MEI Pharma reported a Q1 2026 period with no reported revenue and a net loss of $3.639 million, as operating expenses totaled $3.739 million driven by a high ongoing research and development (R&D) and general administrative (G&A) spend. The quarter generated a modest positive item of $0.100 million in total other income, but this was not enough to offset the operating burn. The company remains pre-revenue and relies on equity financing to fund its pipeline activities and corporate overhead. Balance sheet metrics show a cash balance of approximately $10.1 million at quarter-end, no debt, and sizable non-current assets (largely intangible/licensing assets) contributing to total assets of $113.3 million and stockholders’ equity of $112.3 million. Net cash flow from financing activities offset large investing outflows and operating cash burn, underscoring a funding-through-equity strategy typical of late-stage biotech with a broad collaboration footprint.
Key takeaways for investors: (1) near-term liquidity is contingent on continued access to capital markets or strategic financings; (2) the absence of revenue emphasizes that value creation hinges on clinical milestones, licensing deals, and potential milestone payments from partners; (3) the pipeline remains diversified across Zandelisib, Voruciclib, ME344, and Pracinostat, with several collaborations potentially providing non-dilutive or milestone-based upside if trials progress. The company’s ability to sustain its clinical program will depend on successful partnerships, favorable trial readouts, and disciplined cash management going forward.
Key Performance Indicators
Operating Income
Increasing
-3.74M
QoQ: -34.79% | YoY: 80.30%
Net Income
Increasing
-3.64M
QoQ: -41.43% | YoY: 80.23%
EPS
Increasing
-0.12
QoQ: 69.23% | YoY: 95.65%
Revenue Trend
Margin Analysis
Financial Highlights
Revenue: N/A; Gross Profit: N/A; Operating Income: -$3.739 million; YoY: +80.30%; QoQ: -34.79%
Net Income: -$3.639 million; YoY: +80.23%; QoQ: -41.43%
EPS: -$0.12; Diluted: -$0.12; YoY: +95.65%; QoQ: +69.23%
EBITDA: -$3.639 million; Net Cash from Operating Activities: -$4.508 million; Free Cash Flow: -$4.508 million
Cash and Cash Equivalents: $10.113 million; Total Current Assets: $13.2366 million; Total Assets: $113.337 million
Total Current Liabilities: $1.068 million; Total Liabilities: $1.068 million
Stockholders’ Equity: $112.269 million; Retained Earnings: -$407.803 million
Weighted Average Shares Outstanding: 29.475 million; Share Count Diluted: 29.475 million
Income Statement
Metric
Value
YoY Change
QoQ Change
Operating Income
-3.74M
80.30%
-34.79%
Net Income
-3.64M
80.23%
-41.43%
EPS
-0.12
95.65%
69.23%
Key Financial Ratios
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