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AXIM AXIM BIOTECHNOLOGIES INC

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  • 0.013860
  • +0.000030+0.22%
15min DelayClose Aug 2 16:00 ET
4.04MMarket Cap-495P/E (TTM)

AXIM BIOTECHNOLOGIES INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
80.63%96.71K
230.90%156.46K
230.90%156.46K
-85.82%23.22K
49.62%97.5K
-86.88%53.54K
-89.56%47.28K
-89.56%47.28K
-51.61%163.75K
-67.77%65.16K
-Cash and cash equivalents
80.63%96.71K
230.90%156.46K
230.90%156.46K
-85.82%23.22K
49.62%97.5K
-86.88%53.54K
-89.56%47.28K
-89.56%47.28K
-51.61%163.75K
-67.77%65.16K
Receivables
----
--0
--0
----
----
----
--0
--0
----
----
-Notes receivable
----
--0
--0
----
----
----
--0
--0
----
----
Inventory
----
----
----
----
----
----
----
----
-0.19%20.09K
-2.05%20.09K
Prepaid assets
----
--0
--0
--0
--0
--0
-73.80%42.86K
-73.80%42.86K
-53.80%65.39K
-50.40%87.92K
Other current assets
----
----
----
----
----
--3.01K
-31.11%13.84K
-31.11%13.84K
----
----
Total current assets
71.00%96.71K
50.47%156.46K
50.47%156.46K
-90.68%23.22K
-43.70%97.5K
-88.64%56.56K
-83.67%103.98K
-83.67%103.98K
-50.16%249.23K
-57.95%173.17K
Non current assets
Net PPE
266.69%332.52K
217.79%361.1K
217.79%361.1K
133.16%318.13K
122.51%347.64K
-47.22%90.68K
-41.33%113.63K
-41.33%113.63K
-29.90%136.44K
-27.37%156.23K
-Gross PPE
145.87%464.64K
137.42%483.82K
137.42%483.82K
98.16%432.71K
97.41%454.08K
-20.66%188.98K
-19.18%203.78K
-19.18%203.78K
-11.03%218.37K
-11.19%230.02K
-Accumulated depreciation
-34.41%-132.12K
-36.13%-122.73K
-36.13%-122.73K
-39.87%-114.58K
-44.24%-106.44K
-48.06%-98.3K
-54.18%-90.15K
-54.18%-90.15K
-61.23%-81.92K
-68.18%-73.79K
Goodwill and other intangible assets
-10.14%3.5M
-9.89%3.59M
-9.89%3.59M
-9.65%3.69M
-9.42%3.79M
-9.20%3.89M
-9.00%3.99M
-9.00%3.99M
-69.59%4.09M
-56.47%4.19M
-Other intangible assets
-10.14%3.5M
-9.89%3.59M
-9.89%3.59M
-9.65%3.69M
-9.42%3.79M
-9.20%3.89M
-9.00%3.99M
-9.00%3.99M
-62.79%4.09M
-41.52%4.19M
Long-term notes receivables
----
--0
--0
----
----
----
--0
--0
--0
--0
Non current prepaid assets
80.28%9.01K
80.28%9.01K
80.28%9.01K
80.28%9.01K
80.28%9.01K
0.00%5K
0.00%5K
0.00%5K
0.00%5K
0.00%5K
Total non current assets
-3.73%3.84M
-3.48%3.97M
-3.48%3.97M
-4.94%4.02M
-4.58%4.15M
-12.70%3.99M
-12.35%4.11M
-12.35%4.11M
-69.24%4.23M
-56.26%4.35M
Total assets
-2.68%3.93M
-2.15%4.12M
-2.15%4.12M
-9.71%4.04M
-6.08%4.25M
-20.17%4.04M
-20.88%4.21M
-20.88%4.21M
-68.57%4.48M
-56.33%4.52M
Liabilities
Current liabilities
Payables
18.84%1.64M
108.68%2.8M
108.68%2.8M
36.11%1.5M
38.76%1.31M
56.34%1.38M
42.49%1.34M
42.49%1.34M
10.59%1.1M
-1.23%940.57K
-accounts payable
37.84%1.62M
111.29%2.78M
111.29%2.78M
35.43%1.42M
44.19%1.24M
33.91%1.18M
44.73%1.32M
44.73%1.32M
12.66%1.05M
0.79%859.96K
-Due to related parties current
-94.44%11K
--21.5K
--21.5K
--80.17K
--65.17K
109,744.44%197.72K
--0
--0
--0
--0
-Other payable
----
----
----
----
----
----
-18.53%26.78K
-18.53%26.78K
-18.49%53.7K
-18.48%80.61K
Current debt and capital lease obligation
1,731.98%91.31K
379.20%94.83K
379.20%94.83K
166.69%91.67K
81.52%88.48K
-98.83%4.98K
-98.79%19.79K
-98.79%19.79K
-94.24%34.37K
-88.17%48.74K
-Current capital lease obligation
1,731.98%91.31K
379.20%94.83K
379.20%94.83K
166.69%91.67K
81.52%88.48K
-91.40%4.98K
-65.20%19.79K
-65.20%19.79K
-41.28%34.37K
-16.74%48.74K
Current deferred liabilities
80.62%588.32K
57.10%598.3K
57.10%598.3K
945.38%310.69K
--318.25K
--325.73K
--380.85K
--380.85K
--29.72K
----
Other current liabilities
-21.19%2.49M
50.57%2.48M
50.57%2.48M
18.95%2.37M
286.35%6.65M
53.60%3.16M
--1.65M
--1.65M
--2M
--1.72M
Current liabilities
-1.24%4.8M
76.22%5.98M
76.22%5.98M
35.25%4.28M
208.52%8.37M
44.69%4.86M
31.44%3.39M
31.44%3.39M
98.34%3.16M
98.75%2.71M
Non current liabilities
Long term debt and capital lease obligation
23.20%6.58M
2.74%5.8M
2.74%5.8M
2.58%5.72M
1.60%5.63M
4.18%5.34M
11.11%5.64M
11.11%5.64M
-1.56%5.58M
-1.22%5.54M
-Long term debt
20.99%6.46M
0.31%5.66M
0.31%5.66M
-0.33%5.56M
-1.78%5.44M
4.28%5.34M
11.55%5.64M
11.55%5.64M
-1.00%5.58M
-0.41%5.54M
-Long term capital lease obligation
--118.03K
--137.04K
--137.04K
--162.41K
--187.49K
----
--0
--0
--0
--0
Non current deferred liabilities
----
----
----
----
----
----
----
----
-94.92%118.97K
--0
Total non current liabilities
23.20%6.58M
2.74%5.8M
2.74%5.8M
0.44%5.72M
1.60%5.63M
4.18%5.34M
11.11%5.64M
11.11%5.64M
-28.85%5.7M
-30.29%5.54M
Total liabilities
11.55%11.38M
30.33%11.78M
30.33%11.78M
12.87%10M
69.58%14M
20.22%10.2M
17.96%9.04M
17.96%9.04M
-7.72%8.86M
-11.39%8.25M
Shareholders'equity
Share capital
24.44%27.89K
27.72%24.64K
27.72%24.64K
28.07%23.82K
39.81%22.82K
47.46%22.42K
39.20%19.3K
39.20%19.3K
36.34%18.6K
22.22%16.32K
-common stock
24.49%27.84K
27.79%24.59K
27.79%24.59K
28.15%23.77K
39.93%22.77K
47.61%22.37K
39.35%19.25K
39.35%19.25K
36.47%18.55K
22.30%16.27K
-Preferred stock
0.00%50
0.00%50
0.00%50
0.00%50
0.00%50
0.00%50
0.00%50
0.00%50
0.00%50
0.00%50
Retained earnings
-8.36%-72.48M
-12.57%-72.18M
-12.57%-72.18M
-11.16%-70.28M
-15.39%-70.61M
-11.54%-66.89M
-10.79%-64.13M
-10.79%-64.13M
-26.88%-63.23M
-31.48%-61.19M
Paid-in capital
7.01%65.01M
9.02%64.53M
9.02%64.53M
9.45%64.3M
5.99%60.84M
7.71%60.75M
16.06%59.19M
16.06%59.19M
17.48%58.75M
20.18%57.4M
Other equity interest
89.90%-4.14K
-127.50%-24.48K
-127.50%-24.48K
-101.33%-1K
-102.34%-1K
-130.37%-41K
-98.04%89K
-98.04%89K
-98.32%74.94K
121.65%42.76K
Total stockholders'equity
-20.89%-7.45M
-58.67%-7.66M
-58.67%-7.66M
-35.95%-5.96M
-161.20%-9.75M
-79.96%-6.16M
-106.37%-4.83M
-106.37%-4.83M
-194.25%-4.38M
-459.78%-3.73M
Total equity
-20.89%-7.45M
-58.67%-7.66M
-58.67%-7.66M
-35.95%-5.96M
-161.20%-9.75M
-79.96%-6.16M
-106.37%-4.83M
-106.37%-4.83M
-194.25%-4.38M
-459.78%-3.73M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(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(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 80.63%96.71K230.90%156.46K230.90%156.46K-85.82%23.22K49.62%97.5K-86.88%53.54K-89.56%47.28K-89.56%47.28K-51.61%163.75K-67.77%65.16K
-Cash and cash equivalents 80.63%96.71K230.90%156.46K230.90%156.46K-85.82%23.22K49.62%97.5K-86.88%53.54K-89.56%47.28K-89.56%47.28K-51.61%163.75K-67.77%65.16K
Receivables ------0--0--------------0--0--------
-Notes receivable ------0--0--------------0--0--------
Inventory ---------------------------------0.19%20.09K-2.05%20.09K
Prepaid assets ------0--0--0--0--0-73.80%42.86K-73.80%42.86K-53.80%65.39K-50.40%87.92K
Other current assets ----------------------3.01K-31.11%13.84K-31.11%13.84K--------
Total current assets 71.00%96.71K50.47%156.46K50.47%156.46K-90.68%23.22K-43.70%97.5K-88.64%56.56K-83.67%103.98K-83.67%103.98K-50.16%249.23K-57.95%173.17K
Non current assets
Net PPE 266.69%332.52K217.79%361.1K217.79%361.1K133.16%318.13K122.51%347.64K-47.22%90.68K-41.33%113.63K-41.33%113.63K-29.90%136.44K-27.37%156.23K
-Gross PPE 145.87%464.64K137.42%483.82K137.42%483.82K98.16%432.71K97.41%454.08K-20.66%188.98K-19.18%203.78K-19.18%203.78K-11.03%218.37K-11.19%230.02K
-Accumulated depreciation -34.41%-132.12K-36.13%-122.73K-36.13%-122.73K-39.87%-114.58K-44.24%-106.44K-48.06%-98.3K-54.18%-90.15K-54.18%-90.15K-61.23%-81.92K-68.18%-73.79K
Goodwill and other intangible assets -10.14%3.5M-9.89%3.59M-9.89%3.59M-9.65%3.69M-9.42%3.79M-9.20%3.89M-9.00%3.99M-9.00%3.99M-69.59%4.09M-56.47%4.19M
-Other intangible assets -10.14%3.5M-9.89%3.59M-9.89%3.59M-9.65%3.69M-9.42%3.79M-9.20%3.89M-9.00%3.99M-9.00%3.99M-62.79%4.09M-41.52%4.19M
Long-term notes receivables ------0--0--------------0--0--0--0
Non current prepaid assets 80.28%9.01K80.28%9.01K80.28%9.01K80.28%9.01K80.28%9.01K0.00%5K0.00%5K0.00%5K0.00%5K0.00%5K
Total non current assets -3.73%3.84M-3.48%3.97M-3.48%3.97M-4.94%4.02M-4.58%4.15M-12.70%3.99M-12.35%4.11M-12.35%4.11M-69.24%4.23M-56.26%4.35M
Total assets -2.68%3.93M-2.15%4.12M-2.15%4.12M-9.71%4.04M-6.08%4.25M-20.17%4.04M-20.88%4.21M-20.88%4.21M-68.57%4.48M-56.33%4.52M
Liabilities
Current liabilities
Payables 18.84%1.64M108.68%2.8M108.68%2.8M36.11%1.5M38.76%1.31M56.34%1.38M42.49%1.34M42.49%1.34M10.59%1.1M-1.23%940.57K
-accounts payable 37.84%1.62M111.29%2.78M111.29%2.78M35.43%1.42M44.19%1.24M33.91%1.18M44.73%1.32M44.73%1.32M12.66%1.05M0.79%859.96K
-Due to related parties current -94.44%11K--21.5K--21.5K--80.17K--65.17K109,744.44%197.72K--0--0--0--0
-Other payable -------------------------18.53%26.78K-18.53%26.78K-18.49%53.7K-18.48%80.61K
Current debt and capital lease obligation 1,731.98%91.31K379.20%94.83K379.20%94.83K166.69%91.67K81.52%88.48K-98.83%4.98K-98.79%19.79K-98.79%19.79K-94.24%34.37K-88.17%48.74K
-Current capital lease obligation 1,731.98%91.31K379.20%94.83K379.20%94.83K166.69%91.67K81.52%88.48K-91.40%4.98K-65.20%19.79K-65.20%19.79K-41.28%34.37K-16.74%48.74K
Current deferred liabilities 80.62%588.32K57.10%598.3K57.10%598.3K945.38%310.69K--318.25K--325.73K--380.85K--380.85K--29.72K----
Other current liabilities -21.19%2.49M50.57%2.48M50.57%2.48M18.95%2.37M286.35%6.65M53.60%3.16M--1.65M--1.65M--2M--1.72M
Current liabilities -1.24%4.8M76.22%5.98M76.22%5.98M35.25%4.28M208.52%8.37M44.69%4.86M31.44%3.39M31.44%3.39M98.34%3.16M98.75%2.71M
Non current liabilities
Long term debt and capital lease obligation 23.20%6.58M2.74%5.8M2.74%5.8M2.58%5.72M1.60%5.63M4.18%5.34M11.11%5.64M11.11%5.64M-1.56%5.58M-1.22%5.54M
-Long term debt 20.99%6.46M0.31%5.66M0.31%5.66M-0.33%5.56M-1.78%5.44M4.28%5.34M11.55%5.64M11.55%5.64M-1.00%5.58M-0.41%5.54M
-Long term capital lease obligation --118.03K--137.04K--137.04K--162.41K--187.49K------0--0--0--0
Non current deferred liabilities ---------------------------------94.92%118.97K--0
Total non current liabilities 23.20%6.58M2.74%5.8M2.74%5.8M0.44%5.72M1.60%5.63M4.18%5.34M11.11%5.64M11.11%5.64M-28.85%5.7M-30.29%5.54M
Total liabilities 11.55%11.38M30.33%11.78M30.33%11.78M12.87%10M69.58%14M20.22%10.2M17.96%9.04M17.96%9.04M-7.72%8.86M-11.39%8.25M
Shareholders'equity
Share capital 24.44%27.89K27.72%24.64K27.72%24.64K28.07%23.82K39.81%22.82K47.46%22.42K39.20%19.3K39.20%19.3K36.34%18.6K22.22%16.32K
-common stock 24.49%27.84K27.79%24.59K27.79%24.59K28.15%23.77K39.93%22.77K47.61%22.37K39.35%19.25K39.35%19.25K36.47%18.55K22.30%16.27K
-Preferred stock 0.00%500.00%500.00%500.00%500.00%500.00%500.00%500.00%500.00%500.00%50
Retained earnings -8.36%-72.48M-12.57%-72.18M-12.57%-72.18M-11.16%-70.28M-15.39%-70.61M-11.54%-66.89M-10.79%-64.13M-10.79%-64.13M-26.88%-63.23M-31.48%-61.19M
Paid-in capital 7.01%65.01M9.02%64.53M9.02%64.53M9.45%64.3M5.99%60.84M7.71%60.75M16.06%59.19M16.06%59.19M17.48%58.75M20.18%57.4M
Other equity interest 89.90%-4.14K-127.50%-24.48K-127.50%-24.48K-101.33%-1K-102.34%-1K-130.37%-41K-98.04%89K-98.04%89K-98.32%74.94K121.65%42.76K
Total stockholders'equity -20.89%-7.45M-58.67%-7.66M-58.67%-7.66M-35.95%-5.96M-161.20%-9.75M-79.96%-6.16M-106.37%-4.83M-106.37%-4.83M-194.25%-4.38M-459.78%-3.73M
Total equity -20.89%-7.45M-58.67%-7.66M-58.67%-7.66M-35.95%-5.96M-161.20%-9.75M-79.96%-6.16M-106.37%-4.83M-106.37%-4.83M-194.25%-4.38M-459.78%-3.73M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------

Analysis

Analyst Rating

No Data

Price Target

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