Ultragenyx Pharmaceutical Inc logo

Ultragenyx Pharmaceutical Inc

RARE
Healthcare|Biotechnology|USA
$33.82
-0.81 (-2.34%)

Financials

Financial Snapshot

Market Cap
$3.33B
Enterprise Value
$370.0M
Revenue (TTM)
$669.7M
Net Income (TTM)
$-608.9M
Cash & Equivalents
Net Cash/Share
$-11.38
Free Cash Flow (TTM)
$-508.0M
Operating CF (TTM)
$-497.0M
Debt/Equity
-0.15

Cash Runway & Burn Rate

Cash on Hand
$0.00
Quarterly Burn
$124.3M
Monthly Burn
$41.4M
Est. Runway
MetricTrend2016201720182019202020212022202320242025TTM
Cash & Investments
$380.1M$234.5M$459.7M$755.2M$1.20B$740.2M$747.8M$577.2M$610.0M$680.0M$413.0M
Operating Cash Flow
$-161.0M$-253.8M$-290.6M$-345.4M$-132.2M$-338.7M$-380.5M$-475.0M$-414.0M$-466.0M$-497.0M
Free Cash Flow
$-171.2M$-256.6M$-294.6M$-370.2M$-176.1M$-411.8M$-526.6M$-522.0M$-434.0M$-487.0M$-508.0M
Capital Expenditure
$-10.2M$-2.8M$-4.1M$-24.8M$-43.9M$-73.1M$-146.1M$-47.0M$-20.0M$-21.0M$-11.0M
Financing Cash Flow
$138.7M$136.3M$336.9M$679.3M$600.3M$118.6M$501.2M$388.0M$399.0M$478.0M$394.2M

R&D Spending

R&D (TTM)
$771.2M
R&D Intensity
115.2%
R&D Growth YoY
+2.8%
MetricTrend2016201720182019202020212022202320242025TTM
Revenue
$133.0K$2.6M$51.5M$103.7M$271.0M$351.4M$363.3M$434.0M$560.0M$673.0M$669.7M
R&D Expense
$183.2M$231.6M$294.0M$357.4M$412.1M$497.2M$705.8M$648.0M$698.0M$750.0M$771.2M
R&D % of Revenue
137747.4%8868.5%570.9%344.6%152.0%141.5%194.3%149.3%124.6%111.4%115.2%
SG&A
$64.9M$99.9M$127.7M$161.5M$182.9M$220.0M$278.1M$310.0M$321.0M$349.0M$349.2M

Income Statement

MetricTrend2016201720182019202020212022202320242025TTM
Revenue
$133.0K$2.6M$51.5M$103.7M$271.0M$351.4M$363.3M$434.0M$560.0M$673.0M$669.7M
Cost of Goods Sold
$0.00$1.0K$1.1M$9.0M$6.1M$16.0M$28.3M$45.0M$77.0M$109.0M$110.3M
Gross Profit
$133.0K$2.6M$50.3M$94.7M$264.9M$335.4M$335.0M$389.0M$483.0M$564.0M$559.4M
R&D
$183.2M$231.6M$294.0M$357.4M$412.1M$497.2M$705.8M$648.0M$698.0M$750.0M$771.2M
SG&A
$64.9M$99.9M$127.7M$161.5M$182.9M$220.0M$278.1M$310.0M$321.0M$349.0M$349.2M
Operating Income
$-248.0M$-328.9M$-371.4M$-424.2M$-330.1M$-381.7M$-648.9M$-569.0M$-536.0M$-535.0M$-561.1M
Interest Expense
$0.00$0.00$0.00$-1.1M$-33.3M$-29.4M$-43.0M$-66.0M$-63.0M$-62.0M$-68.7M
Pretax Income
$-245.8M$-318.3M$-197.1M$-399.4M$-185.4M$-453.0M$-701.7M$-609.0M$-567.0M$-571.0M$-605.2M
Net Income
$-245.9M$-302.1M$-197.6M$-402.7M$-186.6M$-454.0M$-707.4M$-607.0M$-569.0M$-575.0M$-608.9M
EPS (Diluted)
-6.21-7.12-3.97-7.12-3.07-6.70-10.12-8.25-6.29-5.83-6.11
EBITDA
$-244.6M$-312.5M$-177.6M$-389.8M$-139.8M$-410.3M$-640.5M$-517.0M$-468.0M$-474.0M$-502.6M
Shares Out. (M)
39.5942.4549.7756.5860.8567.8069.9173.5090.5098.60100.60

Balance Sheet

MetricTrend2016201720182019202020212022202320242025TTM
Cash & Equivalents
$161.1M$100.5M$113.4M$433.6M$713.5M$307.6M$132.9M$213.6M$174.0M$421.0M$175.0M
Marketable Securities
$219.0M$134.0M$346.3M$321.6M$488.0M$432.6M$614.8M$363.6M$436.0M$259.0M$238.0M
Total Current Assets
$401.7M$269.6M$522.4M$851.0M$1.30B$856.6M$883.9M$732.2M$817.0M$951.0M$657.0M
Total Assets
$540.6M$490.8M$719.6M$1.14B$1.76B$1.52B$1.55B$1.49B$1.50B$1.53B$1.30B
Total Current Liabilities
$60.3M$71.0M$74.7M$103.3M$189.6M$181.4M$261.2M$280.4M$344.0M$384.0M$325.0M
Long-Term Debt
$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00
Total Liabilities
$66.7M$107.3M$110.7M$481.7M$605.2M$599.8M$1.19B$1.22B$1.24B$1.60B$1.52B
Stockholders' Equity
$474.0M$383.5M$608.9M$653.8M$1.15B$922.6M$352.5M$275.4M$255.0M$-80.0M$-236.0M
Retained Earnings
$-530.5M$-832.7M$-1.03B$-1.43B$-1.62B$-2.07B$-2.78B$-3.39B$-3.96B$-4.53B$-4.72B

Cash Flow Statement

MetricTrend2016201720182019202020212022202320242025TTM
Operating Cash Flow
$-161.0M$-253.8M$-290.6M$-345.4M$-132.2M$-338.7M$-380.5M$-475.0M$-414.0M$-466.0M$-497.0M
Capital Expenditure
$-10.2M$-2.8M$-4.1M$-24.8M$-43.9M$-73.1M$-146.1M$-47.0M$-20.0M$-21.0M$-11.0M
Free Cash Flow
$-171.2M$-256.6M$-294.6M$-370.2M$-176.1M$-411.8M$-526.6M$-522.0M$-434.0M$-487.0M$-508.0M
Investing Cash Flow
$91.1M$55.5M$-33.3M$-13.0M$-179.1M$-195.4M$-291.7M$168.0M$-18.0M$236.0M$67.0M
Financing Cash Flow
$138.7M$136.3M$336.9M$679.3M$600.3M$118.6M$501.2M$388.0M$399.0M$478.0M$394.2M
Issuance of Stock
$79.5M$132.0M$309.0M$355.2M$511.2M$78.9M$0.00$387.0M$392.0M$86.0M$6.3M
Repurchase of Stock
$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00
Issuance of Debt
$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00
Payments of Debt
$0.00$-4.9M$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00
Stock Based Comp.
$48.3M$68.0M$80.1M$82.0M$85.7M$105.0M$130.4M$135.0M$158.0M$153.0M$143.0M
Net Change in Cash
$68.8M$-61.6M$12.5M$320.7M$290.1M$-416.7M$-172.0M$81.0M$-35.0M$252.0M$-33.8M

Dilution Tracker

Shares outstanding grew 48.4% over 5 years — significant dilution
Shares Outstanding
101M
5-Year Share Growth
+48.4%
Stock Issuance (TTM)
$6.3M
MetricTrend2016201720182019202020212022202320242025TTM
Shares Out. (M)
39.5942.4549.7756.5860.8567.8069.9173.5090.5098.60100.60
YoY Change %
7.2%17.2%13.7%7.5%11.4%3.1%5.1%23.1%9.0%2.0%
Stock Issuance
$79.5M$132.0M$309.0M$355.2M$511.2M$78.9M$0.00$387.0M$392.0M$86.0M$6.3M
Stock Repurchase
$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00
Stock Based Comp.
$48.3M$68.0M$80.1M$82.0M$85.7M$105.0M$130.4M$135.0M$158.0M$153.0M$143.0M

Margins & Profitability

MetricTrend2016201720182019202020212022202320242025TTM
Gross Margin %
0.0%100.0%97.8%91.3%97.7%95.4%92.2%89.6%86.3%83.8%83.5%
Operating Margin %
-186471.4%-12593.5%-721.2%-409.0%-121.8%-108.6%-178.6%-131.1%-95.7%-79.5%-83.8%
Net Margin %
-184867.7%-11567.3%-383.7%-388.3%-68.8%-129.2%-194.7%-139.9%-101.6%-85.4%-90.9%
EBITDA Margin %
-183897.0%-11964.5%-344.8%-375.8%-51.6%-116.8%-176.3%-119.1%-83.6%-70.4%-75.0%
FCF Margin %
-128694.0%-9825.3%-572.2%-357.0%-65.0%-117.2%-144.9%-120.3%-77.5%-72.4%-75.8%
ROE %
-48.9%-70.5%-39.8%-63.8%-20.6%-43.7%-111.0%-193.3%-214.5%-657.1%0.0%
ROA %
-44.7%-58.6%-32.7%-43.4%-12.9%-27.7%-46.1%-40.0%-38.0%-37.9%-45.9%
R&D / Revenue-----------

Valuation

P/E (TTM)At Loss
HistoricalAt Loss / At Loss / At Loss
Industry Med.27.41
P/S5.03
Historical2.84 / 16.87 / 29416.67
Industry Med.9.51
P/B
Historical2.87 / 6.46 / 382.95
Industry Med.2.93
EV/EBITDA-5.36
Historical-66.81 / -7.49 / -2.59
Industry Med.13.14
EV/Revenue4.02
Historical1.93 / 15.22 / 24209.28
Industry Med.8.71
P/FCF
Historical / /
Industry Med.27.54

Intrinsic Value Models

MetricTrend2016201720182019202020212022202320242025TTM
PE RatioAt LossAt LossAt LossAt LossAt LossAt LossAt LossAt LossAt LossAt LossAt Loss
PS Ratio
23436.67748.0642.0123.3031.0816.228.918.106.803.375.03
PB Ratio
6.125.343.633.788.016.329.2314.2915.260.000.00
EV/EBITDA
-10.30-5.80-9.87-4.50-57.91-12.51-3.96-6.58-7.11-3.34-5.36
EV/Revenue
18943.13694.4834.0216.8929.8714.616.987.845.942.354.02

Analyst Estimates & Quality

Altman Z-Score
-4.33
Distress
Piotroski F-Score
3
Weak
Beneish M-Score
-2.64
Unlikely Manipulator

Forward Estimates

MetricCurrent YearNext Year2 Years Out
Revenue$742.0M$983.2M$1,235.8M
Net Income$-471.1M$-86.7M$66.5M
EPS-4.25-1.180.51
Book Value per Share1.032.592.61
Operating Cash Flow per Share-3.510.372.75
Operating CF$-352.60M$37.22M$276.65M

Dividends

Revenue Segments

By Business

Segment2025
Research, development and commercialization of its products$673.0M

By Geography

Segment2025
North America$377.0M
Asia-Pacific$18.0M
Europe, Middle East, and Africa$108.0M
Latin America$170.0M