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FY'25FY'24FY'23FY'22
$357.75M+65.8%$215.79M+164%$81.72M+31.7%$62.03M-55.6%
$242M+36.6%$177.2M$0-100%$38.87M-63.2%
$29.16M+21.2%$24.05M+20.6%$19.93M-51.5%$41.06M+22.7%
$242M+36.6%$177.2M$0
$610.91M+51.1%$404.37M+376%$84.88M-23.4%$110.84M-61.4%
$147K-36.1%$230K-60.9%$588K-39.4%$971K-20.0%
$92K-91.9%$1.13M-45.2%$2.06M-28.9%$2.9M-20.6%
$326.76M+325%$76.96M$0
$937.91M+94.1%$483.11M+449%$87.95M-23.6%$115.13M-60.7%
$24.63M+96.6%$12.53M+115%$5.82M-60.4%$14.67M+36.1%
$35.03M+47.4%$23.76M+220%$7.42M-53.2%$15.85M-41.0%
$110K-91.3%$1.26M+11.8%$1.13M+12.0%$1.01M+24.1%
$59.77M+59.2%$37.55M+138%$15.75M-54.1%$34.35M-10.6%
$110K-92.0%$1.37M-45.1%$2.5M-28.7%$3.5M-18.8%
$59.77M+58.7%$37.66M+106%$18.28M-53.2%$39.02M-6.9%
$0$0$0$0
150M+1,071,329%14K+7.7%13K+160%5K0.0%
$2.02B+57.4%$1.28B+77.1%$723.58M+19.2%$606.92M+6.9%
-$1.14B-36.2%-$836.74M-28.0%-$653.92M-23.2%-$530.64M-67.6%
$563K-13.9%$654K$0+100%-$173K+1.7%
0000
$878.14M+97.1%$445.45M+539%$69.67M-8.5%$76.11M-69.7%
$937.91M+94.1%$483.11M+449%$87.95M-23.6%$115.13M-60.7%
$38.9M-59.4%
$0-100%$38.87M-71.7%
$242M+36.6%$177.2M
$326.76M
$92K-91.9%$1.13M-45.2%$2.06M-28.9%$2.9M-20.6%
$568.76M+639%$76.96M$0
$326.76M
$92K-91.9%$1.13M-45.2%$2.06M-28.9%$2.9M-20.6%
$92K-91.9%$1.13M-45.2%$2.06M-28.9%$2.9M-20.6%
$35.03M+47.4%$23.76M+220%$7.42M-53.2%$15.85M-41.0%
$35.03M+47.4%$23.76M+220%$7.42M-53.2%$15.85M-41.0%
$110K-92.0%$1.37M-45.1%$2.5M-28.7%$3.5M-18.8%
$0.000.0%$0.000.0%$0.000.0%$0.000.0%
25.2M+29.7%19.4M+121%8.8M-82.2%49.4M+9.0%
10M0.0%10M0.0%10M0.0%10M0.0%
0000
0000
$15K+7.1%$14K+7.7%$13K+160%$5K0.0%
$0$0$0$0
$38.9M-59.4%
$0.000.0%$0.000.0%$0.000.0%$0.000.0%
1.9M+3.7%1.8M+172%666.2K-92.5%8.8M+36.6%
5.3M+53.2%3.5M+151%1.4M-88.5%12.1M+18.0%
$89.80-1.1%$90.84-43.3%$160.19+1,050%$13.93-17.7%
7-50.0%
$14.29M+6.9%$13.36M+352%$2.96M-72.5%$10.73M-39.6%
$18.71M+99.8%$9.37M+152%$3.72M+32.6%$2.8M-61.0%
$326.76M+325%$76.96M$0
$242M+36.6%$177.2M$0
$771.06M+93.4%$398.76M
$51K
$614K
$770.49M+93.5%$398.11M
$5.32M+53.2%$3.47M+151%$1.38M-88.5%$12.07M+18.0%
$00.0%$00.0%$00.0%$00.0%
$150M0.0%$150M0.0%$150M0.0%$150M0.0%
$25.2M+29.7%$19.42M+121%$8.79M-82.2%$49.38M+9.0%
$25.2M+29.7%$19.42M+121%$8.79M-82.2%$49.38M+9.0%
$7-50.0%
$38.9M-59.4%
10.0%1
$2.03M+96.0%$1.04M+39.3%$743K-67.9%$2.31M+21.7%
$00.0%$00.0%$00.0%$00.0%
$10M0.0%$10M0.0%$10M0.0%$10M0.0%
$0$0$0$0
$0$0$0$0
$1.88M+3.7%$1.81M+172%$666.16K-92.5%$8.84M+36.6%
$89.8-1.1%$90.84-43.3%$160.19+1,050%$13.93-17.7%
$0$0$0$0

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Questions, answered.

What are Praxis Precision Medicines, Inc.'s total assets?
Praxis Precision Medicines, Inc. (PRAX) holds $1.5B in total assets, up 205.0% year over year.
How much debt does Praxis Precision Medicines, Inc. have?
Praxis Precision Medicines, Inc. carries $1.4M in total debt against $1.4B of shareholders' equity, a debt-to-equity ratio of 0.00.
How much cash does Praxis Precision Medicines, Inc. have?
Praxis Precision Medicines, Inc. holds $536.7M in cash and equivalents.
Can Praxis Precision Medicines, Inc. cover its short-term obligations?
Its current ratio is 15.88 — current assets exceed current liabilities.
Where does Praxis Precision Medicines, Inc.'s balance sheet data come from?
Every line is extracted from Praxis Precision Medicines, 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.