US Stock MarketDetailed Quotes

BRTH Breathe BioMedical

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  • 0.000
  • 0.0000.00%
Close Sep 11 09:30 ET
0Market Cap0.00P/E (TTM)

Breathe BioMedical Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(FY)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
--2.53M
190.56%1.66M
--571.73K
-Cash and cash equivalents
--2.51M
199.27%1.64M
--546.73K
-Short-term investments
--25K
0.00%25K
--25K
Receivables
--1.15M
-7.14%869.54K
--936.41K
-Accrued interest receivable
----
--0
--4.78K
-Other receivables
--1.15M
-6.66%869.54K
--931.63K
Prepaid assets
--88.64K
0.92%37.94K
--37.59K
Total current assets
--3.77M
66.18%2.57M
--1.55M
Non current assets
Net PPE
--2.75M
19.71%2.18M
--1.82M
-Gross PPE
--3.84M
35.63%3.14M
--2.31M
-Accumulated depreciation
---1.09M
-94.65%-956.7K
---491.5K
Total non current assets
--2.75M
19.71%2.18M
--1.82M
Total assets
--6.52M
41.04%4.75M
--3.37M
Liabilities
Current liabilities
Payables
--2.31M
7.84%963.14K
--893.08K
-accounts payable
--2.31M
7.84%963.14K
--893.08K
Current accrued expenses
--95.79K
21.88%398.23K
--326.72K
Current debt and capital lease obligation
--1.52M
110.52%327.36K
--155.5K
-Current debt
--1.43M
56.53%243.41K
--155.5K
-Current capital lease obligation
--87.38K
--83.95K
--0
Current liabilities
--4.56M
37.19%2.1M
--1.53M
Non current liabilities
Long term debt and capital lease obligation
--1.79M
48.98%1.6M
--1.07M
-Long term debt
--1.25M
-3.46%1.04M
--1.07M
-Long term capital lease obligation
--539.86K
--563.24K
--0
Total non current liabilities
--1.79M
48.98%1.6M
--1.07M
Total liabilities
--6.35M
42.05%3.7M
--2.61M
Shareholders'equity
Share capital
--22.03M
47.16%20.84M
--14.16M
-common stock
--22.03M
47.16%20.84M
--14.16M
Retained earnings
---27.14M
-54.15%-23.8M
---15.44M
Paid-in capital
--5.36M
127.83%4.05M
--1.78M
Gains losses not affecting retained earnings
---77.11K
-4.39%-36.19K
---34.66K
Other equity interest
----
----
--300K
Total stockholders'equity
--173.5K
37.57%1.05M
--762.55K
Total equity
--173.5K
37.57%1.05M
--762.55K
Currency Unit
CAD
CAD
CAD
(Q1)Mar 31, 2024(FY)Dec 31, 2023(FY)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments --2.53M190.56%1.66M--571.73K
-Cash and cash equivalents --2.51M199.27%1.64M--546.73K
-Short-term investments --25K0.00%25K--25K
Receivables --1.15M-7.14%869.54K--936.41K
-Accrued interest receivable ------0--4.78K
-Other receivables --1.15M-6.66%869.54K--931.63K
Prepaid assets --88.64K0.92%37.94K--37.59K
Total current assets --3.77M66.18%2.57M--1.55M
Non current assets
Net PPE --2.75M19.71%2.18M--1.82M
-Gross PPE --3.84M35.63%3.14M--2.31M
-Accumulated depreciation ---1.09M-94.65%-956.7K---491.5K
Total non current assets --2.75M19.71%2.18M--1.82M
Total assets --6.52M41.04%4.75M--3.37M
Liabilities
Current liabilities
Payables --2.31M7.84%963.14K--893.08K
-accounts payable --2.31M7.84%963.14K--893.08K
Current accrued expenses --95.79K21.88%398.23K--326.72K
Current debt and capital lease obligation --1.52M110.52%327.36K--155.5K
-Current debt --1.43M56.53%243.41K--155.5K
-Current capital lease obligation --87.38K--83.95K--0
Current liabilities --4.56M37.19%2.1M--1.53M
Non current liabilities
Long term debt and capital lease obligation --1.79M48.98%1.6M--1.07M
-Long term debt --1.25M-3.46%1.04M--1.07M
-Long term capital lease obligation --539.86K--563.24K--0
Total non current liabilities --1.79M48.98%1.6M--1.07M
Total liabilities --6.35M42.05%3.7M--2.61M
Shareholders'equity
Share capital --22.03M47.16%20.84M--14.16M
-common stock --22.03M47.16%20.84M--14.16M
Retained earnings ---27.14M-54.15%-23.8M---15.44M
Paid-in capital --5.36M127.83%4.05M--1.78M
Gains losses not affecting retained earnings ---77.11K-4.39%-36.19K---34.66K
Other equity interest ----------300K
Total stockholders'equity --173.5K37.57%1.05M--762.55K
Total equity --173.5K37.57%1.05M--762.55K
Currency Unit CADCADCAD

Analysis

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Price Target

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