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MAIA MAIA Biotechnology

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  • 3.750
  • +0.110+3.02%
Close Jul 22 16:00 ET
  • 4.110
  • +0.360+9.60%
Pre 07:27 ET
81.89MMarket Cap-2388P/E (TTM)

MAIA Biotechnology 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
-6.73%-3.59M
-8.06%-13.07M
-35.35%-3.99M
26.90%-3.16M
-26.80%-2.56M
-19.69%-3.36M
-193.39%-12.1M
-83.53%-2.95M
-229.38%-4.32M
-112.34%-2.02M
Net income from continuing operations
-95.96%-8.07M
-25.39%-19.77M
-50.92%-6.26M
0.57%-4.88M
-36.84%-4.52M
-20.59%-4.12M
-25.37%-15.77M
-43.32%-4.15M
5.76%-4.9M
4.47%-3.31M
Operating gains losses
20,066.09%4.18M
-108.48%-205.13K
-313.24%-63.2K
---18.19K
---102.8K
---20.94K
-102.45%-98.39K
147.42%29.64K
----
----
Other non cash items
-92.99%11.5K
-33.45%731.66K
--48.7K
--194.63K
--324.26K
--164.07K
84.16%1.1M
--0
----
----
Change In working capital
-182.18%-62.11K
774.78%3.09M
35.32%916.78K
205.66%971.1K
59.98%1.12M
170.44%75.58K
-68.66%352.78K
-8.51%677.5K
-453.00%-919.11K
613.31%701.7K
-Change in receivables
-76.53%-90.46K
158.80%158.41K
58.66%-16.21K
507.95%265.62K
75.91%-39.77K
---51.24K
---269.4K
---39.21K
---65.11K
---165.08K
-Change in prepaid assets
-56.37%67.09K
156.57%285.83K
262.91%151.69K
16.42%-174.94K
326.85%155.31K
214.47%153.78K
-3,233.77%-505.23K
-571.54%-93.11K
-631.98%-209.32K
-302.72%-68.47K
-Change in payables and accrued expense
-43.72%-38.74K
134.39%2.64M
-3.52%781.3K
236.57%880.42K
48.93%1.01M
-109.43%-26.96K
-37.23%1.13M
-8.85%809.81K
-187.32%-644.69K
8,308.44%676.21K
-Change in other current assets
----
--0
--0
--0
----
----
110.31%322
--0
--0
--0
Cash from discontinued investing activities
Operating cash flow
-6.73%-3.59M
-8.06%-13.07M
-35.35%-3.99M
26.90%-3.16M
-26.80%-2.56M
-19.69%-3.36M
-193.39%-12.1M
-83.53%-2.95M
-229.38%-4.32M
-112.34%-2.02M
Investing cash flow
Cash flow from continuing investing activities
Cash from discontinued investing activities
Financing cash flow
Cash flow from continuing financing activities
4.72M
-25.70%9.27M
2,705.14%5.03M
-98.77%125.94K
3,526.25%4.12M
0
-11.09%12.48M
-115.70%-192.91K
87.10%10.26M
-102.46%-120.23K
Net common stock issuance
--4.99M
-18.30%11.42M
--5.67M
--0
5,649.93%5.75M
--0
143.35%13.97M
--0
114.31%11.5M
--100K
Proceeds from stock option exercised by employees
----
-99.69%1.43K
--0
-92.04%1.43K
----
----
-12.82%469.4K
-96.57%18.3K
--18K
--275.4K
Net other financing activities
---276.89K
-9.24%-2.15M
-203.80%-641.65K
109.89%124.51K
----
----
-710.49%-1.97M
-166.00%-211.21K
---1.26M
----
Cash from discontinued financing activities
Financing cash flow
--4.72M
-25.70%9.27M
2,705.14%5.03M
-98.77%125.94K
3,526.25%4.12M
--0
-11.09%12.48M
-115.70%-192.91K
87.10%10.26M
-102.46%-120.23K
Net cash flow
Beginning cash position
-34.70%7.15M
3.56%10.95M
-56.59%6.1M
12.22%9.15M
-26.30%7.59M
3.56%10.95M
1,493.82%10.57M
28.41%14.06M
20.20%8.15M
262.49%10.29M
Current changes in cash
133.63%1.13M
-1,097.24%-3.8M
132.87%1.03M
-151.03%-3.03M
172.86%1.56M
-1,115.20%-3.36M
-96.16%381.07K
-730.91%-3.14M
42.38%5.94M
-154.29%-2.14M
Effect of exchange rate changes
-139.38%-9.49K
97.36%-117
-56.14%13.12K
61.07%-10.22K
125.14%954
7.38%-3.97K
---4.43K
--29.9K
---26.26K
---3.79K
End cash Position
9.03%8.27M
-34.70%7.15M
-34.70%7.15M
-56.59%6.1M
12.22%9.15M
-26.30%7.59M
3.56%10.95M
3.56%10.95M
28.41%14.06M
20.20%8.15M
Free cash flow
-6.73%-3.59M
-8.06%-13.07M
-35.35%-3.99M
26.90%-3.16M
-26.80%-2.56M
-19.69%-3.36M
-193.39%-12.1M
-83.53%-2.95M
-229.38%-4.32M
-112.34%-2.02M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(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 -6.73%-3.59M-8.06%-13.07M-35.35%-3.99M26.90%-3.16M-26.80%-2.56M-19.69%-3.36M-193.39%-12.1M-83.53%-2.95M-229.38%-4.32M-112.34%-2.02M
Net income from continuing operations -95.96%-8.07M-25.39%-19.77M-50.92%-6.26M0.57%-4.88M-36.84%-4.52M-20.59%-4.12M-25.37%-15.77M-43.32%-4.15M5.76%-4.9M4.47%-3.31M
Operating gains losses 20,066.09%4.18M-108.48%-205.13K-313.24%-63.2K---18.19K---102.8K---20.94K-102.45%-98.39K147.42%29.64K--------
Other non cash items -92.99%11.5K-33.45%731.66K--48.7K--194.63K--324.26K--164.07K84.16%1.1M--0--------
Change In working capital -182.18%-62.11K774.78%3.09M35.32%916.78K205.66%971.1K59.98%1.12M170.44%75.58K-68.66%352.78K-8.51%677.5K-453.00%-919.11K613.31%701.7K
-Change in receivables -76.53%-90.46K158.80%158.41K58.66%-16.21K507.95%265.62K75.91%-39.77K---51.24K---269.4K---39.21K---65.11K---165.08K
-Change in prepaid assets -56.37%67.09K156.57%285.83K262.91%151.69K16.42%-174.94K326.85%155.31K214.47%153.78K-3,233.77%-505.23K-571.54%-93.11K-631.98%-209.32K-302.72%-68.47K
-Change in payables and accrued expense -43.72%-38.74K134.39%2.64M-3.52%781.3K236.57%880.42K48.93%1.01M-109.43%-26.96K-37.23%1.13M-8.85%809.81K-187.32%-644.69K8,308.44%676.21K
-Change in other current assets ------0--0--0--------110.31%322--0--0--0
Cash from discontinued investing activities
Operating cash flow -6.73%-3.59M-8.06%-13.07M-35.35%-3.99M26.90%-3.16M-26.80%-2.56M-19.69%-3.36M-193.39%-12.1M-83.53%-2.95M-229.38%-4.32M-112.34%-2.02M
Investing cash flow
Cash flow from continuing investing activities
Cash from discontinued investing activities
Financing cash flow
Cash flow from continuing financing activities 4.72M-25.70%9.27M2,705.14%5.03M-98.77%125.94K3,526.25%4.12M0-11.09%12.48M-115.70%-192.91K87.10%10.26M-102.46%-120.23K
Net common stock issuance --4.99M-18.30%11.42M--5.67M--05,649.93%5.75M--0143.35%13.97M--0114.31%11.5M--100K
Proceeds from stock option exercised by employees -----99.69%1.43K--0-92.04%1.43K---------12.82%469.4K-96.57%18.3K--18K--275.4K
Net other financing activities ---276.89K-9.24%-2.15M-203.80%-641.65K109.89%124.51K---------710.49%-1.97M-166.00%-211.21K---1.26M----
Cash from discontinued financing activities
Financing cash flow --4.72M-25.70%9.27M2,705.14%5.03M-98.77%125.94K3,526.25%4.12M--0-11.09%12.48M-115.70%-192.91K87.10%10.26M-102.46%-120.23K
Net cash flow
Beginning cash position -34.70%7.15M3.56%10.95M-56.59%6.1M12.22%9.15M-26.30%7.59M3.56%10.95M1,493.82%10.57M28.41%14.06M20.20%8.15M262.49%10.29M
Current changes in cash 133.63%1.13M-1,097.24%-3.8M132.87%1.03M-151.03%-3.03M172.86%1.56M-1,115.20%-3.36M-96.16%381.07K-730.91%-3.14M42.38%5.94M-154.29%-2.14M
Effect of exchange rate changes -139.38%-9.49K97.36%-117-56.14%13.12K61.07%-10.22K125.14%9547.38%-3.97K---4.43K--29.9K---26.26K---3.79K
End cash Position 9.03%8.27M-34.70%7.15M-34.70%7.15M-56.59%6.1M12.22%9.15M-26.30%7.59M3.56%10.95M3.56%10.95M28.41%14.06M20.20%8.15M
Free cash flow -6.73%-3.59M-8.06%-13.07M-35.35%-3.99M26.90%-3.16M-26.80%-2.56M-19.69%-3.36M-193.39%-12.1M-83.53%-2.95M-229.38%-4.32M-112.34%-2.02M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion--------Unqualified Opinion with Explanatory Notes------

Analysis

Analyst Rating

No Data

Price Target

No Data

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