US Stock MarketDetailed Quotes

Summit Therapeutics (SMMT)

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  • 22.080
  • -0.190-0.85%
Close Apr 24 15:59 ET
  • 22.100
  • +0.020+0.09%
Post 20:01 ET
17.14BMarket Cap-15.33P/E (TTM)

Summit Therapeutics (SMMT) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-127.25%-322.93M
-109.43%-101.94M
-207.23%-93.08M
-102.24%-66.74M
-102.99%-61.17M
-85.13%-142.11M
-150.13%-48.67M
-103.38%-30.3M
-12.74%-33M
-129.49%-30.13M
Net income from continuing operations
-387.81%-1.08B
-258.11%-219.17M
-312.05%-231.79M
-836.84%-565.71M
-44.72%-62.91M
64.01%-221.32M
-67.37%-61.2M
-164.50%-56.25M
-310.31%-60.39M
91.98%-43.47M
Operating gains losses
-239.74%-320K
154.97%94K
-90.49%49K
-92.74%-239K
-2,588.89%-224K
117.09%229K
61.14%-171K
1.98%515K
75.97%-124K
101.01%9K
Depreciation and amortization
64.04%146K
90.91%42K
110.00%42K
85.00%37K
-7.41%25K
-55.05%89K
-26.67%22K
-37.50%20K
-56.52%20K
-70.00%27K
Other non cash items
----
----
----
----
----
-97.15%15.01M
--0
--0
----
----
Change In working capital
102.96%31.42M
1,315.16%8.34M
-12.36%7.86M
614.21%21.41M
-247.36%-6.19M
3,099.81%15.48M
-108.00%-686K
114.64%8.97M
122.91%3M
2,393.99%4.2M
-Change in receivables
----
----
----
----
----
-88.18%535K
-14.04%-203K
-92.47%260K
-390.57%-154K
-47.33%632K
-Change in prepaid assets
166.02%4.87M
114.50%1.21M
4,447.67%3.74M
-161.89%-1.93M
189.16%1.85M
-303.99%-7.37M
-216.21%-8.33M
-108.51%-86K
163.73%3.12M
-726.89%-2.08M
-Change in payables and accrued expense
52.28%31.14M
-6.45%7.34M
-49.13%4.47M
1,334.08%24.95M
-369.98%-5.62M
5,959.89%20.45M
19.14%7.85M
314.10%8.78M
125.37%1.74M
194.64%2.08M
-Change in other current assets
-297.37%-4.88M
-2,578.57%-347K
-6,214.29%-856K
-56,225.00%-2.25M
-158.01%-1.42M
172.20%2.47M
132.56%14K
100.57%14K
99.72%-4K
381.50%2.45M
-Change in other current liabilities
-15.79%80K
49.44%-136K
123.89%506K
143.03%731K
-155.58%-1.02M
--95K
-363.79%-269K
289.66%226K
---1.7M
--1.84M
-Change in other working capital
221.56%203K
456.25%267K
-83.78%6K
40.63%-95K
127.17%25K
53.48%-167K
112.70%48K
628.57%37K
-433.33%-160K
-318.18%-92K
Cash from discontinued investing activities
Operating cash flow
-127.25%-322.93M
-109.43%-101.94M
-207.23%-93.08M
-102.24%-66.74M
-102.99%-61.17M
-85.13%-142.11M
-150.13%-48.67M
-103.38%-30.3M
-12.74%-33M
-129.49%-30.13M
Investing cash flow
Cash flow from continuing investing activities
15.11%-174.31M
-681.15%-485.16M
99.93%-71K
175.37%150.81M
705.75%160.11M
65.06%-205.34M
37.83%83.48M
-3,015.75%-108.62M
-96,756.52%-200.08M
103.08%19.87M
Net PPE purchase and sale
-372.66%-657K
-1,071.43%-164K
-22.41%-71K
--0
-10,450.00%-422K
-241.84%-139K
-600.00%-14K
-9.43%-58K
-130.58%-63K
92.45%-4K
Net investment purchase and sale
8.70%-173.65M
-680.86%-484.99M
--0
175.40%150.81M
707.71%160.53M
-68.53%-190.2M
37.85%83.5M
-2,625.02%-93.55M
-20,001,700.00%-200.02M
111.69%19.88M
Net other investing changes
----
----
----
----
----
96.84%-15.01M
--0
----
----
----
Cash from discontinued investing activities
Investing cash flow
15.11%-174.31M
-681.15%-485.16M
99.93%-71K
175.37%150.81M
705.75%160.11M
65.06%-205.34M
37.83%83.48M
-3,015.75%-108.62M
-96,756.52%-200.08M
103.08%19.87M
Financing cash flow
Cash flow from continuing financing activities
61.99%617.53M
2,530.21%573.82M
-83.44%33.81M
-98.89%2.22M
1,482.89%7.68M
340.66%381.23M
-477.67%-23.61M
89,044.98%204.14M
250,365.00%200.21M
-99.39%485K
Net issuance payments of debt
--0
--0
----
----
----
-305.09%-100M
---24.5M
---75.5M
--0
--0
Net common stock issuance
26.51%604.57M
545,624.76%572.8M
-88.57%31.76M
----
----
335.69%477.89M
-101.87%-105K
45,010.82%278M
--200M
--0
Proceeds from stock option exercised by employees
288.96%12.97M
2.72%1.02M
24.64%2.05M
948.11%2.22M
1,482.89%7.68M
56.38%3.33M
-20.69%993K
617.90%1.64M
--212K
-25.50%485K
Cash from discontinued financing activities
Financing cash flow
61.99%617.53M
2,530.21%573.82M
-83.44%33.81M
-98.89%2.22M
1,482.89%7.68M
340.66%381.23M
-477.67%-23.61M
89,044.98%204.14M
250,365.00%200.21M
-99.39%485K
Net cash flow
Beginning cash position
47.27%105.19M
153.86%238.88M
937.04%298.19M
243.84%211.84M
47.27%105.19M
-88.99%71.43M
295.50%94.1M
-31.73%28.75M
-13.19%61.61M
-88.99%71.43M
Current changes in cash
256.11%120.29M
-218.55%-13.27M
-190.97%-59.34M
362.51%86.29M
1,190.40%106.62M
105.84%33.78M
-76.36%11.2M
459.31%65.23M
-12.77%-32.87M
98.31%-9.78M
Effect of exchange rate changes
666.67%102K
82.41%-19K
-80.70%22K
408.33%61K
205.56%38K
-102.15%-18K
-139.71%-108K
167.06%114K
-95.90%12K
-108.11%-36K
End cash Position
114.46%225.58M
114.46%225.58M
153.86%238.88M
937.04%298.19M
243.84%211.84M
47.27%105.19M
47.27%105.19M
295.50%94.1M
-31.73%28.75M
-13.19%61.61M
Free cash flow
-127.49%-323.59M
-109.71%-102.1M
-206.87%-93.15M
-101.86%-66.74M
-104.36%-61.59M
-85.00%-142.25M
-150.18%-48.69M
-103.04%-30.36M
-12.88%-33.07M
-128.60%-30.14M
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
--
--
--
--
(FY)Dec 31, 2025(Q4)Dec 31, 2025(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -127.25%-322.93M-109.43%-101.94M-207.23%-93.08M-102.24%-66.74M-102.99%-61.17M-85.13%-142.11M-150.13%-48.67M-103.38%-30.3M-12.74%-33M-129.49%-30.13M
Net income from continuing operations -387.81%-1.08B-258.11%-219.17M-312.05%-231.79M-836.84%-565.71M-44.72%-62.91M64.01%-221.32M-67.37%-61.2M-164.50%-56.25M-310.31%-60.39M91.98%-43.47M
Operating gains losses -239.74%-320K154.97%94K-90.49%49K-92.74%-239K-2,588.89%-224K117.09%229K61.14%-171K1.98%515K75.97%-124K101.01%9K
Depreciation and amortization 64.04%146K90.91%42K110.00%42K85.00%37K-7.41%25K-55.05%89K-26.67%22K-37.50%20K-56.52%20K-70.00%27K
Other non cash items ---------------------97.15%15.01M--0--0--------
Change In working capital 102.96%31.42M1,315.16%8.34M-12.36%7.86M614.21%21.41M-247.36%-6.19M3,099.81%15.48M-108.00%-686K114.64%8.97M122.91%3M2,393.99%4.2M
-Change in receivables ---------------------88.18%535K-14.04%-203K-92.47%260K-390.57%-154K-47.33%632K
-Change in prepaid assets 166.02%4.87M114.50%1.21M4,447.67%3.74M-161.89%-1.93M189.16%1.85M-303.99%-7.37M-216.21%-8.33M-108.51%-86K163.73%3.12M-726.89%-2.08M
-Change in payables and accrued expense 52.28%31.14M-6.45%7.34M-49.13%4.47M1,334.08%24.95M-369.98%-5.62M5,959.89%20.45M19.14%7.85M314.10%8.78M125.37%1.74M194.64%2.08M
-Change in other current assets -297.37%-4.88M-2,578.57%-347K-6,214.29%-856K-56,225.00%-2.25M-158.01%-1.42M172.20%2.47M132.56%14K100.57%14K99.72%-4K381.50%2.45M
-Change in other current liabilities -15.79%80K49.44%-136K123.89%506K143.03%731K-155.58%-1.02M--95K-363.79%-269K289.66%226K---1.7M--1.84M
-Change in other working capital 221.56%203K456.25%267K-83.78%6K40.63%-95K127.17%25K53.48%-167K112.70%48K628.57%37K-433.33%-160K-318.18%-92K
Cash from discontinued investing activities
Operating cash flow -127.25%-322.93M-109.43%-101.94M-207.23%-93.08M-102.24%-66.74M-102.99%-61.17M-85.13%-142.11M-150.13%-48.67M-103.38%-30.3M-12.74%-33M-129.49%-30.13M
Investing cash flow
Cash flow from continuing investing activities 15.11%-174.31M-681.15%-485.16M99.93%-71K175.37%150.81M705.75%160.11M65.06%-205.34M37.83%83.48M-3,015.75%-108.62M-96,756.52%-200.08M103.08%19.87M
Net PPE purchase and sale -372.66%-657K-1,071.43%-164K-22.41%-71K--0-10,450.00%-422K-241.84%-139K-600.00%-14K-9.43%-58K-130.58%-63K92.45%-4K
Net investment purchase and sale 8.70%-173.65M-680.86%-484.99M--0175.40%150.81M707.71%160.53M-68.53%-190.2M37.85%83.5M-2,625.02%-93.55M-20,001,700.00%-200.02M111.69%19.88M
Net other investing changes --------------------96.84%-15.01M--0------------
Cash from discontinued investing activities
Investing cash flow 15.11%-174.31M-681.15%-485.16M99.93%-71K175.37%150.81M705.75%160.11M65.06%-205.34M37.83%83.48M-3,015.75%-108.62M-96,756.52%-200.08M103.08%19.87M
Financing cash flow
Cash flow from continuing financing activities 61.99%617.53M2,530.21%573.82M-83.44%33.81M-98.89%2.22M1,482.89%7.68M340.66%381.23M-477.67%-23.61M89,044.98%204.14M250,365.00%200.21M-99.39%485K
Net issuance payments of debt --0--0-------------305.09%-100M---24.5M---75.5M--0--0
Net common stock issuance 26.51%604.57M545,624.76%572.8M-88.57%31.76M--------335.69%477.89M-101.87%-105K45,010.82%278M--200M--0
Proceeds from stock option exercised by employees 288.96%12.97M2.72%1.02M24.64%2.05M948.11%2.22M1,482.89%7.68M56.38%3.33M-20.69%993K617.90%1.64M--212K-25.50%485K
Cash from discontinued financing activities
Financing cash flow 61.99%617.53M2,530.21%573.82M-83.44%33.81M-98.89%2.22M1,482.89%7.68M340.66%381.23M-477.67%-23.61M89,044.98%204.14M250,365.00%200.21M-99.39%485K
Net cash flow
Beginning cash position 47.27%105.19M153.86%238.88M937.04%298.19M243.84%211.84M47.27%105.19M-88.99%71.43M295.50%94.1M-31.73%28.75M-13.19%61.61M-88.99%71.43M
Current changes in cash 256.11%120.29M-218.55%-13.27M-190.97%-59.34M362.51%86.29M1,190.40%106.62M105.84%33.78M-76.36%11.2M459.31%65.23M-12.77%-32.87M98.31%-9.78M
Effect of exchange rate changes 666.67%102K82.41%-19K-80.70%22K408.33%61K205.56%38K-102.15%-18K-139.71%-108K167.06%114K-95.90%12K-108.11%-36K
End cash Position 114.46%225.58M114.46%225.58M153.86%238.88M937.04%298.19M243.84%211.84M47.27%105.19M47.27%105.19M295.50%94.1M-31.73%28.75M-13.19%61.61M
Free cash flow -127.49%-323.59M-109.71%-102.1M-206.87%-93.15M-101.86%-66.74M-104.36%-61.59M-85.00%-142.25M-150.18%-48.69M-103.04%-30.36M-12.88%-33.07M-128.60%-30.14M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------
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