BioVie Inc
BIVI
$1.515 -1.30%
Exchange: NASDAQ | Sector: Healthcare | Industry: Biotechnology
Q2 2025
Published: Feb 11, 2025

Earnings Highlights

  • EPS of $-0.46 increased by 79.1% from previous year
  • Net income of -7.16M
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BioVie Inc (BIVI) QQ2 2025 Earnings Analysis: Narrow Net Loss Amid Ongoing R&D Push and Cash Runway Considerations

Executive Summary

BioVie reported a QQ2 2025 net loss of approximately $7.16 million on virtually no revenue, with R&D expense totaling about $4.705 million and selling/general and administrative expenses of $2.531 million. Operating loss stood at $7.295 million and EBITDA was $-7.293 million. The company does not recognize material revenue in the quarter, consistent with its clinical-stage, pipeline-focused profile. Despite the loss, BioVie maintains a solid liquidity position with cash and cash equivalents of roughly $24.41 million and a net cash position of about $24.02 million, aided by financing activity inflows of about $12.97 million during the period. Net debt remains negative due to substantial cash on hand, underscoring balance-sheet resilience even as the company continues to fund a high-R&D burn. The QQ2 results reflect ongoing investment in NE3107 (Phase III for Alzheimer's disease) and BIV201, alongside other programs, with management emphasizing pipeline progress and strategic partnerships as pivotal near-term catalysts. Absent meaningful revenue or licensing milestones, the near-term earnings trajectory remains dominated by R&D cadence and potential external financing needs. Key near-term takeaways: (1) A persistent lack of revenue constrains profitability despite a modest gross loss; (2) strong liquidity cushions ongoing burn but does not remove the need for milestone-based or equity financing to sustain operations; (3) NE3107 remains the most material growth lever, subject to Phase III outcomes and regulatory progress. Investors should monitor upcoming clinical readouts, potential partnership developments, and any macro-financing signals that could extend the company’s cash runway.

Key Performance Indicators

Operating Income

-7.29M
QoQ: -76.93% | YoY:16.95%

Net Income

-7.16M
QoQ: -72.37% | YoY:14.81%

EPS

-0.46
QoQ: 34.29% | YoY:79.09%

Revenue Trend

Margin Analysis

Key Insights

  • Net cash used in operating activities: -$8.584M; Free cash flow: -$8.584M.
  • Net cash provided by financing activities: $12.967M; Net change in cash: +$4.382M; Cash at end of period: $24.405M.
  • Debt: Total debt $382k (short-term $67k, long-term $315k). Net debt is negative, reflecting a robust cash cushion.
  • Balance sheet highlights: Total assets $25.695M; Total liabilities $1.772M; Total stockholders’ equity $23.923M; Retained earnings accumulated deficit $-345.867M.

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q3 2025 0.00 -0.15 +0.0% View
Q2 2025 0.00 -0.46 +0.0% View
Q1 2025 0.00 -0.70 +0.0% View
Q4 2024 0.00 -0.83 +0.0% View
Q3 2024 0.00 -2.00 +0.0% View