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

The latest current cash for TSSNF is $1.9M as of December 2024. That compares with $4.7M in the prior-year period — down 59.8% year over year. Investors often review this figure alongside Tissue Regenix Group plc's historical trend and sector peers before judging valuation or financial health.

Over the past year, TSSNF's current cash moved from $4.7M to $1.9M — a 59.8% year-over-year decrease. If the trend continues in the same direction for several quarters, it can signal a meaningful shift in Tissue Regenix Group plc's operating scale or balance-sheet position.

A current cash figure of $1.9M for TSSNF is a snapshot of scale on that line item. On its own it does not say whether the business is healthy — you also want growth rate, margins, and how the number compares with similar companies. Explore the charts below for those layers of context.

After noting TSSNF's current cash ($1.9M), review year-over-year change from $4.7M, peer averages, and a few neighboring metrics such as revenue, margins, or valuation multiples. That combination usually beats staring at a single figure. The navigation links on this page jump you to those related views.