US Stock MarketDetailed Quotes

RXRX Recursion Pharmaceuticals

Watchlist
  • 6.400
  • +0.080+1.27%
Close Nov 1 16:00 ET
  • 6.489
  • +0.089+1.39%
Post 20:01 ET
1.87BMarket Cap-3855P/E (TTM)

Recursion Pharmaceuticals 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
Assets
Current assets
Cash, cash equivalents and short term investments
16.87%474.34M
-37.37%296.33M
-28.79%391.57M
-28.79%391.57M
-14.81%387.32M
-21.26%405.87M
-19.96%473.15M
6.46%549.91M
6.46%549.91M
-21.47%454.65M
-Cash and cash equivalents
16.87%474.34M
-37.37%296.33M
-28.79%391.57M
-28.79%391.57M
-14.81%387.32M
-10.58%405.87M
-6.84%473.15M
92.87%549.91M
92.87%549.91M
15.18%454.65M
-Short-term investments
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--0
Receivables
-17.21%2.53M
26.35%2.6M
12.39%3.09M
12.39%3.09M
-72.81%3.16M
-73.88%3.05M
-81.95%2.06M
-69.71%2.75M
-69.71%2.75M
409.86%11.64M
-Accounts receivable
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----
----
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--0
-Other receivables
-17.21%2.53M
26.35%2.6M
12.39%3.09M
12.39%3.09M
-72.81%3.16M
-73.83%3.05M
-81.90%2.06M
-69.60%2.75M
-69.60%2.75M
417.57%11.64M
Restricted cash
-46.38%1.78M
143.71%3.2M
152.42%3.23M
152.42%3.23M
7.94%2.26M
74.91%3.33M
-13.81%1.31M
-17.53%1.28M
-17.53%1.28M
-79.58%2.09M
Other current assets
132.90%43.73M
165.79%41.5M
153.62%40.25M
153.62%40.25M
34.22%17.78M
10.57%18.77M
1.17%15.61M
111.19%15.87M
111.19%15.87M
40.25%13.25M
Total current assets
21.20%522.38M
-30.18%343.62M
-23.11%438.14M
-23.11%438.14M
-14.76%410.52M
-21.06%431.02M
-20.56%492.13M
6.56%569.81M
6.56%569.81M
-19.85%481.62M
Non current assets
Net PPE
25.36%156.28M
-2.32%122.22M
-1.05%120.17M
-1.05%120.17M
0.68%120.31M
7.33%124.67M
20.30%125.12M
87.64%121.45M
87.64%121.45M
115.56%119.5M
-Gross PPE
28.63%208.73M
7.76%171.07M
8.90%165.05M
8.90%165.05M
9.96%161.16M
15.67%162.27M
26.56%158.75M
81.59%151.56M
81.59%151.56M
104.51%146.56M
-Accumulated depreciation
-39.49%-52.45M
-45.25%-48.85M
-49.00%-44.87M
-49.00%-44.87M
-50.99%-40.85M
-55.77%-37.6M
-56.96%-33.63M
-60.72%-30.12M
-60.72%-30.12M
-66.75%-27.05M
Goodwill and other intangible assets
-12.59%90.27M
3,917.56%85.13M
4,100.24%88.5M
4,100.24%88.5M
3,983.66%92.21M
4,977.34%103.27M
0.43%2.12M
-3.61%2.11M
-3.61%2.11M
-0.18%2.26M
-Goodwill
-13.98%52.06M
6,398.88%52.06M
6,398.88%52.06M
6,398.88%52.06M
6,485.52%52.75M
7,455.06%60.52M
0.00%801K
0.00%801K
0.00%801K
0.00%801K
-Other intangible assets
-10.63%38.21M
2,409.56%33.08M
2,690.43%36.44M
2,690.43%36.44M
2,608.24%39.46M
3,367.72%42.76M
0.69%1.32M
-5.70%1.31M
-5.70%1.31M
-0.27%1.46M
Other non current assets
-10.36%6.94M
-13.98%6.88M
-13.01%6.89M
-13.01%6.89M
-4.54%7.78M
-7.14%7.74M
-8.54%8M
-9.13%7.92M
-9.13%7.92M
23,197.14%8.15M
Total non current assets
7.56%253.49M
58.41%214.23M
63.96%215.56M
63.96%215.56M
69.57%220.3M
86.28%235.68M
17.74%135.24M
73.85%131.47M
73.85%131.47M
125.02%129.92M
Total assets
16.37%775.86M
-11.08%557.85M
-6.79%653.7M
-6.79%653.7M
3.15%630.83M
-0.86%666.7M
-14.56%627.37M
14.90%701.29M
14.90%701.29M
-7.15%611.53M
Liabilities
Current liabilities
Payables
80.35%3.76M
20.44%5.12M
-13.80%3.95M
-13.80%3.95M
9.64%4.27M
-34.32%2.09M
2.04%4.25M
62.68%4.59M
62.68%4.59M
-38.51%3.89M
-accounts payable
80.35%3.76M
20.44%5.12M
-13.80%3.95M
-13.80%3.95M
9.64%4.27M
-34.32%2.09M
2.04%4.25M
62.68%4.59M
62.68%4.59M
-38.51%3.89M
Current accrued expenses
19.15%20.28M
8.20%16.02M
90.42%23.75M
90.42%23.75M
17.61%17.58M
4.07%17.02M
-13.93%14.8M
-39.45%12.47M
-39.45%12.47M
-16.30%14.94M
Current debt and capital lease obligation
183.56%16.72M
19.92%6.12M
1.79%6.16M
1.79%6.16M
7.35%6.05M
10.50%5.9M
22.09%5.1M
301.66%6.05M
301.66%6.05M
274.73%5.64M
-Current debt
1,099.56%8.11M
-91.68%55K
-57.73%41K
-57.73%41K
631.58%695K
626.88%676K
618.48%661K
7.78%97K
7.78%97K
7.95%95K
-Current capital lease obligation
64.92%8.61M
36.53%6.06M
2.76%6.12M
2.76%6.12M
-3.36%5.36M
-0.44%5.22M
8.66%4.44M
320.34%5.95M
320.34%5.95M
291.31%5.54M
Current deferred liabilities
-55.95%32.2M
-36.60%36.62M
-35.79%36.43M
-35.79%36.43M
-5.89%44M
14.62%73.11M
6.48%57.76M
467.26%56.73M
467.26%56.73M
367.53%46.75M
Current liabilities
-24.46%86.08M
-19.78%73.92M
-7.08%93.17M
-7.08%93.17M
13.35%94.12M
17.91%113.96M
7.52%92.15M
114.89%100.27M
114.89%100.27M
93.36%83.04M
Non current liabilities
Long term debt and capital lease obligation
55.64%73.16M
-6.45%44.86M
-0.98%44.52M
-0.98%44.52M
-2.42%45.43M
-2.78%47.01M
0.05%47.95M
350.82%44.96M
350.82%44.96M
1,031.05%46.55M
-Long term debt
1,884.50%22.92M
-9.16%1.07M
105.41%1.1M
105.41%1.1M
100.71%1.13M
97.10%1.16M
93.28%1.18M
-15.32%536K
-15.32%536K
-14.48%561K
-Long term capital lease obligation
9.57%50.24M
-6.38%43.79M
-2.26%43.41M
-2.26%43.41M
-3.68%44.3M
-4.01%45.85M
-1.15%46.77M
375.64%44.42M
375.64%44.42M
1,229.28%45.99M
Non current deferred liabilities
-20.68%29.17M
-33.58%37.92M
-25.17%52.58M
-25.17%52.58M
-43.23%53.31M
-59.11%36.77M
-46.70%57.09M
551.95%70.26M
551.95%70.26M
650.37%93.91M
Other non current liabilities
--3M
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Total non current liabilities
25.73%105.33M
-21.20%82.78M
-15.73%97.09M
-15.73%97.09M
-29.70%98.74M
-39.42%83.78M
-32.25%105.04M
455.29%115.22M
455.29%115.22M
744.59%140.46M
Total liabilities
-3.20%191.41M
-20.54%156.7M
-11.70%190.26M
-11.70%190.26M
-13.71%192.86M
-15.83%197.74M
-18.09%197.19M
219.67%215.48M
219.67%215.48M
275.16%223.5M
Shareholders'equity
Share capital
50.00%3K
0.00%2K
0.00%2K
0.00%2K
0.00%2K
0.00%2K
0.00%2K
0.00%2K
0.00%2K
0.00%2K
-common stock
50.00%3K
0.00%2K
0.00%2K
0.00%2K
0.00%2K
0.00%2K
0.00%2K
0.00%2K
0.00%2K
0.00%2K
Retained earnings
-47.97%-1.16B
-50.24%-1.06B
-51.30%-967.62M
-51.30%-967.62M
-50.26%-874.63M
-49.84%-781.61M
-54.56%-704.88M
-59.86%-639.56M
-59.86%-639.56M
-73.67%-582.06M
Paid-in capital
39.21%1.74B
28.64%1.46B
27.16%1.43B
27.16%1.43B
35.31%1.31B
30.35%1.25B
19.49%1.14B
19.32%1.13B
19.32%1.13B
3.85%970.1M
Gains losses not affecting retained earnings
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--0
Total stockholders'equity
24.63%584.45M
-6.75%401.15M
-4.60%463.44M
-4.60%463.44M
12.87%437.97M
7.17%468.96M
-12.84%430.18M
-10.52%485.81M
-10.52%485.81M
-35.22%388.03M
Total equity
24.63%584.45M
-6.75%401.15M
-4.60%463.44M
-4.60%463.44M
12.87%437.97M
7.17%468.96M
-12.84%430.18M
-10.52%485.81M
-10.52%485.81M
-35.22%388.03M
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
Assets
Current assets
Cash, cash equivalents and short term investments 16.87%474.34M-37.37%296.33M-28.79%391.57M-28.79%391.57M-14.81%387.32M-21.26%405.87M-19.96%473.15M6.46%549.91M6.46%549.91M-21.47%454.65M
-Cash and cash equivalents 16.87%474.34M-37.37%296.33M-28.79%391.57M-28.79%391.57M-14.81%387.32M-10.58%405.87M-6.84%473.15M92.87%549.91M92.87%549.91M15.18%454.65M
-Short-term investments --------------------------------------0
Receivables -17.21%2.53M26.35%2.6M12.39%3.09M12.39%3.09M-72.81%3.16M-73.88%3.05M-81.95%2.06M-69.71%2.75M-69.71%2.75M409.86%11.64M
-Accounts receivable --------------------------------------0
-Other receivables -17.21%2.53M26.35%2.6M12.39%3.09M12.39%3.09M-72.81%3.16M-73.83%3.05M-81.90%2.06M-69.60%2.75M-69.60%2.75M417.57%11.64M
Restricted cash -46.38%1.78M143.71%3.2M152.42%3.23M152.42%3.23M7.94%2.26M74.91%3.33M-13.81%1.31M-17.53%1.28M-17.53%1.28M-79.58%2.09M
Other current assets 132.90%43.73M165.79%41.5M153.62%40.25M153.62%40.25M34.22%17.78M10.57%18.77M1.17%15.61M111.19%15.87M111.19%15.87M40.25%13.25M
Total current assets 21.20%522.38M-30.18%343.62M-23.11%438.14M-23.11%438.14M-14.76%410.52M-21.06%431.02M-20.56%492.13M6.56%569.81M6.56%569.81M-19.85%481.62M
Non current assets
Net PPE 25.36%156.28M-2.32%122.22M-1.05%120.17M-1.05%120.17M0.68%120.31M7.33%124.67M20.30%125.12M87.64%121.45M87.64%121.45M115.56%119.5M
-Gross PPE 28.63%208.73M7.76%171.07M8.90%165.05M8.90%165.05M9.96%161.16M15.67%162.27M26.56%158.75M81.59%151.56M81.59%151.56M104.51%146.56M
-Accumulated depreciation -39.49%-52.45M-45.25%-48.85M-49.00%-44.87M-49.00%-44.87M-50.99%-40.85M-55.77%-37.6M-56.96%-33.63M-60.72%-30.12M-60.72%-30.12M-66.75%-27.05M
Goodwill and other intangible assets -12.59%90.27M3,917.56%85.13M4,100.24%88.5M4,100.24%88.5M3,983.66%92.21M4,977.34%103.27M0.43%2.12M-3.61%2.11M-3.61%2.11M-0.18%2.26M
-Goodwill -13.98%52.06M6,398.88%52.06M6,398.88%52.06M6,398.88%52.06M6,485.52%52.75M7,455.06%60.52M0.00%801K0.00%801K0.00%801K0.00%801K
-Other intangible assets -10.63%38.21M2,409.56%33.08M2,690.43%36.44M2,690.43%36.44M2,608.24%39.46M3,367.72%42.76M0.69%1.32M-5.70%1.31M-5.70%1.31M-0.27%1.46M
Other non current assets -10.36%6.94M-13.98%6.88M-13.01%6.89M-13.01%6.89M-4.54%7.78M-7.14%7.74M-8.54%8M-9.13%7.92M-9.13%7.92M23,197.14%8.15M
Total non current assets 7.56%253.49M58.41%214.23M63.96%215.56M63.96%215.56M69.57%220.3M86.28%235.68M17.74%135.24M73.85%131.47M73.85%131.47M125.02%129.92M
Total assets 16.37%775.86M-11.08%557.85M-6.79%653.7M-6.79%653.7M3.15%630.83M-0.86%666.7M-14.56%627.37M14.90%701.29M14.90%701.29M-7.15%611.53M
Liabilities
Current liabilities
Payables 80.35%3.76M20.44%5.12M-13.80%3.95M-13.80%3.95M9.64%4.27M-34.32%2.09M2.04%4.25M62.68%4.59M62.68%4.59M-38.51%3.89M
-accounts payable 80.35%3.76M20.44%5.12M-13.80%3.95M-13.80%3.95M9.64%4.27M-34.32%2.09M2.04%4.25M62.68%4.59M62.68%4.59M-38.51%3.89M
Current accrued expenses 19.15%20.28M8.20%16.02M90.42%23.75M90.42%23.75M17.61%17.58M4.07%17.02M-13.93%14.8M-39.45%12.47M-39.45%12.47M-16.30%14.94M
Current debt and capital lease obligation 183.56%16.72M19.92%6.12M1.79%6.16M1.79%6.16M7.35%6.05M10.50%5.9M22.09%5.1M301.66%6.05M301.66%6.05M274.73%5.64M
-Current debt 1,099.56%8.11M-91.68%55K-57.73%41K-57.73%41K631.58%695K626.88%676K618.48%661K7.78%97K7.78%97K7.95%95K
-Current capital lease obligation 64.92%8.61M36.53%6.06M2.76%6.12M2.76%6.12M-3.36%5.36M-0.44%5.22M8.66%4.44M320.34%5.95M320.34%5.95M291.31%5.54M
Current deferred liabilities -55.95%32.2M-36.60%36.62M-35.79%36.43M-35.79%36.43M-5.89%44M14.62%73.11M6.48%57.76M467.26%56.73M467.26%56.73M367.53%46.75M
Current liabilities -24.46%86.08M-19.78%73.92M-7.08%93.17M-7.08%93.17M13.35%94.12M17.91%113.96M7.52%92.15M114.89%100.27M114.89%100.27M93.36%83.04M
Non current liabilities
Long term debt and capital lease obligation 55.64%73.16M-6.45%44.86M-0.98%44.52M-0.98%44.52M-2.42%45.43M-2.78%47.01M0.05%47.95M350.82%44.96M350.82%44.96M1,031.05%46.55M
-Long term debt 1,884.50%22.92M-9.16%1.07M105.41%1.1M105.41%1.1M100.71%1.13M97.10%1.16M93.28%1.18M-15.32%536K-15.32%536K-14.48%561K
-Long term capital lease obligation 9.57%50.24M-6.38%43.79M-2.26%43.41M-2.26%43.41M-3.68%44.3M-4.01%45.85M-1.15%46.77M375.64%44.42M375.64%44.42M1,229.28%45.99M
Non current deferred liabilities -20.68%29.17M-33.58%37.92M-25.17%52.58M-25.17%52.58M-43.23%53.31M-59.11%36.77M-46.70%57.09M551.95%70.26M551.95%70.26M650.37%93.91M
Other non current liabilities --3M------------------------------------
Total non current liabilities 25.73%105.33M-21.20%82.78M-15.73%97.09M-15.73%97.09M-29.70%98.74M-39.42%83.78M-32.25%105.04M455.29%115.22M455.29%115.22M744.59%140.46M
Total liabilities -3.20%191.41M-20.54%156.7M-11.70%190.26M-11.70%190.26M-13.71%192.86M-15.83%197.74M-18.09%197.19M219.67%215.48M219.67%215.48M275.16%223.5M
Shareholders'equity
Share capital 50.00%3K0.00%2K0.00%2K0.00%2K0.00%2K0.00%2K0.00%2K0.00%2K0.00%2K0.00%2K
-common stock 50.00%3K0.00%2K0.00%2K0.00%2K0.00%2K0.00%2K0.00%2K0.00%2K0.00%2K0.00%2K
Retained earnings -47.97%-1.16B-50.24%-1.06B-51.30%-967.62M-51.30%-967.62M-50.26%-874.63M-49.84%-781.61M-54.56%-704.88M-59.86%-639.56M-59.86%-639.56M-73.67%-582.06M
Paid-in capital 39.21%1.74B28.64%1.46B27.16%1.43B27.16%1.43B35.31%1.31B30.35%1.25B19.49%1.14B19.32%1.13B19.32%1.13B3.85%970.1M
Gains losses not affecting retained earnings --------------------------------------0
Total stockholders'equity 24.63%584.45M-6.75%401.15M-4.60%463.44M-4.60%463.44M12.87%437.97M7.17%468.96M-12.84%430.18M-10.52%485.81M-10.52%485.81M-35.22%388.03M
Total equity 24.63%584.45M-6.75%401.15M-4.60%463.44M-4.60%463.44M12.87%437.97M7.17%468.96M-12.84%430.18M-10.52%485.81M-10.52%485.81M-35.22%388.03M
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

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Heat List
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