Champions Oncology, Inc.

NASDAQ:CSBR

4.28 (USD) • At close September 18, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996
Operating Activities:
Net Income -7.276-5.3350.5480.334-1.9750.128-1.505-6.884-10.446-13.14-7.406-6.446-8.661-3.802-2.923-2.2420.036-0.17-0.144-0.247-0.108-0.146-0.147-0.6770.0520.020.360.290.05
Depreciation & Amortization 1.8672.2461.6271.1840.8250.6060.360.1680.1560.2140.2130.2030.1050.0420.0320.0040.170.01100.0480.0480.0480.0480.0560.0520.060.060.050.07
Deferred Income Tax 01.00200.0490.560.071-0.0440.0240.0650.100.01-0.0020.0120.022000000000.208000.01-0.220
Stock Based Compensation 1.1180.8640.9120.5980.60.6361.0042.6622.5993.1622.8072.4193.3233.1330.5930.4640000000000000
Change In Working Capital -3.8234.2262.336-4.1692.4920.011-1.5321.1461.1440.424-0.136-0.5130.4250.5250.0010.6020.5870.0810.0380.163-0.013-0.1510.0160.265-0.119-0.010.320.240.08
Accounts Receivables -1.9911.308-2.818-2.265-0.67-0.531-1.6-0.986-0.2820.265-0.8250.0840.001-0.493-0.04600000.023-0.023000000.02-0.010.03
Inventory 000-1.0991.0370.571-0.0270.404-0.199-0.194-0.092-0.0120.9110.4590.44100000.012-0.0070.002-0-0.001-0.0040.05-0.01-0.01-0.01
Accounts Payables 0.4652.4650.974-1.2460.3330.6530.301-0.0430.4820.433-0.223-0.4720.0960.636-0.4710.881000-0.0230.028000000.010.030.07
Other Working Capital -2.297-3.7734.180.4411.792-0.682-0.2061.7711.143-0.081.004-0.113-0.583-0.0770.077-0.2790000.151-0.011-0.1520.0170.266-0.115-0.060.30.23-0.01
Other Non Cash Items 8.3550.9521.0740.3230.4030.410.4910.0440.03-0.391.0890.065-0.4170.0360.1750.284000.01200-0.050.050.292-0.0030.04-0.33-0.25-0.23
Operating Cash Flow -6.1373.9556.497-1.6812.9051.862-1.226-2.84-6.452-9.63-3.433-4.262-5.227-0.054-2.1-0.8880.792-0.078-0.094-0.036-0.072-0.248-0.0330.145-0.0180.110.420.11-0.03
Investing Activities:
Investments In Property Plant And Equipment -0.836-2.872-2.384-3.281-2.22-0.834-1.229-0.766-0.322-0.119-0.234-0.057-0.519-0.085-0.084-0.1260000-0.003-0.009-0.014-0.034-0.013-0.01-0.02-0.010
Acquisitions Net 0000000.0030000000000.471000000000000
Purchases Of Investments 000000000000000-1.01700000000-1.0650000
Sales Maturities Of Investments 000000000000001.0170000000000.9680000
Other Investing Activites 0000.112000.003000.0050000.0010.008-0.007-0.04700.010000-0.24200000
Investing Cash Flow -0.836-2.872-2.384-3.169-2.22-0.834-1.226-0.766-0.322-0.114-0.234-0.057-0.519-0.0840.941-1.150.42400.010-0.003-0.009-0.014-0.276-0.111-0.01-0.02-0.010
Financing Activities:
Debt Repayment -0.14600-0.174-0.035-0.262-0.025-0.024-0.024-0.01200000-0.0440000000000000
Common Stock Issued 0.2530.0850.2071.3694.4550.0060.034.340.04411.220.0219.14109.0952.2222.52.5330.03800000.055000000
Common Stock Repurchased -0.634-0.07400000000000-1.033-0.21800000000000000.06
Dividends Paid 00000000000000000000-0.02200000000
Other Financing Activities 0.1070.0110.2071.1954.421.4590.0084.34-0.0182.0020.0219.1410.0970.0210.003-2.399-0.0440.044000.020.003-0.01-0.008-0.006-0.01-0.02-0.03-0.02
Financing Cash Flow -0.5270.0110.2071.1954.421.2030.0134.3160.00213.210.0219.1410.0978.0832.0070.0572.4890.08200-0.0020.0030.045-0.008-0.006-0.01-0.02-0.030.04
Other Information:
Effect Of Forex Changes On Cash 00.01700000000-0.0240.025-0.054-0.06-0.00400000000000.010.010.010
Net Change In Cash -7.51.0944.32-3.6555.1052.231-2.4390.71-6.7723.466-3.674.847-5.7037.8850.844-1.9813.7050.003-0.084-0.036-0.077-0.254-0.002-0.14-0.1350.10.390.080.01
Cash At End Of Period 2.61810.1019.0074.6878.3423.2370.8563.2952.5859.3575.8919.5634.75410.4572.5721.7283.7090.0040.0010.0850.120.1950.4490.4520.5910.730.640.220.14