2seventy bio Balance Sheet Health
Financial Health criteria checks 5/6
2seventy bio tiene unos fondos propios totales de $306.4M y una deuda total de $0.0, lo que sitúa su ratio deuda/fondos propios en 0%. Sus activos y pasivos totales son $640.8M y $334.4M respectivamente.
Key information
0%
Debt to equity ratio
US$0
Debt
Interest coverage ratio | n/a |
Cash | US$216.99m |
Equity | US$255.30m |
Total liabilities | US$310.13m |
Total assets | US$565.43m |
Recent financial health updates
Here's Why We're Watching 2seventy bio's (NASDAQ:TSVT) Cash Burn Situation
Jan 17We're Keeping An Eye On 2seventy bio's (NASDAQ:TSVT) Cash Burn Rate
Oct 04Recent updates
These Analysts Just Made A Massive Downgrade To Their 2seventy bio, Inc. (NASDAQ:TSVT) EPS Forecasts
Mar 072seventy bio, Inc. (NASDAQ:TSVT) Held Back By Insufficient Growth Even After Shares Climb 49%
Feb 06Here's Why We're Watching 2seventy bio's (NASDAQ:TSVT) Cash Burn Situation
Jan 172seventy bio, Inc. (NASDAQ:TSVT) Shares Fly 44% But Investors Aren't Buying For Growth
Dec 13Industry Analysts Just Made A Dazzling Upgrade To Their 2seventy bio, Inc. (NASDAQ:TSVT) Revenue Forecasts
May 05Industry Analysts Just Upgraded Their 2seventy bio, Inc. (NASDAQ:TSVT) Revenue Forecasts By 12%
Mar 212seventy bio, Inc. (NASDAQ:TSVT) Just Reported Annual Earnings And Analysts Are Lifting Their Estimates
Mar 19We're Keeping An Eye On 2seventy bio's (NASDAQ:TSVT) Cash Burn Rate
Oct 042seventy Bio: This Spinoff In The CAR-T Space Is Attractive
Sep 082seventy bio Prospects
Aug 23Time To Worry? Analysts Just Downgraded Their 2seventy bio, Inc. (NASDAQ:TSVT) Outlook
Aug 122seventy bio GAAP EPS of -$2.02 misses by $0.09, revenue of $13.48M misses by $3.04M
Aug 10Financial Position Analysis
Pasivos a corto plazo: TSVTLos activos a corto plazo ($277.3M) de la empresa superan a sus pasivos a corto plazo ($68.0M).
Pasivo a largo plazo: Los activos a corto plazo de TSVT ($237.8M) no cubren sus pasivos a largo plazo ($250.3M).
Debt to Equity History and Analysis
Nivel de deuda: TSVT está libre de deudas.
Reducción de la deuda: TSVT no tenía deudas hace 5 años.
Balance Sheet
Cash Runway Analysis
For companies that have on average been loss-making in the past, we assess whether they have at least 1 year of cash runway.
Cash runway estable: TSVT tiene suficiente margen de tesorería para más de un año basándose en su flujo de caja libre actual.
Pronóstico de cash runway: TSVT dispone de suficiente liquidez para 1.2 años si el flujo de caja libre sigue reduciéndose al ritmo histórico de 3% cada año.