AbCellera Results Presentation Deck slide image

AbCellera Results Presentation Deck

FINANCIALS Q1 2022 BUSINESS UPDATE COPYRIGHT © ABCELLERA 13 Over $780 million in total cash, equivalents, and marketable securities. Cash Flows USD $748M $247M $476M $25M 31-Dec-21 $100M OPERATING ($26M) INVESTING ($3M) FINANCING $OM FX $812M $240M Marketable Securities $547M Cash & Equivalents $25M Restricted Cash 31-Mar-22
View entire presentation