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Strata Critical Medical, Inc. (SRTA) Annual Reports

Strata Critical Medical, Inc. is listed on Nasdaq, classified by the SEC under Services-Health Services (SIC 8000). This page indexes 3 annual reports, each linking to the full text on the SEC's EDGAR system.

Company profile

  • Exchange: Nasdaq
  • Fiscal year end: 12/31
  • SEC CIK: 1779128 →

Website:Official site ↗

Financial Highlights

FY2026 Q2 (quarterly, ended 2026-06-30)
CurrentPrior yearYoY
Revenue $72.5M $70.8M +2.4%
Operating income $-5.4M $-5.0M -9.2%
Net income $-10.5M $-3.7M -181.0%
EPS (diluted) $-0.12 $-0.05 -140.0%

Source: SEC EDGAR (XBRL company facts)

Financial history

Revenue & profit
Quarterly · In mn (USD)
Revenue 72.5 mn Net income -10.5 mn
2019Q3 2019Q4 2019Q4 2020Q2 2020Q3 2020Q4 2020Q4 2021Q2 2021Q3 2021Q4 2022Q1 2022Q1 2022Q2 2022Q3 2022Q4 2023Q1 2023Q2 2023Q3 2023Q4 2024Q1 2024Q2 2024Q3 2024Q4 2025Q1 2025Q2 2025Q3 2025Q4 2026Q1 2026Q2
Show table:Income statement
Item2019Q32019Q42019Q42020Q22020Q32020Q42020Q42021Q22021Q32021Q42022Q12022Q12022Q22022Q32022Q42023Q12023Q22023Q32023Q42024Q12024Q22024Q32024Q42025Q12025Q22025Q32025Q42026Q12026Q2
Revenue31.2 3.44 8.32 7.99 9.27 12.9 20.3 24.6 26.6 35.6 45.7 38.1 45.3 61.0 71.4 47.5 51.5 67.9 74.9 54.4 54.3 70.8 49.3 66.8 67.4 72.5
Gross profit2.92 5.11 9.27 7.16 10.4 15.6 29.6 7.05 9.01 25.1 14.1 15.2
Operating income0 -0.04 -0.22 -0.15 -0.12 -0.16 -2.37 -0.24 -7.77 -9.73 -10.5 -13.7 -9.73 -10.4 -19.7 -12.8 -12.2 -7.45 -35.6 -9.87 -12.2 -3.54 -8.37 -7.58 -4.95 -5.62 -6.40 -2.97 -5.41
Net income0 0.1 0.69 0.57 -0.01 -0.1 -2.36 -1.08 -24.3 -9.18 0.77 -11.0 8.41 -9.24 -27.3 -10.2 -12.2 0.29 -33.9 -4.23 -11.3 -1.95 -9.79 -3.49 -3.74 57.4 -8.83 2.15 -10.5
Balance sheet
Quarterly · In mn (USD)
Total assets 333 mn Total liabilities 53.4 mn
2019Q3 2019Q4 2019Q4 2020Q2 2020Q3 2020Q4 2020Q4 2021Q2 2021Q3 2021Q4 2022Q1 2022Q1 2022Q2 2022Q3 2022Q4 2023Q1 2023Q2 2023Q3 2023Q4 2024Q1 2024Q2 2024Q3 2024Q4 2025Q1 2025Q2 2025Q3 2025Q4 2026Q1 2026Q2

Equity = assets − liabilities. Balance-sheet figures are period-end balances, not cumulative.

Show table:Balance sheet
Item2019Q32019Q42019Q42020Q22020Q32020Q42020Q42021Q22021Q32021Q42022Q12022Q12022Q22022Q32022Q42023Q12023Q22023Q32023Q42024Q12024Q22024Q32024Q42025Q12025Q22025Q32025Q42026Q12026Q2
Current assets1.43 1.24 1.13 0.97 0.9 0.61 343 314 295 285 278 225 218 209 209 209 206 194 183 172 161 152 156 122 126 124 121
Total assets277 278 278 278 278 278 279 346 343 336 327 324 327 325 322 320 318 295 283 280 283 257 251 258 335 325 328 333
Current liabilities0.35 0.37 0.48 0.49 0.46 0.39 1.54 10.6 9.53 12.8 15.8 18.5 20.2 26.6 23.2 29.3 30.4 35.5 23.3 30.3 27.2 22.7 21.9 26.3 27.9 19.8 20.9 45.8
Total liabilities9.98 10.0 10.1 10.1 10.1 10.0 48.8 49.5 52.2 44.5 45.2 31.9 44.0 50.5 52.2 59.4 54.6 60.6 46.2 51.0 49.5 34.7 30.8 34.8 52.1 46.4 41.9 53.4
Equity-0.02 5.00 5.00 5.00 5.00 5.00 5.00 5.00 297 291 291 281 292 283 274 270 261 263 234 237 229 234 222 220 223 283 279 286 279
Cash flow
Quarterly · In mn (USD)
Operating 5.69 mn Investing -43.9 mn Financing -4.21 mn
2019Q3 2019Q4 2019Q4 2020Q2 2020Q3 2020Q4 2020Q4 2021Q2 2021Q3 2021Q4 2022Q1 2022Q1 2022Q2 2022Q3 2022Q4 2023Q1 2023Q2 2023Q3 2023Q4 2024Q1 2024Q2 2024Q3 2024Q4 2025Q1 2025Q2 2025Q3 2025Q4 2026Q1 2026Q2

Positive = cash in, negative = cash out.

Show table:Cash flow statement
Item2019Q32019Q42019Q42020Q22020Q32020Q42020Q42021Q22021Q32021Q42022Q12022Q12022Q22022Q32022Q42023Q12023Q22023Q32023Q42024Q12024Q22024Q32024Q42025Q12025Q22025Q32025Q42026Q12026Q2
Operating-10.3 -0.26 -0.21 -9.91 -0.9 0 -0.36 -9.46 -5.79 -6.02 -10.1 -11.6 -6.35 -9.10 -16.9 -8.20 2.02 -9.32 -15.6 8.43 6.36 -1.75 -0.25 -3.06 -37.3 -8.31 3.89 5.69
Investing-1.05 0 -0.38 0 -0.54 -0.05 -303 -17.4 4.63 11.0 197 -129 0.46 16.3 3.77 -3.03 0.08 24.6 -16.9 -12.7 3.98 20.4 28.7 2.40 18.3 24.7 -43.9
Financing0.12 -0.26 1.17 0.01 -1.40 -1.75 335 0.18 -2.96 0.02 -0.95 -0.15 0 -0.03 -0.02 -0.01 -0.02 0.05 -1.21 -0.73 -3.87 -4.25 -1.14 -1.79 -1.74 -0.86 -4.21
Cash at period end1.82 1.31 1.09 1.02 0.89 0.85 0.49 30.0 6.95 2.60 2.50 187 51.9 43.3 41.7 37.4 36.8 27.9 36.8 26.3 20.0 18.4 34.8 58.8 22.8 31.0 58.7 16.3
Profitability
Quarterly · %
Gross margin 21.0% Operating margin -7.5% Net margin -14.5%
2019Q3 2019Q4 2019Q4 2020Q2 2020Q3 2020Q4 2020Q4 2021Q2 2021Q3 2021Q4 2022Q1 2022Q1 2022Q2 2022Q3 2022Q4 2023Q1 2023Q2 2023Q3 2023Q4 2024Q1 2024Q2 2024Q3 2024Q4 2025Q1 2025Q2 2025Q3 2025Q4 2026Q1 2026Q2

Gross, operating and net margin = the respective profit ÷ revenue.

Show table:Profitability
Item2019Q32019Q42019Q42020Q22020Q32020Q42020Q42021Q22021Q32021Q42022Q12022Q12022Q22022Q32022Q42023Q12023Q22023Q32023Q42024Q12024Q22024Q32024Q42025Q12025Q22025Q32025Q42026Q12026Q2
Gross margin11.0%14.3%20.3%15.8%17.0%21.8%54.4%13.0%12.7%37.5%20.9%21.0%
Operating margin-0.1%-3.4%-1.9%-29.6%-2.5%-60.0%-47.9%-42.8%-51.4%-27.3%-22.8%-51.6%-28.3%-20.0%-10.4%-75.0%-19.2%-17.9%-4.7%-15.4%-14.0%-7.0%-11.4%-9.6%-4.4%-7.5%
Net margin0.3%-0.2%-1.2%-29.6%-11.7%-187.5%-45.2%3.1%-41.4%23.6%-20.2%-71.5%-22.5%-20.1%0.4%-71.5%-8.2%-16.7%-2.6%-18.0%-6.4%-5.3%116.5%-13.2%3.2%-14.5%
Returns & leverage
Quarterly · %
ROE 16.0% ROA 13.6% Debt ratio 16.0%
2019Q3 2019Q4 2019Q4 2020Q2 2020Q3 2020Q4 2020Q4 2021Q2 2021Q3 2021Q4 2022Q1 2022Q1 2022Q2 2022Q3 2022Q4 2023Q1 2023Q2 2023Q3 2023Q4 2024Q1 2024Q2 2024Q3 2024Q4 2025Q1 2025Q2 2025Q3 2025Q4 2026Q1 2026Q2

ROE / ROA = trailing four-quarter net income ÷ average equity / total assets (annual mode: the year’s net income ÷ average of opening and closing). Not computed when the denominator is zero or negative.

Show table:Returns & leverage
Item2019Q32019Q42019Q42020Q22020Q32020Q42020Q42021Q22021Q32021Q42022Q12022Q12022Q22022Q32022Q42023Q12023Q22023Q32023Q42024Q12024Q22024Q32024Q42025Q12025Q22025Q32025Q42026Q12026Q2
ROE27.1%54.3%23.1%-37.9%-71.0%-18.4%-24.9%-22.8%-30.5%-3.7%-3.9%-13.8%-13.9%-21.3%-18.1%-22.0%-19.8%-20.1%-20.7%-12.0%-11.6%-8.4%15.6%16.5%18.6%16.0%
ROA0.5%0.5%0.4%-0.7%-1.3%-8.9%-11.9%-11.0%-14.4%-3.3%-3.3%-11.8%-11.8%-18.3%-15.3%-18.1%-16.6%-16.4%-17.1%-9.9%-10.0%-7.0%13.1%14.2%16.3%13.6%
Debt ratio3.6%3.6%3.6%3.6%3.6%3.6%17.5%14.3%15.2%13.3%13.8%9.8%13.5%15.6%16.2%18.6%17.2%20.6%16.3%18.2%17.5%13.5%12.3%13.5%15.5%14.3%12.8%16.0%
EPS
Quarterly · US$
EPS US$-0.12
2019Q3 2019Q4 2019Q4 2020Q2 2020Q3 2020Q4 2020Q4 2021Q2 2021Q3 2021Q4 2022Q1 2022Q1 2022Q2 2022Q3 2022Q4 2023Q1 2023Q2 2023Q3 2023Q4 2024Q1 2024Q2 2024Q3 2024Q4 2025Q1 2025Q2 2025Q3 2025Q4 2026Q1 2026Q2
Show table:EPS
Item2019Q32019Q42019Q42020Q22020Q32020Q42020Q42021Q22021Q32021Q42022Q12022Q12022Q22022Q32022Q42023Q12023Q22023Q32023Q42024Q12024Q22024Q32024Q42025Q12025Q22025Q32025Q42026Q12026Q2
EPS(US$)-0.43-0.40-0.09-0.16-0.47-0.130.01-0.160.10-0.13-0.21-0.14-0.170.00-0.46-0.06-0.15-0.03-0.12-0.04-0.050.70-0.120.03-0.12

Source: SEC EDGAR (XBRL company facts)

Annual reports by year

10-K: annual report of a US domestic issuer. Filings are the original documents hosted on SEC EDGAR — this site neither mirrors nor edits them.

FAQ

Where can I read Strata Critical Medical, Inc. (SRTA) annual reports?

Every year in the table above links straight to the full text on SEC EDGAR. US annual reports are web pages (HTML) rather than PDFs, so you can read and search them in the browser without downloading anything. 3 filings are currently indexed.

What is the difference between a 10-K and a 20-F?

A 10-K is the annual report of a US domestic issuer, with sections fixed by law: Item 1 Business, Item 1A Risk Factors, Item 7 Management's Discussion and Analysis. A 20-F is filed by foreign private issuers — Taiwanese companies with US ADRs, such as TSMC, file 20-F rather than 10-K. A 40-F applies to Canadian issuers under the MJDS.

Are earnings call materials available here?

No. Earnings calls are not SEC filings, so US pages on this site cover annual reports only. Taiwan has a mandatory investor-conference disclosure regime, and those materials are indexed under Annual Reports.

Source: US Securities and Exchange Commission (SEC) EDGAR. This site indexes public filings and links to them; it hosts no copies, offers no investment advice, and makes no warranty as to timeliness or completeness.
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