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Relay Therapeutics Inc

RLAY
8.560USD
-0.090-1.04%
Cierre 12/26, 16:00ETCotizaciones retrasadas 15 min
1.48BCap. mercado
PérdidaP/E TTM
Puede acceder a los estados de flujo de caja anuales y trimestrales de Relay Therapeutics Inc para evaluar su solidez y estabilidad financieras.
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
Flujos de efectivo operativos (método indirecto)
Flujo de efectivo por actividades operativas continuas
17.27%-62.12M
16.06%-55.26M
-45.48%-73.21M
35.12%-57.87M
0.42%-75.08M
4.03%-65.83M
25.04%-50.32M
-56.25%-89.19M
-13.99%-75.40M
-20.16%-68.60M
-36.52%-67.13M
-43.75%-57.08M
-24.34%-66.14M
-102.89%-57.09M
-205.43%-49.17M
-12.57%-39.71M
-121.30%-53.20M
-35.00%-28.14M
308.83%46.64M
-54.97%-35.27M
-37.34%-24.04M
-38.47%-20.84M
-106.49%-22.33M
---22.76M
---17.50M
---15.05M
---10.82M
Ingresos netos por operaciones continuas
15.84%-74.15M
23.68%-70.38M
5.31%-77.06M
8.97%-76.00M
-34.03%-88.11M
6.39%-92.21M
13.64%-81.39M
-23.69%-83.50M
21.91%-65.73M
-28.28%-98.50M
-51.89%-94.24M
-0.07%-67.50M
-38.36%-84.17M
60.30%-76.79M
-47.08%-62.05M
-291.22%-67.46M
-68.62%-60.83M
-623.69%-193.40M
-69.51%-42.18M
247.52%35.28M
-83.39%-36.08M
-52.39%-26.72M
-75.48%-24.89M
---23.91M
---19.67M
---17.54M
---14.18M
Pérdidas de ganancias operativas
-45.28%748.00K
141.37%3.30M
-13.41%1.21M
-2.98%1.33M
0.29%1.37M
2.55%1.37M
16.54%1.40M
17.92%1.38M
31.95%1.36M
39.54%1.33M
22.77%1.20M
12.77%1.17M
2.08%1.03M
-0.42%956.00K
6.09%975.00K
13.38%1.03M
10.84%1.01M
10.98%960.00K
6.98%919.00K
6.92%912.00K
44.01%913.00K
25.18%865.00K
28.79%859.00K
--853.00K
--634.00K
--691.00K
--667.00K
Otros artículos no monetarios
65.36%-1.10M
57.64%-1.39M
56.43%-1.60M
40.56%-2.18M
-10.50%-3.18M
-49.52%-3.29M
-81.71%-3.67M
-852.99%-3.67M
-945.88%-2.88M
-503.11%-2.20M
-396.18%-2.02M
-156.53%-385.00K
-49.25%340.00K
-99.56%546.00K
345.10%681.00K
4764.29%681.00K
8275.00%670.00K
105696.58%123.55M
147.66%153.00K
102.20%14.00K
100.70%8.00K
83.80%-117.00K
---321.00K
---635.00K
---1.14M
---722.00K
--0.00
Cambio en el capital de trabajo
54.29%-3.50M
-114.86%-1.91M
-289.03%-15.08M
107.03%1.45M
73.42%-7.65M
35.03%12.84M
7.61%7.98M
-423.38%-20.60M
-8702.75%-28.79M
234.22%9.51M
214.55%7.41M
-57.48%6.37M
96.14%-327.00K
-77.67%2.85M
-96.98%2.36M
117.41%14.98M
-943.77%-8.46M
1058.91%12.75M
13867.98%78.08M
-23023.12%-86.02M
-156.87%-811.00K
-23.24%1.10M
-69.34%559.00K
---372.00K
--1.43M
--1.43M
--1.82M
-Cambio en cuentas por cobrar
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-100.00%0.00
100.00%0.00
306.86%211.00K
-104.62%-133.00K
4961.32%5.15M
-100.00%-12.00K
-188.70%-102.00K
88.87%-65.00K
-102.51%-106.00K
-100.01%-6.00K
100.14%115.00K
---584.00K
--4.21M
--74.05M
---82.65M
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-Cambio en gastos prepago
58.97%-3.97M
22.64%5.69M
-727.58%-3.93M
-84.61%147.00K
-16.81%-9.66M
74.65%4.64M
-3068.75%-475.00K
-92.66%955.00K
47.09%-8.27M
3117.05%2.66M
-97.17%16.00K
191.51%13.02M
-29.11%-15.64M
-102.64%-88.00K
-65.32%566.00K
546.15%4.47M
-156.32%-12.11M
316.50%3.33M
525.29%1.63M
1.96%-1.00M
-486.96%-4.72M
998.88%800.00K
225.48%261.00K
---1.02M
---805.00K
---89.00K
---208.00K
-Cambio en los gastos pagaderos y acumulados
---507.00K
---953.00K
---3.45M
--10.27M
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-Cambio en otros activos corrientes
----
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--0.00
--0.00
--0.00
-100.00%0.00
100.00%0.00
--0.00
--0.00
--22.00K
---22.00K
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-Cambio en otros pasivos corrientes
--469.00K
---1.07M
---7.99M
35370.83%8.46M
----
----
----
---24.00K
110.84%9.00K
118.07%15.00K
100.00%0.00
-100.00%0.00
---83.00K
---83.00K
---82.00K
--15.00M
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Efectivo de actividades de inversión no recurrentes
Efectivo de actividades operativas
17.27%-62.12M
16.06%-55.26M
-45.48%-73.21M
35.12%-57.87M
0.42%-75.08M
4.03%-65.83M
25.04%-50.32M
-56.25%-89.19M
-13.99%-75.40M
-20.16%-68.60M
-36.52%-67.13M
-43.75%-57.08M
-24.34%-66.14M
-102.89%-57.09M
-205.43%-49.17M
-12.57%-39.71M
-121.30%-53.20M
-35.00%-28.14M
308.83%46.64M
-54.97%-35.27M
-37.34%-24.04M
-38.47%-20.84M
-106.49%-22.33M
---22.76M
---17.50M
---15.05M
---10.82M
Flujo de efectivo por actividades de inversión
Efectivo neto de actividades de inversión continuadas
-100.44%-1.00K
136.36%26.00K
-78.43%384.00K
-100.00%0.00
-61.53%227.00K
-99.27%11.00K
-7.05%1.78M
-94.91%118.00K
-71.84%590.00K
-19.06%1.50M
-31.46%1.92M
163.18%2.32M
20.68%2.10M
389.97%1.86M
486.97%2.79M
1275.00%880.00K
300.92%1.74M
-8.45%379.00K
-53.33%476.00K
-89.30%64.00K
-81.86%433.00K
-77.66%414.00K
-67.56%1.02M
--598.00K
--2.39M
--1.85M
--3.14M
Gastos de capital
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136.36%26.00K
-78.43%384.00K
-100.00%0.00
-61.53%227.00K
-99.27%11.00K
-7.05%1.78M
-94.91%118.00K
-71.84%590.00K
-19.06%1.50M
-31.46%1.92M
163.18%2.32M
20.68%2.10M
389.97%1.86M
486.97%2.79M
1275.00%880.00K
300.92%1.74M
-8.45%379.00K
-53.33%476.00K
-89.30%64.00K
-81.86%433.00K
-77.90%414.00K
-67.56%1.02M
--598.00K
--2.39M
--1.87M
--3.14M
Flujo de efectivo neto por disposición de activos fijos
-100.44%-1.00K
136.36%26.00K
-78.43%384.00K
-100.00%0.00
-61.53%227.00K
-99.27%11.00K
-7.05%1.78M
-94.91%118.00K
-71.84%590.00K
-19.06%1.50M
-31.46%1.92M
163.18%2.32M
20.68%2.10M
389.97%1.86M
486.97%2.79M
1275.00%880.00K
300.92%1.74M
-8.45%379.00K
-53.33%476.00K
-89.30%64.00K
-81.86%433.00K
-77.66%414.00K
-67.56%1.02M
--598.00K
--2.39M
--1.85M
--3.14M
Flujo de efectivo neto de transacciones comerciales
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100.00%0.00
----
----
---83.00K
---83.00K
---25.13M
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Flujo de efectivo neto de productos de inversión
131.54%39.72M
64.99%75.17M
248.05%42.85M
-51.51%29.00M
-275.02%-125.94M
-13.68%45.56M
-84.06%12.31M
141.35%59.80M
145.73%71.95M
16.65%52.78M
170.47%77.23M
50.44%-144.62M
29.53%29.28M
-12.28%45.24M
52.99%-109.59M
-282.13%-291.78M
10.24%22.61M
-41.43%51.58M
-553.67%-233.15M
-309.22%-76.36M
116.70%20.51M
124.67%88.06M
--51.39M
--36.49M
--9.46M
---357.00M
--0.00
Flujo de efectivo neto de otras actividades de inversión
--0.00
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Efectivo de actividades de inversión no corrientes
Flujo de efectivo neto de actividades de inversión
131.49%39.73M
64.97%75.15M
303.24%42.47M
-51.41%29.00M
-276.78%-126.16M
-11.17%45.55M
-86.02%10.53M
140.61%59.68M
162.50%71.36M
18.18%51.28M
167.01%75.31M
49.81%-146.94M
30.79%27.19M
66.44%43.39M
51.89%-112.38M
-283.07%-292.75M
3.56%20.79M
-70.26%26.07M
-563.80%-233.62M
-312.89%-76.42M
183.68%20.07M
124.42%87.65M
1702.13%50.37M
--35.90M
--7.08M
---358.85M
---3.14M
Flujo de efectivo de financiación
Flujo de efectivo de actividades de financiación continuadas
-99.99%17.00K
-57.65%653.00K
-100.00%0.00
-96.35%800.00K
2214.33%218.89M
-25.87%1.54M
3671.94%48.92M
1779.76%21.92M
-96.69%9.46M
4.21%2.08M
46.89%1.30M
-99.70%1.17M
31592.35%285.87M
78.06%2.00M
-57.03%883.00K
685635.71%384.01M
-99.79%902.00K
1305.38%1.12M
485.47%2.06M
124.67%56.00K
367309.48%426.19M
-113.88%-93.00K
-93.05%351.00K
---227.00K
--116.00K
--670.00K
--5.05M
Flujo de efectivo neto por emisión/recompra de acciones ordinarias
-100.00%0.00
-42.16%653.00K
----
-98.39%350.00K
2229.99%218.16M
-30.61%1.13M
--47.73M
3866.67%21.78M
-96.71%9.36M
43.10%1.63M
----
-99.86%549.00K
--284.74M
--1.14M
----
--383.35M
----
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--0.00
--427.80M
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Flujo de efectivo neto por emisión/recompra de acciones preferentes
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--0.00
--0.00
-100.00%0.00
-100.00%0.00
----
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--647.00K
--5.02M
Procedimientos de la opción de stock ejercida por los empleados
-97.68%17.00K
----
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219.15%450.00K
670.53%732.00K
-8.83%413.00K
-8.48%1.19M
-77.15%141.00K
-91.53%95.00K
-47.26%453.00K
46.89%1.30M
-6.66%617.00K
24.28%1.12M
-23.37%859.00K
-57.03%883.00K
1080.36%661.00K
104.07%902.00K
205.45%1.12M
485.47%2.06M
-87.30%56.00K
268.33%442.00K
1495.65%367.00K
1110.34%351.00K
--441.00K
--120.00K
--23.00K
--29.00K
Flujo de efectivo neto de otras actividades de financiación
--0.00
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100.00%0.00
----
100.00%0.00
-51075.00%-2.05M
---460.00K
--0.00
---668.00K
---4.00K
--0.00
--0.00
Efectivo neto de actividades de financiación no recurrentes
Efectivo neto de actividades de financiación
-99.99%17.00K
-57.65%653.00K
-100.00%0.00
-96.35%800.00K
2214.33%218.89M
-25.87%1.54M
3671.94%48.92M
1779.76%21.92M
-96.69%9.46M
4.21%2.08M
46.89%1.30M
-99.70%1.17M
31592.35%285.87M
78.06%2.00M
-57.03%883.00K
685635.71%384.01M
-99.79%902.00K
1305.38%1.12M
485.47%2.06M
124.67%56.00K
367309.48%426.19M
-113.88%-93.00K
-93.05%351.00K
---227.00K
--116.00K
--670.00K
--5.05M
Flujo de efectivo neto
Saldo de efectivo inicial
-15.08%116.20M
-38.51%95.66M
-13.68%126.41M
0.29%154.48M
-7.92%136.83M
-5.05%155.57M
-5.14%146.44M
-56.88%154.03M
34.71%148.61M
34.28%163.85M
-45.39%154.37M
54.55%357.22M
-58.00%110.31M
-53.71%122.02M
-36.97%282.70M
-58.74%231.14M
90.42%262.65M
270.12%263.60M
947.17%448.52M
1772.00%560.16M
242.82%137.93M
-82.78%71.22M
-89.86%42.83M
--29.92M
--40.23M
--413.47M
--422.38M
Cambios en el flujo de efectivo del período actual
-226.82%-22.38M
209.59%20.54M
-436.75%-30.75M
-269.73%-28.07M
225.18%17.64M
-22.94%-18.74M
-3.70%9.13M
96.26%-7.59M
-97.80%5.43M
-30.19%-15.24M
105.90%9.48M
-493.42%-202.85M
883.58%246.91M
-1131.23%-11.71M
13.11%-160.67M
146.19%51.56M
-107.46%-31.51M
-101.43%-951.00K
-751.42%-184.93M
-964.79%-111.64M
4194.94%422.23M
117.87%66.71M
418.50%28.39M
--12.91M
---10.31M
---373.24M
---8.91M
Saldo de efectivo final
-39.26%93.82M
-15.08%116.20M
-38.51%95.66M
-13.68%126.41M
0.29%154.48M
-7.92%136.83M
-5.05%155.57M
-5.14%146.44M
-56.88%154.03M
34.71%148.61M
34.28%163.85M
-45.39%154.37M
54.55%357.22M
-58.00%110.31M
-53.71%122.02M
-36.97%282.70M
-58.74%231.14M
90.42%262.65M
270.12%263.60M
947.17%448.52M
1772.00%560.16M
242.82%137.93M
-82.78%71.22M
--42.83M
--29.92M
--40.23M
--413.47M
Flujo de caja libre
----
16.03%-55.29M
-41.25%-73.59M
35.20%-57.87M
0.89%-75.31M
6.08%-65.84M
24.54%-52.10M
-50.36%-89.31M
-11.35%-75.99M
-18.92%-70.10M
-32.86%-69.05M
-46.34%-59.40M
-24.22%-68.24M
-106.70%-58.95M
-212.57%-51.97M
-14.86%-40.59M
-124.48%-54.94M
-34.16%-28.52M
297.67%46.16M
-51.27%-35.34M
-23.04%-24.47M
-25.59%-21.26M
-67.29%-23.35M
---23.36M
---19.89M
---16.93M
---13.96M
Unidad monetaria
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Opiniones de evaluación
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Preguntas frecuentes

¿Qué es el estado de flujo de efectivo?

El estado de flujo de efectivo hace un seguimiento del movimiento de entrada y salida de efectivo de la empresa, abarcando sus actividades de explotación, inversión y financiación. Pone de relieve la eficacia con la que la empresa gestiona el efectivo para apoyar el crecimiento y cumplir con sus obligaciones.
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