US Stock MarketDetailed Quotes

VCNX Vaccinex

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  • 3.3600
  • +0.0900+2.75%
Close Sep 27 16:00 ET
  • 3.3600
  • 0.00000.00%
Post 20:01 ET
8.74MMarket Cap-848P/E (TTM)

Vaccinex 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
19.83%-4.42M
8.10%-4.63M
9.65%-17.23M
21.90%-3.59M
25.35%-3.1M
-3.28%-5.51M
-0.86%-5.04M
24.60%-19.07M
10.58%-4.6M
31.57%-4.15M
Net income from continuing operations
20.24%-5.63M
21.46%-3.9M
-2.20%-20.25M
34.68%-3.32M
-3.21%-4.91M
-31.15%-7.06M
-7.99%-4.96M
11.46%-19.82M
-9.65%-5.08M
8.59%-4.76M
Operating gains losses
--1.29M
---1.21M
--2.11M
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Depreciation and amortization
-13.33%26K
-12.90%27K
-42.51%119K
-40.00%27K
-53.73%31K
-44.44%30K
-24.39%31K
22.49%207K
9.76%45K
81.08%67K
Change In working capital
-17.47%1.15M
246.22%348K
2,990.91%318K
-931.79%-2.51M
305.58%1.67M
1,090.78%1.4M
59.25%-238K
99.66%-11K
77.65%302K
136.36%412K
-Change in receivables
-81.82%-20K
-136.57%-64K
-349.14%-786K
77.60%-28K
-1,744.00%-922K
---11K
--175K
-211.46%-175K
-350.00%-125K
0.00%-50K
-Change in prepaid assets
20.00%402K
-150.82%-459K
162.77%59K
134.71%42K
-287.50%-135K
228.43%335K
-24.49%-183K
68.87%-94K
-151.27%-121K
614.29%72K
-Change in payables and accrued expense
-22.65%830K
480.43%875K
280.62%982K
-572.45%-2.59M
599.49%2.73M
541.56%1.07M
47.37%-230K
108.42%258K
572.41%548K
136.48%390K
-Change in other working capital
---59K
---4K
--63K
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Cash from discontinued investing activities
Operating cash flow
19.83%-4.42M
8.10%-4.63M
9.65%-17.23M
21.90%-3.59M
25.35%-3.1M
-3.26%-5.51M
-0.88%-5.04M
24.60%-19.07M
10.58%-4.6M
31.57%-4.15M
Investing cash flow
Cash flow from continuing investing activities
-14K
0
32.32%-67K
0
63.27%-18K
0
-49K
-209.38%-99K
2K
-390.00%-49K
Net PPE purchase and sale
---14K
--0
32.32%-67K
--0
63.27%-18K
--0
---49K
-209.38%-99K
--2K
-390.00%-49K
Cash from discontinued investing activities
Investing cash flow
---14K
--0
32.32%-67K
--0
63.27%-18K
--0
---49K
-209.38%-99K
--2K
-390.00%-49K
Financing cash flow
Cash flow from continuing financing activities
-58.70%1.69M
200.30%6.07M
-26.69%12.45M
31.51%5M
7,110.53%1.33M
22,833.33%4.09M
-84.70%2.02M
-27.22%16.98M
42,344.44%3.8M
99.26%-19K
Net issuance payments of debt
63.16%-7K
0.00%-19K
1.33%-74K
10.53%-17K
0.00%-19K
-5.56%-19K
0.00%-19K
99.12%-75K
-111.11%-19K
99.26%-19K
Net common stock issuance
--0
143.87%4.98M
-26.57%12.52M
31.30%5.02M
--1.35M
--4.11M
-84.58%2.04M
-48.09%17.05M
--3.82M
--0
Proceeds from stock option exercised by employees
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--1.11M
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--0
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Cash from discontinued financing activities
Financing cash flow
-58.70%1.69M
200.30%6.07M
-26.69%12.45M
31.51%5M
7,110.53%1.33M
22,833.33%4.09M
-84.70%2.02M
-27.22%16.98M
42,344.44%3.8M
99.26%-19K
Net cash flow
Beginning cash position
-10.56%2.97M
-75.98%1.54M
-25.59%6.39M
-98.23%127K
-83.26%1.91M
-80.22%3.32M
-25.59%6.39M
-18.94%8.59M
-47.70%7.19M
-49.07%11.4M
Current changes in cash
-93.57%-2.74M
146.84%1.44M
-120.93%-4.86M
277.11%1.41M
57.74%-1.78M
73.81%-1.42M
-137.35%-3.07M
-9.52%-2.2M
84.57%-795K
51.25%-4.21M
End cash Position
-87.79%233K
-10.56%2.97M
-75.98%1.54M
-75.98%1.54M
-98.23%127K
-83.26%1.91M
-80.22%3.32M
-25.59%6.39M
-25.59%6.39M
-47.70%7.19M
Free cash flow
19.58%-4.43M
8.98%-4.63M
9.76%-17.3M
21.86%-3.59M
25.79%-3.11M
-2.27%-5.51M
-1.86%-5.09M
24.31%-19.17M
10.62%-4.6M
30.88%-4.2M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion with Explanatory Notes
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Unqualified Opinion with Explanatory Notes
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(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 19.83%-4.42M8.10%-4.63M9.65%-17.23M21.90%-3.59M25.35%-3.1M-3.28%-5.51M-0.86%-5.04M24.60%-19.07M10.58%-4.6M31.57%-4.15M
Net income from continuing operations 20.24%-5.63M21.46%-3.9M-2.20%-20.25M34.68%-3.32M-3.21%-4.91M-31.15%-7.06M-7.99%-4.96M11.46%-19.82M-9.65%-5.08M8.59%-4.76M
Operating gains losses --1.29M---1.21M--2.11M----------------------------
Depreciation and amortization -13.33%26K-12.90%27K-42.51%119K-40.00%27K-53.73%31K-44.44%30K-24.39%31K22.49%207K9.76%45K81.08%67K
Change In working capital -17.47%1.15M246.22%348K2,990.91%318K-931.79%-2.51M305.58%1.67M1,090.78%1.4M59.25%-238K99.66%-11K77.65%302K136.36%412K
-Change in receivables -81.82%-20K-136.57%-64K-349.14%-786K77.60%-28K-1,744.00%-922K---11K--175K-211.46%-175K-350.00%-125K0.00%-50K
-Change in prepaid assets 20.00%402K-150.82%-459K162.77%59K134.71%42K-287.50%-135K228.43%335K-24.49%-183K68.87%-94K-151.27%-121K614.29%72K
-Change in payables and accrued expense -22.65%830K480.43%875K280.62%982K-572.45%-2.59M599.49%2.73M541.56%1.07M47.37%-230K108.42%258K572.41%548K136.48%390K
-Change in other working capital ---59K---4K--63K----------------------------
Cash from discontinued investing activities
Operating cash flow 19.83%-4.42M8.10%-4.63M9.65%-17.23M21.90%-3.59M25.35%-3.1M-3.26%-5.51M-0.88%-5.04M24.60%-19.07M10.58%-4.6M31.57%-4.15M
Investing cash flow
Cash flow from continuing investing activities -14K032.32%-67K063.27%-18K0-49K-209.38%-99K2K-390.00%-49K
Net PPE purchase and sale ---14K--032.32%-67K--063.27%-18K--0---49K-209.38%-99K--2K-390.00%-49K
Cash from discontinued investing activities
Investing cash flow ---14K--032.32%-67K--063.27%-18K--0---49K-209.38%-99K--2K-390.00%-49K
Financing cash flow
Cash flow from continuing financing activities -58.70%1.69M200.30%6.07M-26.69%12.45M31.51%5M7,110.53%1.33M22,833.33%4.09M-84.70%2.02M-27.22%16.98M42,344.44%3.8M99.26%-19K
Net issuance payments of debt 63.16%-7K0.00%-19K1.33%-74K10.53%-17K0.00%-19K-5.56%-19K0.00%-19K99.12%-75K-111.11%-19K99.26%-19K
Net common stock issuance --0143.87%4.98M-26.57%12.52M31.30%5.02M--1.35M--4.11M-84.58%2.04M-48.09%17.05M--3.82M--0
Proceeds from stock option exercised by employees ------1.11M------------------0------------
Cash from discontinued financing activities
Financing cash flow -58.70%1.69M200.30%6.07M-26.69%12.45M31.51%5M7,110.53%1.33M22,833.33%4.09M-84.70%2.02M-27.22%16.98M42,344.44%3.8M99.26%-19K
Net cash flow
Beginning cash position -10.56%2.97M-75.98%1.54M-25.59%6.39M-98.23%127K-83.26%1.91M-80.22%3.32M-25.59%6.39M-18.94%8.59M-47.70%7.19M-49.07%11.4M
Current changes in cash -93.57%-2.74M146.84%1.44M-120.93%-4.86M277.11%1.41M57.74%-1.78M73.81%-1.42M-137.35%-3.07M-9.52%-2.2M84.57%-795K51.25%-4.21M
End cash Position -87.79%233K-10.56%2.97M-75.98%1.54M-75.98%1.54M-98.23%127K-83.26%1.91M-80.22%3.32M-25.59%6.39M-25.59%6.39M-47.70%7.19M
Free cash flow 19.58%-4.43M8.98%-4.63M9.76%-17.3M21.86%-3.59M25.79%-3.11M-2.27%-5.51M-1.86%-5.09M24.31%-19.17M10.62%-4.6M30.88%-4.2M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

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