US Stock MarketDetailed Quotes

OBSVF OBSEVA SA

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  • 0.084000
  • 0.0000000.00%
15min DelayClose Aug 13 16:00 ET
9.84MMarket Cap-0.26P/E (TTM)

OBSEVA SA Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q3)Sep 30, 2021
(Q2)Jun 30, 2021
(Q1)Mar 31, 2021
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
54.10%-23.15M
11.19%7.92M
70.78%-5.1M
42.88%-10.72M
28.52%-15.25M
28.75%-50.42M
132.29%7.12M
-17.97%-17.44M
0.46%-18.77M
-41.64%-21.34M
Net income from continuing operations
43.60%-29.88M
281.55%26.72M
-1,545.23%-12.11M
-71.30%-32.74M
41.21%-11.75M
36.12%-52.98M
20.48%-14.72M
103.44%838K
-4.99%-19.12M
8.52%-19.98M
Operating gains losses
182.34%5.13M
264.02%10.84M
-4,173.79%-5.91M
21.05%138K
-44.35%64K
-1,366.87%-6.23M
-1,392.95%-6.61M
1,550.00%145K
11,300.00%114K
1,250.00%115K
Depreciation and amortization
-14.48%567K
438.10%226K
-3.45%112K
-65.14%114K
-35.39%115K
-8.04%663K
-76.54%42K
-35.56%116K
80.66%327K
-1.66%178K
Other non cash items
568.73%6.71M
-122.69%-4.4M
169.49%13.48M
-271.41%-1.28M
-487.94%-1.09M
-68.93%1M
2,041.33%19.38M
-2,743.32%-19.4M
16.41%745K
-70.38%282K
Change In working capital
-681.21%-11.48M
-275.14%-8.93M
15.02%-741K
204.34%1.83M
8.06%-3.63M
-215.85%-1.47M
192.64%5.1M
-112.92%-872K
39.43%-1.75M
-235.54%-3.95M
-Change in receivables
221.52%3.21M
-168.87%-177K
100.16%5K
418.12%772K
23,600.00%2.61M
-909.51%-2.64M
173.40%257K
-1,435.68%-3.06M
-16.29%149K
-95.65%11K
-Change in prepaid assets
2,224.61%4.44M
85.58%1.02M
-19.70%1.82M
162.86%2.14M
-168.29%-534K
118.56%191K
367.32%548K
3,002.56%2.26M
-566.16%-3.4M
152.98%782K
-Change in payables and accrued expense
-1,210.47%-18.46M
-282.90%-9.11M
-3,105.00%-2.56M
-172.14%-1.09M
-20.30%-5.7M
-15.68%1.66M
192.29%4.98M
-101.14%-80K
139.61%1.5M
-214.63%-4.74M
-Change in other current liabilities
2.34%-667K
----
----
----
----
---683K
----
----
----
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Cash from discontinued investing activities
Operating cash flow
54.10%-23.15M
11.19%7.92M
70.78%-5.1M
42.88%-10.72M
28.52%-15.25M
28.75%-50.42M
132.29%7.12M
-17.97%-17.44M
0.46%-18.77M
-41.64%-21.34M
Investing cash flow
Cash flow from continuing investing activities
121.43%3K
74.45%-5.67M
0
-83.33%-11K
142,275.00%5.69M
-180.00%-14K
-443,900.00%-22.2M
22.2M
-6K
-4K
Net PPE purchase and sale
121.43%3K
--18K
--0
-10.00%-11K
---4K
-180.00%-14K
--0
---4K
---10K
--0
Net intangibles purchase and sale
----
----
--0
--0
142,375.00%5.69M
----
----
--22.2M
--4K
---4K
Cash from discontinued investing activities
Investing cash flow
121.43%3K
74.45%-5.67M
--0
-83.33%-11K
142,275.00%5.69M
-180.00%-14K
-443,900.00%-22.2M
--22.2M
---6K
---4K
Financing cash flow
Cash flow from continuing financing activities
-122.63%-16.81M
-64.27%2.51M
-4,304.06%-30.34M
-112.20%-1.17M
-79.11%12.19M
116.51%74.27M
55.62%7.02M
-103.42%-689K
485.26%9.57M
629.90%58.37M
Net issuance payments of debt
-1,561.78%-22.03M
-56.18%883K
-18,130.41%-31.17M
-1.18%-172K
5,150.30%8.43M
339.21%1.51M
1,321.21%2.02M
-5.56%-171K
-11.84%-170K
-10.60%-167K
Net common stock issuance
-87.61%6.6M
--0
947.19%932K
--0
-85.23%5.66M
42.87%53.23M
19.65%4.18M
-99.60%89K
333.86%10.62M
335.72%38.34M
Cash dividends paid
----
----
--0
--0
--0
----
----
--0
--0
--0
Proceeds from stock option exercised by employees
-97.65%554K
-123.95%-361K
--0
--0
-95.86%915K
--23.62M
--1.51M
--0
--0
--22.12M
Net other financing activities
52.78%-1.93M
102.50%60K
-977.78%-97K
99.68%-1K
-39.32%-1.89M
-98.98%-4.09M
-704.01%-2.4M
99.36%-9K
-280.72%-316K
-414.39%-1.36M
Cash from discontinued financing activities
Financing cash flow
-122.63%-16.81M
-64.27%2.51M
-4,304.06%-30.34M
-112.20%-1.17M
-79.11%12.19M
130.30%74.27M
185.71%7.02M
-103.42%-689K
485.26%9.57M
629.90%58.37M
Net cash flow
Beginning cash position
75.53%54.73M
-84.60%9.68M
-23.42%45.13M
-15.36%57.55M
75.53%54.73M
-55.05%31.18M
24.28%62.88M
31.04%58.92M
9.60%68M
-55.05%31.18M
Current changes in cash
-267.63%-39.95M
159.04%4.76M
-972.05%-35.44M
-29.24%-11.9M
-92.90%2.63M
161.87%23.83M
58.92%-8.06M
-24.38%4.06M
46.54%-9.21M
624.07%37.03M
Effect of exchange rate changes
162.41%176K
651.06%518K
98.06%-2K
-503.82%-529K
187.50%189K
-184.18%-282K
-148.21%-94K
-139.92%-103K
-9.03%131K
17.56%-216K
End cash Position
-72.67%14.96M
-72.67%14.96M
-84.60%9.68M
-23.42%45.13M
-15.36%57.55M
75.53%54.73M
75.53%54.73M
24.28%62.88M
31.04%58.92M
9.60%68M
Free cash flow
54.11%-23.15M
11.40%7.94M
70.79%-5.1M
42.84%-10.73M
28.51%-15.26M
28.73%-50.44M
132.28%7.12M
-18.00%-17.45M
0.43%-18.78M
-41.67%-21.34M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion with Explanatory Notes
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Unqualified Opinion with Explanatory Notes
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(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q3)Sep 30, 2021(Q2)Jun 30, 2021(Q1)Mar 31, 2021
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 54.10%-23.15M11.19%7.92M70.78%-5.1M42.88%-10.72M28.52%-15.25M28.75%-50.42M132.29%7.12M-17.97%-17.44M0.46%-18.77M-41.64%-21.34M
Net income from continuing operations 43.60%-29.88M281.55%26.72M-1,545.23%-12.11M-71.30%-32.74M41.21%-11.75M36.12%-52.98M20.48%-14.72M103.44%838K-4.99%-19.12M8.52%-19.98M
Operating gains losses 182.34%5.13M264.02%10.84M-4,173.79%-5.91M21.05%138K-44.35%64K-1,366.87%-6.23M-1,392.95%-6.61M1,550.00%145K11,300.00%114K1,250.00%115K
Depreciation and amortization -14.48%567K438.10%226K-3.45%112K-65.14%114K-35.39%115K-8.04%663K-76.54%42K-35.56%116K80.66%327K-1.66%178K
Other non cash items 568.73%6.71M-122.69%-4.4M169.49%13.48M-271.41%-1.28M-487.94%-1.09M-68.93%1M2,041.33%19.38M-2,743.32%-19.4M16.41%745K-70.38%282K
Change In working capital -681.21%-11.48M-275.14%-8.93M15.02%-741K204.34%1.83M8.06%-3.63M-215.85%-1.47M192.64%5.1M-112.92%-872K39.43%-1.75M-235.54%-3.95M
-Change in receivables 221.52%3.21M-168.87%-177K100.16%5K418.12%772K23,600.00%2.61M-909.51%-2.64M173.40%257K-1,435.68%-3.06M-16.29%149K-95.65%11K
-Change in prepaid assets 2,224.61%4.44M85.58%1.02M-19.70%1.82M162.86%2.14M-168.29%-534K118.56%191K367.32%548K3,002.56%2.26M-566.16%-3.4M152.98%782K
-Change in payables and accrued expense -1,210.47%-18.46M-282.90%-9.11M-3,105.00%-2.56M-172.14%-1.09M-20.30%-5.7M-15.68%1.66M192.29%4.98M-101.14%-80K139.61%1.5M-214.63%-4.74M
-Change in other current liabilities 2.34%-667K-------------------683K----------------
Cash from discontinued investing activities
Operating cash flow 54.10%-23.15M11.19%7.92M70.78%-5.1M42.88%-10.72M28.52%-15.25M28.75%-50.42M132.29%7.12M-17.97%-17.44M0.46%-18.77M-41.64%-21.34M
Investing cash flow
Cash flow from continuing investing activities 121.43%3K74.45%-5.67M0-83.33%-11K142,275.00%5.69M-180.00%-14K-443,900.00%-22.2M22.2M-6K-4K
Net PPE purchase and sale 121.43%3K--18K--0-10.00%-11K---4K-180.00%-14K--0---4K---10K--0
Net intangibles purchase and sale ----------0--0142,375.00%5.69M----------22.2M--4K---4K
Cash from discontinued investing activities
Investing cash flow 121.43%3K74.45%-5.67M--0-83.33%-11K142,275.00%5.69M-180.00%-14K-443,900.00%-22.2M--22.2M---6K---4K
Financing cash flow
Cash flow from continuing financing activities -122.63%-16.81M-64.27%2.51M-4,304.06%-30.34M-112.20%-1.17M-79.11%12.19M116.51%74.27M55.62%7.02M-103.42%-689K485.26%9.57M629.90%58.37M
Net issuance payments of debt -1,561.78%-22.03M-56.18%883K-18,130.41%-31.17M-1.18%-172K5,150.30%8.43M339.21%1.51M1,321.21%2.02M-5.56%-171K-11.84%-170K-10.60%-167K
Net common stock issuance -87.61%6.6M--0947.19%932K--0-85.23%5.66M42.87%53.23M19.65%4.18M-99.60%89K333.86%10.62M335.72%38.34M
Cash dividends paid ----------0--0--0----------0--0--0
Proceeds from stock option exercised by employees -97.65%554K-123.95%-361K--0--0-95.86%915K--23.62M--1.51M--0--0--22.12M
Net other financing activities 52.78%-1.93M102.50%60K-977.78%-97K99.68%-1K-39.32%-1.89M-98.98%-4.09M-704.01%-2.4M99.36%-9K-280.72%-316K-414.39%-1.36M
Cash from discontinued financing activities
Financing cash flow -122.63%-16.81M-64.27%2.51M-4,304.06%-30.34M-112.20%-1.17M-79.11%12.19M130.30%74.27M185.71%7.02M-103.42%-689K485.26%9.57M629.90%58.37M
Net cash flow
Beginning cash position 75.53%54.73M-84.60%9.68M-23.42%45.13M-15.36%57.55M75.53%54.73M-55.05%31.18M24.28%62.88M31.04%58.92M9.60%68M-55.05%31.18M
Current changes in cash -267.63%-39.95M159.04%4.76M-972.05%-35.44M-29.24%-11.9M-92.90%2.63M161.87%23.83M58.92%-8.06M-24.38%4.06M46.54%-9.21M624.07%37.03M
Effect of exchange rate changes 162.41%176K651.06%518K98.06%-2K-503.82%-529K187.50%189K-184.18%-282K-148.21%-94K-139.92%-103K-9.03%131K17.56%-216K
End cash Position -72.67%14.96M-72.67%14.96M-84.60%9.68M-23.42%45.13M-15.36%57.55M75.53%54.73M75.53%54.73M24.28%62.88M31.04%58.92M9.60%68M
Free cash flow 54.11%-23.15M11.40%7.94M70.79%-5.1M42.84%-10.73M28.51%-15.26M28.73%-50.44M132.28%7.12M-18.00%-17.45M0.43%-18.78M-41.67%-21.34M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--------
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