Você pode acessar aqui as demonstrações de fluxo de caixa anuais e trimestrais da Taysha Gene Therapies Inc para avaliar sua solidez e estabilidade financeira.
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar linhas em branco
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
Fluxos de caixa operacionais (método indireto)
Fluxo operacional contínuo
-11.80%-24.17M
6.15%-20.18M
-11.22%-22.02M
-13.59%-18.31M
-20.42%-21.61M
-14.58%-21.50M
1.92%-19.80M
-212.89%-16.12M
37.70%-17.95M
43.73%-18.77M
50.69%-20.18M
135.46%14.28M
9.78%-28.81M
-46.18%-33.35M
-85.79%-40.94M
-102.83%-40.26M
-375.48%-31.93M
---22.82M
---22.04M
---19.85M
---6.72M
Lucro operacional contínuo
-28.24%-32.73M
-28.45%-26.88M
10.52%-21.53M
-139.35%-18.79M
78.20%-25.52M
14.92%-20.93M
-36.54%-24.06M
185.68%47.74M
-341.39%-117.09M
27.85%-24.60M
64.98%-17.62M
-10.59%-55.72M
48.18%-26.53M
16.70%-34.09M
-57.12%-50.32M
-175.06%-50.39M
-240.29%-51.19M
---40.93M
---32.02M
---18.32M
---15.04M
Ganho/perda operacional
-94.43%286.00K
-13.98%277.00K
-12.92%283.00K
-62.70%304.00K
441.92%5.13M
-6.12%322.00K
-1.81%325.00K
-97.78%815.00K
241.88%947.00K
25.64%343.00K
27.31%331.00K
17500.00%36.78M
66.87%277.00K
221.18%273.00K
712.50%260.00K
3383.33%209.00K
--166.00K
--85.00K
--32.00K
--6.00K
----
Itens não monetários
-46.84%320.00K
332.58%514.00K
-129.40%-107.00K
99.98%-11.00K
-99.42%602.00K
-105.88%-221.00K
184.38%364.00K
-22242.07%-64.21M
44972.93%103.22M
1847.67%3.76M
-91.14%128.00K
-90.13%290.00K
-84.79%229.00K
-0.52%193.00K
-73.75%1.44M
-2.07%2.94M
-49.85%1.51M
--194.00K
--5.50M
--3.00M
--3.00M
Capital de giro (var.)
177.76%4.34M
163.54%2.53M
-776.89%-4.22M
49.72%-2.30M
20.96%-5.58M
-708.92%-3.99M
113.26%623.00K
-115.87%-4.57M
2.66%-7.07M
87.25%-493.00K
-300.30%-4.70M
1322.66%28.82M
-158.09%-7.26M
-129.12%-3.87M
171.73%2.34M
130.94%2.03M
213.81%12.50M
--13.28M
--863.00K
---6.55M
--3.98M
-Antecipadas (var.)
231.04%971.00K
-41.36%482.00K
-51.80%-1.05M
-59.11%819.00K
-121.18%-741.00K
-9.57%822.00K
-73.25%-693.00K
1754.63%2.00M
84.16%3.50M
575.92%909.00K
-247.60%-400.00K
105.90%108.00K
8.45%1.90M
-121.18%-191.00K
106.48%271.00K
69.39%-1.83M
394.45%1.75M
--902.00K
---4.18M
---5.98M
---595.00K
-Outros passivos (CP) (var.)
100.00%0.00
-78.60%-1.99M
32.51%-2.30M
43.90%-2.02M
62.33%-1.79M
53.57%-1.11M
27.52%-3.41M
-110.74%-3.60M
---4.75M
---2.40M
---4.71M
--33.56M
--0.00
--0.00
100.00%0.00
100.00%0.00
-100.00%0.00
--0.00
---8.00K
---60.00K
--46.00K
Investimentos não recorrentes
Fluxo de caixa operacional
-11.80%-24.17M
6.15%-20.18M
-11.22%-22.02M
-13.59%-18.31M
-20.42%-21.61M
-14.58%-21.50M
1.92%-19.80M
-212.89%-16.12M
37.70%-17.95M
43.73%-18.77M
50.69%-20.18M
135.46%14.28M
9.78%-28.81M
-46.18%-33.35M
-85.79%-40.94M
-102.83%-40.26M
-375.48%-31.93M
---22.82M
---22.04M
---19.85M
---6.72M
Caixa (Investimentos)
Invest. contínuos (líquido)
208.57%108.00K
-99.00%2.00K
170.00%378.00K
-111.76%-2.00K
--35.00K
518.75%201.00K
-96.41%140.00K
-99.26%17.00K
-100.00%0.00
-100.61%-48.00K
-53.72%3.90M
-72.08%2.31M
-42.32%2.02M
162.27%7.86M
1478.09%8.43M
16115.69%8.27M
11196.77%3.50M
--3.00M
--534.00K
--51.00K
--31.00K
Despesas de capital (CapEx)
208.57%108.00K
-99.00%2.00K
170.00%378.00K
----
--35.00K
--201.00K
-96.41%140.00K
-99.26%17.00K
-100.00%0.00
----
-53.72%3.90M
-72.08%2.31M
-42.32%2.02M
162.27%7.86M
1478.09%8.43M
16115.69%8.27M
11196.77%3.50M
--3.00M
--534.00K
--51.00K
--31.00K
Venda de ativos fixos
208.57%108.00K
-99.00%2.00K
170.00%378.00K
-111.76%-2.00K
--35.00K
518.75%201.00K
-96.41%140.00K
-99.26%17.00K
-100.00%0.00
-100.61%-48.00K
-53.72%3.90M
-72.08%2.31M
-42.32%2.02M
162.27%7.86M
1478.09%8.43M
16115.69%8.27M
11196.77%3.50M
--3.00M
--534.00K
--51.00K
--31.00K
Outros investimentos
--60.00K
--64.00K
--7.00K
57.14%11.00K
----
----
----
111.48%7.00K
-249.00%-3.49M
----
100.00%0.00
75.60%-61.00K
-100.00%-1.00M
95.45%-250.00K
---3.00M
95.83%-250.00K
---500.00K
---5.50M
----
---6.00M
--0.00
Investimentos (LP)
Caixa (Invest. líquido)
-37.14%-48.00K
130.85%62.00K
-165.00%-371.00K
230.00%13.00K
99.00%-35.00K
-518.75%-201.00K
96.41%-140.00K
99.58%-10.00K
-15.56%-3.49M
100.59%48.00K
65.87%-3.90M
72.18%-2.37M
24.54%-3.02M
4.53%-8.11M
-2039.89%-11.43M
-40.80%-8.52M
-12809.68%-4.00M
---8.50M
---534.00K
---6.05M
---31.00K
Caixa (Financiamento)
Financiamento contínuo
33.39%8.80M
206.93%216.29M
-136.36%-52.00K
91.60%-357.00K
-95.31%6.59M
18591.78%70.47M
94.05%-22.00K
-110.20%-4.25M
136637.86%140.63M
-96.60%377.00K
-245.79%-370.00K
357.63%41.67M
-100.34%-103.00K
--11.07M
---107.00K
714.37%9.11M
-89.07%29.98M
--0.00
--0.00
---1.48M
--274.18M
Dívidas (líquido)
--9.24M
----
----
----
----
----
----
---3.45M
----
----
----
-100.00%0.00
----
----
----
--9.98M
107164.29%29.98M
--0.00
--0.00
--0.00
---28.00K
Ações ON (líquido)
-105.50%-370.00K
206.71%216.17M
188.46%75.00K
14.89%-360.00K
-95.22%6.72M
13996.20%70.48M
-48.00%26.00K
-101.41%-423.00K
207057.35%140.73M
-95.72%500.00K
-81.95%50.00K
--29.96M
---68.00K
--11.68M
--277.00K
100.00%0.00
----
----
----
---1.48M
--167.16M
Ações PN (líquido)
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
-100.00%0.00
--0.00
--0.00
--0.00
--106.78M
Opções exercidas (funcionários)
--197.00K
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
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Outros financiamentos
-113.39%-271.00K
1007.69%118.00K
-164.58%-127.00K
100.80%3.00K
-30.93%-127.00K
89.43%-13.00K
88.57%-48.00K
-103.20%-375.00K
-177.14%-97.00K
79.80%-123.00K
-9.38%-420.00K
1439.02%11.70M
---35.00K
---609.00K
---384.00K
---874.00K
----
----
----
----
--263.00K
Financiamento não recorrente
Financiamento (líquido)
33.39%8.80M
206.93%216.29M
-136.36%-52.00K
91.60%-357.00K
-95.31%6.59M
18591.78%70.47M
94.05%-22.00K
-110.20%-4.25M
136637.86%140.63M
-96.60%377.00K
-245.79%-370.00K
357.63%41.67M
-100.34%-103.00K
--11.07M
---107.00K
714.37%9.11M
-89.07%29.98M
--0.00
--0.00
---1.48M
--274.18M
Caixa líquido
Caixa inicial
79.85%315.36M
-5.84%119.19M
-3.35%141.64M
-3.97%160.29M
267.44%175.34M
91.61%126.58M
61.89%146.54M
351.82%166.91M
-30.72%47.72M
-33.45%66.06M
-40.35%90.52M
-80.70%36.94M
-65.10%68.88M
-56.59%99.27M
-39.61%151.74M
-31.30%191.41M
1662.23%197.37M
--228.68M
--251.25M
--278.63M
--11.20M
Variação do caixa
-2.40%-15.42M
302.29%196.17M
-12.44%-22.44M
8.46%-18.65M
-112.63%-15.05M
365.85%48.76M
18.38%-19.96M
-138.03%-20.38M
473.27%119.19M
39.65%-18.34M
53.40%-24.45M
235.04%53.57M
-436.06%-31.93M
2.95%-30.39M
-132.50%-52.47M
-44.89%-39.67M
-102.23%-5.96M
---31.31M
---22.57M
---27.38M
--267.43M
Caixa final
87.13%299.94M
79.85%315.36M
-5.84%119.19M
-3.35%141.64M
-3.97%160.29M
267.44%175.34M
91.61%126.58M
61.89%146.54M
351.82%166.91M
-30.72%47.72M
-33.45%66.06M
-40.35%90.52M
-80.70%36.94M
-65.10%68.88M
-56.59%99.27M
-39.61%151.74M
-31.30%191.41M
--197.37M
--228.68M
--251.25M
--278.63M
Fluxo de caixa livre
-12.12%-24.27M
7.01%-20.18M
-12.34%-22.40M
-13.47%-18.31M
-20.62%-21.65M
-15.66%-21.70M
17.22%-19.94M
-234.81%-16.13M
41.78%-17.95M
54.47%-18.77M
51.21%-24.09M
124.66%11.97M
13.00%-30.83M
-59.67%-41.22M
-118.73%-49.37M
-143.87%-48.53M
-425.20%-35.44M
---25.81M
---22.57M
---19.90M
---6.75M
Moeda
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Opinião da Auditoria
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Perguntas frequentes
O que é o fluxo de caixa?
Este relatório registra as entradas e saídas de dinheiro da empresa, cobrindo atividades operacionais, de investimento e de financiamento. Ele destaca como a empresa administra o dinheiro para dar suporte ao crescimento e cumprir suas obrigações.