Tarsus Pharmaceuticals Inc. | Mid-cap | Healthcare

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

Latest Quarterly: Mar 2025

Income Metrics

Revenue 78.3M
Gross Profit 73.1M 93.35%
Operating Income -26.3M -33.55%
Net Income -25.1M -32.07%
EPS (Diluted) $-0.64

Balance Sheet Metrics

Total Assets 500.8M
Total Liabilities 158.3M
Shareholders Equity 342.5M
Debt to Equity 0.46

Cash Flow Metrics

Operating Cash Flow -22.2M
Free Cash Flow -21.2M

Revenue & Profitability Trend

Tarsus Income Statement From 2020 to 2024

Metric20242023202220212020
Revenue i183.0M17.4M25.8M57.0M0
Cost of Goods Sold i12.8M1.6M955.0K2.1M0
Gross Profit i170.1M15.9M24.9M55.0M0
Gross Margin % i93.0%90.9%96.3%96.4%0.0%
Operating Expenses
Research & Development i53.4M50.3M42.6M41.7M18.8M
Selling, General & Administrative i237.3M108.7M44.9M25.4M8.2M
Other Operating Expenses i-----
Total Operating Expenses i290.7M159.0M87.6M67.1M27.0M
Operating Income i-120.6M-143.2M-62.7M-12.2M-27.0M
Operating Margin % i-65.9%-820.5%-242.9%-21.3%0.0%
Non-Operating Items
Interest Income i15.0M10.3M3.5M36.0K188.0K
Interest Expense i7.4M3.2M2.1M0-
Other Non-Operating Income-2.2M274.0K-683.0K-1.7M-
Pre-tax Income i-115.6M-135.9M-62.1M-13.8M-26.8M
Income Tax i00-4.0K55.0K1.0K
Effective Tax Rate % i0.0%0.0%0.0%0.0%0.0%
Net Income i-115.6M-135.9M-62.1M-13.8M-26.8M
Net Margin % i-63.2%-778.9%-240.5%-24.2%0.0%
Key Metrics
EBITDA i-104.1M-132.2M-58.9M-11.9M-26.9M
EPS (Basic) i$-3.07$-4.62$-2.52$-0.67$-4.32
EPS (Diluted) i$-3.07$-4.62$-2.52$-0.67$-4.32
Basic Shares Outstanding i376045382938327624619700205540866207367
Diluted Shares Outstanding i376045382938327624619700205540866207367

Income Statement Trend

Tarsus Balance Sheet From 2020 to 2024

Metric20242023202220212020
Assets
Current Assets
Cash & Equivalents i94.8M224.9M71.7M171.3M168.1M
Short-term Investments i196.6M2.5M145.4M483.0K0
Accounts Receivable i46.8M16.6M0--
Inventory i2.6M3.1M0--
Other Current Assets-----
Total Current Assets i356.7M256.1M225.4M176.0M170.7M
Non-Current Assets
Property, Plant & Equipment i1.3M2.0M742.0K1.2M861.0K
Goodwill i8.3M3.9M0--
Intangible Assets i-----
Long-term Investments--108.0K663.0K-
Other Non-Current Assets6.1M1.5M585.0K392.0K81.0K
Total Non-Current Assets i20.3M9.4M2.5M3.0M1.3M
Total Assets i377.0M265.5M227.9M178.9M172.0M
Liabilities
Current Liabilities
Accounts Payable i27.7M18.1M5.5M2.9M2.2M
Short-term Debt i608.0K398.0K721.0K1.3M282.0K
Current Portion of Long-term Debt-----
Other Current Liabilities-----
Total Current Liabilities i80.6M36.9M15.4M11.5M5.4M
Non-Current Liabilities
Long-term Debt i71.8M29.8M19.4M585.0K549.0K
Deferred Tax Liabilities i-----
Other Non-Current Liabilities-1.7M100.0K--
Total Non-Current Liabilities i71.8M31.6M19.5M699.0K605.0K
Total Liabilities i152.5M68.5M35.0M12.2M6.0M
Equity
Common Stock i6.0K5.0K5.0K4.0K4.0K
Retained Earnings i-360.2M-244.7M-108.8M-46.7M-32.8M
Treasury Stock i-----
Other Equity-----
Total Shareholders Equity i224.5M197.0M192.9M166.7M166.0M
Key Metrics
Total Debt i72.5M30.2M20.2M1.9M831.0K
Working Capital i276.1M219.2M209.9M164.5M165.3M

Balance Sheet Composition

Tarsus Cash Flow Statement From 2020 to 2024

Metric20242023202220212020
Operating Activities
Net Income i-115.6M-135.9M-62.1M-13.8M-26.8M
Depreciation & Amortization i1.2M877.0K325.0K312.0K96.0K
Stock-Based Compensation i27.8M19.8M13.5M8.5M839.0K
Working Capital Changes i8.3M-4.5M-3.0M1.7M3.9M
Operating Cash Flow i-77.1M-118.8M-50.5M2.4M-18.7M
Investing Activities
Capital Expenditures i-1.6M-1.5M-506.0K-586.0K-456.0K
Acquisitions i-----
Investment Purchases i-265.6M-28.7M-149.4M0-
Investment Sales i73.0M174.8M5.3M0-
Investing Cash Flow i-194.2M144.6M-144.6M-586.0K-456.0K
Financing Activities
Share Repurchases i-----28.0K
Dividends Paid i-----
Debt Issuance i75.0M10.0M20.0M00
Debt Repayment i-----
Financing Cash Flow i137.9M128.6M93.4M-303.0K223.1M
Free Cash Flow i-89.6M-123.0M-49.5M3.2M-21.6M
Net Change in Cash i-133.4M154.4M-101.7M1.5M203.9M

Cash Flow Trend

Tarsus Key Financial Ratios

Valuation Ratios

P/E Ratio (TTM) -18.05
Forward P/E -24.86
Price to Book 6.81
Price to Sales 7.67
PEG Ratio 0.40

Profitability Ratios

Profit Margin -31.13%
Operating Margin -21.61%
Return on Equity -31.46%
Return on Assets -14.06%

Financial Health

Current Ratio 5.26
Debt to Equity 21.78
Beta 0.79

Per Share Data

EPS (TTM) $-2.29
Book Value per Share $7.88
Revenue per Share $7.43

Peer Financial Comparison

CompanyMarket CapP/E RatioP/B RatioROEProfit MarginDebt/Equity
tars2.3B-18.056.81-31.46%-31.13%21.78
Vertex 100.2B27.775.8322.77%31.86%8.89
Regeneron 62.9B14.952.0615.34%31.37%9.04
BridgeBio Pharma 9.6B-17.12-5.2836.76%98.25%-1.04
Madrigal 9.1B-18.9413.00-36.30%-54.68%17.81
Blueprint Medicines 8.4B-120.9924.43-47.71%-27.70%208.50

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