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TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
-$130.01M-$38.63M
$8.34M+0.8%$8.36M+2.9%$8.33M+5.4%$8.34M+9.2%$8.27M+18.7%
$19.52M+5.2%$18.87M+4.1%$19.03M+7.3%$18.94M+5.7%$18.55M+5.6%
$59K
-$1.05M-159%$448K+17.3%
$6.75M+23.5%$7.85M+87.7%$2.81M+58.4%$949K-57.5%$5.46M+84.8%
$2.31M-$604K
$87.26M+17,281%$7.52M-91.0%$92.66M+110%-$26.77M-150%$502K-99.0%
-$1.23M-6.0%-$1.08M+20.0%-$1.23M-132%-$1.01M-354%-$1.16M-139%
$3.57M+299%$4.79M+1,543%$4.37M$1.53M$893K
-$14.68M-142%-$22.8M-154%$149.14M$27.72M$34.67M
$4.98M+18.8%$4.7M+17.9%$4.12M-25.1%$3.86M-42.8%$4.19M-62.7%
$10.23M+1,134%$5.72M+439%$117K+111%$117K+303%$829K+264%
$358.67M+264%$30.35M-69.3%$1.34M-98.9%$1M-99.2%$98.66M+256%
$8.34M+0.8%$8.36M+2.9%$8.33M+5.4%$8.34M+9.2%$8.27M+18.7%
$6.75M+23.5%$7.85M+87.7%$2.81M+58.4%$949K-57.5%$5.46M+84.8%
$87.26M+17,281%$7.52M-91.0%$92.66M+110%-$26.77M-150%$502K-99.0%
-$1.23M-6.0%-$1.08M+20.0%-$1.23M-132%-$1.01M-354%-$1.16M-139%
$3.57M+299%$4.79M+1,543%$4.37M$1.53M$893K
$2.31M-$604K
$7M$5.25M$3.5M$1.75M
-$1.23M-6.0%-$1.08M+20.0%-$1.23M-132%-$1.01M-354%-$1.16M-139%
-$19.66M-164%-$27.5M-172%$145.02M$23.85M$30.48M
-$19.66M-164%-$27.5M-172%$145.02M$23.85M$30.48M

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Questions, answered.

How much cash does Monte Rosa Therapeutics, Inc. generate?
Monte Rosa Therapeutics, Inc. (GLUE) generated -$14.7M in operating cash flow over the trailing twelve months.
What is Monte Rosa Therapeutics, Inc.'s free cash flow?
After $5.0M of capital expenditures, Monte Rosa Therapeutics, Inc.'s free cash flow was -$19.7M over the trailing twelve months, down 164.5% year over year.
Where does Monte Rosa Therapeutics, Inc.'s cash flow data come from?
Every line is extracted from Monte Rosa Therapeutics, Inc.'s SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.