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KTTAW Pasithea Therapeutics Warrants

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  • 0.0154
  • 0.00000.00%
Close Sep 6 12:44 ET
0Market Cap0.00P/E (TTM)

Pasithea Therapeutics Warrants 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
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-70.10%7.97M
-59.85%12.01M
-50.64%16.33M
-50.64%16.33M
-53.81%19.58M
-44.41%26.65M
-40.55%29.91M
-37.53%33.09M
-37.53%33.09M
106.16%42.4M
-Cash and cash equivalents
-70.10%7.97M
-59.85%12.01M
-50.64%16.33M
-50.64%16.33M
-53.81%19.58M
-44.41%26.65M
-40.55%29.91M
-37.53%33.09M
-37.53%33.09M
106.16%42.4M
Receivables
--0
156.62%40.5K
--40.5K
--40.5K
--95K
--122.5K
--15.78K
--0
--0
----
-Related party accounts receivable
--0
----
----
----
----
--122.5K
--15.78K
----
----
----
-Other receivables
----
--40.5K
--40.5K
--40.5K
--95K
----
----
----
----
----
Prepaid assets
-29.99%570.24K
24.24%1.04M
-61.61%215.9K
-61.61%215.9K
-18.26%985.07K
36.99%814.57K
32.93%835.78K
68.50%562.38K
68.50%562.38K
157.23%1.21M
Other current assets
-76.86%104.65K
-60.21%104.65K
-60.19%104.71K
-60.19%104.71K
-87.70%106.51K
468.12%452.2K
--262.99K
--262.99K
--262.99K
--865.99K
Total current assets
-69.17%8.64M
-57.60%13.19M
-51.02%16.69M
-51.02%16.69M
-53.29%20.77M
-42.33%28.04M
-38.93%31.11M
-36.07%34.08M
-36.07%34.08M
111.42%44.47M
Non current assets
Net PPE
-77.78%131.78K
-73.48%168.52K
-64.76%220.48K
-64.76%220.48K
-58.79%524.38K
2.28%593.18K
394.05%635.45K
3,008.85%625.63K
3,008.85%625.63K
14,748.03%1.27M
-Gross PPE
-72.74%164.7K
-69.49%196.72K
-61.22%243.97K
-61.22%243.97K
-57.32%543.15K
4.17%604.13K
--644.79K
2,826.03%629.18K
2,826.03%629.18K
--1.27M
-Accumulated depreciation
-200.67%-32.92K
-201.95%-28.21K
-559.96%-23.49K
-559.96%-23.49K
---18.77K
---10.95K
---9.34K
-158.09%-3.56K
-158.09%-3.56K
----
Goodwill and other intangible assets
-6.62%8.89M
-6.51%9.05M
-6.41%9.2M
-6.41%9.2M
142.13%9.36M
148.32%9.52M
--9.68M
--9.83M
--9.83M
--3.87M
-Goodwill
0.00%1.26M
0.00%1.26M
0.00%1.26M
0.00%1.26M
-67.23%1.26M
-67.06%1.26M
--1.26M
--1.26M
--1.26M
--3.85M
-Other intangible assets
-7.63%7.63M
-7.49%7.78M
-7.35%7.94M
-7.35%7.94M
64,680.48%8.1M
--8.26M
--8.41M
--8.57M
--8.57M
--12.5K
Related parties assets
--0
----
----
----
----
--122.5K
--15.78K
----
----
----
Other non current assets
----
----
----
----
----
----
--619.29K
--643.38K
--643.38K
----
Total non current assets
-10.79%9.02M
-15.70%9.22M
-15.12%9.42M
-15.12%9.42M
92.38%9.89M
129.13%10.11M
8,399.20%10.93M
55,074.90%11.1M
55,074.90%11.1M
59,863.97%5.14M
Total assets
-53.70%17.66M
-46.70%22.41M
-42.19%26.12M
-42.19%26.12M
-38.20%30.66M
-28.06%38.15M
-17.69%42.04M
-15.27%45.18M
-15.27%45.18M
135.75%49.61M
Liabilities
Current liabilities
Current debt and capital lease obligation
----
-92.31%32.99K
-49.07%81.68K
-49.07%81.68K
-32.38%174.47K
198.77%303.01K
--429.08K
--160.36K
--160.36K
--258.03K
-Current debt
----
----
----
----
----
--133.34K
--264.1K
----
----
----
-Current capital lease obligation
--0
-80.00%32.99K
-49.07%81.68K
-49.07%81.68K
-32.38%174.47K
67.30%169.68K
--164.97K
--160.36K
--160.36K
--258.03K
Other current liabilities
----
----
----
----
----
----
--245.54K
--235.88K
--235.88K
----
Current liabilities
-37.42%1.39M
16.25%2.47M
40.29%2.63M
40.29%2.63M
35.00%2.04M
134.61%2.23M
389.33%2.12M
319.79%1.88M
319.79%1.88M
186.69%1.51M
Non current liabilities
Long term debt and capital lease obligation
----
----
--0
--0
-70.90%210.82K
-28.52%256.08K
--300.48K
--344.02K
--344.02K
--724.39K
-Long term capital lease obligation
----
----
--0
--0
-70.90%210.82K
-28.52%256.08K
--300.48K
--344.02K
--344.02K
--724.39K
Derivative product liabilities
25.95%93.27K
-69.25%57.65K
-40.00%84.37K
-40.00%84.37K
-95.00%29.06K
-69.87%74.06K
-71.91%187.48K
-90.32%140.61K
-90.32%140.61K
-85.61%581.12K
Total non current liabilities
-71.75%93.27K
-92.68%57.65K
-89.51%84.37K
-89.51%84.37K
-81.63%239.88K
-45.35%330.14K
18.00%787.63K
-44.64%804.21K
-44.64%804.21K
-67.68%1.31M
Total liabilities
-41.85%1.49M
-13.24%2.52M
1.36%2.72M
1.36%2.72M
-19.00%2.28M
64.67%2.56M
164.24%2.91M
41.14%2.68M
41.14%2.68M
-38.27%2.82M
Shareholders'equity
Share capital
-99.42%104
-99.42%104
-20.00%104
-20.00%104
-3.17%17.47K
-0.31%18K
1.76%18K
-99.26%130
-99.26%130
7.99%18.04K
-common stock
-99.42%104
-99.42%104
-20.00%104
-20.00%104
-3.17%17.47K
-0.31%18K
1.76%18K
-99.26%130
-99.26%130
7.99%18.04K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-61.47%-43.05M
-71.13%-39.18M
-82.46%-35.32M
-82.46%-35.32M
-174.36%-30.27M
-313.48%-26.66M
-504.28%-22.89M
-774.10%-19.36M
-774.10%-19.36M
-287.86%-11.03M
Paid-in capital
-4.83%59.23M
-4.75%59.07M
-5.07%58.72M
-5.07%58.72M
1.18%58.63M
7.36%62.23M
15.35%62.01M
15.34%61.86M
15.34%61.86M
200.16%57.95M
Gains losses not affecting retained earnings
-136.46%-8.18K
-67.68%-5.27K
-603.78%-4.65K
-603.78%-4.65K
94.74%-7.72K
94.60%-3.46K
79.14%-3.14K
93.74%-661
93.74%-661
-3,796.15%-146.57K
Total stockholders'equity
-54.55%16.18M
-49.19%19.88M
-44.94%23.4M
-44.94%23.4M
-39.36%28.37M
-30.86%35.59M
-21.69%39.14M
-17.35%42.5M
-17.35%42.5M
184.00%46.79M
Total equity
-54.55%16.18M
-49.19%19.88M
-44.94%23.4M
-44.94%23.4M
-39.36%28.37M
-30.86%35.59M
-21.69%39.14M
-17.35%42.5M
-17.35%42.5M
184.00%46.79M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(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(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -70.10%7.97M-59.85%12.01M-50.64%16.33M-50.64%16.33M-53.81%19.58M-44.41%26.65M-40.55%29.91M-37.53%33.09M-37.53%33.09M106.16%42.4M
-Cash and cash equivalents -70.10%7.97M-59.85%12.01M-50.64%16.33M-50.64%16.33M-53.81%19.58M-44.41%26.65M-40.55%29.91M-37.53%33.09M-37.53%33.09M106.16%42.4M
Receivables --0156.62%40.5K--40.5K--40.5K--95K--122.5K--15.78K--0--0----
-Related party accounts receivable --0------------------122.5K--15.78K------------
-Other receivables ------40.5K--40.5K--40.5K--95K--------------------
Prepaid assets -29.99%570.24K24.24%1.04M-61.61%215.9K-61.61%215.9K-18.26%985.07K36.99%814.57K32.93%835.78K68.50%562.38K68.50%562.38K157.23%1.21M
Other current assets -76.86%104.65K-60.21%104.65K-60.19%104.71K-60.19%104.71K-87.70%106.51K468.12%452.2K--262.99K--262.99K--262.99K--865.99K
Total current assets -69.17%8.64M-57.60%13.19M-51.02%16.69M-51.02%16.69M-53.29%20.77M-42.33%28.04M-38.93%31.11M-36.07%34.08M-36.07%34.08M111.42%44.47M
Non current assets
Net PPE -77.78%131.78K-73.48%168.52K-64.76%220.48K-64.76%220.48K-58.79%524.38K2.28%593.18K394.05%635.45K3,008.85%625.63K3,008.85%625.63K14,748.03%1.27M
-Gross PPE -72.74%164.7K-69.49%196.72K-61.22%243.97K-61.22%243.97K-57.32%543.15K4.17%604.13K--644.79K2,826.03%629.18K2,826.03%629.18K--1.27M
-Accumulated depreciation -200.67%-32.92K-201.95%-28.21K-559.96%-23.49K-559.96%-23.49K---18.77K---10.95K---9.34K-158.09%-3.56K-158.09%-3.56K----
Goodwill and other intangible assets -6.62%8.89M-6.51%9.05M-6.41%9.2M-6.41%9.2M142.13%9.36M148.32%9.52M--9.68M--9.83M--9.83M--3.87M
-Goodwill 0.00%1.26M0.00%1.26M0.00%1.26M0.00%1.26M-67.23%1.26M-67.06%1.26M--1.26M--1.26M--1.26M--3.85M
-Other intangible assets -7.63%7.63M-7.49%7.78M-7.35%7.94M-7.35%7.94M64,680.48%8.1M--8.26M--8.41M--8.57M--8.57M--12.5K
Related parties assets --0------------------122.5K--15.78K------------
Other non current assets --------------------------619.29K--643.38K--643.38K----
Total non current assets -10.79%9.02M-15.70%9.22M-15.12%9.42M-15.12%9.42M92.38%9.89M129.13%10.11M8,399.20%10.93M55,074.90%11.1M55,074.90%11.1M59,863.97%5.14M
Total assets -53.70%17.66M-46.70%22.41M-42.19%26.12M-42.19%26.12M-38.20%30.66M-28.06%38.15M-17.69%42.04M-15.27%45.18M-15.27%45.18M135.75%49.61M
Liabilities
Current liabilities
Current debt and capital lease obligation -----92.31%32.99K-49.07%81.68K-49.07%81.68K-32.38%174.47K198.77%303.01K--429.08K--160.36K--160.36K--258.03K
-Current debt ----------------------133.34K--264.1K------------
-Current capital lease obligation --0-80.00%32.99K-49.07%81.68K-49.07%81.68K-32.38%174.47K67.30%169.68K--164.97K--160.36K--160.36K--258.03K
Other current liabilities --------------------------245.54K--235.88K--235.88K----
Current liabilities -37.42%1.39M16.25%2.47M40.29%2.63M40.29%2.63M35.00%2.04M134.61%2.23M389.33%2.12M319.79%1.88M319.79%1.88M186.69%1.51M
Non current liabilities
Long term debt and capital lease obligation ----------0--0-70.90%210.82K-28.52%256.08K--300.48K--344.02K--344.02K--724.39K
-Long term capital lease obligation ----------0--0-70.90%210.82K-28.52%256.08K--300.48K--344.02K--344.02K--724.39K
Derivative product liabilities 25.95%93.27K-69.25%57.65K-40.00%84.37K-40.00%84.37K-95.00%29.06K-69.87%74.06K-71.91%187.48K-90.32%140.61K-90.32%140.61K-85.61%581.12K
Total non current liabilities -71.75%93.27K-92.68%57.65K-89.51%84.37K-89.51%84.37K-81.63%239.88K-45.35%330.14K18.00%787.63K-44.64%804.21K-44.64%804.21K-67.68%1.31M
Total liabilities -41.85%1.49M-13.24%2.52M1.36%2.72M1.36%2.72M-19.00%2.28M64.67%2.56M164.24%2.91M41.14%2.68M41.14%2.68M-38.27%2.82M
Shareholders'equity
Share capital -99.42%104-99.42%104-20.00%104-20.00%104-3.17%17.47K-0.31%18K1.76%18K-99.26%130-99.26%1307.99%18.04K
-common stock -99.42%104-99.42%104-20.00%104-20.00%104-3.17%17.47K-0.31%18K1.76%18K-99.26%130-99.26%1307.99%18.04K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -61.47%-43.05M-71.13%-39.18M-82.46%-35.32M-82.46%-35.32M-174.36%-30.27M-313.48%-26.66M-504.28%-22.89M-774.10%-19.36M-774.10%-19.36M-287.86%-11.03M
Paid-in capital -4.83%59.23M-4.75%59.07M-5.07%58.72M-5.07%58.72M1.18%58.63M7.36%62.23M15.35%62.01M15.34%61.86M15.34%61.86M200.16%57.95M
Gains losses not affecting retained earnings -136.46%-8.18K-67.68%-5.27K-603.78%-4.65K-603.78%-4.65K94.74%-7.72K94.60%-3.46K79.14%-3.14K93.74%-66193.74%-661-3,796.15%-146.57K
Total stockholders'equity -54.55%16.18M-49.19%19.88M-44.94%23.4M-44.94%23.4M-39.36%28.37M-30.86%35.59M-21.69%39.14M-17.35%42.5M-17.35%42.5M184.00%46.79M
Total equity -54.55%16.18M-49.19%19.88M-44.94%23.4M-44.94%23.4M-39.36%28.37M-30.86%35.59M-21.69%39.14M-17.35%42.5M-17.35%42.5M184.00%46.79M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

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Price Target

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Heat List
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