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PRAX Praxis Precision Medicines

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  • 38.660
  • -0.190-0.49%
Close Mar 28 16:00 ET
  • 38.710
  • +0.050+0.13%
Post 19:36 ET
779.51MMarket Cap-3.79P/E (TTM)

Praxis Precision Medicines Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
382.86%392.57M
382.86%392.57M
253.20%357.03M
183.09%351.88M
141.68%207.42M
-19.10%81.3M
-19.10%81.3M
-18.31%101.09M
-24.85%124.3M
-61.43%85.82M
-Cash and cash equivalents
164.91%215.37M
164.91%215.37M
66.83%168.65M
16.77%145.14M
88.00%151.98M
31.95%81.3M
31.95%81.3M
61.89%101.09M
121.81%124.3M
3.83%80.84M
-Short-term investments
--177.2M
--177.2M
--188.39M
--206.74M
1,012.50%55.44M
--0
--0
--0
--0
-96.56%4.98M
Other current assets
229.75%11.81M
229.75%11.81M
34.52%3.02M
-12.52%4.84M
-48.86%4.39M
-65.41%3.58M
-65.41%3.58M
-73.85%2.24M
-45.67%5.53M
-28.24%8.58M
Total current assets
376.40%404.37M
376.40%404.37M
248.45%360.05M
174.76%356.72M
124.36%211.8M
-23.42%84.88M
-23.42%84.88M
-21.91%103.33M
-26.06%129.83M
-59.74%94.4M
Non current assets
Net PPE
-48.68%1.36M
-48.68%1.36M
-44.63%1.65M
-39.16%1.98M
-35.04%2.32M
-31.51%2.65M
-31.51%2.65M
-28.56%2.98M
-26.42%3.25M
-22.75%3.57M
-Gross PPE
-25.51%2.72M
-25.51%2.72M
-44.63%1.65M
-39.16%1.98M
-35.04%2.32M
-17.71%3.66M
-17.71%3.66M
-28.56%2.98M
-26.42%3.25M
-22.75%3.57M
-Accumulated depreciation
-35.62%-1.36M
-35.62%-1.36M
----
----
----
-75.70%-1.01M
-75.70%-1.01M
----
----
----
Investments and advances
--76.96M
--76.96M
--54.14M
--81.95M
--35.87M
--0
--0
----
----
----
Other non current assets
0.00%416K
0.00%416K
0.00%416K
0.00%416K
0.00%416K
0.00%416K
0.00%416K
0.00%416K
0.00%416K
0.00%416K
Total non current assets
2,466.43%78.74M
2,466.43%78.74M
1,554.15%56.21M
2,198.91%84.35M
869.73%38.61M
-28.45%3.07M
-28.45%3.07M
-25.97%3.4M
-24.15%3.67M
-20.87%3.98M
Total assets
449.31%483.11M
449.31%483.11M
290.03%416.26M
230.39%441.06M
154.52%250.41M
-23.61%87.95M
-23.61%87.95M
-22.04%106.73M
-26.01%133.5M
-58.92%98.38M
Liabilities
Current liabilities
Payables
115.44%12.53M
115.44%12.53M
109.46%15.01M
2.31%8.2M
-44.64%9.4M
-60.37%5.82M
-60.37%5.82M
-29.20%7.17M
-32.24%8.01M
28.01%16.99M
-accounts payable
115.44%12.53M
115.44%12.53M
109.46%15.01M
2.31%8.2M
-44.64%9.4M
-60.37%5.82M
-60.37%5.82M
-29.20%7.17M
-32.24%8.01M
28.01%16.99M
Current accrued expenses
220.43%23.76M
220.43%23.76M
121.48%15.46M
-24.47%10.06M
-25.41%6.98M
-53.21%7.42M
-53.21%7.42M
-60.98%6.98M
-48.32%13.32M
-69.76%9.35M
Current debt and capital lease obligation
11.81%1.26M
11.81%1.26M
11.78%1.22M
11.94%1.19M
11.88%1.16M
12.04%1.13M
12.04%1.13M
12.08%1.1M
12.12%1.06M
0.98%1.04M
-Current capital lease obligation
11.81%1.26M
11.81%1.26M
11.78%1.22M
11.94%1.19M
11.88%1.16M
12.04%1.13M
12.04%1.13M
12.08%1.1M
12.12%1.06M
0.98%1.04M
Current deferred liabilities
--0
--0
-24.61%1.17M
-42.32%1.18M
-50.61%1.26M
-50.60%1.39M
-50.60%1.39M
--1.55M
--2.04M
--2.54M
Current liabilities
138.43%37.55M
138.43%37.55M
95.69%32.86M
-15.60%20.62M
-37.18%18.79M
-54.14%15.75M
-54.14%15.75M
-42.06%16.79M
-36.61%24.43M
-33.85%29.92M
Non current liabilities
Long term debt and capital lease obligation
-91.96%110K
-91.96%110K
-73.75%436K
-61.20%755K
-52.09%1.07M
-45.13%1.37M
-45.13%1.37M
-39.73%1.66M
-35.35%1.95M
-31.73%2.23M
-Long term capital lease obligation
-91.96%110K
-91.96%110K
-73.75%436K
-61.20%755K
-52.09%1.07M
-45.13%1.37M
-45.13%1.37M
-39.73%1.66M
-35.35%1.95M
-31.73%2.23M
Non current deferred liabilities
--0
--0
-80.67%293K
-60.72%588K
-51.18%866K
-46.79%1.16M
-46.79%1.16M
--1.52M
--1.5M
--1.77M
Total non current liabilities
-95.65%110K
-95.65%110K
-77.05%729K
-60.99%1.34M
-51.69%1.93M
-45.91%2.53M
-45.91%2.53M
15.28%3.18M
14.39%3.44M
22.71%4M
Total liabilities
106.03%37.66M
106.03%37.66M
68.21%33.59M
-21.20%21.96M
-38.89%20.73M
-53.16%18.28M
-53.16%18.28M
-37.08%19.97M
-32.91%27.87M
-30.05%33.92M
Shareholders'equity
Share capital
7.69%14K
7.69%14K
7.69%14K
7.69%14K
116.67%13K
160.00%13K
160.00%13K
160.00%13K
160.00%13K
20.00%6K
-common stock
7.69%14K
7.69%14K
7.69%14K
7.69%14K
116.67%13K
160.00%13K
160.00%13K
160.00%13K
160.00%13K
20.00%6K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-27.96%-836.74M
-27.96%-836.74M
-24.08%-778.06M
-20.54%-726.15M
-22.07%-693.47M
-23.23%-653.92M
-23.23%-653.92M
-28.11%-627.04M
-35.21%-602.41M
-47.43%-568.1M
Paid-in capital
77.11%1.28B
77.11%1.28B
62.43%1.16B
61.76%1.15B
45.93%923.14M
19.22%723.58M
19.22%723.58M
19.93%713.79M
21.02%708.02M
9.64%632.58M
Gains losses not affecting retained earnings
--654K
--654K
--1.33M
---71K
115.79%3K
--0
--0
--0
--0
96.86%-19K
Total stockholders'equity
539.38%445.45M
539.38%445.45M
341.08%382.67M
296.78%419.1M
256.27%229.68M
-8.46%69.67M
-8.46%69.67M
-17.50%86.76M
-23.94%105.63M
-66.25%64.47M
Total equity
539.38%445.45M
539.38%445.45M
341.08%382.67M
296.78%419.1M
256.27%229.68M
-8.46%69.67M
-8.46%69.67M
-17.50%86.76M
-23.94%105.63M
-66.25%64.47M
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments 382.86%392.57M382.86%392.57M253.20%357.03M183.09%351.88M141.68%207.42M-19.10%81.3M-19.10%81.3M-18.31%101.09M-24.85%124.3M-61.43%85.82M
-Cash and cash equivalents 164.91%215.37M164.91%215.37M66.83%168.65M16.77%145.14M88.00%151.98M31.95%81.3M31.95%81.3M61.89%101.09M121.81%124.3M3.83%80.84M
-Short-term investments --177.2M--177.2M--188.39M--206.74M1,012.50%55.44M--0--0--0--0-96.56%4.98M
Other current assets 229.75%11.81M229.75%11.81M34.52%3.02M-12.52%4.84M-48.86%4.39M-65.41%3.58M-65.41%3.58M-73.85%2.24M-45.67%5.53M-28.24%8.58M
Total current assets 376.40%404.37M376.40%404.37M248.45%360.05M174.76%356.72M124.36%211.8M-23.42%84.88M-23.42%84.88M-21.91%103.33M-26.06%129.83M-59.74%94.4M
Non current assets
Net PPE -48.68%1.36M-48.68%1.36M-44.63%1.65M-39.16%1.98M-35.04%2.32M-31.51%2.65M-31.51%2.65M-28.56%2.98M-26.42%3.25M-22.75%3.57M
-Gross PPE -25.51%2.72M-25.51%2.72M-44.63%1.65M-39.16%1.98M-35.04%2.32M-17.71%3.66M-17.71%3.66M-28.56%2.98M-26.42%3.25M-22.75%3.57M
-Accumulated depreciation -35.62%-1.36M-35.62%-1.36M-------------75.70%-1.01M-75.70%-1.01M------------
Investments and advances --76.96M--76.96M--54.14M--81.95M--35.87M--0--0------------
Other non current assets 0.00%416K0.00%416K0.00%416K0.00%416K0.00%416K0.00%416K0.00%416K0.00%416K0.00%416K0.00%416K
Total non current assets 2,466.43%78.74M2,466.43%78.74M1,554.15%56.21M2,198.91%84.35M869.73%38.61M-28.45%3.07M-28.45%3.07M-25.97%3.4M-24.15%3.67M-20.87%3.98M
Total assets 449.31%483.11M449.31%483.11M290.03%416.26M230.39%441.06M154.52%250.41M-23.61%87.95M-23.61%87.95M-22.04%106.73M-26.01%133.5M-58.92%98.38M
Liabilities
Current liabilities
Payables 115.44%12.53M115.44%12.53M109.46%15.01M2.31%8.2M-44.64%9.4M-60.37%5.82M-60.37%5.82M-29.20%7.17M-32.24%8.01M28.01%16.99M
-accounts payable 115.44%12.53M115.44%12.53M109.46%15.01M2.31%8.2M-44.64%9.4M-60.37%5.82M-60.37%5.82M-29.20%7.17M-32.24%8.01M28.01%16.99M
Current accrued expenses 220.43%23.76M220.43%23.76M121.48%15.46M-24.47%10.06M-25.41%6.98M-53.21%7.42M-53.21%7.42M-60.98%6.98M-48.32%13.32M-69.76%9.35M
Current debt and capital lease obligation 11.81%1.26M11.81%1.26M11.78%1.22M11.94%1.19M11.88%1.16M12.04%1.13M12.04%1.13M12.08%1.1M12.12%1.06M0.98%1.04M
-Current capital lease obligation 11.81%1.26M11.81%1.26M11.78%1.22M11.94%1.19M11.88%1.16M12.04%1.13M12.04%1.13M12.08%1.1M12.12%1.06M0.98%1.04M
Current deferred liabilities --0--0-24.61%1.17M-42.32%1.18M-50.61%1.26M-50.60%1.39M-50.60%1.39M--1.55M--2.04M--2.54M
Current liabilities 138.43%37.55M138.43%37.55M95.69%32.86M-15.60%20.62M-37.18%18.79M-54.14%15.75M-54.14%15.75M-42.06%16.79M-36.61%24.43M-33.85%29.92M
Non current liabilities
Long term debt and capital lease obligation -91.96%110K-91.96%110K-73.75%436K-61.20%755K-52.09%1.07M-45.13%1.37M-45.13%1.37M-39.73%1.66M-35.35%1.95M-31.73%2.23M
-Long term capital lease obligation -91.96%110K-91.96%110K-73.75%436K-61.20%755K-52.09%1.07M-45.13%1.37M-45.13%1.37M-39.73%1.66M-35.35%1.95M-31.73%2.23M
Non current deferred liabilities --0--0-80.67%293K-60.72%588K-51.18%866K-46.79%1.16M-46.79%1.16M--1.52M--1.5M--1.77M
Total non current liabilities -95.65%110K-95.65%110K-77.05%729K-60.99%1.34M-51.69%1.93M-45.91%2.53M-45.91%2.53M15.28%3.18M14.39%3.44M22.71%4M
Total liabilities 106.03%37.66M106.03%37.66M68.21%33.59M-21.20%21.96M-38.89%20.73M-53.16%18.28M-53.16%18.28M-37.08%19.97M-32.91%27.87M-30.05%33.92M
Shareholders'equity
Share capital 7.69%14K7.69%14K7.69%14K7.69%14K116.67%13K160.00%13K160.00%13K160.00%13K160.00%13K20.00%6K
-common stock 7.69%14K7.69%14K7.69%14K7.69%14K116.67%13K160.00%13K160.00%13K160.00%13K160.00%13K20.00%6K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -27.96%-836.74M-27.96%-836.74M-24.08%-778.06M-20.54%-726.15M-22.07%-693.47M-23.23%-653.92M-23.23%-653.92M-28.11%-627.04M-35.21%-602.41M-47.43%-568.1M
Paid-in capital 77.11%1.28B77.11%1.28B62.43%1.16B61.76%1.15B45.93%923.14M19.22%723.58M19.22%723.58M19.93%713.79M21.02%708.02M9.64%632.58M
Gains losses not affecting retained earnings --654K--654K--1.33M---71K115.79%3K--0--0--0--096.86%-19K
Total stockholders'equity 539.38%445.45M539.38%445.45M341.08%382.67M296.78%419.1M256.27%229.68M-8.46%69.67M-8.46%69.67M-17.50%86.76M-23.94%105.63M-66.25%64.47M
Total equity 539.38%445.45M539.38%445.45M341.08%382.67M296.78%419.1M256.27%229.68M-8.46%69.67M-8.46%69.67M-17.50%86.76M-23.94%105.63M-66.25%64.47M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion with Explanatory Notes--------Unqualified Opinion--------
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