March 30 (Reuters) - Biomx Inc PHGE.A :
* CASH BALANCE, SHORT-TERM DEPOSITS, RESTRICTED CASH AS OF
DECEMBER 31, 2021, WERE $63.1 MILLION, COMPARED TO $57.1 MILLION
AS OF DECEMBER 31, 2020
* EXISTING CASH AND CASH EQUIVALENTS ARE EXPECTED TO BE
SUFFICIENT
TO FUND CURRENT OPERATING PLAN THROUGH END OF 2023
* NET LOSS FOR Q4 OF 2021 WAS $10.5 MILLION
* Q4 EARNINGS PER SHARE VIEW $-0.28 -- REFINITIV IBES DATA
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