This company listing is no longer active
Radius Health Balans Gezondheid
Financiële gezondheid criteriumcontroles 2/6
Belangrijke informatie
-124.2%
Verhouding schuld/eigen vermogen
US$339.57m
Schuld
Rente dekkingsratio | n/a |
Contant | US$72.49m |
Aandelen | -US$273.40m |
Totaal verplichtingen | US$427.84m |
Totaal activa | US$154.44m |
Recente financiële gezondheidsupdates
Recent updates
Radius Recycling Stays In The Scrap Pile
Jul 16Radius Recycling: An Attractive, But Volatile, Play On A Cleaner Future
Jun 03Radius stock rises as elacestrant gets FDA priority review to treat breast cancer subtype
Aug 11Reevaluating Radius Health
Feb 24Radius Health EPS misses by $0.02, misses on revenue
May 07When Will Radius Health, Inc. (NASDAQ:RDUS) Become Profitable?
Feb 23Revisiting Radius Health
Feb 01Radius Health acquires global rights to RAD011 in Prader-Willi syndrome
Jan 06How Much Did Radius Health's(NASDAQ:RDUS) Shareholders Earn From Share Price Movements Over The Last Five Years?
Jan 01Radius Health on-track for record quarterly revenue for TYMLOS-SC
Dec 15Analyse van de financiële positie
Kortlopende schulden: RDUS has negative shareholder equity, which is a more serious situation than short term assets not covering short term liabilities.
Langlopende schulden: RDUS has negative shareholder equity, which is a more serious situation than short term assets not covering long term liabilities.
Schuld/ eigen vermogen geschiedenis en analyse
Schuldniveau: RDUS has negative shareholder equity, which is a more serious situation than a high debt level.
Schuld verminderen: RDUS's has negative shareholder equity, so we do not need to check if its debt has reduced over time.
Balans
Analyse van de cashflow
Voor bedrijven die in het verleden gemiddeld verliesgevend zijn geweest, beoordelen we of ze ten minste 1 jaar kasstroom hebben.
Stabiele cash runway: RDUS has sufficient cash runway for more than a year based on its current free cash flow.
Voorspelling contante baan: RDUS has sufficient cash runway for 1.8 years if free cash flow continues to grow at historical rates of 23.4% each year.