US Stock MarketDetailed Quotes

GUTS Fractyl Health

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  • 2.310
  • -0.080-3.35%
Close Oct 9 16:00 ET
  • 2.420
  • +0.110+4.76%
Pre 07:15 ET
110.71MMarket Cap-1680P/E (TTM)

Fractyl Health Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
269.83%102.44M
--121.44M
-32.60%33.21M
-32.60%33.21M
--44.5M
--27.7M
-48.39%49.27M
-48.39%49.27M
228.01%95.47M
228.01%95.47M
-Cash and cash equivalents
269.83%102.44M
--121.44M
-32.60%33.21M
-32.60%33.21M
--44.5M
--27.7M
-48.39%49.27M
-48.39%49.27M
228.01%95.47M
228.01%95.47M
Receivables
-60.71%22K
--15K
--22K
--22K
--24K
--56K
--0
--0
----
----
-Accounts receivable
-60.71%22K
--15K
--22K
--22K
--24K
--56K
--0
--0
----
----
Inventory
-12.33%64K
--73K
--73K
--73K
--76K
--73K
--0
--0
----
----
Restricted cash
--315K
--315K
--315K
--315K
--315K
----
--0
--0
----
----
Other current assets
133.50%3.72M
--2.63M
-14.03%2.03M
-14.03%2.03M
--1.9M
--1.59M
157.92%2.36M
157.92%2.36M
-48.45%915K
-48.45%915K
Total current assets
262.20%106.56M
--124.47M
-30.95%35.65M
-30.95%35.65M
--46.81M
--29.42M
-46.44%51.63M
-46.44%51.63M
212.12%96.39M
212.12%96.39M
Non current assets
Net PPE
2,846.49%32.32M
--31.52M
1,768.37%30.77M
1,768.37%30.77M
--937K
--1.1M
22.45%1.65M
22.45%1.65M
-0.81%1.35M
-0.81%1.35M
-Gross PPE
456.72%32.32M
--31.52M
474.98%35.6M
474.98%35.6M
--5.73M
--5.81M
5.41%6.19M
5.41%6.19M
8.42%5.87M
8.42%5.87M
-Accumulated depreciation
----
----
-6.29%-4.83M
-6.29%-4.83M
---4.79M
---4.71M
-0.35%-4.55M
-0.35%-4.55M
-11.50%-4.53M
-11.50%-4.53M
Other non current assets
-6.26%7.56M
--7.53M
27.50%9.79M
27.50%9.79M
--9.03M
--8.06M
59.50%7.68M
59.50%7.68M
90.92%4.82M
90.92%4.82M
Total non current assets
335.35%39.88M
--39.05M
334.91%40.56M
334.91%40.56M
--9.97M
--9.16M
51.41%9.33M
51.41%9.33M
58.84%6.16M
58.84%6.16M
Total assets
279.57%146.44M
--163.52M
25.03%76.21M
25.03%76.21M
--56.78M
--38.58M
-40.56%60.96M
-40.56%60.96M
195.02%102.55M
195.02%102.55M
Liabilities
Current liabilities
Payables
318.86%2.29M
--1.03M
-43.57%553K
-43.57%553K
--746K
--546K
1.03%980K
1.03%980K
219.08%970K
219.08%970K
-accounts payable
318.86%2.29M
--1.03M
-43.57%553K
-43.57%553K
--746K
--546K
1.03%980K
1.03%980K
219.08%970K
219.08%970K
Current accrued expenses
29.25%6.69M
--8.55M
45.27%7.33M
45.27%7.33M
--6.29M
--5.17M
-14.59%5.05M
-14.59%5.05M
113.17%5.91M
113.17%5.91M
Current debt and capital lease obligation
329.75%4.88M
--3.59M
118.48%2.73M
118.48%2.73M
--768K
--1.14M
-92.50%1.25M
-92.50%1.25M
132.42%16.67M
132.42%16.67M
-Current debt
----
----
----
----
----
----
----
----
119.18%15.72M
119.18%15.72M
-Current capital lease obligation
329.75%4.88M
--3.59M
118.48%2.73M
118.48%2.73M
--768K
--1.14M
31.58%1.25M
31.58%1.25M
--950K
--950K
Other current liabilities
-22.08%427K
--99K
1,497.22%575K
1,497.22%575K
--597K
--548K
-65.05%36K
-65.05%36K
-27.46%103K
-27.46%103K
Current liabilities
92.93%14.28M
--13.27M
53.03%11.19M
53.03%11.19M
--8.4M
--7.4M
-69.09%7.31M
-69.09%7.31M
116.59%23.65M
116.59%23.65M
Non current liabilities
Long term debt and capital lease obligation
54.91%56.34M
--56.94M
359.04%83.66M
359.04%83.66M
--54.74M
--36.37M
5,356.59%18.23M
5,356.59%18.23M
-95.89%334K
-95.89%334K
-Long term debt
-22.00%28.37M
--28.7M
210.54%55.15M
210.54%55.15M
--54.74M
--36.37M
--17.76M
--17.76M
----
----
-Long term capital lease obligation
--27.97M
--28.25M
6,030.75%28.51M
6,030.75%28.51M
--0
--0
39.22%465K
39.22%465K
--334K
--334K
Derivative product liabilities
--4.1M
--8.8M
4,591.89%19.1M
4,591.89%19.1M
--13.49M
--0
-25.18%407K
-25.18%407K
189.36%544K
189.36%544K
Preferred securities outside stock equity
--0
--0
0.00%287.33M
0.00%287.33M
--287.33M
--287.33M
0.00%287.33M
0.00%287.33M
53.26%287.33M
53.26%287.33M
Other non current liabilities
--964K
--330K
----
----
----
----
-81.82%2K
-81.82%2K
-42.11%11K
-42.11%11K
Total non current liabilities
-81.03%61.4M
--66.07M
27.49%390.09M
27.49%390.09M
--355.56M
--323.7M
6.16%305.96M
6.16%305.96M
46.63%288.22M
46.63%288.22M
Total liabilities
-77.14%75.68M
--79.34M
28.09%401.27M
28.09%401.27M
--363.96M
--331.1M
0.45%313.28M
0.45%313.28M
50.31%311.87M
50.31%311.87M
Shareholders'equity
Share capital
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
-common stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
-Preferred stock
--0
--0
----
----
----
----
----
----
----
----
Retained earnings
-17.80%-367.17M
---349.94M
-28.60%-346.62M
-28.60%-346.62M
---327.44M
---311.69M
-20.82%-269.53M
-20.82%-269.53M
-21.01%-223.07M
-21.01%-223.07M
Paid-in capital
2,184.89%437.92M
--434.12M
25.27%21.55M
25.27%21.55M
--20.26M
--19.17M
25.16%17.21M
25.16%17.21M
18.35%13.75M
18.35%13.75M
Total stockholders'equity
124.19%70.76M
--84.18M
-28.83%-325.06M
-28.83%-325.06M
---307.18M
---292.52M
-20.54%-252.32M
-20.54%-252.32M
-21.19%-209.33M
-21.19%-209.33M
Total equity
124.19%70.76M
--84.18M
-28.83%-325.06M
-28.83%-325.06M
---307.18M
---292.52M
-20.54%-252.32M
-20.54%-252.32M
-21.19%-209.33M
-21.19%-209.33M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
--
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 269.83%102.44M--121.44M-32.60%33.21M-32.60%33.21M--44.5M--27.7M-48.39%49.27M-48.39%49.27M228.01%95.47M228.01%95.47M
-Cash and cash equivalents 269.83%102.44M--121.44M-32.60%33.21M-32.60%33.21M--44.5M--27.7M-48.39%49.27M-48.39%49.27M228.01%95.47M228.01%95.47M
Receivables -60.71%22K--15K--22K--22K--24K--56K--0--0--------
-Accounts receivable -60.71%22K--15K--22K--22K--24K--56K--0--0--------
Inventory -12.33%64K--73K--73K--73K--76K--73K--0--0--------
Restricted cash --315K--315K--315K--315K--315K------0--0--------
Other current assets 133.50%3.72M--2.63M-14.03%2.03M-14.03%2.03M--1.9M--1.59M157.92%2.36M157.92%2.36M-48.45%915K-48.45%915K
Total current assets 262.20%106.56M--124.47M-30.95%35.65M-30.95%35.65M--46.81M--29.42M-46.44%51.63M-46.44%51.63M212.12%96.39M212.12%96.39M
Non current assets
Net PPE 2,846.49%32.32M--31.52M1,768.37%30.77M1,768.37%30.77M--937K--1.1M22.45%1.65M22.45%1.65M-0.81%1.35M-0.81%1.35M
-Gross PPE 456.72%32.32M--31.52M474.98%35.6M474.98%35.6M--5.73M--5.81M5.41%6.19M5.41%6.19M8.42%5.87M8.42%5.87M
-Accumulated depreciation ---------6.29%-4.83M-6.29%-4.83M---4.79M---4.71M-0.35%-4.55M-0.35%-4.55M-11.50%-4.53M-11.50%-4.53M
Other non current assets -6.26%7.56M--7.53M27.50%9.79M27.50%9.79M--9.03M--8.06M59.50%7.68M59.50%7.68M90.92%4.82M90.92%4.82M
Total non current assets 335.35%39.88M--39.05M334.91%40.56M334.91%40.56M--9.97M--9.16M51.41%9.33M51.41%9.33M58.84%6.16M58.84%6.16M
Total assets 279.57%146.44M--163.52M25.03%76.21M25.03%76.21M--56.78M--38.58M-40.56%60.96M-40.56%60.96M195.02%102.55M195.02%102.55M
Liabilities
Current liabilities
Payables 318.86%2.29M--1.03M-43.57%553K-43.57%553K--746K--546K1.03%980K1.03%980K219.08%970K219.08%970K
-accounts payable 318.86%2.29M--1.03M-43.57%553K-43.57%553K--746K--546K1.03%980K1.03%980K219.08%970K219.08%970K
Current accrued expenses 29.25%6.69M--8.55M45.27%7.33M45.27%7.33M--6.29M--5.17M-14.59%5.05M-14.59%5.05M113.17%5.91M113.17%5.91M
Current debt and capital lease obligation 329.75%4.88M--3.59M118.48%2.73M118.48%2.73M--768K--1.14M-92.50%1.25M-92.50%1.25M132.42%16.67M132.42%16.67M
-Current debt --------------------------------119.18%15.72M119.18%15.72M
-Current capital lease obligation 329.75%4.88M--3.59M118.48%2.73M118.48%2.73M--768K--1.14M31.58%1.25M31.58%1.25M--950K--950K
Other current liabilities -22.08%427K--99K1,497.22%575K1,497.22%575K--597K--548K-65.05%36K-65.05%36K-27.46%103K-27.46%103K
Current liabilities 92.93%14.28M--13.27M53.03%11.19M53.03%11.19M--8.4M--7.4M-69.09%7.31M-69.09%7.31M116.59%23.65M116.59%23.65M
Non current liabilities
Long term debt and capital lease obligation 54.91%56.34M--56.94M359.04%83.66M359.04%83.66M--54.74M--36.37M5,356.59%18.23M5,356.59%18.23M-95.89%334K-95.89%334K
-Long term debt -22.00%28.37M--28.7M210.54%55.15M210.54%55.15M--54.74M--36.37M--17.76M--17.76M--------
-Long term capital lease obligation --27.97M--28.25M6,030.75%28.51M6,030.75%28.51M--0--039.22%465K39.22%465K--334K--334K
Derivative product liabilities --4.1M--8.8M4,591.89%19.1M4,591.89%19.1M--13.49M--0-25.18%407K-25.18%407K189.36%544K189.36%544K
Preferred securities outside stock equity --0--00.00%287.33M0.00%287.33M--287.33M--287.33M0.00%287.33M0.00%287.33M53.26%287.33M53.26%287.33M
Other non current liabilities --964K--330K-----------------81.82%2K-81.82%2K-42.11%11K-42.11%11K
Total non current liabilities -81.03%61.4M--66.07M27.49%390.09M27.49%390.09M--355.56M--323.7M6.16%305.96M6.16%305.96M46.63%288.22M46.63%288.22M
Total liabilities -77.14%75.68M--79.34M28.09%401.27M28.09%401.27M--363.96M--331.1M0.45%313.28M0.45%313.28M50.31%311.87M50.31%311.87M
Shareholders'equity
Share capital --0--0--0--0--0--0--0--0--0--0
-common stock --0--0--0--0--0--0--0--0--0--0
-Preferred stock --0--0--------------------------------
Retained earnings -17.80%-367.17M---349.94M-28.60%-346.62M-28.60%-346.62M---327.44M---311.69M-20.82%-269.53M-20.82%-269.53M-21.01%-223.07M-21.01%-223.07M
Paid-in capital 2,184.89%437.92M--434.12M25.27%21.55M25.27%21.55M--20.26M--19.17M25.16%17.21M25.16%17.21M18.35%13.75M18.35%13.75M
Total stockholders'equity 124.19%70.76M--84.18M-28.83%-325.06M-28.83%-325.06M---307.18M---292.52M-20.54%-252.32M-20.54%-252.32M-21.19%-209.33M-21.19%-209.33M
Total equity 124.19%70.76M--84.18M-28.83%-325.06M-28.83%-325.06M---307.18M---292.52M-20.54%-252.32M-20.54%-252.32M-21.19%-209.33M-21.19%-209.33M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------------

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