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Financial statements

Beamr Imaging Ltd. financial statements

Income statement, balance sheet and cash flow statement for the last 6 fiscal years, taken from the XBRL data Beamr Imaging Ltd. 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

FY2020FY2022FY2022FY2023FY2024FY2025
Revenue3.183.32.862.913.063.09
Cost of revenue0.090.090.10.10.240.32
Gross profit3.083.212.772.812.822.78
Research and development2.732.032.061.822.894.6
Selling and marketing1.370.960.910.360.682.36
General and administrative0.670.770.831.512.472.27
Operating income-1.67-0.43-1.03-0.88-3.22-6.45
Other non-operating income-0.48-0.170.22-0.090.45
Pre-tax income-2.36-0.9-1.2-0.66-3.31-6.01
Income tax0.10.050.050.040.050.02
Net income-2.46-0.95-1.25-0.7-3.35-6.02
EBITDA-0.99-0.23-1-0.85-3.05-6.21
EPS, basic-0.96-0.37-0.48-0.06-0.22-0.39
EPS, diluted-0.96-0.37-0.48-0.09-0.22-0.39
Shares, basic (weighted)2.572.582.5811.215.215.5
Shares, diluted (weighted)2.572.582.5811.415.215.5

Balance sheet

FY2020FY2022FY2022FY2023FY2024FY2025
Cash and equivalents0.61.030.696.1216.53.99
Short-term investments7.5
Receivables0.890.580.60.510.27
Other current assets0.070.060.130.20.28
Total current assets1.991.346.8517.212
Property, plant and equipment0.020.020.020.040.05
Goodwill4.384.384.384.384.38
Intangible assets0.090.070.280.490.27
Total assets6.696.1111.522.116.7
Accounts payable0.030.030.010.010.12
Accrued liabilities0.340.30.280.470.59
Deferred revenue0.030.030.030.030.01
Short-term debt0.350.13
Total current liabilities1.410.951.020.970.92
Long-term debt0.39
Total liabilities6.236.571.261.020.97
Total debt1.070.510.720.50.25
Paid-in capital3030.441.855.956.6
Retained earnings-29.7-31-31.7-35-41
Shareholders' equity1.250.45-0.4610.321.115.8
Total equity1.250.45-0.4610.321.115.8
Total liabilities and equity6.696.1111.522.116.7
Shares outstanding13.115.515.5

Cash flow statement

FY2020FY2022FY2022FY2023FY2024FY2025
Net income-2.46-0.95-1.25-0.7-3.35-6.02
Depreciation and amortization0.680.190.030.030.170.24
Stock-based compensation0.120.160.220.360.420.68
Change in receivables0.70.31-0.020.090.24
Change in payables-0.010.020.01-0.0300.11
Cash from operations-1.020.57-0.65-0.66-1.89-4.7
Capital expenditures-0.01-0-0-0.01-0.04-0.03
Purchases of investments-7.5
Cash from investing0-0-0-0.19-0.33-7.53
Debt repaid-0.09-0.05-0.08-0.13
Stock issued0.010.560.050.80.02
Cash from financing-0.42-0.140.316.2812.6-0.27
Net change in cash-1.440.42-0.345.4210.4-12.5
Free cash flow-1.030.57-0.65-0.67-1.92-4.73
Interest paid0.090.090.080.130.090.02
Income taxes paid0.10.050.050.040.040.03

Key metrics

Worked out from the statements above. Latest values use fiscal 2025. Valuation uses the share price of $1.26 on September 25, 2026.

Profitability

MetricValueHow it is calculated
Gross margin89.7%Gross profit / revenue.
Operating margin-208.6%Operating income / revenue.
EBITDA margin-200.8%EBITDA (operating income + depreciation and amortization) / revenue.
Pre-tax margin-194.1%Pre-tax income / revenue.
Net margin-194.6%Net income / revenue.
FCF margin-152.8%Free cash flow (cash from operations - capital expenditures) / revenue.
Operating cash flow margin-151.9%Cash from operations / revenue.
Return on equity (ROE)-32.7%Net income / average shareholders' equity (opening and closing). Not shown when equity is negative.
Return on assets (ROA)-31.0%Net income / average total assets.
Return on invested capital (ROIC)-61.3%Approximation: operating income x (1 - tax rate) / average (total debt + equity - cash). Tax rate is the effective rate when between 0% and 50%, else 21%.
R&D / revenue148.8%Research and development expense / revenue.
Stock-based pay / revenue22.1%Stock-based compensation (from the cash flow statement) / revenue.
Capex / revenue0.9%Capital expenditures / revenue.
D&A / revenue7.8%Depreciation and amortization / revenue.

Growth

MetricValueHow it is calculated
Revenue growth, 1y1.0%Revenue vs the same period a year earlier. Only from a positive base.
Revenue CAGR, 3y2.6%Compound annual growth of revenue over 3 fiscal years: (end / start)^(1/3) - 1. Only when both values are positive.
Revenue CAGR, 5y-0.5%Compound annual growth of revenue over 5 fiscal years: (end / start)^(1/5) - 1. Only when both values are positive.
Gross profit growth, 1y-1.7%Gross profit vs the same period a year earlier. Only from a positive base.
Gross profit CAGR, 3y0.1%Compound annual growth of gross profit over 3 fiscal years: (end / start)^(1/3) - 1. Only when both values are positive.
Gross profit CAGR, 5y-2.1%Compound annual growth of gross profit over 5 fiscal years: (end / start)^(1/5) - 1. Only when both values are positive.
Book value growth, 1y-25.2%Book value vs the same period a year earlier. Only from a positive base.
Book value CAGR, 5y66.0%Compound annual growth of book value over 5 fiscal years: (end / start)^(1/5) - 1. Only when both values are positive.
Total assets growth, 1y-24.3%Total assets vs the same period a year earlier. Only from a positive base.
Total assets CAGR, 3y39.9%Compound annual growth of total assets over 3 fiscal years: (end / start)^(1/3) - 1. Only when both values are positive.
Share count change, 1y2.4%Change in diluted weighted shares vs a year earlier. Negative means buybacks shrank the share count; positive means dilution.
Share count change per year, 3y81.9%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, 5y43.2%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
Current ratio13.1xCurrent assets / current liabilities.
Quick ratio12.8x(Cash + short-term investments + receivables) / current liabilities.
Cash ratio12.6x(Cash + short-term investments) / current liabilities.
Liabilities / assets5.8%Total liabilities / total assets.
Working capital$11.1MCurrent assets - current liabilities.
Goodwill and intangibles / assets27.8%(Goodwill + intangible assets) / total assets.
Tangible book value$11.1MShareholders' equity - goodwill - intangible assets.

Efficiency

MetricValueHow it is calculated
Asset turnover0.16xRevenue / average total assets.
Fixed asset turnover68.0xRevenue / average property, plant and equipment.
Receivables turnover8.02xRevenue / average receivables.
Days sales outstanding46 days365 x average receivables / revenue.
Days payables75 days365 x average accounts payable / cost of revenue.

Per share

MetricValueHow it is calculated
EPS, diluted-$0.39Net 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.
EPS, basic-$0.39Net income per basic share, as reported (split-adjusted).
Revenue per share$0.20Revenue / diluted weighted shares.
FCF per share-$0.30Free cash flow / diluted weighted shares.
Operating cash flow per share-$0.30Cash from operations / diluted weighted shares.
Book value per share$1.01Shareholders' equity / shares outstanding (diluted weighted shares when not reported).
Tangible book per share$0.72Tangible book value / shares outstanding.
Cash per share$0.74(Cash + short-term investments) / shares outstanding.

Valuation

MetricValueHow it is calculated
Market cap$19.6MShare price x shares outstanding.
Enterprise value$8.1MMarket cap + total debt - cash - short-term investments.
P/S6.32xMarket cap / revenue.
P/B1.24xMarket cap / shareholders' equity. Only when equity is positive.
Price / tangible book1.76xMarket cap / tangible book value, when positive.
EV/Sales2.61xEnterprise value / revenue.
FCF yield-24.2%Free cash flow / market cap.
Earnings yield-30.8%Net income / market cap (the inverse of P/E).
What was Beamr Imaging Ltd.'s revenue in fiscal 2025?

Beamr Imaging Ltd. reported revenue of $3.1M for fiscal 2025, 1% higher than the year before.

Was Beamr Imaging Ltd. profitable in fiscal 2025?

No. It reported a net loss of $6.0M.

How much free cash flow did Beamr Imaging Ltd. generate in fiscal 2025?

Cash from operations of $4.7M minus capital expenditures of $27.0K left free cash flow of -$4.7M.

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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