US Stock MarketDetailed Quotes

OABI OmniAb

Watchlist
  • 1.535
  • +0.015+0.99%
Trading May 15 13:23 ET
187.78MMarket Cap-2.60P/E (TTM)

OmniAb Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
6.81%-15.87M
-1,789.99%-39.66M
57.55%-3.87M
-6.13%-6.58M
-21.55%-12.18M
-161.51%-17.03M
165.43%2.35M
-27.69%-9.12M
-46.46%-6.2M
-160.18%-10.02M
Net income from continuing operations
4.01%-18.2M
-22.55%-62.03M
7.01%-13.07M
-4.03%-16.37M
7.45%-13.63M
-210.84%-18.96M
-126.65%-50.62M
-306.06%-14.05M
-24.94%-15.74M
-43.32%-14.73M
Depreciation and amortization
-4.16%4.74M
20.96%23.58M
54.15%7.61M
1.71%4.93M
25.53%6.1M
1.85%4.95M
6.84%19.5M
2.37%4.93M
7.60%4.84M
8.26%4.86M
Deferred tax
95.95%-106K
27.91%-9.04M
64.18%-1.82M
18.31%-2.71M
40.89%-1.9M
-178.11%-2.62M
-95.36%-12.54M
-1,304.99%-5.07M
-40.29%-3.32M
-30.63%-3.21M
Other non cash items
-3,107.41%-812K
-731.12%-2M
-108.93%-117K
119.26%94K
-432.28%-2.01M
108.97%27K
40.05%-241K
-125.69%-56K
-28.42%-488K
26.10%604K
Change In working capital
1.84%-5.4M
-140.90%-10.17M
-15,222.22%-1.38M
-18.36%2.46M
-80.57%-5.75M
-121.97%-5.5M
329.59%24.87M
99.96%-9K
127.53%3.02M
-4,927.27%-3.19M
-Change in receivables
-456.06%-470K
-102.32%-625K
-195.02%-1.89M
102.57%3.86M
53.12%-2.73M
-99.54%132K
311.18%26.9M
106.55%1.99M
437.85%1.9M
-1,533.43%-5.82M
-Change in prepaid assets
-117.85%-73K
-72.34%642K
3,244.44%301K
-674.19%-534K
-67.41%466K
-48.16%409K
149.24%2.32M
100.23%9K
120.58%93K
2,650.00%1.43M
-Change in payables and accrued expense
13.32%-2.97M
-361.96%-2.41M
247.53%776K
-80.68%402K
-114.80%-164K
-96.44%-3.42M
-93.89%920K
-103.59%-526K
-4.50%2.08M
2,257.45%1.11M
-Change in other current assets
-0.39%258K
0.47%645K
-89.56%81K
-48.81%86K
153.68%219K
144.34%259K
181.47%642K
130.52%776K
--168K
-124.55%-408K
-Change in other current liabilities
-9.25%-685K
-332.68%-2.44M
24.28%-714K
-44.57%-493K
-191.35%-602K
-1,111.29%-627K
-130.82%-563K
-1,995.56%-943K
67.34%-341K
-56.44%659K
-Change in other working capital
34.99%-1.46M
-11.99%-5.99M
104.95%65K
3.72%-855K
-1,741.25%-2.95M
24.61%-2.25M
43.65%-5.35M
57.75%-1.31M
-407.27%-888K
94.39%-160K
Cash from discontinued investing activities
Operating cash flow
6.81%-15.87M
-1,789.99%-39.66M
57.55%-3.87M
-6.13%-6.58M
-21.55%-12.18M
-161.51%-17.03M
165.43%2.35M
-27.69%-9.12M
-46.46%-6.2M
-160.18%-10.02M
Investing cash flow
Cash flow from continuing investing activities
-104.40%-878K
306.16%37.88M
-91.86%385K
-29.22%4.45M
68.55%13.11M
153.63%19.94M
74.93%-18.38M
107.86%4.73M
228.94%6.29M
281.35%7.78M
Net PPE purchase and sale
77.43%-209K
-14.05%-1.88M
57.01%-46K
68.98%-152K
7.63%-751K
-295.73%-926K
90.42%-1.64M
97.87%-107K
87.48%-490K
81.05%-813K
Net investment purchase and sale
-103.15%-669K
426.71%40.16M
-92.35%431K
-39.59%4.6M
48.87%13.86M
161.00%21.26M
77.53%-12.29M
110.30%5.64M
--7.62M
--9.31M
Net other investing changes
----
90.99%-400K
--0
--0
--0
80.77%-400K
-208.33%-4.44M
-66.67%-800K
---840K
---720K
Cash from discontinued investing activities
Investing cash flow
-104.40%-878K
306.16%37.88M
-91.86%385K
-29.22%4.45M
68.55%13.11M
153.63%19.94M
74.93%-18.38M
107.86%4.73M
228.94%6.29M
281.35%7.78M
Financing cash flow
Cash flow from continuing financing activities
121.67%44K
1,559.64%13.02M
876.01%3.85M
4,912.28%8.57M
67.99%803K
80.57%-203K
-100.81%-892K
-100.49%-496K
-98.12%171K
-94.13%478K
Net common stock issuance
----
--11.37M
--2.89M
----
----
----
--0
--0
----
----
Proceeds from stock option exercised by employees
-95.61%44K
170.29%3.26M
367.91%1.01M
-43.92%106K
85.69%1.14M
439.25%1M
93.11%1.21M
-65.54%215K
--189K
--615K
Net other financing activities
----
23.41%-1.61M
93.53%-46K
16.67%-15K
-147.45%-339K
2.03%-1.21M
-115.12%-2.1M
-116.47%-711K
-100.20%-18K
-101.68%-137K
Cash from discontinued financing activities
Financing cash flow
121.67%44K
1,559.64%13.02M
876.01%3.85M
4,912.28%8.57M
67.99%803K
80.57%-203K
-100.81%-892K
-100.49%-496K
-98.12%171K
-94.13%478K
Net cash flow
Beginning cash position
66.44%28.16M
-50.00%16.92M
27.48%27.8M
-0.89%21.35M
-15.83%19.62M
-50.00%16.92M
--33.84M
--21.81M
--21.55M
--23.31M
Current changes in cash
-718.28%-16.71M
166.43%11.24M
107.41%362K
2,387.26%6.44M
198.30%1.73M
125.66%2.7M
-150.00%-16.92M
---4.89M
--259K
---1.76M
End cash Position
-41.63%11.45M
66.44%28.16M
66.44%28.16M
27.48%27.8M
-0.89%21.35M
-15.83%19.62M
-50.00%16.92M
-50.00%16.92M
--21.81M
--21.55M
Free cash flow
10.45%-16.08M
-6,008.82%-41.54M
57.54%-3.92M
-0.63%-6.73M
-19.36%-12.93M
-165.41%-17.96M
103.39%703K
24.11%-9.23M
17.91%-6.69M
-33.08%-10.84M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 6.81%-15.87M-1,789.99%-39.66M57.55%-3.87M-6.13%-6.58M-21.55%-12.18M-161.51%-17.03M165.43%2.35M-27.69%-9.12M-46.46%-6.2M-160.18%-10.02M
Net income from continuing operations 4.01%-18.2M-22.55%-62.03M7.01%-13.07M-4.03%-16.37M7.45%-13.63M-210.84%-18.96M-126.65%-50.62M-306.06%-14.05M-24.94%-15.74M-43.32%-14.73M
Depreciation and amortization -4.16%4.74M20.96%23.58M54.15%7.61M1.71%4.93M25.53%6.1M1.85%4.95M6.84%19.5M2.37%4.93M7.60%4.84M8.26%4.86M
Deferred tax 95.95%-106K27.91%-9.04M64.18%-1.82M18.31%-2.71M40.89%-1.9M-178.11%-2.62M-95.36%-12.54M-1,304.99%-5.07M-40.29%-3.32M-30.63%-3.21M
Other non cash items -3,107.41%-812K-731.12%-2M-108.93%-117K119.26%94K-432.28%-2.01M108.97%27K40.05%-241K-125.69%-56K-28.42%-488K26.10%604K
Change In working capital 1.84%-5.4M-140.90%-10.17M-15,222.22%-1.38M-18.36%2.46M-80.57%-5.75M-121.97%-5.5M329.59%24.87M99.96%-9K127.53%3.02M-4,927.27%-3.19M
-Change in receivables -456.06%-470K-102.32%-625K-195.02%-1.89M102.57%3.86M53.12%-2.73M-99.54%132K311.18%26.9M106.55%1.99M437.85%1.9M-1,533.43%-5.82M
-Change in prepaid assets -117.85%-73K-72.34%642K3,244.44%301K-674.19%-534K-67.41%466K-48.16%409K149.24%2.32M100.23%9K120.58%93K2,650.00%1.43M
-Change in payables and accrued expense 13.32%-2.97M-361.96%-2.41M247.53%776K-80.68%402K-114.80%-164K-96.44%-3.42M-93.89%920K-103.59%-526K-4.50%2.08M2,257.45%1.11M
-Change in other current assets -0.39%258K0.47%645K-89.56%81K-48.81%86K153.68%219K144.34%259K181.47%642K130.52%776K--168K-124.55%-408K
-Change in other current liabilities -9.25%-685K-332.68%-2.44M24.28%-714K-44.57%-493K-191.35%-602K-1,111.29%-627K-130.82%-563K-1,995.56%-943K67.34%-341K-56.44%659K
-Change in other working capital 34.99%-1.46M-11.99%-5.99M104.95%65K3.72%-855K-1,741.25%-2.95M24.61%-2.25M43.65%-5.35M57.75%-1.31M-407.27%-888K94.39%-160K
Cash from discontinued investing activities
Operating cash flow 6.81%-15.87M-1,789.99%-39.66M57.55%-3.87M-6.13%-6.58M-21.55%-12.18M-161.51%-17.03M165.43%2.35M-27.69%-9.12M-46.46%-6.2M-160.18%-10.02M
Investing cash flow
Cash flow from continuing investing activities -104.40%-878K306.16%37.88M-91.86%385K-29.22%4.45M68.55%13.11M153.63%19.94M74.93%-18.38M107.86%4.73M228.94%6.29M281.35%7.78M
Net PPE purchase and sale 77.43%-209K-14.05%-1.88M57.01%-46K68.98%-152K7.63%-751K-295.73%-926K90.42%-1.64M97.87%-107K87.48%-490K81.05%-813K
Net investment purchase and sale -103.15%-669K426.71%40.16M-92.35%431K-39.59%4.6M48.87%13.86M161.00%21.26M77.53%-12.29M110.30%5.64M--7.62M--9.31M
Net other investing changes ----90.99%-400K--0--0--080.77%-400K-208.33%-4.44M-66.67%-800K---840K---720K
Cash from discontinued investing activities
Investing cash flow -104.40%-878K306.16%37.88M-91.86%385K-29.22%4.45M68.55%13.11M153.63%19.94M74.93%-18.38M107.86%4.73M228.94%6.29M281.35%7.78M
Financing cash flow
Cash flow from continuing financing activities 121.67%44K1,559.64%13.02M876.01%3.85M4,912.28%8.57M67.99%803K80.57%-203K-100.81%-892K-100.49%-496K-98.12%171K-94.13%478K
Net common stock issuance ------11.37M--2.89M--------------0--0--------
Proceeds from stock option exercised by employees -95.61%44K170.29%3.26M367.91%1.01M-43.92%106K85.69%1.14M439.25%1M93.11%1.21M-65.54%215K--189K--615K
Net other financing activities ----23.41%-1.61M93.53%-46K16.67%-15K-147.45%-339K2.03%-1.21M-115.12%-2.1M-116.47%-711K-100.20%-18K-101.68%-137K
Cash from discontinued financing activities
Financing cash flow 121.67%44K1,559.64%13.02M876.01%3.85M4,912.28%8.57M67.99%803K80.57%-203K-100.81%-892K-100.49%-496K-98.12%171K-94.13%478K
Net cash flow
Beginning cash position 66.44%28.16M-50.00%16.92M27.48%27.8M-0.89%21.35M-15.83%19.62M-50.00%16.92M--33.84M--21.81M--21.55M--23.31M
Current changes in cash -718.28%-16.71M166.43%11.24M107.41%362K2,387.26%6.44M198.30%1.73M125.66%2.7M-150.00%-16.92M---4.89M--259K---1.76M
End cash Position -41.63%11.45M66.44%28.16M66.44%28.16M27.48%27.8M-0.89%21.35M-15.83%19.62M-50.00%16.92M-50.00%16.92M--21.81M--21.55M
Free cash flow 10.45%-16.08M-6,008.82%-41.54M57.54%-3.92M-0.63%-6.73M-19.36%-12.93M-165.41%-17.96M103.39%703K24.11%-9.23M17.91%-6.69M-33.08%-10.84M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

Market Insights

Best Growth Stocks Best Growth Stocks

Spot stocks with huge growth potential and solid financial standing. Spot stocks with huge growth potential and solid financial standing.

Unlock Now

Reassessing Chinese Assets

Following the introduction of China's groundbreaking DeepSeek technology, Wall Street giants have revised their investment outlooks for the Chinese market.

Discussing

FOMC holds rates amid heightened uncertainty: Where will US stocks head next?
🎙️Discussion 1. With the Fed highlighting "elevated uncertainty", are you prioritizing rate projections or near-term economic data for ma Show More