Precigen, Inc. (PGEN)
NASDAQ: PGEN · Real-Time Price · USD
1.885
-0.025 (-1.31%)
Aug 14, 2025, 11:48 AM - Market open

Precigen 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
13.7629.527.584.8636.4251.79
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Short-Term Investments
45.9968.3955.2851.0972.2448.33
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Cash & Short-Term Investments
59.7597.9162.8655.95108.66100.12
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Cash Growth
205.86%55.77%12.34%-48.51%8.54%33.40%
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Accounts Receivable
0.330.930.90.981.4116.51
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Other Receivables
0.240.240.6712.830.570.23
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Receivables
0.571.161.5813.81.9820.43
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Inventory
----0.3311.36
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Prepaid Expenses
2.433.344.335.075.477.19
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Restricted Cash
---43.34--
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Other Current Assets
----40.199.85
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Total Current Assets
62.76102.4168.76118.16156.63148.95
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Property, Plant & Equipment
19.518.8914.2115.4218.5944.28
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Long-Term Investments
----48.56-
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Goodwill
15.2319.1426.6136.9237.5554.36
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Other Intangible Assets
3.824.4640.744.4652.2965.4
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Other Long-Term Assets
0.590.370.771.0346.231.6
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Total Assets
101.9145.27151.04215.98359.86314.59
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Accounts Payable
3.923.531.734.073.114.6
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Accrued Expenses
14.7213.2314.4711.3714.8116.79
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Current Portion of Long-Term Debt
---43.220.050.36
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Current Portion of Leases
0.930.961.21.211.392.66
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Current Unearned Revenue
0.410.590.510.031.492.8
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Other Current Liabilities
3.213.215.0818.7513.7914.93
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Total Current Liabilities
23.1921.5222.9978.6534.6542.13
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Long-Term Debt
----179.88171.52
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Long-Term Leases
4.224.555.96.998.757.74
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Long-Term Unearned Revenue
1.821.931.821.8223.0223.02
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Long-Term Deferred Tax Liabilities
--1.852.262.542.9
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Other Long-Term Liabilities
78.5650.54--3.670.1
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Total Liabilities
107.7978.5432.5589.72252.51247.41
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Additional Paid-In Capital
2,1352,1292,0851,9982,0231,887
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Retained Earnings
-2,172-2,091-1,964-1,869-1,916-1,823
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Comprehensive Income & Other
0.010.01-1.95-3.490.24
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Total Common Equity
-36.7838.51118.5126.26107.3567.17
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Shareholders' Equity
-5.966.73118.5126.26107.3567.17
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Total Liabilities & Equity
101.9145.27151.04215.98359.86314.59
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Total Debt
5.155.57.151.42190.07182.28
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Net Cash (Debt)
54.692.4155.764.53-81.41-82.17
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Net Cash Growth
313.79%65.73%1130.86%---
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Net Cash Per Share
0.190.350.230.02-0.41-0.49
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Filing Date Shares Outstanding
297.97294.04248.92252.19206.93205.66
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Total Common Shares Outstanding
297.85292.87248.92208.15206.74187.66
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Working Capital
39.5680.945.7739.51121.98106.82
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Book Value Per Share
-0.120.130.480.610.520.36
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Tangible Book Value
-55.8314.9251.1944.8817.5-52.59
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Tangible Book Value Per Share
-0.190.050.210.220.08-0.28
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Land
0.160.160.160.160.169.84
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Buildings
2.632.632.632.592.5912.09
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Machinery
19.4120.3222.5723.0322.0738.06
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Construction In Progress
10.449.021.580.531.832.75
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Leasehold Improvements
4.54.484.384.333.376.26
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Updated Mar 19, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.
SEC Filings: 10-K · 10-Q