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Monopar Therapeutics Inc

MNPR

41.750USD

+1.060+2.61%
Close 08/04, 16:00ETQuotes delayed by 15 min
255.31MMarket 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
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
-242.11%-5.66M
-29.27%-2.00M
44.66%-1.07M
20.21%-1.68M
27.11%-1.66M
-18.75%-1.55M
9.71%-1.94M
-60.32%-2.10M
7.96%-2.27M
35.93%-1.30M
-10.67%-2.15M
6.78%-1.31M
-27.32%-2.47M
-63.77%-2.03M
-49.27%-1.94M
-41.25%-1.41M
-72.18%-1.94M
-85.54%-1.24M
-112.07%-1.30M
-34.57%-995.47K
-13.01%-1.13M
-28.79%-668.71K
-2.29%-613.27K
1.74%-739.74K
-23.13%-995.97K
36.37%-519.21K
49.82%-599.56K
-146.74%-752.86K
-159.67%-808.85K
---816.02K
---1.19M
---305.13K
---311.49K
Net income from continuing operations
-59.94%-2.62M
-502.32%-10.93M
33.24%-1.30M
22.03%-1.72M
32.59%-1.64M
37.37%-1.81M
18.58%-1.95M
20.37%-2.20M
0.90%-2.43M
-8.05%-2.90M
2.39%-2.40M
-32.82%-2.76M
-30.40%-2.46M
-25.94%-2.68M
-49.96%-2.46M
-43.88%-2.08M
-72.71%-1.88M
-76.36%-2.13M
-122.73%-1.64M
-59.63%-1.45M
20.73%-1.09M
-35.53%-1.21M
-14.98%-736.08K
-10.32%-905.70K
-57.04%-1.38M
-24.79%-890.46K
95.70%-640.18K
-38.80%-820.94K
-135.00%-876.35K
---713.58K
---14.88M
---591.44K
---372.92K
Other non-cash items
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--3.00M
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-12239900.00%-122.40K
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---1.00
--1.00
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--0.00
--13.50M
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Change in working capital
-1181.39%-4.39M
2086.67%4.10M
106.88%31.65K
21.05%-295.88K
-9.62%-342.86K
-117.17%-206.19K
-229.73%-460.22K
-134.23%-374.77K
38.74%-312.77K
302.35%1.20M
-211.60%-139.57K
245.98%1.09M
-20.91%-510.59K
-56.02%298.52K
126.60%125.06K
281.37%316.46K
-13.15%-422.27K
159.74%678.83K
145.94%55.19K
190.52%82.98K
-354.76%-373.19K
89.03%261.35K
-128.31%-120.14K
-347.31%-91.67K
411.49%146.49K
183.47%138.26K
-138.54%-52.62K
-123.23%-20.49K
-176.56%-47.03K
---165.63K
--136.55K
--88.22K
--61.43K
-Change in prepaid expenses
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---126.78K
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-Change in payables and accrued expense
-1111.60%-3.77M
2041.36%4.14M
105.77%28.69K
6.99%-345.75K
-23.54%-311.24K
-117.81%-213.00K
-79.04%-496.89K
-134.03%-371.72K
52.67%-251.92K
251.09%1.20M
-303.62%-277.52K
267.21%1.09M
-43.72%-532.32K
-46.53%340.61K
736.37%136.30K
82.32%297.45K
-11.87%-370.39K
109.37%636.97K
83.45%-21.42K
264.58%163.15K
-297.26%-331.11K
247.06%304.23K
-1050.57%-129.42K
-404.61%-99.13K
889.15%167.85K
436.24%87.66K
-108.34%-11.25K
-61.59%32.54K
-139.49%-21.27K
---26.07K
--134.85K
--84.72K
--53.86K
-Change in other current assets
-1633.39%-621.54K
-669.36%-38.77K
-91.92%2.96K
1735.65%49.87K
41.07%-35.86K
-30.08%6.81K
-72.52%36.67K
-168.64%-3.05K
-352.35%-60.84K
123.14%9.74K
1287.83%133.47K
-76.63%4.44K
146.47%24.11K
-200.54%-42.09K
-114.67%-11.24K
123.70%19.00K
-23.27%-51.88K
197.62%41.86K
726.33%76.61K
-1174.29%-80.17K
-96.98%-42.08K
-184.74%-42.88K
122.41%9.27K
114.07%7.46K
17.05%-21.36K
496.02%50.60K
-2528.11%-41.38K
-1614.05%-53.04K
-440.26%-25.76K
---12.78K
--1.70K
--3.50K
--7.57K
Cash from non-recurring investing activities
Cash from operating activities
-242.11%-5.66M
-29.27%-2.00M
44.66%-1.07M
20.21%-1.68M
27.11%-1.66M
-18.75%-1.55M
9.71%-1.94M
-60.32%-2.10M
7.96%-2.27M
35.93%-1.30M
-10.67%-2.15M
6.78%-1.31M
-27.32%-2.47M
-63.77%-2.03M
-49.27%-1.94M
-41.25%-1.41M
-72.18%-1.94M
-85.54%-1.24M
-112.07%-1.30M
-34.57%-995.47K
-13.01%-1.13M
-28.79%-668.71K
-2.29%-613.27K
1.74%-739.74K
-23.13%-995.97K
36.37%-519.21K
49.82%-599.56K
-146.74%-752.86K
-159.67%-808.85K
---816.02K
---1.19M
---305.13K
---311.49K
Investing cash flow
Net cash flow from investment products
66.86%-325.83K
-582.70%-14.34M
7652.33%985.73K
-100.08%-2.42K
0.01%-983.31K
160.39%2.97M
---13.05K
--2.95M
---983.44K
---4.92M
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Net cash flow from other investing activities
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--0.00
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Cash from non-current investing activities
Net cash flow from investing activities
66.86%-325.83K
-582.70%-14.34M
7652.33%985.73K
-100.08%-2.42K
0.01%-983.31K
160.39%2.97M
---13.05K
--2.95M
---983.44K
---4.92M
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Financing cash flow
Cash flow from continuous financing activities
-103.64%-115.68K
16679.90%56.14M
-106.70%-16.53K
-101.55%-9.92K
295.36%3.18M
141.14%334.55K
1139.27%246.70K
1079.50%641.18K
4928.98%804.80K
1885.09%138.74K
-137.90%-23.74K
-172.72%-65.46K
-100.15%-16.67K
-8.85%-7.77K
-100.15%-9.98K
-102.54%-24.00K
2049.67%10.92M
-100.08%-7.14K
50810.13%6.73M
7780.60%946.40K
3766.86%508.04K
4650.77%9.39M
---13.28K
---12.32K
---13.86K
-2162.49%-206.27K
-100.00%0.00
-100.00%0.00
-100.00%0.00
--10.00K
--7.50M
--1.04M
--990.00K
Net cash flow from debt Issuance/repayment
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--0.00
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--0.00
--0.00
--122.40K
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Net cash flow from common stock issuance/repurchase
-100.00%0.00
16436.84%56.20M
-100.00%0.00
----
288.57%3.19M
210.85%339.87K
--254.91K
--657.79K
--821.63K
--109.34K
--0.00
--0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
1914.15%10.93M
-100.00%1.00
--6.75M
--879.14K
--542.43K
--10.22M
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-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
--10.00K
--2.67M
--1.04M
--990.00K
Proceeds from stock option exercised by employees
--15.45K
----
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--84.00
----
--0.00
-100.00%0.00
----
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--0.00
--128.00
--41.00
-100.00%0.00
--0.00
--0.00
--0.00
--17.48K
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--110.00K
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--0.00
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Net cash flow from other financing activities
-1121.17%-131.13K
-1157.91%-66.95K
-101.46%-16.53K
39.79%-10.00K
36.19%-10.74K
-118.10%-5.32K
65.61%-8.21K
74.64%-16.61K
-0.97%-16.83K
478.28%29.40K
-139.19%-23.87K
-172.89%-65.50K
22.48%-16.67K
-8.84%-7.77K
47.23%-9.98K
56.47%-24.00K
37.47%-21.50K
99.24%-7.14K
-42.38%-18.91K
-347.47%-55.14K
-148.17%-34.38K
-358.31%-945.35K
---13.28K
---12.32K
---13.86K
-20627100.00%-206.27K
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--1.00
--4.83M
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Net cash from non-recurrent financing activities
Net cash from financing activities
-103.64%-115.68K
16679.90%56.14M
-106.70%-16.53K
-101.55%-9.92K
295.36%3.18M
141.14%334.55K
1139.27%246.70K
1079.50%641.18K
4928.98%804.80K
1885.09%138.74K
-137.90%-23.74K
-172.72%-65.46K
-100.15%-16.67K
-8.85%-7.77K
-100.15%-9.98K
-102.54%-24.00K
2049.67%10.92M
-100.08%-7.14K
50810.13%6.73M
7780.60%946.40K
3766.86%508.04K
4650.77%9.39M
---13.28K
---12.32K
---13.86K
-2162.49%-206.27K
-100.00%0.00
-100.00%0.00
-100.00%0.00
--10.00K
--7.50M
--1.04M
--990.00K
Net cash flow
Beginning cash balance
530.55%45.82M
9.15%6.02M
-15.17%6.12M
36.36%7.81M
-11.24%7.27M
-61.48%5.52M
-56.18%7.21M
-67.87%5.73M
-59.68%8.19M
-35.92%14.32M
-32.23%16.46M
-30.73%17.82M
21.31%20.30M
24.24%22.34M
93.63%24.29M
104.28%25.72M
26.66%16.74M
300.10%17.98M
--12.55M
114.12%12.59M
91.71%13.21M
-41.00%4.49M
-100.00%0.00
-34.46%5.88M
-29.54%6.89M
-28.05%7.62M
91.96%8.22M
152.65%8.97M
240.48%9.78M
--10.59M
--4.28M
--3.55M
--2.87M
Current period cash flow changes
-1227.40%-6.10M
2173.12%39.80M
94.12%-99.85K
-213.33%-1.69M
122.01%541.50K
128.56%1.75M
20.85%-1.70M
209.86%1.49M
0.97%-2.46M
-200.84%-6.13M
-10.04%-2.15M
5.23%-1.36M
-127.65%-2.48M
-63.60%-2.04M
-135.89%-1.95M
-2997.62%-1.43M
1545.70%8.99M
-114.28%-1.25M
955.75%5.44M
93.85%-46.17K
38.56%-621.57K
1301.86%8.72M
-5.82%-635.29K
0.42%-751.24K
-25.08%-1.01M
9.99%-725.49K
-109.52%-600.38K
-203.36%-754.43K
-219.21%-808.85K
---806.02K
--6.31M
--729.91K
--678.52K
Effect of exchange rate changes
96.73%-54.00
54.49%-3.80K
-34.05%4.46K
134.27%1.49K
84.76%-1.65K
82.84%-8.36K
-73.08%6.76K
-120.97%-4.35K
-1545.37%-10.84K
-2556.46%-48.69K
313750.00%25.11K
14928.57%20.76K
-123.76%-659.00
-12.80%1.98K
-99.64%8.00
-104.83%-140.00
168.65%2.77K
85.55%2.27K
125.23%2.21K
252.86%2.90K
-114.83%-4.04K
11236.36%1.23K
-974.91%-8.74K
152.23%821.00
---1.88K
---11.00
---813.00
---1.57K
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Ending cash balance
408.63%39.71M
530.55%45.82M
9.15%6.02M
-15.17%6.12M
36.36%7.81M
-11.24%7.27M
-61.48%5.52M
-56.18%7.21M
-67.87%5.73M
-59.68%8.19M
-35.92%14.32M
-32.23%16.46M
-30.73%17.82M
21.31%20.30M
24.24%22.34M
93.63%24.29M
104.28%25.72M
26.66%16.74M
2930.63%17.98M
144.57%12.55M
114.12%12.59M
91.71%13.21M
-108.34%-635.29K
-37.58%5.13M
-34.46%5.88M
-29.54%6.89M
-28.05%7.62M
91.96%8.22M
152.65%8.97M
--9.78M
--10.59M
--4.28M
--3.55M
Free cash flow
-242.11%-5.66M
-29.27%-2.00M
44.66%-1.07M
20.21%-1.68M
27.11%-1.66M
-18.75%-1.55M
---1.94M
---2.10M
---2.27M
---1.30M
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Currency unit
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