Recursion Pharmaceuticals Inc. (RXRX) Financial Statements (2026 and earlier)

Company Profile

Business Address 41S RIO GRANDE STREET
SALT LAKE CITY, UT 84101
State of Incorp. DE
Fiscal Year End December 31
Industry (SIC) 2836 - Biological Products, Except Diagnostic Substances (benchmarking)
More info Complete Financial Analysis Financial Benchmarking

Balance Sheet (Statement of Financial Position) ($ in thousands)

12/31/2025
Q4
9/30/2025
Q3
6/30/2025
Q2
3/31/2025
Q1
12/31/2024
Q4
9/30/2024
Q3
6/30/2024
Q2
ASSETS
Current Assets
Cash, cash equivalents, and short-term investments659,836525,110500,453594,350427,647474,341
Cash and cash equivalent659,836525,110500,453594,350427,647474,341
Restricted cash and investments3,1363,1063,0753,0451,5551,783
Receivables21,91021,60646,12449,1662,2552,526
Prepaid expense  2,470   
Other current assets29,22337,33832,02367,70842,71543,725
Total current assets:714,105587,160584,145714,269474,172522,375
Noncurrent Assets
Finance lease, right-of-use asset, after accumulated amortization21,72623,24224,75726,27326,89728,562
Operating lease, right-of-use asset47,81250,32453,18665,87747,88244,088
Property, plant, and equipment, after accumulated depreciation, depletion, and amortization111,706120,038126,834141,06384,41083,633
Intangible asset, including goodwill, after accumulated amortization484,386505,589493,902484,72886,14990,266
Goodwill162,042164,270158,112148,87352,05652,056
Intangible asset, excluding goodwill, after accumulated amortization322,344341,319335,790335,85534,09338,210
Restricted cash and investments4,1735,6295,6295,6296,6296,629
Deferred income tax assets9579572,0031,934  
Other noncurrent assets14,6619,41614,7788,825360308
Total noncurrent assets:685,421715,195721,089734,329252,327253,486
TOTAL ASSETS:1,399,5261,302,3551,305,2341,448,598726,499775,861
LIABILITIES AND EQUITY
Liabilities
Current Liabilities
Accounts payable and accrued liabilities67,03783,59481,890103,48542,85737,163
Accounts payable13,93519,31425,08621,6132,2603,762
Accrued liabilities53,10264,28056,80481,87240,59733,401
Deferred revenue47,36439,69039,65161,76749,57932,204
Debt8,9198,7528,5878,4258,2198,109
Other undisclosed current liabilities31,78331,99011,85313,7958,2338,607
Total current liabilities:155,103164,026141,981187,472108,88886,083
Noncurrent Liabilities
Long-term debt and lease obligation, including:11,90214,19616,44619,02220,51022,921
Finance lease, liability   18,33819,49521,878
Other undisclosed long-term debt and lease obligation11,90214,19616,4466841,0151,043
Liabilities, other than long-term debt185,573204,987212,860207,32272,54282,408
Deferred revenue111,204126,243129,609118,76515,71229,169
Deferred income tax liabilities23,31223,78422,43716,575168 
Other liabilities1,0291,5654,7904,7322,9993,000
Operating lease, liability50,02853,39556,02467,25053,66350,239
Total noncurrent liabilities:197,475219,183229,306226,34493,052105,329
Total liabilities:352,578383,209371,287413,816201,940191,412
Equity
Equity, attributable to parent1,046,948919,146933,9471,034,782524,559584,449
Common stock544433
Additional paid in capital2,980,7292,681,1112,553,4922,473,6981,776,9331,740,981
Accumulated other comprehensive income (loss)34,09343,62014,145(7,637)  
Accumulated deficit(1,967,879)(1,805,589)(1,633,694)(1,431,283)(1,252,377)(1,156,535)
Total equity:1,046,948919,146933,9471,034,782524,559584,449
TOTAL LIABILITIES AND EQUITY:1,399,5261,302,3551,305,2341,448,598726,499775,861

Income Statement (P&L) ($ in thousands)

12/31/2025
Q4
9/30/2025
Q3
6/30/2025
Q2
3/31/2025
Q1
12/31/2024
Q4
9/30/2024
Q3
6/30/2024
Q2
Revenues5,17519,22314,7454,54626,08214,417
Cost of revenue
(Cost of Product and Service Sold)
(14,687)(20,161)(21,829)(12,794)(12,079)(9,199)
Gross profit:(9,512)(938)(7,084)(8,248)14,0035,218
Operating expenses(162,690)(175,289)(184,284)(175,520)(112,357)(105,761)
Operating loss:(172,202)(176,227)(191,368)(183,768)(98,354)(100,543)
Nonoperating income (expense)9,9524,330(11,277)4,8692,6792,480
Investment income, nonoperating5,5405,4435,5584,6203,8263,266
Interest and debt expense(833)(480)(508)(605)(553)(394)
Loss from continuing operations before equity method investments, income taxes:(163,083)(172,377)(203,153)(179,504)(96,228)(98,457)
Other undisclosed income (loss) from continuing operations before income taxes833480508605553394
Loss from continuing operations before income taxes:(162,250)(171,897)(202,645)(178,899)(95,675)(98,063)
Income tax expense (benefit)(3) 158(7)(167)523
Net loss available to common stockholders, diluted:(162,253)(171,897)(202,487)(178,906)(95,842)(97,540)

Comprehensive Income ($ in thousands)

12/31/2025
Q4
9/30/2025
Q3
6/30/2025
Q2
3/31/2025
Q1
12/31/2024
Q4
9/30/2024
Q3
6/30/2024
Q2
Net loss:(162,253)(171,897)(202,487)(178,906)(95,842)(97,540)
Comprehensive loss:(162,253)(171,897)(202,487)(178,906)(95,842)(97,540)
Other undisclosed comprehensive income (loss), net of tax, attributable to parent(9,527)29,47521,782(7,637)  
Comprehensive loss, net of tax, attributable to parent:(171,780)(142,422)(180,705)(186,543)(95,842)(97,540)

Statements Sources

The financial statements are based on the Company's filings with the U.S. Securities and Exchange Commission (SEC) through the Electronic Data Gathering, Analysis, and Retrieval system (EDGAR). The information is derived from the 10-K and 10-Q reports submitted to the SEC in XBRL (eXtensible Business Reporting Language) format and presented according to the US GAAP Taxonomy. Please review the original filings for a more detailed information.

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