Tarsus Pharmaceuticals Inc (TARS)
49.72 -0.28 (-0.56%) 16:10 ET [NASDAQ]
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Realtime by (Cboe BZX)
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Realtime 49.72 unch (unch) 16:01 ET
for Mon, Apr 28th, 2025
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 | -115,554 | -135,893 | -62,091 | -13,827 | -26,811 |
Depreciation Amortization | -2,506 | -1,901 | -681 | 606 | 246 |
Accounts receivable | -30,139 | -16,621 | N/A | N/A | N/A |
Other Working Capital | 3,844 | 306 | -951 | 1,372 | 1,458 |
Other Operating Activity | 61,328 | 36,616 | 14,693 | 15,597 | 3,969 |
Operating Cash Flow | $-83,027 | $-117,493 | $-49,030 | $3,748 | $-21,138 |
Cash Flows From Investing Activities | |||||
PPE Investments | -1,567 | -1,502 | -506 | -586 | -456 |
Purchase Of Investment | -265,628 | -28,664 | -149,438 | N/A | N/A |
Sale Of Investment | 73,000 | 174,770 | 5,315 | N/A | N/A |
Purchase Sale Intangibles | -5,000 | -4,000 | 0 | N/A | N/A |
Other Investing Activity | -5,000 | -4,000 | 0 | 0 | 0 |
Investing Cash Flow | $-199,195 | $140,604 | $-144,629 | $-586 | $-456 |
Cash Flows From Financing Activities | |||||
Debt Issued | 75,000 | 10,000 | 20,000 | N/A | N/A |
Debt Repayment | -31,877 | N/A | N/A | N/A | N/A |
Common Stock Issued | 115,056 | 120,176 | 74,937 | 324 | 92,043 |
Other Financing Activity | -3,523 | 0 | -950 | -303 | 39,728 |
Financing Cash Flow | $154,656 | $130,176 | $93,987 | $21 | $131,771 |
Beginning Cash Position | 224,947 | 71,660 | 171,332 | 168,149 | 57,972 |
End Cash Position | 97,381 | 224,947 | 71,660 | 171,332 | 168,149 |
Net Cash Flow | $-127,566 | $153,287 | $-99,672 | $3,183 | $110,177 |
Free Cash Flow | |||||
Operating Cash Flow | -83,027 | -117,493 | -49,030 | 3,748 | -21,138 |
Capital Expenditure | -1,567 | -1,502 | -506 | -586 | -456 |
Free Cash Flow | -84,594 | -118,995 | -49,536 | 3,162 | -21,594 |