Francesco Laconi EQUITY RESEARCH
FINANCIAL MODEL

Catalyst Pharmaceuticals

CPRX · all figures in $M unless noted
burgundy figures open the exact filing page they were verified against · green figures are computed — click for the formula
FY2015FY2016FY2017FY2018FY2019FY2020FY2021FY2022FY2023FY2024FY2025
Income Statement
Revenue0000102119141214398492589
Cost of Goods Sold000015172234526987
Gross Profit
SG&A9871637445058134178194
R&D1211112019161720931313
EBITDA
D&A000001333838
EBIT (Operating Income)-20-19-19-3532415210287195258
Interest Expense
Pre-Tax Income-20-18-18-3433425310595216284
Tax Expense00002-331322235269
Net Income-20-18-18-343275398371164214
Diluted EPS-0.25-0.22-0.21-0.330.300.710.370.750.631.311.68
Diluted Shares (M)80.982.985.8102.6106.0106.2107.8111.4113.8124.9127.3
Balance Sheet
Total Cash & Equivalents14571790130171298138518709
Short-term Debt00000000000
Long-term Debt00000000000
Total Debt
Net Debt
Total Current Assets55111159210321219624894
Total Current Liabilities102423275876121147
Total Assets604285601121922383764708511,104
Total Liabilities524102523317582124150
Shareholders' Equity5539815188170207300388728954
Minority Interest
Intangibles & Goodwill032194157132
PP&E000011111
Receivables01167105465126
Payables24434151711
Inventory02587162037
Retained Earnings-108-127-161-129-54-2650121285474
Cash Flow
Cash from Operations-14-26354560116144240209
Capital Expenditures000010010
Free Cash Flow
Stock-Based Compensation244668142225
Dividends Paid
Share Repurchases12725