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Stoke Therapeutics Inc

STOK

13.125USD

+0.215+1.67%
Horarios del mercado ETCotizaciones retrasadas 15 min
716.57MCap. mercado
14.25P/E TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
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FY2023Q3
FY2023Q2
FY2023Q1
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FY2022Q3
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FY2021Q3
FY2021Q2
FY2021Q1
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FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
Flujos de efectivo operativos (método indirecto)
Flujo de efectivo por actividades operativas continuas
636.62%131.83M
-12.32%-23.19M
-25.22%-21.61M
19.83%-17.48M
-15.03%-24.57M
7.71%-20.65M
21.74%-17.26M
-9.39%-21.80M
-165.73%-21.36M
-37.61%-22.37M
-50.22%-22.06M
-25.88%-19.93M
261.36%32.49M
-48.73%-16.26M
-35.03%-14.68M
-64.12%-15.83M
-86.95%-20.14M
-7.16%-10.93M
-35.10%-10.87M
-53.75%-9.65M
-64.90%-10.77M
-190.21%-10.20M
-164.65%-8.05M
-159.36%-6.27M
-228.41%-6.53M
---3.52M
---3.04M
---2.42M
---1.99M
Ingresos netos por operaciones continuas
527.99%112.88M
61.12%-10.48M
-7.69%-26.43M
16.18%-25.70M
-16.98%-26.37M
-5.08%-26.96M
6.01%-24.54M
-24.35%-30.65M
8.54%-22.55M
-4.94%-25.66M
-15.55%-26.11M
-12.22%-24.65M
-46.78%-24.65M
-67.90%-24.45M
-65.13%-22.60M
-69.51%-21.97M
-52.12%-16.79M
-43.32%-14.56M
-59.04%-13.68M
-65.74%-12.96M
-92.25%-11.04M
-137.27%-10.16M
-159.39%-8.60M
-159.77%-7.82M
-200.31%-5.74M
---4.28M
---3.32M
---3.01M
---1.91M
Pérdidas de ganancias operativas
-15.28%477.00K
-15.71%526.00K
-15.23%540.00K
-10.31%548.00K
-5.70%563.00K
2.46%624.00K
64.18%637.00K
102.32%611.00K
141.70%597.00K
159.15%609.00K
52.76%388.00K
21.29%302.00K
4.66%247.00K
-0.84%235.00K
8.55%254.00K
11.16%249.00K
22.28%236.00K
70.50%237.00K
85.71%234.00K
113.33%224.00K
141.25%193.00K
85.33%139.00K
96.88%126.00K
144.19%105.00K
150.00%80.00K
--75.00K
--64.00K
--43.00K
--32.00K
Otros artículos no monetarios
-80.04%105.00K
-139.84%-200.00K
-94.56%24.00K
-33.41%273.00K
-9.62%526.00K
28.06%502.00K
1.61%441.00K
20.59%410.00K
-4.90%582.00K
-11.51%392.00K
16.98%434.00K
8.28%340.00K
125.83%612.00K
66.54%443.00K
41.60%371.00K
22.18%314.00K
7.11%271.00K
--266.00K
--262.00K
--257.00K
--253.00K
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Cambio en el capital de trabajo
347.56%11.61M
-2205.83%-20.18M
-823.93%-3.24M
-102.80%-30.00K
20.18%-4.69M
75.06%-875.00K
86.97%-351.00K
151.56%1.07M
-111.45%-5.88M
-224.17%-3.51M
-200.64%-2.69M
-285.64%-2.08M
880.08%51.31M
82.68%2.83M
404.91%2.68M
-5.24%1.12M
-603.42%-6.58M
273.43%1.55M
276.08%530.00K
3.59%1.18M
11.29%-935.00K
-258.44%-892.00K
-275.00%-301.00K
142.46%1.14M
-832.74%-1.05M
--563.00K
--172.00K
--471.00K
---113.00K
-Cambio en gastos prepago
-632.09%-2.56M
-206.65%-1.44M
216.73%600.00K
-136.22%-644.00K
83.29%-349.00K
188.55%1.35M
-188.47%-514.00K
283.11%1.78M
36.05%-2.09M
-96.40%-1.53M
154.82%581.00K
20.61%-971.00K
-202.88%-3.27M
72.44%-778.00K
385.00%228.00K
-228.87%-1.22M
-16.67%-1.08M
-427.11%-2.82M
95.71%-80.00K
521.78%949.00K
-16.08%-924.00K
363.91%863.00K
-609.51%-1.87M
-118.45%-225.00K
-1404.92%-796.00K
---327.00K
---263.00K
---103.00K
--61.00K
-Cambio en los gastos pagaderos y acumulados
347.06%4.74M
289.64%2.18M
-137.13%-749.00K
180.80%3.58M
-646.72%-1.92M
-677.39%-1.15M
249.85%2.02M
-517.64%-4.43M
110.19%351.00K
-94.48%199.00K
-154.98%-1.35M
-54.78%1.06M
37.39%-3.44M
-17.53%3.60M
301.31%2.45M
901.71%2.34M
-49890.91%-5.50M
348.15%4.37M
-60.82%610.00K
-82.79%234.00K
95.85%-11.00K
-296.32%-1.76M
257.11%1.56M
136.52%1.36M
-53.18%-265.00K
--897.00K
--436.00K
--575.00K
---173.00K
-Cambio en otros pasivos corrientes
489.06%9.43M
-1838.09%-20.91M
-66.88%-3.09M
-179.61%-2.96M
41.47%-2.42M
50.50%-1.08M
3.84%-1.85M
271.52%3.72M
-107.14%-4.14M
---2.18M
---1.93M
---2.17M
--58.01M
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-100.00%0.00
-100.00%0.00
----
----
185.71%6.00K
900.00%8.00K
800.00%7.00K
800.00%7.00K
---7.00K
---1.00K
---1.00K
---1.00K
Efectivo de actividades de inversión no recurrentes
Efectivo de actividades operativas
636.62%131.83M
-12.32%-23.19M
-25.22%-21.61M
19.83%-17.48M
-15.03%-24.57M
7.71%-20.65M
21.74%-17.26M
-9.39%-21.80M
-165.73%-21.36M
-37.61%-22.37M
-50.22%-22.06M
-25.88%-19.93M
261.36%32.49M
-48.73%-16.26M
-35.03%-14.68M
-64.12%-15.83M
-86.95%-20.14M
-7.16%-10.93M
-35.10%-10.87M
-53.75%-9.65M
-64.90%-10.77M
-190.21%-10.20M
-164.65%-8.05M
-159.36%-6.27M
-228.41%-6.53M
---3.52M
---3.04M
---2.42M
---1.99M
Flujo de efectivo por actividades de inversión
Efectivo neto de actividades de inversión continuadas
1166.67%152.00K
-81.66%42.00K
-73.11%103.00K
-94.52%46.00K
-92.73%12.00K
-44.01%229.00K
-81.13%383.00K
23.02%839.00K
-80.38%165.00K
101.48%409.00K
643.59%2.03M
31.15%682.00K
312.25%841.00K
125.56%203.00K
1.49%273.00K
541.98%520.00K
-66.56%204.00K
-84.18%90.00K
-53.86%269.00K
-79.34%81.00K
577.78%610.00K
585.54%569.00K
12.98%583.00K
30.67%392.00K
246.15%90.00K
--83.00K
--516.00K
--300.00K
--26.00K
Gastos de capital
1166.67%152.00K
-81.66%42.00K
-73.11%103.00K
-94.52%46.00K
-92.73%12.00K
-44.01%229.00K
-81.13%383.00K
23.02%839.00K
-80.38%165.00K
101.48%409.00K
643.59%2.03M
31.15%682.00K
312.25%841.00K
125.56%203.00K
1.49%273.00K
541.98%520.00K
-66.56%204.00K
-84.18%90.00K
-53.86%269.00K
-79.34%81.00K
563.04%610.00K
511.83%569.00K
12.98%583.00K
30.67%392.00K
253.85%92.00K
--93.00K
--516.00K
--300.00K
--26.00K
Flujo de efectivo neto por disposición de activos fijos
1166.67%152.00K
-81.66%42.00K
-73.11%103.00K
-94.52%46.00K
-92.73%12.00K
-44.01%229.00K
-81.13%383.00K
23.02%839.00K
-80.38%165.00K
101.48%409.00K
643.59%2.03M
31.15%682.00K
312.25%841.00K
125.56%203.00K
1.49%273.00K
541.98%520.00K
-66.56%204.00K
-84.18%90.00K
-53.86%269.00K
-79.34%81.00K
577.78%610.00K
585.54%569.00K
12.98%583.00K
30.67%392.00K
246.15%90.00K
--83.00K
--516.00K
--300.00K
--26.00K
Flujo de efectivo neto de productos de inversión
37.84%13.78M
-94.26%861.00K
-299.34%-29.90M
-462.92%-88.23M
-81.22%10.00M
-34.49%15.00M
-78.35%15.00M
2836.23%24.31M
139.46%53.25M
90.83%22.90M
1488.38%69.29M
101.01%828.00K
---134.94M
--12.00M
---4.99M
---82.23M
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Efectivo de actividades de inversión no corrientes
Flujo de efectivo neto de actividades de inversión
36.48%13.63M
-94.46%819.00K
-305.27%-30.00M
-476.08%-88.28M
-81.18%9.99M
-34.32%14.77M
-78.27%14.62M
15977.40%23.47M
139.10%53.09M
90.64%22.49M
1377.81%67.26M
100.18%146.00K
-66459.80%-135.78M
13207.78%11.80M
-1856.88%-5.26M
-102066.67%-82.75M
66.56%-204.00K
84.18%-90.00K
53.86%-269.00K
79.34%-81.00K
-577.78%-610.00K
-585.54%-569.00K
-12.98%-583.00K
-30.67%-392.00K
-246.15%-90.00K
---83.00K
---516.00K
---300.00K
---26.00K
Flujo de efectivo de financiación
Flujo de efectivo de actividades de financiación continuadas
-19.98%1.37M
-92.26%568.00K
1351.78%8.16M
251254.17%120.65M
-96.19%1.72M
16976.74%7.34M
29.49%562.00K
-98.60%48.00K
5.99%45.05M
-74.85%43.00K
6.37%434.00K
2054.09%3.42M
7685.16%42.51M
-99.84%171.00K
-39.38%408.00K
-56.91%159.00K
175.76%546.00K
55560.42%106.87M
167.30%673.00K
-99.76%369.00K
391.18%198.00K
-99.79%192.00K
-107.47%-1.00M
239007.94%150.64M
-100.55%-68.00K
--89.78M
--13.38M
--63.00K
--12.42M
Flujo de efectivo neto por emisión/recompra de acciones ordinarias
----
--0.00
--0.00
--119.88M
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----
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----
----
----
----
----
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--105.40M
--0.00
----
----
--0.00
--0.00
--151.91M
----
--0.00
--0.00
----
----
Flujo de efectivo neto por emisión/recompra de acciones preferentes
----
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-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
--90.15M
--13.37M
--63.00K
--12.41M
Procedimientos de la opción de stock ejercida por los empleados
228.71%1.37M
11240.00%567.00K
-10.50%503.00K
1495.83%766.00K
34.41%418.00K
-88.10%5.00K
29.49%562.00K
-85.28%48.00K
18.70%311.00K
-75.58%42.00K
6.63%434.00K
102.48%326.00K
-52.01%262.00K
-89.22%172.00K
-60.60%407.00K
-56.25%161.00K
174.37%546.00K
722.16%1.59M
5336.84%1.03M
1214.29%368.00K
168.92%199.00K
4750.00%194.00K
171.43%19.00K
--28.00K
825.00%74.00K
--4.00K
--7.00K
--0.00
--8.00K
Flujo de efectivo neto de otras actividades de financiación
-100.00%0.00
-99.99%1.00K
--7.66M
--0.00
-97.10%1.30M
733700.00%7.34M
--0.00
-100.00%0.00
5.91%44.74M
200.00%1.00K
-100.00%0.00
155050.00%3.10M
--42.24M
99.20%-1.00K
100.28%1.00K
-300.00%-2.00K
----
-6150.00%-125.00K
64.67%-360.00K
100.08%1.00K
99.30%-1.00K
99.47%-2.00K
-101800.00%-1.02M
---1.30M
-14100.00%-142.00K
---378.00K
---1.00K
--0.00
---1.00K
Efectivo neto de actividades de financiación no recurrentes
Efectivo neto de actividades de financiación
-19.98%1.37M
-92.26%568.00K
1351.78%8.16M
251254.17%120.65M
-96.19%1.72M
16976.74%7.34M
29.49%562.00K
-98.60%48.00K
5.99%45.05M
-74.85%43.00K
6.37%434.00K
2054.09%3.42M
7685.16%42.51M
-99.84%171.00K
-39.38%408.00K
-56.91%159.00K
175.76%546.00K
55560.42%106.87M
167.30%673.00K
-99.76%369.00K
391.18%198.00K
-99.79%192.00K
-107.47%-1.00M
239007.94%150.64M
-100.55%-68.00K
--89.78M
--13.38M
--63.00K
--12.42M
Flujo de efectivo neto
Saldo de efectivo inicial
-32.93%128.78M
-20.97%150.59M
0.74%194.04M
-6.16%179.15M
68.25%192.01M
67.20%190.55M
181.94%192.63M
125.45%190.91M
-21.54%114.13M
-23.90%113.97M
-59.64%68.32M
-68.37%84.68M
-49.41%145.46M
-21.87%149.75M
-16.25%169.29M
26.59%267.72M
29.12%287.51M
-17.83%191.67M
-16.78%202.13M
113.82%211.49M
110.86%222.68M
1100.98%233.25M
2429.53%242.88M
706.93%98.91M
5599.03%105.60M
--19.42M
--9.60M
--12.26M
--1.85M
Cambios en el flujo de efectivo del período actual
1241.69%146.83M
-1588.46%-21.81M
-1986.41%-43.46M
765.49%14.89M
-116.75%-12.86M
815.63%1.47M
-104.56%-2.08M
110.52%1.72M
226.32%76.78M
103.73%160.00K
333.61%45.64M
83.38%-16.36M
-207.08%-60.78M
-104.48%-4.29M
-86.63%-19.54M
-951.80%-98.43M
-77.00%-19.79M
1006.10%95.85M
-8.70%-10.47M
-106.50%-9.36M
-67.16%-11.18M
-112.27%-10.58M
-198.07%-9.63M
5520.63%143.97M
-164.30%-6.69M
--86.18M
--9.82M
---2.66M
--10.40M
Saldo de efectivo final
53.84%275.61M
-32.93%128.78M
-20.97%150.59M
0.74%194.04M
-6.16%179.15M
68.25%192.01M
67.20%190.55M
181.94%192.63M
125.45%190.91M
-21.54%114.13M
-23.90%113.97M
-59.64%68.32M
-68.37%84.68M
-49.41%145.46M
-21.87%149.75M
-16.25%169.29M
26.59%267.72M
29.12%287.51M
-17.83%191.67M
-16.78%202.13M
113.82%211.49M
110.86%222.68M
1100.92%233.25M
2429.53%242.88M
706.99%98.91M
--105.60M
--19.42M
--9.60M
--12.26M
Flujo de caja libre
635.74%131.68M
-11.29%-23.23M
-23.08%-21.72M
22.60%-17.52M
-14.20%-24.58M
8.36%-20.88M
26.74%-17.64M
-9.84%-22.64M
-168.00%-21.52M
-38.40%-22.78M
-61.06%-24.09M
-26.05%-20.61M
255.60%31.65M
-49.36%-16.46M
-34.22%-14.96M
-68.10%-16.35M
-78.72%-20.34M
-2.33%-11.02M
-29.09%-11.14M
-45.92%-9.73M
-71.81%-11.38M
-198.50%-10.77M
-142.65%-8.63M
-145.16%-6.67M
-228.73%-6.62M
---3.61M
---3.56M
---2.72M
---2.02M
Unidad monetaria
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Opiniones de evaluación
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