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iRadimed Corporation

iRadimed Corporation (IRMD)

45.00
0.11
(0.25%)
At close: September 09 4:00PM
45.00
0.10
( 0.22% )
After Hours: 4:00PM

Income Statement

Balance Sheet

Cash Flow

Quarter End Sep 2022Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024
USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)
Total Assets 79.54M85.51M75.62M81.43M87.41M92.16M88.01M89.95M
Total Current Assets 71.87M77.49M61.3M66.09M71.93M76M71.89M73.58M
Cash and Equivalents 55.59M57.96M42.78M45.82M46.75M49.76M45.13M48.54M
Total Non-Current Assets 9.96M10.42M22.97M24.06M24.36M25.44M25.58M26.84M
Total Liabilities 9.77M11.84M11.28M12.43M12.84M20.74M11.89M10.28M
Total Current Liabilities 5.6M8.55M6.76M7.59M7.88M16.33M7.62M7.46M
Total Non-Current Liabilities 4.17M3.29M4.52M4.85M4.96M4.41M4.28M2.82M
Common Equity 1,0001,0001,0001,0001,0001,0001,0001,000
Retained Earnings 43.59M47.26M37.45M41.63M46.7M43.26M47.4M50.4M
Year End December 30 2023 20162017201820192020202120222023
USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)USD ($)
Total Assets 37.19M39.01M48.44M66.73M71.07M82.88M85.51M92.16M
Total Current Assets 34.17M35.11M44.54M58.96M63.74M76.25M77.49M76M
Cash and Equivalents 17.71M18.21M28.03M43.48M50.07M62M57.96M49.76M
Total Non-Current Assets 31.89M32.93M41.95M55.52M61.39M72.17M73.67M71.42M
Total Liabilities 5.31M6.08M6.5M11.21M9.68M10.71M11.84M20.74M
Total Current Liabilities 3.66M4.08M4.69M5.86M4.92M6.82M8.55M16.33M
Total Non-Current Liabilities 1.64M2M1.81M5.35M4.77M3.88M3.29M4.41M
Total Equity 31.89M32.93M41.95M55.52M61.39M72.17M73.67M71.42M
Common Equity 1,0001,0001,0001,0001,0001,0001,0001,000
Retained Earnings 19.87M20.36M26.67M36.3M37.67M47M47.26M43.26M

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