Financial health
- The company is unprofitable and has less than a year of cash runway at its current free-cash-flow burn.
8 years of revenue, profit, cash flow and balance-sheet history through FY2025, from SEC filings — with a computed, factual read of the trend. Updated Overview →
| FY | Revenue | Net income | Gross M | Op M | ROE | ROA | FCF | Total debt | Cash |
|---|---|---|---|---|---|---|---|---|---|
| 2025 | — | -$9M | — | — | -72.9% | -65.1% | -$11M | — | $8M |
| 2024 | — | -$14M | — | — | -103.0% | -82.2% | -$15M | — | $6M |
| 2023 | — | -$24M | — | — | -142.5% | -109.3% | -$24M | — | $9M |
| 2022 | — | -$28M | — | — | -76.3% | -64.2% | -$20M | — | $14M |
| 2021 | — | -$12M | — | — | -20.3% | -19.4% | -$13M | — | $15M |
| 2020 | — | -$6M | — | — | -55.1% | -47.7% | -$5M | — | $12M |
| 2019 | — | -$27M | — | — | -219.2% | -137.3% | -$17M | — | $18M |
| 2018 | — | -$14M | — | — | -140.7% | -108.1% | -$14M | — | $8M |
| Quarter | Revenue | Net income | Gross M | Op M | ROE | ROA | FCF | Total debt | Cash |
|---|---|---|---|---|---|---|---|---|---|
| Jun '25 | — | -$2M | — | — | -21.2% | -18.5% | — | — | $5M |
| Mar '25 | — | -$3M | — | — | -32.0% | — | — | — | — |
| Jun '24 | — | -$4M | — | — | -36.4% | -25.0% | — | — | $5M |
| Mar '24 | — | -$4M | — | — | -29.0% | — | — | — | — |
| Jun '23 | — | -$8M | — | — | -36.2% | -27.6% | -$7M | — | $10M |
| Mar '23 | — | -$9M | — | — | -31.3% | -25.0% | -$7M | — | $21M |
| Dec '22 | — | -$8M | — | — | -22.8% | -19.2% | -$6M | — | $14M |
| Sep '22 | — | -$8M | — | — | -18.1% | -16.1% | -$5M | — | $11M |
| Jun '22 | — | -$6M | — | — | -11.9% | -11.0% | -$6M | — | $10M |
| Mar '22 | — | -$5M | — | — | -8.9% | -8.4% | -$4M | — | $14M |
| Dec '21 | — | -$5M | — | — | -8.2% | -7.8% | -$3M | — | $15M |
| Sep '21 | — | -$3M | — | — | -4.5% | -4.4% | -$3M | — | $38M |
| Jun '21 | — | -$3M | — | — | -4.1% | -3.9% | -$6M | — | $45M |
| Mar '21 | — | -$2M | — | — | -3.1% | -2.8% | -$1M | — | $58M |
| Dec '20 | — | -$2M | — | — | -18.1% | -15.6% | -$2M | — | $12M |
| Sep '20 | — | -$1M | — | — | -10.1% | -15.9% | -$921000 | — | $7M |
| Jun '20 | — | -$1M | — | — | -8.4% | -10.8% | -$880000 | — | $9M |
| Mar '20 | — | -$2M | — | — | -15.8% | -11.2% | -$2M | — | $14M |
| Dec '19 | — | -$6M | — | — | -45.3% | -28.4% | -$6M | — | $18M |
| Sep '19 | — | -$7M | — | — | -35.1% | — | -$4M | — | $23M |
See the revenue and net-income charts above for Chemomab Therapeutics Ltd.'s multi-year trend.
As of FY2025, Chemomab Therapeutics Ltd. reported — of total debt against $8M of cash.
In FY2025, gross margin was —, operating margin —, and net margin —.
All figures are extracted from the company’s SEC EDGAR/XBRL filings — 10-K annual reports and 10-Q quarterly reports (use the Annual / Quarterly toggle). Quarterly figures are derived from the as-filed statements (year-to-date amounts are differenced into discrete quarters). Growth rates and ratios are computed by tradmap; nothing here is investment advice.
Source: SEC EDGAR / XBRL (10-K + 10-Q filings) · prices EOD (Databento), corporate-action-adjusted · growth rates, valuation multiples & ratios computed by tradmap. Valuation uses each month-end price against the latest annual filing. Informational only — not investment advice.