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CNTX Context Therapeutics

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  • 1.0500
  • -0.0100-0.94%
Close Dec 31 16:00 ET
78.75MMarket Cap-1.19P/E (TTM)

Context 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
291.21%84.8M
303.92%101.54M
-66.11%10.09M
-59.29%14.45M
-59.29%14.45M
-45.02%21.68M
-41.43%25.14M
-34.90%29.77M
-28.48%35.5M
-28.48%35.5M
-Cash and cash equivalents
291.21%84.8M
303.92%101.54M
-66.11%10.09M
-59.29%14.45M
-59.29%14.45M
-45.02%21.68M
-41.43%25.14M
-34.90%29.77M
-28.48%35.5M
-28.48%35.5M
Other current assets
-1.88%1.27M
-54.83%1.16M
-55.14%949.49K
-32.21%1.6M
-32.21%1.6M
-48.51%1.29M
62.89%2.57M
87.47%2.12M
45.43%2.36M
45.43%2.36M
Total current assets
274.70%86.07M
270.63%102.7M
-65.38%11.04M
-57.61%16.05M
-57.61%16.05M
-45.23%22.97M
-37.73%27.71M
-31.95%31.89M
-26.15%37.85M
-26.15%37.85M
Non current assets
Net PPE
1,331.73%259.03K
-63.81%10.39K
-76.13%12.96K
-80.48%15.52K
-80.48%15.52K
-82.69%18.09K
-77.79%28.7K
-64.17%54.27K
--79.54K
--79.54K
-Gross PPE
1,331.73%259.03K
----
----
-80.48%15.52K
-80.48%15.52K
-82.69%18.09K
-77.79%28.7K
-64.17%54.27K
--79.54K
--79.54K
Other non current assets
----
----
----
----
----
----
-64.58%24K
9.12%26.19K
-35.01%32.75K
-35.01%32.75K
Total non current assets
1,331.73%259.03K
-80.29%10.39K
-83.90%12.96K
-86.17%15.52K
-86.17%15.52K
-87.42%18.09K
-73.24%52.7K
-54.15%80.46K
122.84%112.29K
122.84%112.29K
Total assets
275.53%86.33M
269.96%102.71M
-65.43%11.05M
-57.69%16.06M
-57.69%16.06M
-45.37%22.99M
-37.89%27.76M
-32.03%31.97M
-26.00%37.97M
-26.00%37.97M
Liabilities
Current liabilities
Payables
-43.72%1.03M
-48.65%611.51K
69.00%2.05M
154.51%2.38M
154.51%2.38M
22.26%1.83M
25.95%1.19M
166.09%1.21M
-48.73%936.33K
-48.73%936.33K
-accounts payable
-43.72%1.03M
-48.65%611.51K
69.00%2.05M
154.51%2.38M
154.51%2.38M
22.26%1.83M
25.95%1.19M
166.09%1.21M
-48.73%936.33K
-48.73%936.33K
Current accrued expenses
-76.89%482.05K
-74.33%541.28K
-81.77%315.7K
-15.80%1.15M
-15.80%1.15M
15.05%2.09M
35.83%2.11M
113.51%1.73M
99.04%1.36M
99.04%1.36M
Current debt and capital lease obligation
--104.16K
----
----
----
----
----
-91.44%7.97K
-65.54%31.67K
--55.08K
--55.08K
-Current capital lease obligation
--104.16K
----
----
--0
--0
--0
-91.44%7.97K
-65.54%31.67K
--55.08K
--55.08K
Other current liabilities
56.87%89.76K
-51.81%11.05K
-69.03%13.7K
-89.82%8.49K
-89.82%8.49K
-5.09%57.22K
-54.22%22.92K
34.13%44.25K
-2.42%83.46K
-2.42%83.46K
Current liabilities
-49.35%2.33M
-57.30%1.6M
-19.33%2.61M
30.68%4.19M
30.68%4.19M
14.76%4.6M
23.62%3.76M
101.25%3.23M
5.74%3.21M
5.74%3.21M
Non current liabilities
Long term debt and capital lease obligation
--140.2K
----
----
----
----
----
----
----
----
----
-Long term capital lease obligation
--140.2K
----
----
----
----
----
----
----
----
----
Total non current liabilities
--140.2K
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
-46.30%2.47M
-57.30%1.6M
-19.33%2.61M
30.68%4.19M
30.68%4.19M
14.76%4.6M
23.30%3.76M
97.36%3.23M
5.74%3.21M
5.74%3.21M
Shareholders'equity
Share capital
369.74%75K
369.74%75K
0.00%15.97K
0.00%15.97K
0.00%15.97K
0.00%15.97K
0.00%15.97K
0.00%15.97K
0.00%15.97K
0.00%15.97K
-common stock
369.74%75K
369.74%75K
0.00%15.97K
0.00%15.97K
0.00%15.97K
0.00%15.97K
0.00%15.97K
0.00%15.97K
0.00%15.97K
0.00%15.97K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-49.20%-91.44M
-33.51%-73.98M
-42.31%-71.72M
-54.35%-68.05M
-54.35%-68.05M
-51.19%-61.28M
-51.07%-55.41M
-54.16%-50.4M
-50.71%-44.09M
-50.71%-44.09M
Paid-in capital
119.98%175.22M
120.41%175.01M
1.31%80.15M
1.37%79.91M
1.37%79.91M
1.35%79.65M
1.39%79.4M
1.34%79.12M
1.71%78.83M
1.71%78.83M
Total stockholders'equity
356.12%83.86M
321.19%101.1M
-70.61%8.44M
-65.85%11.87M
-65.85%11.87M
-51.71%18.38M
-42.36%24M
-36.70%28.73M
-28.00%34.76M
-28.00%34.76M
Total equity
356.12%83.86M
321.19%101.1M
-70.61%8.44M
-65.85%11.87M
-65.85%11.87M
-51.71%18.38M
-42.36%24M
-36.70%28.73M
-28.00%34.76M
-28.00%34.76M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
--
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(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 291.21%84.8M303.92%101.54M-66.11%10.09M-59.29%14.45M-59.29%14.45M-45.02%21.68M-41.43%25.14M-34.90%29.77M-28.48%35.5M-28.48%35.5M
-Cash and cash equivalents 291.21%84.8M303.92%101.54M-66.11%10.09M-59.29%14.45M-59.29%14.45M-45.02%21.68M-41.43%25.14M-34.90%29.77M-28.48%35.5M-28.48%35.5M
Other current assets -1.88%1.27M-54.83%1.16M-55.14%949.49K-32.21%1.6M-32.21%1.6M-48.51%1.29M62.89%2.57M87.47%2.12M45.43%2.36M45.43%2.36M
Total current assets 274.70%86.07M270.63%102.7M-65.38%11.04M-57.61%16.05M-57.61%16.05M-45.23%22.97M-37.73%27.71M-31.95%31.89M-26.15%37.85M-26.15%37.85M
Non current assets
Net PPE 1,331.73%259.03K-63.81%10.39K-76.13%12.96K-80.48%15.52K-80.48%15.52K-82.69%18.09K-77.79%28.7K-64.17%54.27K--79.54K--79.54K
-Gross PPE 1,331.73%259.03K---------80.48%15.52K-80.48%15.52K-82.69%18.09K-77.79%28.7K-64.17%54.27K--79.54K--79.54K
Other non current assets -------------------------64.58%24K9.12%26.19K-35.01%32.75K-35.01%32.75K
Total non current assets 1,331.73%259.03K-80.29%10.39K-83.90%12.96K-86.17%15.52K-86.17%15.52K-87.42%18.09K-73.24%52.7K-54.15%80.46K122.84%112.29K122.84%112.29K
Total assets 275.53%86.33M269.96%102.71M-65.43%11.05M-57.69%16.06M-57.69%16.06M-45.37%22.99M-37.89%27.76M-32.03%31.97M-26.00%37.97M-26.00%37.97M
Liabilities
Current liabilities
Payables -43.72%1.03M-48.65%611.51K69.00%2.05M154.51%2.38M154.51%2.38M22.26%1.83M25.95%1.19M166.09%1.21M-48.73%936.33K-48.73%936.33K
-accounts payable -43.72%1.03M-48.65%611.51K69.00%2.05M154.51%2.38M154.51%2.38M22.26%1.83M25.95%1.19M166.09%1.21M-48.73%936.33K-48.73%936.33K
Current accrued expenses -76.89%482.05K-74.33%541.28K-81.77%315.7K-15.80%1.15M-15.80%1.15M15.05%2.09M35.83%2.11M113.51%1.73M99.04%1.36M99.04%1.36M
Current debt and capital lease obligation --104.16K---------------------91.44%7.97K-65.54%31.67K--55.08K--55.08K
-Current capital lease obligation --104.16K----------0--0--0-91.44%7.97K-65.54%31.67K--55.08K--55.08K
Other current liabilities 56.87%89.76K-51.81%11.05K-69.03%13.7K-89.82%8.49K-89.82%8.49K-5.09%57.22K-54.22%22.92K34.13%44.25K-2.42%83.46K-2.42%83.46K
Current liabilities -49.35%2.33M-57.30%1.6M-19.33%2.61M30.68%4.19M30.68%4.19M14.76%4.6M23.62%3.76M101.25%3.23M5.74%3.21M5.74%3.21M
Non current liabilities
Long term debt and capital lease obligation --140.2K------------------------------------
-Long term capital lease obligation --140.2K------------------------------------
Total non current liabilities --140.2K--0--0--0--0--0--0--0--0--0
Total liabilities -46.30%2.47M-57.30%1.6M-19.33%2.61M30.68%4.19M30.68%4.19M14.76%4.6M23.30%3.76M97.36%3.23M5.74%3.21M5.74%3.21M
Shareholders'equity
Share capital 369.74%75K369.74%75K0.00%15.97K0.00%15.97K0.00%15.97K0.00%15.97K0.00%15.97K0.00%15.97K0.00%15.97K0.00%15.97K
-common stock 369.74%75K369.74%75K0.00%15.97K0.00%15.97K0.00%15.97K0.00%15.97K0.00%15.97K0.00%15.97K0.00%15.97K0.00%15.97K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -49.20%-91.44M-33.51%-73.98M-42.31%-71.72M-54.35%-68.05M-54.35%-68.05M-51.19%-61.28M-51.07%-55.41M-54.16%-50.4M-50.71%-44.09M-50.71%-44.09M
Paid-in capital 119.98%175.22M120.41%175.01M1.31%80.15M1.37%79.91M1.37%79.91M1.35%79.65M1.39%79.4M1.34%79.12M1.71%78.83M1.71%78.83M
Total stockholders'equity 356.12%83.86M321.19%101.1M-70.61%8.44M-65.85%11.87M-65.85%11.87M-51.71%18.38M-42.36%24M-36.70%28.73M-28.00%34.76M-28.00%34.76M
Total equity 356.12%83.86M321.19%101.1M-70.61%8.44M-65.85%11.87M-65.85%11.87M-51.71%18.38M-42.36%24M-36.70%28.73M-28.00%34.76M-28.00%34.76M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion with Explanatory Notes------------
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