US Stock MarketDetailed Quotes

FHTX Foghorn Therapeutics

Watchlist
  • 4.050
  • -0.070-1.70%
Close Mar 21 16:00 ET
  • 4.050
  • 0.0000.00%
Post 16:22 ET
225.23MMarket Cap-2.56P/E (TTM)

Foghorn Therapeutics Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
4.14%243.75M
4.14%243.75M
2.89%267.4M
0.30%285.18M
-34.59%206.66M
-32.31%234.06M
-32.31%234.06M
-30.42%259.89M
-27.97%284.31M
-25.61%315.97M
-Cash and cash equivalents
-30.97%55.45M
-30.97%55.45M
-17.96%57.68M
140.80%138.95M
56.50%79.25M
53.86%80.34M
53.86%80.34M
-19.75%70.31M
-5.72%57.7M
-76.30%50.64M
-Short-term investments
22.49%188.29M
22.49%188.29M
10.62%209.72M
-35.47%146.23M
-51.98%127.41M
-47.64%153.72M
-47.64%153.72M
-33.69%189.58M
-32.06%226.61M
25.69%265.33M
Other current assets
-4.41%5.85M
-4.41%5.85M
-30.91%3.84M
-28.10%4.44M
2.75%4.86M
9.34%6.12M
9.34%6.12M
31.08%5.55M
15.81%6.18M
-7.02%4.73M
Total current assets
3.92%249.6M
3.92%249.6M
2.18%271.23M
-0.30%289.62M
-34.04%211.52M
-31.65%240.18M
-31.65%240.18M
-29.73%265.44M
-27.39%290.49M
-25.39%320.7M
Non current assets
Net PPE
-24.02%32.61M
-24.02%32.61M
-23.40%34.58M
-21.53%36.26M
-15.36%40.72M
-13.13%42.91M
-13.13%42.91M
-13.34%45.14M
-12.37%46.2M
-11.47%48.11M
-Gross PPE
-13.18%47.69M
-13.18%47.69M
-13.15%48.9M
-11.78%49.86M
-7.03%53.53M
-5.31%54.93M
-5.31%54.93M
-6.00%56.31M
-5.31%56.51M
-4.80%57.58M
-Accumulated depreciation
-25.52%-15.08M
-25.52%-15.08M
-28.29%-14.32M
-31.93%-13.6M
-35.27%-12.81M
-39.55%-12.02M
-39.55%-12.02M
-43.07%-11.16M
-48.15%-10.31M
-54.21%-9.47M
Other non current assets
-37.09%1.78M
-37.09%1.78M
-9.90%2.56M
-5.97%2.71M
-32.22%2.76M
-30.93%2.82M
-30.93%2.82M
-30.40%2.84M
-29.90%2.88M
-1.55%4.07M
Total non current assets
-24.83%34.38M
-24.83%34.38M
-22.60%37.14M
-20.62%38.96M
-16.67%43.48M
-14.49%45.74M
-14.49%45.74M
-14.58%47.98M
-13.64%49.08M
-10.77%52.18M
Total assets
-0.68%283.98M
-0.68%283.98M
-1.61%308.37M
-3.24%328.59M
-31.61%255M
-29.38%285.92M
-29.38%285.92M
-27.77%313.42M
-25.68%339.58M
-23.64%372.88M
Liabilities
Current liabilities
Payables
-45.41%3.79M
-45.41%3.79M
-46.88%3.45M
-30.58%4.81M
-19.66%6.31M
28.08%6.93M
28.08%6.93M
23.57%6.5M
90.73%6.93M
54.76%7.85M
-accounts payable
-39.54%3.79M
-39.54%3.79M
-46.88%3.45M
-30.58%4.81M
-22.74%5.63M
15.63%6.26M
15.63%6.26M
23.57%6.5M
90.73%6.93M
43.72%7.29M
-Total tax payable
--0
--0
--0
--0
20.36%674K
--674K
--674K
----
----
--560K
Current accrued expenses
-6.49%3.79M
-6.49%3.79M
30.81%7.24M
-22.91%3.63M
-38.56%3.97M
-31.80%4.05M
-31.80%4.05M
-0.09%5.53M
-6.92%4.71M
19.39%6.47M
Current debt and capital lease obligation
6.45%9.07M
6.45%9.07M
4.75%8.77M
9.19%8.38M
36.59%8.67M
42.68%8.52M
42.68%8.52M
25.52%8.37M
35.30%7.67M
3.98%6.35M
-Current capital lease obligation
6.45%9.07M
6.45%9.07M
4.75%8.77M
9.19%8.38M
36.59%8.67M
42.68%8.52M
42.68%8.52M
25.52%8.37M
35.30%7.67M
3.98%6.35M
Current deferred liabilities
32.00%45.61M
32.00%45.61M
17.78%33.38M
-7.86%31.23M
-5.49%31.5M
5.27%34.55M
5.27%34.55M
-14.52%28.35M
10.90%33.9M
10.89%33.33M
Other current liabilities
-97.22%1K
-97.22%1K
-29.24%213K
154.26%239K
----
-88.68%36K
-88.68%36K
-7.10%301K
-65.44%94K
-41.30%135K
Current liabilities
14.64%66.99M
14.64%66.99M
9.25%56.82M
-10.18%50.87M
-6.69%52.07M
5.85%58.44M
5.85%58.44M
-5.79%52.01M
18.08%56.64M
15.66%55.8M
Non current liabilities
Long term debt and capital lease obligation
-23.23%28.06M
-23.23%28.06M
-21.73%30.3M
-19.20%32.54M
-21.11%34.31M
-19.72%36.56M
-19.72%36.56M
-16.75%38.71M
-18.05%40.27M
-13.84%43.49M
-Long term capital lease obligation
-23.23%28.06M
-23.23%28.06M
-21.73%30.3M
-19.20%32.54M
-21.11%34.31M
-19.72%36.56M
-19.72%36.56M
-16.75%38.71M
-18.05%40.27M
-13.84%43.49M
Non current deferred liabilities
-12.55%234.46M
-12.55%234.46M
-10.91%249.54M
-11.14%259.5M
-10.75%266.11M
-11.80%268.12M
-11.80%268.12M
-9.02%280.09M
-6.43%292.02M
-5.96%298.18M
Total non current liabilities
-13.83%262.52M
-13.83%262.52M
-12.22%279.84M
-12.11%292.04M
-12.07%300.43M
-12.84%304.67M
-12.84%304.67M
-10.05%318.8M
-8.03%332.29M
-7.07%341.67M
Total liabilities
-9.25%329.51M
-9.25%329.51M
-9.21%336.66M
-11.83%342.91M
-11.32%352.49M
-10.29%363.11M
-10.29%363.11M
-9.47%370.81M
-4.97%388.93M
-4.43%397.47M
Shareholders'equity
Share capital
50.00%6K
50.00%6K
50.00%6K
50.00%6K
0.00%4K
0.00%4K
0.00%4K
0.00%4K
0.00%4K
0.00%4K
-common stock
50.00%6K
50.00%6K
50.00%6K
50.00%6K
0.00%4K
0.00%4K
0.00%4K
0.00%4K
0.00%4K
0.00%4K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-18.37%-558.18M
-18.37%-558.18M
-20.39%-538.68M
-19.96%-519.56M
-23.03%-496.58M
-26.38%-471.56M
-26.38%-471.56M
-29.98%-447.46M
-35.99%-433.11M
-38.62%-403.63M
Paid-in capital
29.69%512.52M
29.69%512.52M
30.12%510.03M
30.81%505.57M
4.63%399.59M
4.76%395.2M
4.76%395.2M
4.96%391.96M
4.65%386.48M
4.70%381.91M
Gains losses not affecting retained earnings
116.34%135K
116.34%135K
119.02%360K
87.57%-338K
82.68%-497K
79.28%-826K
79.28%-826K
61.08%-1.89M
14.74%-2.72M
-140.37%-2.87M
Total stockholders'equity
41.02%-45.53M
41.02%-45.53M
50.71%-28.29M
70.98%-14.32M
-296.51%-97.49M
-69,019.64%-77.19M
-69,019.64%-77.19M
-335.94%-57.39M
-203.61%-49.35M
-133.96%-24.59M
Total equity
41.02%-45.53M
41.02%-45.53M
50.71%-28.29M
70.98%-14.32M
-296.51%-97.49M
-69,019.64%-77.19M
-69,019.64%-77.19M
-335.94%-57.39M
-203.61%-49.35M
-133.96%-24.59M
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
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments 4.14%243.75M4.14%243.75M2.89%267.4M0.30%285.18M-34.59%206.66M-32.31%234.06M-32.31%234.06M-30.42%259.89M-27.97%284.31M-25.61%315.97M
-Cash and cash equivalents -30.97%55.45M-30.97%55.45M-17.96%57.68M140.80%138.95M56.50%79.25M53.86%80.34M53.86%80.34M-19.75%70.31M-5.72%57.7M-76.30%50.64M
-Short-term investments 22.49%188.29M22.49%188.29M10.62%209.72M-35.47%146.23M-51.98%127.41M-47.64%153.72M-47.64%153.72M-33.69%189.58M-32.06%226.61M25.69%265.33M
Other current assets -4.41%5.85M-4.41%5.85M-30.91%3.84M-28.10%4.44M2.75%4.86M9.34%6.12M9.34%6.12M31.08%5.55M15.81%6.18M-7.02%4.73M
Total current assets 3.92%249.6M3.92%249.6M2.18%271.23M-0.30%289.62M-34.04%211.52M-31.65%240.18M-31.65%240.18M-29.73%265.44M-27.39%290.49M-25.39%320.7M
Non current assets
Net PPE -24.02%32.61M-24.02%32.61M-23.40%34.58M-21.53%36.26M-15.36%40.72M-13.13%42.91M-13.13%42.91M-13.34%45.14M-12.37%46.2M-11.47%48.11M
-Gross PPE -13.18%47.69M-13.18%47.69M-13.15%48.9M-11.78%49.86M-7.03%53.53M-5.31%54.93M-5.31%54.93M-6.00%56.31M-5.31%56.51M-4.80%57.58M
-Accumulated depreciation -25.52%-15.08M-25.52%-15.08M-28.29%-14.32M-31.93%-13.6M-35.27%-12.81M-39.55%-12.02M-39.55%-12.02M-43.07%-11.16M-48.15%-10.31M-54.21%-9.47M
Other non current assets -37.09%1.78M-37.09%1.78M-9.90%2.56M-5.97%2.71M-32.22%2.76M-30.93%2.82M-30.93%2.82M-30.40%2.84M-29.90%2.88M-1.55%4.07M
Total non current assets -24.83%34.38M-24.83%34.38M-22.60%37.14M-20.62%38.96M-16.67%43.48M-14.49%45.74M-14.49%45.74M-14.58%47.98M-13.64%49.08M-10.77%52.18M
Total assets -0.68%283.98M-0.68%283.98M-1.61%308.37M-3.24%328.59M-31.61%255M-29.38%285.92M-29.38%285.92M-27.77%313.42M-25.68%339.58M-23.64%372.88M
Liabilities
Current liabilities
Payables -45.41%3.79M-45.41%3.79M-46.88%3.45M-30.58%4.81M-19.66%6.31M28.08%6.93M28.08%6.93M23.57%6.5M90.73%6.93M54.76%7.85M
-accounts payable -39.54%3.79M-39.54%3.79M-46.88%3.45M-30.58%4.81M-22.74%5.63M15.63%6.26M15.63%6.26M23.57%6.5M90.73%6.93M43.72%7.29M
-Total tax payable --0--0--0--020.36%674K--674K--674K----------560K
Current accrued expenses -6.49%3.79M-6.49%3.79M30.81%7.24M-22.91%3.63M-38.56%3.97M-31.80%4.05M-31.80%4.05M-0.09%5.53M-6.92%4.71M19.39%6.47M
Current debt and capital lease obligation 6.45%9.07M6.45%9.07M4.75%8.77M9.19%8.38M36.59%8.67M42.68%8.52M42.68%8.52M25.52%8.37M35.30%7.67M3.98%6.35M
-Current capital lease obligation 6.45%9.07M6.45%9.07M4.75%8.77M9.19%8.38M36.59%8.67M42.68%8.52M42.68%8.52M25.52%8.37M35.30%7.67M3.98%6.35M
Current deferred liabilities 32.00%45.61M32.00%45.61M17.78%33.38M-7.86%31.23M-5.49%31.5M5.27%34.55M5.27%34.55M-14.52%28.35M10.90%33.9M10.89%33.33M
Other current liabilities -97.22%1K-97.22%1K-29.24%213K154.26%239K-----88.68%36K-88.68%36K-7.10%301K-65.44%94K-41.30%135K
Current liabilities 14.64%66.99M14.64%66.99M9.25%56.82M-10.18%50.87M-6.69%52.07M5.85%58.44M5.85%58.44M-5.79%52.01M18.08%56.64M15.66%55.8M
Non current liabilities
Long term debt and capital lease obligation -23.23%28.06M-23.23%28.06M-21.73%30.3M-19.20%32.54M-21.11%34.31M-19.72%36.56M-19.72%36.56M-16.75%38.71M-18.05%40.27M-13.84%43.49M
-Long term capital lease obligation -23.23%28.06M-23.23%28.06M-21.73%30.3M-19.20%32.54M-21.11%34.31M-19.72%36.56M-19.72%36.56M-16.75%38.71M-18.05%40.27M-13.84%43.49M
Non current deferred liabilities -12.55%234.46M-12.55%234.46M-10.91%249.54M-11.14%259.5M-10.75%266.11M-11.80%268.12M-11.80%268.12M-9.02%280.09M-6.43%292.02M-5.96%298.18M
Total non current liabilities -13.83%262.52M-13.83%262.52M-12.22%279.84M-12.11%292.04M-12.07%300.43M-12.84%304.67M-12.84%304.67M-10.05%318.8M-8.03%332.29M-7.07%341.67M
Total liabilities -9.25%329.51M-9.25%329.51M-9.21%336.66M-11.83%342.91M-11.32%352.49M-10.29%363.11M-10.29%363.11M-9.47%370.81M-4.97%388.93M-4.43%397.47M
Shareholders'equity
Share capital 50.00%6K50.00%6K50.00%6K50.00%6K0.00%4K0.00%4K0.00%4K0.00%4K0.00%4K0.00%4K
-common stock 50.00%6K50.00%6K50.00%6K50.00%6K0.00%4K0.00%4K0.00%4K0.00%4K0.00%4K0.00%4K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -18.37%-558.18M-18.37%-558.18M-20.39%-538.68M-19.96%-519.56M-23.03%-496.58M-26.38%-471.56M-26.38%-471.56M-29.98%-447.46M-35.99%-433.11M-38.62%-403.63M
Paid-in capital 29.69%512.52M29.69%512.52M30.12%510.03M30.81%505.57M4.63%399.59M4.76%395.2M4.76%395.2M4.96%391.96M4.65%386.48M4.70%381.91M
Gains losses not affecting retained earnings 116.34%135K116.34%135K119.02%360K87.57%-338K82.68%-497K79.28%-826K79.28%-826K61.08%-1.89M14.74%-2.72M-140.37%-2.87M
Total stockholders'equity 41.02%-45.53M41.02%-45.53M50.71%-28.29M70.98%-14.32M-296.51%-97.49M-69,019.64%-77.19M-69,019.64%-77.19M-335.94%-57.39M-203.61%-49.35M-133.96%-24.59M
Total equity 41.02%-45.53M41.02%-45.53M50.71%-28.29M70.98%-14.32M-296.51%-97.49M-69,019.64%-77.19M-69,019.64%-77.19M-335.94%-57.39M-203.61%-49.35M-133.96%-24.59M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------
Market Insights
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Companies involved in the creation, trade, and services of digital forms of money.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in U.S. Crypto Concept Stocks, ranked from highest to lowest based on real-time market data. Companies involved in the creation, trade, and services of digital forms of money.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in U.S. Crypto Concept Stocks, ranked from highest to lowest based on real-time market data.