.57%-13.89M-18.38%-40.65M-15.60%-12.36M45.92%-5.93M-123.14%-10.12M-50.31%-12.23M-61.71%-34.34M-96.53%-10.7M-186.85%-10.97M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

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Price Target

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