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LGND Ligand Pharmaceuticals

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  • 114.640
  • +0.695+0.61%
Close Dec 20 16:00 ET
  • 114.640
  • 0.0000.00%
Post 16:20 ET
2.17BMarket Cap46.04P/E (TTM)

Ligand Pharmaceuticals 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
377.77%36.53M
16,336.59%13.31M
-44.82%18.73M
-64.04%49.58M
-84.92%8.07M
-62.68%7.65M
-100.69%-82K
-34.73%33.95M
74.94%137.85M
93.44%53.47M
Net income from continuing operations
30.19%-7.17M
-2,366.86%-51.91M
105.34%86.14M
256.33%52.15M
204.02%18.19M
-2,642.82%-10.27M
355.87%2.29M
372.66%41.95M
-158.39%-33.36M
-222.84%-17.49M
Operating gains losses
2.66%10.45M
620.82%20.79M
-174.75%-108.62M
-43.31%-46.91M
69.35%-13.56M
17,759.65%10.18M
-3,570.43%-3.99M
-448.46%-39.53M
-389.66%-32.73M
-464.73%-44.25M
Depreciation and amortization
4.45%8.99M
-6.76%8.85M
-7.73%8.77M
-30.62%35.64M
-27.81%8.04M
-36.24%8.61M
-27.45%9.5M
-30.38%9.5M
0.83%51.37M
-14.01%11.13M
Deferred tax
-124.83%-1.99M
-106.66%-20.67M
123.28%19.55M
-43.56%11.7M
-89.34%4.94M
163.32%8.01M
-407.22%-10M
154.10%8.75M
340.46%20.72M
12,000.51%46.29M
Other non cash items
509.81%7.53M
27.53%982K
-844.57%-2.52M
-58.29%2.45M
-66.43%712K
-19.29%1.23M
-49.38%770K
-138.09%-267K
142.37%5.87M
-75.48%2.12M
Change In working capital
134.18%7.12M
-38.97%-7.61M
4.38%8.24M
-152.38%-34.4M
-160.18%-15.99M
-515.73%-20.83M
62.74%-5.48M
-83.81%7.9M
215.21%65.68M
349.36%26.57M
-Change in receivables
160.58%4.79M
-757.15%-9.05M
215.01%3.46M
-104.70%-2.6M
-91.85%2.84M
-197.67%-7.91M
106.74%1.38M
-97.48%1.1M
293.31%55.32M
275.80%34.77M
-Change in inventory
416.20%1.93M
119.14%2.49M
29.34%2.63M
-190.15%-10.87M
-47.86%707K
-163.51%-611K
-234.09%-13M
4,525.00%2.04M
2,923.89%12.06M
-49.33%1.36M
-Change in payables and accrued expense
189.04%2.23M
139.16%1.77M
-217.70%-1.38M
-40.84%-4.7M
193.94%2.76M
-163.28%-2.5M
-174.41%-4.53M
83.94%-435K
-218.86%-3.34M
-145.54%-2.94M
-Change in other working capital
81.33%-1.83M
-126.44%-2.82M
-32.07%3.53M
-1,089.45%-16.23M
-235.95%-22.29M
-453.82%-9.81M
561.24%10.67M
-33.50%5.2M
105.33%1.64M
-663,600.00%-6.64M
Cash from discontinued investing activities
Operating cash flow
377.77%36.53M
16,336.59%13.31M
-44.82%18.73M
-64.04%49.58M
-84.92%8.07M
-62.68%7.65M
-100.69%-82K
-34.73%33.95M
74.94%137.85M
93.44%53.47M
Investing cash flow
Cash flow from continuing investing activities
-138.46%-46.51M
-824.71%-54.76M
-135.79%-3.78M
-107.14%-11.68M
-41.19%-10.28M
-201.71%-19.5M
-80.04%7.56M
-90.74%10.55M
436.07%163.62M
79.60%-7.28M
Net PPE purchase and sale
-22.38%-596K
-100.99%-408K
95.65%-105K
80.35%-3.52M
80.43%-417K
88.75%-487K
96.92%-203K
50.48%-2.41M
-104.58%-17.92M
2.92%-2.13M
Net intangibles purchase and sale
-9,629.41%-12.96M
543.37%534K
-485.38%-501K
-54,350.00%-49.91M
-4,877.47%-50.26M
114.17%136K
--83K
--130K
-81.38%92K
112.96%1.05M
Net business purchase and sale
-275.16%-96.19M
---75M
---998K
-3,320.53%-25.65M
---14K
---25.64M
--0
--0
---750K
--0
Net investment purchase and sale
874.74%63.24M
194.62%22.62M
-116.92%-2.17M
-63.20%67.4M
882.30%40.41M
-73.43%6.49M
-82.71%7.68M
-89.26%12.83M
357.80%183.17M
84.18%-5.17M
Net other investing changes
--0
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----
----
----
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21.31%-960K
23.25%-1.04M
Cash from discontinued investing activities
Investing cash flow
-138.46%-46.51M
-824.71%-54.76M
-135.79%-3.78M
-107.14%-11.68M
-41.19%-10.28M
-201.71%-19.5M
-80.04%7.56M
-90.74%10.55M
436.07%163.62M
79.60%-7.28M
Financing cash flow
Cash flow from continuing financing activities
1,584.40%55.08M
114.01%9.49M
1,671.87%12.18M
78.28%-59.95M
200.32%5.32M
108.01%3.27M
-13.99%-67.76M
99.55%-775K
-100.34%-275.99M
-227.23%-5.3M
Net issuance payments of debt
28.57%-10K
99.99%-4K
61.54%-5K
70.54%-76.9M
90.74%-5K
99.96%-14K
-28.25%-76.87M
99.99%-13K
-58.23%-261M
---54K
Proceeds from stock option exercised by employees
531.68%21.4M
4.48%9.55M
351.05%15.3M
594.55%22.45M
365.81%6.53M
313.05%3.39M
1,276.81%9.14M
877.81%3.39M
-90.43%3.23M
-67.26%1.4M
Net other financing activities
-225.24%-335K
-78.13%-57K
24.98%-3.12M
69.83%-5.5M
81.85%-1.21M
97.43%-103K
81.40%-32K
43.84%-4.16M
-177.05%-18.22M
-5,678.26%-6.65M
Cash from discontinued financing activities
Financing cash flow
1,584.40%55.08M
114.01%9.49M
1,671.87%12.18M
78.28%-59.95M
200.32%5.32M
108.01%3.27M
-13.99%-67.76M
99.55%-775K
-100.34%-275.99M
-227.23%-5.3M
Net cash flow
Beginning cash position
-36.23%18.14M
-43.54%50.09M
-49.00%22.95M
130.54%45.01M
382.46%19.86M
438.73%28.45M
491.80%88.73M
130.54%45.01M
-59.30%19.52M
-82.43%4.12M
Current changes in cash
625.25%45.1M
46.99%-31.95M
-37.93%27.14M
-186.53%-22.05M
-92.43%3.1M
-637.71%-8.59M
-520.64%-60.28M
1,065.38%43.72M
189.61%25.48M
1,146.58%40.89M
End cash Position
220.37%63.62M
-36.23%18.14M
-43.54%50.09M
-49.00%22.95M
-49.00%22.95M
382.46%19.86M
438.73%28.45M
491.80%88.73M
130.54%45.01M
130.54%45.01M
Free cash flow
211.34%22.29M
4,021.05%11.18M
-48.68%16.18M
-103.56%-4.27M
-181.60%-42.68M
-52.90%7.16M
-105.39%-285K
-33.10%31.53M
71.23%119.93M
105.53%52.3M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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
--
(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 377.77%36.53M16,336.59%13.31M-44.82%18.73M-64.04%49.58M-84.92%8.07M-62.68%7.65M-100.69%-82K-34.73%33.95M74.94%137.85M93.44%53.47M
Net income from continuing operations 30.19%-7.17M-2,366.86%-51.91M105.34%86.14M256.33%52.15M204.02%18.19M-2,642.82%-10.27M355.87%2.29M372.66%41.95M-158.39%-33.36M-222.84%-17.49M
Operating gains losses 2.66%10.45M620.82%20.79M-174.75%-108.62M-43.31%-46.91M69.35%-13.56M17,759.65%10.18M-3,570.43%-3.99M-448.46%-39.53M-389.66%-32.73M-464.73%-44.25M
Depreciation and amortization 4.45%8.99M-6.76%8.85M-7.73%8.77M-30.62%35.64M-27.81%8.04M-36.24%8.61M-27.45%9.5M-30.38%9.5M0.83%51.37M-14.01%11.13M
Deferred tax -124.83%-1.99M-106.66%-20.67M123.28%19.55M-43.56%11.7M-89.34%4.94M163.32%8.01M-407.22%-10M154.10%8.75M340.46%20.72M12,000.51%46.29M
Other non cash items 509.81%7.53M27.53%982K-844.57%-2.52M-58.29%2.45M-66.43%712K-19.29%1.23M-49.38%770K-138.09%-267K142.37%5.87M-75.48%2.12M
Change In working capital 134.18%7.12M-38.97%-7.61M4.38%8.24M-152.38%-34.4M-160.18%-15.99M-515.73%-20.83M62.74%-5.48M-83.81%7.9M215.21%65.68M349.36%26.57M
-Change in receivables 160.58%4.79M-757.15%-9.05M215.01%3.46M-104.70%-2.6M-91.85%2.84M-197.67%-7.91M106.74%1.38M-97.48%1.1M293.31%55.32M275.80%34.77M
-Change in inventory 416.20%1.93M119.14%2.49M29.34%2.63M-190.15%-10.87M-47.86%707K-163.51%-611K-234.09%-13M4,525.00%2.04M2,923.89%12.06M-49.33%1.36M
-Change in payables and accrued expense 189.04%2.23M139.16%1.77M-217.70%-1.38M-40.84%-4.7M193.94%2.76M-163.28%-2.5M-174.41%-4.53M83.94%-435K-218.86%-3.34M-145.54%-2.94M
-Change in other working capital 81.33%-1.83M-126.44%-2.82M-32.07%3.53M-1,089.45%-16.23M-235.95%-22.29M-453.82%-9.81M561.24%10.67M-33.50%5.2M105.33%1.64M-663,600.00%-6.64M
Cash from discontinued investing activities
Operating cash flow 377.77%36.53M16,336.59%13.31M-44.82%18.73M-64.04%49.58M-84.92%8.07M-62.68%7.65M-100.69%-82K-34.73%33.95M74.94%137.85M93.44%53.47M
Investing cash flow
Cash flow from continuing investing activities -138.46%-46.51M-824.71%-54.76M-135.79%-3.78M-107.14%-11.68M-41.19%-10.28M-201.71%-19.5M-80.04%7.56M-90.74%10.55M436.07%163.62M79.60%-7.28M
Net PPE purchase and sale -22.38%-596K-100.99%-408K95.65%-105K80.35%-3.52M80.43%-417K88.75%-487K96.92%-203K50.48%-2.41M-104.58%-17.92M2.92%-2.13M
Net intangibles purchase and sale -9,629.41%-12.96M543.37%534K-485.38%-501K-54,350.00%-49.91M-4,877.47%-50.26M114.17%136K--83K--130K-81.38%92K112.96%1.05M
Net business purchase and sale -275.16%-96.19M---75M---998K-3,320.53%-25.65M---14K---25.64M--0--0---750K--0
Net investment purchase and sale 874.74%63.24M194.62%22.62M-116.92%-2.17M-63.20%67.4M882.30%40.41M-73.43%6.49M-82.71%7.68M-89.26%12.83M357.80%183.17M84.18%-5.17M
Net other investing changes --0----------------------------21.31%-960K23.25%-1.04M
Cash from discontinued investing activities
Investing cash flow -138.46%-46.51M-824.71%-54.76M-135.79%-3.78M-107.14%-11.68M-41.19%-10.28M-201.71%-19.5M-80.04%7.56M-90.74%10.55M436.07%163.62M79.60%-7.28M
Financing cash flow
Cash flow from continuing financing activities 1,584.40%55.08M114.01%9.49M1,671.87%12.18M78.28%-59.95M200.32%5.32M108.01%3.27M-13.99%-67.76M99.55%-775K-100.34%-275.99M-227.23%-5.3M
Net issuance payments of debt 28.57%-10K99.99%-4K61.54%-5K70.54%-76.9M90.74%-5K99.96%-14K-28.25%-76.87M99.99%-13K-58.23%-261M---54K
Proceeds from stock option exercised by employees 531.68%21.4M4.48%9.55M351.05%15.3M594.55%22.45M365.81%6.53M313.05%3.39M1,276.81%9.14M877.81%3.39M-90.43%3.23M-67.26%1.4M
Net other financing activities -225.24%-335K-78.13%-57K24.98%-3.12M69.83%-5.5M81.85%-1.21M97.43%-103K81.40%-32K43.84%-4.16M-177.05%-18.22M-5,678.26%-6.65M
Cash from discontinued financing activities
Financing cash flow 1,584.40%55.08M114.01%9.49M1,671.87%12.18M78.28%-59.95M200.32%5.32M108.01%3.27M-13.99%-67.76M99.55%-775K-100.34%-275.99M-227.23%-5.3M
Net cash flow
Beginning cash position -36.23%18.14M-43.54%50.09M-49.00%22.95M130.54%45.01M382.46%19.86M438.73%28.45M491.80%88.73M130.54%45.01M-59.30%19.52M-82.43%4.12M
Current changes in cash 625.25%45.1M46.99%-31.95M-37.93%27.14M-186.53%-22.05M-92.43%3.1M-637.71%-8.59M-520.64%-60.28M1,065.38%43.72M189.61%25.48M1,146.58%40.89M
End cash Position 220.37%63.62M-36.23%18.14M-43.54%50.09M-49.00%22.95M-49.00%22.95M382.46%19.86M438.73%28.45M491.80%88.73M130.54%45.01M130.54%45.01M
Free cash flow 211.34%22.29M4,021.05%11.18M-48.68%16.18M-103.56%-4.27M-181.60%-42.68M-52.90%7.16M-105.39%-285K-33.10%31.53M71.23%119.93M105.53%52.3M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------------Unqualified Opinion--
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