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MRNA Moderna

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  • 54.630
  • +0.270+0.50%
Close Nov 1 16:00 ET
  • 55.140
  • +0.510+0.93%
Pre 05:37 ET
21.00BMarket Cap-3558P/E (TTM)

Moderna 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
-39.23%-1.27B
19.27%-989M
-162.60%-3.12B
-62.58%622M
-734.92%-1.6B
-400.99%-915M
-144.34%-1.23B
-63.43%4.98B
-49.79%1.66B
-92.31%252M
Net income from continuing operations
7.32%-1.28B
-1,587.34%-1.18B
-156.37%-4.71B
-85.19%217M
-448.03%-3.63B
-162.81%-1.38B
-97.84%79M
-31.47%8.36B
-69.91%1.47B
-68.71%1.04B
Operating gains losses
162.86%22M
-27.78%13M
--35M
--19M
--33M
---35M
--18M
----
----
----
Depreciation and amortization
-55.43%41M
-53.85%36M
78.45%621M
152.50%202M
120.35%249M
21.05%92M
-1.27%78M
50.00%348M
2.56%80M
61.43%113M
Deferred tax
--0
--0
248.12%828M
-23.26%-106M
1,609.28%1.46B
4.35%-220M
-112.33%-310M
-75.79%-559M
---86M
---97M
Other non cash items
150.00%4M
175.00%3M
-75.00%7M
-125.00%-18M
76.19%37M
---8M
---4M
--28M
---8M
--21M
Change In working capital
-125.44%-146M
105.24%60M
95.98%-139M
62.75%249M
120.13%182M
131.63%574M
-28.68%-1.14B
-364.14%-3.46B
111.12%153M
-383.42%-904M
-Change in receivables
-102.95%-26M
177.57%755M
-72.46%493M
-25.65%974M
-40,750.00%-1.63B
82.40%881M
27,100.00%272M
200.34%1.79B
4,069.70%1.31B
99.64%-4M
-Change in inventory
-677.78%-104M
-143.06%-93M
51.83%747M
-74.73%285M
246.15%228M
-14.29%18M
143.11%216M
135.29%492M
336.97%1.13B
51.55%-156M
-Change in prepaid assets
--0
101.42%3M
157.33%974M
119.61%202M
364.93%914M
-22.22%70M
48.79%-212M
-247.44%-1.7B
-239.93%-1.03B
-353.95%-345M
-Change in payables and accrued expense
96.92%-7M
-19.87%-712M
-1,400.00%-312M
-195.91%-375M
1,093.26%884M
78.84%-227M
-174.72%-594M
-98.84%24M
-55.47%391M
-122.08%-89M
-Change in other current assets
-500.00%-78M
300.00%16M
-2,980.95%-605M
750.00%52M
-7,300.00%-648M
-230.00%-13M
-60.00%4M
136.21%21M
75.76%-8M
181.82%9M
-Change in other current liabilities
-2,300.00%-110M
1,227.27%124M
743.24%624M
98.84%-2M
31,500.00%632M
-97.72%5M
-144.00%-11M
-47.14%74M
-257.80%-172M
105.00%2M
-Change in other working capital
211.88%179M
95.97%-33M
50.45%-2.06B
39.50%-887M
39.56%-194M
89.78%-160M
-1.74%-819M
-247.20%-4.16B
3.43%-1.47B
-132.72%-321M
Cash from discontinued investing activities
Operating cash flow
-39.23%-1.27B
19.27%-989M
-162.60%-3.12B
-62.58%622M
-734.92%-1.6B
-400.99%-915M
-144.34%-1.23B
-63.43%4.98B
-49.79%1.66B
-92.31%252M
Investing cash flow
Cash flow from continuing investing activities
-15.17%1.65B
-94.13%118M
181.26%4.21B
48.66%-538M
-16.51%789M
268.75%1.94B
151.29%2.01B
39.27%-5.18B
7.91%-1.05B
128.40%945M
Net PPE purchase and sale
22.22%-182M
-73.45%-196M
-76.75%-707M
-139.13%-220M
-57.30%-140M
-168.97%-234M
14.39%-113M
-40.85%-400M
23.33%-92M
10.10%-89M
Net business purchase and sale
--0
--0
---85M
--0
--0
--0
---85M
--0
--0
--0
Net investment purchase and sale
-15.93%1.83B
-85.79%314M
206.02%5.02B
67.79%-295M
-10.15%929M
304.51%2.18B
158.30%2.21B
42.31%-4.74B
7.29%-916M
132.03%1.03B
Net other investing changes
----
----
42.50%-23M
----
----
----
----
-33.33%-40M
----
----
Cash from discontinued investing activities
Investing cash flow
-15.17%1.65B
-94.13%118M
181.26%4.21B
48.66%-538M
-16.51%789M
268.75%1.94B
151.29%2.01B
39.27%-5.18B
7.91%-1.05B
128.40%945M
Financing cash flow
Cash flow from continuing financing activities
105.09%34M
102.58%14M
60.06%-1.38B
75.11%-109M
94.43%-58M
49.66%-668M
15.58%-542M
-294.96%-3.45B
49.83%-438M
-51,950.00%-1.04B
Net issuance payments of debt
103.57%2M
96.00%-1M
-46.74%-270M
-103.28%-124M
-41.30%-65M
-21.74%-56M
19.35%-25M
-31.43%-184M
-38.64%-61M
-35.29%-46M
Net common stock issuance
105.23%32M
102.90%15M
66.08%-1.11B
103.98%15M
100.70%7M
52.22%-612M
15.38%-517M
-345.29%-3.26B
54.52%-377M
-3,209.38%-995M
Cash from discontinued financing activities
Financing cash flow
105.09%34M
102.58%14M
60.06%-1.38B
75.11%-109M
94.43%-58M
49.66%-668M
15.58%-542M
-294.96%-3.45B
49.83%-438M
-51,950.00%-1.04B
Net cash flow
Beginning cash position
-40.16%2.07B
-8.98%2.93B
-53.10%3.22B
-2.89%2.95B
32.48%3.82B
-31.60%3.46B
-53.10%3.22B
160.24%6.86B
-45.32%3.04B
-48.61%2.89B
Current changes in cash
13.30%409M
-451.23%-857M
92.07%-289M
-114.20%-25M
-657.05%-869M
116.60%361M
113.56%244M
-186.25%-3.64B
-86.45%176M
394.34%156M
End cash Position
-35.11%2.48B
-40.16%2.07B
-8.98%2.93B
-8.98%2.93B
-2.89%2.95B
32.48%3.82B
-31.60%3.46B
-53.10%3.22B
-53.10%3.22B
-45.32%3.04B
Free cash flow
-26.72%-1.46B
11.43%-1.19B
-183.50%-3.83B
-74.39%402M
-1,167.48%-1.74B
-629.49%-1.15B
-150.86%-1.34B
-65.65%4.58B
-50.78%1.57B
-94.87%163M
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
--
--
--
--
Unqualified Opinion
--
--
(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 -39.23%-1.27B19.27%-989M-162.60%-3.12B-62.58%622M-734.92%-1.6B-400.99%-915M-144.34%-1.23B-63.43%4.98B-49.79%1.66B-92.31%252M
Net income from continuing operations 7.32%-1.28B-1,587.34%-1.18B-156.37%-4.71B-85.19%217M-448.03%-3.63B-162.81%-1.38B-97.84%79M-31.47%8.36B-69.91%1.47B-68.71%1.04B
Operating gains losses 162.86%22M-27.78%13M--35M--19M--33M---35M--18M------------
Depreciation and amortization -55.43%41M-53.85%36M78.45%621M152.50%202M120.35%249M21.05%92M-1.27%78M50.00%348M2.56%80M61.43%113M
Deferred tax --0--0248.12%828M-23.26%-106M1,609.28%1.46B4.35%-220M-112.33%-310M-75.79%-559M---86M---97M
Other non cash items 150.00%4M175.00%3M-75.00%7M-125.00%-18M76.19%37M---8M---4M--28M---8M--21M
Change In working capital -125.44%-146M105.24%60M95.98%-139M62.75%249M120.13%182M131.63%574M-28.68%-1.14B-364.14%-3.46B111.12%153M-383.42%-904M
-Change in receivables -102.95%-26M177.57%755M-72.46%493M-25.65%974M-40,750.00%-1.63B82.40%881M27,100.00%272M200.34%1.79B4,069.70%1.31B99.64%-4M
-Change in inventory -677.78%-104M-143.06%-93M51.83%747M-74.73%285M246.15%228M-14.29%18M143.11%216M135.29%492M336.97%1.13B51.55%-156M
-Change in prepaid assets --0101.42%3M157.33%974M119.61%202M364.93%914M-22.22%70M48.79%-212M-247.44%-1.7B-239.93%-1.03B-353.95%-345M
-Change in payables and accrued expense 96.92%-7M-19.87%-712M-1,400.00%-312M-195.91%-375M1,093.26%884M78.84%-227M-174.72%-594M-98.84%24M-55.47%391M-122.08%-89M
-Change in other current assets -500.00%-78M300.00%16M-2,980.95%-605M750.00%52M-7,300.00%-648M-230.00%-13M-60.00%4M136.21%21M75.76%-8M181.82%9M
-Change in other current liabilities -2,300.00%-110M1,227.27%124M743.24%624M98.84%-2M31,500.00%632M-97.72%5M-144.00%-11M-47.14%74M-257.80%-172M105.00%2M
-Change in other working capital 211.88%179M95.97%-33M50.45%-2.06B39.50%-887M39.56%-194M89.78%-160M-1.74%-819M-247.20%-4.16B3.43%-1.47B-132.72%-321M
Cash from discontinued investing activities
Operating cash flow -39.23%-1.27B19.27%-989M-162.60%-3.12B-62.58%622M-734.92%-1.6B-400.99%-915M-144.34%-1.23B-63.43%4.98B-49.79%1.66B-92.31%252M
Investing cash flow
Cash flow from continuing investing activities -15.17%1.65B-94.13%118M181.26%4.21B48.66%-538M-16.51%789M268.75%1.94B151.29%2.01B39.27%-5.18B7.91%-1.05B128.40%945M
Net PPE purchase and sale 22.22%-182M-73.45%-196M-76.75%-707M-139.13%-220M-57.30%-140M-168.97%-234M14.39%-113M-40.85%-400M23.33%-92M10.10%-89M
Net business purchase and sale --0--0---85M--0--0--0---85M--0--0--0
Net investment purchase and sale -15.93%1.83B-85.79%314M206.02%5.02B67.79%-295M-10.15%929M304.51%2.18B158.30%2.21B42.31%-4.74B7.29%-916M132.03%1.03B
Net other investing changes --------42.50%-23M-----------------33.33%-40M--------
Cash from discontinued investing activities
Investing cash flow -15.17%1.65B-94.13%118M181.26%4.21B48.66%-538M-16.51%789M268.75%1.94B151.29%2.01B39.27%-5.18B7.91%-1.05B128.40%945M
Financing cash flow
Cash flow from continuing financing activities 105.09%34M102.58%14M60.06%-1.38B75.11%-109M94.43%-58M49.66%-668M15.58%-542M-294.96%-3.45B49.83%-438M-51,950.00%-1.04B
Net issuance payments of debt 103.57%2M96.00%-1M-46.74%-270M-103.28%-124M-41.30%-65M-21.74%-56M19.35%-25M-31.43%-184M-38.64%-61M-35.29%-46M
Net common stock issuance 105.23%32M102.90%15M66.08%-1.11B103.98%15M100.70%7M52.22%-612M15.38%-517M-345.29%-3.26B54.52%-377M-3,209.38%-995M
Cash from discontinued financing activities
Financing cash flow 105.09%34M102.58%14M60.06%-1.38B75.11%-109M94.43%-58M49.66%-668M15.58%-542M-294.96%-3.45B49.83%-438M-51,950.00%-1.04B
Net cash flow
Beginning cash position -40.16%2.07B-8.98%2.93B-53.10%3.22B-2.89%2.95B32.48%3.82B-31.60%3.46B-53.10%3.22B160.24%6.86B-45.32%3.04B-48.61%2.89B
Current changes in cash 13.30%409M-451.23%-857M92.07%-289M-114.20%-25M-657.05%-869M116.60%361M113.56%244M-186.25%-3.64B-86.45%176M394.34%156M
End cash Position -35.11%2.48B-40.16%2.07B-8.98%2.93B-8.98%2.93B-2.89%2.95B32.48%3.82B-31.60%3.46B-53.10%3.22B-53.10%3.22B-45.32%3.04B
Free cash flow -26.72%-1.46B11.43%-1.19B-183.50%-3.83B-74.39%402M-1,167.48%-1.74B-629.49%-1.15B-150.86%-1.34B-65.65%4.58B-50.78%1.57B-94.87%163M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

No Data

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