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PRQR · CIK 0001612940

ProQR Therapeutics N.V.

Annual figures as reported, FY2014–FY2025. Ratios and growth rates derived on-page.

PRQR logo
Pharmaceutical Preparations
Company profile
Nasdaq · PRQRHQ LeidenIncorporated in P7Fiscal year ends Dec 31Accelerated filerReports in EUR
Revenue
€15.9M
▼ −15.9% vs FY2024
Net income
−€42.2M
▼ −51.9% vs FY2024
Free cash flow
−€53.8M
▼ −42.3% vs FY2024
Diluted EPS
−€0.40
▼ −25.0% vs FY2024

Revenue

Annual, as reported

05M10M15M’21’22’23’24’25€15.9M

Net income

Losses shown in terracotta

−60M−40M−20M0’15’17’19’21’23’25−€42.2M

Profitability & returns

quality of earnings

Margins

Share of revenue kept at each line

-4000%-2000%0%’21’22’23’24’25
Operating marginNet margin

Returns on capital

Net income vs year-end equity and assets

-100%-50%0%’15’17’19’21’23’25
Return on equityReturn on assets

Cash flow

cash generation

Free cash flow

Operating cash flow less capital expenditure

−50M−25M0’15’17’19’21’23’25−€53.8M

Operating cash flow

Net cash from operations

−50M−25M0’15’17’19’21’23’25−€52.8M

Shareholder returns

capital allocation

Diluted shares outstanding

Falling count means buybacks outpace dilution

050M100M’15’17’19’21’23’25105M

Balance sheet

financial position

Stockholders’ equity

At fiscal year end

050M100M’14’16’18’20’22’24’25€49.4M

Net debt

Long-term debt less cash — negative means net cash

−100M−50M0’16’18’20’22’24’25−€87.5M

Growth rates

compounding, annualized
Revenue CAGR
+64.2%
3y
Share count change (split-adjusted)
+110.4%
5y
+351.2%
10y

Key ratios

derived per fiscal year
Fiscal yearOp. marginNet marginFCF marginROEROACurrent ratioDebt / equity
FY2025−273.1%−265.2%−338.3%−85.4%−37.4%3.09×0.10×
FY2024−161.2%−146.9%−200.0%−31.3%−16.5%3.95×0.05×
FY2023−489.1%−425.8%309.7%−67.0%−20.1%3.54×0.10×
FY2022−1813.0%−1786.4%−1925.9%−96.3%−37.5%7.36×0.10×
FY2021−4285.4%−4554.2%−1984.7%−53.3%−29.0%6.94×0.39×
FY2020———−82.4%−47.2%7.77×0.31×
FY2019———−60.5%−48.3%10.43×0.14×
FY2018———−40.0%−33.6%13.28×0.10×
FY2017———−111.1%−82.2%5.95×0.18×
FY2016———−73.6%−59.7%9.24×0.11×
FY2015———−23.2%———
FY2014———————

Annual figures

as reported
Fiscal yearRevenueGross profitOp. incomeNet incomeDiluted EPSOp. cash flowCapexTotal assetsLiabilitiesEquityCashLT debt
FY2025€15.9M—−€43.4M−€42.2M−€0.40−€52.8M€1.0M€112.8M€63.4M€49.4M€92.4M€4.9M
FY2024€18.9M—−€30.5M−€27.8M−€0.32−€36.4M€1.4M€168.0M€79.4M€88.6M€149.4M€4.6M
FY2023€6.5M—−€31.9M−€27.7M−€0.35€21.5M€1.4M€137.9M€96.5M€41.4M€118.9M€4.3M
FY2022€3.6M—−€65.2M−€64.2M−€0.90−€68.5M€708K€171.3M€104.6M€66.7M€94.8M€6.8M
FY2021€1.3M—−€57.2M−€60.8M−€0.95−€26.0M€484K€209.6M€96.3M€114.1M€187.5M€44.1M
FY2020——−€42.4M−€46.6M−€0.93−€47.1M€924K€98.7M€42.2M€56.5M€75.8M€17.3M
FY2019——−€57.4M−€56.7M−€1.38−€44.0M€580K€117.5M€23.7M€93.8M€112.0M€13.1M
FY2018——−€36.3M−€37.1M—−€28.5M€312K€110.2M€17.5M€92.7M€105.6M€9.4M
FY2017——−€40.5M−€43.7M—−€35.0M€121K€53.1M€13.8M€39.3M€48.1M€7.2M
FY2016——−€39.6M−€39.1M—−€34.2M€2.5M€65.5M€12.4M€53.1M€59.2M€5.7M
FY2015——−€27.0M−€20.8M—−€24.2M€1.3M——€89.8M€94.9M—
FY2014—————————€109.4M€112.7M—

Latest filings

the most recent regulatory filings
SCHEDULE 13D/ASEC filing2026-06-30 ↗4/AOWNERSHIP DOCUMENT2026-06-30 ↗4OWNERSHIP DOCUMENT2026-06-30 ↗6-KForeign issuer report2026-06-26 ↗424B5Prospectus2026-06-26 ↗6-KForeign issuer report2026-06-25 ↗SCHEDULE 13D/ASEC filing2026-06-03 ↗4OWNERSHIP DOCUMENT2026-06-03 ↗6-KForeign issuer report2026-06-02 ↗3OWNERSHIP DOCUMENT2026-06-02 ↗

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