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Kamada Ltd. reported a net income of $20.2 million for fiscal year 2025, with strong operating cash flow of $25.5 million. The company maintained a solid balance sheet with total assets of $378.7 million, including $193.1 million in current assets and $78.4 million in cash and cash equivalents. Key financial drivers included $14.9 million in depreciation and amortization adjustments and $22.0 million in total adjustments to profit or loss items. The company generated positive cash from operations despite using $9.8 million in investing activities and $18.3 million in financing activities, resulting in a net decrease of $3.0 million in cash and equivalents. Shareholder's equity stood at $269.1 million with an accumulated deficit of -$17.1 million.
Net Income
$20.2M
free cash flow
$15.7M