The Inventing Press

MeiraGTx Holdings plc

Financial highlights

MetricFY 12/31/25FY 12/31/24FY 12/31/23FY 12/31/22FY 12/31/21
Income Statement
Revenue$81.4M$33.3M$14.0M$15.9M$37.7M
Research and development$129.6M$119.5M$103.8M$85.7M$66.7M
Operating expenses$187.4M$197.5M$151.1M$132.3M$110.5M
Operating income-$106.0M-$164.2M-$137.1M-$116.4M-$72.8M
Interest expense$12.2M$13.3M$13.2M$4.9M$288,000
Pretax income-$114.2M-$147.8M-$84.0M-$129.6M-$79.6M
Income tax expense$0$0$0$0
Net income-$114.2M-$147.8M-$84.0M-$129.6M-$79.6M
Balance Sheet
Cash and equivalents$65.9M$103.7M$129.6M$115.5M$137.7M
Current assets$91.8M$123.5M$159.6M$154.3M$183.2M
Total assets$244.4M$269.8M$326.7M$318.2M$320.2M
Current liabilities$122.6M$60.8M$67.1M$82.1M$68.1M
Total liabilities$250.2M$201.9M$188.6M$200.5M$134.8M
Stockholders' equity-$5.8M$67.8M$138.2M$117.7M$185.4M
Cash Flow Statement
Cash from operations-$46.4M-$104.5M-$105.4M-$73.1M-$10.5M
Depreciation and amortization$12.5M$12.8M$13.7M$8.7M$7.9M
Stock-based compensation$22.1M$25.2M$27.7M$28.6M$20.8M
Capital expenditure$3.8M$5.0M$20.2M$45.0M$46.4M
Free cash flow-$50.2M-$109.5M-$125.5M-$118.1M-$56.9M
Impairments$0

Shares outstanding 92.6M · Free float 55.8%

Annual filing data through FY ended December 31, 2025; float as of July 15, 2026.

Coverage