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OTCMPHGEW
Market cap9mUSD
Oct 24, Last price  
0.00USD
Name

Biomx Inc

Chart & Performance

D1W1MN
OTCM:PHGEW chart
P/E
P/S
EPS
Div Yield, %
0.00%
Shrs. gr., 5y
20.72%
Rev. gr., 5y
%
Revenues
-357k
L+166.42%
00000-134,000-357,000
Net income
-26m
L-7.59%
-6,433,000-12,945,000-18,919,000-29,914,000-36,226,000-28,317,000-26,169,000
CFO
-21m
L-26.83%
-4,099,999-11,304,000-17,577,000-24,447,000-27,573,000-29,092,000-21,286,000
Earnings
Apr 01, 2025

Profile

BiomX Inc., a clinical-stage microbiome company, develops products using natural and engineered phage technologies designed to target and kill specific harmful bacteria. It targets bacteria that affect the appearance of skin, as well as chronic diseases, such as inflammatory bowel diseases (IBD), primary sclerosing cholangitis (PSC), cystic fibrosis (CF), atopic dermatitis, and colorectal cancer (CRC). It is developing BX004, a phage therapy for CF patients with chronic Pseudomonas aeruginosa respiratory infections that is in Phase 1b/2a clinical trials. The company's pipeline products also include BX005, a topical phage cocktail, which is in Phase 1/2 clinical study that targets Staphylococcus aureus (S. aureus), a bacteria associated with the manifestation of the disease; and BX003, an orally administered phage cocktail, which is in Phase 1b/2a that targets a bacterial target present in the gut of IBD and PSC patients. In addition, the company engages in the provision of colorectal cancer program that utilizes engineered phage with various payloads, which are administered intravenously to target Fusobacterium nucleatum bacteria residing within the tumor microenvironment. BiomX Inc. was founded in 2015 and is headquartered in Ness Ziona, Israel.
IPO date
Dec 18, 2018
Employees
54
Domiciled in
IL
Incorporated in
US

Valuation

Title
USD in thousands, except ratios and share amounts
FYFYFYFYFYFYFYFYFY
2023‑122022‑122021‑122020‑122019‑122019‑062018‑122018‑062017‑12
Income
Revenues
(357)
166.42%
(134)
 
Cost of revenue
28,556
28,220
36,508
Unusual Expense (Income)
NOPBT
(28,913)
(28,354)
(36,508)
NOPBT Margin
8,098.88%
21,159.70%
Operating Taxes
23
65
67
Tax Rate
NOPAT
(28,936)
(28,419)
(36,575)
Net income
(26,169)
-7.59%
(28,317)
-21.83%
(36,226)
21.10%
Dividends
Dividend yield
Proceeds from repurchase of equity
7,485
273
23,055
BB yield
-52.08%
-0.49%
-5.54%
Debt
Debt current
7,117
4,969
819
Long-term debt
12,546
18,874
24,803
Deferred revenue
1,976
1,976
Other long-term liabilities
155
(28,727)
215
Net debt
3,799
(9,489)
(36,477)
Cash flow
Cash from operating activities
(21,286)
(29,092)
(27,573)
CAPEX
(50)
(112)
(3,682)
Cash from investing activities
1,951
(2,107)
16,173
Cash from financing activities
2,899
292
37,280
FCF
(27,104)
(27,815)
(39,750)
Balance
Cash
15,864
33,332
62,099
Long term investments
Excess cash
15,882
33,339
62,099
Stockholders' equity
(162,967)
(136,799)
(108,482)
Invested Capital
183,937
150,445
176,248
ROIC
ROCE
EV
Common stock shares outstanding
5,133
29,854
26,008
Price
2.80
49.97%
1.87
-88.33%
16.00
-74.92%
Market cap
14,372
-74.21%
55,737
-86.61%
416,127
-71.72%
EV
18,171
46,248
379,650
EBITDA
(28,042)
(25,834)
(33,943)
EV/EBITDA
Interest
2,404
2,069
699
Interest/NOPBT