CytomX Therapeutics, Inc. (CTMX)
NASDAQ: CTMX · Real-Time Price · USD
1.775
0.00 (0.00%)
Aug 14, 2025, 11:43 AM - Market open

CytomX Therapeutics Balance Sheet

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2024 FY 2023 FY 2022 FY 2021 FY 2020 2015 - 2019
Period Ending
Jun '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20 2015 - 2019
Cash & Equivalents
49.0438.0517.17193.65205.53191.86
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Short-Term Investments
109.0562.57157.34-99.7124.26
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Cash & Short-Term Investments
158.09100.62174.51193.65305.23316.12
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Cash Growth
15.24%-42.34%-9.88%-36.55%-3.45%6.74%
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Receivables
1.873.13.4335.990.790.8
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Prepaid Expenses
4.673.5857.474.297.1
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Total Current Assets
164.62107.31182.94237.1310.3324.01
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Property, Plant & Equipment
7.8910.616.1821.0225.3229.45
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Goodwill
0.950.950.950.950.950.95
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Other Intangible Assets
0.510.580.730.881.021.17
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Other Long-Term Assets
1.081.0910.941.823.09
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Total Assets
175.06120.53201.79260.89339.41358.66
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Accounts Payable
0.231.091.462.812.823
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Accrued Expenses
11.3412.3417.622.8230.6219.86
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Current Portion of Leases
5.445.154.594.083.623.2
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Current Unearned Revenue
22.0567.2132.27121.2740.8242.06
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Other Current Liabilities
0.16--1.63--
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Total Current Liabilities
39.2285.77155.91152.6177.8768.11
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Long-Term Leases
1.444.249.3913.9818.0621.68
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Long-Term Unearned Revenue
10.2426.8680.05180.06243.94276.65
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Other Long-Term Liabilities
4.244.123.89---
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Total Liabilities
55.15120.99249.24346.64339.87366.44
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Common Stock
000000
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Additional Paid-In Capital
788.08691.1675.91637.12623.34499.96
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Retained Earnings
-668.21-691.58-723.45-722.88-623.56-507.69
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Comprehensive Income & Other
0.030.030.10.01-0.24-0.05
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Total Common Equity
119.91-0.46-47.45-85.75-0.46-7.77
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Shareholders' Equity
119.91-0.46-47.45-85.75-0.46-7.77
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Total Liabilities & Equity
175.06120.53201.79260.89339.41358.66
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Total Debt
6.899.3913.9718.0621.6724.87
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Net Cash (Debt)
151.291.24160.54175.59283.55291.25
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Net Cash Growth
20.54%-43.17%-8.58%-38.07%-2.64%8.49%
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Net Cash Per Share
1.561.082.182.674.426.31
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Filing Date Shares Outstanding
164.9180.167.7266.2365.3964.78
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Total Common Shares Outstanding
164.9180.167.3166.2365.3948.25
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Working Capital
125.421.5327.0284.49232.43255.9
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Book Value Per Share
0.73-0.01-0.70-1.29-0.01-0.16
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Tangible Book Value
118.45-1.99-49.13-87.58-2.43-9.89
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Tangible Book Value Per Share
0.72-0.02-0.73-1.32-0.04-0.20
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Machinery
-16.6916.31717.7516.4
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Construction In Progress
--0.370.710.310.25
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Leasehold Improvements
-2.011.981.741.741.73
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Updated May 12, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.
SEC Filings: 10-K · 10-Q