ImmunityBio Inc logo

ImmunityBio Inc

IBRX
Healthcare|Biotechnology|USA
$8.23
-0.65 (-7.33%)

Financials

Financial Snapshot

Market Cap
$8.62B
Enterprise Value
$-339.2M
Revenue (TTM)
$141.0M
Net Income (TTM)
$-854.5M
Cash & Equivalents
Net Cash/Share
$-1.08
Free Cash Flow (TTM)
$-299.3M
Operating CF (TTM)
$-294.4M
Debt/Equity
-0.83

Cash Runway & Burn Rate

Cash on Hand
$0.00
Quarterly Burn
$73.6M
Monthly Burn
$24.5M
Est. Runway
MetricTrend2019202020212022202320242025TTM
Cash & Investments
$0.00$96.1M$317.1M$107.2M$266.5M$149.8M$242.8M$380.9M
Operating Cash Flow
$-152.1M$-171.7M$-274.4M$-337.5M$-366.8M$-391.2M$-304.9M$-294.4M
Free Cash Flow
$-156.4M$-173.4M$-308.0M$-436.9M$-397.3M$-398.1M$-309.2M$-299.3M
Capital Expenditure
$-4.3M$-1.7M$-33.6M$-99.4M$-30.6M$-6.9M$-4.3M$-4.9M
Financing Cash Flow
$114.3M$150.7M$505.4M$233.6M$558.3M$281.6M$400.2M$625.1M

R&D Spending

R&D (TTM)
$238.3M
R&D Intensity
169.0%
R&D Growth YoY
+9.0%
MetricTrend2019202020212022202320242025TTM
Revenue
$2.2M$605.0K$934.0K$240.0K$622.0K$14.7M$113.3M$141.0M
R&D Expense
$112.0M$139.5M$196.0M$248.1M$232.4M$190.1M$218.6M$238.3M
R&D % of Revenue
5086.1%23059.0%20980.5%103395.4%37357.9%1289.5%192.9%169.0%
SG&A
$46.5M$71.3M$135.3M$102.7M$129.6M$168.8M$150.0M$163.1M

Income Statement

MetricTrend2019202020212022202320242025TTM
Revenue
$2.2M$605.0K$934.0K$240.0K$622.0K$14.7M$113.3M$141.0M
Cost of Goods Sold
$0.00$0.00$0.00$0.00$0.00$0.00$753.0K$933.0K
Gross Profit
$2.2M$605.0K$934.0K$240.0K$622.0K$14.7M$112.5M$140.0M
R&D
$112.0M$139.5M$196.0M$248.1M$232.4M$190.1M$218.6M$238.3M
SG&A
$46.5M$71.3M$135.3M$102.7M$129.6M$168.8M$150.0M$163.1M
Operating Income
$-156.3M$-210.2M$-330.3M$-350.6M$-361.4M$-344.2M$-256.0M$-261.4M
Interest Expense
$-5.9M$-9.1M$-14.8M$-47.1M$-86.8M$-131.7M$-112.5M$-112.1M
Pretax Income
$-160.3M$-226.0M$-349.8M$-417.3M$-583.9M$-413.6M$-351.6M$-854.5M
Net Income
$-157.8M$-221.9M$-346.8M$-416.6M$-583.2M$-413.6M$-351.4M$-854.5M
EPS (Diluted)
-0.41-0.58-0.89-1.04-1.15-0.62-0.38-0.85
EBITDA
$-140.3M$-204.2M$-320.8M$-351.9M$-478.6M$-264.4M$-223.6M$-726.3M
Shares Out. (M)
383.18383.18389.23399.90508.64700.44919.861026.87

Balance Sheet

MetricTrend2019202020212022202320242025TTM
Cash & Equivalents
$0.00$34.9M$181.1M$104.6M$265.5M$143.4M$88.3M$205.2M
Marketable Securities
$0.00$61.1M$136.0M$2.5M$1.0M$6.4M$154.5M$175.7M
Total Current Assets
$0.00$111.7M$334.3M$140.6M$294.1M$184.6M$314.9M$453.0M
Total Assets
$0.00$221.4M$468.9M$362.4M$504.5M$382.9M$501.9M$646.6M
Total Current Liabilities
$0.00$68.1M$369.0M$500.9M$58.3M$54.9M$61.8M$68.0M
Long-Term Debt
$0.00$254.4M$306.3M$241.3M$681.5M$461.9M$477.1M$678.4M
Total Liabilities
-$339.9M$712.8M$812.2M$1.09B$871.1M$1.00B$1.52B
Stockholders' Equity
$0.00$-119.8M$-242.2M$-447.3M$-587.0M$-489.1M$-500.5M$-870.0M
Retained Earnings
$0.00$-1.62B$-1.96B$-2.38B$-2.96B$-3.38B$-3.73B$-4.36B

Cash Flow Statement

MetricTrend2019202020212022202320242025TTM
Operating Cash Flow
$-152.1M$-171.7M$-274.4M$-337.5M$-366.8M$-391.2M$-304.9M$-294.4M
Capital Expenditure
$-4.3M$-1.7M$-33.6M$-99.4M$-30.6M$-6.9M$-4.3M$-4.9M
Free Cash Flow
$-156.4M$-173.4M$-308.0M$-436.9M$-397.3M$-398.1M$-309.2M$-299.3M
Investing Cash Flow
$18.6M$-19.8M$-84.9M$27.3M$-30.5M$-12.2M$-149.8M$-185.6M
Financing Cash Flow
$114.3M$150.7M$505.4M$233.6M$558.3M$281.6M$400.2M$625.1M
Issuance of Stock
$30.0M$86.3M$164.5M$60.4M$100.6M$111.4M$400.6M$502.8M
Repurchase of Stock
$-2.5M$0.00$0.00$0.00$0.00$0.00$0.00$0.00
Issuance of Debt
$47.7M$63.7M$677.0M$174.1M$258.7M$0.00$2.9M$2.9M
Payments of Debt
$0.00$0.00$-338.5M$-58.0K$-77.0K$-64.0K$-28.0K$-41.0K
Stock Based Comp.
$3.4M$2.2M$57.2M$40.2M$49.2M$34.4M$36.8M$35.4M
Net Change in Cash
$-19.3M$-40.9M$146.2M$-76.3M$160.8M$-121.9M$-54.5M$145.3M

Dilution Tracker

Shares outstanding grew 163.8% over 5 years — significant dilution
Shares Outstanding
1027M
5-Year Share Growth
+163.8%
Stock Issuance (TTM)
$502.8M
MetricTrend2019202020212022202320242025TTM
Shares Out. (M)
383.18383.18389.23399.90508.64700.44919.861026.87
YoY Change %
0.0%1.6%2.7%27.2%37.7%31.3%11.6%
Stock Issuance
$30.0M$86.3M$164.5M$60.4M$100.6M$111.4M$400.6M$502.8M
Stock Repurchase
$-2.5M$0.00$0.00$0.00$0.00$0.00$0.00$0.00
Stock Based Comp.
$3.4M$2.2M$57.2M$40.2M$49.2M$34.4M$36.8M$35.4M

Margins & Profitability

MetricTrend2019202020212022202320242025TTM
Gross Margin %
0.0%0.0%0.0%0.0%0.0%0.0%99.3%99.3%
Operating Margin %
-7095.9%-34747.1%-35361.9%-146090.4%-58097.1%-2334.2%-226.0%-185.4%
Net Margin %
-7165.2%-36669.6%-37129.6%-173569.6%-93761.4%-2804.8%-310.2%-606.1%
EBITDA Margin %
-6371.5%-33755.4%-34341.8%-146617.1%-76941.6%-1792.8%-197.3%-515.2%
FCF Margin %
-7102.5%-28660.0%-32974.5%-182041.7%-63881.2%-2700.1%-272.9%-212.3%
ROE %
0.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%
ROA %
--100.2%-100.5%-100.2%-134.6%-93.2%-79.4%-180.0%
R&D / Revenue--------

Valuation

P/E (TTM)At Loss
HistoricalAt Loss / At Loss / At Loss
Industry Med.27.51
P/S56.38
Historical16.56 / 2680.00 / 35530.00
Industry Med.9.49
P/B
Historical / /
Industry Med.2.93
EV/EBITDA-12.34
Historical-67.55 / -8.97 / -3.37
Industry Med.13.02
EV/Revenue63.56
Historical20.10 / 2934.82 / 22801.91
Industry Med.8.59
P/FCF
Historical / /
Industry Med.27.13

Intrinsic Value Models

MetricTrend2019202020212022202320242025TTM
PE RatioN/AN/AAt LossAt LossAt LossAt LossAt LossAt Loss
PS Ratio
0.000.003040.005070.005020.00121.9016.1056.38
PB Ratio
0.000.000.000.000.000.000.000.00
EV/EBITDA
0.000.00-8.56-7.82-8.00-9.60-10.20-12.34
EV/Revenue
0.000.002939.6311464.386156.05172.1820.1263.56

Analyst Estimates & Quality

Altman Z-Score
-8.88
Distress
Piotroski F-Score
3
Weak
Beneish M-Score
-0.14
Possible Manipulator

Forward Estimates

MetricCurrent YearNext Year2 Years Out
Revenue$222.3M$452.0M$1,406.5M
Net Income$-880.8M$-168.4M$565.5M
EPS-0.85-0.160.54
Book Value per Share0.000.000.00
Operating Cash Flow per Share0.000.000.00
Operating CF$0.00M$0.00M$0.00M

Dividends

Revenue Segments

By Business

Segment2025
Product revenue, net$113.0M
Other revenues$306.0K

By Geography

Segment2025
U.S.$113.0M
Europe$278.0K