BackTissue Regenix Group plc Overview

Tissue Regenix Group plc Current Cash

Tissue Regenix Group plc's current cash is $1.9M.

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Current Cash
$1.87M
59.78% YoYΔ $-2.78M vs prior year quarter

Peer trimmed avg / median

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Tissue Regenix Group plc Current Cash History

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Tissue Regenix Group plc vs. peers: Current Cash Comparison

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Tissue Regenix Group plc Cash Growth (YoY per quarter)

Latest change versus the prior comparable period (same company).

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Tissue Regenix Group plc (TSSNF) FAQ

As of the most recent data (December 2024), TSSNF shows a current cash of $1.9M. That compares with $4.7M in the prior-year period — down 59.8% year over year. Scroll down for historical charts and peer comparison views.

Compared with the year-ago period, TSSNF's current cash is now $1.9M (was $4.7M) — a 59.8% year-over-year decrease. Pairing that YoY change with peer averages gives a clearer picture of whether Tissue Regenix Group plc is outperforming or lagging.

Tracking TSSNF's current cash over time shows whether Tissue Regenix Group plc is scaling, shrinking, or reshaping that part of the business. The current reading is $1.9M That compares with $4.7M in the prior-year period — down 59.8% year over year. Multi-quarter patterns matter more than any single print, which is why this page emphasizes history and peer comparison charts.

Besides this current cash page, Stockcircle has Tissue Regenix Group plc's full stock overview, other financial metrics, insider and congress trade tabs, and tools to follow the stock. Together they help you connect current cash (currently $1.9M) with ownership activity and broader fundamentals.