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CureVac NV

CureVac NV (CVAC)

2.87
-0.12
(-4.01%)
Closed 23 December 8:00AM
3.10
0.23
(8.01%)
After Hours: 11:35AM

Income Statement

Balance Sheet

Cash Flow

Quarter End Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
EUR (€)EUR (€)EUR (€)EUR (€)EUR (€)EUR (€)
Total Assets 860.47M973.67M899.48M842.57M788.25M690.43M556.84M854.19M
Total Current Assets 584.03M686.92M603.21M536.83M478.38M377.89M251.58M584.72M
Cash and Equivalents 495.8M617.52M537.93M464.15M402.45M300.15M202.52M550.86M
Total Non-Current Assets 430.62M244.07M254.24M261.97M504.8M271.95M266.27M229.34M
Total Liabilities 327.22M260.27M250.43M240.3M271.31M243.52M180.3M129.49M
Total Current Liabilities 156.23M90.3M156.28M150.68M186.39M167.93M110M94.35M
Total Non-Current Liabilities 170.99M169.98M94.16M89.62M84.92M75.59M70.3M35.14M
Common Equity 23.4M26.86M26.87M26.87M26.88M26.92M26.92M26.92M
Retained Earnings -1.31B-1.36B-1.43B-1.48B-1.57B-1.64B-1.71B-1.37B
Year End 31 December 2023 201820192020202120222023
EUR (€)EUR (€)EUR (€)EUR (€)EUR (€)EUR (€)
Total Assets 125.66M130.62M1.51B1.16B860.47M788.25M
Total Current Assets 73.07M57.18M1.39B940.02M584.03M478.38M
Cash and Equivalents 21.38M30.68M1.32B811.46M495.8M402.45M
Total Non-Current Assets 32.08M-42.8M711.35M688.48M533.25M516.94M
Total Liabilities 93.58M173.42M800.01M469.77M327.22M271.31M
Total Current Liabilities 28.13M28.09M247.62M357.73M156.23M186.39M
Total Non-Current Liabilities 65.45M210.35M552.39M112.03M170.99M84.92M
Total Equity 32.08M-42.8M711.35M688.48M533.25M516.94M
Common Equity 727k727k21.66M22.45M23.4M26.88M
Retained Earnings -416.07M-515.95M-645.07M-1.06B-1.31B-1.57B

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