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Financial statements

AVENUE THERAPEUTICS, INC. financial statements

Income statement, balance sheet and cash flow statement for the last 10 fiscal years, taken from the XBRL data AVENUE THERAPEUTICS, INC. files with the SEC in its annual reports.

In USD millions, except per-share amounts. Outflows in the cash flow statement are negative.

Income statement

FY2017FY2017FY2018FY2019FY2020FY2021FY2022FY2023FY2024FY2025
Revenue01.4
Research and development1.336.717.722.22.871.252.76.136.651.04
General and administrative13.624.123.072.352.485.354.184.643.65
Operating expenses11.34.49
Operating income-2.38-11.4-21.8-26.3-5.21-3.74-8.04-14.5-11.3-3.08
Interest expense0.420.290
Interest income00.090.090.360.060.010.020.130.180.12
Other non-operating income00.180
Income tax0000
Net income to minority interests0-0.05-0.11-0.04-0.04
Net income-3.18-12.3-21.5-25.9-5.15-3.73-3.55-10.4-11.7-2.91
EPS, basic-83.23-138.71-157.46-123.72-23.24-16.50-122.22-73.48-15.79-0.93
EPS, diluted-83.23-138.71-157.46-123.72-23.24-16.50-122.22-73.48-15.79-0.93
Shares, basic (weighted)0.040.090.140.210.220.020.030.141.33.13
Shares, diluted (weighted)0.040.090.140.210.220.020.030.141.33.13

Balance sheet

FY2017FY2017FY2018FY2019FY2020FY2021FY2022FY2023FY2024FY2025
Cash and equivalents0.211.82.678.753.133.766.711.782.592.86
Short-term investments0100
Other current assets00.390.150.170.110.110.140.070.080.08
Total current assets3.253.96
Total assets0.222.24.538.923.253.966.851.852.672.93
Accounts payable0.331.553.090.350.140.30.130.080.16
Total current liabilities6.422.795.162.120.890.513.581.20.821.1
Long-term debt1.830
Total liabilities8.452.795.162.120.890.513.581.20.821.1
Paid-in capital0.1138.941.674.975.680.584.592.5105107
Retained earnings-8.4-20.7-42.2-68.1-73.3-77-80.6-90.9-103-105
Shareholders' equity-8.2519.4-0.636.82.363.453.911.582.81.83
Minority interests-0.64-0.93-0.940
Total equity-8.2519.4-0.636.82.363.453.270.651.861.83
Total liabilities and equity0.222.24.538.923.253.966.851.852.672.93
Shares outstanding0.040.140.140.220.220.020.060.342.113.18

Cash flow statement

FY2017FY2017FY2018FY2019FY2020FY2021FY2022FY2023FY2024FY2025
Net income-3.18-12.3-21.5-25.9-5.15-3.73-3.6-10.5-11.7-2.95
Stock-based compensation0.030.61.541.840.710.440.650.911.240.67
Change in payables0.022.231.13-2.76-0.24-0.410.39
Cash from operations-1.63-6.8-18.2-26.3-4.61-3.75-7.6-9.45-9.03-1.83
Purchases of investments0-100-50
Cash from investing0-10100-10-30
Stock issued03803505.0401.622.09
Share buybacks-1.10
Cash from financing1.8228.4-0.932.304.3810.57.539.842.09
Net change in cash-9.116.07-5.610.632.95-4.930.810.26
Interest paid0.180.30

Key metrics

Worked out from the statements above. Latest values use the trailing twelve months to June 30, 2026; growth uses fiscal years. Valuation uses the share price of $0.50 on September 25, 2026.

Profitability

MetricValueHow it is calculated
Return on equity (ROE)-488.0%Net income / average shareholders' equity (opening and closing). Not shown when equity is negative.
Return on assets (ROA)-140.5%Net income / average total assets.

Growth

MetricValueHow it is calculated
Book value growth, 1y-34.5%Book value vs the same period a year earlier. Only from a positive base.
Book value CAGR, 3y-22.3%Compound annual growth of book value over 3 fiscal years: (end / start)^(1/3) - 1. Only when both values are positive.
Book value CAGR, 5y-4.9%Compound annual growth of book value over 5 fiscal years: (end / start)^(1/5) - 1. Only when both values are positive.
Total assets growth, 1y9.7%Total assets vs the same period a year earlier. Only from a positive base.
Total assets CAGR, 3y-24.6%Compound annual growth of total assets over 3 fiscal years: (end / start)^(1/3) - 1. Only when both values are positive.
Total assets CAGR, 5y-2.0%Compound annual growth of total assets over 5 fiscal years: (end / start)^(1/5) - 1. Only when both values are positive.
Share count change, 1y141.7%Change in diluted weighted shares vs a year earlier. Negative means buybacks shrank the share count; positive means dilution.
Share count change per year, 3y375.4%Change in diluted weighted shares, per year over 3 years. Negative means buybacks shrank the share count; positive means dilution.
Share count change per year, 5y70.1%Change in diluted weighted shares, per year over 5 years. Negative means buybacks shrank the share count; positive means dilution.

Balance sheet health

MetricValueHow it is calculated
Quick ratio1.38x(Cash + short-term investments + receivables) / current liabilities.
Cash ratio1.38x(Cash + short-term investments) / current liabilities.
Liabilities / assets71.2%Total liabilities / total assets.
Tangible book value$569.0KShareholders' equity - goodwill - intangible assets.

Per share

MetricValueHow it is calculated
EPS, diluted-$0.84Net income per diluted share, as reported (split-adjusted). Over the last twelve months: the four quarters summed, or net income / latest diluted shares when a quarter has no reported EPS.
Operating cash flow per share-$0.42Cash from operations / diluted weighted shares.
Book value per share$0.17Shareholders' equity / shares outstanding (diluted weighted shares when not reported).
Tangible book per share$0.17Tangible book value / shares outstanding.
Cash per share$0.59(Cash + short-term investments) / shares outstanding.

Valuation

MetricValueHow it is calculated
Market cap$1.6MShare price x shares outstanding.
Enterprise value-$294.5KMarket cap + total debt - cash - short-term investments.
P/B2.90xMarket cap / shareholders' equity. Only when equity is positive.
Price / tangible book2.90xMarket cap / tangible book value, when positive.
Earnings yield-168.6%Net income / market cap (the inverse of P/E).
What was AVENUE THERAPEUTICS, INC.'s revenue in fiscal 2025?

AVENUE THERAPEUTICS, INC. reported revenue of $1.4M for fiscal 2025.

Was AVENUE THERAPEUTICS, INC. profitable in fiscal 2025?

No. It reported a net loss of $2.9M.

Source: SEC EDGAR XBRL company facts. Where a company tags only year-to-date figures, quarters are worked out as differences. Where a line is not tagged it is left empty, never estimated.

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