CVRx, Inc. (CVRX)

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CIK 0001235912 · Nasdaq · Surgical & Medical Instruments & Apparatus

  • Sector Manufacturing
  • Incorporated DE
  • Fiscal year ends Dec 31

In fiscal 2025, CVRx, Inc. reported revenue of $56.65M, up 10.4% from the prior year. The company ran a net loss, with a net margin of -94.1% and a gross margin of 85.3%. It held $104.79M in total assets against $65.47M in total liabilities.

Key ratios (FY2025)

85.3%
Gross margin
-90.5%
Operating margin
-94.1%
Net margin
-135.6%
Return on equity
+10.4%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019
Revenue$56.65M$51.29M$39.30M$22.47M$13.04M$6.05M
Cost of Revenue$8.31M$8.33M$6.26M$5.00M$3.64M$1.44M
Gross Profit$48.34M$42.96M$33.04M$17.47M$9.40M$4.61M
Operating Income-$51.27M-$59.49M-$43.10M-$42.53M-$25.97M-$11.51M
Net Income-$53.31M-$59.97M-$41.20M-$41.43M-$43.08M-$14.11M
EPS (Diluted)$-2.04$-2.65$-1.99$-2.02$-4.16
Total Assets$104.79M$133.41M$115.23M$124.94M$152.55M$64.78M
Total Liabilities$65.47M$62.36M$39.28M$15.76M$6.59M$28.03M
Shareholders' Equity$39.32M$71.06M$75.95M$109.18M$145.96M-$293.24M-$279.04M
Cash & Equivalents$75.71M$105.93M$90.57M$106.19M$142.07M$59.11M
Operating Cash Flow-$40.17M-$39.14M-$39.02M-$42.68M-$27.73M-$16.10M
Capital Expenditures$580.0K$1.36M$591.0K$685.0K$1.18M$311.0K
Shares Outstanding26.31M25.32M20.88M20.66M20.40M360.4K