Quotient ltd (QTNT)
Income statement / Yearly
Mar'19Mar'18Mar'17Mar'16Mar'15Mar'14Mar'13
Revenue:
Total revenue

29,134

24,732

22,227

18,522

18,408

19,755

14,371

Cost of revenue

17,230

10,471

10,844

9,658

9,763

8,406

7,169

Gross profit

11,904

14,261

11,383

8,864

8,645

11,349

7,202

Operating expenses:
Sales and marketing

8,637

7,347

5,660

3,073

2,750

2,705

2,252

Research and development, net of government grants

50,677

51,202

57,064

28,781

19,216

8,066

2,617

General and administrative expense:
Compensation expense in respect of share options and management equity incentives

4,957

4,156

4,221

2,004

1,138

933

471

Other general and administrative expenses

26,588

21,544

18,497

24,094

15,255

8,537

6,353

Total general and administrative expense

31,545

25,700

22,718

26,098

16,393

9,470

6,824

Total operating expense

90,859

84,249

85,442

57,952

38,359

20,241

11,693

Operating loss

-78,955

-69,988

-74,059

-49,088

-29,714

-8,892

-4,491

Other income (expense):
Interest expense, net

-20,018

-15,365

-9,903

-4,151

-2,315

-1,076

-234

Change in financial liability for share warrants

-

-

-

-15,857

22,966

-

-

Other, net

-6,369

2,366

-1,107

3,504

-4,064

-197

11

Other expense, net

-26,387

-12,999

-11,010

15,210

-29,345

-1,273

-223

Loss before income taxes

-105,342

-82,987

-85,069

-33,878

-59,059

-10,165

-4,714

Provision for income taxes

44

-649

-

-

-

-

-

Net loss

-105,386

-82,338

-85,069

-33,878

-59,059

-10,165

-4,714

Other comprehensive income (loss):
Change in fair value of foreign currency cash flow hedges

-123

305

-63

9

-293

94

-

Change in unrealized gain on short-term investments

796

6

19

-

-

-

-

Foreign currency gain (loss)

1,964

2,240

-6,215

-3,028

-5,114

397

-239

Provision for pension benefit obligation

887

-107

410

4,502

-

-

-

Other comprehensive income (loss), net

1,750

2,658

-6,669

-7,521

-5,407

491

-239

Comprehensive loss

-103,636

-79,680

-91,738

-41,399

-64,466

-9,674

-4,953

Net profit (loss) available to ordinary shareholders

-105,386

-82,338

-85,069

-33,878

-

-

-

Net loss available to ordinary shareholders - basic and diluted

-105,386

-82,338

-85,069

-33,878

-59,059

-10,165

-4,714

Loss per share - basic and diluted

-1.92

-2.02

-3.02

-1.73

-4.00

-54.41

-62.97

Weighted-average shares outstanding - basic and diluted

54,874

40,839

28,145

19,558

14,773

186

74

Product Sales [Member]
Total revenue

28,665

23,913

20,127

18,022

17,658

16,987

13,753

Other Revenues [Member]
Total revenue

469

819

2,100

500

750

2,768

618