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$ 0Net Cash Flow - Issuance (Repayment) of Debt Securities
VS
Market
36
Sector
25
Industry
19
History
28
$ 0.6Close
$ 0.38 - $ 1.05 52-Week Range
Ticker Information

Ticker

PHGE

Company Name

BIOMX INC

Sector

Healthcare

Industry

Biotechnology

Exchange

NYSEMKT

BIOMX INC - Net Cash Flow - Issuance (Repayment) of Debt Securities Chart Analysis (TTM)

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PHGE - CF - Debt Historical data
DateNet Cash Flow - Issuance (Repayment) of Debt Securities
6/30/2025$ 0
3/31/2025$ 0
12/31/2024$ -10.75M
9/30/2024$ -12.07M
6/30/2024$ -13.35M
3/31/2024$ -14.58M
12/31/2023$ -4.25M
9/30/2023$ -2.93M
6/30/2023$ -1.65M
3/31/2023$ -419K
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Key Performance Insights, Last 5 Years

  • BIOMX INC's latest trailing twelve months (TTM) CF - Debt stands at $ 500K.
  • Over the past 5 years, BIOMX INC's average CF - Debt has been $ -130K.
  • The median CF - Debt for BIOMX INC during this period was $ 0
  • BIOMX INC reached its highest CF - Debt over the past 5 years at $ 14.22M.
  • The lowest CF - Debt recorded by BIOMX INC in the same timeframe $ -14.58M

Definition of Net Cash Flow - Issuance (Repayment) of Debt Securities

[Cash Flow Statement] A component of cash flow from financing [NCFF], representing the cash inflow (outflow) from issuance (repayment) of debt.

PHGE - Net Cash Flow - Issuance (Repayment) of Debt Securities, Last 5 years

$ -14.58M

Minimum

Mar 31, 2024

$ 14.22M

Maximum

Sep 30, 2021

$ -130K

Average

$ 0

Median

CF - Debt Benchmark Analysis

The chart above depicts the distribution of CF - Debt for companies in the Total Stock Market. The average CF - Debt of the companies is $ -1.68M with a standard deviation of $ 24.18M.
The following table provides additional summary stats:
CF - Debt in the Market:
filtered constituents2.85K
min$ -84.35M
max$ 83.81M
average$ -1.68M
median$ 0
std$ 24.18M