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Annual · values202520242023202220212020
Operating Cash Flow-18.01 M USD-40.84 M USD-50.05 M USD-2.74 M USD-1.74 M USD
Depreciation & Amortization626000 USD744000 USD702000 USD398000 USD
Stock-Based Compensation9.13 M USD5.44 M USD1.40 M USD368000 USD
Capital Expenditures918000 USD345000 USD588000 USD655000 USD
Cash Flow from Investing-838000 USD-345000 USD-2.12 M USD233.20 M USD60000 USD
Cash Flow from Financing30.76 M USD37.94 M USD54.63 M USD-230.51 M USD544000 USD
Dividends Paid
Stock Buybacks232.37 M USD
Free Cash Flow-18.93 M USD-41.19 M USD-50.63 M USD-3.39 M USD

TriSalus Life Sciences Inc. operates as a biopharmaceutical company focused on the development of innovative therapies in the treatment of cancer. The company primarily targets solid tumors, utilizing unique delivery technologies to improve the effectiveness and distribution of immunotherapies directly within tumors. By addressing issues related to vascular perfusion and immune suppression in tumor environments, TriSalus seeks to enhance outcomes for patients undergoing difficult cancer treatments. Notable in its portfolio is the company's proprietary Pressure-Enabled Drug Delivery (PEDD) technology, which plays a crucial role in facilitating better drug penetration and distribution. TriSalus Life Sciences actively collaborates with research institutions and healthcare providers to bring cutting-edge treatment options from clinical trials to commercial availability. Positioned within the biotechnology industry, the company's work significantly impacts oncological therapeutic strategies, offering potential advancements in cancer treatment modalities. Through its dedicated approach, TriSalus Life Sciences Inc. contributes to the broader life sciences market, aspiring to transform cancer care.