Meiragtx Holdings Plc
MGTXHealth Care·Biotechnology
MeiraGTx Holdings Plc is a clinical-stage genetic medicines company with a broad pipeline of late-stage clinical programs, including Parkinson’s disease, radiation-induced xerostomia and AIPL1-associated retinal dystrophy. It targets local delivery of small doses of genetic medicines to treat both inherited and more common conditions with severe unmet needs. The company was founded on March 20, 2015 and is headquartered in New York, NY.
New York; U.S.A
Market cap
$1BNo data
Revenue
$81.4M+144.6% YoY
Net income
$-114.2M+22.7% YoY
Free cash flow
$-50.2M+54.1% YoY
Market
Listed stock
MGTXPriceNasdaqLoading…Loading…1Y
Financial performance
Revenue
$81.4M+144.6% YoY
Operating income
$-106M+35.5% YoY
Net income
$-114.2M+22.7% YoY
Free cash flow
$-50.2M+54.1% YoY
Revenue, profit & cash trend
Revenue
Operating income
Net income
Free cash flow
Reference
Revenue: 2021 $37.7M, 2022 $15.9M, 2023 $14M, 2024 $33.3M, 2025 $81.4M. Operating income: 2021 $-73.2M, 2022 $-116.4M, 2023 $-137.1M, 2024 $-164.2M, 2025 $-106M. Net income: 2021 $-79.6M, 2022 $-129.6M, 2023 $-84M, 2024 $-147.8M, 2025 $-114.2M. Free cash flow: 2021 $-56.9M, 2022 $-118.1M, 2023 $-125.5M, 2024 $-109.5M, 2025 $-50.2M. Reference line: Reference at $0.
Growth & profitability
Revenue growth
144.6%+715 bps YoY
Gross margin
No dataNo data
Operating margin
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FCF margin
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Earnings power over time
Operating income
Net income
Free cash flow
Operating income: 2021-12-31 $-73.2M, 2022-12-31 $-116.4M, 2023-12-31 $-137.1M, 2024-12-31 $-164.2M, 2025-12-31 $-106M. Net income: 2021-12-31 $-79.6M, 2022-12-31 $-129.6M, 2023-12-31 $-84M, 2024-12-31 $-147.8M, 2025-12-31 $-114.2M. Free cash flow: 2021-12-31 $-56.9M, 2022-12-31 $-118.1M, 2023-12-31 $-125.5M, 2024-12-31 $-109.5M, 2025-12-31 $-50.2M
Growth heatmap
2022202320242025CAGR
Revenue
-57.8%
-12.0%
+137.4%
+144.6%
+21.2%
Gross profit
-129.7%
+119.7%
+137.4%
+144.6%
No data
Operating income
-59.0%
-17.8%
-19.8%
+35.5%
No data
Free cash flow
-107.6%
-6.3%
+12.8%
+54.1%
No data
Earnings quality
Operating cash flow
$-46.4M+55.6% YoY
Net income
$-114.2M+22.7% YoY
Free cash flow
$-50.2M+54.1% YoY
Diluted EPS
No dataNo data
Cash conversion quality
Operating cash flow
Free cash flow
Net income = 100%
Operating cash flow: 2025-12-31 41%, 2024-12-31 71%, 2023-12-31 125%, 2022-12-31 56%, 2021-12-31 13%. Free cash flow: 2025-12-31 44%, 2024-12-31 74%, 2023-12-31 149%, 2022-12-31 91%, 2021-12-31 71%. Reference line: Net income = 100% at 100%.
Per-share economics
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Financial flexibility
Cash & equivalents
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Total debt
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Net debt
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Current ratio
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Cash Coverage of Debt
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Returns
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Return on assets
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Return on invested capital
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Asset turnover
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Return on capital
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Valuation
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Price to sales
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EV / EBITDA
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Free cash flow yield
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Valuation vs its own 5Y history
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