AVITA Medical Inc.

NASDAQ: RCEL · Real-Time Price · USD
5.71
-0.09 (-1.55%)
At close: Aug 15, 2025, 2:20 PM

AVITA Medical Balance Sheet Statement

Financials in USD. Fiscal year is January - December.
Fiscal Year Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Jun 30, 2025 Mar 31, 2025 Dec 31, 2024 Sep 30, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021
Cash & Equivalents
12.22M 14.87M 14.05M 18.64M 17.45M 16.95M 22.12M 79.11M 56.28M 41.96M 26.68M 36.92M 50.31M 31.45M 55.51M 60.48M 110.75M 151.24M
Short-Term Investments
3.47M 10.95M 21.84M 25.77M 36.6M 51.23M 66.94M 14.41M 42.88M 67.91M 89.86M 94.68M 71.87M 79.96M 29.65M 29.7M n/a n/a
Long-Term Investments
n/a n/a n/a n/a n/a n/a n/a n/a 4.13M 6.27M 10.18M 6.27M 9.77M 15.61M 19.69M 19.8M n/a n/a
Other Long-Term Assets
3.75M 2.89M 3.55M 3.6M 3.36M 3.28M 2.83M 3.36M 3.57M 3.09M 2M 2.34M 1.8M 1.55M 942K 703K 761K 830.71K
Receivables
11.65M 12.15M 11.96M 13.29M 10.01M 9.37M 7.92M 9.45M 9.3M 7.51M 5.19M 6.79M 6.12M 5.56M 3.43M 3.72M 7.4M 7.21M
Inventory
7.54M 8.39M 7.27M 6.23M 6.71M 7.17M 5.6M 6.81M 4.59M 4.2M 3.12M 3.06M 2.93M 2.41M 2.13M 1.89M 1.65M 2.36M
Other Current Assets
1.37M 1.61M 1.88M -2.89M 24K 49K 38K 5.22M 3.29M 2.22M 3.61M 1.94M 1.75M 1.8M 290K 1.13M 1.33M 2.05M
Total Current Assets
36.25M 47.97M 57M 63.92M 72.96M 85.99M 104.01M 115M 116.35M 123.79M 128.47M 143.4M 132.97M 121.18M 92.13M 97.13M 121.33M 162.87M
Property-Plant & Equipment
12.82M 13.25M 13.59M 12.93M 10.96M 7.57M 4.32M 6.95M 4.88M 4.71M 3.01M 3.53M 3.55M 3.4M 2.81M 3.07M 2.94M 4.32M
Goodwill & Intangibles
5.31M 5.45M 5.57M 590K 545K 542K 487K 714.02K 684.64K 689.56K 683.04K 702.01K 619.91K 555.9K 443K 472K 472K 609.54K
Total Long-Term Assets
21.88M 21.59M 22.71M 17.13M 14.87M 11.39M 7.63M 11.02M 13.26M 14.75M 15.87M 12.84M 15.73M 21.12M 23.88M 24.04M 4.17M 5.76M
Total Assets
58.13M 69.56M 79.71M 81.05M 87.83M 97.38M 111.64M 126.03M 129.62M 138.54M 144.34M 156.24M 148.71M 142.3M 116.02M 121.17M 125.5M 168.63M
Account Payables
7.27M 8.68M 6.29M 4.19M 4.16M 4.48M 3.79M 4.7M 5.76M 5.61M 4.41M 4.87M 3.61M 3.2M 2.71M 2.44M 3.12M 4.79M
Deferred Revenue
n/a n/a n/a n/a 205K 33K 33K 104K 183K 235K 194K n/a n/a n/a n/a n/a n/a n/a
Short-Term Debt
42.22M n/a n/a n/a n/a n/a n/a 904K 656K 638K 612K 702K n/a n/a n/a n/a n/a n/a
Other Current Liabilities
5.18M 5.93M 2.51M 3.18M 983K 646K 506K 13.72M 14.97M 11.57M 11.3M 10M 7.81M 5.48M 355K 4.61M 4.27M 4.51M
Total Current Liabilities
62.6M 22.96M 20.16M 17.14M 13.79M 11.86M 13.2M 18.41M 20.73M 17.18M 15.71M 14.87M 11.42M 8.68M 9.15M 7.05M 7.39M 9.3M
Long-Term Debt
n/a 41.46M 42.24M 42.55M 40.99M 41.3M 39.81M 2.87M 1.57M 1.85M 449.48K 633.22K 770.55K 970.15K n/a 1.11M 878K 1.4M
Other Long-Term Liabilities
5.75M 6.78M 9.64M 5.72M 5.51M 8.77M 7.51M 6.77M 4.24M 3.5M 3.71M 3.17M 2.45M 1.94M 1.33M 503K 503K 1.34M
Total Long-Term Liabilities
8.42M 51.17M 55.05M 51.68M 50.12M 52.95M 49.38M 9.64M 5.81M 5.35M 4.16M 3.8M 3.22M 2.91M 2.25M 2.63M 2.46M 2.74M
Total Liabilities
71.03M 74.13M 75.21M 68.82M 63.91M 64.81M 62.58M 28.06M 26.55M 22.53M 19.87M 18.68M 14.64M 11.59M 11.39M 9.68M 9.85M 12.04M
Total Debt
44.59M 44.07M 45.98M 45.63M 45.09M 44.74M 42.41M 2.87M 1.57M 1.85M 449.48K 633.22K 770.55K 970.15K 1.64M 1.11M 878K 1.4M
Common Stock
3K 3K 3K 3K 3K 3K 3K 4.67K 4.5K 4.49K 4.41K 4.69K 4.35K 4.01K 3K 3K 3K 3.95K
Retained Earnings
-383.59M -373.67M -359.81M -348.23M -332.02M -316.63M -297.97M -452.53M -423.68M -406.57M -385.72M -402.19M -364.49M -327.91M -235.92M -227.44M -221.5M -285.39M
Comprehensive Income
-2.08M -413K -1.94M -2.06M -1.56M -3.07M -1.89M 10.4M 10.61M 10.42M 11.02M 11.29M 10.92M 10.4M 8.06M 8.2M 8.26M 10.89M
Shareholders Equity
-12.89M -4.57M 4.5M 12.23M 23.91M 32.57M 49.06M 97.97M 103.07M 116.02M 124.47M 137.57M 134.06M 130.71M 104.62M 111.49M 115.66M 156.59M
Total Investments
3.47M 10.95M 21.84M 25.77M 36.6M 51.23M 66.94M 14.41M 47.02M 74.18M 100.04M 100.96M 81.63M 95.57M 49.34M 49.5M n/a n/a