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CTMX Financial Analysis

CytomX Therapeutics Inc
$
0.431
-0.024(-5.270%)

CTMX Financial Analysis

FY2024Q4FY2024Q3FY2024Q2FY2024Q1FY2023Q4FY2023Q3FY2023Q2FY2023Q1FY2022Q4FY2022Q3FY2022Q2FY2022Q1FY2021Q4FY2021Q3FY2021Q2FY2021Q1FY2020Q4FY2020Q3FY2020Q2FY2020Q1
Total Revenue
38.09M
43.17%
33.43M
26.71%
25.12M
1.58%
41.46M
76.45%
26.61M
2712.58%
26.38M
136.69%
24.72M
92.36%
23.50M
159.94%
946.00K
-107.55%
11.15M
-36.62%
12.85M
-21.09%
9.04M
-43.40%
-12.53M
-176.55%
17.59M
-1.13%
16.29M
-1.93%
15.97M
-67.80%
16.37M
97.77%
17.79M
66.06%
16.61M
84.27%
49.59M
Revenue from Goods & Services
38.09M
43.17%
33.43M
26.71%
25.12M
1.58%
41.46M
76.45%
26.61M
2712.58%
26.38M
136.69%
24.72M
92.36%
23.50M
159.94%
946.00K
-107.55%
11.15M
-36.62%
12.85M
-21.09%
9.04M
-43.40%
-12.53M
-176.55%
17.59M
-1.13%
16.29M
-1.93%
15.97M
-67.80%
16.37M
97.77%
17.79M
66.06%
16.61M
84.27%
49.59M
Gross Profit
38.09M
43.17%
33.43M
26.71%
25.12M
1.58%
41.46M
76.45%
26.61M
2712.58%
26.38M
136.69%
24.72M
92.36%
23.50M
159.94%
946.00K
-107.55%
11.15M
-36.62%
12.85M
-21.09%
9.04M
-43.40%
-12.53M
-176.55%
17.59M
-1.13%
16.29M
-1.93%
15.97M
-67.80%
16.37M
97.77%
17.79M
66.06%
16.61M
84.27%
49.59M
Selling General & Administrative Expenses
20.41M
-24.98%
29.32M
26.05%
33.57M
19.57%
29.81M
2.24%
27.21M
-8.16%
23.26M
-43.07%
28.07M
-34.57%
29.15M
-29.07%
29.63M
-35.63%
40.86M
1.56%
42.91M
20.89%
41.10M
30.08%
46.04M
47.78%
40.23M
23.09%
35.49M
8.39%
31.60M
-39.68%
31.15M
-31.77%
32.68M
-10.29%
32.75M
-18.64%
52.39M
Research & Development Expense
14.79M
-23.71%
21.37M
29.91%
25.17M
21.77%
22.05M
4.14%
19.39M
-0.91%
16.45M
-45.84%
20.67M
-33.66%
21.18M
-30.71%
19.56M
-46.52%
30.37M
4.20%
31.16M
19.38%
30.56M
36.60%
36.58M
66.22%
29.14M
21.18%
26.10M
8.45%
22.37M
-47.75%
22.01M
-39.61%
24.05M
-14.01%
24.07M
-21.95%
42.81M
Other Operating Expense - Net
0.00
0.00
-100.00%
0.00
-100.00%
0.00
-100.00%
0.00
30.00K
53.00K
-83.00K
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Operating Profit
17.68M
-3017.33%
4.11M
32.91%
-8.45M
148.52%
11.66M
-309.28%
-606.00K
-97.89%
3.09M
-110.41%
-3.40M
-88.68%
-5.57M
-82.63%
-28.69M
-51.02%
-29.71M
31.22%
-30.05M
56.49%
-32.06M
105.17%
-58.57M
296.30%
-22.64M
52.00%
-19.21M
19.00%
-15.63M
459.51%
-14.78M
-60.46%
-14.90M
-42.08%
-16.14M
-48.33%
-2.79M
Financing Income- Net
1.28M
-48.94%
1.69M
-37.27%
1.97M
-14.60%
2.19M
-5.72%
2.50M
241.94%
2.70M
338.15%
2.31M
780.92%
2.33M
3322.06%
732.00K
902.74%
616.00K
780.00%
262.00K
495.45%
68.00K
0.00%
73.00K
-31.13%
70.00K
-65.00%
44.00K
-90.31%
68.00K
-93.67%
106.00K
-92.98%
200.00K
-89.98%
454.00K
-80.77%
1.08M
Interest Expense
-1.28M
-48.94%
-1.69M
-37.27%
-1.97M
-14.60%
-2.19M
-5.72%
-2.50M
241.94%
-2.70M
338.15%
-2.31M
780.92%
-2.33M
3322.06%
-732.00K
902.74%
-616.00K
780.00%
-262.00K
495.45%
-68.00K
-0.00%
-73.00K
-31.13%
-70.00K
-65.00%
-44.00K
-90.31%
-68.00K
-93.67%
-106.00K
-92.98%
-200.00K
-89.98%
-454.00K
-80.77%
-1.08M
Other Non-Operating Income
-19.00K
-311.11%
-7.00K
-0.00%
-2.00K
-95.74%
-11.00K
-173.33%
9.00K
800.00%
-7.00K
-123.33%
-47.00K
-115.88%
15.00K
15.38%
1,000
-85.71%
30.00K
-330.77%
296.00K
-460.98%
13.00K
160.00%
7.00K
-125.00%
-13.00K
-13.33%
-82.00K
-1740.00%
5.00K
-58.33%
-28.00K
211.11%
-15.00K
-168.18%
5.00K
-105.68%
12.00K
Income before Taxes
18.94M
893.60%
5.80M
-0.31%
-6.48M
496.41%
13.84M
-518.00%
1.91M
-106.82%
5.82M
-120.01%
-1.09M
-96.31%
-3.31M
-89.65%
-27.95M
-52.21%
-29.06M
28.69%
-29.50M
53.28%
-31.98M
105.61%
-58.49M
297.86%
-22.58M
53.53%
-19.24M
22.73%
-15.55M
811.72%
-14.70M
-59.02%
-14.71M
-37.93%
-15.68M
-45.86%
-1.71M
Income Taxes
62.00K
-94.20%
61.00K
-97.84%
51.00K
49.00K
1.07M
2.82M
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
-100.00%
0.00
-100.00%
0.00
0.00
-13.91M
Net Income after Tax
18.88M
2155.20%
5.74M
91.71%
-6.53M
501.10%
13.79M
-516.52%
837.00K
-102.99%
2.99M
-110.29%
-1.09M
-96.31%
-3.31M
-89.65%
-27.95M
-52.21%
-29.06M
28.69%
-29.50M
53.28%
-31.98M
105.61%
-58.49M
297.86%
-22.58M
53.53%
-19.24M
22.73%
-15.55M
-227.44%
-14.70M
-58.54%
-14.71M
-37.93%
-15.68M
-45.86%
12.21M
Income Available to Common Shares
18.88M
2155.20%
5.74M
91.71%
-6.53M
501.10%
13.79M
-516.52%
837.00K
-102.99%
2.99M
-110.29%
-1.09M
-96.31%
-3.31M
-89.65%
-27.95M
-52.21%
-29.06M
28.69%
-29.50M
53.28%
-31.98M
105.61%
-58.49M
297.86%
-22.58M
53.53%
-19.24M
22.73%
-15.55M
-227.44%
-14.70M
-58.54%
-14.71M
-37.93%
-15.68M
-45.86%
12.21M
EPS - Basic
0.22
2100.00%
0.07
75.00%
-0.08
300.00%
0.17
-440.00%
0.01
-102.38%
0.04
-109.09%
-0.02
-95.56%
-0.05
-89.80%
-0.42
-53.33%
-0.44
25.71%
-0.45
50.00%
-0.49
88.46%
-0.90
181.25%
-0.35
9.37%
-0.30
-11.76%
-0.26
-196.30%
-0.32
-58.97%
-0.32
-38.46%
-0.34
-46.88%
0.27
EPS - Diluted
0.22
2100.00%
0.07
75.00%
-0.08
300.00%
0.17
-440.00%
0.01
-102.38%
0.04
-109.09%
-0.02
-95.56%
-0.05
-89.80%
-0.42
-53.33%
-0.44
25.71%
-0.45
50.00%
-0.49
88.46%
-0.90
181.25%
-0.35
9.37%
-0.30
-11.76%
-0.26
-196.30%
-0.32
-58.97%
-0.32
-38.46%
-0.34
-46.88%
0.27
EBIT
17.68M
-3017.33%
4.11M
32.91%
-8.45M
148.52%
11.66M
-309.28%
-606.00K
-97.89%
3.09M
-110.41%
-3.40M
-88.68%
-5.57M
-82.63%
-28.69M
-51.02%
-29.71M
31.22%
-30.05M
56.49%
-32.06M
105.17%
-58.57M
296.30%
-22.64M
52.00%
-19.21M
19.00%
-15.63M
459.51%
-14.78M
-60.46%
-14.90M
-42.08%
-16.14M
-48.33%
-2.79M
EBITDA
18.09M
-15176.67%
4.54M
26.92%
-7.99M
186.38%
12.12M
-343.70%
-120.00K
-99.57%
3.58M
-112.30%
-2.79M
-90.52%
-4.98M
-84.19%
-28.08M
-51.50%
-29.09M
32.45%
-29.44M
58.92%
-31.46M
110.39%
-57.89M
310.10%
-21.96M
54.19%
-18.53M
19.41%
-14.95M
593.55%
-14.12M
-61.61%
-14.24M
-43.12%
-15.52M
-49.24%
-2.16M
Depreciation Depletion & Amortization
413.00K
-15.02%
429.00K
-11.36%
459.00K
-24.75%
467.00K
-21.51%
486.00K
-20.07%
484.00K
-22.31%
610.00K
0.00%
595.00K
-1.16%
608.00K
-9.93%
623.00K
-8.38%
610.00K
-9.90%
602.00K
-10.68%
675.00K
1.96%
680.00K
4.29%
677.00K
8.84%
674.00K
5.81%
662.00K
8.88%
652.00K
-3.69%
622.00K
-6.75%
637.00K

CTMX FAQs

What is CTMX's PE Ratio in 2025/4/4?

CTMX's PE ratio in April 4, 2025 is 1.21. This indicates the price investors are willing to pay for $1 of earnings.

What is CTMX's PS Ratio in 2025/4/4?

What is CTMX's Dividend Yield in 2024/Q3?

What is CTMX's Gross Margin in 2024/Q3?

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