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ProKidney Corp

PROK
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1.680USD
+0.030+1.82%
Close 09-24 16:00(ET)
507.46MMarket Cap
LossP/E TTM

PROK Balance Sheet

You can check out the annual or quarterly balance sheets of ProKidney Corp here to evaluate the financial health, analyze fundamentals, and calculate key ratios for liquidity, leverage, and return on equity.
Quarterly
Quarterly+Annual
Quarterly
Annual
FY2026Q2
FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
Total equity
Cash, cash equivalents and short-term investments
-38.40%181.56M
-31.52%224.94M
-24.64%270.02M
-33.21%271.73M
-31.70%294.73M
-0.15%328.50M
-1.28%358.29M
2.64%406.81M
-3.27%431.53M
-29.05%329.00M
-25.97%362.95M
-21.72%396.33M
1938.79%446.13M
1455.87%463.68M
--490.25M
--506.33M
--21.88M
--29.80M
- Cash and cash equivalents
-11.86%74.87M
4.18%101.89M
9.50%108.54M
-11.81%95.32M
-60.40%84.94M
15.90%97.81M
63.43%99.12M
-43.52%108.09M
-11.93%214.51M
-68.93%84.39M
-87.63%60.65M
-62.20%191.39M
1013.03%243.55M
811.47%271.63M
--490.25M
--506.33M
--21.88M
--29.80M
-Short-term investments
-49.14%106.70M
-46.66%123.05M
-37.69%161.48M
-40.95%176.40M
-3.33%209.79M
-5.69%230.69M
-14.27%259.17M
45.76%298.72M
7.13%217.02M
27.37%244.61M
--302.30M
--204.94M
--202.57M
--192.05M
----
----
----
----
Receivables
-46.14%956.00K
-41.10%1.03M
-53.94%1.13M
-75.75%1.24M
-35.41%1.77M
-7.93%1.75M
77.96%2.45M
614.57%5.10M
-66.03%2.75M
-65.25%1.90M
--1.38M
--714.00K
--8.09M
--5.48M
----
----
----
----
-Loans receivable
-46.14%956.00K
-41.10%1.03M
-53.94%1.13M
-75.75%1.24M
-35.41%1.77M
-7.93%1.75M
77.96%2.45M
614.57%5.10M
-66.03%2.75M
-65.25%1.90M
--1.38M
--714.00K
--8.09M
--5.48M
----
----
----
----
-Other receivables
----
----
----
----
----
----
--2.45M
----
----
----
----
----
----
----
----
----
----
----
Prepaid expenses
-19.28%6.48M
-28.55%7.13M
-57.12%6.73M
-54.47%7.87M
-49.80%8.02M
7.83%9.98M
59.98%15.70M
84.38%17.28M
37.65%15.98M
-14.11%9.26M
-25.00%9.81M
-27.27%9.37M
-3.50%11.61M
97.87%10.78M
--13.08M
--12.89M
--12.03M
--5.45M
Other current assets
41.39%772.00K
2793.55%1.79M
3405.00%2.80M
-89.33%110.00K
--546.00K
--62.00K
788.89%80.00K
34266.67%1.03M
-100.00%0.00
-100.00%0.00
-99.35%9.00K
-98.10%3.00K
--603.00K
--208.00K
--1.38M
--158.00K
--0.00
--0.00
Total current assets
-41.51%189.77M
-34.69%234.90M
-29.10%280.68M
-30.27%299.99M
-27.94%324.44M
5.73%359.66M
5.81%395.88M
5.86%430.23M
-3.47%450.26M
-29.15%340.16M
-25.87%374.15M
-21.75%406.42M
1275.34%466.43M
1262.15%480.14M
--504.72M
--519.37M
--33.91M
--35.25M
Non-current assets
Net Fixed Assets
24.23%59.25M
24.75%57.88M
21.48%54.90M
15.82%51.62M
-2.47%47.69M
-2.53%46.40M
-2.62%45.19M
-1.68%44.57M
176.54%48.90M
220.59%47.60M
255.22%46.41M
254.15%45.33M
37.94%17.68M
16.23%14.85M
--13.06M
--12.80M
--12.82M
--12.78M
-Fixed Assets
27.77%78.67M
29.02%75.87M
27.08%71.45M
21.22%66.84M
5.62%61.57M
4.94%58.81M
4.02%56.22M
5.83%55.14M
146.41%58.30M
177.74%56.04M
204.12%54.05M
208.52%52.10M
45.33%23.66M
29.07%20.18M
--17.77M
--16.89M
--16.28M
--15.63M
-Accumulated depreciation
39.94%19.43M
44.97%17.99M
50.04%16.55M
44.01%15.22M
47.69%13.88M
47.09%12.41M
44.36%11.03M
56.17%10.57M
57.25%9.40M
58.31%8.44M
62.32%7.64M
65.62%6.77M
72.70%5.98M
86.49%5.33M
--4.71M
--4.09M
--3.46M
--2.86M
Goodwill and other intangible assets
----
----
----
----
----
----
----
----
----
----
-100.00%0.00
-80.52%52.00K
-66.88%106.00K
-57.49%159.00K
--213.00K
--267.00K
--320.00K
--374.00K
Other non-current assets
----
--0.00
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--6.91M
--5.11M
Total non-current assets
24.23%59.25M
24.75%57.88M
21.48%54.90M
15.82%51.62M
-2.47%47.69M
-2.53%46.40M
-2.62%45.19M
-1.80%44.57M
174.89%48.90M
217.20%47.60M
249.52%46.41M
247.31%45.38M
-11.25%17.79M
-17.80%15.01M
--13.28M
--13.07M
--20.04M
--18.26M
Total assets
-33.08%249.02M
-27.90%292.78M
-23.92%335.57M
-25.94%351.61M
-25.45%372.13M
4.72%406.06M
4.88%441.07M
5.09%474.79M
3.09%499.16M
-21.69%387.76M
-18.81%420.55M
-15.14%451.81M
797.40%484.22M
825.39%495.15M
--518.00M
--532.44M
--53.96M
--53.51M
Liabilities
Current liabilities
-Other payables
---11.00K
--0.00
----
----
----
--0.00
----
----
----
----
----
----
----
----
----
--2.52M
--874.00K
--3.79M
Accrued expenses
-19.85%19.97M
-19.37%22.23M
-7.73%28.73M
22.59%26.07M
64.91%24.92M
107.89%27.57M
76.26%31.14M
37.51%21.26M
-27.86%15.11M
93.51%13.26M
140.80%17.66M
349.40%15.46M
294.44%20.95M
58.40%6.85M
--7.34M
--3.44M
--5.31M
--4.33M
Short-term debt and lease liabilities
142.86%17.00K
0.00%17.00K
-32.00%17.00K
-48.57%18.00K
-84.09%7.00K
-67.92%17.00K
-51.92%25.00K
-31.37%35.00K
-12.00%44.00K
6.00%53.00K
48.57%52.00K
50.00%51.00K
-99.86%50.00K
-99.75%50.00K
--35.00K
--34.00K
--35.03M
--20.03M
-Short-term debt
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--35.00M
--20.00M
-Short-term lease liabilities
142.86%17.00K
0.00%17.00K
-32.00%17.00K
-48.57%18.00K
-84.09%7.00K
-67.92%17.00K
-51.92%25.00K
-31.37%35.00K
-12.00%44.00K
6.00%53.00K
48.57%52.00K
50.00%51.00K
47.06%50.00K
51.52%50.00K
--35.00K
--34.00K
--34.00K
--33.00K
Other current liabilities
---11.00K
--0.00
----
----
----
--0.00
----
----
----
----
----
----
----
----
----
--2.52M
--874.00K
--3.79M
Total current liabilities
-19.64%22.71M
-20.96%25.93M
-15.12%30.74M
15.42%29.06M
37.27%28.26M
69.98%32.81M
44.65%36.22M
19.98%25.18M
-15.95%20.59M
71.12%19.30M
130.28%25.04M
113.26%20.99M
-46.52%24.50M
-64.66%11.28M
--10.87M
--9.84M
--45.80M
--31.91M
Non-current liabilities
Long-term debt and lease liabilities
-31.98%2.34M
7.42%2.62M
21.40%2.90M
-39.87%3.18M
-37.95%3.45M
-48.86%2.44M
-31.75%2.39M
165.70%5.29M
157.85%5.55M
105.29%4.77M
88.70%3.51M
19.94%1.99M
38.88%2.15M
71.57%2.32M
--1.86M
--1.66M
--1.55M
--1.35M
-Long-term lease liabilities
-31.98%2.34M
7.42%2.62M
21.40%2.90M
-39.87%3.18M
-37.95%3.45M
-48.86%2.44M
-31.75%2.39M
165.70%5.29M
157.85%5.55M
105.29%4.77M
88.70%3.51M
19.94%1.99M
38.88%2.15M
71.57%2.32M
--1.86M
--1.66M
--1.55M
--1.35M
Other non-current liabilities
18.94%1.07M
40.58%1.07M
43.58%1.07M
24.61%962.00K
58.98%903.00K
34.51%764.00K
31.69%748.00K
47.89%772.00K
14.98%568.00K
33.33%568.00K
104.32%568.00K
68.93%522.00K
--494.00K
--426.00K
--278.00K
--309.00K
----
----
Total non-current liabilities
-21.50%3.47M
14.44%3.75M
25.47%4.04M
-31.53%4.21M
-28.83%4.42M
-39.64%3.28M
-22.95%3.22M
133.52%6.14M
123.31%6.21M
87.53%5.43M
91.30%4.18M
29.86%2.63M
71.92%2.78M
102.66%2.89M
--2.18M
--2.03M
--1.62M
--1.43M
Total liabilities
-19.90%26.18M
-17.75%29.68M
-11.80%34.78M
6.21%33.27M
21.95%32.68M
45.92%36.08M
34.98%39.44M
32.63%31.32M
-1.76%26.80M
74.47%24.73M
123.76%29.22M
99.02%23.62M
-42.48%27.28M
-57.49%14.17M
--13.06M
--11.87M
--47.42M
--33.34M
Shareholders' equity
Common equity
87.73%434.80M
21.55%266.14M
25.67%258.58M
21.54%242.51M
22.35%231.60M
312.06%218.96M
469.40%205.76M
382.10%199.54M
511.01%189.30M
143.57%53.14M
381.83%36.14M
2696.55%41.39M
-87.98%30.98M
-91.24%21.82M
--7.50M
--1.48M
--257.66M
--249.16M
Retained earnings
-6.82%-1.32B
-5.94%-1.29B
-5.74%-1.27B
-6.02%-1.25B
-6.24%-1.23B
-5.95%-1.22B
-5.37%-1.20B
-4.02%-1.18B
14.15%-1.16B
29.21%-1.15B
-3.22%-1.14B
-3.29%-1.13B
-438.81%-1.35B
-608.88%-1.62B
---1.10B
---1.10B
---251.13M
---229.00M
Capital reserves
87.74%434.76M
21.55%266.11M
25.67%258.55M
21.54%242.48M
22.35%231.58M
312.18%218.93M
469.68%205.74M
382.31%199.51M
511.39%189.27M
143.73%53.11M
383.07%36.11M
2741.00%41.37M
--30.96M
--21.79M
--7.48M
--1.46M
----
----
Gains losses not affecting retained earnings
-213.33%-34.00K
-170.67%-53.00K
-56.92%56.00K
-76.95%74.00K
600.00%30.00K
270.45%75.00K
0.00%130.00K
601.56%321.00K
95.28%-6.00K
-131.58%-44.00K
--130.00K
---64.00K
---127.00K
---19.00K
----
----
----
----
Non-controlling interests
-17.56%1.11B
-5.97%1.29B
-6.06%1.31B
-6.80%1.33B
-7.11%1.34B
-6.21%1.37B
-6.57%1.40B
-6.42%1.42B
-18.80%1.44B
-29.93%1.46B
-6.67%1.49B
-5.94%1.52B
--1.78B
--2.08B
--1.60B
--1.62B
----
----
Total equity
-34.35%222.84M
-28.89%263.10M
-25.11%300.79M
-28.22%318.34M
-28.14%339.45M
1.91%369.98M
2.63%401.64M
3.57%443.47M
3.38%472.37M
-24.52%363.04M
-22.50%391.34M
-17.75%428.19M
6890.12%456.94M
2284.98%480.98M
--504.94M
--520.57M
--6.54M
--20.17M
Currency unit
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
Audit opinions
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FAQs

Which balance sheet metrics matter most when analyzing PROK stock?

Important metrics include cash and short-term investments, total assets, current assets, total liabilities, current liabilities, long-term debt, shareholders' equity, retained earnings, inventory, receivables, working capital, current ratio, quick ratio, debt-to-equity ratio, and return on equity. Investors usually review these together rather than relying on one number.

What is the difference between assets, liabilities, and shareholders' equity?

Assets are resources the company owns or controls, such as cash, receivables, inventory, investments, and property. Liabilities are obligations the company owes, such as accounts payable, debt, leases, and taxes. Shareholders' equity is the residual value after liabilities are subtracted from assets.

What is the difference between current and non-current items?

Current assets and current liabilities are generally expected to be converted, used, paid, or settled within one year or one operating cycle. Non-current assets and non-current liabilities are longer-term items, such as property, long-term investments, deferred tax assets, long-term debt, and lease obligations.

How Much Cash Does ProKidney Corp Have?

In its most recent quarterly, ProKidney Corp had 74.87M in cash and cash equivalents.

How Much Are ProKidney Corp's Total Liabilities?

ProKidney Corp reported 34.78M in total liabilities as of the latest reported quarter, including 30.74M in current liabilities and 4.04M in non-current liabilities.

What Are ProKidney Corp's Total Assets?

As of the latest reported quarter, ProKidney Corp's total assets were 335.57M, consisting of 280.68M in current assets and 54.90M in non-current assets.

How Much Shareholders' Equity Does ProKidney Corp Have?

ProKidney Corp reported 300.79M in total shareholders' equity as of the latest reported quarter.
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