US Stock MarketDetailed Quotes

Arcellx (ACLX)

Watchlist
  • 68.620
  • -0.250-0.36%
Close Jan 22 16:00 ET
  • 68.620
  • 0.0000.00%
Post 20:01 ET
3.97BMarket Cap-17.46P/E (TTM)

Arcellx (ACLX) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-260.18%-49.21M
-9.61%-39.73M
-97.90%-63.15M
-140.21%-83.47M
-179.02%-46.03M
404.09%30.72M
-60.29%-36.25M
-117.53%-31.91M
309.03%207.57M
311.66%58.25M
Net income from continuing operations
-115.65%-55.78M
-94.00%-52.77M
-765.10%-62.27M
-51.86%-107.35M
-337.26%-47.08M
34.24%-25.87M
-14.04%-27.2M
73.68%-7.2M
62.53%-70.69M
150.89%19.84M
Operating gains losses
----
----
----
-249.43%-260K
----
----
----
----
5,700.00%174K
----
Depreciation and amortization
38.16%1.84M
30.59%1.62M
90.80%1.58M
154.31%5.19M
147.78%1.79M
198.43%1.33M
182.23%1.24M
91.20%826K
54.43%2.04M
73.56%722K
Other non cash items
45.04%190K
3.87%188K
-95.03%186K
-79.36%4.1M
-93.79%51K
-99.24%131K
198.37%181K
85.66%3.74M
-69.02%19.88M
629.68%821K
Change In working capital
-127.31%-11.8M
79.31%-4.45M
41.35%-23.32M
-113.65%-30.78M
-142.41%-12.73M
1,185.86%43.19M
-220.15%-21.48M
-120.00%-39.76M
4,963.50%225.43M
343.04%30.02M
-Change in receivables
----
----
----
----
----
--0
--0
--0
----
----
-Change in prepaid assets
-56.66%153K
-117.44%-98K
-74.40%1.72M
203.01%8.61M
-85.19%982K
-80.67%353K
104.73%562K
236.16%6.71M
-46.78%-8.36M
529.26%6.63M
-Change in payables and accrued expense
-324.01%-4.17M
-34.96%7.35M
-161.12%-10.99M
4,860.39%41.94M
393.46%10.79M
-19.91%1.86M
1,249.85%11.3M
507.76%17.98M
-112.54%-881K
-64.77%2.19M
-Change in other current liabilities
-58.02%-719K
-262.24%-4.12M
-143.11%-5.82M
-64.15%4.83M
-1,575.83%-7.07M
-112.63%-455K
-112.26%-1.14M
1,231.59%13.49M
331.03%13.46M
-119.97%-422K
-Change in other working capital
-117.04%-7.06M
76.46%-7.58M
89.44%-8.23M
-138.95%-86.15M
-76.78%-17.43M
1,866.82%41.43M
-732.40%-32.21M
-134.14%-77.95M
--221.21M
---9.86M
Cash from discontinued investing activities
Operating cash flow
-260.18%-49.21M
-9.61%-39.73M
-97.90%-63.15M
-140.21%-83.47M
-179.02%-46.03M
404.09%30.72M
-60.29%-36.25M
-117.53%-31.91M
309.03%207.57M
311.66%58.25M
Investing cash flow
Cash flow from continuing investing activities
-156.00%-20.03M
236.43%10.74M
118.27%37.78M
-18.47%-183.05M
-119.60%-4.12M
122.35%35.76M
-115.36%-7.87M
-209.72%-206.81M
-31.31%-154.51M
-37.49%21.02M
Net PPE purchase and sale
87.07%-296K
84.84%-487K
87.87%-780K
37.31%-13.43M
71.68%-1.5M
71.11%-2.29M
55.55%-3.21M
-556.33%-6.43M
-841.06%-21.43M
-314.81%-5.29M
Net investment purchase and sale
-151.85%-19.73M
340.94%11.23M
119.25%38.56M
-27.45%-169.61M
-109.96%-2.62M
125.02%38.05M
-107.97%-4.66M
-204.56%-200.38M
-15.33%-133.08M
-24.61%26.31M
Cash from discontinued investing activities
Investing cash flow
-156.00%-20.03M
236.43%10.74M
118.27%37.78M
-18.47%-183.05M
-119.60%-4.12M
122.35%35.76M
-115.36%-7.87M
-209.72%-206.81M
-31.31%-154.51M
-37.49%21.02M
Financing cash flow
Cash flow from continuing financing activities
1,948.43%86.1M
198.37%10.26M
118.19%543K
-108.63%-24.09M
-103.19%-6.02M
6.63%-4.66M
-9,088.79%-10.43M
-103.13%-2.99M
10.50%279.16M
14,252.44%188.59M
Net issuance payments of debt
--0
99.99%-1K
96.98%-229K
-35.57%-39.85M
31.48%-10.54M
-46.50%-8.36M
-295.56%-13.36M
-53.97%-7.59M
-203.79%-29.39M
-3,947.89%-15.38M
Net common stock issuance
--123.75M
----
----
--0
--0
--0
--0
--0
15.35%299.71M
--199.71M
Proceeds from stock option exercised by employees
-79.12%772K
-16.66%2.45M
-83.23%772K
78.09%15.76M
6.00%4.52M
417.79%3.7M
-16.00%2.94M
1,131.02%4.6M
258.69%8.85M
151.89%4.27M
Cash from discontinued financing activities
Financing cash flow
1,948.43%86.1M
198.37%10.26M
118.19%543K
-108.63%-24.09M
-103.19%-6.02M
6.63%-4.66M
-9,088.79%-10.43M
-103.13%-2.99M
10.50%279.16M
14,252.44%188.59M
Net cash flow
Beginning cash position
-36.92%64.75M
-46.89%83.49M
-72.85%108.31M
498.24%398.9M
25.51%164.47M
-66.47%102.65M
-43.33%157.2M
498.24%398.9M
114.87%66.68M
121.13%131.05M
Current changes in cash
-72.72%16.87M
65.66%-18.73M
89.73%-24.82M
-187.47%-290.6M
-120.97%-56.17M
135.30%61.82M
-289.58%-54.55M
-214.71%-241.7M
831.96%332.22M
3,511.87%267.86M
End cash Position
-50.37%81.62M
-36.92%64.75M
-46.89%83.49M
-72.85%108.31M
-72.85%108.31M
25.51%164.47M
-66.47%102.65M
-43.33%157.2M
498.24%398.9M
498.24%398.9M
Free cash flow
-274.13%-49.5M
-1.92%-40.22M
-66.74%-63.93M
-152.06%-96.9M
-189.75%-47.53M
257.68%28.43M
-32.23%-39.46M
-121.17%-38.34M
283.25%186.15M
283.90%52.96M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -260.18%-49.21M-9.61%-39.73M-97.90%-63.15M-140.21%-83.47M-179.02%-46.03M404.09%30.72M-60.29%-36.25M-117.53%-31.91M309.03%207.57M311.66%58.25M
Net income from continuing operations -115.65%-55.78M-94.00%-52.77M-765.10%-62.27M-51.86%-107.35M-337.26%-47.08M34.24%-25.87M-14.04%-27.2M73.68%-7.2M62.53%-70.69M150.89%19.84M
Operating gains losses -------------249.43%-260K----------------5,700.00%174K----
Depreciation and amortization 38.16%1.84M30.59%1.62M90.80%1.58M154.31%5.19M147.78%1.79M198.43%1.33M182.23%1.24M91.20%826K54.43%2.04M73.56%722K
Other non cash items 45.04%190K3.87%188K-95.03%186K-79.36%4.1M-93.79%51K-99.24%131K198.37%181K85.66%3.74M-69.02%19.88M629.68%821K
Change In working capital -127.31%-11.8M79.31%-4.45M41.35%-23.32M-113.65%-30.78M-142.41%-12.73M1,185.86%43.19M-220.15%-21.48M-120.00%-39.76M4,963.50%225.43M343.04%30.02M
-Change in receivables ----------------------0--0--0--------
-Change in prepaid assets -56.66%153K-117.44%-98K-74.40%1.72M203.01%8.61M-85.19%982K-80.67%353K104.73%562K236.16%6.71M-46.78%-8.36M529.26%6.63M
-Change in payables and accrued expense -324.01%-4.17M-34.96%7.35M-161.12%-10.99M4,860.39%41.94M393.46%10.79M-19.91%1.86M1,249.85%11.3M507.76%17.98M-112.54%-881K-64.77%2.19M
-Change in other current liabilities -58.02%-719K-262.24%-4.12M-143.11%-5.82M-64.15%4.83M-1,575.83%-7.07M-112.63%-455K-112.26%-1.14M1,231.59%13.49M331.03%13.46M-119.97%-422K
-Change in other working capital -117.04%-7.06M76.46%-7.58M89.44%-8.23M-138.95%-86.15M-76.78%-17.43M1,866.82%41.43M-732.40%-32.21M-134.14%-77.95M--221.21M---9.86M
Cash from discontinued investing activities
Operating cash flow -260.18%-49.21M-9.61%-39.73M-97.90%-63.15M-140.21%-83.47M-179.02%-46.03M404.09%30.72M-60.29%-36.25M-117.53%-31.91M309.03%207.57M311.66%58.25M
Investing cash flow
Cash flow from continuing investing activities -156.00%-20.03M236.43%10.74M118.27%37.78M-18.47%-183.05M-119.60%-4.12M122.35%35.76M-115.36%-7.87M-209.72%-206.81M-31.31%-154.51M-37.49%21.02M
Net PPE purchase and sale 87.07%-296K84.84%-487K87.87%-780K37.31%-13.43M71.68%-1.5M71.11%-2.29M55.55%-3.21M-556.33%-6.43M-841.06%-21.43M-314.81%-5.29M
Net investment purchase and sale -151.85%-19.73M340.94%11.23M119.25%38.56M-27.45%-169.61M-109.96%-2.62M125.02%38.05M-107.97%-4.66M-204.56%-200.38M-15.33%-133.08M-24.61%26.31M
Cash from discontinued investing activities
Investing cash flow -156.00%-20.03M236.43%10.74M118.27%37.78M-18.47%-183.05M-119.60%-4.12M122.35%35.76M-115.36%-7.87M-209.72%-206.81M-31.31%-154.51M-37.49%21.02M
Financing cash flow
Cash flow from continuing financing activities 1,948.43%86.1M198.37%10.26M118.19%543K-108.63%-24.09M-103.19%-6.02M6.63%-4.66M-9,088.79%-10.43M-103.13%-2.99M10.50%279.16M14,252.44%188.59M
Net issuance payments of debt --099.99%-1K96.98%-229K-35.57%-39.85M31.48%-10.54M-46.50%-8.36M-295.56%-13.36M-53.97%-7.59M-203.79%-29.39M-3,947.89%-15.38M
Net common stock issuance --123.75M----------0--0--0--0--015.35%299.71M--199.71M
Proceeds from stock option exercised by employees -79.12%772K-16.66%2.45M-83.23%772K78.09%15.76M6.00%4.52M417.79%3.7M-16.00%2.94M1,131.02%4.6M258.69%8.85M151.89%4.27M
Cash from discontinued financing activities
Financing cash flow 1,948.43%86.1M198.37%10.26M118.19%543K-108.63%-24.09M-103.19%-6.02M6.63%-4.66M-9,088.79%-10.43M-103.13%-2.99M10.50%279.16M14,252.44%188.59M
Net cash flow
Beginning cash position -36.92%64.75M-46.89%83.49M-72.85%108.31M498.24%398.9M25.51%164.47M-66.47%102.65M-43.33%157.2M498.24%398.9M114.87%66.68M121.13%131.05M
Current changes in cash -72.72%16.87M65.66%-18.73M89.73%-24.82M-187.47%-290.6M-120.97%-56.17M135.30%61.82M-289.58%-54.55M-214.71%-241.7M831.96%332.22M3,511.87%267.86M
End cash Position -50.37%81.62M-36.92%64.75M-46.89%83.49M-72.85%108.31M-72.85%108.31M25.51%164.47M-66.47%102.65M-43.33%157.2M498.24%398.9M498.24%398.9M
Free cash flow -274.13%-49.5M-1.92%-40.22M-66.74%-63.93M-152.06%-96.9M-189.75%-47.53M257.68%28.43M-32.23%-39.46M-121.17%-38.34M283.25%186.15M283.90%52.96M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion--
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