US Stock MarketDetailed Quotes

MRUS Merus

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  • 47.740
  • +0.550+1.17%
Close Sep 27 16:00 ET
  • 47.740
  • 0.0000.00%
Post 16:01 ET
3.26BMarket Cap-16519P/E (TTM)

Merus 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
113.55%5.63M
-20.81%-44.39M
5.13%-142.21M
-19.13%-36.35M
33.27%-27.53M
-31.05%-41.59M
20.81%-36.74M
-151.39%-149.9M
3.44%-30.51M
-78.79%-41.26M
Net income from continuing operations
-56.22%-50.04M
13.30%-34.46M
-18.10%-154.94M
26.62%-60.15M
6.51%-23.01M
-460.61%-32.03M
-110.35%-39.74M
-96.35%-131.19M
-468.42%-81.97M
-65.72%-24.62M
Operating gains losses
-1,341.15%-7.57M
-247.48%-8.62M
159.30%13.95M
-61.22%17.5M
46.18%-10M
101.44%610K
174.99%5.84M
15.07%-23.53M
433.72%45.13M
-182.83%-18.58M
Depreciation and amortization
-5.19%640K
3.23%607K
97.67%2.54M
98.08%618K
119.67%659K
109.63%675K
67.52%588K
-13.47%1.29M
-2.50%312K
-21.88%300K
Deferred tax
61.28%-266K
381.40%923K
151.85%842K
68.97%-498K
1,307.69%2.36M
-326.71%-687K
-197.33%-328K
-23,100.00%-1.62M
-714.72%-1.61M
-143.75%-195K
Change In working capital
444.19%52.18M
17.34%-6.49M
-35.79%-25.75M
-71.14%653K
23.35%-3.39M
-264.22%-15.16M
69.84%-7.85M
-219.49%-18.97M
125.46%2.26M
30.57%-4.43M
-Change in receivables
2,883.80%57.11M
-8,868.94%-56.59M
-5.73%1.73M
193.67%1.12M
-166.96%-681K
224.69%1.91M
-117.78%-631K
136.69%1.83M
63.34%-1.2M
168.34%1.02M
-Change in prepaid assets
-4.89%-2.98M
-328.56%-2.01M
136.06%2.65M
62.02%2.66M
114.99%1.95M
-117.58%-2.84M
107.23%879K
-572.53%-7.34M
18.63%1.64M
-1,980.16%-13M
-Change in payables and accrued expense
165.21%4.3M
-481.67%-1.19M
-119.75%-2.32M
-58.47%3.44M
-94.21%523K
-305.97%-6.59M
103.54%311K
-8.67%11.73M
147.64%8.28M
191.16%9.03M
-Change in other working capital
18.32%-6.24M
733.77%53.3M
-10.44%-27.81M
-1.72%-6.57M
-252.00%-5.19M
11.10%-7.64M
2.76%-8.41M
-376.29%-25.18M
37.55%-6.46M
84.05%-1.47M
Cash from discontinued investing activities
Operating cash flow
113.55%5.63M
-20.81%-44.39M
5.13%-142.21M
-19.13%-36.35M
33.27%-27.53M
-31.05%-41.59M
20.81%-36.74M
-151.39%-149.9M
3.44%-30.51M
-78.79%-41.26M
Investing cash flow
Cash flow from continuing investing activities
113.18%3.23M
-43.68%-12.08M
-1,064.31%-27.02M
-347.31%-2.12M
803.07%8.02M
-704.79%-24.52M
-769.39%-8.41M
101.91%2.8M
105.43%856K
99.15%-1.14M
Net PPE purchase and sale
-322.92%-1.48M
98.26%-63K
47.52%-3.98M
101.26%26K
98.33%-39K
87.79%-349K
-958.48%-3.62M
-772.07%-7.59M
-517.42%-2.06M
-741.52%-2.33M
Net intangibles purchase and sale
----
----
--0
----
----
----
----
---52K
----
----
Net investment purchase and sale
119.48%4.71M
-151.01%-12.02M
-320.65%-23.04M
-172.30%-2.14M
577.39%8.06M
-449.67%-24.17M
-665.92%-4.79M
107.16%10.44M
119.21%2.96M
100.89%1.19M
Cash from discontinued investing activities
Investing cash flow
113.18%3.23M
-43.68%-12.08M
-1,064.31%-27.02M
-347.31%-2.12M
803.07%8.02M
-704.79%-24.52M
-769.39%-8.41M
101.91%2.8M
105.43%856K
99.15%-1.14M
Financing cash flow
Cash flow from continuing financing activities
574.42%444.9M
13,796.77%30.16M
291.71%230.09M
797.67%1.5M
1,544.41%162.4M
36.86%65.97M
-75.31%217K
-79.17%58.74M
-100.17%-215K
280.58%9.88M
Net common stock issuance
581.65%434.86M
--22.61M
291.31%225.95M
--0
1,528.49%162.15M
--63.8M
--0
-78.22%57.74M
-100.19%-232K
--9.96M
Proceeds from stock option exercised by employees
350.53%10.13M
3,376.04%7.54M
278.07%4.59M
--1.5M
312.67%619K
1,121.74%2.25M
-75.31%217K
-93.04%1.21M
--0
-93.51%150K
Net other financing activities
----
----
-107.94%-445K
-111.76%-2K
---366K
----
----
62.78%-214K
102.97%17K
----
Cash from discontinued financing activities
Financing cash flow
574.42%444.9M
13,796.77%30.16M
291.71%230.09M
797.67%1.5M
1,544.41%162.4M
36.86%65.97M
-75.31%217K
-79.17%58.74M
-100.17%-215K
280.58%9.88M
Net cash flow
Beginning cash position
73.15%178.93M
38.11%205.01M
-38.60%148.44M
26.28%242.62M
-52.54%101.86M
-46.98%103.34M
-38.60%148.44M
48.06%241.75M
20.59%192.13M
-31.14%214.61M
Current changes in cash
331,311.68%453.76M
41.44%-26.31M
168.88%60.86M
-23.75%-36.97M
539.39%142.89M
-100.67%-137K
3.34%-44.93M
-216.71%-88.36M
-137.49%-29.87M
78.94%-32.52M
Effect of exchange rate changes
-83.02%-2.46M
229.82%222K
13.49%-4.28M
95.40%-636K
-121.25%-2.13M
-68.09%-1.34M
54.64%-171K
-279.36%-4.95M
-603.94%-13.82M
390.81%10.04M
End cash Position
518.75%630.23M
73.15%178.93M
38.11%205.01M
38.11%205.01M
26.28%242.62M
-52.54%101.86M
-46.98%103.34M
-38.60%148.44M
-38.60%148.44M
20.59%192.13M
Free cash flow
109.91%4.16M
-10.13%-44.45M
7.20%-146.19M
-11.35%-36.32M
36.75%-27.57M
-21.23%-41.94M
13.64%-40.36M
-160.41%-157.54M
-2.16%-32.62M
-86.65%-43.59M
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
--
--
(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 113.55%5.63M-20.81%-44.39M5.13%-142.21M-19.13%-36.35M33.27%-27.53M-31.05%-41.59M20.81%-36.74M-151.39%-149.9M3.44%-30.51M-78.79%-41.26M
Net income from continuing operations -56.22%-50.04M13.30%-34.46M-18.10%-154.94M26.62%-60.15M6.51%-23.01M-460.61%-32.03M-110.35%-39.74M-96.35%-131.19M-468.42%-81.97M-65.72%-24.62M
Operating gains losses -1,341.15%-7.57M-247.48%-8.62M159.30%13.95M-61.22%17.5M46.18%-10M101.44%610K174.99%5.84M15.07%-23.53M433.72%45.13M-182.83%-18.58M
Depreciation and amortization -5.19%640K3.23%607K97.67%2.54M98.08%618K119.67%659K109.63%675K67.52%588K-13.47%1.29M-2.50%312K-21.88%300K
Deferred tax 61.28%-266K381.40%923K151.85%842K68.97%-498K1,307.69%2.36M-326.71%-687K-197.33%-328K-23,100.00%-1.62M-714.72%-1.61M-143.75%-195K
Change In working capital 444.19%52.18M17.34%-6.49M-35.79%-25.75M-71.14%653K23.35%-3.39M-264.22%-15.16M69.84%-7.85M-219.49%-18.97M125.46%2.26M30.57%-4.43M
-Change in receivables 2,883.80%57.11M-8,868.94%-56.59M-5.73%1.73M193.67%1.12M-166.96%-681K224.69%1.91M-117.78%-631K136.69%1.83M63.34%-1.2M168.34%1.02M
-Change in prepaid assets -4.89%-2.98M-328.56%-2.01M136.06%2.65M62.02%2.66M114.99%1.95M-117.58%-2.84M107.23%879K-572.53%-7.34M18.63%1.64M-1,980.16%-13M
-Change in payables and accrued expense 165.21%4.3M-481.67%-1.19M-119.75%-2.32M-58.47%3.44M-94.21%523K-305.97%-6.59M103.54%311K-8.67%11.73M147.64%8.28M191.16%9.03M
-Change in other working capital 18.32%-6.24M733.77%53.3M-10.44%-27.81M-1.72%-6.57M-252.00%-5.19M11.10%-7.64M2.76%-8.41M-376.29%-25.18M37.55%-6.46M84.05%-1.47M
Cash from discontinued investing activities
Operating cash flow 113.55%5.63M-20.81%-44.39M5.13%-142.21M-19.13%-36.35M33.27%-27.53M-31.05%-41.59M20.81%-36.74M-151.39%-149.9M3.44%-30.51M-78.79%-41.26M
Investing cash flow
Cash flow from continuing investing activities 113.18%3.23M-43.68%-12.08M-1,064.31%-27.02M-347.31%-2.12M803.07%8.02M-704.79%-24.52M-769.39%-8.41M101.91%2.8M105.43%856K99.15%-1.14M
Net PPE purchase and sale -322.92%-1.48M98.26%-63K47.52%-3.98M101.26%26K98.33%-39K87.79%-349K-958.48%-3.62M-772.07%-7.59M-517.42%-2.06M-741.52%-2.33M
Net intangibles purchase and sale ----------0-------------------52K--------
Net investment purchase and sale 119.48%4.71M-151.01%-12.02M-320.65%-23.04M-172.30%-2.14M577.39%8.06M-449.67%-24.17M-665.92%-4.79M107.16%10.44M119.21%2.96M100.89%1.19M
Cash from discontinued investing activities
Investing cash flow 113.18%3.23M-43.68%-12.08M-1,064.31%-27.02M-347.31%-2.12M803.07%8.02M-704.79%-24.52M-769.39%-8.41M101.91%2.8M105.43%856K99.15%-1.14M
Financing cash flow
Cash flow from continuing financing activities 574.42%444.9M13,796.77%30.16M291.71%230.09M797.67%1.5M1,544.41%162.4M36.86%65.97M-75.31%217K-79.17%58.74M-100.17%-215K280.58%9.88M
Net common stock issuance 581.65%434.86M--22.61M291.31%225.95M--01,528.49%162.15M--63.8M--0-78.22%57.74M-100.19%-232K--9.96M
Proceeds from stock option exercised by employees 350.53%10.13M3,376.04%7.54M278.07%4.59M--1.5M312.67%619K1,121.74%2.25M-75.31%217K-93.04%1.21M--0-93.51%150K
Net other financing activities ---------107.94%-445K-111.76%-2K---366K--------62.78%-214K102.97%17K----
Cash from discontinued financing activities
Financing cash flow 574.42%444.9M13,796.77%30.16M291.71%230.09M797.67%1.5M1,544.41%162.4M36.86%65.97M-75.31%217K-79.17%58.74M-100.17%-215K280.58%9.88M
Net cash flow
Beginning cash position 73.15%178.93M38.11%205.01M-38.60%148.44M26.28%242.62M-52.54%101.86M-46.98%103.34M-38.60%148.44M48.06%241.75M20.59%192.13M-31.14%214.61M
Current changes in cash 331,311.68%453.76M41.44%-26.31M168.88%60.86M-23.75%-36.97M539.39%142.89M-100.67%-137K3.34%-44.93M-216.71%-88.36M-137.49%-29.87M78.94%-32.52M
Effect of exchange rate changes -83.02%-2.46M229.82%222K13.49%-4.28M95.40%-636K-121.25%-2.13M-68.09%-1.34M54.64%-171K-279.36%-4.95M-603.94%-13.82M390.81%10.04M
End cash Position 518.75%630.23M73.15%178.93M38.11%205.01M38.11%205.01M26.28%242.62M-52.54%101.86M-46.98%103.34M-38.60%148.44M-38.60%148.44M20.59%192.13M
Free cash flow 109.91%4.16M-10.13%-44.45M7.20%-146.19M-11.35%-36.32M36.75%-27.57M-21.23%-41.94M13.64%-40.36M-160.41%-157.54M-2.16%-32.62M-86.65%-43.59M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --------------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

No Data

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