Ron Kerstens schreef op 7 augustus 2022 13:50:
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On June 30, 2022, ProQR held cash and cash equivalents of €156.4 million, compared to €187.5 million on December 31, 2021. Net cash used in operating activities during the three-month period ended June 30, 2022 was €14.8 million, compared to €10.0 million for the same period last year.
Met een negatieve cashflow van 15mln per kwartaal kunnen ze dus nog 10 kwartalen vooruit, 2,5 jaar.
156mln is 2,20 dollar per aandeel.