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CADL Candel Therapeutics

Watchlist
  • 4.705
  • -0.245-4.95%
Close Nov 29 13:00 ET
  • 4.700
  • -0.005-0.10%
Post 17:01 ET
152.80MMarket Cap-2719P/E (TTM)

Candel Therapeutics 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
-61.48%16.56M
-58.66%21.45M
-56.61%25.71M
-49.45%35.41M
-49.45%35.41M
-44.31%42.98M
-40.20%51.89M
-37.17%59.26M
-15.23%70.06M
-15.23%70.06M
-Cash and cash equivalents
-61.48%16.56M
-58.66%21.45M
-56.61%25.71M
-49.45%35.41M
-49.45%35.41M
-44.31%42.98M
-40.20%51.89M
-37.17%59.26M
-15.23%70.06M
-15.23%70.06M
Other current assets
-27.90%1.53M
-12.74%1.28M
-45.62%1.42M
-26.66%1.38M
-26.66%1.38M
12.24%2.12M
169.85%1.47M
97.51%2.62M
-18.06%1.89M
-18.06%1.89M
Total current assets
-59.90%18.09M
-57.39%22.74M
-56.14%27.14M
-48.85%36.8M
-48.85%36.8M
-42.96%45.1M
-38.89%53.36M
-35.31%61.88M
-15.30%71.95M
-15.30%71.95M
Non current assets
Net PPE
-32.14%3.09M
-30.85%3.4M
-27.15%3.71M
-26.61%4.02M
-26.61%4.02M
-19.68%4.56M
-13.80%4.92M
-6.97%5.1M
42.86%5.48M
42.86%5.48M
-Gross PPE
-7.35%5.93M
-8.04%5.99M
-6.24%6.05M
-7.54%6.11M
-7.54%6.11M
-2.81%6.4M
1.61%6.52M
7.67%6.46M
57.81%6.61M
57.81%6.61M
-Accumulated depreciation
-54.02%-2.83M
-62.32%-2.59M
-72.19%-2.34M
-85.03%-2.09M
-85.03%-2.09M
-102.42%-1.84M
-126.56%-1.6M
-162.86%-1.36M
-220.74%-1.13M
-220.74%-1.13M
Other non current assets
-15.80%341K
-18.35%347K
38.35%368K
43.61%382K
43.61%382K
52.26%405K
59.77%425K
-39.13%266K
-37.26%266K
-37.26%266K
Total non current assets
-30.81%3.43M
-29.85%3.75M
-23.90%4.08M
-23.36%4.4M
-23.36%4.4M
-16.46%4.96M
-10.53%5.35M
-9.35%5.36M
34.88%5.75M
34.88%5.75M
Total assets
-57.02%21.52M
-54.89%26.49M
-53.57%31.22M
-46.97%41.2M
-46.97%41.2M
-41.11%50.06M
-37.08%58.71M
-33.80%67.24M
-12.91%77.69M
-12.91%77.69M
Liabilities
Current liabilities
Payables
18.40%296K
-9.79%433K
-20.27%472K
11.05%422K
11.05%422K
-74.23%250K
-69.70%480K
-57.29%592K
-76.10%380K
-76.10%380K
-accounts payable
18.40%296K
-9.79%433K
-20.27%472K
11.05%422K
11.05%422K
-74.23%250K
-69.70%480K
-57.29%592K
-76.10%380K
-76.10%380K
Current accrued expenses
33.25%4.57M
-8.01%3.22M
-3.31%2.77M
-7.77%4.36M
-7.77%4.36M
-22.86%3.43M
-7.81%3.5M
-19.53%2.87M
37.38%4.72M
37.38%4.72M
Current debt and capital lease obligation
57.62%10.4M
149.95%10.35M
495.32%10.29M
1,927.16%9.41M
1,927.16%9.41M
1,360.18%6.6M
840.91%4.14M
303.03%1.73M
--464K
--464K
-Current debt
61.49%9.85M
168.59%9.81M
679.49%9.77M
--8.89M
--8.89M
--6.1M
--3.65M
--1.25M
----
----
-Current capital lease obligation
10.40%552K
10.45%539K
10.50%526K
10.56%513K
10.56%513K
10.62%500K
10.91%488K
10.96%476K
--464K
--464K
Other current liabilities
----
----
----
----
----
54.84%48K
-23.81%48K
-48.94%48K
-85.63%48K
-85.63%48K
Current liabilities
47.85%15.27M
71.46%14M
158.54%13.54M
152.61%14.18M
152.61%14.18M
75.09%10.33M
38.87%8.16M
-4.31%5.24M
4.72%5.62M
4.72%5.62M
Non current liabilities
Long term debt and capital lease obligation
-65.25%5.62M
-55.94%8.21M
-48.76%10.79M
-40.20%13.36M
-40.20%13.36M
-27.67%16.17M
-16.62%18.64M
-5.83%21.06M
3,888.57%22.34M
3,888.57%22.34M
-Long term debt
-66.38%5.07M
-56.82%7.52M
-49.46%9.96M
-40.61%12.38M
-40.61%12.38M
-27.40%15.06M
-15.64%17.4M
-4.03%19.7M
3,623.21%20.85M
3,623.21%20.85M
-Long term capital lease obligation
-49.86%555K
-43.57%698K
-38.59%837K
-34.52%973K
-34.52%973K
-31.16%1.11M
-28.29%1.24M
-25.84%1.36M
--1.49M
--1.49M
Non current deferred liabilities
----
----
----
--0
--0
--108K
--120K
--132K
-83.89%144K
-83.89%144K
Derivative product liabilities
3,568.82%15.89M
1,305.13%14.25M
-21.50%909K
-51.33%916K
-51.33%916K
-90.64%433K
-79.70%1.01M
-88.38%1.16M
-89.69%1.88M
-89.69%1.88M
Total non current liabilities
28.69%21.51M
13.59%22.46M
-47.65%11.7M
-41.42%14.27M
-41.42%14.27M
-38.06%16.71M
-27.70%19.77M
-30.86%22.35M
23.63%24.36M
23.63%24.36M
Total liabilities
36.00%36.77M
30.50%36.46M
-8.51%25.24M
-5.07%28.46M
-5.07%28.46M
-17.76%27.04M
-15.93%27.94M
-27.02%27.59M
19.58%29.98M
19.58%29.98M
Shareholders'equity
Share capital
11.03%322K
4.48%303K
0.69%292K
0.00%290K
0.00%290K
0.00%290K
0.00%290K
1.05%290K
1.40%290K
1.40%290K
-common stock
11.03%322K
4.48%303K
0.69%292K
0.00%290K
0.00%290K
0.00%290K
0.00%290K
1.05%290K
1.40%290K
1.40%290K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-41.45%-178.13M
-42.54%-167.49M
-34.63%-145.25M
-38.29%-137.03M
-38.29%-137.03M
-33.96%-125.93M
-37.72%-117.5M
-32.91%-107.88M
-23.41%-99.09M
-23.41%-99.09M
Paid-in capital
9.31%163M
6.22%157.66M
2.50%151.38M
2.02%149.93M
2.02%149.93M
1.93%149.11M
1.98%148.43M
2.11%147.69M
1.95%146.96M
1.95%146.96M
Less: Treasury stock
0.00%448K
0.00%448K
0.00%448K
0.00%448K
0.00%448K
0.00%448K
0.00%448K
--448K
--448K
--448K
Total stockholders'equity
-166.27%-15.26M
-132.41%-9.97M
-84.92%5.98M
-73.29%12.75M
-73.29%12.75M
-55.83%23.02M
-48.78%30.77M
-37.81%39.65M
-25.61%47.71M
-25.61%47.71M
Total equity
-166.27%-15.26M
-132.41%-9.97M
-84.92%5.98M
-73.29%12.75M
-73.29%12.75M
-55.83%23.02M
-48.78%30.77M
-37.81%39.65M
-25.61%47.71M
-25.61%47.71M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(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 -61.48%16.56M-58.66%21.45M-56.61%25.71M-49.45%35.41M-49.45%35.41M-44.31%42.98M-40.20%51.89M-37.17%59.26M-15.23%70.06M-15.23%70.06M
-Cash and cash equivalents -61.48%16.56M-58.66%21.45M-56.61%25.71M-49.45%35.41M-49.45%35.41M-44.31%42.98M-40.20%51.89M-37.17%59.26M-15.23%70.06M-15.23%70.06M
Other current assets -27.90%1.53M-12.74%1.28M-45.62%1.42M-26.66%1.38M-26.66%1.38M12.24%2.12M169.85%1.47M97.51%2.62M-18.06%1.89M-18.06%1.89M
Total current assets -59.90%18.09M-57.39%22.74M-56.14%27.14M-48.85%36.8M-48.85%36.8M-42.96%45.1M-38.89%53.36M-35.31%61.88M-15.30%71.95M-15.30%71.95M
Non current assets
Net PPE -32.14%3.09M-30.85%3.4M-27.15%3.71M-26.61%4.02M-26.61%4.02M-19.68%4.56M-13.80%4.92M-6.97%5.1M42.86%5.48M42.86%5.48M
-Gross PPE -7.35%5.93M-8.04%5.99M-6.24%6.05M-7.54%6.11M-7.54%6.11M-2.81%6.4M1.61%6.52M7.67%6.46M57.81%6.61M57.81%6.61M
-Accumulated depreciation -54.02%-2.83M-62.32%-2.59M-72.19%-2.34M-85.03%-2.09M-85.03%-2.09M-102.42%-1.84M-126.56%-1.6M-162.86%-1.36M-220.74%-1.13M-220.74%-1.13M
Other non current assets -15.80%341K-18.35%347K38.35%368K43.61%382K43.61%382K52.26%405K59.77%425K-39.13%266K-37.26%266K-37.26%266K
Total non current assets -30.81%3.43M-29.85%3.75M-23.90%4.08M-23.36%4.4M-23.36%4.4M-16.46%4.96M-10.53%5.35M-9.35%5.36M34.88%5.75M34.88%5.75M
Total assets -57.02%21.52M-54.89%26.49M-53.57%31.22M-46.97%41.2M-46.97%41.2M-41.11%50.06M-37.08%58.71M-33.80%67.24M-12.91%77.69M-12.91%77.69M
Liabilities
Current liabilities
Payables 18.40%296K-9.79%433K-20.27%472K11.05%422K11.05%422K-74.23%250K-69.70%480K-57.29%592K-76.10%380K-76.10%380K
-accounts payable 18.40%296K-9.79%433K-20.27%472K11.05%422K11.05%422K-74.23%250K-69.70%480K-57.29%592K-76.10%380K-76.10%380K
Current accrued expenses 33.25%4.57M-8.01%3.22M-3.31%2.77M-7.77%4.36M-7.77%4.36M-22.86%3.43M-7.81%3.5M-19.53%2.87M37.38%4.72M37.38%4.72M
Current debt and capital lease obligation 57.62%10.4M149.95%10.35M495.32%10.29M1,927.16%9.41M1,927.16%9.41M1,360.18%6.6M840.91%4.14M303.03%1.73M--464K--464K
-Current debt 61.49%9.85M168.59%9.81M679.49%9.77M--8.89M--8.89M--6.1M--3.65M--1.25M--------
-Current capital lease obligation 10.40%552K10.45%539K10.50%526K10.56%513K10.56%513K10.62%500K10.91%488K10.96%476K--464K--464K
Other current liabilities --------------------54.84%48K-23.81%48K-48.94%48K-85.63%48K-85.63%48K
Current liabilities 47.85%15.27M71.46%14M158.54%13.54M152.61%14.18M152.61%14.18M75.09%10.33M38.87%8.16M-4.31%5.24M4.72%5.62M4.72%5.62M
Non current liabilities
Long term debt and capital lease obligation -65.25%5.62M-55.94%8.21M-48.76%10.79M-40.20%13.36M-40.20%13.36M-27.67%16.17M-16.62%18.64M-5.83%21.06M3,888.57%22.34M3,888.57%22.34M
-Long term debt -66.38%5.07M-56.82%7.52M-49.46%9.96M-40.61%12.38M-40.61%12.38M-27.40%15.06M-15.64%17.4M-4.03%19.7M3,623.21%20.85M3,623.21%20.85M
-Long term capital lease obligation -49.86%555K-43.57%698K-38.59%837K-34.52%973K-34.52%973K-31.16%1.11M-28.29%1.24M-25.84%1.36M--1.49M--1.49M
Non current deferred liabilities --------------0--0--108K--120K--132K-83.89%144K-83.89%144K
Derivative product liabilities 3,568.82%15.89M1,305.13%14.25M-21.50%909K-51.33%916K-51.33%916K-90.64%433K-79.70%1.01M-88.38%1.16M-89.69%1.88M-89.69%1.88M
Total non current liabilities 28.69%21.51M13.59%22.46M-47.65%11.7M-41.42%14.27M-41.42%14.27M-38.06%16.71M-27.70%19.77M-30.86%22.35M23.63%24.36M23.63%24.36M
Total liabilities 36.00%36.77M30.50%36.46M-8.51%25.24M-5.07%28.46M-5.07%28.46M-17.76%27.04M-15.93%27.94M-27.02%27.59M19.58%29.98M19.58%29.98M
Shareholders'equity
Share capital 11.03%322K4.48%303K0.69%292K0.00%290K0.00%290K0.00%290K0.00%290K1.05%290K1.40%290K1.40%290K
-common stock 11.03%322K4.48%303K0.69%292K0.00%290K0.00%290K0.00%290K0.00%290K1.05%290K1.40%290K1.40%290K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -41.45%-178.13M-42.54%-167.49M-34.63%-145.25M-38.29%-137.03M-38.29%-137.03M-33.96%-125.93M-37.72%-117.5M-32.91%-107.88M-23.41%-99.09M-23.41%-99.09M
Paid-in capital 9.31%163M6.22%157.66M2.50%151.38M2.02%149.93M2.02%149.93M1.93%149.11M1.98%148.43M2.11%147.69M1.95%146.96M1.95%146.96M
Less: Treasury stock 0.00%448K0.00%448K0.00%448K0.00%448K0.00%448K0.00%448K0.00%448K--448K--448K--448K
Total stockholders'equity -166.27%-15.26M-132.41%-9.97M-84.92%5.98M-73.29%12.75M-73.29%12.75M-55.83%23.02M-48.78%30.77M-37.81%39.65M-25.61%47.71M-25.61%47.71M
Total equity -166.27%-15.26M-132.41%-9.97M-84.92%5.98M-73.29%12.75M-73.29%12.75M-55.83%23.02M-48.78%30.77M-37.81%39.65M-25.61%47.71M-25.61%47.71M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion with Explanatory Notes--

Analysis

Analyst Rating

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Price Target

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