US Stock MarketDetailed Quotes

SLN Silence Therapeutics

Watchlist
  • 8.180
  • +0.260+3.28%
Close Dec 2 16:00 ET
  • 8.190
  • +0.010+0.12%
Post 19:03 ET
386.22MMarket Cap-4808P/E (TTM)

Silence 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
119.33%128.99M
197.87%149.59M
142.98%152.75M
-24.05%54.03M
-24.05%54.03M
-34.67%58.81M
-2.61%50.22M
6.02%62.87M
-3.25%71.14M
-3.25%71.14M
-Cash and cash equivalents
5.34%61.95M
268.38%109.48M
141.93%113.06M
-1.43%54.03M
-1.43%54.03M
-34.67%58.81M
-42.36%29.72M
-21.19%46.73M
-25.46%54.82M
-25.46%54.82M
-Short-term investments
--67.04M
95.66%40.11M
146.04%39.7M
--0
--0
--0
--20.5M
--16.14M
--16.33M
--16.33M
Receivables
-5.20%16.56M
-42.59%14.54M
51.50%18.83M
8.60%18.83M
8.60%18.83M
33.38%17.47M
86.64%25.32M
8.95%12.43M
104.34%17.34M
104.34%17.34M
-Accounts receivable
-37.66%288K
-86.32%1.69M
380.80%8.14M
-75.08%228K
-75.08%228K
255.38%462K
324.78%12.32M
-34.23%1.69M
176.44%915K
176.44%915K
-Taxes receivable
-4.32%16.27M
-1.12%12.85M
-0.43%10.69M
13.26%18.61M
13.26%18.61M
31.16%17.01M
21.86%13M
21.53%10.74M
101.41%16.43M
101.41%16.43M
Prepaid assets
----
----
----
-0.52%8.16M
-0.52%8.16M
----
----
----
90.30%8.2M
90.30%8.2M
Other current assets
5.65%11.96M
80.80%12.24M
21.04%10.15M
----
----
9.48%11.32M
-18.58%6.77M
35.11%8.39M
----
----
Total current assets
79.80%157.51M
114.27%176.38M
117.18%181.73M
-16.20%81.02M
-16.20%81.02M
-22.79%87.6M
12.07%82.31M
8.80%83.68M
11.99%96.69M
11.99%96.69M
Non current assets
Net PPE
-14.53%1.65M
-17.27%1.69M
-14.75%1.79M
-17.63%1.81M
-17.63%1.81M
-16.90%1.93M
10.10%2.04M
10.70%2.1M
13.22%2.2M
13.22%2.2M
-Gross PPE
----
----
----
1.35%5.56M
1.35%5.56M
----
----
----
0.49%5.48M
0.49%5.48M
-Accumulated depreciation
----
----
----
-14.07%-3.75M
-14.07%-3.75M
----
----
----
6.55%-3.28M
6.55%-3.28M
Goodwill and other intangible assets
-4.08%7.8M
-1.81%7.93M
-3.22%8.01M
-2.46%8.12M
-2.46%8.12M
1.88%8.13M
3.51%8.08M
7.76%8.27M
9.36%8.33M
9.36%8.33M
-Goodwill
-3.79%7.54M
-1.43%7.66M
-2.90%7.73M
-2.11%7.84M
-2.11%7.84M
-1.55%7.84M
-0.09%7.77M
4.04%7.96M
5.49%8.01M
5.49%8.01M
-Other intangible assets
-11.95%258K
-11.59%267K
-11.29%275K
-11.25%284K
-11.25%284K
1,365.00%293K
1,338.10%302K
1,247.83%310K
1,233.33%320K
1,233.33%320K
Investments and advances
0.00%284K
0.00%284K
0.00%284K
0.00%284K
0.00%284K
0.00%284K
-6.27%284K
-5.65%284K
-5.65%284K
-5.65%284K
Non current prepaid assets
----
----
----
--2.58M
--2.58M
----
----
----
--0
--0
Other non current assets
--2.14M
--2.36M
--2.57M
----
----
----
----
----
----
----
Total non current assets
14.82%11.87M
17.92%12.26M
18.66%12.65M
18.37%12.8M
18.37%12.8M
-2.29%10.34M
4.44%10.4M
7.92%10.66M
9.66%10.81M
9.66%10.81M
Total assets
72.94%169.38M
103.47%188.64M
106.05%194.38M
-12.72%93.82M
-12.72%93.82M
-21.04%97.94M
11.16%92.71M
8.70%94.34M
11.75%107.5M
11.75%107.5M
Liabilities
Current liabilities
Payables
19.47%14.27M
22.92%14.99M
-20.83%10.49M
-15.63%3.58M
-15.63%3.58M
-19.35%11.95M
4.25%12.2M
72.38%13.25M
-7.14%4.24M
-7.14%4.24M
-accounts payable
19.47%14.27M
22.92%14.99M
-20.83%10.49M
-17.48%2.63M
-17.48%2.63M
-19.35%11.95M
4.25%12.2M
72.38%13.25M
-21.62%3.19M
-21.62%3.19M
-Total tax payable
----
----
----
-10.04%950K
-10.04%950K
----
----
----
109.94%1.06M
109.94%1.06M
Current accrued expenses
----
----
----
5.47%8.85M
5.47%8.85M
----
----
----
35.01%8.39M
35.01%8.39M
Current debt and capital lease obligation
-30.85%139K
-7.07%184K
2.22%184K
-59.87%179K
-59.87%179K
-59.72%201K
280.77%198K
100.00%180K
225.55%446K
225.55%446K
-Current capital lease obligation
-30.85%139K
-7.07%184K
2.22%184K
-59.87%179K
-59.87%179K
-59.72%201K
280.77%198K
100.00%180K
225.55%446K
225.55%446K
Current deferred liabilities
-57.37%2.5M
-61.38%2.77M
-19.20%3.51M
-41.78%5.16M
-41.78%5.16M
-44.74%5.87M
-8.25%7.16M
-45.45%4.34M
108.71%8.86M
108.71%8.86M
Current liabilities
-6.13%16.91M
-8.26%17.94M
-20.20%14.18M
-19.02%17.77M
-19.02%17.77M
-30.52%18.02M
-0.01%19.56M
12.95%17.76M
44.68%21.94M
44.68%21.94M
Non current liabilities
Long term debt and capital lease obligation
--0
--0
-57.34%93K
--93K
--93K
--114K
--166K
--218K
--0
--0
-Long term capital lease obligation
--0
--0
-57.34%93K
--93K
--93K
--114K
--166K
--218K
--0
--0
Non current deferred liabilities
-3.11%57.96M
-4.19%58.19M
-5.95%56.21M
-7.21%58.91M
-7.21%58.91M
-6.50%59.81M
-11.45%60.73M
-10.89%59.77M
-12.44%63.49M
-12.44%63.49M
Total non current liabilities
-3.29%57.96M
-4.45%58.19M
-6.14%56.3M
-7.06%59M
-7.06%59M
-6.32%59.93M
-11.21%60.9M
-10.56%59.98M
-12.44%63.49M
-12.44%63.49M
Total liabilities
-3.95%74.87M
-5.38%76.13M
-9.35%70.48M
-10.13%76.77M
-10.13%76.77M
-13.31%77.94M
-8.72%80.46M
-6.10%77.75M
-2.56%85.43M
-2.56%85.43M
Shareholders'equity
Share capital
22.10%7.08M
27.34%7.02M
29.30%6.99M
10.24%5.94M
10.24%5.94M
7.73%5.8M
22.73%5.51M
20.36%5.4M
20.07%5.39M
20.07%5.39M
-common stock
22.10%7.08M
27.34%7.02M
29.30%6.99M
10.24%5.94M
10.24%5.94M
7.73%5.8M
22.73%5.51M
20.36%5.4M
20.07%5.39M
20.07%5.39M
Retained earnings
-19.28%-346.65M
-13.22%-320.15M
-12.22%-305.7M
-15.71%-304.61M
-15.71%-304.61M
-16.41%-290.61M
-16.58%-282.76M
-18.11%-272.41M
-18.07%-263.26M
-18.07%-263.26M
Paid-in capital
49.11%368.03M
54.06%362.07M
55.73%361.16M
10.69%256.64M
10.69%256.64M
6.50%246.82M
23.98%235.03M
22.37%231.92M
22.34%231.86M
22.34%231.86M
Gains losses not affecting retained earnings
-1.00%23.96M
-0.37%24.06M
-0.76%24.11M
-0.55%24.2M
-0.55%24.2M
-1.12%24.2M
0.72%24.14M
1.79%24.29M
2.29%24.33M
2.29%24.33M
Other equity interest
24.61%42.09M
30.25%39.51M
36.38%37.35M
46.88%34.88M
46.88%34.88M
52.39%33.78M
53.27%30.34M
63.46%27.39M
73.50%23.75M
73.50%23.75M
Total stockholders'equity
372.62%94.52M
817.97%112.51M
646.85%123.9M
-22.75%17.05M
-22.75%17.05M
-41.41%20M
358.57%12.26M
315.79%16.59M
158.88%22.07M
158.88%22.07M
Total equity
372.62%94.52M
817.97%112.51M
646.85%123.9M
-22.75%17.05M
-22.75%17.05M
-41.41%20M
358.57%12.26M
315.79%16.59M
158.88%22.07M
158.88%22.07M
Currency Unit
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
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 with Explanatory Notes
--
(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 119.33%128.99M197.87%149.59M142.98%152.75M-24.05%54.03M-24.05%54.03M-34.67%58.81M-2.61%50.22M6.02%62.87M-3.25%71.14M-3.25%71.14M
-Cash and cash equivalents 5.34%61.95M268.38%109.48M141.93%113.06M-1.43%54.03M-1.43%54.03M-34.67%58.81M-42.36%29.72M-21.19%46.73M-25.46%54.82M-25.46%54.82M
-Short-term investments --67.04M95.66%40.11M146.04%39.7M--0--0--0--20.5M--16.14M--16.33M--16.33M
Receivables -5.20%16.56M-42.59%14.54M51.50%18.83M8.60%18.83M8.60%18.83M33.38%17.47M86.64%25.32M8.95%12.43M104.34%17.34M104.34%17.34M
-Accounts receivable -37.66%288K-86.32%1.69M380.80%8.14M-75.08%228K-75.08%228K255.38%462K324.78%12.32M-34.23%1.69M176.44%915K176.44%915K
-Taxes receivable -4.32%16.27M-1.12%12.85M-0.43%10.69M13.26%18.61M13.26%18.61M31.16%17.01M21.86%13M21.53%10.74M101.41%16.43M101.41%16.43M
Prepaid assets -------------0.52%8.16M-0.52%8.16M------------90.30%8.2M90.30%8.2M
Other current assets 5.65%11.96M80.80%12.24M21.04%10.15M--------9.48%11.32M-18.58%6.77M35.11%8.39M--------
Total current assets 79.80%157.51M114.27%176.38M117.18%181.73M-16.20%81.02M-16.20%81.02M-22.79%87.6M12.07%82.31M8.80%83.68M11.99%96.69M11.99%96.69M
Non current assets
Net PPE -14.53%1.65M-17.27%1.69M-14.75%1.79M-17.63%1.81M-17.63%1.81M-16.90%1.93M10.10%2.04M10.70%2.1M13.22%2.2M13.22%2.2M
-Gross PPE ------------1.35%5.56M1.35%5.56M------------0.49%5.48M0.49%5.48M
-Accumulated depreciation -------------14.07%-3.75M-14.07%-3.75M------------6.55%-3.28M6.55%-3.28M
Goodwill and other intangible assets -4.08%7.8M-1.81%7.93M-3.22%8.01M-2.46%8.12M-2.46%8.12M1.88%8.13M3.51%8.08M7.76%8.27M9.36%8.33M9.36%8.33M
-Goodwill -3.79%7.54M-1.43%7.66M-2.90%7.73M-2.11%7.84M-2.11%7.84M-1.55%7.84M-0.09%7.77M4.04%7.96M5.49%8.01M5.49%8.01M
-Other intangible assets -11.95%258K-11.59%267K-11.29%275K-11.25%284K-11.25%284K1,365.00%293K1,338.10%302K1,247.83%310K1,233.33%320K1,233.33%320K
Investments and advances 0.00%284K0.00%284K0.00%284K0.00%284K0.00%284K0.00%284K-6.27%284K-5.65%284K-5.65%284K-5.65%284K
Non current prepaid assets --------------2.58M--2.58M--------------0--0
Other non current assets --2.14M--2.36M--2.57M----------------------------
Total non current assets 14.82%11.87M17.92%12.26M18.66%12.65M18.37%12.8M18.37%12.8M-2.29%10.34M4.44%10.4M7.92%10.66M9.66%10.81M9.66%10.81M
Total assets 72.94%169.38M103.47%188.64M106.05%194.38M-12.72%93.82M-12.72%93.82M-21.04%97.94M11.16%92.71M8.70%94.34M11.75%107.5M11.75%107.5M
Liabilities
Current liabilities
Payables 19.47%14.27M22.92%14.99M-20.83%10.49M-15.63%3.58M-15.63%3.58M-19.35%11.95M4.25%12.2M72.38%13.25M-7.14%4.24M-7.14%4.24M
-accounts payable 19.47%14.27M22.92%14.99M-20.83%10.49M-17.48%2.63M-17.48%2.63M-19.35%11.95M4.25%12.2M72.38%13.25M-21.62%3.19M-21.62%3.19M
-Total tax payable -------------10.04%950K-10.04%950K------------109.94%1.06M109.94%1.06M
Current accrued expenses ------------5.47%8.85M5.47%8.85M------------35.01%8.39M35.01%8.39M
Current debt and capital lease obligation -30.85%139K-7.07%184K2.22%184K-59.87%179K-59.87%179K-59.72%201K280.77%198K100.00%180K225.55%446K225.55%446K
-Current capital lease obligation -30.85%139K-7.07%184K2.22%184K-59.87%179K-59.87%179K-59.72%201K280.77%198K100.00%180K225.55%446K225.55%446K
Current deferred liabilities -57.37%2.5M-61.38%2.77M-19.20%3.51M-41.78%5.16M-41.78%5.16M-44.74%5.87M-8.25%7.16M-45.45%4.34M108.71%8.86M108.71%8.86M
Current liabilities -6.13%16.91M-8.26%17.94M-20.20%14.18M-19.02%17.77M-19.02%17.77M-30.52%18.02M-0.01%19.56M12.95%17.76M44.68%21.94M44.68%21.94M
Non current liabilities
Long term debt and capital lease obligation --0--0-57.34%93K--93K--93K--114K--166K--218K--0--0
-Long term capital lease obligation --0--0-57.34%93K--93K--93K--114K--166K--218K--0--0
Non current deferred liabilities -3.11%57.96M-4.19%58.19M-5.95%56.21M-7.21%58.91M-7.21%58.91M-6.50%59.81M-11.45%60.73M-10.89%59.77M-12.44%63.49M-12.44%63.49M
Total non current liabilities -3.29%57.96M-4.45%58.19M-6.14%56.3M-7.06%59M-7.06%59M-6.32%59.93M-11.21%60.9M-10.56%59.98M-12.44%63.49M-12.44%63.49M
Total liabilities -3.95%74.87M-5.38%76.13M-9.35%70.48M-10.13%76.77M-10.13%76.77M-13.31%77.94M-8.72%80.46M-6.10%77.75M-2.56%85.43M-2.56%85.43M
Shareholders'equity
Share capital 22.10%7.08M27.34%7.02M29.30%6.99M10.24%5.94M10.24%5.94M7.73%5.8M22.73%5.51M20.36%5.4M20.07%5.39M20.07%5.39M
-common stock 22.10%7.08M27.34%7.02M29.30%6.99M10.24%5.94M10.24%5.94M7.73%5.8M22.73%5.51M20.36%5.4M20.07%5.39M20.07%5.39M
Retained earnings -19.28%-346.65M-13.22%-320.15M-12.22%-305.7M-15.71%-304.61M-15.71%-304.61M-16.41%-290.61M-16.58%-282.76M-18.11%-272.41M-18.07%-263.26M-18.07%-263.26M
Paid-in capital 49.11%368.03M54.06%362.07M55.73%361.16M10.69%256.64M10.69%256.64M6.50%246.82M23.98%235.03M22.37%231.92M22.34%231.86M22.34%231.86M
Gains losses not affecting retained earnings -1.00%23.96M-0.37%24.06M-0.76%24.11M-0.55%24.2M-0.55%24.2M-1.12%24.2M0.72%24.14M1.79%24.29M2.29%24.33M2.29%24.33M
Other equity interest 24.61%42.09M30.25%39.51M36.38%37.35M46.88%34.88M46.88%34.88M52.39%33.78M53.27%30.34M63.46%27.39M73.50%23.75M73.50%23.75M
Total stockholders'equity 372.62%94.52M817.97%112.51M646.85%123.9M-22.75%17.05M-22.75%17.05M-41.41%20M358.57%12.26M315.79%16.59M158.88%22.07M158.88%22.07M
Total equity 372.62%94.52M817.97%112.51M646.85%123.9M-22.75%17.05M-22.75%17.05M-41.41%20M358.57%12.26M315.79%16.59M158.88%22.07M158.88%22.07M
Currency Unit GBPGBPGBPGBPGBPGBPGBPGBPGBPGBP
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion with Explanatory Notes--

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
US
Overall
Symbol
Latest Price
% Chg

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