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FTSE 100
8,420.26
-18.39
(-0.22%)
FTSE 250
20,749.90
-72.94
(-0.35%)
AIM
794.02
+1.52
(+0.19%)
GBP/EUR
1.1678
+0.0023
(+0.20%)
GBP/USD
1.2706
+0.0035
(+0.28%)
Bitcoin GBP
52,748.62
+123.11
(+0.23%)
Twist Bioscience Corporation (TWST)
NasdaqGS - NasdaqGS Real-time price. Currency in USD
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47.01
+0.51
(+1.10%)
At close: 04:00PM EDT
46.98
-0.03
(-0.06%)
After hours:
07:31PM EDT
Summary
Chart
Conversations
Statistics
Historical data
Profile
Financials
Analysis
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Sustainability
Show
:
Income statement
Balance sheet
Cash flow
Annual
Quarterly
Cash flow
All numbers in thousands
Breakdown
ttm
30/09/2023
30/09/2022
30/09/2021
30/09/2020
Cash flows from operating activities
Net income
-192,138
-204,618
-217,863
-152,098
-139,931
Depreciation & amortisation
33,465
29,310
16,514
9,750
6,677
Stock-based compensation
47,188
30,278
79,664
36,998
17,096
Change in working capital
16,445
-1,009
-5,356
-9,381
-25,176
Accounts receivable
11,131
-4,320
-9,622
-2,202
-14,272
Inventory
9,531
7,238
-7,536
-19,489
-4,956
Accounts payable
-4,022
-2,508
7,383
8,542
-5,506
Other working capital
-95,523
-170,253
-226,242
-139,305
-152,123
Other non-cash items
1,743
-3,220
7,263
2,487
-707
Net cash provided by operating activities
-86,512
-142,474
-124,385
-112,244
-142,255
Cash flows from investing activities
Investments in property, plant and equipment
-9,011
-27,779
-101,857
-27,061
-9,868
Acquisitions, net
-
0
-13,915
-483
0
Purchases of investments
-54,877
-76,345
-217,639
-58,795
-202,882
Sales/maturities of investments
79,236
154,736
100,481
242,494
98,100
Other investing activities
-
-
-5,755
-
-
Net cash used for investing activities
15,348
50,612
-232,930
156,155
-114,650
Cash flows from financing activities
Debt repayment
-
0
-1,558
-3,333
-3,333
Common stock issued
-
0
269,822
323,861
295,563
Common stock repurchased
-6,104
-4,405
-7,754
-10,849
-2,421
Net cash used provided by (used for) financing activities
136
911
270,534
329,182
303,732
Net change in cash
-71,345
-90,978
-87,100
373,113
46,848
Cash at beginning of period
317,561
380,259
467,359
94,246
47,398
Cash at end of period
246,533
289,281
380,259
467,359
94,246
Free cash flow
Operating cash flow
-86,512
-142,474
-124,385
-112,244
-142,255
Capital expenditure
-9,011
-27,779
-101,857
-27,061
-9,868
Free cash flow
-95,523
-170,253
-226,242
-139,305
-152,123
Data disclaimer
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