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Repare Therapeutics Inc (RPTX)

Repare Therapeutics Inc (RPTX)
1.2500 x 1 1.3800 x 1
Pre-market by (Cboe BZX)
1.3600 +0.1100 (+8.80%) 04/28/25 [NASDAQ]
1.2500 x 1 1.3800 x 1
Pre-market 1.3600 unch (unch) 16:00 ET
Cash Flow for Mon, Apr 28th, 2025
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Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2024 12-2023 12-2022 12-2021 12-2020
Cash Flows From Operating Activities
Net Income -84,689 -93,796 -29,047 -106,908 -53,417
Depreciation Amortization -3,236 -5,514 -255 1,584 897
Income taxes - deferred N/A N/A 3,620 -2,208 -1,280
Accounts receivable 2,716 -216 -1,385 2,998 -2,947
Accounts payable and accrued liabilities 1,229 1,934 -1,348 152 17
Other Working Capital -14,057 -55,183 4,405 6,998 43,701
Other Operating Activity 21,592 25,617 24,332 11,588 6,945
Operating Cash Flow $-76,445 $-127,158 $322 $-85,796 $-6,084
Cash Flows From Investing Activities
Change In Deposits 49,468 79,979 -175,176 -26 -7,526
PPE Investments N/A -1,938 -602 -1,650 -2,237
Investing Cash Flow $49,468 $78,041 $-175,778 $-1,676 $-9,763
Cash Flows From Financing Activities
Common Stock Issued 542 842 880 95,557 247,842
Financing Cash Flow $542 $842 $880 $95,557 $247,842
Exchange Rate Effect -116 22 -330 -54 -604
Beginning Cash Position 111,268 159,521 334,427 326,396 95,005
End Cash Position 84,717 111,268 159,521 334,427 326,396
Net Cash Flow $-26,551 $-48,253 $-174,906 $8,031 $231,391
Free Cash Flow
Operating Cash Flow -76,445 -127,158 322 -85,796 -6,084
Capital Expenditure N/A -1,938 -602 -1,690 -2,237
Free Cash Flow -76,445 -129,096 -280 -87,486 -8,321
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