US Stock MarketDetailed Quotes

COEP Coeptis Therapeutics

Watchlist
  • 0.178
  • -0.008-4.35%
Close Dec 13 16:00 ET
  • 0.183
  • +0.005+2.81%
Post 18:46 ET
7.31MMarket Cap-0.64P/E (TTM)

Coeptis 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
-19.42%1.14M
-52.08%1.56M
-51.15%1.03M
-61.25%1.47M
-61.25%1.47M
-80.85%1.41M
36.43%3.24M
-10.11%2.11M
73.95%3.79M
73.95%3.79M
-Cash and cash equivalents
-19.42%1.14M
-52.08%1.56M
-51.15%1.03M
-61.25%1.47M
-61.25%1.47M
-80.85%1.41M
36.43%3.24M
-10.11%2.11M
73.95%3.79M
73.95%3.79M
Receivables
--0
--191.08K
--5.61M
382.70%38.98K
382.70%38.98K
30,870.07%2.5M
--0
--0
--8.08K
--8.08K
-Accounts receivable
----
----
----
--0
--0
--0
--0
--0
--8.08K
--8.08K
-Notes receivable
----
----
--5.5M
----
----
--2.5M
----
----
----
----
-Accrued interest receivable
--0
--191.08K
--108.58K
--38.98K
--38.98K
--833
----
----
--0
--0
Inventory
----
----
----
----
----
----
--350K
----
----
----
Prepaid assets
9.17%227.22K
20.89%244.78K
43.05%241.96K
69.72%241.6K
69.72%241.6K
--208.13K
--202.48K
--169.15K
--142.36K
--142.36K
Total current assets
-66.88%1.36M
-47.57%1.99M
202.28%6.88M
-55.61%1.75M
-55.61%1.75M
-44.16%4.12M
59.66%3.8M
-2.89%2.28M
80.85%3.94M
80.85%3.94M
Non current assets
Net PPE
99.12%80.23K
76.75%89.99K
62.38%99.54K
52.37%108.88K
52.37%108.88K
-50.52%40.29K
-44.17%50.91K
-39.14%61.3K
124.34%71.46K
124.34%71.46K
-Gross PPE
75.82%94.79K
62.46%104.34K
52.99%113.68K
45.94%122.81K
45.94%122.81K
-42.51%53.91K
-37.76%64.22K
-33.88%74.3K
94.97%84.15K
94.97%84.15K
-Accumulated depreciation
-6.92%-14.57K
-7.82%-14.35K
-8.75%-14.14K
-9.74%-13.93K
-9.74%-13.93K
-10.31%-13.62K
-10.91%-13.31K
-11.56%-13K
-12.24%-12.7K
-12.24%-12.7K
Goodwill and other intangible assets
----
----
----
----
----
--2.8M
--3.05M
--3.3M
----
----
-Other intangible assets
----
----
----
----
----
--2.8M
--3.05M
--3.3M
----
----
Investments and advances
--5.69M
----
----
----
----
----
----
----
----
----
Non current prepaid assets
-92.31%15.83K
-75.00%63.33K
-63.16%110.83K
-54.55%158.33K
-54.55%158.33K
--205.83K
--253.33K
--300.83K
--348.33K
--348.33K
Other non current assets
--1.8M
--2.05M
--2.3M
-28.14%2.55M
-28.14%2.55M
----
----
----
-21.96%3.55M
-21.96%3.55M
Total non current assets
148.87%7.59M
-34.27%2.21M
-31.41%2.51M
-29.00%2.82M
-29.00%2.82M
-21.50%3.05M
-18.98%3.36M
-16.77%3.67M
-13.35%3.97M
-13.35%3.97M
Total assets
24.90%8.96M
-41.33%4.2M
58.09%9.39M
-42.25%4.57M
-42.25%4.57M
-36.34%7.17M
9.69%7.16M
-11.95%5.94M
17.00%7.92M
17.00%7.92M
Liabilities
Current liabilities
Payables
135.32%1.13M
224.15%1.28M
463.37%1.37M
1,333.74%1.42M
1,333.74%1.42M
47.01%482.01K
47.22%395.23K
-0.96%242.45K
-26.15%99.02K
-26.15%99.02K
-accounts payable
135.32%1.13M
224.15%1.28M
463.37%1.37M
1,333.74%1.42M
1,333.74%1.42M
47.01%482.01K
47.22%395.23K
-0.96%242.45K
-26.15%99.02K
-26.15%99.02K
Current accrued expenses
148.84%742.2K
211.73%771.04K
250.68%719.04K
205.47%555.95K
205.47%555.95K
-17.19%298.27K
-19.08%247.34K
-22.49%205.04K
-8.60%182K
-8.60%182K
Current debt and capital lease obligation
87.11%1.56M
-15.91%1.57M
44.72%2.22M
-46.45%1.01M
-46.45%1.01M
-76.96%835.76K
-49.18%1.87M
-30.25%1.53M
-22.21%1.89M
-22.21%1.89M
-Current debt
88.36%1.55M
-16.00%1.55M
45.83%2.19M
-47.30%975K
-47.30%975K
-77.19%825K
-49.49%1.85M
-30.78%1.5M
-23.46%1.85M
-23.46%1.85M
-Current capital lease obligation
-8.06%9.89K
-8.07%19.56K
-8.24%28.96K
-8.58%38.05K
-8.58%38.05K
9.39%10.76K
9.38%21.28K
9.38%31.56K
182.65%41.62K
182.65%41.62K
Current liabilities
112.88%3.44M
44.23%3.63M
117.35%4.3M
37.56%2.99M
37.56%2.99M
-62.55%1.62M
-40.94%2.51M
-26.84%1.98M
-21.42%2.17M
-21.42%2.17M
Non current liabilities
Long term debt and capital lease obligation
28.20%211.18K
28.20%211.18K
28.20%211.18K
28.20%211.18K
28.20%211.18K
-20.17%164.72K
-20.17%164.72K
-90.35%164.72K
-90.02%164.72K
-90.02%164.72K
-Long term debt
0.00%150K
0.00%150K
0.00%150K
0.00%150K
0.00%150K
0.00%150K
0.00%150K
-90.91%150K
-90.91%150K
-90.91%150K
-Long term capital lease obligation
315.53%61.18K
315.53%61.18K
315.53%61.18K
315.53%61.18K
315.53%61.18K
-73.87%14.72K
-73.87%14.72K
-73.87%14.72K
--14.72K
--14.72K
Derivative product liabilities
-14.87%322.13K
-66.21%671.63K
-79.21%522.38K
-50.47%557.25K
-50.47%557.25K
--378.38K
--1.99M
--2.51M
--1.13M
--1.13M
Total non current liabilities
-1.80%533.3K
-58.98%882.8K
-72.60%733.55K
-40.42%768.43K
-40.42%768.43K
163.20%543.1K
943.04%2.15M
56.90%2.68M
-21.83%1.29M
-21.83%1.29M
Total liabilities
84.04%3.97M
-3.38%4.51M
8.13%5.03M
8.51%3.76M
8.51%3.76M
-52.24%2.16M
4.56%4.67M
5.55%4.66M
-21.58%3.46M
-21.58%3.46M
Shareholders'equity
Share capital
21.22%4K
62.87%3.97K
73.97%3.64K
80.53%3.53K
80.53%3.53K
-21.40%3.3K
-35.40%2.44K
-43.69%2.09K
63.49%1.96K
63.49%1.96K
-common stock
21.16%4K
62.79%3.97K
73.97%3.64K
80.53%3.53K
80.53%3.53K
-21.38%3.3K
-35.38%2.44K
-43.68%2.09K
63.63%1.96K
63.63%1.96K
-Preferred stock
--2
--2
----
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-14.75%-95.22M
-21.73%-93.39M
-22.76%-90.36M
-32.18%-87.36M
-32.18%-87.36M
-33.45%-82.98M
-35.71%-76.72M
-57.52%-73.61M
-139.89%-66.09M
-139.89%-66.09M
Paid-in capital
16.08%102.14M
26.88%100.5M
27.69%94.71M
29.95%91.67M
29.95%91.67M
27.67%87.99M
35.20%79.21M
51.18%74.17M
133.99%70.54M
133.99%70.54M
Less: Treasury stock
----
----
--0
--0
--0
--0
----
----
--0
--0
Other equity interest
---2.1M
---7.55M
----
---3.5M
---3.5M
----
----
28,700.00%720K
----
----
Total stockholders'equity
-3.73%4.82M
-117.78%-442.55K
238.99%4.36M
-81.72%813.96K
-81.72%813.96K
-25.68%5.01M
20.80%2.49M
-44.98%1.29M
89.45%4.45M
89.45%4.45M
Noncontrolling interests
--157.68K
--132.49K
----
----
----
----
----
----
----
----
Total equity
-0.58%4.98M
-112.45%-310.06K
238.99%4.36M
-81.72%813.96K
-81.72%813.96K
-25.68%5.01M
20.80%2.49M
-44.98%1.29M
89.45%4.45M
89.45%4.45M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
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 -19.42%1.14M-52.08%1.56M-51.15%1.03M-61.25%1.47M-61.25%1.47M-80.85%1.41M36.43%3.24M-10.11%2.11M73.95%3.79M73.95%3.79M
-Cash and cash equivalents -19.42%1.14M-52.08%1.56M-51.15%1.03M-61.25%1.47M-61.25%1.47M-80.85%1.41M36.43%3.24M-10.11%2.11M73.95%3.79M73.95%3.79M
Receivables --0--191.08K--5.61M382.70%38.98K382.70%38.98K30,870.07%2.5M--0--0--8.08K--8.08K
-Accounts receivable --------------0--0--0--0--0--8.08K--8.08K
-Notes receivable ----------5.5M----------2.5M----------------
-Accrued interest receivable --0--191.08K--108.58K--38.98K--38.98K--833----------0--0
Inventory --------------------------350K------------
Prepaid assets 9.17%227.22K20.89%244.78K43.05%241.96K69.72%241.6K69.72%241.6K--208.13K--202.48K--169.15K--142.36K--142.36K
Total current assets -66.88%1.36M-47.57%1.99M202.28%6.88M-55.61%1.75M-55.61%1.75M-44.16%4.12M59.66%3.8M-2.89%2.28M80.85%3.94M80.85%3.94M
Non current assets
Net PPE 99.12%80.23K76.75%89.99K62.38%99.54K52.37%108.88K52.37%108.88K-50.52%40.29K-44.17%50.91K-39.14%61.3K124.34%71.46K124.34%71.46K
-Gross PPE 75.82%94.79K62.46%104.34K52.99%113.68K45.94%122.81K45.94%122.81K-42.51%53.91K-37.76%64.22K-33.88%74.3K94.97%84.15K94.97%84.15K
-Accumulated depreciation -6.92%-14.57K-7.82%-14.35K-8.75%-14.14K-9.74%-13.93K-9.74%-13.93K-10.31%-13.62K-10.91%-13.31K-11.56%-13K-12.24%-12.7K-12.24%-12.7K
Goodwill and other intangible assets ----------------------2.8M--3.05M--3.3M--------
-Other intangible assets ----------------------2.8M--3.05M--3.3M--------
Investments and advances --5.69M------------------------------------
Non current prepaid assets -92.31%15.83K-75.00%63.33K-63.16%110.83K-54.55%158.33K-54.55%158.33K--205.83K--253.33K--300.83K--348.33K--348.33K
Other non current assets --1.8M--2.05M--2.3M-28.14%2.55M-28.14%2.55M-------------21.96%3.55M-21.96%3.55M
Total non current assets 148.87%7.59M-34.27%2.21M-31.41%2.51M-29.00%2.82M-29.00%2.82M-21.50%3.05M-18.98%3.36M-16.77%3.67M-13.35%3.97M-13.35%3.97M
Total assets 24.90%8.96M-41.33%4.2M58.09%9.39M-42.25%4.57M-42.25%4.57M-36.34%7.17M9.69%7.16M-11.95%5.94M17.00%7.92M17.00%7.92M
Liabilities
Current liabilities
Payables 135.32%1.13M224.15%1.28M463.37%1.37M1,333.74%1.42M1,333.74%1.42M47.01%482.01K47.22%395.23K-0.96%242.45K-26.15%99.02K-26.15%99.02K
-accounts payable 135.32%1.13M224.15%1.28M463.37%1.37M1,333.74%1.42M1,333.74%1.42M47.01%482.01K47.22%395.23K-0.96%242.45K-26.15%99.02K-26.15%99.02K
Current accrued expenses 148.84%742.2K211.73%771.04K250.68%719.04K205.47%555.95K205.47%555.95K-17.19%298.27K-19.08%247.34K-22.49%205.04K-8.60%182K-8.60%182K
Current debt and capital lease obligation 87.11%1.56M-15.91%1.57M44.72%2.22M-46.45%1.01M-46.45%1.01M-76.96%835.76K-49.18%1.87M-30.25%1.53M-22.21%1.89M-22.21%1.89M
-Current debt 88.36%1.55M-16.00%1.55M45.83%2.19M-47.30%975K-47.30%975K-77.19%825K-49.49%1.85M-30.78%1.5M-23.46%1.85M-23.46%1.85M
-Current capital lease obligation -8.06%9.89K-8.07%19.56K-8.24%28.96K-8.58%38.05K-8.58%38.05K9.39%10.76K9.38%21.28K9.38%31.56K182.65%41.62K182.65%41.62K
Current liabilities 112.88%3.44M44.23%3.63M117.35%4.3M37.56%2.99M37.56%2.99M-62.55%1.62M-40.94%2.51M-26.84%1.98M-21.42%2.17M-21.42%2.17M
Non current liabilities
Long term debt and capital lease obligation 28.20%211.18K28.20%211.18K28.20%211.18K28.20%211.18K28.20%211.18K-20.17%164.72K-20.17%164.72K-90.35%164.72K-90.02%164.72K-90.02%164.72K
-Long term debt 0.00%150K0.00%150K0.00%150K0.00%150K0.00%150K0.00%150K0.00%150K-90.91%150K-90.91%150K-90.91%150K
-Long term capital lease obligation 315.53%61.18K315.53%61.18K315.53%61.18K315.53%61.18K315.53%61.18K-73.87%14.72K-73.87%14.72K-73.87%14.72K--14.72K--14.72K
Derivative product liabilities -14.87%322.13K-66.21%671.63K-79.21%522.38K-50.47%557.25K-50.47%557.25K--378.38K--1.99M--2.51M--1.13M--1.13M
Total non current liabilities -1.80%533.3K-58.98%882.8K-72.60%733.55K-40.42%768.43K-40.42%768.43K163.20%543.1K943.04%2.15M56.90%2.68M-21.83%1.29M-21.83%1.29M
Total liabilities 84.04%3.97M-3.38%4.51M8.13%5.03M8.51%3.76M8.51%3.76M-52.24%2.16M4.56%4.67M5.55%4.66M-21.58%3.46M-21.58%3.46M
Shareholders'equity
Share capital 21.22%4K62.87%3.97K73.97%3.64K80.53%3.53K80.53%3.53K-21.40%3.3K-35.40%2.44K-43.69%2.09K63.49%1.96K63.49%1.96K
-common stock 21.16%4K62.79%3.97K73.97%3.64K80.53%3.53K80.53%3.53K-21.38%3.3K-35.38%2.44K-43.68%2.09K63.63%1.96K63.63%1.96K
-Preferred stock --2--2------0--0--0--0--0--0--0
Retained earnings -14.75%-95.22M-21.73%-93.39M-22.76%-90.36M-32.18%-87.36M-32.18%-87.36M-33.45%-82.98M-35.71%-76.72M-57.52%-73.61M-139.89%-66.09M-139.89%-66.09M
Paid-in capital 16.08%102.14M26.88%100.5M27.69%94.71M29.95%91.67M29.95%91.67M27.67%87.99M35.20%79.21M51.18%74.17M133.99%70.54M133.99%70.54M
Less: Treasury stock ----------0--0--0--0----------0--0
Other equity interest ---2.1M---7.55M-------3.5M---3.5M--------28,700.00%720K--------
Total stockholders'equity -3.73%4.82M-117.78%-442.55K238.99%4.36M-81.72%813.96K-81.72%813.96K-25.68%5.01M20.80%2.49M-44.98%1.29M89.45%4.45M89.45%4.45M
Noncontrolling interests --157.68K--132.49K--------------------------------
Total equity -0.58%4.98M-112.45%-310.06K238.99%4.36M-81.72%813.96K-81.72%813.96K-25.68%5.01M20.80%2.49M-44.98%1.29M89.45%4.45M89.45%4.45M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--
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