TL;DR: Financial Overview - Revenue, Profits & Key Metrics

Latest Quarterly: Jun 2025

Income Metrics

Revenue 1.4M
Gross Profit -1.1M -77.75%
Operating Income -71.9M -4,959.52%
Net Income -69.4M -4,783.94%
EPS (Diluted) $-0.26

Balance Sheet Metrics

Total Assets 802.3M
Total Liabilities 119.4M
Shareholders Equity 682.9M
Debt to Equity 0.17

Cash Flow Metrics

Operating Cash Flow -40.4M
Free Cash Flow -48.9M

Revenue & Profitability Trend

CureVac N.V Income Statement From 2020 to 2024

Metric20242023202220212020
Revenue i623.3M53.8M67.4M103.0M48.9M
Cost of Goods Sold i123.3M124.4M184.0M238.2M14.2M
Gross Profit i500.0M-70.6M-116.6M-135.2M34.7M
Gross Margin % i80.2%-131.3%-172.9%-131.3%71.0%
Operating Expenses
Research & Development i178.2M115.7M62.6M815.9M113.8M
Selling, General & Administrative i70.8M76.4M89.4M88.9M45.7M
Other Operating Expenses i34.9M-342.0K-29.4M-636.7M-21.1M
Total Operating Expenses i284.0M191.8M122.6M268.1M138.4M
Operating Income i206.9M-276.3M-250.9M-412.3M-109.8M
Operating Margin % i33.2%-513.9%-372.1%-400.3%-224.7%
Non-Operating Items
Interest Income i14.4M16.7M4.0M10.1M2.1M
Interest Expense i02.5M3.7M10.3M22.1M
Other Non-Operating Income980.6K2.1M1.4M--
Pre-tax Income i222.3M-260.0M-249.2M-412.5M-129.8M
Income Tax i33.4M198.0K-126.0K-782.0K-726.0K
Effective Tax Rate % i15.0%0.0%0.0%0.0%0.0%
Net Income i188.9M-260.2M-249.0M-411.7M-129.1M
Net Margin % i30.3%-484.0%-369.4%-399.8%-264.2%
Key Metrics
EBITDA i243.2M-236.1M-223.1M-386.5M-97.1M
EPS (Basic) i$0.72$-1.18$-1.32$-2.21$-0.72
EPS (Diluted) i$0.72$-1.18$-1.32$-2.21$-0.72
Basic Shares Outstanding i261313743194333278184419886181432956176017625
Diluted Shares Outstanding i261313743194333278184419886181432956176017625

Income Statement Trend

CureVac N.V Balance Sheet From 2020 to 2024

Metric20242023202220212020
Assets
Current Assets
Cash & Equivalents i561.1M402.5M495.8M811.5M1.3B
Short-term Investments i4.2M2.7M4.5M4.6M2.6M
Accounts Receivable i16.4M14.3M6.3M18.5M1.0M
Inventory i630.1K24.8M24.0M56.2M14.5M
Other Current Assets6.1M5.5M5.3M8.3M48.3M
Total Current Assets i613.1M478.4M584.0M940.0M1.4B
Non-Current Assets
Property, Plant & Equipment i1.9M2.0M2.3M440.0K9.8M
Goodwill i43.8M40.8M44.2M13.2M14.1M
Intangible Assets i14.8M15.9M19.3M13.2M14.1M
Long-term Investments-----
Other Non-Current Assets7.7M2.9M3.3M3.4M2.6M
Total Non-Current Assets i321.9M309.9M276.4M218.2M121.5M
Total Assets i935.0M788.2M860.5M1.2B1.5B
Liabilities
Current Liabilities
Accounts Payable i20.1M46.4M68.2M122.3M17.6M
Short-term Debt i6.2M5.0M5.0M3.5M3.2M
Current Portion of Long-term Debt-----
Other Current Liabilities21.5M39.1M35.0M42.1M49.7M
Total Current Liabilities i84.3M186.4M156.2M357.7M247.6M
Non-Current Liabilities
Long-term Debt i39.2M36.8M37.1M25.4M26.9M
Deferred Tax Liabilities i264.4K---0
Other Non-Current Liabilities--19.0K264.0K25.5M
Total Non-Current Liabilities i39.4M84.9M171.0M112.0M552.4M
Total Liabilities i123.7M271.3M327.2M469.8M800.0M
Equity
Common Stock i31.4M26.9M23.4M22.5M21.7M
Retained Earnings i-1.6B-1.6B-1.3B-1.1B-645.1M
Treasury Stock i001.5M5.8M0
Other Equity-----
Total Shareholders Equity i811.3M516.9M533.3M688.5M711.3M
Key Metrics
Total Debt i45.4M41.8M42.1M28.9M30.1M
Working Capital i528.8M292.0M427.8M582.3M1.1B

Balance Sheet Composition

CureVac N.V Cash Flow Statement From 2020 to 2024

Metric20242023202220212020
Operating Activities
Net Income i222.8M-260.0M-249.2M-412.5M-129.8M
Depreciation & Amortization i22.0M23.4M23.7M15.7M10.7M
Stock-Based Compensation i4.8M7.7M9.2M15.0M14.2M
Working Capital Changes i-191.4M-84.8M-134.5M-66.4M626.2M
Operating Cash Flow i42.8M-327.9M-351.1M-929.0M572.8M
Investing Activities
Capital Expenditures i-16.7M-52.3M-88.0M-124.2M-36.3M
Acquisitions i00-277.0K00
Investment Purchases i--00-1.2M
Investment Sales i---00
Investing Cash Flow i-16.7M-52.3M-88.3M-124.2M-34.3M
Financing Activities
Share Repurchases i----30.9M0
Dividends Paid i-----
Debt Issuance i--0049.9M
Debt Repayment i-6.0M-5.2M-4.2M-28.2M-97.7M
Financing Cash Flow i-6.0M230.9M63.2M345.0M819.8M
Free Cash Flow i97.3M-323.1M-379.4M-861.0M475.1M
Net Change in Cash i20.1M-149.3M-376.2M-708.3M1.4B

Cash Flow Trend

CureVac N.V Key Financial Ratios

Valuation Ratios

P/E Ratio (TTM) 5.81
Forward P/E -12.42
Price to Book 2.10
Price to Sales 2.41
PEG Ratio -0.23

Profitability Ratios

Profit Margin 37.93%
Operating Margin -4,959.44%
Return on Equity 40.22%
Return on Assets 23.77%

Financial Health

Current Ratio 6.17
Debt to Equity 6.15
Beta 2.53

Per Share Data

EPS (TTM) $0.94
Book Value per Share $2.60
Revenue per Share $2.27

Peer Financial Comparison

CompanyMarket CapP/E RatioP/B RatioROEProfit MarginDebt/Equity
cvac1.2B5.812.1040.22%37.93%6.15
Vertex 100.2B27.775.8322.77%31.86%8.89
Regeneron 62.9B14.952.0615.34%31.37%9.04
Cg Oncology 2.0B-18.132.97-12.00%0.00%0.15
Adaptive 2.0B-12.0711.04-57.60%-59.07%121.39
Vericel 1.8B255.215.872.59%2.85%32.74

Financial data is updated regularly. All figures are in the company's reporting currency.