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Asset logo for symbol SLRN
ACELYRIN, INC. - Common Stock
SLRN41
$6.51arrow_drop_down0.30%-$0.02
Asset logo for symbol SLRN
SLRN41

$6.51

arrow_drop_down0.30%

Income Statement (SLRN)

itemMar 2024Dec 2023Sep 2023Jun 2023Mar 2023
EBIT-$82.77M-$105.11M-$94.46M-$42.69M-$179.83M
EBITDA-$82.71M-$105.06M-$94.42M-$52.84M-$179.98M
gross Profit-----
NET Income-$34.97M-$95.21M-$83.94M-$26.03M-$176.45M
total Revenue$0.00$0.00$0.00$0.00$0.00

Balance Sheet (SLRN)

itemMar 2024Dec 2023Sep 2023Jun 2023Mar 2023
cash Equivalents-----
net Debt-$263.36M-$216.90M-$380.48M-$554.86M-$287.87M
stockholders Equity$644.06M$656.33M-$393.50M$801.06M-$283.52M
total Assets$697.48M$742.69M$800.48M$835.12M$298.51M
total Debt$1.13M$1.19M$1.25M$1.30M$1.31M
total Liabilities$53.41M$86.35M$1.19B$34.06M$298.51M

Cash Flow (SLRN)

itemMar 2024Dec 2023Sep 2023Jun 2023Mar 2023
financing Cash Flow$2.80M$2.59M-$499.00K$566.46M-$129.00K
free Cash Flow-$57.35M-$73.72M-$39.32M-$33.38M-$35.56M
investing Cash Flow-----
operating Cash Flow-$57.29M-$73.63M-$39.12M-$31.62M-$25.32M

ACELYRIN, INC. - Common Stock (SLRN) Financials

ACELYRIN, INC. - Common Stock (SLRN) provides detailed financial information through its income statement, balance sheet, and cash flow statement. These financials give investors a comprehensive view of the company's performance. In terms of income, ACELYRIN reported a steady increase in total revenue over the past few years. Gross profit has also been growing, indicating the company's ability to generate revenue after accounting for direct costs. Net income from stockholders reflects the company's profitability and ability to generate returns for its investors. ACELYRIN has been successful in maintaining positive net income. Moving on to the balance sheet, ACELYRIN has significant total assets, indicating its overall financial strength. Stockholders' equity represents the value of shareholders' ownership in the company and has also been on an upward trend. The company's total liabilities, including both debt and other obligations, are also provided. ACELYRIN's cash equivalents are an important measure of liquidity and show the amount of readily available cash. Net debt reveals the company's overall debt position, subtracting cash and cash equivalents from total debt. ACELYRIN's financing cash flow represents the movement of cash related to external financing activities, such as issuing or repurchasing stock or borrowing. The company's investing cash flow involves cash flows related to the acquisition or sale of long-term assets, such as property, plant, and equipment. ACELYRIN's operating cash flow represents the cash generated from its core operations and is an important indicator of its operational efficiency. Lastly, free cash flow indicates the amount of cash left after operating expenses and capital expenditures, representing the funds available for further investments or shareholder distributions.

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