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CMRX Chimerix

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  • 8.540
  • -0.010-0.12%
Close Apr 17 16:00 ET
  • 8.540
  • 0.0000.00%
Post 17:22 ET
801.08MMarket Cap-8.63P/E (TTM)

Chimerix Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
-28.00%131.64M
-28.00%131.64M
-29.95%136.23M
-27.99%148.17M
-25.95%159.03M
-15.87%182.84M
-15.87%182.84M
-31.67%194.48M
380.84%205.76M
302.32%214.75M
-Cash and cash equivalents
12.25%31.05M
12.25%31.05M
67.48%23.65M
-22.10%15.66M
19.28%19.03M
7.04%27.66M
7.04%27.66M
-94.85%14.12M
-28.44%20.1M
-50.09%15.95M
-Short-term investments
-35.17%100.59M
-35.17%100.59M
-37.58%112.59M
-28.63%132.51M
-29.58%140M
-18.97%155.17M
-18.97%155.17M
1,639.39%180.36M
1,162.54%185.66M
828.07%198.8M
Receivables
-28.77%812K
-28.77%812K
1,309.09%155K
396.15%129K
-99.85%1K
-32.26%1.14M
-32.26%1.14M
-97.65%11K
--26K
--668K
-Accounts receivable
1,325.00%57K
1,325.00%57K
1,309.09%155K
396.15%129K
-99.85%1K
-99.62%4K
-99.62%4K
-97.65%11K
--26K
--668K
-Accrued interest receivable
-33.54%755K
-33.54%755K
----
----
----
76.67%1.14M
76.67%1.14M
----
----
----
Prepaid assets
-26.31%1.66M
-26.31%1.66M
----
----
----
-43.33%2.25M
-43.33%2.25M
----
----
----
Other current assets
-36.28%1.84M
-36.28%1.84M
-26.39%4.52M
-10.08%5.16M
-57.10%4M
-43.99%2.89M
-43.99%2.89M
1.89%6.14M
48.85%5.74M
61.81%9.33M
Total current assets
-28.11%135.95M
-28.11%135.95M
-29.77%140.9M
-27.45%153.46M
-27.46%163.03M
-17.11%189.11M
-17.11%189.11M
-31.09%200.62M
316.62%211.52M
259.31%224.75M
Non current assets
Net PPE
-19.81%1.37M
-19.81%1.37M
-26.11%1.37M
-24.45%1.5M
-23.55%1.62M
-22.14%1.71M
-22.14%1.71M
-20.43%1.85M
-17.13%1.98M
-16.30%2.12M
-Gross PPE
-7.64%6.34M
-7.64%6.34M
-26.11%1.37M
-24.45%1.5M
-23.55%1.62M
-6.19%6.86M
-6.19%6.86M
-20.43%1.85M
-17.13%1.98M
-16.30%2.12M
-Accumulated depreciation
3.61%-4.97M
3.61%-4.97M
----
----
----
-0.62%-5.15M
-0.62%-5.15M
----
----
----
Investments and advances
-60.87%8.48M
-60.87%8.48M
-28.04%16.2M
-14.47%23.32M
-6.99%29.13M
-55.46%21.66M
-55.46%21.66M
--22.51M
--27.26M
--31.32M
Other non current assets
-28.90%214K
-28.90%214K
-33.22%195K
-25.77%242K
-24.86%260K
-22.02%301K
-22.02%301K
-32.09%292K
-18.30%326K
-21.18%346K
Total non current assets
-57.50%10.06M
-57.50%10.06M
-27.96%17.77M
-15.26%25.06M
-8.21%31.01M
-53.78%23.66M
-53.78%23.66M
793.48%24.66M
958.65%29.57M
1,039.01%33.78M
Total assets
-31.38%146.01M
-31.38%146.01M
-29.57%158.67M
-25.96%178.51M
-24.94%194.04M
-23.83%212.77M
-23.83%212.77M
-23.34%225.28M
350.10%241.09M
294.61%258.53M
Liabilities
Current liabilities
Payables
38.13%3.94M
38.13%3.94M
113.43%5.34M
128.36%4.16M
34.28%3.82M
-6.03%2.85M
-6.03%2.85M
-23.77%2.5M
4.59%1.82M
-18.52%2.85M
-accounts payable
38.13%3.94M
38.13%3.94M
113.43%5.34M
128.36%4.16M
34.28%3.82M
-6.03%2.85M
-6.03%2.85M
-23.77%2.5M
4.59%1.82M
-18.52%2.85M
Current accrued expenses
23.87%12.97M
23.87%12.97M
33.36%12.13M
43.30%14.14M
20.18%12.3M
-4.33%10.47M
-4.33%10.47M
-5.61%9.1M
-22.87%9.87M
18.34%10.24M
Current liabilities
29.43%23.87M
29.43%23.87M
43.42%22.24M
44.07%22.1M
15.24%18.94M
-9.66%18.44M
-9.66%18.44M
-12.42%15.51M
-34.08%15.34M
8.01%16.43M
Non current liabilities
Long term debt and capital lease obligation
-64.82%458K
-64.82%458K
-56.16%644K
-49.33%827K
-43.89%1.01M
-37.07%1.3M
-37.07%1.3M
-33.77%1.47M
-30.96%1.63M
-28.53%1.79M
-Long term debt
----
----
----
----
----
-50.00%125K
-50.00%125K
-50.00%125K
-50.00%125K
-50.00%125K
-Long term capital lease obligation
-61.09%458K
-61.09%458K
-52.08%644K
-45.12%827K
-39.68%1.01M
-35.29%1.18M
-35.29%1.18M
-31.71%1.34M
-28.71%1.51M
-26.15%1.67M
Total non current liabilities
-64.82%458K
-64.82%458K
-56.16%644K
-49.33%827K
-43.89%1.01M
-37.07%1.3M
-37.07%1.3M
-33.77%1.47M
-30.96%1.63M
-28.53%1.79M
Total liabilities
23.22%24.33M
23.22%24.33M
34.80%22.89M
35.09%22.93M
9.43%19.94M
-12.18%19.75M
-12.18%19.75M
-14.80%16.98M
-33.79%16.97M
2.84%18.22M
Shareholders'equity
Share capital
3.37%92K
3.37%92K
1.12%90K
1.12%90K
1.12%90K
1.14%89K
1.14%89K
1.14%89K
2.30%89K
2.30%89K
-common stock
3.37%92K
3.37%92K
1.12%90K
1.12%90K
1.12%90K
1.14%89K
1.14%89K
1.14%89K
2.30%89K
2.30%89K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-11.11%-883.91M
-11.11%-883.91M
-10.75%-860.96M
-11.24%-838.08M
-11.24%-817.39M
-11.51%-795.52M
-11.51%-795.52M
-12.26%-777.36M
19.32%-753.38M
19.28%-734.8M
Paid-in capital
1.72%1.01B
1.72%1.01B
1.03%996.39M
1.59%993.78M
1.67%991.58M
1.85%988.46M
1.85%988.46M
2.05%986.2M
1.71%978.21M
1.79%975.25M
Gains losses not affecting retained earnings
228.57%23K
228.57%23K
141.28%258K
74.42%-208K
22.94%-178K
102.08%7K
102.08%7K
-1,589.19%-625K
-1,095.59%-813K
-216.44%-231K
Total stockholders'equity
-36.96%121.68M
-36.96%121.68M
-34.82%135.78M
-30.58%155.58M
-27.55%174.1M
-24.85%193.03M
-24.85%193.03M
-23.96%208.3M
702.46%224.11M
402.76%240.31M
Total equity
-36.96%121.68M
-36.96%121.68M
-34.82%135.78M
-30.58%155.58M
-27.55%174.1M
-24.85%193.03M
-24.85%193.03M
-23.96%208.3M
702.46%224.11M
402.76%240.31M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments -28.00%131.64M-28.00%131.64M-29.95%136.23M-27.99%148.17M-25.95%159.03M-15.87%182.84M-15.87%182.84M-31.67%194.48M380.84%205.76M302.32%214.75M
-Cash and cash equivalents 12.25%31.05M12.25%31.05M67.48%23.65M-22.10%15.66M19.28%19.03M7.04%27.66M7.04%27.66M-94.85%14.12M-28.44%20.1M-50.09%15.95M
-Short-term investments -35.17%100.59M-35.17%100.59M-37.58%112.59M-28.63%132.51M-29.58%140M-18.97%155.17M-18.97%155.17M1,639.39%180.36M1,162.54%185.66M828.07%198.8M
Receivables -28.77%812K-28.77%812K1,309.09%155K396.15%129K-99.85%1K-32.26%1.14M-32.26%1.14M-97.65%11K--26K--668K
-Accounts receivable 1,325.00%57K1,325.00%57K1,309.09%155K396.15%129K-99.85%1K-99.62%4K-99.62%4K-97.65%11K--26K--668K
-Accrued interest receivable -33.54%755K-33.54%755K------------76.67%1.14M76.67%1.14M------------
Prepaid assets -26.31%1.66M-26.31%1.66M-------------43.33%2.25M-43.33%2.25M------------
Other current assets -36.28%1.84M-36.28%1.84M-26.39%4.52M-10.08%5.16M-57.10%4M-43.99%2.89M-43.99%2.89M1.89%6.14M48.85%5.74M61.81%9.33M
Total current assets -28.11%135.95M-28.11%135.95M-29.77%140.9M-27.45%153.46M-27.46%163.03M-17.11%189.11M-17.11%189.11M-31.09%200.62M316.62%211.52M259.31%224.75M
Non current assets
Net PPE -19.81%1.37M-19.81%1.37M-26.11%1.37M-24.45%1.5M-23.55%1.62M-22.14%1.71M-22.14%1.71M-20.43%1.85M-17.13%1.98M-16.30%2.12M
-Gross PPE -7.64%6.34M-7.64%6.34M-26.11%1.37M-24.45%1.5M-23.55%1.62M-6.19%6.86M-6.19%6.86M-20.43%1.85M-17.13%1.98M-16.30%2.12M
-Accumulated depreciation 3.61%-4.97M3.61%-4.97M-------------0.62%-5.15M-0.62%-5.15M------------
Investments and advances -60.87%8.48M-60.87%8.48M-28.04%16.2M-14.47%23.32M-6.99%29.13M-55.46%21.66M-55.46%21.66M--22.51M--27.26M--31.32M
Other non current assets -28.90%214K-28.90%214K-33.22%195K-25.77%242K-24.86%260K-22.02%301K-22.02%301K-32.09%292K-18.30%326K-21.18%346K
Total non current assets -57.50%10.06M-57.50%10.06M-27.96%17.77M-15.26%25.06M-8.21%31.01M-53.78%23.66M-53.78%23.66M793.48%24.66M958.65%29.57M1,039.01%33.78M
Total assets -31.38%146.01M-31.38%146.01M-29.57%158.67M-25.96%178.51M-24.94%194.04M-23.83%212.77M-23.83%212.77M-23.34%225.28M350.10%241.09M294.61%258.53M
Liabilities
Current liabilities
Payables 38.13%3.94M38.13%3.94M113.43%5.34M128.36%4.16M34.28%3.82M-6.03%2.85M-6.03%2.85M-23.77%2.5M4.59%1.82M-18.52%2.85M
-accounts payable 38.13%3.94M38.13%3.94M113.43%5.34M128.36%4.16M34.28%3.82M-6.03%2.85M-6.03%2.85M-23.77%2.5M4.59%1.82M-18.52%2.85M
Current accrued expenses 23.87%12.97M23.87%12.97M33.36%12.13M43.30%14.14M20.18%12.3M-4.33%10.47M-4.33%10.47M-5.61%9.1M-22.87%9.87M18.34%10.24M
Current liabilities 29.43%23.87M29.43%23.87M43.42%22.24M44.07%22.1M15.24%18.94M-9.66%18.44M-9.66%18.44M-12.42%15.51M-34.08%15.34M8.01%16.43M
Non current liabilities
Long term debt and capital lease obligation -64.82%458K-64.82%458K-56.16%644K-49.33%827K-43.89%1.01M-37.07%1.3M-37.07%1.3M-33.77%1.47M-30.96%1.63M-28.53%1.79M
-Long term debt ---------------------50.00%125K-50.00%125K-50.00%125K-50.00%125K-50.00%125K
-Long term capital lease obligation -61.09%458K-61.09%458K-52.08%644K-45.12%827K-39.68%1.01M-35.29%1.18M-35.29%1.18M-31.71%1.34M-28.71%1.51M-26.15%1.67M
Total non current liabilities -64.82%458K-64.82%458K-56.16%644K-49.33%827K-43.89%1.01M-37.07%1.3M-37.07%1.3M-33.77%1.47M-30.96%1.63M-28.53%1.79M
Total liabilities 23.22%24.33M23.22%24.33M34.80%22.89M35.09%22.93M9.43%19.94M-12.18%19.75M-12.18%19.75M-14.80%16.98M-33.79%16.97M2.84%18.22M
Shareholders'equity
Share capital 3.37%92K3.37%92K1.12%90K1.12%90K1.12%90K1.14%89K1.14%89K1.14%89K2.30%89K2.30%89K
-common stock 3.37%92K3.37%92K1.12%90K1.12%90K1.12%90K1.14%89K1.14%89K1.14%89K2.30%89K2.30%89K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -11.11%-883.91M-11.11%-883.91M-10.75%-860.96M-11.24%-838.08M-11.24%-817.39M-11.51%-795.52M-11.51%-795.52M-12.26%-777.36M19.32%-753.38M19.28%-734.8M
Paid-in capital 1.72%1.01B1.72%1.01B1.03%996.39M1.59%993.78M1.67%991.58M1.85%988.46M1.85%988.46M2.05%986.2M1.71%978.21M1.79%975.25M
Gains losses not affecting retained earnings 228.57%23K228.57%23K141.28%258K74.42%-208K22.94%-178K102.08%7K102.08%7K-1,589.19%-625K-1,095.59%-813K-216.44%-231K
Total stockholders'equity -36.96%121.68M-36.96%121.68M-34.82%135.78M-30.58%155.58M-27.55%174.1M-24.85%193.03M-24.85%193.03M-23.96%208.3M702.46%224.11M402.76%240.31M
Total equity -36.96%121.68M-36.96%121.68M-34.82%135.78M-30.58%155.58M-27.55%174.1M-24.85%193.03M-24.85%193.03M-23.96%208.3M702.46%224.11M402.76%240.31M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

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