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Disc Medicine IRON Cash Flow Statement

FY'25FY'24FY'23FY'22
-$212.18M-94.0%-$109.36M-43.1%-$76.43M-63.2%-$46.83M
$281K+80.1%$156K+56.0%$100K+12.4%$89K
$34.34M+104%$16.82M+204%$5.53M+165%$2.09M
$1.07M
$6.88M+309%$1.68M$1.5M
$9.29M$1.17M+431%-$352K
-$1K
-$495K-$336K-138%
-$180.39M-92.1%-$93.93M-27.9%-$73.46M-73.9%-$42.25M
$933K$89K-41.1%$151K
$456.22M+381%$94.8M
-$292.33M-328,363%-$89K+41.1%-$151K
$0-100%$28.99M$0
$8.64M$0-100%$53.5M
$473.41M+117%$218.31M-8.8%$239.38M+60.7%$148.98M
-$167.94M$106.58M
$2.8M+1,312%$198K$0
$8.52M+60.6%$5.3M
$4.31M
-$495K-$336K-138%
$6.88M
$9.29M$1.17M+431%-$352K
$837K+559%$127K$0
$473K+9.2%$433K+49.3%$290K
-$1K
$456.22M+381%$94.8M$0
$0-100%$1.39M$0
$199.08M
$0-100%$37.58M
$0
-$495K-$336K-138%
$850K+18.4%$718K+286%$186K
-$181.33M-92.0%-$94.43M-28.4%-$73.55M-73.5%-$42.4M
-$181.33M-92.0%-$94.43M-28.4%-$73.55M-73.5%-$42.4M

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Questions, answered.

How much cash does Disc Medicine generate?
Disc Medicine (IRON) generated -$201.3M in operating cash flow over the trailing twelve months.
What is Disc Medicine's free cash flow?
After $82.0K of capital expenditures, Disc Medicine's free cash flow was -$201.3M over the trailing twelve months, down 95.5% year over year.
Where does Disc Medicine's cash flow data come from?
Every line is extracted from Disc Medicine'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.