US Stock MarketDetailed Quotes

Adagene (ADAG)

Watchlist
  • 3.660
  • -0.040-1.08%
Close May 14 16:00 ET
  • 3.660
  • 0.0000.00%
Post 16:10 ET
241.83MMarket Cap-9.76P/E (TTM)

Adagene (ADAG) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(FY)Dec 31, 2024
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(Q4)Dec 31, 2020
(FY)Dec 31, 2019
(Q4)Dec 31, 2019
(FY)Dec 31, 2018
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
47.28%-15.66M
-4.38%-29.7M
41.47%-28.45M
-11.97%-48.61M
-52.17%-43.41M
-57.16%-28.53M
-34.25%-8.54M
-27.26%-18.15M
-6.36M
-14.26M
Net income from continuing operations
47.32%-17.61M
-76.41%-33.42M
76.31%-18.95M
-9.28%-79.97M
-72.60%-73.18M
-158.01%-42.4M
-176.72%-12.77M
-7.64%-16.43M
---4.61M
---15.27M
Operating gains losses
-250.18%-1.36M
163.24%908.69K
43.62%-1.44M
-509.44%-2.55M
-3.50%622.43K
152.39%645.02K
721.26%567.71K
-124.72%-1.23M
---91.38K
---547.85K
Depreciation and amortization
-37.18%589.79K
-22.31%938.86K
-16.63%1.21M
28.84%1.45M
31.06%1.13M
5.11%858.41K
-1.31%211.19K
-10.16%816.69K
--214K
--909K
Other non cash items
79.07%-239.37K
---1.14M
----
----
---9.95K
----
----
----
----
----
Change In working capital
58.99%-775.3K
88.58%-1.89M
-175.45%-16.55M
134.74%21.94M
318.25%9.35M
216.47%2.23M
166.71%1.36M
-473.38%-1.92M
---2.04M
--513.83K
-Change in receivables
-104.23%-9.04K
-46.22%213.72K
-94.23%397.41K
193.40%6.89M
-514.10%-7.37M
250.37%1.78M
124.57%274.99K
-540.78%-1.18M
---1.12M
--268.67K
-Change in prepaid assets
-137.39%-270.82K
-56.10%724.24K
287.19%1.65M
-281.09%-881.4K
90.10%-231.29K
-2,195.67%-2.34M
-195.94%-510.2K
108.34%111.52K
--531.78K
---1.34M
-Change in payables and accrued expense
-47.94%-3.86M
19.67%-2.61M
-148.37%-3.25M
-44.72%6.72M
307.96%12.16M
279.62%2.98M
236.59%1.75M
-202.98%-1.66M
---1.28M
--1.61M
-Change in other current assets
1,505.12%56.16K
-85.83%3.5K
161.26%24.69K
-66.45%-40.3K
-82.14%-24.21K
65.06%-13.29K
59.32%-18.05K
-32.05%-38.04K
---44.37K
---28.81K
-Change in other current liabilities
31.53%-150.96K
17.05%-220.46K
14.32%-265.78K
---310.2K
--0
164.71%91.96K
123.37%33.22K
---142.11K
---142.11K
--0
-Change in other working capital
--3.46M
----
-257.97%-15.11M
98.46%9.56M
1,899.06%4.82M
-126.96%-267.84K
-2,164.38%-161.83K
--993.38K
--7.84K
----
Cash from discontinued investing activities
Operating cash flow
47.28%-15.66M
-4.38%-29.7M
41.47%-28.45M
-11.97%-48.61M
-52.17%-43.41M
-57.16%-28.53M
-34.25%-8.54M
-27.26%-18.15M
---6.36M
---14.26M
Investing cash flow
Cash flow from continuing investing activities
-57.05%476.8K
1,535.09%1.11M
88.72%-77.36K
72.67%-686.05K
-135.49%-2.51M
-71.55%7.07M
-106.10%-360.86K
184.23%24.86M
5.91M
-29.51M
Net PPE purchase and sale
53.15%-15.65K
56.81%-33.41K
88.72%-77.36K
72.67%-686.05K
-170.68%-2.51M
-543.35%-927.27K
-316.76%-360.86K
71.71%-144.13K
---86.59K
---509.54K
Net investment purchase and sale
-56.94%492.46K
--1.14M
--0
--0
--0
-68.00%8M
--0
186.21%25M
--6M
---29M
Cash from discontinued investing activities
Investing cash flow
-57.05%476.8K
1,535.09%1.11M
88.72%-77.36K
72.67%-686.05K
-135.49%-2.51M
-71.55%7.07M
-106.10%-360.86K
184.23%24.86M
--5.91M
---29.51M
Financing cash flow
Cash flow from continuing financing activities
17.94%4.45M
170.23%3.77M
-130.11%-5.37M
-87.74%17.82M
3,174.27%145.36M
-93.63%4.44M
-97.49%1.34M
36.50%69.69M
53.38M
51.06M
Net issuance payments of debt
-257.51%-12.24M
36.26%-3.42M
-125.02%-5.37M
3,155.59%21.48M
-114.00%-702.86K
2,039.06%5.02M
2,026.27%1.45M
-77.81%234.68K
---75.35K
--1.06M
Net common stock issuance
--0
--7.33M
--0
-102.70%-3.98M
--147.43M
--0
----
--0
----
----
Net preferred stock issuance
--16.55M
--0
--0
----
----
----
----
38.00%69M
--53M
--50M
Proceeds from stock option exercised by employees
-22.43%138.28K
3,140.98%178.25K
-98.30%5.5K
44.66%323.21K
58.54%223.43K
-69.35%140.93K
-85.13%68.38K
--459.8K
--459.8K
--0
Net other financing activities
----
---315.56K
----
----
-121.07%-1.6M
---721.53K
---177.61K
----
----
----
Cash from discontinued financing activities
Financing cash flow
17.94%4.45M
170.23%3.77M
-130.11%-5.37M
-87.74%17.82M
3,174.27%145.36M
-93.63%4.44M
-97.49%1.34M
36.50%69.69M
--53.38M
--51.06M
Net cash flow
Beginning cash position
-22.50%85.19M
-23.53%109.93M
-17.57%143.76M
132.05%174.39M
-18.78%75.15M
476.22%92.53M
108.95%82.89M
83.82%16.06M
--39.67M
--8.74M
Current changes in cash
56.75%-10.74M
26.78%-24.82M
-7.70%-33.9M
-131.65%-31.47M
684.29%99.43M
-122.28%-17.02M
-114.28%-7.56M
948.88%76.4M
--52.94M
--7.28M
Effect of exchange rate changes
-21.16%64.55K
9.59%81.88K
-91.13%74.72K
537.84%842.2K
47.18%-192.35K
-569.64%-364.18K
-143.67%-183.7K
100.36%77.54K
---75.39K
--38.7K
End cash Position
-12.53%74.52M
-22.50%85.19M
-23.53%109.93M
-17.57%143.76M
132.05%174.39M
-18.78%75.15M
-18.78%75.15M
476.22%92.53M
--92.53M
--16.06M
Free cash flow
47.29%-15.67M
-4.19%-29.73M
42.11%-28.54M
-7.36%-49.3M
-55.86%-45.92M
-60.96%-29.46M
-37.87%-8.9M
-23.86%-18.31M
---6.46M
---14.78M
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
Unqualified Opinion
Unqualified Opinion with Explanatory Notes
Unqualified Opinion with Explanatory Notes
Unqualified Opinion
Unqualified Opinion
--
Unqualified Opinion
--
--
(FY)Dec 31, 2025(FY)Dec 31, 2024(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(Q4)Dec 31, 2020(FY)Dec 31, 2019(Q4)Dec 31, 2019(FY)Dec 31, 2018
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 47.28%-15.66M-4.38%-29.7M41.47%-28.45M-11.97%-48.61M-52.17%-43.41M-57.16%-28.53M-34.25%-8.54M-27.26%-18.15M-6.36M-14.26M
Net income from continuing operations 47.32%-17.61M-76.41%-33.42M76.31%-18.95M-9.28%-79.97M-72.60%-73.18M-158.01%-42.4M-176.72%-12.77M-7.64%-16.43M---4.61M---15.27M
Operating gains losses -250.18%-1.36M163.24%908.69K43.62%-1.44M-509.44%-2.55M-3.50%622.43K152.39%645.02K721.26%567.71K-124.72%-1.23M---91.38K---547.85K
Depreciation and amortization -37.18%589.79K-22.31%938.86K-16.63%1.21M28.84%1.45M31.06%1.13M5.11%858.41K-1.31%211.19K-10.16%816.69K--214K--909K
Other non cash items 79.07%-239.37K---1.14M-----------9.95K--------------------
Change In working capital 58.99%-775.3K88.58%-1.89M-175.45%-16.55M134.74%21.94M318.25%9.35M216.47%2.23M166.71%1.36M-473.38%-1.92M---2.04M--513.83K
-Change in receivables -104.23%-9.04K-46.22%213.72K-94.23%397.41K193.40%6.89M-514.10%-7.37M250.37%1.78M124.57%274.99K-540.78%-1.18M---1.12M--268.67K
-Change in prepaid assets -137.39%-270.82K-56.10%724.24K287.19%1.65M-281.09%-881.4K90.10%-231.29K-2,195.67%-2.34M-195.94%-510.2K108.34%111.52K--531.78K---1.34M
-Change in payables and accrued expense -47.94%-3.86M19.67%-2.61M-148.37%-3.25M-44.72%6.72M307.96%12.16M279.62%2.98M236.59%1.75M-202.98%-1.66M---1.28M--1.61M
-Change in other current assets 1,505.12%56.16K-85.83%3.5K161.26%24.69K-66.45%-40.3K-82.14%-24.21K65.06%-13.29K59.32%-18.05K-32.05%-38.04K---44.37K---28.81K
-Change in other current liabilities 31.53%-150.96K17.05%-220.46K14.32%-265.78K---310.2K--0164.71%91.96K123.37%33.22K---142.11K---142.11K--0
-Change in other working capital --3.46M-----257.97%-15.11M98.46%9.56M1,899.06%4.82M-126.96%-267.84K-2,164.38%-161.83K--993.38K--7.84K----
Cash from discontinued investing activities
Operating cash flow 47.28%-15.66M-4.38%-29.7M41.47%-28.45M-11.97%-48.61M-52.17%-43.41M-57.16%-28.53M-34.25%-8.54M-27.26%-18.15M---6.36M---14.26M
Investing cash flow
Cash flow from continuing investing activities -57.05%476.8K1,535.09%1.11M88.72%-77.36K72.67%-686.05K-135.49%-2.51M-71.55%7.07M-106.10%-360.86K184.23%24.86M5.91M-29.51M
Net PPE purchase and sale 53.15%-15.65K56.81%-33.41K88.72%-77.36K72.67%-686.05K-170.68%-2.51M-543.35%-927.27K-316.76%-360.86K71.71%-144.13K---86.59K---509.54K
Net investment purchase and sale -56.94%492.46K--1.14M--0--0--0-68.00%8M--0186.21%25M--6M---29M
Cash from discontinued investing activities
Investing cash flow -57.05%476.8K1,535.09%1.11M88.72%-77.36K72.67%-686.05K-135.49%-2.51M-71.55%7.07M-106.10%-360.86K184.23%24.86M--5.91M---29.51M
Financing cash flow
Cash flow from continuing financing activities 17.94%4.45M170.23%3.77M-130.11%-5.37M-87.74%17.82M3,174.27%145.36M-93.63%4.44M-97.49%1.34M36.50%69.69M53.38M51.06M
Net issuance payments of debt -257.51%-12.24M36.26%-3.42M-125.02%-5.37M3,155.59%21.48M-114.00%-702.86K2,039.06%5.02M2,026.27%1.45M-77.81%234.68K---75.35K--1.06M
Net common stock issuance --0--7.33M--0-102.70%-3.98M--147.43M--0------0--------
Net preferred stock issuance --16.55M--0--0----------------38.00%69M--53M--50M
Proceeds from stock option exercised by employees -22.43%138.28K3,140.98%178.25K-98.30%5.5K44.66%323.21K58.54%223.43K-69.35%140.93K-85.13%68.38K--459.8K--459.8K--0
Net other financing activities -------315.56K---------121.07%-1.6M---721.53K---177.61K------------
Cash from discontinued financing activities
Financing cash flow 17.94%4.45M170.23%3.77M-130.11%-5.37M-87.74%17.82M3,174.27%145.36M-93.63%4.44M-97.49%1.34M36.50%69.69M--53.38M--51.06M
Net cash flow
Beginning cash position -22.50%85.19M-23.53%109.93M-17.57%143.76M132.05%174.39M-18.78%75.15M476.22%92.53M108.95%82.89M83.82%16.06M--39.67M--8.74M
Current changes in cash 56.75%-10.74M26.78%-24.82M-7.70%-33.9M-131.65%-31.47M684.29%99.43M-122.28%-17.02M-114.28%-7.56M948.88%76.4M--52.94M--7.28M
Effect of exchange rate changes -21.16%64.55K9.59%81.88K-91.13%74.72K537.84%842.2K47.18%-192.35K-569.64%-364.18K-143.67%-183.7K100.36%77.54K---75.39K--38.7K
End cash Position -12.53%74.52M-22.50%85.19M-23.53%109.93M-17.57%143.76M132.05%174.39M-18.78%75.15M-18.78%75.15M476.22%92.53M--92.53M--16.06M
Free cash flow 47.29%-15.67M-4.19%-29.73M42.11%-28.54M-7.36%-49.3M-55.86%-45.92M-60.96%-29.46M-37.87%-8.9M-23.86%-18.31M---6.46M---14.78M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified OpinionUnqualified OpinionUnqualified Opinion with Explanatory NotesUnqualified Opinion with Explanatory NotesUnqualified OpinionUnqualified Opinion--Unqualified Opinion----
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