Immunovant Inc
IMVT
$16.90 1.02%
Exchange: NASDAQ | Sector: Healthcare | Industry: Biotechnology
Q4 2025
Published: May 29, 2025

Earnings Highlights

  • Revenue of $0.16M down 89.3% year-over-year
  • EPS of $-0.63 decreased by 21.2% from previous year
  • Gross margin of 50.0%
  • Net income of -106.45M
  • "Not available in provided transcript data." -

Immunovant Inc (IMVT) QQ4 2025 Financial Results Analysis: Large R&D burn, Minimal Revenue, and Robust Liquidity Amid Ongoing Batoclimab Clinical Program

Executive Summary

Immunovant reported Q4 2025 results with a trivial revenue base of $0.16 million and gross profit of $0.08 million, against a substantial aggregate operating expense load primarily driven by research and development. R&D expenses totaled $93.652 million, with G&A of $20.174 million and selling/general and administrative expenses of $20.254 million, contributing to an operating outlay of $113.906 million. Despite a sizable operating income line in the reported data, the company posted a net loss of $106.449 million for the quarter, largely due to a heavy drag from non-operating items totaling approximately $430.191 million. Cash burn from operations was $110.6 million, while financing activities provided roughly $450.6 million, producing a year-end cash balance of $714.0 million and a net cash increase of $339.3 million for the period. Immunovant sustains a strong liquidity position with zero debt and an aggressive equity-raising component in financing, signaling runway to advance late-stage development or licensing discussions. The quarter underscores the company’s status as a clinical-stage biotech with minimal near-term revenue potential and significant reliance on Roivant’s backing for liquidity. Absent clear near-term commercial milestones, the key to value will be the progression and topline signals from batoclimab in Phase II in MG/TO or other autoimmune indications, alongside potential strategic collaborations. Management commentary from the earnings call is not provided in the supplied data; as such, quantitative performance and qualitative strategy must be interpreted with caution until transcripts are available.

Key Performance Indicators

Revenue

160.00K
QoQ: N/A | YoY:-89.33%

Gross Profit

80.00K
50.00% margin
QoQ: N/A | YoY:-94.43%

Operating Income

324.33M
QoQ: 383.74% | YoY:501.00%

Net Income

-106.45M
QoQ: 4.21% | YoY:-41.33%

EPS

-0.63
QoQ: 17.11% | YoY:-21.15%

Revenue Trend

Margin Analysis

Key Insights

  • Revenue: $0.16 million; Gross profit: $0.08 million; Gross margin: 50.0%; Operating expenses: $113.906 million; R&D: $93.652 million; G&A: $20.174 million; Selling/SG&A: $20.254 million; EBITDA: -$106.133 million; Operating income: $324.326 million; Total other income/expenses: -$430.191 million; Net income: -$106.449 million; EPS: -$0.63; Weighted average shares: 151.574 million.
  • Cash flow: Operating cash flow -$110.637 million; Investing cash flow -$0.201 million; Financing cash flow +$450.612 million; Free cash flow: -$110.838 million; Net change in cash: +$339.286 million; Cash at end of period: $713.971 million.
  • Balance sheet snapshot: Total assets $776.222 million; Total liabilities $68.775 million; Total stockholders’ equity $707.447 million; Cash and cash equivalents $713.971 million; No debt reported at period end; Current ratio 11.16; Cash ratio 10.38.
  • Key profitability/efficiency: Net income margin -665.31%; Operating margin appears anomalously high positive due to reported operating income vs. negative net income; Revenue productivity minimal given clinical-stage profile; R&D intensity is exceptionally high relative to revenue (R&D ~$93.7M vs. revenue $0.16M).

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q1 2026 0.00 -0.71 +0.0% View
Q4 2025 0.16 -0.63 -89.3% View
Q3 2025 0.00 -0.76 +0.0% View
Q2 2025 0.00 -0.74 +0.0% View
Q1 2025 0.00 -0.60 +0.0% View