US Stock MarketDetailed Quotes

RVNC Revance Therapeutics

Watchlist
  • 3.090
  • +0.020+0.65%
Close Dec 20 16:00 ET
  • 3.050
  • -0.040-1.29%
Post 20:01 ET
322.56MMarket Cap-1.61P/E (TTM)

Revance Therapeutics 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
Assets
Current assets
Cash, cash equivalents and short term investments
-38.69%184.08M
-27.36%232.24M
1.14%277.07M
-25.47%253.92M
-25.47%253.92M
-20.70%300.25M
36.74%319.72M
4.33%273.95M
51.38%340.71M
51.38%340.71M
-Cash and cash equivalents
-67.33%58.59M
-42.33%81.45M
-2.98%132.61M
26.03%137.33M
26.03%137.33M
71.61%179.32M
103.46%141.24M
-31.10%136.68M
-1.50%108.97M
-1.50%108.97M
-Short-term investments
3.78%125.49M
-15.52%150.79M
5.24%144.46M
-49.69%116.59M
-49.69%116.59M
-55.89%120.93M
8.57%178.49M
113.71%137.27M
102.49%231.74M
102.49%231.74M
Receivables
89.91%48.26M
111.75%36.09M
94.41%29.89M
144.08%27.68M
144.08%27.68M
116.62%25.41M
204.88%17.04M
243.84%15.37M
238.68%11.34M
238.68%11.34M
-Accounts receivable
89.91%48.26M
111.75%36.09M
94.41%29.89M
144.08%27.68M
144.08%27.68M
116.62%25.41M
204.88%17.04M
243.84%15.37M
238.68%11.34M
238.68%11.34M
Inventory
84.39%85.21M
98.23%68.29M
81.03%50.28M
148.73%45.58M
148.73%45.58M
169.03%46.21M
153.29%34.45M
160.63%27.78M
80.47%18.33M
80.47%18.33M
Restricted cash
69.09%465K
0.00%275K
100.00%550K
--550K
--550K
--275K
--275K
--275K
--0
--0
Other current assets
-39.31%9.94M
43.04%10.67M
64.31%9.29M
155.85%11.15M
155.85%11.15M
103.19%16.37M
-6.07%7.46M
-25.75%5.65M
-42.26%4.36M
-42.26%4.36M
Total current assets
-15.14%329.69M
-7.59%350.17M
14.45%369.69M
-9.57%338.87M
-9.57%338.87M
-6.51%388.52M
45.22%378.95M
13.21%323.02M
52.26%374.73M
52.26%374.73M
Non current assets
Net PPE
-19.12%76.99M
25.85%92.61M
10.15%87.75M
51.83%90.21M
51.83%90.21M
30.02%95.2M
-10.03%73.59M
-41.78%79.66M
-13.89%59.42M
-13.89%59.42M
-Gross PPE
-19.12%76.99M
25.85%92.61M
-14.77%87.75M
51.83%90.21M
51.83%90.21M
-5.06%95.2M
-31.60%73.59M
-36.20%102.95M
-35.65%59.42M
-35.65%59.42M
-Accumulated depreciation
----
----
----
----
----
----
----
5.13%-23.29M
----
----
Goodwill and other intangible assets
-27.34%7.63M
-92.26%8.18M
-91.95%8.73M
-91.28%9.81M
-91.28%9.81M
-94.47%10.51M
-45.54%105.64M
-45.29%108.4M
-44.38%112.52M
-44.38%112.52M
-Goodwill
----
----
----
--0
--0
--0
-47.49%77.18M
-47.49%77.18M
-47.49%77.18M
-47.49%77.18M
-Other intangible assets
-27.34%7.63M
-71.26%8.18M
-72.06%8.73M
-72.25%9.81M
-72.25%9.81M
-75.49%10.51M
-39.47%28.46M
-38.99%31.22M
-36.13%35.34M
-36.13%35.34M
Non current prepaid assets
34.42%41.51M
36.89%37.65M
30.35%35.85M
17.76%32.38M
17.76%32.38M
--30.88M
--27.5M
--27.5M
257.14%27.5M
257.14%27.5M
Other non current assets
-22.28%5.74M
-47.82%6.19M
-33.69%6.11M
-7.08%7.19M
-7.08%7.19M
-77.60%7.38M
-52.84%11.86M
-52.11%9.22M
27.98%7.74M
27.98%7.74M
Total non current assets
-8.40%131.88M
-33.84%144.63M
-38.41%138.43M
-32.62%139.59M
-32.62%139.59M
-51.36%143.97M
-27.36%218.59M
-36.54%224.78M
-27.32%207.17M
-27.32%207.17M
Total assets
-13.32%461.56M
-17.19%494.8M
-7.24%508.12M
-17.78%478.45M
-17.78%478.45M
-25.17%532.49M
6.35%597.54M
-14.35%547.8M
9.55%581.9M
9.55%581.9M
Liabilities
Current liabilities
Payables
158.32%12.34M
-40.26%4.99M
-59.40%5.28M
203.76%13.81M
203.76%13.81M
541.80%4.78M
-37.12%8.35M
29.70%13M
-57.13%4.55M
-57.13%4.55M
-accounts payable
158.32%12.34M
-40.26%4.99M
-59.40%5.28M
203.76%13.81M
203.76%13.81M
541.80%4.78M
-37.12%8.35M
29.70%13M
-57.13%4.55M
-57.13%4.55M
Current accrued expenses
-0.90%22.43M
48.67%24.46M
38.11%22.19M
-30.40%19.51M
-30.40%19.51M
-1.42%22.63M
41.99%16.45M
25.57%16.07M
82.55%28.03M
82.55%28.03M
Current debt and capital lease obligation
47.76%27.36M
52.22%31.61M
-47.48%12.13M
120.97%10.85M
120.97%10.85M
37.18%18.52M
-8.50%20.77M
-2.53%23.09M
3.50%4.91M
3.50%4.91M
-Current debt
712.00%10.15M
--7.5M
--5M
--2.5M
--2.5M
--1.25M
----
----
----
----
-Current capital lease obligation
-0.32%17.21M
16.10%24.11M
-69.14%7.13M
70.07%8.35M
70.07%8.35M
27.92%17.27M
-8.50%20.77M
-2.53%23.09M
3.50%4.91M
3.50%4.91M
Current deferred liabilities
17.84%6.33M
76.88%9.61M
62.09%9.78M
56.36%10.74M
56.36%10.74M
-56.97%5.37M
-49.06%5.43M
-32.78%6.04M
-26.65%6.87M
-26.65%6.87M
Other current liabilities
-74.71%1.22M
-67.26%1.74M
-27.27%2.64M
-3.89%3.18M
-3.89%3.18M
181.76%4.84M
23.20%5.32M
-7.06%3.63M
-25.75%3.31M
-25.75%3.31M
Current liabilities
-2.57%80.05M
26.39%93.63M
-11.65%68.9M
17.89%89.22M
17.89%89.22M
9.94%82.16M
-4.08%74.08M
9.74%77.99M
12.47%75.68M
12.47%75.68M
Non current liabilities
Long term debt and capital lease obligation
-2.83%456.08M
11.76%460.03M
12.36%463.65M
13.06%467.58M
13.06%467.58M
13.27%469.38M
-0.81%411.62M
-11.98%412.63M
29.33%413.56M
29.33%413.56M
-Long term debt
-1.42%421.04M
11.24%423.09M
11.84%424.84M
12.45%426.6M
12.45%426.6M
12.72%427.1M
0.52%380.35M
0.50%379.86M
35.18%379.37M
35.18%379.37M
-Long term capital lease obligation
-17.11%35.04M
18.12%36.94M
18.44%38.81M
19.90%40.99M
19.90%40.99M
19.04%42.28M
-14.58%31.27M
-63.92%32.77M
-12.65%34.18M
-12.65%34.18M
Non current deferred liabilities
1.46%85.55M
-17.33%67.97M
-11.87%71.4M
-10.38%70.42M
-10.38%70.42M
12.04%84.32M
18.11%82.21M
13.08%81.02M
5.97%78.58M
5.97%78.58M
Other non current liabilities
2.68%2.91M
2.68%2.91M
0.00%2.84M
90.91%2.84M
90.91%2.84M
90.91%2.84M
5.51%2.84M
13.22%2.84M
0.00%1.49M
0.00%1.49M
Total non current liabilities
-2.15%544.55M
6.89%530.91M
8.34%537.89M
9.57%540.83M
9.57%540.83M
13.31%556.53M
1.93%496.67M
-8.56%496.49M
24.84%493.62M
24.84%493.62M
Total liabilities
-2.21%624.59M
9.42%624.54M
5.63%606.79M
10.67%630.06M
10.67%630.06M
12.87%638.69M
1.10%570.75M
-6.44%574.47M
23.04%569.3M
23.04%569.3M
Shareholders'equity
Share capital
19.32%105K
19.32%105K
23.81%104K
7.32%88K
7.32%88K
7.32%88K
20.55%88K
16.67%84K
13.89%82K
13.89%82K
-common stock
19.32%105K
19.32%105K
23.81%104K
7.32%88K
7.32%88K
7.32%88K
20.55%88K
16.67%84K
13.89%82K
13.89%82K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-9.12%-2.21B
-15.28%-2.17B
-17.49%-2.13B
-18.47%-2.08B
-18.47%-2.08B
-25.75%-2.02B
-23.48%-1.88B
-24.06%-1.81B
-25.50%-1.75B
-25.50%-1.75B
Paid-in capital
6.65%2.04B
6.86%2.04B
13.72%2.03B
9.02%1.93B
9.02%1.93B
9.23%1.92B
25.43%1.91B
20.14%1.79B
20.52%1.77B
20.52%1.77B
Gains losses not affecting retained earnings
653.85%72K
57.38%-26K
80.00%-25K
103.74%14K
103.74%14K
97.17%-13K
84.20%-61K
-111.86%-125K
-1,977.78%-374K
-1,977.78%-374K
Total stockholders'equity
-53.51%-163.03M
-584.35%-129.74M
-269.94%-98.67M
-1,303.21%-151.6M
-1,303.21%-151.6M
-172.88%-106.2M
1,118.09%26.79M
-204.43%-26.67M
-81.60%12.6M
-81.60%12.6M
Total equity
-53.51%-163.03M
-584.35%-129.74M
-269.94%-98.67M
-1,303.21%-151.6M
-1,303.21%-151.6M
-172.88%-106.2M
1,118.09%26.79M
-204.43%-26.67M
-81.60%12.6M
-81.60%12.6M
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
Assets
Current assets
Cash, cash equivalents and short term investments -38.69%184.08M-27.36%232.24M1.14%277.07M-25.47%253.92M-25.47%253.92M-20.70%300.25M36.74%319.72M4.33%273.95M51.38%340.71M51.38%340.71M
-Cash and cash equivalents -67.33%58.59M-42.33%81.45M-2.98%132.61M26.03%137.33M26.03%137.33M71.61%179.32M103.46%141.24M-31.10%136.68M-1.50%108.97M-1.50%108.97M
-Short-term investments 3.78%125.49M-15.52%150.79M5.24%144.46M-49.69%116.59M-49.69%116.59M-55.89%120.93M8.57%178.49M113.71%137.27M102.49%231.74M102.49%231.74M
Receivables 89.91%48.26M111.75%36.09M94.41%29.89M144.08%27.68M144.08%27.68M116.62%25.41M204.88%17.04M243.84%15.37M238.68%11.34M238.68%11.34M
-Accounts receivable 89.91%48.26M111.75%36.09M94.41%29.89M144.08%27.68M144.08%27.68M116.62%25.41M204.88%17.04M243.84%15.37M238.68%11.34M238.68%11.34M
Inventory 84.39%85.21M98.23%68.29M81.03%50.28M148.73%45.58M148.73%45.58M169.03%46.21M153.29%34.45M160.63%27.78M80.47%18.33M80.47%18.33M
Restricted cash 69.09%465K0.00%275K100.00%550K--550K--550K--275K--275K--275K--0--0
Other current assets -39.31%9.94M43.04%10.67M64.31%9.29M155.85%11.15M155.85%11.15M103.19%16.37M-6.07%7.46M-25.75%5.65M-42.26%4.36M-42.26%4.36M
Total current assets -15.14%329.69M-7.59%350.17M14.45%369.69M-9.57%338.87M-9.57%338.87M-6.51%388.52M45.22%378.95M13.21%323.02M52.26%374.73M52.26%374.73M
Non current assets
Net PPE -19.12%76.99M25.85%92.61M10.15%87.75M51.83%90.21M51.83%90.21M30.02%95.2M-10.03%73.59M-41.78%79.66M-13.89%59.42M-13.89%59.42M
-Gross PPE -19.12%76.99M25.85%92.61M-14.77%87.75M51.83%90.21M51.83%90.21M-5.06%95.2M-31.60%73.59M-36.20%102.95M-35.65%59.42M-35.65%59.42M
-Accumulated depreciation ----------------------------5.13%-23.29M--------
Goodwill and other intangible assets -27.34%7.63M-92.26%8.18M-91.95%8.73M-91.28%9.81M-91.28%9.81M-94.47%10.51M-45.54%105.64M-45.29%108.4M-44.38%112.52M-44.38%112.52M
-Goodwill --------------0--0--0-47.49%77.18M-47.49%77.18M-47.49%77.18M-47.49%77.18M
-Other intangible assets -27.34%7.63M-71.26%8.18M-72.06%8.73M-72.25%9.81M-72.25%9.81M-75.49%10.51M-39.47%28.46M-38.99%31.22M-36.13%35.34M-36.13%35.34M
Non current prepaid assets 34.42%41.51M36.89%37.65M30.35%35.85M17.76%32.38M17.76%32.38M--30.88M--27.5M--27.5M257.14%27.5M257.14%27.5M
Other non current assets -22.28%5.74M-47.82%6.19M-33.69%6.11M-7.08%7.19M-7.08%7.19M-77.60%7.38M-52.84%11.86M-52.11%9.22M27.98%7.74M27.98%7.74M
Total non current assets -8.40%131.88M-33.84%144.63M-38.41%138.43M-32.62%139.59M-32.62%139.59M-51.36%143.97M-27.36%218.59M-36.54%224.78M-27.32%207.17M-27.32%207.17M
Total assets -13.32%461.56M-17.19%494.8M-7.24%508.12M-17.78%478.45M-17.78%478.45M-25.17%532.49M6.35%597.54M-14.35%547.8M9.55%581.9M9.55%581.9M
Liabilities
Current liabilities
Payables 158.32%12.34M-40.26%4.99M-59.40%5.28M203.76%13.81M203.76%13.81M541.80%4.78M-37.12%8.35M29.70%13M-57.13%4.55M-57.13%4.55M
-accounts payable 158.32%12.34M-40.26%4.99M-59.40%5.28M203.76%13.81M203.76%13.81M541.80%4.78M-37.12%8.35M29.70%13M-57.13%4.55M-57.13%4.55M
Current accrued expenses -0.90%22.43M48.67%24.46M38.11%22.19M-30.40%19.51M-30.40%19.51M-1.42%22.63M41.99%16.45M25.57%16.07M82.55%28.03M82.55%28.03M
Current debt and capital lease obligation 47.76%27.36M52.22%31.61M-47.48%12.13M120.97%10.85M120.97%10.85M37.18%18.52M-8.50%20.77M-2.53%23.09M3.50%4.91M3.50%4.91M
-Current debt 712.00%10.15M--7.5M--5M--2.5M--2.5M--1.25M----------------
-Current capital lease obligation -0.32%17.21M16.10%24.11M-69.14%7.13M70.07%8.35M70.07%8.35M27.92%17.27M-8.50%20.77M-2.53%23.09M3.50%4.91M3.50%4.91M
Current deferred liabilities 17.84%6.33M76.88%9.61M62.09%9.78M56.36%10.74M56.36%10.74M-56.97%5.37M-49.06%5.43M-32.78%6.04M-26.65%6.87M-26.65%6.87M
Other current liabilities -74.71%1.22M-67.26%1.74M-27.27%2.64M-3.89%3.18M-3.89%3.18M181.76%4.84M23.20%5.32M-7.06%3.63M-25.75%3.31M-25.75%3.31M
Current liabilities -2.57%80.05M26.39%93.63M-11.65%68.9M17.89%89.22M17.89%89.22M9.94%82.16M-4.08%74.08M9.74%77.99M12.47%75.68M12.47%75.68M
Non current liabilities
Long term debt and capital lease obligation -2.83%456.08M11.76%460.03M12.36%463.65M13.06%467.58M13.06%467.58M13.27%469.38M-0.81%411.62M-11.98%412.63M29.33%413.56M29.33%413.56M
-Long term debt -1.42%421.04M11.24%423.09M11.84%424.84M12.45%426.6M12.45%426.6M12.72%427.1M0.52%380.35M0.50%379.86M35.18%379.37M35.18%379.37M
-Long term capital lease obligation -17.11%35.04M18.12%36.94M18.44%38.81M19.90%40.99M19.90%40.99M19.04%42.28M-14.58%31.27M-63.92%32.77M-12.65%34.18M-12.65%34.18M
Non current deferred liabilities 1.46%85.55M-17.33%67.97M-11.87%71.4M-10.38%70.42M-10.38%70.42M12.04%84.32M18.11%82.21M13.08%81.02M5.97%78.58M5.97%78.58M
Other non current liabilities 2.68%2.91M2.68%2.91M0.00%2.84M90.91%2.84M90.91%2.84M90.91%2.84M5.51%2.84M13.22%2.84M0.00%1.49M0.00%1.49M
Total non current liabilities -2.15%544.55M6.89%530.91M8.34%537.89M9.57%540.83M9.57%540.83M13.31%556.53M1.93%496.67M-8.56%496.49M24.84%493.62M24.84%493.62M
Total liabilities -2.21%624.59M9.42%624.54M5.63%606.79M10.67%630.06M10.67%630.06M12.87%638.69M1.10%570.75M-6.44%574.47M23.04%569.3M23.04%569.3M
Shareholders'equity
Share capital 19.32%105K19.32%105K23.81%104K7.32%88K7.32%88K7.32%88K20.55%88K16.67%84K13.89%82K13.89%82K
-common stock 19.32%105K19.32%105K23.81%104K7.32%88K7.32%88K7.32%88K20.55%88K16.67%84K13.89%82K13.89%82K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -9.12%-2.21B-15.28%-2.17B-17.49%-2.13B-18.47%-2.08B-18.47%-2.08B-25.75%-2.02B-23.48%-1.88B-24.06%-1.81B-25.50%-1.75B-25.50%-1.75B
Paid-in capital 6.65%2.04B6.86%2.04B13.72%2.03B9.02%1.93B9.02%1.93B9.23%1.92B25.43%1.91B20.14%1.79B20.52%1.77B20.52%1.77B
Gains losses not affecting retained earnings 653.85%72K57.38%-26K80.00%-25K103.74%14K103.74%14K97.17%-13K84.20%-61K-111.86%-125K-1,977.78%-374K-1,977.78%-374K
Total stockholders'equity -53.51%-163.03M-584.35%-129.74M-269.94%-98.67M-1,303.21%-151.6M-1,303.21%-151.6M-172.88%-106.2M1,118.09%26.79M-204.43%-26.67M-81.60%12.6M-81.60%12.6M
Total equity -53.51%-163.03M-584.35%-129.74M-269.94%-98.67M-1,303.21%-151.6M-1,303.21%-151.6M-172.88%-106.2M1,118.09%26.79M-204.43%-26.67M-81.60%12.6M-81.60%12.6M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion------------
Trending US Stocks
Fed Rate Cut Beneficiaries Fed Rate Cut Beneficiaries

Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data. Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data.