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Replimune (REPL) Cash From Investing

Annual CFI

$97.20 M
+$239.70 M+168.21%

31 March 2024

REPL Cash From Investing Chart

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Quarterly CFI

$458.00 K
-$29.31 M-98.46%

30 September 2024

REPL Quarterly CFI Chart

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TTM CFI

$107.38 M
-$12.22 M-10.22%

30 September 2024

REPL TTM CFI Chart

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REPL Cash From Investing Performance

PeriodPeriodAnnualAnnualQuarterlyQuarterlyTTMTTM
1 y1 year+168.2%-96.4%+184.0%
3 y3 years+151.5%+104.1%+236.1%
5 y5 years+247.4%-98.2%+61.7%

REPL Cash From Investing High & Low

PeriodPeriodAnnual vs highAnnual vs highAnnual vs lowAnnual vs lowQuarter. vs highQuarter. vs highQuarter. vs lowQuarter. vs lowTTM vs highTTM vs highTTM vs lowTTM vs low
3 y3 yearsat high+151.5%-99.2%+100.4%-10.2%+175.3%
5 y5 yearsat high+151.5%-99.2%+100.4%-10.2%+156.9%
alltimeall timeat high+151.5%-99.2%+100.4%-10.2%+156.9%

Replimune Cash From Investing History

DateAnnualQuarterlyTTM
Sept 2024
-
$458.00 K(-98.5%)
$107.38 M(-10.2%)
June 2024
-
$29.77 M(+28.3%)
$119.61 M(+23.1%)
Mar 2024
$97.20 M(-168.2%)
$23.20 M(-57.0%)
$97.20 M(+89.7%)
Dec 2023
-
$53.96 M(+325.4%)
$51.25 M(-140.1%)
Sept 2023
-
$12.68 M(+72.3%)
-$127.81 M(-9.0%)
June 2023
-
$7.36 M(-132.4%)
-$140.46 M(-1.4%)
Mar 2023
-$142.50 M(+7790.5%)
-$22.75 M(-81.8%)
-$142.50 M(+14.9%)
Dec 2022
-
-$125.10 M(<-9900.0%)
-$124.08 M(+901.0%)
Sept 2022
-
$36.00 K(-99.3%)
-$12.39 M(-47.2%)
June 2022
-
$5.32 M(-222.9%)
-$23.48 M(+1200.3%)
Mar 2022
-$1.81 M(-99.0%)
-$4.33 M(-67.8%)
-$1.81 M(-98.5%)
Dec 2021
-
-$13.42 M(+21.4%)
-$123.75 M(+56.8%)
Sept 2021
-
-$11.05 M(-140.9%)
-$78.91 M(-30.0%)
June 2021
-
$26.99 M(-121.4%)
-$112.66 M(-40.3%)
Mar 2021
-$188.78 M
-$126.27 M(-501.9%)
-$188.78 M(+245.4%)
DateAnnualQuarterlyTTM
Dec 2020
-
$31.42 M(-170.1%)
-$54.66 M(-63.9%)
Sept 2020
-
-$44.80 M(-8.8%)
-$151.29 M(+86.4%)
June 2020
-
-$49.13 M(-726.5%)
-$81.17 M(+1451.1%)
Mar 2020
-$5.23 M(-92.1%)
$7.84 M(-112.0%)
-$5.23 M(+101.3%)
Dec 2019
-
-$65.21 M(-357.5%)
-$2.60 M(-103.9%)
Sept 2019
-
$25.32 M(-5.5%)
$66.41 M(-250.9%)
June 2019
-
$26.81 M(+156.0%)
-$44.02 M(-33.2%)
Mar 2019
-$65.94 M(+49.7%)
$10.47 M(+175.6%)
-$65.94 M(-30.2%)
Dec 2018
-
$3.80 M(-104.5%)
-$94.49 M(-23.9%)
Sept 2018
-
-$85.11 M(-1840.5%)
-$124.13 M(+217.3%)
June 2018
-
$4.89 M(-127.1%)
-$39.12 M(-11.2%)
Mar 2018
-$44.05 M(>+9900.0%)
-$18.08 M(-30.0%)
-$44.05 M(+69.6%)
Dec 2017
-
-$25.84 M(>+9900.0%)
-$25.97 M(>+9900.0%)
Sept 2017
-
-$101.00 K(+206.1%)
-$134.00 K(+306.1%)
June 2017
-
-$33.00 K
-$33.00 K
Mar 2017
-$238.00 K
-
-

FAQ

  • What is Replimune annual cash flow from investing activities?
  • What is the all time high annual CFI for Replimune?
  • What is Replimune annual CFI year-on-year change?
  • What is Replimune quarterly cash flow from investing activities?
  • What is the all time high quarterly CFI for Replimune?
  • What is Replimune quarterly CFI year-on-year change?
  • What is Replimune TTM cash flow from investing activities?
  • What is the all time high TTM CFI for Replimune?
  • What is Replimune TTM CFI year-on-year change?

What is Replimune annual cash flow from investing activities?

The current annual CFI of REPL is $97.20 M

What is the all time high annual CFI for Replimune?

Replimune all-time high annual cash flow from investing activities is $97.20 M

What is Replimune annual CFI year-on-year change?

Over the past year, REPL annual cash flow from investing activities has changed by +$239.70 M (+168.21%)

What is Replimune quarterly cash flow from investing activities?

The current quarterly CFI of REPL is $458.00 K

What is the all time high quarterly CFI for Replimune?

Replimune all-time high quarterly cash flow from investing activities is $53.96 M

What is Replimune quarterly CFI year-on-year change?

Over the past year, REPL quarterly cash flow from investing activities has changed by -$12.22 M (-96.39%)

What is Replimune TTM cash flow from investing activities?

The current TTM CFI of REPL is $107.38 M

What is the all time high TTM CFI for Replimune?

Replimune all-time high TTM cash flow from investing activities is $119.61 M

What is Replimune TTM CFI year-on-year change?

Over the past year, REPL TTM cash flow from investing activities has changed by +$235.19 M (+184.02%)