Net Cash Provided by (Used in) Financing Activities in USD of MeiraGTx Holdings plc from 2017 to Q1 2025

Taxonomy & unit
us-gaap: USD
Description
Amount of cash inflow (outflow) from financing activities, including discontinued operations. Financing activity cash flows include obtaining resources from owners and providing them with a return on, and a return of, their investment; borrowing money and repaying amounts borrowed, or settling the obligation; and obtaining and paying for other resources obtained from creditors on long-term credit.
Summary
MeiraGTx Holdings plc quarterly and annual Net Cash Provided by (Used in) Financing Activities history and change rate from 2017 to Q1 2025.
  • MeiraGTx Holdings plc Net Cash Provided by (Used in) Financing Activities for the quarter ending 31 Mar 2025 was $1,713,000.
  • MeiraGTx Holdings plc annual Net Cash Provided by (Used in) Financing Activities for 2024 was $54,534,000, a 35% decline from 2023.
  • MeiraGTx Holdings plc annual Net Cash Provided by (Used in) Financing Activities for 2023 was $84,023,000, a 12% decline from 2022.
  • MeiraGTx Holdings plc annual Net Cash Provided by (Used in) Financing Activities for 2022 was $95,200,000, a 5474% increase from 2021.
Source SEC data
View on sec.gov
Net Cash Provided by (Used in) Financing Activities, Quarterly (USD)
Net Cash Provided by (Used in) Financing Activities, YoY Quarterly Change (%)
Net Cash Provided by (Used in) Financing Activities, Annual (USD)
Net Cash Provided by (Used in) Financing Activities, YoY Annual Change (%)

MeiraGTx Holdings plc Quarterly Net Cash Provided by (Used in) Financing Activities (USD)

Period TTM Value Value YoY Chg Change % Start Date End Date Report Filed Fiscal Year Fiscal Period
Q1 2025 $1,713,000 +$2,983,000 01 Jan 2025 31 Mar 2025 10-Q 13 May 2025 2025 Q1
Q1 2024 $1,270,000 -$39,000 -3.2% 01 Jan 2024 31 Mar 2024 10-Q 13 May 2025 2025 Q1
Q1 2023 $1,231,000 +$1,351,000 +52% 01 Jan 2023 31 Mar 2023 10-Q 09 May 2024 2024 Q1
Q1 2022 $2,582,000 -$2,718,000 -1999% 01 Jan 2022 31 Mar 2022 10-Q 11 May 2023 2023 Q1
Q1 2021 $136,000 -$29,000 -18% 01 Jan 2021 31 Mar 2021 10-Q 12 May 2022 2022 Q1
Q1 2020 $165,000 -$77,401,423 -100% 01 Jan 2020 31 Mar 2020 10-Q 11 May 2021 2021 Q1
Q1 2019 $77,566,423 +$35,164,609 +83% 01 Jan 2019 31 Mar 2019 10-Q 07 May 2020 2020 Q1
Q1 2018 $42,401,814 01 Jan 2018 31 Mar 2018 10-Q 14 May 2019 2019 Q1

MeiraGTx Holdings plc Annual Net Cash Provided by (Used in) Financing Activities (USD)

Period Value YoY Chg Change % Start Date End Date Report Filed Fiscal Year Fiscal Period
2024 $54,534,000 -$29,489,000 -35% 01 Jan 2024 31 Dec 2024 10-K 13 Mar 2025 2024 FY
2023 $84,023,000 -$11,177,000 -12% 01 Jan 2023 31 Dec 2023 10-K 13 Mar 2025 2024 FY
2022 $95,200,000 +$93,492,000 +5474% 01 Jan 2022 31 Dec 2022 10-K 15 Mar 2024 2023 FY
2021 $1,708,000 -$81,020,000 -98% 01 Jan 2021 31 Dec 2021 10-K 14 Mar 2023 2021 FY
2020 $82,728,000 -$65,506,904 -44% 01 Jan 2020 31 Dec 2020 10-K 10 Mar 2022 2021 FY
2019 $148,234,904 +$18,194,489 +14% 01 Jan 2019 31 Dec 2019 10-K 11 Mar 2021 2020 FY
2018 $130,040,415 +$110,700,200 +572% 01 Jan 2018 31 Dec 2018 10-K 11 Mar 2020 2019 FY
2017 $19,340,215 01 Jan 2017 31 Dec 2017 10-K 26 Mar 2019 2018 FY
* An asterisk sign (*) next to the value indicates that the value is likely invalid.