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IBIO iBio Inc

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  • 3.4300
  • -0.1700-4.72%
Close Feb 14 16:00 ET
  • 3.4399
  • +0.0099+0.29%
Post 20:01 ET
33.87MMarket Cap2.01P/E (TTM)

iBio Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Dec 31, 2024
(Q1)Sep 30, 2024
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
151.61%7.02M
655.51%11.04M
230.39%14.21M
230.39%14.21M
-19.20%5.3M
-71.03%2.79M
-91.64%1.46M
-87.17%4.3M
-87.17%4.3M
-86.49%6.56M
-Cash and cash equivalents
151.61%7.02M
655.51%11.04M
230.39%14.21M
230.39%14.21M
-19.20%5.3M
-24.57%2.79M
-85.22%1.46M
-81.03%4.3M
-81.03%4.3M
-80.57%6.56M
-Short-term investments
----
----
----
----
----
----
----
----
----
--0
Receivables
--13K
--0
249.51%713K
249.51%713K
1,035.59%14.1M
--0
--0
-96.66%204K
-96.66%204K
-79.65%1.24M
-Accounts receivable
----
----
----
----
----
----
----
----
----
-93.03%70K
-Notes receivable
--0
--0
--713K
--713K
----
----
----
--0
--0
--912K
-Other receivables
--13K
----
----
----
5,324.62%14.1M
----
----
-96.00%204K
-96.00%204K
-94.90%260K
Restricted cash
----
----
--0
--0
--914K
--1.06M
--3.05M
--3.03M
--3.03M
----
Other current assets
40.60%1.26M
47.89%667K
12.80%749K
12.80%749K
-6.41%862K
115.94%894K
--451K
-57.13%664K
-57.13%664K
--921K
Total current assets
-57.94%8.29M
-49.16%11.71M
-40.32%15.67M
-40.32%15.67M
33.39%36.14M
-48.48%19.7M
-63.78%23.02M
-41.74%26.26M
-41.74%26.26M
-55.08%27.09M
Non current assets
Net PPE
-15.96%5.82M
-15.78%6.1M
-15.61%6.37M
-15.61%6.37M
-15.56%6.61M
-11.88%6.93M
-0.34%7.24M
70.03%7.55M
70.03%7.55M
-80.36%7.82M
-Gross PPE
-3.88%7.69M
-3.76%7.77M
-3.64%7.86M
-3.64%7.86M
-3.52%7.91M
-0.61%8M
11.16%8.08M
83.63%8.16M
83.63%8.16M
-80.78%8.19M
-Accumulated depreciation
-74.53%-1.86M
-100.36%-1.68M
-146.03%-1.49M
-146.03%-1.49M
-250.40%-1.3M
-483.61%-1.07M
---836K
---604K
---604K
86.83%-371K
Goodwill and other intangible assets
13.57%6.11M
-0.37%5.36M
-0.37%5.37M
-0.37%5.37M
-0.37%5.37M
-0.37%5.38M
-10.48%5.38M
11.07%5.39M
11.07%5.39M
9.64%5.39M
-Other intangible assets
13.57%6.11M
-0.37%5.36M
-0.37%5.37M
-0.37%5.37M
-0.37%5.37M
-0.37%5.38M
-10.48%5.38M
11.07%5.39M
11.07%5.39M
9.64%5.39M
Long-term notes receivables
-36.29%1.12M
-36.28%1.1M
-36.64%1.08M
-36.64%1.08M
128.65%1.77M
--1.75M
4.73%1.73M
4.60%1.71M
4.60%1.71M
-51.92%775K
Non current prepaid assets
184.00%142K
-48.00%26K
-48.00%26K
-48.00%26K
0.00%50K
0.00%50K
-31.51%50K
-51.46%50K
-51.46%50K
-95.02%50K
Other non current assets
3.72%223K
-11.86%223K
-15.02%215K
-15.02%215K
-93.39%215K
-15.02%215K
-95.78%253K
-99.42%253K
-99.42%253K
-45.24%3.25M
Total non current assets
-6.36%13.41M
-12.58%12.81M
-12.62%13.06M
-12.62%13.06M
-18.96%14.02M
5.59%14.32M
-30.21%14.66M
-72.49%14.95M
-72.49%14.95M
-68.59%17.29M
Total assets
-36.23%21.7M
-34.93%24.52M
-30.27%28.73M
-30.27%28.73M
13.00%50.15M
-34.32%34.02M
-55.44%37.68M
-58.55%41.21M
-58.55%41.21M
-61.53%44.39M
Liabilities
Current liabilities
Payables
-45.37%1.37M
-50.02%1.04M
-71.06%659K
-71.06%659K
-19.73%1.74M
-39.62%2.51M
-56.83%2.08M
-49.93%2.28M
-49.93%2.28M
-58.91%2.17M
-accounts payable
-66.97%614K
-55.26%855K
-80.64%358K
-80.64%358K
-39.00%1.23M
-53.55%1.86M
-60.25%1.91M
-56.64%1.85M
-56.64%1.85M
-61.87%2.01M
-Total tax payable
----
----
--0
--0
----
----
----
-5.63%268K
-5.63%268K
----
-Other payable
16.49%756K
10.98%182K
88.13%301K
88.13%301K
228.85%513K
326.97%649K
--164K
--160K
--160K
--156K
Current accrued expenses
-51.16%1.84M
-68.24%1.08M
11.11%460K
11.11%460K
4.63%4M
-24.88%3.76M
30.67%3.39M
-88.10%414K
-88.10%414K
30.01%3.82M
Current debt and capital lease obligation
-93.23%904K
-92.82%955K
-92.99%953K
-92.99%953K
-5.32%13.58M
-19.49%13.35M
-41.36%13.3M
-38.89%13.6M
-38.89%13.6M
25,976.36%14.34M
-Current debt
-98.13%237K
-98.20%227K
-98.31%218K
-98.31%218K
-6.11%12.86M
-20.96%12.66M
-43.13%12.63M
-41.62%12.94M
-41.62%12.94M
--13.7M
-Current capital lease obligation
-4.30%667K
7.37%728K
11.20%735K
11.20%735K
11.53%716K
21.43%697K
39.51%678K
626.37%661K
626.37%661K
1,067.27%642K
Current deferred liabilities
--600K
--400K
--200K
--200K
--175K
----
----
--0
--0
--0
Other current liabilities
----
----
----
----
-0.57%1.93M
-0.56%1.94M
-0.51%1.94M
3,366.07%1.94M
3,366.07%1.94M
--1.94M
Current liabilities
-78.15%4.71M
-83.25%3.47M
-82.63%3.84M
-82.63%3.84M
-3.82%21.43M
-22.40%21.55M
-35.69%20.71M
-27.36%22.11M
-27.36%22.11M
169.00%22.28M
Non current liabilities
Long term debt and capital lease obligation
-0.77%3.09M
-0.67%3.28M
0.89%3.51M
0.89%3.51M
2.96%3.76M
-18.27%3.12M
-17.44%3.3M
-1.08%3.48M
-1.08%3.48M
-86.84%3.65M
-Long term debt
--643K
--706K
--766K
--766K
--824K
----
----
----
----
----
-Long term capital lease obligation
-21.40%2.45M
-22.06%2.57M
-21.14%2.74M
-21.14%2.74M
-19.63%2.93M
-18.27%3.12M
-17.44%3.3M
-1.08%3.48M
-1.08%3.48M
-34.75%3.65M
Non current accrued expenses
----
----
----
----
--0
--0
--263K
----
----
--791K
Total non current liabilities
-5.47%3.09M
-12.42%3.29M
-3.95%3.57M
-3.95%3.57M
-18.13%3.87M
-37.10%3.27M
-5.90%3.76M
-32.23%3.72M
-32.23%3.72M
-82.96%4.72M
Total liabilities
-68.57%7.8M
-72.36%6.76M
-71.31%7.41M
-71.31%7.41M
-6.32%25.29M
-24.72%24.83M
-32.40%24.47M
-28.10%25.83M
-28.10%25.83M
-24.99%27M
Shareholders'equity
Share capital
-70.00%9K
-67.86%9K
800.00%9K
800.00%9K
-43.75%9K
150.00%30K
211.11%28K
-88.89%1K
-88.89%1K
-92.66%16K
-common stock
-70.00%9K
-67.86%9K
800.00%9K
800.00%9K
-43.75%9K
150.00%30K
211.11%28K
-88.89%1K
-88.89%1K
-92.66%16K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-6.37%-322.2M
-7.86%-317.84M
-8.62%-313.85M
-8.62%-313.85M
-8.19%-306.07M
-9.90%-302.9M
-21.74%-294.69M
-29.03%-288.94M
-29.03%-288.94M
-36.75%-282.91M
Paid-in capital
7.70%336.09M
9.00%335.58M
10.13%335.16M
10.13%335.16M
10.20%330.92M
5.93%312.06M
5.93%307.87M
5.81%304.32M
5.81%304.32M
4.91%300.28M
Gains losses not affecting retained earnings
----
----
----
----
----
----
----
----
----
--0
Total stockholders'equity
51.08%13.9M
34.41%17.75M
38.64%21.32M
38.64%21.32M
42.98%24.86M
-51.14%9.2M
-72.69%13.21M
-75.77%15.38M
-75.77%15.38M
-78.09%17.39M
Total equity
51.08%13.9M
34.41%17.75M
38.64%21.32M
38.64%21.32M
42.98%24.86M
-51.14%9.2M
-72.69%13.21M
-75.77%15.38M
-75.77%15.38M
-78.09%17.39M
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 with Explanatory Notes
--
--
--
--
--
--
--
(Q2)Dec 31, 2024(Q1)Sep 30, 2024(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments 151.61%7.02M655.51%11.04M230.39%14.21M230.39%14.21M-19.20%5.3M-71.03%2.79M-91.64%1.46M-87.17%4.3M-87.17%4.3M-86.49%6.56M
-Cash and cash equivalents 151.61%7.02M655.51%11.04M230.39%14.21M230.39%14.21M-19.20%5.3M-24.57%2.79M-85.22%1.46M-81.03%4.3M-81.03%4.3M-80.57%6.56M
-Short-term investments --------------------------------------0
Receivables --13K--0249.51%713K249.51%713K1,035.59%14.1M--0--0-96.66%204K-96.66%204K-79.65%1.24M
-Accounts receivable -------------------------------------93.03%70K
-Notes receivable --0--0--713K--713K--------------0--0--912K
-Other receivables --13K------------5,324.62%14.1M---------96.00%204K-96.00%204K-94.90%260K
Restricted cash ----------0--0--914K--1.06M--3.05M--3.03M--3.03M----
Other current assets 40.60%1.26M47.89%667K12.80%749K12.80%749K-6.41%862K115.94%894K--451K-57.13%664K-57.13%664K--921K
Total current assets -57.94%8.29M-49.16%11.71M-40.32%15.67M-40.32%15.67M33.39%36.14M-48.48%19.7M-63.78%23.02M-41.74%26.26M-41.74%26.26M-55.08%27.09M
Non current assets
Net PPE -15.96%5.82M-15.78%6.1M-15.61%6.37M-15.61%6.37M-15.56%6.61M-11.88%6.93M-0.34%7.24M70.03%7.55M70.03%7.55M-80.36%7.82M
-Gross PPE -3.88%7.69M-3.76%7.77M-3.64%7.86M-3.64%7.86M-3.52%7.91M-0.61%8M11.16%8.08M83.63%8.16M83.63%8.16M-80.78%8.19M
-Accumulated depreciation -74.53%-1.86M-100.36%-1.68M-146.03%-1.49M-146.03%-1.49M-250.40%-1.3M-483.61%-1.07M---836K---604K---604K86.83%-371K
Goodwill and other intangible assets 13.57%6.11M-0.37%5.36M-0.37%5.37M-0.37%5.37M-0.37%5.37M-0.37%5.38M-10.48%5.38M11.07%5.39M11.07%5.39M9.64%5.39M
-Other intangible assets 13.57%6.11M-0.37%5.36M-0.37%5.37M-0.37%5.37M-0.37%5.37M-0.37%5.38M-10.48%5.38M11.07%5.39M11.07%5.39M9.64%5.39M
Long-term notes receivables -36.29%1.12M-36.28%1.1M-36.64%1.08M-36.64%1.08M128.65%1.77M--1.75M4.73%1.73M4.60%1.71M4.60%1.71M-51.92%775K
Non current prepaid assets 184.00%142K-48.00%26K-48.00%26K-48.00%26K0.00%50K0.00%50K-31.51%50K-51.46%50K-51.46%50K-95.02%50K
Other non current assets 3.72%223K-11.86%223K-15.02%215K-15.02%215K-93.39%215K-15.02%215K-95.78%253K-99.42%253K-99.42%253K-45.24%3.25M
Total non current assets -6.36%13.41M-12.58%12.81M-12.62%13.06M-12.62%13.06M-18.96%14.02M5.59%14.32M-30.21%14.66M-72.49%14.95M-72.49%14.95M-68.59%17.29M
Total assets -36.23%21.7M-34.93%24.52M-30.27%28.73M-30.27%28.73M13.00%50.15M-34.32%34.02M-55.44%37.68M-58.55%41.21M-58.55%41.21M-61.53%44.39M
Liabilities
Current liabilities
Payables -45.37%1.37M-50.02%1.04M-71.06%659K-71.06%659K-19.73%1.74M-39.62%2.51M-56.83%2.08M-49.93%2.28M-49.93%2.28M-58.91%2.17M
-accounts payable -66.97%614K-55.26%855K-80.64%358K-80.64%358K-39.00%1.23M-53.55%1.86M-60.25%1.91M-56.64%1.85M-56.64%1.85M-61.87%2.01M
-Total tax payable ----------0--0-------------5.63%268K-5.63%268K----
-Other payable 16.49%756K10.98%182K88.13%301K88.13%301K228.85%513K326.97%649K--164K--160K--160K--156K
Current accrued expenses -51.16%1.84M-68.24%1.08M11.11%460K11.11%460K4.63%4M-24.88%3.76M30.67%3.39M-88.10%414K-88.10%414K30.01%3.82M
Current debt and capital lease obligation -93.23%904K-92.82%955K-92.99%953K-92.99%953K-5.32%13.58M-19.49%13.35M-41.36%13.3M-38.89%13.6M-38.89%13.6M25,976.36%14.34M
-Current debt -98.13%237K-98.20%227K-98.31%218K-98.31%218K-6.11%12.86M-20.96%12.66M-43.13%12.63M-41.62%12.94M-41.62%12.94M--13.7M
-Current capital lease obligation -4.30%667K7.37%728K11.20%735K11.20%735K11.53%716K21.43%697K39.51%678K626.37%661K626.37%661K1,067.27%642K
Current deferred liabilities --600K--400K--200K--200K--175K----------0--0--0
Other current liabilities -----------------0.57%1.93M-0.56%1.94M-0.51%1.94M3,366.07%1.94M3,366.07%1.94M--1.94M
Current liabilities -78.15%4.71M-83.25%3.47M-82.63%3.84M-82.63%3.84M-3.82%21.43M-22.40%21.55M-35.69%20.71M-27.36%22.11M-27.36%22.11M169.00%22.28M
Non current liabilities
Long term debt and capital lease obligation -0.77%3.09M-0.67%3.28M0.89%3.51M0.89%3.51M2.96%3.76M-18.27%3.12M-17.44%3.3M-1.08%3.48M-1.08%3.48M-86.84%3.65M
-Long term debt --643K--706K--766K--766K--824K--------------------
-Long term capital lease obligation -21.40%2.45M-22.06%2.57M-21.14%2.74M-21.14%2.74M-19.63%2.93M-18.27%3.12M-17.44%3.3M-1.08%3.48M-1.08%3.48M-34.75%3.65M
Non current accrued expenses ------------------0--0--263K----------791K
Total non current liabilities -5.47%3.09M-12.42%3.29M-3.95%3.57M-3.95%3.57M-18.13%3.87M-37.10%3.27M-5.90%3.76M-32.23%3.72M-32.23%3.72M-82.96%4.72M
Total liabilities -68.57%7.8M-72.36%6.76M-71.31%7.41M-71.31%7.41M-6.32%25.29M-24.72%24.83M-32.40%24.47M-28.10%25.83M-28.10%25.83M-24.99%27M
Shareholders'equity
Share capital -70.00%9K-67.86%9K800.00%9K800.00%9K-43.75%9K150.00%30K211.11%28K-88.89%1K-88.89%1K-92.66%16K
-common stock -70.00%9K-67.86%9K800.00%9K800.00%9K-43.75%9K150.00%30K211.11%28K-88.89%1K-88.89%1K-92.66%16K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -6.37%-322.2M-7.86%-317.84M-8.62%-313.85M-8.62%-313.85M-8.19%-306.07M-9.90%-302.9M-21.74%-294.69M-29.03%-288.94M-29.03%-288.94M-36.75%-282.91M
Paid-in capital 7.70%336.09M9.00%335.58M10.13%335.16M10.13%335.16M10.20%330.92M5.93%312.06M5.93%307.87M5.81%304.32M5.81%304.32M4.91%300.28M
Gains losses not affecting retained earnings --------------------------------------0
Total stockholders'equity 51.08%13.9M34.41%17.75M38.64%21.32M38.64%21.32M42.98%24.86M-51.14%9.2M-72.69%13.21M-75.77%15.38M-75.77%15.38M-78.09%17.39M
Total equity 51.08%13.9M34.41%17.75M38.64%21.32M38.64%21.32M42.98%24.86M-51.14%9.2M-72.69%13.21M-75.77%15.38M-75.77%15.38M-78.09%17.39M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------------
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