CTMX Financial Analysis
Quarterly
FY2024Q4 | FY2024Q3 | FY2024Q2 | FY2024Q1 | FY2023Q4 | FY2023Q3 | FY2023Q2 | FY2023Q1 | FY2022Q4 | FY2022Q3 | FY2022Q2 | FY2022Q1 | FY2021Q4 | FY2021Q3 | FY2021Q2 | FY2021Q1 | FY2020Q4 | FY2020Q3 | FY2020Q2 | FY2020Q1 | |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
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 |
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Is CTMX earnings result positive or negative?How should I trade on CTMX earnings?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?
CTMX's PS ratio in April 4, 2025 is 0.26. This indicates how much investors are willing to pay for each dollar of the company's sales.
What is CTMX's Dividend Yield in 2024/Q3?
CTMX's Dividend Yield in 2024/Q3 is 0.00%. This represents the return on investment from dividends relative to the stock price.
What is CTMX's Gross Margin in 2024/Q3?
CTMX's Gross Margin in 2024/Q3 is 100.00. Gross Margin is typically calculated as (Revenue - Cost of Goods Sold) / Revenue and is a key indicator of a company's financial health and efficiency in managing production costs.
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