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VXRT Vaxart

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  • 0.4497
  • +0.0211+4.92%
Close May 2 16:00 ET
  • 0.4500
  • +0.0003+0.07%
Post 20:01 ET
102.63MMarket Cap-1.36P/E (TTM)

Vaxart Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
36.46%-44.76M
45.68%-7.35M
72.00%-4.2M
31.16%-12.03M
13.36%-21.19M
25.67%-70.45M
53.62%-13.52M
-2.64%-15M
32.54%-17.47M
2.60%-24.46M
Net income from continuing operations
18.82%-66.95M
31.02%-11.99M
19.08%-14.08M
26.98%-16.47M
2.88%-24.42M
23.47%-82.47M
27.36%-17.38M
40.63%-17.4M
23.38%-22.55M
-0.16%-25.14M
Operating gains losses
----
----
----
----
----
--55K
--0
----
----
----
Depreciation and amortization
2.62%8.85M
-4.08%2.24M
7.70%2.22M
2.17%2.21M
5.58%2.18M
48.56%8.62M
23.33%2.33M
32.12%2.07M
77.40%2.17M
82.32%2.06M
Other non cash items
-194.08%-668K
95.79%883K
237.85%598K
171.05%54K
-1,494.30%-2.2M
112.23%710K
106.79%451K
-45.54%177K
-131.40%-76K
-41.26%158K
Change In working capital
130.06%3.26M
78.11%-546K
241.32%4.88M
66.13%-292K
80.78%-777K
-130.95%-10.85M
68.74%-2.49M
-137.32%-3.45M
37.85%-862K
11.69%-4.04M
-Change in receivables
-199.90%-8.96M
-220.94%-8.29M
378.73%1.1M
-1,896.17%-4.22M
1,104.92%2.45M
-5,958.82%-2.99M
-12,820.00%-2.58M
---395K
190.12%235K
-2,340.00%-244K
-Change in prepaid assets
-1,834.96%-61.78M
-161.92%-496K
-19,272.84%-60.01M
114.86%2.97M
-497.38%-4.24M
194.13%3.56M
215.35%801K
-94.96%313K
124.02%1.38M
123.72%1.07M
-Change in payables and accrued expense
191.32%8.61M
1,411.71%8.29M
47.68%-1.66M
183.90%964K
122.62%1.01M
-217.70%-9.42M
93.81%-632K
-204.38%-3.17M
-126.86%-1.15M
-6,284.29%-4.47M
-Change in other working capital
3,370.00%65.4M
40.51%-47K
----
----
----
-200.00%-2M
---79K
---196K
---1.33M
---397K
Cash from discontinued investing activities
Operating cash flow
36.46%-44.76M
45.68%-7.35M
72.00%-4.2M
31.16%-12.03M
13.36%-21.19M
25.67%-70.45M
53.62%-13.52M
-2.64%-15M
32.54%-17.47M
2.60%-24.46M
Investing cash flow
Cash flow from continuing investing activities
-148.52%-21.32M
-31.12%10.4M
-442.84%-17.04M
-510.49%-9.66M
-119.73%-5.02M
315.29%43.95M
-4.41%15.1M
115.99%4.97M
82.16%-1.58M
582.23%25.46M
Net PPE purchase and sale
68.36%-554K
-142.31%-44K
94.44%-9K
18.50%-370K
89.43%-131K
81.76%-1.75M
-90.85%104K
97.71%-162K
80.48%-454K
7.95%-1.24M
Net investment purchase and sale
-145.45%-20.77M
-30.35%10.45M
-431.84%-17.03M
-723.21%-9.29M
-118.33%-4.89M
522.63%45.7M
2.29%15M
121.38%5.13M
82.76%-1.13M
425.80%26.7M
Cash from discontinued investing activities
Investing cash flow
-148.52%-21.32M
-31.12%10.4M
-442.84%-17.04M
-510.49%-9.66M
-119.73%-5.02M
315.29%43.95M
-4.41%15.1M
115.99%4.97M
82.16%-1.58M
582.23%25.46M
Financing cash flow
Cash flow from continuing financing activities
271.07%56.56M
306.06%136K
-25.00%-10K
175.17%38.24M
1,181.34%18.2M
-12.71%15.24M
-100.77%-66K
-100.16%-8K
389.68%13.9M
36.54%1.42M
Net common stock issuance
274.53%56.29M
--0
---10K
178.85%37.93M
1,184.62%18.37M
-12.80%15.03M
-100.03%-3K
--0
384.96%13.6M
44.15%1.43M
Proceeds from stock option exercised by employees
-16.41%484K
-46.21%142K
--9K
3.49%326K
--7K
157.33%579K
2,833.33%264K
--0
854.55%315K
--0
Net other financing activities
41.53%-214K
98.17%-6K
-12.50%-9K
19.05%-17K
-1,720.00%-182K
---366K
---327K
---8K
---21K
---10K
Cash from discontinued financing activities
Financing cash flow
271.07%56.56M
306.06%136K
-25.00%-10K
175.17%38.24M
1,181.34%18.2M
-12.71%15.24M
-100.77%-66K
-100.16%-8K
389.68%13.9M
36.54%1.42M
Net cash flow
Beginning cash position
-24.47%34.76M
-33.71%22.04M
0.02%43.29M
-44.80%26.74M
-24.47%34.76M
-67.99%46.01M
-34.53%33.24M
-52.69%43.28M
-60.75%48.43M
-67.99%46.01M
Current changes in cash
15.38%-9.53M
110.55%3.19M
-111.67%-21.25M
420.92%16.55M
-431.27%-8.02M
88.48%-11.26M
131.90%1.52M
75.33%-10.04M
83.85%-5.16M
111.90%2.42M
End cash Position
-27.41%25.23M
-27.41%25.23M
-33.71%22.04M
0.02%43.29M
-44.80%26.74M
-24.47%34.76M
-24.47%34.76M
-34.53%33.24M
-52.69%43.28M
-60.75%48.43M
Free cash flow
37.34%-45.32M
44.93%-7.39M
72.45%-4.21M
30.84%-12.4M
17.03%-21.32M
30.71%-72.32M
52.11%-13.42M
29.51%-15.28M
36.49%-17.93M
2.87%-25.7M
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
(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(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 36.46%-44.76M45.68%-7.35M72.00%-4.2M31.16%-12.03M13.36%-21.19M25.67%-70.45M53.62%-13.52M-2.64%-15M32.54%-17.47M2.60%-24.46M
Net income from continuing operations 18.82%-66.95M31.02%-11.99M19.08%-14.08M26.98%-16.47M2.88%-24.42M23.47%-82.47M27.36%-17.38M40.63%-17.4M23.38%-22.55M-0.16%-25.14M
Operating gains losses ----------------------55K--0------------
Depreciation and amortization 2.62%8.85M-4.08%2.24M7.70%2.22M2.17%2.21M5.58%2.18M48.56%8.62M23.33%2.33M32.12%2.07M77.40%2.17M82.32%2.06M
Other non cash items -194.08%-668K95.79%883K237.85%598K171.05%54K-1,494.30%-2.2M112.23%710K106.79%451K-45.54%177K-131.40%-76K-41.26%158K
Change In working capital 130.06%3.26M78.11%-546K241.32%4.88M66.13%-292K80.78%-777K-130.95%-10.85M68.74%-2.49M-137.32%-3.45M37.85%-862K11.69%-4.04M
-Change in receivables -199.90%-8.96M-220.94%-8.29M378.73%1.1M-1,896.17%-4.22M1,104.92%2.45M-5,958.82%-2.99M-12,820.00%-2.58M---395K190.12%235K-2,340.00%-244K
-Change in prepaid assets -1,834.96%-61.78M-161.92%-496K-19,272.84%-60.01M114.86%2.97M-497.38%-4.24M194.13%3.56M215.35%801K-94.96%313K124.02%1.38M123.72%1.07M
-Change in payables and accrued expense 191.32%8.61M1,411.71%8.29M47.68%-1.66M183.90%964K122.62%1.01M-217.70%-9.42M93.81%-632K-204.38%-3.17M-126.86%-1.15M-6,284.29%-4.47M
-Change in other working capital 3,370.00%65.4M40.51%-47K-------------200.00%-2M---79K---196K---1.33M---397K
Cash from discontinued investing activities
Operating cash flow 36.46%-44.76M45.68%-7.35M72.00%-4.2M31.16%-12.03M13.36%-21.19M25.67%-70.45M53.62%-13.52M-2.64%-15M32.54%-17.47M2.60%-24.46M
Investing cash flow
Cash flow from continuing investing activities -148.52%-21.32M-31.12%10.4M-442.84%-17.04M-510.49%-9.66M-119.73%-5.02M315.29%43.95M-4.41%15.1M115.99%4.97M82.16%-1.58M582.23%25.46M
Net PPE purchase and sale 68.36%-554K-142.31%-44K94.44%-9K18.50%-370K89.43%-131K81.76%-1.75M-90.85%104K97.71%-162K80.48%-454K7.95%-1.24M
Net investment purchase and sale -145.45%-20.77M-30.35%10.45M-431.84%-17.03M-723.21%-9.29M-118.33%-4.89M522.63%45.7M2.29%15M121.38%5.13M82.76%-1.13M425.80%26.7M
Cash from discontinued investing activities
Investing cash flow -148.52%-21.32M-31.12%10.4M-442.84%-17.04M-510.49%-9.66M-119.73%-5.02M315.29%43.95M-4.41%15.1M115.99%4.97M82.16%-1.58M582.23%25.46M
Financing cash flow
Cash flow from continuing financing activities 271.07%56.56M306.06%136K-25.00%-10K175.17%38.24M1,181.34%18.2M-12.71%15.24M-100.77%-66K-100.16%-8K389.68%13.9M36.54%1.42M
Net common stock issuance 274.53%56.29M--0---10K178.85%37.93M1,184.62%18.37M-12.80%15.03M-100.03%-3K--0384.96%13.6M44.15%1.43M
Proceeds from stock option exercised by employees -16.41%484K-46.21%142K--9K3.49%326K--7K157.33%579K2,833.33%264K--0854.55%315K--0
Net other financing activities 41.53%-214K98.17%-6K-12.50%-9K19.05%-17K-1,720.00%-182K---366K---327K---8K---21K---10K
Cash from discontinued financing activities
Financing cash flow 271.07%56.56M306.06%136K-25.00%-10K175.17%38.24M1,181.34%18.2M-12.71%15.24M-100.77%-66K-100.16%-8K389.68%13.9M36.54%1.42M
Net cash flow
Beginning cash position -24.47%34.76M-33.71%22.04M0.02%43.29M-44.80%26.74M-24.47%34.76M-67.99%46.01M-34.53%33.24M-52.69%43.28M-60.75%48.43M-67.99%46.01M
Current changes in cash 15.38%-9.53M110.55%3.19M-111.67%-21.25M420.92%16.55M-431.27%-8.02M88.48%-11.26M131.90%1.52M75.33%-10.04M83.85%-5.16M111.90%2.42M
End cash Position -27.41%25.23M-27.41%25.23M-33.71%22.04M0.02%43.29M-44.80%26.74M-24.47%34.76M-24.47%34.76M-34.53%33.24M-52.69%43.28M-60.75%48.43M
Free cash flow 37.34%-45.32M44.93%-7.39M72.45%-4.21M30.84%-12.4M17.03%-21.32M30.71%-72.32M52.11%-13.42M29.51%-15.28M36.49%-17.93M2.87%-25.7M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--------

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