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Tarsus Pharmaceuticals Inc.

TARS | NASDAQ
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$77.46
-$0.63 (-0.81%)
At close: Sep 21, 2026, 4:00 PM ET
$77.46
$0 (0.00%)
After-hours: Sep 21, 2026, 7:30 PM ET
Fiscal Year
Period Ending
FY 2025
Dec 30, 2025
FY 2024
Dec 30, 2024
FY 2023
Dec 30, 2023
FY 2022
Dec 30, 2022
FY 2021
Dec 30, 2021
FY 2020
Dec 30, 2020
Net Income
-66.42M -115.55M -135.89M -62.09M -13.83M -26.81M
Depreciation & Amortization
1.82M 1.23M 877K 325K 312K 96K
Stock-Based Compensation
41.72M 27.82M 19.83M 13.46M 8.46M 839K
Other Working Capital
48.53M -4.31M 4.3M -1.77M -2.44M -1.8M
Other Non-Cash Items
-4.21M -360K -2.61M 227K 7.44M 3.28M
Deferred Income Tax
n/a n/a n/a n/a n/a n/a
Change in Working Capital
14.64M 3.84M 306K -951K 1.37M 1.46M
Operating Cash Flow
-12.45M -83.03M -117.49M -49.03M 3.75M -21.14M
Capital Expenditures
-9.86M -1.57M -5.5M -506K -586K -456K
Cash Acquisitions
n/a n/a n/a 144.12M n/a n/a
Purchase of Investments
-394.06M -265.63M -28.66M -149.44M n/a n/a
Sales Maturities Of Investments
361.8M 73M 174.77M 5.32M n/a n/a
Other Investing Acitivies
n/a -5M -4M -144.12M n/a n/a
Investing Cash Flow
-42.12M -199.2M 140.6M -144.63M -586K -456K
Debt Repayment
n/a 39.6M 10M 19.13M n/a n/a
Common Stock Repurchased
n/a n/a n/a n/a n/a -28K
Dividend Paid
n/a n/a n/a n/a n/a n/a
Other Financial Acitivies
n/a n/a n/a n/a n/a 370K
Financial Cash Flow
143.39M 154.66M 130.18M 93.99M 21K 131.77M
Net Cash Flow
88.82M -127.57M 153.29M -99.67M 3.18M 110.18M
Free Cash Flow
-22.31M -84.59M -123M -49.54M 3.16M -21.59M
Adj. Free Cash Flow
-64.03M -112.41M -142.83M -63M -5.29M -22.43M
Maintenance CapEx
n/a n/a -5.5M -506K n/a -96K
Growth CapEx
-9.86M -1.57M n/a n/a -586K -360K
Owner Earnings
-12.45M -83.03M -123M -49.54M 3.75M -21.23M

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