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Kymera Therapeutics Inc

KYMR

43.150USD

+0.190+0.44%
Market hours ETQuotes delayed by 15 min
2.81BMarket Cap
LossP/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2019Q4
Operating cash flows (indirect method)
Cash flow from continuing operating activities
-99.92%-79.15M
-867.98%-61.78M
-58.59%-50.19M
-21.78%-42.94M
9.95%-39.59M
120.35%8.04M
7.65%-31.65M
9.57%-35.26M
-9.12%-43.97M
-3.09%-39.54M
8.03%-34.27M
-27.77%-38.98M
-76.55%-40.30M
-91.11%-38.35M
-128.30%-37.26M
---30.51M
---22.82M
-85.80%-20.07M
--131.67M
---10.80M
Net income from continuing operations
-35.06%-65.58M
-392.43%-70.75M
-18.20%-62.49M
-8.41%-42.06M
-18.64%-48.56M
58.79%-14.37M
-22.94%-52.87M
3.62%-38.80M
-11.57%-40.93M
-2.85%-34.87M
-50.45%-43.00M
-63.25%-40.26M
-180.57%-36.68M
-167.24%-33.90M
-257.86%-28.58M
---24.66M
---13.07M
-10.18%-12.69M
---7.99M
---11.51M
Operating gains losses
-67.93%2.05M
123.01%1.99M
122.01%1.99M
115.33%1.94M
626.51%6.39M
8.92%891.00K
16.69%895.00K
27.66%900.00K
27.95%879.00K
18.72%818.00K
14.31%767.00K
27.72%705.00K
41.65%687.00K
38.63%689.00K
36.94%671.00K
--552.00K
--485.00K
37.67%497.00K
--490.00K
--361.00K
Other non-cash items
17.81%-2.52M
-157.45%-3.27M
-197.70%-3.62M
-183.77%-4.02M
-131.67%-3.07M
-40.22%-1.27M
-1998.28%-1.22M
-309.31%-1.42M
-212.85%-1.33M
-155.32%-905.00K
-103.49%-58.00K
-45.05%677.00K
-8.13%1.18M
4.14%1.64M
1409.09%1.66M
--1.23M
--1.28M
1315.32%1.57M
--110.00K
--111.00K
Change in working capital
-332.63%-27.32M
-129.86%-3.55M
-109.82%-971.00K
-84.44%-13.13M
47.27%-6.32M
188.14%11.89M
1039.83%9.89M
26.84%-7.12M
10.25%-11.98M
12.69%-13.49M
94.29%-1.05M
27.16%-9.73M
9.11%-13.35M
-37.04%-15.46M
-113.47%-18.42M
---13.36M
---14.68M
-19685.96%-11.28M
--136.73M
---57.00K
-Change in receivables
-213.87%-19.05M
102.47%370.00K
12.21%386.00K
140.77%327.00K
2236.91%16.73M
-4430.92%-14.98M
167.06%344.00K
27.49%-802.00K
30.59%-783.00K
-75.94%346.00K
23.32%-513.00K
-233.25%-1.11M
-274.75%-1.13M
267.99%1.44M
-15.94%-669.00K
--830.00K
---301.00K
---856.00K
---577.00K
--0.00
-Change in prepaid expenses
192.38%2.78M
-230.29%-3.15M
-857.81%-3.68M
139.48%929.00K
-83.12%-3.00M
603.54%2.42M
66.37%-384.00K
-293.50%-2.35M
-180.03%-1.64M
83.72%-480.00K
-16.89%-1.14M
67.72%1.22M
28.19%-586.00K
-24.07%-2.95M
-231.67%-977.00K
--725.00K
---816.00K
-1220.00%-2.38M
--742.00K
---180.00K
-Change in other current assets
8.72%673.00K
-144.26%-1.29M
245.63%2.53M
-7.09%852.00K
-45.61%619.00K
439.81%2.92M
450.38%732.00K
627.78%917.00K
856.30%1.14M
54.26%-859.00K
23.15%133.00K
23.53%126.00K
25.26%119.00K
-2335.71%-1.88M
-88.99%108.00K
--102.00K
--95.00K
-90.20%84.00K
--981.00K
--857.00K
-Change in other current liabilities
64.98%-2.79M
-166.63%-6.87M
-233.16%-1.95M
-95.51%-24.59M
-37.88%-7.98M
179.27%10.31M
91.44%-585.00K
-27.49%-12.58M
25.89%-5.79M
10.99%-13.01M
62.96%-6.84M
46.74%-9.86M
55.83%-7.81M
-24.66%-14.61M
-113.57%-18.46M
---18.52M
---17.68M
-548.04%-11.72M
--136.04M
---1.81M
Cash from non-recurring investing activities
Cash from operating activities
-99.92%-79.15M
-867.98%-61.78M
-58.59%-50.19M
-21.78%-42.94M
9.95%-39.59M
120.35%8.04M
7.65%-31.65M
9.57%-35.26M
-9.12%-43.97M
-3.09%-39.54M
8.03%-34.27M
-27.77%-38.98M
-76.55%-40.30M
-91.11%-38.35M
-128.30%-37.26M
---30.51M
---22.82M
-85.80%-20.07M
--131.67M
---10.80M
Investing cash flow
Net cash from continuing investing activities
-93.69%467.00K
-91.95%936.00K
-102.34%-189.00K
-56.45%4.69M
84.63%7.40M
3016.62%11.63M
548.31%8.08M
1365.03%10.77M
731.74%4.01M
-25.55%373.00K
307.19%1.25M
17.41%735.00K
193.90%482.00K
-65.14%501.00K
-87.30%306.00K
--626.00K
--164.00K
622.11%1.44M
--2.41M
--199.00K
Capital expenditures
-93.69%467.00K
-91.95%936.00K
----
-56.45%4.69M
84.63%7.40M
3016.62%11.63M
548.31%8.08M
1365.03%10.77M
731.74%4.01M
-25.55%373.00K
307.19%1.25M
17.41%735.00K
193.90%482.00K
-65.14%501.00K
-87.30%306.00K
--626.00K
--164.00K
622.11%1.44M
--2.41M
--199.00K
Net cash flow from disposal of fixed assets
-93.69%467.00K
-91.95%936.00K
-102.34%-189.00K
-56.45%4.69M
84.63%7.40M
3016.62%11.63M
548.31%8.08M
1365.03%10.77M
731.74%4.01M
-25.55%373.00K
307.19%1.25M
17.41%735.00K
193.90%482.00K
-65.14%501.00K
-87.30%306.00K
--626.00K
--164.00K
622.11%1.44M
--2.41M
--199.00K
Net cash flow from investment products
115.19%49.08M
127.31%69.50M
-330.17%-157.87M
-56.38%20.33M
-1230.36%-323.20M
162.03%30.58M
289.29%68.59M
-43.53%46.61M
8.53%28.59M
26.99%-49.29M
73.47%-36.23M
34.54%82.54M
-40.78%26.34M
-2544.65%-67.52M
58.86%-136.56M
--61.35M
--44.49M
-104.11%-2.55M
---331.91M
--62.16M
Cash from non-current investing activities
Net cash flow from investing activities
114.70%48.62M
261.80%68.57M
-360.58%-157.68M
-56.35%15.64M
-1444.81%-330.61M
138.16%18.95M
261.44%60.51M
-56.19%35.84M
-4.95%24.58M
26.98%-49.67M
72.61%-37.48M
34.72%81.80M
-41.65%25.86M
-1604.74%-68.02M
59.06%-136.86M
--60.72M
--44.32M
-106.44%-3.99M
---334.32M
--61.96M
Financing cash flow
Cash flow from continuous financing activities
-99.93%258.00K
42.97%2.77M
121904.85%250.92M
8.20%1.41M
30422.52%353.76M
-0.97%1.93M
-100.14%-206.00K
258.52%1.30M
526.49%1.16M
-4.92%1.95M
-38.83%150.50M
-77.14%364.00K
-68.91%185.00K
660.74%2.05M
25.35%246.04M
--1.59M
--595.00K
-98.72%270.00K
--196.28M
--21.09M
Net cash flow from debt Issuance/repayment
4.48%-277.00K
-131.68%-293.00K
-88.53%-641.00K
-5.39%-352.00K
11.31%-290.00K
403.28%925.00K
-16.44%-340.00K
-24.16%-334.00K
-23.86%-327.00K
-95.51%-305.00K
17.05%-292.00K
-44.62%-269.00K
-70.32%-264.00K
-2.63%-156.00K
-222.94%-352.00K
---186.00K
---155.00K
-28.81%-152.00K
---109.00K
---118.00K
Net cash flow from common stock issuance/repurchase
-100.00%0.00
--0.00
--246.51M
--0.00
--350.11M
--0.00
----
----
----
--0.00
-37.78%149.82M
----
----
-100.00%0.00
31.76%240.79M
----
----
--398.00K
--182.75M
----
Net cash flow from preferred stock issuance/repurchase
----
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
--0.00
--0.00
--0.00
-100.00%0.00
--0.00
--21.18M
Proceeds from stock option exercised by employees
-86.40%535.00K
203.07%3.06M
3670.90%5.05M
7.63%1.76M
164.67%3.93M
-55.31%1.01M
-86.10%134.00K
158.93%1.64M
230.96%1.49M
0.85%2.26M
-70.39%964.00K
-64.40%633.00K
-60.85%449.00K
9229.17%2.24M
2887.16%3.26M
--1.78M
--1.15M
-14.29%24.00K
--109.00K
--28.00K
Net cash flow from other financing activities
----
----
----
----
----
----
----
----
----
100.00%0.00
-100.00%0.00
--0.00
100.00%0.00
---29.00K
-82.65%2.35M
--0.00
---397.00K
--0.00
--13.53M
----
Net cash from non-recurrent financing activities
Net cash from financing activities
-99.93%258.00K
42.97%2.77M
121904.85%250.92M
8.20%1.41M
30422.52%353.76M
-0.97%1.93M
-100.14%-206.00K
258.52%1.30M
526.49%1.16M
-4.92%1.95M
-38.83%150.50M
-77.14%364.00K
-68.91%185.00K
660.74%2.05M
25.35%246.04M
--1.59M
--595.00K
-98.72%270.00K
--196.28M
--21.09M
Net cash flow
Beginning cash balance
8.87%126.05M
34.15%116.50M
26.24%73.45M
76.44%99.33M
55.36%115.78M
-46.32%86.85M
-29.92%58.19M
41.30%56.30M
37.77%74.52M
2.12%161.77M
-4.01%83.03M
-27.14%39.84M
65.96%54.09M
180.96%158.41M
37.81%86.49M
--54.69M
--32.59M
918.08%56.38M
--62.76M
--5.54M
Current period cash flow changes
-84.14%-30.28M
-66.99%9.55M
50.21%43.05M
-1470.87%-25.88M
9.78%-16.44M
133.16%28.93M
-63.61%28.66M
-95.63%1.89M
-27.92%-18.23M
16.36%-87.25M
9.50%78.75M
35.78%43.18M
-164.48%-14.25M
-338.53%-104.32M
1227.40%71.92M
--31.80M
--22.09M
-132.92%-23.79M
---6.38M
--72.25M
Ending cash balance
-3.59%95.77M
8.87%126.05M
34.15%116.50M
26.24%73.45M
76.44%99.33M
55.35%115.78M
-46.32%86.84M
-29.92%58.19M
41.30%56.30M
37.77%74.53M
2.12%161.77M
-4.01%83.03M
-27.14%39.84M
65.96%54.09M
180.96%158.41M
--86.49M
--54.69M
-58.10%32.59M
--56.38M
--77.79M
Free cash flow
-69.42%-79.62M
-1651.96%-62.72M
-26.34%-50.19M
-3.48%-47.63M
2.05%-46.99M
91.03%-3.58M
-11.85%-39.73M
-15.87%-46.02M
-17.66%-47.98M
-2.72%-39.91M
5.46%-35.52M
-27.57%-39.72M
-77.39%-40.78M
-80.67%-38.85M
-129.06%-37.57M
---31.14M
---22.99M
-95.50%-21.50M
--129.26M
---11.00M
Currency unit
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