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CSTL Castle Biosciences Inc

23.26
-0.95 (-3.92%)
May 31 2024 - Closed
Delayed by 15 minutes

Income Statement

Balance Sheet

Cash Flow

Quarter End Jun 2022Sep 2022Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024
USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)
Total Assets 458.38M457.81M447.33M426.89M425.4M436.02M453.34M458.51M
Total Current Assets 304.91M299.41M292.29M271.1M269.05M279.62M295.64M295.78M
Cash and Equivalents 273.17M134.18M122.95M114.82M95.87M91.22M98.84M82.95M
Total Non-Current Assets 164.67M171.45M169.36M174.05M176.86M178.42M183.14M195.63M
Total Liabilities 36.72M46.38M48.18M41.74M46.63M50.24M62.07M56.05M
Total Current Liabilities 27.52M31.94M36.13M30.14M33.72M36.32M47.67M31.96M
Total Non-Current Liabilities 9.36M14.56M12.05M11.6M12.92M13.91M14.4M34.09M
Common Equity 26k26k27k27k27k27k27k28k
Retained Earnings -120.04M-140.29M-160.91M-190.11M-208.89M-215.79M-218.37M-220.91M
Year End December 30 2023 2017201820192020202120222023
USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)
Total Assets 9.82M22.41M119.75M439.33M462.57M447.33M453.34M
Total Current Assets 6.68M18.13M116.68M429.59M353.74M292.29M295.64M
Cash and Equivalents 1.21M4.48M98.85M409.85M329.63M122.95M98.84M
Total Non-Current Assets -50.31M-56.57M85.11M415.69M411.74M399.15M391.27M
Total Liabilities 24.09M32.47M34.63M23.64M50.83M48.18M62.07M
Total Current Liabilities 5.22M6.74M15.29M20.88M24.89M36.13M47.67M
Total Non-Current Liabilities 36.47M50.24M38.63M2.76M26.07M12.05M14.4M
Total Equity -50.31M-56.57M85.11M415.69M411.74M399.15M391.27M
Common Equity 2k2k17k25k25k27k27k
Retained Earnings -51.12M-57.49M-52.21M-62.5M-93.77M-160.91M-218.37M

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