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AIM AIM ImmunoTech

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  • 0.1979
  • -0.0031-1.54%
Trading Dec 27 13:26 ET
12.62MMarket Cap-0.42P/E (TTM)

AIM ImmunoTech Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-67.89%7.2M
-64.57%10.06M
-64.53%10.94M
-61.77%13.07M
-61.77%13.07M
-38.95%22.43M
-32.02%28.4M
-30.74%30.85M
-29.17%34.19M
-29.17%34.19M
-Cash and cash equivalents
-94.01%915K
-83.11%3.55M
-85.92%3.3M
-79.90%5.44M
-79.90%5.44M
-48.71%15.26M
-38.94%21.04M
-19.30%23.4M
-15.70%27.05M
-15.70%27.05M
-Short-term investments
-12.28%6.29M
-11.59%6.51M
2.59%7.65M
6.92%7.63M
6.92%7.63M
2.59%7.17M
0.55%7.36M
-52.08%7.45M
-55.88%7.14M
-55.88%7.14M
Receivables
--0
--0
--0
-29.36%1.18M
-29.36%1.18M
--48K
--33K
7.43%1.76M
2.13%1.68M
2.13%1.68M
-Accounts receivable
--0
--0
--0
----
----
--48K
--33K
7.43%1.76M
----
----
-Other receivables
----
----
----
-29.36%1.18M
-29.36%1.18M
----
----
----
--1.68M
--1.68M
Other current assets
39.92%368K
-31.51%300K
-33.58%364K
-33.63%302K
-33.63%302K
-67.33%263K
17.43%438K
85.14%548K
49.67%455K
49.67%455K
Total current assets
-66.71%7.57M
-64.11%10.36M
-65.90%11.31M
-59.92%14.56M
-59.92%14.56M
-44.73%22.74M
-37.30%28.87M
-34.18%33.16M
-27.67%36.32M
-27.67%36.32M
Non current assets
Net PPE
-10.78%770K
-12.63%809K
-6.97%881K
-19.53%824K
-19.53%824K
-12.30%863K
-8.86%926K
237.01%947K
-75.60%1.02M
-75.60%1.02M
-Gross PPE
-7.14%2.12M
-28.04%2.15M
-26.20%2.21M
-29.95%2.15M
-29.95%2.15M
-29.11%2.28M
-7.93%2.99M
19.98%3M
-52.17%3.06M
-52.17%3.06M
-Accumulated depreciation
4.93%-1.35M
34.97%-1.34M
35.09%-1.33M
35.18%-1.32M
35.18%-1.32M
36.51%-1.42M
7.50%-2.06M
7.54%-2.05M
7.62%-2.04M
7.62%-2.04M
Goodwill and other intangible assets
17.55%2.53M
22.23%2.49M
21.92%2.31M
19.17%2.31M
19.17%2.31M
7.00%2.15M
1.29%2.04M
-4.53%1.9M
-1.67%1.94M
-1.67%1.94M
-Other intangible assets
17.55%2.53M
22.23%2.49M
21.92%2.31M
19.17%2.31M
19.17%2.31M
7.00%2.15M
1.29%2.04M
-4.53%1.9M
-1.67%1.94M
-1.67%1.94M
Other non current assets
29.21%2.72M
15.13%2.05M
15.85%1.69M
40.43%1.69M
40.43%1.69M
-1.68%2.1M
-1.49%1.78M
-3.25%1.46M
-8.66%1.2M
-8.66%1.2M
Total non current assets
17.56%6.02M
12.76%5.35M
13.51%4.88M
15.79%4.83M
15.79%4.83M
-0.31%5.12M
-1.88%4.75M
13.96%4.3M
-44.34%4.17M
-44.34%4.17M
Total assets
-51.23%13.59M
-53.25%15.72M
-56.79%16.19M
-52.13%19.38M
-52.13%19.38M
-39.81%27.86M
-33.93%33.62M
-30.82%37.46M
-29.83%40.49M
-29.83%40.49M
Liabilities
Current liabilities
Payables
124.68%6.26M
153.60%5.46M
581.93%6.57M
1,609.02%6.44M
1,609.02%6.44M
191.33%2.79M
202.11%2.15M
154.76%963K
90.40%377K
90.40%377K
-accounts payable
124.68%6.26M
153.60%5.46M
581.93%6.57M
1,609.02%6.44M
1,609.02%6.44M
191.33%2.79M
202.11%2.15M
154.76%963K
90.40%377K
90.40%377K
Current accrued expenses
-40.31%1.01M
62.20%798K
46.54%995K
95.28%1.57M
95.28%1.57M
-2.42%1.69M
3.80%492K
116.24%679K
84.21%805K
84.21%805K
Current debt and capital lease obligation
1,264.73%2.83M
1,156.31%2.59M
946.63%1.86M
25.28%223K
25.28%223K
21.05%207K
33.77%206K
196.67%178K
381.08%178K
381.08%178K
-Current debt
--2.59M
--2.35M
--1.62M
----
----
----
----
----
----
----
-Current capital lease obligation
12.08%232K
13.59%234K
34.83%240K
25.28%223K
25.28%223K
21.05%207K
33.77%206K
196.67%178K
381.08%178K
381.08%178K
Current liabilities
114.16%10.1M
206.48%8.84M
437.62%9.88M
535.71%8.65M
535.71%8.65M
62.90%4.72M
110.89%2.89M
139.82%1.84M
102.23%1.36M
102.23%1.36M
Non current liabilities
Long term debt and capital lease obligation
6.08%576K
29.15%771K
133.81%1.49M
-24.89%495K
-24.89%495K
-21.87%543K
-18.78%597K
657.14%636K
488.39%659K
488.39%659K
-Long term debt
--139K
--283K
--950K
----
----
----
----
----
----
----
-Long term capital lease obligation
-19.52%437K
-18.26%488K
-15.57%537K
-24.89%495K
-24.89%495K
-21.87%543K
-18.78%597K
657.14%636K
488.39%659K
488.39%659K
Total non current liabilities
6.08%576K
29.15%771K
133.81%1.49M
-24.89%495K
-24.89%495K
-21.87%543K
-18.89%597K
622.73%636K
348.30%659K
348.30%659K
Total liabilities
103.00%10.68M
176.08%9.61M
359.48%11.36M
352.82%9.15M
352.82%9.15M
46.49%5.26M
65.49%3.48M
189.58%2.47M
146.34%2.02M
146.34%2.02M
Shareholders'equity
Share capital
-92.01%59K
-92.28%57K
-0.14%739K
-0.81%738K
-0.81%738K
-3.02%738K
-3.02%738K
-3.01%740K
-2.49%744K
-2.49%744K
-common stock
22.92%59K
18.75%57K
4.17%50K
2.08%49K
2.08%49K
0.00%48K
0.00%48K
0.00%48K
0.00%48K
0.00%48K
-Preferred stock
--0
--0
-0.43%689K
-1.01%689K
-1.01%689K
-3.23%690K
-3.23%690K
-3.22%692K
-2.66%696K
-2.66%696K
Retained earnings
-6.03%-420.86M
-7.21%-417.16M
-8.10%-415.33M
-7.61%-409.51M
-7.61%-409.51M
-5.52%-396.93M
-5.23%-389.12M
-5.28%-384.21M
-5.38%-380.55M
-5.38%-380.55M
Paid-in capital
1.17%423.71M
1.12%423.21M
0.23%419.41M
0.18%419M
0.18%419M
0.17%418.8M
0.17%418.51M
0.24%418.46M
0.25%418.27M
0.25%418.27M
Total stockholders'equity
-87.12%2.91M
-79.75%6.1M
-86.21%4.83M
-73.40%10.23M
-73.40%10.23M
-47.06%22.6M
-38.22%30.14M
-34.36%34.99M
-32.37%38.47M
-32.37%38.47M
Total equity
-87.12%2.91M
-79.75%6.1M
-86.21%4.83M
-73.40%10.23M
-73.40%10.23M
-47.06%22.6M
-38.22%30.14M
-34.36%34.99M
-32.37%38.47M
-32.37%38.47M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -67.89%7.2M-64.57%10.06M-64.53%10.94M-61.77%13.07M-61.77%13.07M-38.95%22.43M-32.02%28.4M-30.74%30.85M-29.17%34.19M-29.17%34.19M
-Cash and cash equivalents -94.01%915K-83.11%3.55M-85.92%3.3M-79.90%5.44M-79.90%5.44M-48.71%15.26M-38.94%21.04M-19.30%23.4M-15.70%27.05M-15.70%27.05M
-Short-term investments -12.28%6.29M-11.59%6.51M2.59%7.65M6.92%7.63M6.92%7.63M2.59%7.17M0.55%7.36M-52.08%7.45M-55.88%7.14M-55.88%7.14M
Receivables --0--0--0-29.36%1.18M-29.36%1.18M--48K--33K7.43%1.76M2.13%1.68M2.13%1.68M
-Accounts receivable --0--0--0----------48K--33K7.43%1.76M--------
-Other receivables -------------29.36%1.18M-29.36%1.18M--------------1.68M--1.68M
Other current assets 39.92%368K-31.51%300K-33.58%364K-33.63%302K-33.63%302K-67.33%263K17.43%438K85.14%548K49.67%455K49.67%455K
Total current assets -66.71%7.57M-64.11%10.36M-65.90%11.31M-59.92%14.56M-59.92%14.56M-44.73%22.74M-37.30%28.87M-34.18%33.16M-27.67%36.32M-27.67%36.32M
Non current assets
Net PPE -10.78%770K-12.63%809K-6.97%881K-19.53%824K-19.53%824K-12.30%863K-8.86%926K237.01%947K-75.60%1.02M-75.60%1.02M
-Gross PPE -7.14%2.12M-28.04%2.15M-26.20%2.21M-29.95%2.15M-29.95%2.15M-29.11%2.28M-7.93%2.99M19.98%3M-52.17%3.06M-52.17%3.06M
-Accumulated depreciation 4.93%-1.35M34.97%-1.34M35.09%-1.33M35.18%-1.32M35.18%-1.32M36.51%-1.42M7.50%-2.06M7.54%-2.05M7.62%-2.04M7.62%-2.04M
Goodwill and other intangible assets 17.55%2.53M22.23%2.49M21.92%2.31M19.17%2.31M19.17%2.31M7.00%2.15M1.29%2.04M-4.53%1.9M-1.67%1.94M-1.67%1.94M
-Other intangible assets 17.55%2.53M22.23%2.49M21.92%2.31M19.17%2.31M19.17%2.31M7.00%2.15M1.29%2.04M-4.53%1.9M-1.67%1.94M-1.67%1.94M
Other non current assets 29.21%2.72M15.13%2.05M15.85%1.69M40.43%1.69M40.43%1.69M-1.68%2.1M-1.49%1.78M-3.25%1.46M-8.66%1.2M-8.66%1.2M
Total non current assets 17.56%6.02M12.76%5.35M13.51%4.88M15.79%4.83M15.79%4.83M-0.31%5.12M-1.88%4.75M13.96%4.3M-44.34%4.17M-44.34%4.17M
Total assets -51.23%13.59M-53.25%15.72M-56.79%16.19M-52.13%19.38M-52.13%19.38M-39.81%27.86M-33.93%33.62M-30.82%37.46M-29.83%40.49M-29.83%40.49M
Liabilities
Current liabilities
Payables 124.68%6.26M153.60%5.46M581.93%6.57M1,609.02%6.44M1,609.02%6.44M191.33%2.79M202.11%2.15M154.76%963K90.40%377K90.40%377K
-accounts payable 124.68%6.26M153.60%5.46M581.93%6.57M1,609.02%6.44M1,609.02%6.44M191.33%2.79M202.11%2.15M154.76%963K90.40%377K90.40%377K
Current accrued expenses -40.31%1.01M62.20%798K46.54%995K95.28%1.57M95.28%1.57M-2.42%1.69M3.80%492K116.24%679K84.21%805K84.21%805K
Current debt and capital lease obligation 1,264.73%2.83M1,156.31%2.59M946.63%1.86M25.28%223K25.28%223K21.05%207K33.77%206K196.67%178K381.08%178K381.08%178K
-Current debt --2.59M--2.35M--1.62M----------------------------
-Current capital lease obligation 12.08%232K13.59%234K34.83%240K25.28%223K25.28%223K21.05%207K33.77%206K196.67%178K381.08%178K381.08%178K
Current liabilities 114.16%10.1M206.48%8.84M437.62%9.88M535.71%8.65M535.71%8.65M62.90%4.72M110.89%2.89M139.82%1.84M102.23%1.36M102.23%1.36M
Non current liabilities
Long term debt and capital lease obligation 6.08%576K29.15%771K133.81%1.49M-24.89%495K-24.89%495K-21.87%543K-18.78%597K657.14%636K488.39%659K488.39%659K
-Long term debt --139K--283K--950K----------------------------
-Long term capital lease obligation -19.52%437K-18.26%488K-15.57%537K-24.89%495K-24.89%495K-21.87%543K-18.78%597K657.14%636K488.39%659K488.39%659K
Total non current liabilities 6.08%576K29.15%771K133.81%1.49M-24.89%495K-24.89%495K-21.87%543K-18.89%597K622.73%636K348.30%659K348.30%659K
Total liabilities 103.00%10.68M176.08%9.61M359.48%11.36M352.82%9.15M352.82%9.15M46.49%5.26M65.49%3.48M189.58%2.47M146.34%2.02M146.34%2.02M
Shareholders'equity
Share capital -92.01%59K-92.28%57K-0.14%739K-0.81%738K-0.81%738K-3.02%738K-3.02%738K-3.01%740K-2.49%744K-2.49%744K
-common stock 22.92%59K18.75%57K4.17%50K2.08%49K2.08%49K0.00%48K0.00%48K0.00%48K0.00%48K0.00%48K
-Preferred stock --0--0-0.43%689K-1.01%689K-1.01%689K-3.23%690K-3.23%690K-3.22%692K-2.66%696K-2.66%696K
Retained earnings -6.03%-420.86M-7.21%-417.16M-8.10%-415.33M-7.61%-409.51M-7.61%-409.51M-5.52%-396.93M-5.23%-389.12M-5.28%-384.21M-5.38%-380.55M-5.38%-380.55M
Paid-in capital 1.17%423.71M1.12%423.21M0.23%419.41M0.18%419M0.18%419M0.17%418.8M0.17%418.51M0.24%418.46M0.25%418.27M0.25%418.27M
Total stockholders'equity -87.12%2.91M-79.75%6.1M-86.21%4.83M-73.40%10.23M-73.40%10.23M-47.06%22.6M-38.22%30.14M-34.36%34.99M-32.37%38.47M-32.37%38.47M
Total equity -87.12%2.91M-79.75%6.1M-86.21%4.83M-73.40%10.23M-73.40%10.23M-47.06%22.6M-38.22%30.14M-34.36%34.99M-32.37%38.47M-32.37%38.47M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--
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